Communal Authorship

Communal Authorship

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A literary or artistic expression created by an individual author fits neatly in the copyright system. Many of the rules were developed with the sole author and a distinct work in mind. Given this start, copyright law struggles to govern expressions generated by teams. But even in such scenarios, joint authorship rules, which were developed relatively recently, have addressed complicated ownership questions. In contrast to solo- and team-authored works, the copyright system fails in a third category, what this Article labels “communal authorship.” This Article describes communal authorship as a subset of mass-authored works having the key features of numerosity, informality, temporality, and intentionality—features that make the applicability of copyright law challenging. The large-scale nature of the collaboration, the absence of a central figure with creative control, the dynamic nature of the work, and the strong norm of sharing makes communal authorship unique. The mismatch between copyright law and communal authorship results in confusion, which in turn discourages creative expression and enables some to appropriate value created by others. Four case studies of communal authorship—hackathons, memes, dance crazes, and traditional cultural expressions—are used to illustrate the mismatch. Through the communal authorship theory, the Article offers a novel analytical framework to examine the governance of mass-authored works which are, and will continue to be, important forms of expression, especially in digital platforms.

Aman K. Gebru *

* Assistant Professor of Law, University of Houston Law Center.

 

The Braidwood Exploit: On the RFRA Declaratory Judgment Class Action and Title VII Employer Liability

The Braidwood Exploit: On the RFRA Declaratory Judgment Class Action and Title VII Employer Liability

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This Article identifies a distinctive legal strategy for using the Religious Freedom Restoration Act (“RFRA”) to obtain an exemption for for-profit businesses to Title VII liability for their religiously motivated discrimination against gay and transgender employees and job applicants. The litigation strategy involves a declaratory judgment class action against the Equal Employment Opportunity Commission under RFRA. We primarily show how this strategy tries to exploit a key ambiguity in the compelling interest inquiry in RFRA and pre-1990 Free Exercise Clause doctrine, i.e., how to specify the size of the set of persons other than the RFRA claimant who would likely qualify for the exemption that the RFRA claimant wants if the RFRA claimant prevails—what we call the “putative RFRA exempted set.” We also show how well this litigation strategy may extend to exempt religiously motivated employers from liability under state employment discrimination law. In so doing, this Article contributes to the ongoing debate about the scope of exemptions for religiously motivated businesses.

Marcia L. McCormick *

Sachin S. Pandya **

* Professor of Law, St. Louis University (https://orcid.org/0000-0003-1693-1128).

** Professor of Law, University of Connecticut (http://orcid.org/0000-0001-7387-1307).

Extractive Welfare: Medicaid Statutory Recovery Formulas After Gallardo v. Marstiller

Extractive Welfare: Medicaid Statutory Recovery Formulas After Gallardo v. Marstiller

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In 2022, the Supreme Court of the United States held states may seize injured Medicaid recipients’ tort recoveries beyond the portion of those recoveries allocated for past medical expenses actually covered by Medicaid. However, the Court’s decision went beyond that distinction by validating the practice of states using one-size-fits-all “statutory recovery formulas” to seize the tort recoveries of injured Medicaid recipients. Although the Court painted the dispute as one of bland statutory interpretation, the holding enshrines the subordinated social and legal position of recipients of poor people’s programs in the United States.

Although others have examined Medicaid, and other poor people’s programs, as sites of surveillance and political and civic learning among the poor, this Article discusses the extractive dynamics of the program with a specific focus on statutory recovery formulas. Drawing on theories of extraction, as well as rhetoric and common law equitable doctrines, this Article describes two key extractive aspects of Medicaid law and, specifically, states’ statutory third-party liability recovery formulas—the branding of Medicaid recipients as perpetual debtors and the use of compelled litigation to extract time, money, and dignity from welfare recipients. Using Gallardo ex rel. Vassallo v. Marstiller and related cases, statutes, and common law doctrines in both the federal and state contexts, this Article maps the oppressive political rhetoric of welfare demonization onto the staid language of the courts. It demonstrates the ways in which Medicaid recipients are made to accept extraction of time and money as recompense for a social program that has become—unlike other social welfare programs—officially and legally reconceptualized as a loan that must be paid back.

Elenore Wade *

* Assistant Professor of Law, Rutgers Law School.

 

Venture Capital’s ESG Problem

Venture Capital’s ESG Problem

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Venture capital (“VC”) is repeatedly described as one of the “crown jewels” of the U.S. economy for its role in financing startups and innovation. However, recent corporate scandals, including fraud, have exposed a darker side of the VC industry and the startups in which venture capitalists (“VCs”) invest. For example, Theranos received $686 million in VC funding yet proved to be nothing more than a “house of cards” once it came to light that Theranos falsified blood test results. When Theranos founder Elizabeth Holmes was convicted of fraud, many VCs tried to distance themselves, saying Theranos was an exception and that most of Theranos’s financing did not come from VC. Nevertheless, in the wake of Theranos, fraud and mismanagement of VC-backed companies has continued.

 

Ryan A. Ashburn *

* J.D. Candidate, 2024, University of Richmond School of Law.

 

First Comes Love: Advocating for a Revival of Pre-Obergefell Estate Planning Vigor for LGBTQ+ Couples and Families

First Comes Love: Advocating for a Revival of Pre-Obergefell Estate Planning Vigor for LGBTQ+ Couples and Families

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On June 24, 2022, the Supreme Court of the United States handed down its decision in Dobbs v. Jackson Women’s Health Organization. Beyond the obvious devastation this opinion wreaked on abortion rights nationwide, it also unleashed a fear in communities that have gained substantive rights through the Court’s decisions based on similar reasoning. News organizations and LGBTQ+ advocacy groups quickly published stories discussing the fate of same-sex marriage in a post-Dobbs society. If the Supreme Court were to overturn Obergefell v. Hodges, it would be a crushing loss to the LGBTQ+ community. Not only would it signal the lack of respect for same-sex relationships in society, but it would deprive same-sex couples from the “constellation of benefits” marriage provides.

Kimberly N. Furtado*

* J.D. Candidate, 2024, University of Richmond School of Law.

 

Foreword

Foreword

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“Your writing is so bad you will not be considered for Law Review and there is some question about your admittance to Law School.”

Life is strange and ironic. In 1974 as a second year law student at the T. C. Williams School of Law at the University of Richmond, I was invited to submit an article to determine if I would be permitted to serve on the Law Review. A member of the Law Review evaluated my article and met with me. In summation he said my writing was so bad that I would not be considered for Law Review and there was a question about how I was even admitted to law school.

The Honorable L. A. Harris, Jr.