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Treść dostarczona przez The Law School of America. Cała zawartość podcastów, w tym odcinki, grafika i opisy podcastów, jest przesyłana i udostępniana bezpośrednio przez The Law School of America lub jego partnera na platformie podcastów. Jeśli uważasz, że ktoś wykorzystuje Twoje dzieło chronione prawem autorskim bez Twojej zgody, możesz postępować zgodnie z procedurą opisaną tutaj https://pl.player.fm/legal.
The Law School of America podcast is designed for listeners who what to expand and enhance their understanding of the American legal system. It provides you with legal principles in small digestible bites to make learning easy. If you're willing to put in the time, The Law School of America podcasts can take you from novice to knowledgeable in a reasonable amount of time.
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Manage series 3243553
Treść dostarczona przez The Law School of America. Cała zawartość podcastów, w tym odcinki, grafika i opisy podcastów, jest przesyłana i udostępniana bezpośrednio przez The Law School of America lub jego partnera na platformie podcastów. Jeśli uważasz, że ktoś wykorzystuje Twoje dzieło chronione prawem autorskim bez Twojej zgody, możesz postępować zgodnie z procedurą opisaną tutaj https://pl.player.fm/legal.
The Law School of America podcast is designed for listeners who what to expand and enhance their understanding of the American legal system. It provides you with legal principles in small digestible bites to make learning easy. If you're willing to put in the time, The Law School of America podcasts can take you from novice to knowledgeable in a reasonable amount of time.
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1 Criminal Procedure Law Lecture Two: Arrest, Pretrial Process, and Confession/Interrogation Law (Part 2 of 3) 13:01
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This lecture covers lawful arrests, pretrial procedures, and confession/interrogation law, building on Fourth Amendment search and seizure. Key topics include constitutional standards for stops, frisks (reasonable suspicion), and arrests (probable cause); pretrial steps from initial appearance to plea negotiations; and Fifth/Sixth Amendment safeguards concerning Miranda warnings, waiver, invocation, and right to counsel at critical stages. A seizure occurs when a reasonable person wouldn't feel free to leave, distinguishing temporary stops (reasonable suspicion, limited pat-down) from custodial arrests (probable cause, full procedures). The Terry stop allows brief stops and pat-downs based on articulable suspicion of criminal activity and a reasonable belief of being armed and dangerous, limited to weapon discovery. Arrests generally require a warrant based on probable cause from a neutral magistrate, with exceptions for exigent circumstances (fleeing suspect, public safety). Warrantless felony arrests in public are permitted with objective probable cause, respecting the individual's dignity and avoiding excessive force. The pretrial process begins with an initial appearance (charges, counsel, release). Bail is considered under the Eighth Amendment (no excessive bail), balancing offense seriousness, criminal history, and community risk, potentially involving release on recognizance, bonds, or preventive detention. Federal felony cases often require a grand jury indictment (probable cause), while other jurisdictions use prosecutorial information and preliminary hearings as a screen against unfounded prosecutions. Prosecutors have broad charging discretion and utilize plea bargaining (guilty plea for reduced charge/sentence) which raises concerns about coercion and unequal power. Pretrial motions, especially to suppress illegally obtained evidence (Fourth Amendment challenges), are crucial. The Sixth Amendment guarantees a speedy trial. The Fifth Amendment protects against compelled self-incrimination during custodial interrogation (Miranda warnings: right to silence, use of statements, right to counsel, appointed counsel if indigent), requiring knowing, intelligent, and voluntary waivers based on totality of circumstances. Invoking the right to counsel or silence requires ceasing interrogation. Exceptions to Miranda include public safety and non-custodial questioning (voluntariness still applies). The Sixth Amendment guarantees counsel at critical stages after formal charges (indictment, arraignment, etc.), such as plea discussions, lineups, and hearings, requiring knowing and intelligent waivers. Massiah prohibits deliberate elicitation of incriminating statements from an indicted defendant without counsel. Elstad allows subsequent admissible statements after defective initial Miranda warnings if later warnings are proper and waiver is valid. Edwards' "bright line" rule requires ceasing interrogation upon invoking Miranda counsel until counsel is present or the suspect initiates further communication. The lecture concludes by summarizing these themes, leading to discussions on trial, sentencing, and post-conviction in the next session.…
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1 Criminal Procedure Law Lecture One: Constitutional Foundations and the Fourth Amendment (Part 1 of 3) (Part 2) 16:37
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This lecture provides an overview of criminal procedure law, with a significant focus on the constitutional foundations and the specifics of the Fourth Amendment. It explores the sources of this law, including the Constitution, statutes, federal rules, and state law. The text then examines the Fourth Amendment's protection against unreasonable searches and seizures, discussing its purpose, the concept of a reasonable expectation of privacy, the definitions of search and seizure, and the warrant requirement with its core components like probable cause and particularity. Finally, it details numerous exceptions to the warrant requirement and the impact of the exclusionary rule and related doctrines. Key Takeaways The primary sources include the U.S. Constitution, federal statutes enacted by Congress, the Federal Rules of Criminal Procedure, state constitutions, state legislative enactments, and judicial decisions interpreting these provisions. The fundamental purpose of the Fourth Amendment is to protect individual privacy and dignity against arbitrary government intrusion and to channel law enforcement activity through neutral decision making. The two-part test asks whether the individual demonstrated an actual, subjective expectation of privacy, and whether that expectation is one that society is prepared to recognize as reasonable. A seizure of property occurs when there is some meaningful interference with an individual’s possessory interest in property, considering factors like the officers' intention, the manner of taking custody, and the control exerted over the property. A valid search warrant requires a neutral and detached magistrate to find probable cause to believe that evidence or contraband will be found at a specified location and that the warrant particularly describes the place to be searched and items to be seized. The totality of the circumstances approach involves a practical, common-sense evaluation of all the information available to the magistrate, including the informant's reliability, the detail of the information, and any corroborating evidence, rather than a rigid formula. The plain view doctrine allows evidence in plain sight to be seized without a warrant if the officer is lawfully present where the evidence is located and its incriminating nature is immediately apparent. Voluntary consent by an individual with authority over the premises can justify a warrantless search, provided the consent is given freely and voluntarily without coercion. The exclusionary rule is a judicially created remedy that makes evidence obtained through unconstitutional searches or seizures inadmissible at trial, serving to deter police misconduct and preserve judicial integrity. Standing means that only individuals whose own Fourth Amendment rights have been violated can challenge a search or seizure, requiring them to demonstrate a legitimate expectation of privacy in the area searched or property seized.…
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1 Criminal Procedure Law Lecture One: Constitutional Foundations and the Fourth Amendment (Part 1 of 3) 17:06
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This lecture provides a comprehensive overview of the constitutional foundations of criminal procedure law, focusing on the Fourth Amendment. It explores the sources of criminal procedure, the significance of judicial interpretation, and the balance between law enforcement and individual rights. Key topics include the definitions of searches and seizures, warrant requirements, exceptions to these requirements, and the implications of modern technology on privacy rights. The lecture concludes with a discussion on the exclusionary rule and its impact on the justice system. Takeaways The Fourth Amendment establishes protections against unreasonable searches and seizures. Judicial decisions play a crucial role in interpreting constitutional provisions. The concept of reasonable expectation of privacy is central to Fourth Amendment analysis. Warrants must be issued by a neutral magistrate based on probable cause. Exceptions to the warrant requirement include searches incident to arrest and exigent circumstances. The exclusionary rule prevents illegally obtained evidence from being used in court. The good faith exception allows some leeway for law enforcement actions. Modern technology poses new challenges to Fourth Amendment protections. The open fields doctrine limits privacy rights in areas outside the home. Policy debates continue regarding the balance between law enforcement and individual rights. Criminal Procedure, Fourth Amendment, Searches, Seizures, Warrant Requirements, Exclusionary Rule, Privacy Rights, Law Enforcement, Constitutional Law, Judicial Interpretation…
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1 Contract Law Summary and Exam Preparation 25:30
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This discussion is comprise three lectures covering the fundamental principles of contract law, from its origins and formation to the consequences of non-performance. The first lecture focuses on contract formation, detailing essential elements like mutual assent, offer, acceptance, consideration, capacity, and legality, as well as potential defenses. Building upon this, the second lecture explores contract interpretation, different standards for performance under common law and the U.C.C., the role of conditions, and the implications of breach, including anticipatory repudiation and the rights of third parties. Finally, the third lecture examines contract remedies, outlining legal damages (expectation, consequential, incidental) and equitable remedies (specific performance, injunctions, rescission), along with doctrines like restitution, quasi-contract, and defenses that can limit recovery. The four essential elements are mutual assent (offer and acceptance), adequate consideration, capacity, and legality. A bilateral contract involves an exchange of promises, becoming binding when promises are exchanged. A unilateral contract involves a promise in exchange for performance, becoming binding only upon completion of the requested act. The mirror image rule requires that an acceptance must exactly match the terms of the offer; any different or additional terms are considered a counteroffer, not an acceptance. The mailbox rule states that an acceptance is effective upon dispatch. Revocations, rejections, and counteroffers are effective upon receipt. Consideration is the value given in return for a promise, typically a bargained-for exchange of something of legal value. Promissory estoppel is an equitable doctrine where a promise is enforceable without consideration if the promisee reasonably relied on the promise to their detriment, and injustice can only be avoided by enforcing the promise. A void contract is unenforceable from the beginning, lacking legal force. A voidable contract is initially valid and enforceable but can be legally avoided or canceled by one of the parties. Defenses to contract formation include fraud, illegality, lack of capacity, mistake, duress, and undue influence. The primary purpose of expectation damages is to put the non-breaching party in the same economic position they would have been in had the contract been fully performed. Liquidated damages clauses are generally enforceable if actual damages were difficult to estimate at the time of contracting, the amount is a reasonable pre-estimate of likely loss, and the clause is not a penalty.…
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1 Contract Law Lecture Three: Contract Remedies And Damages / Understanding Damages in Contract Breaches(Part 3 of 3) (Part 2) 19:07
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This lecture text explores contract interpretation, discussing how courts determine the meaning of agreements using the plain meaning rule and extrinsic evidence, such as course of performance, course of dealing, and usage of trade, while also considering the parol evidence rule. It then differentiates performance obligations under common law and the U.C.C., contrasting substantial performance with the perfect tender rule, and introducing the concept of conditions. The material further explains breach, including material versus minor breaches and anticipatory repudiation, before outlining the rights of third parties through assignment, delegation, and third-party beneficiary contracts, finally addressing ways performance may be excused due to impossibility, impracticability, or frustration of purpose. This conversation provides a comprehensive overview of contract law remedies, focusing on what happens when a contract is breached. It covers legal remedies, including expectation damages, incidental and consequential damages, the duty to mitigate, and equitable remedies like specific performance and rescission. The discussion also touches on restitution, quasi-contracts, liquidated damages, and the limitations that can affect the recovery of damages. The importance of understanding these concepts for law students and practitioners is emphasized throughout. Takeaways Understanding remedies is crucial for contract law. Expectation damages aim to put the non-breaching party whole. Incidental damages cover reasonable costs incurred due to a breach. Consequential damages depend on foreseeability at the time of contracting. The duty to mitigate prevents unnecessary loss escalation. Equitable remedies are granted at the court's discretion. Specific performance is used when money damages are inadequate. Restitution prevents unjust enrichment, focusing on the defendant's gain. Liquidated damages must be reasonable and not punitive. Various doctrines can limit the recovery of damages. According to the plain meaning rule, courts interpret unambiguous contract language according to its ordinary meaning, without considering outside evidence. If contract language is ambiguous, courts may consider extrinsic evidence such as prior negotiations, drafts, industry standards, or other contemporaneous writings to determine the parties' intent. Course of performance refers to the parties' behavior under the current contract, while course of dealing refers to their conduct in previous contracts. Both provide insight into the parties' understanding of terms. The parol evidence rule's purpose is generally to prevent parties from using prior or contemporaneous oral or written statements to contradict or change the terms of a complete and final written contract. Common law substantial performance allows enforcement if the essential purpose is met with minor deviations, while the U.C.C.'s perfect tender rule requires goods to conform exactly to contract terms for the buyer to be obligated to accept them. Under the perfect tender rule, a seller might satisfy their obligation despite nonconforming goods by exercising their right to "cure" the defective tender within the contract performance period. A condition precedent is an event that must occur before a party is obligated to perform. An example from the source is a loan disbursement being conditioned on providing proof of income. A material breach is a serious violation going to the essence of the contract that excuses the non-breaching party's performance, while a minor breach is less significant and only entitles the injured party to damages. Upon anticipatory repudiation, the non-breaching party can treat it as a breach and sue immediately, suspend performance and wait, or urge performance and await retraction. An assignment is a transfer of rights under a contract, while a delegation is a transfer of duties. In a delegation, the original party typically remains liable unless a novation occurs.…
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1 Contract Law Lecture Three: Contract Remedies And Damages (Part 3 Of 3) 11:51
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This lecture series on contract law focuses on the remedies available when a contract is breached. It covers legal and equitable remedies, the measurement of damages, and the doctrines governing restitution and quasi-contract. The discussion emphasizes the importance of understanding these remedies for both academic analysis and practical application in resolving contractual disputes. Takeaways Understanding remedies is essential for practical application. Expectation damages aim to place the non-breaching party in the position they would have occupied. Consequential damages must be foreseeable and communicated during contract formation. The injured party has a duty to mitigate damages. Specific performance is available when legal damages are inadequate. Restitution prevents unjust enrichment and measures the value of benefits conferred. Liquidated damages clauses are enforceable if they are a reasonable estimate of likely loss. Limitations on recovery can arise from contract terms and procedural doctrines. The landscape of contract remedies balances fairness and economic efficiency. Mastery of remedies informs how we enforce, draft, negotiate, and litigate contracts. contract law, remedies, damages, expectation damages, equitable relief, mitigation, restitution, quasi-contract, liquidated damages, breach of contract…
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1 Contract Law Lecture Two: Contract Interpretation, Performance, And Breach / Key Concepts Explained (Part 2 of 3) (Part 2) 22:52
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This lecture text explores contract interpretation, discussing how courts determine the meaning of agreements using the plain meaning rule and extrinsic evidence, such as course of performance, course of dealing, and usage of trade, while also considering the parol evidence rule. It then differentiates performance obligations under common law and the U.C.C., contrasting substantial performance with the perfect tender rule, and introducing the concept of conditions. The material further explains breach, including material versus minor breaches and anticipatory repudiation, before outlining the rights of third parties through assignment, delegation, and third-party beneficiary contracts, finally addressing ways performance may be excused due to impossibility, impracticability, or frustration of purpose. This conversation delves into the complexities of contract law, focusing on the stages beyond formation, including interpretation, performance, conditions, breach, and third-party rights. The discussion emphasizes the importance of understanding the intent behind contracts, the standards for performance under common law and the UCC, and the implications of breaches. It also covers the roles of conditions, anticipatory repudiation, and the rights of third parties in contractual agreements, concluding with the circumstances under which performance may be excused. Understanding contract law goes beyond just formation. Contract interpretation focuses on the parties' intent. Extrinsic evidence plays a crucial role in ambiguous contracts. Substantial performance is key in common law contracts. The UCC applies a stricter perfect tender rule for goods. Conditions can be express or implied and affect performance duties. Material breaches excuse the non-breaching party from performance. Anticipatory repudiation allows immediate action against a breaching party. Third parties can gain rights through assignment, delegation, or as beneficiaries. Excuses for non-performance include impossibility and frustration of purpose. According to the plain meaning rule, courts interpret unambiguous contract language according to its ordinary meaning, without considering outside evidence. If contract language is ambiguous, courts may consider extrinsic evidence such as prior negotiations, drafts, industry standards, or other contemporaneous writings to determine the parties' intent. Course of performance refers to the parties' behavior under the current contract, while course of dealing refers to their conduct in previous contracts. Both provide insight into the parties' understanding of terms. The parol evidence rule's purpose is generally to prevent parties from using prior or contemporaneous oral or written statements to contradict or change the terms of a complete and final written contract. Common law substantial performance allows enforcement if the essential purpose is met with minor deviations, while the U.C.C.'s perfect tender rule requires goods to conform exactly to contract terms for the buyer to be obligated to accept them. Under the perfect tender rule, a seller might satisfy their obligation despite nonconforming goods by exercising their right to "cure" the defective tender within the contract performance period. A condition precedent is an event that must occur before a party is obligated to perform. An example from the source is a loan disbursement being conditioned on providing proof of income. A material breach is a serious violation going to the essence of the contract that excuses the non-breaching party's performance, while a minor breach is less significant and only entitles the injured party to damages. Upon anticipatory repudiation, the non-breaching party can treat it as a breach and sue immediately, suspend performance and wait, or urge performance and await retraction. An assignment is a transfer of rights under a contract, while a delegation is a transfer of duties. In a delegation, the original party typically remains liable…
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1 Contract Law Lecture Two: Contract Interpretation, Performance, And Breach (Part 2 of 3) 13:06
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This lecture explores the principles of contract interpretation, performance obligations, breach of contract, and the rights of third parties. It covers how courts interpret contracts, the significance of performance standards under common law and UCC, the implications of breach, and the conditions under which performance may be excused. The lecture emphasizes the importance of understanding these concepts for effective contract law practice. Takeaways Courts interpret contracts to reflect the parties' intentions. The plain meaning rule is the starting point for interpretation. Substantial performance allows enforcement despite minor defects. The perfect tender rule requires exact conformity in UCC contracts. Conditions can be express, implied, or constructive. Material breaches excuse the non-breaching party's performance. Anticipatory repudiation allows for immediate legal action. Third parties can acquire rights through assignment or delegation. Impossibility and impracticability can excuse performance. Frustration of purpose can prevent enforcement of contracts. Chapters 00:00 Understanding Contract Interpretation 04:13 Performance Obligations in Contracts 08:01 Breach of Contract and Its Consequences 11:49 Rights of Third Parties and Excusing Performance contract interpretation, performance obligations, breach of contract, third-party rights, contract law, UCC, common law, anticipatory repudiation, conditions, legal doctrines…
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1 Contract Law Lecture One: Contract Formation / Navigating the Core Elements of Contracts (Part 1 of 3) (Part 2) 26:58
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This conversation delves into the fundamental aspects of contract formation, exploring the essential elements such as mutual assent, offer and acceptance, consideration, capacity, and legality. It also discusses various defenses that can affect the enforceability of contracts, providing a comprehensive overview for those preparing for law school exams or practicing in the field. Takeaways Contract formation is critical for law students and practitioners. Mutual assent is essential for a valid contract. An offer must be clear and definite to be valid. Consideration must involve a bargain for exchange. Capacity to contract is necessary for enforceability. Legality of the contract's purpose is crucial. Defenses like misrepresentation can void a contract. The UCC provides flexibility in contract formation. Common law and UCC differ in their approach to contracts. Understanding these elements is foundational for contract analysis. A contract is a legally enforceable agreement between two or more parties that creates mutual obligations. It governs how these obligations are created, modified, enforced, and extinguished. The two principal sources are Common Law, governing service agreements and real estate, and Article Two of the U.C.C., governing contracts for the sale of goods. Mutual assent means the parties agree to the same thing in the same sense. The objective theory means this is determined by a party's outward expressions and conduct, not their secret intentions. A valid offer requires intent, reasonably definite terms, and communication to the offeree. An offer can be terminated by revocation, rejection, counteroffer, lapse of time, or death/incapacity of a party. The Mirror Image Rule states that an acceptance must exactly match the terms of the offer. If it introduces different or additional terms, it is a counteroffer. Yes, under U.C.C. § 2-207, an acceptance with additional or different terms can still form a contract unless it is expressly conditional on assent to the new terms. Consideration is the legal term for what each party gives or promises to give in exchange for the other party's promise; it is a bargained-for exchange of something of legal value. Past consideration and the preexisting duty rule are two doctrines that limit what qualifies as consideration. The Statute of Frauds requires certain contracts to be in writing to be enforceable. Examples include contracts for the sale of goods priced at $500 or more, contracts that cannot be performed within one year, or contracts for the sale of real estate. Sound Bites "Understanding them isn't just for exams." "The UCC is often more flexible." "Mutual assent is the meeting of the minds." "Consideration is the price of the promise." "Capacity is key in contract law." Chapters 00:00 Understanding Contract Formation 10:01 The Core Elements of a Contract 20:05 Defenses Against Contract Enforcement…
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1 Contract Law Lecture One: Contract Formation (Part 1 of 3) 14:41
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This lecture provides a foundational overview of contract formation, outlining the essential elements required for a legally binding agreement. It explains that a contract necessitates mutual assent, typically through offer and acceptance, along with consideration, representing the bargained-for exchange. The discussion also covers the importance of legal capacity and lawful purpose, while further detailing various defenses that can prevent contract enforcement, such as fraud, duress, and the Statute of Frauds. Ultimately, the lecture establishes the fundamental principles that determine whether a valid contract exists under both common law and the Uniform Commercial Code.…
Harmful contact results in actual injury or pain, while offensive contact is contact that would offend a reasonable person's sense of personal dignity. The core requirement for intent in intentional torts is acting with the purpose of causing a specific consequence or knowing with substantial certainty that the consequence will result. It does not require malice. If a defendant intends to throw a rock at Person A (assault) but instead throws it onto Person B's land without permission, the intent to commit assault transfers to trespass to land, making the defendant liable to Person B for trespass. Public necessity allows interference with property to prevent a greater harm to the public and is a complete defense (no compensation owed). Private necessity allows interference to prevent a greater harm to the defendant or a small group, but the defendant must pay for any damage caused. The majority (Cardozo) view states that a duty of care is owed only to those within the zone of foreseeable harm. The minority (Andrews) view states that a duty is owed to everyone as long as the conduct poses a general risk of harm. The Hand Formula (B < P x L) is an algebraic representation used to help assess breach of duty in negligence by comparing the burden of precaution (B) to the foreseeable likelihood of loss (P) multiplied by the probable magnitude of loss (L). If the burden is less than the likely cost of the loss, taking precautions might be deemed reasonable. The "but-for" test for cause in fact asks whether the plaintiff's harm would not have occurred "but for" the defendant's negligent conduct. Res ipsa loquitur is a doctrine that allows a jury to infer negligence when an accident is of a type that usually doesn't happen without negligence, the instrumentality of harm was under the defendant's control, and the plaintiff didn't contribute to the harm. It might be applied in cases like a barrel falling from a window or a surgical tool left inside a patient. According to the provided text, landowners owe no duty to undiscovered trespassers. Two examples of abnormally dangerous activities subject to strict liability are blasting and storing flammable liquids in quantity in an urban area.…
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1 Torts Lecture Three: Defamation, Privacy Torts, Economic Torts, and Vicarious Liability (Part 3 of 3) (Part 2) 28:14
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The four essential elements of common law defamation are: (1) a defamatory statement, (2) the statement was "of or concerning" the plaintiff, (3) the statement was published to a third party, and (4) the plaintiff suffered damages as a result. Libel is defamation in written or other tangible form and is generally actionable without proof of special damages. Slander is spoken defamation and typically requires proof of special damages unless it falls under the category of slander per se. Actual malice is defined as knowledge that a statement was false or reckless disregard for whether it was true or false. This high standard applies to public officials and public figures in defamation claims due to First Amendment considerations. Intrusion upon seclusion occurs when a defendant intentionally intrudes upon the solitude, seclusion, or private affairs of another in a manner that would be highly offensive to a reasonable person. An example is unauthorized wiretapping of a private phone line. The key element in appropriation of name or likeness is the defendant's use of the plaintiff's name, image, or identity for a commercial purpose without the plaintiff's consent, thereby exploiting the economic value of their identity. To establish intentional interference with contractual relations, a plaintiff must show: (1) a valid contract, (2) the defendant's knowledge of the contract, (3) the defendant's intentional acts to induce a breach or interfere with the contract, (4) an actual breach or disruption, and (5) resulting damages. "Scope of employment" refers to activities that an employee is hired to perform, occur substantially within the authorized time and space limits of their job, and are motivated, at least in part, by a purpose to serve the employer. One exception to the rule that employers are not liable for independent contractors' torts is when the activity involved is inherently dangerous, meaning it poses a significant risk of harm that cannot be eliminated by reasonable care. The single publication rule states that all copies of a publication are treated as a single publication for the purposes of a defamation action, limiting the number of lawsuits that can arise from widespread dissemination of the same defamatory material. When a private individual sues for defamation involving a matter of public concern, they must generally show at least negligence on the part of the defendant. To recover presumed or punitive damages, they typically must demonstrate actual malice.…
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1 Torts Lecture Three: Defamation, Privacy Torts, Economic Torts, and Vicarious Liability (Part 3 of 3) 16:18
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This lecture comprehensively explores four distinct areas of tort law. Defamation protects reputation from false statements, outlining its elements and constitutional limitations. The four privacy torts—intrusion upon seclusion, appropriation, public disclosure of private facts, and false light—safeguard personal autonomy and identity. Economic torts, including interference with contracts and prospective advantage, address wrongful interference with business relationships. Finally, vicarious liability examines how responsibility for tortious acts can extend to others through relationships like employer-employee.…
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1 Torts Lecture Two: Negligence and Strict Liability (Part 2 of 3) (Part 2) 25:07
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To establish a prima facie case of negligence, a plaintiff must prove duty, breach, causation (both actual and proximate), and damages. These four elements demonstrate that the defendant had an obligation, failed to meet that obligation, and that failure directly and foreseeably caused the plaintiff to suffer actual harm. The Cardozo view of duty, primarily from Palsgraf, holds that a defendant only owes a duty to those persons within the zone of foreseeable harm resulting from their conduct. In contrast, the Andrews view argues that a duty is owed to everyone if the defendant's conduct creates a general risk of harm, regardless of direct foreseeability. A professional, such as a doctor, is held to the standard of care of a reasonably prudent member of their profession under similar circumstances. This objective standard considers the knowledge, skill, and care ordinarily possessed and exercised by professionals in that particular field or specialty. Res ipsa loquitur, meaning "the thing speaks for itself," allows a jury to infer negligence when the event is of a type that ordinarily does not occur without negligence, the instrumentality causing the harm was in the defendant's exclusive control, and the injury was not due to the plaintiff's own action. An example is a surgical instrument being left inside a patient after an operation. The "but for" test is used to establish actual cause, requiring the plaintiff to show that but for the defendant's negligent act, the harm would not have occurred. The "substantial factor" test is applied in cases with multiple sufficient causes, where the defendant's conduct is considered a cause-in-fact if it was a significant contributor to the resulting harm. Negligence per se is a doctrine where violation of a statute that was designed to protect a particular class of persons from a specific type of harm is considered conclusive evidence of breach of duty. For this doctrine to apply, the plaintiff must be within the protected class, and the harm suffered must be of the type the statute intended to prevent. Generally, there is no legal duty to affirmatively act or rescue someone in peril, even if it can be done safely. However, an exception exists when there is a special relationship between the parties, such as a parent and child or a common carrier and its passengers, which creates a duty to take reasonable steps to aid the other. A landowner owes a licensee a duty to warn them of known dangers on the property that are not obvious. However, the landowner has no duty to inspect for unknown dangers or to make the premises safe for the licensee. Under pure comparative negligence, a plaintiff's recovery is reduced by the percentage of their own fault, regardless of how high that percentage is. In contrast, modified comparative negligence allows a plaintiff to recover only if their fault is below a certain threshold (usually 50% or less), otherwise their recovery is barred. The three main categories of activities or things for which strict liability is typically imposed are abnormally dangerous activities, wild animals (and sometimes domestic animals with known dangerous propensities), and defective products (under the theory of strict products liability).…
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1 Torts Lecture Two: Negligence and Strict Liability. (Part 2 of 3) 16:18
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This lecture on torts law explains the fundamental principles of negligence, outlining its four core elements: duty, breach, causation, and damages, alongside related doctrines such as res ipsa loquitur and negligence per se. The text details various standards of care and methods for establishing breach, including the Hand formula. It further analyzes causation and the requirement of actual harm for negligence claims. Finally, the lecture transitions to strict liability, discussing its application to abnormally dangerous activities, animals, and defective products, and briefly mentions defenses applicable to both negligence and strict liability.…
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