Third-party standing

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Third party standing is a term of the law of civil procedure that describes when one party may file a lawsuit or assert a defense in which the rights of third parties are asserted. In the United States, this is generally prohibited, as a party can only assert his or her own rights and cannot raise the claims of right of a third party who is not before the court. [1] However, there are several exceptions to this doctrine.

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For example, a third party may sue where he has interchangeable economic interests with the injured party, as in the case of a bookseller suing to enforce the rights of his patrons to purchase a particular book from his store.[ citation needed ]

A third party may assert the rights of another person in order to vindicate them when the other person is unable to do so. For example, the US Supreme Court has held that a white person bound by a restrictive covenant not to sell realty to a black person may assert the Fifth or Fourteenth Amendment rights of black persons not before the court. [2]

A party that represents a class in a certified class action suit may continue to represent the class even where their own stake in the suit has dissipated. A woman seeking to challenge the constitutionality of a law that prevents divorcees from remarrying within a year may continue to represent the class of similarly situated persons, even if the year passes and she is able to remarry before the case has been decided.[ citation needed ]

General rule

Ordinarily, one may not claim standing in a court to vindicate the constitutional rights of some third party. [3] The requirement of standing is often used to describe the constitutional limitation on the jurisdiction of federal courts to "cases" and "controversies." [4] Apart from the jurisdictional requirement, the US Supreme Court has developed a complementary rule. one of self-restraint for its own governance. which ordinarily precludes a person from challenging the constitutionality of state action by invoking the rights of others. [5] The common thread underlying both requirements is that a person cannot challenge the constitutionality of a statute unless he shows that he himself is injured by its operation. [6]

Examples of application of this rule are:

Vicarious standing

There are recognized exceptions to the general rule in cases where the party whose rights are being invoked is not in a position to assert those right effectively. At times, "it would be difficult if not impossible for the persons whose rights are asserted to present their grievance before any court." [7] In such cases the courts often allow third parties vicariously to vindicate the rights of a non-litigant rights possessor.

In Pierce v. Society of Sisters, [8] a state statute required all parents to send their children to public schools. A private and a parochial school brought suit to enjoin enforcement of the act on the ground that it violated the constitutional rights of parents and guardians. No parent or guardian to whom the act applied was a party or before the Court. The Court nonetheless held that the statute was unconstitutional because it "unreasonably interferes with the liberty of parents and guardians to direct the upbringing and education of children under their control." [9] The schools were thus permitted to assert in defense of their property rights the constitutional rights of the parents and guardians.

In Barrows v. Jackson, Jackson owned a house in Los Angeles the deed to which contained a covenant against selling to Negroes. Jackson breached the covenant by selling to a Negro and Barrows sued. The courts ruled against enforcement despite Barrows's argument that Jackson was asserting the Fourteenth Amendment equal protection rights of persons not before the court. The Court said:

The relation between the coercion exerted on respondent [Jackson] and her possible pecuniary loss thereby is so close to the purpose of the restrictive covenant, to violate the constitutional rights of those discriminated against, that respondent is the only effective adversary of the unworthy covenant in its last stand. She will be permitted to protect herself and, by so doing, close the gap to the use of this covenant, so universally condemned by the courts. [10]

In NAACP v. Alabama, [11] the state had obtained a court order requiring the NAACP to produce membership lists. Upon its refusal to comply, the NAACP was held in contempt. The Supreme Court reversed, permitting the NAACP to assert the rights of its members and holding that the state court order violated their First Amendment right of freedom of association. The Court noted that because litigation by individual NAACP members would require disclosure of their identity and thus destroy the freedom of association threatened by the court order, the NAACP was a proper party to act on the members' behalf to assert their constitutional rights.

In Griswold v. Connecticut, [12] a doctor and a birth control official who had distributed contraceptives were prosecuted under an aiding and abetting statute as accessories to the crime of using birth control devices. The Court permitted the defendants to assert the privacy rights of the third-party contraceptives recipients because of the professional relationship between the defendants and the third parties, and because the recipients' rights would be diluted were the defendants not allowed to assert them.

In Craig v. Boren, [13] a liquor vendor and a young man challenged the constitutionality of an Oklahoma statute that prohibited the sale of 3.2% beer to males under 21 years of age and females under 18 years of age. The Court held that the liquor vendor, subject to sanctions and loss of license for violation of the statute, was a proper party in interest to object to the enforcement of the allegedly discriminatory law, because obedience to the law would cause loss of sales and disobedience risked sanctions from the state. "Accordingly," the Court explained, "vendors and those in like positions have been uniformly permitted to resist efforts at restricting their operations by acting as advocates of the rights of third parties who seek access to their market or function." [14] It is crucial to the vendor's standing that its failure to prevail in the litigation "will materially impair the ability of males 18-20 years of age to purchase 3.2% beer despite their classification by an overt gender-based criterion." [15]

In general, these cases require the person asserting a third party's rights to be injured in some way by the rights violation. In Barrows, it was being required to pay damages for violating the racial covenant; in NAACP, contempt; in Griswold, criminal prosecution as an aider and abettor. In cases where no such injury is threatened, the courts tend to deny standing.

In Kowalski v. Tesmer, [16] the Court denied standing to Michigan attorneys who sued to challenge state law that restricted appointment of appellate counsel for indigent defendants who had pleaded guilty. The attorneys asserted that the indigent defendants' constitutional rights were being denied. The Court said that its cases had held that a party seeking third-party standing must make two showings:

First, we have asked whether the party asserting the right has a "close" relationship with the person who possesses the right. Second, we have considered whether there is a "hindrance" to the [rights] possessor's ability to protect his own interests. [17]

The attorneys in this case invoked the potential attorney-client relationship to demonstrate the requisite closeness"

Specifically, they rely on a future attorney-client relationship with as yet unascertained Michigan criminal defendants "who will request, but be denied, the appointment of appellate counsel, based on the operation" of the statute. . . . The attorneys before us do not have a "close relationship" with their alleged "clients"; indeed, they have no relationship at all. [18]

The Court also ruled that it perceived no hindrance to the indigent defendants' asserting their constitutional rights for themselves. The attorneys argued that, without counsel, unsophisticated, pro se criminal defendants could not "coherently advance the substance of their constitutional claim." The Court rejected that claim. It said that "we do not think that the lack of an attorney here is the type of hindrance necessary to allow another to assert the indigent defendants' rights." [19]

Justice Clarence Thomas concurred in the judgment but filed an opinion protesting what he considered to be past excesses of the Court in allowing third-party assertions of constitutional rights:

Justice Ruth Bader Ginsburg, with whom Justices John Paul Stevens and David Souter joined, dissented. They argued that only "prudential considerations" rather than constitutional ones prevented allowing the attorneys to assert the prisoners' rights. They said the attorneys had an economic interest in the issue because they "would earn less for representation of indigent appellants than they earned in years prior to the cutback on state-funded appeals." They also asserted that the distinction between existing and prospecting clients was unwarranted since in many cases prospective sellers (such as the beer vendor in Craig, the schools in Pierce, etc.) were allowed to assert the rights of hypothetical customers. As for the hindrance issue, they took issue with the majority's assertion that indigent, uneducated defendants would not face serious obstacles to acting pro se.

Organizational standing

Many organizations, such as trade unions, can also assert third party standing to represent their members. In Hunt v. Washington State Apple Advertising Comm. (1977), [25] the United States Supreme Court held that an association has standing to bring suit on behalf of its members when its members would otherwise have standing to sue in their own right, the interests it seeks to protect are germane to their organization's purpose and neither the claim asserted, nor the relief requested, requires the participation of individual members in the lawsuit.

There are exceptions to the Third Party Standing rule, such as overbreadth [26] and vagueness. [27]

Third-party standing in intellectual property law

In patent and copyright cases, courts have at times allowed third-party standing to would-be sellers of goods or services to possessors of rights under patent or copyright law who were not situated in a way to assert the rights themselves.

For example, the owner of patented equipment (such as part of a car) has a right to repair it to keep it in good order. The US Supreme Court has held that a vendor of parts needed for this purpose may assert that right in defense against an infringement claim by the holder of patent rights on the equipment. [28] Thus. US patent law permits a third party to assert the repair rights of the non-party owner of those rights.

In the UK, where such parts may be protected by a copyright on the drawings for the parts, the House of Lords has held that the doctrine against derogation from grants may be invoked by a seller of spare parts (such as a tailpipe for a car). [29]

Similarly, in cases of unlawful patent tying the courts allow interloping would-be suppliers of the tied article to assert the rights of purchasers of the product subjected to the tie in order to aid them to escape from the tying. [30]

On the other hand, in Helferich Patent Licensing, LLC v. New York Times Co., [31] the Federal Circuit denied standing to assert the exhaustion doctrine to a seller of services (Internet news stories) to purchasers of patented equipment (smartphones) on two principal grounds:

First, the defendant seller was not itself a purchaser from the plaintiff patentee. The court ruled that the exhaustion doctrine may be asserted only by an "authorized acquirer" — one who purchases the patented article from the patentee or its authorized seller. Thus, this court opined that third-party standing did not exist.

Second, the defendant did not show that the claims it was accused of infringing were licensed to and used by the purchasers of patented equipment. The patent claims in that case had been drafted so that one set of claims covered sending Internet stories to smartphones and a different set covered receiving stories. [32] The defendant was accused of infringing the first set, but the smartphone purchasers and the licensed smartphone manufacturers who sold to them used the second set. The court said that the defendant had not shown that the licensed claims embodied substantially the same invention as the patent claims under which the defendant was sued, so that the exhaustion doctrine did not apply. This is a ruling that the exhaustion doctrine does not apply in these circumstances rather than a ruling on standing.

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Bobbs-Merrill Co. v. Straus, 210 U.S. 339 (1908), was a United States Supreme Court decision concerning the scope of rights accorded owners of a copyright versus owners of a particular copy of a copyrighted work. This was a case of first impression concerning whether the copyright laws permit an owner to control a purchaser's subsequent sale of a copyrighted work. The court stated the issue as:

Does the sole right to vend secure to the owner of the copyright the right, after a sale of the book to a purchaser, to restrict future sales of the book at retail, to the right to sell it at a certain price per copy, because of a notice in the book that a sale at a different price will be treated as an infringement, which notice has been brought home to one undertaking to sell for less than the named sum?

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The exhaustion doctrine, also referred to as the first sale doctrine, is a U.S. common law patent doctrine that limits the extent to which patent holders can control an individual article of a patented product after a so-called authorized sale. Under the doctrine, once an authorized sale of a patented article occurs, the patent holder's exclusive rights to control the use and sale of that article are said to be "exhausted," and the purchaser is free to use or resell that article without further restraint from patent law. However, under the repair and reconstruction doctrine, the patent owner retains the right to exclude purchasers of the articles from making the patented invention anew, unless it is specifically authorized by the patentee to do so.

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Harrison v. NAACP, 360 U.S. 167 (1959), is a 6-to-3 ruling by the Supreme Court of the United States which held that the United States District Court for the Eastern District of Virginia should have abstained from deciding the constitutionality of three barratry, champerty, and maintenance laws in the state of Virginia until state courts had had a reasonable chance to construe them.

NAACP v. Button, 371 U.S. 415 (1963), is a 6-to-3 ruling by the Supreme Court of the United States which held that the reservation of jurisdiction by a federal district court did not bar the U.S. Supreme Court from reviewing a state court's ruling, and also overturned certain laws enacted by the state of Virginia in 1956 as part of the Stanley Plan and massive resistance, as violating the First and Fourteenth Amendments to the United States Constitution. The statutes here stricken down by the Supreme Court had expanded the definitions of the traditional common law crimes of champerty and maintenance, as well as barratry, and had been targeted at the NAACP and its civil rights litigation.

Patent infringement in Canadian law

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References

The citations in this article are written in Bluebook style. Please see the talk page for more information.

  1. E.g., Kowalski v. Tesmer, 543 U.S. 125, 129 (2004) ("We have adhered to the rule that a party ‘generally must assert his own legal rights and interests, and cannot rest his claim to relief on the legal rights or interests of third parties.’ ”).
  2. Barrows v. Jackson, 346 U.S. 249 (1953).
  3. See Joint Anti-Fascist Refugee Comm. v. McGrath, 341 U.S. 123, 149-154 (1951) (concurring opinion).
  4. See Coleman v. Miller, 307 U.S. 433, 464 (1939)(concurring opinion).
  5. See Ashwander v. TVA36, 297 U. S. 288, 346-348 (1936) (concurring opinion).
  6. Barrows v. Jackson, 346 U.S. 249 (1953).
  7. Barrows at 257.
  8. 268 U. S. 510 (1925).
  9. Pierce at 534-535.
  10. Barrows at 259.
  11. 357 U.S. 449 (1958).
  12. 381 U.S. 479 (1965).
  13. 429 U.S. 190 (1976).
  14. Craig at 194.
  15. Craig at 196.
  16. 543 U.S. 125 (2004).
  17. Kowalski at 130.
  18. Kowalski at 131.
  19. Kowalski at 132.
  20. Craig v. Boren, 429 U.S. 190, 192-197 (1976).
  21. Powers v. Ohio, 499 U.S. 400, 410-416 (1991).
  22. Carey v. Population Services Int'l, 431 U.S. 678, 682-684 (1977).
  23. Eisenstadt v. Baird, 405 U.S. 438, 443-446 (1972).
  24. Barrows v. Jackson.
  25. 432 U.S. 333, 343 (1977).
  26. " Ordinarily, challengers to a law are not permitted to raise the rights of third parties and can only assert their own interests," but so-called "overbreadth is an exception to the usual rules of standing." See generally Monaghan, Third Party Standing, 84 Colum. L. Rev. 277 (1984); Note, Standing to Assert Constitutional Jus Tertii, 88 Harv. L. Rev. 423 (1974). But see Monaghan, Overbreadth, 1981 Sup. Ct. Rev. 1 (arguing that overbreadth involves first-party, not third-party standing, because the litigant's own conduct may only be regulated by a valid rule of law).
  27. K. M. Sullivan and G. Gunther, Constitutional Law 1335 (15th Ed. 2004).
  28. Aro Mfg. Co. v. Convertible Top Replacement Co. , 365 U.S. 336 (1961); see also Aro Mfg. Co. v. Convertible Top Replacement Co., 377 U.S. 476 (1964).
  29. British Leyland Motor Corp. v. Armstrong Patents Co. , [1986] 1 All ER 850, [1986] AC 577 (H.L.). Lord Bridge observed in his speech in that case, “What the owner needs, if his right to repair is to be of value to him, is the freedom to acquire a previously manufactured replacement exhaust system in an unrestricted market.”
  30. E.g., Morton Salt Co. v. G. S. Suppiger Co., 314 U.S. 488, 494 (1942). The Supreme Court said in that case that the reason for allowing interloping suppliers to assert the illegality of a tie-in as a bar to recovery of infringement damages against them when the patentee imposing the tie sues them for patent infringement is this: "It is the adverse effect upon the public interest of a successful infringement suit in conjunction with the patentee’s course of conduct which disqualifies him to maintain the suit."
  31. 778 F.3d 1293 (Fed. Cir. 2015).
  32. The Federal Circuit remarked that Helferich’s counsel's drafting efforts "reflect[s] painstaking efforts to distinguish the conduct of handset makers and possessors from the conduct of others, such as content providers, and to distinguish claims practiced by the former from claims practiced by the latter." 778 F.3d at 1297.