September 13, 2009

Where to Buy Loan Modification Leads

We have been doing case study upon case report comparing different types of leads, their origins and how advantageously they perform from a closing ratio aspect. Hands down, the best leads with the highest conversion ratios are loan mod live transfer leads. Of course our report was only for a loan mod. Numerous other types of leads work well for other industries. One of the best aspects of the live transfer leads is that the lead was originated genuinely from an inbound call by a consumer. If you think about this for a second, this is a huge advantage over other lead sources as they are typically generated via an outbound call through a telemarketer or auto-dialer. When a consumer sees a tv advertisement and they trust it enough to call the toll free phone number, most of the difficult sales process of closing a customer has been taken care of. There are no questions of who you are, why you are calling or how you got their number. You also do not have to deal with DNC numbers. When you purchase live transfer leads, there are no fake leads and there are no issues of the lead being sold to many other brokers. It is simply your loan modification live transfer lead that called you for your modification service.

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March 29, 2009

Zimmer Durom Cup Hip Lawsuits Not Superb for Patients

Alot of implant recipients who experienced zimmer lawsuit used in their hip replacement surgical operations are learning that there are negative effects that far surpass the typical expectations for recuperation. These patients are experiencing a lot of additive pain for longer time periods, required to undergo revision surgical procedures and magnified medical expenses, and losing income by being taken out of the workplace at their normal jobs. Although Zimmer Holdings, Inc. is demanding that that their implant could never be imperfect and have basically denied blame for the surgical failures, several patients are filing cases against them and taking settlements.

In the month of October, 2008 Zimmer declared that it had reserved $47.5 million to compensate for claims they had received. Many doctors are not convinced that the zimmer hip implant is not the problem as the company has publicly stated. In fact, when Zimmer tendered online training to docs in order to teach them what was supposedly more correct methods for performing the implant surgical operation, approximately half of the doctors refused to participate. Therefore, the entire situation proceeds to be disagreeable for all parties participating, but none more than the hundreds of implant recipients who are required to undergo revision operation due to problems with their implant experiencing looseness from the socket.

These hurt individuals definitely merit some help and compensation which is the reason product liability attorneys are encouraging them to file a lawsuit. zimmer hip implants has been paying some of these claims, too. Even So, even if the payoff they are being offered seems like a lot to them, in most cases implant recipients are resolving too quickly and with no provision being made for on-going problems down the road. If they don’t wait to find out what cases are actually going to be worth, people might find themselves paying thousands of dollars out of their own funds when further complications return.

For anyone who realizes they may have a claim against Zimmer needs to start checking into it. If you imagine you might qualify, you should telephone a lawyer to be certain. Look for a lawfirm that operates across the country and focuses on processing litigation against defective medical devices. This law firm has gone so far as to setup a special division to research and process claims against Zimmer and win substantial settlements for their customers.

If your orthopedic MD lets you know that you require a revision operation to correct your Zimmer Durom hip replacement device, contact an lawyer as soon as humanly possible.

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March 4, 2009

Lowestoft, Norwich, Great Yarmouth Latest HSE Targets

Several construction sites in the areas of Lowestoft, Norwich and Great Yarmouth will be inspected and investigated by the Health and Safety Department as a part of the new campaign launched by them in a bid to alleviate the number of health and safety related hazards on these sites.

This campaign shall commence on March 9th, after the HSE realized that more than 55 percent of fatalities in Great Britain last year happened on renovation, construction and repair sites.

Close to a thousand sites will be visited across Britain for a detailed investigation for the betterment of the health and safety practices.

Nicola Survey, the Chief Construction Inspector at HSE for the Suffolk and Norfolk divisions, has said that they shall continue their campaign to target contractors, investors on sites which have been ignoring health and safety laws and have promised to take the strictest of actions against offenders.

All construction sites which are subject to work at height needs shall be properly investigated to figure out any lack of precautions being taken. The HSE has strongly warned all construction properties and sites last month asking them to particularly assess risks while working with asbestos.

Making sure your staff and management have appropriate training can help to ensure that your site is fully compliant, find out more about the nebosh training available from Workplace Law Training.

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November 20, 2008

A Baytown Texas lawyer won from a advocate in Minneapolis Minnesota

The Supreme Court has previously recognized that the employer has the burden to establish the BFOQ affirmative defense. In reaching its conclusion that the employer has the burden to prove the reasonable factors other than age defense the Supreme Court looked at another provision of the ADEA the bona fide occupational qualification defense. The United States Court of Appeals for the Second Circuit initially affirmed the jurys findings but after the United States Supreme Court asked it to reconsider the Second Circuit reversed itself and ruled in favor of Knolls. Knolls totaled those scores and gave the employees additional points based on their years of service. The Supreme Court ruled that if an employer seeks to rely on that defense. For example it would not be illegal to consider criteria for a particular role in a movie that has a disparate impact on age if the part calls for someone of a particular age. In other words the ADEA permits employers to discriminate based on age considering age is legitimately necessary under the circumstances. The Supreme Court then agreed to hear the case and eventually reversed the Second Circuit and reinstated the jurys finding that Knolls policy unlawfully discriminated because of age. At the trial a jury found Knolls had violated the ADEA because its layoff procedure had a disparate impact based on age. The BFOQ defense states that it is not unlawful for an employer to take adverse employment actions otherwise prohibited by the ADEA where age is a bona fide occupational qualification reasonably necessary to the normal operation of the particular business. As long as the adverse action is based on reasonable factors other than age. Thirty of the 43 salaried employees the company laid off were at least 57 years old. Twenty-eight of those 49 employees sued under the ADEA claiming Knolls illegally fired them because of their age. It has the burden to prove that its decision was based on a reasonable factor other than age. Specifically the jury found that although the plaintiffs did not prove that Knolls intentionally discriminated against them they did prove that Knolls method of deciding who to lay off disproportionately harmed older workers. In Meacham Knolls Atomic Power Laboratory was planning to lay off a number of employees. It then used those totals to decide who to lay off. In that case Meacham versus Knolls Atomic Power Laboratory the Supreme Court interpreted a provision of the ADEA that permits an employer to take an adverse employment action against an employee. Even if the employment action is otherwise prohibited by the ADEA. A lawyer from Harlingen won from a in Lenexa Kansas The company had its supervisors rate their subordinates based on their performance flexibility and critical skills.

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September 24, 2008

12 Good Reasons To Have An Attorney Before You Sign And Submit A Purchase Offer

Every home buyer needs an attorney BEFORE they write any offers on property. Why? Well, you are entering into a binding contract with a home seller for starters and any time you enter into a contract it makes sense to have legal counsel represent you. Many may think they don’t need an attorney to write an offerand that is where a LOT of home buyers make the first mistake. Here is just one area about purchasing a home you need to think abouta clear and marketable title on the property. That’s right, although title examination is an extremely boring topic it carries massive weight in the overall investment satisfaction process. Here are a few examples of why title examination performed by YOUR attorney is so important:

A house may seem like the perfect investment in appearance and location but there may be hidden defects that diminish its value. For example, there may be a right-of-way over the land that permits someone to drive across the property or zoning regulations that allow factories and other commercial property to be built close by. There may be other restrictions affecting the use or ownership of the property like back taxes, mechanics liens, or defects in the physical property itself. There are a wide variety of title issues to consider that could impact the property and only your attorney, the one that represents you, can perform the title examination that represents your best interestsnot the seller, not the lender, yours. You need to answer a few questions:

1. Are there any serious defects with the property? Have you gotten a seller disclosure form from seller before your sign and submit an offer?

2. Do you know exactly what property comes with the home both real and personal?

3. What zoning regulations affect the property?

4. Are there any easements or restrictions on the property?

5. How are current real estate taxes and current assessments to be prorated?

6. Are there mechanic liens or other monetary liens against the property?

7. Is the seller to furnish a marketable title?

8. What kind of deed must the seller give?

9. What type of title evidence is to be furnished and who pays for it?

10. What inspections should be made to the property and who pays for them?

11. Has your attorney approved your purchase offer before you sign it?

12. Have you checked with your state department of commerce regarding seller disclosure forms? Have you contacted the state bar association for a referralto a real estate attorney in your area?

The list goes on and on why a home buyer needs an attorney. Don’t be penny wise and pound-foolish. Once you have signed an offer and it is accepted by a seller, there is little an attorney can do to help you. The best time to see a lawyer is BEFORE you sign anything! This article is not intended give legal advice but it is intended to stress the importance of having a qualified real estate attorney represent you before, during and after a real estate transaction.

Want some advice? Go to our website, go to the Freebies section and download the Ebook 101 Tips Agents Won’t Tell Home Buyers or Sellersit will help you represent yourself more intelligently and it’s free. Enjoy! Jim hart

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James W. Hart, IV
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What is the Difference Between a Power Of Attorney and a Guardianship? Which is Appropriate for Some

A power of attorney is a legal document in which one person (the principal) authorizes another (the agent) to act on his/her behalf. Financial powers of attorney allow your agent to make decisions regarding your property. Healthcare powers of attorney allow your agent to make decisions regarding your health care needs.

A power of attorney permits you to appoint someone else to manage your financial and business affairs when you cannot do it yourself anymore.

This document can be a lifesaver when crisis situations occur after an accident or illness. The agent can do whatever the document allows, such as withdraw bank funds, pay bills, cash checks, and buy and sell real estate. The power of attorney is less costly and more private than a guardianship.

Guardianship, on the other hand, is a legal relationship whereby a probate court gives a person (the guardian) the power to make personal decisions for another (the ward).

A family member or a friend can initiate the proceedings by filing a petition in the probate court in the county where the individual resides. A medical examination by a licensed physician may be necessary to establish the individual’s condition. A court of law will then determine whether the person is unable to meet the essential requirements for his/her health and safety.

A conservatorship is a legal relationship whereby the probate court gives a person (the conservator) the power to make financial decisions for another (the protectee). The court proceedings are very similar to those of a guardianship except the court determines whether an individual lacks the capacity to manage his or her financial affairs. If so, the court appoints a conservator to make monetary decisions for the individual. Often the court appoints the same person to act as both guardian and conservator for the individual. Like the guardian, the conservator is required to report to the court yearly.

With all this in mind, you should evaluate your situation. What would you do if you could no longer handle your own affairs? You may want to consult with an attorney specializing in Elder Law, who will be able to assist you and advise you in this matter. By doing this now when you still have the time, you will save yourself and your loved ones heartache and financial expenses in the future.

About The Author

William G. Hammond, JD is a nationally known elder law attorney and founder of The Alzheimer’s Resource Center. He is a frequent guest on radio and television and has developed innovative solutions to guide families who have a loved one suffering from Alzheimer’s. For more information you can visit his website at www.BeatAlzheimers.com.

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September 22, 2008

Law School Course Outline for Employment Discrimination Law

EMPLOYMENT LAW: http://riskmgmt.biz/cle.htm/

Abbreviations used:

NS = Nutshell on Federal Employment Discrimination Law

ER = Employer, EE = Employee, ENT = Employment, K = contract,

pfc = prima facie case, legitimate nondiscriminatory reason = LNR / NDR = nondiscriminatory reason.

PART ONE: PROTECTING EMPLOYEES FROM STATUS DISCRIMINATION
Chapter 1: Paradigms for Status Discrimination

A. Introduction

Note on Title VII of the Civil Rights Act of 1964 and other Federal Initiatives Against Race Discrimination in Employment Triumph of morality.

We distort the natural freedom of the labor market unlike other markets. How can this sacrifice of freedom be justified?

THREE IMPERFECTIONS in the LABOR MRKT: 1) lack of information; 2) immobility – accute for 2nd wage earner, family with illness & health insurance tied to employer; 3) “sunk cost” of experience

The workplace has become a primary social community in addition to an economic relationship. EEs gain personal satisfaction, emotional / psychological gratification. The labor market is not necessarily “free and efficient.” ENT = more than just cash. People will not necessarily change jobs just to get a little more money. Noneconomic variables influence job selection and utility maximization.

Social Service Safety Net in USA – compares unfavorably to other industrialized nations. Presumes people prefer to work over unemployment.

Common Themes

1. Why are we using law at all to regulate a relationship that is primarily economic? (why not let ENT markets operate alone? )

a. To help diminish fraud in civil society and protect the unwary who cannot protect themselves (this is a limited answer)

b. Further dimension that transcends simple economics–E powerful psychological component: we define ourselves by our work.

c. Market for labor is vastly different than other commodities market. Info is different and people do not behave rationally in terms of economic factors. Microeconomic model is not strictly applicable.

Goals of Title VII: 1) Neutrality in hiring and promoting employees – alter current practices, and 2) Remediation – correct past wrongs, that is the justification for the impact portion. 42 U.S.C. Section 2000e

Extends anti-discrimination to private sector employers

Seeks to promote economic integration of blacks into society

Covers all private employers with 15 or more employees and all government employers, state, federal and local.

The Civil Rights Act of 1964, Section 703(a)

(codified at 42 USC Sections 2000e-2000e-17) – very sweeping prohibition

It shall be an unlawful ENT practice for an ER–

(1) to fail to refuse to hire or to discharge any individual or otherwise discriminate against individual with respect to his compensations, terms, conditions, or privileges of ENT, because of such individual’s race, color, religion, sex, or national origin; or

(2) to limit, segregate, or classify his EEs or applicants for ENT in any way which would deprive or tend to deprive any individual of ENT opportunities, or otherwise adversely affect his status as an EE, because of such individual’s race, color, religion, sex or national origin.

Also covers discrimination against whites & men. Compels neutrality.

Remember that Title VII depends for its enforcement on private actions by EEs. Congress relied on the private bar to represent (vindicate) those injured. This was a policy choice: using private rights to enforce public scheme requires Low Threshold to prove case (to keep the cases in court). [gets around 12(b)(6) motions] Makes it possible for plaintiff to get to court, stay in court, and pay attorneys – fee shifting for prevailing plaintiff.

B. Proving Individual Disparate Treatment

Main Inquiry in intentional discrim. cases: What was the ER’s motive?

Under McDonnell Douglas, prima facie case creates the inference that the Defendant was motivated by an impermissible factor.

3-Step analysis (NS p. 70)

1. Plaintiff creates initial inference of illegal motivation by proof that as a member of a protected class, he was treated differently than a similarly situated person of another class. If proven, go to #2

2. Defendant has burden of articulating a legitimate, nondiscriminatory reason (LNR) for the treatment. (McDonnell Douglas); NOTE: Defendant’s burden is NOT of persuasion–it is to produce evidence from which lawful motivation could be inferred (Burdine). Defendant must prove that the employee hired was “better qualified.” If Defendant fails to present such reasons, judgment must be for Plaintiff.

3. If Defendant produces a LNR for its action, Plaintiff has burden to present evidence of a pretextual nature of Defendant’s articulated reason. If π fails to produce proper evidence, judgment for Defendant. BUT, if Plaintiff produces sufficient evidence to raise an issue of fact as to Defendant’s motivation, this evidence brings into focus the ultimate factual issue, namely Defendant’s true motivation. Plaintiff carries the burden of persuasion (preponderance of the evidence) that Defendant was illegally motivated.

Cases:

McDONNELL DOUGLAS v. GREEN, 93 S. Ct. 1817 (1973) Green was a long-time civil rights activist. Defendant laid off Plaintiff, a mechanic, as a part of a general reduction in the workforce. Plaintiff protested that his firing and some of Defendant’s other practices were racially motivated. In protest, Plaintiff and others engaged in a “stall-in” including unlawful trespass. Shortly thereafter, Defendant announced job openings. Plaintiff re-applied. Defendant rejected Plaintiff’s application citing his participation in the stall-in and lock in. Plaintiff filed complaint with EEOC claiming violations of Sections 703(a)(1) and 704(a)–the latter section makes it unlawful to discriminate (retaliate ‘ 704) ag. someone “because he has opposed any practice made an unlawful ENT practice by this subchapter.” EEOC found no probable cause to believe there was a violation of the Act and the trial ct. held that the EEOC finding barred suit. 8th Cir. Ct. of Appeals reversed, Supreme Court affirmed, and this remains the law today: The fact that the EEOC does not issue a right to sue letter does not bar suit under Title VII. (Filing of Title VII EEOC charge is a prerequisite for going to court; EEOC – mediate and merit determination)

Procedural Framework articulated by the Supreme Court in McDonnel Douglas:

1. Plaintiff must carry an initial burden of establishing a prima facie case of racial discrimination by showing:

a. that he belongs to a protected class;

b. that he applied for and was qualified for a job for which the ER was seeking applicants;

c. that despite his qualifications, he was rejected, and,

d. that, after his rejection, the position remained open and the ER continued to seek applications from persons of π’s qualifications.

The prima facie showing allows the Plaintiff to stay in court; it is circumstantial evidence tending to give rise to the inference that race (or another impermissible quality) was a motive in the ENT decision. ER acted in a way not economically explicable.

2. If π establishes a prima facie case, the burden shifts to Δ to articulate a legitimate, nondiscriminatory reason. “Evidence that would allow inference of a nondiscriminatory reason” – low threshhold for ER.

Do not want to give ER incentives to hire on the basis of race – to pick among equally qualified candidates – just to avoid lawsuits.

If the Defendant establishes a reason with admissible evidence that IF BELIEVED, would explain the action, then the presumption is rebutted. The reason asserted by the employer need not be believed at this time. Ct takes the assertion AS IF BELIEVED. Credibility is not an issue until the trial.

Only burden of production on defendant. Burden of persuasion remains with the plaintiff throughout.

3. If Defendant gives a LNR, then Plaintiff must have a fair opportunity to prove that the articulated reason was pretext for discrimination. Burden then back on Plaintiff, with preponderence of the evidence.

what is the main thing this case shows: how the burden of proof shifts around in a Disparate Treatment case.

how demanding is the prima facie case requirement: not very demanding at all. The threshold is set low on purpose by statute.

why is the requirement that the plaintiff be in a protected class not demanding: since the statute prohibits all discrimination on race, sex, etc., everyone is really in a protected class. (?)

If, after a discrim. suit has been filed against it, the ER articulates a LNR for the decision, the π then presents additional evidence of discrimination which convinces the trier of fact that the π was discriminated against, it does not matter that the Plaintiff initially did not satisfy the 4 McDonnel-Douglas factors. (See U.S. Postal Board v. Aikens 460 US 711 (1983)).

TEXAS DEPT. of COMMUNITY AFFAIRS v. BURDINE, 101 S. Ct. 1089 (1981) (p. 30) TDCA hired Burdine. Burdine failed to receive a promotion and was fired. ER’s LNR: Burdine was abusive to customers. Although she was subsequently rehired, she sued under Title VII alleging gender discrimination. District Court found for Defendant(ER). Court of Appeals reversed on the ground that Defendant failed to prove by a preponderance how its articulated reason rebutted Plaintiff’s prima facie case. Reversed for EE. SCt. rejects 5th Circuit reasoning.

Issue: Does Defendant have the burden of persuasion as to the legitimacy of its articulated reason? NO.

Holding: Once a Plaintiff proves by a preponderance of the evidence, his prima facie case (pfc), then the burden shifts to the ER, not to prove but to rebut the pfc by producing evidence that its action was for a LNR.

Title VII does not require an employer to hire or promote a minority or woman over an equally qualified white male. ER may use any valid (constitutional) reason to select a candidate for a given position.

The ultimate burden of persuasion remains with the plaintiff at all times.

Once the presumption is established, the Defendant rebuts with the assertion of any other reason which is assumed to be believed. The ER did not bear the burden of persuading the court that it was motivated by its proffered reason; ER need only raise a “genuine issue of material fact as to whether it discriminated ag. the Plaintiff.”

The Plaintiff then has the burden of showing the reason cited is erroneous and pretextual OR showing direct evidence of discriminatory motive. NOTE: if there is direct evidence it will be in the prima facia case and will usually result in settling.

If the reasons shown for the action are pretextual, the court assumes the Δ is hiding the real reason which is presumed to be illegitimate, i.e., discriminatory. Here is where the credibility of the asserted reasons for the action become an issue. NOTE: we still do not know the real motive, there is only the inference that it is illegal.

If there is direct evidence of illegal motive, then even if there were other justifiable reasons, the action is not allowed.

Thus, at stage two the ER “must clearly set forth, through the introduction of admissible evidence, the reasons for Plaintiff’s rejection. The explanation provided must be legally sufficient to justify a judgment for the Defendant. If the Defendant carries his burden of production, the presumption raised by the pfc is rebutted, and the factual inquiry proceeds to a new level of specificity.”

According to Burdine, the purpose for placing this burden of production on the ER at this early point is to sharpen the factual inquiry and aid the Plaintiff in the burden of showing pretext. (This goal may be sharply undercut by St. Mary’s Honor Center, below)

Policy:

1. 5th Cir. approach would have required ERs to hire a minority applicant anytime they were equally qualified with other candidates.

2. Congress did not intend to grant such preferential treatment.

3. ERs would be tempted to discriminate against whites or males just to avoid the cost of the lawsuits.

ST. MARY’S HONOR CENTER v. HICKS, 113 S.Ct. 2742 (1993) (PRETEXT case: impeach D’s articulated NDR for motivation) Hicks, black, was employed by a Missouri half-way house in a supervisory capacity. He had a new boss and got fired. Hicks was replaced by a white male. Hicks proved a prima facie case. ER articulated these nondiscriminatory reasons for the decision: (1) the severity of his workers’ misconduct; (2) quantity of their misconduct. Hicks proved he was the only one fired for the conduct of people supervised, that people he supervised were not disciplined, and that those workers’ conduct was not severe. D.Ct. found that Hicks had proved that the ER’s reasons were pretext. But, the court said that it still did not believe that the firing was racially motivated (personal vendetta, not racial vendetta). Judgment for Defendant/ER. Ct./Ap. rev’d saying that, upon finding of fact of pretext, Plaintiff wins in a Title VII case.

Issue: Does the Court’s rejection of the asserted NDR by the employer mandate judgment for Plaintiff? NO (5-4 decision). Alt: Does P win upon proof of pretext but not pretextual discrimination? NO

RULES: (1) Even if the Plaintiff proves a prima facie case and that the ER’s articulated reasons are pretext, he still may lose on the ultimate question of racial motivation.

(2) Nothing in the law permits substituting for the required finding that employer’s action was product of unlawful discrimination, the much different (and much lesser) finding that ER’s explanation of its action was not believable.

(3) ER’s burden at Stage 2 is only the burden of PRODUCTION. The McDonnel-Douglas pfc raises a Fed. R. Evid. 301-type presumption of discrimination. THUS if a Plaintiff proves a pfc by a preponderance of the evidence, and the ER meets the burden of production of articulating LNR for the decision, and these reasons are DISbelieved by the trier of fact, the Plaintiff nonetheless has the burden of proving by a preponderance of the evidence that the ER unlawfully discriminated. (It is possible for a Plaintiff to present a pfc, discredit the ER’s articulated reasons and STILL lose Disparate Treatment claim–this is what happened to Hicks.)

(4) π then has the burden of rebutting the ER’s stated reason (this burden “merges” with the ultimate burden of proof to show intentional discrimination).

St. Mary’s explains the issue in the procedural context of a π’s motion for directed verdict: “If a Defendant has failed to sustain its burden but reasonable minds could differ as to whether a preponderance of the evidence establishes a pfc, then a question of fact does remain, which the trier of fact will be called upon to answer.”

(5) As the Supreme Court said “although [respondent/π] has proven the existence of a crusade to terminate him, he has not proven that the crusade was Racially Motivated.” (quoting the D.Ct.) It was significant to the D.Ct. and the Supreme Court noted that there were blacks on the review committee and the number of blacks remained constant. (Personal vendetta but not racial vendetta)

Thus, the π cannot succeed INDIRECTLY; a showing of pretext requires a showing of “pretext for discrimination.” “It is not enough . . . to disbelieve the ER; the fact finder must believe the π’s explanation of intentional discrimination.

The rebuttal of the reasons given only proves that they were false, not that discrimination was the real reason. The π must still meet this burden. The trier of fact must decide, and evidence that the employer gave false reasons CAN lead to the inference that there was discrimination, it is not so as a matter of law. This gives great discretion to the trier of fact. In this situation, most of the time the Plaintiff will win.

The motive for the firing remains a mystery, it is only determined what it is not. In this case we can assume that the π was a jerk and for some reason the Defendant did not have enough evidence or chose not to use this as a defense, however, we can assume the judge saw it.

(Pat liked the dissent by Souter: If D gives a false reason, then the court has an even greater reason to grant P’s inference of bad motive than from P’s prima facie case).

Does St. Mary’s v. Hicks gut Burdine? No–mostly you will win by showing that reasons are pretextual.

Burdine says that the Plaintiff can “succeed in this either directly by persuading the court that a discriminatory reason more likely motivated the ER or indirectly by showing that the ER’s proffered reason is unworthy of credence.” In other words, the π can either show pretext OR rebut the ER’s evidence of nondiscrimination. St. Mary’s labels this dictum contradictory and inexplicable and makes clear that a Title VII Plaintiff must prove his case, not just disprove the ER’s articulated reasons. After St. Mary’s, Plaintiff cannot win INDIRECTLY.

Burdine contemplates that there will rarely be direct evidence. Case will almost always revolve on facts that the employer knows but does not want discovered and the Plaintiff does not know but needs to prove.

PRICE WATERHOUSE v. HOPKINS, 109 S.Ct. 1775 (1989) (p. 38) – MIXED MOTIVE CASE. π worked for Δ for 5 years when she was proposed for partner. Denied partnership b/c not feminine enough. Good Motive: Interpersonal skills lacking, gruff, demanding. Bad Motive: Treated her different because she was a woman; conduct tolerated in men was penalized in women. Ct. of Appeals held that Defendant could prevail by proving by clear and convincing evidence that it would have made the same decision without regard to gender.

Issue: Is Title VII violated where both a discriminatory and legitimate motive lies behind an ENT decision? YES.

Rule: “Once a π in a Title VII case shows that a factor (gender) played a motivating part in an ENT decision, the Defendant may avoid a finding of liability only by proving by a preponderance of the evidence that it would have made the same decision even if it had not allowed the factor (gender) to play such a role.”

O’Connor’s concurrence wanted Plaintiff to show that an impermissible category was a substantial motivating factor – this change abrogates that difference. This decision was a plurality, so the answer is not entirely clear: a factor or a substantial factor.

Note: However, the Civil Rights Act of 1991 addresses the issue: new section 703(m) says that the statute is violated if race etc “was a motivating factor for any ENT practice, even though other factors also motivated the practice.” If so, a violation is established.

HOWEVER, if the ER shows that “it would have taken the same action in the absence of the impermissible motivating factor” then the π is not entitled to damages or reinstatement; the court may only order Declaratory or Injunctive relief and attorneys fees directly related to the 703(m) claim. (see 706(g)(2)(B)).

Basically, “a” motive violation may allow judicial relief rather than allowing ER to escape from liability. Burden of proof is on ER to prove affirmative defense. How? Strong evidence of consistent behavior with respect to this conduct, e.g., we take affirmative steps to catch any cashier stealing money, not just this particular cashier; we always fire those discovered.

CRA of 1991 makes punitive damages available – previously had not been.

EzineArticles Expert Author Dr. Michael A. S. Guth

Dr. Michael A. S. Guth, Ph.D., J.D., is a practicing attorney at law based in Oak Ridge, Tennessee. He has taught two continuing legal education seminars on Employment Discrimination Law from which this course outline is derived. It was also taken from class notes on Employment Law taught at the University of Tennessee College of Law. He also teaches courses on-line at the undergraduate and graduate level, including courses in corporate tax. For additional information, please see the web page http://riskmgmt.biz/

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September 19, 2008

Patent – History Of U.S. Patent Office

In this article we’re going to do a brief historical review of the United States Patent Office.

The first national patent system was influenced by Thomas Jefferson in 1790. This was actually added to the United States Constitution in order to protect the rights of inventors. From this began the growth of the American corporation. Even though the original thirteen colonies has individual patent laws it wasn’t until this constitutional act that the patent system became uniform for everyone.

Actually, the modern concept of the patent itself was established in Great Britain in the year 1449. That year King Henry VI issued a patent to John of Utynam for stained glass manufacturing. The actual history of the English patent system is important for understanding the patent system of the United States but is not the focus of this article. There are plenty of documents online where this information can be found.

In the United States, congress actually passed several patent acts; one in 1790, one in 1793 and one in 1836. Each act added different things to the patent system as we know it today.

The patent act of 1790, the one influenced by Jefferson, required that all applications for patents had some kind of model, whether it be a drawing or prototype, to go along with the application. This was because Jefferson believed ideas should not be patentable.

The patent act of 1793 was actually a revision of the patent act of 1790 due to some differences of opinions between Jefferson and Alexander Hamilton who wanted to add provisions for overlapping patents, where two inventors applied for the same or similar patents. The act of 1793 created a patent board that was responsible for issuing patents. A two-thirds majority of the board, made up of the Secretary of State, Attorney General, and Secretary of War, would be required to issue a patent. This act was passed largely because of complaints by inventors that the act of 1790 was not sufficient to protect their rights as inventors.

It wasn’t until the patent act of 1836 that the United States Patent Office was actually established. The patent office was created primarily because of the inefficiency of the other two acts in processing patents. Henry Ellsworth was mostly responsible for establishing this act. He was also appointed the first commissioner of patents.

Through this act a system was created for distributing new patents to libraries in every state. This way it would be easy for an inventor to research whether or not a patent existed for a particular invention. This would save the inventor a great deal of time applying for a patent that he couldn’t get because it was already issued.

Much has changed in the patent office since those early days. What once took a relatively short period of time now takes years as far as securing a patent. Many times a patent isn’t issued until long after the technology has been around for quite some time. Unfortunately in the current climate and with the rate of technological advances increasing everyday, patents are now viewed as nothing more than a bargaining chip in a court of law.

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