Student Note on "Cultural Revival in the New Libya"

Kim Lee has authored a student note entitled “The Amaigh’s Fight for Cultural Revival in the New Libya: Reclaiming and Establishing Identity Through Antiquity“, 11 Seattle Journal for Social Justice 1 (2012). From the introduction:

A look at the Amazigh and the ongoing conflict in Libya illustrates this issue. This article seeks to investigate the problems that are caused by a lack of governing laws and conventions by using the Amazigh as a lens into the issue, and to serve as a catalyst for further exploration of the subject. This article’s primary purpose is to draw attention to the debate about indigenous antiquities and cultural property, while acknowledging that events surrounding the debate are constantly developing. More specifically, this article asserts four main points. First, because indigenous communities are already underrepresented in their societies, a barrier is created that prevents the recognition of threats to their archaeological artifacts and cultural property. Second, there is often a dearth of information associated with antiquities of indigenous communities, making current bodies of law difficult to apply. Third, even if such information were available, current international law is still inapplicable because it is seriously inadequate when it comes to addressing indigenous artifacts and cultural property. And fourth, the complex nature of But very few of these conventions and treatises address indigenous antiquities and cultural property. This is especially true when an indigenous community has been oppressed by a governing regime that is later overthrown, and when specific information regarding the indigenous community’s antiquities is difficult to obtain or perhaps even nonexistent. Given the large number of indigenous communities in the world, this is an issue that must be addressed. A look at the Amazigh and the ongoing conflict in Libya illustrates this issue. This article seeks to investigate the problems that are caused by a lack of governing laws and conventions by using the Amazigh as a lens into the issue, and to serve as a catalyst for further exploration of the subject. This article’s primary purpose is to draw attention to the debate about indigenous antiquities and cultural property, while acknowledging that events surrounding the debate are constantly developing. More specifically, this article asserts four main points. First, because indigenous communities are already underrepresented in their societies, a barrier is created that prevents the recognition of threats to their archaeological artifacts and cultural property. Second, there is often a dearth of information associated with antiquities of indigenous communities, making current bodies of law difficult to apply…

Questions or Comments? Email me at derek.fincham@gmail.com

Student note on using the first amendment to protect uncommissioned graffiti

Some art by Ack! here in Houston, now painted over

Margaret Mettler, a JD candidate at Michigan Law has posted her student note on SSRN: Graffiti Museum: A First Amendment Argument for Protecting Uncommissioned Art on Private Property, 111 Michigan Law Review 249 (2012). From the abstract:

Graffiti has long been a target of municipal legislation that aims to preserve property values, public safety, and aesthetic integrity in the community. Not only are graffitists at risk of criminal prosecution but property owners are subject to civil and criminal penalties for harboring graffiti on their land. Since the 1990s, most U.S. cities have promulgated graffiti abatement ordinances that require private property owners to remove graffiti from their land, often at their own expense. These ordinances define graffiti broadly to include essentially any surface marking applied without advance authorization from the property owner. Meanwhile, graffiti has risen in prominence as a legitimate art form, beginning in the 1960s and most recently with the contributions of street artists such as Banksy and Shepard Fairey. Some property owners may find themselves fortuitous recipients of “graffiti” they deem art and want to preserve in spite of graffiti abatement ordinances and sign regulations requiring the work’s removal. This Note argues that private property owners who wish to preserve uncommissioned art on their land can challenge these laws under the First Amendment, claiming that, as applied, regulations requiring removal are unconstitutional because they leave the property owner insufficient alternative channels for expression.

An interesting paper. As the value of graffiti increases, the law must catch up to help landowners who want to hold on to it. An idea which runs counter to the municipal ordinances which want to clean it up. The idea of who owns something that has value, but has no owner challenges a lot of the our underlying assumptions about property.

Questions or Comments? Email me at derek.fincham@gmail.com

Shearing on Australia’s Heritage Law Framework

Susan Shearing, a Lecturer at the Australian Centre for Climate and Environmental Law at the University of Sydney has authored “Reforming Australia’s National Heritage Law Framework” in Volume 8(2) of the Macquarie Journal of International and Comparative Environmental Law (2012). (PDF) From the abstract:

It is argued that while some useful initiatives have been adopted in response to the review of the Environment Protection and Biodiversity Conservation Act 1999, the overall response of the Government has been disappointing, focusing on refining procedural frameworks to facilitate a streamlined approach to heritage assessment and approvals rather than substantive reform to the EPBC Act. Further, there has been limited progress in reforming national laws dealing with indigenous heritage, movable heritage and historic shipwrecks.

Questions or Comments? Email me at derek.fincham@gmail.com

Can the Statute of Frauds Impart More Transparency into the Art Trade?

A recent ruling in the New York State court, Appellate Division, has caused quite a stir among folks who follow the art trade.  There has been some initial speculation among observers of the art trade that this ruling may cause the trade to meaningfully shift the way it does business and impart much-needed transparency into the sale of art. Unfortunately the shift is incremental only, and will not in itself change the way the art market does business. Larry Rothfield hopes the ruling “will give policymakers a reason to start thinking more carefully about how that market could and should be regulated in ways that do the most possible to prevent looting of archaeological sites.” Paul Barford similarly  thinks about what this might mean for auction houses and the “old argument that the collecting history has been lost can no longer be believed by those who want to shut their eyes to freshly ‘surfaced’ (from ‘underground’) material.” In reality though, the likelihood that this ruling will have much of an impact on the art trade or the antiquities trade generally remains remote. Here’s why.

The facts of the case are straightforward. A buyer, Albert Rabizadeh, refused to pay the purchase price for a work of art he won at auction, and because the Jenack auction house failed to comply with the Statute of Frauds, the appellate court in New York has held the contract to be unenforceable. The provision at issue is a New York state law known as the statute of frauds. the term stems from a jolly old legal principle which the English Parliament passed in 1677. The original purpose of the law was to prevent fraud from being given legal effect in certain important agreements. It encouraged contracting parties to reduce their bargain to a writing so as to prevent a 17th century jury from enforcing contracts that had never been made. This provision has now been largely done away with under English law, but survives in the U.S. under the Uniform Commercial Code.

Currently the legal safeguards known as the statute of frauds require a signed writing for certain kinds of contracts to be enforced (the sale of goods over $500, the sale of land, contracts that can’t be performed within a year, etc.). The contract at issue in the dispute between Rabizadeh and Jenack was over a silver and enamel box, a Russian work of art, which was bid for $460,000 including the buyers premium. It might have looked something like this.

New York’s state law provision requires that at the time of sale the nature of the property, the terms of sale, the name of the purchaser, and the name of the person on whose account the sale was made shall be entered in something called a sale book. N.Y. Gen. Oblig. Law § 5-701(a)(6)(2012). Both New York and California have enacted these kinds of provisions, and it should be noted these two states surely account for the bulk of the American art market and a substantial share of the world art trade as well. Any changes made to how auctions are conducted in these jurisdictions demands serious attention. General practice in the art trade has been to skirt by and assume that the anonymous number is enough to satisfy the requirement that the seller and buyer are named in writing, and this is the argument the Jenack auction house pressed unsuccessfully on appeal.

The New York court held that the consignor’s number (in this case 428) was not enough to satisfy the plain language of the statute. Now the question becomes, does this ruling require auction houses to reveal the identity of buyers and sellers? Yes, but only to each other. From my reading of the decision, only the auction house, the buyer and the seller would know who each other are. And even so, the only time that this requirement of transparency were to be enforced would be if a buyer refused to pay, as happened here, or if there were some other difficulty with the agreement. There may be other creative steps the auction house could take to ensure buyers who do not pay their winning bids can be removed from the auction process.

All of this would only incrementally shift the needle towards imparting the light of day into the art trade, which is anonymous and involves a labyrinthine set of relationships between all the parties involved. I have been a big advocate of more transparency in the trade, but I do not think this ruling by itself will accomplish much in that regard. At present it seems likely that the auction house, likely joined by others will attempt to appeal this case to New York’s highest court. And even if this ruling were to be upheld it seems likely that that the big auction houses would attempt to have the New York state legislature correct any errors they feel were made. Justice Skelos himself acknowledge this in the opinion:

To the extent that the requirement in General Obligations Law § 5-701(a)(6) that the memorandum contain the name of, rather than an assigned number for, the “person on whose account the sale was made” may be at odds with the general industry practice, and may be burdensome to consignors or auction houses or both, a change in the law to eliminate that requirement may be warranted. However, consideration of the propriety of that change is not for the courts, but rests with the Legislature.

So we will wait then for this dispute to reach a final result, and wait for any potential action by the legislators in Albany. Should more consideration be given to the role of the UCC and the art trade, this would give heritage advocates an opportunity to revisit the current practice of the auction art market, which would be a welcome change.

Finally a quick reply to Tom Flynn, who I’ve never known to have much good to say about lawyers. There’s nothing wrong with that of course, but in this case he badly misses the mark badly. He brandishes a quick indifference to the role of courts and makes the claim that this four-judge panel has dealt a blow to the New York art market and the “judges, largely ignorant of the nuances of the art trade” have done damage here by as he puts it: “sticking their oar in.” If one disagrees with this ruling, the real culprit is the New York state law, which was likely drafted to assist auction houses in using the courts when difficulties arise in an auction. The court merely applied the plain text of New York’s statute of frauds. If one were impolite enough to label anyone ignorant, it would hardly be these judges. If given the opportunity to thoroughly read the court’s straightforward opinion and word his thoughts more carefully one hopes Tom would see that what the New York court has done here is apply the law as it was given to them by the New York legislature.  It was the auction house itself which brought suit, attempting to enforce a bid. I can understand frustration with a result, but judges do not simply pick a tree and grab a rope. They apply the law as it is, to the facts as they are presented.

  1. Jenack Inc. v. Rabizadeh, 2012 NY Slip Op 6211 (2012).
Questions or Comments? Email me at derek.fincham@gmail.com

New Book on the Illicit Trade in Art and Antiquities

I’ve been forwarded information on what looks to be an excellent new work by Janet Ulph and Ian Smith, The Illicit Trade in Art and Antiquities: International Recovery and Criminal and Civil Liability, published by Hart. The publisher has kindly offered readers of this blog a discount. Here are the details:

This new text provides practical guidance on the modern law relating to cultural objects which have been stolen, looted or illegally exported. It explains how English criminal law principles, including money laundering measures, apply to those who deal in cultural objects in a domestic or international setting. It discusses the recovery of works of art and antiquities in the English courts where there are competing claims between private individuals, or between individuals and the UK Government or a foreign State. Significantly, this text also provides an exposition of the law where a British law enforcement agency, or a foreign law enforcement agency, is involved in the course of criminal or civil proceedings in an English court. The growth of relevant international instruments, which include not only those devoted to the protection of mankind’s cultural heritage but also those concerned with money laundering and serious organised crime, provide a backdrop to this discussion. The UK’s ratification of the UNESCO Convention on Means of Prohibiting and Preventing the Illicit Import, Export and Transfer of Ownership of Cultural Property 1970 in 2002 is considered. The problems posed in attempting to curb trafficking in art and antiquities are explored and the effectiveness of the current law is analysed. Janet Ulph is Professor of Commercial Law at the University of Leicester and the main author ofCommercial Fraud: Civil Liability, Human Rights, and Money Laundering (Oxford University Press, 2006).
Ian Smith is a barrister based in London at 11 Stone Buildings, and co-author of Smith, Owen and Bodnar, Asset Recovery: Criminal Confiscation and Civil Recovery (2nd Edition, Oxford University Press, 2007).
 Link to table of contentshttp://www.hartpub.co.uk/pdf/9781841139647.pdf
Oct 2012   352pp   Hbk   9781841139647RSP: £75 / €97 / US$150 / CDN$150DISCOUNT PRICE FOR BLOG READERS: £60 / €78 / US $120 /  CDN $120
http://www.hartpub.co.uk/books/details.asp?isbn=9781841139647
Order OnlineIf you would like to place an order you can do so through the Hart Publishing website (link above). To receive the discount please mention ref:‘ULPH_SMITHBLOG’ in the special instructions field. Please note that the discount will not be shown on your order but will be applied when your order is processed.

Questions or Comments? Email me at derek.fincham@gmail.com

Tushnet on Images in Design Patents

The 1937 design patent for the coke bottle

Rebecca Tushnet of Georgetown Law has an essay titled: “The Eye Alone is the Judge: Images and Design patents“, 19 J. Intell. Prop. L. 409 (2012).

Design patents are an area of intellectual property law focused entirely on the visual, unlike copyright, patent, trademark, trade secret, or the various sui generis protections that have occasionally been enacted for specific types of innovation. Judges and lawyers in general are highly uncomfortable with images, yet design patents force direct legal engagement with images. This short piece offers an outsider’s view of what design patent law has to say about the use of images as legal tools, why tests for design patent infringement are likely to stay unsatisfactory, and what lessons other fields of intellectual property, specifically copyright, might take from design patent.

Questions or Comments? Email me at derek.fincham@gmail.com