Human Rights Watch Film Festival–New York Starts Next Week

The New York iteration of the Human Rights Watch Film Festival will be held June 12-22. A list of films to be screened in New York is available here. HRW explains the goal of the festival: Through our Human Rights Watch Film Festival we bear witness to human rights violations and create a forum for courageous individuals on both sides of...

[David Golove is the Hiller Family Foundation Professor of Law at the New York University School of Law. Marty Lederman is a Professor at the Georgetown University Law Center. This contribution is cross-posted at Just Security.] The Supreme Court has finally issued its decision in United States v. Bond.  Although it appeared the Court might be on the brink of a momentous decision that would have substantially diminished the historical reach of the treaty power, or of Congress’s power to ensure the nation’s compliance with its treaty obligations, none of the radical theories put before the Court attracted more than three votes.  Bond clearly is significant.  But its significance lies not in what the Justices did, but instead in what a majority of them declined to do.  In short, the decision sustained the constitutional status quo. In an opinion written by the Chief Justice, a six-Justice majority did what one of us had proposed (and the other had hoped the Court might do)—namely, to use a plain-statement presumption in order to construe the statute in question so that it does not apply to the discrete conduct involving the two private individuals in this particular case.  The Chemical Weapons Convention, and the federal statute implementing that treaty, were drafted broadly, presumably so that they would not fail to cover the sorts of cases of dangerous use of chemicals that the treaty-makers plainly had in mind.  The result, however, is that the words of the statute, read literally, would also make a federal crime out of virtually any “nonpeaceful” use of toxic chemicals, including all run-of-the-mill poisonings traditionally handled under state law.  This goes well beyond anything that motivated the treaty-makers.  The Chief Justice is surely correct that, notwithstanding the breadth of the treaty and statutory language, “there is no reason to think the sovereign nations that ratified the Convention were interested in anything like Bond’s common law assault.”  The paradigmatic case that the treaty is designed to address, wrote the Chief, is the sort of chemical attack depicted in John Singer Sargent’s haunting 1919 painting “Gassed.”  But as the Chief jibed, “[t]here are no life-sized paintings of [Carol Anne] Bond’s rival washing her thumb” after she had touched the toxic chemicals that Bond had spread on her car, mailbox and front door.* The Chief Justice therefore construes the federal statute not to cover Bond’s conduct.  [See Curt Bradley in defense of the Court’s plain-statement analysis.]  The precise scope of the majority’s statutory construction remains a bit obscure.  (Presumably the law is not limited to conduct that is apt to inspire great paintings!)  But this much is clear:  The Court explains that the statute does apply in cases where toxic chemicals are used for “assassination, terrorism, and acts with the potential to cause mass suffering”—presumably even if such offenses are wholly intrastate and/or where they do not involve any foreign nationals.  The Chief writes that such cases do not implicate federalism concerns because “[t]hose crimes have not traditionally been left predominantly to the States.”  But of course it has predominantly been state law that traditionally handled such "noneconomic, violent criminal conduct," and the Chief Justice does not explain why creation of a parallel federal offense would not implicate the federalism concerns reflected in the Court’s Commerce Clause decisions since Lopez (1995).  Accordingly, the Court’s confirmation of Congress’s power to implement treaties by criminalizing such conduct is quite important, as we explain further below. The most important aspect of Bond, however, was not its statutory interpretation but the fact that the ground-breaking constitutional limitations offered up to the Court each failed to attract the support of a majority of Justices. a.  Limiting Congress’s Power to Implement Treaties The Cato Institute filed an amicus brief urging the Court to hold that even in cases where the President and the Senate conclude a valid treaty, Congress lacks any specific power to pass legislation necessary and proper to ensure that the United States abides by its treaty commitments.  This deeply counterintuitive argument—that the Necessary and Proper Clause empowers Congress to enact legislation to help the President and the Senate make treaties, but not to help the federal government implement the nation's agreements—was first suggested by Cato’s lawyer, Professor Nicholas Rosenkranz, in 2005 (that is to say, more than two centuries after adoption of the relevant constitutional provisions).  As we explain in Part II of our amicus brief in Bond, this argument is simply implausible on historical, textual, and structural grounds—not to mention inconsistent with a series of Supreme Court decisions, including the unanimous opinion in Neely v. Henkel (1901) and Justice Holmes’s celebrated 1920 decision in Missouri v. Holland. In his opinion concurring in the judgment in Bond,

Lawfare reports today on a study published in Political Science Quarterly about how ordinary Pakistanis view US drone strikes in their country. According to the post, the study "[c]hallenge[s] the conventional wisdom" that there is "deep opposition" among Pakistanis to drone strikes and that "the associated anger [i]s a major source of the country's rampant anti-Americanism." I don't have access to the...

Calls for Papers Following a successful conference organised by the Qatar University, College of Law and the Qatari Branch of the ILA on the Syrian Crisis and International Law they now plan for a special issue of the International Review of Law on the same theme.  To this end, they are looking for contributions discussing: public international law, including collective security and...

On May 19, the Legal Directorate of the Foreign and Commonwealth Office held their 2nd Annual International Law Lecture. The lecture was delivered by Peter Maurer, the President of the ICRC, who spoke on "War, Protection and the Law: The ICRC's approach to International Humanitarian Law." More information about the speech is available at EJIL: Talk!, but I thought it...

One of the great advantages of being a legal academic is the ability to get involved in actual litigation. I have consulted on a number of cases at the ICTY, ICTR, and ICC over the years, most obviously serving as one of Radovan Karadzic's legal associates, but it's been a while, and I've been itching to get back in the game. So I...

Just a couple things to note this weekend: Call for Papers The American Society of International Law's Dispute Resolution Interest Group and the University of Colorado Law School are co-sponsoring a works-in-progress conference this August on international law and dispute resolution. Here is the Call for Papers.  Announcements The British Institute of International and Comparative Law is looking to hire a research coordinator to work...

Just a reminder to readers: the ICRC's phenomenal database of customary international humanitarian law is available for free online -- and includes a great deal of information that is not available in the two printed volumes. Here is the ICRC's description: Today, the ICRC has made available on its online, free of charge Customary IHL database an update of State practice...

[Gabor Rona is the International Legal Director of Human Rights First.] What is the source of the power to detain in an armed conflict that is not between states (non-international armed conflict, or NIAC)? Where is the relevant law on grounds and procedures for such detention found? Torture and drones aside, this is probably the most vexing, most controversial, and most...

Germain Katanga will be sentenced tomorrow, having been convicted of crimes on the basis of an uncharged, unlitigated mode of participation that the Pre-Trial Chamber assured the defence would not be at issue in the trial and that the Trial Chamber first mentioned more than six months after the 30-month trial ended. The Trial Judgment is a horrorshow, replete with statements...

[Chimène Keitner is Harry & Lillian Hastings Research Chair and Professor of Law at the University of California Hastings College of the Law, and an Adviser on Sovereign Immunity for the American Law Institute’s Fourth Restatement of the Foreign Relations Law of the United States.] As Duncan has pointed out, if a U.S. court sought to exercise jurisdiction over the five Chinese officials indicted by a Pennsylvania grand jury for computer fraud, identity theft, economic espionage, and trade secret theft, the officials would likely claim entitlement to foreign official immunity because they acted on behalf of China. While state action is not a required element of any of the alleged crimes, it permeates the facts of this case, which Attorney General Eric Holder emphasized “represents the first ever charges against a state actor for this type of hacking.” The Foreign Sovereign Immunities Act provides the sole basis for obtaining jurisdiction over foreign states and their agencies or instrumentalities, see 28 U.S.C. § 1604, although it remains unsettled whether the FSIA applies to criminal proceedings against entities. The FSIA does not apply to individual foreign officials, see Samantar v. Yousuf, except for the section creating a limited private right of action for state sponsored terrorism, 28 U.S.C. § 1605A(c). Rather, the immunity of current and former foreign officials is governed by applicable treaties (such as the Vienna Convention on Diplomatic Relations, implemented by the Diplomatic Relations Act) and, in the absence of a statute, the common law. As Duncan indicates and Jack Goldsmith also notes, the question of foreign official immunity will only arise as a practical matter if the Chinese defendants come within the personal jurisdiction of a U.S. court. The officials could not claim status-based immunity unless they were heads of state, diplomats, or members of special diplomatic missions at the time of the legal proceedings. Instead, they would claim conduct-based immunity on the grounds that their acts were all performed on behalf of the Chinese state. The decision to bring charges suggests that the USDOJ does not view the defendants as lawfully entitled to assert immunity for their alleged conduct. This could be for one of several reasons: