- •Contents
- •Table of Cases
- •List of Contributors
- •Introduction
- •1. Bottom-Up Theories
- •2. The Humean Approach
- •1. Introduction
- •2. The Moral Right to Labour Productively
- •2.1 The intellectual context for Lockean rights
- •2.2. Labour as a moral right
- •3. Property Acquisition in Labour Theory
- •3.1 Extending labour from the person to things
- •3.2 The social character of productive appropriation
- •3.3 Productive use as a limit on labour
- •3.4 The communicative function of productive labour
- •4. Control Rights in Labour Theory
- •5. Accession in Labour Theory
- •6. Lost Opportunities to Capture in Doctrine
- •7. Acquisition in Doctrine
- •7.1 The basic test for capture
- •7.2 Constructive capture
- •7.3 Multiple proprietary claims
- •8. Accession Policy and Ratione Soli Doctrine
- •9. On the Relation between Legal Property and Moral Rights to Labour
- •10. Conclusion
- •3: Property and Necessity
- •1. Some Conceptual Preliminaries
- •2. Winstanley’s Challenge
- •3. Grotius on Property and Necessity
- •4. Three Important Objections
- •5. Saving Property and Public Necessity
- •6. Is the Right of Necessity a Property Right?
- •4: Private Property and Public Welfare
- •1. The Fifth Amendment Paradox
- •2. Why Acquisition?
- •3.1 Physical possession
- •3.3 Exchange
- •4. Property in Civil Society
- •4.1 The origin of welfare entitlements
- •4.2 Civil society as a bifurcated entity
- •5. Property in the Political Community
- •5.1 Property in the totalitarian state
- •5.2 Property in the dialogical state
- •6. Conclusion
- •5: Average Reciprocity of Advantage
- •1. Introduction
- •2. Background
- •2.1 Judicial opinions
- •2.2 Academic commentators
- •3. Sources of Average Reciprocity of Advantage
- •4. The Limits of ‘In-Kind’ Compensation
- •4.1 General reciprocity
- •4.2 Probabilistic compensation
- •4.3 Basic structural problems
- •5. Reciprocity and Respect
- •5.1 Accepting the conclusion
- •5.2 Rejecting the premisses
- •5.3 Partial, ‘objective’ compensation
- •6. Conclusion
- •1. Introduction
- •2. Between Promise and Detachment
- •2.1 The moral principle
- •2.2 The value of LPA
- •3. Legal Enforcement
- •3.1. Encouraging pre-contractual Investment
- •3.2 Building up trust: the role of LPA
- •4. Proprietary Estoppel
- •4.1 Varieties of PE
- •a) Bargain
- •b) Gifts
- •4.2 The remedy
- •5. Conclusion
- •7: Possession and Use
- •1. Possession
- •2. The Priority of Exclusion
- •3. Bringing Actual Use Back In
- •4. Conclusion
- •8: Possession and the Distractions of Philosophy
- •1. Introduction: The Puzzle
- •3. Possession and Title
- •4. The Right of Possession and its Omnilateral Structure
- •5. Possession and the Incidents of Ownership
- •6. A Principled Practice of Property?
- •7. Conclusion
- •9: The Relativity of Title and Causa Possessionis
- •2. Privity, Estoppel, and Rights to Possess outside of Ownership
- •2.1 A public law problem?
- •2.2 Privity: the missing link between property and person
- •2.3 Let the chips fall where they may
- •3. Conclusion
- •1. Introduction
- •2. Setting the Limits of Property Rights
- •2.1 Where A has an undoubted property right
- •a) The ‘right to exclude’
- •b) The ‘right to use’
- •i. Chattels
- •ii. Land
- •c) Conclusion
- •2.2 Determining if B’s right counts as a property right
- •a) Physical things
- •b) Non-physical things
- •c) Equitable property rights
- •3. Conclusion
- •11: On the Very Idea of Transmissible Rights
- •1. Title and Succession
- •2. The Argument against Transfer or Transmissibility Stated: The Hohfeldian3 Individuation Argument
- •3. Why the Hohfeldian Individuation Argument is Wrong
- •4. Justifying Transmissible Rights
- •4.1 The power to authorize what would otherwise be a battery
- •4.2 The right to immediate, exclusive possession of property
- •4.3 The power to license and to give property away
- •4.4 The power to sell or transfer pursuant to an agreement
- •4.5 The liability to execution
- •5. A Last Word on Conventions and Social Contexts
- •12: Psychologies of Property (and Why Property is not a Hawk/Dove Game)
- •1. The Inside Perspective
- •1.1 Identity formation
- •1.2 Identity fashioning
- •1.3 Refuge
- •1.4 Empowerment
- •1.5. Generosity
- •1.6 Economic incentives
- •1.7 An admonitory postscript
- •2. The Outside Perspective
- •2.1. The picture from in rem
- •2.2 Hawks and Doves
- •2.3 The virtues of non-ownership
- •13: Property and Disagreement
- •1. Disagreements Substantive and Verbal
- •1.1 Verbal disagreements
- •1.2 Disagreement that is partly substantive and partly verbal
- •a) Clarifying the disagreement
- •b) The analysis of property
- •c) The metaphysics of property
- •d) What about W2 and W3?
- •3. A Minor Disagreement that is both Substantive and Conceptual
- •4. Penner Redux: A Major Disagreement that is both Substantive and Conceptual
- •4.1 Reservations: of Wittgenstein and Dworkin
- •4.2 Individuation and incomplete understanding
- •5. The Nature of Property
- •5.2 Smith and the architecture of property
- •6. Conclusion
- •Appendix
- •14: Emergent Property
- •1. Intensions and Conceptualism in Property Law
- •2. Formalism versus Contextualism
- •3. Functionalism
- •4. Holism and Emergence
- •5. An Application to in Rem Rights and Duties
- •6. Conclusion
- •References
- •Index
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Eric R. Claeys |
notifies A, and buys E from A; A ‘uses’ E for his own and others’ prosperities if he sells it to someone who can use it more productively than he can.113) Perhaps nonowners may object that E should have been left as an unowned resource, where they could appropriate it to satisfy the needs the sufficiency limitation entitles them to pursue. As Section 4 explained, however, if the political community has secure property rights and a well-functioning market, A’s discovery and use of E may be practically more likely to generate for non-owners jobs, incomes, or a wider range of useful products than they would get from usufructuary rights to search for, appropriate, and consume E.
6. Lost Opportunities to Capture in Doctrine
To this point, I have proved my first claim; in the rest of this chapter, I turn to my second, that Anglo-American capture, lost capture, and accession-related doctrines all illustrate how positive law may and should implement labour foundations. I begin with lost capture doctrine because it embodies the normative relations explained in Section 2. Consider a situation in which several claimants concurrently discover and race to appropriate the same tangible resource. The pursuer who actually appropriates the resource may harm the others by denying them access to a resource they had hoped to acquire for themselves. Morally, however, as long as all the pursuers pursue using ordinary means,114 the appropriator’s conduct does not wrong any of the other pursuers. All were labouring productively to attempt to appropriate the same resource; none wrongs the others by exercising the same liberty more successfully than they do.
Anglo-American tort law embodies that basic policy settlement, as is obvious from the seminal 1707 decision Keeble v Hickeringill. Keeble built large traps to lure ducks into ponds on his property. His (somewhat eccentric and perhaps mad) neighbour Hickeringill fired gunshots on his own property. Keeble alleged that Hickeringill shot not in the course of any beneficial activity but rather only ‘intending to damnify the plaintiff in his vivary . . . and deprive him of his profit’. The jury found for Keeble and awarded him 20 pounds in damages. Chief Justice Holt concluded that Keeble had a valid action.115
Casebook authors intuit that Keeble is related to acquisition.116 Holt’s opinion explains why Keeble’s complaint and judgment are exceptions to a general rule of free pursuit and acquisition. Keeble could not bring trespass to protect any proprietary interest in ducks he had not yet caught. Nor could he bring trespass to protect his interest in operating his trade completely free of unfair competition.
113See Goddard v Winchell 1892, 1125. The meteor example in text comes from this case.
114In text, ‘ordinary means’ refrain from attacking any of the other pursuers, and pursue the resource intending in good faith to use it for one’s own prosperity.
115Keeble v Hickeringill 1707, 1127–8; see Solly 1949.
116See Merrill and Smith 2007b, 92–5.
Productive Use in Acquisition, Accession, and Labour Theory |
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Holt grounded this limitation in the fact that Keeble and Hickeringill both deserved equal moral liberties to catch ducks:
[E]very man that hath a property may employ it for his pleasure and profit, as for alluring and procuring decoy ducks to come to his pond. To learn the trade of seducing other ducks to come there in order to be taken is not prohibited either by the law of the land or the moral law; but it is as lawful to use art to seduce them, to catch them, and destroy them for the use of mankind, as to kill and destroy wildfowl or tame cattle.
Unfair competition scholars appreciate that Keeble announces seminal lessons about their field.117 Holt’s opinion portrayed ‘unfair competition’ as the residue of competitive activities not justified by legitimate exercise of the liberty to labour. Hickeringill’s conduct toward Keeble was wrongful because it was malicious, but here ‘malice’ states a narrow exception to a strong presumption that most competition is legitimate. If unfair competition principles did not specify narrowly what means of competition are ‘unfair’, competitors would use the law to harass other competitors. One duck hunter might sue another solely on the ground that he suffered ‘harm’ from not catching as many ducks as he did before the latter started hunting; or the former might contrive a sophisticated economic argument why the local community could only support one decoy operation. Holt’s reasoning created a strong presumption against these or other similar arguments. After all, ‘if a man doth [a competitor] damage by using the same employment; as if Mr Hickeringill had set up another decoy on his own ground near the plaintiff ’s, and that had spoiled the custom of the plaintiff, no action would lie, because he had as much liberty to make and use a decoy as the plaintiff ’. Holt confirmed as much when he compared the Keeble case to a precedent in which an older school sued a new competitor for building a better school and luring students to it.118
Keeble’s claim was not covered by the presumption in favour of competition because the presumption presupposes that efforts to appropriate resources must be productive—that is, likely to enlarge the labourer’s legitimate prosperity. Holt suggested that the plaintiff in a case like Keeble’s could prevail if he could show that the defendant performed ‘a violent or malicious act’ instead of competing in good faith. Here, ‘malice’ is best understood as a tendency to diminish the prosperity of the victim without significantly enhancing the prosperity of the actor. To illustrate, Holt contrasted the school case as decided with a hypothetical in which the school master of the established school assaulted students to scare them from going to the new school. Competitors had natural rights, Holt concluded, to be free from the latter but not the former. So specified, liberty interests in competing indirectly produced good social consequences: ‘[T]here is great reason to give encouragement thereunto’, he explained, ‘that the people who are so instrumental by their skill and industry so to furnish the markets should reap the benefit and have their action’ against malicious disturbance of their trade.119 Because Hickeringill’s gun shooting
117 |
See McKenna 2007, 1877–8. |
118 Keeble v Hickeringill 1707, 1129. |
119 |
Keeble v Hickeringill 1707, 1128, 1129. |