About Intellectual Property IP Training Respect for IP IP Outreach IP for… IP and... IP in... Patent & Technology Information Trademark Information Industrial Design Information Geographical Indication Information Plant Variety Information (UPOV) IP Laws, Treaties & Judgements IP Resources IP Reports Patent Protection Trademark Protection Industrial Design Protection Geographical Indication Protection Plant Variety Protection (UPOV) IP Dispute Resolution IP Office Business Solutions Paying for IP Services Negotiation & Decision-Making Development Cooperation Innovation Support Public-Private Partnerships AI Tools & Services The Organization Working with WIPO Accountability Patents Trademarks Industrial Designs Geographical Indications Copyright Trade Secrets WIPO Academy Workshops & Seminars IP Enforcement WIPO ALERT Raising Awareness World IP Day WIPO Magazine Case Studies & Success Stories IP News WIPO Awards Business Universities Indigenous Peoples Judiciaries Genetic Resources, Traditional Knowledge and Traditional Cultural Expressions Economics Gender Equality Global Health Climate Change Competition Policy Sustainable Development Goals Frontier Technologies Mobile Applications Sports Tourism PATENTSCOPE Patent Analytics International Patent Classification ARDI – Research for Innovation ASPI – Specialized Patent Information Global Brand Database Madrid Monitor Article 6ter Express Database Nice Classification Vienna Classification Global Design Database International Designs Bulletin Hague Express Database Locarno Classification Lisbon Express Database Global Brand Database for GIs PLUTO Plant Variety Database GENIE Database WIPO-Administered Treaties WIPO Lex - IP Laws, Treaties & Judgments WIPO Standards IP Statistics WIPO Pearl (Terminology) WIPO Publications Country IP Profiles WIPO Knowledge Center WIPO Technology Trends Global Innovation Index World Intellectual Property Report PCT – The International Patent System ePCT Budapest – The International Microorganism Deposit System Madrid – The International Trademark System eMadrid Article 6ter (armorial bearings, flags, state emblems) Hague – The International Design System eHague Lisbon – The International System of Appellations of Origin and Geographical Indications eLisbon UPOV PRISMA UPOV e-PVP Administration UPOV e-PVP DUS Exchange Mediation Arbitration Expert Determination Domain Name Disputes Centralized Access to Search and Examination (CASE) Digital Access Service (DAS) WIPO Pay Current Account at WIPO WIPO Assemblies Standing Committees Calendar of Meetings WIPO Webcast WIPO Official Documents Development Agenda Technical Assistance IP Training Institutions COVID-19 Support National IP Strategies Policy & Legislative Advice Cooperation Hub Technology and Innovation Support Centers (TISC) Technology Transfer Inventor Assistance Program WIPO GREEN WIPO's Pat-INFORMED Accessible Books Consortium WIPO for Creators WIPO Translate Speech-to-Text Classification Assistant Member States Observers Director General Activities by Unit External Offices Job Vacancies Procurement Results & Budget Financial Reporting Oversight
Arabic English Spanish French Russian Chinese
Laws Treaties Judgments Browse By Jurisdiction

United States of America

US218

Back

Intellectual Property: Principles Governing Jurisdiction, Choice of Law, and Judgments in Transnational Disputes, © 2008 by The American Law Institute. Reproduced with permission. All rights reserved.

 Intellectual Property: Principles Governing Jurisdiction, Choice of Law, and Judgments in Transnational Disputes— Copyright 2008 by The American Law Institute

Copyright 2008 by The American Law Institute. Reproduced with permission. All rights reserved.

INTELLECTUAL PROPERTY:

PRINCIPLES GOVERNING JURISDICTION, CHOICE OF LAW,

AND JUDGMENTS IN

TRANSNATIONAL DISPUTES

(with Comments and Reporters’ Notes)

Part IV

RECOGNITION AND ENFORCEMENT

OF FOREIGN JUDGMENTS

IN TRANSNATIONAL CASES

Chapter 1

In General

§ 401. Foreign Judgments to Be Recognized or Enforced

(1) A court in which recognition or enforcement of a foreign judgment is sought shall

first ascertain whether the rendering court applied these Principles to the case.

(a) If the rendering court applied the Principles, then the enforcement court shall

recognize or enforce the judgment pursuant to these Principles.

(b) If the rendering court did not apply the Principles, then the enforcement court

shall determine whether to recognize or enforce the judgment pursuant to its domestic

rules on recognition and enforcement of foreign judgments.

(2) In order to be recognized or enforced, a foreign judgment must be final in the

rendering State and not stayed by a court in that State.

(3) The preclusive effect given a foreign judgment shall be no greater than the preclusive

effect of the judgment in the rendering State.

(4) For purposes of this Part IV of the Principles, a provisional or protective order

rendered in accord with § 214(1) shall be considered a judgment entitled to recognition

and enforcement.

Comment:

a. Enforcement and recognition distinguished. These Principles utilize the same

definitions of enforcement and recognition as are employed in the ALI Foreign Judgments

Project § 2; see § 2, Comment b.

b. Enforcement and recognition under the Principles. This provision creates two

conditions on enforcement and recognition. The first is that the dispute was declared by the

rendering court as within the scope of the Principles. In cases not covered by the Principles,

the enforcement court will rely on local law to determine enforcement. Second, the

adjudication must be “final” in the place where the judgment was rendered. If a party wishes

to stay recognition or enforcement of a judgment that is the subject of review in the rendering

State or whose time limit for seeking review in that State has not expired, it should so move in

the rendering State.

c. Reference to the law of the State of the rendering court. The enforceability of the

judgment depends on the law of the State of the rendering court, both as to finality

(§ 401(2)) and scope (§ 401(3)). If that law deems the decision final and enforceable, the

enforcement court should treat it as such (but see Comment d).

d. Greater or lesser effect. Applying the rendering court’s law on the upper limit of the

preclusive effect of the judgment is necessary to allow the parties to understand the stakes of

the litigation at the time when they are making litigation decisions. Moreover, if another

jurisdiction applies preclusion that would be denied by the rendering court, the parties could

inadvertently lose claims or arguments.

It could be argued that the enforcement court should not give an effect lesser than that

of the rendering court because that would also undermine the finality of the decision.

However, sometimes there are significant local public policies of the enforcement State at

stake that the rendering court did not take into account. Accordingly, lesser effect may

sometimes be given; see §§ 411-413. For further discussion, see ALI Foreign Judgments

Project § 4 and § 4, Reporters’ Note 2.

e. Preclusive effect of dismissals based on the statute of limitations. A dismissal on the

merits, otherwise entitled to recognition, precludes another action on the same set of claims.

When a dismissal is based on the statute of limitations, it may be unclear whether it should be

accorded preclusive effect. The emerging view is that time bars are substantive—that the

applicable law prescribes a time limit and if it is determined that the time has passed, the

claim is extinguished. However, a statute-of-limitations dismissal can merely represent a

decision by the rendering court that under its procedures, stale claims cannot be adjudicated

fairly. In that case, the dismissal should not be recognized as claim-preclusive.

The characterization of statutes of limitations as substantive or procedural poses a

general question of private international law beyond the specific ambit of the Principles; see

Part I, Introductory Note. Accordingly, it is left to the law in the relevant State. If the law that

governs the dispute supplies a substantive limitations provision, that limitations period should

be applied to the claim by the rendering court. This is particularly true in cases where the

parties chose the law (§ 302), because they may well have anticipated that the chosen law will

prescribe the limitations period. If the rendering court dismisses the case on the ground that

the claim has expired, a subsequent action on the same claims should be regarded as

precluded. If, by contrast, the rendering court applied the forum’s procedural rules, rather than

the applicable substantive law, to dismiss the action, then the second court should proceed

with the case, unless its own procedural rule would prohibit it from entertaining it.

Illustration:

1. NicoleMarie is a trademark registered for handbags and accessories in Patria and in

Xandia. Patria has a six-year statute of limitations for trademark claims; Xandia’s limitations

period is three years. The trademark owner initiated an action against David Co., another

handbag manufacturer, in Xandia, claiming that David Co. infringed the NicoleMarie mark in

both States. The action was brought four years after the alleged infringement occurred and the

Xandian court dismissed the action as time-barred. The trademark owner then instituted a

second action in Patria, once again asserting four-year-old infringement claims in both Xandia

and Patria. David Co. moves to dismiss the action on claim-preclusion grounds.

In order to decide the effect of the Xandian judgment, the Patrian court must determine

the grounds for the Xandian dismissal. If the court determines that the claims were dismissed

because Xandia has a public policy against adjudication of four-year-old claims, it should not

assume that all of the claims are barred in Patria. Since Patria has a six-year statute of

limitations for Patrian trademark infringement, the court can entertain the Patrian claim. As to

the Xandian claim, the Patrian court must decide whether the Xandian dismissal can also be

ascribed to a substantive view of the appropriate length of trademark claims. If the Patrian

court decides the Xandian statute of limitations is substantive, then it should recognize the

dismissal of that claim as giving rise to a defense of claim preclusion.

f. Delaying enforcement or recognition pending appeal. In some judicial systems, a

judgment is entitled to enforcement as soon as it is entered, irrespective of whether an appeal

is pending. This rule could create substantial mischief if the appeal reverses aspects of the

first judgment, especially in complex cases such as those contemplated by the Principles.

However, a party may move for a stay of execution of the judgment. In such cases, the

enforcement court should delay both recognition and enforcement until the time for reviewing

the decision is over, see § 401(2).

g. Enforcement of other judgments. Nothing in this Part addresses a court’s authority to

enforce a judgment rendered by another court, if the rendering court did not rely on the

Principles in the adjudication of the dispute.

REPORTERS’ NOTES

1. Timing. Like the ALI Foreign Judgments Project § 1(b), these Principles look to the

law of the State of the rendering court to determine when a judgment is final. Enforcing

judgments pending appeal raises a variety of problems. In some cases, litigants are treated

differently, depending on whether they joined the appeal, see, e.g., Federated Dep’t Stores,

Inc. v. Moitie, 452 U.S. 394 (1981) (parties who appealed receive different treatment from

parties who brought a second action); rights may be uncertain, see, e.g., Reed v. Allen, 286

U.S. 191 (1932) (property rights left indeterminate); the appeal may be mooted by

enforcement if the situation cannot be restored, see, e.g., Duncan v. Farm Credit Bank of St.

Louis, 940 F.2d 1099 (7th Cir. 1991) (appeal by mortgagor dismissed as moot because of sale

of property by mortgagee pending appean( � Fink v. Cont’l Foundry & Mach. Co., 240 F.2d

369 (7th Cir. 1957) (appeal dismissed as moot because court could not undo sale of property

after execution). These problems are compounded in the context of the Principles, where

disputes arising under multiple laws and involving multiple parties are being adjudicated.

Accordingly, some jurisdictions permit delay of enforcement or recognition of judgments

until after the appeal is decided. See Brussels Regulation art. 37(1); cf. Restatement Second,

Judgments § 28(1). In States where this is not the case, the parties should move to stay the

judgment pending appeal.

2. Res judicata. The Principles avoid the term “res judicata” because it has different

meanings in different places. Instead, they utilize the terms “enforcement,” “recognition,” and

“preclusive effect.” These terms should be understood to cover the gamut of consequences

that a judgment may have.

3. Characterization of limitations period. The Principles leave the characterization of the

limitations period to the laws of the relevant States. For a full discussion of time bars, see

Restatement Second, Conflict of Laws (1988 Revisions) § 142 and Comments a-g. The

Principles’ approach to recognition is consistent with that of the ALI Foreign Judgments

Project § 3(d)(ii), which exempts courts from an obligation to recognize foreign courts’

dismissals of claims as time-barred “unless the party seeking to rely on the judgment of

dismissal establishes that the claim is extinguished under the law applied to the claim by the

rendering court.” However, Comment e of the Principles expresses a view similar to that of

the National Conference of Commissioners on Uniform State Laws (now known as the

Uniform Law Commission), Uniform Conflict of Laws-Limitations Act (1982), available at

http://www.law.upenn.edu/bll/archives/ulc/fnact99/1980s/uclla82.htm (last visited January 3,

2008), see § 2(a)(1) and Prefatory Note (“[L]imitations laws should be deemed substantive in

character, like other laws that affect the existence of the cause of action asserted”).

§ 402. Default Judgments

In addition to the provisions of § 403, the enforcement court shall not enforce a foreign

judgment that has been rendered in default of appearance unless the enforcement court

determines that the rendering court’s assertion of personal jurisdiction was consistent

with the law of the rendering State.

Comment:

a. Judgments rendered in default of appearance. This Section implements the same

policies as those reflected in § 3(b) of the ALI Foreign Judgments Project; see § 3, Comment

c. Enforcement can also be resisted on any of the grounds specified in § 403.

REPORTERS’ NOTE

Default generally. The notion that enforcement and recognition are predicated on a

review of the jurisdictional basis for decision is not controversial, see, e.g., Pennoyer v. Neff,

95 U.S. 714 (1877); Brussels Regulation art. 35(1).

§ 403. Judgments Not to Be Recognized or Enforced

(1) The enforcement court shall not recognize or enforce a judgment if it determines

that:

(a) the judgment was rendered under a system that does not provide impartial

tribunals or procedures compatible with fundamental principles of fairness;

(b) the judgment was rendered in circumstances that raise substantial and

justifiable doubt about the integrity of the rendering court with respect to the judgment

in question;

(c) the judgment was rendered without notice reasonably calculated to inform the

defendant of the pendency of the proceeding in a timely manner;

(d) the judgment was obtained by fraud that had the effect of depriving the

defendant of adequate opportunity to present its case to the rendering court;

(e) recognition or enforcement would be repugnant to the public policy in the State

in which enforcement is sought;

(f) the rendering court exercised jurisdiction on the basis of a court-selection

clause inconsistent with the safeguards set out in

§ 202(4);

(g) the rendering court exercised jurisdiction solely on a basis insufficient under §

207; or

(h) the rendering court exercised jurisdiction in violation of the forum’s own rules

of judicial competence.

(2) The enforcement court need not recognize or enforce a judgment if it determines

that:

(a) the rendering court exercised jurisdiction on a basis inconsistent with the

norms of §§ 201, 202(1)-(3), 203-206;

(b) the rendering court chose a law inconsistent with the norms of §§ 301-324;

(c) proceedings between the same parties and having the same subject matter are

pending before the court designated by § 221 or before a court cooperating in the

adjudication or chosen for consolidation under § 222; or

(d) the judgment is inconsistent with the judgment of the court designated by §

221, or the actions were coordinated in accordance with § 222 and the judgment is

inconsistent with the judgment of the court of consolidation or of the courts that

cooperated in resolving the dispute.

(3) Except with respect to judgments rendered in default of appearance, the

enforcement court, in making any determination listed in subsections (1)(e)-(g) or (2),

shall defer to the facts found by the rendering court. In other cases, the court shall make

its own determinations of fact and law.

Comment:

a. Nonrecognition generally. Sections 402 and 403 are the main vehicles for promoting

use of these Principles in a manner that protects the parties’ interests in due process while

providing a means for efficiently adjudicating worldwide disputes. Under

§ 403(1), the court is to deny enforcement in certain circumstances; § 403(2) permits

nonenforcement in certain other instances. The mandatory provisions, § 403(1), are derived

from the mandatory provisions of the ALI Foreign Judgments Project § 5(a) and (b) and §

6(a). The discretionary provisions, § 403(2)(c) and (d), echo the discretionary provisions of

the ALI Foreign Judgments Project § 5(c)(ii) and (iii). Subsections (2)(a) and (2)(b) of § 403

are unique to these Principles; they create a mechanism for enforcing Parts II and III of the

Principles. Subsections (1) and (2) should be read in conjunction with § 403(3), which

requires the enforcement court to defer to the rendering court on factual issues. The Principles

do not otherwise derogate from traditional private- international-law precepts, such as those

barring the relitigation of the rendering court’s findings of fact and conclusions of law

respecting the merits of the case.

b. Fundamental fairness, § 403(1)(a)-(d). These subsections seek to ensure the panoply

of generally recognized procedural guarantees, such as an impartial tribunal, both generally

and with respect to the rights at issue; proper and timely notice; an opportunity to be heard;

and assurances that the judgment was not obtained by fraud. For further discussion, see ALI

Foreign Judgments Project § 5, Comments c-e and g. See also ALI/UNIDROIT Principles of

Transnational Civil Procedure, Principle 1. If recognition is challenged on one of these

grounds, the usual bar to relitigating the rendering court’s fact findings does not apply, see

subsection (3).

A question may arise as to whether a State that has jury trials should consider their

unavailability in the rendering court to be “incompatible with fundamental principles of

fairness.” As most States do not afford civil jury trials, it is unlikely that, as a matter of

international norms, the unavailability of a jury trial would violate fundamental principles.

Moreover, even in States where jury trials are common, they may be regarded as necessary

only for adjudication in courts where they are expressly required.

The availability of discovery could also raise difficult questions. If the State addressed

has discovery rules that are more liberal than the State where the trial was conducted,

important procedural opportunities would appear to have been lacking. However, before

enforcement is denied on this ground, the enforcement court must consider whether there

were issues in the case that required more discovery than was available, whether other courts

could have provided that discovery in aid of the court entertaining the case, and whether the

lack of discovery amounted to a violation of fundamental principles of procedure.

Illustration:

1. Patentee sues A, a French resident, in France, claiming infringement of parallel

French and U.S. patents. A defends on the ground that the U.S. patent is invalid because

Patentee had put the invention on sale in the United States for more than a year before the

patent application was filed, in violation of 35 U.S.C

§ 102(a). To demonstrate the offer for sale, A requires discovery of information in Patentee’s

customer files. Assume that such discovery is not available under French law, and A loses the

case. Patentee tries to enforce the judgment in the United States and A resists on the ground

that the French proceeding was incompatible with fundamental principles of U.S. law.

A’s claim should be rejected. The lack of discovery on the on-sale issue does not amount to a

fundamental denial of process. Moreover, discovery may have been available in the United

States under 28 U.S.C. § 1782, which permits U.S. discovery in aid of foreign proceedings.

Note that under §§ 211(2), 212(4), 213(3), and 413(2), the judgment of invalidity is effective

only between the Patentee and A; it does not affect the registration of the patent in the U.S.

Patent and Trademark Office. Thus, the judgment does not implicate broader public-policy

interests of the United States.

c. The public policy in the State addressed, § 403(1)(e). The authority to deny

enforcement on public-policy grounds is common to all regimes concerned with the

enforcement of foreign judgments; see ALI Foreign Judgments Project § 5, Comment h. A

provision such as this one is especially necessary in Principles involving intellectual property

because there are often strong public interests in access to the material protected. Indeed,

excessive private control over information can violate free-speech norms and undermine the

political process. Nonetheless, enforcement of judgments in favor of intellectual property

holders should be denied sparingly. Intellectual property rights represent legislative

judgments on the appropriate balance between creating incentives to produce and disseminate

information products and promoting access to them. Individual States achieve that balance

differently. Thus, at a minimum, the enforcement court should consider only the outcome of

litigation, not the substance or procedure by which the outcome was achieved. Second, the

court should consider how the outcome affects interests in the forum State and whether any

clash with local interests can be softened through the remedial procedures of §§ 411-413.

These provisions are explicitly designed to allow the enforcement court to tailor the remedy to

local concerns. Most important because of its free-speech implications, an order awarding

injunctive relief need be locally recognized only to the extent that similar relief could have

been granted by courts in the enforcing State in the same circumstances (§ 412(2)). Similarly,

a judgment regarding the validity of a locally registered right is valid only inter se; see

Illustration 1 above.

Strong arguments have been made that American public policy can be implicated even

in cases that lack a territorial connection or nexus with the United States; see ALI Foreign

Judgments Project § 5, Reporters’ Note 7(d). While these concerns may certainly be important

in the context of hate-speech legislation and defamation actions (where these arguments are

commonly made), international obligations to respect the territoriality of intellectual property

law represent a shared understanding that each nation’s interest in intellectual property

enforcement is usually coextensive with its borders. As a result, § 403(1)(e) should be

reserved for cases where the remedy will deleteriously impact local interests. The provision

should not provide an opportunity for relitigation of the case.

Illustrations:

2. An advertisement for a UK company is broadcast in the United States using a picture

of the United Kingdom’s Prince Charming without his permission. Prince Charming sues for

violation of his U.S. right of publicity. A U.S. court, following

§ 301(1)(b), applies U.S. law and awards damages. Prince Charming seeks enforcement of the

award in the UK; the defendant company opposes on the ground that the UK does not

recognize rights of publicity.

Under the Principles, the judgment should be enforced. The absence of protection of a

given right in the enforcement jurisdiction does not, of itself, demonstrate a strong local

public policy against recognition of the right at issue.

3. Paco of Patria, a fashion designer, displays his latest collection in a fashion show in

Patria. Phil Phlash, a Xandian resident, attends the show and takes unauthorized photos,

which are published in a fashion magazine sold in Patria and Xandia. Fashion designs are

protected under the copyright law of Patria, but not of Xandia. Paco sues Phlash in Patria,

claiming damages on account of both distributions. The court awards monetary damages for

the local publication, but declines to award damages for the copies distributed in Xandia. Paco

then seeks enforcement of the Patrian judgment in Xandia. Phlash resists enforcement on the

ground that the Patrian judgment violates the strong Xandian public policy that fashion wants

to be free.

Under the Principles, the judgment should be enforced. Xandia may not invoke ordre

public to deny enforcement, because Xandia’s public policy is not affected by applying

Patrian law to events occurring in Patria. By contrast, had the Patrian court erroneously

enjoined distribution of the magazine in Xandia, then a Xandian court might properly decline

to enforce that part of the judgment. The basis for declining to enforce is not that the Patrian

court misapplied Xandian law (that would be relitigating the merits), but that the remedy is

repugnant to Xandian public policy.

d. Choice-of-court agreements, § 403(1)(f) and (2)(a). Section 403(1)(f) deals with

judgments of courts that were chosen in a standard form choice-of-court agreement. It

instructs the enforcement court to deny effect to the judgment if the agreement did not include

the procedural guarantees set out in § 202. Section 403(1)(f) applies even if the validity of the

standard form agreement was considered in an earlier phase in the litigation, because a party

who is summoned by surprise to a remote forum may be ill-equipped to mount an effective

challenge to the alleged agreement. More important, denying the enforcement court discretion

to enforce the agreement encourages parties to draft transparent agreements and to choose

courts that are fair to all sides.

It is anticipated that the discretionary provisions of § 403(2)(a) will usually come into

play when the rendering court is other than the one chosen by the parties. In the case of

negotiated agreements, § 403(2)(a) seeks to effectuate two goals: on the one hand, to give

effect to party autonomy; on the other, to discourage delay and avoid excess expense. To

accommodate both goals, the Principles give the enforcement court discretion to decide

whether to enforce the judgment. When deciding, the court should consider whether the party

seeking to avoid enforcement was prejudiced by adjudication in a court other than the one

selected in the agreement; the costs of relitigation; whether the objection to the rendering

court was raised in an earlier stage in the litigation and why the objection was denied; and

whether the objection was deliberately waived at an earlier stage. In cases where the parties

had entered into multiple and divergent choice-of-court agreements and the rendering court

was one of the fora chosen, the enforcement court should consider whether the rendering

court was reasonable in light of the factors set out in § 202, Comment e.

Section 403(2)(a) is also applicable in two other circumstances: first, to a judgment of a

court chosen in a negotiated choice-of-court agreement that the resisting party claims to be

invalid under the criteria set out in § 202(3); second, to the judgment of a court other than the

one selected in a standard form agreement. In both cases, an argument can be made that the

mandatory provision of § 403(1)(f) should apply. Nonetheless, the Principles take the position

that these situations do not present a compelling case for a mandatory approach. When

exercising its discretion, the enforcement court should, however, consider whether the party

resisting enforcement had an effective opportunity to present its objections to the rendering

court.

Illustrations:

4. A, a Patrian, sells to B, a Xandian, a software program accompanied by a shrinkwrap

license that specifies that all disputes will be litigated in Patria. B resells the software in

Xandia, in contravention of a term in the agreement. A sues B in Patria and the court declares

the case within the Principles. B objects on the ground that Patria has no connection to the

events and litigation there is burdensome. The Patrian court nonetheless holds the court-

selection clause valid, and finds B to have breached the contract. A is awarded damages and

seeks enforcement in Xandia; B resists on the ground that the judgment is predicated on a

jurisdictional basis inconsistent with § 202.

Because the court in Patria was chosen in a standard form agreement,

§ 403(1)(f) is applicable and the Xandian court must consider the legal validity of the

agreement de novo (bound, however, to the facts found in Patria; see § 403(3)). If the Xandian

court decides the agreement was not valid and that the Patrian court would not have had

jurisdiction over B in the absence of the court-selection clause, it should decline to enforce the

judgment. Allowing the Xandian court to deny enforcement gives teeth to the Principles and

encourages parties like A to choose fair fora.

5. Same facts as in Illustration 4, except that the choice-of-court agreement between A

and B was negotiated. B contends that the forum-selection clause is invalid under § 202(3)

because the agreement was improperly executed under the law of the State chosen in the

contract. The rendering court rejected this objection.

Section 403(2)(a) is now applicable. The Xandian court may reexamine the Patrian

court’s legal conclusion. If the Xandian court, on the facts as found by the Patrian court, finds

the agreement was properly executed, the Xandian court should enforce the judgment (§ 401).

If the Xandian court, on the facts as found by the Patrian court, finds the agreement was

not properly executed, the Xandian court may nonetheless exercise its discretion to enforce

the judgment.

e. Jurisdiction, § 403(1)(g), (h), and (2)(a). Section 403(1)(g) requires courts to refuse to

enforce judgments when jurisdiction was obtained in a manner contrary to generally shared

norms of fundamental fairness. Similarly, § 403(1)(h) mandates refusal to enforce a judgment

entered in violation of the rendering forum’s own rules of judicial competence. Barring courts

from enforcing judgments predicated on an unfair or unauthorized exercise of judicial power

over the defendant encourages plaintiffs to choose appropriate fora and discourages courts

from adjudicating cases without jurisdiction. See also ALI Foreign Judgments Project §§

5(a)(iii) and 6(a)(i)-(iv) and § 6, Comments a and b.

Section 403(2)(a) is a discretionary provision. Together with § 401, it creates an avenue

for encouraging adoption of the Principles and applications of the jurisdictional rules set out

in §§ 201-206 by ensuring that a judgment rendered by a court that did apply §§ 201-206 will

be recognized and enforced. Section 403(2)(a) adds a stick to this carrot by allowing a court to

refuse to enforce judgments when jurisdiction was not obtained consistently with §§ 201-206.

f. Choice of law, § 403(2)(b). The Principles recognize that much of the controversy

concerning adjudication of multiterritorial intellectual property claims derives from

apprehensions that the court will apply laws inappropriate to the multinational character of the

case, in particular, that the court will apply its own State’s law to the full range of alleged

infringements occurring outside the forum. As a result, the Principles take care to distinguish

issues going to choice of court from those pertaining to choice of law, and to propose distinct

approaches to each. See, e.g., § 103(1) (“[c]ompetence to adjudicate does not imply

application of” forum law). For this reason, Part III offers provisions on applicable law. The

general rule of territoriality strongly informs these provisions. Section 403(2)(b) is intended to

ensure that these provisions are respected. Like § 403(2)(a) with respect to judicial

competence, § 403(2)(b) offers a carrot-and-stick approach to legislative competence.

Judgments applying laws designated in a manner consistent with the rules set out in §§ 301-

324 will be enforced. Recognition of judgments that do not is left to the enforcement court’s

discretion. Section 403(2)(b) is limited: the enforcement court must, per § 403(3), defer to the

rendering court’s factual findings on the choice-of-law issue. Furthermore, in deciding

whether to decline to enforce the judgment, the enforcement court should consider whether

the objection to applicable law was considered in an earlier phase of the litigation.

Accordingly, a rendering court can protect its judgment by providing reasoned decisions for

the choices it makes, and the parties are free to urge the court to articulate its views on

applicable law for the benefit of the enforcement court. So long as a reasonable jurist could

take the court’s position, the judgment should be considered enforceable. This approach thus

seeks to provide an additional safeguard against inappropriate extrusions of one State’s norms

upon another.

Arguably, the special scrutiny that § 403(1)(f) gives to court-selection clauses found in

standard form agreements should be applied to standard form choice-of-law clauses.

However, the Principles take the position that so long as the party resisting enforcement

litigated in a fair forum, it had a fair opportunity to present its objections to the law that was

applied.

g. Inconsistency with the coordination Principles, § 403(2)(c) and (d). In order to

promote efficient adjudication, it is important not only to facilitate parties’ applications to

coordinate, but also to discourage continued proceedings in other fora once an action has been

coordinated. An effective way to discourage those proceedings is to deny enforcement to any

resulting judgment. Subsection (2)(c) deals with the situation where the case is pending in

courts coordinating or cooperating in the adjudication or in the consolidation court.

Subsection (d) deals with judgments inconsistent with the decisions of these courts. These

provisions echo the ALI Foreign Judgments Project’s approach to lis pendens, §§ 11, 5(c)(ii)

and (iii).

Section 223(4) permits a court, where an action was filed and was suspended on account

of coordination elsewhere, to revive the action if coordination does not proceed in a timely

fashion. It is implicit in § 403(2)(c) and (d) that the judgments in such revived cases are

enforceable according to the law of the enforcement court.

h. Defaults, § 403(3). The general rule in subsection (3) accords with ordinary

principles of private international law, which prohibit courts from reexamining the merits of

the dispute under the guise of examining procedural regularities, see ALI Foreign Judgments

Project § 2, Comment d. An exception is made for cases where the defendant did not appear.

When judgment is rendered in default of appearance, there is rarely a finding of fact.

However, in the rare case where facts are found, deference is inappropriate as there has been

no opportunity for the defendant to contest the findings. The same is not true when the

defendant defaults after contesting personal jurisdiction, for in such cases, the defendant

chose to bypass the opportunity to present its side of the case.

REPORTERS’ NOTES

1. Inconsistency with fundamental procedures in the State addressed. In the context of

these Principles, jury trials and discovery pose the most troublesome issues.

a. Jury trials. The availability of jury trials in the United States should not be regarded

as a procedure so fundamental as to bar U.S. enforcement of non-U.S. judgments. Although

the Seventh Amendment’s jury-trial requirement is binding in the courts of the United States

(federal courts), it has never been viewed as binding in state courts. See, e.g., Geoffrey C.

Hazard, Jr., et al., Pleading and Procedure, State and Federal 1120-1122 (8th ed. 1999).

Moreover, issues decided in the absence of a jury may be binding for issue-preclusion

purposes, even in the proceedings of courts where a jury trial would have been required on the

precluded issue. See, e.g., Parklane Hosiery Co. v. Shore, 439 U.S. 322 (1979). Indeed,

foreign judgments have routinely been enforced in U.S. courts. See also Society of Lloyd’s v.

Ashenden, 233 F.3d 473 (7th Cir. 2000) (not requiring that identical procedures be used by a

foreign court for its judgment to be enforceable).

The converse situation—enforcement of a judgment based on a jury verdict in a

jurisdiction that does not use civil juries—should be equally unproblematic. Many

jurisdictions that lack civil juries nonetheless use them in special cases and in criminal cases.

Thus, the use of a jury should not be considered a breach of fundamental process.

b. Discovery. The quality of discovery opportunities may pose a more difficult problem

than jury trials, particularly in patent cases where there may be substantive provisions of law

that rely on a form of discovery available in the jurisdiction whose law is in issue, but not in

the jurisdiction where the case is tried. In fact, however, discovery in foreign courts may be

more widely available than American jurists assume, see, e.g., Nichia Corp. v. Argos Ltd.,

[2007] EWCA Civ 741 (Ct. of Appeal 2007). An example from patent law is a defense of

invalidity, where the ground is that the patentee was not the first to invent, 35 U.S.C. §

102(a), and where laboratory notebooks may be a necessary part of the proof. In some cases,

there may be opportunities for assistance from other tribunals, such as under the Hague

Evidence Convention, or pursuant to U.S. federal law. See 28 U.S.C. § 1782; Intel Corp. v.

Advanced Micro Devices, Inc., 542 U.S. 241 (2004) (reading 28 U.S.C. § 1782 to give courts

broad discretion to offer assistance). See generally Hans Smit, American Assistance to

Litigation in Foreign and International Tribunals: Section 1782 of Title 28 of the U.S.C.

Revisited, 25 Syracuse J. Int’l L. & Com. 1 (1998). See also Council Regulation 1206/2001;

see also Pro Swing, Inc. v. Elta Golf, Inc., [2006] SCC 52, 45 (Can.) (suggesting the use of

letters rogatory). Where these procedures are not available, and the failure of proof is

attributable directly to their absence, the enforcement court should consider whether the

absence gives rise to a lack of fundamental procedural fairness.

The converse situation—enforcement of a judgment rendered after use of discovery

devices unavailable in the jurisdiction where enforcement is sought—should not pose a

problem. Although the discovery devices available in the United States can be regarded as

intrusive, privacy protections are available, see, e.g., Fed. R. Civ. P. 26. See also Fed. R. Civ.

P. 16. Accordingly, while approaches and standards differ, any court interested in

participating in a project such as this one is unlikely to view the differences as fundamental.

2. The public policy in the State in which enforcement is sought. Section 403(1)(e)

deals with incompatibility with the public policy in the State of the enforcement court. The

phrase “in this State” includes territorial subdivisions, such as the 50 states of the United

States. The intent is to describe a narrow category of cases. This is not to deny that intellectual

property raises difficult policy issues: exclusive control over information through copyright

protection can violate free-speech norms and undermine the political process. See, e.g., Neil

Weinstock Netanel, Copyright and a Democratic Civil Society, 106 Yale L.J. 283, 364 (1996)

(arguing that copyright protects democracy, but that “a copyright of bloated scope . . . would

stifle expressive diversity and undermine copyright’s potential for furthering citizen

participation in democratic self-rule”). For example, the rendering court might prohibit the

reproduction of a trademark in the context of a political commentary depicting the trademark

on a T-shirt. Or it might enjoin the public performance of a song parody. Patent rights have

direct impact on health and safety. See, e.g., Arti K. Rai, The Information Revolution Reaches

Pharmaceuticals: Balancing Innovation Incentives, Cost, and Access in the Post-Genomics

Era, 2001 U. Ill. L. Rev. 173. Both patents and copyright can interfere with scholarly pursuits,

as in CA 2760/93, 2811/93, Eisenman v. Qimron, 54(3) P.D. 817 (Isr.). See, e.g., David

Nimmer, Copyright in the Dead Sea Scrolls: Authorship and Originality, 38 Hous. L. Rev. 1

(2001); Neil Wilkof, Copyright, Moral Rights and the Choice of Law: Where Did the Dead

Sea Scrolls Court Go Wrong?, 38 Hous. L. Rev. 463 (2001) (focusing on choice-of-law

aspects to the Israeli decision). However, these Principles deal with many of these problems

through the remedial provisions of §§ 411-413. Only if these provisions are inadequate should

resort be made to public policy. For a domestic decision adopting a public-policy approach to

awarding relief, see eBay Inc. v. MercExchange, L.L.C., 126 S. Ct. 1837 (2006). See also

Campbell v. Acuff-Rose Music, Inc., 510 U.S. 569, 578 n.10 (1994) (positing denial of

injunctive relief in favor of damages in certain copyright cases); Abend v. MCA, Inc., 863

F.2d 1465, 1479 (9th Cir. 1988) (finding “special circumstances” that would cause “great

injustice” to defendants and “public injury” were an injunction to issue), aff’d sub nom.

Stewart v. Abend, 495 U.S. 207 (1990). This approach is particularly appropriate in an

international setting, where cultural differences and levels of technological development are

so widely disparate. Together, the remedy provisions make sure that the level at which

infringement is deterred—or, the level of noncompliance with intellectual property law—in

the State of the court where enforcement is sought is not substantially altered by reason of its

adopting these Principles.

Given these other avenues for addressing policy concerns, subsection (1)(e) should be

reserved for cases where enforcing the judgment would cause extreme incompatibility

problems. Subsection (1)(e) echoes provisions of other instruments, see National Conference

of Commissioners on Uniform State Laws (now known as the Uniform Law Commission),

Uniform Foreign-Country Money Judgments Recognition Act § 4(c)(3) (2005) (“repugnant to

the public policy of this state or of the United States”), available at

http://www.law.upenn.edu/bll/archives/ulc/ufmjra/2005final.htm (last visited Jan. 3, 2008);

Brussels Regulation art. 34(1); the Convention on the Recognition and Enforcement of

Foreign Arbitral Awards (New York Convention), June 10, 1958, 330 U.N.T.S. 38, available

at http://www.uncitral.org/uncitral/en/uncitral_texts

/arbitration/NYConvention.html (last visited Jan. 3, 2008). Furthermore, the commitment to

territoriality means that there should be a close connection between the State and the activity

at issue in the dispute. Thus, it is important to distinguish between cases involving intellectual

property disputes and libel disputes. U.S. courts have declined to enforce British libel

judgments rendered concerning acts of defamation occurring outside the United States, on the

ground that a U.S. court’s participation in enforcing the judgment would be inconsistent with

First Amendment values. See, e.g., Bachchan v. India Abroad Pubs. Inc., 585 N.Y.S.2d 661

(Sup. Ct. N.Y. County 1992); Matusevitch v. Telnikoff, 877 F. Supp. 1 (D.D.C. 1995), aff’d

on state-law grounds (table), 159 F.3d 636 (D.C. Cir. 1998). See also Telnikoff v.

Matusevitch, 702 A.2d 230 (Md. 1997) (enforcing British libel judgment would violate

Maryland public policy). Whatever the position one takes on whether the contacts between

these disputes and U.S. courts warrant refusal to enforce the foreign libel judgments, it should

be noted that defamation standards—unlike norms of intellectual property—remain largely

unharmonized and thus present a greater likelihood of policy incompatibility.

Permitting nonenforcement (or refusing to enforce elements of a judgment, such as an

order for injunctive relief) on public-policy grounds could be considered of a piece with the

TRIPS Agreement, which also contemplates the possibility that a general obligation imposed

on all member States could have a disparate impact for certain members. Indeed, the

provisions of TRIPS that deal with these situations could be used to elucidate the

determination of when a judgment is manifestly incompatible with public policy. For

example, art. 27(2) of the TRIPS Agreement permits a State to exclude otherwise patentable

subject matter from the scope of protection when:necessary to protect ordre public or

morality, including to protect human, animal or plant life or health or to avoid serious

prejudice to the environment . . . .

Similarly, art. 31(b) of the TRIPS Agreement contemplates that efforts to obtain

authorization for certain usages can be waived in the case of “national emergenc[ies]” or

“extreme urgency.” Finally, all of the major provisions of the Agreement permit limitations

that do not unreasonably prejudice the legitimate interests of the rights holder. See TRIPS

Agreement, arts. 13, 17, 26(2), and 30; World Trade Organization, Ministerial Declaration of

14 November 2001 on the TRIPS Agreement and Public Health, 5(b) WT/MIN(01)/DEC/2,

available at http://www

.wto.org/english/thewto_e/minist_e/min01_e/mindecl_trips_e.htm (last visited Jan. 3, 2008)

(the “Doha Declaration”).

In some cases, the clash between an intellectual property decision rendered by one court

and the public policy of another State may occur because the rendering court failed to

carefully consider what law ought to apply to the controversy. To the extent this is true, the

matter is more appropriately resolved by reference to the Principles on applicable law, §§

301-324. These Sections and commentary better frame the decision by setting parameters for

determining whether an inappropriate law was utilized.

3. Choice of law. In France, for example, the traditional rule was that the conflicts rules

chosen by a foreign court were reviewed by the court considering enforcement, see Court de

cassation, première chamber civile [Cass. 1e civ.], Jan. 7, 1964, JCP (1964) II 13590 (Munzer

v. Munzer) (Fr.). See generally Bernard Audit, Droit international privé 454-468 (3d ed.

2000) (French judge must verify several conditions, including whether law chosen by the

foreign court is consistent with French conflicts rules).

However, this is not the universal approach. For example, the European Convention on

Recognition and Enforcement of Decisions Concerning Custody of Children and on

Restoration of Custody of Children, May 20, 1980, ETS 105, available at

http://conventions.coe.int/Treaty/en/Treaties/Word/105.doc (last visited Jan. 3, 2008), does

not permit nonenforcement on choice-of-law grounds, arts. 9-10. The Principles also depart

from the ALI Foreign Judgments Project §§ 5 and 6, except to the extent that the court issuing

the judgment did not have jurisdiction to prescribe, § 5(c)(i). See Séverine Gressot-Leger,

Faut-il supprimer le contrôle de la loi appliquée par le juge étranger lors de l’instance en

exequatur?, 130 Journal du droit international 767 (2003). However, in both the United States

and European Union, the interest in the free movement of judgments is especially high, and

direct review in the courts of last resort provides a check on exorbitant choices. Most

important, the jurisdictions subject to the rule barring collateral attack generally share a

common approach to law and to choice of law, which makes it unlikely that an incorrect

decision by the rendering court will lead to outcomes that are radically wrong. Such is not the

case for Principles addressed to the entire world; if it were the case, then §§ 301-324 would

not be needed. Given that they are required, it is necessary to give them teeth.

Three approaches are possible. First, conflicts rules could be closely reviewed for

accuracy. The approach was rejected because it would lead to relitigation of many cases.

Second, the enforcement court could examine the rendering court’s judgment to see if the

appropriate procedure was utilized. This approach was regarded as overly deferential. Third is

the approach chosen: the enforcement court could assure itself that the choices made were not

inconsistent with the norms set out in the Principles. This approach is intended to give courts

incentives to think carefully about choice of law, to consult with each of the courts from

which a consolidated case was drawn, and to articulate the reasons underlying their choices. It

is also intended to give parties a disincentive to contend for an unreasonable choice, even if

they might achieve that objective in the rendering court.

A sense of the standard of review can be garnered from comparing Phillips Petroleum

Co. v. Shutts, 472 U.S. 797 (1985), with Sun Oil Co. v. Wortman, 486 U.S. 717 (1988). Both

cases involved a nationwide class action in which members of the class claimed interest

payments on royalties owed on account of the exploitation of gas rights. The cases were

litigated in Kansas, but the class members and the leaseholds involved were not all from

Kansas. In Shutts, the Supreme Court held that Kansas substantive law could not be applied to

all of the claims because, in many of the individual cases, the underlying transactions had

“little or no relationship to the forum.” 472 U.S. at 821. In contrast, in Sun Oil, the Court

allowed Kansas to apply its own statute of limitations to all of the cases on the theory that

limitations periods arguably implicate the procedural concerns of the court entertaining the

case.

4. Factual issues. Arguably, accuracy would be further promoted by allowing

relitigation of factual findings or by making the accuracy of the rendering court’s fact finding

a presumption, which could be rebutted in the enforcement court. Such a procedure has the

added advantage of avoiding questions on how to review mixed questions of law and fact. On

the other hand, rearguing facts is costly and time consuming. The traditional private-

international-law restriction on reexamining factual predicates represents an attempt to strike

a balance between the interest in finality and the interest in accuracy.