Wednesday, 6 November 2013

The Future Scope of US Emissions Regulation: The Supreme Court’s Impending Ruling and Its Moral Implications

By Rosalba Gleijeses


The Supreme Court will again be evaluating the scope of the Environmental Protection Agency’s regulatory power, addressing the challenge to a June 2012 ruling by the U.S. Court of Appeals for the District of Columbia, upholding the EPA’s regulation of emissions from stationary sources, such as power plants and factories. Last week, the Supreme Court granted certiorari to address the question: “Whether the EPA permissibly determined that its regulation of greenhouse gas emissions from new motor vehicles triggered permitting requirements under the Clean Air Act for stationary sources that emit greenhouse gases.” Oral arguments will be heard in January 2014, consolidating the six cases brought against the EPA by the Utility Air Regulatory Group, American Chemistry Council, Energy-Intensive Manufacturers, Southeastern Legal Foundation, Chamber of Commerce, and the state of Texas.
            In 2007, the Supreme Court ruled on the issue of whether a State has a standing right to sue the EPA for not enforcing the Clean Air Act, in the case of Massachusetts v. Environmental Protection Agency. The Court upheld the right, arguing that, while individual injury claims in a greenhouse gas case would typically be too tenuous, the State has a quasi-sovereign interest in the matter. This is because the rising water levels have led to injury of costal property. The EPA did not deny the causal connection of emissions, global warming, and rising water levels.
            Fast forward six years and the EPA’s new program now requires that future coal plants must be as clean as cycled natural gas units. This would entail a 60 percent decrease from the current level of 1,850 pounds of carbon emitted per megawatt hour. Objections to this program argue that the Clean Air Act only requires pre-construction permits for six individual types of emissions that affect air quality, not greenhouse gases.
            Irrespective of how the Court rules, what normative considerations must be considered in evaluating the U.S.’s moral obligation to address to global concern of climate change? In order to answer this question, it is necessary to address the current levels of GHG emissions and their projected effects.
            Concentrations of CO2e are currently around 430 ppm per annum, and rising at a rate of 2.5 ppm per year. Given China’s increasing emissions, this rate is likely to increase to 3 ppm per annum. The International Energy Agency’s 2007 assessment projects China’s energy emissions to double by 2030, bringing their overall emissions to 12-15 gigatons. If this were the case, the world would likely stabilize at 750 ppm by 2100, which would mean roughly a 50 percent change of a temperature increase greater than 5 degrees Celsius. This drastic temperature increase would melt most of the world’s snow, raising sea levels by ten meters.
Economist Nicholas Stern provides a compelling argument for setting the level of stabilization for abatement at 550 ppm CO2e. This would cut emissions by roughly 50 percent by 2050. Such emissions reductions would cost around 1 percent of the world’s GDP per annum. This concentration is not ideal, but it appears to be the most plausible solution. At 550 ppm, there is still a 7 percent chance of temperature increase being about 5 degrees Celsius, and a 24 percent chance of being above 4 degrees Celsius. However, these risks are much preferred to those associated with a stabilization rate of 650 ppm, which would indicate a 58 percent chance of temperature increase above 4 degrees. A stabilization rate lower than 550 ppm may not be plausible. While 450 ppm would likely result in only a 1-3 degree increase in temperature, maintaining such a rate would cost three to four times as much as it would for a stabilization level of 550 ppm.
In assessing the degree to which the U.S. should bear the costs of climate change in the context of the global community, the commonly proposed “polluter pays principle” (PPP), a largely intuitive approach that maintains that the source of the problem is responsible for fixing it. PPP on its own may be a limited approach, but when adequately supplemented, it offers a comprehensive framework by which to assigning responsibility. Simon Caney proposes a convincing solution, made up of four principles:
(1) All have the duty not to exceed their greenhouse gas quota.
(2) Those who do exceed their quota have the duty to compensate others.
(3) The most advantaged have the duty to reduce their GHG emissions in proportion to the harm resulting from (2) or to address the negative effects of climate change.
(4) The most advantaged have the duty to develop institutions to hinder future non-compliance.
This model provides a plausible, justifiable framework for the degree to which the U.S. is responsible for meeting global climate change needs. The U.S., like everyone else, is bound by (1). Consistent with the logic of the original PPP argument is (2), which the U.S. much also oblige. Contributing more GHG emissions than any other nation in the world, completely disproportional to its population, the U.S. has the responsibility to compensate for its emissions. Similarly, the U.S. is also the most advantaged;thus, it is responsible to mitigate its damage or address its ability to pay through adaptation. Finally, the U.S., in conjunction with other advantaged countries, has the responsibility to develop institutions to hinder further noncompliance.
According to Caney’s theory of rights, evaluating the U.S.’s response to climate change indicates several reasons why such a response should not be largely dependent on other countries’ actions. The moral justification for the U.S.’s responsibility to fund climate change research, remediation, and adaptation stands, independent of the action of inaction of other international actors. This is attributed to the assumption that acting to alleviate the problems associated with climate change is a moral duty justified by the protection of human rights. Caney presents three features of human rights that he believes are directly violated by the repercussions of climate change. The first is the human right to life, which the International Covenant on Civil and Political Rights defines as every person having “a right not to be arbitrarily deprived of life.”  The violent weather changes produced by climate change result in fatal floods, hurricanes, tornadoes, and droughts, all of which distinctly violate this component of human rights.
The second feature that Caney discusses is a human right to health, which he defines as a negative right: “all persons have a human right that other people do not act so as to create serious threats to heath.” As discussed earlier, climate change has been linked to many serious health problems. The Fourth Assessment of the IPCC predicts that climate change will increase cases of: people at risk for dengue, cardio-respiratory morbidity, diarrhoeal diseases, malaria, and diseases and injuries causes by floods, storms, fires, and droughts. Since climate change is largely a product of humans’ emissions of GHGs, it is therefore people that are violating others’ right to health.
The final, arguably most pertinent, feature of human rights discussed by Caney is the human right to subsistence, which entails that: “all persons have a human right that other people do not act so as to deprive them of the means of subsistence.” Droughts resulting from climate change will deprive people of water. Floods and other natural disasters will destroy agriculture. In both cases, people in areas particularly vulnerable to such circumstance will be deprived of the most basic subsistence, as a result of a phenomenon exacerbated and accelerated by humans. The conclusion can be drawn that the response to climate change is associated with a strong moral duty to protect these universal human rights. Thus, regardless of how other countries act or fail to react to the issue, the duty of the U.S. remains the same.
Under this approach, its economic and technological advantages would ascribe a majority of the research burden to the U.S. Remediation should also be viewed proportionally. The U.S. accounts for 4% of the world population, but contributes 25% of the world’s GHG emissions. Establishing equal per capita entitlements would be a dauntingly difficult goal given the grossly uneven distribution of global per capita GHG emissions. A more plausible alternative would be to adopt a “fair chore division”, as proposed by Martino Traxler. This equalizes the marginal costs of those seeking to curb climate change by measuring costs in terms of subsistence, near-subsistence, and luxury emissions. In effect, wealthy countries, such as the U.S., have the duty to restrict emissions to the degree that least developed countries can emit enough GHGs to support/provide minimal necessary subsistence.
Ultimately, climate change remains a ubiquitously pernicious issue that needs to be addressed more vigilantly than it has been in the past. Given the grossly disproportionate distribution of emissions, it makes sense that the EPA is enforcing stricter standards that extend to stationary entities. While it is unclear how the Court will rule on the matter, the moral argument for upholding the standard seems far more compelling than the paltry legal objections.

Bibliography

Simon Caney, “Cosmopolitan Justice, Responsibility, and Global Climate Change,” in Climate Ethics, ed. Stephen M. Gardiner, Simon Caney, Dale Jamieson, and Henry Shue, 122-145. New York, NY: Oxford University Press, 2010.

Juliet Eilperin, “Supreme Court lets EPA’s Climate Authority Stand, Will Review Permitting Question,” Washingtonpost.com. Post Politics, 15 October 2013. Web. 22 October 2013.

Ben Geman, “Supreme Court to Hear Greenhouse Gas Case,” TheHill.com. E 2 Wire, 15 October 2013. Web. 22 October 2013.

Ken Silverstein, “Supreme Court May Fidget With Carbon But Not EPA’s Authority,” Forbes.com. Business, 17 October 2013. Web. 22 October 2013.

Nicholas Stern, “The Economics of Climate Change,” in Climate Ethics, ed. Stephen M. Gardiner, Simon Caney, Dale Jamieson, and Henry Shue, 39-76. New York, NY: Oxford University Press, 2010.

British Legal Reform: A New Supreme Court


By John Noland       

             Much of the world’s legal structures owe a debt to the United Kingdom.  From the 1215 signing of the Magna Carta to present, the British system has been a model for many nations around the world, as they sought to shape their own judiciaries in a more just, fair, and orderly manner.  However, as time rolled on and nations developed, British structure, in a nod to the importance of tradition in that culture, stayed relatively unchanged.  The United States increasingly became the world’s legal benchmark, with an independent, powerful judiciary granted the right to intercede and check the vast powers of a strong legislature.  In the United Kingdom, however, the highest legal authority resided in the legislature, emblematic and representative of the nonpareil power of British Parliament.
            In truth, comparing the American and British judicial systems has a striking apples-and-oranges feel.  The Constitution, so revered in the United States, serves as the basis of the legal system.  Laws that are deemed not to fit the spirit of the Constitution, or that run in direct opposition to its declarations are thrown out, without legislative oversight.  The UK operates on a common law system, where court decisions are made on precedent and adhere to certain traditional sources of determinacy, like the Magna Carta.  It is perhaps thusly fitting that the final authority in these regards is located in a structure, and more specifically, a chamber, that is so rooted in historical conventions.  Unlike the checked and balanced, three-branch structure of the American federal government, Parliament is the centerpiece to British governance.  The head of government, his or her cabinet, and (until recently) the highest judges in the nation are all members of the legislature.  Even the monarch, the head of state in the United Kingdom, is accountable to Parliament.
Previously, the collection of the twelve Lords of Appeal in Ordinary, or “Law Lords,” served as the highest court of appeals in the UK.  This configuration, which existed from “1876 until 2009”, was eliminated by the Constitutional Reform Act of 2005, which created an independent Supreme Court, and a system in which “the senior judges no longer sit in the legislature” (Guardian).  The House of Lords, the upper chamber of British Parliament, is an appointed body of legislators, outside of the realm of public control.  This change could mark a diminished role both for this body and Parliament in general, as “the creation of a new Supreme Court means that the most senior judges are now entirely separate from the Parliamentary process” (Supreme).  Significantly, while these lords are the “first justices of the 12-member Supreme Court,” they are “disqualified from sitting or voting in the House of Lords” (Law).  In years past, these members could vote on, and potential debate or propose the laws that they would be deciding later, which creates an arguably dangerous role for an officer of justice intended to rule without bias.
While this change in centuries-old procedure may be lauded as an important change, questions have been raised over whether such reform is substantive in a meaningful way.  Indeed, under the new law, the Supreme Court “has no power to nullify acts of parliament as unconstitutional,” nor “it is likely that appointments to the supreme court will now become politically charged, in the manner of the US” (Guardian).  What is the point, then, or such changes to a tested system?  This separation does mark an important move toward a more balanced central government, and could be a sign that the British government seeks to cultivate an independent judiciary away from what some may view as an antiquated, undemocratic upper house.  The Guardian editorial board seems to agree, and while they may not believe that the reform will lead instantaneously to a great deal of change, they conclude simply that “This is a good day for grown-up government.”




Bibliography

"Law Lords." UK Parliament. 2009. Web. 06 Nov. 2013.

"Supreme Court: Britain's October Revolution." The Guardian. Guardian News and Media Limited, 30 Sept. 2009. Web. 06 Nov. 2013.

"The Supreme Court." Judges, Tribunals and Magistrates. Judicial Office, 2009. Web. 06 Nov. 2013.

Text of the Constitutional Reform Act of 2005: http://www.legislation.gov.uk/ukpga/2005/4/contents


Town of Greece v. Galloway: Future of Prayer in Legislative Proceedings?


By Brian Liu

            In what is likely to become a hallmark case in the line of prayer in government settings—and on a larger scale, public prayers in its entirety—the case of Town of Greece v. Galloway will be brought before the Supreme Court on November 6th, after the 2nd Circuit Court of Appeals ruled to overturn a previous ruling in favor of the town of Greece.

This case comes from a complaint filed by Ms. Susan Galloway and Ms. Linda Stephens, both residents of the town of Greece (in upstate New York), who raised concern over the religious nature of the monthly town meetings. They argue, given the overwhelming number of Christian speakers who opened the town meetings with a prayer, and given that these prayers tended to be denominational in nature (using, for example, “Jesus” or “Holy Spirit” rather than an all-encompassing “God”), that the town’s practice is in violation of the Establishment Clause of the Constitution: “Congress shall make no law respecting an establishment of religion.”

At the core of this case is to what extent church and state should be separate and whether the presence of religious speakers in these bodies is, in itself, contrary to that central principle in our American way of governance.

Opening of proceedings with prayer is an inextricably historical practice, dating back to the very first days of Congress. Still to this day, both houses of Congress have their own paid chaplains on duty, who open all sessions with a prayer. And certainly, many state and local legislatures carry on the same practice, to varying degrees of religious exhortation. It would be insurmountably difficult to remove the practice of opening prayers in its entirety; this case should not be seen as an attempt at such.

Rather, the arguments on Wednesday will be centered upon whether or not the presence of a unitarily Christian group of speakers, as in the case of Greece’s town meetings prior to 2008, is a subversive promotion of Christian beliefs. In asking the audience of these proceedings to rise and pray to a specific Christian figure, does this exceed any pretense of general divine guidance, and become a form of proselytizing for the Christian faith?  Is it tantamount to a state/public endorsement of a single religion? Is this an unconstitutional establishment of religion?

The lawyers on the Greece side will argue that the city council had no hand in selecting the opening speakers. They will argue that a separate body chose these speakers, and that they never intended for them to speak specifically in a Christian rhetoric. And they will argue that these were all volunteer speakers, and as such, there was no official “endorsement” as in the case of Marsh v. Chambers, the direct precedent to this case.

It is an enormous challenge that lies before Ms. Galloway and Ms. Stephens. Facing a town that is overwhelmingly Christian, and opposition that counts a number of congressmen, state representatives, theologians, and even the Obama administration in their ranks, their argument must be—above all—infallible. There is, as always, no predicting what course of action the Court will take, but as it seems thus far, Greece has far and away the upper hand.


Bibliography

Mehta, Hermant. "Everything You Need to Know About Town of Greece v. Galloway, the Supreme Court Case About Government Prayer." Patheos. Patheos.com, 16 Aug. 2013. Web. 05 Nov. 2013. <http://www.patheos.com/blogs/friendlyatheist/2013/08/16/everything-you-need-to-know-about-town-of-greece-v-galloway-the-supreme-court-case-about-government-prayer/>.

Barsky, Lena. "Public Prayer Comes Back to the Court." Brown Political Review RSS. Political Theory Project, 30 Oct. 2013. Web. 05 Nov. 2013. <http://www.brownpoliticalreview.org/2013/10/public-prayer-comes-back-to-the-court/>.

Denniston, Lyle. "Argument Preview: Prayer’s Role in Government." SCOTUSblog RSS. Bloomberg Law, 3 Nov. 2013. Web. 05 Nov. 2013. <http://www.scotusblog.com/2013/11/argument-preview-the-function-of-prayer/>.

"Greece, New York." (NY 14626) Profile: Population, Maps, Real Estate, Averages, Homes, Statistics, Relocation, Travel, Jobs, Hospitals, Schools, Crime, Moving, Houses, News. City-data.com, n.d. Web. 05 Nov. 2013. <http://www.city-data.com/city/Greece-New-York.html>.

Klukowski, Ken. "Symposium: Time to Restore Longstanding Meaning – and Sanity – to the Establishment Clause in Town of Greece v. Galloway." SCOTUSblog RSS. Bloomberg Law, 3 Oct. 2013. Web. 05 Nov. 2013. <http://www.scotusblog.com/2013/10/symposium-time-to-restore-longstanding-meaning-and-sanity-to-the-establishment-clause-in-town-of-greece-v-galloway/>.

United States of America. Department of Justice. Office of the Solicitor General. By Donald B. Verrilli, Jr. BRIEF FOR THE UNITED STATES AS AMICUS CURIAE SUPPORTING PETITIONER, n.d. Web. <http://www.americanbar.org/content/dam/aba/publications/supreme_court_preview/briefs-v2/12-696_pet_amcu_usa.authcheckdam.pdf>.

How LSAC Calculates Your GPA


By Victoria Vail

            Prospective Law School students should not only focus on studying for LSATs, but remember that their GPAs can have just as much of an impact on their admissions into Law School.  Four years are spent studying for the LSATS, and four or more years earning your GPA.  There are important things to remember when considering your final GPA.  The LSAC (Law School Admission Council) recalculates your hard earned GPA determined by your undergraduate institution and factors in much more. 
Every single grade earned before obtaining your first bachelor’s degree will be calculated into a new GPA.  Even high school classes taken at a community college and summer credits earned there will be included.  Also, if you retake a course and your undergraduate institution accepts the higher grade, the LSAC will use both.  While some students study abroad as break from actually worrying about their GPA, the LSAC includes grades earned abroad.  Law School applications will require you to send in transcripts from every post-secondary institution that you have attended. 
What the LSAC will not factor into your GPA is any grade earned after completing your first bachelor’s degree.  Grades earned during Master’s and Ph.D programs will not be calculated into your GPA.  Transcripts may be sent in from graduate schools, but the grades earned there will not be calculated into your GPA.  Major and class difficulty will not be considered during calculation.  Taking a major related course compared to an easy elective will not result in a difference calculation.  Some schools do weigh GPAs from schools with known grade inflation.  Remedial classes will not be included in the GPA calculation.  Lastly, grades earned after submitting law school application will not be considered.  Most schools request a copy of your final transcript after applying, however, few schools refer to it.  Students conflicted with senioritis tend to hold off on sending in their final transcripts until the law school they are admitted to requests them.
The CAS (Credential Assembly Service) calculates your GPA by multiplying each of your grades by the number of credits each is worth.  Then the grades are added together and divided by the total number of credits you have taken.  If your undergraduate institution does not factor A+’s (4.33) into your GPA, but they appear on your transcript, then a boost in your GPA could occur.  Withdrawals on your transcript will count as F’s.  Regarding the Pass/No Pass option that some schools allow, grades marked as “P” will not be factored into your LSAC GPA. It is important to know this information as soon as possible as an undergraduate student with the hopes of attending law school one day.  If you are doing poorly in a class, try to receive a pass in the class instead of a withdrawal.  Focus on your GPA throughout your entire undergrad, including summer classes and study abroad programs.  The LSAC GPA calculation shows that there is not much covering up you can do when applying to law schools.  Beginning as early as freshman year, you are developing your LSAC GPA and determining your future as a law school student.  Law schools will recognize those who will succeed based on their LSAT scores, recalculated GPA, and other admission factors.  Having the best GPA you possibly can is a huge factor in determining your admittance to law school.



Bibilography

Blueprint Test Preparation, . "How LSAC Recalculates Your GPA For Law School Admissions." Above the Law (blog), October 30, 2013. http://abovethelaw.com/career-files/how-lsac-recalculates-your-gpa-for-law-school-admissions/ (accessed November 3, 2013).