United States
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AZ - Wildlife - Taking and Handling of Wildlife. Article 1. General Regulations | The following statutes comprise Arizona's wildlife code. Among the provisions include methods of taking wildlife, hunting restrictions, the state's hunter interference laws, and laws specific to mountain lions, bears, and jaguars. |
Babbitt v. Sweet Home Chapter of Communities for a Great Oregon |
(edited from Syllabus of the Court) As relevant here, the Endangered Species Act of 1973 (ESA or Act) makes it unlawful for any person to “take” endangered or threatened species, § 9(a)(1)(B), and defines “take” to mean to “harass, harm, pursue,” “ wound,” or “kill,” § 3(19). In 50 CFR § 17.3, petitioner Secretary of the Interior further defines “harm” to include “significant habitat modification or degradation where it actually kills or injures wildlife.” Respondents, persons and entities dependent on the forest products industries and others, challenged this regulation on its face, claiming that Congress did not intend the word “take” to include habitat modification. Held: The Secretary reasonably construed Congress' intent when he defined “harm” to include habitat modification. |
Backyard Breeding: Regulatory Nuisance, Crime Precursor | This Article fills this gap by addressing the problems of unregulated, small-volume dog breeding. Part I provides an overview of the regulatory regimes that govern dog breeding in the United States; an Appendix provides citations to and summaries of the relevant provisions of each state's laws. Part II steps back and describes backyard breeding operations and their harms, including, at times, their role in larger criminal enterprises. Part III reviews literature on the regulation of “low risk” activities and develops a practical, three-step approach to regulating backyard breeding, to efficiently resolve much nuisance-level backyard breeding and illuminate the pernicious breeding. Part IV concludes the Article. |
Bailey v. Veitch |
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Baker v. McIntosh |
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Baker v. Middleton (unpublished opinion) | |
Baker v. SeaWorld Entertainment, Inc. | Plaintiffs brought a securities fraud class action against the collective Defendants, including Seaworld Entertainment, Inc. This action involved statements and omissions made by the Defendants following a 2013 documentary titled Blackfish. The issues centered on the attendance impact that the documentary had on Seaworld. Company-wide attendance declined in 2013 and 2014, however, several officials of the Company made statements that there was no attendance impact resulting from the documentary. Both Plaintiffs and Defendants moved to exclude the testimony of several experts. The Court ultimately affirmed its tentative rulings, denied Defendant’s motion to exclude the testimony of two of Plaintiff’s experts, granted Defendant’s motion to exclude the testimony of Dr. James Gibson, granted in part and denied in part Plaintiff’s motion to exclude the testimony of Dr. Craig Lewis, granted Plaintiff’s motion to exclude the testimony of Dr. Randolph Bucklin, and denied Defendant’s motion for summary judgment. |
Bal Harbour Village v. Welsh |
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Balch v. Newberry |
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Bald & Golden Eagle Protection Act (BGEPA) |