+1 to this mindset of resolving issues out of courts, and most importantly that there seem to be some level of agreement that either versions would ultimately require going to court when all the options to mediate with board in following it's bylaw (including fundamental) fail. It still brings me to wonder what the community power goal is; to get the board to follow the community's will or to get them to follow the community approved bylaws. If for the later, the question then is whether either of the models can achieve that? From all indications it seem to be a yes for both. Based on this, would it not then be strategic enough to go for the model that achieves less structural change in ICANN since that is not the goal of this working. Regards Sent from my Asus Zenfone2 Kindly excuse brevity and typos. On 22 Sep 2015 14:09, "Avri Doria" <avri@acm.org> wrote:
Hi,
I would prefer that we avoid needing to use the courts for that purpose.
One of the things I argued for in the development of the CM is that relying on the courts would always be as a last resort. Not the initial guarantee. For the multistakeholder model to work we need to resolve the accountability issue within the expanding community as much as possible.
This easy resort to US courts is something I find problematic. If the Board's response to an disagreement is "take us to court if you don't like it," we will have failed.
avri
On 22-Sep-15 08:55, Chris Disspain wrote:
Avri,
But under the MEM and under the sole member model the ultimate arbiter of that would be the courts in California. No?
Cheers,
Chris
On 22 Sep 2015, at 22:51 , Avri Doria <avri@acm.org <mailto:avri@acm.org>> wrote:
Hi,
I think that the fiduciary responsibility does not change. What changes is whether the Board has unilateral and final control of the meaning and implications of its fiduciary responsibility or of the decisions based upon that vision.
avri
On 22-Sep-15 08:43, Samantha Eisner wrote:
Jordan, can you please elaborate more on the “different fiduciary duty” situation that you refer? As I understand it, the fiduciary duties of the Board do not change whether a member is present or not.
Thanks,
Sam
From: <accountability-cross-community-bounces@icann.org <mailto:accountability-cross-community-bounces@icann.org> <mailto:accountability-cross-community-bounces@icann.org>> on behalf of Jordan Carter <jordan@internetnz.net.nz <mailto:jordan@internetnz.net.nz> <mailto:jordan@internetnz.net.nz>> Date: Tuesday, September 22, 2015 at 5:15 AM To: Chris Disspain <ceo@auda.org.au <mailto:ceo@auda.org.au> <mailto:ceo@auda.org.au>> Cc: "Accountability Cross Community (accountability-cross-community@icann.org <mailto:accountability-cross-community@icann.org> <mailto:accountability-cross-community@icann.org>)" <accountability-cross-community@icann.org <mailto:accountability-cross-community@icann.org> <mailto:accountability-cross-community@icann.org>> Subject: Re: [CCWG-ACCT] MEM and enforceability
Hi Chris, all:
The second is not the same with the single member model. As has been outlined on list before, the different fiduciary duties situation that exists with membership solves that problem.
On the first, the plan of the CCWG has been binding not advisory IRP so I don't think that it is the same, no.
On the third, that does seem a sensible time frame constraint...
best Jordan
On 23 September 2015 at 00:06, Chris Disspain <ceo@auda.org.au <mailto:ceo@auda.org.au> <mailto:ceo@auda.org.au>> wrote:
Hello David,
I appreciate the constructive criticism 😀.
Are these points not the same as with the IRP in the sole member model? They would need to be addressed in either case wouldn't they?
Cheers,
Chris
On 22 Sep 2015, at 21:59, McAuley, David <dmcauley@verisign.com <mailto:dmcauley@verisign.com> <mailto:dmcauley@verisign.com>> wrote:
I appreciate the board’s input and take it as a good faith effort to enhance and evolve the CCWG proposal.
However, I have, with respect, three critiques of it.
First, the ability to create a remedy if the MEM panel finds against the board is completely within the board’s discretion. Even a slight (even inconsequential) “remedy” would be a remedy and would, effectively, bar any viable avenue to court enforcement.
Second, (and this applies to any panel ruling) any decision by the board to state that a ruling against it falls into the area of the board’s fiduciary obligations (thus frustrating implementation of the ruling) should itself be appealable to ensure that this is, in fact, an objectively justified conclusion.
And, third, if we went down this path, the board’s ability to create a remedy (subject, I would urge, to some test for reasonableness) should be time-limited so that a claimant need not wait and wonder if it can ever appeal to court.
David McAuley
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