Example, PANELIST “A” is employed in Lawfirm “B” whose client is a shareholder of NAF. Sent from my iPad
On 15 Mar 2018, at 20:45, Doug Isenberg <Doug@Giga.Law> wrote:
The UDRP Rules (para. 7) require that a “Panelist shall be impartial and independent and shall have, before accepting appointment, disclosed to the Provider any circumstances giving rise to justifiable doubt as to the Panelist's impartiality or independence.” How does a Panelist’s knowledge (or absence of knowledge) of a Provider’s owners affect whether a Panelist can satisfy this impartiality and independence requirement?
Doug
From: gnso-rpm-wg <gnso-rpm-wg-bounces@icann.org> On Behalf Of Paul Keating Sent: Thursday, March 15, 2018 3:18 PM To: George Kirikos <icann@leap.com> Cc: gnso-rpm-wg@icann.org Subject: Re: [gnso-rpm-wg] RPM March 15 session - questions from George Kirikos
Michael and Phil
Aside from conflicts associated with NAF as a provider how can a panelist attest to the absence of conflict if she or he does not know who the owners of NAF (or any other ADT provider aside from WIPO) are ??
Would it bother anyone if the ADR provider were actually owned by domain registrants or attorneys who inly represent registrants?
Sincerely, Paul Keating, Esq.
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