Google deletes private data in Ireland; a complaint filed in U.S.

Google said Monday afternoon that upon the request of Ireland's Data Protection Authority, it has deleted private data it collected as part of its Street View application.

In a blog post, the company said that it deleted that information over the weekend in the presence of an independent third party. Google said it is also reaching out to other nations where it also collected data.

The controversy over Google’s data collection stems from its announcement Friday that it inadvertently collected private data off of unprotected, or unencrypted, Wi-Fi networks at homes while compiling photos for location-based services.

German officials blasted Google, saying the practice, even if in error, was illegal. California-based Consumer Watchdog filed a complaint to the Federal Trade Commission seeking an investigation on how the practice affected consumers.

“We are reaching out to Data Protection Authorities in the other relevant countries about how to dispose of the remaining data as quickly as possible,” wrote Alan Eustace, senior vice president of engineering and research at Google.

via Post Tech – Google deletes private data in Ireland; a complaint filed in U.S..

New gadget extracts evidence from cell phones – The New Britain Herald News : New Britain, Conn., and surrounding areas (newbritainherald.com)

With the help of an upgraded piece of  equipment, city police Detective Michael Grossi was able to discern in less than a minute Monday that his superior officer had 93 text messages and 512 e-mails listed on his Blackberry.

He could also individually read each one. If any had been deleted, Grossi could have accessed the contents.

“With these tools we can interpret the data and get it off the phone,” said Lt. James Wardwell, who turned over his BlackBerry for the demonstration. “Right now he’s connected and sucking the data off. It took him about a minute to retrieve the data and hand me back my phone.”

If any of the information had contained child pornography, the quick analysis time could prevent a child from being molested again. That’s what Heather Steele. president and CEO of the Innocent Justice Foundation, was hoping for when she arranged for the city police department to receive two $2,500 grants from the Michael Bolton Charities, Inc. and the J. Walton Bissell Foundation earlier this year.

The police “are the vanguard of people who understand what these crimes are,” Steele said. “With the Internet it has exploded, but a lot of chief and command officers didn’t understand and chose to put their resources in things like burglary or homicides.”

Steele’s California-based non-profit organization connects law enforcement agencies in need of tools and training to investigate crimes against children with charities who are willing to fill the funding gap.

She was on hand Monday along with Jacqueline Smaga from Michael Bolton Charities and Dan Anthony from the West-Hartford based J. Walton Bissell Foundation to accept recognition from the city for their contribution and tour the department’s Digital Forensics lab to view the investigative techniques that their money helped buy.

“Our unit is probably the best in the state,” Mayor Timothy Stewart told the visitors minutes before he awarded them with plaques for their participation. “We started several years ago, way before most other departments. They’ve solved some pretty interesting cases, not just for our department, but for others as well.”

The department used the money to purchase upgrades to two pieces of equipment used to analyze mobile digital devices including BlackBerries, iPhones and other cell phones.  Detectives must either obtain consent from the owner or a search warrant before they can search the digital devices, police said.

Wardwell created the digital unit in the 1990s as computer technology was increasingly becoming a factor in crimes and criminal investigations.

via New gadget extracts evidence from cell phones – The New Britain Herald News : New Britain, Conn., and surrounding areas (newbritainherald.com).

Toyota Recall Lawyers Appointed to Leadership Roles in Federal Litigation – AboutLawsuits.com

U.S. District Judge James Selna, who is presiding over the federal Toyota litigation, has appointed 21 plaintiffs’ lawyers to serve in leadership roles in the multidistrict litigation (MDL). The Toyota recall lawyers will perform actions during pretrial proceedings that will benefit all plaintiffs who have filed a product liability lawsuit in federal courts throughout the United States over sudden acceleration problems with Toyota or Lexus vehicles.

Following the recall of millions of vehicles in recent months, a growing number of Toyota class action lawsuits, Toyota accident injury lawsuits and wrongful death lawsuits have been filed in state and federal courts throughout the United States.

Last month, all federal Toyota lawsuits were consolidated and centralized before Judge Selna as part of a multidistrict litigation (MDL) for pretrial proceedings in the U.S. District Court for the Central District of California. There are now about 228 federal lawsuits over recalled Toyota vehicles included in the MDL, and there are nearly 100 other lawsuits pending in state courts nationwide.

The litigation comprises of two types of claims: lawsuits alleging that defective Toyota or Lexus vehicles caused a personal injury or death to plaintiffs or their loved ones, and lawsuits claiming that the vehicles lost significant value due to the massive recalls and concerns about the safety.

As part of the coordinated pretrial proceedings, Judge Selna issued an order on May 14 creating two separate committees of lawyers representing the various plaintiffs. Each of the committees will have nine lawyers involved in the Toyota recall litigation, including the lead counsels.

The lead Toyota recall attorneys for the economic loss committee will be Steve Berman, Marc M. Seltzer and Frank Pitre. The lead Toyota personal injury lawyers will be Elizabeth Cabraser, and Mark P. Robinson. The lead counsels will act as spokespersons for all plaintiffs at pretrial hearings and in response to inquiries from the court. They will also submit and argue motions before the court, examine witnesses at hearings and negotiate stipulations and potential Toyota settlement agreements with the defendants, which would apply to all cases.

Judge Selna has also appointed Wylie Aitken, Dawn Barrios and Gretchen M. Nelson to serve as Liaison Counsel. As Liaison Counsel, they will receive and distribute orders from the Court and documents from opposing counsel, and assist in the coordination of activities between both parties.

via Toyota Recall Lawyers Appointed to Leadership Roles in Federal Litigation – AboutLawsuits.com.

Toyota Lawsuit Judge Names Lead Attorneys for Cases – BusinessWeek

The federal judge overseeing sudden- acceleration lawsuits against Toyota Motor Corp. appointed 21 plaintiffs’ lawyers to manage litigation involving U.S. claims.

Toyota, the world’s largest automaker, faces at least 228 federal and 99 state lawsuits including proposed class actions over economic loss and claims of personal injuries or deaths caused by sudden-acceleration incidents. The federal lawsuits were combined April 9 in a multidistrict litigation, or MDL, before U.S. District Judge James V. Selna in Santa Ana, California.

More than 70 plaintiffs’ lawyers sought appointments to leadership positions in the federal lawsuits, including about 60 who spoke at a hearing before Selna yesterday.

Selna’s appointments today include Steve Berman at Hagens Berman Sobol Shapiro LLP in Seattle as co-lead counsel for economic loss plaintiffs and Elizabeth Cabraser at Lieff Cabraser Heimann & Bernstein LLP in San Francisco as co-lead for personal injury and death cases.

via Toyota Lawsuit Judge Names Lead Attorneys for Cases (Update1) – BusinessWeek.

Golden Opportunity – Opening California to International Arbitration

This Article highlights the challenges facing California in its efforts to become a center of international arbitration, provides examples of legislation for the California Bar and California State Legislature to consider, and suggests various avenues by which to bring California more fully into the international legal community. In particular, California unintentionally does not allow foreign attorneys to represent their clients in international arbitration conducted in California. Amidst both renewed efforts to make California a more likely seat of international arbitration and a legislative opening to revise this aspect of the law, change in the latter makes the former both possible and likely.

via Golden Opportunity « Opening California to International Arbitration.

Know the Rules for Tech-Based Evidence | The Recorder

Technology-based evidence is subject to the same evidentiary hurdles as traditional demonstrative evidence. Different evidentiary rules are implicated depending on whether the evidence itself is electronic or whether technological means are used to display non-electronic evidence. If the underlying evidence is a hard copy, such as a photograph, then there are no impediments to use technology to display the evidence as long as a proper foundation has been laid.

Demonstrative technology-based evidence is as admissible as the evidence it seeks to illustrate. Visual evidence can be used to illustrate a witness' testimony if it will help the jury understand the testimony and it is a fair representation of the evidence it purports to illustrate. United States v. Mohney, 949 F.2d 1397, 1405 (6th Cir. 1991). Thus, accurate computer-generated models or diagrams can be used to illustrate a witness's testimony. United States v. Beckford, 211 F.3d 1266 (4th Cir. 2000). (Beckford allows computer-generated diagrams as a demonstrative aid to help illustrate investigative findings concerning observations of bullets, bullet holes, and bullet path angles.)

Where computer animations are used to illustrate a witness's testimony, the jury should be instructed that the simulation is not a reenactment of the event. Hinkle v. City of Clarksburg, WV, 81 F.3d 416, 427 (4th Cir. 1996); Datskow v. Teledyne Continental Motors Aircraft Products, a Div. of Teledyne Indus., Inc. 826 F.Supp. 677, 685–686 (WD NY 1993) (Here, the court instructed the jury that computer-generated animation of fire in an airplane engine was “simply computer pictures” to help them understand [the expert's] opinion.) The proper foundation for such evidence is established by demonstrating that the demonstrative evidence is a fair representation of the underlying admitted evidence. People v. Ham, 7 Cal.App.3d 768, 780 (1970). Ultimately, the court has discretion to exclude this evidence if it believes that the probative value is outweighed by the risks of juror confusion. California Evidence Code §352.

It cannot be stressed enough that the technology-based demonstrative aids accurately reflect the testimony — since this is the most likely ground for exclusion.

If one is using computer output as the substantive evidence rather than to simply illustrate the expert's testimony, there are greater implications for admitting the evidence. In Daubert v. Merrell Dow Pharmaceuticals, Inc., 509 U.S. 579, 589 (1993), the Supreme Court interpreted Federal Rule of Evidence 702. Here, the court said that “under the Rules the trial judge must ensure that any and all scientific testimony or evidence is not only relevant, but reliable.” Daubert focuses on objective criteria that may provide a safeguard against the admission of evidence that has customarily been received, but may not have a scientific basis.

The factors laid out in Daubert that are used for determining whether a technique is scientific knowledge that will assist the trier of fact are: 1) whether it can be (and has been) tested; 2) whether the theory or technique has been subjected to peer review and publication; 3) the known or potential rate of error in the case of a particular scientific technique; and 4) general acceptance. The court further stated that “[t]he inquiry envisioned by Rule 702, we emphasize, is a flexible one. Its overarching subject is the scientific validity and thus the evidentiary relevance and reliability of the principles that underlie a proposed submission.”

Sections 720 and 801 of the California Evidence Code are equivalent to Federal Rule 702. See People v. Leahy, 8 Cal.4th 587, 598 (1994) (“Sections 720 and 801, in combination, seem the functional equivalent of Federal Rules of Evidence, rule 702, as discussed in Daubert.”). Under §801 and the Kelly/Frye test, the admissibility of the evidence will turn on whether it is “generally accepted by experts in the field.”

Opposing counsel may argue that the evidence, though relevant, should be excluded because it poses a high risk of unfair prejudice under Federal Rules of Evidence Section 403 or California Evidence Code §352. As a result, it is advisable to have the judge pre-rule on the admissibility of graphic-animation evidence. The court will weigh the probative value or logical force of the evidence and compare it to any number of dangers or costs that might be created if the evidence is admitted, such as unfair prejudice or misleading the jury.

Strategically, the most prevalent use of demonstrative evidence is through expert testimony, which if properly presented can substantially enhance the expert's credibility before the jury. For reconstructions of an accident or event in dispute, the reconstruction needs to be made under “substantially similar” conditions to those existing at the time of the event. People v. Boyd, 222 Cal.App.3d 541, 565-66 (1990); Grimshaw v. Ford Motor Co., 119 Cal.App.3d 757, 791 (1981). In all circumstances, when there is any doubt regarding the admissibility of the evidence, the litigator should obtain a pre-ruling from the court regarding the admissibility of the demonstrative evidence.

Technology-based demonstrative evidence is now universally recognized as an indispensable tool for litigators in the modern age. Just like everything else in trial, the key to the use of technology-based demonstrative evidence is preparation, preparation, preparation.

via Law.com – Know the Rules for Tech-Based Evidence.

Wal-Mart in $86 million settlement of wage lawsuit | Reuters

OAKLAND, CA - JANUARY 08:  The Wal-Mart logo i...
Image by Getty Images via Daylife

Wal-Mart Stores Inc agreed to pay as much as $86 million to settle a class-action lawsuit accusing it of failing to pay vacation, overtime and other wages to thousands of former workers in California.

About 232,000 people will share in the settlement, which was disclosed on Tuesday in a federal court filing.

It requires a minimum payout of $43 million, and “far exceeds other recent settlements” involving Wal-Mart, the filing shows. The accord requires court approval.

Wal-Mart spokesman Greg Rossiter declined to comment.

The world’s largest retailer was accused in the original 2006 complaint of failing to pay a variety of wages to former workers as required under California law.

In agreeing to settle, the Bentonville, Arkansas-based company did not concede that any wages remained unpaid, according to Tuesday’s filing.

via Wal-Mart in $86 million settlement of wage lawsuit | Reuters.

Risk Management and E-Discovery: Qualcomm Revisited | Legal Intelligencer

Almost three years ago, we wrote about the tension between a lawyer’s defense of his own professional conduct and his duties of loyalty and confidentiality to his client. The issue was presented in Qualcomm Inc. v. Broadcom Corp., a California patent infringement case involving cell phone technology.

During trial, the court learned that Qualcomm and its counsel did not produce more than 200,000 pages of relevant electronic documents. As a result, Qualcomm was ordered to pay Broadcom’s hefty legal fees ($8.5 million), and the district court judge referred the matter to a magistrate for consideration of further sanctions. The magistrate found that Qualcomm intentionally withheld thousands of documents that had been requested during discovery and that certain of the withheld documents directly contradicted one of Qualcomm’s key arguments. In addition, the magistrate sanctioned Qualcomm’s attorneys based upon the premise that they failed to conduct a reasonable inquiry into the adequacy of Qualcomm’s document production.

Those sanctions were vacated by the district court, and the matter was remanded to the magistrate to provide counsel the opportunity to defend themselves. On April 2, 2010, the magistrate ruled that the attorneys should not be sanctioned, as the record demonstrated that they took significant steps to comply with the original discovery obligations. While the attorneys were vindicated, the court’s decision provides important guidance on discovery practices, as well as how to maintain both objectivity and integrity in our relationships with clients.

First, the magistrate took issue with counsel's failure to personally meet with the Qualcomm custodians whose documents were being collected. In today’s technological society, despite the fact that we are constantly connected to one another through electronic media, nothing replaces the face-to-face meeting. Language can be misread out of context in an e-mail, and the ability to see the confusion (or conversely, understanding) on someone’s face is completely lost when your interaction is limited to a 13-word text message. Thus, it is critically important to get face time with the client, as it allows for a clear explanation of all the relevant issues.

Second, the court was appalled that there appeared to be no concerted effort by counsel to understand the technical aspects involved in the collection of the client’s documents. There was no clear understanding of where the e-mails and other electronic information were stored, nor of any backup or file transfer protocols. Knowledge of the physical location of the relevant data is a requirement for a thorough search. Without an understanding of the client’s information technology systems and services, documents, e-mails, and other information is bound to be missed.

The court also took issue with the fact that there appeared to be a breakdown in the chain of command with respect to the discovery; no attorney was ultimately responsible for the supervision of the entire collection. Thorough collection, inspection, and production requires clear structure and methodology; and inherent in such a system is a chain of command in which one attorney is responsible to another for clearly defined tasks. Without accountability, the quality of the work product inevitably declines.

via Law.com – Risk Management and E-Discovery: Qualcomm Revisited.

E-Discovery In Arbitration | Mediate.com

The business world has undergone a digital transformation, so it is probably not surprising to learn that 90% of all business information is electronically stored. Recent changes in Federal and State statutory schemes, the evolution of case material and the expansion of continuing education programs on the subject of E-discovery reflect this growing reality. Overlooked in the proliferation of commentary on retaining, finding, processing and producing electronically stored information (“ESI”) is the question of how to deal with such discovery in an arbitration setting.

Why are the problems and issues different in court and arbitration? To begin with, despite the pressure in some quarters to mirror litigation, most arbitrators are sensitive to the need to keep arbitration faster and cheaper than court. One important method of doing that is to suppress discovery, a material cause of runaway costs in litigation. While California law has always encouraged full discovery, and Federal Law only ameliorates it in certain specific ways (e.g. the number of interrogatories permitted), the rules of most arbitration tribunals either ignore specific references to discovery or permit very limited discovery (for example, JAMS Rule 17 (b) permits one deposition of an opposing party). Instead, the published arbitration rules generally combine a required voluntary exchange of documents and discretionary discovery to ensure that the parties have what they need to try their case.

While the Federal and State statutory framework for discovery has been modified to address electronic discovery (see, Fed. Rule of Civil Proc. 26 and Cal. Code Civ. Proc. Secs. 2031.010 et seq.), arbitration rules either give a token nod to the existence of ESI (See, JAMS Rule 17 [a]) or ignore it altogether. This leaves the entire issue in the hands of the parties and the Arbitrator. The task in arbitration is to balance the realistic discovery needs of the parties with a rational cost-suppression regime. T

via E-Discovery In Arbitration.

Legal Documents Reveal AT&T Has Exclusive IPhone Rights Until 2012 | DailyTech

Image representing iPhone as depicted in Crunc...
Image via CrunchBase

Those who follow the smartphone industry knew that Apple and AT&T had a very tight contract with the iPhone which has compelled the electronics maker to stay AT&T exclusive to date.  However, it was unclear just how long that contract was good for, until now. According to unsealed court documents, AT&T has exclusive rights to sell the iPhone in the U.S. until 2012.

The documents come from a California antitrust class action lawsuit.  The plaintiffs claim that Apple attempted to create an illegal monopoly in 2007 when it failed to reveal that the secret deal would make it impossible for them to transfer their phones to other carriers in 2 years, without unlocking.

The case also accuses Apple of antitrust violations for blocking third party applications, a concern that still exists thanks to Apple’s blocking of Flash and Flash ports, actions the U.S. Federal Trade Commission is currently examining for antitrust violations.

via DailyTech – Legal Documents Reveal AT&T Has Exclusive IPhone Rights Until 2012.