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Books > Law > Jurisprudence & general issues > Legal profession > Legal ethics & professional conduct
As one of the most massive and successful business sectors, the
pharmaceutical industry is a potent force for good in the
community, yet its behaviour is frequently questioned: could it
serve society at large better than it has done in the recent past?
Its own internal ethics, both in business and science, may need a
careful reappraisal, as may the extent to which the law -
administrative, civil and criminal - succeeds in guiding (and where
neccessary contraining) it.
The rules of behavior that may be considered to apply to today's
pharmaceutical industry have emerged over a very long period and
the process goes on. Even the immensely detailed standards for
quality, safety and efficacy laid down in drug law and regulation
during the second half of the twentieth century have their
limitations as tools for ensuring that the public interest is well
served. In particular, national and regional regulatory agencies
are heavily dependent on industrial data for their decision-making,
their standards and competence vary, and even the existing network
of agencies does not cover the entire world. What is more there are
many areas of law and regulation affecting the industry, concerning
for example the pricing of medicines, the conduct of clinical
studies, the health protection of workers and concern for the
environment. In some fields it is indeed hardly possible to
maintain standards through regulation.
Professor N.M. Graham Dukes, a physician and lawyer with long term
experience in industrial research management, academic study and
international drug policy, provides here a powerfully documented
analysis into the way this industry thinks, acts, and is viewed,
and examines the current trends pointing to change.
*Provides a balanced picture of the current role of the
pharmaceutical industry in society
*Includes indices of conventions, laws, and regulations; as well as
judicial and disciplinary cases
*This is the only book addressing the legal implications of big
pharma activities and ethical standards
Published in conjunction with the International Bar Association,
this high-profile collection of writings brings together judicial,
legislative, regulatory, journalistic and academic perspectives on
the current state of media laws in the UK and in the US,
scrutinising their efficacy in relation to the rights for privacy
and free expression.
Originally published in 2005. One of the leading causes of death is
organ failure, that is, when one or other of the organs that run
the machine we call the body gives out. However, whereas with a
machine spare parts can usually replace faulty parts, in the case
of humans the supply of these is limited as it is dependent on
organs being obtained from living or dead donors. Due to the
limitations of supply, increasing attention is being paid to
alternative schemes for obtaining organs. One of these
possibilities is xenotransplantation: using organs from animals. In
this book, the authors examine the legal and ethical issues
surrounding xenotransplantation and consider the implications for
the future. As they point out, xenotransplantation represents a
major deviation from standard medical practice and the possibility
of transplantation of large segments of tissue, or whole organs,
from animals into humans poses an entirely novel set of
considerations - ethical, legal and scientific - which it is
necessary to evaluate and understand.
Due to new developments in prenatal testing and therapy the fetus
is increasingly visible, examinable and treatable in prenatal care.
Accordingly, physicians tend to perceive the fetus as a patient and
understand themselves as having certain professional duties towards
it. However, it is far from clear what it means to speak of a
patient in this connection. This volume explores the usefulness and
limitations of the concept of 'fetal patient' against the
background of the recent seminal developments in prenatal or fetal
medicine. It does so from an interdisciplinary and international
perspective. Featuring internationally recognized experts in the
field, the book discusses the normative implications of the concept
of 'fetal patient' from a philosophical-theoretical as well as from
a legal perspective. This includes its implications for the
autonomy of the pregnant woman as well as its consequences for
physician-patient-interactions in prenatal medicine.
The enormous financial cost of criminal justice has motivated
increased scrutiny and recognition of the need for constructive
change, but what of the ethical costs of current practices and
policies? Moreover, if we seriously value the principles of liberal
democracy then there is no question that the ethics of criminal
justice are everybody's business, concerns for the entire society.
The Routledge Handbook of Criminal Justice Ethics brings together
international scholars to explore the most significant ethical
issues throughout their many areas of expertise, anchoring their
discussions in the empirical realities of the issues faced rather
than applying moral theory at a distance. Contributions from
philosophers, legal scholars, criminologists and psychologists
bring a fresh and interdisciplinary approach to the field. The
Handbook is divided into three parts: Part I addresses the core
issues concerning criminal sanction, the moral and political
aspects of the justification of punishment, and the relationship
between law and morality. Part II examines criminalization and
criminal liability, and the assumptions and attitudes shaping those
aspects of contemporary criminal justice. Part III evaluates
current policies and practices of criminal procedure, exploring the
roles of police, prosecutors, judges, and juries and suggesting
directions for revising how criminal justice is achieved.
Throughout, scholars seek pathways for change and suggest new
solutions to address the central concerns of criminal justice
ethics. This book is an ideal resource for upper-undergraduate and
postgraduate students taking courses in criminal justice ethics,
criminology, and criminal justice theory, and also for students of
philosophy interested in punishment, law and society, and law and
ethics.
What if data-intensive technologies' ability to mould habits with
unprecedented precision is also capable of triggering some mass
disability of profound consequences? What if we become incapable of
modifying the deeply-rooted habits that stem from our increased
technological dependence? On an impoverished understanding of
habit, the above questions are easily shrugged off. Habits are
deemed rigid by definition: 'as long as our deliberative selves
remain capable of steering the design of data-intensive
technologies, we'll be fine'. To question this assumption, this
open access book first articulates the way in which the habitual
stretches all the way from unconscious tics to purposive,
intentionally acquired habits. It also highlights the extent to
which our habit-reliant, pre-reflective intelligence normally
supports our deliberative selves. It is when habit rigidification
sets in that this complementarity breaks down. The book moves from
a philosophical inquiry into the 'double edge' of habit - its
empowering and compromising sides - to consideration of individual
and collective strategies to keep habits at the service of our
ethical life. Allowing the norms that structure our forms of life
to be cotton-wooled in abstract reasoning is but one of the factors
that can compromise ongoing social and moral transformations.
Systems designed to simplify our practical reasoning can also make
us 'sheep-like'. Drawing a parallel between the moral risk inherent
in both legal and algorithmic systems, the book concludes with
concrete interventions designed to revive the scope for normative
experimentation. It will appeal to any reader concerned with our
retaining an ability to trigger change within the practices that
shape our ethical sensibility. The eBook editions of this book are
available open access under a CC BY-NC-ND 4.0 licence on
bloomsburycollections.com. Open access was funded by the Mozilla
Foundation.
Originally published in 2005. One of the leading causes of death is
organ failure, that is, when one or other of the organs that run
the machine we call the body gives out. However, whereas with a
machine spare parts can usually replace faulty parts, in the case
of humans the supply of these is limited as it is dependent on
organs being obtained from living or dead donors. Due to the
limitations of supply, increasing attention is being paid to
alternative schemes for obtaining organs. One of these
possibilities is xenotransplantation: using organs from animals. In
this book, the authors examine the legal and ethical issues
surrounding xenotransplantation and consider the implications for
the future. As they point out, xenotransplantation represents a
major deviation from standard medical practice and the possibility
of transplantation of large segments of tissue, or whole organs,
from animals into humans poses an entirely novel set of
considerations - ethical, legal and scientific - which it is
necessary to evaluate and understand.
This book critically analyses how arbitration cases, institutional
rules and emerging codes of conduct in the international
arbitration sector have dealt with a series of key arbitrator
duties to date. In addition, it offers a range of feasible and
well-grounded proposals regarding investment arbitrators' duties in
the future. The following aspects are examined in depth: the duty
of disclosure the duty to investigate the duty of diligence and
integrity , which in turn may be divided into temporal
availability, a non-delegation of responsibilities, and adhering to
appropriate behaviour the duty of confidentiality, and other duties
such as monitoring arbitration costs, or continuous training .
Investment arbitration is currently undergoing sweeping changes.
The EU proposal to create a Multilateral Investment Court
incorporates a number of ground-breaking developments with regard
to arbitrators. Whether this new model of permanent "members of the
court" will ever become a reality, or whether the classical
ex-parte arbitrator system will manage to retain its dominance in
the investment arbitration milieu, this book is based on the
assumption that there is a current need to re-examine and rethink
the main duties of investment arbitrators. Apart from being the
first monograph to analyse these duties in detail, the book will
spark a crucial debate among international scholars and
practitioners. It is essential to identify arbitrators' duties and
find consensus on how they should be reshaped in the near future,
so that these central figures in investment arbitration can
reinforce the legitimacy of a system that is currently in crisis.
The topic of "too many lawyers" is both timely and timeless. The
future make up and performance of the legal profession is in
contest, challenged by new entrants, technology and the demand for
transparency; at the same time, lawyers long have participated in
contests over professional boundaries. In this book, we take up
several fundamental questions about the question of whether there
are "too many lawyers". What do we mean by "too many"? Is there a
surplus of lawyers? What sort of lawyers are and will be needed?
How best can we discern this? These questions and more are
addressed here in scholarly articles presented at the Onati
International Institute for the Sociology of Law (Spain) by some of
the best researchers in the field. The collection, witha chapter by
Prof. Richard L. Abel, addresses methodological, normative and
policy questions regarding the number of lawyers in particular
countries and worldwide, while connecting this phenomenon to
political, social, economic, historical, cultural and comparative
contexts. This book was previously published as a special issue of
the International Journal of the Legal Profession.
Culturally Relevant Ethical Decision-Making in Counseling presents
a hermeneutic orientation and framework to address contextual
issues in ethical decision-making in counseling and psychotherapy.
Authors Rick Houser, Felicia L. Wilczenski, and Mary Anna Ham
incorporate broad perspectives of ethical theories which are
grounded in various worldviews and sensitive to cultural issues.
Key Features: Introduces a wide range of ethical theories:
Important to the foundation of ethical decision-making is an
in-depth understanding of general culturally relevant ethical
theories that represent most world philosophical views. In addition
to covering mainstream theories, this book introduces a wide range
of ethical theories from Western, Eastern, Middle Eastern, Pan
African, Native American, and Latino ethical perspectives. Offers
numerous examples: Case studies are provided throughout the text to
show how to apply diverse ethical theories to clinical practice.
The authors also discuss how to negotiate between an enhanced
ethical perspective based on diversity and professional standards
codified and mandated in this country. Provides a systematic
ethical decision-making model: Ethical decision-making has become a
critical part of the training and practice of professional
counselors and they can benefit immensely from systematic training
in this area. The model in this book provides practitioners with a
broad based approach to ethical decision-making, and ultimately
improves the ethical decision-making process for counselors.
Intended Audience: This is an ideal textbook for advanced
undergraduate and graduate courses on professional standards and
ethics in the fields of Counseling, Psychotherapy, and Psychology.
This collection explores the stakes, risks and opportunities
invoked in opening and exploring law's archive and re-examining
law's evidence. It draws together work exploring how evidence is
used or mis-used during the legal process, and re-used after the
law's work has concluded by engaging with ethical, aesthetic or
emotional dimensions of using law's evidence. Within socio-legal
discourse, the move towards 'open justice' has emerged concurrently
with a much broader cultural sensibility, one that has been called
the "archival turn" (Ann Laura Stoler), the "archival impulse" (Hal
Foster) and "archive fever" (Jacques Derrida). Whilst these terms
do not describe exactly the same phenomena, they collectively
acknowledge the process by which we create a fetish of the stored
document. The archive facilitates our material confrontation with
history, historicity, order, linearity, time and bureaucracy. For
lawyers, artists, journalists, publishers, curators and scholars,
the document in the archive has the attributes of authenticity,
contemporaneity, and the unique tangibility of a real moment
captured in material form. These attributes form the basis for the
strict interpretive limits imposed by the rules of evidence and
procedure. These rules do not contain the other attributes of the
archival document, those that make it irresistible as the basis for
creative work: beauty, violence, surprise, shame, volume, and the
promise that it contains a tantalising secret. This book was
previously published as a special issue of Australian Feminist Law
Journal.
Ethical issues do not occur in isolation. Instead, real-life
situations arise in the workplace alongside other pressing issues
such as job security, career advancement, peer pressure, manager
evaluations, and company profits. For this reason, students and
employees in law need concise and common sense guidance that
provides a framework for how to voice one's values in the midst of
competing interests. This book does just that. By providing twelve
accessible scenarios drawn from real-life examples, this book walks
readers through some of the most common ethical issues they will
face in the workplace and how to address them in a manner that is
realistic and effective. There are two clear reasons to read Giving
Voice to Values in the Legal Profession. First, it is practical.
The book presents information that is readily useful to students as
they move forwards in their personal lives and careers. Second, the
book is concise and easy to add to an existing course. It can
provide a context for discussing a myriad of issues around ethics
in the legal profession.
In order to be effective, federal ethics law must address sources
of systematic corruption rather than simply address motives that
individual government employees might have to betray the public
trust (such as personal financial holdings or family
relationships). Getting the GovernmentAmerica Deserves articulates
a general approach to combating systemic corruption as well as some
specific proposals for doing so. Federal ethics law is relatively
unknown in legal academia and elsewhere outside of Washington,
D.C., but it is binding on over one million federal employees.
Lobbyists, federal contractors, lawyers and others who interact
with the federal government are also deeply interested in federal
ethics law and represent a surprisingly large market for a
little-studied area of the law.
Getting the Government America Deserves analyzes government ethics
law from the perspective of an academic critic and that of a lawyer
who was the chief White House ethics lawyer for two and a half
years. Richard Painter argues that the existing ethics regime is in
need of substantial reform since federal ethics laws fail to
curtail conduct that undermines the integrity of government, such
as political activity by federal employees and their interaction
with lobbyists and interest groups. He also contends that in some
other areas, such as personal financial conflicts of interest,
there is too much complexity in regulatory and reporting
requirements, and rules need to be simplified. Painter's solution
includes strengthening the enforcement of ethics rules, reforming
the lobbying industry, and changing a system of campaign finance
that impedes meaningful government ethics reform.
Labeling a person, institution or particular behavior as "corrupt"
signals both political and moral disapproval and, in a functioning
democracy, should stimulate inquiry, discussion, and, if the charge
is well-founded, reform. This book argues, in a set of closely
related chapters, that the political community and scholars alike
have underestimated the extent of corruption in the United States
and elsewhere and thus, awareness of wrong-doing is limited and
discussion of necessary reform is stunted. In fact, there is a
class of behaviors and institutions that are legal, but corrupt.
They are accepted as legitimate by statute and practice, but they
inflict very real social, economic, and political damage. This book
explains why it is important to identify legally accepted
corruption and provides a series of examples of corruption using
this perspective.
A significant barrier to successful juvenile intervention is
misconduct committed against juveniles by the persons employed to
help them. Professional Misconduct with Juveniles explores the
nature of employee-on-youth misconduct, its extent, its
consequences, factors that increase its occurrence, and potential
solutions to the problem. Obviously, employee-on-youth misconduct
interferes with the effective treatment of delinquent and at-risk
youth, but it also harms the agency as a whole and creates a poor
working environment for all employees. Professional Misconduct with
Juveniles offers a practical, theory-based approach to preventing
or stopping such exploitation of vulnerable young men and women so
that we can focus on effective approaches to rehabilitation,
deterrence, and public safety.
The topic of "too many lawyers" is both timely and timeless. The
future make up and performance of the legal profession is in
contest, challenged by new entrants, technology and the demand for
transparency; at the same time, lawyers long have participated in
contests over professional boundaries. In this book, we take up
several fundamental questions about the question of whether there
are "too many lawyers". What do we mean by "too many"? Is there a
surplus of lawyers? What sort of lawyers are and will be needed?
How best can we discern this? These questions and more are
addressed here in scholarly articles presented at the Onati
International Institute for the Sociology of Law (Spain) by some of
the best researchers in the field. The collection, witha chapter by
Prof. Richard L. Abel, addresses methodological, normative and
policy questions regarding the number of lawyers in particular
countries and worldwide, while connecting this phenomenon to
political, social, economic, historical, cultural and comparative
contexts. This book was previously published as a special issue of
the International Journal of the Legal Profession.
This collection explores the stakes, risks and opportunities
invoked in opening and exploring law's archive and re-examining
law's evidence. It draws together work exploring how evidence is
used or mis-used during the legal process, and re-used after the
law's work has concluded by engaging with ethical, aesthetic or
emotional dimensions of using law's evidence. Within socio-legal
discourse, the move towards 'open justice' has emerged concurrently
with a much broader cultural sensibility, one that has been called
the "archival turn" (Ann Laura Stoler), the "archival impulse" (Hal
Foster) and "archive fever" (Jacques Derrida). Whilst these terms
do not describe exactly the same phenomena, they collectively
acknowledge the process by which we create a fetish of the stored
document. The archive facilitates our material confrontation with
history, historicity, order, linearity, time and bureaucracy. For
lawyers, artists, journalists, publishers, curators and scholars,
the document in the archive has the attributes of authenticity,
contemporaneity, and the unique tangibility of a real moment
captured in material form. These attributes form the basis for the
strict interpretive limits imposed by the rules of evidence and
procedure. These rules do not contain the other attributes of the
archival document, those that make it irresistible as the basis for
creative work: beauty, violence, surprise, shame, volume, and the
promise that it contains a tantalising secret. This book was
previously published as a special issue of Australian Feminist Law
Journal.
Working Virtue is the first substantial collective study of virtue
theory and contemporary moral problems. Leading figures in ethical
theory and applied ethics discuss topics in bioethics, professional
ethics, ethics of the family, law, interpersonal ethics, and the
emotions. Virtue ethics is centrally concerned with character
traits or virtues and vices such as courage (cowardice), kindness
(heartlessness), and generosity (stinginess). These character
traits must be looked to in any attempt to understand which
particular actions are right or wrong and how we ought to live our
lives. As a theoretical approach, virtue ethics has made an
impressive comeback in relatively recent history, both posing an
alternative to, and, in some ways, complementing well-known
theoretical stances such as utilitarianism and deontology. Yet
there is still very little material available that presents
virtue-ethical approaches to practical contemporary moral problems,
such as what we owe distant strangers, our parents, or even
non-human animals. This book fills the gap by dealing with these
and other pressing moral problems in a clear and theoretically
nuanced manner. The contributors offer a variety of perspectives,
including pluralistic, eudaimonistic, care-theoretical, Chinese,
comparative, and stoic. This variety allows the reader to
appreciate not only the wide range of topics for which a
virtue-ethical approach may be fitting, but also the distinctive
ways in which such an approach may be manifested.
Biomedical patents have been the subject of heated debate.
Regulatory agencies such as the European Patent Office make small
decisions with big implications, which escape scrutiny and
revision, when they decide who has access to expensive diagnostic
tests, whether human embryonic stem cells can be traded in markets,
and under what circumstances human health is more important than
animal welfare. Moreover, the administration of the Trade Related
Aspects of Intellectual Property Rights by the World Trade
Organization has raised considerable disquiet as it has arguably
created grave health inequities. Those doubting the merits of the
one size fits all approach ask whether priority should be given to
serving the present needs of populations in dire need of medication
or to promoting global innovation. The book looks in detail into
the legal issues and ethical debates to ask the following three
main questions: First, what are the ideas, goals, and broader
ethical visions that underpin questions of governance and the legal
reasoning employed by administrative agencies? Second, how can we
democratize the decision making process of technocratic
institutions such as the European Patent Office? Finally, how can
we make the global intellectual property system more equitable? In
answering these questions the book seeks to contribute to our
understanding of the role and function of regulatory agencies in
the regulation of the bioeconomy, explains the process of
interpretation of legal norms, and proposes ways to rethink the
reform of the patent system through the lens of legitimacy.
As one of the 'learned' professions requiring advanced learning and
high principles, law enjoys a special standing in society. In
return for its status and rank, the legal profession is expected to
exhibit the highest levels of honesty, trust and morality, the very
values which underpin the legal system itself. This, in turn,
entrusts to legal education a particular problem of addressing, not
only the substantive elements of the body of law, but a means
through which the characteristics of the 'calling' of law are
imparted and instilled. At a time when the very essence of the
legal profession is under threat, this book calls for a realignment
of the legal curriculum and pedagogies so as to emphasise the
development of culture over industry; character over eloquence; and
calling over skill. Chapters are grouped around the core content
and key themes of Curiosity, Calling, Character and
Conscientiousness, Contract, and Culture. The volume includes
contributions from leading experts, drawn internationally and from
other professional disciplines in order to present alternative
approaches aimed at tackling common issues, providing insight, and
provoking debate.
11 Oak Street is the true story of how the Queen's bankers, Coutts
& Co, sent two cashier's cheques to the law firm of Urie Walsh
in San Francisco with the wrong address on the envelope (11 Oak
Street instead of 1111 Oak Street), setting off a chain of events
that led to the abduction of a three-year-old child from Bristol,
England, to San Francisco, California. It is a horrifying story of
greed, ineptness, corruption, stupidity and wasted years as the
father tries to seek justice and access to his son in the midst of
a thirteen-year nightmare that even Kafka could not have thought
up. If you want to read about the seven California lawyers involved
in this story who either went to jail, were disbarred, or resigned
with charges pending, and inept judges who broke all the rules or
were disciplined, this is the book for you. This is a story that
would never have happened if those concerned had fulfilled their
duties correctly and not broken the law. If Graham Cook, the
author, had known then what he knows now, there would have been no
story and he would not have gone bankrupt, become homeless or,
through the corruptness of his own brother, ended up in a
California jail. This is the book the California Judges Association
refused to let me promote to its members lest it offend some of
them, which of course it will do as the book exposes improper and
on occasions corrupt conduct by some of its past and present
members. The best way to describe this book is that everything that
could go wrong went and if the internet was around at the start of
the nightmare most of what went on in this book would not have
happened.This is a book where certain people have gone to
extraordinary lengths to stop people buying and have dismally
failed in their objective.
In recent years, controversy has surrounded the role of top
government lawyers in the United States and the United Kingdom.
Allegations of bad lawyering and bad ethics in public office over
the 'torture memos' in the United States and the political pressure
placed on the Attorney-General in the United Kingdom to approve the
legality of the Iraq war, have seen these relatively obscure group
of government lawyers thrust into the public debate. Unlike its
Anglo-American contemporaries, Australia's chief legal adviser, the
Solicitor-General, has remained largely out of the public eye. This
collection provides a rare and overdue insight into a fundamental
public institution in all Australian jurisdictions. It provides a
historical, theoretical, practical and comparative perspective of
this little known, but vitally important, office at a time when the
transparency and accountability of government has taken on an
increased significance. Of interest to anyone interested in the
integrity of government, the book will be particularly useful to
government, political parties and the academy. It will also be a
valuable reference work to those working towards a redefinition of
the role of top government legal advisors.
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