The Lobbying Manual


Book Description

This book features several entirely new chapters: one on the Obama Ethics Pledge, another on "honest services" fraud, and two dealing with the practice of lobbying, including perspectives on the lobbying profession and the Noerr-Pennington doctrine. There is also a new section offering comparative perspectives on, respectively, the lobbying laws of Canada and those of the European Community and its members. These should be of significant interest to practitioners whose clients do business abroad.




Federal Lobbying


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Corporate Lobbying


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" ... outlines and analyzes the regulation of lobbying and lobbyists at the federal and state levels. At the federal level, the portfolio devotes considerable attention to the provisions and requirements of the Lobbying Disclosure Act of 1995, which greatly expanded the scope of federal lobbying registration and disclosure. The provisions of the tax code that apply to lobbying--particularly those that limit the deductibility of lobbying expenses--are also discussed at length. In addition, the portfolio addresses a number of other federal statutes and rules that affect corporate lobbyists, including the Honest Leadership and Open Government Act of 2007, Foreign Agents Registration Act, the Byrd Amendment, congressional and executive branch gift rules, post-employment restrictions, and the Noerr-Pennington doctrine. Finally, the portfolio considers the myriad of state lobbying laws. Although every state has enacted laws governing lobbying, the scope of regulated activity varies widely. For this reason, the portfolio treats state regulation more generally, highlighting trends and common approaches to the regulation of state lobbying"--Portfolio description sheet (p. iii).




The Noerr-Pennington Doctrine


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Federal Lobbying


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Competitive Isssues in the Cable Television Industry


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Antitrust Law and Intellectual Property Rights


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In Antitrust Law and Intellectual Property Rights: Cases and Materials, Christopher R. Leslie describes how patents, copyrights, and trademarks confer exclusionary rights on their owners, and how firms sometimes exercise this exclusionary power in ways that exceed the legitimate bounds of their intellectual property rights. Leslie explains that while substantive intellectual property law defines the scope of the exclusionary rights, antitrust law often provides the most important consequences when owners of intellectual property misuse their rights in a way that harms consumers or illegitimately excludes competitors. Antitrust law defines the limits of what intellectual property owners can do with their IP rights. In this book, Leslie explores what conduct firms can and cannot engage in while acquiring and exploiting their intellectual property rights, and surveys those aspects of antitrust law that are necessary for both antitrust practitioners and intellectual property attorneys to understand. This book is ideal for an advanced antitrust course in a JD program. In addition to building on basic antitrust concepts, it fills in a gap that is often missing in basic antitrust courses yet critical for an intellectual property lawyer: the intersection of intellectual property and antitrust law. The relationship between intellectual property and antitrust is particularly valuable as an increasing number of law schools offer specializations and LLMs in intellectual property. This book also provides meaningful material for both undergraduate and graduate business schools programs because it explains how antitrust law limits the marshalling of intellectual property rights.