Solution Manual for Legal Research, Analysis, and Writing, 4th Edition
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CHAPTER 2
INTRODUCTION TO LEGAL RESEARCH AND
ANALYSIS
Lecture Plan/Chapter Outline
Instructorโs Note: The purpose of this chapter is to provide students with an overview of legal
analysis and the IRAC process. The assignments are designed to present students with
problems that require them to apply the information and instructions presented in this
chapter, that is, to conduct legal analysis and apply the steps of the IRAC process.
I. INTRODUCTION
Discuss the purpose of legal analysis and research.
The purpose of legal analysis and legal research is to analyze the factual event presented by
the client and determine:
1. What legal issue (question) or issues are raised by the factual event
2. What law governs the legal issue
3. How the law that governs the legal issue applies to the factual event, including what,
if any, legal remedy is available
II. LEGAL ANALYSIS DEFINED
Legal analysis is the process of identifying the issue or issues presented by a clientโs facts and
determining what law applies and how it applies. Legal research is part of the legal analysis
process. It is that part of the process that involves finding the law that applies to the legal
question raised by the facts of a clientโs case.
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III. LEGAL RESEARCH AND THE ANALYSIS PROCESS
A legal analysis process is a systematic approach to legal research and analysis that helps you
develop research skills. It involves the commonly used four-step legal analysis process:
STEP 1: Issue. The identification of the issue (legal question) or issues raised by the
facts of the clientโs case
STEP 2: Rule. The identification of the law that governs the issue
STEP 3: Analysis/Application. A determination of how the rule of law applies to the
issue
STEP 4: Conclusion. A summary of the results of the legal analysis
An acronym commonly used in reference to the analytical process is IRAC. The use of
the acronym is an easy way to remember the four-step legal analysis processโissue, rule,
analysis/application, and conclusion. The research component of this process involves Steps 1
and 2. Steps 3 and 4 of the process involve the analysis of the research once the research is
complete.
Before the legal analysis of a case can properly begin, the following preliminary
preparation must take place:
1. All the facts and information relevant to the case should be gathered.
2. Preliminary legal research should be conducted to gain a basic familiarity with the
area of law involved in the case.
A. Facts and Key Terms
1. Facts
The facts play a major role in each step of the analytical process:
1. Issue. The key facts are included in the issue.
2. Rule. The determination of which law governs the issue is based on the
applicability of the law to the facts of the clientโs case.
3. Analysis/Application. The analysis/application step is the process of applying the
rule of law to the facts.
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4. Conclusion. The conclusion is a summation of how the law applies to the facts, a
recap of the first three steps. It requires the facts.
Identify and review the facts at the outset.
1. Be sure you have all the facts.
2. Study the available facts to see if additional information should be gathered
before legal analysis can properly begin.
3. Organize the facts. Group all related facts. Place the facts in a logical order, such
as chronological order.
4. Weigh the facts.
5. Identify the key facts. Determine which facts appear to be critical to the outcome
of the case.
2. Key Terms
Key terms or search terms help guide the researcher in the area being researched.
Key terms are identified by reviewing the case file and listing all the terms relevant to the legal
questions raised by the facts of the case.
B. Preliminary Research
Before the analysis process can begin, it may be necessary to conduct basic research in the
area(s) of law that govern the issue or issues in the case.
C. IRAC Analysis
Once the facts have been gathered and reviewed, follow the four steps of the IRAC legal
analysis process:
1. Issue
Identify the issue(s) or legal question(s) raised by the facts of the clientโs case.
a. Multiple Issues. The clientโs fact situation may raise multiple legal issues and involve
many avenues of relief.
b. Separate the Issues. Analyze and research each issue separately and thoroughly.
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c. Focus on the Issues of the Case. Keep your focus on the issues raised by the facts of the
clientโs case or on those issues that you have been assigned to research.
2. Rule
Identify the law that governs the issue. Identify the rule of law that applies to the issue;
that is, to solve the clientโs problem, find the law that applies to the problem.
Part 1: Locate the General Law That Governs the Issue.
a. Enacted law. The legal issue may be governed by enacted law.
b. Case law. The issue may be governed by rules or principles established by the
courts.
Part 2: Locate the Law That Interprets How the General Law Applies to the Specific
Fact Situation of the Issue. When looking for primary authority, always conduct
counteranalysis. Also note important secondary authority that may be relied on by the court
if there is no primary authority or if it is unclear how the primary authority applies.
Part 3: Update Research. When conducting research, follow a research sequence.
First, locate the primary authority that governs the issue. Second, if there is no primary
authority that applies or if additional authority is needed to help interpret the primary
authority, then look to secondary authority.
3. Analysis/Application
Determine how the rule of law applies to the issue.
Part 1: Identify the component parts (elements) of the rule of law.
Part 2: Apply the elements of the law to facts of the clientโs case to the component
parts (elements).
Part 3: Consider the possible counterarguments to the analysis of the issue; that is,
conduct a counteranalysis of the analysis.
4. Conclusion
Summarize the results of the legal analysis. This may include the following:
โข
A recap of the determination reached in the analysis/application step
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โข
Consideration or weighing, based on the analysis, of what action a court may take
or how a court may rule upon the issue
โข
The identification of additional facts of information that may be necessary
because of questions raised during analysis of the problem
โข
The identification of further research that may be necessary in regard to the issue
โข
The identification of further issues or concerns that became apparent as a result
of research and analysis
IV. GENERAL CONSIDERATIONS
Discuss focus, intellectual honesty, and when to stop researching.
A. Focus
Focus means to concentrate on the specific task assigned. Analyze only the issue or issues
assigned.
When identifying the issue, focus on the facts of the clientโs case. Ask yourself, โWhat
must be decided about which of the facts of the clientโs case?โ
When identifying the rule of law, focus on the facts of the case and the elements of
the rule of law.
When analyzing and applying the rule of law in Step 3, focus on the clientโs facts and
the issue or question being analyzed.
Focus on the work. Avoidance and procrastination are deadly.
B. EthicsโIntellectual Honesty
Rule 1.1 of the American Bar Associationโs Model Rules of Professional Conduct requires that
a client be represented competently.
Intellectual honesty means to research and analyze a problem objectively. Pursue the
analysis of all legal issues with intellectual honesty.
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C. When to Stop Researching
1. When to Stop Researching If You Find Nothing
a. Look to another source of law.
b. Reconsider the issue and key/search terms.
c. Reconsider the legal theory.
d. Consider matters of first impression.
2. When to Stop Researching After Finding Several Legal Sources
a. Stop when you have found the answer.
b. Consider several authorities on the research topic:
ยง
Primary authority (constitutions, statutes, cases)
ยง
Secondary authority
c. Consider other factors governing when to stop, such as time and economic factors.
Teaching Tips
First emphasize the importance of having a legal research and analysis process and following
the steps of the process in the order in which they are presentedโthe process saves time,
reduces error, and makes research and analysis easier. Next discuss each step in detail. The
three general considerations (focus, intellectual honesty, and when to stop researching) are
important and should be covered in class.
Suggested Assignments
1. For any of the legal memorandum assignments that you intend to assign in the
course, require students to describe the use of the steps of the IRAC process in the
analysis of the problem presented in the assignment.
2. Have students identify anything in their personal experiences that could affect their
intellectual honesty; that is, any personal prejudices or life experiences that could
influence their ability to analyze a problem objectively.
Text Assignments: Answers
ASSIGNMENT 1
The following are the four steps of the IRAC legal analysis process.
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STEP 1: Identify the issue (the legal question) or issues raised by the facts of the
clientโs case.
STEP 2: Identify the law that governs the issue. This may be enacted law, such as
constitutional law or statutory law, or it may be common law or case law.
STEP 3: Determine how the rule of law applies to the issue. This consists of three
parts:
Part I: Identify the component parts (elements) of the rule of law. Identify
what the rule of law requires.
Part II: Apply the facts of the clientโs case to the component parts of the rule
of law, and determine how the rule applies. Match the facts of the
clientโs case to the rule of law to determine how the rule of law
applies.
Part III: Consider the possible counterarguments to the analysis of the issue
(conduct a counteranalysis of the analysis).
STEP 4: Conclusion. Summarize the results of the legal analysis.
ASSIGNMENT 2
STEP 1: Identify the issue. Under Section 30-236 of the state penal code, does forgery
occur when an individual finds a check completely made out to cash, takes it to the
bank, signs it on the back as instructed by the teller, and cashes it?
Instructorโs Note: This is a complete statement of the issue as covered in Chapters 10
and 11; that is, it includes the rule of law and detailed facts. Without having covered
those chapters, students may state the issue more broadly, such as, โDoes forgery
occur when an individual cashes a check that he or she found?โ
STEP 2: Identify the rule of law. The law is state penal code Section 30-236 and state
commercial code Section 45-3-109d.
STEP 3: Determine how the rule of law applies to the issue.
Part I: Identify the Component Parts (Elements) of the Rule of Law.
Section 30-236 of the state penal code requires three elements for forgery:
1. Falsely making or altering any signature, or any part of
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2. any writing purporting to have any legal efficacy
3. with intent to injure or defraud.
Section 45-3-109d of the state commercial code states that a check, when
made out to cash, is a bearer instrument. A bearer instrument is payable to
anyone possessing the instrument and is negotiable by transfer aloneโit is the
same as cash.
Part II: Apply the Facts of the Clientโs Case to the Component Parts.
The check was made out to cash and was completely filled out. According to
Section 45-3-109d, such an instrument is a bearer instrument, negotiable by
transfer alone, and is the same as cash. The client merely went to the bank
and exchanged the check for cash. Section 30-236 requires that for forgery to
occur, there must be a false making or altering of any signature or any part of
the writing. In this case, the client did not falsely sign a name or alter any
signature; he signed his name on the back as instructed. Therefore, he did not
commit the crime of forgery.
Part III: Consider Possible Counterarguments to the Analysis of the Issue.
A possible counterargument is that the courts may interpret โfalse makingโ to
include endorsements of bearer instruments by individuals who know they are
not entitled to the money. A court may consider such signatures to be falsely
made with the intent to defraud within the meaning of Section 30-236.
Therefore, case law should be reviewed to address this possibility.
STEP 4: Conclusion. In summary, under Section 45-3-109d, the check that the client
signed, like cash, was a bearer instrument negotiable by transfer alone. Section 30236 requires that for forgery to occur, there must be a false making or altering of any
signature or any part of the writing. In this case, the client did not falsely sign a name
or alter any signature; he signed his name on the back as instructed. Therefore, he did
not commit the crime of forgery. Case law should be reviewed to ensure that the
courts have not interpreted โfalse makingโ to include an endorsement on the back of
a check.
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ASSIGNMENT 3
STEP 1: Identify the issue. Under Section 2397 of the state penal code, does a
burglary occur when an individual enters a neighborโs garage by breaking a window,
takes three cases of beer, and the garage is a separate building located about 6 feet
from the dwelling? Instructorโs Note: This is a complete statement of the issue as
covered in Chapters 10 and 11; that is, it includes the rule of law and detailed facts.
Without having covered those chapters, students may state the issue more broadly,
such as, โDoes a burglary occur when an individual breaks into a garage?โ
STEP 2: Identify the rule of law. The law defining burglary is state penal code Section
2397. The case of State v. Nelson interprets the term dwelling to include โoutbuildings
close to, but not physically connected with, a dwelling house, if such buildings are
capable of being fenced in.โ
STEP 3: Determine how the rule of law applies to the issue.
Part I: Identify the Component Parts (Elements) of the Rule of Law.
Section 2397 requires three elements for burglary:
1. Breaking and entering
2. a dwelling house of another
3. with the intent to commit a crime.
Part II: Apply the Facts of the Clientโs Case to the Component Parts.
The clientโs acts of breaking the window and entering the garage meet the first
element. The garage belongs to another (a neighbor), and the court in State v.
Nelson interpreted a dwelling to include an outbuilding close to the dwelling, if
it is capable of being fenced in. The garage is probably capable of being fenced
in, it is close to the house (6 feet from the house), and it belongs to another;
therefore, the second element is probably met. The act of taking the beer
evidences a probable intent to commit a crime when the client entered.
Therefore, all the elements of the statute are met, and there is probably
sufficient evidence to support a charge of burglary.
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Part III: Consider Possible Counterarguments to the Analysis of the Issue.
Possible counterarguments may be raised based on the lack of facts. It is
possible, but not likely, that the garage is not capable of being fenced in and,
therefore, the fencing requirement stated in State v. Nelson may not be met
and the garage is not a dwelling within the meaning of the statute. It is also
possible that the client did not intend to take anything when he entered the
garageโhe may just have been trying to find a place to stay warm and sleep.
His reason for breaking into the garage needs to be determined. Case law
needs to be researched to determine if the entry โwith the intent to commit a
crimeโ requirement of the statute may be established by the conduct that
takes place after entry.
STEP 4: Conclusion. Section 2397 of the state penal code defines burglary as โthe
breaking and entering of the dwelling house of another with the intent to commit a
crime.โ In the case of State v. Nelson, the court held that a dwelling house includes
buildings close to the house, if they are capable of being fenced in. There probably is
enough evidence to support charges of burglary. The client apparently entered the
garage with the intent to steal beer, and the garage will probably be considered a
dwelling within the meaning of the statute. The matters raised in the
counterargument, however, need to be researched before a final conclusion can be
reached.
ASSIGNMENT 4A
Prior to beginning the IRAC analytical process, gather all the information regarding the issue
being addressed. Is the clientโs case file complete? Are there any documents missing from the
file? Are all the relevant information and facts assembled? If a review of the file reveals that
additional information is necessary, the researcher should contact the appropriate party and
obtain the information before beginning.
It may be necessary as a preliminary step to do some basic research in the area(s) of
law that govern the issue or issues. This may require reference to a legal encyclopedia or
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treatise, for example. Once the facts are gathered, the file complete, and a basic familiarity
with the area of law acquired, the legal assistant should perform the four-step IRAC analytical
process discussed in the chapter:
STEP 1: Identify the issue or issues raised by the facts of the case.
Instructorโs Note: Identifying and stating the issue are discussed in detail in Chapters
10 and 11. The issue may be identified in general terms initially.
Did the library violate the groupโs First Amendment rights?
As more research is conducted, a complete statement of the issue in the
context of the law and facts will be assembled.
In light of the provisions of the First Amendment, was the groupโs freedom of
speech rights violated by the libraryโs refusal to include the organizationโs literature
among its materials, while accepting material from other groups such as the American
Nazi Party? When the analysis involves more than one issue, each issue should be
analyzed and researched separately. Each issue should be researched and analyzed
completely before proceeding to the next issue. In addition, the researcher should
stay focused on the issue(s) of the case or the issue(s) assigned and avoid the
temptation to address interesting or related questions that may arise as research is
conducted.
STEP 2: For each issue, identify the rule of law that may govern or apply. The rule of
law may be enacted law (constitutional, legislative) or court-made law (case law).
For this assignment, it would be necessary to identify which constitutional rights or
legislative acts (statutes) the library may have violated when it refused to accept the
organizationโs literature.
This step should also include identifying all relevant case law that may be
necessary to interpret the terms of the statute or act as guidance in the
determination of how the law applies to the issue being addressed. Relevant case law
would consist of cases that involve fact situations and issues similar to those being
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addressed in the clientโs case wherein courts applied the same or a similar rule of law
and that show how the law applies.
STEP 3: Analyze the law and determine how the law applies to the issue. This step
involves three parts:
Part I: Identify the Elements of the Law.
For each rule of law that may govern the question, what must be established
under the rule for the rule to apply? What are the elements of the law?
In this assignment, the library may have violated the groupโs freedom of
speech rights. The researcher must identify the conditions or elements that
must be established for a violation of freedom of speech to occur.
These elements must be identified to determine whether the library
violated the groupโs freedom of speech rights.
Part II: Apply the Elements or Requirements of the Rule of Law to the Issue
Being Addressed in the Clientโs Facts.
The elements or requirements of the rule of law must be applied to the facts
of the clientโs case and a determination made about whether the libraryโs
refusal to accept the groupโs material violated the groupโs rights. If it is not
clear from the rule of law how an element applies to the facts of the case, it
may be necessary to refer to a court opinion that interprets the rule of law or
provides guidance on how it applies in a fact situation similar to the clientโs
case.
Part III: Identify and Explore Any Counterargument or Counteranalysis.
Any counterargument that the opposing side is likely to raise should be
addressed. The library may argue that the groupโs literature advocates acts of
violence and is so inflammatory that it is similar to yelling โFire!โ in a crowded
theater. Such literature is not protected by the freedom of speech provisions
of the U.S. Constitution.
STEP 4: The final step is the conclusion summarizing the results of the analytical
process. The conclusion should include a summary of the law and analysis presented
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in the previous steps and a consideration of what action a court may take or how it
may rule upon the issue. The conclusion may also include the identification of:
1. Additional factual information that may be needed
2. Further research that may be required
3. Related issues or concerns
ASSIGNMENT 4B
The steps discussed in the answer to Assignment 4A apply to each issue identified in this
assignment.
STEP 1 requires the identification of each issue. In this assignment, two possible
causes of action are identified, one involving freedom of speech under the First
Amendment and another involving equal protection under the Fourteenth
Amendment. Each issue should be stated as specifically as possible in the context of
the facts. See Chapters 9 and 10.
Was the groupโs freedom of speech rights violated by the libraryโs refusal to
accept the groupโs literature?
A final complete statement of the issue may not be possible until research and
analysis are conducted. Once the issues are identified as specifically as possible, the
analysis steps should be separately followed for each issue.
One issue, such as the freedom of speech issue, should be analyzed completely. Steps
2, 3, and 4 should be followed in regard to that issue. The analysis of the freedom of
speech issue should be entirely completed before the equal protection issue is
addressed. Once the analysis of the first issue is complete, Steps 2, 3, and 4 should be
followed in regard to the second issue.
In outline form, the process for analyzing the two issues presented in this assignment
should appear as follows:
STEP 1: Identify each issue as completely as possible. Select one of the issues, and
follow the remaining steps of the analytical process for that issue. Assume that the
freedom of speech issue is selected first.
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STEP 2: Identify the specific rule of law concerning freedom of speech that applies to
the question of a libraryโs refusal to accept a groupโs material.
STEP 3: Determine how the rule of law applies to the freedom of speech issue.
Part I: Identify the component parts (elements) of the applicable freedom of
speech rule of law.
Part II: Apply the facts of the case to the elements of the rule of law.
Part III: Consider and address the possible counterarguments.
STEP 4: Prepare a conclusion: a recap of the analysis, a consideration of what action a
court may take, and any recommendations.
Once Step 4 is completed for the freedom of speech issue, then Steps 2, 3, and 4
should be followed for the equal protection issue.
ASSIGNMENT 4C
The primary factors that may affect a researcherโs objectivity are the preconceived notions,
personal views, and emotional feelings that the researcher may have toward the client or
toward the extremist group of which the client is president. If the researcher is a follower of
Islam and possibly has been subjected to anti-Islamic abuse, for example, or to any prejudice
in general, the researcher may be repulsed by what the group represents. Therefore, it may be
very difficult for the researcher to approach the analysis of the legal issues objectively.
This can result in a failure to conduct an objective, critical analysis of the issues. The
researcher may focus on the part of the research that indicates that freedom of speech and
equal protection do not afford the clientโs group a remedy in this situation. The researcher
may focus on the body of case law that indicates that the groupโs rights were not violated.
The researcher may therefore not conduct an objective analysis and fail to give equal
credence to or vigorously pursue the line of authority that indicates that the groupโs freedom
of speech and equal protection rights were violated.
If the researcher is a supporter of the group or its philosophy, then the opposite of
the above may occur. The researcher may fail to vigorously pursue or consider the line of
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authority indicating that the group is not protected under the rights of freedom of speech or
equal protection.
In both instances, the ability to objectively research and analyze the issues is
compromised by the nature of the case and the personal views of the researcher. This can
produce an incomplete analysis of the issues and the applicable law and can result in an
erroneous conclusion.
ASSIGNMENT 5A
The preliminary stages of this assignment, and of all assignments involving the legal analysis
of issues in a clientโs case, are the same as those discussed in Assignment 4A. That is, prior to
beginning the IRAC analytical process, the researcher should gather all the information
regarding the issue being addressed. Is the clientโs case file complete? Are there any
documents missing from the file? Are all the relevant information and facts assembled? If a
review of the file reveals that additional information is necessary, the researcher should
contact the appropriate party and obtain the information before beginning.
It may also be necessary as a preliminary step to do basic research in the area(s) of
law that govern the issue or issues. This may require reference to a legal encyclopedia or
treatise, for example. Once the facts are gathered, the file complete, and a basic familiarity
with the area of law acquired, the legal assistant should perform the four-step IRAC analytical
process discussed in the chapter:
STEP 1: Identify the issue or issues raised by the facts of the case. The issue initially
may be stated broadly, such as, โDid the client violate the state motor vehicle laws
when he passed in a no-passing zone?โ As the applicable law is identified and further
research and analysis are conducted, the issue should be identified more precisely in
the context of the law and facts.
Under the section of the stateโs motor vehicle code governing passing, Section
293-301, is the statute violated when an individual begins and ends a passing
maneuver entirely in a no-passing zone, there is no oncoming traffic, and the
maneuver is safely made?
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STEP 2: Identify the rule of law that governs the issue. After identifying the issue, the
researcher should locate the law that governs the issue. In this case, Section 293-301
of the state motor vehicle code governs the question of passing maneuvers and nopassing zones. Thorough research should be conducted to ensure that there are no
additional applicable statutory sections.
This step should also include identifying all relevant case law that may be
necessary to interpret the terms of the statute or to act as guidance in the
determination of how the law applies to the issue being addressed. Relevant case law
would consist of cases that involve factual situations and issues similar to those being
addressed in the clientโs case wherein the courts applied the same or a similar rule of
law and that show how the law applies. In this assignment, the relevant case on the
subject, State v. Roth, would be identified in Step 2.
STEP 3: Analyze the law and determine how the law applies to the issue. As
discussed in Assignments 4A and 4B, this step involves a three-part process of
analyzing and applying the law that governs the issue.
Part I: Identify the Elements of the Law.
This part requires the researcher to identify the elements of Section 293-301
of the motor vehicle code, which must be met for the section to apply. What
are the elements of the section? The components or elements of Section 293301 are easy to identify. The statute is violated when:
1. There is a passing maneuver
2. in a no-passing zone (defined as that portion of the road marked by two
solid lines painted in the center of the road).
Part II: Apply the Elements or Requirements of the Rule of Law to the Issue
Being Addressed (to the Clientโs Facts).
The elements or requirements of the rule of law must be applied to the facts of
the clientโs case and a determination made whether the actions of the client
violated the statute. It appears, from a literal reading of the relevant section of the
stateโs motor vehicle code, that the client clearly violated the statute. The client:
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1. Admittedly performed a passing maneuver
2. in a no-passing zone; that is, the maneuver began and ended in a portion of
the road marked by two solid lines painted in the center of the road.
Part III: Identify and Explore Any Counterargument or Counteranalysis.
A possible counterargument that could be made to the analysis (albeit a weak
one) is that a strict application of the statute is not appropriate since there were
no oncoming vehicles and the passing maneuver was safely made.
Support of this counterargument could be based on the State v. Roth decision.
In that case, the court ruled that a strict reading of the statute was not
appropriate when the maneuver was safely made and the no-passing zone was
not properly marked. That opinion, however, is probably not applicable because it
is not on point. There are critical differences between the facts of Roth and the
clientโs case.
In Roth, the passing maneuver began at the end of a no-passing zone that
should have been marked as a passing zone. The pass was completed in a passing
zone. In effect, the maneuver began and ended in a zone that should have been
marked as a passing zone. In the clientโs case, the entire passing maneuver took
place in a no-passing zone. There are no facts indicating that the no-passing zone
was improperly marked.
It would be an absurd reading of Roth to argue that the opinion allows the
avoidance of the clear application of the statute whenever a passing maneuver is
safely made entirely within a no-passing zone. If that were the intent of the
legislature, Section 293-301 would contain a provision excepting from the
application of the section passes safely made in no-passing zones.
STEP 4: The final step is the conclusion summarizing the results of the analytical
process. The conclusion should include a summary of the law and analysis presented in
the previous steps and a consideration of what action a court may take or how it may
rule upon the issue. The conclusion may also include the identification of the following:
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1. Additional factual information that may be needed; in this case, whether the
passing zone was properly marked
2. Further research that may be required; in this case, whether there are additional
court opinions involving passing maneuvers in no-passing zones
3. Related issues or concerns
Section 293-301 of the stateโs motor vehicle code prohibits passing in a no-passing zone.
In this case, the clientโs passing maneuver was entirely conducted in a no-passing zone.
Unless the no-passing zone was improperly marked, as in the Roth case, it seems clear
that the clientโs ticket will not be set aside. It is recommended that an investigation be
conducted to determine whether the passing zone was improperly marked. Also, it may
be advisable to conduct further research to determine whether there are additional cases
addressing this issue.
ASSIGNMENT 5B
The preliminary stages (gathering the facts, reviewing the case file, and so forth) and the
four steps of the analytical process are the same in this assignment as in Assignment 5A.
Presented below is a comparison between the performance of the steps of the analytical
process in Assignment 5A and this assignment.
STEP 1: Identify the issue or issues raised by the facts of the case. The approach to
identifying the issue in this assignment is the same as in Assignment 5A. The
difference is that the final statement of the issue is different because the key facts are
somewhat different. In this assignment, the passing maneuver did not begin and end
in the no-passing zone; the passing maneuver began approximately 20 feet from the
end of the no-passing zone and was completed in a passing zone.
Under the section of the motor vehicle code governing passing, 293-301, is the
statute violated when an individual begins a passing maneuver approximately 20 feet
from the end of the no-passing zone and completes it in a passing zone, there is no
oncoming traffic, and the maneuver is safely made?
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STEP 2: Identify the rule of law that governs the issue. The performance of Step 2 is
the same for this assignment as it is for Assignment 5A. Refer to the answer presented
in Assignment 5A, Step 2.
STEP 3: Analyze the law and determine how the law applies to the issue. Part I of this
step is the same for this assignments as it is for Assignment 5A; the major differences
in the assignments are in Parts II and III, which are noted below.
Part I: Identify the Elements of the Law.
As noted above, the performance of this part of Step 3 is the same as Part I in
Assignment 5A. Refer to the answer presented in Assignment 5A, Step 3, Part
I.
Part II: Apply the Elements or Requirements of the Rule of Law to the Issue
Being Addressed (to the Clientโs Facts)
The elements or requirements of the rule of law must be applied to the facts
of the clientโs case and a determination made whether the actions of the
client violated the statute.
The performance of Part II is different in this assignment from that in
Assignment 5A. In this assignment, it is unclear, based on the statutory and
case law, whether the passing maneuver violated the law. An argument can be
made either way. The statute provides that it is a violation of Section 293-301
to pass a vehicle in a no-passing zone; however, neither the section nor the
relevant court decision, the Roth case, defines what constitutes passing a
vehicle in a no-passing zone. Is the statute violated only if the passing
maneuver begins and ends in the no-passing zone or is the statute also
violated if the maneuver merely begins in the no-passing zone but does not
end in the no-passing zone?
Neither the statute nor Roth addresses these questions. In Roth, the court
stated that the purpose of the statute is to ensure safety on the public
highways. The court ruled that a strict reading of the statute was not
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appropriate when the maneuver was safely made and the no-passing zone was
not properly marked.
In Roth, the passing maneuver began in the last 30 feet of the no-passing
zone, there was no oncoming traffic, and the maneuver was safely completed.
The clientโs case is almost identical to Roth: The passing maneuver began in
the last 30 feet of the passing zone, there was no oncoming traffic, and the
maneuver was safely made. It could be argued that since the cases are almost
identical, a strict reading of the statute is not appropriate and the statute
should not apply, just as it did not apply in Roth. In the clientโs case, as in Roth,
the purpose of ensuring safety on the public highways is not furthered by a
strict reading of the statute.
A strong counterargument to this analysis is presented in Part III, below.
Without a determination of what constitutes passing a vehicle in a no-passing
zone within the meaning of Section 293-301, it is unclear how a court may rule or
which position will prevail.
Part III: Identify and Explore Any Counterargument or Counteranalysis.
Any counterargument the opposing side is likely to raise should be addressed. A
strong counterargument could be made that the Roth case does not apply, Section
293-301 should be strictly applied, and a passing maneuver that in any way begins
in a no-passing zone violates the section.
In the Roth case, the court ruled that a strict reading of the statute was not
appropriate when the maneuver was safely made and the no-passing zone was
not properly marked. That opinion, however, is probably not applicable because it
is not on point. There is a critical difference between the facts of Roth and the
clientโs case.
In Roth, the passing maneuver began at the end of a no-passing zone that
should have been marked as a passing zone. The pass was completed in a passing
zone. In effect, the maneuver began and ended in a zone that should have been
marked as a passing zone. In the clientโs case, there are no facts indicating that the
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no-passing zone was improperly marked; therefore, the passing maneuver did not
in effect begin in a passing zone and the case is not on point.
A determination of which analysis, the one presented in Part II or Part III,
would most likely be adopted by a court cannot be made without an
interpretation of what constitutes passing a vehicle in a no-passing zone. Further
research needs to be conducted to determine whether a court will allow a lessstrict interpretation and application of the relevant section of the motor vehicle
code only in situations in which there is an error in marking the road, as occurred
in Roth. Cases involving the improper marking of road signs or speed limits may
provide guidance.
STEP 4: The final step is the conclusion summarizing the results of the analytical
process. The conclusion should include a summary of the law and analysis presented in
the previous steps and a consideration of what action a court may take or how it may
rule upon the issue. The conclusion may also include the identification of the following:
1. Additional factual information that may be needed; in this case, whether the
no-passing zone was properly marked
2. Further research that may be required; in this case, whether there are
additional cases involving passing maneuvers in a no-passing zone or cases
involving improperly marked roads, such as cases involving signs or speed
limits
3. Related issues or concerns
Section 293-301 of the motor vehicle code prohibits passing in a no-passing zone.
Neither the section nor the case law defines what constitutes passing in a nopassing zone. It could be argued that the section should not apply because the
facts of the clientโs case are almost identical to the Roth case, and the statute was
not applied in Roth. It can also be argued that Roth does not apply because in
Roth, the no-passing zone was improperly marked, and in the clientโs case, there is
no indication that it was improperly marked.
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website, in whole or in part.
A determination of which argument would most likely be adopted by a
court cannot be made without an interpretation of what constitutes passing a
vehicle in a no-passing zone. Further research needs to be conducted to
determine whether a court will allow a less-strict interpretation and
application of the motor vehicle code only in situations in which there is an
error in marking the road, as occurred in Roth.
It is recommended that research be conducted to determine whether the
passing zone was improperly marked. Cases involving the improper marking of
road signs or speed limits may provide guidance. It may be advisable to
conduct further research to locate such cases or to determine if there are
additional cases concerning this issue.
ASSIGNMENT 5C
The preliminary stages (gathering the facts, reviewing the case file, and so forth) and the four
steps of the analytical process are the same in this assignment as in Assignment 5A. Presented
below is a comparison between the performance of the steps of the analytical process in
Assignment 5A and this assignment. Also, the answer to this assignment is very similar in part
to Assignment 5B, but with certain differences.
STEP 1: Identify the issue or issues raised by the facts of the case. The approach to
identifying the issue in this assignment is the same as in Assignment 5A. The
difference is in the final statement of the issue because the key facts are somewhat
different. In this assignment, the passing maneuver did not begin and end in a nopassing zone; the passing maneuver began in a passing zone and was completed in a
no-passing zone.
Under the section of the motor vehicle code governing passing, Section 293-301,
is the statute violated when an individual begins a passing maneuver in a passing zone
and completes it in a no-passing zone, there is no oncoming traffic, and the maneuver
is safely made?
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website, in whole or in part.
STEP 2: Identify the rule of law that governs the issue. The performance of Step 2 is
the same for this assignment as it is for Assignment 5A. Refer to the answer presented
in Assignment 5A, Step 2.
STEP 3: Analyze the law and determine how the law applies to the issue. Part I of this
step is the same for both assignments; the major differences are between Parts II and
III, which are noted below.
Part I: Identify the Elements of the Law.
The performance of this part of Step 3 is the same as Part I in Assignment 5A.
Refer to the answer presented in Assignment 5A, Step 3, Part I.
Part II: Apply the Elements or Requirements of the Rule of Law to the Issue Being
Addressed (to the Clientโs Facts).
The elements or requirements of the rule of law must be applied to the facts
of the clientโs case and a determination made whether the actions of the
client violated the statute.
The performance of Part II is different in this assignment from that in
Assignment 5A. In this assignment, just as in Assignment 5B, it is unclear, based on
the statutory and case law, whether the passing maneuver violates the law. An
argument can be made either way. The statute provides that it is a violation of
Section 293-301 to pass a vehicle in a no-passing zone; however, neither the
section nor the relevant court decision, the Roth case, defines what constitutes
passing a vehicle in a no-passing zone. Is the statute violated only if the passing
maneuver begins and ends in a no-passing zone or is the statute also violated if
the maneuver begins in a passing zone and ends in a no-passing zone?
Neither the statute nor Roth addresses these questions. The court in Roth
stated that the purpose of the statute is to ensure safety on the public highways.
The court ruled that a strict reading of the statute was not appropriate when the
maneuver was safely made and the no-passing zone was not properly marked.
In the Roth case, the passing maneuver began in the last 30 feet of the no-
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passing zone, there was no oncoming traffic, and the maneuver was safely
completed. The clientโs case is somewhat similar to Roth: The passing was safely
made and there was no oncoming traffic. It could be argued that because the
cases are similar, a strict reading of the statute is not appropriate and the statute
should not apply, just as it did not apply in Roth. In the clientโs case, as in Roth, the
purpose of ensuring safety on the public highways is not furthered by a strict
reading of the statute.
A strong counterargument to this analysis is presented in Part III, below.
Without a determination of what constitutes passing a vehicle in a no-passing
zone within the meaning of Section 293-301, it is unclear how a court may rule
and which position will prevail.
Part III: Identify and Explore Any Counterargument or Counteranalysis.
Any counterargument the opposing side is likely to raise should be addressed. A
strong counterargument could be made that the Roth case does not apply, Section
293-301 should be strictly applied, and a passing maneuver that in any way takes
place in a no-passing zone violates the section.
In Roth, the court ruled that a strict reading of the statute was not appropriate
when the maneuver was safely made and the no-passing zone was not properly
marked. The opinion, however, is probably not applicable because it is not on
point. There is a critical difference between the facts of Roth and the clientโs case.
In Roth, the passing maneuver began at the end of a no-passing zone that should
have been marked as a passing zone and ended in a passing zone. In effect, the
maneuver began and ended in a zone that should have been marked a passing
zone.
In the clientโs case, the pass was completed in a no-passing zone. There are no
facts indicating that the no-passing zone was improperly marked; therefore, the
passing maneuver did not, in effect, end in a passing zone as it did in Roth, and the
case is not on point.
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website, in whole or in part.
A determination of which analysis, the one presented in Part II or Part III,
would most likely be adopted by a court cannot be made without an
interpretation of what constitutes passing a vehicle in a no-passing zone. Further
research needs to be conducted to determine whether a court would allow a lessstrict interpretation and application of the motor vehicle code only in situations in
which there is an error in marking the road, as occurred in Roth. Cases involving
the improper marking of road signs or speed limits may provide guidance.
STEP 4: The final step is the conclusion summarizing the results of the analytical
process. The conclusion should include a summary of the law and analysis presented
in the previous steps and a consideration of what action a court may take or how it
may rule upon the issue. The conclusion may also include the identification of the
following:
1. Additional factual information that may be needed; in this case, whether the
no-passing zone was properly marked
2. Further research that may be required; in this case, whether there are
additional cases involving passing maneuvers in no-passing zones
3. Related issues or concerns; none noted here
ASSIGNMENT 5D
ASSIGNMENT 5A. There is probably sufficient information presented in the
assignment for a complete analysis of the problem. It is always helpful, however, to have
additional cases, and additional research would be advisable. A necessary fact, in light of the
Roth decision, is whether the no-passing zone was properly marked.
ASSIGNMENT 5B. The additional factual information that may be needed in this
assignment is whether the no-passing zone where the passing maneuver was initiated was
properly marked. Further research may be required to identify whether there are additional
cases involving passing maneuvers in no-passing zones or cases involving improperly marked
roads, such as cases involving signs or speed limits.
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ASSIGNMENT 5C. Additional factual information that may be needed in this
assignment is whether the no-passing zone where the passing maneuver ended was properly
marked. The same additional case law research discussed in Assignment 5B would be
required.
ASSIGNMENT 6
When your research of a specific source produces no results, you should take the following
approaches:
1. Look to another source of law. Once you have conducted research using all
the possible terms that the statute may be categorized under, it is time to look
to another source, such as case law.
2. Reconsider the issue and search terms. It may be possible that the issue or
search terms are stated so broadly or narrowly that you are not finding any
results. If so, it may be necessary to consult the person who gave you the
assignment for guidance or to make sure the assignment is clear. In addition,
reference to a secondary source such as a treatise may help you reframe the
issue or identify additional search terms.
3. Reconsider the legal theory. It may be that you have incorrectly analyzed the
question and are searching in the wrong area of law. Review the question to
see if another area of law may be involved. It may be necessary to consult a
secondary source such as a legal encyclopedia for an overview of the law that
compiles all the ways a topic may be addressed.
4. Matters of first impression. It may be that the issue you are researching has
not been addressed in your state. If this is the case, refer to a secondary
source such as a legal encyclopedia, treatise, or ALR annotation to identify
how other jurisdictions have answered the question. The results of your
research should not simply inform the supervising attorney that the state has
not decided the matter. It should include the various ways other states have
addressed the question.
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Keep the following considerations in mind concerning when to stop researching after
finding several legal sources that address the research topic.
โช
Stop when you have found the answer. The first research step is to find the
primary authority that answers the question. If the authority clearly answers the
question, then stop researching.
There may be case law directly on point that answers the question being
researched. If this is the situation, then you must Shepardize the case to
determine if it is good law and identify any cases that may criticize or affect its
application. In addition, check the appropriate digest for other cases that may
analyze the issue differently. Also, check a secondary source such as an ALR
annotation on the topic for authority that may provide a different analysis. Include
any cases that are on point in the research.
โช
You locate several authorities on the research topic. Keep the following factors in
mind if you locate several authorities that address the research issue:
1. Primary Authority (constitutions, statutes, cases). Always try to find a
mandatory primary authority source or sources for each issue. If you have
several cases that address the topic, use the mandatory authority cases. If you
have case law that is mandatory authority, you do not need persuasive
authority, such as cases from other jurisdictions. If you have several
mandatory authority cases, select the case that is most on point, that which
most clearly analyzes the law and is most recent.
2. Secondary Authority. You do not need to include secondary sources in your
research if the primary authority clearly provides the answer to the issue. If
there is no primary authority on a topic, then reference to secondary authority
is necessary. The more specific the secondary authority source is, the better.
MindTap Supplementary Exercises: Answers
ASSIGNMENT 1
The term focus means to keep the mind concentrated on the specific task assigned and not be
sidetracked by other issues that may be raised by the facts of the case. Focus is important to
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the analytical process because a lack of focus may cause a researcher to get sidetracked on
other issues and waste time researching and analyzing matters beyond the assignment at
hand.
The term intellectual honesty means to research and analyze a problem objectively, to
not let emotions, personal views, or preconceived notions interfere with an objective analysis
of the clientโs case. Intellectual honesty is important because if personal views, prejudices,
and so on become part of the analysis, they may lead to a failure to conduct an objective,
critical analysis of the case. The researcher may not vigorously pursue potential opposing
arguments or may discount opposing authority.
ASSIGNMENT 2A
STEP 1: Identify the issue. Under Section 24-457B of the state probate code, is a will
revoked when the notation, โI hereby revoke this will and declare it to be void,โ
(signed) is handwritten diagonally across the first paragraph of the will?
Instructorโs Note: This is a complete statement of the issue as covered in Chapters 10
and 11; that is, it includes the rule of law and detailed facts. Without having covered
those chapters, students may state the issue more broadly, such as, โIs the will validly
revoked by a notation across the first paragraph?โ
STEP 2: Identify the rule of law. The law governing revocation of wills is Section 24457B of the state probate code. In the case of Terrance v. Real, the court interpreted
the phrase โplaced on the will or codicilโ to require that the revocation language be
so placed as to physically affect written words of the will.
STEP 3: Determine how the rule of law applies to the issue.
Part I: Identify the Component Parts (Elements) of the Rule of Law.
Under Section 24-457B, the following elements must be present for a will to
be revoked:
1. A writing,
2. declaring an intention to revoke the will,
3. placed on the will or codicil,
4. and signed by the testator
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Part II: Apply the Facts of the Clientโs Case to the Component Parts.
The writing requirement appears to be met: there is a handwritten notation
and the statute does not require the writing to be typed. The second element
appears to be met; the language, โI hereby revoke this will and declare it to be
void,โ clearly evidences an intent to revoke the will. The third element appears
to be met: the notation is placed on the will. The case of Terrance v. Real
requires that the revocation language must be placed to physically affect
written words of the will. In this case, the notation is written diagonally across
the first paragraph of the will, where it clearly affects the willโs written words.
The final element is met; the testator signed it.
Part III: Consider Possible Counterarguments to the Analysis of the Issue.
The only possible counterargument is that the will must be typewritten. In this
case, it was handwritten. The statute is silent on the question of whether the
notation may be handwritten; therefore, case law should be referred to.
STEP 4: Conclusion. Section 24-457B of the state probate code provides that
revocation language placed on a will and signed by the testator is sufficient to
revoke a will. The case of Terrance v. Real requires that the revocation language
must be placed to physically affect written words of the will. In this case, there
was revocation language, written across the first paragraph of the will, and
signed by the testator. All of the elements of the statute are met and the
revocation appears to be valid under state law.
ASSIGNMENT 2B
STEP 1: Identify the issue. Under Section 24-457B of the state probate code, is a will
revoked when handwritten in the margins of the first page of the will is the notation,
โI hereby revoke this will and declare it to be void,โ and the notation is signed by the
deceased?
Instructorโs Note: This is a complete statement of the issue as covered in Chapters 10
and 11; that is, it includes the rule of law and detailed facts. Without having covered
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website, in whole or in part.
those chapters, students may state the issue more broadly, such as, โIs the will validly
revoked by a notation in the margins of the first page of the will?โ
STEP 2: Identify the rule of law. The law governing revocation of wills is Section 24457B of the state probate code. In the case of Terrance v. Real, the court interpreted
the phrase โplaced on the will or codicilโ to require that the revocation language be
so placed as to โphysically affect written words of the will.โ
STEP 3: Determine how the rule of law applies to the issue.
Part I: Identify the Component Parts (Elements) of the Rule of Law.
The relevant portions of Section 24-457B provide that the following elements
must be present for a will to be revoked:
1. A writing,
2. declaring an intention to revoke the will,
3. placed on the will or codicil,
4. and signed by the testator
Part II: Apply the Facts of the Clientโs Case to the Component Parts.
The writing requirement appears to be met: there is a handwritten notation
and the statute does not require the writing to be typed. The second element
appears to be met: the language, โI hereby revoke this will and declare it to be
void,โ clearly evidences intent to revoke the will. The third element does not
appear to be met. The case of Terrance v. Real requires that the revocation
language be placed to physically affect written words of the will. In this case,
the notation is written in the margins of the first paragraph of the will, where
it does not affect the written words. The final element is met: the testator
signed it.
Part III: Consider Possible Counterarguments to the Analysis of the Issue.
The only possible counterargument would be to study the revocation
language to see if any of it is placed on written words of the will.
STEP 4: Conclusion. Section 24-457B of the state probate code provides that
revocation language placed on a will and signed by the testator is sufficient to revoke
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website, in whole or in part.
a will. The case of Terrance v. Real requires that the revocation language be placed to
physically affect written words of the will. In this case, there was revocation language,
but it appears in the margins of the will, so it does not physically affect the willโs
written words. The third element is not met; therefore, the revocation is not valid.
ASSIGNMENT 2C
STEP 1: Identify the issue. Under Section 24-457B of the state probate code, is a
disposition to an individual in a will revoked when handwritten diagonally across the
first paragraph of the will is the following notation to the individual, โI hereby revoke
and declare void all dispositions,โ and the notation is signed by the deceased?
Instructorโs Note: This is a complete statement of the issue as covered in Chapters 10
and 11; that is, it includes the rule of law and detailed facts. Without having covered
those chapters, students may state the issue more broadly, such as,
โAre the
dispositions to the brother validly revoked by a notation across the first paragraph?โ
STEP 2: Identify the rule of law. The law governing revocation of wills is Section 24457B of the state probate code. In the case of Terrance v. Real, the court interpreted
the phrase โplaced on the will or codicilโ to require that the revocation language be
so placed as to โphysically affect written words of the will.โ
STEP 3: Determine how the rule of law applies to the issue.
Part I: Identify the Component Parts (Elements) of the Rule of Law.
The relevant portions of Section 24-457B provide that the following elements
must be present for a will to be revoked:
1. A writing,
2. declaring an intention to revoke the will,
3. placed on the will or codicil,
4. and signed by the testator
Part II: Apply the Facts of the Clientโs Case to the Component Parts.
The key to this problem is whether the statute allows partial revocation. The
statute reads โA will may be revokedโ; it does not read โA disposition within a
will may be revoked.โ The statute does not appear to apply to partial
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revocation, although that may be the case. Before this question may be
answered, research into case law must be conducted to determine if the
courts have interpreted the statute to allow partial revocations. If so, then the
analysis is similar to the analysis for Assignment 2A. It follows the writing
requirement appears to be met; there is a handwritten notation and the
statute does not require the writing to be typed. The second element appears
to be met: the language, โI hereby revoke and declare void all dispositions to
my brother Tom Harbin,โ clearly evidences intent to revoke the dispositions to
Mr. Harbin. The third element appears to be met; the case of Terrance v. Real
requires that the revocation language be placed to physically affect written
words of the will. In this case, the notation is written diagonally across the first
paragraph of the will, where it affects the written words. The final element is
also met; the testator signed it.
Part III: Consider Possible Counterarguments to the Analysis of the Issue.
In addition to the counterargument mentioned in Part II, the only other
possible counterargument would be that it must be typewritten. In this case, it
was handwritten. The statute is silent on the question of whether the notation
may be handwritten; therefore, case law should be referred to.
STEP 4: Conclusion. Section 24-457B of the state probate code provides that
revocation language placed on a will and signed by the testator is sufficient to revoke
a will. The case of Terrance v. Real requires that the revocation language must be
placed to physically affect written words of the will. In this case, there was revocation
of only a disposition within the will. The entire will was not revoked. If the statute
allows partial revocation, then the disposition was revoked: There was revocation
language, written across the first paragraph of the will, and signed by the testator. All
of the elements of the statute are met and the revocation would appear to be valid
under state law. Research must be conducted to determine if the statute allows
partial revocation.
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ASSIGNMENT 3A
STEP 1: Identify the issue. In light of the provisions of Section 21-2-314 of the state
commercial code, is there an implied warranty of merchantability for a toaster sold at
a flea market booth that sells small appliances and is always open at the same
location at the market?
Instructorโs Note: As with the other assignments, this is a complete statement of the
issue(s) as covered in Chapters 10 and 11; that is, it includes the rule of law and
detailed facts. Without having covered those chapters, student may state the issue
more broadly, such as, โIs there a warranty of merchantability for goods sold at a flea
market?โ
STEP 2: Identify the rule of law. The laws governing the sale of goods are Sections 212-314 and 21-1-101 of the state commercial code. Case lawโDinelle v. Eldsonโ
verifies that a court held that a flea market seller can be considered a merchant,
within the meaning of the commercial code, if the seller sells the same products at the
flea market on a continuous basis.
STEP 3: Determine how the rule of law applies to the issue.
Part I: Identify the Component Parts (Elements) of the Rule of Law.
According to Section 21-2-314, for an implied warranty of merchantability to exist
for the sale of goods, the following elements must be present:
1. Sale
2. of goods
3. by a merchant with respect to goods of that kind
According to Section 21-1-101, a merchant is โone who routinely is engaged in the
purchase and sale of the kind of goods involved in the sales contract.โ
Part II: Apply the Facts of the Clientโs Case to the Component Parts.
The first element is met because the transaction at the flea market was a sale. The
second element is met because the sale was a sale of goods: the toaster. The third
element also appears to be met. Section 21-1-101 defines a merchant as โone who
routinely is engaged in the purchase and sale of the kinds of goods involved in the
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sales contract.โ According to the facts, small appliances are sold at the booth and
it is always open at the same location at the flea market. Thus, the seller appears
to be routinely engaged in the purchase and sale of the kinds of goods involved. In
addition, the court in Dinelle v. Eldson held that individuals who sell the same
products at a flea market on a continuous basis can be considered merchants
within the meaning of the commercial code. Since all three of the requirements of
Section 21-2-314 appear to be met, it can be concluded that an implied warranty
of merchantability exists for the sale of the goods. Since the toaster worked for
only two days, it probably is not merchantable and, under Section 21-2-314, the
seller must replace the goods or return the purchase price.
Part III: Consider Possible Counterarguments to the Analysis of the Issue.
Possible counterarguments may be made based on missing facts. The seller sells
small appliances, but does the seller routinely sell toasters? If the seller only
occasionally sells toasters, then the seller may not be a merchant under Section
21-1-101 because the seller is not routinely engaged โin the sale of the kind of
goods involved in the sales contract.โ Another missing fact that may give rise to a
counterargument is how the client used the toaster. If the client abused the
toaster and caused it to fail, then the toasterโs failure may not be a result of its
lack of merchantability.
STEP 4: Conclusion. Section 21-2-314 of the state commercial code provides that an
implied warranty of merchantability exists for the sale of goods if the seller is a
merchant of the type of goods involved in the sale. Section 21-1-101 of the commercial
code defines a merchant as โone who routinely is engaged in the sale of the type of
goods involved in the sales contract.โ The court in Dinelle v. Eldson held that
individuals who sell the same products at a flea market, on a continuous basis, can be
considered merchants within the meaning of the commercial code. Assuming there are
no missing facts, all of the elements of the statute are met: There was a sale of goods
by an individual who routinely sells those types of goods at the flea market. Under the
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website, in whole or in part.
statute, a warranty of merchantability is implied for the sale of the toaster and the
client is entitled to either the return of her purchase price or a replacement toaster.
ASSIGNMENT 3B
STEP 1: Identify the issue. In light of the provisions of Section 21-2-314 of the state
commercial code, is there an implied warranty of merchantability for an item sold at a
garage sale when the seller has a garage sale every weekend at the same location?
Instructorโs Note: As with the other assignments, this is a complete statement of the
issue as covered in Chapters 10 and 11; that is, it includes the rule of law and detailed
facts. Without having covered those chapters, students may state the issue more
broadly, such as, โIs there a warranty for goods sold at a garage sale?โ
STEP 2: Identify the rule of law. The laws governing the sale of goods are Sections 212-314 and 21-1-101 of the state commercial code. Case lawโDinelle v. Eldsonโ
verifies that the court held that a flea market seller can be considered a merchant
within the meaning of the commercial code if the seller sells the same products at the
flea market on a continuous basis.
STEP 3: Determine how the rule of law applies to the issue.
Part I: Identify the Component Parts (Elements) of the Rule of Law.
According to Section 21-2-314, for an implied warranty of merchantability to
exist for the sale of goods, the following elements must be present:
1. A sale
2. of goods
3. by a merchant with respect to goods of that kind
According to Section 21-1-101, a merchant is โone who routinely is engaged in
the purchase and sale of the kind of goods involved in the sales contract.โ
Part II: Apply the Facts of the Clientโs Case to the Component Parts.
The first element is met because the transaction was a sale. The second
element is met because the sale was a sale of goods: the toaster. The third
element may or may not be met, depending on missing facts. Section 21-1-101
defines a merchant as โone who routinely is engaged in the purchase and sale
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website, in whole or in part.
of the kinds of goods involved in the sales contract.โ The facts do not indicate
whether toasters are routinely sold at the garage sale. Without this fact, it
cannot be determined whether the seller is a merchant as defined in Section
21-1-101 and, therefore, whether the third requirement of Section 21-2-314 is
met.
If it is determined that the seller is โroutinely engagedโ in the sale of
toasters at the garage sales, then the third element would be met. This would
be the case, especially in light of the holding in Dinelle v. Eldson, in which the
court held that individuals who sell the same products at a flea market on a
continuous basis can be considered merchants within the meaning of the
commercial code. When people who routinely hold garage sales sell the same
product on a continuous basis, it can be argued that they are functionally the
same as similar sellers at flea markets.
If the third element is met, then all three of the requirements of Section
21-2-314 are met, and it could be concluded that an implied warranty of
merchantability exists for the sale of the toaster. Since the toaster worked for
only two days, it probably is not merchantable, and under Section 21-2-314,
the seller must replace the goods or return the purchase price.
Part III: Consider Possible Counterarguments to the Analysis of the Issue.
Possible counterarguments may be made based on missing facts. The facts do
not indicate whether toasters are routinely sold at the garage sales. Without
this fact, it cannot be determined whether the seller is a merchant as defined
in Section 21-1-101 and, therefore, whether the third requirement of Section
21-2-314 is met. If the seller only occasionally sells toasters, then the seller
would not be a merchant under Section 21-1-101 because the seller is not
routinely engaged โin the sale of the kind of goods involved in the sales
contract.โ Another missing fact that may give rise to a counterargument is how
the client used the toaster. If the client abused the toaster and caused it to
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website, in whole or in part.
fail, then the toasterโs failure may not have been a result of its lack of
merchantability.
STEP 4: Conclusion. A conclusion cannot be reached because a key fact is missing; that
is, whether the seller routinely sells toasters at his garage sales. If the seller does
routinely sell toasters, then there probably is an implied warranty. Section 21-2-314 of
the state commercial code provides that an implied warranty of merchantability exists
for the sale of goods if the seller is a merchant of the type of goods involved in the
sale. Section 21-1-101 of the commercial code defines a merchant as one routinely
engaged in the sale of goods involved in the sales contract. The court in Dinelle v.
Eldson held that sellers who sell the same products at a flea market on a continuous
basis can be considered merchants within the meaning of the commercial code. In this
situation, it can be argued that garage sales are the functional equivalent of a flea
market. Assuming there are no other missing facts, all of the elements of the statute
are met: There was a sale of goods by an individual who routinely sells those goods at
garage sales. Under the statute, a warranty of merchantability is implied for the sale
of the toaster, and the client is entitled to either the return of her purchase price or a
replacement toaster.
ASSIGNMENT 4
The answer to this assignment will vary with each student. The goal of the assignment is to
help students identify and be aware of personal views, beliefs, preconceived notions, or
prejudices that could affect their ability to research and analyze a problem objectively.
ASSIGNMENT 5
Before applying the four steps of the legal analysis processes to the assignment, students may
mention that preliminary preparation may be necessary. This would include gathering all the
facts (given in the assignmentโs fact section) and conducting basic research in the law of
embezzlement, such as reading the Am. Jur. sections on embezzlement.
STEP 1: Identify the issue. Under Section 18-6-22 of the embezzlement statute, is an
individual entrusted with company checks and thus commits embezzlement when the
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individual, not authorized to fill in company checks, takes the key to the locked filing
cabinet where the checks are kept, fills in one of the blank checks with his name, and
cashes and spends it to pay personal bills?
Instructorโs Note: This is a complete statement of the issue as covered in Chapters 10
and 11; that is, it includes the rule of law and detailed facts. Without having covered
those chapters, students may state the issue broadly, such as, โWas the client
entrusted with the money and did he commit embezzlement when he took the check?โ
STEP 2: Identify the rule of law. The statutory law is the embezzlement section of the
state criminal code, Section 18-6-22. The case law is State v. Kelley, in which the court
held that the defendant was entrusted with the money within the meaning of the
embezzlement statute when the defendant knew the location of the key to a locked
cabinet wherein cash was kept; was authorized to open the cabinet and remove the
cash in case of a fire; and when no one was present, opened the cabinet and took the
cash.
STEP 3: Determine how the rule of law applies to the issue.
Part I: Identify the Component Parts (Elements) of the Rule of Law.
Section 18-16-22 has four elements:
1. Embezzling or converting to oneโs own use
2. of anything of value
3. with which one has been entrusted,
4. with fraudulent intent to deprive the owner thereof
Part II: Apply the Facts of the Clientโs Case to the Component Parts.
Instructorโs Note: Since statutory analysis is covered in Chapter 3, studentsโ
performance in Part II may not be as complete as the analysis presented here.
The clientโs act of filling in one of the blank checks with his name, cashing it,
and using the money to pay his bills meets the first element. The check was
โanything of value,โ which meets the second element. The third element is met
because the client was entrusted with the checks within the meaning of State v.
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website, in whole or in part.
Kelleyโas in Kelley, he knew the location of the key to the cabinet and, on
occasion, employees were authorized to access the cabinet. The clientโs act of
cashing the check to pay his own bills obviously deprived the owner of the money
and evidences the clientโs fraudulent intent, which meets the requirements of the
fourth element.
Part III: Identify and Explore Any Counterargument or Counteranalysis.
Instructorโs Note: Since case law analysis and counteranalysis are addressed in
later chapters, all is expected here is that students state that the case in some way
does not apply.
A counterargument could be made that State v. Kelley does not apply. In Kelly,
the defendant was specifically authorized to open the cabinet in the event of a
fire. In the clientโs case, department heads, on occasion, would tell specific
employees to open the cabinet and bring the checkbook to them. There is no
indication that the client was ever authorized to open the cabinet; therefore, the
case does not apply and the client was not entrusted with the check within the
meaning of the statute.
STEP 4: Conclusion. Section 18-6-22 provides that, โEmbezzlement consists of . . .
converting to oneโs own use of anything of value, with which one has been entrusted,
with fraudulent intent to deprive the owner thereof.โ In the case of State v. Kelley, the
court held that the defendant was entrusted with the money within the meaning of the
embezzlement statute when the defendant knew location of the key to a locked
cabinet wherein cash was kept; was authorized to open the cabinet and remove the
cash in case of a fire; and when no one was present, opened the cabinet and took the
cash. In this case, there is probably enough evidence to support charges of
embezzlement: The client knew the location of the key to the cabinet where the checks
were kept; on occasion employees were authorized to access the cabinet; and the
client opened the cabinet, filled in a check, cashed it, and spent it for his own use.
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website, in whole or in part.
ASSIGNMENT 6
Instructorโs Note: This assignment is more difficult because there is no statutory law and the
applicable case law does not clearly set forth specific elements that must be met. Presumably,
studentsโ application of Step 3 will be less complete than the one presented here.
Before applying the four steps of the legal analysis process to the assignment,
students may mention that preliminary preparation may be necessary. This would include
gathering all the facts (given in the assignment Facts section) and conducting basic research
in the law of restrictive covenants, such as reading the Am. Jur. sections on the topic.
STEP 1: Identify the issue. Under Pennsylvania law governing restrictive covenants, is
a restrictive covenant violated when the covenant restricts the use of lots to
residential purposes and the owner of a lot parks and performs minor maintenance
on two welding trucks on the lot?
Instructorโs Note: This is a complete statement of the issue as covered in Chapters 10
and 11; that is, it includes the rule of law and detailed facts. Without having covered
those chapters, students may state the issue broadly, such as, โDid Mr. Carpenter
violate the restrictive covenantโ or โDid Mr. Carpenter violate the restrictive covenant
when he parked his welding trucks at his residence?โ
STEP 2: Identify the rule of law. There is no Pennsylvania statutory law governing the
issue in this assignment. The general legal principles governing the question are set
forth in the case of Jones v. Park Lane for Convalescents, in which the court noted that
land-use restrictions are not favored and are strictly construed. The specific case law
is provided in Baumgardner v. Stuckey. In Baumgardner, the defendant, Mr. Stuckey,
purchased residential property in a property development that was governed by
restrictive covenants. One covenant provided that no lot could be used except for
residential purposes. Mr. Stuckey knew about the restrictive covenant when he
purchased the lot. Mr. Stuckey, a truck driver, parked his truck-tractor and one or
more trailers on the property when they were not in use. The truck-tractor and
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website, in whole or in part.
trailers were used in conjunction with his business. The court enforced the restrictive
covenant and held that Stuckeyโs storing of the truck-tractor and/or trailers on the
property violated the covenant requirement that the property be used solely for
residential purposes.
STEP 3: Determine how the rule of law applies to the issue.
Part I: Identify the Component Parts (Elements) of the Rule of Law.
The case law governing the issue does not set forth specific elements. The
general legal principles governing the issue are that land-use restrictions are
not favored and are strictly construed (Jones v. Park Lane for Convalescents).
The specific case, Baumgardner v. Stuckey, requires that:
1. A restrictive covenant must restrict the use of property to residential
purposes.
2. The individual must know about the restrictive covenant when purchasing
the lot.
Instructorโs Note: It is not clear from the information provided from the case
whether this is a requirement. It is included here because it is included in the
facts of the case.
3. The vehicles must be used in conjunction with the individualโs business.
4. The vehicles must be parked on the residential property.
Part II: Apply the Facts of the Clientโs Case to the Component Parts.
1. A restrictive covenant must restrict the use of property to residential
purposes. The first element is met because the lot Mr. Carpenter
purchased is subject to a restrictive covenant that restricts the use of the
property to residential purposes.
2. The individual must know about the restrictive covenant when purchasing
the lot. The second element is met because the deed to the property Mr.
Carpenter purchased includes a notation that the property is subject to the
Declaration of the Covenants, Conditions, and Restrictions of River View
Subdivision.
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3. The vehicles must be used in conjunction with the individualโs business.
Mr. Carpenterโs use of the trucks solely in conjunction with his welding
business meets the third element.
4. The vehicles must be parked on the residential property. The fourth
element is met because Mr. Carpenter parks two of his welding trucks on a
large parking area that he has cleared next to his residence.
Part III: Identify and Explore Any Counterargument or Counteranalysis.
A possible counterargument is that Baumgardner is not on point because, in
Stuckey, the defendant stored equipment as well as a tractor-trailer on the
property, but in this case, Mr. Carpenter merely parked his work vehicles on
the property. A second counterargument is that just because the restrictive
covenant is included in the deed to Mr. Carpenterโs lot does not mean he
โknew aboutโ the restriction. According to the facts of the Baumgardner case,
Mr. Stuckey knew of the restriction. Further research should be made to
determine whether the inclusion of a restrictive covenant in a deed means
that the purchaser โknows aboutโ the restriction.
STEP 4: Conclusion. In Jones v. Park Lane for Convalescents, the court noted that landuse restrictions are not favored and are strictly construed. In Baumgardner v. Stuckey,
the court held that the storage at Mr. Stuckeyโs residence of a truck-tractor and
trailers (used in conjunction with his business) violated a covenant requirement that
the property be used solely for residential purposes. In this case, Mr. Carpenterโs
parking at his residence of his welding trucks (used in conjunction with his business)
violates the covenant restricting the property to residential uses.
MindTap Study Questions: Answers
1. The object of legal analysis and legal research is to analyze the factual event
presented by the client and determine the following:
โช
What legal issue (question) or issues are raised by the factual event?
โช
What law governs the legal issue?
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website, in whole or in part.
How does the law that governs the legal issue apply to the factual event, including
โช
what, if any, legal remedy is available?
2. Legal analysis is the process of identifying the issue or issues presented by a clientโs
facts and determining what law applies and how it applies.
3. The following are the steps of the legal analysis process:
STEP 1: Issue. The identification of the issue (legal question) or issues raised by the facts
of the clientโs case
STEP 2: Rule. The identification of the law that governs the issue
STEP 3: Analysis/Application. A determination of how the rule of law applies to the
issue
STEP 4: Conclusion. A summary of the results of the legal analysis
4. IRAC is the acronym used in reference to the legal analysis process. IRAC is composed of
the first letter of the descriptive term for each step of the analysis processโIssue, Rule,
Analysis/Application, and Conclusion.
5. The following preliminary preparation must take place:
โช
All the facts and information relevant to the case should be gathered.
โช
Preliminary legal research should be conducted to gain a basic familiarity with the
area of law involved in the case.
6. The major role that the facts play in the analysis process is as follows:
โช
Issue. The key facts are included in the issue.
โช
Rule. The determination of which law governs the issue is based on the applicability
of the law to the facts of the clientโs case.
โช
Analysis/Application. The analysis/application step is the process of applying the
rule of law to the facts.
โช
Conclusion. The conclusion is a summation of how the law applies to the facts, a
recap of the first three steps. It requires the facts.
7. When identifying and reviewing the facts at the outset of the analysis process, the
following should be included:
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website, in whole or in part.
โช
Be sure you have all the facts.
โช
Study the available facts to see if additional information should be gathered before
legal analysis can properly begin.
โช
Organize the facts. Group all related facts. Place the facts in a logical order, such as
chronological order.
โช
Weigh the facts.
โช
Identify the key facts. Determine which facts appear to be critical to the outcome of
the case.
8. The following three considerations involve issues to keep in mind when performing Step
1 of the analysis process:
โช
Multiple Issues. The clientโs fact situation may raise multiple legal issues and involve
many avenues of relief.
โช
Separate the Issues. Analyze and research each issue separately and thoroughly.
โช
Focus on the Issues of the Case. Keep your focus on the issues raised by the facts of
the clientโs case or on those issues that you have been assigned to research.
9.
When performing Step 2 of the analysis process, the type of law that may govern the
issue includes the following:
โช
Enacted Law. The legal issue may be governed by enacted law.
โช
Case Law. The issue may be governed by rules or principles established by the courts.
10. The following are the three parts of Step 3 of the analysis
process:
Part 1: Identify the component parts (elements) of the rule of law.
Part 2: Apply the elements of the law to facts of the clientโs case.
Part 3: Consider the possible counterarguments to the analysis of the issue; that is,
conduct a counteranalysis of the analysis.
11. Step 4 of the analysis process may include the following:
โช
A recap of the determination reached in the analysis/application step
โช
A consideration or weighing, based on the analysis, of what action a court may take
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website, in whole or in part.
or how a court may rule upon the issue
โช
The identification of additional facts or other information that may be necessary as a
result of questions raised in the analysis of the problem
โช
The identification of further research that may be necessary in regard to the issue
โช
The identification of related issues or concerns that became apparent as a result of
the research and analysis
12. The following are four matters to keep in mind in regard to focus and the analysis
process:
โช
When identifying the issue, focus on the facts of the clientโs case. Ask yourself, what
must be decided about which of the facts of the clientโs case?
โช
When identifying the rule of law, focus on the facts of the case and the elements of
the rule of law.
โช
When analyzing and applying the rule of law in Step 3, focus on the clientโs facts and
the issue or question being analyzed.
โช
Focus on the work. Avoidance and procrastination are deadly.
13. Rule 1.1 of the American Bar Associationโs Model Rules of Professional Conduct requires
that a client be represented competently.
14. In the context of legal research and analysis, intellectual honesty means researching and
analyzing a problem objectively.
15. If a legal researcher finds nothing, they should look to another source of law, reconsider
the issue and key/search terms, reconsider the legal theory, and consider that the issue is
a matter of first impression.
16. Secondary authority may be relied on by a court if there is no primary authority or if it is
unclear how the primary authority applies.
17. The sequence for conducting legal research is as follows:
โช
First, locate the primary authority that governs the issue.
โช
Second, if there is no primary authority that applies or if additional authority is
needed to help interpret the primary authority, then look to secondary authority.
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