Institute of Cetacean v. Sea Shepard ( 2014 )


Menu:
  •                  FOR PUBLICATION
    UNITED STATES COURT OF APPEALS
    FOR THE NINTH CIRCUIT
    INSTITUTE OF CETACEAN RESEARCH,           No. 12-35266
    a Japanese research foundation;
    KYODO SENPAKU KAISHA, LTD., a                D.C. No.
    Japanese corporation; TOMOYUKI            2:11-cv-02043-
    OGAWA, an individual; TOSHIYUKI                RAJ
    MIURA, an individual,
    Plaintiffs-Appellants,
    OPINION
    v.
    SEA SHEPHERD CONSERVATION
    SOCIETY, an Oregon nonprofit
    corporation; PAUL WATSON, an
    individual,
    Defendants-Appellees.
    On a Motion for Contempt
    Argued and Submitted
    October 27, 2014—Pasadena, California
    Filed December 19, 2014
    Before: Alex Kozinski, A. Wallace Tashima, and Milan D.
    Smith, Jr., Circuit Judges.
    Opinion by Judge Milan D. Smith, Jr.
    2     INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    SUMMARY*
    Contempt
    The panel held defendant Sea Shepherd Conservation
    Society, its founder Paul Watson, and Sea Shepherd’s
    volunteer board members in contempt for violating the
    panel’s injunction prohibiting Sea Shepherd, Watson, and
    “any party acting in concert with them” from physically
    attacking or coming within 500 yards of the whaling and
    fueling vessels of the Institute of Cetacean Research and
    other plaintiffs on the open sea.
    Declining to adopt the report and recommendation of the
    Appellate Commissioner, issued following a contempt
    hearing, the panel held that the defendants violated the
    injunction when they adopted a “separation strategy” under
    which they ceded control of their “Operation Zero Tolerance”
    campaign, designed to thwart the plaintiffs’ whaling activities
    in the Southern Ocean, to foreign Sea Shepherd entities.
    The panel held Sea Shepherd US in contempt on the basis
    that its separation strategy aided and abetted Sea Shepherd
    Australia and other Sea Shepherd entities to perform acts that
    would have violated the injunction if done by parties bound
    by it. In addition, Sea Shepherd US continued to provide
    material support to the OZT campaign after the injunction
    issued, confident that the entities it assisted would likely
    violate the injunction.
    *
    This summary constitutes no part of the opinion of the court. It has
    been prepared by court staff for the convenience of the reader.
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD                3
    The panel held Sea Shepherd US’s volunteer board
    members in contempt based on their ratification of the
    separation strategy, and their approval of transfers of
    ownership of valuable property, for no consideration, to Sea
    Shepherd entities participating in OZT.
    The panel held Watson in contempt as the Executive
    Director of Sea Shepherd US, as well as for personally
    violating the injunction by coming within 500 yards of one of
    the plaintiffs’ vessels.
    The panel held that against Sea Shepherd US and Watson,
    the plaintiffs were entitled to recover attorney’s fees and costs
    incurred in bringing and prosecuting the contempt
    proceedings and to compensation for any actual damages
    suffered. The panel re-referred the matter to the Appellate
    Commissioner to determine the appropriate amount of
    attorney’s fees and costs, as well as compensatory damages
    to award, and to determine the liability of the volunteer
    directors. The panel stated that the plaintiffs’ requests for
    coercive sanctions and an order to compel compliance should
    be directed to the district court.
    COUNSEL
    John F. Neupert (argued), M. Christie Helmer, Sharae M.
    Wheeler, Miller Nash LLP, Portland, Oregon; James L.
    Phillips, Miller Nash LLP, Seattle, Washington, for Plaintiffs-
    Appellants.
    Daniel P. Harris, Charles P. Moure, Rebecca Millican, Harris
    & Moure, PLLC, Seattle, Washington, for Defendant-
    Appellee Sea Shepherd Conservation Society.
    4    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    Timothy G. Leyh (argued), Michelle Buhler, Charles S.
    Jordan, Calfo Harrigan Leyh & Eakes, LLP, Seattle,
    Washington, for Defendant-Appellant Paul Watson.
    David F. Taylor (argued), Kathleen M. O’Sullivan, Zachary
    P. Jones, Perkins Coie, Seattle, Washington, for non-party
    respondents Lani Blazier, Marnie Gaede, Bob Talbot, Robert
    Wintner, and Ben Zuckerman.
    Clare Loebs Davis, Katie Smith Matison, Lane Powell PC,
    Seattle, Washington, for non-party respondent Susan
    Hartland.
    Kristina S. Bennard, Julia D. Woog, Yarmuth Wilsdon PLLC,
    Seattle, Washington, for non-party respondent Peter Rieman.
    OPINION
    M. SMITH, Circuit Judge:
    Institute of Cetacean Research (Cetacean), Kyodo
    Senpaku Kaisha, Ltd., Tomoyuki Ogawa, and Toshiyuki
    Miura (collectively, Plaintiffs) filed this contempt proceeding
    against Sea Shepherd Conservation Society (Sea Shepherd
    US), its founder Paul Watson, its administrative director
    Susan Hartland, and six volunteer members of the Sea
    Shepherd US board (collectively, Defendants). The Plaintiffs
    allege that the Defendants violated our injunction prohibiting
    Sea Shepherd US, Watson, and “any party acting in concert
    with them” from physically attacking or coming within 500
    yards of the Plaintiffs’ whaling and fueling vessels on the
    open sea.
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD              5
    After we handed down our injunction, the Defendants
    adopted what they called the “separation strategy.” Pursuant
    to the strategy, they ceded control of the Operation Zero
    Tolerance (OZT) campaign, designed to thwart the Plaintiffs’
    whaling activities in the Southern Ocean, to foreign Sea
    Shepherd entities. The Defendants knew those entities would
    use assets transferred to them by the Defendants in the OZT
    campaign, and that there was a “very high risk” the entities
    would violate our injunction. It is undisputed that these
    foreign entities repeatedly committed acts against the
    Plaintiffs’ whaling ships during the OZT campaign that
    would have violated the injunction if performed by the
    Defendants.
    In this opinion, we consider whether the Defendants
    violated our injunction when they implemented the
    “separation strategy.” The Plaintiffs contend that the strategy
    was aimed at evading our injunction and ensuring that the
    OZT campaign proceeded unabated, despite the issuance of
    the injunction. In support of their contention, the Plaintiffs
    point to undisputed evidence that the Defendants provided
    substantial assistance to the OZT campaign after our
    injunction issued. The Defendants contend, on various
    grounds, that they should not be held liable for the acts of
    entities they did not control and whose violations they could
    not prevent.
    Our thorough review of the record in this case, and the
    concessions of counsel at oral argument, compel us to hold
    Sea Shepherd US, Watson, and Sea Shepherd US’s volunteer
    board members in contempt for violating our injunction.
    6    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    FACTUAL AND PROCEDURAL BACKGROUND
    Plaintiff Cetacean is a Japanese research foundation that
    has for many years received permits from the Japanese
    government authorizing it to take whales for research
    purposes. The International Convention for the Regulation of
    Whaling, to which the United States, Japan, and 87 other
    nations are signatories, authorizes whale hunting when
    conducted in compliance with a research permit issued by a
    signatory. See Int’l Conv. for the Regulation of Whaling, art.
    VIII, § 1, Dec. 2, 1946, 
    62 Stat. 1716
    , 161 U.N.T.S. 74.
    Japan issued such a permit to Cetacean that authorized it to
    take whales in the Southern Ocean during the period
    December 20, 2012 to March 31, 2013.
    For several years, Sea Shepherd US and its founder,
    Watson, have opposed Cetacean’s whale hunting efforts in
    the Southern Ocean. Sea Shepherd US is organized as an
    Oregon nonprofit corporation with tax-exempt status under
    section 501(c)(3) of the Internal Revenue Code. It is
    governed by an unpaid board of volunteer directors. Several
    current and former directors of the organization are
    respondents in this contempt proceeding.
    In addition to Sea Shepherd US, there exist a number of
    foreign Sea Shepherd entities, including those organized and
    governed under the laws of Australia, Belgium, France,
    Germany, the Netherlands, and the United Kingdom. We
    sometimes refer to Sea Shepherd US and the other Sea
    Shepherd entities collectively as “Sea Shepherd.”
    Since 2004, Sea Shepherd has mounted a yearly campaign
    to prevent Cetacean from killing whales in the Southern
    Ocean. Sea Shepherd’s tactics have included throwing smoke
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD             7
    bombs and glass containers of acid at the Plaintiffs’ vessels;
    dragging metal-reinforced ropes in the water to damage the
    vessels’ propellers and rudders; throwing safety flares with
    metal hooks at nets hung from the Plaintiffs’ vessels in the
    hope that they will set fire to the vessels; and shining high-
    powered lasers at the Plaintiffs’ vessels to annoy the crew.
    See Inst. of Cetacean Research v. Sea Shepherd Conservation
    Soc’y, 
    860 F. Supp. 2d 1216
    , 1223–24 (W.D. Wash. 2012),
    rev’d, 
    725 F.3d 940
     (9th Cir. 2013). Sea Shepherd has
    piloted its vessels in ways that make collisions with the
    Plaintiffs’ vessels highly likely; in fact, collisions have
    occurred on several occasions. 
    Id.
     Hoping to prevent Sea
    Shepherd’s dangerous interference with its whaling activities,
    the Plaintiffs brought an action for injunctive relief in the
    United States District Court for the Western District of
    Washington. After the district court denied their request for
    a preliminary injunction, 
    860 F. Supp. 2d 1216
    , rev’d,
    
    725 F.3d 940
    , the Plaintiffs appealed. We reversed. Inst. of
    Cetacean Research v. Sea Shepherd Conservation Soc’y,
    
    725 F.3d 940
     (9th Cir. 2013).
    We issued an injunction pending appeal against Sea
    Shepherd US and Watson on December 17, 2012. The
    injunction provided in relevant part:
    Defendants Sea Shepherd Conservation
    Society and Paul Watson, and any party acting
    in concert with them (collectively
    “defendants”), are enjoined from physically
    attacking any vessel engaged by Plaintiffs the
    Institute of Cetacean Research, Kyodo
    Senpaku Kaisha, Ltd., Tomoyuki Ogawa or
    Toshiyuki Miura in the Southern Ocean or
    any person on any such vessel (collectively
    8    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    “plaintiffs”), or from navigating in a manner
    that is likely to endanger the safe navigation
    of any such vessel. In no event shall
    defendants approach plaintiffs any closer than
    500 yards when defendants are navigating on
    the open sea.
    This injunction remains in effect pending further order of
    court. Inst. of Cetacean Research, 725 F.3d at 947.
    At the time our injunction was handed down, Sea
    Shepherd US was organizing and preparing in earnest for
    OZT, its ninth annual whale defense campaign against the
    Plaintiffs. Prior to the issuance of our injunction, Sea
    Shepherd US, as in previous years, had taken the lead
    administrative role in preparing for the campaign. It recruited
    both volunteer and paid crew, and outfitted and fueled four
    vessels for the campaign: the Bob Barker, Steve Irwin, Sam
    Simon, and Brigitte Bardot. Sea Shepherd US had already
    spent over 2 million dollars on the campaign when our
    injunction issued.
    Watson received a copy of our injunction on December
    18, 2012, the day after it issued. At that time, Watson was in
    the Southern Ocean serving as campaign leader, just as he
    had in previous years. Over the next several days, Watson
    and other members of Sea Shepherd devised a plan that
    would come to be known as the “separation strategy.”
    Pursuant to the strategy, Sea Shepherd US would turn over
    control of OZT and transfer assets it owned to foreign Sea
    Shepherd entities, including Sea Shepherd Australia. Sea
    Shepherd Australia is an Australian public company limited
    by guarantee and registered under the laws of Australia. For
    each of the previous whale defense campaigns, Sea Shepherd
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD             9
    Australia has provided an operations base for the four vessels
    as well as logistical support. Watson was a member of the
    boards of both Sea Shepherd US and Sea Shepherd Australia
    when the injunction issued. As part of the separation
    strategy, Watson would step down from the boards of both
    entities, and a new OZT campaign leader would assume
    Watson’s responsibilities. Watson, however, would remain
    on board the Steve Irwin as an “observer” during the
    campaign.
    The members of Sea Shepherd US’s board learned of the
    injunction by email on December 18, 2012. When the
    injunction was handed down, the board was composed of
    Watson, who was also the paid Executive Director of Sea
    Shepherd US, and volunteer members Lani Blazier, Marnie
    Gaede, Bob Talbot, Robert Wintner, Ben Zuckerman, and
    Peter Rieman, all of whom are respondents in this
    proceeding.
    Gaede, the board’s vice president, called a telephonic
    board meeting for December 20, 2012, during which Sea
    Shepherd US’s attorneys discussed the significance of the
    injunction and advised the board members on how to respond.
    All of the board members were present, along with another
    respondent in this proceeding, Susan Hartland, Sea Shepherd
    US’s Administrative Director. The board discussed the
    separation strategy and agreed to implement it. Shortly after
    the board meeting, members of Sea Shepherd US and Sea
    Shepherd Australia began working together to facilitate the
    transfer of operational control of OZT to Sea Shepherd
    Australia. On December 22, 2012, Jeff Hansen, a board
    member of Sea Shepherd Australia, emailed Watson and
    Hartland regarding plans for Sea Shepherd Australia to “take
    10    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    over,” and for Bob Brown, a former Australian senator and
    decorated environmentalist, to lead the campaign.
    Watson chaired a telephonic board meeting of Sea
    Shepherd Australia on December 27, 2012, in which the
    board unanimously resolved to assume responsibility for
    running OZT. Thereafter, Watson submitted his resignation
    from the Sea Shepherd Australia board and Brown became a
    member. On December 31, 2012, the Sea Shepherd Australia
    board resolved that Brown and Hansen would be the new
    leaders of OZT.
    Despite its plan to separate from OZT, Sea Shepherd US’s
    financial support for the campaign did not end immediately
    after the injunction was issued. Sea Shepherd US paid
    $163,405 in OZT-related expenses that were invoiced after
    the injunction was handed down. The majority of this money
    was spent to refuel the Steve Irwin and pay the credit card
    expenses of OZT ship captains.
    On or about December 27, 2012, several of the Plaintiffs’
    whaling ships departed Japan for the Southern Ocean.
    Watson informed the Sea Shepherd US board of this
    development by email on December 27, 2012. Watson’s
    email stated: “All four Sea Shepherd ships and their crew will
    be ready to greet the Japanese whalers when they arrive.
    They intend to kill whales and Sea Shepherd’s objective is to
    see that not a single whale is slain. . . . It appears that the hunt
    is on and we intend to hunt whalers.”
    On December 28, 2012, Watson formally resigned from
    his various roles in Sea Shepherd US and as campaign leader
    for OZT, effective December 31, 2012. He surrendered
    command of the Steve Irwin to Siddharth Chakravarty, a
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD            11
    citizen of India, but remained on board the ship. Other Sea
    Shepherd US employees participating in OZT also tendered
    their resignations to the board. Although Sea Shepherd US
    stopped paying independent contractors serving as captains
    and crew members of OZT, Watson helped arrange for the
    crew to be paid by foreign Sea Shepherd entities.
    There is evidence that Watson was not a mere passive
    participant in OZT after he resigned his leadership positions.
    During the OZT campaign, Watson appeared by phone on a
    radio show in March of 2013. His answers to questions posed
    during the show indicate that he believed himself to be a
    participant in OZT, not just an observer. He said, for
    instance, “we’re chasing the Japanese factory ship Nisshin
    Maru and keeping it from killing whales.” When asked about
    the atmosphere aboard the ship, Watson said, “Oh,
    everybody’s very upbeat on our ship because we’ve managed
    to make sure they don’t kill many whales this year.”
    (emphases added).
    Watson was also consulted for guidance on how to
    proceed with certain aspects of the campaign. For instance,
    on December 28, 2012, Chakravarty emailed a New Zealand
    customs official seeking permission to anchor the Brigitte
    Bardot off the New Zealand coast. He learned that the ship
    would require a hull inspection. Peter Hammarstedt, the
    captain of the Bob Barker, emailed Chakravarty that “[t]his
    will have to be Paul’s decision. Sid, please check with him
    and let us know ASAP.” After being asked by email for his
    “decision,” Watson replied “[y]es proceed with this option.”
    Watson was consulted for advice about logistical aspects of
    the campaign on several other occasions after the injunction
    was issued.
    12   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    In a December 30, 2012 meeting, the Sea Shepherd US
    board accepted Watson’s resignation and elected new board
    leadership consisting of Gaede as president, Wintner as vice
    president, Blazier as secretary, and Rieman as treasurer. The
    board formally voted to sever all financial and other forms of
    support to OZT in a series of emails exchanged between
    January 8 and 9, 2013. The board also voted to ratify a series
    of grants of property for no consideration to Sea Shepherd
    entities participating in OZT. Specifically, Sea Shepherd US
    granted ownership of the Bob Barker to Sea Shepherd
    Netherlands, and gave equipment to both Sea Shepherd
    Australia and Sea Shepherd Netherlands. The vessel and the
    equipment Sea Shepherd US granted had original purchase
    prices totaling over two million dollars.
    On January 29, 2013, in violation of our injunction, the
    Brigitte Bardot approached within 20.25 yards of the Yushin
    Maru 3, one of the Plaintiffs’ ships, while it was navigating
    on the open sea. Several additional violations of our
    injunction occurred on February 15, 17, 18, 19, 20, 24, 25, 27,
    and 28. Most violations involved incursions of the 500-yard
    safety perimeter established by the injunction, but collisions
    occurred on February 20 and 25 in the course of efforts by
    Sea Shepherd to prevent one of the Plaintiffs’ ships from
    refueling. Watson was on board the Steve Irwin when these
    collisions occurred.
    On February 11, 2013, the Plaintiffs filed a motion to find
    Sea Shepherd US in contempt and asked us to appoint a
    special master to conduct contempt proceedings. The basis
    of the motion was the January 29 incident in which the
    Brigitte Bardot approached within 500 yards of one of the
    Plaintiffs’ vessels. On February 21, 2013, we referred the
    contempt motion to the Appellate Commissioner. The
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD              13
    Plaintiffs later amended their motion to allege additional acts
    of contempt, and to include Watson, the six volunteer
    directors, and Hartland as respondents to the contempt
    proceedings. The Appellate Commissioner held a contempt
    hearing in Seattle from October 28, 2013 to November 6,
    2013. The parties stipulated that actions had occurred at sea
    that, if performed by enjoined parties, would violate our
    injunction, and testimony about those events was limited.
    The hearing focused on how Sea Shepherd US, Watson, the
    volunteer directors, and Hartland responded to our injunction,
    and their relationship to the persons and entities leading OZT
    after Sea Shepherd US’s withdrawal from the campaign.
    The Appellate Commissioner issued his Report and
    Recommendation on January 31, 2014. He recommended we
    find that none of the Defendants had committed an act of
    contempt, as he believed they had “adopted a ‘separation’
    strategy and took reasonable steps to carry out that strategy in
    order to guarantee their own compliance with the injunction.”
    The Commissioner determined that the Defendants had not
    directly violated the injunction and could not be held in
    contempt for the actions of the non-parties leading OZT.
    The Plaintiffs and the Defendants each filed objections to
    the Commissioner’s Report and Recommendation.
    JURISDICTION AND STANDARD OF REVIEW
    In our February 25, 2013 order, we retained jurisdiction
    over “any further appeals or writs” in this case. Inst. of
    Cetacean Research, 725 F.3d at 948. We have “inherent
    power” to initiate contempt proceedings. See Young v.
    United States ex rel. Vuitton et Fils S.A., 
    481 U.S. 787
    , 795
    (1987) (citing Michaelson v. United States ex rel. Chicago,
    14   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    St. P., M., & O.R. Co., 
    266 U.S. 42
    , 45 (1924)). We also have
    statutory authority to punish both civil and criminal contempt
    pursuant to 
    18 U.S.C. § 401
    .
    The parties disagree regarding the standard of review
    applicable to the Appellate Commissioner’s findings of fact
    in his Report and Recommendation. The Defendants argue
    that the Commissioner acted as a special master, and thus that
    we should review his findings of fact for clear error. The
    Plaintiffs, however, maintain that we should review the
    Commissioner’s findings of fact de novo.
    We need not resolve which standard of review applies to
    the Commissioner’s findings of fact because our decision
    rests on grounds the Commissioner incorrectly rejected
    because of errors of law. Specifically, the Commissioner
    wrongly concluded that the Defendants could not be held
    liable for aiding and abetting others to violate the injunction.
    The Commissioner also wrongly concluded that the volunteer
    directors’ purported good faith reliance on advice of counsel
    was relevant to whether they violated the injunction. Even if
    clear error review applied, it would still be appropriate to
    correct factual findings predicated on a misunderstanding of
    the governing rules of law. See Bose Corp. v. Consumers
    Union of United States, Inc., 
    466 U.S. 485
    , 501 (1984) (citing
    Pullman-Standard v. Swint, 
    456 U.S. 273
    , 287 (1982);
    Inwood Labs., Inc. v. Ives Labs., Inc., 
    456 U.S. 844
    , 855 n.15
    (1982)).
    DISCUSSION
    The Plaintiffs contend that the Defendants violated our
    injunction by aiding and abetting non-parties, including Sea
    Shepherd Australia, to commit acts prohibited by the
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD             15
    injunction. The Plaintiffs argue that the purpose of the
    “separation strategy” was not to ensure compliance with our
    injunction, but to ensure that OZT proceeded unabated. In
    addition, the Plaintiffs contend that Watson violated the
    injunction by personally coming within 500 yards of one of
    the Plaintiffs’ ships.
    The Defendants argue that they implemented the
    separation strategy in a good faith effort to comply with the
    injunction. They further contend that they lacked control
    over the other Sea Shepherd entities and cannot be held
    accountable for the actions of these entities.
    The volunteer board members point to their reliance on
    the advice of counsel as proof of their good faith in
    responding to the injunction, and argue that even if they
    would otherwise be liable for contempt, they are protected
    from liability by the Volunteer Protection Act, 
    42 U.S.C. § 14503
    . Rieman argues that he should not be held in
    contempt because he resigned from the Sea Shepherd US
    board shortly after learning that a Sea Shepherd vessel had
    come within 500 yards of one of the Plaintiffs’ ships.
    Hartland, Sea Shepherd US’s Administrative Director, argues
    that she should not be held in contempt because she was not
    a member of the board and did not vote to ratify the
    separation strategy.
    We address these arguments in turn.
    I. Sea Shepherd US’s Contempt Liability
    “Civil contempt . . . consists of a party’s disobedience to
    a specific and definite court order by failure to take all
    reasonable steps within the party’s power to comply.” In re
    16   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    Dual-Deck Video Cassette Recorder Antitrust Litig., 
    10 F.3d 693
    , 695 (9th Cir. 1993). A party may also be held liable for
    knowingly aiding and abetting another to violate a court
    order. See Regal Knitwear Co. v. NLRB, 
    324 U.S. 9
    , 14
    (1945) (“defendants may not nullify a decree by carrying out
    prohibited acts through aiders and abettors, although they
    were not parties to the original proceeding”). “The party
    alleging civil contempt must demonstrate that the alleged
    contemnor violated the court’s order by ‘clear and convincing
    evidence,’ not merely a preponderance of the evidence.”
    Dual-Deck, 
    10 F.3d at
    695 (citing Vertex Distrib., Inc. v.
    Falcon Foam Plastics, Inc., 
    689 F.2d 885
    , 889 (9th Cir.
    1982)).
    The Plaintiffs argue that Sea Shepherd US’s separation
    strategy aided and abetted Sea Shepherd Australia and other
    Sea Shepherd entities to perform acts that would have
    violated the injunction if done by parties bound by it. We
    agree, and hold Sea Shepherd US in contempt on this basis.
    Sea Shepherd US’s separation strategy effectively
    nullified our injunction by ensuring that OZT proceeded
    unimpeded, in part by using former Sea Shepherd US assets.
    Sea Shepherd US ceded control over OZT to Sea Shepherd
    Australia and other Sea Shepherd entities it believed to be
    beyond the injunction’s reach, knowing these entities were
    virtually certain to violate the injunction. At the same time,
    Sea Shepherd US continued to provide financial and other
    support for OZT after the injunction by, among other things,
    transferring for no consideration a vessel and equipment
    worth millions of dollars to Sea Shepherd Australia and other
    entities.
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD           17
    A. Sea Shepherd US’s Withdrawal from OZT
    Sea Shepherd US chose to implement the separation
    strategy because it believed that doing so would allow OZT
    to proceed. There was clear and convincing evidence that
    Sea Shepherd US was highly motivated to see the OZT
    campaign completed. Shortly after the injunction issued,
    Watson emailed the captains of various Sea Shepherd vessels
    and Hartland. He wrote: “The Japanese whalers are coming.
    There is no doubt about that. The question is how do we stop
    them now? If we back down to the 9th [Circuit] Court, the
    whales will die.” The same day, Watson emailed his attorney
    a proposed press release stating, in part:
    The Sea Shepherd position is clear: Our ships,
    officers and crew are 100% committed to
    achieving a zero kill quota on whales. This is
    Operation Zero Tolerance and the 120 crew
    from 26 nations are prepared to risk their lives
    to defend endangered and protected whales in
    the Southern Ocean Whale Sanctuary.
    Both Sea Shepherd US and Sea Shepherd Australia
    recognized that the injunction would hinder Sea Shepherd
    US’s ability to lead OZT. Shortly after the injunction was
    issued, Hansen, a board member of Sea Shepherd Australia,
    emailed Watson and Hartland stating: “As the injunction that
    has been put in place by the US Federal court impedes
    SSCS’s ability to save the lives of whales, we need another
    body other than SSCS to step in and take over for whales.”
    Sea Shepherd US ceded control of OZT to Sea Shepherd
    Australia on the belief that Sea Shepherd Australia was not
    bound by the injunction. Shortly after the injunction issued,
    18   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    Watson wrote a proposal to Sea Shepherd US’s board stating
    in part:
    The decision by the other organizations to
    comply with the injunction rests with the
    Board of Directors of the Sea Shepherd
    organizations registered under the laws of
    their respective nations. The orders of the 9th
    U.S. [Circuit] Court cannot possibly restrict
    them and this especially so with Sea Shepherd
    Australia where the Japanese fleet is seen to
    be operating in direct defiance of the
    Australian Federal Court and is presently in
    contempt of this court ruling.
    Sea Shepherd Australia also believed that it was not
    bound by the injunction. In the weeks following the issuance
    of the injunction, Sea Shepherd Australia board member John
    McMullan, an attorney, and Melbourne barrister Debbie
    Mortimer, with whom he consulted, concluded that the
    injunction did not bind the organization. Both believed that
    Australian courts were unlikely to enforce the injunction
    because of an Australian federal court order enjoining the
    Plaintiffs from conducting whaling operations in the Southern
    Ocean Whale Sanctuary. In the early days after the
    injunction was handed down, Bob Brown, who would soon
    assume leadership over OZT, visited one of the OZT ships to
    reassure the crew that the injunction would not impede Sea
    Shepherd Australia’s ability to proceed with OZT.
    Sea Shepherd US’s board knew it was highly likely that
    Sea Shepherd Australia and other entities would commit acts
    that violated the injunction during OZT. This was conceded
    by counsel at oral argument when he stated that Sea Shepherd
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD            19
    US board members “knew [the Bob Barker, which the board
    granted to Sea Shepherd Netherlands for no consideration,]
    would be used in OZT, and there was a very high risk it
    would violate the injunction.”
    When the injunction issued on December 17, 2012, Sea
    Shepherd US was leading OZT with Watson serving as the
    campaign leader and captain of the Steve Irwin. Yet, Sea
    Shepherd US did not respond to the injunction by attempting
    to prevent people and equipment under its control from
    participating in the campaign. Watson, as Executive Director
    of Sea Shepherd US, did not use his authority to withdraw the
    Steve Irwin from OZT after the injunction issued. Instead, he
    remained in charge of the campaign and captain of the Steve
    Irwin until late December, when he turned the campaign over
    to Sea Shepherd Australia. In his testimony before the
    Appellate Commissioner, Watson conceded that he could
    have remained in control of the OZT vessels after the
    injunction and tried to make sure that they complied. Sea
    Shepherd US had a number of employees working on OZT
    when the injunction issued, including Peter Hammarstedt, the
    Director of Marine Operations and captain of the Bob Barker.
    Sea Shepherd US did not order these employees to leave the
    ships. Nor did it order them to withdraw the ships from the
    OZT campaign. It would have been perfectly reasonable for
    Sea Shepherd US to do so in order to ensure that these vessels
    and employees did not subsequently violate the injunction.
    Cf. In re Transamerica Corp., 
    184 F.2d 319
     (9th Cir. 1950)
    (bank held in contempt for failing to countermand
    instructions to acquire bank branches, even though all
    necessary steps had been taken prior to injunction); see also
    2 James L. High & Shirley T. High, A Treatise on the Law of
    Injunctions 1448 (4th ed. 1905) (“It is the clear duty of one
    who is enjoined from the commission of a particular act not
    20   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    only to refrain from doing the act in person, but also to
    restrain his employees from doing the thing forbidden, and a
    mere passive and personal obedience to the order will not
    suffice.”).
    Sea Shepherd US eventually stopped paying the salaries
    of crew members participating in OZT, but many of them,
    including Hammarstedt, continued to participate in the OZT
    campaign. Sea Shepherd US gave Hammarstedt and two
    other former employees participating in OZT three months of
    “severance” pay after they resigned. Importantly, after
    Watson resigned from his roles with Sea Shepherd US, he
    requested that arrangements be made for the crew aboard the
    ships to be paid by other Sea Shepherd entities. Rather than
    instruct its employees to help prevent OZT, Sea Shepherd US
    effectively shifted these employees to its affiliates’ payrolls
    to ensure continued participation in a campaign it knew was
    very likely to result in violations of the injunction.
    In sum, Sea Shepherd US wanted OZT to continue; knew
    that the injunction would prevent it from leading the OZT
    campaign effectively; believed that Sea Shepherd Australia
    was beyond the reach of the injunction; and knew that Sea
    Shepherd Australia held the same belief. It also knew that
    there was a high risk that other Sea Shepherd entities would
    violate the terms of the injunction if OZT proceeded as
    planned. Sea Shepherd US’s decision to withdraw from OZT,
    relinquishing any ability to take reasonable steps to prevent
    other Sea Shepherd entities from violating the injunction,
    must be viewed with these background facts in mind. Sea
    Shepherd US did not so much withdraw from OZT as turn the
    campaign and millions of dollars of assets over to entities it
    knew would do what the injunction forbade Sea Shepherd US
    and Watson from doing directly.
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD               21
    B. Sea Shepherd US’s Post-Injunction Assistance to
    OZT
    Despite the ample evidence that Sea Shepherd US
    withdrew from OZT to ensure that it proceeded unhindered,
    our decision to hold Sea Shepherd US in contempt does not
    rest solely on its failure to take steps to prevent violations of
    our injunction. Our decision is primarily compelled instead
    by the undisputed evidence noted infra that Sea Shepherd US
    continued to provide material support to OZT after the
    injunction issued, confident that the entities it assisted would
    likely violate the injunction.
    A party “may not nullify a decree by carrying out
    prohibited acts through aiders and abettors, although they
    were not parties to the original proceeding.” Regal Knitwear
    Co., 
    324 U.S. at 14
    . As a result, a party to an injunction who
    assists others in performing forbidden conduct may be held
    in contempt, even if the court’s order did not explicitly forbid
    his specific acts of assistance. See NLRB v. Deena Artware,
    Inc., 
    361 U.S. 398
    , 413 (1960) (Frankfurter, J., concurring)
    (observing that “[e]very affirmative order in equity carries
    with it the implicit command to refrain from action designed
    to defeat it”); United States v. Shipp, 
    214 U.S. 386
    , 422–23
    (1909) (holding sheriff in contempt for failing to prevent
    lynching and observing that he “in effect aided and abetted
    it”); Roe v. Operation Rescue, 
    919 F.2d 857
    , 871 (3d Cir.
    1990) (“The law does not permit the instigator of
    contemptuous conduct to absolve himself of contempt
    liability by leaving the physical performance of the forbidden
    conduct to others. As a result, those who have knowledge of
    a valid court order and abet others in violating it are subject
    to the court’s contempt powers.”); NLRB v. Laborers’ Int’l
    Union of N. Am., AFL-CIO, 
    882 F.2d 949
    , 954 (5th Cir. 1989)
    22   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    (“One need not commit an unlawful act in order to be liable
    for conspiring to evade a judgment of a court: it is contempt
    to act solely for the purpose of evading a judgment.”).
    1. Post-Injunction Payments for OZT Expenses
    Sea Shepherd US incurred substantial expenses related to
    OZT after the injunction issued. $348,565 of those expenses
    were for orders placed before the injunction was issued, but
    paid afterwards. Sea Shepherd US took no steps to rescind
    the orders, divert delivery to a third party, or charge for their
    use. Moreover, other OZT-related expenses were both
    ordered and paid for after the injunction issued on December
    17, 2012. For instance, an order of $106,830 in fuel for the
    Steve Irwin was invoiced on December 31, 2012, paid for by
    Sea Shepherd US that day, and delivered in January of 2013.
    Between January 1 and 16, 2013, Sea Shepherd US paid
    $16,373 in credit card charges of the captains of vessels
    involved in OZT. In all, Sea Shepherd US paid $163,405 in
    OZT- related expenses that were invoiced and paid for by Sea
    Shepherd US after the issuance of the injunction. Sea
    Shepherd US and the individual board members confirmed
    through their counsel at oral argument the accuracy of the
    $163,405 figure.
    2. Donations to OZT
    Watson helped facilitate donations to OZT after the
    injunction issued. On December 28, 2012, Watson wrote an
    email to a Sea Shepherd US fundraiser, stating:
    You can continue to fund raise for Sea
    Shepherd USA but not to ask for funds for
    Operation Zero Tolerance. If people wish to
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD           23
    restrict a donation to Operation Zero
    Tolerance they can do so but it will have to be
    made out to Sea Shepherd Australia and there
    can be no tax receipt.
    Rob Holden has a 501(c)(3) organization
    called Blue Rage and if need be donations can
    be made to Blue Rage and Blue Rage can
    send it on toe [sic] Sea Shepherd Australia.
    Thus, even though Sea Shepherd US was unable to collect
    tax-deductible charitable donations for use in OZT, Watson
    proposed routing such donations to OZT through a separate
    501(c)(3) nonprofit entity.
    3. Asset Grants to OZT for No Consideration
    Sea Shepherd US’s most troubling post-injunction support
    for OZT came in a series of substantial grants of property it
    made to various Sea Shepherd entities participating in the
    OZT campaign. In January of 2013, the Sea Shepherd US
    board authorized a series of grants to Sea Shepherd Australia
    and Sea Shepherd Netherlands. Specifically, Sea Shepherd
    US gave equipment aboard the Brigitte Bardot to Sea
    Shepherd Australia for no consideration. This equipment had
    an original purchase price of more than $175,000. Sea
    Shepherd US also gave equipment aboard the Steve Irwin to
    Sea Shepherd Netherlands, again for no consideration. This
    equipment had an original purchase price of several hundreds
    of thousands of dollars. Most significantly, Sea Shepherd US
    also transferred ownership of its vessel, the Bob Barker, to
    Sea Shepherd Netherlands for no consideration. As noted
    earlier, the Bob Barker and the transferred equipment had a
    total original purchase price of nearly two million dollars.
    24   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    The Brigitte Bardot, Steve Irwin, and Bob Barker all
    participated in OZT. Each vessel was involved in at least one
    violation of the injunction; the Bob Barker was involved in
    several.
    The Sea Shepherd US board knew that these items would
    be used in OZT when it voted to grant them to Sea Shepherd
    Australia and Sea Shepherd Netherlands. The email asking
    the board members to vote on the grants stated “[p]lease
    consider this grant in conjunction with Operation Zero
    Tolerance.” Sea Shepherd US board member Robert Wintner
    testified that he understood this email to mean that the
    granted items would be used for OZT. And, if this evidence
    leaves any doubt, Sea Shepherd US and the individual board
    members conceded at oral argument through their counsel
    that the board knew that the equipment would be used in
    OZT, and that there was a “very high risk” that the Bob
    Barker would violate the injunction.
    In light of this undisputed evidence, we hold that Sea
    Shepherd US violated the injunction by giving others it knew
    were highly likely to violate the injunction the means to do
    so. The fact that the injunction’s terms did not specifically
    forbid Sea Shepherd US’s acts of assistance does not
    immunize Sea Shepherd US from liability. “In deciding
    whether an injunction has been violated it is proper to observe
    the objects for which the relief was granted and to find a
    breach of the decree in a violation of the spirit of the
    injunction, even though its strict letter may not have been
    disregarded.” John B. Stetson Co. v. Stephen L. Stetson Co.,
    
    128 F.2d 981
    , 983 (2d Cir. 1942); see Prang Co. v. Am.
    Crayon Co., 
    58 F.2d 715
     (3d Cir. 1932); Cal. Fruit Growers
    Exch. v. Sunkist Drinks, Inc., 
    25 F. Supp. 401
     (S.D.N.Y.
    1938); see also Salazar v. Buono, 
    559 U.S. 700
    , 762 (2010)
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD                25
    (Breyer, J., dissenting) (citing Stetson Co., 
    128 F.2d at 983
    ).
    Our objective in issuing the injunction was to stop Sea
    Shepherd from attacking the Plaintiffs’ vessels. Sea
    Shepherd US thwarted that objective by furnishing other Sea
    Shepherd entities with the means to do what it could not after
    the issuance of the injunction.
    It has long been settled law that a person with notice of an
    injunction may be held in contempt for aiding and abetting a
    party in violating it. See Peterson v. Highland Music, Inc.,
    
    140 F.3d 1313
    , 1323–24 (9th Cir. 1998) (citing NLRB v.
    Sequoia Dist. Council of Carpenters, 
    568 F.2d 628
    , 633 (9th
    Cir. 1977)); Laborers’ Int’l Union of N. Am., AFL-CIO,
    
    882 F.2d at 954
    ; Max’s Seafood Cafe ex rel. Lou-Ann, Inc. v.
    Quinteros, 
    176 F.3d 669
    , 674 (3d Cir. 1999). Much of the
    applicable case law addresses the issue of when it is fair to
    hold non-parties to an injunction liable for aiding and abetting
    a party’s violation of the injunction. See, e.g., Regal
    Knitwear Co., 
    324 U.S. at 14
    ; Levin v. Tiber Holding Corp.,
    
    277 F.3d 243
    , 250–51 (2d Cir. 2002); Goya Foods, Inc. v
    Wallack Mgmt. Co., 
    290 F.3d 63
    , 75 (1st Cir. 2002);
    Highland Music, 140 F.3d at 1323–24; Illinois v. U.S. Dep’t
    of Health & Human Servs., 
    772 F.2d 329
    , 332 (7th Cir.
    1985); Waffenschmidt v. MacKay, 
    763 F.2d 711
    , 717 (5th Cir.
    1985); Alemite Mfg. Corp. v. Staff, 
    42 F.2d 832
    , 832–33 (2d
    Cir. 1930). It is clear to us that if a non-party to an injunction
    may be held in contempt for aiding and abetting violations of
    an injunction, a party to an injunction may be as well. We
    therefore hold that a party may be held in contempt for giving
    a non-party the means to violate an injunction, if the party
    knows it is highly likely the non-party will use those means
    to violate the injunction.
    26   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    Under such circumstances, the party giving assistance
    need not affirmatively desire to cause a violation of the
    injunction; it is enough that the party know a violation is
    highly likely to occur. In so ruling, we are guided by
    common law rules of fault-based liability. “Tort law
    ordinarily imputes to an actor the intention to cause the
    natural and probable consequences of his conduct.” DeVoto
    v. Pacific Fidelity Life Ins. Co., 
    618 F.2d 1340
    , 1347 (9th Cir.
    1980) (citing Restatement (Second) of Torts § 8A (1965)).
    “Intent is not . . . limited to consequences which are desired.
    If the actor knows that the consequences are certain, or
    substantially certain, to result from his act, and still goes
    ahead, he is treated by the law as if he had in fact desired to
    produce the result.” Restatement (Second) of Torts § 8A(b)
    (1965). We have adopted a similar definition of intent
    outside the common law tort context. For instance, we
    employed it when we defined the elements of contributory
    infringement of copyright in Perfect 10, Inc. v. Amazon.com,
    Inc., 
    508 F.3d 1146
    , 1170–71 (9th Cir. 2007), where we
    observed that “common law principles establish that intent
    may be imputed.” See also Metro-Goldwyn-Mayer Studios
    Inc. v. Grokster Ltd., 
    545 U.S. 913
    , 934–35 (2005) (endorsing
    the use of “rules of fault-based liability derived from the
    common law” in assessing liability for contributory
    infringement). Under these circumstances, we find it
    appropriate to impute to Sea Shepherd US an intent to cause
    a violation of the injunction, regardless of whether Sea
    Shepherd US affirmatively desired that a violation occur.
    We also find it relevant that Sea Shepherd US’s acts of
    assistance proximately caused violations of the injunction.
    We are once again guided by principles derived from
    common law rules of fault-based liability. The Supreme
    Court recently summarized the principles of proximate
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD                 27
    causation in Paroline v. United States, 
    134 S. Ct. 1710
    , 1719
    (2014). “As a general matter, to say one event proximately
    caused another is a way of making two separate but related
    assertions. First, it means the former event caused the latter.
    This is known as actual cause or cause in fact.” 
    Id.
     Second,
    it means the former event was “not just any cause, but one
    with a sufficient connection to the result.” 
    Id.
    We begin this portion of our analysis by asking whether
    Sea Shepherd US’s assistance actually caused violations of
    the injunction. “The concept of actual cause ‘is not a
    metaphysical one but an ordinary, matter-of-fact inquiry into
    the existence . . . of a causal relation as laypeople would view
    it.’” 
    Id.
     (quoting 4 F. Harper, F. James, & O. Gray, Torts
    § 20.2, p. 100 (3d ed. 2007)). We need not assess whether
    Sea Shepherd US’s acts caused each and every violation of
    the injunction. At a minimum its transfer of ownership and
    control of the Bob Barker to Sea Shepherd Netherlands
    caused the violations involving the Bob Barker. The foreign
    Sea Shepherd entities could not have used the vessel to
    violate the injunction if they did not control it.
    We next inquire whether Sea Shepherd US’s conduct had
    a “sufficient connection to” violations of the injunction. See
    Paroline, 
    134 S. Ct. at 1719
    . In applying this “flexible
    concept,” 
    id.
     (internal quotation marks omitted), we are
    mindful of its purpose: “A requirement of proximate cause
    . . . serves, inter alia, to preclude liability in situations where
    the causal link between conduct and result is so attenuated
    that the consequence is more aptly described as mere
    fortuity.” 
    Id.
     (citing Exxon Co., U.S.A. v. Sofec, Inc.,
    
    517 U.S. 830
    , 838–39 (1996)). For this reason, “[p]roximate
    cause is often explicated in terms of foreseeability or the
    scope of the risk created by the predicate conduct.” Paroline,
    28   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    
    134 S. Ct. at
    1719 (citing 1 Restatement (Third) of Torts:
    Liability for Physical and Emotional Harm § 29, p. 493
    (2005)).
    We have no trouble finding a sufficient causal connection
    between Sea Shepherd US’s intentional conduct and
    violations of the injunction. Sea Shepherd US knew that
    there was a very high risk that foreign Sea Shepherd entities
    would use the Bob Barker to violate the injunction. It was
    clearly foreseeable that transferring the ownership and control
    of the vessel to Sea Shepherd Netherlands in order that it
    participate in OZT would result in violations of our
    injunction.
    The fact that the foreign Sea Shepherd entities had a more
    direct role in causing the violations than Sea Shepherd US
    does not negate the causal connection between Sea Shepherd
    US’s acts and the violations of our injunction. An event may
    have multiple proximate causes. See id. (“Every event has
    many causes . . . and only some of them are proximate, as the
    law uses that term.”); Sheridan v. United States, 
    487 U.S. 392
    , 406 (1988) (Kennedy, J., concurring) (“It is standard tort
    doctrine that a reasonably foreseeable injury can arise from
    multiple causes, each arising from a breach of a different duty
    and each imposing liability accordingly.”); see also Lillie v.
    Thompson, 
    332 U.S. 459
    , 461–62 (1947) (per curiam). As we
    have observed in applying California tort law, “the fact that
    the actor’s conduct becomes effective in harm only through
    the intervention of new and independent forces for which the
    actor is not responsible is of no importance.” Bank of N.Y. v.
    Fremont Gen. Corp., 
    523 F.3d 902
    , 910 (9th Cir. 2008)
    (quoting Tate v. Canonica, 
    180 Cal. App. 2d 898
    , 907
    (1960)). “[N]o consideration is given to the fact that . . . the
    actor’s conduct has created a situation harmless unless acted
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD            29
    upon by other forces for which the actor is not responsible.”
    Tate, 180 Cal. App. 2d at 907 (internal quotation marks
    omitted). By analogy, a party who acts knowing that his
    conduct is highly likely to cause a violation of an injunction
    may not avoid liability simply because another person outside
    his immediate control actually carried out the violation.
    We are mindful that the contempt power, like other
    “inherent powers” of the judiciary, “must be exercised with
    restraint and discretion.” See Roadway Express, Inc. v. Piper,
    
    447 U.S. 752
    , 764–65 (1980) (citing Gompers v. Bucks Stove
    & Range Co., 
    221 U.S. 418
    , 450–51 (1911); Green v. United
    States, 
    365 U.S. 165
    , 193–94 (1958) (Black, J., dissenting)).
    Nevertheless, “[t]he purpose of contempt proceedings is to
    uphold the power of the court,” Bessette v. W.B. Conkey Co.,
    
    194 U.S. 324
    , 327 (1904), and to ensure that the court’s
    vindication of litigants’ rights is not merely symbolic. Our
    orders would have little practical force, and would be
    rendered essentially meaningless, if we were unable to
    prevent parties bound by them from flagrantly and materially
    assisting others to do what they themselves are forbidden to
    do.
    The Defendants argue that to hold them in contempt for
    aiding and abetting we must find them “indirectly liable,”
    because “[t]he alleged acts of contempt were committed by
    third parties.” The Defendants contend that this requires a
    clear and convincing showing that they “incited” or
    “controlled” the third-party acts of contempt. This argument
    is without merit.
    While the record amply supports the inference that Sea
    Shepherd US, and Watson in particular (discussed infra),
    “incited” others to violate the injunction, a showing of
    30   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    incitement or control is not required to hold Sea Shepherd US
    in contempt. It is not necessary to impute the acts of others
    to Sea Shepherd US to hold it in contempt; we hold Sea
    Shepherd US in contempt for the acts it committed after the
    injunction issued. See Laborers’ Int’l Union of N. Am., AFL-
    CIO, 
    882 F.2d at 954
     (“One need not commit an unlawful act
    in order to be liable for conspiring to evade a judgment of a
    court: it is contempt to act solely for the purpose of evading
    a judgment.”); John B. Stetson Co., 
    128 F.2d at 983
     (holding
    that courts may “find a breach of the decree in a violation of
    the spirit of the injunction, even though its strict letter may
    not have been disregarded”). As a party to the injunction, Sea
    Shepherd US is liable because it intentionally furnished cash
    payments, and a vessel and equipment worth millions of
    dollars, to individuals and entities it knew would likely
    violate the injunction.
    The out-of-circuit cases Sea Shepherd US cites in support
    of its incitement and control argument are plainly irrelevant
    to the issues presented here. Sea Shepherd US cites a Federal
    Circuit patent case, Tegal Corp. v. Tokyo Electron Co., Ltd.,
    
    248 F.3d 1376
    , 1378 (Fed. Cir. 2001). But Tegal held only
    that a party enjoined from “facilitating” infringement of a
    patent cannot be held in contempt merely for failing to
    prevent another’s infringement, absent an affirmative act of
    facilitation. 
    Id.
     at 1378–80. This holding is not relevant to
    our facts, which do involve affirmative acts.
    Sea Shepherd US’s citation to National Organization for
    Women, Inc. v. Scheidler, 
    267 F.3d 687
     (7th Cir. 2001), rev’d
    on other grounds, 
    537 U.S. 393
     (2003), is also unavailing.
    The injunction in Scheidler explicitly prohibited the
    defendants from “aiding, abetting, inducing, directing, or
    inciting” others to violate the injunction. Id. at 705. The
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD               31
    Scheidler defendants argued that the injunction exposed them
    to liability for the conduct of persons they did not control, and
    whose actions they did not authorize. Id. at 706. The
    Seventh Circuit disagreed, finding that “[n]othing in the order
    purports to hold the defendants liable for actions they do not
    direct, incite, or control.” Id. at 707. Even if Scheidler’s
    narrow holding about the specific terms of one injunction
    could be construed broadly as a holding about the general law
    of contempt for aiding and abetting, and it clearly cannot, the
    holding would not apply here. We do not purport to hold any
    of the Defendants liable for actions they did not direct, incite,
    or control. Rather, we hold them liable only for their own
    intentional acts in furtherance of OZT. A party bound by an
    injunction may not provide a non-party with the means to
    violate it, knowing the non-party will be likely to do so.
    Sea Shepherd US also argues that contempt for aiding and
    abetting requires a showing that a third-party’s violations
    were “for the benefit of, or to assist” Sea Shepherd US. But
    the out-of-circuit case Sea Shepherd US cites in support of
    this argument is clearly inapposite. See Goya Foods, Inc.,
    290 F.3d at 75. Goya Foods addresses when a non-party to
    an injunction may be held in contempt for conduct that would
    violate the injunction if performed by a party bound by it. Id.
    The First Circuit held that, to be liable for civil contempt, a
    non-party’s “challenged action must be taken for the benefit
    of, or to assist, a party subject to the decree.” Id. This
    requirement, like Rule 65’s requirement that a person cannot
    be bound by an injunction unless he is in “active concert or
    participation with” a party, is animated partly by due process
    concerns raised when courts seek to bind a non-party. See
    Fed R. Civ. P. 65(d)(2)(C); Max’s Seafood Cafe ex rel. Lou-
    Ann, Inc., 
    176 F.3d at 674
    . Holding Sea Shepherd US in
    contempt for violating an injunction to which it is a party
    32   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    raises no analogous due process concerns. Sea Shepherd
    US’s liability for intentionally assisting non-parties to violate
    an injunction by which it is clearly bound does not depend on
    whether the non-parties violated the injunction for Sea
    Shepherd US’s benefit, or their own, or for no reason at all.
    The Defendants also argue that they should not be held in
    contempt because the so-called “separation strategy” was
    based on a reasonable and good faith interpretation of the
    injunction. We reject this argument.
    It is true that we have recognized a narrow “good faith”
    exception to the general rule that intent is irrelevant in civil
    contempt proceedings. See Vertex, 
    689 F.2d at 889
    . We held
    in Vertex that “if a defendant’s action appears to be based on
    a good faith and reasonable interpretation of (the court’s
    order), he should not be held in contempt.” 
    Id.
     (internal
    quotation marks omitted). By its terms, the Vertex exception
    only applies where a defendant’s interpretation is
    “reasonable.” Parties who act on the unreasonable advice of
    counsel risk being held in contempt if their actions violate a
    court’s order.
    The facts of this case, however, do not require a Vertex
    inquiry into the reasonableness of the Defendants’
    interpretation of our injunction. The principle announced in
    Vertex was based on the well-established rule that a “vague”
    order may not be enforced.            See 
    id.
     (citing Int’l
    Longshoremen’s Ass’n, Local 1291 v. Phila. Marine Trade
    Ass’n, 
    389 U.S. 64
    , 76 (1967) (reversing a civil contempt
    judgment founded upon a decree too vague to be
    understood)). In Vertex, the parties disputed whether the
    words “includes” and “incorporating” in the consent
    judgment were impermissibly vague. 
    689 F.2d at 890
    . The
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD              33
    case thus involved a “semantic battle” about the meaning of
    allegedly vague terms in the language of the judgment. See
    
    id.
    No such “semantic battle” is at issue here. The meaning
    of the text of the injunction is not disputed by any of the
    parties. No one contends that the injunction’s text states, in
    so many words, that Sea Shepherd US may not donate
    millions of dollars of equipment to entities it knows are likely
    to violate the injunction. And no one contends that the text
    states that Sea Shepherd US may not continue to fund OZT,
    knowing that violations of the injunction were likely to occur
    if the campaign proceeded unabated. The language of the
    injunction itself is not ambiguous. What the Defendants
    claim is ambiguous, however, is whether they could avoid
    liability by hewing to the narrow letter of the injunction while
    simultaneously ignoring its spirit by giving substantial
    assistance to OZT. Vertex is not relevant to resolving such an
    “ambiguity.”
    Even if the Vertex exception were applicable here, we
    would find that the Defendants unreasonably resolved the
    “ambiguity.” In making this determination, we are guided by
    the Supreme Court’s commentary in McComb v. Jacksonville
    Paper Co., 
    336 U.S. 187
     (1949). In McComb, the Court
    reversed a district court’s decision declining to enforce an
    injunction that prohibited a party from violating the Fair
    Labor Standards Act. 
    Id. at 194
    . Both the district court and
    the court of appeals found that the alleged contemnor’s
    specific conduct did not violate the injunction’s general
    prohibition against violations of the FLSA. 
    Id.
     at 190–91.
    Noting that the respondents “acted at their peril” when they
    “undertook to make their own determination of what the
    decree meant,” 
    id. at 192
    , the Court reasoned:
    34    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    It does not lie in their mouths to say that they
    have an immunity from civil contempt
    because the plan or scheme which they
    adopted was not specifically enjoined. Such
    a rule would give tremendous impetus to the
    program of experimentation with
    disobedience of the law which we condemned
    in Maggio v. Zeitz[1] . . . . The instant case is
    an excellent illustration of how it could
    operate to prevent accountability for persistent
    contumacy. Civil contempt is avoided today
    by showing that the specific plan adopted by
    respondents was not enjoined. Hence a new
    decree is entered enjoining that particular
    plan. Thereafter the defendants work out a
    plan that was not specifically enjoined.
    Immunity is once more obtained because the
    new plan was not specifically enjoined. And
    so a whole series of wrongs is perpetrated and
    a decree of enforcement goes for naught.
    
    Id.
     at 192–93.
    To find the Defendants’ self-serving interpretation of their
    obligations under our injunction reasonable would be to invite
    “experimentation with disobedience.” The schemes available
    to those determined to evade injunctions are many and varied,
    see, e.g., Deena Artware, Inc., 
    361 U.S. at 398
    ; Laborers’
    Int’l Union of N. Am., AFL-CIO, 
    882 F.2d at 954
    ; Parker v.
    1
    
    333 U.S. 56
    , 69 (1948) (observing in different context that “[t]he
    procedure to enforce a court’s order commanding or forbidding an act
    should not be so inconclusive as to foster experimentation with
    disobedience”).
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD             35
    United States, 
    126 F.2d 370
     (1st Cir. 1942), and no injunction
    can explicitly prohibit every conceivable plan designed to
    defeat it. Though they had every opportunity, the Defendants
    did not seek clarification of their obligations. See McComb,
    
    336 U.S. at 192
     (noting that the respondents could have
    avoided appeal by simply petitioning for “modification,
    clarification or construction of the order”). By construing
    their obligations narrowly to include only refraining from acts
    specifically enumerated in the injunction, and not acts likely
    to nullify the injunction, the Defendants assumed the risk that
    their attempts at technical compliance would prove wanting.
    We accordingly reject the Defendants’ good faith argument,
    and hold Sea Shepherd US in civil contempt.
    II. Volunteer Board Members
    The Plaintiffs have also moved for contempt against Sea
    Shepherd US’s volunteer board members based on their
    ratification of the separation strategy, and their approval of
    transfers of ownership of valuable property, for no
    consideration, to Sea Shepherd entities participating in OZT.
    At the time the injunction issued, the volunteer board
    members were Lani Blazier, Marnie Gaede, Bob Talbot,
    Robert Wintner, Ben Zuckerman, and Peter Rieman. Having
    found Sea Shepherd US liable for civil contempt, we also
    hold the board members just named in civil contempt.
    The law is clear that those who control an organization
    may be held liable if they fail to take appropriate action to
    ensure compliance with an injunction:
    A command to the corporation is in effect a
    command to those who are officially
    responsible for the conduct of its affairs. If
    36   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    they, apprised of the writ directed to the
    corporation, prevent compliance or fail to take
    appropriate action within their power for the
    performance of the corporate duty, they, no
    less than the corporation itself, are guilty of
    disobedience, and may be punished for
    contempt.
    Wilson v. United States, 
    221 U.S. 361
    , 376 (1911). There is
    no dispute that the individual board members knew of the
    injunction and voted to implement the separation strategy,
    including the transfer of property for no consideration to Sea
    Shepherd Australia and Sea Shepherd Netherlands.
    The Appellate Commissioner made much of the volunteer
    directors’ reliance on the advice of counsel, and the
    Defendants urge us to do the same. But the Commissioner’s
    conclusion that the volunteer directors intended to comply
    with the injunction is at odds with Sea Shepherd US’s
    subsequent concession at oral argument that the board knew
    there was a “very high risk” the vessel and equipment it
    provided would be used to violate the injunction. Under the
    circumstances, it is simply not credible that the volunteer
    directors believed they were complying with the injunction
    when they agreed to grant, for no consideration, millions of
    dollars of equipment and materials needed to carry out OZT
    to entities they believed would be highly likely to use those
    materials to violate the injunction.
    Moreover, even if we were to assume, arguendo, that the
    volunteer directors truly acted in reliance on counsel’s advice,
    that reliance is largely irrelevant. There is “no basis in law”
    for a “‘good faith’ exception to the requirement of obedience
    to a court order.” In re Crystal Palace Gambling Hall, Inc.,
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD              37
    
    817 F.2d 1361
    , 1365 (9th Cir. 1987). A party’s good faith
    reliance on the advice of counsel does not excuse the
    violation of a court’s order. See Steinert v. United States, 
    571 F.2d 1105
    , 1108 (9th Cir. 1978) (holding that “[d]isobedience
    of a valid court order does not cease to be willful when done
    in good faith reliance on the advice of a tax accountant”);
    Eustace v. Lynch, 
    80 F.2d 652
    , 656 (9th Cir. 1935) (holding
    that the “advice of an attorney is not a defense to an act of
    contempt”); see also United States v. Asay, 
    614 F.2d 655
    , 661
    (9th Cir. 1980) (holding that defiance of summonses was
    “willful despite the advice of counsel” (citing Steinert,
    
    571 F.2d at 1108
    )). As we observed in Steinert, “[t]o hold
    otherwise would make stultification of a court order
    impermissibly easy. In litigation frequently the client must
    assume the risks of his advisor’s errors.” 
    571 F.2d at 1108
    .
    Accordingly, the volunteer directors may be held liable for
    contempt.
    A. Peter Rieman
    Peter Rieman stands in a somewhat different position than
    the other named board members. Rieman resigned from the
    board on February 11, 2013, following the first alleged
    violation of the injunction on January 29, 2013. Rieman was
    concerned that he had no control over the actions of those
    involved in OZT and was worried that he faced personal
    exposure for subsequent violations of the injunction.
    The Appellate Commissioner concluded correctly that
    “[i]f SSCS’s actions (and inactions) put it in contempt, then
    [Rieman] is as liable as the other Volunteer Directors.” It is
    true that Rieman lacked control over Sea Shepherd US after
    he resigned in February 2013. But by that time, he had
    already voted to ratify and implement the separation strategy,
    38    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    and an OZT vessel had already breached the safety perimeter
    imposed by our injunction. Rieman’s resignation therefore
    does not immunize him from liability for contempt.2
    B. Volunteer Protection Act
    The volunteer directors argue that the provisions of the
    Volunteer Protection Act (VPA), 
    42 U.S.C. § 14503
    ,
    immunize them from a finding of contempt. We reject this
    argument, and hold that the VPA does not affect the power of
    federal courts to impose civil fines to redress contempt.
    Under some circumstances, the VPA immunizes
    volunteers from liability for harm caused by actions taken
    within the scope of their volunteer responsibilities. The VPA
    provides in relevant part:
    [N]o volunteer of a nonprofit organization or
    governmental entity shall be liable for harm
    caused by an act or omission of the volunteer
    on behalf of the organization or entity if–
    (1) the volunteer was acting within the scope
    of the volunteer’s responsibilities in the
    nonprofit organization or governmental entity
    at the time of the act or omission;
    [and] . . .
    2
    This finding of contempt as to Rieman does not, however, preclude the
    taking into account of his early resignation by way of mitigation when
    appropriate remedial sanctions are considered under Part V, below.
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD                        39
    (3) the harm was not caused by willful or
    criminal misconduct, gross negligence,
    reckless misconduct, or a conscious, flagrant
    indifference to the rights or safety of the
    individual harmed by the volunteer . . . .
    
    42 U.S.C. § 14503
    (a).
    The Plaintiffs raise a host of arguments why the volunteer
    directors do not qualify for immunity under the VPA. The
    Plaintiffs contend that the attorney’s fees they seek are not
    “harm” under § 14503(a); that the board members’
    misconduct was willful under § 14503(a)(3); and that they did
    not act within the scope of their responsibilities under
    § 14503(a)(1) when they ratified the separation strategy. We
    need not address these arguments, for we hold that the VPA
    does not affect our power to hold those bound by our
    injunction in contempt.
    We find it highly improbable that when Congress passed
    the VPA, it intended to prohibit federal courts from finding
    volunteer board members liable for their acts of contempt.3
    The text of the VPA does not specifically mention courts’
    equity jurisdiction or their contempt powers. Nor does the
    VPA’s legislative history provide support for the conclusion
    that Congress’s purposes included curbing the judicial power
    3
    The parties largely focus their arguments on whether the VPA applies
    to federal causes of action, in addition to state causes of action. But
    whether the VPA applies to federal causes of action is not directly relevant
    to whether the VPA circumscribes federal courts’ contempt power, and the
    cases cited are inapposite. See Armendarez v. Glendale Youth Ctr., Inc.,
    
    265 F. Supp. 2d 1136
    , 1140 (D. Ariz. 2003); Nunez v. Duncan, 
    2004 WL 1274402
    , at *1 (D. Or. June 9, 2004); Am. Produce, LLC v. Harvest
    Sharing, Inc., 
    2013 WL 1164403
    , at *3 (D. Colo. Mar. 20, 2013).
    40   INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    to enforce orders through contempt. The Committee on the
    Judiciary’s report observed that “H.R. 911, as amended,
    immunizes a volunteer from liability for harm caused by
    ordinary negligence.” H.R. Rep. 105-101(I) at 5 (emphasis
    added). The committee report also speaks of the “litigation
    craze” and “[o]ur ‘sue happy’ culture.” 
    Id.
     It explains that
    the VPA is “intended to remove a significant barrier—the
    fear of unreasonable legal liability—to inducing individuals
    to volunteer their time to charitable endeavors.” 
    Id.
    (emphasis added). These references indicate that the VPA’s
    purpose was to curb lawsuits against volunteers, not to curb
    courts’ contempt power.
    The importance of the power of courts to punish for
    contempt makes it highly unlikely that Congress would
    curtail that power without explicitly indicating its intention.
    “[T]he power of courts to punish for contempts is a necessary
    and integral part of the independence of the judiciary, and is
    absolutely essential to the performance of the duties imposed
    on them by law.” Gompers v. Buck’s Stove & Range Co.,
    
    221 U.S. 418
    , 450 (1911). This power is “inherent in all
    courts.” Michaelson, 
    266 U.S. at 65
    . We acknowledge that
    Congress may limit lower federal courts’ exercise of the
    contempt power. See, e.g., Bessette v. W. B. Conkey Co.,
    
    194 U.S. 324
     (1904); Ex Parte Robinson, 
    86 U.S. 505
     (1873).
    “Nevertheless, ‘we do not lightly assume that Congress has
    intended to depart from established principles’ such as the
    scope of a court’s inherent power.” Chambers v. NASCO,
    Inc., 
    501 U.S. 32
    , 47 (1991) (quoting Weinberger v.
    Romero–Barcelo, 
    456 U.S. 305
    , 313 (1982)); see also Link v.
    Wabash R.R. Co., 
    370 U.S. 626
    , 631–32 (1962). Absent a
    “much clearer expression of purpose,” see Link, 
    370 U.S. at
    631–32, we will not assume that Congress intended to limit
    our inherent power to punish contempt.
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD          41
    We accordingly hold that the VPA does not reach federal
    courts’ power to find volunteer board members in contempt
    of their orders. Accordingly, the VPA does not immunize
    Sea Shepherd US’s volunteer board members from liability
    for contempt.
    III.    Watson
    In addition to holding Watson in contempt as the
    Executive Director of Sea Shepherd US, we hold him in
    contempt for personally violating the injunction by coming
    within 500 yards of one of the Plaintiffs’ vessels.
    Unlike the other individual respondents, Watson was
    present in the Southern Ocean aboard the Steve Irwin during
    the entire OZT campaign. Watson claimed to believe that he
    could stay on the Steve Irwin, acting as an observer, and
    remain in compliance with the injunction. Chakravarty, the
    captain of the Steve Irwin, assured Watson that the ship
    would not approach within 500 yards of the whaling vessels.
    The two developed a contingency plan in the event that the
    Steve Irwin looked like it might breach the 500-yard safety
    perimeter. Under the plan, Chakravarty would transfer
    Watson to the Brigitte Bardot prior to any encounter. This
    plan proved unworkable in practice. Chakravarty abandoned
    the plan to transfer Watson in mid-February when he and the
    other captains attempted a blockade to prevent one of the
    Plaintiffs’ vessels from refueling. As a result, Watson
    personally came within 500 yards of the Plaintiffs’ whaling
    vessel while on board the Steve Irwin.
    Watson testified that he did not disembark the Steve Irwin
    because he believed that he risked detention or extradition if
    he did so in Australia or New Zealand, the only two countries
    42    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    within 1000 miles of the Steve Irwin’s position. When the
    injunction issued, Watson was subject to an INTERPOL red
    notice for criminal charges he faced in Japan. But there was
    strong evidence that Watson was unlikely to be extradited
    from Australia, and that he knew it. Sea Shepherd was very
    popular in Australia, and Watson’s Australian attorney had
    advised him that the risk of arrest and extradition by Australia
    was remote.
    We find that Watson failed to take all reasonable steps
    within his power to comply with the injunction. A reasonable
    person in Watson’s position would not have tried to evade a
    warrant for his arrest while also risking being held in
    contempt. To hold otherwise would be to condone as
    reasonable Watson’s attempt to evade the criminal charges he
    was facing. We accordingly hold Watson in civil contempt
    for coming within 500 yards of Plaintiffs’ vessels.
    IV.    Hartland
    The Plaintiffs also request that Hartland, Sea Shepherd
    US’s Administrative Director, be held in contempt. Hartland
    is in a different position than the other individual
    respondents. She was not a member of Sea Shepherd US’s
    board, and accordingly did not vote to ratify the separation
    strategy. As the Appellate Commissioner found, “[t]here is
    no evidence that Hartland took any action in response to the
    injunction that was not authorized by the SSCS board.” This
    alone does not immunize Hartland from contempt, for our
    injunction explicitly bound not just Sea Shepherd US and
    Watson, but those acting “in concert” with them. However,
    unlike the volunteer board members, Hartland could only
    have complied with the injunction by resigning from her paid
    employment. Under the specific circumstances of this case,
    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD             43
    we conclude that it would not be equitable to hold Hartland
    in contempt.
    V. Appropriate Remedial Sanctions
    The Plaintiffs request three forms of relief to redress the
    Defendants’ contempt: (1) attorney’s fees and costs as
    compensation for bringing the Defendants’ acts of contempt
    to the attention of the court; (2) bonded, suspended sanctions
    in the amount of $2 million or such amount the court deems
    appropriate; and (3) an order directing that the Defendants
    may purge themselves of contempt by seeking in good faith
    to revoke their grants of property to Sea Shepherd entities.
    We hold that the Plaintiffs are entitled to recover
    attorney’s fees and costs incurred in bringing and prosecuting
    these contempt proceedings. “[T]he cost of bringing the
    violation to the attention of the court is part of the damages
    suffered by the prevailing party and those costs would reduce
    any benefits gained by the prevailing party from the court’s
    violated order.” Perry v. O’Donnell, 
    759 F.2d 702
    , 705 (9th
    Cir. 1985). At a minimum, the Plaintiffs shall recover their
    fees and costs against Sea Shepherd US and Watson. The
    Plaintiffs are also entitled to compensation for any actual
    damages suffered and resources (such as fuel and personnel
    costs) that were wasted as a result of the Defendants’
    contumacious acts interfering with the Plaintiffs’ mission.
    We will re-refer this matter to the Appellate Commissioner to
    determine the appropriate amount of attorney’s fees and costs
    as well as compensatory damages to award.                 The
    Commissioner shall determine whether the volunteer
    directors should also be held liable, and the extent to which
    each of them should be held liable, jointly and/or severally.
    44    INST. OF CETACEAN RESEARCH V. SEA SHEPHERD
    The Plaintiffs’ requests for coercive sanctions and an
    order to compel compliance should be directed to the district
    court. Our opinion of February 25, 2013, as amended May
    24, 2013, provided that the preliminary injunction “will
    remain in effect until further order of this court.” Inst. of
    Cetacean Research, 725 F.3d at 947. However, we issued
    our mandate on June 7, 2013, at which time the district court
    assumed supervision over the Defendants’ present
    compliance with the preliminary injunction. While we retain
    jurisdiction to order remedial relief for acts of contempt that
    took place prior to the issuance of our mandate, because these
    coercive sanctions are forward-looking, we believe that
    policing the Defendants’ continuing compliance with the
    preliminary injunction is better left to the district court,
    subject to our review on appeal. This panel retains
    jurisdiction over all appeals in this case.
    CONCLUSION
    We hold Sea Shepherd Conservation Society, Paul
    Watson, Lani Blazier, Marnie Gaede, Bob Talbot, Robert
    Wintner, Ben Zuckerman, and Peter Rieman in civil
    contempt. We do not hold Susan Hartland in contempt. We
    re-refer this matter to the Appellate Commissioner for further
    proceedings in a separate order filed contemporaneously.
    IT IS SO ORDERED.
    

Document Info

Docket Number: 12-35266

Filed Date: 12/19/2014

Precedential Status: Precedential

Modified Date: 10/14/2015

Authorities (48)

Armendarez v. Glendale Youth Center, Inc. , 265 F. Supp. 2d 1136 ( 2003 )

Parker v. United States , 126 F.2d 370 ( 1942 )

maxs-seafood-cafe-by-lou-ann-inc-successor-to-maxs-seafood-cafe-inc , 176 F.3d 669 ( 1999 )

Alemite Mfg. Corporation v. Staff , 42 F.2d 832 ( 1930 )

John B. Stetson Co. v. Stephen L. Stetson Co. , 128 F.2d 981 ( 1942 )

neil-d-levin-superintendent-of-insurance-of-the-state-of-new-york-as , 277 F.3d 243 ( 2002 )

Vertex Distributing, Inc. v. Falcon Foam Plastics, Inc., ... , 689 F.2d 885 ( 1982 )

In Re Transamerica Corp. Board of Governors of Federal ... , 184 F.2d 319 ( 1950 )

state-of-illinois-by-the-illinois-department-of-public-aid-plaintiff-v , 772 F.2d 329 ( 1985 )

National Labor Relations Board v. Sequoia District Council ... , 568 F.2d 628 ( 1977 )

Stanley Steinert v. United States , 571 F.2d 1105 ( 1978 )

national-organization-for-women-inc-on-behalf-of-itself-and-its-women , 267 F.3d 687 ( 2001 )

national-labor-relations-board-v-laborers-international-union-of-north , 882 F.2d 949 ( 1989 )

roe-jane-moe-mary-national-abortion-rights-action-league-of , 919 F.2d 857 ( 1990 )

David Devoto and Charles F. Volk v. Pacific Fidelity Life ... , 618 F.2d 1340 ( 1980 )

wallace-perry-as-trustee-of-the-estates-of-boyd-james-odonnell-and-joan , 759 F.2d 702 ( 1985 )

Bank of New York v. Fremont General Corp. , 523 F.3d 902 ( 2008 )

Perfect 10, Inc. v. Amazon. Com, Inc. , 508 F.3d 1146 ( 2007 )

Eustace v. Lynch , 80 F.2d 652 ( 1935 )

in-re-dual-deck-video-cassette-recorder-antitrust-litigation-go-video , 10 F.3d 693 ( 1993 )

View All Authorities »