Property in Thin Air
Property in Thin Air
252-307
Printed in Great Britain
M.A., Ph.D., LL.D. (Cantab.), Drapers' Professor of Law in the University of London at
Queen Mary and Westfield College. This paper represents one of the products of a happy
period spent in 1990 as a Visiting Fellow in the Division of Philosophy and Law in the Research
School of Social Sciences at the Australian National University. It is inevitable that the thoughts
expressed here should owe much to discussion with the Head of that Division, Professor Paul
Finn, and also with Dr. Timothy Bonyhady of the Australian National University's Faculty of
Law (although neither can of course be held responsible for the perverseness of the author's
views). For help in locating materials thanks are particularly due to Ms. Jenny Degeling (of the
Commonwealth Attorney-General's Department, Canberra) and to the Intellectual Property
Law Unit at Queen Mary and Westfield College. Some of the ideas contained in this paper
were initially presented at the University of Tasmania Law School's Residential Seminar
Weekend at Cradle Mountain Lodge in July 1990. In its present form the paper is an extended
version of an Inaugural Lecture delivered in the University of London on 1 May 1991.
252
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C.L.J. Property in Thin Air 253
I. RIGHTS IN AIRSPACE
Whatever the maxim cuius est solum . . . may have signified to the
common lawyer of earlier centuries, it has since become obvious that
its legal meaning is now heavily qualified by the advent of more
recent technologies. For instance, fee simple ownership cannot
possibly confer on the modern landowner a limitless dominion over
the vertical column of airspace grounded within the territorial
boundaries of his or her realty. Nowadays it is generally agreed that
for legal purposes a pragmatic distinction must be drawn between
two different strata of the superjacent airspace, the "lower stratum"
and the "upper stratum" respectively.4 It is further agreed that the
maxim cuius est solum . . . has no relevance at all to the higher of
these strata. Ownership of airspace usque ad coelum—if indeed it
was ever taken wholly seriously5—has now been commuted to a
1
Glossa Ordinaria on the Corpus luris (Digest, VIII.2.1) (see H. Guibfi, Essai sur la navigation
airienne en droit interne et en droit international (Paris 1912), p.35ff.). It has been suggested
that the maxim may have derived, not from Roman origins, but from even earlier Jewish origins
(see (1931) 47 L.Q.R. 14; Deuteronomy, xxx: 11-14, Isaiah, vii: 11), but see D.E. Smith, "The
Origins of Trespass to Airspace and the Maxim 'Cujus est solum ejus est usque ad coelum'"
(1982) 6 Trent Law Journal 33, 38. See also C.L. Bouve, "Private Ownership of Airspace"
(1930) 1 Air L.Rev. 232; H.H. Hackley, "Trespassers in the Sky" 21 Minn.L.Rev. 773 (1936-
37).
2
It has been pointed out that Franciscus, the son of Accursius, appears to have travelled to
England in 1274 at the invitation of Edward I (see Lord McNair, The Law of the Air, 3rd ed.
(London 1964), p. 397).
3
For the earliest English reference, see the terminal note in Bury v. Pope (1586) Cro. Eliz. 118,
78 E.R. 375, where the maxim is said to have been known from the time of Edward 1 (1239-
1307). The maxim was later incorporated in Co. Lilt., p. 4a; Bl. Comm., vol. II, p. 18.
4
See Bernstein of Leigh (Baron) v. Skyviews & General Ltd. [1978] Q.B. 479, 486D, 487F. See
also S.S. Ball, "The Vertical Extent of Ownership in Land" 76 U. of Penn. L. Rev. 631 (1928).
5
It may be that the maxim cuius est solum . . . never meant very much at all. In Bernstein of
Leigh (Baron) v. Skyviews & General Ltd. (1978] Q.B. 479, 485C, Griffiths J. dismissed the
maxim as merely "a colourful phrase". The formula has been said to be "imprecise" and "mainly
serviceable as dispensing with analysis" (Commissioner for Railways et al v. Valuer-General
[1974] A.C. 328, 351G per Lord Wilberforce), and to have "no place in the modern world"
(United States v. Causby, 328 U.S. 256, 261, 90 L. ed. 1206, 1210 (1946)). In no sense can the
maxim be understood to mean that "land" comprehends the whole of the space from the centre
of the earth to the heavens, not least since "so sweeping, unscientific and unpractical a doctrine
is unlikely to appeal to the common law mind" (Commissioner for Railways et al. v. Valuer-
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254 The Cambridge Law Journal [1991]
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C.L.J. Property in Thin Air 255
15
221 Cal. Rptr. 499, 501.
16
E.I. duPont deNemours & Company, Inc. v. Christopher, 431 F.2d 1012, 1015 (1970), cert,
denied 400 U.S. 1024, 27 L.Ed.2d 637 (1971), reh. denied 401 U.S. 976, 28 L.Ed.2d 250 (1971).
17
See J.E. Richardson, "Private Property Rights in the Air Space at Common Law" (1953) 31
Can. Bar Rev. 117,120.
18
It was clearly implied in the observations of Griffiths J. in Bernstein of Leigh (Baron) v.
Skyviews & General Ltd. [1978] Q.B. 479, 489G, that overflight would constitute trespass (and
possibly nuisance) if the aircraft interfered with the owner's use of his land, as, for instance,
through the "harassment of constant surveillance of his house from the air accompanied by the
photographing of his every activity".
19
221 Cal. Rptr. 499 (1985).
20
221 Cal. Rptr. 499, 504. See now, however, California v. Ciraolo, 476 U.S. 207, 214ff., 90
L.Ed.2d 210, 217f. (1986); Dow Chemical Co. v. United States, 476 U.S. 226, 239, 90 L.Ed.2d
226, 238 (1986); Florida v. Riley, 488 U.S. 445, 449ff., 102 L.Ed.2d 835, 841ff. (1989).
21
Following the retention election held on 4 November 1986, Rose Bird, Joseph Grodin and Cruz
Reynoso lost their places on the Californian Supreme Court with effect from January 1987
(L.A. Times, 5 November 1986, Part I, p. 1, col. 1). It is fair to add that much of the campaign
orchestrated against the unsuccessful candidates was prompted by the openly liberal stance
adopted by them on such matters as the death penalty and electoral control of legislative
redistricting. See R.S. Thompson, "Judicial Independence, Judicial Accountability, Judicial
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256 The Cambridge Law Journal [1991]
Elections, and the California Supreme Court: Defining the Terms of the Debate" 59 S. Cal. L.
Rev. 809 (1985-86). For a personal view of the 1986 recall election, see also J.R. Grodin,
"Developing a Consensus of Constraint: A Judge's Perspective on Judicial Retention Elections"
61 S. Cal. L. Rev. 1969, 1980 (1987-88); In Pursuit of Justice: Reflections of a State Supreme
Court Justice (Berkeley 1989).
22
Hinman v. Pacific Air Transport, 84 F.2d 755, 758 (1936), affd. 300 U.S. 655, 81 L.ed. 865
(1936).
23
See e.g. Thrasher v. City of Atlanta, 173 S.E. 817, 826 (1934).
24
Bernstein of Leigh (Baron) v. Skyviews & General Ltd. [1978] Q.B. 479, 488B.
25
For instance, the Canadian Province of Manitoba fell flat on its face in 1978 when it attempted
to impose a sales tax in respect of transactions on board aircraft flying over the province: the
Manitoba courts held that the sales had not taken place "within the province" and were therefore
outside the jurisdiction of the then current taxing statute (see Re The Queen in Right of Manitoba
and Air Canada (1978) 86 D.L.R. (3d) 631).
26
Thus, for instance, it has long been recognised at common law that there can be no "absolute
permanent property", but only "qualified property", in fire, light, air, water and wild animals
(Bl. Comm., vol. II, pp.14, 391, 395). See also Case of Swans (1592) 7 Co. Rep. 15b, 17b, 77
E.R. 435, 438; Blades v. Higgs (1865) 11 H.L.C. 621, 638, 11 E.R. 1474, 1481 per Lord
Chelmsford.
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C.L.J. Property in Thin Air 257
27
Some doubt has been expressed whether the law of trespass provides the most suitable forum
for dealing with tortious invasion of airspace (see e.g. Lyons v. The Queen (1985) 14 D . L . R .
(4th) 482, 500f. per Estey J.). It may even be questioned at a more fundamental level whether
actionability in trespass necessarily indicates that the plaintiff has any "property" in the land. It
is, of course, true that access t o remedies in trespass (and for that matter nuisance) rests
traditionally upon "possession" rather than "title" (see Malone v. Laskey [1907] 2 K . B . 141,
151; Nunn v. Parkes & Co. (1924) 158 L.T. J o . 431; Lewisham B.C. v. Roberts [1949] 2 K . B .
608, 622; Simpson v. Knowles [1974] V . R . 190, 195; Hull v. Parsons [1962] N . Z . L . R . 465,
467f.; Oldham v. Lawson (No. 1) [1976] V.R. 654, 657; Moore v. MacMillan [1977] 2 N . Z . L . R .
81, 89). It remains, however, a salutary fact that possession a n d title are by n o means discrete
concepts (see Bl. Comm., vol. I I , p.8). In relation t o land, for instance, possession is prima
facie evidence of seisin in fee and seisin "gives ownership good against everyone except a person
who has a better, because older, title" (Newington v. Windeyer (1985) 3 N . S . W . L . R . 555, 5 6 3 E -
¥ per McHugh J . A . ) . See also C M . Rose, "Possession as the Origin of Property" 52 U . Chi.
L. Rev. 73 (1985-86).
28
Lemmon v. Webb [1895] A.C. 1, 6, 8.
29
Lemmon v. Webb [1895] A . C . 1, 4; [1894] 3 Ch. 1, 14f., 17f., 24.
30
Ellis v. Loftus Iron Company (1874) L.R. 10 C.P. 10, 12. ("That may be a very small trespass,
but it is a trespass in law".)
31
Baten's Case (1610) 9 Co. Rep. 53b, 54a/b, 77 E.R. 810, 811f.; Fay v. Prentice (1845) 1 C.B.
828, 838, 840, 135 E.R. 769, 773f.; Ward v. Gold (1969) 211 Estates Gazette 155,159. See also
Corbett v. Hill (1870) L.R. 9 Eq. 671, 673f.
32
Gifford v. Dent (1926) W.N. 336; Kelsen v. Imperial Tobacco Co. (of Great Britain and Ireland)
Ltd. [1957] 2 Q.B. 334, 345.
33
Barker v. Corporation of the City of Adelaide [1900] S.A.L.R. 29, 33f.; Graves v. Interstate
Power Co., 178 N.W. 376,377 (1920). See also Wandsworth Board of Works v. United Telephone
Co. (1884) 13 Q.B.D. 904, 921 per fry LJ.
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258 The Cambridge Law Journal [1991]
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C.L.J. Property in Thin Air 259
may catch even the lawyer slightly unawares. This is the initially
implausible notion that, as an issue of strict definition, the term
"land" is quite capable of including a cubic space of lower stratum
air which is separate from the physical solum. From this there follows
the seemingly improbable idea that a fee simple estate (or even a
term of years42) can exist literally in thin air, a proposition which
neatly gives the lie to any assumption that land is necessarily a
tangible resource. A three-dimensional quantum of airspace can exist
as an "independent unit of real property".43 Impeccable case law
authority confirms that such airspace can be conveyed in fee simple;44
it can be leased;45 it can be subdivided;46 and it can even be subjected
to land taxes.47 So there you are: I can sell you thin air and, like it
or not, you have to agree that there has been a transfer of property.
42
Re Trizek Manitoba Ltd. and City Assessor for the City of Winnipeg (1986) 25 D.L.R. (4th)
444, 452.
43
Macht v. Department of Assessments of Baltimore City, 296 A.2d 162, 168 (1972); Re Trizek
Manitoba Ltd. and City Assessor for the City of Winnipeg (1986) 25 D.L.R. (4th) 444, 450.
44
Reilly v. Booth (1890) 44 Ch.D. 12, 23 per Cotton L.J., 26f. per Lopes L.J.
45
Macht v. Department of Assessments of Baltimore City, 296 A.2d 162, 168 (1972); Re Trizek
Manitoba Ltd. and City Assessor for the City of Winnipeg (1986) 25 D.L.R. (4th) 444, 452.
46
Bursill Enterprises Pty. Ltd. v. Berger Bros Trading Co. Pty. Ltd. (1971) 124 C.L.R. 73, 91 per
WindeyerJ.; Rattov. Trifid Pty. Ltd. [1987] W.A.R. 237,255 per Brinsden J.
47
Re Trizek Manitoba Ltd. and City Assessor for the City of Winnipeg (1986) 25 D.L.R. (4th)
444.
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260 The Cambridge Law Journal [1991]
48
See e.g. P.H. Winfield, "Privacy" (1931) 47 L.Q.R. 23, 24ff. Compare cases where a complaint
of trespass was successfully brought against a defendant standing on a highway which was part
of the land belonging to the plaintiff (Harrison v. Duke of Rutland [1893] 1 Q.B. 142, 146ff.;
Hickman v. Maisey [1900] 1 Q.B. 752, 755ff.).
49
If intrusion it be, for the real question may be whether for legal purposes this situation is
correctly analysed as merely one in which light from persons or objects on the land overlooked
travels to the retina of the viewer (see Bathursl City Council v. Saban (1985) 2 N.S.W.L.R.
704, 706B per Young J.).
50
It is significant that, at least in the early English and American case law, claims of privacy were
discussed and decided in proprietary or quasi-proprietary terms. See Pope v. Curl (1741) 2 Atk.
342, 26 E.R. 608; Denis v. Leclerc (1811) 1 Mart., O.S., (La.) 297, 5 Am. Dec. 712, 714ff.;
Hamilton v. Lumbermen's Mutual Casualty Co., 82 So.2d 61, 63f. (1955); Love v. Southern
Bell Telephone and Telegraph Co., 263 So.2d 460, 465f. (1972), affd. 266 So.2d 429 (1972).
51
See e.g. Cherrington v. Abney (1709) 2 Vern. 646, 23 E.R. 1022 ("privacy is valuable"). See
also P.H. Winfield, (1931) 47 L.Q.R. 23, 28.
52
(1765) 19 Howell's State Trials 1029, 1066.
53
Malone v. Metropolitan Police Commissioner [1979J C h . 344, 357F/>er Megarry V . - C . See also
Clerk and Lindsell on Torts, 16th ed. (London 1989), paras. 1-45, 24-66; H. Street, The Law
of Torts, 8th cd. by M. Brazier (London 1988), pp. 153, 476; Halsbury's Laws of England, 4th
ed., vol. 8, p. 557 (para. 843). The classic argument for legal recognition of a general right of
privacy is still that of S.D. Warren and L.D. Brandeis, "The Right to Privacy" 4 Harv. L. Rev.
193 (1890-91).
54
Compare section 652B of the American Restatement of Torts (Second), which provides that
"[o)ne who intentionally intrudes, physically or otherwise, upon the solitude or seclusion of
another or his private affairs or concerns, is subject to liability to the other for invasion of his
privacy, if the intrusion would be highly offensive to a reasonable person" (Restatement of the
Law, Second: Torts 2d. (St. Paul, Minn. 1977), vol. 3, p. 378ff.). As was indicated in N.O.C.,
Inc. v. Schaefer, 484 A.2d 729, 731 (1984), the case law demonstrates that this form of liability
requires "a balance test: social need is to be weighed against the individual's right to privacy".
In N.O.C., Inc. v. Schaefer, the Superior Court of New Jersey refused to impose liability on a
defendant who had exercised surveillance of the neighbouring plaintiffs hazardous waste facility
by means of systematic observation of its operations from a position in a "tree fort" in her own
backyard. The Court held that the plaintiffs privacy interests were here outweighed by the
defendant's "legitimate interest" in protecting herself and her community, by vigilant monitoring,
against hazardous waste violations by the plaintiff. On the delimitation of "legitimate" or
"justifiable" expectations of privacy under the Fourth Amendment to the United States
Constitution, see Katz v. United States, 389 U.S. 347 (1967), 360f., 19 L.Ed.2d 576, 587f. per
Harlan J; Smith v. Maryland, 442 U.S. 735, 740f., 61 L.Ed.2d 220, 226f. (1979).
55
In 1972 the Younger Committee decided by a majority not to recommend the creation of a
general right of privacy (see Report of the Committee on Privacy, Cmnd. 5012, paras. 33ff.,
661ff.). The Committee did, however, urge that surreptitious surveillance by technical device
should give rise, in certain circumstances, to both criminal and civil liability (paras. 53, 562ff.).
In some jurisdictions a tort of violation of privacy has been created by statute, e.g. Privacy Act
(R.S.B.C. 1979, c. 336), s.l(l). See Silberv. British Columbia Broadcasting System Ltd. (1986)
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C.L.J. Property in Thin Air 261
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262 The Cambridge Law Journal [1991]
same general conclusion emerges from the American case law (see Cohen v. Perrino, 50 A.2d
348, 349 (1947); 2 C.J.S. Adjoining Landowners, §70).
63
Tapling v. Jones (1865) 11 H.L.C. 290, 305, 11 E.R. 1344, 1350 per Lord Westbury L.C. See
also Cross v. Lewis (1824) 2 B. & C. 686, 688 ff., 107 E.R. 538, 539f.
64
Turner v. Spooner (1861) 30 L.J. Ch. 801, 803.
45
This conclusion was echoed more recently in the Younger Committee's statement that "[i]t is
not trespass to watch your neighbour's pursuits in his garden as long as you do not enter his
land, even if you employ binoculars to improve your view" (see Report of the Committee on
Privacy, Cmnd. 5012 (1972), Appendix 1, para. 12). Tort lawyers of a previous generation
would have been aware of the unreported case in 1904 of the Balham dentist who failed to
obtain any remedy against his neighbours, where those neighbours had carefully positioned
large mirrors in such a way as to be able to observe operations in his surgery. See C.S. Kenny,
op. tit., p. 367; Victoria Park Racing and Recreation Grounds Co. Ltd. v. Taylor (1937) 58
C.L.R. 479, 504 per Rich J., 52Of. per Evatt J.
66
Chandler v. Thompson (1811) 3 Camp. 80, 81, 170 E.R. 1312, 1313 per Le Blanc J.; Cross v.
Lewis (1824) 2 B. & C. 686, 689, 107 E.R. 538, 539 per Bayley J.; Tapling v. Jones (1865) 11
H.L.C. 290, 317, 11 E.R. 1344, 1355 per Lord Chelmsford. Over a century later the Younger
Committee could advocate no better remedy for the same problem. The Committee did not
think "that the practices of neighbours . . . are so new or offensive or have so changed in
character as to justify any change in the law" (Report of the Committee on Privacy, Cmnd. 5012
(1972), paras. 398, 553ff.).
67
Tapling v. Jones (1865) 11 H.L.C. 290, 311, 11 E.R. 1344, 1353 per Lord Cranworth. See also
Harris v. Oe Pinna (1886) 33 Ch.D. 238, 260 per Cotton L.J.
68
(1865) 11 H.L.C. 290, 305,11 E.R. 1344, 1350.
w
In re Penny and the South Eastern Railway Co. (1857) 7 E. & B. 660, 669ff., 119 E.R. 1390,
1393ff. Compensation for loss of privacy was likewise denied where the plaintiffs land was
overlooked by a newly constructed public roadway (see Duke of Buccleuch v. Metropolitan
Board of Works (1870) L.R. 5 Ex. 221, 237 per Blackburn J.)
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C.L.J. Property in Thin Air 263
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264 The Cambridge Law Journal [1991]
76
(1985) 2 N.S.W.L.R. 704, 706B. See also Aisenson v. American Broadcasting Co., Inc., 269
Cal. Rptr. 379, 388 (1990). There is, of course, a clear distinction between this situation and
one in which the defendant's visual intrusion into the plaintiffs privacy is achieved by means of
unconsented physical entry upon the plaintiffs premises (see e.g. Souderv. Pendleton Detectives,
Inc., 88 So.2d 716, 718 (1956); but compare Figured v. Paralegal Technical Services, Inc., 555
A.2d 663 (1989)). See also "Investigations and Surveillance, Shadowing and Trailing, as
Violations of Right of Privacy" 13 A.L.R.3d 1025.
77
The case of the omnipresent and intrusive paparazzo may not, for this purpose, constitute an
ordinary case. See Galella v. Onassis 487 F.2d 986, 998 (1973), where an unusually persistent
photographer was restrained from making any approach within a distance of 25 feet of the
widow of a former President. The paparazzo was likewise prohibited by injunction from blocking
her movement in public places or from engaging in any conduct likely to alarm or endanger
her, but the court declined otherwise to inhibit his freedom to photograph a celebrity. It is
clear that the basis of the complaint in this case related more heavily to assault and invasion of
privacy than to any allegation of visual trespass.
78
The law of the United States does not generally recognise the photographer's immunity in such
broad terms, confirming only that it is, in general, no invasion of privacy to take a photograph
of a person in a public place (see Forster v. Manchester, 189 A.2d 147, 150f. (1963)). French
law goes even further and provides that it is a criminal violation of a person's privacy (atteinte a
Vintimiti de la vie privie) to photograph that person without his consent while he is in a private
place (dans un lieu priv£) (Code pinal, art. 368). See, e.g., the 5,000 franc penalty recently
imposed where a complainant alleged that, while standing behind a closed window in his own
apartment, he had been involuntarily photographed through a telephoto lens operated from an
elevated position in a neighbouring building. (The photographs were subsequently published in
Paris Match.) See Cow de Cassation, Chambre Criminelle, 25 April 1989: No. 86-93.632 (Lexis
Transcript). Compare State v. Martin, 658. P.2d 1024, 1026f. (1983); Snakenberg v. Hartford
Casualty Insurance Company, Inc., 383 S.E.2d 2, 5ff. (1989).
79
Hickman v. Maisey [1900] 1 Q.B. 752, 756. American law likewise seems to acknowledge that
"whatever the public may see from a public place cannot be private" (see Bisbee v. John C.
Conover Agency, Inc., 452 A.2d 689, 691 (1982); N.O.C., Inc. v. Schaefer, 484 A.2d 729, 732,
n.l(1984)).
80
(1937)58C.L.R. 479.
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C.L.J. Property in Thin Air 265
one of the last great problems of property law and reverberates with
a significance which has outlived its particular facts. With justification
it may be said that the concept of property cannot be entirely
satisfactorily explained without accounting, in some way or other,
for the ruling in Victoria Park Racing.
As is well known, the plaintiff company in Victoria Park Racing
owned a racecourse on which it frequently held what Rich J. was to
describe as "competitions in the comparative merits of racehorses".81
The ground was enclosed by a fence and the plaintiff charged members
of the public for admission. One of the defendants, Taylor, owned a
cottage opposite the racecourse and on his own land he erected a raised
wooden platform. From this vantage point he commanded a view of
the entire racecourse including, significantly, the boards and semaphores
by means of which starting prices were displayed. He was also clearly
within earshot of other information announced to members of the race-
going public within the ground. Taylor then arranged with another of
the defendants, the Commonwealth Broadcasting Corporation, that a
commentator should, from a position on Taylor's platform, broadcast
live radio reports on the races to listeners in the Sydney area. The
instant popularity of these transmissions stimulated an illicit off-course
betting industry in Sydney, and there was unchallenged evidence that
punters who would otherwise have attended the race meetings in person
now preferred to follow those proceedings either from the comfort of
their own homes or, even better, from their local hostelry.82 The
plaintiff, perturbed by the catastrophic loss of business, sued for an
injunction on the footing of nuisance and breach of copyright. (It was
common ground that the mere construction and use of the raised
platform constituted no breach of building or zoning regulations or of
the betting and gaming legislation or indeed of the regulations governing
broadcasting.83)
By the narrowest of majorities the High Court of Australia
decided that the facts disclosed no wrong known to the law.84 Latham
C.J. relied heavily on the 19th century cases on "overlooking" of
property, and insisted that "[a]ny person is entitled to look over the
plaintiffs fences and to see what goes on in the plaintiffs land". If
the plaintiff desired to prevent this, the plaintiff could erect a higher
fence; the law would not by means of injunction "in effect erect
81
(1937) 58 C.L.R. 479, 502.
82
(1937) 58 C.L.R. 479, 499f. per Rich J., 523per McTiernan J.
83
(1937) 58 C.L.R. 479, 495 per Latham C.J.
84
The Judicial Committee of the Privy Council refused leave to appeal: The Times, 21 January
1938 (see G.W. Paton, (1938) 54 L.Q.R. 319). A conclusion similar to that adopted in Victoria
Park Racing had been reached, again by majority decision, in an earlier American case. See
Detroit Base-ball Club v. Deppert (1886) 61 Mich. 63, 69, 1 Am. St. Rep. 566, 569, 27 N.W.
856. See also N.O.C., Inc. v. Schaefer, 484 A.2d 729 (1984); 1 Am.Jur.2i, Adjoining
Landowners, §19 (p.704).
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266 The Cambridge Law Journal [1991]
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C.L.J. Property in Thin Air 267
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268 The Cambridge Law Journal [1991]
Press, the Supreme Court of the United States handed down a highly controversial majority
ruling that a news gatherer may claim "quasi property" in uncopyrighted news matter (post,
note 2).
1
(1937) 58 C.L.R. 479, 509f. The High Court of Australia has more recently expressed its approval
of the decision in Victoria Park Racing (see Moorgate Tobacco Co. Ltd. v. Philip Morris Ltd. [No.
2] (1984) 156 C.L.R. 414, 444f. per Deane J.).
2
The plaintiff had argued strongly that a "valuable proprietary right" was constituted by the plaintiffs
"power to exclude the public generally from the right to see whatever may be produced on [the
plaintiffs] land by way of spectacle" ((1937) 58 C.L.R. 479, 483). The plaintiffs assertion of
"property" or "quasi-property" in the relevant spectacle drew much of its intellectual support from
the majority decision of the United States Supreme Court in International News Service v. Associated
Press, 248 U.S. 215, 236ff., 63 L.ed. 211, 219ff. (1918).
3
(1937) 58 C.L.R. 479, 496f. For a wider view of "property" in this context, see D.F. Libling, "The
Concept of Property: Property in Intangibles" (1978) 94 L.Q.R. 103,106ff.
4
The present paper uses the term "commons" as inclusive of all unpropertised resources, although it
is not inconsistent that some parts of the "commons" may be subjected to varying degrees of public
(as distinct from private) regulation. There may legitimately be some debate about the precise
terminology used to describe the residuum of resources which are not subjected to the regime of
private property. For the purpose of this paper, however, it matters not whether unpropertised
resources are said to remain in the "commons" or to constitute "public goods", "inherent public
goods", "collective goods", or "communal goods". Such variants of language may reflect the fact
that certain unpropertised resources (e.g. air traffic routes or tidal waterways) can still be subject
to some form of regulatory regime directed towards the public interest (see e.g. CM. Rose, "The
Comedy of the Commons: Custom, Commerce, and Inherently Public Property" 53 U. Chi. L.
Rev. 711 (1986); T.J. Bonyhady, The Law of the Countryside (Abingdon 1987), p.253ff.). Some
degree of public administration is not incompatible with a "commons" classification (and may even
in some cases be considered as creating a "public property" vested in the state). The majority of
unpropertised resources in the commons remain, however, entirely free of any form of regulation.
5
The terminology of "excludability" delimits the scope of "property" in a somewhat different way
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C.L.J. Property in Thin Air 269
from the results achieved by reference to a notion of "commodification" (see e.g. M.J. Radin,
"Market-Inalienability" 100 Harv. L. Rev. 1849, 1855ff. (1986-87)). The distinction between
"commodifiable" and "non-commodifiable" goods seems to be intrinsically related to capacity
for sale in the market place, whereas the distinction between "excludable" and "non-excludable"
resources, by placing an emphasis upon wider aspects of resource control, comes closer to
constituting a test of "property".
6
See Jeremy Waldron, "Can communal goods be human rights?" (1987) 28 Arch. Europ. Sociol.
296, 304ff.
7
(1937) 58 C.L.R. 479, 494 per Latham C.J.
8
(1937) 58 C.L.R. 479, 522.
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270 The Cambridge Law Journal [1991]
9
(1937) 58 C.L.R. 479, 495.
10
There are, of course, other contexts in which the proprietary status of a right is said to depend
vitally on the steps taken to exclude third parties from unconsented access. See 63A Am. Jur.
2d, Property, §5 (p. 234) ("A secret unpatented preparation, formula or process may be the
subject of property . . . so long as the inventor or discoverer himself protects it"). Pursuant to
section l(4)(ii) of the Uniform Trade Secrets Act, for instance, a "trade secret" may be protected
against misappropriation only if and to the extent that it comprises "information . . . that . . .
is the subject of efforts that are reasonable under the circumstances to maintain its secrecy" (14
U.L.A., Civil Procedural and Remedial Laws (St Paul, Minn. 1990), p. 438f.). See also
Ruckelshaus v. Monsanto Co., 467 U.S. 986, 1002, 81 L.Ed.2d 815, 832 (1984). The relevance
of control over the access of strangers is even more intensely evident in Colorado's Uniform
Trade Secrets Act (1986, c.63), which provides that "[t]o be a trade secret the owner thereof
must have taken measures to prevent the secret from becoming available to persons other than
those selected by the owner to have access thereto for limited purposes" (C.R.S. 7-74-102(4)).
The Uniform Act provisions have the consequence that the American courts have denied trade
secret protection in respect of manufacturing processes where the claimant manufacturer has
practised lax security at its plant. See Electro-Craft Corporation v. Controlled Motion, Inc., 332
N.W.2d 890, 901f. (1983) (plant had seven unlocked entrances; employees were not required
to wear security badges; documents and designs were not kept in central or locked location).
See also Gordon Employment, Inc. v. Jewell, 356 N.W.2d 738, 741 (1984) (client lists kept in
unlocked files).
11
This means that I can still claim "property" in a motor car even though I live in a neighbourhood
with a high incidence of car theft. Nor do 1 lose "property" in the car simply by leaving it
momentarily open with the key in the ignition. Neither circumstance in itself indicates that it
has become physically unrealistic to exercise long-term control over the access of strangers to
the benefits of the resource. (I normally leave the car locked, with the brake on, and perhaps
even with the added security of some anti-theft device.) The test of physical excludability is
nevertheless one of degree. If I lived in a neighbourhood in which, despite all my efforts, the
taking away of cars was not a mere statistical possibility but a virtual inevitability (i.e., to park
the car is almost certainly to lose it), the claim to have "property" in a car would soon cease to
be meaningful. Physical and moral non-excludability interact, and in such circumstances car
"theft" would cease to attract moral censure. The practice of taking cars would come to be
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C.L.J. Property in Thin Air 271
viewed as neither more nor less remarkable than the benevolent system of communally shared
bicycles which, according to legend, used to operate within some ancient university towns.
Under this scheme the bicycles (themselves of unknown provenance) were simply used at will
and then abandoned at the terminus of such use, ready for the next user. The users were thus
merely participants in a regime of shared resources in which private property no longer had
any meaning.
12
(1937) 58 C.L.R. 479, 509f. per Dixon J., 527per McTiernan J.
13
248 U.S. 215 (1918), 255f., 63 L.ed. 211, 227.
14
[1916] 2 K.B. 880 (Horridge J.), [1917] 2 K.B. 125 (C.A.).
15
[1916] 2 K.B. 880, 884.
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272 The Cambridge Law Journal [1991]
not have "the sole right to photograph anything inside the show",
and thus could not grant exclusive rights of photography "as
property".
Horridge J. would doubtless have shuddered at such language,
but we may say (and he almost did) that the spectacle of the dog
show failed the test of excludability. It is just unrealistic to
imagine that any one of us can definitively or effectively preclude
photographic invasion (if we could, from what distance? from
satellites in outer space . . . ? ) . We could all, like Greta Garbo,
creep around wrapped up in high-collared coats and low-brimmed
hats, but, as Horridge J. himself put it, "no one possesses a right
of preventing another person photographing him any more than
he has a right of preventing another person giving a description of
him, provided the description is not libellous or otherwise wrongful.
These rights," he said, "do not exist."
It is important to observe that the test of physical excludability
requires careful application. A physically non-excludable resource
presents itself only where it is not reasonably practicable to exclude
strangers from access to the benefits of that resource in its existing
form. Ultimately most resources can be physically insulated from
access by strangers—if only through vast expenditures of money
or imagination. It can be argued, for instance, that the plaintiff in
Victoria Park Racing (as, indeed, the owner of any other open-air
venue) might have protected the resource of the sporting spectacle
from unconsented visual intrusion through the simple, albeit costly,
expedient of constructing a roof or dome over the entire arena.16
The limiting factor is, however, that the very process of
insulating the resource from access may fundamentally alter the
nature of the resource itself. Overhead protection for Victoria
" One possible response to such a suggestion places emphasis on the test of reasonable practicability.
This test plays an important role, for instance, in the protection of trade secrets under the
Uniform Trade Secrets Act (ante, note 10). Whether the claimant of a trade secret has exercised
due diligence in preserving the secrecy of information may turn on the amount of time, expense,
effort and risk involved in keeping the relevant information secret (see R.A. Klitzke, "The
Uniform Trade Secrets Act" 64 Marquette L. Rev. 277, 279 (1980-81)). American courts have
tended to hold that excessive protective measures are not required in defence of a trade secret.
In E.I. duPont deNemours & Co., Inc. v. Christopher, 431 F.2d 1012 (1970), cert, denied 400
U.S. 1024, 27 L.Ed.2d 637 (1971), reh. denied 401 U.S. 976, 28 L.Ed.2d 250 (1971), it was
held that aerial photography of the plaintiffs partially built chemical plant had constituted an
improper means of discovering the plaintiffs trade secrets. Judge Goldberg ruled (431 F.2d
1012, 1016f.) that "[pjerhaps ordinary fences and roofs must be built to shut out incursive eyes,
but we need not require the discoverer of a trade secret to guard against the unanticipated, the
undetectable, or the unpreventable methods of espionage now available . . . To require DuPont
to put a roof over the unfinished plant to guard its secret would impose an enormous expense
to prevent nothing more than a school boy's trick. We introduce here no new or radical ethic
since our ethos has never given moral sanction to piracy . . . Reasonable precautions against
predatory eyes we may require, but an impenetrable fortress is an unreasonable requirement
. . . " (Significantly, the court did not hold that there had been any taking of "property" or that
"all information obtained through every optical extension is forbidden", but merely that the
improper means of discovery in itself generated a cause of action under Texas law.)
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C.L.J. Property in Thin Air 273
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274 The Cambridge Law Journal [1991]
1. Contractual protection
None of the foregoing should cause us much surprise. In the case,
for instance, of contractual protection of a resource, the benefit of
a contractual undertaking has long been termed a chose in action.
This curiously proprietary turn of phrase carries in itself a clue
to the ambivalence of the contractual relationship. The basic
proprietary feature of the chose in action is that it performs the
exclusory and regulatory functions which comprise the primary
hallmark of "property".21 If accompanied by a curial willingness
to grant specific performance, contract may even confer some form
of equitable title. At all events it can be said that contract provides
an extremely familiar means of controlling the access of strangers
to resources in scarce supply. To omit to ringfence a resource
appropriately by contract is simply to fail to propertise that resource
through one peculiarly effective means provided by law. To eschew,
where otherwise available,22 the contractual protection of a chose
in action is but one way to disclaim "property" in a contested
resource.
you, I deliberately put it out of my power to control the access of strangers, I have chosen
perhaps the oldest and simplest means of disclaiming "property" in a resource.
20
There is at this point a danger of circularity, i.e., that references to legal excludability may
simply derive tautologous legal consequences from a legal premise. The danger is avoided,
however, so long as it is appreciated that the real focus of questions of legal excludability is not
the inquiry whether a particular claim is legally protected but the rather different and more
refined inquiry whether a particular claimant is asserting "property" in the resource which is
the subject of dispute.
21
Thus, on one view, the law of contract "creates a property in expectations. One who breaches
deprives the promisee in a sense no less real than the thief (see D. Kennedy, "Form and
Substance in Private Law Adjudication" 89 Harv. L. Rev. 1685, 1714 (1975-76)).
22
The possibility of contractual protection is not, of course, always present. There are many
circumstances in which contractual protection of a particular resource is not feasible, precisely
because the world consists of a myriad of strangers with whom individual contractual relations
are simply not practicable. Obviously I cannot (and therefore need not) assert "property" in a
motor car by concluding millions of contracts with cohorts of strangers. Contract becomes a
meaningful protective device only in those situations where a resource-claimant enjoys a nexus
with a stranger which is sufficiently close (i) to present that stranger with an opportunity of
unconsented access to the resource, and (ii) to offer a practicable possibility of contractual
regulation of that stranger's access.
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C.L.J. Property in Thin Air 275
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276 The Cambridge Law Journal [1991]
27
[1917] 2 K.B. 125, 128.
28
305 U . S . I l l (1938); 83 L.ed. 73.
29
305 U.S. I l l , 122; 83 L.ed. 73, 80.
30
(1984) 156C.L.R. 41.
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C.L.J. Property in Thin Air 277
minority in the Court was prepared to find that there had been a
fiduciary relationship between the parties.
The instinctive question of the property lawyer is, of course,
whether the advantage which Blackman unfairly sought to utilise
was, in some relevant sense, the "property" of the plaintiff
company, USSC, and as such entrusted to Blackman. It may not
be insignificant that the two judges who constituted the minority
on the fiduciary point came close to reifying or "propertising" the
opportunity improperly seized upon by Blackman.31 In the view of
Mason J., there was a "strong case" for saying that Blackman's
company, HPI, was "a fiduciary in protecting and promoting
USSC's Australian product goodwill".32 USSC had effectively
constituted HPI "the custodian of its product goodwill".33 Mason
J. was even prepared "in a general way" to liken HPI's position as
custodian of USSC's product goodwill to that of "a bailee whose
duty it is to protect and preserve a chattel bailed to him". HPI's
responsibilities under the distributorship agreement were regarded
by Mason J. as having "armed HPI with a power and discretion to
affect USSC's product goodwill". HPI had acquired a "special
opportunity of acting to the detriment of USSC which was,
accordingly, vulnerable to abuse by HPI of its position".34
This language is not, of course, far distant from the language
of excludability, and Mason J.'s judgment can be seen as lending
implicit support to the idea of "property" in the resource of
local product goodwill. The distributorship agreement in Hospital
Products transmitted to Blackman a regulatory control over access
to the benefits of this resource—a "power and discretion" which
he was later to abuse by diverting these benefits dishonestly to
himself. Under the agreement Blackman and his company could
be seen as having acquired a "property" in the plaintiff's resource
and, given Mason J.'s fiduciary characterisation, should have
retained it effectively as a trustee for the plaintiff.35 On this view
product goodwill was propertisable precisely because access to its
benefits was clearly capable of differential allocation—as for
31
Deane J., for instance, seemed prepared to contemplate that a fiduciary relationship might be
generated in respect of a matter such as local product goodwill ((1984) 156 C.L.R. 41, 123),
although he preferred to respond to the plaintiff's claim with a much more extensive application
of the doctrine of constructive trusts ((1984) 156 C.L.R. 41, 124f.).
32
(1984) 156 C.L.R. 41, 100.
33
(1984) 156 C.L.R. 41, 101.
34
(1984) 156 C.L.R. 41, 101.
35
Such an approach had been anticipated in the statement of McLelland J. at first instance ([1982]
2 N.S.W.L.R. 766, 811B) that HPI was "for the duration of the distributorship entrusted by
USSC with the development and servicing of the market for USSC . . . products in Australia".
The New South Wales Court of Appeal, although it adverted briefly to the argument that
McLelland J. appeared to have regarded USSC's product goodwill "as a species of property",
took the matter no further ([1983] 2 N.S.W.L.R. 157,199A).
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278 The Cambridge Law Journal [1991]
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C.L.J. Property in Thin Air 279
41
(1984) 1S6C.L.R. 41,146f.
« See Rathwell v. Rathwell (1978) 83 D.L.R. (3d) 289, 306, where Dickson J. made his now
classic statement that "for the principle of unjust enrichment to succeed, the facts must display
an enrichment, a corresponding deprivation, and the absence of any juristic reason—such as a
contract or disposition of law—for the enrichment". See also Pettkus v. Becker (1981) 117
D.L.R. (3d) 257, 273f. per Dickson J; Sorochan v. Sorochan (1986) 16 D.L.R. (4th) 1, 5 per
Dickson C.J.C.
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280 The Cambridge Law Journal [1991]
43
For a commentary on the way in which much modern Australian commercial law has tended to
adopt "the moral ethos of the neighbourhood principle", see P.O. Finn, "Commerce, the
Common Law and Morality" (1989) 17 Melbourne U.L.R. 87,96ff.
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C.L.J. Property in Thin Air 281
" See John Locke, Two Treatises of Government, 2nd critical ed. by P. Laslett (Cambridge 1967),
The Second Treatise, s.27 (p. 306). There is a view that the Lockean proviso "enough and as
good" has been wholly misconstrued and was not originally intended to be restrictive of
appropriation. See J. Waldron, "Enough And As Good Left For Others" 29 Philosophical
Quarterly 319, 320 (1979). For a more general assault on the Lockean theory of appropriation,
see J.P. Day, "Locke on Property" 16 Philosophical Quarterly 207 (1966).
45
See Lynch v. Household Finance Corp., 405 U.S. 538, 552, 31 L.Ed.2d 424,434f. (1972), where
Justice Stewart observed that "the dichotomy between personal liberties and property rights is
a false one".
* When asked to discern "one central indisputable principle of what may be called substantive
natural law—Natural Law with capital letters", the late Lon Fuller found it, significantly, in
"the injunction: Open up, maintain, and preserve the integrity of the channels of communication
by which men convey to one another what they perceive, feel, and desire". It was Fuller's firm
belief that "if we were forced to select the principle that supports and infuses all human
aspiration we would find it in the objective of maintaining communication with our fellows . . .
Communication is something more than a means of staying alive. It is a way of being alive."
See L.L. Fuller, The Morality of Law (New Haven and London 1964), p. 185f.
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282 The Cambridge Law Journal [1991]
from opening their eyes and seeing something and then describing
what they see". 47 No law could prevent "a man from describing
anything which he sees anywhere", and in circumstances such as
those of Victoria Park Racing the defendant "does no wrong to
the plaintiff by describing to other persons, to as wide an audience
as he can obtain, what takes place on the plaintiffs ground".48
For this purpose it mattered not "whether the description is
communicated to many persons by broadcasting or by a newspaper
report, or to only a few persons in conversation or correspon-
dence". 49
The vice to which the High Court majority took such objection
was precisely the constricting effect which the plaintiff's claims
would have had upon the usual channels of communication by
which everyday information is socially distributed. The majority
refused to inhibit such communication by court order. Said Latham
C.J., "if a person chooses to organise an entertainment or to do
anything else which other persons are able to see", there is no
right to obtain a court order "that they shall not describe to
anybody what they see".50 He might have added parenthetically
that it is at this point that claims of "property" defer to a more
fundamental right—that of freedom of speech.
In Victoria Park Racing the majority's refusal to propertise
purely communicative language or symbols was expressed even
more clearly in the Court's forthright rejection of the plaintiff's
copyright claim. The plaintiff had, of course, alleged that the
defendants had breached copyright by broadcasting the numbers
of the top-placed horses, which numbers were either contained in
the race book for the relevant meeting or visible to the commentator
outside the ground on the face of display boards positioned within
the ground. The Court's response was entirely consistent with
the generally recognised principle that copyright protects not
information per se but rather the form of expression in which such
information is contained.51 Latham C.J. rejected, for instance, any
suggestion that the identifying numbers of the first three horses in
a particular race (e.g. " 3 , 12, 4") could constitute a literary work
deserving of copyright protection. Given that copyright protection
usually subsists for fifty years after the death of the author, the
47
(1937)58C.L.R. 479, 4%.
48
(1937) 58 C.L.R. 479, 494.
49
(1937) 58 C.L.R. 479, 496. According to McTiernan J., the plaintiff in Victoria Park Racing
had not averred wrongfulness by the defendants "any more than if the plaintiff were to allege
that the defendants saw the spectacle and described it to a gathering of bystanders" ((1937) 58
C.L.R. 479, 524).
50
(1937) 58 C.L.R. 479, 496.
51
(1937) 58 C.L.R. 479, 511 per Dixon J.
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C.L.J. Property in Thin Air 283
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284 The Cambridge Law Journal [1991]
1. Linguistic exclusion
A further exploration of the phenomenon of morally non-excluda-
ble resources occurred recently in Davis v. Commonwealth of
Australia.55 Here a public authority, which had been incorporated
in order to plan and implement the Australian bicentennial celebra-
tions in 1988, had been intended to enjoy exclusive rights to exploit
certain words and expressions 'supposedly connected with these
celebrations. Commonwealth legislation purported to make it a
criminal offence for any person in Australia to use, without the
authority's consent, any one or more of a number of prescribed
expressions in connection with a business or trade or the supply
or use of goods. The prescribed expressions included any reference
to "Bicentenary", "Bicentennial", "200 years", "Australia", "Syd-
ney", "Melbourne", "Founding", "First Settlement", "Exposi-
tion", "Expo", "World Fair", or "World's Fair", where such
phrases were used in conjunction with "1788", "1988" or "88".56
The list of prescribed expressions was open to discretionary
extension through subordinate legislation, and statutory regula-
tions had already added the phrases, "Australian Bicentenary",
"The Australian Achievement", "Australia 200", "Sail", "Sail
Australia", "Opsail", "Operation Sail", "Tall Ships", and "Tall
Ships Australia". All articles or goods involved in the commission
of any statutory offence under the Commonwealth legislation were,
by a further provision, liable to forfeiture to the Commonwealth.
The plaintiffs were Aboriginals who had been refused permis-
sion to manufacture and sell T-shirts bearing certain legends. They
accordingly sought a declaration that the legislative measures were
beyond the power of the Commonwealth Parliament. In Davis the
controversial legend was one which, in explicit conjunction with
the dates 1788 and 1988, spoke uncompromisingly of "200 YEARS
OF SUPPRESSION AND DEPRESSION". The plaintiffs objected
that the Commonwealth was not competent to confer on anyone a
monopolistic power throughout Australia over the use of the
English language.
The High Court of Australia ruled in favour of the plaintiffs
on the narrow issue whether the Commonwealth had constitutional
power to criminalise the use of the phrase "200 YEARS". However,
several members of the Court took the opportunity to condemn in
much broader terms the "attempt to establish a Commonwealth
licensing system for common words in the English language".57
55
(1988) 166 C.L.R. 79.
56
Australian Bicentennial Authority Act 1980 (Cth), s.22(l), (6).
57
The phrase was that used in argument by K. Mason O.C. ((1988) 166 C.L.R. 79, 83).
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C.L.J. Property in Thin Air 285
58
(1988) 166 C.L.R. 79, 99. As the joint judgment pointed out, even wholly unconnected and
innocuous commercial ventures, such as advertising of the "Family Law Conference Melbourne
1988", apparently fell foul of the legislation.
59
(1988) 166 C.L.R. 79, 100.
60
(1988) 166 C.L.R. 79, 99f.
61
(1988) 166 C.L.R. 79, 115.
62
(1988) 166 C.L.R. 79, 116.
63
(1988) 166 C.L.R. 79, 116.
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286 The Cambridge Law Journal [1991]
2. Territorial exclusion
It would be a mistake to suppose that the notion of moral non-
excludability is peculiarly or predominantly relevant to resources
which are elusive or incorporeal in character. It is clear that moral
limits are sometimes placed on the "property" which may be
claimed in resources much more tangible than mere ideas or
language. For instance, the moral limits of "property" can affect
even land, which by tradition constitutes the most readily excluda-
ble resource known to man.65
The conventional legal position is of course that, absent some
overriding power of entry conferred by common law or statute,
the private owner may arbitrarily exclude any stranger from
physical entry upon his land.66 It is said to be part of the prerogative
of "property" that the owner has an absolute right to determine
64
Whitney v. California, 274 U.S. 357, 375, 71 L.ed. 1095, 1105 (1927). Justice Brandeis pointed
out that the founding fathers of American independence had plainly believed that such freedoms
are "means indispensable to the discovery and spread of political truth; that without free speech
and assembly discussion would be futile; that with them, discussion affords ordinarily adequate
protection against the dissemination of noxious doctrine; that the greatest menace to freedom
is an inert people; that public discussion is a political duty". Justice Brandeis went on (at 375f.,
1106) to say that, precisely because they believed in "the power of reason as applied through
public discussion", those who had won independence had "eschewed silence coerced by law—
the argument of force in its worst form".
65
Only rarely can land be regarded as physically non-excludable. Much of the law of adverse
possession of realty rests on the contrary assumption. It is, however, worth observing that there
may be extreme circumstances in which the sheer size of a particular land holding (and its
consequent indefensibility) may begin to impact upon the degree to which that land can be
"propertised". See, for instance, the extremely interesting suggestion of Deane J. in Hackshaw
v. Shaw (1984) 155 C.L.R. 614, 659, that conventional notions of trespass may not be strictly
applicable to isolated stations situated within the vast expanses of the Australian outback.
66
"No man can set his foot upon my ground without my licence" (Entick v. Carrington (1765) 19
Howell's State Trials 1029, 1066 per Lord Camden C.J. See generally Kevin Gray, Elements of
Land Law (London 1987), p. 538.) See also Forbes v. New South Wales Trotting Club (1979)
143 C.L.R. 242, 249, 259 per Barwick C.J., 281 per Aickin J.; Comitt pour la Ripublique du
Canada—Committee for the Commonwealth of Canada v. The Queen in Right of Canada (1987)
36 D.L.R. (4th) 501, 508 per Pratte J. (dissenting); Russo v. Ontario Jockey Club (1988) 46
D.L.R. (4th) 359, 361.
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C.L.J. Property in Thin Air 287
who may enter or remain on his land. In the orthodox view the
landowner is subject to no doctrine of reasonableness in the grant
of selective access.67 Nor is there any legal necessity that in the
exercise of his discretion he should comply with rules of natural
justice.68 The private owner's paramount right emerged in perhaps
its most extreme historical form in Wood v. Leadbitter.69 Here
Alderson B. held that a contractual licence conferred on a stranger
could be effectively revoked by the landowner at any time,
notwithstanding that the revocation constituted a breach of
contract.70 Such revocation of course gave the licensee a right to
sue for contractual damages, but it was accepted as clear law in
Wood v. Leadbitter that breach of a contractual licence could not
give rise to any further liability (whether in tort or otherwise) if,
following the revocation, the licensee were forcibly ejected or
barred from the land. The landowner had quite simply an unchallen-
geable discretion to withhold or withdraw permission to enter.
Nowadays, however, courts in a number of jurisdictions are
slowly beginning to recognise that the scope of the owner's
"property" even in such resources as land is inherently curtailed
by limitations of a broadly "moral" character. The point arose
dramatically, for example, in the Australian High Court's consider-
ation of Gerhardy v. Brown.11 This case concerned state land rights
legislation which, on behalf of the Pitjantjatjara people of South
Australia, had vested title to an extensive tract of land in a
statutorily created non-government body corporate (Anangu
Pitjantjatjaraku).72 The land affected by the legislation covered
over 100,000 square kilometres, comprising altogether more than
ten per cent, of the total land area of South Australia. The object
of the legislation, as Brennan J. recognised in the High Court, was
to guarantee the collective ability of the Pitjantjatjara people to
"'take up' or 'rebuild' their traditional relationship with their
country".73 The statutory intention was to "restore to the
Pitjantjatjaras the 'hearth, home, the source and locus of life, and
67
See e.g. Russo v. Ontario Jockey Club (1988) 46 D.L.R. (4th) 359, 364; Austin v. Rescon
Construction (1984) Ltd. (1989) 57 D.L.R. (4th) 591, 593.
68
Heatley v. Tasmanian Racing and Gaming Commission (1977) 14 A . L . R . 519, 538; Russo v.
Ontario Jockey Club (1988) 46 D.L.R. (4th) 359, 362.
69
(1845) 13 M . & W. 838, 8 5 5 , 1 5 3 E . R . 3 5 1 , 359.
70
For acceptance of the Wood v. Leadbitter doctrine in the United States, see Minnesota Valley
Gun Club v. Northline Corp. 290 N.W. 222, 224 (1940); Nemrner Furniture Co. v. Select
Furniture Co., 208 N.Y.S.2d 51, 56 (1960); Feldt v. Marriott Corp, 322 A.2d 913, 916 (1974);
Van Camp v. Menominee Enterprises, Inc., 228 N.W.2d 664,670 (1975); Union Travel Associates,
Inc. v. International Associates Inc., 401 A.2d 105, 107f. (1979); Bickett v. Buffalo Bills, Inc.,
472 N.Y.S.2d 245, 247 (1983). See generally J.W. Bruce and J.W. Ely, The Law of Easements
and Licences in Land (Boston 1988), §10.06[l].
71
(1985) 159 C.L.R. 70.
72
Pitjantjatjara Land Rights Act 1981, s.15.
73
(1985) 159 C.L.R. 70, 117.
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288 The Cambridge Law Journal [1991]
74
(1985) 159 C.L.R. 70, 136.
75
Pitjantjatjara Land Rights Act 1981, s.18.
76
Pitjantjatjara Land Rights Act 1981, S.19(l).
77
See Racial Discrimination Act 1975 (Cth), ss.9, 10.
78
See International Convention on the Elimination of All Forms of Racial Discrimination,
Art.5(d)(ii).
79
(1985) 159 C.L.R. 70, 104 per Mason J., HOf. per Wilson J., 127f., 132 per Brennan J.,145ff.
per Deane J.
80
Racial Discrimination Act 1975 (Cth), s. 8(1); International Convention on the Elimination of
All Forms of Racial Discrimination, Art. 1(4).
81
It is significant that foremost amongst these interests was the need to preserve a number of
sacred sites inviolate from visual intrusion by unauthorised persons. Brennan J. recognised, for
instance, that the apparent impairment of individual rights imposed by the legislation could be
justified by the "need to retain close control on entry at times of Aboriginal ceremonies" ((1985)
159 C.L.R. 70, 134). For reference to the importance in aboriginal cultures of preserving the
integrity of sacred or ceremonial locations—particularly from the eyes of the uninitiated, see
R.M. Berndt and C.H. Berndt, The World of the First Australians, 5th ed. (Canberra 1988),
p. 344; R.M. Berndt, "Traditional Concepts of Aboriginal Land" in R.M. Berndt (ed.),
Aboriginal Sites, Rights and Resource Development (Perth 1982), p. 7; D. Bieraoff, "Safe and
Dangerous Places" in L.R. Hiatt (ed.), Australian Aboriginal Concepts (Canberra 1978), p. 93ff.
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C.L.J. Property in Thin Air 289
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290 The Cambridge Law Journal [1991]
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C.L.J. Property in Thin Air 291
L.Ed.2d 196 (1976)). However, a number of courts in the United States have now upheld the
right of reasonable access to privately owned premises (such as shopping centres) for purposes
of peaceful political communication and solicitation. See Robins v. Pruneyard Shopping Center,
592 P.2d 341 (1979), affd. sub. nom. Pruneyard Shopping Center v. Robins, 447 U.S. 74, 64
L.Ed.2d 741 (1980); Batchelder v. Allied Stores International, Inc., 445 N.E.2d 590 (1983);
Lloyd Corpn. Ltd. v. Whiffen, 750 P.2d 1157 (1988).
93
445 A . 2 d 370 (1982).
94
The premises in Uston comprised a casino. Compare Russo v. Ontario Jockey Club (1988) 46
D.L.R. (4th) 359.
95
445 A.2d 370, 375 (1982). See also Marsh v. Alabama, 326 U.S. 501, 90 L.ed. 265 (1946). Here
the US Supreme Court ruled that the residents of a municipality were not to be denied freedom
of press and religion simply because a private company held legal title t o the entire town. In
the words of Justice Black, "[t]he more an owner, for his advantage, opens u p his property for
use by the public in general, the more do his rights become circumscribed by the statutory and
constitutional rights of those who use it" (at 506, 268). Accordingly a Jehovah's Witness who
distributed religious literature on the "public" sidewalk against the private owner's wishes could
not be convicted of a criminal trespass. See also Mosher v. Cook United, Inc., 405 N.E.2d 720
(1980), 722 per Hofstetter J. (dissenting).
96
Exactly the same issue may arise in relation t o premises owned by the government, thereby
blurring yet further the distinction between public and private. For example, in Comiti pour la
Ripublique du Canada—Committee for the Commonwealth of Canada v. The Queen in Right of
Canada (1986) 25 D . L . R . (4th) 460, 466, the plaintiffs had been prevented from disseminating
their political ideas by carrying placards and distributing pamphlets in the public terminal
concourse of an airport. They successfully sued for a declaration that their fundamental freedoms
under the Canadian Charter of Rights and Freedoms had been infringed. At first instance Dub6
J. thought it "plain and obvious" that public terminal concourses were "indeed 'modern
crossroads' for the intercourse of the travelling public", and that freedom of expression and
communication ought not in principle t o be abridged in such public forums. T h e Federal Court
of Appeal upheld the substance of Dub£ J.'s ruling ((1987) 36 D . L . R . (4th) 501), albeit in less
extensive and rhetorical terms. Hugessen J. emphasised ((1987) 36 D . L . R . (4th) 501, 509f.)
that the government owns its property "not for its own benefit but for that of the citizen" and
that the government therefore has an obligation to "devote certain property for certain purposes
and to manage 'its' property for the public good".
97
423 A.2d 615 (1980).
98
See also Commonwealth v. Tate, 432 A.2d 1382 (1981).
99
423 A . 2 d 615, 629.
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292 The Cambridge Law Journal [1991]
reasonable rules to control the mode, opportunity and site for the
individual exercise of expressional rights upon his property".1 Here,
however, the university's rules had been "devoid of reasonable
standards" designed to protect both the legitimate interests of the
university as an institution of higher education and the individual
exercise of expressional freedom. In the total absence of any such
"reasonable regulatory scheme", the university was at fault for
having ejected a defendant whose actions had themselves been
"noninjurious and reasonable".2
1
423 A.2d 615, 630.
2
423 A.2d 615, 632f. That the availability of private access may be coloured by public purpose is
also evident, for instance, in more recent suggestions that a police officer, if acting "out of
caprice or malice", may not be able effectively to terminate the licence which a member of the
public enjoys to enter a police station for the purpose of lawful enquiry or business. As Nathan
J. observed in Bethune v. Heffernan [1986] V.R. 417, 423f., "public policy requires unfettered
access to public places especially police stations and the authority of police persons to exclude
must be exercised with that policy in mind". See also Comiti pour la Ripublique du Canada—
Committee for the Commonwealth of Canada v. The Queen in Right of Canada (1987) 36 D.L.R.
(4th) 501, 510per Hugessen J.
3
[1965] A.C. 1175, 1247G-1248A.
4
This proposition has been adopted and applied in the High Court of Australia (R. v. Toohey, ex
pane Meneling Station Pty. Ltd. (1982) 158 C.L.R. 327, 342f. per Mason J.) See also Sonenco
(No 77) Pty. Ltd. v. Silvia (1989) 89 A.L.R. 437, 457 per Ryan and Gummow JJ.
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C.L.J. Property in Thin Air 293
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294 The Cambridge Law Journal [1991]
7
See Two Treatises of Government, 2nd critical ed. by P. Laslett (Cambridge 1967), The Second
Treatise, s.28 (p. 306).
8
"Property—According to Locke" 41 Yale L.J. 864, 871 (1932).
' Blackstone himself came close (but was still not quite on target) when he described the "right of
property" as "that sole or despotic dominion which one man claims and exercises over the
external things of the world, in total exclusion of the right of any other individual in the
universe" (Bl. Comm., vol. II, p. 2). In similar vein the Supreme Court of the United States
has observed that the right to exclude is "universally held to be a fundamental element of the
property right" (Kaiser Aetna v. United States, 444 U.S. 164, 179f., 62 L.Ed.2d 332, 346 (1979)
per Rehnquist J.). See also International News Service v. Associated Press, 248 U.S. 215 (1918),
250,63 L.ed. 211, 225 per BrandeisJ.
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C.L.J. Property in Thin Air 295
V. CONCLUSIONS
10
Thus, according to Felix Cohen, "[pjrivate property is a relationship among human beings such
that the so-called owner can exclude others from certain activities or permit others to engage in
those activities and in either case secure the assistance of the law in carrying out his decision".
Cohen also defined private property in terms of "exclusions which individuals can impose or
withdraw with state backing against the rest of society". See F.S. Cohen, "Dialogue on Private
Property" 9 Rutgers L. Rev. 357, 373, 378 (1954-55).
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296 The Cambridge Law Journal [1991]
" The relativity of "property" is not merely a matter of relativity to time and place. The range of
resources in respect of which "property" may be asserted is variable with the advance of modern
technology. It can be questioned, for instance, whether the technology of weather modification
has the effect of propertising clouds and rainfall. See "Who Owns the Clouds?" 1 Stanford L.
Rev. 43 (1948); W.H. Fischer, "Weather Modification and the Right of Capture" 8 Natural
Resources Lawyer 639 (1975).
12
Such is the case, for example, with certain types of intellectual property (e.g. patents and
copyrights), which in most jurisdictions are subject to some form of sunset clause (see J.
Hughes, "The Philosophy of Intellectual Property" 77 Georgetown L.J. 287, 323ff. (1988-89).
However, the mere fact that "property" in a resource may be relative over time is not inconsistent
with the proposition that "property" implies some element of permanence in the sense of
irrevocability. X cannot claim to have "property" in a particular resource if his rights are subject
to immediate, arbitrary and unconsented termination by Y (see e.g. R v. Toohey, ex pane
Meneling Station Pty. Ltd. (1982) 158 C.L.R. 327). On the contrary, in such circumstances, it is
Y who has "property" in the resource by virtue of his ability to control the access of X to the
relevant benefits.
13
The propositions advanced in this paragraph are, of course, most classically demonstrated in
the law of adverse possession of land (see Gray, op. cit., pp. 741f., 751). At common law,
partly in view of some perception that ultimately land is a morally non-excludable resource, it
is always said that title to land is relative (see Asher v. Whitlock (1865) L.R. 1 Q.B. 1, 5).
Suppose that A, who holds the documentary (or "paper") title to land in fee simple, is wrongfully
dispossessed by B. After four years of adverse possession B is himself dispossessed by C. Failing
a successful action for recovery, A retains "property" in the land—but only until the expiration
of 12 years from the date of A's dispossession by B (Limitation Act 1980, s. 15(1)). At this
point A's paper title is statutorily "extinguished" (Limitation Act 1980, s. 17), and C has a
"property" in the land which is opposable against A but not, of course, as against B, who still
has four more years before his right of recovery from C becomes statute-barred. Even during
the relevant adverse possession period each squatter has a "property" in the land in the form of
a tortious fee simple (see Wheeler v. Baldwin (1934) 52 C.L.R. 609, 632 per Dixon C.J.;
Newington v. Windeyer (1985) 3 N.S.W.L.R. 555, 563E). It thus becomes entirely possible that
a number of persons may accurately assert independent claims to have "property" simultaneously
in the same resource.
14
Along this continuum there is often, for instance, a subtle gradation between "absolute property"
and "qualified property" in a disputed resource. This distinction between "absolute" and
"qualified" property has long been recognised at common law in relation to such resources as
wild animals (see Bl. Comm., vol. II, pp. 391, 395 (ante, note 26)). Even the landowner's
"qualified property" in wild animals persists only so long as he "can keep them in sight" and
has "power to pursue them" (see Gray, op. cit., p. 34). See also Pierson v. Post, 3 Cai. R. 175
(N.Y. Sup. Ct. 1805), cited by CM. Rose, "Possession as the Origin of Property" 52 U. Chi.
L. Rev. 73, 76ff. (1985-86). The notion of "qualified property" may have a contemporary—
and wholly unforeseen—application to that modern equivalent of the fugitive swarm of bees,
the disputed commercial or corporate opportunity.
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C.L.J. Property in Thin Air 297
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298 The Cambridge Law Journal [1991]
21
That rights of consumption can, in rare instances, be the subject of "property" appears clearly
from the fact that even today the Crown retains a prerogative right in respect of royal fish
(whale and sturgeon) and wild unmarked white swans swimming in open and common rivers
(see Case of Swans (1592) 7 Co. Rep. 15b, 16a, 77 E.R. 435, 436). Rights of consumption are
confined to the Crown and to those to whom the Crown has granted permission, whether by
way of franchise, swan mark or otherwise (see Halsbury's Laws of England, 4th ed., vol. 8, pp.
904f. (paras. 1519f.)).
22
See e.g. Moore v. Regents of University of California, 249 Cal. Rptr. 494, 504ff. (1988). Here a
medical research team had removed the plaintiff's diseased spleen and had, without his knowledge
or consent, developed from it a cell-line which was capable of generating pharmaceutical products
of enormous therapeutic and commercial value. (The market potential of the products derived
from the disputed cell-line was estimated to amount to U.S. $3 billion by 1990.) A Californian
Court of Appeal held that the plaintiff had a sufficient property right in "his" body tissue to
enable him to maintain a successful action in conversion. See also "Toward a Right of
Commerciality: Recognizing Property Rights in the Commercial Value of Human Tissue" 34
U.C.L.A. L. Rev. 207 (1986-87); J. Lavoie, "Ownership of Human Tissue" 75 Virginia L.
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C.L.J. Property in Thin Air 299
1. "Property" in labour-power
The scope of "property" is potentially far-reaching. There is, for
example, no monstrous implausibility in the idea that a person may
have a "property" in the resource of his labour-power. Indeed the
recognition of "excludability" as a key component of "property"
makes heightened sense of much of the law relating to employment.
To the extent that he propertises this resource through the contract
Rev. 1363 (1989); N.E. Field, "Evolving Conceptualizations of Property: A Proposal to De-
Commercialize the Value of Fetal Tissue" 99 Yale L.J. 169 (1989-90).
23
Jeremy Bentham recognised this long ago. Bentham pointed out that "in common speech in
the phrase 'the object of a man's property', the words 'the object of are commonly left out;
and by an ellipsis, which, violent as it is, is now become more familiar than the phrase at length,
they have made that part of it which consists of the words 'a man's property' perform the office
of the whole". See An Introduction to the Principles of Morals and Legislation, ed. by W.
Harrison (Oxford 1948), p. 337, note 1 (Chapter XVI, section 26).
24
The phrase was originally used by Pollock and Maitland, The History of English Law, 2nd ed.
(London 1968), vol. 2, p. 125. See also F.W. Maitland. Collected Papers, ed. by H.A.L. Fisher
(Cambridge, 1911), vol. Ill, p. 343.
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300 The Cambridge Law Journal [1991]
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C.L.J. Property in Thin Air 301
Ruckelshaus v. Monsanto Co., 467 U . S . 9 8 6 , 1004, 81 L.Ed.2d 815, 8 3 3 , n.9 (1984)). S e e S.J.
Soltysinski, "Are Trade Secrets Property?" (1986) 17 I.I.C. 331, 335ff.
30
(1990) 9 5 A . L . R . 8 7 , 1 3 5 . S e e also S. Ricketson, "Confidential Information—A N e w Proprietary
Interest?" (1977-78) 11 Melbourne U . L . R . 223, 289.
31
S e e e.g. Moorgate Tobacco Co. Ltd. v. Philip Morris Ltd. [ N o . 2) (1984) 156 C . L . R . 4 1 4 , 4 3 8
perDeane J.
32
(1990) 95 A . L . R . 8 7 , 136. This approach is consistent with the view, frequently expressed long
ago in t h e High Court of Australia by Isaacs J., that "equitable property is commensurate with
equitable relief (Hoystead v. Federal Commissioner of Taxation (1920) 27 C.L.R. 400, 423).
See also Glenn v. Federal Commissioner of Land Tax (1915) 20 C.L.R. 490, 503; Trustees,
Executors and Agency Co. Ltd. v. Acting Federal Commissioner of Taxation (1917) 23 C.L.R.
576,583.
33
(1990) 9 5 A . L . R . 8 7 , 136. S e e Constitution of the C o m m o n w e a l t h of Australia, s. 51(xxxi).
C o m p a r e Ruckelshaus v. Monsanto Co., 467 U . S . 986, 81 L . E d . 2 d 815 (1984).
34
The only point at which attribution of property status to X's rights in a resource becomes legally
significant arises where the operation of some legal rule is restrictively limited by reference to
"property". Whether X's rights constitute "property" may help to determine, for example,
whether a given resource is properly the subject of security, attachment or taxation, or can be
the res of a trust, or can be misappropriated or pass to a trustee in bankruptcy or be divided as
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302 The Cambridge Law Journal [1991]
a matrimonial asset in the event of divorce. In resolving such questions it profits little to ask
whether X's rights are the sort of rights which characteristically have the legal consequence in
issue, but it is enormously beneficial to direct attention to the criterion of excludability. Nowhere
is the utility of this perspective more readily demonstrated than in relation to the protection of
trade secrets. Increasingly the courts declare that in this area "the starting point . . . is not
whether there was a confidential relationship, but whether, in fact, there was a trade secret to
be misappropriated" (see Van Products Co. v. General Welding & Fabricating Co., 213 A.2d
769, 780 (1965)).
35
(1848) 2 Ph. 774, 41 E.R. 1143.
36
See A.W.B. Simpson, A History of the Land Law, 2nd ed. (Oxford 1986), p. 74ff.
37
See Kevin Gray, Elements of Land Law (London 1987), p. 550ff.
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C.L.J. Property in Thin Air 303
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304 The Cambridge Law Journal [1991]
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C.L.J. Property in Thin Air 305
45
See C.B. Macpherson, "Capitalism and the Changing Concept of Property", in E. Kamenka
and R.S. Neale (eds.), Feudalism, Capitalism and Beyond (Canberra 1975), p. 116ff.
46
See J. Bentham, Anarchical Fallacies; being an Examination of the Declarations of Rights issued
during the French Revolution, in The Collected Works of Jeremy Bentham, ed. by J. Bowring
(Edinburgh 1843), vol. II, p. 501.
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306 The Cambridge Law Journal [1991]
47
In searching out the roots of property jurisprudence there is, of course, a venerable precedent
for recourse to the opening chapters of the Book of Genesis. Compare Blackstone's location of
the origins of property in the creation story (Bl. Comm., vol. II, p. 2). See also L.M.G. Clark,
"Women and John Locke; or, Who Owns the Apples in the Garden of Eden?" (1977) 7
Canadian Journal of Philosophy 699.
48
Genesis, iii: 6.
49
Regardless of conceptual content, reference to "property" confers of course a certain mechanical
utility in facilitating the operation of those legal rules which are premised on the presence or
availability of "property" (ante, note 34). The usefulness of the "property" reference—more or
less as a form of legal shorthand—does not, however, promote any clearer understanding of
the concept itself.
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C.L.J. Property in Thin Air 307
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