Should the UK Move to a Fair-Use Copyright Exception?

Author(s):  
Antony W. Dnes
Keyword(s):  
Fair Use ◽  
2021 ◽  
Author(s):  
Tatsuhiro Ueno

Abstract After the long discussions in Japan over the introduction of a general clause on copyright exceptions since 2007, the ‘flexible’ provisions on copyright exceptions (Arts. 30-4, 47-4 and 47-5) were finally introduced into the Japanese Copyright Act in 2018 and came into effect in 2019. They differ widely from the US fair use clause and the UK fair dealing provisions. This article focuses on Art. 30-4, which comprehensively allows an exploitation of a work that is aimed at neither enjoying nor causing another person to enjoy the work. In particular, any exploitation for text-and-data mining (TDM) is widely permitted by any means under Art. 30-4, including for commercial purposes. The underlying theory behind this relates to the nature of copyright, or the justification for copyright protection that an exploitation not for ‘enjoyment’ purposes is beyond the inherent scope of copyright because it does not prejudice the opportunities of the copyright holders to receive compensation. While this might sound unusual, it is interesting to note that some similar theories can be found in Europe, some of which try to widely exclude TDM activities from the scope of copyright based on the idea of ‘a use as a work’. Considering such common characteristics of the theories regarding copyright and ‘enjoyment’ of a work, Art. 30-4 of the Japanese Copyright Act and the theoretical justification for it might have implications for other jurisdictions regarding copyright exceptions or the substantive scope of copyright.


2018 ◽  
Author(s):  
Ariel Katz

According to conventional wisdom, a fundamental difference exists between the American fair use doctrine and the Canadian (or Commonwealth) fair dealing doctrine: while American fair use can apply potentially to any purpose, Canadian fair dealing could only apply to those purposes enumerated in the statute. Accordingly, fair dealing cannot apply to dealings for other purposes even if they would otherwise be fair. This conventional wisdom is false. When the UK Parliament codified the doctrine of fair use a century ago and enacted the fair dealing provision, it had no intention to restrict or limit its application, adaptation and adjustment by the courts. The UK Parliament (and that of Canada ten years later) sought to codify a principle, an open, flexible, and general standard, not precise rules, and had no intention to prevent its application to purposes beyond those specifically mentioned in the statute. Unfortunately, the English courts, in a series of early post-codification failed to recognize this point have sentenced fair dealing to a hundred years of stagnation. Fortunately, at the turn of the twenty-first century the Supreme Court of Canada declined to follow that restrictive path. The Canadian Parliament's decision to explicitly recognize additional purposes in 2012 and add other specific exceptions moves Canadian law in the same direction. The Court's rulings and Parliament's action have entrenched fair dealing and provided a necessary correction that allows fair dealing to resume the role it was always supposed to play. However, if conventional wisdom is correct, some uses, present or future, are still categorically excluded. This is not a recipe for progress. In a legal environment that outlaws novel ways of using, reusing and disseminating works outright, fewer new forms of expression will emerge. Fortunately, there is no serious indication that this is what Parliament intended when it legislated fair dealing, and there are very good reasons to challenge the view that it did have such intentions. This chapter, adapted from an earlier piece written in 2013, explains why and includes additional evidence to that discussed in the earlier piece. It debunks the Fair Use vs. Fair Dealing Myth and shows that an open, flexible, and general fair dealing is already here. It always has been.


2000 ◽  
Vol 111 (1) ◽  
pp. 78-90 ◽  
Author(s):  
C. R. M. Hay ◽  
T. P. Baglin ◽  
P. W. Collins ◽  
F. G. H. Hill ◽  
D. M. Keeling

2006 ◽  
Vol 175 (4S) ◽  
pp. 476-477
Author(s):  
Freddie C. Hamdy ◽  
Joanne Howson ◽  
Athene Lane ◽  
Jenny L. Donovan ◽  
David E. Neal

2006 ◽  
Vol 175 (4S) ◽  
pp. 210-210
Author(s):  
◽  
Freddie C. Hamdy ◽  
Athene Lane ◽  
David E. Neal ◽  
Malcolm Mason ◽  
...  
Keyword(s):  

2003 ◽  
Vol 2 (1) ◽  
pp. 131
Author(s):  
A ZAPHIRIOU ◽  
S ROBB ◽  
G MENDEZ ◽  
T MURRAYTHOMAS ◽  
S HARDMAN ◽  
...  

2020 ◽  
Author(s):  
Tanya Aplin ◽  
Lionel Bently
Keyword(s):  

Crisis ◽  
2014 ◽  
Vol 35 (4) ◽  
pp. 268-272
Author(s):  
Sean Cross ◽  
Dinesh Bhugra ◽  
Paul I. Dargan ◽  
David M. Wood ◽  
Shaun L. Greene ◽  
...  

Background: Self-poisoning (overdose) is the commonest form of self-harm cases presenting to acute secondary care services in the UK, where there has been limited investigation of self-harm in black and minority ethnic communities. London has the UK’s most ethnically diverse areas but presents challenges in resident-based data collection due to the large number of hospitals. Aims: To investigate the rates and characteristics of self-poisoning presentations in two central London boroughs. Method: All incident cases of self-poisoning presentations of residents of Lambeth and Southwark were identified over a 12-month period through comprehensive acute and mental health trust data collection systems at multiple hospitals. Analysis was done using STATA 12.1. Results: A rate of 121.4/100,000 was recorded across a population of more than half a million residents. Women exceeded men in all measured ethnic groups. Black women presented 1.5 times more than white women. Gender ratios within ethnicities were marked. Among those aged younger than 24 years, black women were almost 7 times more likely to present than black men were. Conclusion: Self-poisoning is the commonest form of self-harm presentation to UK hospitals but population-based rates are rare. These results have implications for formulating and managing risk in clinical services for both minority ethnic women and men.


2016 ◽  
Vol 37 (2) ◽  
pp. 105-111 ◽  
Author(s):  
Adrian Furnham ◽  
Helen Cheng

Abstract. This study used a longitudinal data set of 5,672 adults followed for 50 years to determine the factors that influence adult trait Openness-to-Experience. In a large, nationally representative sample in the UK (the National Child Development Study), data were collected at birth, in childhood (age 11), adolescence (age 16), and adulthood (ages 33, 42, and 50) to examine the effects of family social background, childhood intelligence, school motivation during adolescence, education, and occupation on the personality trait Openness assessed at age 50 years. Structural equation modeling showed that parental social status, childhood intelligence, school motivation, education, and occupation all had modest, but direct, effects on trait Openness, among which childhood intelligence was the strongest predictor. Gender was not significantly associated with trait Openness. Limitations and implications of the study are discussed.


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