Vietnam Assn, Court of District de
Vietnam Assn, Court of District de
Vietnam Assn, Court of District de
1
SHAMROCK CORPORATION; MAXUS ENERGY :
CORPORATION; THOMPSON HAYWARD :
CHEMICAL COMPANY; HARCROS CHEMICALS :
INC.; UNIROYAL, INC; UNIROYAL CHEMICAL, INC.; :
UNIROYAL CHEMICAL HOLDING COMPANY; :
UNIROYAL CHEMICAL ACQUISITION :
CORPORATION; C.D.U. HOLDING, INC.; DIAMOND :
SHAMROCK AGRICULTURAL CHEMICALS, INC.; :
DIAMOND SHAMROCK CHEMICALS; DIAMOND :
SHAMROCK CHEMICALS COMPANY; DIAMOND :
SHAMROCK CORPORATION; DIAMOND :
SHAMROCK REFINING AND MARKETING :
COMPANY; OCCIDENTAL ELECTROCHEMICALS :
CORPORATION; DIAMOND ALKALI COMPANY; :
ANSUL, INCORPORATED; HOOKER CHEMICAL :
CORPORATION; HOOKER CHEMICAL FAR EAST :
CORPORATION; HOOKER CHEMICALS & PLASTICS :
CORP.; HOFFMAN-TAFF CHEMICALS, INC. :
CHEMICAL LAND HOLDINGS, INC.; T-H :
AGRICULTURE & NUTRITION COMPANY, INC.; :
THOMPSON CHEMICAL CORPORATION; :
RIVERDALE CHEMICAL COMPANY; ELEMENTIS :
CHEMICALS INC.; UNITED STATES RUBBER :
COMPANY, INC.; SYNTEX AGRIBUSINESS INC.; :
SYNTEX LABORATORIES, INC. and “ABC :
CHEMICAL COMPANIES 1-100,” :
:
Defendants. :
------------------------------------------------------------------------X
Appearances:
2
Moore & Goodman, LLP
740 Broadway at Astor Place
New York, NY 10003
By: Jonathan C. Moore, Esq.
William H. Goodman, Esq.
David Milton, Esq.
3
King & Spalding LLP
1185 Avenue of the Americas
New York, NY 10036
By: Michael M. Gordon, Esq.
For Defendants Uniroyal, Inc.; Uniroyal Chemical Holding Company; Uniroyal Chemical
Acquisition Corporation; Uniroyal Chemical Co.; and CDU Holding, Inc.:
For Defendants T.H. Agriculture & Nutrition Co., Inc.; Thompson-Hayward Chemical Co.; and
Harcros Chemicals Inc.:
For Defendants Hooker Chemical Corporation; Hooker Chemical Far East Corporation; and
Hooker Chemicals & Plastics Corp.:
4
Debevoise & Plimpton LLP
919 Third Avenue
New York, NY 10022
By: Anne E. Cohen, Esq.
Anthea E. Roberts, Esq.
Roslynn Mauskopf
United States Attorney
Eastern District of New York
One Pierrepont Plaza
Brooklyn, NY 11201
By: Roslynn Mauskopf, United States Attorney
Kathleen Mahoney, Assistant United States Attorney
5
Jennifer Green, Esq.
Beth Stephens, Esq.
Earthrights International
1612 K Street, N.W., Suite 401
Washington, D.C. 20006
By: Rick Herz, Esq.
Tyler Giannini, Esq.
Table of Contents
I. Introduction . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 11
6
A. Pleadings by Plaintiffs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 33
2. Parties . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 34
4. Herbicides Used . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 39
6. Harm to Plaintiffs . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 41
8. Theories . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 50
a. War Crimes . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 50
b. Genocide . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 51
d. Torture . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 52
h. Negligence . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 53
i. Wrongful Death . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 53
k. Public Nuisance . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 54
l. Unjust Enrichment . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 55
7
B. Motions by Defendants . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 55
a. Rule 56 . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 56
b. Rule 12(b)(6) . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 57
3. Context . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 58
A. Standing of VAVAO . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 73
2. Corporate Culpability . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 82
D. Statutes of Limitations . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 90
E. Justiciability . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 98
8
1. Generally . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 99
F. Causation . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 127
G. Retroactivity . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 128
X. History of Abuse of Civilians and Land During War and Attempts to Limit Harm . . . 156
A. History . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 156
9
and Religious Edicts . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 161
1. Torture . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 173
3. Genocide . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 179
1. Generally . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 208
3. Proportionality . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 218
10
A. President . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 221
B. Congress . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . . 224
I. Introduction
This case involves claims by Vietnamese nationals and an organization, The Vietnamese
Association for Victims of Agent Orange/Dioxin (“VAVAO”), for harms allegedly done to them
and their land by the United States’ use of Agent Orange and other herbicides during the Vietnam
War from 1965 to 1971 and the South Vietnamese government’s subsequent use of such
herbicides until 1975. They allege that the manufacturer-defendants are responsible under
All claims are dismissed for the reasons stated below. Because of the comprehensive
nature of the dismissal the court has not addressed individual motions by defendants claiming no
Company (No. 98-CV-6383) and other like cases, United States veterans of the Vietnam War
sought damages against the defendants for exposure to Agent Orange during their service in
Vietnam. Defendants moved in those cases for summary judgment based on the government
contractor defense—in essence, the claim that the government told us to do it and knew at least
as much as we did about the dangers. The court granted defendants’ motion to dismiss those
11
tort-based claims on the grounds that the contractor defense applied. See Isaacson v. Dow Chem.
Co., 304 F. Supp. 2d 404 (E.D.N.Y. 2004) (granting dismissal based on government contractor
defense); see also In re “Agent Orange” Prod. Liab. Litig., 818 F.2d 187 (2d Cir. 1987) (holding
that government contractor defense applies, plus no causation), aff’g 611 F. Supp. 1223
(E.D.N.Y. 1985) (holding that government contractor defense applies, plus no causation). The
government has expressed agreement with this position. See Statement of Interest of the United
Based on plaintiffs’ contention that the veterans had had insufficient time for discovery,
the court stayed the judgment of dismissal and granted plaintiffs six months of additional
discovery. Isaacson, 304 F. Supp. 2d at 442. On plaintiffs’ request, further time for discovery
and preparation of briefs was then afforded. The magistrate judge, the Clerk of this court, the
Special Master, and the National Archives cooperated in making the material sought by plaintiffs
available. After full discovery and argument on February 28, 2005, the stay was lifted and
judgments of dismissal entered in the veterans’ cases because the government contractor defense
had been established, warranting summary judgment of dismissal in favor of all defendants.
Isaacson v. Dow Chem. Co., 344 F. Supp. 2d 873 (E.D.N.Y. 2004). The materials submitted by
the parties after November 16, 2004 furnished additional strong support for dismissal. See order
The same government contractor issue was raised in defendants’ motions under Rule
12(b)(6) of the Federal Rules of Civil Procedure in the instant case as a defense to all claims
brought by the Vietnamese. Those claims based on domestic law—but not international law—of
the United States, of any state of the United States and of Vietnam are dismissed on this ground.
12
See infra Parts IV.B.; VI.
the United States, where the herbicides were ordered, manufactured and delivered to the
government. Whatever the substantive domestic law applicable under any conflicts of law rule,
the government contractor defense applies to that law. See Sosa v. Alvarez-Machain, 124 S. Ct.
2739, 2752 (2004) (“It is true that the traditional approach to choice of substantive tort law has
lost favor, [Gary J.] Simson, The Choice-of-Law Revolution in the United States: Notes on
Rereading Von Mehren, 36 CORNELL INT ’L L.J. 125, 125 (2003) (‘The traditional methodology
of place of wrong . . . has receded in importance, and new approaches and concepts such as
governmental interest analysis, most significant relationship, and better rule of law have taken
center stage’ (footnotes omitted)).”); In re “Agent Orange” Prod. Liab. Litig., 580 F. Supp.
1242, 1254-55 (E.D.N.Y. 1984) (finding that negligence, if any, of corporate suppliers of
herbicides took place in United States); In re “Agent Orange” Prod. Liab. Litig., 580 F. Supp.
690 (E.D.N.Y. 1984) (finding that federal or national consensus law applies under conflicts
rules); infra Part VIII.H.; cf. Sosa, 124 S. Ct. at 2754 (holding that the Federal Tort Claims Act’s
foreign country exception “bars all claims based on any injury suffered in a foreign country,
For domestic conflicts of law purposes the government contractor defense is a federal
substantive rule. Neither the rule of Erie R.R. Co. v. Tompkins, 304 U.S. 64 (1938), nor comity
in recognizing the internal substantive law of another nation can trump this federal substantive
rule of law. See infra Part VIII.H. For the same reasons that the veterans’ claims in Stephenson,
Isaacson and similar cases were dismissed, all domestic law claims of the Vietnamese are
13
dismissed. See infra Parts IV.B.; VI.
courts in the United States with jurisdiction act as quasi international tribunals. See, e.g., LORI
FISLER DAMROSCH , LOUIS HENKIN , RICHARD CRAWFORD PUGH , OSCAR SCHACHTER & HANS
SMIT , INTERNATIONAL LAW CASES AND MATERIALS 645 (4th ed. 2001) (“The international law
of human rights parallels and supplements national law, superseding and supplying the
RIGHTS: THE COVENANT ON CIVIL AND POLITICAL RIGHTS 7 (Louis Henkin ed., 1981))); PETER
7th rev. ed. 1997) (“[I]nternational law allows states to exercise universal jurisdiction over
certain acts which threaten the international community as a whole and which are criminal in all
countries, such as war crimes . . . .”); Paul R. Dubinsky, Human Rights Law Meets Private Law
Harmonization: The Coming Conflict, 30 YALE J. INT ’L L. 211, 268-82 (2005) (discussing
universal jurisdiction); Thomas H. Lee, The Supreme Court of the United States as Quasi-
International Tribunal: Reclaiming the Court’s Original and Exclusive Jurisdiction over Treaty-
Based Suits by Foreign States Against States, 104 COLUM . L. REV . 1765 (2004). Our courts will
treat foreigners relying on international law with the same due process and courtesy as they
Federal common law, not Erie, governs. Banco Nacional de Cuba v. Sabbatino, 376 U.S.
398, 427 n.25 (1964) (noting that constitutional and statutory provisions indicate “a desire to give
14
matters of international significance to the jurisdiction of federal institutions”); Paul S. Ryerson,
Foreign Relations, 16 FLA . J. INT ’L L. (forthcoming 2005, filed and docketed); infra Part VIII.H.
International law is internalized by our courts as law of the United States. As recognized
by the Restatement (Third) of the Foreign Relations Law of the United States, “the jurisprudence
of the United States has considered . . . rules of international law themselves (and many
international agreements) to be incorporated into the law of the United States.” 1 RESTATEMENT
(THIRD ) OF THE FOREIGN RELATIONS LAW OF THE UNITED STATES § 1 cmt. a (1987); see also id.
§ 1 reporters’ note 4 (“Courts interpret the laws and international agreements of the United States
and they determine international law as law of the United States.”). “From the beginning, the
law of nations, later referred to as international law, was considered to be incorporated into the
law of the United States without the need for any action by Congress or the President . . . .” Id.
introductory note to pt. I, ch. 2, at 41. Reflecting general understanding, the Restatement’s
position permits individual court actions within the United States for at least some violations of
international law. It declares: “A person of foreign nationality . . . may pursue any remedy
provided by . . . the law of another state . . . .” 2 id. § 713(2)(c); see also id. § 703 reporters’ note
7 (discussing individual remedies under United States law). See also infra Part VIII.H. on choice
of law.
In deciding the scope and nature of applicable substantive rules of international law, this
court has followed Rule 44.1 of the Federal Rules of Civil Procedure which governs the
determination of foreign law. FED . R. CIV . P. 44.1; cf. N.Y. C.P.L.R. § 4511 (McKinney 1992 &
Supp. 2005) (addressing judicial notice). A federal court has wide discretion to do its own
15
research as well as to rely upon experts in the somewhat similar fields of foreign or international
law. See, e.g., Arthur R. Miller, Federal Rule 44.1 and the “Fact” Approach to Determining
Foreign Law: Death Knell for a Die-Hard Doctrine, 65 MICH . L. REV . 613 (1967); Comm. on
Int’l Commercial Dispute Resolution, Ass’n of the Bar of the City of N.Y., Proof of Foreign Law
after Four Decades with Rule 44.1 FRCP and CPLR 4511 (forthcoming 2005). The lack of
judicial expertise and the complexity of sources in these two fields—foreign and international
law—often make it desirable for the court to seek assistance. In this case academic experts for
defendants, plaintiffs and the government, as well as counsel, have supplemented the court’s own
research and furnished helpful and reliable professional advice on the subject of international
law. See, e.g., Burger-Fischer v. Degussa AG, 65 F. Supp 2d 248, 257 (D.N.J. 1999) (relying
heavily on an international law expert’s submission to the court). The opinions of Professor
George P. Fletcher [hereinafter Fletcher Op.] and Professor Jordan J. Paust [hereinafter Paust
Op.] submitted on behalf of plaintiffs and the brief of amici were learned and compelling except
for their view that military use of Agent Orange in Vietnam was a tort in violation of the law of
nations. See infra Part XI. Other learned opinions submitted on behalf of defendants, relied
upon and quoted in the body of this memorandum, were compelling in their conclusion that no
As indicated in more detail below in Part IX, the government contractor defense does not
apply to violations of human rights, norms of international law and related theories. See, e.g.,
Zyklon B Case (Trial of Bruno Tesch and Two Others), 1-5 LAW REPORTS OF TRIALS OF WAR
CRIMINALS 93-102 (William S. Hein & Co. 1997) (U.N. War Crimes Comm’n ed., 1949); United
16
States v. Krupp, 9 TRIALS OF WAR CRIMINALS BEFORE THE NUERNBERG MILITARY TRIBUNALS
UNDER CONTROL COUNCIL LAW NO . 10, at 1327, 1437-39 (photo. reprint 1997) (1950)
1187, 1198, 1202 (photo. reprint 1997) (1952); see also infra Part IX. Defendants’ motion to
dismiss the international law claims on the ground of the government contractor defense is
denied. Even in light of the Supreme Court’s restrictive interpretation of applicable international
law in Sosa v. Alvarez-Machain, 124 S. Ct. 2739 (2004), plaintiffs’ international law based causes
of action under the Alien Tort Statute (“ATS”), 28 U.S.C. § 1350 (2000), (which caselaw has
also referred to as the Alien Tort Claims Act (“ATCA”) or Alien Tort Act (“ATA”), see Flores v.
S. Peru Copper Corp., 343 F.3d 140, 143 & n.1 (2d Cir. 2003)), are not barred by the
Detailed analysis of international law claims of the Vietnamese plaintiffs establishes that
use of herbicides by or on behalf of the United States in Vietnam before 1975 was not a violation
of international law. Use by the United States ended in early 1971; responsibility of defendants
for that use did not extend beyond 1971 since private corporate liability in this case could arise
only from the foreseeable action of a customer—the United States. Herbicide spraying by the
United States violated no rights of plaintiffs under international law. See infra Part XI.
There has been a great deal written on the development and use of herbicides in war. See
also infra Parts IV.A.3.-4. The most recent comprehensive description is by Professor Jeanne
Mager Stellman of Columbia University, New York, and her associates; it is heavily relied upon
17
and in part copied without specific attribution in the rest of this Part. See Jeanne Mager Stellman
et al., The Extent and Patterns of Usage of Agent Orange and Other Herbicides in Vietnam, 422
NATURE 681 (2003); see also Declan Butler, Flight Records Reveal Full Extent of Agent Orange
Contamination, 422 NATURE 649 (2003) (stating that Stellman’s study shows that herbicides
were directly sprayed on hamlets containing between two and four million people); David A.
Butler, Connections—The Early History of Scientific and Medical Research on “Agent Orange”
(Feb. 17, 2005) (unpublished manuscript, filed and docketed). No study or technique presented
to the court has demonstrated how it is now possible to connect the herbicides supplied by any
defendant to exposure by any plaintiff to dioxin from that defendant’s herbicide. See generally
MICHAEL GOUGH , DIOXIN , AGENT ORANGE: THE FACTS (1986) (discussing scientific problems
in proving causation).
band painted on their 208-litre storage barrels—were used by the United States and Republic of
Vietnam (“RVN”) forces to defoliate forests and mangroves, to clear perimeters of military
installations and to destroy “unfriendly” crops, as a tactic for decreasing enemy armed forces
protective cover and food supplies. United States participation ended in 1971 but the RVN
forces allegedly continued independently to use leftover barrels of herbicides until 1975.
The best-known mixture was Agent Orange. About 65% of the herbicides contained
18
Table I
Use of military herbicides in Vietnam by United States (1961-1971)
(Source: Stellman, supra, at 682.)
19
Military herbicide operations in Vietnam became a matter of scientific controversy almost
from their inception. In April 1970, 2,4,5-T was banned from most United States domestic uses
on the basis of evidence of its possible teratogenicity. Long after the war, the Agent Orange Act
of 1991 requested the Institute of Medicine (“IOM”) to assess the strength of the evidence for
association between exposure to military herbicides and disease in veterans and the feasibility of
Agile was instrumental in the United States’ development of herbicides as a military weapon, an
undertaking inspired by the British use of 2,4,5-T to destroy jungle-grown crops during the
calibration studies of the spray delivery system to achieve the desired 281ha-1 (3 gallons/acre)
rate; and experiments on optimal conditions to minimize spray drift. ARPA also developed the
Hamlet Evaluation System (“HES”) which collected the political census data used for estimating
population exposures.
The first large-scale United States military defoliation took place in Camp Drum, New
York, in 1959, using Agent Purple (a 50-50 mixture of 2,4-D and 2,4,5-T) and a spray system
which was the model for those used in Vietnam. Herbicide tests were run from August to
December 1961 in the RVN using dinoxol and trinoxol. An insecticide test series was also
undertaken. The first major herbicide shipment arrived in RVN in January 1962; defoliation
targets were sprayed during September and October 1962 (Agent Purple); crop destruction
targets were sprayed in November 1962 (Agent Blue). Systematic testing of herbicides and
20
United States Air Force (“USAF”) operations, codenamed Operation Ranch Hand,
dispersed more than 95% of all herbicides used in Operation Trail Dust, the overall herbicide
program. Other branches of the United States armed services and RVN forces, generally using
hand sprayers, spray trucks (Buffalo turbines), helicopters and boats, sprayed much smaller
quantities of herbicide. Crop destruction required White House approval until 1963, after which
final approval was delegated to the United States Ambassador to the RVN.
In total about 1.9 million litres of Agent Purple were sprayed between 1962 and 1965.
This timing is a particularly significant because herbicides manufactured in the early 1960s were
almost certainly more heavily TCDD-contaminated than those produced later. Pre-1965 spraying
was limited to a relatively small area which may be at particular risk for current TCDD
contamination.
and the percentage of 2,4,5-T in the formulation. In early 1966, Agent White, which did not
contain 2,4,5-T and hence was not TCDD-contaminated, began to replace Agent Orange. From a
tactical perspective Agent White was less satisfactory than Agent Orange because several weeks
were required for defoliation to begin. Agent White was accepted by the Department of Defense
because Agent Orange was apparently no longer available in sufficient quantities. Agent Blue
was the agent of choice for crop destruction by desiccation throughout the Vietnam War, but
more than four million litres of the other agents, primarily containing 2,4,5-T, were also used on
crops.
Procurement records show that at least 464,164 litres of Agent Pink and 31,026 litres of
Agent Green, with comparatively high TCDD levels, were purchased. Identified missions
21
dispersed about 1.9 million litres of Agent Purple.
Estimates of how much TCDD was deposited in Vietnam are based on estimates of the
Agent Orange spraying by the United States ended, the USAF was required to dispose of very
large stockpiles of surplus herbicide that were ultimately incinerated aboard the M/T Vulcanus in
1977. TCDD concentrations ranged from 6.2 to 14.3 p.p.m., and averaged 13.25 p.p.m. in
samples drawn for incineration-effluent modelling studies from 28 different barrels chosen by
the USAF as representative of the seven manufacturers contributing to the stockpile. In other
samples drawn from the stockpile, the TCDD range was about 0.05 to 13.3 p.p.m. (weighted
average 1.77 p.p.m). Documentation also reports dioxin levels to be heterogeneous even within
levels ranging from non-detectable (<0.0012 p.p.m) to 0.0233 p.p.m, and 2,4,5-T residue from
non-detectable (<0.02 p.p.m.) to 0.61 p.p.m in six core soil samples collected from the central
calibration grid at Pran Buri, Thailand, over which all ARPA test flights had flown. NAS-1974
estimated the original herbicide from those tests to have contained <3 to 50 p.p.m. TCDD.
Although Agent Purple is likely to have been more highly contaminated with TCDD, it is
not unlikely that mean TCDD levels in Agent Orange were higher than 3 p.p.m. for much of the
herbicide used. An average value closer to 13 p.p.m. may be realistic. If 3 p.p.m., the mean
associated with the “low dioxin” series, is conservatively applied, the estimate of total TCDD
present in the spray grows to 221 kg. Applying 32.8 p.p.m. and 65.5 p.p.m. as the average
22
TCDD in Agents Purple and Pink provides an additional 165 kg, or 366 kg in total (which does
not take into account the herbicides sprayed by RVN forces, and possibly by United States Army
and Navy forces by trucks, boats, hand sprayers and helicopters, nor the more than 400,000 litres
of Agent Pink shown in procurement records but not found in any recorded missions).
A HES in which United States district advisors and Vietnamese district chiefs filled out
monthly political survey and census forms was established in June 1967, and a gazetteer of place
names and precise geographical locations was also created. The HES data provide a
comprehensive rural census that permits estimates of the numbers of hamlets and size of the
More than 20,585 unique hamlets are represented in the corrected version of the Stellman
database. Population data are not available for 18% of these hamlets and population data are not
systematically reported each month for all years. Among the hamlets with some population data,
3,181 were sprayed directly and at least 2.1 million but perhaps as many as 4.8 million people
would have been present during the spraying. Another 1,430 hamlets were also sprayed, but
there is no estimate of the population involved. In all, at least 3,851 out of 5,958 known fixed-
wing missions had flight paths directly over the hamlet coordinates given in the HES and
gazetteer data. About 35% of the total herbicide sprayed was flown by these missions, although,
In 1971, NAS-1974 analyzed five soil samples from an area in which large amounts of
Agent Orange had been dumped in December 1968. No 2,4,5-T could be detected.
Empty barrel residues led to inadvertent defoliation of trees and gardens in Da Nang,
Nha Trang, Bien Hoa, Phu Cat and Saigon civilian areas near USAF airbases that handled the
23
herbicides when the empty barrels were transported to local merchants for commercial use. The
ultimate fate of most of the empty barrels is not known. Also unknown is the extent of possible
herbicidal agents, some of which were sprayed at levels at least an order of magnitude greater
than for similar United States domestic purposes. Yet, according to Professor Stellman, no
large-scale epidemiological study of herbicides and the health of either the Vietnamese
population or war veterans has yet been carried out. The data from mortality and morbidity
records, at least in the United States, should be available for causation studies, but no such study
of significance has been made. Those studies supporting Veterans Administration decisions to
declare some diseases presumptively caused by Agent Orange as a basis for disability payments
(extremely low probability required) are of almost no use in determining causation for litigation
By 1970, or certainly by 1971, herbicide spraying by United States forces had ceased.
David A. Butler, Connections—The Early History of Scientific and Medical Research on “Agent
Orange” 8 (Feb. 17, 2005) (unpublished manuscript, filed and docketed) (“On January 7, 1971,
aerial spray missions came to an end.”). Plaintiffs concede that “military use of 2,4,5-T,
including Agent Orange,” was suspended on April 15, 1970, and other herbicides were not used
after “January 1971, when the last Ranch Hand Mission took place.” Mem. of Law in Opp’n To
Defs.’ Mot. to Dismiss All Claims for Failure to State a Claim Under the Law of Nations, Jan.
18, 2004, at 147 [hereinafter Pls.’ Mem. of Law in Opp’n to Defs.’ Mot.]. This is long before
the 1975 termination claimed by plaintiffs. See Figure 1. The discussion below in Part XI
24
demonstrates that international law did not outlaw the kind of use of herbicides complained of
before 1975.
Figure l. Time course of herbicide sorties. At least 19,905 sorties were run between 1961-
1971 (1-34 daily, with a daily average of 10.7 sorties). Source: Stellman, supra, at 685.
25
III. Prior Phases of Agent Orange Litigation
The extensive prior procedure in other phases of the Agent Orange litigation is assumed
to be known or available to the reader. See Dow Chem. Co. v. Stephenson, 539 U.S. 111 (2003)
(per curiam); Stephenson v. Dow Chem. Co., 346 F.3d 19 (2d Cir. 2003) (per curiam) (vacating
dismissal because, inter alia, All Writs Act did not provide removal jurisdiction); Stephenson v.
Dow Chem. Co., 273 F.3d 249 (2d Cir. 2001) (vacating dismissal because plaintiffs were not
adequately represented in prior litigation that resulted in Agent Orange settlement and thus res
judicata did not bar them from pursuing their claims), aff’d in part, vacated in part by 539 U.S.
111 (2003); Miller v. Diamond Shamrock Co., 275 F.3d 414 (5th Cir. 2001) (holding that
plaintiff’s claims were barred by the government contractor defense); Winters v. Diamond
Shamrock Chemical Co., 149 F.3d 387 (5th Cir. 1998) (holding that plaintiffs’ claims were
barred by the government contractor defense); Jenkins v. Agent Orange Settlement Fund, No.
97-7538, 1997 WL 774394 (2d Cir. Dec 17, 1997) (unpublished disposition); Addington v.
Agent Orange Veterans Payment Program, No. 97-7071, 1997 WL 738070 (2d Cir. Nov 24,
1997) (unpublished disposition); Gough v. Agent Orange Settlement Fund, No. 96-6067, 1996
WL 636536 (2d Cir. Nov 5, 1996) (unpublished disposition); In re Agent Orange Prod. Liab.
Litig., 996 F.2d 1425 (2d Cir. 1993); In re Ivy, 901 F.2d 7 (2d Cir. 1990) (MDL Panel had
jurisdiction to transfer); In re “Agent Orange” Prod. Liab. Litig., 821 F.2d 139 (2d Cir. 1987)
(holding there was no abuse of discretion in unsealing documents); In re “Agent Orange” Prod.
Liab. Litig., 818 F.2d 179 (2d Cir.1987) (appeal reviewing settlement plan); In re “Agent
Orange” Prod. Liab. Litig., 818 F.2d 194 (2d Cir.1987) (affirming dismissal of Federal Tort
Claims Act claims of servicemen); In re “Agent Orange” Prod. Liab. Litig., 818 F.2d 204 (2d
26
Cir.1987); In re “Agent Orange” Prod. Liab. Litig., 818 F.2d 210 (2d Cir.1987); In re “Agent
Orange” Prod. Liab. Litig., 818 F.2d 216 (2d Cir.1987); In re “Agent Orange” Prod. Liab.
Litig., 818 F.2d 226 (2d Cir.1987); In re "Agent Orange" Prod. Liab. Litig., 800 F.2d 14 (2d Cir.
"Agent Orange" Prod. Liab. Litig., 804 F.2d 19 (2d Cir. 1986) (denying repeal of stay on
settlement funds pending appeal); In re "Agent Orange" Prod. Liab. Litig., 787 F.2d 822 (2d
Cir. 1986) (dismissing claims of non-class plaintiffs against defendant not named in complaints);
Vietnam Ass’n for Victims of Agent Orange/Dioxin v. Dow Chem. Co., 327 F. Supp. 2d 198
(E.D.N.Y. 2004) (inviting U.S. government to submit brief as amicus curiae); Isaacson v. Dow
Chem. Co., 304 F. Supp. 2d 404 (E.D.N.Y. 2004) (holding that defendants were entitled to
government contractor defense but staying decision pending discovery); Isaacson v. Dow Chem.
Co., 304 F. Supp. 2d 442 (E.D.N.Y. 2004) (holding that defendants were entitled to remove
action to federal court under federal officer removal statute); In re "Agent Orange" Prod. Liab.
Litig., No. 97 CV 1976, 1999 WL 1045197 (E.D.N.Y. Jan. 21, 1999); Ryan v. Dow Chem. Co.,
781 F. Supp. 902 (E.D.N.Y. 1991) (plaintiffs cannot collaterally attack prior settlement); In re
"Agent Orange" Prod. Liab. Litig., 689 F. Supp. 1250 (E.D.N.Y. 1988) (modifying class
assistance program as required by 818 F.2d 179, approved settlement and granting opt-out
plaintiffs opportunity to opt into class for purposes of benefitting from settlement fund); In re
"Agent Orange" Prod. Liab. Litig., 603 F. Supp. 239 (E.D.N.Y. 1985) (dismissing claims of
veterans' wives and children against government), aff'd in part, vacated in part, 818 F.2d 201
(2d Cir. 1987), cert. denied, 484 U.S. 1004 (1988); In re "Agent Orange" Prod. Liab. Litig., 104
F.R.D. 559 (E.D.N.Y. 1985) (modifying protective orders); In re "Agent Orange" Prod. Liab.
27
Litig., 618 F. Supp. 625 (E.D.N.Y. 1985) (approving distribution plan of Agent Orange
settlement fund allocated to Australia and New Zealand); In re "Agent Orange" Prod. Liab.
Litig., 618 F. Supp. 623 (E.D.N.Y. 1985) (approving settlement of class action and dismissing
with prejudice claims of class members) (Special Masters for Settlement Kenneth R. Feinberg
and David I. Shapiro); In re "Agent Orange" Prod. Liab. Litig., 611 F. Supp. 1452 (E.D.N.Y.
1985) (denying motion to set aside attorney fee-sharing arrangement), rev'd in part, 818 F.2d
216 (2d Cir. 1987), cert. denied, 484 U.S. 926 (1987); In re "Agent Orange" Prod. Liab. Litig.,
611 F. Supp. 1396 (E.D.N.Y. 1985) (establishing plan for disbursement of settlement fund
pending appeals), aff'd in part, rev'd in part, 818 F.2d 179 (2d Cir. 1987); In re "Agent Orange"
Prod. Liab. Litig., 611 F. Supp. 1296 (E.D.N.Y. 1985) (determining class-action plaintiffs'
attorney fees and reaffirming settlement); aff'd in part, rev'd in part, 818 F.2d 226 (2d Cir.
1987); In re "Agent Orange" Prod. Liab Litig., 611 F. Supp. 1290 (E.D.N.Y. 1985) (dismissing
claim of civilian physician for failure to demonstrate exposure to herbicides), aff'd in part,
vacated in part, 818 F.2d 210 (2d Cir. 1987), cert. denied, 484 U.S. 1004 (1988); In re "Agent
Orange" Prod. Liab. Litig., 611 F. Supp. 1285 (E.D.N.Y. 1985) (dismissing action brought by
Hawaiian civilians), aff'd in part, vacated in part, 818 F.2d 210 (2d Cir. 1987), cert. denied, 484
U.S. 1004 (1988); In re "Agent Orange" Prod. Liab. Litig., 611 F. Supp. 1267 (E.D.N.Y. 1985)
(same), aff'd, 818 F.2d 187 (2d Cir. 1987), cert. denied, 487 U.S. 1234 (1988); In re "Agent
Orange" Prod. Liab. Litig., 611 F. Supp. 1223 (E.D.N.Y. 1985) (ruling as to admissibility of
opt-out plaintiffs' scientific evidence and expert testimony and granting summary judgment in
favor of defendants for plaintiffs' failure to establish causation), aff'd, 818 F.2d 187 (2d Cir.
1987), cert. denied, 487 U.S. 1234 (1988); In re "Agent Orange" Prod. Liab. Litig., 611 F. Supp.
28
1221 (E.D.N.Y. 1985) (dismissing defendants' claim for indemnity from government for
settlement payments to veterans' families), aff’d, 818 F.2d 204 (2d Cir. 1987); In re "Agent
Orange" Prod. Liab. Litig., 105 F.R.D. 577 (E.D.N.Y. 1985) (affirming with modification
magistrate's order that defendants in two non-settled cases produce deponents); In re "Agent
Orange" Prod. Liab. Litig., 597 F. Supp. 740 (E.D.N.Y. 1984) (approving settlement of class
action subject to fairness hearings); In re "Agent Orange” Prod. Liab. Litig., 101 F.R.D. 97
(E.D.N.Y. 1984) (ordering in camera disclosure of names of scientists deleted from government
report); In re "Agent Orange" Prod. Liab. Litig., 580 F. Supp. 1242 (E.D.N.Y. 1984) (reinstating
third-party plaintiffs' claim for indemnity against government with respect to claims of veterans'
wives and children), mandamus denied, 733 F.2d 10 (2d Cir. 1984), appeal denied, 745 F.2d
161 (2d Cir. 1984), cert. denied, 465 U.S. 1067 (1984); In re "Agent Orange" Prod. Liab. Litig.,
580 F. Supp. 690 (E.D.N.Y. 1984) (finding national consensus law on issues of liability,
government contractor defense and punitive damages); In re "Agent Orange" Prod. Liab. Litig.,
100 F.R.D. 778 (E.D.N.Y. 1984) (denying motion to implead suppliers of chemical
components); In re "Agent Orange" Prod. Liab. Litig., 100 F.R.D. 718 (E.D.N.Y. 1983)
(certifying Rule 23(b)(3) and Rule 23(b)(1)(B) classes), appeal denied, 100 F.R.D. 735
(E.D.N.Y. 1983), mandamus denied, 725 F.2d 858 (2d Cir. 1984), aff'd, 818 F.2d 145 (2d Cir.
1987), cert. denied, 484 U.S. 1004 (1988); In re "Agent Orange" Prod. Liab. Litig., 99 F.R.D.
645 (E.D.N.Y. 1983) (lifting prior protective order applying to government documents obtained
during discovery); In re "Agent Orange" Prod. Liab. Litig., 99 F.R.D. 338 (E.D.N.Y. 1983)
Litig., 571 F. Supp. 481 (E.D.N.Y. 1983) (granting motion of law firm to be relieved as lead
29
counsel for plaintiffs and appointing new plaintiffs' management committee); In re "Agent
Orange" Prod. Liab. Litig., 570 F. Supp. 693 (E.D.N.Y. 1983) (clarifying program for
discovery); In re "Agent Orange" Prod. Liab. Litig., 98 F.R.D. 558 (E.D.N.Y. 1983) (approving
destruction); In re "Agent Orange" Prod. Liab. Litig., 98 F.R.D. 557 (E.D.N.Y. 1983) (ordering
special master to review discovery decisions in light of court's decision to try causality and
liability issues); In re "Agent Orange" Prod. Liab. Litig., 98 F.R.D. 554 (E.D.N.Y. 1983)
(denying request for reconsideration of order to unseal documents); In re "Agent Orange" Prod.
Liab. Litig., 98 F.R.D. 539 (E.D.N.Y. 1983) (adopting special master's order to unseal
documents in connection with summary judgment motions); In re "Agent Orange" Prod. Liab.
Litig., 98 F.R.D. 522 (E.D.N.Y. 1983) (adopting order of special master concerning discovery of
government documents); In re "Agent Orange" Prod. Liab. Litig., 565 F. Supp. 1263 (E.D.N.Y.
1983) (granting summary judgment for four defendants on government contractor defense;
denying summary judgment for other defendants); In re "Agent Orange" Prod. Liab. Litig., 97
F.R.D. 542 (E.D.N.Y. 1983) (affirming special master's denial of discovery request); In re
"Agent Orange" Prod. Liab. Litig., 97 F.R.D. 541 (E.D.N.Y. 1983) (denying interlocutory
"Agent Orange" Prod. Liab. Litig., 97 F.R.D. 427 (E.D.N.Y. 1983) (adopting special master's
Orange" Prod. Liab. Litig., 97 F.R.D. 424 (E.D.N.Y. 1983) (adopting special master's protective
order for Department of Agriculture documents); In re "Agent Orange" Prod. Liab. Litig., 97
F.R.D. 424 (E.D.N.Y. 1983) (adopting protective order); In re "Agent Orange" Prod. Liab.
30
Litig., 96 F.R.D. 587 (E.D.N.Y. 1983) (adopting with modifications special master's order
regarding videotaped depositions); In re "Agent Orange" Prod. Liab. Litig., 96 F.R.D. 582
(E.D.N.Y. 1983) (rejecting first amendment challenge to protective order); In re "Agent Orange"
Prod. Liab. Litig., 96 F.R.D. 578 (E.D.N.Y. 1983) (adopting special master's protective order for
discovery of government documents); In re "Agent Orange" Prod. Liab. Litig., 95 F.R.D. 192
Orange" Prod. Liab. Litig., 95 F.R.D. 191 (E.D.N.Y. 1982) (clarifying that denial of motion to
implead suppliers was without prejudice); In re "Agent Orange" Prod. Liab. Litig., 544 F. Supp.
808 (E.D.N.Y. 1982) (denying motion to disqualify defense attorneys; provisionally dismissing
claims against certain non-manufacturer defendants, and denying motion to implead suppliers);
In re "Agent Orange" Prod. Liab. Litig., 94 F.R.D. 173 (E.D.N.Y. 1982) (appointing special
master to supervise discovery); In re "Agent Orange" Prod. Liab. Litig., 537 F. Supp. 977
"Agent Orange" Prod. Liab. Litig., 534 F. Supp. 1046 (E.D.N.Y. 1982) (denying reargument on
committee for plaintiffs' counsel, denying motion for decertification of class, deferring decision
re "Agent Orange" Prod. Liab. Litig., 93 F.R.D. 514 (E.D.N.Y. 1982) (allowing defendant to
proceed with scheduled destruction of documents); In re "Agent Orange" Prod. Liab. Litig., 91
F.R.D. 618 (E.D.N.Y. 1981) (allowing motion to amend caption, denying motion to amend
31
defense); In re "Agent Orange" Prod. Liab. Litig., 91 F.R.D. 616 (E.D.N.Y. 1981) (establishing
committee to review procedures for videotaped depositions); In re "Agent Orange" Prod. Liab.
Litig., 506 F. Supp. 762 (E.D.N.Y. 1980) (dismissing claims against government as third-party
defendant, establishing case management plan, conditionally certifying Rule 23(b)(3) class, and
denying defendants' motion for summary judgment); In re "Agent Orange" Prod. Liab. Litig.,
506 F. Supp. 757 (E.D.N.Y. 1980) (requiring plaintiffs to file individual notices to retain right to
bring actions against federal government); In re "Agent Orange" Prod. Liab. Litig., 506 F. Supp.
756 (E.D.N.Y. 1980) (establishing agenda for status conference); In re "Agent Orange" Prod.
Liab. Litig., 506 F. Supp. 754 (E.D.N.Y. 1980) (ordering videotaped deposition); In re "Agent
Orange" Prod. Liab. Litig., 506 F. Supp. 753 (E.D.N.Y. 1980) (various orders concerning
modification of complaint and answers); In re "Agent Orange" Prod. Liab. Litig., 506 F. Supp
750 (E.D.N.Y. 1980) (ordering government to refrain from destruction of documents pursuant to
internal procedure); In re "Agent Orange" Prod. Liab. Litig., 28 Fed. R. Serv. 2d 993 (E.D.N.Y.
1980) (granting motion of terminally ill plaintiff to videotape his own deposition); In re "Agent
Orange" Prod. Liab. Litig., 506 F. Supp. 737 (E.D.N.Y. 1979) (finding subject matter
jurisdiction on basis of federal common law issues), rev'd, 635 F.2d 987 (2d Cir. 1980), cert.
denied, 454 U.S. 1128 (1981); In re “Agent Orange” Prod. Liab. Litig., 475 F. Supp. 928
(E.D.N.Y. 1979) (dismissing federal constitutional and statutory claims, reserving possible
federal common law claims, denying motion to limit communications to third parties); see also
Ryan v. Dow Chem. Co., 781 F. Supp. 934 (E.D.N.Y.1992); Ryan v. Dow Chem. Co., Nos. 79
CIV. 747, MDL 381, 89 CIV. 3361 & 90 CIV. 3928, 1991 WL 243311 (E.D.N.Y. Nov 12,
1991); In re Agent Orange Fee Application of Yannacone, 139 F.R.D. 581 (E.D.N.Y. 1991);
32
Ryan v. Dow Chem. Co., 781 F. Supp. 902 (E.D.N.Y. 1991).
in the United States for, in essence, committing violations of domestic and international law by
manufacturing and supplying herbicides to the governments of the United States and South
Vietnam, which were sprayed, stored and spilled in Vietnam from 1961 to 1975. Damages are
sought for the deaths and injuries of the plaintiffs and the class that they seek to represent
A. Pleadings by Plaintiffs
Jurisdiction is invoked under the Alien Tort Statute (“ATS”), 28 U.S.C. § 1350 (2000);
diversity, 28 U.S.C. § 1332 (2000); regulation of commerce, 28 U.S.C. § 1337 (2000); and
federal question, 28 U.S.C. § 1331 (2000). Pendent jurisdiction over state law claims is alleged.
28 U.S.C. § 1367 (2000). Venue is vested in the Eastern District of New York, 28 U.S.C.A. §
1391 (1993 & Supp. 2004), under control of the Judicial Panel on Multidistrict Litigation, 28
U.S.C. § 1407 (2000), for pretrial purposes only. Lexecon Inc. v. Milberg Weiss Bershad Hynes
& Lerach, 523 U.S. 26 (1998) (limiting power of multidistrict litigation transferee court to
pretrial control).
33
2. Parties
A number of the individual plaintiffs appear to have been members of hostile military
forces during the Vietnam War. They probably would have been entitled to less protection—if
any—than civilians. Nevertheless, for purposes of this motion to dismiss and this memorandum,
their status is not relevant. Their claims are analyzed as if they were civilians not involved in
hostile acts against forces of the United States and its allies. The plaintiffs are self-described
below:
membership consists of victims of exposure to herbicides used during the Vietnam War as well
as individuals and groups who volunteer to provide assistance to victims. The purpose of the
organization is to represent and protect the interests of Vietnamese who allege exposure to
herbicides produced by defendants, and to raise funds for their treatment and care and for
apparently run by an executive board consisting of such Vietnamese, medical and scientific
Plaintiffs Phan Thi Phi Phi, Nguyen Van Quy, Vu Thi Loan, Nguyen Quang Trung,
Nguyen Thi Thuy Nga, Duong Quynh Hoa, Huynh Trung Son, Ho Kan Hai, Nguyen Van Hoang,
Ho Thi Le, Ho Xuan Bat, Nguyen Muoi, Nguyen Dinh Thanh, Dang Thi Hong Nhut, Nguyen
Thi Thu, Nguyen Son Linh, Nguyen Son Tra, Vo Thanh Hai, Nguyen Thi Hoa, Vo Thanh Tuan
Anh, Le Thi Vinh, Nguyen Thi Nham, Nguyen Minh Chau, Nguyen Thi Thoi, Nguyen Long
Van, Tong Thi Tu and Nguyen Thang Loi were and are nationals and residents of Vietnam at
34
relevant times.
Plaintiffs Nguyen Van Quy and Vu Thi Loan are the parents of plaintiffs Nguyen Quang
Trung and Nguyen Thi Thuy Nga, who are under the age of 18 years. Plaintiff Duong Quynh
Hoa is the administratrix of the estate of her deceased child, Huynh Trung Son. Plaintiff Ho Kan
Hai is the mother of plaintiff Nguyen Van Hoang, who is under the age of 18 years. Plaintiff Ho
Thi Le is the administratrix of the estate of her deceased husband, Ho Xuan Bat. Plaintiff
Nguyen Thi Thu is the mother of plaintiffs Nguyen Son Linh and Nguyen Son Tra, who are
Defendants are The Dow Chemical Company, a corporation incorporated under the laws
of the State of Delaware that is registered to do business or in fact does business in the State of
New York; Montsanto Company, a corporation incorporated under the laws of the State of
Delaware that is registered to do business or in fact does business in the State of New York;
Montsanto Chemical Company, a corporation incorporated under the laws of the State of
Delaware that is registered to do business or in fact does business in the State of New York;
Pharmacia Corporation, a corporation incorporated under the laws of the State of Delaware that
is registered to do business or in fact does business in the State of New York; Hercules
Incorporated, a corporation incorporated under the laws of the State of Delaware that is
registered to do business or in fact does business in the State of New York; Occidental Chemical
Corporation, a corporation incorporated under the laws of the State of New York that is
registered to do business or in fact does business in the State of New York; Ultramar Diamond
Shamrock Corporation, a corporation incorporated under the laws of the State of Delaware that
is registered to do business or in fact does business in the State of New York; Maxus Energy
35
Corporation, a corporation incorporated under the laws of the State of Delaware that is registered
to do business or in fact does business in the State of New York; Thompson Hayward Chemical
Company, a corporation incorporated under the laws of the State of Missouri that is registered to
do business or in fact does business in the State of New York; Harcros Chemicals Inc., a
corporation incorporated under the laws of the State of Kansas that is registered to do business
or in fact does business in the State of New York; Uniroyal, Inc., a corporation incorporated
under the laws of the State of New Jersey that is registered to do business or in fact does
business in the State of New York; Uniroyal Chemical, Inc., a corporation incorporated under
the laws of the State of Delaware that is registered to do business or in fact does business in the
State of New York; Uniroyal Chemical Holding Company, a corporation incorporated under the
laws of the State of Delaware that is registered to do business or in fact does business in the
under the laws of the State of New Jersey that is registered to do business or in fact does
business in the State of New York; C.D.U. Holding, Inc., a corporation incorporated under the
laws of the State of Delaware that is registered to do business or in fact does business in the
State of New York; Diamond Shamrock Agricultural Chemicals, Inc., a corporation incorporated
under the laws of the State of Delaware that is registered to do business or in fact does business
in the State of New York; Diamond Shamrock Chemicals, a corporation incorporated under the
laws of the State of Delaware that is registered to do business or in fact does business in the
State of New York; Diamond Shamrock Chemicals Company, a corporation incorporated under
the laws of the State of Delaware that is registered to do business or in fact does business in the
State of New York; Diamond Shamrock Corporation, a corporation incorporated under the laws
36
of the State of Delaware that is registered to do business or in fact does business in the State of
New York; Diamond Shamrock Refining and Marketing Company, a corporation incorporated
under the laws of the State of Delaware that is registered to do business or in fact does business
under the laws of the State of Delaware that is registered to do business or in fact does business
in the State of New York; Diamond Alkali Company, a corporation incorporated under the laws
of the State of Delaware that is registered to do business or in fact does business in the State of
New York; Ansul, Incorporated, a corporation incorporated under the laws of the State of
Delaware that is registered to do business or in fact does business in the State of New York;
Hooker Chemical Corporation, a corporation incorporated under the laws of the State of New
York that is registered to do business or in fact does business in the State of New York; Hooker
Chemical Far East Corporation, a corporation incorporated under the laws of the State of New
York that is registered to do business or in fact does business in the State of New York; Hooker
Chemicals & Plastics Corp., a corporation incorporated under the laws of the State of New York
that is registered to do business or in fact does business in the State of New York; Hoffman-Taff
Chemicals, Inc., a corporation incorporated under the laws of the State of Missouri that is
registered to do business or in fact does business in the State of New York; Chemical Land
Holdings, Inc., a corporation incorporated under the laws of the State of Delaware that is
registered to do business or in fact does business in the State of New York; T-H Agriculture &
Nutrition Company, Inc., a corporation incorporated under the laws of the State of Delaware that
is registered to do business or in fact does business in the State of New York; Thompson
Chemical Corporation, a corporation incorporated under the laws of the State of Delaware that is
37
registered to do business or in fact does business in the State of New York; Riverdale Chemical
Company, a corporation incorporated under the laws of the State of Delaware that is registered
to do business or in fact does business in the State of New York; Elementis Chemicals Inc., a
corporation incorporated under the laws of the State of Delaware that is registered to do business
or in fact does business in the State of New York; United States Rubber Company, Inc., a
corporation incorporated under the laws of the State of New York that is registered to do
business or in fact does business in the State of New York; Syntex Agribusiness Inc., a
corporation incorporated under the laws of the State of Delaware that is registered to do business
or in fact does business in the State of New York; and Syntex Laboratories, Inc., a corporation
incorporated under the laws of the State of Delaware that is registered to do business or in fact
does business in the State of New York. Some or all of the defendants are alleged to be
interest with those defendants which manufactured and supplied the herbicides for use in the
Vietnam War from 1961 to 1975 that allegedly caused the damage complained of.
It is contended that the United States in cooperation with the RVN implemented a
widespread program to spray herbicides, primarily by aircraft. The stated purposes of the
spraying were (1) to defoliate forests and mangroves in order to destroy the vegetative cover
used by the Democratic Republic of Vietnam (“DRVN”) troops and irregulars calling
themselves the National Liberation Front (“NLF”) for concealment, and (2) to destroy crops to
deprive the DRVN and NLF of food. The spraying is alleged by plaintiffs to have lasted from
38
4. Herbicides Used
The complaint indicates that various herbicides were used for defoliation and crop
destruction in Vietnam. The different types of herbicides were identified by code names
referring to the color of the band around the fifty-gallon steel herbicide container used to ship the
materials from the manufacturer to the government which took delivery in the United States.
Herbicides included Agent Blue (cacodylic acid), Agent White (a mixture of 80% tri-
isopropanol amine salt of 2,4-dichlorophenoxyacetic acid (2,4-D) and picloram), Agent Purple
acid (2,4,5-T) and 20% isobutyl ester of 2,4-D), Agent Green (100% n-butyl ester of 2,4,5-T),
Agent Pink (60% n-butyl ester of 2,4,5-T and 40% isobutyl ester of 2,4,5-T) and Agent Orange
(50-50 mixture of the n-butyl esters of 2,4-D and 2,4,5-T). From 1962 to 1965, Agents Purple,
Pink and Green were used. From 1965 to 1970, Agents Orange, White and Blue were used, and
from 1970 to 1971, only Agents White and Blue were used. Agent Orange was the most
About two-thirds of the herbicides contained 2,4,5-T. A synthetic contaminant and by-
Phenoxy herbicides such as Agents Orange, Purple, White, Pink and Green are chemical
growth regulators that kill certain plants by inducing malfunctions in the biological growth
39
process. Agent Orange was an effective defoliant, used in regions containing a wide variety of
woody and broadleaf herbaceous plants, causing discoloration and dropping of leaves. Agent
White was especially useful in killing conifers. Agent Blue was used primarily for crop
destruction.
Opposition to this herbicide program by scientists and others on the ground that it
violated international law and was improper because it would cause harm to persons and land
was brought to the attention of the United States beginning in early 1961. The United States
officially ended its aircraft herbicide spraying campaign—also referred to as Operation Ranch
Hand—in Vietnam in 1971. The complaint contends that unused United States stores of
herbicides were provided to and used by the RVN up until its collapse in 1975. Am. Compl.,
combatants and civilians were directly exposed to herbicides by spraying. In addition to those
who were sprayed directly with herbicides, others were exposed indirectly, by coming into
contact with contaminated soil, plants, food and water. It has been estimated by plaintiffs that
up to four million Vietnamese were exposed to herbicides during the period 1961-1975.
Extensive environmental damage with serious ecological effects also allegedly resulted from the
from herbicides transported, loaded and stored at or near United States bases in Vietnam
allegedly led to continuing contamination up to the present of the soil and food chains in the
40
5. Supply of Herbicides by Defendants
In the early 1960s, the United States government, pursuant to the Defense Production Act
of 1950, entered into a series of fixed-price production or procurement contracts with the
defendants. The contracts instructed the defendants not to label the contents of the fifty-gallon
herbicide containers except by a color-coded three-inch band, in accordance with the type of
herbicide (e.g., orange, purple, etc.). The government bought as much of Agent Orange as
For the purpose of this phase of the case, it can be assumed that all defendants were
aware at the time of procurement and production that the herbicides would be sprayed widely in
Vietnam pursuant to chemical warfare operations in the form of defoliation and crop destruction;
and that they did not object to the intended use of their product. Defendants were aware at the
time of procurement and production that dioxin was a by-product and contaminant of 2,4,5-T
and that dioxin was toxic to plants, some animals, and possibly humans. The defendants were
also aware, it can be assumed, that the herbicides were sprayed in Vietnam in concentrations
greater than those recommended for civilian use and without the precautions recommended for
civilian use in the United States. It is contended that the defendants were engaged in a
conspiracy with the United States in violation of international law to manufacture, sell and
supply these toxic herbicides to the United States government for use as chemical weapons in
6. Harm to Plaintiffs
The summary of the harms allegedly caused to plaintiffs or their progeny is set forth by
41
plaintiffs in brief anecdotal form. The fact that diseases were experienced by some people after
spraying does not suffice to prove general or specific causation, i.e., that the harm resulted to
individuals because of the spraying. Post hoc ergo propter hoc remains a logical fallacy
unacceptable in toxic tort law. Proof of causal connection depends primarily upon substantial
epidemiological and other scientific data, particularly since some four million Vietnamese are
claimed to have been adversely affected. Anecdotal evidence of the kind charged in the
complaint and set out below can not suffice to prove cause and effect.
epidemiological analysis has not been furnished to the court. It is not available with the richness
of demographic and other data published in the United States. An agreement between the
United States and Vietnam provides for some joint efforts to collect relevant data.
Memorandum of Understanding, Mar. 10, 2002, between Vietnam and United States,
this memorandum there is no need to pursue this issue at this time. The matter is well summed
up in the latest published study of Professor Stellman and her colleagues. It reads in part:
Stellman, supra, at 686 (footnotes omitted); see also David Cyranoski, U.S. and Vietnam Join
42
The harms allegedly suffered by plaintiffs are described in the complaint as follows:
From April 1966 through July 1971, plaintiff Dr. Phan Thi Phi Phi served as director of a
multi-unit mobile hospital stationed at various locations in the provinces of Quang Nam and
Quang Ngai in southern Vietnam, which were heavily sprayed with herbicides. She, along with
the hospital staff and patients, ingested food and water from areas that were heavily sprayed with
contaminated food and water, she had four pregnancies that ended in miscarriages.
From April 1972 until the end of Vietnam War in 1975, plaintiff Nguyen Van Quy
served in the DRVN army repairing communication lines at various southern Vietnam locations.
He ingested food and water from areas that had been sprayed with herbicides. He periodically
suffered from headaches, exhaustion and skin irritation while he was stationed in southern
Vietnam; the skin irritation disappeared after he left Quang Ngai province in 1973 but the
headaches and exhaustion continued, worsening over time. In 1983, his first wife’s pregnancy
ended in a stillbirth; they divorced. His spells of weakness and exhaustion worsened. His
second wife, plaintiff Vu Thi Loan, gave birth to two children, plaintiffs Nguyen Quang Trung
and Nguyen Thi Thuy Nga, who were born developmentally disabled. In October 2003, Nguyen
Van Quy was diagnosed with stomach cancer and liver damage and found to have fluid in the
lung. It is alleged that these diseases, conditions and birth defects were caused by his exposure
From 1964 to 1968, plaintiff Dr. Duong Quynh Hoa often traveled to the cities of Bien
Hoa and Song Be, which became heavily contaminated with herbicides manufactured by the
43
defendants. From 1968 to 1976, she resided in Tay Ninh province, where she was told several
times to cover her head with plastic bags because U.S. aircraft were spraying chemicals. In
1970, she gave birth to a son, Huynh Trung Son. He was born developmentally disabled and
suffered from epileptic convulsions; he died from a convulsion at the age of eight months. She
had two miscarriages, in July 1971 and January 1972. She was diagnosed with diabetes in 1985
and breast cancer, for which she underwent a mastectomy, in 1998. In 1999, a test revealed
relatively high levels of dioxin in her blood. She attributes all these problems to exposure to
Since 1972, plaintiff Ho Kan Hai, a farmer, has resided in Aluoi (formerly Ashau) Valley
in southern Vietnam, near the United States military base in A So where herbicides
manufactured and supplied by the defendants were stored, transferred, spilled and sprayed. Her
family’s diet included local rice, vegetables, manioc, fish and poultry. She had four miscarriages
and two of her children died at the age of 16 days and two years, respectively. She also had
ovarian tumors which were surgically removed. One of her living children, Nguyen Van Hoang,
was born in 1992 with severe physical and mental developmental disabilities. It is alleged that
the miscarriages, ovarian tumors and developmental disabilities were caused by ingestion of
During the Vietnam War, plaintiff Ho Xuan Bat, now deceased, was active with the NLF
in Aluoi Valley and observed the spraying of herbicides on several occasions. Herbicides were
stored, transferred and spilled at several military bases in the Aluoi Valley region. In 1978, he
married plaintiff Ho Thi Le and they continued to live in Aluoi Valley. They cultivated rice and
vegetables for their own consumption and to sell in the local market, and consumed wild
44
vegetables, fish and poultry. In 1980, Ho Thi Li gave birth to their first child, who died from a
nose infection in 1982. She then had a miscarriage. In 1982, she gave birth to their second
child, who died for unknown reasons after 16 days. Ho Xuan Bat’s health began to deteriorate:
he experienced fatigue, headaches, coughing with blood, chest pain, loss of appetite and weight,
fever, and other symptoms. In 2003, he was diagnosed with lung cancer and died from it a year
later. Ho Thi Le attributes her miscarriage, the deaths of her two children and her husband’s
death from lung cancer to their ingestion of food and water contaminated by herbicides
From 1970 through 1975, plaintiff Nguyen Dinh Thanh served in the RVN army, and
was stationed in the Aluoi Valley in southern Vietnam. In 1983, his wife gave birth to their son,
Nguyen Muoi, who at some point began to periodically experience severe pain in his mid-
section and back. In July 2003, Nguyen Muoi was diagnosed with spina bifida, which was
allegedly caused by his father’s exposure to herbicides and ingestion of food and water
In 1965, plaintiff Dang Thi Hong Nhut traveled to Cu Chi, an area heavily sprayed with
herbicides, and spent approximately one month there visiting her husband. She often noticed a
fog or mist and a strong odor in the air, and a white substance on plant leaves. During her time
in Cui Chi, she ate wild vegetables, poultry and fish, and drank stream water; she experienced
skin rashes. In 1966, she was arrested by the RVN regime and imprisoned in Bien Hoa until
1972. After her release, she lived in areas that had been heavily sprayed with herbicides. She
had given birth to a healthy son in 1960 but then had three miscarriages between 1974 and 1980
and terminated a pregnancy in 1977 after an ultrasound examination showed that the fetus had
45
spina bifida and other deformities. She had an intestinal tumor removed in 2002 and a non-
functioning thyroid removed in 2003. She alleges that her miscarriages and other health
problems were caused by her exposure to herbicides and her ingestion of food and water
From 1973 to 1975, plaintiff Nguyen Thi Thu repaired roads in Nam Dong in southern
Vietnam, which was heavily sprayed with herbicides. From 1970 to 1975, her husband was
stationed with the DRVN army in Quang Tri, which was heavily sprayed with herbicides.
During this period, each consumed wild vegetables and fish and drank stream water. She has
had five pregnancies, one resulting in a miscarriage and two resulting in the births of plaintiffs
Nguyen Son Linh and Nguyen Son Tra, who were born with congenital birth defects and are
paralyzed from the waist down. Her miscarriages and her sons’ birth defects were allegedly
caused by her and her husband’s ingestion of food and water contaminated by herbicides
manufactured by defendants.
From 1978 until 1993, plaintiff Vo Thanh Hai served in the Vietnamese army in Nam
Dong, an area defoliated by herbicides. He and his family resided in Nam Dong and they
cultivated rice and vegetables for their own consumption. His wife, plaintiff Nguyen Thi Hoa,
miscarried in 1986. She gave birth to their son, plaintiff Vo Thanh Tuan Anh, in 1987. In 2001,
Vo Thanh Tuan Anh began experiencing fatigue and dizzy spells; he was diagnosed with
osteosarcoma and treated with surgery, radiotherapy and chemotherapy. Vo Thanh Hai was
diagnosed with Hodgkins Disease. Both father and son experience chronic fatigue and have
difficulty performing routine activities requiring physical exertion. Their diseases were
allegedly caused by their exposure to herbicides and their ingestion of food and water
46
contaminated by herbicides manufactured by defendants.
From 1969 to 1973, plaintiff Le Thi Vinh repaired roads in Quang Tri, which was
heavily sprayed with herbicides. She often saw mist in the air, ate wild vegetables and drank
stream water. After the war, she began to experience fatigue, joint pain and swollen glands and
suffered two miscarriages; she had to stop working in 1986. In 2002, she was diagnosed with
lung cancer, which persists even though several tumors were removed. She suffers from chest
pain, breathing difficulty and fluid in the lungs. Her cancer and miscarriages were allegedly
caused by her exposure to herbicides and her ingestion of food and water contaminated by
In 1989 [sic], plaintiff Nguyen Thi Nham, her husband and her son, plaintiff Nguyen
Minh Chau, moved to Bien Hoa in southern Vietnam. Bien Hoa was exposed to herbicides due
to spraying, storage, transfer and spillage of herbicides at a United States military air base in the
city. They regularly cultivated vegetables and poultry for their own consumption and regularly
ate fish and rice purchased from the local market. Nguyen Thi Nham’s first baby was born
prematurely and died after one month, her second was born with defective intestines and died
after ten days, and her third, Nguyen Minh Chau, was born in 1981 [sic] and suffers from
chloracne. In 1999 tests revealed abnormally high levels of dioxin in the blood of Nguyen Thi
Nham and Nguyen Minh Chau. In 2003, Nguyen Thi Nham began to experience serious
headaches and fatigue. She was diagnosed with diabetes. It is alleged that their diseases and the
deaths of the other children were caused by their ingestion of food and water contaminated by
47
In 1966, plaintiff Nguyen Thi Thoi and her husband moved to Bien Hoa, which was
exposed to herbicides due to spraying, storage, transfer, and spillage at a local United States
military air base. They regularly cultivated and ate local vegetables, poultry, fish and rice. In
1967, she gave birth to her first child, who died at the age of three after high fever and
convulsions. She subsequently had a miscarriage. She suffers from frequent headaches, fatigue
and joint pain. In 2000, a test revealed that she had an abnormally high level of dioxin in her
blood. She alleges that her condition, miscarriage and the death of her child were caused by her
From 1961 and throughout the war, plaintiffs Dr. Nguyen Long Van and Tong Thi Tu,
his wife, each served as medics with the NLF, mostly in areas which were heavily sprayed with
herbicides. Dr. Nguyen Long Van was allegedly sprayed directly with herbicides on at least ten
occasions. Both ate wild vegetables, rice, manioc and poultry and drank stream water exposed
to herbicides. Tong Thi Tu gave birth to a healthy daughter in each of 1966 and 1974. She also
gave birth in 1967 to a son who died from a lung infection after one day, in 1968 to a son with a
deformed head who died after a few hours, in 1969 to a son with urinary system complications
who died after one day and in 1970 to plaintiff Nguyen Thang Loi, who was born with deformed
feet, is developmentally disabled and is dependent on his parents. She was diagnosed with
diabetes in 1997. Dr. Nguyen Long Van was diagnosed with a prostate tumor in 2002 and
diabetes in 2003. Alleged is that their diseases, their children’s deaths and their sons’ birth
48
7. Legal Basis for Claims
It is alleged that defendants’ actions have violated, and plaintiffs’ causes of action arise
from, the following laws, treaties, conventions and resolutions, which constitute specific
examples of the applicable law of nations or customary international law, as well as from
of Warfare;
h. United Nations Charter, signed at San Francisco on June 26, 1945, and
49
i. United Nations General Assembly Resolution No. 2603-A (1969);
l. Laws of Vietnam;
m. Common law of the State of New York, including but not limited to
Class certification is sought. In view of the dismissal of all individual claims, there is no
8. Theories
a. War Crimes
violations of the laws and customs of war, also known as war crimes, which prohibit: the
injury or unnecessary suffering; the wanton destruction of cities, towns, villages or the natural
environment, or devastation not justified by military necessity; the use of biological or chemical
agents of warfare, whether gaseous, liquid or solid, employed because of their direct toxic
effects on people, animals or plants; and the poisoning of food and water supplies in the course
formulation and execution of these acts are claimed to be responsible for all acts performed by
50
any person in the execution of this plan. The acts described allegedly constitute war crimes in
violation of the ATS, TVPA, customary international law, the common law of the United States,
the common law of the State of New York, the laws of Vietnam, and international treaties,
b. Genocide
customary international law which prohibits the following acts committed with intent to destroy,
in whole or in part, a national, ethnic, racial or religious group, as such: killing members of the
group; causing serious bodily or mental harm to members of the group; deliberately inflicting on
the group conditions of life calculated to bring about its physical destruction in whole or in part;
or imposing measures intended to prevent births within the group. Leaders, organizers,
facilitators, conspirators and accomplices participating in the formulation and execution of these
acts are claimed to be responsible for all acts performed by any person in execution of such plan.
It is contended that the acts against plaintiffs constitute crimes against humanity in
violation of customary international law, which prohibits inhumane acts of a very serious nature
such as willful killing and torture and other inhumane acts committed as part of a widespread or
systematic attack against any civilian population or persecutions on political, racial or religious
formulation and execution of these acts are responsible for all acts performed by any person in
51
d. Torture
It is contended that the acts constitute torture of the plaintiffs, in violation of the TVPA,
treaties and customary international law, because they were placed in great fear for their lives,
were caused to suffer severe physical and psychological pain and suffering, and were subjected
to extrajudicial killing, the threat of severe physical pain and suffering and the threat of
imminent death. The torture of the plaintiffs was allegedly inflicted deliberately and
intentionally for purposes which included punishing the victims for acts they or third persons
committed or were suspected of having committed, and intimidating or coercing the victim or
third persons. The torture was also claimed to have been intentionally inflicted for
participating in the formulation and execution of these acts are said to be responsible for all acts
In addition to the above theories based on international law, the following claims are
based on domestic tort law of the United States, Vietnam or New York.
Plaintiffs were allegedly placed in great fear for their lives, causing them to suffer severe
physical and psychological abuse and agony because of defendants’ acts which were willful,
intentional, wanton, malicious and oppressive in conjunction with the acts of the United States.
This allegedly constituted assault and battery, actionable under the laws of the United States,
52
f. Intentional Infliction of Emotional Distress
Defendants are alleged to have committed outrageous conduct in violation of all normal
wanton and reckless conduct in manufacturing and supplying herbicides contaminated with
dioxin for use in herbicidal warfare. As a direct result of defendants’ wrongful acts, it is
contended, plaintiffs and plaintiffs’ immediate family members have suffered and will continue
to suffer significant physical injury, pain and suffering and extreme and severe mental anguish
and emotional distress. This conduct allegedly constituted the negligent infliction of emotional
distress.
h. Negligence
Defendants are charged with having failed to use ordinary or reasonable care in order to
avoid injury to plaintiffs. Defendants’ negligence was allegedly a cause of injury, damage, loss
or harm to plaintiffs and their next of kin. This constituted, according to the pleadings,
negligence.
i. Wrongful Death
Now deceased Huynh Trung Son, child of plaintiff Duong Quynh Hoa, and now
deceased Ho Xuan Bat, husband of plaintiff Ho Thi Le, died, it is charged, as a direct result of
the defendants’ acts and omissions. As a result of their deaths, plaintiffs Duong Quynh Hoa and
53
Ho Thi Le have allegedly sustained pecuniary damage from loss of society, comfort, attention,
services and support of the decedents because of defendants’ conduct. Plaintiffs Duong Quynh
Hoa and Ho Thi Le seek relief on behalf of their deceased family members. These wrongful
The negligence of the defendants, their servants, employees and agents consisted,
according to the complaint, in manufacturing and supplying the herbicides without making
proper and sufficient tests to determine their dangers and contraindications, in that defendants
knew, or in the exercise of reasonable diligence, should have known that the herbicides were
unsafe and unfit for use by reason of the dangerous effects to human health and the environment,
in negligently failing to adequately warn the public and the United States and RVN governments
of the dangers and contraindications of the herbicides, in failing to properly inspect the
herbicides, and in concealing the dangers and contraindications of the herbicides from the public
and from the United States and RVN governments in order to profit from the manufacture and
supply of the herbicides. It is contended that defendants are liable jointly and severally to the
k. Public Nuisance
According to plaintiffs, defendants’ acts and omissions constituted a public nuisance, and
were injurious to the health and well-being of the plaintiffs, members of the plaintiffs’
organization, members of the plaintiffs’ families as well as neighbors and guests of plaintiffs
with no adequate remedy at law, entitling them to money damages and environmental
54
remediation for public nuisance.
l. Unjust Enrichment
As a result of what is claimed to have been defendants’ unjust enrichment, plaintiffs say
they have been damaged in an amount to be determined upon an accounting of the profits
received by defendants for the manufacture and supply of herbicides used in the Vietnam War.
Plaintiffs seek both injunctive and declaratory relief to prevent future additional harm, as
B. Motions by Defendants
Defendants move under Rule 12(b)(6) of the Federal Rules of Civil Procedure to dismiss
the complaint for failure to state a claim upon which relief can be granted. They also move
under Rule 56 for partial summary judgment to dismiss all claims on the ground of statute of
limitations. At the hearing defendants and plaintiffs agreed that the court could consider the
motion under Rule 12(b)(6) as a motion for summary judgment against all the domestic law
claims, but not against the international law claims. They also agreed that the extensive record
assembled by defendants and plaintiffs in the Isaacson v. Dow Chemical Company, Stephenson
v. Dow Chemical Company and related cases of United States veterans could be relied upon by
the court on the summary judgment motions. As already stated in Isaacson v. Dow Chemical
Company, 304 F. Supp. 2d 404 (E.D.N.Y. 2004), Isaacson v. Dow Chemical Company, 344 F.
55
Supp. 2d 873 (E.D.N.Y. 2004), and above in Part I.A., all domestic law claims by veterans were
dismissed under Rule 56; the motion for dismissal under Rule 12(b)(6), expanded to Rule 56, as
to the Vietnamese plaintiffs’ domestic law claims is granted for the same reasons. The motion
for partial summary judgment on statute of limitations grounds is denied. See infra Part VIII.D.
a. Rule 56
Rule 56(c) of the Federal Rules of Civil Procedure provides that summary judgment
admissions on file, together with the affidavits, if any, show that there is no genuine issue as to
any material fact and that the moving party is entitled to a judgment as a matter of law.” FED . R.
CIV . P. 56(c); see also Celotex Corp. v. Catrett, 477 U.S. 317, 322 (1986).
The party seeking summary judgment “bears the initial responsibility of informing the
district court of the basis for its motion,” and identifying which materials “it believes
demonstrate the absence of a genuine issue of material fact.” Celotex, 477 U.S. at 323. The
burden then shifts to the nonmoving party to “‘set forth specific facts showing that there is a
genuine issue for trial.’” Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 250 (1986) (quoting
All inferences are to be drawn from the underlying facts in the light must favorable to the
party opposing the summary judgment motion. Matsushita Elec. Indus. Co. v. Zenith Radio
Corp., 475 U.S. 574, 587-88 (1986). The mere existence of some peripheral factual disputes
will not defeat an otherwise properly supported motion for summary judgment. Anderson, 477
56
U.S. at 247. “Only disputes over facts that might affect the outcome of the suit under the
governing law will properly preclude the entry of summary judgment. Factual disputes that are
b. Rule 12(b)(6)
A defendant may move for dismissal for “failure to state a claim upon which relief can
be granted.” FED . R. CIV . P. 12(b)(6). The moving party has the burden of proving “beyond
doubt that the plaintiff can prove no set of facts in support of his claim which would entitle him
to relief.” Conley v. Gibson, 355 U.S. 41, 45-46 (1957); see also King v. Simpson, 189 F.3d
284, 287 (2d Cir. 1999). “The issue is not whether a plaintiff will ultimately prevail but whether
the claimant is entitled to offer evidence to support the claims.” Scheuer v. Rhodes, 416 U.S.
232, 236 (1974). A court must accept the plaintiff’s factual allegations as true and draw all
In reviewing a Rule 12(b)(6) motion, the task of the court “is merely to assess the legal
feasibility of the complaint, not to assay the weight of the evidence which might be offered in
support thereof.” Geisler v. Petrocelli, 616 F.2d 636, 639 (2d Cir. 1980). When material
outside the complaint is presented to and not excluded by the court, the motion to dismiss will
usually be treated as one for summary judgment and disposed of in accordance with Rule 56 of
the Federal Rules of Civil Procedure. FED . R. CIV . P. 12(b); see also Chambers v. Time Warner,
Inc., 282 F.3d 147, 152 (2d Cir. 2002). But see infra Part IV.B.3. “A complaint is deemed to
reference, and documents that, although not incorporated by reference, are ‘integral’ to the
57
complaint.” Sira v. Morton, 380 F.3d 57, 67 (2d Cir. 2004) (citations omitted). A document is
“integral” to the complaint if the complaint “relies heavily upon its terms and effect.”
Chambers, 282 F.3d at 153 (internal quotation marks omitted). “[A] plaintiff’s reliance on the
terms and effect of a document in drafting the complaint is a necessary prerequisite to the court’s
consideration of the document on a dismissal motion; mere notice or possession is not enough.”
3. Context
In considering 12(b)(6) motions directed at the pleadings, the court should place
allegations and supporting and opposing materials in context of the total dispute. It may take
judicial notice of undisputed and undisputable facts revealed in its own files. See Leonard F. v.
Israel Disc. Bank of New York, 199 F.3d 99, 107 (2d Cir. 1999) (“In adjudicating a Rule
12(b)(6) motion, a district court must confine its consideration to facts stated on the face of the
reference, and to matters of which judicial notice may be taken.”) (internal quotation marks
omitted)); Hirsch v. Arthur Andersen & Co., 72 F.3d 1085, 1092 (2d Cir. 1995) (“We may
consider all papers and exhibits appended to the complaint, as well as any matters of which
judicial notice may be taken.”). Much of the material considered in connection with the motion
for summary judgment directed to the domestic law claims is helpful in understanding the
pleadings on the international law claims. This includes the entire history of the Agent Orange
litigation and such matters as the way herbicides were manufactured and used. The nature of the
spraying and contents of the sprays used are based upon all available information available
viewing the facts which are not disputable most favorably to plaintiffs. See discussion supra
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Part II.
substance that through its chemical action kills, injures or impairs an animal organism. A highly
toxic herbicide may be poisonous and poisons may harm plants. Characterization as both, or as
one or the other, depends upon design and degree. Cf., e.g., Wax v. Aventis Pasteur Inc., 240 F.
Supp. 2d 191 (E.D.N.Y. 2002) (noting that thimerosal with mercury in a vaccine for children did
not change a “vaccine” into a poison); Jones v. Lederle Labs., 785 F. Supp. 1123 (E.D.N.Y.
1992) (discussing content of vaccine and granting defendant summary judgment as a matter of
law); see also 21 C.F.R. § 165.110 (2005) (discussing limits on parts of arsenic and dioxin in
bottled water); 29 C.F.R. § 1910.1018 (2005) (discussing limits on parts of arsenic in air to
which employees are exposed). Regular and sustained total exposure of employees in industrial
plants containing such toxic substances as dioxin or asbestos in the air is often orders of
magnitude greater than that experienced in the transient exposure of other people; where an
explosion in a chemical plant involves heavy doses of dioxin the huge concentrations and
exposure are not comparable to that alleged in the instant case. Cf. CASARETT & DOULL’S
TOXICOLOGY : THE BASIC SCIENCE OF POISONS 3 (Curtis D. Klaassen et al., eds., 3d ed. 1986)
(noting, as Paracelsus explained in the sixteenth century, “[a]ll substances are poisons; there is
none which is not a poison. The right dose differentiates a poison and a remedy.” (citations
omitted)); Mancuso v. Consol. Edison Co. of N.Y., 967 F. Supp. 1437, 1445 (S.D.N.Y. 1997)
(pointing out that “[a] central tenet of toxicology is that the dose makes the poison”) (internal
quotation marks and citation omitted)). Herbicides in Vietnam were sprayed as small droplets,
not as a gas.
59
As already indicated in Part II, the spray applied contained on average in the order of 10
parts per million (p.p.m.) of dioxin, spread at the rate of approximately 3 gallons per acre by
airplanes. Dioxin is a poison. The amount of dioxin in Agent Orange and other herbicides used
that actually landed on the ground was attenuated by its collection in trees, wind dispersal and
deterioration in the sunlight so that in the order of less than 10 p.p.m. can be estimated as
landing on people, fields and water. Once the herbicides landed at the ground level, it can be
assumed for the purposes of this discussion, as plaintiffs contend, to have had a long half-life,
the length of which is unclear. Given these circumstances it is concluded for 12(b)(6) purposes
that the Agent Orange touched the ground or people in the order of approximately $999,990
Agent Orange and the other agents used, see Table I supra Part II, for the purposes of this
12(b)(6) motion, should be characterized as herbicides and not poisons. While their undesired
effects may have caused some results analogous to those of poisons in their impact on people
and land, such collateral consequences do not change the character of the substance for present
purposes.
During the course of the argument the government suggested that it would be unfair to
apply the government contractor’s defense to the veteran plaintiffs’ claims, but not to the
It may seem anomalous that because of the government contractor defense members of
the United States armed forces may be theoretically entitled to fewer substantive rights than
60
citizens of a foreign country—in this case, the Vietnamese allegedly affected by Agent Orange
and other herbicides. Cf. U.S. Statement of Interest at 1 n.2 (stating that the analysis of the
government contractor defense in Isaacson v. Dow Chem. Co., 304 F. Supp. 2d 404, 424-39
(E.D.N.Y. 2004), should apply to Vietnamese plaintiffs’ state law claims and that “[i]t would be
anomalous indeed if American veterans were precluded from bringing such state law claims, but
aliens, including former soldiers in an enemy army, were permitted to assert such claims”).
While citizens of the United States are themselves possessors of rights established through
international law, the ATS applies only to a civil action by an alien. It reads in full: “The
district courts shall have original jurisdiction of any civil action by an alien for a tort only,
committed in violation of the law of nations or a treaty of the United States.” 28 U.S.C. § 1350
The question of whether this country can cut off litigation by its own citizens on the basis
of a defense not available against foreigners raises an interesting constitutional domestic and
international equal protection issue. The Nuremberg case of United States v. Alstoetter (The
Justice Case) held that a government and its personnel and other entities working for it, could be
guilty of international law violations against its own nationals. See 3 TRIALS OF WAR
CRIMINALS 954, 973 (photo. reprint 1997) (1951) (“[A]cts committed by Germans against other
Germans are punishable as crimes under Law No. 10 . . . ." (quoting General Telford Taylor,
Chief of Counsel for the prosecution, in United States v. Flick)). This question need not be
decided now.
It is appropriate to point out that United States nationals who served in Vietnam in our
armed forces are not being deprived of the protection of United States laws. As a practical
61
matter, our veterans’ protections are much greater than any the Vietnamese might possess: the
United States has by statute arranged to compensate members of its armed forces arguably
through Veterans Administration benefits. See, e.g., Agent Orange Act of 1991, Pub. L. No.
102-4, 105 Stat. 111 (codified as amended at 38 U.S.C.A. § 1116 (2002)); 38 C.F.R. § 3.309(e)
(2004) (listing diseases associated with exposure to certain herbicides that are deemed to be
service-related); 38 C.F.R. § 3.816 (2004) (listing diseases for which the Secretary of Veterans
Affairs has established a presumption of connection with Agent Orange exposure for Vietnam
veterans); McMillan v. TOGUS Reg’l Office, Dep’t of Veteran Affairs, 294 F. Supp. 2d 305
(E.D.N.Y. 2003) (describing scientific studies on links between diseases and Agent Orange
exposure); National Veterans Legal Services Program, Self-Help Guide on Agent Orange,
Advice for Vietnam Veterans and their Families (2000 & Supp. 2003).
Recall too that the United States veterans of the Vietnam War suing in Stephenson v.
Dow Chemical Company, Isaacson v. Dow Chemical Company and other like cases, and their
families, were entitled under the Agent Orange settlement and disbursement plan of this court to
the protection of what amounted to a substantial term policy providing compensation and
services to every veteran arguably exposed to herbicides in Vietnam who became ill. Had any of
the present veteran plaintiffs become ill during the many years some 300 million dollars was
being expended on behalf of the class, they would have received the same compensation as those
who discovered their injury before the funds obtained in the original Agent Orange litigation
were exhausted. A plan providing protection for the lifetimes of all Vietnam veterans would
have resulted in very low individual recoveries because it would have had to cover diseases that
62
tended to increase as peer groups age. This would have enormously increased the number of
claims, and attenuated even further the probability that the later diseases were caused by Agent
Orange rather than by pathogens, toxic chemicals, or other factors to which both veteran and the
non-veteran populations were equally exposed. Compare In re Joint E. & S. Dists. Asbestos
Litig., 878 F. Supp. 473, 498-509 (E.D.N.Y. 1995) (discussing prediction of future claims
against the trust, which covers asbestos injury claims up to 2049), aff’d in part, vacated in part
by 78 F.3d 764 (2d Cir. 1996), with Isaacson v. Dow Chem. Co., 304 F. Supp. 2d 404, 421
(E.D.N.Y. 2004) (noting that claims were paid by the settlement fund up to June 30, 1997, with
a total distribution to veterans for claimed diseases of $196,595,085, and on behalf of their
families of $71,306,758).
Because this case implicated restrictions on the United States’ conduct of its
international relations, exercise of its military powers, and capacity to procure materiel for its
armed forces, the court invited the government to express its views. See Vietnam Ass’n for
Victims of Agent Orange/Dioxin v. Dow Chem. Co., 327 F. Supp. 2d 198 (E.D.N.Y. 2004). The
government responded to the court’s suggestion. U.S. Statement of Interest; see also 28 U.S.C.
§ 517 (2000) (“The Solicitor General, or any officer of the Department of Justice, may be sent by
the Attorney General to any State or district in the United States to attend to the interests of the
United States in a suit pending in a court of the United States, or in a court of a State, or to
The extensive “Statement of Interest of the United States,” dated January 12, 2005, is
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summed up by the government as follows:
At bottom, this litigation seeks to challenge the means by which the United States
prosecuted the Vietnam war, and ineluctably draws into issue the President's
constitutional Commander in Chief authorities and invites impermissible second-
guessing of the Executive's war-making decisions.
. . . [T]he Executive branch considered – and repeatedly rejected – the
contention that the use of chemical herbicides in Vietnam constituted a violation
of the laws of war. Based in part on this determination, President Kennedy
himself authorized the use of herbicides, and the United States requisitioned the
chemicals at issue from the defendant manufacturers. In light of this background,
plaintiffs' international law claims should be dismissed for a variety of reasons.
First, adjudication of plaintiffs' international law claims would require this
Court to pass upon the validity of the President's decisions regarding combat
tactics and weaponry, made as Commander in Chief of the United States during a
time of active combat. Such judicial review would impermissibly entrench upon
the Executive's Commander in Chief authority, and run afoul of basic principles
of separation of powers and the political question doctrine.
Second, plaintiffs lack a cause of action to assert the international law
claims set forth in the Amended Complaint. None of the statutes or treaties relied
upon by plaintiffs provide them with a cause of action. Moreover, the Amended
Complaint fails to state a cognizable claim for a violation of the law of nations
under the Alien Tort Statute ("ATS"), 28 U.S.C. § 1350, and the Supreme Court's
recent decision in Sosa v. Alvarez-Machain, 124 S. Ct. 2739 (2004). Because the
use of herbicides in war was not unlawful – let alone universally and specifically
proscribed – the Court should not recognize a federal common law cause of action
seeking damages for such conduct.
Third, because the Executive branch considered the very questions of
customary international law now before the Court, expressly determined that the
conduct at issue did not violate such law, and the President himself acted based
upon that determination pursuant to his constitutional authority as Commander in
Chief, the President's actions displace any contrary international legal norm as a
rule of decision in this case. Because these controlling executive acts preempt the
application of customary international law in the domestic legal system, the Court
should reject any claims based upon such law.
Fourth, were the Court to address plaintiffs' international law claims, it
should give deference to the Executive's interpretation of the relevant treaties and
customary international law. The Executive branch has significant expertise in
the formulation and interpretation of both treaties and customary international
law, which this Court should accord the substantial deference it is traditionally
afforded. That interpretation has consistently been that the United States' use of
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chemical herbicides in Vietnam did not violate any applicable rules of
international law.
Finally, even if the Court were to determine that plaintiffs have stated a
cognizable claim for a violation of international law, the government contractor
defense should be held applicable to those claims. All of the rationales set forth
by the Supreme Court for the adoption of the defense as a matter of federal
common law apply to the case at bar, and international legal principles do not
foreclose its application to claims allegedly founded upon customary international
law.
For all of these reasons, the Court should dismiss plaintiffs' international
law claims.
U.S. Statement of Interest at 1-3. These contentions are discussed at appropriate points below.
Claims (e) assault and battery; (f) intentional infliction of emotional distress; (g)
negligent infliction of emotional distress; (h) negligence; (i) wrongful death; and (j) strict
product liability, are each tort claims arising from acts by defendants within the United States.
The government contractor defense provides that liability for design defects in military
equipment cannot be imposed on a government contractor by state law if “(1) the United States
approved reasonably precise specifications; (2) the equipment conformed to those specifications;
and (3) the supplier warned the United States about the dangers in the use of the equipment that
were known to the supplier but not to the United States.” Boyle v. United Techs. Corp., 487
U.S. 500, 512 (1988). See also infra Part IX on non-applicability of government contractor
Defendants moved for summary judgment against all plaintiffs in the instant case on
domestic law claims based upon, inter alia, the government contractor defense. See Defs.’
65
Mem. Supp. Mot. for Summ. J. Based on the Government Contractor Defense, Nov. 2, 2004, at
5 (listing Vietnam Ass’n for Victims of Agent Orange/Dioxin v. Dow Chem. Co. (No. 04-CV-
400) as one of the cases moved against); Reply Mem. of Law in Supp. of Defs.’ Mot. For Summ.
J. Based Upon the Government Contractor Defense, Feb. 8, 2005; supra Part IV.B.1. That
defense has been established for summary judgment purposes in part in the instant case and in
whole in veterans’ cases that were pending concurrently with this one. See Isaacson v. Dow
Chem. Co., 304 F. Supp. 2d 404 (E.D.N.Y. 2004) (granting summary judgment to defendants
based on government contractor defense but staying decision pending further discovery). The
Vietnamese plaintiffs, like plaintiffs from the United States, are subject to that defense; it covers
all domestic state and federal substantive law claims. Claims (e) to (j) are each barred by the
A number of claims are phrased in terms of equitable rather than legal grounds for relief.
They are (k) public nuisance; (l) unjust enrichment; and (m) injunctive and declaratory relief.
These claims are based on internal, domestic United States law. In their gravamen they are legal
in nature even though they seek equitable relief. They are subject to the same government
contractor defense as are the explicit legally based tort claims. Claims (k), (l) and (m) are
dismissed.
As already noted, plaintiffs seek, among other remedies, injunctive relief compelling
defendants to abate and remediate ongoing health hazards allegedly caused by the United States
military’s environmental contamination of the soil and food chains in vast regions of Vietnam.
sovereignty.
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Injunctive relief is granted “not as a matter of right but in the exercise of a sound judicial
discretion.” Morrison v. Work, 266 U.S. 481, 490 (1925). In the exercise of that discretion,
district courts may properly refuse to grant injunctive relief that is impracticable or otherwise
contrary to the public interest. See, e.g., Weinberger v. Romero-Barcelo, 456 U.S. 305, 312
(1982) (“In exercising their sound discretion, courts of equity should pay particular regard for
Littleton, 414 U.S. 488, 500 (1974) (“A federal court should not intervene to establish the basis
Requests for extraterritorial injunctions often raise serious concerns for sovereignty and
enforceability which compel denial. See generally Vanity Fair Mills, Inc. v. T. Eaton Co., 234
F.2d 633, 647 (2d Cir. 1956). The power to enjoin activities on foreign soil “should be
exercised with great reluctance when it [would] be difficult to secure compliance . . . or when
the exercise of such power is fraught with possibilities of discord and conflict with the
authorities of another country.” Id. (holding that Lanham Act did not apply to actions
committed by foreign citizens acting under presumably valid trademarks in a foreign country);
see also McKusick v. City of Melbourne, 96 F.3d 478, 488 (11th Cir. 1996) (“‘There is not an
absolute right to an injunction in a case in which it would impair or affront the sovereign powers
or dignity of a state or a foreign nation.’” (quoting Hoover v. Wagner, 47 F.3d 845, 850 (7th Cir.
1995))).
In Bano v. Union Carbide Corp., an individual and three organizations sued Union
Carbide and its former president for personal injuries and property damage allegedly caused by
the corporation’s pollution of groundwater with toxic chemicals and by-products that were
67
dumped, stored or abandoned at its plant in India. The district court denied their request for an
[i]nappropriate.” Bano v. Union Carbide Corp., Civ. No. 99-11329, 2003 WL 1344884, at *8
(S.D.N.Y. Mar. 18, 2003), aff’d in part, rev’d in part by 361 F.3d 696 (2d Cir. 2004). The court
noted that the former plant site is “located over 8,000 miles away from the United States” and
now is owned and controlled by the Indian State of Madhya Pradesh, and concluded that
carry it out.” Id. Moreover, although the Indian government apparently was willing to
“cooperate with any measures imposed,” the court stated that it did not wish “to direct a foreign
government as to how that state should address its own environmental issues,” and that it
discretion standard], the Court of Appeals for the Second Circuit noted that “‘[t]he practicability
of drafting and enforcing an order or judgment for an injunction is one of the factors to be
Carbide Corp., 361 F.3d 696, 716 (2d Cir. 2004) (quoting RESTATEMENT (SECOND ) OF TORTS §
943 (1979)), and that “injunctive relief may properly be refused when it would interfere with the
Ordering abatement and remediation in the present case would be far more “[i]nfeasible
and [i]nappropriate” than in Bano. The remediation sought involves areas far larger and
indeterminate than the discrete plant site and surrounding property in Bano. The court would be
required to oversee complex environmental studies and make conclusive findings about
68
contamination caused by chemicals used many decades ago in large regions of a foreign country.
Enforcement would necessitate the administration of standards and procedures for the cleanup of
lands over which the court has no jurisdiction. These difficulties make injunctive relief wholly
In Sosa v. Alvarez-Machain, 124 S. Ct. 2739, 2761-62 (2004), the Supreme Court
cautioned that “courts should require any claim [under the ATS, 28 U.S.C. § 1350,] based on the
present-day law of nations to rest on a norm of international character accepted by the civilized
world and defined with a specificity comparable to the features of the 18th-century paradigms
[the Court has] recognized,” such as violation of safe conduct, infringement of the rights of
ambassadors, and piracy. Emphasizing its narrow view of the ATS, it declared “Congress
intended the ATS to furnish jurisdiction for a relatively modest set of actions alleging violations
The Court stressed “judicial caution when considering the kinds of individual claims that
might implement the jurisdiction conferred by” the ATS, while acknowledging “that a judge
judgment in the decision.” Id. at 2762. It noted that “the possible collateral consequences of
making international rules privately actionable argue for judicial caution,” and found “reason for
a high bar to new private causes of action for violating international law” in the risk of adverse
foreign policy consequences for the United States “impinging on the discretion of the Legislative
and Executive Branches in managing foreign affairs.” Id. at 2763. Stressing “great caution,” it
69
declared, “the judicial power should be exercised on the understanding that the door is still ajar
subject to vigilant doorkeeping, and thus open to a narrow class of international norms today.”
Id. at 2764. It wrote: “[W]e are persuaded that federal courts should not recognize private
claims under federal common law for violations of any international law norm with less definite
content and acceptance among civilized nations than the historical paradigms familiar when
§ 1350 was enacted.” Id. at 2765. It added: “And the determination whether a norm is
sufficiently definite to support a cause of action should (and, indeed, inevitably must) involve an
element of judgment about the practical consequences of making that cause available to litigants
Based on these standards, the Sosa Court categorically rejected the plaintiff’s argument
that a binding customary norm of international law prohibited “arbitrary” detention in a case
where the plaintiff was illegally detained in Mexico for less than one day and illegally brought
against his will into the United States to transfer his custody to lawful authorities for a criminal
prosecution. Id. at 2768-69. Given the cautions of Sosa, plaintiffs’ substantive claims must be
viewed skeptically.
The government urges the court to consider Sosa’s warning about practical consequences
70
herbicides to advance the war in Vietnam. The practical consequences of
recognizing such a cause of action are extraordinarily problematic for several
reasons.
....
First, allowing plaintiffs' claims to proceed would interfere with the United
States' ongoing bilateral relationship with Vietnam, particularly as it relates to the
effect of chemical herbicides used in Vietnam. That relationship has been
characterized by measured and specific agreement on various issues relating to the
war and its aftermath. Allowing claims such as plaintiffs' to proceed would serve
to undermine and upset that relationship by usurping the authority to address
issues relating to the use of chemical herbicides from the Executive Branch, where
such authority properly resides.
The United States and Vietnam have entered into two agreements relevant
to the matters here at issue. First, in 1995, the two countries entered into an
Agreement Between the Government of the United States of America and the
Government of the Socialist Republic of Vietnam Concerning the Settlement of
Certain Property Claims ("1995 Property Agreement"). See 34 I.L.M. 685 (1995).
The 1995 Property Agreement settled claims of nationals of both parties relating
to the taking or expropriation of property, and addressed the disposition of
blocked Vietnamese assets in the United States. Id. Notably, the 1995 Property
Agreement did not address claims for war reparations by either country.
Subsequently, in 2002, the United States, represented by the Department
of Health and Human Services, entered into a Memorandum of Understanding
with Vietnam, represented by the Vietnamese Ministry of Science, Technology
and Environment. See Memorandum of Understanding ("MOU"), March 10,
2002, available at <http://usembassy.state.gov/vietnam/wwwh020310ii.html>.
The MOU addresses future cooperation and collaboration between scientists in
both countries with respect to research regarding the health and environmental
effects of dioxin. Id. The MOU was the result of years of diplomatic negotiations
with the Vietnamese regarding the use of chemical herbicides containing dioxin
during the war. It reflects the full extent of the United States' willingness to
engage with Vietnam on the question of chemical herbicides at this time.
Recognizing a cause of action for the international law cum federal
common law claims asserted by plaintiffs here would serve to undermine the
Executive's conduct of the Nation's foreign relations with Vietnam. As
demonstrated by both the 1995 Property Agreement and the MOU, to date, the
United States has not agreed to provide reparations to the Vietnamese for the use
of chemical herbicides during the war. Allowing plaintiffs' claims here to proceed
would circumvent and defeat this Executive branch determination, and allow the
plaintiffs to achieve via litigation that which their government failed to achieve
via diplomacy. It is precisely such "potential implications for the foreign relations
of the United States" that "should make courts particularly wary" of recognizing
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causes of actions such as plaintiffs', which have the effect of "impinging on the
discretion of the Legislative and Executive Branches in managing foreign affairs."
Sosa, 124 S. Ct. at 2763. Where, as here, the precise subject matter at issue has
been the subject of diplomatic negotiations, Sosa's cautionary notes are
particularly applicable, and no federal common law cause of action should be
recognized.
....
A more general "practical consequence" also militates against recognizing
a federal common law cause of action in the case at bar. Essentially, what
plaintiffs seek is war reparations from the defendant chemical companies for the
United States' conduct during the Vietnam war. They thus ask this Court to
recognize a federal common law cause of action, by the United States' former
enemies, against the United States' military contractors, for the United States'
conduct during a war. The "practical consequences" of such a step are
breathtaking, as it has the potential of opening federal courthouse doors to all of
the Nation's past and future enemies. Such a step would likely have a chilling
effect both on the President's exercise of his Commander in Chief powers, and on
government contractors' willingness to provide the products necessary to ensure
the defense of the Nation. . . . Particularly in light of the traditional rule of
international law that war reparations are the subject of government-to-
government negotiations, and not individual claims, recognizing such federal
common law claims would be truly extraordinary.
War reparations include "'all the loss and damage to which . . .
Governments and their nationals have been subjected as a consequence of the war
imposed upon them." Burger-Fischer v. Degussa AG, 65 F. Supp. 2d 248, 275
(D.N.J. 1999), quoting The Versaille[s] Treaty, art. 231. See also Black's Law
Dictionary at 1325 (8th ed. 2004) (defining reparations as "[c]ompensation for an
injury or wrong, esp. for wartime damages or breach of an international
obligation"). Claims based upon the United States' use of chemical herbicides as
a tool of war readily fall within the scope of war reparations claims.
Yet such war reparations claims have traditionally been, and as a matter of
customary international law are, the subject of government-to-government
negotiations, as opposed to private lawsuits. "Under international law claims for
compensation by individuals harmed by war-related activity belong exclusively to
the state of which the individual is a citizen." Burger-Fischer, 65 F. Supp. at 273.
Thus, "[l]ike other claims for violation of an international obligation, a state's
claim for a violation that caused injury to rights or interests of private persons is a
claim of the state and is under the state's control. . . . Any reparation is, in
principle, for the violation of the obligation to the state, and any payment made is
to the state." Restatement (3d) Foreign Relations § 902, comment i (emphasis
added); cf. Am. Ins. Ass'n v. Garamendi, 539 U.S. 396, 416 (2003)
("[h]istorically, wartime claims against even nominally private entities have
72
become issues in international diplomacy").
This latter point undermines any assertion that private claims for war
reparations are as widely accepted as the eighteenth century paradigms discussed
in Sosa. To the contrary, it establishes precisely the opposite – as a matter of
international law war reparations claims such as plaintiffs' belong to states and not
to individuals. To jettison this legal principle in order to recognize individual
causes of actions for plaintiffs' claims would run counter to Sosa's admonition that
the practical consequences of recognizing new causes of action "must" inform the
Court's judgment in crafting federal common law. In sum, the determination of
whether, when, and how to pay reparations for conduct of the United States'
Armed Forces should stay where it has been for the past two-hundred-plus years
by virtue of both the Constitution and principles of customary international law –
with the Political Branches of government. For this reason as well, the Court
should not recognize any federal common law cause of action in this case.
A. Standing of VAVAO
Defendants assert that The Vietnam Association for Victims of Agent Orange/Dioxin
(“VAVAO”) has no standing. VAVAO claims to represent a putative class of some four
million Vietnamese nationals who contend they have been exposed to, and injured by, herbicides
manufactured by defendants. The size of the class and its appropriateness needs no attention
now since, as already pointed out above in Part IV.A.7., there will be no certification of the
class.
prudential grounds. Given the situation of those claimed to have been injured—their general
relative poverty and constraints during and after the war, subjugation by a non-democratic
communist government and the lack of a relatively sophisticated free and aggressive bar in
73
Vietnam capable of prosecuting mass toxic tort actions—the most practical way to vindicate
plaintiffs’ rights, if there are such rights under international law, and if there is jurisdiction under
the ATS, would be via some association such as VAVAO. Considering the geographic scope
(much of the territory of Vietnam) of the claims, the nature of the claims (complex in law and
fact), the number of persons affected (millions), the difficulty of prosecution (in a foreign land
with different procedures and substantive law), and the importance to this country and the world
though apparently an ad hoc organization designed and organized primarily to prosecute Agent
Orange claims, can be said to represent both itself and its members.
Under Article III of the Constitution, a court’s power to redress injury extends only to
parties who have suffered “‘some threatened or actual injury’” resulting from an alleged illegal
action. Warth v. Seldin, 422 U.S. 490, 498 (1975) (quoting Linda R.S. v. Richard D., 410 U.S.
614, 617 (1973)). As a prudential matter, such a litigant generally “‘must assert his own legal
rights and interests, and cannot rest his claim to relief on the legal rights and interests of third
parties.’” Valley Forge Christian Coll. v. Ams. United for Separation of Church & State, Inc.,
454 U.S. 464, 474 (1982) (quoting Warth, 422 U.S. at 499).
in its own right to redress injury to the organization itself. In limited circumstances, such as
those in the instant case, an organization also may have “association standing” in a
representative capacity to assert claims on behalf of its members. See Hunt v. Wash. State Apple
Adver. Comm’n, 432 U.S. 333, 343 (1977); Warth, 422 U.S. at 515-16. In Hunt, the Supreme
Court constructed the framework for assessing association standing. 432 U.S. at 343. The Court
74
explained that an association has standing in a representative capacity to bring suit on behalf of
its members when “(a) its members would otherwise have standing to sue in their own right; (b)
the interests it seeks to protect are germane to the organization’s purpose; and (c) neither the
claim asserted nor the relief requested requires the participation of individual members in the
lawsuit.” Id.
VAVAO sufficiently meets all these requirements. The fact that not all members of
VAVAO, which includes persons who suffered no injury such as “medical and scientific
researchers and prominent people from other disciplines,” would have standing to sue in their
own right, does not defeat standing of the organization. See generally N.A.A.C.P. v. Acusport
Corp., 210 F.R.D. 446, 455-61 (E.D.N.Y. 2002) (discussing standing with citations); cf. Beth
Van Schaack, Unfulfilled Promise: The Human Rights Class Action, 2003 U. CHI. LEGAL F. 279
(discussing class action as substitute for representative actions for procedural efficiency).
The Court of Appeals for the Second Circuit analyzed these issues in Bano v. Union
Carbide Corp., 361 F.3d 696 (2d Cir. 2004), a case already discussed above in Part VI. In Bano,
an individual and three organizations sued Union Carbide and its former president, alleging
personal injuries and property damage from groundwater pollution caused by the dumping,
storage and abandonment of toxic chemicals and by-products at the corporation’s former plant in
Addressing the organizations’ claims for money damages, the Court of Appeals for the
Second Circuit affirmed the district court’s determination that the organizations failed to meet
Hunt’s “association standing” requirements for pursuing the claims of their members. Id. at
75
713-16. As noted above, the third prong of the Hunt test for “association standing” demands
that “neither the claim asserted nor the relief requested requires the participation of individual
members in the lawsuit.” 432 U.S. at 343. The organizations’ claims in Bano were that
“individuals have suffered bodily harm and damage to real property they own.” 361 F.3d at 714.
The court reasoned that “[n]ecessarily, each of those individuals would have to be involved in
the proof of his or her claims,” and concluded that the organizations lacked “association
standing” to pursue these claims. Id. at 714-15. Relative to the scope and nature of the claims in
the instant case, those in Bano—arising from a single event in a limited geographic area—were
The Court of Appeals for the Second Circuit noted that it was aware of “no Supreme
Court or federal court of appeals ruling that an association has standing to pursue damages
claims on behalf of its members.” Id. at 714 (emphasis added); see also, e.g., Irish Lesbian &
Gay Org. v. Giuliani, 143 F.3d 638, 649 (2d Cir. 1998) (confirming the district court’s refusal to
individualized proof of injuries was required); Am. Fed’n of R.R. Police, Inc. v. Nat’l R.R.
Passenger Corp., 832 F.2d 14, 16 (2d Cir. 1987) (dismissing association plaintiff’s damages
claim based on physical injury because any injury that occurred “would have been peculiar to the
individual policeman”).
disgorgement of profits and toxic chemical clean-up of a huge land mass are sought in addition
to individual damages. See supra Parts IV.A.8., VI. Unlike claims for money damages, an
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association generally has standing on behalf of its members when its claims raise a “‘pure
question of law,’” Bano, 361 F.3d at 714 (quoting Int’l Union, United Auto. Aerospace & Agric.
Implement Workers of Am. v. Brock, 477 U.S. 274, 287 (1986)), or seek solely a forward-looking
remedy such as “‘a declaration, injunction, or some other form of prospective relief,’” id.
(quoting Warth, 422 U.S. at 515). In such cases, the Supreme Court has held that prudential
standing is possible, because “‘it can reasonably be supposed that the remedy, if granted, will
inure to the benefit of those members of the association actually injured.’” Id. (quoting Warth,
422 U.S. at 515). Thus, “where the organization seeks a purely legal ruling without requesting
that the federal court award individualized relief to its members, the Hunt test may be satisfied.”
Id.; see also Northeastern Fla. Chapter of the Associated Gen. Contractors of Am. v. City of
Jacksonville, 508 U.S. 656 (1993) (allowing that an association had standing on an Equal
Protection challenge to an ordinance); Brock, 477 U.S. at 284-88 (finding union had standing to
challenge a policy directive of the United States Department of Labor because it raised a “pure
question of law” that could be litigated without the participation of individual claimants); Warth,
VAVAO raises a number of pure questions of law and seeks forward-looking relief in
cleanups. It has standing to seek injunctive relief. The fact that injunctive relief is denied, supra
It is the government’s view that plaintiffs lack a cause of action allowing them to assert
their international law claims because the statutes and international materials they rely upon do
77
not provide for a private right of action, their claims do not meet the exacting rules of Sosa, and
no norm prohibited the use of herbicides in war or destruction of enemy crops during this
country’s participation in the Vietnam War. U.S. Statement of Interest at 23-36. Insofar as the
government’s contention is that no right of action can exist under plaintiffs’ theories, it is
rejected as too broad. As to particular failures of the specific claims under the specific facts of
this litigation, the position is accurate and, as indicated below in Part XI, leads to dismissal.
The right to sue under international law for violations of human rights normally devolves
agreements or the law of the United States may permit private civil suits in a court of this
country. See 2 RESTATEMENT (THIRD ) OF THE FOREIGN RELATIONS LAW OF THE UNITED
STATES § 703(3) (“An individual victim of a violation of a human rights agreement may pursue
any remedy provided by that agreement or by other applicable international agreements.”); id. §
907 (discussing private remedies under the law of the United States for violations of
international law); supra Part I.B.1. on treatment of foreigners in United States courts; infra Part
VIII.H. on choice of law. While Sosa limits ATS litigation, it recognizes the right of a private
The government and defendants argue that plaintiffs’ claims are essentially that
defendants were aiding and abetting, and that these claims must be dismissed because Congress
has not authorized aiding and abetting liability under the ATS. U.S. Statement of Interest at 36-
78
39; see also Cent. Bank of Denver v. First Interstate Bank of Denver, N.A., 511 U.S. 164, 181-82
(1994) (explaining that although “aiding and abetting is an ancient criminal law doctrine,” there
is no “general presumption” that a federal statute should be read as extending aiding and abetting
liability to the civil context and that the doctrine permitting civil redress "has been at best
uncertain in application").
While this position is applicable to any kind of defendant, here it is particularly relevant
in the corporate context. But it misstates the plaintiffs’ broad contention: defendants are
charged in their corporate capacity with themselves violating international law under Nuremberg
corporations they cannot be held liable. See infra Part VIII.C.2.; see also infra Part IX regarding
Even under an aiding and abetting theory, civil liability may be established under
international law. As the Amici Brief on behalf of plaintiffs properly analyzes the matter:
Federal courts have repeatedly confronted the question of whether the ATS
encompasses the liability of private actors, including private corporations, for
violations of international law. Federal courts, including those of this jurisdiction,
have consistently answered the question in the affirmative. See, Kadic v.
Karadzic, 70 F.3d [232,] 239 [(2d Cir. 1995)] (the reach of international law is not
limited to []state actors); Presbyterian Church of Sudan v. Talisman Energy, Inc.,
244 F. Supp. 2d [289,] 321 [(S.D.N.Y. 2003)] (holding that “ATCA suits [may]
proceed based on theories of conspiracy and aiding and abetting”); Abdullahi v.
Pfizer, Inc., 77 Fed. Appx. 48 (2d Cir. 2003); Wiwa v. Royal Dutch Petroleum
Co., No. 96 Civ. 8386, 2002 WL 319887 (S.D.N.Y. Feb. 28, 2002) (finding that
private corporations could be held liable for “joint action” with state actors);
Bodner v. Banque Paribas, 114 F. Supp. 2d 117, 127-28 (E.D.N.Y. 2000)
(holding that subject matter jurisdiction existed under the ATCA, where plaintiffs
alleged a French bank had been complicit with the Nazi regime); Iwanowa [v.
Ford Motor Co.], 67 F. Supp. 2d [424,] 445 [(D.N.J. 1999)] (“No logical reason
exists for allowing private individuals and corporations to escape liability for
79
universally condemned violations of international law merely because they were
not acting under color of law.”); see also Doe v. Unocal, 2002 U.S. App. LEXIS
19263, [at] *35-36 (9th Cir. [Sept. 18,] 2002)[,] vacated [by] 2003 U.S. App.
LEXIS 2716 [(9th Cir. Feb. 14, 2003)]; Burnett v. Al Bar Investment &
Development Corp., 292 F. Supp. 2d 9 (D.D.C. 2003); Mehinovic v. Vuckovic,
198 F. Supp. 2d 1322, 1355 (N.D. Ga. 2002) (“United States courts have
recognized that principles of accomplice liability apply under the ATCA to those
who assist others in the commission of torts that violate customary international
law.” (citing cases)); Eastman Kodak Co. v. Kavlin, 978 F. Supp. 1078, 1090-95
(S.D. Fla.1997) (holding that subject matter jurisdiction existed in an ATCA
action against a Bolivian corporation); Carmichael v. United Technologies Corp.,
835 F.2d 109, 113-114 (5th Cir. 1998) (assuming without deciding that ATCA
confers jurisdiction over private parties who aid, abet or conspire in human rights
violations). . . .
U.S. courts have repeatedly determined that the ATS encompasses aiding
and abetting liability, in a variety of different circumstances. For example,
Presbyterian Church of the Sudan, 244 F. Supp. 2d at 320-24, held that
allegations that a Canadian oil company aided and abetted war crimes and other
gross human rights violations were actionable. Similarly, the court in Mehinovic
v. Vuckovic, 198 F. Supp. 2d [1322,] 1355-1356 [(N.D. Ga. 2002)], found a
former Serb soldier liable for aiding and abetting war crimes and other human
rights violations in Bosnia-Herzegovina. In Hilao v. Estate of Marcos,103 F.3d
767, 776 (9th Cir. 1996), the Ninth Circuit affirmed a jury instruction allowing a
foreign leader to be held liable upon finding that he “directed, ordered, conspired
with, or aided the military in torture, summary execution, and ‘disappearance.’”
Likewise, Burnett v. Al Baraka Investment, 274 F. Supp. 2d 86, 100 (D.D.C.
2003), held that allegations by victims of the September 11 attacks that various
entities aided and abetted the perpetrators stated a claim. In Bowoto v. Chevron
Texaco [Corp.], 312 F. Supp. 2d 1229, 1247 (N.D. Cal. 2004), the court held that
plaintiffs could proceed on their claims against an oil company for aiding and
abetting military killings in Nigeria. Similarly, Bodner v. Banque Paribas, 114 F.
Supp. 2d 117, 128 (E.D.N.Y. 2000), held that claims that defendant banks aided
and abetted the Vichy and Nazi regimes in plundering plaintiffs’ assets were
actionable under the ATS. There is simply no question that the ATS provides for
aiding and abetting liability.
. . . The liability of private actors, as aiders and abettors, for violations of
international law was understood at the time the ATS was enacted. In a 1795
opinion issued by Attorney General Bradford specifically states that individuals
would be liable under the ATS for “committing, aiding, or abetting” violations of
the laws of war. Breach of Neutrality, 1 Op. Att’y Gen. 57, 59 (1795). In that
opinion, the Attorney General considered an incident involving private actors,
acting in concert with, but not controlling the French naval vessels. See id.
80
Six years after the passage of the ATS, the Supreme Court in Talbot v.
Janson, 3 U.S. (3 Dall.) 133, 156 (1795), found that Talbot, a French citizen, who
had assisted Ballard, a U.S. citizen, in unlawfully capturing a Dutch ship had
acted in contravention with the law of nations and was liable for the value of the
captured assets. See also id. at 167-68 (Iredell, J., concurring) (“It is impossible
that Ballard can be guilty of a crime, and Talbot, who associated with him, in the
wilful commission of it, can be wholly innocent of it.”). Justice Paterson wrote
that Talbot’s liability sprang from his actions in aiding Ballard to arm and outfit,
in cooperating with him on the high seas, and using him as the instrument and
means of capturing vessels. Id. at 157. In finding the defendant liable, Justice
Paterson found that the defendant had surrendered his protection under
international law when he supplied his accomplice’s ship with guns and used him
“as the instrument and means of capturing vessels.” Id. at 156. Judge Iredell,
writing in concurrence, agreed, finding Talbot to have “abetted Ballard” when he
“cruised before and after, in company with him [and] put guns on board of
[Ballard’s] vessel.” Id. at 167. . . . [F]ederal case law dating back more than two
hundred years . . . recognized liability for aiding and abetting violations of
international law norms.
....
International law clearly and specifically defines aiding and abetting
liability. United States courts applying such liability under the ATS have
correctly held that under international law, the actus reas of aiding and abetting
consists of “practical assistance, encouragement, or moral support which has a
substantial effect on the perpetration of the crime,” and that the mens rea required
is the knowledge that these acts assist the commission of the offence; the
accomplice need not share the principal’s wrongful intent. Mehinovic, 198 F.
Supp. 2d at 1356 (quoting Prosecutor v. Furundzija, Case No. IT-95-17/1/T,
judgment, ¶¶ 192-249 (ICTY Trial Chamber, Dec. 10, 1998), reprinted at 38
I.L.M. 317 (1999)); accord Presbyterian Church of the Sudan, 244 F. Supp. at
323-24. Critically, the jurisprudence of the International Criminal Tribunal for the
Former Yugoslavia, upon which the Mehinovic and Talisman courts relied, was
based on an exhaustive analysis of the jurisprudence of the post-World War II
tribunals. See, e.g., Furundzija IT-95-17/1, ¶¶ 195-97, 200-25, 236-49. Clearly,
customary international law provides a “specific, universal and obligatory” norm
against aiding and abetting that was well-established long before the Vietnam
War.
Br. Amici Curiae of the Center for Constitutional Rights, Earthrights International and the
International Human Rights Law Clinic at the University of Virginia School of Law, Jan. 18,
2005, at 13-17 (emphasis added) (some footnotes omitted) [hereinafter Amici Brief].
81
2. Corporate Culpability
Defendants argue that corporations cannot be liable under international law. There is
substantial support for this position. See generally, e.g., STEVEN R. RATNER & JASON S.
THE NUREMBERG LEGACY 16 (2d ed. 2001) (“It remains unclear . . . whether international law
and International Law, 12 U. CHI. L. REV . 313, 332 (1945) (“The element of individual
Individual under International Law, 35 GEO . L.J. 481, 489 (1947) (“In the last resort
responsibility under international law can only be responsibility of an individual . . . .”); Beth
(“International law permits states to allow civil claims [against individuals] for human rights
violations.”). But see to the contrary authorities collected in Amici Brief quoted above in Part
VIII.C.1.
Defendants point out, for example, that corporate defendants cannot violate the TVPA
because, by its terms, the statute imposes liability only on a human being who inflicts torture
upon another human being. See infra Part XI.B.1. They suggest that even if there had been a
binding prohibition on the wartime use of herbicides prior to 1971, when use by the United
States ceased, it created no universally recognized prohibition on the manufacture and sale by
private parties of herbicides intended for such use. They note that the general rule is that
82
international legal norms impose obligations on states, not private actors. Decl. of Kenneth
Howard Anderson, Jr., Nov. 2, 2004, ¶88 [hereinafter Anderson Decl.]. As a leading treatise
explains:
States are the principal subjects of international law. This means that
international law is primarily a law for the international conduct of States, and not
of their citizens. As a rule, the subjects of the rights and duties arising from
international law are states solely and exclusively, and international law does not
normally impose duties or confer rights directly upon an individual human
being . . . .
Id. (quoting SIR ROBERT JENNINGS & SIR ARTHUR WATTS, 1 OPPENHEIM ’S INTERNATIONAL LAW
international prohibition extended to corporate entities. They indicate that in the few instances in
which international law imposes obligations on non-state actors, “[i]nternational law does not, in
the context of international criminal law or elsewhere, impose obligations or liability on juridical
actors or artificial persons such as corporations.” Id. ¶ 89. It is apparently true that the
international criminal tribunals beginning with Nuremberg have not provided for corporate
criminal responsibility. Id. ¶¶ 91-92. In determining the jurisdiction of the newly created
International Criminal Court the treaty drafters (including the United States) expressly rejected
Throughout the TVPA the term “individual” describes both those who can violate its
proscriptions against torture, as well as those who can be victims of torture. Specifically, the
TVPA provides that “[a]n individual who . . . subjects an individual to torture shall . . . be liable
for damages to that individual,” Torture Victim Protection Act of 1991, Pub. L. No. 102-256,
83
§ 2(a)(1), 106 Stat. 73, 73 (1992) (emphasis added), and it defines “torture” as “any act, directed
individual,” id. § 3(b)(1) (emphasis added). Both from context and common sense only natural
persons can be the “individual” victims of acts that inflict “severe pain and suffering.” See id.
Because the TVPA uses the same term “individual” to identify offenders, the definition of
“individual” within the statute appears to refer to a human being, suggesting that only natural
persons can violate the Act. See Desert Palace, Inc. v. Costa, 539 U.S. 90, 101 (2003) (noting
that “[a]bsent some congressional indication to the contrary, [courts] decline to give the same
term in the same Act a different meaning depending on whether the rights of the plaintiff or the
defendant are at issue”); see also Beanal v. Freeport-McMoran, Inc., 969 F. Supp. 362, 381-82
(E.D. La. 1997) (“[T]he plain meaning of the term ‘individual’ does not ordinarily include a
All three of the international instruments plaintiffs rely upon that address the weapons
that may be used in war follow the general rule of international law by imposing obligations only
on states. The Hague Convention IV expressly provides that it does “not apply except between
Contracting Powers,” Convention (IV) Respecting the Laws and Customs of War on Land, Oct.
18, 1907, art. 2, 36 Stat. 2277, 2290 (emphasis added), and that “[a] belligerent party which
violates the provisions of the said Regulations shall, if the case demands, be liable to pay
compensation,” id. art. 3 (emphasis added). The 1925 Geneva Protocol likewise provides that
the “High Contracting Parties . . . accept” the prohibition on use of bacteriological methods of
warfare “and agree to be bound as between themselves.” Prohibition of the Use in War of
Asphyxiating, Poisonous or Other Gases, and of Bacteriological Methods of Warfare, June 17,
84
1925, 26 U.S.T. 571, 575 (emphasis added). United Nations Resolution Number 2603-A,
dealing with herbicides, relies upon the 1925 Geneva Protocol, which purports solely to bind
States. See G.A. Res. 2603-A, U.N. GAOR, 24th Sess., 1836th plen. mtg. at 16 (1969) (claiming
that “[t]he majority of States then in existence” adhered to the 1925 Geneva Protocol, that
“further States have become parties” and that “other States have declared that they will abide by
its principles and objectives”). Defendants argue that, because the terms of none of these
documents refers to private actors, these instruments do not establish a binding international
norm prohibiting private entities from making or selling herbicides for use during war prior to
1975.
Defendants argue that plaintiffs cannot rely wholly on domestic legal concepts such as
conspiracy, aiding and abetting or “state actors” to expand either the type of conduct or “the type
of perpetrator,” that a customary international legal prohibition reaches. Instead, plaintiffs must
show that a definite and universally accepted norm of international law prohibits the act of an
individual working with a government to violate an international norm, and that this independent
international prohibition extends to private actors. In the instances in which international law
imposes obligations on non-state actors, traditionally international law does not, in the context of
Yet, despite the strength of authority supporting defendants’ position, in view of the
Nuremberg and post-Nuremberg trials, see infra Parts IX.C.-D., plaintiffs would have overcome
this conceptual burden had international law prohibited the use of herbicides in Vietnam at the
time they were used by the United States. See 1 RESTATEMENT (THIRD ) OF THE FOREIGN
85
RELATIONS LAW OF THE UNITED STATES introductory note to pt. II, at 71 (“[I]ndividuals and
Professor Anderson writes that at the Nuremberg trials, several German businessmen and
industrialists were tried as individuals (who had done their work as officers and directors of
companies), but “the record contains no suggestion that corporations could themselves incur
criminal liability.” Anderson Decl. ¶ 91. In fact, in the Nuremberg trials, this point of lack of
corporate liability appeared to have been explicitly stated. Nevertheless, in the quotation which
follows, and in other proceedings regarding Krupp and other German corporate entities, the law
cannot ignore the fact that it was the corporations through which the individuals acted:
86
prosecution of its burden in this respect.
One cannot condone the activities of Farben in the field of spoilation. If
not actually marching with the Wehrmacht, Farben at least was not far behind.
But translating the criminal responsibility to personal and individual criminal acts
is another matter.
United States v. Krauch (I.G. Farben Case), 8 TRIALS OF WAR CRIMINALS 1081, 1152-53 (photo.
reprint 1997) (1952) (emphasis added) (footnote omitted). Even accepting this quotation’s
that Telford Taylor in his masterful text, The Anatomy of the Nuremberg Trials, heads chapter 18
“The Indicted Organizations,” which describes the German corporate organizations that were
essential to execution of widespread Nazi bestiality. See TELFORD TAYLOR, THE ANATOMY OF
THE NUREMBERG TRIALS: A PERSONAL MEMOIR 501 (Little Brown & Co. 1992) (emphasis
added).
It is not necessary to decide whether, if the corporations had been made parties at
Nuremberg—as they surely could have been under United States criminal jurisprudence—they
could have been found guilty. Farben as a corporation was not a named defendant. See also
United States v. Krupp, 9 TRIALS OF WAR CRIMINALS 1327-1452. The Zyklon B Case (Trial of
Bruno Tesch and Two Others) involved an individual proprietorship; corporate liability was not
implicated. 1-5 LAW REPORTS OF TRIALS OF WAR CRIMINALS 93-102; see also infra Part IX.C.
Limiting civil liability to individuals while exonerating the corporation directing the
individual’s action through its complex operations and changing personnel makes little sense in
today’s world. Cf. 1 RESTATEMENT (THIRD ) OF THE FOREIGN RELATIONS LAW OF THE UNITED
87
STATES § 421(2)(e) (stating, generally, that a state’s exercise of jurisdiction to adjudicate with
to the law of the state”). Our vital private activities are conducted primarily under corporate
auspices, only corporations have the wherewithal to respond to massive toxic tort suits, and
changing personnel means that those individuals who acted on behalf of the corporation and for
its profit are often gone or deceased before they or the corporation can be brought to justice.
While the legal effects of outsourcing to private contractors is unclear, it cannot be ignored under
international or United States law. See Myriam Gilles, Private Parties as Defendants in Civil
Rights Litigation, 26 CARDOZO L. REV . 1, 6 & nn.21-22, 7 (2004) (discussing use of private
contractors in war).
A corporation is not immune from civil legal action based on international law. The
opinion on this point of Professor Paust is compelling. Paust Op. at 3 (“Companies and
corporations can have duties under international law, especially with respect to laws of war and
human rights. Moreover, they have never been granted immunity under any known treaty or
For the purposes of the present motion the court adopts the submission of the Amici Brief
on the point:
The potential liability of corporations under the ATS has been widely
recognized or assumed by federal courts. The Supreme Court acknowledged that
corporations can be sued under the ATS. Sosa v. Alvarez-Machain, 124 S. Ct. at
2766, n.20. The Second Circuit has considered numerous cases where plaintiffs
sued a corporation under the ATCA for alleged breaches of international law.
Jota v. Texaco, Inc., 157 F.3d 153 (2d Cir. 1998) (vacating the district court's
dismissal, on the grounds of forum non conveniens, international comity and
failure to join an indispensible party, and remanding); Wiwa v. Royal Dutch
88
Petroleum Co., 226 F.3d 88 (2d Cir. 2000) (reversing dismissal on forum non
conveniens grounds and finding personal jurisdiction over the defendant
corporations); Bigio v. Coca-Cola Co., 239 F.3d 440 (2d Cir. 2000) (affirming
dismissal of the ATS claim because the defendant corporation did not "act under
color of law" simply by purchasing property from the government); Aguinda v.
Texaco, Inc., 303 F.3d 470 (2d Cir. 2002) (dismissed based on forum non
conveniens). Although none of these cases explicitly addressed the liability of
corporations under the ATS, the disposition of these cases is inconsistent with the
assertion that no claim under the ATS can be brought against corporations. In
each of these cases, the Second Circuit acknowledged that corporations are
potentially liable for violations of the law of nations that ordinarily entail
individual responsibility. See also Carmichael v. United Technologies Corp., 835
F.2d 109, 113-14 (5th Cir. 1988) (assuming explicitly that the ATS provided
subject matter jurisdiction for a claim against a corporation).
The issue of corporate liability under the ATS was decided affirmatively in
numerous district court cases. In Presbyterian Church of the Sudan v. Talisman,
256 F. Supp. 2d at 311-19, the court reviewed the various precedents in federal
common law and before international tribunals, which support the view that a
corporation could be held liable for a violation of an international legal norm.
The Talisman court noted with approval the same conclusion analyzed by Steven
R. Ratner in “Corporations and Human Rights: A Theory of Legal
Responsibility,” 111 Yale L.J. 443 (2001) and INTERNATIONAL COUNCIL ON
HUMAN RIGHTS POLICY , BEYOND VOLUNTARISM : HUMAN RIGHTS AND THE
DEVELOPING INTERNATIONAL LEGAL OBLIGATIONS OF COMPANIES (2002),
available at http://www.ichrp. org/ac/excerpts/41.pdf. In Bowoto v. Chevron
Texaco Corp., 312 F. Supp. 2d 1229, 1247 (N.D. Cal. 2004), the court held that
sufficient evidence precluded summary judgment and permitted plaintiffs to
proceed against a U.S. corporate defendant on the theory that its Nigerian
subsidiary was acting as defendants' agent or that the defendant corporation aided
and abetted in the human rights abuses.
Defendants present no policy reason why corporations should be uniquely
exempt from tort liability under the ATS, and no court has presented one either.
Concluding that corporations could be subject to liability under the ATS, the
Talisman court stated:
Such a result should hardly be surprising. A private corporation is
a juridical person and has no per se immunity under U.S. domestic
or international law. See Jordan J. Paust, Human Rights
Responsibilities of Private Corporations, 35 Vand. J. Transnat’l L.
801, 803 (2002). . . . Given that private individuals are liable for
violations of international law in certain circumstances, there is no
logical reason why corporations should not be held liable, at least
in cases of jus cogens violations. Indeed, while Talisman disputes
89
the fact that corporations are capable of violating the law of
nations, it provides no logical argument supporting its claim.
244 F. Supp. 2d at 318.
In any event, even if it were not true that international law recognizes
corporations as defendants, they still could be sued under the ATS. As noted
above, the Supreme Court made clear that an ATS claim is a federal common law
claim and it is a bedrock tenet of American law that corporations can be held
liable for their torts.
D. Statutes of Limitations
Defendants argue that the applicable statutes of limitations require dismissal. See Defs.’
Notice of Mot. for Partial Summ. J. Based on Statutes of Limitations, Nov. 2, 2004, at 1
[hereinafter Defs.’ Notice of Mot. for Partial Summ J.]. They rely on the notice given to possible
claimants by the extensive publicity in Vietnam about contentions that the United States was
spraying herbicides to harm people both in the north and south of that country. See Exs. to Defs.’
Notice of Mot. for Partial Summ. J.; see also Defs.’ Mem. of Law in Supp. of Mot. for Partial
Summ. J. Dismissing Personal Injury Claims of Individual Pls. Based on Statutes of Limitations,
The ATS contains no statute of limitations. The contention of defendants is that the ten-
year statute of limitations in the Torture Victim Protection Act, Pub. L. 102-256, § 2(c), 106 Stat.
73, 73 (1992), should be applied to all federal claims under the ATS. See Manliguez v. Joseph,
226 F. Supp. 2d 377, 386 (E.D.N.Y. 2002) (“It is well-established that the ten-year statute of
limitations of the [TVPA] applies to all [ATS] claims.”). They also argue that analogous and
applicable shorter New York State statutes should bar the state law claims. See, e.g., N.Y.
90
C.P.L.R. § 202 (McKinney 2003) (borrowing statute); N.Y. C.P.L.R. § 208 (McKinney 2003)
(addressing disability due to infancy or insanity); N.Y. C.P.L.R. § 209(a) (McKinney 2003)
(addressing cause of action accruing in a foreign country during war); N.Y. C.P.L.R. § 213(1)
(McKinney 2003 & Supp. 2005) (specifying six-year statute of limitations generally); N.Y.
C.P.L.R. § 214(4), (5) (McKinney 2003) (specifying three-year statute of limitations for property
and personal injury claims, except as otherwise provided); N.Y. C.P.L.R. § 214-c (McKinney
limitations period in section 214); N.Y. C.P.L.R. § 215(3) (McKinney 2003) (providing one-year
statute of limitations for, inter alia, assault and battery); N.Y. EST . POWERS & TRUSTS § 5-4.1
(McKinney 1999 & Supp. 2005) (providing, inter alia, for two-year statute of limitations for
wrongful death suit by personal representative). But cf. Pickett v. Brown, 462 U.S. 1, 16 n.15
(1983) (“[S]tatutes of limitations generally are tolled during a child’s minority.”); United States
v. Kubrick, 444 U.S. 111 (1979) (holding that discovery of injury and its cause is the date from
which to measure statute of limitations); Kronisch v. United States, 150 F.3d 112 (2d Cir. 1998)
(same).
If a federal substantive rights statute enacted before December 1, 1990 does not specify a
statute of limitations, a court applies the statute of limitations from the forum state, unless there
is a federal law which “clearly provides a closer analogy than available state statutes, and when
the federal policies at stake and the practicalities of litigation make that rule a significantly more
important vehicle for interstitial lawmaking.” North Star Steel Co. v. Thomas, 515 U.S. 29, 35
Section 1658 of title 28 of the United States Code, effective December 1, 1990, provides
91
for time limitations on the commencement of civil actions arising under acts of Congress. It
provides:
(a) Except as otherwise provided by law, a civil action arising under an Act of
Congress enacted after the date of the enactment of this section may not be
commenced later than 4 years after the cause of action accrues.
(b) Notwithstanding section (a), a private right of action that involves a claim of
fraud, deceit, manipulation, or contrivance in contravention of a regulatory
requirement concerning the securities laws, as defined in section 3(a)(47) of the
Securities Exchange Act of 1934 (15 U.S.C. 78c(a)(47)), may be brought not later
than the earlier of—
(1) 2 years after the discovery of the facts consituting the violation; or
(2) 5 years after such violation.
28 U.S.C.A. § 1658 (1994 & Supp. 2004) (emphasis added); see also Jones v. R.R. Donnelley &
Sons Co., 541 U.S. 369 (2004) (interpreting section 1658(a) of title 28 of the United States
Code). Depending upon date of enactment, statutes such as those described below in Part XI.B.
would be governed by these limitations. Treaties and other instruments of international law and
non-statutory customary international law would not be. See law described infra Parts XI.C.-D.
Some courts that have considered the international law issue have held that the TVPA,
which contains a ten-year statute of limitations period, provides the closest federal analogy to the
ATS. See, e.g., Papa v. United States, 281 F.3d 1004, 1012-13 (9th Cir. 2002) (holding that the
TVPA’s ten-year limitations period is applicable to ATS claims); Manliguez v. Joseph, 226 F.
Supp. 2d 377, 386 (E.D.N.Y. 2002) (applying the TVPA’s limitations period to ATS claims
because “the TVPA is . . . both the most analogous statute and the one that best accommodates
federal policies”); Iwanowa v. Ford Motor Co., 67 F. Supp. 2d 424, 462 (D.N.J. 1999) (applying
the TVPA’s statute of limitations to ATS claims); Wiwa v. Royal Dutch Petroleum Co., No. 96
92
Civ. 8386, 2002 WL 319887, at *18-*19 (S.D.N.Y. Feb. 28, 2002) (discussing statute of
limitations for the ATS and finding that the TVPA’s ten-year statute of limitations is the
appropriate period of limitations for ATS claims). A court has applied limitations periods
provided by state law, Forti v. Suarez-Mason, 672 F. Supp. 1531, 1548 (N.D. Cal. 1987)
(holding, albeit pre-TVPA, that the most analogous statute to the ATS is section 1983 of title 42
of the United States Code and that, since state statutes of limitations are applicable to section
1983 claims, the same limitations period is applicable to ATS claims); alternatively, a court may
apply the limitations period of the foreign country where the act occurred or the limitations
period of international law, see BETH STEPHENS & MICHAEL RATNER , INTERNATIONAL HUMAN
now at issue, with the exception of the Torture Victim Protection Act. As part of federal
common law (when no specific statutory limitation is applicable), federal courts may create
applicable statutes of limitations and tolling provisions as well as bases for application of laches.
See STEVEN R. RATNER & JASON S. ABRAMS, ACCOUNTABILITY FOR HUMAN RIGHTS
ATROCITIES IN INTERNATIONAL LAW : BEYOND THE NUREMBERG LEGACY 143-44 (2d ed. 2001)
(“[I]t is difficult to conclude that mandatary non-applicability of statutes of limitations has yet
entered the realm of custom. . . . [I]nternational law at least permits states to eliminate statutes
of limitations for crimes against humanity and war crimes.”) (emphasis in original)).
There is good reason not to create or apply general hard and fixed rules of laches or
relatively short statutes of limitation, newly minted by judicial fiat, in the developing area of
international law. In many instances a foreign government, group or individuals may be involved
93
both in the violation and in threats that make it impossible for individuals harmed to complain
until there is a new administration or the plaintiff can escape to freedom in another country. In
the present case the lack for many years of any recognition by the United States of the Vietnam
communist government as well as embargos and limits on travel arguably made it difficult for
those within Vietnam to file any claims in United States courts or to obtain assistance from
United States counsel. There has been no proof yet of laches here. Cf. Paul R. Dubinsky,
Human Rights Law Meets Private Law Harmonization: The Coming Conflict, 30 YALE J. INT ’L
L. 211, 286 (2005) (“Some EU member states have enacted legislation reviving causes of
action . . . . In some instances, courts have upheld these statutes. In other instances, these revival
statutes have been struck down. In still other states, statutes of limitations have been lengthened
judicially, rather than legislatively, by tolling . . . .”). But cf. Stogner v. California, 539 U.S. 607
(2003) (invalidating California statute permitting prosecution of sex-related child abuse crimes
The possible issues of statutes of limitations, tolling and laches requires further factual
development should the case go forward on order of the Court of Appeals for the Second Circuit.
In such an inquiry the courts may consider the significance of the United States Department of
the Treasury’s designation of North Vietnam and South Vietnam on May 5, 1964 and April 30,
1975, respectively, as foreign countries subject to the Foreign Assets Control Regulations, 31
C.F.R. § 500 (2004); apparently they did not prevent plaintiffs from filing suits in the United
States. The regulations did not by their terms prohibit or restrict filing of a personal injury
lawsuit. Nor did they appear to prevent retaining of attorneys in this country to prosecute their
suit. There is no indication that any plaintiff applied for a waiver to the Secretary of the
94
Treasury. See 31 C.F.R. § 500.201(a) (2004) (providing that otherwise prohibited transactions
involving North Vietnam or South Vietnam, or its nationals, may be specifically authorized by
the Secretary of the Treasury). There is no showing that permission to retain an attorney or
commence a suit would have been denied. See Am. Airways Charters, Inc. v. Regan, 746 F.2d
865, 868 n.3 (D.C. Cir. 1984) (noting that practice may have permitted obtaining representation
without a license); id. at 870 (concluding that advance government approval apparently was not
needed for bare representation); id. at 867-68 (noting licenses obtained to permit payment to
counsel).
In any event, tolling for infants and for Vietnamese as prospective plaintiffs in Vietnam
raise questions of law and fact that are not necessarily governed by the Foreign Assets Control
Regulations of the United States; the inhibitions, if any, provided by Vietnamese conditions
would also need to be considered before the issue of laches and tolling—at least in part equitable
doctrines—could be decided. See Hilao v. Estate of Marcos, 103 F.3d 767, 771-73 (9th Cir.
1996) (including in “extraordinary conditions” that victims suffered intimidation and fear of
reprisal and thus concluding that claims were tolled until the defendant left office); Johnson v.
Nyack Hosp., 86 F.3d 8, 12 (2d Cir. 1996) (noting that equitable tolling has been applied if
plaintiff was “prevented in some extraordinary way from exercising his rights” (citation and
should be taken of the fact that many states of the United States provide for tolling. See Young v.
United States, 535 U.S. 43, 49 (2002) (noting that “limitations periods are customarily subject to
equitable tolling, unless tolling would be inconsistent with the text of the relevant statute”
95
(internal quotation marks and citations omitted)). Their terms differ. For example, the New
York tolling statute on Agent Orange only covers claims of United States veterans; it does not
cover the claims of Vietnamese nationals. See, e.g., N.Y. C.P.L.R. § 214-b (McKinney 2003 &
Supp. 2005) (providing for a renewed two-year discovery statute of limitations for actions to
recover damages for injury caused by phenoxy herbicides while serving as a member of the
United States armed forces in Indo-China from January 1, 1962 through May 7, 1975); 2004
N.Y. Laws 68 (reviving and extending up to June 16, 2006 any cause of action for injury or death
caused by phenoxy herbicides while serving as a member of the United States armed forces from
December 22, 1961 through May 7, 1975 which is or would be barred prior to June 16, 1985
Adopted, for the purposes of this phase of the litigation, subject to reconsideration, is the
position of Professor Paust that “[u]nder international law, there are no statutes of limitation with
respect to war crimes and other violations of international law,” Paust Op. at 12 (citations
certain violations of international law has been recognized in international instruments. The
Against Humanity provides that “[n]o statutory limitations period shall apply” to war crimes and
Limitations to War Crimes and Crimes Against Humanity, Nov. 26, 1968, art. 1, 754 U.N.T.S.
73, 75 (entered into force Nov. 11, 1970); see also Rome Statute of the International Criminal
Court (“Rome Statute”), July 17, 1998, arts. 5, 29, U.N. Doc. A/Conf. 183/9 (1998) (entered into
force July 1, 2002) (“The crimes within the jurisdiction of the Court [(i.e., genocide, crimes
96
against humanity, war crimes and “the crime of aggression”)] shall not be subject to any statute
of limitations.”), http://157.150.195.4/LibertyIMS::/sidRStQP3qgcXTLsn0I/Cmd%3DXmlGet
Request%3BName%3D%2364%3BNoUI%3D1%3BF0%3D2187%3BF1%3DEnglish%3BF2%3
Although the United States is not a signatory to either the United Nations Convention on the
Non-Applicability of Statutory Limitations to War Crimes and Crimes Against Humanity or the
Rome Statute, these instruments suggest the need to recognize a rule under customary
international law that no statute of limitations should be applied to war crimes and crimes against
humanity. The United States’ Genocide Convention Implementation Act of 1987, 18 U.S.C.A. §
1091(e) (2000 & Supp. 2004), provides that there is no statute of limitations to indict a person
Apart from the difficulties of law presented by statutes of limitations and tolling, the
defendants have failed to establish with the requisite probability required by Rule 56 when
plaintiffs knew, or could be deemed to have known, that they were diseased because of the
spraying of herbicides supplied by defendants. They rely on articles in two Vietnam newspapers
alleging Agent Orange destructive effects, but there is no showing that plaintiffs read or even had
access to these papers. Plaintiffs have denied that they were aware of such publications during
the period when a statute might bar their claim and that they were unaware that Agent Orange
might have caused the problems of which they now complain. The defendants have not met the
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E. Justiciability
Defendants’ motion to dismiss on the ground that plaintiffs’ claims are non-justiciable is
denied. The government’s argument that plaintiffs’ claims raise non-justiciable political
impermissibly interfere with the conduct of foreign relations. They unsuccessfully endeavor to
include the present case among them. Their position does not square with the well-accepted
principle that “[i]nternational law is part of our law, and must be ascertained and administered by
the courts of justice of appropriate jurisdiction as often as questions of right depending upon it
are duly presented for their determination.” The Paquete Habana, 175 U.S. 677, 700 (1900); see
also Banco Nacional de Cuba v. Sabbatino, 376 U.S. 398, 423 (1964) (“[I]t is, of course, true
that United States courts apply international law as a part of our own in appropriate
circumstances . . . .”); The Nereide, 9 Cranch 388, 423 (1815) (Marshall, C.J.) (“[T]he Court is
bound by the law of nations which is a part of the law of the land”); Filartiga v. Pena-Irala, 630
F.2d 876, 886 (2d Cir. 1980) (“It is an ancient and a salutory feature of the Anglo-American legal
tradition that the Law of Nations is a part of the law of the land to be ascertained and
That the case may call for an assessment of the President’s actions during wartime is no
reason for a court to abstain. Presidential powers are limited even in wartime. See, e.g.,
Youngstown Sheet & Tube Co. v. Sawyer, 343 U.S. 579 (1952) (holding that the executive order
to seize steel plants during the Korean War exceeded the President’s constitutional power); cf.
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Michael J. Glennon, Foreign Affairs and the Political Question Doctrine, 83 AM . J. INT ’L L. 814,
814 (1989) (“The unevenness of congressional oversight, the proclivity of executive foreign
affairs agencies for violating the law and the traditional responsibility of the courts as the last
guardians of the Constitution—all point to the propriety of an active role for the judiciary in
ensuring governmental compliance with the law.”). It is not a defense that the spraying of
herbicides was on orders of the President: Authorization by the head of government does not
provide carte blanche for a private defendant to harm individuals in violation of international
law. See infra Part IX. In the Third Reich all power of the state was centered in Hitler; yet his
orders did not serve as a defense at Nuremberg. Justiciability is not eliminated because of
possible interference with executive power even in wartime. Rasul v. Bush, 124 S. Ct. 2686,
2698-99 (2004) (holding that district court had jurisdiction over claims asserted under ATS by
aliens being detained by United States government at its base in Guantanamo, Cuba);
1. Generally
avoid deciding “political questions.” It reflects an assumption based on our separation of powers
doctrine that there is a narrow class of claims best resolved by the branches of government
directly responsible to the people through the vote. Federal courts, when faced with certain
allegations of unconstitutional government conduct, are to dismiss such claims without ruling on
the merits.
Experts have observed that “[t]he political question doctrine is in a state of some
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confusion.” LAWRENCE H. TRIBE , AMERICAN CONSTITUTIONAL LAW 96 (2d ed. 1988)
(quotation omitted in third edition). Others have gone further, some saying that the doctrine is
useless, still others that it does not exist. See, e.g., ERWIN CHEMERINSKY , FEDERAL
JURISDICTION 146 (Aspen Publishers, 4th ed. 2003) (concluding that the Supreme Court criteria
“seem useless in identifying what constitutes a political question”); Louis Henkin, Is There a
“Political Question” Doctrine?, 85 YALE L.J. 597, 622 (1976) (“The ‘political question’ doctrine
lawyers and courts to find in it things that were never put there and make it far more than the sum
of its parts.”); Martin H. Redish, Judicial Review and the “Political Question,” 79 NW . U. L.
REV . 1031, 1031 (1984) (“The [political question] doctrine has always proven to be an enigma to
commentators. Not only have they disagreed about its wisdom and validity . . . , but they also
have differed significantly over the doctrine’s scope and rationale.”); Louis Michael Seidman,
Constitutional Practice and Theory, 46 UCLA L. REV . 501, 528-30 (1998) (arguing that a court
standards without first taking a peek at the very merits it purports to be avoiding. In effect, the
Court says that it must first decide the merits in order to avoid deciding the merits . . . . The
doctrine says that courts should not decide political questions, yet the decision whether
something is a political question is itself a political question that the doctrine requires the Court
to decide.”); Linda Sandstrom Simard, Standing Alone: Do We Still Need the Political Question
Doctrine?, 100 DICK. L. REV . 303, 306 (1996) (“[D]uring the last several decades, the Court has
rarely applied the political question doctrine . . . .”); Michael E. Tigar, Judicial Power, The
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“Political Question Doctrine,” and Foreign Relations, 17 UCLA L. REV . 1135, 1135 (1970)
(“[T]here is, properly speaking, no such thing [as a ‘political question doctrine’]. Rather, there
are a cluster of disparate rules and principles any of which may, in a given case, dictate a result
on the merits, lead to a dismissal for want of article three jurisdiction, prevent a party from airing
an issue the favorable resolution of which might terminate the litigation in his favor, or authorize
a federal court in its discretion and as a matter of prudence to decline jurisdiction to hear a case
or decide an issue.”).
The confusion expressed in the commentary is due in part to the Supreme Court’s
different, and sometimes conflicting, approaches to the political question doctrine. In Marbury v.
By the Constitution of the United States, the President is invested with certain
important political powers, in the exercise of which he is to use his own
discretion, and is accountable only to his country in his political character, and to
his own conscience. . . . The subjects are political. . . . [B]eing entrusted to the
executive, the decision of the executive is conclusive. . . . Questions, in their
nature political, or which are by the constitution and laws, submitted to the
executive, can never be made in this court.
5 U.S. (1 Cranch) 137, 165-66, 170 (1803). The Court’s definition of political questions in
Marbury was narrow, including only matters in which the president had unlimited discretion;
under this original formulation, a claim alleging a violation of individual rights might have
afforded standing, since it would not have been deemed a political question. See HOWARD FINK
& MARK V. TUSHNET , FEDERAL JURISDICTION : POLICY AND PRACTICE 214 (1st ed. 1984) (“But
notice the effect of Marbury’s classification: Standing is just the obverse of political questions.
If a litigant claims that an individual right has been invaded, the lawsuit by definition does not
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involve a political question.”).
incompatible with the Marbury formulation, including instances where individuals alleged the
violation of specific constitutional principles and the existence of concrete injury. See, e.g.,
Luther v. Borden, 48 U.S. (7 How.) 1 (1849) (determining nonjusticiable a suit brought under the
republican form of government clause, U.S. CONST . art IV, § 4, even though the effect was to
leave people in jail who were contesting the constitutionality of their conviction).
The modern governing standard in this area was articulated in the landmark one person-
one vote case of Baker v. Carr, 369 U.S. 186 (1962). In Baker, the Supreme Court held that the
political question doctrine did not bar the federal courts from considering an equal protection
challenge to a state’s voting apportionment structure. Plaintiffs from cities contended that
malapportionment of the state legislature denied them equal protection because the weight of
their votes would not be equal to those of voters in rural districts. Justice Brennan, writing for
the Court, narrowly limited nonjusticiable political questions to a relatively few areas where the
courts could not find or apply judicially enforceable standards or to areas requiring free executive
Prominent on the surface of any case held to involve a political question is found
[(1)] a textually demonstrable commitment of the issue to a coordinate political
department; or [(2)] a lack of judicially discoverable and manageable standards
for resolving it; or [(3)] the impossibility of deciding without an initial policy
determination of a kind clearly for nonjudicial discretion; or [(4)] the
impossibility of a court’s undertaking independent resolution without expressing
lack of the respect due coordinate branches of government; or [(5)] an unusual
need for unquestioning adherence to a political decision already made; or [(6)] the
potentiality of embarrassment from multifarious pronouncements by various
departments on one question.
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Id. at 217. “Unless one or more of these formulations is inextricable from the case at bar, there
Id.
Baker warned against reliance on the political question doctrine to avoid deciding
The doctrine of which we treat is one of ‘political questions,’ not one of ‘political
cases.’ The courts cannot reject as ‘no law suit’ a bona fide controversy as to
whether some action denominated ‘political’ exceeds constitutional authority.
The cases we have reviewed show the necessity for discriminating inquiry into the
precise facts and posture of the particular case, and the impossibility of resolution
by any semantic cataloguing.
There are sweeping statements to the effect that all questions touching foreign
relations are political questions. . . . Yet it is error to suppose that every case or
controversy which touches foreign relations lies beyond judicial cognizance. Our
cases in this field seem invariably to show a discriminating analysis of the
particular question posed, in terms of the history of its management by the
political branches, of its susceptibility to judicial handling in the light of its nature
and posture in the specific case, and of the possible consequences of judicial
action.
Id. at 211-12.
Since Baker, the Court has generally refused to hold that an individual’s claims of
personal injury present nonjusticiable political questions. See, e.g., U.S. Dep’t of Commerce v.
Montana, 503 U.S. 442, 442, 458 (1992) (reversing a judgment holding unconstitutional a 1941
statute prescribing method of “equal proportions” as the method to be used for determining the
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number of representatives to which each State was entitled, concluding that the issue was
“political” only insofar as it “raise[d] an issue of great importance to the political branches”);
United States v. Munoz-Flores, 495 U.S. 385 (1990) (holding that a dispute under the Origination
Clause, U.S. CONST . art. I, § 7, cl. 1, which mandates that all bills for raising revenue originate in
the House of Representatives, did not present a nonjusticiable political question); Davis v.
Bandemer, 478 U.S. 109 (1986) (applying Baker to find a legislative districting case justiciable
where the political “gerrymandering” alleged involved re-drawing of state legislative districts to
hamper the electoral prospects of Democratic candidates); United States v. Nixon, 418 U.S. 683
(1974) (holding that the intra-executive nature of the dispute between President Nixon and
Special Prosecutor Jaworski did not give rise to a political question); Powell v. McCormack, 395
U.S. 486 (1969) (concluding that the political question doctrine did not bar review of the House
of Representatives’ exercise of the Article I, section 5, power to judge the qualifications of its
members).
Only a few times since Baker has the Supreme Court invoked the political question
doctrine to hold issues nonjusticiable. In Gilligan v. Morgan, 413 U.S. 1 (1973), plaintiffs
sought evaluation by the federal court of the training of the Ohio National Guard under the
Fourteenth Amendment of the Due Process Clause and sought injunctive relief in the event of a
violation. The Supreme Court based its determination that the question was nonjusticiable on the
following factors: (1) Article I, section 8 of the Constitution authorized Congress to engage in
this kind of supervision; and (2) judicial review in this area would be essentially standardless.
The Court reasoned that “it is difficult to conceive of an area of governmental activity in which
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In Goldwater v. Carter, 444 U.S. 996 (1979) (per curiam), the Court summarily vacated
the decision of a court of appeals holding that the President had power to terminate a treaty with
Taiwan without the approval of the Senate. The plurality postulated that the President’s power to
abrogate a treaty presented a political question and therefore was nonjusticiable. Justice Powell
concurred in the judgment on the ground that the suit was not ripe because neither the Senate nor
the House had directly challenged the issue. Id. at 997-98 (Powell, J., concurring). He disagreed
with Justice Rehnquist’s conclusion that the issue was a nonjusticiable political question, and
argued to the contrary that “reliance upon the political-question doctrine is inconsistent with our
In Nixon v. United States, 506 U.S. 224 (1993), the Court held that a challenge by Walter
L. Nixon, former Chief Judge of the United States District Court for the Southern District of
Mississippi, to the Senate’s use of a committee to hear testimony and gather other evidence in his
impeachment trial amounted to a nonjusticiable political question. The Court’s analysis centered
on Article I, section 3, clause 6 of the Constitution: “The Senate shall have the sole Power to try
all Impeachments.” The Court determined that “the use of the . . . word ‘try’ lack[ed] sufficient
precision to afford any judicially manageable standard of review.” 506 U.S. at 230. The Court
underscored the significance of the explicit grant of “sole” authority to the legislative branch, and
further observed that judicial review would pose too great a threat to the legitimacy of the
process, “plac[ing] final reviewing authority with respect to impeachments in the hands of the
same body that the impeachment process is meant to regulate.” Id. at 235. The Court concluded
that the Constitution’s textually demonstrable commitment to the Senate of the conduct of
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Bush v. Gore, 531 U.S. 98 (2000), is relied upon by some commentators as illustrating the
lack of clarity and vitality of the political question doctrine. Commentators noted the
significance of the Court’s failure to even mention the doctrine. See, e.g., Robert J. Pushaw, Jr.,
The Presidential Election Dispute, The Political Question Doctrine, and the Fourteenth
Amendment: A Reply to Professors Krent and Shane, 29 FLA . ST . U. L. REV . 603, 612 (2001)
(observing that, “[i]nterestingly, no Justice in Bush cited Baker or used the term ‘political
question doctrine’”); Mark Tushnet, Law and Prudence in the Law of Justiciability, 80 N.C. L.
REV . 1203, 1229 (2002) (“What is most notable about Bush v. Gore in the present context is that
In Vieth v. Jubelirer, 124 S. Ct. 1769 (2004), Justice Scalia’s plurality opinion held that a
political question because no judicially manageable standards could be applied. The plurality
reasoned that “[t]he issue we have discussed is not whether severe partisan gerrymanders violate
the Constitution, but whether it is for the courts to say when a violation has occurred, and to
design a remedy.” Id. at 1785. It then concluded that there were no constitutionally appropriate
and judicially manageable standards for determining when “political gerrymandering has gone
Vieth arguably demonstrated that there is still a viable political question doctrine and that,
as a pre-Vieth commentator noted, “reports of [its] death . . . have been greatly exaggerated.”
The Supreme Court, 1992 Term—Leading Cases, 107 HARV . L. REV . 254, 294 (1993); see also
L. REV . 1439, 1445-46 (1999) (“The [Court’s] recent decisions have all but given the political
106
question doctrine a quiet burial. With [one exception], the political question doctrine has played
almost no role in Supreme Court jurisprudence – and virtually none at all in the foreign affairs
realm.”).
of enforceable rights. They must first construe the relevant text, paying close attention to
whether the provision by its terms grants authority to another branch of government; if a
provision recognizes such authority, the court will have to consider the possibility of conflicting
conclusions, as well as whether parallel judicial and political remedies are necessary.
But ultimately, the political question inquiry turns as much on the court’s
conception of judicial competence as on the constitutional text. Thus the political
question doctrine, like other justiciability doctrines, at bottom reflects the mix of
constitutional interpretation and judicial discretion which is an inevitable by-
product of the efforts of federal courts to define their own limitations.
LAWRENCE H. TRIBE , AMERICAN CONSTITUTIONAL LAW 385 (3d ed. 2000). Given the
importance of international law today in preventing abuse by nations and individuals, and the
importation of that law into ruling federal law, the political question doctrine does not bar this
suit.
The crux of defendants’ strongest argument for nonjusticiability is that the Supreme
Court repeatedly has cautioned against adjudicating claims that would interfere with the conduct
of foreign relations and war powers. Great emphasis is also placed on the Court of Appeals for
the Second Circuit’s repeated recognition of diplomatic negotiations and the conduct of foreign
affairs as matters left to the President’s discretion, particularly where there are hostilities.
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Defendants’ position is that plaintiffs’ suit “challenges how the President, with the
support of Congress, chose to prosecute the war in Vietnam, and seek[s] reparations that our
Nation has declined to make to the people of Vietnam.” Mem. of Law in Support of Defs.’ Mot.
to Dismiss All Claims in Pls.’ Amended Class Action Compl. for Lack of Jurisdiction over the
Subject Matter and for Failure to State a Claim Upon Which Relief Can Be Granted, Nov. 2,
2004, at 20 [hereinafter Defs.’ Mem. of Law to Dismiss All Claims]. They contend that
“virtually every one of [the Baker] factors is present,” id. at 15, particularly in (1) demonstrating
a lack of the respect due coordinate branches, the fourth Baker factor; (2) raising questions that
uniquely demand single-voiced statements of the government’s views; and (3) risking
embarrassment from multifarious pronouncements, the sixth Baker factor. It is also suggested
that adjudication would require this court impermissibly to second-guess the wisdom of core
military and diplomatic decisions and might interfere with present sovereign-to-sovereign
relations between the United States and Vietnam, positing that these conclusions do not change
because plaintiffs have sued private citizens instead of the United States.
The defendants have failed to establish that any of the Baker factors are present in the
instant case. As for the first Baker factor, there is no textually demonstrable commitment of the
issues posed in the instant case to a coordinate political department. The judiciary is the branch
of government to which claims based on international law has been committed. Kadic v.
Karadzic, 70 F.3d 232, 249 (2d Cir. 1995) (“[W]e have noted in a similar context . . . that ‘[t]he
department to whom this issue is “constitutionally committed” is none other than our own—the
Judiciary.’” (quoting Klinghoffer v. S.N.C. Achille Lauro, 937 F.2d 44, 49 (2d Cir. 1991)). The
issues now presented require interpretation of both international law, including treaties, and
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domestic tort law. Article III explicitly extends judicial power to the domain of treaties. U.S.
CONST . art. III, § 2. As put in Klinghoffer v. S.N.C. Achille Lauro, the instant case can be
characterized as “an ordinary tort suit, alleging that the defendants breached a duty of care owed
to plaintiffs or their decedents. . . . This factor alone, then, strongly suggests that the political
question doctrine does not apply.” 937 F.2d 44, 49 (2d Cir. 1991).
In Sosa v. Alvarez-Machain, the Supreme Court observed in its thorough history of the
ATS that “violations of the law of nations, admitting of a judicial remedy and at the same time
threatening serious consequences in international affairs, [were] probably on the minds of the
men who drafted the ATS with its reference to tort.” 124 S. Ct. 2739, 2755 (2004). It wrote:
The Framers responded [to the increasing concern that the federal government
lacked judicial powers with the competency to handle cases of international
dimension] by vesting the Supreme Court with original jurisdiction over “all
Cases affecting Ambassadors, other public ministers and Consuls[,]” U.S. Const.,
Art. III, § 2, and the First Congress followed through. The Judiciary Act
reinforced this Court’s original jurisdiction over suits brought by diplomats, see 1
Stat. 80, ch. 20, § 13, created alienage jurisdiction, § 11 and, of course, included
the ATS, § 9.
Id. at 2757.
Hybrid tort and international law actions have long been addressed by the courts. See
Sosa, 124 S. Ct. at 2759 (noting that “the 1795 opinion of Attorney General William Bradford . .
. made it clear that a federal court was open for the prosecution of a tort action growing out of [an
episode where Americans took part in the French plunder of a British slave colony in Sierra
Leone]” and that jurisdiction was “‘expressly given to these courts in all cases where an alien
sues for tort only, in violation of the laws of nations, or a treaty of the United States.’” (quoting 1
Op. Atty. Gen. 57)). The history of this practice confirms that there is no textually demonstrable
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commitment of the issue to a coordinate political branch.
The second Baker factor requires a court to determine whether there are judicially
discoverable and manageable standards for resolving the issue. While the answers to questions
of international law, like those of domestic law, may not always be clear, they are ascertainable
and manageable. As the Court of Appeals for the Second Circuit recalled:
Kadic v. Karadzic, 70 F.3d 232, 249 (2d Cir. 1995). Courts in the Second Circuit have
repeatedly resolved international law questions in the context of claims under the ATS. See, e.g.,
Filartiga v. Pena-Irala, 630 F.2d 876, 884 (2d Cir. 1980) (“Having examined the sources from
which customary international law is derived the usage of nations, judicial opinions and the
works of jurists we conclude that official torture is now prohibited by the law of nations.”
(footnote omitted)); see also Tachiona v. United States, 386 F.3d 205 (2d Cir. 2004); Flores v. S.
Peru Copper Corp., 343 F.3d 140 (2d Cir. 2003); United States v. Yousef, 327 F.3d 56 (2d Cir.
2003); In re: S. African Apartheid Litig. v. Citigroup, Inc., 346 F. Supp. 2d 538 (S.D.N.Y. 2004);
The third Baker factor requires courts to evaluate whether it would be impossible to
decide the case without making an initial policy determination of a kind clearly involving
nonjudicial discretion. The question at issue in the instant case is whether American
110
corporations acted in violation of international law during a war. Defendants argue that this will
require an assessment of the President’s conduct during a time of war, and that courts lack the
authority to ever determine whether the President, as Commander-in-Chief, has exceeded his
constitutional authority. This kind of determination is one of substantive international law, not
power, even in times of war, has never existed. See, e.g., Youngstown Sheet & Tube Co. v.
Sawyer, 343 U.S. 579 (1952) (holding that the executive order to seize steel plants during the
Korean War exceeded the President’s constitutional power); see also LOUIS HENKIN , FOREIGN
AFFAIRS AND THE U.S. CONSTITUTION 62 (2d ed. 1996) (“Of course the President cannot do what
“The fourth through sixth Baker factors appear to be relevant only if judicial resolution of
a question would contradict prior decisions taken by a political branch in those limited contexts
where such contradiction would seriously interfere with important governmental interests.”
Kadic, 70 F.3d at 249. The Burger-Fischer v. Degussa AG court engaged in such analysis in
addressing the political question doctrine because there the extensive post-World War II treaties
and reparations were found to have been designed to deal with compensation, and thus to
In effect, plaintiffs are inviting this court to try its hand at refashioning the
reparations agreements which the United States and other World War II
combatants (whose blood and treasure brought the war of conquest and the
program of extermination to an end) forged in the crucible of a devastated post-
war Europe and in the crucible of the Cold War. . . . [T]his is a task which the
court does not have the judicial power to perform.
65 F. Supp. 2d 248, 282 (D.N.J. 1999). In contrast to Burger-Fischer, the instant case does not
111
require the refashioning of agreements by coordinate branches of government. It requires only
the interpretation of international law. The agreements between the present Vietnam government
and the United States cited by defendants address property that was expropriated or nationalized
by Vietnam and future research—they do not address any issue raised in this case.
The fourth Baker factor turns on the potential impossibility of a court’s undertaking
independent resolution without expressing lack of the respect due coordinate branches of
government. The determination that a branch of government has exceeded its constitutional
authority does not express lack of respect for it. If the contrary were the case, courts would be
unable to declare acts of Congress unconstitutional. See, e.g., United States v. Munoz-Flores,
495 U.S. 385, 390-91 (1990) (rejecting government’s claim that invalidation of a bill would
constitutional questions does not foreclose subsequent judicial scrutiny of the law’s
constitutionality”). The President is no more above the law than is Congress or the courts.
Treaties and other aspects of international law apply to, and limit, executive power—even in
wartime. Because the Executive and the Legislature have not made significant political decisions
in the area being trod on by the instant parties, as was the case in Burger-Fischer, there is no
unusual need for unquestioning adherence to a political decision already made, the fifth Baker
factor.
As for the sixth and final Baker factor—the potentiality of embarrassment from
and legislative action obviates concern. The judiciary, as well as the executive and the
legislature, are each charged with the interpretation and application of international law. That a
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decision may touch on foreign relations does not decide the question.
While the Constitution grants to the political branches, and in particular to the
Executive, responsibility for conducting the nation’s foreign affairs, it does not
follow that the judicial power is excluded from the resolution of cases merely
because they may touch upon such affairs. The court must instead look at “the
particular question posed” in the case. Baker v. Carr, 369 U.S. at 211, 82 S. Ct. at
707. In fact, courts are routinely deciding cases that touch upon or even have a
substantial impact on foreign and defense policy.
Dellums v. Bush, 752 F. Supp. 1141, 1146 (D.C. Cir. 1990) (citing Japan Whaling Ass’n v.
American Cetacean Soc’y, 478 U.S. 221 (1986); Dames & Moore v. Regan, 453 U.S. 654 (1981);
Youngstown Sheet & Tube Co. v. Sawyer, 343 U.S. 579 (1952); United States v. Curtiss-Wright
Export Corp., 299 U.S. 304 (1936)). This case does not raise a nonjusticiable political question.
It raises issues that courts are structured and empowered to decide—the nature and applicability
The amici brief states the position properly when it asserts in part:
Just last term, the Supreme Court held that an ATS claim against the U.S.
government challenging acts taken in prosecuting the war against al Qaeda and the
Taliban regime was justiciable. Rasul v. Bush, 124 S. Ct. [2686,] 2698 [(2004)]. .
..
The Rasul petitioners were foreign citizens captured abroad during
hostilities between the United States and the Taliban, and held by the U.S.
military at the U.S. naval base at Guantanamo Bay, Cuba. The petitioners
challenged the legality of their detention. Some sought to assert jurisdiction under
the ATS. The Court explicitly held that a district court could hear petitioners’
ATS claims. It noted that the ATS:
explicitly confers the privilege of suing for an actionable “tort . . .
committed in violation of the law of nations or a treaty of the
United States” on aliens alone. The fact that petitioners in these
cases are being held in military custody is immaterial to the
question of the District Court’s jurisdiction over their nonhabeas
statutory claims. Id. at 2699.
. . . The government argued in Rasul, as defendants do here, that the
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conduct of foreign affairs is committed to the political branches, particularly with
respect to the Executive’s conduct of military operations abroad. Resp’t Br. at 41-
42, Rasul (No. 03-334), [a]vailable at http://supreme.lp.findlaw.com/
supreme_court/briefs/03-334/03-334.mer.resp.pdf. The government further
claimed that:
exercising jurisdiction over actions filed on behalf of the
Guantanamo detainees would thrust the federal courts into the
extraordinary role of reviewing the military’s conduct of hostilities
overseas, second-guessing the military’s determination as to which
captured aliens pose a threat to the United States or have strategic
intelligence value, and, in practical effect, superintending the
Executive’s conduct of an armed conflict—even while American
troops are on the ground in Afghanistan and engaged in daily
combat operations. Id. at 43.
The Court rejected this position and, again, allowed the prisoners to
challenge the legality of their detentions. Given that the petitioners in Rasul
challenged the conduct of ongoing operations, defendants’ argument that court
review of conduct in Vietnam thirty years ago would “interfere” with a foreign
policy stands on an even weaker foundation. The Supreme Court’s holding that
federal courts have authority to entertain the claims in Rasul clearly counsels
against any notion that the claims at bar are inherently non-justiciable.
Similarly in Hamdi v. Rumsfeld, the plurality opinion “reject[ed] the
Government’s assertion that separation of powers principles mandate a heavily
circumscribed role for the courts” in assessing whether a U.S. citizen captured
during war was properly deemed by the Executive to be an enemy combatant.
Hamdi, 124 S. Ct. at 2650. The plurality noted that while the military does have
wide discretion in waging war, “it does not infringe on the core role of the military
for the courts to exercise their own time-honored and constitutionally mandated
roles of reviewing and resolving claims like those presented here.” Id. at 2649-50,
citing Sterling v. Constantin, 287 U. S. 378, 401 (1932) (“What are the allowable
limits of military discretion, and whether or not they have been overstepped in a
particular case, are judicial questions”).
United States courts have a long history of deciding damage claims for
wrongful conduct committed by soldiers, commanders, or private persons during
war. In Little v. Barreme, 6 U.S. (2 Cranch) 170 (1804), Chief Justice Marshall
spoke for a unanimous court in holding a captain in the U.S. Navy liable for
damages to a ship owner for the illegal seizure of his vessel during wartime. The
Court held that the President’s orders authorizing the seizure of the ship did not
immunize the captain from a lawsuit for civil damages where the President’s
instructions went beyond his statutory authority. Id. at 179. The Court held, “the
[President’s] instructions cannot . . . legalize an act which without those
instructions would have been a plain trespass [or unlawful act.” Id. at 179.
114
The Supreme Court has repeatedly permitted damage actions to be brought
against individual soldiers and officers for wrongful or otherwise tortious conduct
taken in the course of warfare. See, e.g., Mitchell v. Harmony, 54 U.S. (13 How.)
115 (1851) (U.S. soldier sued for trespass for wrongfully seizing a citizen’s goods
while in Mexico during the Mexican War); Ford v. Surget, 97 U.S. 594, 605-06
(1878) (reviewing soldier’s civil liability for trespass and destruction of cotton and
evaluating in accordance with the usages of civilized and lawful warfare);
Freeland v. Williams, 131 U.S. 405, 417 (1889); see also 54 Am. Jur. 2d. Military
and Civil Defense § 293 (1971); W. Winthrop, Military Law & Precedents 780 n.
31, 887-89 (2d ed[.] 1920).
Defendants cite Japan Whaling Ass’n v. Am. Cetacean Soc’y, 478 U.S. 221 (1986), in
support of the argument that respect for fundamental separation of powers excludes the issues
plaintiffs present from judicial review. The language of Japan Whaling excludes from review
only “those controversies which revolve around policy choices and value determinations
constitutionally committed for resolution to the halls of Congress or the confines of the Executive
Branch.” Id. at 230 (emphasis added). In Japan Whaling, the petitioners argued that the actions
before the Court were unsuitable for judicial review because they involved foreign relations, and
that in essence federal courts lacked the power to command the Secretary of Commerce, an
Executive Branch official, to dishonor and repudiate an international treaty. The Court disagreed
with the argument that the case raised a nonjusticiable political question, noting that, “Baker
[itself] carefully pointed out that not every matter touching on politics is a political question.” Id.
at 229. It observed:
As Baker plainly held . . . the courts have the authority to construe treaties and
executive agreements, and it goes without saying that interpreting congressional
legislation is a recurring and accepted task for the federal courts. . . . We are
cognizant of the interplay between these Amendments and the conduct of this
Nation’s foreign relations, and we recognize the premier role which both
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Congress and the Executive play in this field. But under the Constitution, one of
the Judiciary’s characteristic roles is to interpret statutes, and we cannot shirk this
responsibility merely because our decision may have significant political
overtones. We conclude, therefore, that the present cases present a justiciable
controversy, and turn to the merits of petitioners’ arguments.
Defendants do not explain how an ATS action, or any action involving international law,
could be brought in a way that would not offend their inflated understanding of the political
suits of this nature can present difficulties that implicate sensitive matters of
diplomacy historically reserved to the jurisdiction of the political branches. . . .
. . . Although we too recognize the potentially detrimental effects of
judicial action in cases of this nature, we do not embrace the rather categorical
views as to the inappropriateness of judicial action urged by [some other jurists].
Not every case “touching foreign relations” is nonjusticiable, and judges should
not reflexively invoke these doctrines to avoid difficult and somewhat sensitive
decisions in the context of human rights. We believe a preferable approach is to
weigh carefully the relevant considerations on a case-by-case basis. This will
permit the judiciary to act where appropriate in light of the express legislative
mandate of the Congress in section 1350, without compromising the primacy of
the political branches in foreign affairs. . . .
. . . Although these cases present issues that arise in a politically charged
context, that does not transform them into cases involving nonjusticiable political
questions.
Kadic v. Karadzic, 70 F.3d 232, 249 (2d Cir. 1995) (citations omitted). Sosa v. Alvarez-Machain
did not rely upon the political question doctrine; it stated that,
[i]t would take some explaining to say now that federal courts must avert their gaze
entirely from any international norm intended to protect individuals.
....
While we . . . would welcome any congressional guidance in exercising
jurisdiction with such obvious potential to affect foreign relations, nothing Congress has
done is a reason for us to shut the door to the law of nations entirely.
116
124 S. Ct. at 2765.
Were the defendants’ position accepted, it is difficult to imagine how the law of nations
could be enforced in our courts at any time in any controversy. Yet, as Professor Louis Henkin
put the matter: “Treaties are the law of the land. Cases arising under treaties are justiciable.”
Louis Henkin, Lexical Priority or ‘Political Question’: A Response, 101 HARV . L. REV . 524,
531 (1987). What international law is and how it applies present questions of the meaning of
substantive law, and the interpretation of these questions is a task entrusted to the courts. That
judicial power can not be frustrated by the overly broad preemption doctrine espoused by
defendants.
The Court of Appeals of the Second Circuit’s opinions cited by defendants do not stand
for the broad proposition that Congress and the Executive are entitled to unswerving deference
when it comes to national defense matters and military affairs. Defendants’ mention of
governing Second Circuit Court of Appeals ATS caselaw is of limited utility since defendants
attempt to prove that the instant case involves “reparations” by the United States. Defs.’ Mem.
of Law to Dismiss All Claims at 20 n.37 (“During a recent conference with the parties, this Court
raised the potential applicability of Kadic v. Karadzic, 70 F.3d 232 (2d Cir. 1995), to [p]laintiff’s
claims. Plaintiffs’ claims, however, are fundamentally different from those found to be
justiciable in Kadic. . . . [T]he plaintiffs in Kadic did not seek reparations for the United States’
conduct in war.”). The argument is misconceived; this is not a case for reparations, but a tort suit
The Kadic court cited Filartiga v. Pena-Irala, another leading ATS case supporting
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justiciability. See Filartiga v. Pena-Irala, 630 F.2d 876, 886 (2d Cir. 1980) (“[A]s part of an
articulated scheme of federal control over external affairs, Congress provided, in the first
Judiciary Act, for federal jurisdiction over suits by aliens where principles of international law
are in issue. The constitutional basis for the Alien Tort Statute is the law of nations, which has
always been part of the federal common law.” (citation omitted)). The Supreme Court also cited
Filartiga in Sosa:
The position we take today has been assumed by some federal courts for 24 years,
ever since the Second Circuit decided Filartiga v. Pena-Irala, 630 F.2d 876 (2d
Cir. 1980) . . . . Congress, however, has not only expressed no disagreement with
our view of the proper exercise of judicial power, but has responded . . . by
enacting legislation supplementing the judicial determination in some detail.
Cases of the Court of Appeals for the Second Circuit cited for the proposition that the
executive and the legislative branches are entitled to deference in military decisions do not rebut
ATS holdings that are more clearly on point. Compare Holtzman v. Schlesinger, 484 F.2d 1307
(2d Cir. 1973) (refusing to halt hostilities in Southeast Asia that had been implicitly approved by
Congress), with Kadic v. Karadzic, 70 F.3d 232 (2d Cir. 1995) (holding that a claim alleging
violations of customary international law and the law of war for purposes of the ATS was not
precluded by the political question doctrine). See also ELIZABETH HOLTZMAN & CYNTHIA
COOPER , WHO SAID IT WOULD BE EASY , ONE WOMAN ’S LIFE IN THE POLITICAL ARENA 70-76
(1996) (discussing the background of the Cambodian War suit); cf. John Files, U.S. Settles Suit in
1945 Looting of Jews by G.I.’s, N.Y. TIMES, Dec. 21, 2004, at A8 (discussing assets stolen by
118
Defendants frame much of their argument as though the relief sought by plaintiffs were a
request for war reparations, citing various decisions involving Nazi-era claims, including Alperin
v. Vatican Bank, 242 F. Supp. 2d 686 (N.D. Cal. 2003), Zivkovich v. Vatican Bank, 242 F. Supp.
2d 659 (N.D. Cal. 2002), In re Nazi Era Cases Against German Defendants Litig., 129 F. Supp.
2d 370, 383-84 (D.N.J. 2001), Iwanowa v. Ford Motor Co., 67 F. Supp. 2d 424, 485 (D.N.J.
Burger-Fischer, the first case decided in this line, provided the rationale for much of the
analysis of the cases that followed. Class actions were brought against German corporations to
recover, inter alia, compensation for slave labor under the Nazi regime as well as damages for
65 F. Supp. 2d at 281-82. The court’s opinion included a thorough history of the agreements
following World War II, including a discussion of the Potsdam Conference, the Paris Agreement,
the Transition Agreement, the London Debt Agreement, and the 2+4 Treaty. The court
concluded:
[F]rom the outset negotiations concerning reparation claims, both with the
western and eastern bloc nations, included within the term “reparations” claims of
individuals both against the German state and against German nationals. . . . An
examination of the applicable treaties establishes that the international community
has subsumed [wartime claims against private corporations] and agreed that the
remedies, if any, lie in German legislation and the bilateral agreements that flowed
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from the Transition Agreement.
...
To state the ultimate conclusion, the questions whether the reparation
agreements made adequate provision for the victims of Nazi oppression and
whether Germany has adequately implemented the reparation agreements are
political questions which a court must decline to determine. Accepting that the
court has jurisdiction over the subject matter of this case and assuming that it has
jurisdiction over the parties it must nevertheless refrain from adjudicating the
dispute.
Parliament’s July 2000 passage of a law creating the Foundation “Remembrance, Responsibility
and the Future.” In re Nazi Era Cases Against German Defendants Litig., 129 F. Supp. 2d 370,
379 (D.N.J. 2001). The Foundation was established to make payments to individual Nazi-era
victims for claims against German industry. See Agreement Concerning the Foundation
“Remembrance, Responsibility and the Future,” July 17, 2000, U.S.-F.R.G., 39 I.L.M. 1298. The
court determined that “[t]he Executive Agreement is a pronouncement by our government that
claims against German Industry should not be litigated, but instead should be submitted to the
Foundation.” In re Nazi Era Cases Against German Defendants Litig., 129 F. Supp. 2d at 383.
It held that the case presented a nonjusticiable political question because, “[i]f this Court were to
decline to dismiss . . . it would impermissibly intrude into an area that has been exclusively
managed by the Executive and Legislative branches for the last fifty-five years.” Id. at 383; see
also Ukrainian Nat’l Ass’n of Jewish Former Prisoners of Concentration Camps & Ghettos v.
United States, 178 F. Supp. 2d 312 (E.D.N.Y. 2001) (granting plaintiff’s motion to withdraw
complaint in action by trustee of foundation seeking compensation for victims of Nazi Germany).
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Burger-Fischer and the cases that followed it interpreted specific treaties and reparations
agreements put in place after World War II to preclude independent private resolution. The
extensive treaties and agreements analyzed in Burger-Fischer present a factual picture quite
unlike this one, in which general international human rights law controls. A quotation from this
The executive branch has always addressed claims for reparations as claims
between governments. Historically, at the end of a war, there has always been a
declaration of victorious nations and defeated nations. As part of that process, the
victorious nations invariably discuss the reparations that the defeated nations must
pay to compensate the prevailing countries and their nationals for the loss that the
aggressor has caused. The nature of war is such that the governments of the
victorious nations determine and negotiate the resolution of the claims of their
nationals by way of agreements between the nations involved or affected by the
war. This is evident from the reparations provisions in the Treaty of Versailles
following World War I, and the discussion of reparations in the Yalta Conference,
the Potsdam Conference and the Paris Reparations Treaty at the end of World War
II. More recently, at the end of the Gulf War, the United Nations established an
international claims resolution tribunal to resolve claims against Iraq. Thus, it is
evident that responsibility for resolving forced labor claims arising out of a war is
constitutionally committed to the political branches of government, not the
judiciary.
Iwanowa v. Ford Motor Co., 67 F. Supp. 2d 424, 485 (D.N.J. 1999) (citations omitted).
A significant distinguishing feature of the Vietnam War is the absence of Executive and
to the large number of such decisions following World War II. Because the extensive post-
World War II treaties and agreements are in no way akin to the coordinate branches’ relative
silence following Vietnam, the potential for impermissibly intruding into foreign relations posed
It is also worth noting that while the Burger-Fischer court’s reasoning was thoughtful, the
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outcome was not inevitable. The case could have gone the other way on the theory that the
plaintiffs directly sued the defendants who had personally profited by, in effect, stealing their
labor services and property. A major motive of many of those who conducted the Holocaust can
punishable by both tort and criminal law of most nations. See, e.g., ROBERT E. CONOT , JUSTICE
AT NUREMBERG 76 (1983) (“As soon as the victorious Wehrmacht swept across Europe, Alfried
[Krupp] joined with other German industrialists in the rush to acquire the spoils, consisting
mostly of expropriated Jewish property. When one French entrepreneur, Robert Rothschild, was
reluctant to sign over his plant and took refuge in the Italian-occupied area of France, the Krupp
managers hired a bunch of thugs to kidnap him, and he wound up in the gas chamber at
Auschwitz.”); RICHARD BREITMAN ET AL., U.S. INTELLIGENCE AND THE NAZIS 132 (2004)
(noting “a blend of official and private larceny characteristic of Nazi Germany”). Those who
profited from these mass killings were operating on a massive conspiratorial scale, aided by
race. Their often venal purpose was to enrich themselves by stealing from Jews and others.
The Court of Appeals for the Eleventh Circuit recently found that the result in Burger-
Fischer was not a foregone conclusion. Ungaro-Benages v. Dresdner Bank AG, 379 F.3d 1227
(11th Cir. 2004). The Ungaro-Benages court carefully considered the cases cited by the
defendants, including an analysis of the effect of the Foundation. It concluded that “federal court
consideration of the present case does not reflect a lack of respect for the executive nor does it
interfere with American foreign relations.” Id. at 1236. As a result, it “part[ed] ways with [the]
district courts that have . . . considered Nazi era claims,” id. at 1236 n.12, holding that the
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political question doctrine did not apply to a claim against banks alleging that they stole the stock
of Jewish heirs as part of the “Aryanization” process. “Every time the Court finds a
nonjusticiable political question, it ends all judicial debate on that particular issue. . . . The
political question doctrine is a powerful weapon, for it allows actions of the legislative or
executive branches to escape the fundamental constitutional system of checks and balances. It
should be used with great restraint . . . .” The Supreme Court, 1992 Term—Leading Cases, 107
Defendants’ argument that the instant case is merely a reparations case, and therefore
raises a non-justiciable political question, is rejected. The Vietnam War did not result in formal
reparations agreements and treaties as did some other American conflicts. The contention that
suits by plaintiffs as individuals against defendants as individuals amount to reparations does not
pass muster.
3. Judicial Power
Defendants essentially repeat their already refuted political question argument, supra Part
VIII.E.2., when they cite Sosa for the proposition that plaintiffs’ cause of action would
managing foreign affairs.” Sosa, 124 S. Ct. at 2744. The analysis employed to reject the claim
of political question nonjusticiability applies with equal force to defendants’ subpoint regarding
Their contention that the United States has already made the political decision not to
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provide reparations to Vietnam for the types of injury alleged in the complaint is unfounded and
irrelevant. As noted above, this is not a case about reparations between nations, but rather a case
about individuals suing other individuals for damages. The absence of a specific grant of
reparations by Congress does not amount to a decision precluding tort actions under the ATS.
Defendants reiterate their position that creating a cause of action permitting foreign
nationals injured by herbicides to recover damages would require the court to judge foreign
policy and military decisions. This argument, already addressed in the political question context,
is without merit. Courts do not usurp power by construing international law; it is the task of the
judiciary to interpret treaties and customary international law, even when such interpretation
leads to the conclusion that another branch has acted in violation of established international law
principles. Sosa recognized how the root of the ATS was the Continental Congress’s sense that
it was “hamstrung by its inability to ‘cause infractions of treaties, or of the law of nations to be
(E. Scott ed., 1893)). The ATS was included in the Judiciary Act in response to this growing
concern. Id.
Defendants urge that several different congressional enactments embody policies that are
military vendors, including Congress’s decision to make the commission of a war crime a federal
offense. This decision, defendants argue, reflects Congress’s decision to make the international
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prosecutorial discretion. See discussion of proportionality infra Part XI.D.3. They argue that the
Federal Tort Claims Act’s foreign country exception bars all claims based upon any injury
suffered in a foreign country, and that permitting lawsuits to proceed against United States
contractors would frustrate the purposes of this exception. Specifically, the defendants suggest
that the risks associated with potential exposure to unknown foreign laws would cause
contractors to shy away from federal military contracts or lead them to seek higher rates,
indirectly imposing on the United States the precise type of liability the exception was designed
to protect.
In short, they seek to rely on the government contractor defense. This defense is not
available to them on the Vietnamese plaintiffs’ international law claims. See infra Part IX.
Relations
Defendants contend that domestic tort law claims “that interfere with the Executive’s
exercise of foreign relations” are preempted by federal law. Defs.’ Mem. of Law to Dismiss All
Claims at 65-68. As discussed above in Part VI, plaintiffs’ domestic law claims are barred by the
Defendants principally rely upon American Ins. Ass’n v. Garamendi, 539 U.S. 396
(2003). In Garamendi, insurance companies and a trade association brought an action to enjoin
the Insurance Commissioner of the State of California from enforcing a California statute
requiring the disclosure of information about Holocaust-era insurance policies. The Supreme
Court concluded that the Holocaust Victim Insurance Relief Act impermissibly interfered with
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the President’s conduct of foreign affairs and was therefore preempted. Garamendi is readily
expressly conflicted with foreign policy objectives implicit in executive agreements. Much like
the district courts in the post-Nazi-era cases discussed above in Part VIII.E.2., the Supreme Court
in Garamendi went to great lengths to discuss the various post-war treaties and reparation
agreements, including discussion of the Foundation. It concluded that “the express federal policy
preference to litigation or coercive sanctions] and the clear conflict raised by the state statute are
alone enough to require state law to yield.” Id. at 425. As in other post-Nazi-era litigation,the
The second case cited by the defendants in support of its preemption argument, Zschernig
v. Miller, 389 U.S. 429 (1968), is also inapplicable. In Zschernig, the Supreme Court held that
an Oregon statute stating the conditions under which an alien not residing in the United States or
its territory could inherit property constituted an impermissible intrusion by the state into the
field of foreign affairs. A relevant portion of the Oregon statute required an alien not residing in
the United States to establish that he or she would be able to “‘receive the benefit, use or control
of money or property from estates of persons dying in this state without confiscation, in whole or
in part, by the governments of such foreign countries.’” Id. at 430 n.1 (quoting Ore. Rev. Stat.
§ 111.070 (1957)). The Court noted that the provision became operative in 1951, and that prior
to that time, the rights of aliens under the Oregon statute were defined in general terms of
reciprocity which had been approved by the Court. Id. at 432. The Court’s concern stemmed
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launched inquiries into the type of governments that obtain in particular foreign
nations—whether aliens under their law have enforceable rights, whether the so-
called rights are merely dispensations turning upon the whim or caprice of
government officials, whether the representation of consuls, ambassadors, and
other representatives of foreign nations is credible or made in good faith, whether
there is in the actual administration in the particular foreign system of law any
element of confiscation.
....
[W]e find that [these decisions] radiate some of the attitudes of the “cold
war,” where the search is for the “democracy quotient” of a foreign regime as
opposed to the Marxist theory. The Oregon statute introduces the concept of
“confiscation,” which is of course opposed to the Just Compensation Clause of the
Fifth Amendment. And this has led into minute inquiries concerning the actual
administration of foreign law, into the credibility of foreign diplomatic statements,
and into speculation whether the fact that some received delivery of funds should
“not preclude wonderment as to how many may have been denied ‘the right to
receive’ . . . .”
Id. at 434-35 (citations omitted). The Court observed that “[a]s one reads the Oregon decisions,
it seems that foreign policy attitudes, the freezing or thawing of the ‘cold war,’ and the like are
the real desiderata. Yet they of course are matters for the Federal Government.” Id. at 437-38. It
concluded that the statute as construed intruded deeply into foreign affairs because it “seem[ed]
to make unavoidable judicial criticism of nations established on a more authoritarian basis than
our own.” Id. at 440. In the instant case, no similar risk is posed by the ordinary application of
These state law cases relied upon by defendants are not relevant to the problem at
hand—determining what was the applicable international law during the Vietnam War. There is
F. Causation
Since there has been no discovery on general and specific causation, it would be
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premature to consider a motion to dismiss based on lack of causation—a motion not yet made.
Should the Court of Appeals for the Second Circuit reverse dismissal on the grounds addressed
in the present memorandum, the court will grant extensive discovery on the relevant general
epidemiological and individual medical causation issues before addressing that problem. See
supra Part II on lack of current data. Consideration of this issue is postponed as premature.
G. Retroactivity
A party is not bound by a treaty prior to the date such a treaty enters into force for it;
treaties are not retroactive. Vienna Convention on the Law of Treaties, May 23, 1969, art. 28,
1155 U.N.T.S. 331, 339 (entered into force Jan. 27, 1980) (“Unless a different intention appears
from the treaty or is otherwise established, its provisions do not bind a party in relation to any act
or fact which took place or any situation which ceased to exist before the date of the entry into
force of the treaty with respect to that party.”); see also J. Mervyn Jones, The Retroactive Effect
of the Ratification of Treaties, 29 AM . J. INT ’L L. 51 (1935). The Vienna Convention on the Law
of Treaties, albeit not ratified by the United States to date, is regarded as largely declaratory of
existing law and has been recognized as such by the United States Department of State. LORI
FISLER DAMROSCH , LOUIS HENKIN , RICHARD CRAWFORD PUGH , OSCAR SCHACHTER & HANS
SMIT , INTERNATIONAL LAW CASES AND MATERIALS 452-54 (4th ed. 2001); see also DAVID J.
BEDERMAN ET AL., INTERNATIONAL LAW : A HANDBOOK FOR JUDGES 18 (Am. Soc’y of Int’l Law
2003) (“[E]ven though the United States is not a party [to the Vienna Convention on the Law of
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International law as a general proposition does not permit retroactive application.
Akehurst’s treatise refers to the “general principle that laws should not be applied
retroactively.” Peter Malanczuk, Akehurst’s Modern Introduction to International
Law 155 (7th rev. ed. 1997). Two specific treaty examples . . . demonstrate the
proposition. Article 28 of the Vienna Convention on the Law of Treaties, titled
the “non-retroactivity of treaties,” provides that unless a special intention is
established, a treaty’s provisions “do not bind a party in relation to any act or fact
which took place . . . before the date of the entry into force of the treaty with
respect to that party.” 1155 U.N.T.S. 331 (entry into force 27 January 1980). The
Rome Statute of the International Criminal Court . . . denies retroactive
application; Art. 22(1) provides that a person “shall not be criminally responsible
under this Statute unless the conduct in question constitutes, at the time it takes
place, a crime within the jurisdiction of the Court,” while Art. 24(1) provides that
“[n]o person shall be criminally responsible under this Statute for conduct prior to
the entry into force of the Statute.” 2187 U.N.T.S. 90 ([entered into force July 1,
2002; not ratified by the United States and the United States has filed a letter
stating that it does not intend to become a party]). . . . International law could
hardly develop if states believed that by accepting newly developed norms of
international law, the result would be to hold them liable under today’s norms for
behavior acceptable under yesterday’s. This consideration has particular
importance for the international law of war—a body of law in which all acts for
which individuals might be held liable are criminal . . . a body of law in which the
acts at issue are ones involving great death, destruction and violence. States, in
the interests of protecting their soldiers, would not agree to new and more
restrictive rules, including criminal liability, if they believed that it would subject
them and their military personnel to ex post facto liability.
liability when the principle of proportionality applies. Since proportionality in the application of
force during war requires the contemporary exercise of discretion and clearly defined rules of
engagement, it would be unjust to declare that new rules were in force after members of the
armed forces or others acted in what they then thought was an appropriate manner under the
regulations then reasonably believed to be in effect. See also infra Part XI.D.3.
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H. Choice of Law
“International law is part of our law, and must be ascertained and administered by the
courts of justice of appropriate jurisdiction, as often as questions of right depending upon it are
duly presented for their determination.” The Paquete Habana, 175 U.S. 677, 700 (1900); see
supra Part I. “International law and international agreements of the United States are law of the
United States and supreme over the law of the several States.” 1 RESTATEMENT (THIRD ) OF
FOREIGN RELATIONS LAW OF THE UNITED STATES § 111(1). But cf. Judicial Conference of the
Second Judicial Circuit of the United States, June 15-16, 2001, 225 F.R.D. 269, 384 (2005)
(“JUSTICE O’CONNOR: Well you referred to the dicta in Paquet [sic] Habana that
international law is part of our law. I think that was dicta and I don’t think we have
authoritatively taken that position . . . .”). As a Restatement comment puts the matter:
Id. cmt. b. International law “is part of the law of the United States, respected by Presidents and
Congresses, and by the States, and given effect by the courts.” Id. introductory note to pt. 1, ch.
1, at 17.
The Court of Appeals for the Second Circuit has avoided reaching the conflicts of law
question of applicability of international law rather than that of the forum. See Wiwa v. Royal
Dutch Petroleum Co., 226 F.3d 88, 105 n.12 (2d Cir. 2000) (noting that federal courts have never
definitively resolved the choice-of-law question for ATS cases, and not reaching that question
130
because its forum non conveniens dismissal was based on other grounds). On remand in Wiwa,
the district court applied international law. No. 96 Civ. 8386, 2002 WL 319887 (S.D.N.Y. Feb.
28, 2002).
While its analysis is not crystal clear, Sosa v. Alvarez-Machain, 124 S. Ct. 2739, 2752-54
(2004), can be read generally as adopting federal choice of law rules to causes of action applying
international law. See The Supreme Court—2003 Term, Leading Cases, 118 HARV . L. REV . 446,
453 (2004) (“Much of the majority’s analysis is consistent with the view that . . . all customary
international law has been included within federal common law.”); id. at 456 (stating that, in
view of ambiguity, Congress should clarify scope of its grant of jurisdiction over alien tort
claims). All three branches of our national government play a role in the recognition or creation
of international substantive rules of law; this implies a rejection of Erie R.R. Co. v. Tompkins,
304 U.S. 64 (1938), for these claims. Sosa, 124 S. Ct. at 2762. Concomitantly Klaxon Co. v.
Stentor Elec. Mfg. Co., 313 U.S. 487 (1941), requiring federal courts in diversity and some other
cases to follow the conflicts rule of the forum state, is inapplicable. See also WILLIS L. M. REESE
& MAURICE ROSENBERG , CONFLICT OF LAWS 766 (6th ed. 1971) (“[C]onsiderations of public
questions with ‘international complexion’ may lead courts to refrain from using choice of law
approaches that could be applicable if states of the Union were the only ones involved.”); Paul R.
Dubinsky, Human Rights Law Meets Private Law Harmonization: The Coming Conflict, 30
YALE J. INT ’L L. 211, 317 (2005) (“Even if the basic choice-of-law principles applicable in this
area should be those of the forum, courts of the forum should not apply those rules in a manner
rights law.”). The Sosa court specifically rejected state choice of law rules in denying
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applicability of the headquarters doctrine because “current flexibility” in choice of law
methodology [of the states or foreign countries] would sometimes lead to a result inconsistent
with federal policy. Sosa, 124 S. Ct. at 2753 & n.8, 2754.
The Court of Appeals for the Ninth Circuit’s analysis of choice of law in international law
cases was instructive. See Doe I v. Unocal Corp., Nos. 00-56603, 00-57197, 00-56628 & 00-
57195, 2002 WL 31063976, at *11 (9th Cir. Sept. 18, 2002) (finding that violations of
international law is the law that applies when it is in conflict with domestic state or federal law),
vacated & reh’g en banc granted by 395 F.3d 978 (9th Cir. 2003). That the opinion was later
Unocal urges us to apply not international law, but the law of the state
where the underlying events occurred, i.e., Myanmar. Where, as in the present
case, only jus cogens violations are alleged—i.e., violations of norms of
international law that are binding on nations even if they do not agree to them—it
may, however, be preferable to apply international law rather than the law of any
particular state, such as the state where the underlying events occurred or the
forum state. The reason is that, by definition, the law of any particular state is
either identical to the jus cogens norms of international law, or it is invalid. . . .
Application of international law—rather than the law of Myanmar,
California state law, or our federal common law—is also favored by a
consideration of the factors listed in the Restatement (Second) of Conflict of Laws
§ 6 (1969). First, “the needs of the . . . international system[]” are better served by
applying international rather than national law. Second, “the relevant policies of
the forum” cannot be ascertained by referring . . . to one out-of-circuit decision
which happens to favor federal common law and ignoring other decisions which
have favored other law, including international law. Third, regarding “the
protection of justified expectations,” the “certainty, predictability and uniformity
of result,” and the “ease in the determination and application of the law to be
applied,” we note that the standard we adopt today from an admittedly recent case
nevertheless goes back at least to the Nuremberg trials and is similar to that to the
Restatement (Second) of Torts. Finally, “the basic polic[y] underlying the
particular field of law” is to provide tort remedies for violations of international
law. This goal is furthered by the application of international law, even when the
international law in question is criminal law but is similar to domestic tort
law . . . .
132
2002 WL 31063976, at *11 (citations and footnotes omitted).
The Unocal case involved allegations of forced labor, that was the equivalent of slave
labor, allegedly used by an American oil corporation in Myanmar cooperating with that country’s
military. Neither the law of a state of this country or of Myanmar could be permitted to override
international human rights law forbidding use of forced labor and the accompanying torture and
rape. (The Unocal case was later settled without a concession of liability by the defendant
corporation. See Bloomberg News, Unocal Settles Rights Suit in Myanmar, N.Y. TIMES, Dec.
14, 2004, at C6 (reporting that Unocal agreed to settle lawsuits alleging that it was responsible
for human rights violations committed by soldiers of Myanmar who forced others to work on
construction of a pipeline)).
Courts are not precluded from referring to appropriate state or national law for analogies
be enforced in a reasonable way. See Statute of the International Court of Justice, June 26, 1945,
art. 38(1)(d), 59 Stat. 1055, 1060 (entered into force Oct. 24, 1945) (providing that judicial
decisions, which include decisions of national courts, may be referred to as “subsidiary means for
the determination of the rules of [international law]”). They may also have to determine such
local matters as whether a plaintiff is authorized by local law to sue on behalf of an estate, a
minor or an association. Hilton v. Guyot, 159 U.S. 113, 163-64 (1895) (defining international
comity as “the recognition which one nation allows within its territory to the legislative,
executive or judicial acts of another nation”); cf. Bigio v. Coca-Cola Co., No. 97 Civ. 2858, 2005
WL 287397 (S.D.N.Y. Feb. 3, 2005) (dismissing, on the grounds of international comity and
133
forum non conveniens, a suit seeking damages for conversion under New York state law arising
from Egyptian government’s nationalization of plaintiffs’ property). But cf. Zschernig v. Miller,
389 U.S. 429 (1968) (holding that state statute cannot interfere with national policy during Cold
War by limiting estate dispositions on grounds that a communist country will actually receive
proceeds); see also supra Part VIII.E.3.c. (discussing Zschernig). Defendants in the present case
have raised no such issue of authority of plaintiffs to represent minors or the estates of the
deceased under Vietnam’s laws. Whether ownership of all land within the borders of Vietnam is
a detoxification remedy, may raise issues of Vietnam law that need not now be decided.
It is the position of the United States that the government contractor defense should apply
[P]laintiffs' international law claims, to the extent that they are recognized
at all, are recognized as federal common law claims. See Sosa, 124 S. Ct. at 2754,
2765-66. As such, they should be subject to the federal common law government
contractor defense. See Boyle v. United Technologies Corp., 487 U.S. 500
(1988). Although principles of international law suggest that a "superior orders"
defense is unavailable in certain circumstances in the context of international
criminal law, the rationales that led the Supreme Court to adopt the government
contractor defense as a matter of federal common law in the context of state-law
tort claims apply with even greater force to federal common law claims for
damages based upon international law.
. . . The Supreme Court based its adoption of the defense in Boyle on the
principles underlying the discretionary function exception to the Federal Tort
Claims Act ("FTCA"), 28 U.S.C. § 2680(a) (which, along with the exceptions for
combatant activities and claims arising abroad, would bar suit against the United
States based on the conduct here at issue) . . . .
134
Those "effect[s] sought to be avoided" are that "[t]he financial burden of
judgments against contractors would ultimately be passed through, substantially,
if not totally, to the United States itself . . . ." Id. at 512. See also id. at 507. The
Court thus concluded that "[i]t makes little sense to insulate the Government
against financial liability for the judgment that a particular feature of military
equipment is necessary when the Government produces the equipment itself, but
not when it contracts for the production." Id. at 512.
The very same reasoning applies to the case at bar. Allowing plaintiffs'
international law claims to proceed against the defendants would result in the very
harms that both the discretionary function exception and Boyle were intended to
prevent. Indeed, the rationale for application of the defense to claims such as
plaintiffs is even stronger than was the case in Boyle, which involved claims of
defective design. Here, plaintiffs' claims are based upon – and necessarily call
into question – not only the Government's decision to procure the products at
issue, but also the military decisions regarding the precise nature of their use.
Thus, rather than simply seeking to hold the defendants liable for their own
alleged negligence in the manufacture of an allegedly defective product, the
plaintiffs essentially seek to hold the defendants liable for the decisions made by
the President regarding the manner in which to prosecute the war in Vietnam.
Allowing such claims to proceed would have even further reaching implications
for military procurement than the claims at issue in Boyle, for it would expose
defense contractors to potential liability for possibly unforseen uses of the goods
ordered by the American Armed Forces. . . .
Boyle was decided in the context of federal displacement of state law
causes of action. Boyle, 487 U.S. at 507-08, 512. Here, by contrast, the question
is one of the applicability of a federal common law defense to a federal common
law cause of action derived from international law norms. If anything, the
argument for application of the government contractor defense is even more
compelling in these circumstances, for the source of the defense is the same as the
source of the cause of action – federal common law. Rather than displacing
another source of law, the court would merely be applying and reconciling two
federal common law concepts. If the federal interest in a government contractor
defense is sufficient to pre-empt and displace state law, it is certainly applicable
where the cause of action is based on federal law.
....
Sosa further supports the conclusion that the government contractor
defense should apply to federal common law claims based on international law
norms. As noted above, Sosa cautioned that the "determination whether a norm is
sufficiently definite to support a cause of action should (and, indeed, inevitably
must) involve an element of judgment about the practical consequences of making
that cause available to litigants in federal courts." 124 S. Ct. at 2766 (footnote
omitted). See also id. at 2763. Although that admonition was directed at the
135
process of determining whether a particular norm has attained a level of
acceptance and definition so as to make it subject to a federal common law cause
of action, the principle is equally applicable to the question of whether a federal
common law defense should be recognized as applicable to such causes of action.
In either case, the federal courts are engaging in judicial lawmaking, and it is the
"practical consequences" of such lawmaking that the Supreme Court has
admonished must be considered in the process. And the "practical consequences"
here clearly support adoption of the government contractor defense.
First, Boyle itself was based on practical considerations, recognizing that
allowing claims such as these to proceed against government contractors would
result in an end-run around sovereign immunity and ultimately harm the public
fisc. Sosa's reference to "practical consequences" is thus a clear invitation to
apply the principles articulated in Boyle. Second, the practical consequences of
allowing claims such as plaintiffs' to proceed are even more profound than the
consequences at issue in Boyle. Holding the government contractor defense
inapplicable to claims such as plaintiffs', which essentially challenge military
judgments made by the President, would effectively invite all of the United States'
past and future enemies to sue a wide variety of military contractors based on such
Presidential decisions in United States courts. See, e.g., 03/18/04 Tr. at 29-30.
Such an invitation would result not only in increased costs to the United States,
but would embroil the judiciary in the review and appraisal of military decisions
reserved to the political branches. . . . It also has the potential to impede the
President's ability to carry out his duties as Commander in Chief, for every
military decision – from the tactical to the strategic – would become the subject of
potential litigation.
Moreover, reading Boyle and Sosa together strongly suggests that the
government contractor defense should be deemed applicable in such
circumstances. Boyle sets forth a clear rule of decision, based on principles
derived from an Act of Congress, and contains no caveats or hesitations regarding
the applicability of the defense there announced and applied. Sosa, by contrast,
recognizes only an abstract principle, which was held inapplicable in that case,
and is chock-full of references to the "caution" that must guide federal courts in
this area, and the foreign policy and separation-of-powers concerns that mitigate
against any broad reading of the decision. In light of the Supreme Court's clear
holding in Boyle and its repeated expressions of caution in Sosa, the federal
common law government contractor defense recognized in Boyle should be
applicable to any federal common law causes of action derived from international
law norms pursuant to Sosa.
136
....
Moreover, international legal principles are not inconsistent with the
conclusion that the federal common law government contractor defense applies to
claims based upon customary international law. As an initial matter, any such
international legal principles are incorporated into U.S. law, if at all, as federal
common law. And, as just discussed, federal common law has already been held
to recognize the government contractor defense.
....
More importantly, as the Court has recognized, the Nuremberg and
Eichmann cases – which would be the source of any alleged international law
norm rendering the government contractor defense inapplicable in this case –
involved criminal, as opposed to civil, liability. Id. at 22. This is an important
distinction. Criminal law involves questions of individual moral culpability and
punishment, while civil law is intended to be remedial. The defenses of necessity
and obedience to superior orders – the closest criminal law analogues to the
government contractor defense in the civil context – are intended to reflect and
account for the principles of individual moral responsibility that underlie criminal
law, prohibiting punishment where the individual actor is deemed not to have had
a true moral choice with respect to his actions. See, e.g., International Law
Commission, Principles of International Law Recognized in the Charter of the
Nurnberg Tribunal and in the Judgment of the Tribunal, Principle IV. By contrast,
the government contractor defense – as articulated by the Supreme Court in Boyle
– is intended, ultimately, to protect the government from liability for actions that
Congress has not seen fit to include within the scope of any waiver of sovereign
immunity.
Recognizing that the criminal law seeks to punish individuals for acts for
which they are morally culpable, and that the necessity and superior orders
defenses are intended to provide a defense to those individuals who were not, in
fact, morally culpable, both the Nuremberg and Eichmann cases focused on the
actions and intent of the individual defendants in determining whether the defense
at issue applied. See, e.g., United States v. Krupp, IX Trials of War Criminals
Before the Nuernberg Military Tribunals Under Control Council Law No. 10
("Trials of War Criminals") at 1439, 1448 ("we hold that guilt must be personal").
Thus, in both the Flick and Krupp cases, the tribunal focused on the specific
conduct of the individual defendants, both to ascertain the role they played in the
wrongdoing and to assess the nature and extent of the willingness of their
participation. In the Flick case, the tribunal found two defendants not guilty in
light of the finding that they "were not desirous of employing foreign labor or
prisoners of war" but "submitted to the program" under compulsion. United
States v. Flick, VI Trials of War Criminals at 1197-98. Similarly, in the Krupp
case, the tribunal emphasized that the defense of necessity turned on the mental
state of the defendant and held that "if, in the execution of the illegal act, the will
137
of the accused be not thereby overpowered but instead coincides with the will of
those from whom the alleged compulsion emanates, there is no necessity
justifying the illegal conduct." Krupp, IX Trials of War Criminals at 1439. And,
underlining the individual nature of criminal responsibility, the tribunal found one
of the twelve defendants in the Krupp case not guilty of the charges based upon
the deportation, exploitation and abuse of slave labor, due to the absence of
individual responsibility for the crimes charged. Id. at 1449. Similarly, in the
Eichmann case, the court noted that the defense of "constraint" or "necessity"
"goes to the question of the motive that urged the accused to carry out the criminal
act," and found that Eichmann himself had "performed the order of extermination
at all times con amore, that is with full zeal and devotion to the task." Attorney
General of Israel v. Eichmann, 16 Piske Din 2033 (1962) (Israel Supreme Court)
(Hebrew), reprinted in 36 I.L.R. 277, 318 (1968) (emphasis in original).
As the preceding discussion demonstrates, the defenses of necessity and
obedience to superior orders in international criminal law have focused upon the
mental state and the moral responsibility of individual criminal defendants.
Indeed, in Flick and Krupp, certain individuals involved with the Flick and Krupp
concerns were found not guilty based on a lack of personal moral culpability,
notwithstanding the corporate culpability of the companies. These criminal law
defenses, focused as they are on the mens rea of individuals, are thus not readily
transferrable to the civil law context, particularly where the defendants are
corporations rather than individuals.
At bottom, these criminal law defenses are grounded upon different
rationales and serve different societal purposes than the civil government
contractor defense. Even were the defenses of necessity and obedience to superior
orders deemed inapplicable in the criminal context as a matter of international
law, therefore, such a conclusion would by no means preclude application of the
government contractor defense in the civil context applicable here.
....
Finally, the Nuremberg and Eichmann cases are readily distinguishable in
a more fundamental way. Those cases all involved conduct so abhorrent as to be
readily identifiable as violative of international legal norms and all standards of
civilized human conduct. By contrast, as discussed above, there was much debate
regarding the wisdom and legality of the United States' use of chemical herbicides
in Vietnam. Whatever one may conclude about the 1925 Geneva Protocol's
intended applicability to chemical herbicides, it is beyond peradventure that the
use of such herbicides constitutes conduct of a qualitatively different nature from
the mass murder and slavery engaged in by the Nazis. See 03/18/04 Tr. at 22.
In addition to differentiating the heinous conduct engaged in by the Nazis
and their accomplices from the conduct at issue here, this distinction is also
legally relevant to the applicability of the government contractor defense. As the
Israeli Supreme Court noted in Eichmann, the obedience to superior orders
138
defense is generally "admissible where there was obedience to an order not
manifestly unlawful." Eichmann, 36 I.L.R. at 314 (emphasis added). See also
Rome Statute of the International Criminal Court ("Rome Statute"), art. 33(1)
(superior order defense available where order "not manifestly unlawful").
Although Israeli law provided that the defense was expressly not available under
the Nazi Collaborators (Punishment) Law, the Eichmann court nevertheless noted
that "even if we had to decide the case on the basis of the provisions of the general
criminal law [which recognizes the defense], [we] would have had to reject the
defence . . . because the order for physical extermination was manifestly
unlawful." Id. at 314-15.
This principle was elaborated upon by the Jerusalem District Court:
The distinguishing mark of a 'manifestly unlawful order' should fly
like a black flag above the order given, as a warning saying
"Prohibited!". Not formal unlawfulness, hidden or half-hidden, nor
unlawfulness discernible only by the eyes of legal experts, is
important here, but a flagrant and manifest breach of the law,
definite and necessary unlawfulness appearing on the face of the
order itself, the clearly criminal character of the order or of the acts
ordered to be done, unlawfulness piercing the eye and revolting the
heart, be the eye not blind nor the heart stony and corrupt – that is
the measure of "manifest unlawfulness" required to release a
soldier form the duty of obedience upon him and make him
criminally responsible for his acts.
Attorney General of Israel v. Eichmann, 45 Pesakim Mehoziim 3 (Jerusalem Dist.
Ct. 1965), reprinted in 36 I.L.R. 18, 256 (1968), quoting Chief Military Prosecutor
v. Melinki, 13 Pesakim Mehoziim 90. See also United States v. Ohlendorf (The
Einsatzgruppen Case), IV Trials of War Criminals 1, 470-73, 483-86 (discussing
superior orders defense; "[i]f the nature of the ordered act is manifestly beyond the
scope of the superior's authority, the subordinate may not plead ignorance to the
criminality of the order"); The Llandovery Castle Case, Supreme Court at Leipzig
(1921), reprinted in 16 Am. J. Int'l L. 708, 721-22 (1922) (superior order defense
inapplicable where "if such an order is universally known to everybody, including
also the accused, to be without doubt whatever against the law").
The Zyklon B case is to the same effect. There, the tribunal found two of
the three defendants guilty of supplying Zyklon B gas "for the extermination of
allied nationals . . . well knowing that the said gas was to be so used." The Zyklon
B Case (Trial of Bruno Tesch and Two Others), reported in,1 United Nations War
Crimes Commission, Law Reports of the Trials of War Criminals 93 (1947). The
case focused on the accuseds' knowledge of the uses to which the gas was to be
put – "the wholesale extermination of human beings." Id. at 94. The clear
implication of the focus on the accuseds' knowledge is that the horrid nature of the
crime was such that no defense of following orders was available. That is, in light
139
of the "manifest illegality" of gassing millions of civilians, the only question
before the tribunal was whether the defendants were aware of the uses to which
the gas they provided was put.
The case at bar involves no such "manifestly illegal" conduct. To the
contrary, as discussed above, no international law norm barred the use of chemical
herbicides in war for purposes of defoliation or enemy crop destruction. One
cannot say that use of such herbicides was "a flagrant and manifest breach of the
law" or that the alleged "unlawfulness pierc[ed] the eye and revolt[ed] the heart."
Rather, people of good will disagreed as to the moral and legal implications of
using chemical herbicides. To the extent that international law norms governing
the superior order defense inform the Court's analysis of the applicability of the
government contractor defense to plaintiffs' international law claims, therefore, it
is clear that international law does not preclude such a defense where, as here, the
orders at issue were not manifestly illegal.
Finally in this regard, it is important to note that, to the extent that
international legal norms have any role in the determination as to whether the
federal common law government contractor defense is available in cases such as
this, the proper inquiry is whether international law proscribes such a defense, not
whether international law prescribes it. In light of the Supreme Court's ruling in
Boyle recognizing the defense as a matter of federal common law, the only
possible relevance of international legal norms would be if they categorically
prohibited such a defense. Absent such a prohibition, the usual federal rule
should be applied for the reasons discussed above.
And international law contains no such prohibition. See generally Charles
Garraway, Superior Orders and the International Criminal Court: Justice
Delivered or Justice Denied, [hereinafter, Garraway, Superior Orders], Int'l
Review of the Red Cross, No. 836, at 785-94 (1999), available at
<http://www.icrc.org/Web/Eng/siteeng0.nsf/iwpList175/4F89CC080CE0E792C1
256B66005DD767>. Although the Nuremberg Charter and Control Council Law
No. 10 both provided that acting pursuant to an order of a superior does not free
an individual from responsibility for a crime, those sources alone do not establish
a per se rule of international law forbidding the application of a superior orders
defense in all contexts. Rather, the Charter was intended to provide for the trials
of the worst Nazi war criminals, whose conduct was recognized as manifestly
illegal and thus not susceptible to such a defense. See id. Moreover, the concept
of superior orders was in fact recognized by the Nuremberg tribunals as part of the
concepts of necessity and intent, discussed above, and was thus not rejected
entirely. See Garraway, Superior Orders. In addition, as noted above, the Rome
Statute expressly provides for the applicability of such a defense for war crimes.
Rome Statute, art. 33. At a minimum, therefore, international law does not forbid
the recognition of such a defense. Accordingly, the federal common law defense
recognized by the Supreme Court should be deemed applicable to the international
140
law claims at issue here.
The government’s view is not persuasive. To establish liability, the plaintiffs would have
to show that the usage was illegal under international law; the defendants knew how their product
would be used; and, that with knowledge, they supplied the product, facilitating and becoming a
party to the illegality. “Unfairness” to government contractors is not a convincing ground for
ignoring their corporate liability under international law since it would be necessary to show that
the corporation was aware of the intended illegal use when it supplied its product.
In the instant case there is little doubt that it was widely known in the industry producing
herbicides for the Vietnam War how the herbicides were to be used. In view of the amounts and
the close coordination between the military and industrial establishments this knowledge can be
assumed on this 12(b)(6) motion. Defendants do not on their motions rely on ignorance.
The government contractor defense is one peculiar to United States law. See supra Part
VI. It does not apply to violations of human rights and norms of international law. See, e.g.,
Boyle v. United Techs. Corp., 487 U.S. 500, 512 (1988) (limiting defense to claims for design
defects); see also Zyklon B Case (Trial of Bruno Tesch and Two Others), 1-5 LAW REPORTS OF
TRIALS OF WAR CRIMINALS 93; United States v. Flick, 6 TRIALS OF WAR CRIMINALS 1187, 1198,
1202 (discussing necessity); United States v. Krupp, 9 TRIALS OF WAR CRIMINALS 1327, 1437-
39 (same); see also infra Parts IX.C.-D. Defendants’ motion to dismiss on this ground is denied.
141
The government contractor defense is essentially based on the concept that the
government told me to do it, and knew as much or more than I did about possible harms, so I can
stand behind the government (which cannot be sued because of its immunity). It is designed in
part to save the government money in its procurement costs because suppliers, less concerned
with the risk of suits, can eliminate some difficult insurance factors from cost projections.
As shown below in a discussion of the Nuremberg and other post-World War II criminal
trials, this defensive notion has been rejected. It should not be recognized, as the law now stands,
by courts protecting civilians and land from depredations contrary to international law.
C. Zyklon B Case
The international law case most useful as an analogy on the point of the government
contractor defense is the Zyklon B Case (Trial of Bruno Tesch and Two Others), 1-5 LAW
REPORTS OF TRIALS OF WAR CRIMINALS 93-102. The statement of facts below is taken almost
verbatim from the opinion in the case. No one, of course, suggests that use of herbicides in
Vietnam is remotely comparable to the genocidal use of Zyklon B. See, e.g., JOSEPH E. PERSICO ,
NUREMBERG INFAMY ON TRIAL 316-19 (Penguin Books 1995) (discussing use at Treblinka and
The accused, Bruno Tesch, Joachim Drosihn and Karl Weinbacher, were charged with a
war crime in that they “‘at Hamburg, Germany, between 1st January, 1941, and 31st March,
1945, in violation of the laws and usages of war did supply poison gas used for the extermination
of allied nationals interned in concentration camps well knowing that the said gas was to be so
142
Tesch was by 1942 the sole owner of a firm known as Tesch and Stabenow, whose
activities were divided into three main categories: (1) it distributed certain types of gas and
gassing equipment for disinfecting various public buildings, including Wehrmacht barracks and
S.S. concentration camps; (2) it provided, where required, expert technicians to carry out these
gassing operations; and (3) Tesch and Drosihn, the firm’s senior gassing technician, carried out
instruction for the Wehrmacht and the S.S. in the use of the gas which the firm supplied. The
predominant importance of these gassing operations in war-time lay in their value in the
The chief gas involved was Zyklon B, a highly dangerous poison gas, 99 percent of which
was prussic acid. It was manufactured by another firm. Tesch and Stabenow had the exclusive
agency for the supply of the gas east of the River Elbe, but the Zyklon B itself went directly from
The Prosecution contended that from 1941 to 1945 Zyklon B was being supplied as a
direct result of orders from the Third Reich accepted by the accused’s firm, Tesch and Stabenow.
The Zyklon B was being shipped in vast quantities to the largest concentration camps east of the
Elbe. In these camps the S.S. Totenkopfverbande were, from 1942 to 1945, systematically
exterminating human beings to an estimated total of six million, of whom four and a half million
were exterminated by the use of Zyklon B in one camp alone, known as Auschwitz/Birkenau. Id.
exterminated in the Nazis’ “final solution.” They came from the occupied territories of Europe,
and included Czechs, Russians, Poles, French, Dutch and Belgians, from neutral countries and
143
from the United States. The Prosecutor claimed that over a period of time the three accused
became aware of the S.S.’s use of Zyklon B gas for the wholesale extermination of human beings
in the eastern concentration camps, and that, having acquired this knowledge, they continued to
arrange supplies of the gas to these customers in ever-increasing quantities, until in the early
months of 1944, the consignment per month to the Auschwitz concentration camp was nearly
When Tesch was absent, Weinbacher was fully empowered and authorized to do all acts
on behalf of Tesch, his principal, which Tesch could have done. Weinbacher’s position was of
great importance, since Tesch would travel on the business of the firm for as many as 200 days in
The case for the Prosecution was that knowingly to supply a commodity to a branch of
the State which was using that commodity for the mass extermination of civilian nationals was a
war crime, and that the people who did it were war criminals for putting the means to commit the
crime into the hands of those who actually carried it out. The accused’s action was charged as
being in violation of Article 46 of the Hague Regulations of 1907, to which the German
In a business travel report, Tesch recorded an interview with leading members of the
Wehrmacht, during which he was told that burial after the shooting of increasing numbers of
Jews was proving more and more unhygienic, and that it was proposed to kill them with prussic
acid. Tesch, when asked for his views, had proposed to use the same method, involving the
release of prussic acid gas in an enclosed space, as was used in the extermination of vermin. He
144
trained the S.S. men in this new method of killing human beings. Id. at 95.
According to a former stenographer of the firm, Tesch, after dictating his travel report
upon his return from Berlin in about June 1942, told her that Zyklon B was being used for
gassing human beings, and he had appeared to be as terrified and shocked about the matter as she
was. Others confirmed the extensive shipments and knowledge of the use of the gas by Tesch.
He taught a class on how the gas could be used. A former high-ranking German government
official stated that it was common knowledge in 1943 in Germany that gas was being used to kill
Tesch testified that he had heard nothing and had known nothing about human beings
being killed in concentration camps with prussic acid. He denied ever having attended any
conference, or having been approached by any official or military authority on the subject, or
having written in any document that human beings should be killed by prussic acid. Tesch
contended that he had never been to Auschwitz himself and had had no reason to believe that the
camps were incorrectly run. He did not think that deliveries to Auschwitz were very high. Id. at
97.
In his closing address Tesch’s defense counsel submitted that, since the charge was not
one of destroying human life but only of supplying the means of doing so, such action would be
contrary to the laws and usages of war only if the means supplied were necessarily intended to
kill human beings. To supply a material which also had quite legitimate purposes was not a war
crime. He submitted that even in the concentration camps the gas was, at least at the beginning,
used only for its legitimate purpose. Id. at 98. Regarding the large supplies of gas to Auschwitz
145
in particular, he submitted that Tesch was too busy to be expected to know what individual
customers bought, and in any case the supply of Zyklon B was not as important to the firm as
were its gassing activities. Furthermore, he argued that Tesch had regarded Auschwitz as a
transit camp needing therefore unusually frequent delousing. Counsel concluded that Tesch
knew nothing of the gassing of human beings either in Auschwitz or Neuengamme. Id. at 99.
Weinbacher’s counsel submitted that it had become clear during the trial that Weinbacher
did not know that Zyklon B had been used for the killing of human beings. Id. In any case, it
had been shown that the quantity of Zyklon B needed to kill human beings was much smaller
than that required to kill insects. The quantities of Zyklon B needed for killing half a million or
even a million human beings stood in such small proportion to the quantities needed for the
killing of insects that it would not have been noticed at all. Therefore, there had been no need for
Weinbacher to have grown suspicious because he knew that Auschwitz was one of the biggest
camps and a sort of transit camp. Counsel did not think, therefore, that it was correct to assume
that the large quantity of Zyklon B going to Auschwitz was any indication of the fact that human
The prosecutor urged that the possibility that some firm other than Tesch and Stabenow
could have supplied Zyklon B to Auschwitz could be ruled out because the firm had the
monopoly in that area. The essential question was whether the accused knew of the purpose to
which their gas was being put. The prosecutor admitted that the S.S. were under no restrictions
as to the use they made of the gas, and that the direct knowledge which was available to Tesch as
to that use was scanty, due to the fear and secrecy in which the S.S. worked. Id. at 100-01.
146
It was the prosecutor’s argument that it was unbelievable that Tesch did not know that
anything wrong went on in the concentration camps. One key witness had said without hesitation
that he saw things there which were not worthy of human dignity, and that he had said so to
Tesch. It was also unbelievable that Tesch had no knowledge of the amounts of gas being
supplied to the S.S., and to Auschwitz in particular, by a firm which was wholly his property. In
1942 and 1943 Auschwitz had been the firm’s second largest customer. Tesch had no reason to
believe that Auschwitz was a transit camp; moreover, he was too efficient to be duped by the S.S.
The prosecutor completed his case against Tesch by casting doubt on his veracity, showing
contradictions between his statements and those of other witnesses on certain details unrelated to
the main issue. Dealing very shortly with Weinbacher’s position, the prosecutor contended that
all that Tesch knew must, from the nature of the inner organization of the business, have also
been known by Weinbacher. He concluded that, by supplying gas, knowing that it was to be used
for murder, the three accused had made themselves accessories before the fact to that murder. Id.
at 101.
The Judge Advocate, in summing up the evidence, pointed out that the Court must be
sure of three facts: (1) Allied nationals had been gassed by means of Zyklon B; (2) this gas had
been supplied by Tesch and Stabenow; and (3) the accused knew that the gas was to be used for
the purpose of killing human beings. He said: “To my mind, although it is entirely a question for
you, the real strength of the Prosecution in this case rests rather upon the general proposition that,
when you realize what kind of a man Tesch was, it inevitably follows that he must have known
every little thing about his business. The Prosecution asks you to say that the accused and his
second-in-command Weinbacher, both competent business men, were sensitive about admitting
147
that they knew at the relevant time of the size of the deliveries of poison gas to Auschwitz. The
Prosecution then asks: “Why is it that these competent business men are so sensitive about these
particular deliveries? Is it because they themselves knew that such large deliveries could not
possibly be going there for the purpose of delousing clothing or for the purpose of disinfecting
buildings?” Id.
Tesch and Weinbacher were found guilty. They were sentenced to death. The sentences
In the notes on the case, the following relevant points were made supporting the view that
a private supplier of killing materials which violate international law is liable despite the fact that
The decision of the Military Court in the present case is a clear example of
the application of the rule that the provisions of the laws and customs of war are
addressed not only to combatants and to members of state and other public
authorities, but to anybody who is in a position to assist in their violation.
The activities with which the accused in the present case were charged
were commercial transactions conducted by civilians. The Military Court acted
on the principle that any civilian who is an accessory to a violation of the laws and
customs of war is himself also liable as a war criminal.
Id. at 103.
The proposition that commands from the state and higher authorities within the state can
not justify a person’s commission of, or knowing participation in, an international crime was
repeatedly made before the Nuremberg Military Tribunals. See also, e.g., TIM MAGA , JUDGMENT
AT TOKYO : THE JAPANESE WAR CRIME TRIALS (2001). One example is set out below.
148
Except as to some of Steinbrinck’s activities the defendants were not
officially connected with the Nazi government but were private citizens engaged
as businessmen in the heavy industry of Germany. Their counsel, and Flick in his
closing unsworn statement, contended that in their persons industry itself is being
persecuted. They have some shade of justification for so believing since the
prosecution at the very beginning of the case made this statement—
“The defendants in this case are leading representatives of
one of the two principal concentrations of power in Germany. In
the final analysis, Germany’s capacity for conquest derived from
its heavy industry and attendant scientific techniques, and from its
millions of able-bodied men, obedient, amenable to discipline, and
overly susceptible to panoply and fanfare. Krupp, Flick, Thyssen,
and a few others swayed the industrial group; Beck, Fritsch,
Rundstedt, and other exemplars ruled the military clique. On the
shoulders of these groups Hitler rode to power, and from power to
conquest.”
....
The question of the responsibility of individuals for such breaches of
international law as constitute crimes has been widely discussed and is settled in
part by the judgment of IMT. It cannot longer be successfully maintained that
international law is concerned only with the actions of sovereign states and
provides no punishment for individuals.
“That international law imposes duties and liabilities upon
individuals as well as upon states has long been recognized. In the
recent case of ex parte Quirin (1942, 317 U.S. 1, 63 S. Ct. 2, 87 L.
Ed. 3), before the Supreme Court of the United States, persons
were charged during the war with landing in the United States for
purposes of spying and sabotage. The late Chief Justice Stone,
speaking for the Court, said:
“‘From the very beginning of its history this Court has
applied the law of war as including that part of the law of nations
which prescribed for the conduct of war, the status, rights and
duties of enemy nations as well as enemy individuals’.”
. . . [I]t is urged that individuals holding no public offices and not
representing the State, do not, and should not come within the class of persons
criminally responsible for a breach of international law. It is asserted that
international law is a matter wholly outside the work, interest, and knowledge of
private individuals. The distinction is unsound. International law, as such, binds
every citizen just as does ordinary municipal law. Acts adjudged criminal when
done by an officer of the government are criminal also when done by a private
individual. The guilt differs only in magnitude, not in quality. The offender in
149
either case is charged with personal wrong and punishment falls on the offender in
propria persona. The application of international law to individuals is no novelty.
(See The Nuernberg Trial and Aggressive War by Sheldon Glueck, ch. V, pp. 60-
67, incl., and cases there cited.) There is no justification for a limitation of
responsibility to public officials.
United States v. Flick, 6 TRIALS OF WAR CRIMINALS 1187, 1191-92 (footnote omitted). The case
involved use of slave laborers. The fact that Flick, one of the key defendants, was the head of a
E. Necessity Distinguished
The defense of necessity referred to in the Flick case, requiring a high degree of
compulsion, is different from that of the government contractor defense. See TELFORD TAYLOR,
FINAL REPORT TO THE SECRETARY OF THE ARMY ON THE NUERNBERG WAR CRIMES TRIALS
UNDER CONTROL COUNCIL LAW NO . 10, at 193 (photo. reprint 1997) (1949) (“The defense of
Recognizing the criminality of the Reich labor program as such, the only
question remaining for our decision with respect to this count is whether the
defendants are guilty of having employed conscripted foreign workers,
concentration camp inmates or prisoners of war allocated to them through the
slave-labor program of the Reich under the circumstances of compulsion under
which such employment came about. . . . It is clear, however, that relation of
[Albert] Speer and [Walter] Funk [who were found guilty in another IMT trial] to
such [slave-labor] program differs substantially from the nature of the
participation in such program by the defendants in this case. Speer and Funk were
numbered among the group of top public officials responsible for the slave-labor
program.
We are not unmindful of the provision of paragraph 2 of Article II of
Control Council Law No. 10 which states that—
“2. Any person without regard to the nationality or the
capacity in which he acted, is deemed to have committed a crime
150
as defined in paragraph 1 of this Article, if he was (a) a principal or
(b) was an accessory to the commission of any such crime or
ordered or abetted the same or (c) took a consenting part therein or
(d) was connected with plans or enterprises involving its
commission ***.”
Nor have we overlooked the provision in paragraph 4(b) of Article II of such
Control Council Law No. 10 which states—
“(b) The fact that any person acted pursuant to the order of
his Government or of a superior does not free him from
responsibility for a crime, but may be considered in mitigation.”
In our opinion, it is not intended that these provisions are to be employed
to deprive a defendant of the defense of necessity under such circumstances as
obtained in this case with respect to defendants Steinbrinck, Burkart, Kaletsch,
and Terberger. This Tribunal might be reproached for wreaking vengeance rather
than administering justice if it were to declare as unavailable to defendants the
defense of necessity here urged in their behalf. This principle has had wide
acceptance in American and English courts and is recognized elsewhere.
Wharton’s Criminal Law, volume I, chapter III, subdivision VII, paragraph
126 contains the following statement with respect to the defense of necessity
citing cases in support thereof:
“Necessity is a defense when it is shown that the act
charged was done to avoid an evil both serious and irreparable; that
there was no other adequate means of escape; and that the remedy
was not disproportioned to the evil.”
A note under paragraph 384 in chapter XIII, Wharton’s Criminal Law, volume I,
gives the underlying principle of the defense of necessity as follows:
“Necessity forcing a man to do an act justifies him, because
no man can be guilty of a crime without the will and intent in his
mind. When a man is absolutely, by natural necessity, forced, his
will does not go along with the act. Lord Mansfield in Stratton’s
Case, 21 How. St. Tr. (Eng.) 1046-1223.”
The prosecution, on final argument, contended that the defendants are
barred from interposing the defense of necessity. In the course of its argument,
the prosecution referred to paragraph 4(b), of Article II of Control Council Law
No. 10 and stated:
“This principle has been most frequently applied and
interpreted in military cases ***.”
Further on in the argument, it was said:
“The defendants in this case, as they have repeatedly and
plaintively told us, were not military men or government officials.
151
None of the acts with which they are charged under any count of
the indictment were committed under ‘orders’ of the type we have
been discussing. By their own admissions, it seems to us they are
in no position to claim the benefits of the doctrine of ‘superior
orders’ even by way of mitigation.”
The foregoing statement was then closely followed by another, as follows:
“The defense of ‘coercion’ or ‘duress’ has a certain
application in ordinary civilian jurisprudence. But despite the most
desperate efforts, the defendants have not, we believe, succeeded in
bringing themselves within the purview of these concepts.”
The prosecution then asserted that this defense has no application unless the
defendants acted under what is described as “clear and present danger.”
Reference was made to certain rules and cases in support of such position.
The evidence with respect to defendants Steinbrinck, Burkart, Kaletsch,
and Terberger in our opinion, however, clearly established that there was in the
instant case “clear and present danger” within the contemplation of that phrase.
We have already discussed the Reich reign of terror. The defendants lived within
the Reich. The Reich, through its hordes of enforcement officials and secret
police, was always “present,” ready to go into instant action and to mete out
savage and immediate punishment against anyone doing anything that could be
construed as obstructing or hindering the carrying out of governmental regulations
or decrees.
A factual issue is presented with respect to whether the defendants in the instant case can
support the necessity defense under Nuremberg jurisprudence even if the government contractor
defense is established only for domestic torts, as it is here. See, e.g., United States v. Reimer, 356
F.3d 456, 459-63 (2d Cir. 2004) (rejecting, in an action to revoke citizenship, a naturalized
citizen’s argument that he had not assisted the Nazis in persecution because he had done so
INT ’L L. 172, 221 (1947) (“[I]ndividuals have international duties which transcend the national
obligations of obedience imposed by the individual state. He who violates the laws of war
152
cannot obtain immunity while acting in pursuance of the authority of the state if the state in
authorizing action moves outside its competence under international law.”). The legal principles
are not the same. Moreover, the concerns of the United States about the terms of the Statute of
the International Criminal Court, adopted in Rome on July 17, 1998, based on solicitude for
soldiers who have to decide in the heat of battle whether to obey an order which may violate
human rights, as suggested in the discussion of proportionality infra Part XI.D.3., is quite
different from that of a corporation which can consult counsel and reflect before following an
illegal order to supply products to be used to harm people in violation of international law. See,
e.g., L. Doswald-Beck, The Value of the 1977 Geneva Protocols for the Protection of Civilians,
in ARMED CONFLICT AND THE NEW LAW : ASPECTS OF THE 1977 GENEVA PROTOCOLS AND THE
1981 WEAPONS CONVENTION 137, 149-50 (Michael A. Meyer, ed., 1989) (discussing special
problems in guerilla warfare where combatants may hide among civilians); Paola Gaeta, The
Defence of Superior Orders: The Statute of the International Criminal Court Versus Customary
International Law, 10 EUR. J. INT ’L L. 172 (1999); Charles Garraway, Superior Orders and the
International Criminal Court: Justice Delivered or Justice Denied, INT ’L REV . OF THE RED
Forces: A Matter of Training, Not Lawyering, 143 MIL. L. REV . 3 (1994); Mark L. Sacharoff,
Problems and Paradoxes of the Laws of Warfare, 6 TEMP . INT ’L & COMP. L.J. 71 (1992)
(discussing increased flouting of rules of warfare); Bernard K. Shafer, The Relationship Between
the International Laws of Armed Conflict and Environmental Protection: The Need to
Reevaluate What Types of Conduct are Permissible During Hostilities, 19 CAL. W. INT ’L L.J.
153
287 (1989); Nicole Barrett, Note, Holding Individual Leaders Responsible for Violations of
Customary International Law: The U.S. Bombardment of Cambodia and Laos, 32 COLUM . HUM .
RTS. L. REV . 429 (2001). See generally Op. of W. Michael Reisman Submitted in Support of
Flick was found guilty of charges reflecting his commercial activities and those of his
corporations on behalf of the Third Reich despite his claim of necessity. United States v. Flick, 6
TRIALS OF WAR CRIMINALS 1187, 1202, 1212, 1222-23. See also United States v. Krupp, 9
TRIALS OF WAR CRIMINALS 1327, 1327-1452. Kugler, an official in the Farben enterprises, was
found guilty of supplying the gas. United States v. Krauch (I.G. Farben Case), 8 TRIALS OF WAR
CRIMINALS 1081, 1167; see also id. at 1174-79 (discussing necessity defense); id. at 1179
(“[T]he defense of necessity is not available where the party seeking to invoke it was, himself,
responsible for the existence or execution of such order or decree, . . . , or was the result of his
Defendants in the case at bar were ordered by the government to produce as much Agent
Orange as they could and to promptly deliver it to the government. Such a commercial order,
In the first place, even where necessity under the facts would exist in criminal law, it may
not provide a defense for damages in a civil action. As the Model Penal Code puts the matter,
“[t]he fact that conduct is justifiable under this Article [of Affirmative Defenses] does not
abolish or impair any remedy for such conduct that is available in any civil action.” MODEL
154
PENAL CODE AND COMMENTARIES § 3.01(2) (1985).
Second, the choice of evils must clearly favor the harmful act by the defendant: “the
harm or evil sought to be avoided by such conduct is greater than that sought to be prevented by
the law defining the offense charged . . . .” Id. § 3.02(1)(a). Execution of a legal act constituting
a public duty would be a justification, see id. § 3.03(1)(d), but here, by hypothesis, the conduct is
illegal under international law and cannot be an appropriate public duty. The most serious harm
that could have come to defendants if they had refused to supply Agent Orange would have been
loss of their manufacturing establishments and other assets through expropriation. Such possible
economic harm would not have been more evil than violating international law (if it existed),
leading to the alleged death and disease of many persons and destruction of much land (if there
was causation).
We are a nation of free men and women habituated to standing up to government when it
exceeds its authority. See, e.g., Youngstown Sheet & Tube Co. v. Sawyer, 343 U.S. 579 (1952)
(holding that seizure of steel mill during a war on an order of the President “to avert a national
constitutional power). Under the circumstances of the present case, necessity is no defense. If
defendants were ordered to do an act illegal under international law they could have refused to do
so, if necessary by abandoning their businesses. “The Executive and others are clearly bound by
the laws of war as well as other types of international law.” Paust Op. at 42-43, 43 n.29 (citing
U.S. CONST ., art. II, § 3; Ford v. United States, 273 U.S. 593, 606 (1927); Valentine v.
Neidecker, 299 U.S. 5, 14 & n.12, 18 (1936); Francis v. Francis, 203 U.S. 233, 240, 242 (1906);
In re Neagle, 135 U.S. 1, 64 (1890); Chew Heong v. United States, 112 U.S. 536, 563 (1884);
155
The Lessee of Pollard’s Heirs v. Kibbee, 39 U.S. (14 Pet.) 353, 415 (1840); Worcester v.
Georgia, 31 U.S. (6 Pet.) 515, 594 (1832); United States v. The Schooner Peggy, 5 U.S. (1
Cranch) 103, 110 (1801) (Marshall, C.J.); Ware v. Hylton, 3 U.S. (3 Dall.) at 272 (Iredell, J.);
Taylor v. Morton, 23 F. Cas. 784, 786 (C.C.D. Mass. 1855) (No. 13,799) (Curtis, J., on circuit),
aff’d, 67 U.S. (2 Black) 481 (1862); United States v. Cooper, 25 F. Cas. 631, 641-42 (C.C.D. Pa.
1800) (No. 14,865) (Chase, J., on circuit); 1 Op. Att’y Gen. 566, 569-71 (1822); JORDAN J.
PAUST , INTERNATIONAL LAW AS LAW OF THE UNITED STATES 7-11, 169-73, 488-89, 493-94 (2d
ed. 2003)).
X. History of Abuse of Civilians and Land During War and Attempts to Limit Harm
Before analyzing the specific international law theories of plaintiffs, a brief summary of
the history of harms to civilians and land during war, and efforts to limit or eliminate these
abuses, seems useful. The historical context may be helpful in interpreting applicable law. Some
examples of abuse (Table II) are followed by a brief description of some of the attempts at
A. History
Table II
Historical Examples of Biological, Chemical and
Other Methods of Mass Killings or Disablements
156
Date Action Source
~590 B.C. Solon of Athens used hellebore roots (a Jason Robey, Bioterror
purgative) to poison the water in an aqueduct Through Time, at
leading from the Pleistrus River to the city of http://dsc.discovery.com/anth
Cirrha. ology/spotlight/bioterror/hist
ory/history.html (last visited
Nov. 5, 2004).
429-424 During the Peloponnesian War, Spartans used MAURONI, supra, at 80.
B.C. toxic smoke, created by burning wax and sulfur,
and flame against Athens and its allies.
400 B.C. Scythian archers used arrows dipped in ERIC CRODDY ET AL.,
putrefying corpses and feces. CHEMICAL AND BIOLOGICAL
WARFARE : A
COMPREHENSIVE SURVEY FOR
THE CONCERNED CITIZEN 219
(2002).
187 B.C. Inhabitants of Ambracia in Epirus used toxic MAURONI, supra, at 80.
smoke to drive off Romans from their walls.
190 B.C. During the Second Macedonian War, CRODDY , supra, at 219.
Hannibal’s forces threw poisonous snakes onto
the ships of King Eumenes.
~146 B.C. During the Third Punic War (149-146 B.C.), Carthage (ancient city),
the Romans destroyed Carthage and spread salt Microsoft Encarta Online
over the ruins. Encyclopedia 2004,
http://encarta.msn.com/encycl
opedia_761557005/Carthage
_(ancient_city).html.
82-72 B.C. Romans used “toxic smoke” against the United Kingdom Ministry of
Charakitanes in Spain causing pulmonary Defense, Defending Against
problems and blindness. the Threat of Biological and
Chemical Weapons,
http://www.mod.uk/issues/cb
w/history.htm (last visited
Mar. 25, 2004) (note that this
site no longer exists)
[hereinafter U.K. MoD].
157
Date Action Source
1155 In the siege of Tortona, Italy, Emperor U.K. MoD, supra.
Frederick Barbarossa conquered the town after
poisoning the water supply.
1340 During the Hundred Years War, the Duke of MARK WHEELIS, Biological
Normandy, besieging Thun l’Eveque castle, Warfare before 1914, in
“dyd cast in deed horses, and beestes stynking, BIOLOGICAL AND TOXIN
wherby they within had great[er] dystres thane WEAPONS: RESEARCH ,
with any other thynge, for the ayre was hote as DEVELOPMENT AND USE
in the middle of somer: the stynke and ayre FROM THE MIDDLE AGES TO
was so abomynable, that they consydred howe 1945, at 8, 10-11 (Erhard
that finally they coude nat long endure.” Geissler & John Ellis van
Courtland Moon, eds., 1999).
1346 Mongol forces catapulted plague-infected Id. at 13-14.
cadavers into the Genoese city of Caffa.
158
Date Action Source
1797 Napoleon attempted to infect the inhabitants of U.K. MoD, supra.
the besieged city of Mantua with swamp fever
during his Italian campaign.
1831 Traders, who often sustained losses from WHEELIS, supra, at 25.
attacks by Plains Indians along the trade route
between St. Louis and Santa Fe, allegedly
brought smallpox-infested clothing and tobacco
to distribute to Indians they met along the way.
In 1832, the Pawnee Indians are alleged to have
lost half their tribe due to a devastating
epidemic of smallpox.
1846 Cochrane (then a British Rear Admiral) U.K. MoD, supra.
submitted a plan involving the use of shells
containing cacodyl and cacodyl oxide mixed
with a self-igniting liquid. The committee,
endorsed by the Duke of Wellington,
suppressed the plan because “it would not
accord with the feelings and principles of
civilised warfare.”
1855 During the Crimean War, the British military MAURONI, supra, at 80.
considered using projectiles containing cacodyl
cyanide. The idea was rejected.
1863 During the Civil War, Confederate troops Id. at 80-81.
allegedly contaminated wells and ponds with
animal carcasses during their retreat from
Vicksburg.
1915-1916 The Germans used chlorine gas against Allied Id. at 81.
Forces at Ypres. The British retaliated with
chlorine at Loos.
1917 The Germans used mustard gas at Ypres on Id.
July 12, 1917.
1935-1936 Italian forces used mustard gas bombs and Id. at 82.
aerosol sprayers in Ethiopia.
159
Date Action Source
1937-1945 Japan used gas and bacteriological weapons in DOCUMENTS ON THE LAWS OF
China. WAR 156 (Adam Roberts &
Richard Guelff, eds., 3d ed.
2004 reprint)
1939-1945 Genocide by Germans, Austrians and Japanese Post-War trials of Germans
by poison, burning, starvation, shooting and and Japanese
experiments.
1939-1945 World War II incineration of cities by aircraft Judicial notice.
bombing was utilized by all sides.
1945 United States used atomic bombs on two Judicial notice.
Japanese cities, Hiroshima and Nagasaki.
1960s British used herbicides during the insurgency in PETER H. SCHUCK, AGENT
Malaya and United States used them in ORANGE ON TRIAL: MASS
Vietnam. TOXIC DISASTERS IN THE
COURTS 16 (enlarged ed.
1987).
1967 Egyptian forces bombed Yemeni royalists with MAURONI, supra, at 87.
mustard and nerve agents during Yemeni civil
war.
1980-1988 During the Iran-Iraq War, Iraqi forces used DOCUMENTS ON THE LAWS OF
chemical weapons against Iranian forces. Iraq WAR, supra, at 157;
also used chemical weapons against its Kurdish MAURONI, supra, at 90.
minority population, in particular in the town of
Halabja.
1990-1991 Threat of possible use of biological and MAURONI, supra, at 92.
chemical weapons by Iraq during the first Gulf
conflict.
1994-1995 Sarin attacks by the Japanese Aum Shinrikyo Id. at 93-94.
sect at Matsumoto, Japan in 1994 and on the
Tokyo subway in March 1995.
1995 Iraq admitted to an extensive biological Id. at 94.
weapons program.
160
Date Action Source
2001 On September 11, two skyscrapers in New Judicial Notice
York were destroyed by terrorists crashing
commercial passenger aircraft into them using
aircraft fuel as an incinerating device.
In October, anonymous letters containing MAURONI, supra, at 97;
anthrax are addressed to news media and Robey, supra.
government officials in the United States.
B. Attempts to Protect Civilians and Land by Treaties, Custom and Religious Edicts
Part of the history of attempts to legally limit the use of poisons applied by air and
otherwise is described in R.R. Baxter & Thomas Buergenthal, Legal Aspects of the Geneva
Table III
Some Relevant International Agreements, Religious
and Related Documents Designed to Protect People, Property and Land
Against Methods Described in Table I
161
Date Description Source
~1000 B.C. “When you lay siege to a city for a Deuteronomy 20:19-21.
long time, fighting against it to
capture it, do not destroy its trees
by putting an ax to them, because
you can eat their fruit. Do not cut
them down. Are the trees of the
field people, that you should
besiege them? However, you may
cut down trees that you know are
not fruit trees and use them to
build siege works until the city at
war with you falls.”
~400 B.C. In wars with fellow Greeks, ‘the THOMAS L. PANGLE & PETER J.
countryside is not to be laid AHRENSDORF, JUSTICE AMONG
waste.” NATIONS: ON THE MORAL BASIS
OF POWER AND PEACE 39 (1999)
(citing Socrates).
~633 A.D. Instruction from Abu Bakr, the Islam and the Ethics of War,
first Caliph of Islam, to an army he http://www.bbc.co.uk/religion/eth
was sending to battle: ics/war/islam.shtml (last visited
“Neither kill a child, nor a woman, Dec. 10, 2004).
nor an aged man.”
“Bring no harm to the trees, nor
burn them with fire, especially
those which are fruitful.”
“Slay not any of the enemy’s
flock, save for your food.”
1023 Excerpt of peace oath proposed by MATTHEW STRICKLAND , WAR
Bishop Warin of Beauvais to the AND CHIVALRY : THE CONDUCT
Capetian king, Robert the Pious: AND PERCEPTION OF WAR IN
162
Date Description Source
will not destroy a mill or seize the
grain that is in it, unless I am on a
cavalcade or with the host . . . , or
it is on my land . . . I will not
attack merchants or pilgrims or
take their possessions unless they
commit crimes. I will not kill the
animals of villeins except for my
consumption and that of my men.”
August 27, 1675 French-German bilateral Strasbourg Agreement, article 57
agreement to prohibit the use of
“perfidious and odious” toxic
devices, including poisoned
bullets. This was the first
international agreement in modern
history limiting the use of
chemical weapons.
1862 “[T]he use of poison in any Union Army General Order No.
manner, be it to poison wells, or 100. Attributed to Frances
food, or arms, is wholly excluded Lieber. See Fletcher Op. at 36-
from modern warfare.” 39, 41. But see infra Part XI.D.
(discussing Grant’s view).
December 11, 1868 Banning, on reciprocal basis, use Saint Petersburg Declaration
in war of any projectile weighing Renouncing the Use, in Time of
less than forty grams, “which is War, of Explosive Projectiles
either explosive or charged with Under 400 Grammes Weight
fulminating or inflammable
substances.”
August 27, 1874 Forbidding “employment of Conference of Brussels, Article
poison or poisoned weapons.” 13(a) (Project of an International
Declaration Concerning the Laws
and Customs of War)
July 29, 1899 Agreeing to abstain from using Hague Declaration (IV, 2)
“projectiles the sole object of Concerning Asphyxiating Gases
which is the diffusion of
asphyxiating or deleterious gases.”
United States did not sign.
163
Date Description Source
October 18, 1907 “Especially” forbidding the use of Hague Convention IV Respecting
poison or poisoned weapons. the Laws and Customs of War on
Land and Annex to the
Convention, Regulations
Respecting the Laws and
Customs of War on Land, article
23
June 28, 1919 Prohibiting production and use of Treaty of Versailles
poison gas by Germany.
February 6, 1922 Declaring that the prohibition in Treaty of Washington Relating to
the use of war of “asphyxiating, the Use of Submarines and
poisonous or other gases, and all Noxious Gases in Warfare, article
analogous liquids, materials or 5
devices . . . shall be universally
accepted as a part of international
law.”
Treaty did not enter into force due
to France’s failure to ratify it
based on objections to provisions
on submarine warfare.
June 17, 1925 Recognizing prohibition of use in Protocol for the Prohibition of the
war of poison gases and Use in War of Asphyxiating,
prohibiting bacteriological Poisonous or Other Gases, and of
methods of warfare. Bacteriological Methods of
Warfare (also referred to as 1925
Geneva Protocol)
January 1931 The British preferred the broader Franco-British Interpretation of
interpretation, which stated that 1930: Memorandum by the
prohibition on certain gases British Delegation to the League
included all other gases. The of Nations Preparatory
French interpreted it to apply “to Commission for the Disarmament
all gases employed with a view to Conference seeking clarification
toxic action on the human of the English and French
organism.” translations of the 1925 Geneva
Protocol.
164
Date Description Source
December 16, 1969 Declaring as contrary to United Nations Resolution 2603-
international law under the 1925 A
Geneva Protocol the use of any
chemical agents of warfare that are
used “because of their direct toxic
effects on man, animals or plants,”
including herbicides.
April 10, 1972 Prohibiting production and Convention on the Prohibition of
(opened for stockpiling of biological and toxic the Development, Production and
signature) weapons. Stockpiling of Bacteriological
(Biological) and Toxin Weapons
and on Their Destruction
(“Biological Weapons
Convention”)
March 26, 1975 Prohibiting production and Biological Weapons Convention
stockpiling of biological and toxic enters into force, including for
weapons. the United States.
April 8, 1975 Renouncing, with certain Exec. Order 11850 (President
exceptions, first use of herbicides Ford) Renunciation of Certain
in war. Uses in War of Chemical
Herbicides and Riot Control
Agents
April 10, 1975 Renouncing use of noxious gases 1925 Geneva Protocol enters into
and herbicides force for the United States.
Post-1975 Further protective developments. See, e.g., infra Part XI.C.7., and
documents in DOCUMENTS ON
THE LAWS OF WAR 407-719
(Adam Roberts & Richard
Guelff, eds., 3d ed. 2004 reprint).
Neither a treaty to which the United States was a party, nor a statute, nor a binding
declaration of the United States, nor a rule of international or human rights law applied to limit
spraying of herbicides by the United States in Vietnam during the period up to April of 1975.
165
See also infra Part XII.
This Part discusses the international law upon which plaintiffs base their claims. Section
A sets out the position of the United States on plaintiffs’ international law claims. Section B
discusses federal statutes of the United States reflecting treaties. Section C discusses operative
treaties and other international instruments. Section D discusses customary international law.
During the period described in Sosa v. Alvarez-Machain, 124 S. Ct. 2739 (2004), at the
end of the Eighteenth century when our federal government was established, uncodified
customary international law may have been relatively more important than it is today.
Multinational treaties—as our own early relations with France and England demonstrated—were
vital but narrow in scope. In the Twentieth century, codification became the prevalent mode of
establishing international law through multilateral treaties, conventions, binding declarations, and
the like—often with world-encompassing reach. This development paralleled that in this country
The current problem for United States courts —as well as other branches of the
government—in interpreting and applying the vast array of common law practice, statutes,
treaties with individual nations or regional associations, and written provisions embraced by
almost all powers, is far different from that posited in Sosa of a few uncodified tenets. Cf. Banco
Nacional de Cuba v. Sabbatino, 376 U.S. 398, 428 (1964) (“[T]he greater the degree of
codification or consensus concerning a particular area of international law, the more appropriate
it is for the judiciary to render decisions regarding it, since the courts can then focus on the
application of an agreed principle to circumstances of fact rather than on the sensitive task of
166
establishing a principle not inconsistent with the national interest or with international
justice . . . .”).
The United States has consistently taken the position that no rule of international law
barred the use of chemical herbicides during the Vietnam War either to clear brush and leaves or
to destroy crops, and that, in any event, the spraying focused only on crops intended to feed
167
consistently asserted that the use of these weapons did not violate the Protocol.").
Thus, as early as 1961, when the use of chemical defoliants was first being
considered by President Kennedy, Secretary of State Dean Rusk informed him
that "[t]he use of defoliant does not violate any rule of international law
concerning chemical warfare and is an accepted tactic of war." Memorandum
from Secretary of State Rusk to President Kennedy, Nov. 24, 1961 ("Rusk
Memorandum"), reprinted in I Foreign Relations of the United States 1961-1963,
Vietnam, 1961, at 663, available at <http://www.state.gov/www/about_state/
history/vol_i_1961/z.html> (Item 275).
The United States consistently took this position publicly as well. In 1966,
the United States Ambassador to the United Nations, James M. Nabrit, Jr., stated
to the General Assembly that the 1925 Geneva Protocol does not apply to
herbicides. See Moore, 58 Va. L. Rev. at 444-45, citing United States Arms
Control and Disarmament Agency ("ACDA"), 1966 Documents on Disarmament
("1966 Documents on Disarmament") at 800-01. See also 1966 Documents on
Disarmament at 742-43 (statement to same effect by William C. Foster, ACDA).
Indeed, in that same year, notwithstanding the United States' use of herbicides in
Vietnam, but consistent with the United States' position that the Protocol does not
prohibit such use, the United States co-sponsored and voted for a General
Assembly resolution calling for "strict observance by all States of the principles
and objectives of the Geneva Protocol." G.A. Res. 2162(B) (1966), reprinted in
1966 Documents on Disarmament 798-99, quoted in Moore, 58 Va. L. Rev. at
444.
On November 25, 1969 President Nixon announced that he would
resubmit the Protocol to the Senate for ratification. The Protocol had previously
been submitted to the Senate in 1926, but the Senate agreed to return the
unratified Protocol to the Executive pursuant to the Executive's request in 1947.
Chemical-Biological Warfare: U.S. Policies and International Effects: Hearings
before the Subcomm. on National Security Policy and Scientific Developments,
House Comm. on Foreign Affairs ("1969 House Hearings") at 180 (Statement of
Thomas R. Pickering, Deputy Director, Bureau of Politico-Military Affairs,
Department of State); Baxter & Buergenthal, 64 Am. J. Int'l L. at 855 n.11; 6
Unperfected Treaties of the United States of America, 1776-1976, at 473
(Christian L. Wiktor, ed. 1984). In making this announcement the President again
reiterated the Administration's position that the Protocol did not apply to chemical
herbicides. See 1969 House Hearings at 176-77, 181-83 (Statement of Mr.
Pickering). This position was reiterated again when the Protocol was officially
transmitted to the Senate for ratification on August 19, 1970. See Protocol for the
Prohibition of the Use in War of Asphyxiating, Poisonous, or Other Gases, and of
Bacteriological Methods of Warfare: Message from the President ("President's
Message"), S. Exec. J, 91st Cong., 2d Sess., at vi. In the Letter of Submittal
attached to the President's Message, Secretary of State Rogers expressly stated
that "[i]t is the United States' understanding of the Protocol that it did not prohibit
168
the use in war of . . . chemical herbicides." Id.
The Executive consistently reiterated this view throughout the Senate's
consideration of the Protocol, and it was this very issue that delayed ratification
for an additional five years. Thus, during hearings before the Senate Foreign
Relations Committee in 1971, Administration officials repeatedly asserted that the
Protocol does not cover chemical herbicides. See The Geneva Protocol of 1925:
Hearings Before the Senate Comm. on Foreign Relations, 92nd Cong. ("1971
Senate Hearings") at 5-7, 27, 30, 37-38 (Testimony of Secretary of State Rogers),
304-05 (Testimony of G. Warren Nutter, Department of Defense) (1972). Indeed,
the Secretary of State indicated that President Nixon would likely reject
ratification if the Senate conditioned its advice and consent on an interpretation of
the Protocol that covered herbicides. Id. at 37-38.
In response to a request from Senator Fulbright during the course of the
1971 Senate Hearings, the General Counsel of the Department of Defense set
forth the Department's view that neither "the rules of customary international
law," the 1925 Geneva Protocol, nor the Hague Regulations governing land
warfare prohibited the use of "anti-plant chemicals for defoliation or the
destruction of crops," provided that the use against crops met certain other criteria,
discussed below. Letter from J. Fred Buzhardt, General Counsel for the
Department of Defense to J.W. Fulbright, Chairman, Senate Comm. on Foreign
Relations ("Buzhardt Letter"), April 5, 1971, reprinted in 1971 Senate Hearings at
315-17, quoted in Moore, 58 Va. L. Rev. at 444-45.
The administration reiterated its position that the 1925 Geneva Protocol
does not apply to herbicides during hearings before the House of Representatives
in the spring of 1974. See U.S. Chemical Warfare Policy: Hearings Before the
Subcomm. on National Security Policy and Scientific Developments, House
Comm. on Foreign Affairs, 93rd Cong. ("1974 House Hearings") at 150 (Statement
of Amos Jordan). Moreover, the testimony made clear that "the current
interpretation [of the Protocol] was approved by the President" himself. Id. at 206
(Testimony of Len Sloss, Deputy Director, Politico-Military Affairs, Department
of State).
Finally, in late 1974, President Ford announced that, "with a view to
achieving Senate advice and consent to ratification" of the Protocol, he was
prepared "in reaffirming the current U.S. understanding of the scope of the
Protocol" as not covering herbicides, to renounce, as a matter of "national policy,"
the first use of herbicides in war, except for use in limited circumstances. See
Prohibition of Chemical and Biological Weapons: Hearings Before the Senate
Comm. on Foreign Relations, 93rd Cong. ("1974 Senate Hearings") at 12 (1974)
(Statement of Fred C. Ickle, Director, ACDA). See also id. at 27. On December
16, 1974, the Senate unanimously voted its consent to ratification. 120 Cong.
Rec. 40,067-68 (Dec. 16, 1974). On January 22, 1975, President Ford signed the
instrument of ratification of the Protocol, and it was deposited with France and
entered into force with respect to the United States on April 10, 1975. See 26
169
U.S.T. 571 (1975). Two days earlier, on April 8, 1975, President Ford issued
Executive Order 11850 renouncing, as a matter of national policy, the first use of
herbicides in war, except in certain limited circumstances. See 40 Fed. Reg.
16,187 (April 8, 1975). That action, taken as a matter of policy rather than legal
obligation, has no effect on the existence or recognition of any international legal
norm governing the use of herbicides in war. Flores v. Southern Peru Copper
Corp., 343 F.3d 140, 154 (2d Cir. 2003) ("Practices adopted for moral or political
reasons, but not out of a sense of legal obligation, do not give rise to rules of
customary international law.").
....
Similarly, the United States had long interpreted 1907 Hague Convention
Respecting the Laws and Customs of War on Land ("1907 Hague Convention" or
"Convention"), 36 Stat. 2277 (1910), and international law generally, as not
prohibiting the destruction of crops intended for use by enemy forces, precisely
the type of crop destruction operations undertaken in Vietnam.
....
As noted above, in 1945 the Judge Advocate General of the War
Department provided an opinion as to the legality, under international law, of
"certain crop-destroying chemicals which can be sprayed by airplane against
enemy cultivations." Cramer Opinion, ¶ 1. . . . The Cramer Opinion concluded
that "the use of chemical agents . . . to destroy cultivations or retard their growth,
would not violate any rule of international law prohibiting poison gas." Cramer
Op., ¶ 3. The Opinion also addressed other possible international law prohibitions
on the destruction of enemy crops, including the 1907 Hague Convention . . . .
Id., ¶¶ 4-5.
This same conclusion was reached by the General Counsel of the
Department of Defense a quarter-century later . . . . Buzhardt Letter, reprinted at
1971 Senate Hearings at 315-17.
The Army Field Manual took the same position, stating that Article 23(a)
"does not prohibit measures taken to . . . destroy, through chemical . . . agents
harmless to man, crops intended solely for consumption by the armed forces (if
that fact can be determined)." Department of Army Field Manual, FM 27-10, The
Law of Land Warfare (July 1956), ¶ 37, reprinted in Buzhardt Letter. See also
1971 Senate Hearings at 315 (discussing Field Manual); 1969 House Hearings at
215 (same).
....
The United States' use of chemical herbicides in Vietnam carefully hewed
to this longstanding interpretation of international law. The initial use of chemical
herbicides in Vietnam was restricted to defoliation operations. Am. Compl., ¶ 54-
55; William A. Buckingham, Jr., Operation Ranch Hand: The Air Force and
Herbicides in Southeast Asia 1961-1971 (Office of Air Force History 1982)
("Operation Ranch Hand") at 21, available at <http://www.airforcehistory.hq.af.
mil/Publications/fulltext/operation_ranch_hand.pdf>. After those initial
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defoliation operations, in 1962 President Kennedy decided to allow restricted crop
destruction to proceed. Id. at 78; Am. Compl., ¶ 55. The President's decision was
accompanied by instructions that "the targets should be chosen so as to cause the
least damage possible to non-Viet Cong farmers." Buckingham, Operation Ranch
Hand at 79.
The crop destruction program was thus focused on "crops intended for the
use of Vietcong or North Vietnamese forces" in Vietcong-held territory. 1969
House Hearings at 215 (Testimony of Mr. Pickering). See also id. at 197 (crop
destruction undertaken only after "very thorough review" and "very thorough
conclusions" about crops before destruction operations) (Testimony of Mr.
Pickering), 229 ("friendly crops" excluded from target areas and all crop
destruction projects approved by Ambassador) (Statement of Adm. Lemos);
Buckingham, Operation Ranch Hand at 83. . . .
This same policy of focusing crop destruction on enemy crops continued
throughout the war. As explained by Rear Admiral Lemos in 1969:
[W]e are really talking about very isolated crops in areas of known
Vietcong and North Vietnamese army units, and which are clearly
a part of that complex and being used, or being grown by them, or
by people forced by them to grow for them.
1969 House Hearings at 250 (Testimony of Adm. Lemos). See also id. at 251
("crop destruction program is associated with enemy camp areas and not the
villages and hamlets"). Thus, before crop destruction could be approved, there
"ha[d] to be substantial evidence that the crops are being grown specifically for
the use of Vietcong troops and North Vietnamese troops." Id. See also 1971
Senate Hearings at 315 (Testimony of Mr. Nutter). As a result, the crop
destruction program was only a small part of the overall use of herbicides in
Vietnam. 1969 House Hearings at 250.
In early December 1970, the decision was made to completely phase out
the crop destruction program. Buckingham, Operation Ranch Hand at 172; 1971
Senate Hearings at 3 ("immediate termination of all use of chemical herbicides in
Vietnam for crop destruction purposes") (Statement of Secretary of State Rogers).
On January 16, 1971, the Deputy Secretary of Defense ordered the immediate
termination of all crop destruction operations by U.S. forces. Buckingham,
Operation Ranch Hand at 175.
U.S. Statement of Interest at 4-13 (some footnotes omitted; some moved in whole or in part to
text).
As indicated below, history supports the government’s view of the law pre-1975. See
171
Not persuasive, however, is the government’s further argument that the President’s
decision to use herbicides during the Vietnam War constituted a “controlling executive act”
foreclosing customary international law claims. U.S. Statement of Interest at 44-47. The
President of the United States has no power to violate international law or to authorize others to
do so. The Nuremberg decisions made it clear that a head of state and those responding to his
orders are bound by international law. See supra Part IX. The fact that a head of state may not
be sued for official activities does not provide authorization for others to act illegally under the
cloak of his immunization. See Lafontant v. Aristide, 844 F. Supp. 128 (E.D.N.Y. 1994)
international law during the Vietnam hostilities or covering specifically the area of herbicide use.
Had Congress, or perhaps even the President by formal proclamation, occupied this area, the
government’s contention “that customary international law is only incorporated into the law of
the United States absent a ‘controlling executive or legislative act,’ The Paquete Habana, 175
U.S. 677, 700 (1900),” U.S. Statement of Interest at 45, might have some weight. But there was
never a public formal legislative act or presidential proclamation permitting spraying of the kind
used in Vietnam.
The government’s further contention that the courts should defer to the executive’s
interpretation of international law, id. at 47-49, insofar as it suggests that the executive’s
statement of the law is controlling, is rejected, even though the courts will often be influenced by
the executive’s interpretation since its expertise in international law is substantial. See Kolovrat
v. Oregon, 366 U.S. 187, 194 (1961) (stating, with respect to meaning of treaties, that the
172
government’s view is given great weight). Courts cannot abandon their own duty under Article
III of the Constitution to decide the law applicable to a case properly before them.
Statutes of the United States, based on treaties or other forms of international law,
provide a particularly useful source of international law for United States courts. They instance
situations where the legislative and executive branches of government agree on what that
international law is and agree that we are bound by it. They also obviate the issue of whether a
UNITED STATES § 111 cmts. h, i (discussing the issue of self-executing treaties, i.e., “whether
existing law is adequate to enable the United States to carry out its obligations, or whether further
is an issue that a court must decide when a party seeks to invoke the agreement as law.”). Rules
against torture, war crimes and genocide are, apart from treaties and statutes, arguably jus
cogens, i.e., a peremptory norm. While in particular cases a statute may create a problem by
1. Torture
Plaintiffs rely upon the Torture Victim Protection Act of 1991 (“TVPA”), Pub. L. No.
102-256, 106 Stat. 73 (1992). It is a federal statute that arguably codifies international law
prohibitions against torture and extrajudicial killing. See id., 106 Stat. at 73 (stating, in
preamble, that the Act carries out “obligations of the United States under the United Nations
173
Charter and other international agreements pertaining to the protection of human rights by
establishing a civil action for recovery of damages from an individual who engages in torture or
extrajudicial killing”); see also Convention Against Torture and Other Cruel, Inhuman or
Degrading Treatment or Punishment (“Convention Against Torture”), Dec. 10, 1984, 1465
TVPA, Pub. L. No. 102-256, § 2(a), 106 Stat. at 73 (emphasis added). The TVPA also requires
exhaustion of “adequate and available remedies in the place in which the conduct giving rise to
the claim occurred,” id. § 2(b), and provides for a ten-year statute of limitations, id. § 2(c)
(a) Extrajudicial killing–For the purposes of this Act, the term ‘extrajudicial
killing’ means a deliberated killing not authorized by a previous judgment
pronounced by a regularly constituted court affording all the judicial guarantees
which are recognized as indispensable by civilized peoples. Such term, however,
does not, include any such killing that, under international law, is lawfully
carried out under the authority of a foreign nation.
(b) Torture–For the purposes of this Act–
(1) the term ‘torture’ means any act, directed against an individual in the
offender’s custody or physical control, by which severe pain or suffering (other
than pain or suffering arising only from or inherent in, or incidental to, lawful
174
sanctions), whether physical or mental, is intentionally inflicted on that individual
for such purposes as obtaining from that individual or a third person information
or a confession, punishing that individual for an act that individual or a third
person has committed or is suspected of having committed, intimidating or
coercing that individual or a third person, or for any reason based on
discrimination of any kind; and
(2) mental pain or suffering refers to prolonged mental harm caused by or
resulting from–
(A) the intentional infliction or threatened infliction of severe physical
pain or suffering;
(B) the administration or application, or threatened administration or
application, of mind altering substances or other procedures calculated to disrupt
profoundly the senses or the personality;
(C) the threat of imminent death; or
(D) the threat that another individual will imminently be subjected to
death, severe physical pain or suffering, or the administration or application of
mind altering substances or other procedures calculated to disrupt profoundly the
senses or personality.
The TVPA by its terms only applies to those acting under the authority of a foreign nation
and thus is inapplicable here since plaintiffs allege that the defendants acted in concert with, and
Plaintiffs also allege that the defendants acted in concert with the South Vietnamese
government, but this is a makeweight. Defendants’ contracts were with the United States, and
until 1971 the United States was calling the tune on the herbicide application of which plaintiffs
complain.
The use of herbicides in Vietnam does not fit within the definition of either torture or
extrajudicial killing. Plaintiffs were not within the defendants’ custody or physical control, nor
that of the United States, when herbicides were used. Nor were herbicides used to intentionally
175
inflict pain and suffering. They were used to kill plants.
Another obstacle plaintiffs face is the TVPA’s ten-year statute of limitations, which bars
any claim under the TVPA that arose prior to January 30, 1994, ten years prior to the date the
complaint was filed. See id. § 2(c), 106 Stat. at 73; supra Part VIII.D.
In addition, the TVPA did not become effective until 1992, long after the activities of
which plaintiffs complain took place. Assuming arguendo that plaintiffs rely upon the
customary international law prohibition of torture as jus cogens, see Filartiga v. Pena-Irala, 630
F.2d 876, 880 (2d Cir. 1980) (recognizing under the ATS, prior to the Convention Against
Torture entering into force for the United States and prior to the TVPA’s enactment, a cause of
action for “an act of torture committed by a state official agent against one held in detention
[which] violates established norms of the international law of human rights, and hence the law of
nations”), plaintiffs still fail to allege facts that would constitute torture. The TVPA and its
counterpart, the Convention Against Torture, has no application in the instant case.
2. War Crimes
Plaintiffs rely on the War Crimes Act of 1996, 18 U.S.C. § 2441 (2000). It provides:
Whoever, whether inside or outside the United States, commits a war crime, in
any of the circumstances described in subsection (b), shall be fined under this title
or imprisoned for life or any term of years, or both, and if death results to the
victim, shall also be subject to the penalty of death.
18 U.S.C. § 2441(a). Subsection (b) provides that the circumstances are that “the person
committing such war crime or the victim of such war crime is a member of the Armed Forces of
the United States or a national of the United States.” 18 U.S.C. § 2441(b). A “war crime” is
176
defined as follows:
As used in this section the term 'war crime' means any conduct–
(1) defined as a grave breach in any of the international conventions signed at
Geneva 12 August 1949, or any protocol to such convention to which the United
States is a party;
(2) prohibited by Article 23, 25, 27, or 28 of the Annex to the Hague Convention
IV, Respecting the Laws and Customs of War on Land, signed 18 October 1907;
(4) of a person who, in relation to an armed conflict and contrary to the provisions
of the Protocol on Prohibitions or Restrictions on the Use of Mines, Booby-Traps
and Other Devices as amended at Geneva on 3 May 1996 (Protocol II as amended
on 3 May 1996), when the United States is a party to such Protocol, willfully kills
or causes serious injury to civilians.
18 U.S.C. § 2441(c).
Defendants argue that the War Crimes Act creates no private cause of action for civil
liability because it is a criminal statute. In Kadic v. Karadzic, 70 F.3d 232, 242-43 (2d Cir.
1995), the Court of Appeals for the Second Circuit held that the district court had jurisdiction
under the ATS over plaintiffs’ claims of war crimes and other violations of international
humanitarian law. Although Kadic predates Sosa, the former’s reasoning for recognizing civil
liability for war crimes under the ATS remains sound. The war crimes alleged in Kadic—“acts
of murder, rape, torture, and arbitrary detention of civilians, committed in the course of
hostilities”—“have long been recognized in international law as violations of the law of war.”
Id. at 242. The defect in plaintiffs’ complaint is that the herbicide spraying complained of did
177
With respect to section 2441(c)(1) of title 18 of the United States Code, plaintiffs only
rely upon the Geneva Convention Relative to the Protection of Civilian Persons in Time of War,
Aug. 12, 1949, 6 U.S.T. 3516, 75 U.N.T.S. 287; see also infra Part XI.C.5. It defines “grave
Id. art. 147, 6 U.S.T. at 3618, 75 U.N.T.S. at 388. Herbicide spraying by the United States did
not constitute “willful killing” or “wilfully causing great suffering or serious injury to body or
health” since the United States lacked the requisite criminal intent. Nor did the spraying
constitute “torture,” see supra Part XI.B.1, or “inhuman treatment,” see OSCAR M. UHLER ET AL.,
COMMENTARY 598 (Jean S. Pictet ed., Ronald Griffin & C.W. Dumbleton trans., 1958) (noting
that the notion of inhuman treatment is not easily definable, but concluding that it refers to
“treatment constituting an attack on physical integrity or health” and treatment that injures the
victim’s human dignity, bringing him “down to the level of [an] animal[]”). As for property
damage, any such damage was justified by military necessity and was carried out lawfully. See
Under section 2441(c)(2), article 23 of the Annex to Hague Convention IV is the only
article in that convention that plaintiffs rely upon. Contrary to plaintiffs’ claim, herbicide
spraying by the United States in Vietnam was not a violation of article 23. See infra Part XI.C.1.
178
did not constitute a violation of common article 3 to the 1949 Geneva Conventions. See infra
Part XI.C.5. Nor was the United States a party to any protocol to the 1949 Geneva Conventions
As for section 2441(c)(4), it is inapplicable because the United States was not a party to
the Protocol on Prohibitions or Restrictions on the Use of Mines, Booby-Traps and Other
Devices during the relevant period; this protocol did not enter into force for the United States
Even if the War Crimes Act is a reflection of customary international law either pre-1975
or today, see infra Part XI.D.1., the herbicide spraying complained of did not constitute a war
3. Genocide
Plaintiffs argue that defendants’ acts constituted genocide but do not specifically rely
upon the Genocide Convention Implementation Act of 1987, 18 U.S.C.A. § 1091 (2000 & Supp.
2004). The Act “incorporated” the Convention on the Prevention and Punishment of the Crime
of Genocide (“Genocide Convention”), Dec. 9, 1948, 78 U.N.T.S. 277 (entered into force Jan.
12, 1951), into federal law. The Genocide Convention Implementation Act reads in relevant
part:
179
(4) subjects the group to conditions of life that are intended to cause the
physical destruction of the group in whole or in part;
(5) imposes measures intended to prevent births within the group; or
(6) transfers by force children of the group to another group;
or attempts to do so, shall be punished as provided in subsection (b).
18 U.S.C.A. § 1091(a). Subsection (d) requires either the commission of the offense within the
United States or that the alleged offender be a national of the United States. 18 U.S.C.A.
one million dollars. See 18 U.S.C.A. § 1091(b). The Act also provides that there is no statute of
The United States did not become a party to the Genocide Convention until November
(1) That the term ‘intent to destroy, in whole or in part, a national, ethnical, racial,
or religious group as such’ appearing in article II means the specific intent to
destroy, in whole or in substantial part, a national, ethnical, racial or religious
group as such by the acts specified in article II.
180
...
(4) That acts in the course of armed conflicts committed without the specific intent
required by article II are not sufficient to constitute genocide as defined by this
Convention.
Multilateral Treaties Deposited with the Secretary General (emphasis added), http://
untreaty.un.org/ENGLISH/bible/englishinternetbible/partI/chapterIV/treaty1.asp#N26 (last
Laws against genocide have been expanded—unfortunately with limited effect—in the
latter part of the twentieth century. See generally HOWARD BALL, PROSECUTING WAR CRIMES
AND GENOCIDE : THE TWENTIETH -CENTURY EXPERIENCE (1999); LAWRENCE J. LE BLANC, THE
UNITED STATES AND THE GENOCIDE CONVENTION (1991); SAMANTHA POWER, “A PROBLEM
FROM HELL”: AMERICA AND THE AGE OF GENOCIDE (Perennial 2003); STEVEN R. RATNER &
BEYOND THE NUREMBERG LEGACY (2d ed. 2001); GEOFFREY ROBERTSON , CRIMES AGAINST
HUMANITY : THE STRUGGLE FOR GLOBAL JUSTICE (New Press 2000); II DREXEL A. SPRECHER,
The use of herbicides in Vietnam did not constitute genocide as defined by either the
Genocide Convention Implementation Act or the Genocide Convention, particularly with the
United States’ understanding regarding specific intent. The United States did not use herbicides
in Vietnam with the specific intent to destroy any group. Nor were those herbicides designed to
harm individuals or to starve a whole population into submission or death. The herbicides were
primarily applied to plants in order to protect troops against ambush, not to destroy a people.
181
C. Treaties and Other International Instruments
Plaintiffs rely upon article 23 of the Regulations Respecting the Laws and Customs of
War on Land, the Annex to the 1907 Hague Convention IV Respecting the Laws and Customs of
War on Land (“Hague Convention IV”). The United States signed the Hague Convention IV on
October 18, 1907, and the Senate ratified it on March 10, 1908. Article 23 reads as follows:
Convention (IV) Respecting the Laws and Customs of War on Land, Oct. 18, 1907, art. 23, 36
Stat. 2277, 2301-02 (emphasis added) [hereinafter Hague Convention IV]. The only provisions
182
The poisons referenced in clause (a) encompass those applied to specific instruments of
warfare such as bullets or bayonets. They do not cover, and have never been interpreted as
including, gases or spraying from the air. During World War I both the Germans and the French
used poison gas on the assumption that the Hague Convention IV did not apply. The United
States was also prepared at the time to use poison gas, but the Armistice made that unnecessary.
Hague Convention IV does not define the phrase “poison or poisoned weapons.” The
International Court of Justice (“ICJ”) has noted that “different interpretations exist” as to what
this undefined phrase means. See Advisory Opinion No. 95, Legality of the Threat or Use of
Nuclear Weapons, 1996 I.C.J. 226, at 248 (July 8). State practice under the treaty indicates that
the proscriptions of “poison or poisoned weapons” did not apply even to chemical gas weapons
designed and intended to be lethal, such as shells containing chlorine or mustard gas. See
Anderson Decl. ¶ 39 (explaining that the Germans, British and French extensively employed
such weapons in the years immediately following adoption of Hague Convention IV); Reisman
Op. at 30 (“State practice suggests that the 1907 Hague Convention was not intended to apply to
poisonous gases.”).
The belligerents in World War I, all of whom had ratified Hague Convention IV, thought
it necessary later to negotiate a special treaty, the 1925 Geneva Protocol, to outlaw lethal
chemical gas weapons. Anderson Decl. ¶ 39; Reisman Op. at 32. In 1960 a classic treatise on
the international law of war and a leading writer on the subject convincingly concluded that
Article 23's 1907 prohibition of poison and poisoned weapons did not apply to poisonous gases.
See Joseph Burns Kelly, Gas Warfare in International Law, 9 MIL. L. REV . 1, 44 (1960);
Reisman Op. at 29-30 (citing MYRES S. MCDOUGAL & FLORENTINO P. FELICIANO , LAW AND
183
MINIMUM WORLD PUBLIC ORDER 619 (1960, repr. 1994)).
The United States Army field manual in force throughout the Vietnam War concluded
that specific weapons, including chemical weapons, were to be addressed by specific treaties and
not by general prohibitions such as Article 23. Anderson Decl. ¶ 38. Inasmuch as Hague
Convention IV’s ban on “poison or poisoned weapons” does not apply to chemical gas weapons
designed and intended to kill humans, a fortiori it does not prohibit military use of herbicides
designed and intended as defoliants. See also supra Part X for traditional abhorrence of poison
tipped or impregnated munitions used in war, and supra Part IV.B.3. for definition of poison.
Even if the terms “poison or poisoned weapons” could be construed more broadly to
encompass poisonous gases, this broader definition still would not reach herbicides, regardless of
whether they have collateral harmful consequences for humans. Rather, this proscription would
reach only those materials that were intentionally designed “to inflict poisoning as a means of
HUMANITARIAN LAW IN ARMED CONFLICTS 105, 149 (Dieter Fleck ed., 1995). “If the
principally to cause totally different results . . . , then the relevant munition does not constitute a
‘poisonous gas.’” Id. Thus, chemicals designed and used as herbicides to kill plants, as
defendants’ products were designed and used during the Vietnam War, are not outlawed as
“poison or poisonous weapons” under even the broadest interpretation of that phrase.
Under Sosa, the imprecise scope of the Hague Convention IV’s prohibition on the use of
“poison or poisoned weapons,” and the uncertainty as to whether that prohibition even applies to
184
lethal chemical weapons designed to kill human beings, is fatal to any claim that the Convention
sets forth a sufficiently definite prohibition on military use of herbicides that could be enforced in
United States courts. By contrast, the “18th-century paradigms” the Court identified in Sosa, 124
S. Ct. at 2755-57, 2761-62, were offenses specified in great detail by the treatise writers of the
day. Blackstone, whose treatise the Court cites, id. at 2756, defined piracy as, among other
things: “any commander . . . betraying his trust, and running away with any ship, boat, ordnance,
ammunition, or goods; or yielding them up voluntarily to a pirate; . . . or any person confining the
commander of a vessel, to hinder him from fighting in the defense of his ship, or to cause a revolt
on board;” or “trading with known pirates, or furnishing them with stores or ammunition, or
fitting out any vessel for that purpose.” 4 William Blackstone, Commentaries on the Laws of
England 72 (1769). Unlike the “18th century paradigms,” Hague Convention IV’s proscription
of “poison or poisoned weapons” does not establish a specific and definite prohibition on
military use of herbicides, and thus they cannot be the source of an actionable norm prohibiting
such use.
Plaintiffs argue that herbicides are per se proscribed materials that are “calculated to
cause unnecessary suffering.” See Hague Convention IV, art. 23(e), 36 Stat. at 2302. The
prohibition has long been understood to apply to weapons that cause unnecessary or superfluous
treated with an agent that inflames a wound). It does not apply to lethal weapons that collaterally
cause injury or suffering in order to achieve an appropriate (in war) military objective of
incapacitating enemy troops, let alone to herbicides that may cause harm to humans beings as the
185
23's prohibition of weapons “calculated to cause unnecessary suffering” is:
too vague to produce by itself a great many practical results. Apart from cases in
which states expressly agree to forbid employment of a specified weapon . . ., states
have not been known to lightly decide unilaterally to discard a weapon, once
introduced into their arsenals, because it is considered to cause unnecessary
suffering.
http://www.icrc.org/Web/Eng/siteeng0.nsf/htmlall/p0793/$File/ICRC_002_0793.PDF!Open.
Clause (e) is not applicable because the herbicides were not “calculated to cause
unnecessary suffering.” The herbicide spraying was in the course of armed activities deemed
necessary by the United States to protect American armed forces and those of its allies. It was
not designed to harm people or land independently as a punishment or to inflict hurt viciously
and consciously.
wrote:
Some scholars, such as [Wil D.] Verewey, [RIOT CONTROL AGENTS AND
HERBICIDES IN WAR[;] THEIR HUMANITARIAN , TOXICOLOGICAL, ECOLOGICAL,
MILITARY , POLEMOLOGICAL, AND LEGAL ASPECTS (1977),] and the collective
authors of the Stockholm International Peace Research Institute, [THE PROBLEM OF
CHEMICAL AND BIOLOGICAL WARFARE , VOL. III: CBW AND THE LAW OF WAR
(1973),], have labored mightily to establish that Article 23(a) of the Hague
Conventions related to herbicides. On all the evidence, this is, in my opinion,
incorrect. Herbicides were unknown at the time of the drafting of the provisions
under discussion and, for that reason, could not have been an explicit target of the
provision.
186
Reisman Op. at 29; see also R. R. Baxter & Thomas Buergenthal, Legal Aspects of the Geneva
Protocol of 1925, 64 AM . J. INT ’L L. 853, 853-54 (1970) (speaking in 1969 of ratification of the
1925 Geneva Protocol, that “[i]t is less clear to what extent [the customary international law
prohibition of the use in war of lethal chemical and biological weapons] . . . outlaws the use of . .
. herbicides”).
Hague Convention IV does not provide a basis for recognizing a common law cause of
action against defendants for manufacturing and selling herbicides for military use during the
Vietnam War. The Convention did not outlaw the use of herbicides in Vietnam.
Plaintiffs rely upon the Prohibition of the Use in War of Asphyxiating, Poisonous or
Other Gases, and of Bacteriological Methods of Warfare, June 17, 1925, 26 U.S.T. 571 (“1925
Geneva Protocol”). The 1925 Geneva Protocol entered into force for the United States on April
10, 1975. See also infra Part XII discussing events concurrent with ratification of the 1925
187
asphyxiating, poisonous or other gases, and of all analogous
liquids, materials, or devices, in regard to an enemy State if such
State or any of its allies fails to respect the prohibitions laid down
in the Protocol.”;
The President of the United States of America on January 22, 1975,
ratified the Protocol, subject to the aforesaid reservation, in pursuance of the
advice and consent of the Senate, and the United States of America deposited its
instrument of ratification with the Government of the French Republic on April
10, 1975;
Pursuant to the provisions of the Protocol, the Protocol entered into force
for the United States of America on April 10, 1975;
NOW, THEREFORE, I, Gerald R. Ford, President of the United States of
America, proclaim and make public the Protocol, to the end that it shall be
observed and fulfilled with good faith on and after April 10, 1975, by the United
States of America and by the citizens of the United States of America and all other
persons subject to the jurisdiction thereof.
IN TESTIMONY WHEREOF, I have signed this proclamation and caused
the Seal of the United States of America to be affixed.
DONE at the city of Washington this twenty-ninth day of April in the year
of our Lord one thousand nine hundred seventy-five and of the independence of
the United States of America the one hundred ninety-ninth.
....
PROTOCOL
for the Prohibition of the Use in War of Asphyxiating, Poisonous or Other
Gases, and of Bacteriological Methods of Warfare
THE UNDERSIGNED PLENIPOTENTIARIES, in the name of their
respective Governments:
WHEREAS the use in war of asphyxiating, poisonous or other gases, and
of all analogous liquids, materials or devices, has been justly condemned by the
general opinion of the civilized world; and
WHEREAS the prohibition of such use has been declared in Treaties to
which the majority of Powers of the world are Parties; and
TO THE END that this prohibition shall be universally accepted as a part
of International Law, binding alike the conscience and the practice of nations;
DECLARE:
That the High Contracting Parties, so far as they are not already Parties to
Treaties prohibiting such use, accept this prohibition, agree to extend this
prohibition to the use of bacteriological methods of warfare and agree to be
188
bound as between themselves according to the terms of this declaration.
Prohibition of the Use in War of Asphyxiating, Poisonous or Other Gases, and of Bacteriological
Methods of Warfare, June 17, 1925, 26 U.S.T. 571, 571-75 (emphasis added). Neither the
ratification document nor the protocol references herbicides even though President Ford by
separate almost simultaneous executive order included herbicide limitations. See infra Part
XII.A.
The 1925 Geneva Protocol prohibits “the use in war of asphyxiating, poisonous or other
gases, and of all analogous liquids, material or devices.” 26 U.S.T. at 575. This
hypothetically could have developed from it—did not prohibit military use of herbicides at the
time of the Vietnam War. See supra Part VIII.G. on non-retroactivity. Even if it arguably had,
the proscription would not be sufficiently “definite” and “universal” to be among the limited set
of temporally operative international legal norms that are actionable under Sosa.
As leading scholars have pointed out, the 1925 Geneva Protocol’s prohibition on use of
“asphyxiating, poisonous or other gases” and “analogous liquids, materials or devices” leaves
“considerable room for divergent interpretations.” DOCUMENTS ON THE LAWS OF WAR 155
(Adam Roberts & Richard Guelff, eds., 3d ed. 2004 reprint). See generally Jill M. Sheldon,
Note, Nuclear Weapons and the Laws of War: Does Customary International Law Prohibit the
Use of Nuclear Weapons in All Circumstances?, 20 FORDHAM INT ’L L.J. 181, 220-21 (1996)
(stating that the 1925 Geneva Protocol “provoked controversy because the drafters did not
specify the chemical, biological, or other poisonous gases subject to the protocol’s prohibitions.
189
Based on the language banning ‘other’ gases, some states claimed that it was unclear whether the
Geneva Gas Protocol prohibited tear gas, other non-lethal gases, or herbicides.” (footnote
The 1925 Geneva Protocol has given rise to a customary international legal prohibition on
first use of lethal gas weapons, such as those used during World War I. Anderson Decl. ¶ 39. At
the time of the Vietnam War, however, this prohibition was, for the United States—a non-
party—merely a rule predicated on reciprocity, not on customary international law. See Reisman
Op. at 35-36. It did not, in any event, encompass military use of herbicides. See Anderson Decl.
¶ 49. There is “no indication that the 1925 [Geneva] Protocol was designed to encompass
herbicides.” See Reisman Op. at 34. The “travaux preparatoires are silent on this exact point.”
Id.; see also Anderson Decl. ¶ 54. The French text of the Protocol, which is as authentic as the
English text, supports the restrictive view that the prohibition extended only to gases deployed
for their asphyxiating or toxic effects on man, not to herbicides designed to affect plants, that
National practice supports this restrictive reading. The British military used herbicides
chemically similar to Agent Orange in the 1950s during the Malayan Emergency, to deprive
enemy guerrilla fighters of their crops. See WILLIAM A. BUCKINGHAM , JR., OPERATION RANCH
HAND : THE AIR FORCE AND HERBICIDES IN SOUTHEAST ASIA 1961-1971, at 4-5 (1982),
United States considered British precedent in deciding that the use of defoliants was a legally
accepted tactic of war. Secretary of State Dean Rusk advised President John F. Kennedy that
herbicide use in Vietnam would be lawful, because “[p]recedent has been established by the
190
British . . . in Malaya in their use of helicopters for destroying crops by chemical spraying.”
Memorandum of Secretary of State Dean Rusk to President John F. Kennedy (Nov. 24, 1961),
reprinted in 1 FOREIGN RELATIONS OF THE UNITED STATES, 1961-1963, VIETNAM 1961, at 663,
As the Court of Appeals for the Second Circuit explained, “it is highly unlikely that a
purported principle of customary international law in direct conflict with the recognized practices
and customs of the United States and/or other prominent players in the community of States
could be deemed to qualify as a bona fide customary international law principle.” United States
v. Yousef, 327 F.3d 56, 92 n.25 (2d Cir. 2003), cert. denied, 540 U.S. 933 (2003); see also
Reisman Op. at 36 (opining that United States’ use of herbicides during the Vietnam War
“restricted the transformation of the 1925 [Geneva] Protocol into customary international law”);
cf. Flores v. S. Peru Copper Corp., 343 F.3d 140, 164 (2d Cir. 2003) (concluding that the
American Convention on Human Rights could not be the source of a legally binding norm where
the United States, a primary nation in the region, declined to ratify it).
The numerous reservations made by many nations in acceding to the treaty demonstrate
that the Protocol’s prohibitions, whatever their precise scope, were not compelled by customary
international law. Reisman Op. at 35-37. As of the time of the Vietnam War, nineteen ratifying
states considered themselves bound only in relation to other ratifying states, and declared that
they would not be bound if any enemy state failed to respect the prohibition. Id. at 35-36. Thus,
whatever the scope of the norm that ultimately developed post-1975 from the 1925 Geneva
Protocol, during the Vietnam War it applied only to first use of proscribed gases as a matter of
191
The 1925 Geneva Protocol provision was designed to outlaw poison gases such as
mustard gas used in World War I. It cannot be interpreted to encompass the use of herbicides
which were not then a known weapon and were far different in their purpose and effect. The
gases outlawed in 1925 had an almost immediate disabling effect on those exposed and were
intended to disable or kill human beings. In contrast, herbicides were designed to strip plants of
Plaintiffs rely on the Agreement for the Prosecution and Punishment of the Major War
Criminals of the European Axis and Charter of the International Military Tribunal, Aug. 8, 1945,
59 Stat. 1544, 82 U.N.T.S. 280 (“1945 London Charter”), that was signed by the United States
and its allies. It provided for the establishment of an International Military Tribunal to try Nazi
war criminals. It is not the source of any norm that outlawed use of herbicides in the Vietnam
War. The 1945 London Charter included broad mandates to treat as a war crime the “wanton
destruction of cities, towns or villages, or devastation not justified by military necessity.” Charter
of the International Miliary Tribunal, Aug. 8, 1945, art. 6(b), 59 Stat. 1546, 1547, 82 U.N.T.S.
280 (emphasis added). Like the 1949 Geneva Conventions, none of the Charter’s provisions
proscribed use of any particular weapons. To the contrary, the concept of “military necessity”
applies only to the use of legal weapons; weapons that are per se illegal cannot be used at all and
claims of military necessity cannot justify their use. Herbicide use was not illegal; it had not
The central provisions of the 1945 London Charter relevant to the instant case are as
192
follows:
193
The fact that the Defendant acted pursuant to order of his Government or of
a superior shall not free him from responsibility, but may be considered in
mitigation of punishment if the Tribunal determines that justice so requires.
Charter of the International Miliary Tribunal, Aug. 8, 1945, arts. 6-8, 59 Stat. 1546, 1547
(emphasis added). None of these provisions can be construed to cover use of herbicides in
Vietnam.
Plaintiffs rely upon the United Nations Charter. It establishes the structure of the United
Nations. It is not the source of a binding norm prohibiting use of herbicides. See Tel-Oren v.
Libyan Arab Republic, 726 F.2d 774, 809 (D.C. Cir. 1984) (per curiam) (Bork, J., concurring)
(noting that Articles 1 and 2 of the U.N. Charter are not self-executing and, moreover, “contain
general ‘purposes and principles,’ some of which state mere aspirations and none of which can
sensibly be thought to have been intended to be judicially enforceable”). Nor is the United
Nations Charter self-executing. E.g., Flores v. S. Peru Copper Corp., 343 F.3d 140, 157 n.24
(2d Cir. 2003) (noting that the United Nations Charter is not self-executing and citing cases).
There is nothing in the United Nations Charter outlawing the use of herbicides in Vietnam.
The four 1949 Geneva Conventions address a host of humanitarian concerns arising
during war, such as the treatment of children, women, the sick and wounded; the protection of
hospitals; evacuations of civilian populations; the treatment of refugees; the protection of relief
agencies; and prevention of forced labor. None of these provisions address the type of weapons
that may be used in warfare, let alone military use of herbicides. See Flores, 343 F. 3d at 165
194
(stating that a convention addressing environmental pollution could not be the source of a
binding norm because it did “not attempt to set [pollution] parameters or regulate it, let alone to
Plaintiffs rely upon the 1949 Geneva Convention to Protect Civilian Persons in Time of
War. It entered into force for the United State on February 2, 1956. It bears no relation to use of
herbicides during the Vietnam War. The Convention was designed to protect civilians from
harsh acts such as mutilation during and following war. Article 3, its central provision, reads:
Geneva Convention Relative to the Protection of Civilian Persons in Time of War, Aug. 12,
195
1949, art. 3, 6 U.S.T. 3516, 3518, 3520, 75 U.N.T.S. 287, 288, 290 (entered into force Oct. 21,
armed forces operating within rational and proportional limits in offensive or defensive action
against the enemy is a risk of war not outlawed by this convention. See id. arts. 13-19
(addressing protection of populations against certain consequences of war). The only reservation
the United States made upon ratifying the Convention addressed the death penalty; it is not
relevant here.
The 1949 Geneva Conventions’ “very general” proscriptions, see Huynh Thi Anh v. Levi,
586 F.2d 625, 629 (6th Cir. 1978), are not the source of a norm that bars military use of
herbicides with “a specificity comparable to the features of the 18th century paradigms” of
piracy, violations of safe conducts, and infringements of the rights of ambassadors—all of which
were clearly defined offenses against the law of nations as described by leading treatise writers of
the time. See Sosa, 124 S. Ct. at 2755-57; see also id. at 2761-62.
Plaintiffs rely upon a 1969 resolution of the General Assembly of the United Nation. It
196
Considering that these methods of warfare are inherently reprehensible
because their effects are often uncontrolled and unpredictable and may be
injurious without distinction to combatants and non-combatants, and because any
use of such methods would entail a serious risk of escalation,
Recalling that successive international instruments have prohibited or
sought to prevent the use of such methods of warfare,
Noting specifically in this regard that:
(a) The majority of States then in existence adhered to the Protocol for the
Prohibition of the Use in War of Asphyxiating, Poisonous or Other Gases, and of
Bacteriological Methods of Warfare, signed at Geneva on 17 June 1925,
(b) Since then, further States have become parties to that Protocol,
(c) Still other States have declared that they will abide by its principles and
objectives,
(d) These principles and objectives have commanded broad respect in the
practice of States,
(e) The General Assembly, without any dissenting vote, has called for the
strict observance by all States of the principles and objectives of the Geneva
Protocol,
Recognizing therefore, in the light of all the above circumstances, that the
Geneva Protocol embodies the generally recognized rules of international law
prohibiting the use in international armed conflicts of all biological and chemical
methods of warfare, regardless of any technical developments,
Mindful of the report of the Secretary-General, prepared with the
assistance of the Group of Consultant Experts, appointed by him under General
Assembly resolution 2454 A (XXIII) of 20 December 1968, and entitled Chemical
and Bacteriological (Biological) Weapons and the Effects of Their Possible Use.
Considering that this report and the foreword to it by the Secretary-
General add further urgency for an affirmation of these rules and for dispelling,
for the future, any uncertainty as to their scope and, by such affirmation, to assure
the effectiveness of the rules and to enable all States to demonstrate their
determination to comply with them.
Declares as contrary to the generally recognized rules of international law,
as embodied in the Protocol for the Prohibition of the Use in War of
Asphyxiating, Poisonous or Other Gases, and of Bacteriological Methods of
Warfare, signed at Geneva on 17 June 1925, the use in international armed
conflicts of:
(a) Any chemical agents of warfare – chemical substances whether
gaseous, liquid or solid – which might be employed because of their direct toxic
effects on man, animals or plants;
197
(b) Any biological agents of warfare – living organisms, whatever their
nature, or infective material derived from them – which are intended to cause
disease or death in many, animals or plants, and which depend for their effects on
their ability to multiply in the person, animal or plant attacked.
G.A. Res. 2603-A, U.N. GAOR, 24th Sess., 1836th plen. mtg. at 16 (1969) (emphasis added).
Plaintiffs argue that Resolution 2603-A “evidences the opinion of a great majority of
nations that the use in war of chemicals of any kind because of their toxicity to plants was a
violation of customary international law at the time.” Pls.’ Mem. of Law in Opp’n. to Defs.’
Mot. at 147.
General Assembly Resolution 2603-A does not provide a basis for plaintiffs’ causes of
action. The General Assembly is not a law-making body, and—with narrow, defined exceptions
not relevant here—is granted only recommendatory powers by the United Nations Charter. See
U.N. CHARTER arts. 10-11; see also THE CHARTER OF THE UNITED NATIONS: A COMMENTARY
269 (Bruno Simma ed., 2d ed. 2002). As the Court of Appeals for the Second Circuit has
explained, “General Assembly resolutions and declarations do not have the power to bind
member States because the member States specifically denied the General Assembly that power
after extensively considering the issue . . . .” Flores v. S. Peru Copper Corp. 343 F.3d 140, 165
international law, nor was it binding on the United States. But cf. BASIC DOCUMENTS ON HUMAN
RIGHTS 1 (Ian Brownlie, ed., 3d ed. 1998 reprint) (“The [United Nations], and especially the
General Assembly and the Economic and Social Council, has given impetus to the development
of standards concerning human rights.”). It is the Security Council, not the General Assembly,
198
that holds whatever powers the United Nations has to make decisions that are binding on the
United States. The General Assembly’s resolution on a subject such as the present one is, while
important as an indication of the developing international law, precatory only. See, e.g., U.N.
The General Assembly’s limited powers with respect to the formulation of international
Article 10
The General Assembly may discuss any questions or any matters within
the scope of the present Charter or relating to the powers and functions of any
organs provided for in the present Charter, and, except as provided by Article 12,
may make recommendations to the Members of the United Nations or to the
Security Council or to both on any such questions or matters.
Article 11
1. The General Assembly may consider the general principles of cooperation
in the maintenance of international peace and security, including the principles
Governing disarmament and the regulation of armaments, and may make
recommendations with regard to such principles to the Members or to the Security
Council or to both.
2. The General Assembly may discuss any questions relating to the
maintenance of international peace and security brought before it by any Member
of the United Nations or by the Security Council, or by a state which is not a
Member of the United Nations in accordance with Article 35, paragraph 2, and,
except as provided in Article 12, may make recommendations with regard to any
such questions to the state or states concerned or to the Security Council or to
both. Any such question on which action is necessary shall be referred to the
Security Council by the General Assembly either before or after discussion.
3. The General Assembly may call the attention of the Security Council to
situations which are likely to endanger international peace and security.
By contrast, the Security Council exercises both legislative and executive powers. As
199
Article 24 and 25 of the Charter put the matter:
Article 24
1. In order to ensure prompt and effective action by the United Nations, its
Members confer on the Security Council primary responsibility for the
maintenance of international peace and security, and agree that in carrying out its
duties under this responsibility the Security Council acts on their behalf.
2. In discharging these duties the Security Council shall act in accordance
with the Purposes and Principles of the United Nations. The specific powers
granted to the Security Council for the discharge of these duties are laid down in
Chapters VI, VII, VIII, and XII.
3. The Security Council shall submit annual and, when necessary, special
reports to the General Assembly for its consideration.
Article 25
The Members of the United Nations agree to accept and carry out the
decisions of the Security Council in accordance with the present Charter.
U.N. CHARTER arts. 24-25 (emphasis added). Whether or not the Security Council would have
considered or would have had the power to consider adoption of Resolution 2603-A, given the
veto power of the United States in the Security Council, it can be stated with some assurance that
the Security Council would not have taken the same position as the General Assembly had the
A General Assembly resolution, even though it is not binding, Flores, 343 F.3d at 166-
67, may provide some evidence of customary international law when it is unanimous (or nearly
so) and reflective of actual state practice. General Assembly Resolution 2603-A was neither near
unanimous nor a reflection of practice. The resolution was adopted by a vote of 80-3, with
thirty-six countries abstaining. Anderson Decl. ¶ 55. Of the eighty nations that voted in favor of
the resolution, only forty-one were parties to the 1925 Protocol. Anderson Decl. ¶ 57. The
200
United States, one of the world’s largest military powers, voted against the resolution, as did
Australia (a U.S. military ally in Vietnam) and Portugal. Anderson Decl. ¶ 55. By abstaining,
approximately one-third of the nations addressing the question in effect refused to recognize the
Anderson Decl. ¶ 57. It is possible, of course, that, apart from the merits, the abstainers had
political reasons for not contesting the position of the United States, but, nevertheless, their
Abstaining states included France, the United Kingdom, Denmark, Norway, the
Netherlands, and Turkey (almost all the leading NATO allies of the United States), as well as
Japan, China, Thailand, Malaysia, Singapore, and Laos (leading Asian countries as well as
jungle-covered countries that might expect to be affected by herbicides in war). Anderson Decl.
¶ 57. The fact that a third of all voting nations did not then recognize a prohibition on military
use of herbicides suggests that there was no such international legal norm during the Vietnam
War. See also Reisman Op. at 51 (“[I]t is clear that, although some states spoke strongly against
the use of herbicides, there was no consensus.”); cf. Texaco Overseas Petroleum Co. v. Libyan
Arab Republic, 17 I.L.M. 1, 29 (1978) (finding General Assembly resolution was not evidence of
international law in light of abstentions and negative votes); THE LAWS OF ARMED CONFLICTS
125 (Dietrich Schindler & Jiri Tomans, eds., 3d ed. 1988) (suggesting that the fact that resolution
2603-A is not recited in later General Assembly resolutions regarding chemical and biological
The General Assembly was not expressing generally accepted international law in its
1969 resolution on use of herbicides. Major military powers and more than forty other nations
201
either opposed the resolution or abstained. It cannot be viewed as a statement of consensus.
7. Environmental Law
Plaintiffs rely upon international environmental law norms. They cite no international
convention or instrument that solely and specifically addresses environmental law relevant to the
legality of herbicide use during war up to 1975. Nonetheless, it is useful to examine treaties that
became effective post-1975 to assess whether a rule that outlawed the use of herbicides in
1975 making illegal the use of herbicides as used in Vietnam. Cf. RICHARD J. LAZARUS, THE
arrangements and understandings [are] necessary for the next generation of international
environmental law”). Limited collateral harm to the environment could be justified by the need
to provide appropriate defense to soldiers at war. Cf., e.g., Andrew D. McClintock, Comment,
The Law of War: Coalition Attacks on Iraqi Chemical and Biological Weapon Storage and
Production Facilities, 7 EMORY INT ’L L. REV . 633, 682 (1993) (“[A] commander would not be
expected to sacrifice a soldier to save a tree.” (internal quotation marks omitted)). International
Standards were just beginning to evolve in 1975. See, e.g., Frank P. Grad, Article
RIGHTS 206, 217-35 (Hurst Hannum & Dana D. Fischer, eds., 1993) (discussing environmental
protection and hygiene); John Alan Cohan, Modes of Warfare and Evolving Standards of
202
Environmental Protection Under the International Law of War, 15 FL. J. INT ’L L. 481 (2003);
Florencio J. Yuzon, Deliberate Environmental Modification Through the Use of Chemical and
Environmentally Protective Regime, 11 AM . U. J. INT ’L L. & POL’Y 793 (1996). The United
Nations Conference on the Human Environment held at Stockholm in June, 1972 did foreshadow
the 1977 convention; it dealt with world-wide environmental problems in a much broader context
than war. It was a warning and planning document rather than a ruling on international law. See
Report of the U.N. Conference on the Human Environment, June 5-16, 1972, U.N. Doc.
reflected in the introductory note to the Law of Environment chapter in the Restatement (Third)
of the Foreign Relations Law of the United States. See also, e.g., James C. Duncan, A Primer on
the Employment of Non-Lethal Weapons, 45 NAVAL L. REV . 1 (1998); Beth Gammie, Human
Rights Implications of the Export of Banned Pesticides, 25 SETON HALL L. REV . 558 (1994);
Aaron Schwabach, Ecocide and Genocide in Iraq: International Law, the Marsh Arabs, and
(2004); cf. RICHARD J. LAZARUS, THE MAKING OF ENVIRONMENTAL LAW 145 (2004) (stating
that there were 215 environmental treaties and about one thousand international environmental
agreements by 1999).
The introductory note to the Law of the Environment chapter of Restatement (Third) of
Foreign Relations Law of the United States primarily reflects the situation post-1975. It does not
support the imposition of civil liability for the use of herbicides in Vietnam prior to 1975. In part
203
it reads:
Since the Second World War, the growth of population, the spread of
industrialization, and the increase in automobile, air, and maritime traffic have led
to a great increase in pollution of land, air, and water. It soon became obvious
that unilateral action by states to control pollution was not sufficient, and that
international cooperation and regulation to protect the environment were
necessary. Strong impetus to the development of international environmental law
was given by the Conference on the Human Environment, held in Stockholm in
1972. That Conference adopted the Stockholm Declaration on the Human
Environment and an Action Plan. . . .
This Part addresses primarily transfrontier and marine pollution . . . .
Environmental harm may be caused by activities other than pollution: a
dam may cause erosion, or irrigation may increase the salinity of a river. Other
environmental problems of international concern include the need to improve
habitat and human settlements; to protect archaeologic treasures, cultural
monuments, nature sanctuaries, endangered fauna and flora, and migratory birds;
to lessen the consequences of deforestation, overfishing, and weather
modification. Where activities in one state cause environmental injuries in
another state, the principles of this Part generally apply.
Sources of environmental law. The principles discussed in this Part are
rooted in customary international law. They originated in rules relating to the
responsibility of a state for injuries caused to another state or to its property, or to
persons within another state’s territory or their property. The International Court
of Justice has noted that one of the “general and well-recognized principles” of
international law is “every State’s obligation not to allow knowingly its territory
to be used for acts contrary to the rights of other States.” The United Nations
Survey of International Law[, published in 1948,] concluded that “[t]here has been
general recognition of the rule that a State must not permit the use of its territory
for purposes injurious to the interests of other States in a manner contrary to
international law.”
....
In recent years many international agreements have dealt with regional
transfrontier pollution. Important guidelines on several aspects of such problems
have been adopted, by consensus, by the Organization for Economic Co-operation
and Development (OECD).
Marine pollution, International law has established a special regime for
marine pollution because of the interdependent character of ocean waters (and air)
and the cumulative effect of acts of pollution. . . .
In addition to the provisions in the Law of the Sea Convention, there are
numerous international conventions on the protection of the marine environment,
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both global and regional (see § 603, Reporters’ Notes 2-5, and § 604, Reporters’
Note 1), and several bilateral agreements (see § 604, Reporters’ Note 1).
United States law. International aspects of environmental problems,
especially of marine pollution, have been the subject of United States legislation.
See, e.g., the Acts relating, respectively, to National Environmental Policy, Clean
Air, Federal Water Pollution Control, Toxic Substances Control, Oil Pollution,
Ocean Dumping, Deepwater Ports, Rivers and Harbors, Coastal Zone
Management, Outer Continental Shelf Lands, Submerged Lands, Fishery
Conservation and Management, Deep Seabed Hard Mineral Resources, Resources
Conservation and Recovery, Marine Mammals, Endangered Species, and Marine
Sanctuaries.
2 RESTATEMENT (THIRD ) OF THE FOREIGN RELATIONS LAW OF THE UNITED STATES, introductory
Restatement’s introductory note address the use of the herbicides to protect and prosecute
military activity as in Vietnam. No environmental rights or international human rights fixed and
In the developing area of international environmental law, the United States and other
and case-by-case basis. See, e.g., Matthew Preusch, Pollution Dispute in Northwest Straddles
the Border, N.Y. TIMES, Mar. 20, 2004, at A8 (discussing reprise of environmental damage by
Canadian Corporation to United States and award of damages); Trail Smelter Arbitral Tribunal
(U.S. v. Can.) (Apr. 16, 1938), 33 AM J. INT ’L L. 182 (1939) (addressing damage to U.S. state by
Canadian smelter’s fumes); Trail Smelter Arbitral Tribunal (U.S. v. Can.) (Mar. 11, 1941), 35
AM . J. INT ’L L. 684 (1941). Such specific activities as protection of whales, endangered species
and historical materials as well as protection against world-wide warming because of human
205
activities furnish no basis for a general rule upon which plaintiffs can rely.
Treaties limiting environmental damage in warfare were not in effect during the period of
1961-1975. The United States did not violate any such provision, defendants could not be held
liable under them and plaintiffs could not state a claim under them. The United States signed
Protocol Additional to the Geneva Conventions of 12 August 1949, and Relating to the
Protection of Victims of International Armed Conflict (Protocol I), June 8, 1977, 1125 U.N.T.S.
3 (entered into force Dec. 7, 1978), on December 12, 1977, but never ratified it. See United
LibertyIMS::/sidyINug3UAB18PFTU3/Cmd%3D%24%24AB68y%5FePB047bF%3BC3g8HS%
3D%23kp%3B6Vf%3DE4Gq%3BQ7ff%3Dq%3B6aDTa%3DlJRJtdSr%5FHtx5hIZfrZhwG%2
DoO. While it might be interpreted to apply to future use of herbicides in the way they were
It was not until after the conclusion of the Vietnam War that Protocol I articulated for the
206
first time an obligation to take care in warfare “to protect the natural environment against
widespread, long-term and severe damages.” Id. The explicit recognition only in the late 1970s
that this was a new obligation (one which the United States has yet to acknowledge) adds some
weight to the conclusion that military use of herbicides did not violate customary international
law during the Vietnam War. Anderson Decl. ¶¶ 62-63. Treatise writers remain uncertain
whether, even today, customary international law prohibits military use of herbicides when
The International Court of Justice, the principal judicial organ of the United Nations, has
suggested in an advisory opinion that articles 35(3) and 55 of Protocol I do not constitute
customary international law that is binding on non-signatories. Legality of the Threat or Use of
Nuclear Weapons, 1996 I.C.J. 226, 242 (July 8) (“[Article 35, paragraph 3, and article 55 of
Protocol I] are powerful constraints for all the States having subscribed to these provisions.”
(emphasis added)).
the Prohibition of Military or Any Other Hostile Use of Environmental Modification Techniques,
Dec. 10, 1976, 31 U.S.T. 333, 1108 U.N.T.S. 151. The United States did not sign it until May
18, 1977 and it did not come into force for the United States until January 17, 1980. Multilateral
means of destruction, damage or injury to any other party state.” Neither Vietnam nor the United
207
States was a party to the Convention when herbicide use stopped. The strong international
condemnation of Iraq’s fouling of the air by burning oil wells and of the sea by releasing oil
1. Generally
Plaintiffs rely upon customary international law to support their claims. It is unavailing.
Customary international law “results from a general and consistent practice of states
followed by them from a sense of legal obligation.” 1 RESTATEMENT (THIRD ) OF THE FOREIGN
RELATIONS LAW OF THE UNITED STATES § 102(2); see also Statute of the International Court of
Justice, June 26, 1945, art. 38(1), 59 Stat. 1055, 1060 (entered into force Oct. 24, 1945)
(providing that international custom is “evidence of general practice accepted as law”); Flores v.
S. Peru Copper Corp., 343 F.3d 140, 154 (2d Cir. 2003) (“[I]n order for a principle to become
In order for a practice of states to become customary international law, states must appear
to follow the practice due to opinio juris, or a sense of legal obligation. 1 RESTATEMENT (THIRD )
OF THE FOREIGN RELATIONS LAW OF THE UNITED STATES § 102 cmt. c; see also Flores, 343 F.3d
at 154 (“[A] principle is only incorporated into customary international law if States accede to it
out of a sense of legal obligation. . . . Practices adopted for moral or political reasons, but not out
of a sense of legal obligation, do not give rise to rules of customary international law.” (citations
omitted)). A practice that states initially follow “as a matter of courtesy or habit” may later
transform into a rule of customary international law if states generally come to believe that
208
compliance with that practice is a legal obligation. 1 RESTATEMENT (THIRD ) OF THE FOREIGN
RELATIONS LAW OF THE UNITED STATES § 102 cmt. c. Opinio juris may be inferred from acts or
Customary international law is binding upon all states, even in the absence of a particular
state’s consent, but may be modified within a state by subsequent legislation or a treaty, provided
that the customary international law was not a peremptory norm (jus cogens). Id. § 102 cmts. j,
k; id. § 115(1)(a) (“An act of Congress supersedes an earlier rule of international law . . . as law
of the United States if the purpose of the act to supersede the earlier rule . . . is clear or if the act
and the earlier rule . . . cannot be fairly reconciled.”). A peremptory norm, which by definition
permits no derogation, prevails over and invalidates any prior conflicting international
agreements or other rules of international law, and “can be modified only by a subsequent norm
of general international law having the same character.” Vienna Convention on the Law of
Treaties, May 23, 1969, art. 53, 1155 U.N.T.S. 331, 344 (entered into force Jan. 27, 1980); 1
RESTATEMENT (THIRD ) OF THE FOREIGN RELATIONS LAW OF THE UNITED STATES § 102 cmt. k.
A guide for determining proper sources of international law is the Statute of the
International Court of Justice (“ICJ Statute”), to which the United States is a party. Flores, 343
The Court, whose function is to decide in accordance with international law such
disputes as are submitted to it, shall apply:
(a) international conventions, whether general or particular, establishing rules
expressly recognized by the contesting states;
(b) international custom, as evidence of a general practice accepted as law;
(c) the general principles of law recognized by civilized nations;
(d) subject to the provisions of Article 59, judicial decisions and the teachings
209
of the most highly qualified publicists of the various nations, as subsidiary
means for the determination of the rules of law.
Statute of the International Court of Justice, supra, art. 38(1), 59 Stat. at 1060. Article 59
provides that “[t]he decision of the [International] Court [of Justice] has no binding force except
between the parties and in respect of that particular case.” Id. art. 59.
Article 38(1) of the ICJ Statute corresponds to the sources of international law
enumerated in section 102 of the Restatement (Third) of the Foreign Relations Law of the United
(1) A rule of international law is one that has been accepted as such by the
international community of states
(a) in the form of customary law;
(b) by international agreement; or
(c) by derivation from general principles common to the major legal
systems of the world.
(2) Customary international law results from a general and consistent practice
of states followed by them from a sense of legal obligation.
(3) International agreements create law for the states parties thereto and may
lead to the creation of customary international law when such agreements
are intended for adherence by states generally and are in fact widely
accepted.
(4) General principles common to the major legal systems, even if not
incorporated or reflected in customary law or international agreement, may
be invoked as supplementary rules of international law where appropriate.
1 RESTATEMENT (THIRD ) OF THE FOREIGN RELATIONS LAW OF THE UNITED STATES § 102.
Section 701 of the Restatement indicates that the obligation to respect human rights may
be reflected in a treaty, customary international law or “general principles of law common to the
210
A state is obligated to respect the human rights of persons subject to its jurisdiction
(a) that it has undertaken to respect by international agreement;
(b) that states generally are bound to respect as a matter of customary
international law (§ 702); and
(c) that it is required to respect under general principles of law common to the
major legal systems of the world.
2 RESTATEMENT (THIRD ) OF THE FOREIGN RELATIONS LAW OF THE UNITED STATES § 701.
§702 (emphasis added). This list was not meant to be exhaustive. § 702 cmt. a.
The only subdivisions of section 702 that arguably could be relevant to plaintiffs’ claims
are (a), (d) and (g). None can be construed to apply to the use of herbicides in the Vietnam War.
The United States was seeking to aid the Vietnamese, not wipe them out. And there was no
internationally recognized human right that would have required an armed force to refrain from
using herbicides to protect its troops and those of its allies. No recognized source of
international law that might have applied up to 1975 could have been interpreted as outlawing
211
use of herbicides in the way they were utilized in Vietnam.
As to destruction of jungle cover behind which the enemy could move and ambush
troops, there appears to have been no generally accepted rule prohibiting the practice. But cf.
DAVID J. BEDERMAN ET AL., INTERNATIONAL LAW : A HANDBOOK FOR JUDGES 111-13 (Am.
Soc’y of Int’l Law 2001) (discussing destruction of environment during peace). Almost since
walled cities were developed the procedure of clearing surrounding areas for outgoing fire and to
prevent sneak attacks was accepted military convention. No theoretical basis for distinguishing
Nor, as to destruction of food sources, where this tactic has apparent military advantage,
was there a generally accepted prohibitory rule of international law. Investiture of cities to starve
the occupants (both military and civilian) into surrender was common. Collection of food and
fodder from the country to feed troops and deny it to the enemy troops and civilians supporting
PERSONAL MEMOIRS OF U.S. GRANT 192 (E. B. Long ed., 2001) (1952).
In World War I the British by their naval blockade attempted to starve the Germans. See,
e.g., ARTHUR HERMAN , TO RULE THE WAVES: HOW THE BRITISH NAVY SHAPED THE MODERN
212
‘strangle the whole national life of the enemy.’”); BENJAMIN A. VALENTINO , FINAL SOLUTIONS:
MASS KILLINGS AND GENOCIDE IN THE TWENTIETH CENTURY 85 (2004) (“During the First World
War, . . . more than 250,000 people died of starvation and malnutrition when the British
blockaded Germany and Austria-Hungary in an effort to starve them into surrender.”). In World
War II the Germans attempted to starve the British, and the United States to starve the Japanese,
by unrestrained submarine warfare. HERMAN , supra, at 535, 545. Particularly where so much of
the enemy force is guerilla in nature and lives off the land, as in the Vietnam War, destruction of
crops supporting mobile forces can not be said to have been contrary to tradition up to 1975,
even if the international view of its appropriateness may have changed subsequently.
law that would support plaintiffs’ position. Despite the fact that Congress and the President were
fully advised of a substantial belief that the herbicide spraying in Vietnam was a violation of
international law, they acted on their view that it was not a violation at the time. A jointly held
position of the other two independent branches of government should cause a court to reconsider
carefully its disagreement. In late 1961 the State Department and the Department of Defense
efforts of the DRVN and the Vietcong to overthrow by military force the government of South
Vietnam. In connection with that joint recommendation, Secretary of State Dean Rusk advised
President Kennedy that “successful plant-killing Ops in [Vietnam], carefully coordinated with
and incidental to larger Ops, can be of substantial assistance in the control and defeat of the
[Vietcong],” and that “the use of defoliant does not violate any rule of international law
concerning the conduct of chemical warfare and is an accepted tactic of war.” Memorandum
213
from Secretary of State Dean Rusk to President John F. Kennedy (Nov. 24, 1961), supra
1961 approved the start of military herbicide operations. Defoliation operations began in
September 1962, and missions targeting crops that sustained enemy forces commenced in
During the relevant time period Congress repeatedly suggested its approval of United
States military use of herbicides by its failure to act despite full knowledge of this use. While not
decisive, its inaction belies the inference of any legislative belief that the manufacture or sale of
those herbicides could or should give rise to liability under international norms applicable to the
United States. Congress approved numerous appropriations for combat operations in Vietnam
while aware that the military expended some of those funds for the herbicide program. In 1970,
the Senate rejected amendments attempting to prohibit the use of government funds for precisely
these purposes. In ratifying the 1925 Geneva Protocol in 1975, the Senate emphasized its
understanding that the United States’ prior use of herbicides in Vietnam had not violated that
treaty and that the United States only intended the Protocol to be prospective in effect. See
Prohibition of Chemical and Biological Weapons: Hearing on S. Res. Before the S. Comm. on
Foreign Relations, 93d Cong. 3 (1974) (statement of Sen. Humphrey) (reassuring the Executive
Branch that Congress’s adoption of the 1925 Geneva Protocol “would in no way reflect on our
past practice with regard to chemical agents. The manner in which herbicides and riot control
agents were used in Vietnam was fully in accordance with the United States prevailing
Herbicides were tactically used in Vietnam because they were believed to be effective in
214
meeting important United States and allied military objectives. As a spokesman for the
Department of Defense told Congress, “the use of . . . herbicides [in Vietnam] was appropriate
and had one purpose—to [s]ave the lives of Americans and our allies.” U.S. Chemical Warfare
Policy, Hearing Before the Subcomm. on Nat’l Sec. Policy and Sci. Devs. of the House Comm. on
Foreign Affairs, 93d Cong. 154 (1974) (statement of Amos Jordan, Acting Assistant Secretary
for International Security Affairs, Department of Defense). Other Executive Branch officials
informed Congress that the herbicide program was “effective in enhancing the success of allied
combat operations,” and that their use was “helpful in protecting the American soldier and
Warfare: U.S. Policies and International Effects, Hearing Before the Subcomm. on Nat’l Sec.
Policy and Sci. Devs. of the House Comm. Foreign Affairs, 91st Cong. 223-25, 231-32 (1969)
(statement of Rear Admiral William E. Lemos, Director of Policy Plans and National Security
Council Affairs). The military instituted policies, even if they were not fully complied with,
intended to ensure that the herbicides were applied only to targets of military significance. See,
e.g., id. at 230 (noting that in order to continue to protect civilians from herbicide exposure, the
Defense Department “has issued instructions to the Joint Chiefs of Staff to reemphasize the
already existing policy that 2,4,5-T be utilized only in areas remote from population”).
In the book Crimes of War, Cherif Bassiouni has sought to clarify the meaning of “crimes
The term crimes against humanity has come to mean anything atrocious
committed on a large scale. This is not, however, the original meaning nor the
215
technical one. The term originated in the 1907 Hague Convention preamble,
which codified the customary law of armed conflict. This codification was based
on existing State practices that derived from those values and principles deemed
to constitute the “laws of humanity,” as reflected throughout history in different
cultures.
After World War I, the Allies, in connection with the Treaty of Versailles,
established in 1919 a commission to investigate war crimes that relied on the 1907
Hague Convention as the applicable law. In addition to war crimes committed by
the Germans, the commission also found that Turkish officials committed “crimes
against the laws of humanity” for killing Armenian nationals and residents during
the period of the war. The United States and Japan strongly opposed the
criminalization of such conduct on the grounds that crimes against the laws of
humanity were violations of moral and not positive law.
In 1945, the United States and other Allies developed the Agreement for the
Prosecution and Punishment of the Major War Criminals of the European Axis
and Charter of the International Military Tribunal (IMT), sitting at Nuremberg,
which contained the following definition of crimes against humanity in Article
6(c):
Crimes against humanity: murder, extermination, enslavement,
deportation, and other inhumane acts committed against civilian
populations, before or during the war; or persecutions on political,
racial or religious grounds in execution of or in connection with
any crime within the jurisdiction of the Tribunal, whether or not in
violation of the domestic law of the country where perpetrated.
The Nuremberg Charter represents the first time that crimes against humanity
were established in positive international law. The International Military
Tribunal for the Far East, at Tokyo, followed the Nuremberg Charter, as did
Control Council Law No. 10 of Germany, under which the Allies prosecuted
Germans in their respective zones of occupation. Curiously, however, there has
been no specialized international convention since then on crimes against
humanity. Still, that category of crimes has been included in the statutes of the
International Criminal Tribunal for the Former Yugoslavia (ICTY) and the
International Criminal Tribunal for Rwanda (ICTR), as well as in the statute of the
International Criminal Court (ICC). In fact, there are eleven international texts
defining crimes against humanity, but they all differ slightly as to their definition
of that crime and its legal elements. However, what all of these definitions have
in common is: (1) they refer to specific acts of violence against persons
irrespective of whether the person is a national or nonnational and irrespective of
whether these acts are committed in time of war or time of peace, and (2) these
acts must be the product of persecution against an identifiable group of persons
irrespective of the make-up of that group or the purpose of the persecution. Such
a policy can also be manifested by the “widespread or systematic” conduct of the
216
perpetrators, which results in the commission of the specific crimes contained in
the definition.
The list of the specific crimes contained within the meaning of crimes against
humanity has been expanded since Article 6(c) of the IMT to include, in the ICTY
and the ICTR, rape and torture. The statute of the ICC also expands the list of
specific acts. In particular, the ICC statute adds the crimes of enforced
disappearance of persons and apartheid. Further, the ICC statute contains
clarifying language with respect to the specific crimes of extermination,
enslavement, deportation or forcible transfer of population, torture, and forced
pregnancy.
To some extent, crimes against humanity overlap with genocide and war crimes.
But crimes against humanity are distinguishable from genocide in that they do not
require an intent to “destroy in whole or in part,” as cited in the 1948 Genocide
Convention, but only target a given group and carry out a policy of “widespread
or systematic” violations. Crimes against humanity are also distinguishable from
war crimes in that they not only apply in the context of war—they apply in times
of war and peace.
Crimes against humanity have existed in customary international law for over half
a century and are also evidenced in prosecutions before some national courts.
The most notable of these trials include those of Paul Touvier, Klaus Barbie, and
Maurice Papon in France, and Imre Finta in Canada. But crimes against humanity
are also deemed to be part of jus cogens—the highest standing in international
legal norms. Thus, they constitute a non-derogable rule of international law.
Cherif Bassiouni, Crimes Against Humanity, in CRIMES OF WAR: WHAT THE PUBLIC SHOULD
KNOW 107, 107-08 (Roy Gutman & David Rieff, eds., 1999), http://www.crimesofwar.org/
Even given the broad definition of crimes against humanity provided by Bassiouni and
others, the use of herbicides in Vietnam prior to 1975 would not have been characterized as
coming within the definition. Except as discussed under specific treaties, statutes or specific
rules, the general concept had no application to pre-1975 use of herbicides in Vietnam.
217
3. Proportionality
governing the conduct of war. The United States Army’s manual, The Law of Land Warfare,
states the rule succinctly: “[L]oss of life and damage to property must not be out of proportion to
the military advantage to be gained.” U.S. DEP’T OF THE ARMY , FIELD MANUAL NO . 27-10, THE
LAW OF LAND WARFARE ¶ 41 (1956); cf. Protocol on Prohibitions or Restrictions on the Use of
Incendiary Weapons (Protocol III) to the 1980 Conventional Weapons Convention, Oct. 10,
1980, art. 2(4), 1342 U.N.T.S. 171, 172 (providing that forest cover may be the object of
incendiary attack when “such natural elements are used to cover, conceal or camouflage
supra, art. 52(2), 1125 U.N.T.S. at 27 (permitting dual-use crop destruction if it does not lead to
Applying the principle presents difficulties, as the final report on the NATO bombing in
the Kosovo war to the Prosecutor for the International Criminal Tribunal for the former
The main problem with the principle of proportionality is not whether or not it
exists but what it means and how it is to be applied. It is relatively simple to state
that there must be an acceptable relation between the legitimate destructive effect
and undesirable collateral effects. . . . It is much easier to formulate the principle
of proportionality in general terms than it is to apply it to a particular set of
circumstances because the comparison is often between unlike quantities and
values. One cannot easily assess the value of innocent human lives as opposed to
capturing a particular military objective.
Final Report to the Prosecutor by the Committee Established to Review the NATO Bombing
Campaign Against the Federal Republic of Yugoslavia ¶ 48 (June 13, 2000), available at
218
www.un.org/icty/pressreal/nato061300.htm [hereinafter ICTY Final Report]; see also Anderson
Decl. ¶¶ 67-68 (stating that the calculation of whether military action was necessary or
proportional is an “open-ended, imprecise and subjective” task and that, because of its “inherent
subjectivity and imprecision, people with different backgrounds and in different circumstances
can easily reach different but equally legitimate conclusions on exactly the same facts”); FRITS
TO INTERNATIONAL HUMANITARIAN LAW 46 (3d ed. 2001) (noting the “lack of precision inherent
ICRC_002_0793.PDF!Open.
Anderson Decl. ¶ 67, that international bodies charged with its enforcement often cannot say
“what it means and how it is to be applied,” ICTY Final Report 48, is not defined with the
specificity required by Sosa. It is contended that the norm of proportionality is so subjective that,
like judgments in the field concerning military necessity, they are often “not considered suitable
for second-guessing by courts, international, military or otherwise.” Anderson Decl. ¶ 73. This
may explain, according to defendants, why no prosecutions based on violations of that norm
seem to have occurred since World War II. Anderson Decl. ¶ 75 (“I have followed this body of
law for many years, discussing it repeatedly with military lawyers, human rights lawyers, and
scholars, and I am not aware of any court martial or other legal case since the Second World War
The ICTY Final Report’s recommendation against prosecution lends some slight support
219
for the proposition proffered by defendants that a factor militating against recognition of a private
cause of action in the instant case is proportionality. The Court explained in Sosa that courts
should be especially cautious about creating a private right of action due to considerations such
as whether to “permit enforcement [of a norm] without the check imposed by prosecutorial
discretion.” 124 S. Ct. at 2763. The ICTY Report reflects the assumption that, when criminal
since the prosecutor acts as a gatekeeper to protect the accused against unfair or ambiguous
charges. The ICTY Report’s recommendation against prosecution of an alleged violation based,
in part, on the imprecision and subjectivity of the proportionality concept, see Anderson Decl. ¶
78, does point to a possible danger in permitting such claims to proceed on a wholesale basis in
American courts are fully capable of applying the proportionality concept in civil
the inherently subjective judgments necessary to determine whether the concept applies, and the
dearth of illustrative prosecutions, all demonstrate that federal courts should pause before
recognizing a civil private cause of action under the ATS on the theory that the United States
may have properly used herbicides in some situations for legitimate military purposes, but that it
used too much of them in too many places. See, e.g., Robert A. Shade, Management of the
[commented] that any alternative changing the application rate from three gallons of undiluted
Orange per acre was unacceptable. Their reasons were that experience in Vietnam, as well as the
220
test program conducted in Thailand by personnel from Fort Detrick, showed that maximum leaf
fall and duration of defoliation was obtained at this application rate. Shorter duration of
defoliation would necessitate respraying more often. Because of the need to respray more often,
these alternatives would not, in the long run, result in any significant overall decrease in
herbicide requirements. In fact, sortie requirements would increase, subjecting the air crews to a
greater hazard from enemy ground fire and increasing the cost.”) (Ex. 10 to Aff. of Michael M.
Gordon in Opp’n to Pls.’ Second Am. Mot. for Recons. of Ct.’s Decision Granting Summ. J. to
Defs. on Basis of the Government Contractor Defense). It cannot be shown that the military in
the field—or the executive and legislative branches at home—violated proportionality norms
As plaintiffs argue, a consensus among nations may gradually solidify into recognized
international law provided that such consensus is reflected in state practice accompanied by
opinio juris. No such understanding or consensus existed with respect to herbicides prior to
A. President
President Ford, by Executive Order 11850, adopted the United States policy of renouncing first
use of herbicides in warfare. This action was taken almost simultaneously with the Senate’s
ratification of the 1925 Geneva Protocol. See infra Part XII.B.; see also supra Part XI.C.2.
221
Executive Order 11850
Renunciation of Certain Uses in War of Chemical Herbicides and Riot Control
Agents
April 8, 1975
The United States renounces, as a matter of national policy, first use of herbicides
in war except use, under regulations applicable to their domestic use, for control
of vegetation within U.S. bases and installations or around their immediate
defense perimeters, and first use of riot control agents in war except in defensive
military modes to save lives such as:
(a) Use of riot control agents in riot control situations in areas under direct
and distinct U.S. military control, to include controlling rioting prisoners of war.
(b) Use of riot control agents in situations in which civilians are used to
mask or screen attacks and civilian casualties can be reduced or avoided.
(c) Use of riot control agents in secure missions in remotely isolated areas,
of downed aircrews and passengers, and escaping prisoners.
(d) Use of riot control agents in rear echelon areas outside the zone of
immediate combat to protect convoys from civil disturbances, terrorists and
paramilitary organizations.
I have determined that the provisions and procedures prescribed by this Order are
necessary to ensure proper implementation and observance of such national
policy.
NOW, THEREFORE, by virtue of the authority vested in me as President of the
United States of America by the Constitution and laws of the United States and as
Commander-in-Chief of the Armed Forces of the United States, it is hereby
ordered as follows:
SECTION 1. The Secretary of Defense shall take all necessary measures to
ensure that the use by the Armed Forces of the United States of any riot control
agents and chemical herbicides in war is prohibited unless such use has
Presidential approval, in advance.
SEC[TION] 2. The Secretary of Defense shall prescribe the rules and regulations
he deems necessary to ensure that the national policy herein announced shall be
observed by the Armed Forces of the United States.
GERALD R. FORD
Exec. Order No. 11,850, 40 Fed. Reg. 16,187 (April 8, 1975) (emphasis added).
Congressional hearings leading up to this order gave no indication that herbicide use was
222
outlawed by general consensus as a weapon of war before 1975. Whatever the post-1975 effect
of President Ford’s executive order, it had no retroactive effect. See EUGENE DAVIDSON , THE
NUREMBERG FALLACY 285 (University of Missouri Press 1998) (“[T]he United States has also
stopped using defoliants but it has not renounced their possible future employment . . . .”). Use
of herbicides by the United States in Vietnam had ceased years before President Ford’s 1975
No treaty or agreement, express or implied, of the United States operated to make use of
herbicides in Vietnam a violation of the laws of war or any other form of international law until
at the earliest April of 1975. See also supra Part XI.C.2. on ratification by United States of the
Geneva Convention.
Whether even President Ford’s order, without the consent of the Senate, could have had
the effect of confirming a rule of international law binding on the United States is a matter that
need not now be decided. As Commander-in-Chief of the armed forces he had the power to
order that herbicide use be limited in war, but that order alone would not bind future presidents.
Cf. 1 RESTATEMENT (THIRD ) OF FOREIGN RELATIONS LAW OF THE UNITED STATES § 303(4)
(“[T]he President, on his own authority, may make an international agreement dealing with any
matter that falls within his independent powers under the Constitution.”). Subsequent events
leave the matter somewhat up in the air. The 1993 Chemical Weapons Convention did not
outlaw the use of herbicides even though it prohibited use of tear gas. The 1972 Additional
Protocol I to the Geneva Conventions covered protection of natural resources, but the United
States has not ratified it. See Message of President Ronald Reagan to United States Senate, Jan.
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B. Congress
Congress ratified the 1925 Geneva Protocol on December 16, 1974, making us a party to
that treaty. But that ratification itself did not constitute an acknowledgment that the 1925
Geneva Protocol outlawed the use of herbicides as a weapon. See supra Part XI.C.2. for terms of
the ratification.
The issue of the legality of herbicide use during war was thoroughly debated by
See, e.g., Report of the Subcommittee on National Security Policy and Scientific Developments
U.S. Policies and International Effects, with an Appended Study on the Use of Tear Gas in War:
A Survey of International Negotiations and U.S. Policy and Practice pursuant to H. Res. 143
(1970) [hereinafter House Report]; Hearings before the Subcommittee on National Security
Representatives, 91st Cong., 1st Sess., Chemical-Biological Warfare: U.S. Policies and
International Effects (1970) [hereinafter House Subcomm. Hearings]; Hearings before the
Committee on Foreign Relations, United States Senate, 92nd Cong., 1st Sess., The Geneva
Protocol of 1925: The Protocol for the Prohibition of the Use in War of Asphyxiating,
Senate Hearings].
As Chairman Fulbright of the Senate Committee on Foreign Relations put the matter in
his foreword to the Senate Hearings, he thought the United States should not use herbicides
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because they were not effective and their use was opposed by most nations. He wrote in October
1972 (after use of herbicides in Vietnam by the United States had ceased):
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of these agents in Vietnam threatens to undermine the ultimate effectiveness of
the new conventions.
The preamble of the Bacteriological Convention reaffirms the significance
of the Geneva Protocol as the foundation for subsequent international agreements
in this area. Most nations of the world take the view that our use of tear gas and
herbicides in Vietnam is contrary to the provisions of the Geneva Protocol.
Indeed, the preamble of the Convention specifically notes that the General
Assembly “has repeatedly condemned all actions contrary to the principles and
objectives” of the Protocol. It is difficult in light of these circumstances to see
how the United States adherence to the Convention can be reconciled with the
Administration’s rejection of the universally accepted interpretation of the
Protocol.
In my view, it is regrettable that the Executive Branch has ignored the
Committee’s efforts to resolve the difficulties posed by its interpretation of the
Protocol. It is now more important than ever that the Executive Branch come to
grips with the question of U.S. adherence to the Protocol in order that this issue
not complicate consideration of the Bacteriological Convention.
The Executive Branch studies relating to tear gas and herbicides which the
Secretary of State told the Committee were in progress at the time of the 1971
hearings are reported to have been completed. Yet to date none of these studies
has been made available to or discussed with the Committee.
Similarly the Executive Branch has ignored the Committee’s requests for
its comments on two proposals relating to the interpretation of the Geneva
Protocol, S. Res. 154 and S. Res. 158, introduced by Senators Humphrey and
Brooke in July 1971. . . . . While the Committee has not taken a position on these
resolutions and could hardly be expected to do so in the face of continued
Executive Branch silence, these resolutions do represent constructive efforts to
resolve the question of the Protocol’s interpretation.
We are hopeful that the appearance of these hearings coupled with the
President’s submission of the Bacteriological Convention to the Senate will
stimulate new interest on the part of the public and the Executive Branch in full
U.S. adherence to the Geneva Protocol. It would appear that the only impediment
to such progress is the reluctance of the Administration to forego the option to
employ tear gas and herbicides in future wars. It is difficult to reconcile this
position with our knowledge that their military utility is open to serious questions,
that their actual use in Vietnam is undermining the restraints inherent in the
Geneva Protocol, and that the opprobium which attaches to their use is nearly
universal.
A decision on the part of the Administration to [seek] ratification of the
Geneva Protocol without any special exceptions for the use of herbicides and tear
gas in warfare would, in my view, be a constructive act. A renunciation of the
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option to use these weapons would not adversely affect our national security and,
indeed, it would represent the single greatest contribution which our nation could
make now to the creation of truly effective and universal barriers against one of
the most repugnant of all forms of warfare.
While some senators, including Senator Fulbright, were of the view that use of herbicides
were or should be outlawed, Congress was not prepared to take a position contrary to that of the
Administration—that their use in Vietnam had not been outlawed by the 1925 Geneva
Convention or by any other development. See, e.g., id. at iii (stating Administration’s position
that herbicides are not covered by the Geneva Convention); id. at 241-44 (arguing against use of
herbicides); id. at 315-17 (discussing U.S. military’s interpretation of the 1907 Hague
Richard D. McCarthy’s position against use of herbicides); id. at 52 (discussing use to kill rice
crops); id. at 75 (discussing effect on unborn children); id. at 96 (discussing analysis of costs and
benefits of use of herbicides); id. at 107 (discussing opposition to use of herbicides); id. at 109
(discussing damage to soil); id. at 111 (discussing harm to people); id. at 113 (discussing effect
on birth defects).
The House Report suggested how difficult the legislature found the herbicide issue. It
declared:
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skin, and herbicides which are used to defoliate the jungle and destroy food
sources of the enemy. Since each of these classes of chemical agents presents its
own particular problems, separate consideration is generally accorded them.
....
Herbicides.—The principal objective of herbicide use in Vietnam has been
to produce a significant improvement in vertical and horizontal visibility in jungle
areas. Areas defoliated have included our own base perimeters; roads, trails, and
waterways; infiltration routes; and enemy base camps. A secondary use of
herbicides is to destroy crops in order to deny food supplies to Vietcong forces.
According to the Department of Defense, herbicide operations have been helpful
in protecting American soldiers and have contributed to successful
accomplishment of ground combat missions.
Questions have been raised both internationally and domestically about the
widespread use of herbicides because of fears about their effects on Vietnam’s
natural settings and on its people. No country has ever been subjected to such
intensive use of herbicides as has South Vietnam since 1962. According to
Department of Defense figures, as of the end of July, 1969, the United States has
sprayed with herbicides 5,070,800 acres, a figure equivalent to more than 10
percent of the total land area of South Vietnam.
When defoliating operations were begun, herbicidal chemicals were not
believed to be permanently damaging to plants or toxic to human beings. With
the passage of time, however, evidence has grown that concentrated applications
may have drastic effects on the environment and on people intensively exposed.
Laboratory tests have indicated, for example, that one frequently used herbicide,
2,4,5-T, causes birth malformations in mice and rats. As a result its use in
Vietnam recently was halted, at least temporarily. Other chemicals still
commonly used in Vietnam also have been questioned by members of the
scientific community for their environmental effects and safety for human beings.
Among those herbicidal agents are 2,4,D, picloram, and cacodylic acid.
Collateral issues related to the use of herbicides concern the possibility of
U.S. liability for expensive damage claims in the future, and the belief of some
observers that the destruction of food supplies primarily hurts women, children,
and other noncombatants rather than hostile forces.
Internationally, the use of nonlethal gases and herbicides in Vietnam has
resulted in considerable criticism of the United States. Our Nation has been
charged with violating international law including the Geneva Protocol, and with
breaking down the barriers to chemical and biological warfare which have existed
since World War I. In December 1969, the United Nations General Assembly
approved a resolution, by 80 votes to 3, with 36 abstentions, declaring that the
Geneva Protocol prohibits all chemical agents which have direct toxic effect on
men, animals, and plants. The resolution was aimed primarily at U.S. practice in
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Vietnam.
One of the three nations which voted against the resolution was the United
States. . . . With respect to herbicides, the U.S. position is that neither the
language of the protocol nor the negotiating history indicates an intention to cover
antivegetation chemical agents. Moreover, the United States, although not a party
to the protocol, has rejected the rights of the General Assembly to interpret or
declare principles of international law embodied in the protocol or other treaties
“where the rules are ambiguous and where universal consensus is lacking.”
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workable rule which we and other signatories to the protocol eventually could
decide upon. Such an approach, it appears, would speed approval of the protocol
itself and reduce significantly the possibilities of international repercussions over
the U.S. interpretation of the treaty. Moreover, as U.S. combat activities wane in
Vietnam, it might be possible to scale down substantially CW operations as
testimony to our good faith.
....
RECOMMENDATIONS
....
(3) The question of the use of tear gas and herbicides in warfare should be left
open in any formal or informal interpretation of the protocol made by the
executive branch or the Senate, and once the United States becomes a party to the
treaty it should seek agreement with the other parties on the uniform interpretation
of the scope of the protocol, either through a special international conference
among the parties or through established international juridicial procedures.
The general legislative position that international law did not forbid use of herbicides in
Vietnam, although it probably should in the future, represented the United States view until
1975. Based upon executive decisions and the hearings in both the Senate and House, the
official position of this country up to 1975 could be summarized as follows: On the one hand,
many scientists, political figures and others opposed the use by the United States of herbicides in
Vietnam because of possible health dangers to those exposed directly or indirectly, because of the
possible damage to the land and the continued hazards of toxic contamination to future
generations, because of possible teratological effects on children of those who had been exposed,
because of substantial opposition from the international community of nations, and because of
doubts about efficacy. On the other hand, the armed forces, the State Department, the President,
and a substantial number of legislators opposed characterizing the use of herbicides, as they were
utilized in Vietnam, as a violation of international law, and particularly as a violation of the 1925
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Geneva Convention. The result was deadlock and the status quo ante. Related issues were
widely debated in the literature. See, e.g., Paul G. Cassell, Note, Establishing Violations of
International Law: “Yellow Rain” and the Treaties Regulating Chemical and Biological
Warfare, 35 STAN . L. REV . 259, 261 (1983) (“[A] fear of highly technological invisible weapons
able to kill in mysterious ways with unpredictable consequences.” Yellow Rain was believed to
have been used by the Russians, but was found to be a harmless natural phenomenon); cf.
Jonathan P. Edwards, The Iraqi Oil “Weapon” in the 1991 Gulf War: A Law of Armed Conflict
Analysis, 40 NAVAL L. REV . 105, 130 (1992) (concluding that Iraq’s setting fire to oil wells and
releasing crude oil into the Persian Gulf were violations of international law of armed combat).
The Kennedy, Johnson and Nixon administrations, which actively prosecuted the war in
Vietnam, were unwilling to declare utilization of herbicides illegal even though the United States
effectively ended use by our military by 1971. It was not until the Ford administration that this
country was ready to officially come to grips with the international law issue. Until the matter
was resolved in 1975 by President Ford and the Senate it is fair to conclude that proscription of
the use of herbicides in Vietnam was not recognized by the United States (and by implication its
allies in Vietnam including Australia, New Zealand, South Korea, Turkey, and others) as a
violation of international law. Cf. 1 JAMES BROWN SCOTT , THE HAGUE PEACE CONFERENCES OF
1899 AND 1907, at 37 (1909) (“[T]he support of the larger nations is necessary in order to give
international force and effect to a proposition . . . .”). That was also the position of the British
who had used helicopters to spray herbicides in their Malaya military operations. See PETER H.
SCHUCK, AGENT ORANGE ON TRIAL: MASS TOXIC DISASTERS IN THE COURTS 16 (enlarged ed.
1987); Memorandum from Secretary of State Dean Rusk to President John F. Kennedy (Nov. 24,
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1961), supra.
Since the herbicide use by the United States complained of by plaintiffs ended years
before 1975, the April 1975 declaration of President Ford and the action of the Senate in ratifying
the 1925 Geneva Protocol and the Biological Weapons Convention in April 1975 did not
retroactively make illegal United States’ use of herbicides in Vietnam. The defendants in the
instant case had no connection with, or foreknowledge of, South Vietnam forces’ alleged use of
herbicides in the 1970s so they are not responsible for what those forces did independently after
the United States abandoned the program in 1971. Nor do defendants have a retroactive
obligation to detoxify the land or to gather up discarded empty dioxin contaminated barrels or
other implements long since abandoned by the United States. Defendants are not culpable civilly
under international law. The reasons and techniques for modern mass killings are not in any way
comparable to the reasons and techniques in the use of herbicides in Vietnam. See, e.g.,
BENJAMIN A. VALENTINO , FINAL SOLUTIONS: MASS KILLING AND GENOCIDE IN THE TWENTIETH
CENTURY 81 (2004) (discussing use of mass killings “to coerce large numbers of civilians or
their leaders into submission”); DAVID CHUTER, WAR CRIMES: CONFRONTING ATROCITY IN THE
MODERN WORLD 3 (2003) (discussing war crimes as including murder, torture, rape and theft on
a huge scale).
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XIII. Conclusion
There is no basis for any of the claims of plaintiffs under the domestic law of any nation
or state or under any form of international law. The case is dismissed. No costs or
SO ORDERED.
_______________________________
Jack B. Weinstein
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