{"title":"质疑标记:多元化决策与先例约束","authors":"Ryan C. Williams","doi":"10.2139/SSRN.2798738","DOIUrl":null,"url":null,"abstract":"Understanding the precedential significance of Supreme Court plurality decisions is a task that has long confounded the judges of the lower courts. Surprisingly, the Supreme Court has offered little direct guidance on this question apart from a single sentence in Marks v. United States, 430 U.S. 188 (1977), which instructed that where the Justices fail to converge on a single majority rationale, “the holding of the Court may be viewed as that position taken by those Members who concurred in the judgments on the narrowest grounds.” But this single, cryptic directive from a decision handed down nearly four decades ago offers little meaningful guidance to lower courts struggling to apply the “narrowest-grounds” rule to the Court’s fractured majority opinions.This Article suggests a new approach to plurality precedent that focuses on connecting the lower courts’ precedential obligations to the actual majority agreements among the Justices from which plurality decisions result. The defining feature of a plurality decision is the agreement among a majority of Justices on the appropriate judgment in a particular case without corresponding majority agreement on the reasons why that judgment was correct. As such, the judgment provides the natural focal point for determining the lower courts’ precedential obligations. By focusing on the precedent Court’s judgment and the respective rationales for that judgment endorsed by the various factions of concurring Justices, lower courts can identify a universe of subsequent cases that are sufficiently “like” the precedent case to demand consistent treatment — namely, those cases in which each of the judgment-supportive rationales would compel the same result. This approach identifies a class of future results that lower courts will be bound to reach in future cases without constraining them to follow a rationale that was endorsed by only a minority faction on the Court. The approach thus promises to constrain lower courts’ decision-making to some extent while identifying a domain of bounded discretion in which such courts remain free to continue working through for themselves the complicated legal questions that the Court was unable to answer definitively in the original plurality decision.","PeriodicalId":51386,"journal":{"name":"Stanford Law Review","volume":"10 1","pages":"795"},"PeriodicalIF":4.9000,"publicationDate":"2016-06-21","publicationTypes":"Journal Article","fieldsOfStudy":null,"isOpenAccess":false,"openAccessPdf":"","citationCount":"4","resultStr":"{\"title\":\"Questioning Marks: Plurality Decisions and Precedential Constraint\",\"authors\":\"Ryan C. Williams\",\"doi\":\"10.2139/SSRN.2798738\",\"DOIUrl\":null,\"url\":null,\"abstract\":\"Understanding the precedential significance of Supreme Court plurality decisions is a task that has long confounded the judges of the lower courts. 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The defining feature of a plurality decision is the agreement among a majority of Justices on the appropriate judgment in a particular case without corresponding majority agreement on the reasons why that judgment was correct. As such, the judgment provides the natural focal point for determining the lower courts’ precedential obligations. By focusing on the precedent Court’s judgment and the respective rationales for that judgment endorsed by the various factions of concurring Justices, lower courts can identify a universe of subsequent cases that are sufficiently “like” the precedent case to demand consistent treatment — namely, those cases in which each of the judgment-supportive rationales would compel the same result. This approach identifies a class of future results that lower courts will be bound to reach in future cases without constraining them to follow a rationale that was endorsed by only a minority faction on the Court. 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引用次数: 4
摘要
理解最高法院多数裁决的先例意义是一项长期困扰下级法院法官的任务。令人惊讶的是,最高法院在这个问题上几乎没有提供任何直接指导,除了在Marks v. United States, 430 U.S. 188(1977)一案中的一句话,该句指出,如果法官们未能在单一的多数理由上达成一致,“最高法院的裁决可以被视为那些以最狭隘的理由同意判决的法官所采取的立场。”但是,这一来自近40年前的一项判决的单一的、含糊的指令,对努力将“最窄理由”规则应用于法院分裂的多数意见的下级法院来说,几乎没有提供任何有意义的指导。本文提出了一种新的“多数判例”方法,其重点是将下级法院的判例义务与大法官之间的实际多数协议联系起来,从而产生“多数裁决”。多数裁决的决定性特征是,多数法官就某一特定案件的适当判决达成一致意见,而没有就该判决正确的理由达成相应的多数一致意见。因此,该判决为确定下级法院的判例义务提供了自然的焦点。通过关注最高法院的判决以及各派持相同意见的法官所支持的判决的各自理由,下级法院可以确定一系列与最高法院判例足够“相似”的后续案件,从而要求一致的处理——也就是说,在这些案件中,每一个支持判决的理由都会导致相同的结果。这种方法确定了下级法院在未来的案件中必然会得出的一类未来结果,而不会限制它们遵循只有最高法院少数派系支持的理由。因此,这种做法有望在一定程度上限制下级法院的决策,同时确定一个有限自由裁量权的领域,在这个领域中,这些法院仍然可以自由地继续自己解决法院在最初的多数决定中无法明确回答的复杂法律问题。
Questioning Marks: Plurality Decisions and Precedential Constraint
Understanding the precedential significance of Supreme Court plurality decisions is a task that has long confounded the judges of the lower courts. Surprisingly, the Supreme Court has offered little direct guidance on this question apart from a single sentence in Marks v. United States, 430 U.S. 188 (1977), which instructed that where the Justices fail to converge on a single majority rationale, “the holding of the Court may be viewed as that position taken by those Members who concurred in the judgments on the narrowest grounds.” But this single, cryptic directive from a decision handed down nearly four decades ago offers little meaningful guidance to lower courts struggling to apply the “narrowest-grounds” rule to the Court’s fractured majority opinions.This Article suggests a new approach to plurality precedent that focuses on connecting the lower courts’ precedential obligations to the actual majority agreements among the Justices from which plurality decisions result. The defining feature of a plurality decision is the agreement among a majority of Justices on the appropriate judgment in a particular case without corresponding majority agreement on the reasons why that judgment was correct. As such, the judgment provides the natural focal point for determining the lower courts’ precedential obligations. By focusing on the precedent Court’s judgment and the respective rationales for that judgment endorsed by the various factions of concurring Justices, lower courts can identify a universe of subsequent cases that are sufficiently “like” the precedent case to demand consistent treatment — namely, those cases in which each of the judgment-supportive rationales would compel the same result. This approach identifies a class of future results that lower courts will be bound to reach in future cases without constraining them to follow a rationale that was endorsed by only a minority faction on the Court. The approach thus promises to constrain lower courts’ decision-making to some extent while identifying a domain of bounded discretion in which such courts remain free to continue working through for themselves the complicated legal questions that the Court was unable to answer definitively in the original plurality decision.