-
1
-
-
84976160510
-
-
Columbus
-
Ohio, Attorney General, Annual Report for the Year Ending December 31, 1898 (Columbus, 1899), 19. See also Monnett’s testimony in Reports of the Industrial Commission (19 vols., Washington, 1900-03), I, 297-330.
-
(1899)
Annual Report for the Year Ending December 31, 1898
, pp. 19
-
-
-
2
-
-
85011848574
-
Monopoly Under the National Antitrust Act
-
See, generally, William F. Dana, “Monopoly Under the National Antitrust Act,” Harvard Law Review, 7(1894), 338-355; Donald Dewey, Monopoly in Economics and Law (Chicago, 1959), 109-157.
-
(1894)
Harvard Law Review
, vol.7
, pp. 338-355
-
-
Dana, W.F.1
-
4
-
-
84976145661
-
-
San Francisco
-
Government proceedings for dissolution of corporations that exercised powers not granted to business corporations under general incorporation acts were called quo warranto actions. For a discussion of: the origin and development of that writ, see Seymour D. Thompson, Commentaries on the Law of Private Corporations (7 vols., San Francisco, 1895), V, 5350-5394. See also the text at notes 52-64.
-
(1895)
Commentaries on the Law of Private Corporations
, vol.7
, Issue.V
, pp. 5350-5394
-
-
Thompson, S.D.1
-
5
-
-
0039096478
-
-
Cambridge
-
See the text at notes 38-43. At this point it must be emphasized that common carrier corporations such as railroad, telegraph, and express companies are not considered in this essay. Beginning in the 1870s judgemade and statutory law alike treated those firms differently. Since interstate transportation and communications were considered commerce per se, state governments could not exclude such firms from their jurisdiction. See Gerard C. Henderson. The Position of Foreign Corporations in American Law (Cambridge, 1918), 112-131. Moreover, state legislatures often granted connecting railroad companies the power to combine — whether by way of lease, sale of assets, or exchange of stock. The power of manufacturing and mining corporations to engage in similar agreements was closely circumscribed everywhere between the demise of special chartering at mid-century and New Jersey’s revision of its general incorporation law in 1889. See Walter Chadwick Noyés, A Treatise on the Law of Intercorporate Relations (2d. ed., Boston, 1909), 11-77,, 473-551. Failure on the part of scholars to recognize these important distinctions has occasionally generated untenable analytical conclusions. See, for example, Fred Freedland, “A History of the Holding Company in New York State: Some Doubts as to the ‘New Jersey First’ Tradition,” Fordham Law Review, 24(1955), 369-411.
-
(1918)
The Position of Foreign Corporations in American Law
, pp. 112-131
-
-
Henderson, G.C.1
-
6
-
-
84976145656
-
-
Washington
-
James D. Richardson, ed., Messages and Papers of the Presidents (10 vols., Washington, 1897), IX, 745.
-
(1897)
Messages and Papers of the Presidents
, vol.10
, Issue.IX
, pp. 745
-
-
Richardson, J.D.1
-
9
-
-
84976185215
-
-
New York
-
William Griffiith, ed., The Roosevelt Policy (2 vols., New York, 1911), I, 324.
-
(1911)
The Roosevelt Policy
, vol.2
, Issue.I
, pp. 324
-
-
Griffiith, W.1
-
10
-
-
84976185202
-
Government-Business Relations
-
John Braeman et al., eds., Columbus
-
See, generally, Arthur M. Johnson, “Government-Business Relations,” in John Braeman et al., eds., Continuity and Change in Twentieth-Century America (Columbus, 1964), 191-220.
-
(1964)
Continuity and Change in Twentieth-Century America
, pp. 191-220
-
-
Johnson, A.M.1
-
11
-
-
84976185210
-
Ultra Vires Contracts Under Modern Corporate Legislation
-
Willburt D. Ham, “Ultra Vires Contracts Under Modern Corporate Legislation,” Kentucky Law Journal, 46(1958), 215-249; Note, “The Adoption of the Liberal Theory of Foreign Corporations,” University of Pennsylvania Law Review, 79(1931), 956-972, 1119-1138.
-
(1958)
Kentucky Law Journal
, vol.46
, pp. 215-249
-
-
Ham, W.D.1
-
16
-
-
17744389210
-
Statutory Developments in Business Corporation Law
-
For a useful survey of these developments, complementing this essay, see E. Merrick Dodd, “Statutory Developments in Business Corporation Law, 1886-1936,” Harvard Law Review, 50(1936), 27-59.
-
(1936)
Harvard Law Review
, vol.50
, pp. 27-59
-
-
Dodd, E.M.1
-
17
-
-
84875175312
-
The Antitrust Act and the Constitution
-
Edward S. Corwin, “The Antitrust Act and the Constitution,” Virginia Law Review, 18(1932), 355; Dumas Malone and Basil Rauch, The New Nation, 1865-1917 (New York, 1960), 110.
-
(1932)
Virginia Law Review
, vol.18
, pp. 355
-
-
Corwin, E.S.1
-
19
-
-
84974250802
-
American Law and the Marketing Structure of the Large Corporation, 1875-1890
-
For a more detailed discussion, see Charles W. McCurdy, “American Law and the Marketing Structure of the Large Corporation, 1875-1890,” Journal of Economic History, 38(1978), 631-649.
-
(1978)
Journal of Economic History
, vol.38
, pp. 631-649
-
-
McCurdy, C.W.1
-
22
-
-
85055762662
-
The Role of Business in the United States: A Historical Survey
-
Alfred D. Chandler, Jr., “The Role of Business in the United States: A Historical Survey,” Daedalus, 98(1969), 28.
-
(1969)
Daedalus
, vol.98
, pp. 28
-
-
Chandler, A.D.1
-
23
-
-
84971137415
-
Nineteenth Century Anti-Drummer Legislation in the United States
-
The changing role of traveling salesmen in American merchandizing is thoroughly treated in Stanley C. Hollander, “Nineteenth Century Anti-Drummer Legislation in the United States,” Business History Review, 38(1964), 479-500.
-
(1964)
Business History Review
, vol.38
, pp. 479-500
-
-
Hollander, S.C.1
-
25
-
-
84975961819
-
-
The best digest of the restrictive features in nineteenth-century general incorporation laws is still that compiled in Justice Louis Brandeis’s learned opinion in Liggett V. Lee, 288 U.S. 517 (1933) at 550-556.
-
(1933)
, pp. 288
-
-
Lee, L.V.1
-
26
-
-
84976160587
-
-
Paul V. Virginia, 8 Wall. 168 (U.S. 1869) at 182.
-
(1869)
-
-
Virginia, P.V.1
-
27
-
-
84976117339
-
-
Pembina Mining Co. v. Pennsylvania, 125 U.S. 181 (1888); Horn Silver Mining Co. v. New York, 143 U.S. 305 (1892); New York v. Roberts, 171 U.S. 658 (1898); American Sugar Refining Co. v. Louisiana, 179 U.S. 89 (1900); Diamond Glue Co. v. U.S. Glue Co., 187 U.S. 611 (1903). All these decisions sustained exclusion of, or various forms of discrimination against, the local exercise of franchises by foreign corporations. The traffic cases (see note 32) were distinguished on the ground that productive operations such as mining and manufacturing did not constitute interstate commerce.
-
(1888)
Pembina Mining Co. v. Pennsylvania
, pp. 125
-
-
-
28
-
-
0039323939
-
-
Madison
-
Spencer L. Kimball, Insurance and Public Policy: A Study in the Legal Implementation of Social and Economic Policy Based on Wisconsin Records, 1835-1957 (Madison, 1960), 260-269; B. Michael Pritchett, “Northern Institutions in Southern Financial History: A Note on Insurance Investments,” Journal of Southern History, 41(1975), 391-396.
-
(1960)
Insurance and Public Policy: A Study in the Legal Implementation of Social and Economic Policy Based on Wisconsin Records, 1835-1957
, pp. 260-269
-
-
Kimball, S.L.1
-
29
-
-
84976068143
-
-
See the cases digested in Thompson, Corporationsy VI, 6304-6320, 6326.
-
Corporationsy
, vol.6
, pp. 6304-6320
-
-
Thompson1
-
30
-
-
84975971808
-
-
Boston
-
Frederick Jessup Stimson, American Statute Law, Volume II: An Analytical and Compared Digest of the Statutes of all the States and Territories Relating to General and Business and Private Corporations (Boston, 1892), 210-211. See also the testimony of Max Pam, a Chicago corporation lawyer, in Reports of the Industrial Commission, I, 1035-1036.
-
(1892)
American Statute Law, Volume II: An Analytical and Compared Digest of the Statutes of all the States and Territories Relating to General and Business and Private Corporations
, pp. 210-211
-
-
Stimson, F.J.1
-
31
-
-
84881975537
-
Visitorial Jurisdiction over Corporations in Equity
-
Roscoe Pound, “Visitorial Jurisdiction over Corporations in Equity’ Harvard Law Review, 49(1936), 369-395; E. Merrick Dodd, American Business Corporations Before 1860 (Cambridge, 1954), 57-61.
-
(1936)
Harvard Law Review
, vol.49
, pp. 369-395
-
-
Pound, R.1
-
34
-
-
84976016752
-
-
Henderson, The Position of Foreign Corporations, 77-100; Felix Frankfurter and James M. Landis, The Business of the Supreme Court: A Study in the Federal Judicial System (New York, 1927), 56-145.
-
(1927)
The Position of Foreign Corporations
, pp. 77-100
-
-
Henderson1
-
35
-
-
84976016738
-
-
Head v. Providence Insurance Co., 2 Cranch 127 (U.S. 1804) at 165-166.
-
-
-
-
36
-
-
84976016732
-
-
Cowell v. Colorado Springs Co., 100 U.S. 55 (1879) at 60-61. The leading tort case was Salt Lake City v. Hollister, 118 U.S. 256 (1886).
-
(1879)
, pp. 60-61
-
-
-
37
-
-
34248145193
-
The Doctrine of Ultra Vires in United States Supreme Court Decisions
-
For a thorough discussion of the Court’s evolving position, see Clyde L. Colson, “The Doctrine of Ultra Vires in United States Supreme Court Decisions,” West Virginia Law Quarterly, 42(1936), 179-217, 297-337.
-
(1936)
West Virginia Law Quarterly
, vol.42
, pp. 179-217
-
-
Colson, C.L.1
-
38
-
-
84976026186
-
-
National Bank v. Matthews, 96 U.S. 258 (1877) at 267.
-
(1877)
, pp. 267
-
-
-
39
-
-
0011856978
-
-
New York
-
Central Transportation Co. v. Pullman’s Palace Car Co., 139 U.S. 24 (1890). For a detailed account of the transactions that ultimately precipitated the suit, see Joseph Frazier Wall, Andrew Carnegie (New York, 1970), 138-143, 187-188, 199-212.
-
(1970)
Andrew Carnegie
-
-
Wall, J.F.1
-
40
-
-
84902015758
-
-
In the interim, Carnegie and other insiders had anonymously sold all their Central Transportation stock. Only the proverbial “widows and orphans” retained their holdings of what quickly become a company without any assets. See Wall, Carnegie, 211.
-
Carnegie
, pp. 211
-
-
Wall1
-
41
-
-
84976028826
-
-
Central Transportation Co. v. Pullman’s Palace Car Co., 139 U.S. 24 (1890) at 52-53.
-
(1890)
, pp. 52-53
-
-
-
42
-
-
0010167555
-
-
Ibid, at 53-54. For a summary treatment of the conflicting decisions on restraint of trade at common law, see Letwin, Law and Economic Policy in America, 77-81.
-
Law and Economic Policy in America
, pp. 77-81
-
-
Letwin1
-
43
-
-
0010167555
-
-
Ibid, at 48., For a summary treatment of the conflicting decisions on restraint of trade at common law, see Letwin, Law and Economic Policy in America
-
Law and Economic Policy in America
, pp. 48
-
-
Letwin1
-
44
-
-
84976068173
-
-
Ibid, at 54. In a subsequent action, framed on a quantum meruit rather than a covenant theory, the Central Transportation stockholders did recover the value — $710,846 at 1870 prices — of all the physical property that Pullman had leased and depreciated. The Court did not permit recovery for loss of the contracts and patents transferred to Pullman. See Pullman’s Palace Car Co. v. Central Transportation Co., 171 U.S. 138 (1898). The Court’s ultra vires decisions generated a spirited exchange in the law journals between George Wharton Pepper and Seymour D. Thompson. Thompson’s contention that the Court’s decisions were *’in a state of hopeless and inextricable confusion” was rebutted effectively by Pepper. See George Wharton Pepper, “Recent Development of Corporation Law by the Supreme Court of the United States,” American Law Register, 43(1895), 296-313, 448-459; Seymour D. Thompson, “The Doctrine of Ultra Vires in Relation to Private Corporations,” American Law Review, 28(1895), 376-407; Pepper, “The Unauthorized or Prohibited Exercise of Corporate Power,” Harvard Law Review, 9(1895), 255-272; Pepper, “Rights Under Unauthorized Corporate Contracts,” Yale Law Journal, 8(1898), 24-32.
-
(1898)
-
-
-
45
-
-
84976025158
-
-
State v. American Cotton Oil Trust, 1 Ry. & Corp. L.J. 509 (La. 1888); People v. Chicago Gas Trust Co., 130 111. 268 (1889); State v. North River Sugar Refining Co., 121 N.Y. 582 (1889); People v. American Sugar Refining Co., 7 Ry. & Corp. L.J. 83 (Cal. 1895); State v. Nebraska Distilling Co., 29 Neb. 700 (1890); Distilling & Cattle Feeding Co. v. People, 156 111. 448 (1895); State v. Standard OU Co., 49 Ohio St. 137 (1892).
-
(1888)
State v. American Cotton Oil Trust, 1 Ry. & Corp. L.J.
, pp. 509
-
-
-
46
-
-
84976068135
-
The Legality of Trust Combinations
-
The same principle applied to the ultra vires sale of a prosperous corporation’s entire assets to a foreign corporation. The rationale for these doctrines was stated most starkly in People v. Ballard, 134 N.Y. 269, 274 (1892): A corporation is purely artificial, having no natural or inherent power, but only such as its charter confers. The charter of the corporation …was the statute [general incorporation law] under which it was organized. Upon filing the certificate of incorporation it came into existence with power to do only that which is expressly or impliedly authorized by the statute. A corporation cannot cease to exist of its own will. Its life continues until either the charter period has expired, or the court has decreed a dissolution [for cause, including bankruptcy]. The law made it, and the law only can put an end to it. As it cannot take its own life directly, it cannot do so indirectly, for that would be a fraud upon the law and against public policy. While a corporation may sell its property to pay its debts, or to carry on its business, it cannot sell its property in order to deprive itself of existence. It cannot sell all its property to a foreign corporation. …That would be the practical destruction of the corporation by its own act, which the law will not tolerate. Whether the process … is called reorganization, consolidation or amalgamation, it was the exercise of a power not delegated and void.
-
See Louis Boisot, Jr., “The Legality of Trust Combinations,” American Law Register, 39(1891), 751-770. The same principle applied to the ultra vires sale of a prosperous corporation’s entire assets to a foreign corporation. The rationale for these doctrines was stated most starkly in People v. Ballard, 134 N.Y. 269, 274 (1892): A corporation is purely artificial, having no natural or inherent power, but only such as its charter confers. The charter of the corporation …was the statute [general incorporation law] under which it was organized. Upon filing the certificate of incorporation it came into existence with power to do only that which is expressly or impliedly authorized by the statute. A corporation cannot cease to exist of its own will. Its life continues until either the charter period has expired, or the court has decreed a dissolution [for cause, including bankruptcy]. The law made it, and the law only can put an end to it. As it cannot take its own life directly, it cannot do so indirectly, for that would be a fraud upon the law and against public policy. While a corporation may sell its property to pay its debts, or to carry on its business, it cannot sell its property in order to deprive itself of existence. It cannot sell all its property to a foreign corporation. …That would be the practical destruction of the corporation by its own act, which the law will not tolerate. Whether the process … is called reorganization, consolidation or amalgamation, it was the exercise of a power not delegated and void.
-
(1891)
American Law Register
, vol.39
, pp. 751-770
-
-
Boisot, L.1
-
48
-
-
84975981739
-
-
chap. 269.
-
New Jersey, Laws, 1889, chap. 269. Before the New Jersey legislature could capitalize fully on the idea of selling liberal charters for tax revenues, it had to amend the crude 1889 statute on two occasions. For an account of the maneuverings in Trenton during the 1890s, see Harold Stoke, “Economic Influences Upon the Corporation Laws of New Jersey,” Journal of Political Economy, 38(1930), 551-579.
-
(1889)
New Jersey, Laws
-
-
-
49
-
-
0011660180
-
New Jersey: A Traitor State
-
Lincoln Steffens, “New Jersey: A Traitor State,” McClure’s Magazine, 24(1905), 41.
-
(1905)
McClure’s Magazine
, vol.24
, pp. 41
-
-
Steffens, L.1
-
51
-
-
0003973837
-
-
Baltimore
-
Useful secondary accounts of the Sherman Act’s legislative history include Letwin, Law and Economic Policy in America, 85-95; Hans B. Thorelli, The Federal Antitrust Policy: Origination of an American Tradition (Baltimore, 1954), 164-232; Donald G. Morgan, Congress and the Constitution: A Study of Responsibility (Camhridge, 1966), 140-162; Robert H. Bork, “Legislative Intent and the Policy of the Sherman Act,” Journal of Law and Economics, 9(1966), 7-48.
-
(1954)
The Federal Antitrust Policy: Origination of an American Tradition
-
-
Thorelli, H.B.1
-
57
-
-
84975981711
-
-
Ibid., 51.1 (1890), 2727-2728.
-
(1890)
, pp. 2727-2728
-
-
-
61
-
-
84975960327
-
-
Cong. Rec, 51.1 (1890), 3148.
-
(1890)
Cong. Rec, 51.1
, pp. 3148
-
-
-
62
-
-
84971842482
-
-
Quoted in Letwin, Law and Economic Policy, 94. Relying on an entry in the Judiciary Committee’s minute book indicating the members’ unanimous agreement that the Edmunds draft was constitutional, Letwin mistakenly concluded that Sherman’s misgivings were unjustified. The scope of the Sherman Act had been narrowed considerably; and the Judiciary Committee’s assumption that the Edmunds draft was within Congress’s power under the commerce clause was undoubtedly based on their belief that the Justice Department would proceed only against monopolies that had been created through the use of predatory marketing tactics. Congressman Culberson, House manager of the final bill, explained the scope of federal action contemplated by the framers in precisely those terms. See the discussion in the text at notes 85-87. Letwin’s interpretation would require us to believe that the seven Senate Judiciary Committee members who had spoken against Sherman’s original bill on constitutional grounds (Senator George on four occasions) had changed their views over the course of ten days!
-
Law and Economic Policy
, pp. 94
-
-
Letwin1
-
63
-
-
84975960327
-
-
Cong. Rec, 51.1 (1890), 3145.
-
(1890)
Cong. Rec, 51.1
, pp. 3145
-
-
-
65
-
-
84976024216
-
-
Cong. Rec., 51.1 (1890), 3147.
-
(1890)
Cong. Rec.
, pp. 3147
-
-
-
66
-
-
84975964502
-
-
Ibid., 51.1 (1890), 4091. See the text at note 70., Cong. Rec.
-
(1890)
Cong. Rec.
, pp. 4091
-
-
-
67
-
-
84976052734
-
-
The Bacon Committee had published two volumes of testimony. See Report on the Investigation of Trusts …[1889], House Report No. 3112, 50th Congress, 1st Session (Serial 2606); Report on Investigation of Trusts …[1890], House Report No. 4165, 50th Congress, 2d Session (Serial 2675).
-
(1889)
Report on the Investigation of Trusts …
-
-
-
68
-
-
84975960327
-
-
Cong. Rec., 51.1 (1890), 4089, 4091.
-
(1890)
Cong. Rec., 51.1
, pp. 4089-4091
-
-
-
69
-
-
84971842482
-
-
For a useful discussion, see Letwin, Law and Economic Policy, 100-142. But see also Gerald Eggert, Richard Olney: Evolution of a Statesman (University Park, Pa., 1974), 87-100.
-
Law and Economic Policy
, pp. 100-142
-
-
Letwin1
-
70
-
-
0039163000
-
The Role of Reason and the Per Se Concept: Price Fixing and Market Division
-
See, generally, Robert H. Bork, “The Role of Reason and the Per Se Concept: Price Fixing and Market Division,” Yale Law Journal, 74 (1965), 775-847.
-
(1965)
Yale Law Journal
, vol.74
, pp. 775-847
-
-
Bork, R.H.1
-
71
-
-
0005760257
-
-
New York
-
For statistical data on New Jersey incorporations, see George Heberton Evans, Business Incorporations in the United States, 1800-1943 (New York, 1948), 126-131. Evans classified as “large” corporations those whose capitalization exceeded $10 million. See also Edward Q. Keasby, “New Jersey and the Great Corporations,” Harvard Law Review, 13(1899), 198-212, 264-278.
-
(1948)
Business Incorporations in the United States, 1800-1943
, pp. 126-131
-
-
Evans, G.H.1
-
74
-
-
84976026108
-
The Interstate Trust and Commerce Act of 1890
-
Beginning in the Progressive Era, many constitutional commentators argued that the result in Knight stemmed from inadequate presentation of the government’s argument by Attorney Generat Olney. See, for example, George F. Edmunds, “The Interstate Trust and Commerce Act of 1890,” North American Review, 194 (1911), 816; William Howard Taft, The Antitrust Act and the Supreme Court (New York, 1914), 59. Underlying this view, reiterated most recently by Joe A. Fisher, “The Knight Case Revisited,” The Historian, 35(1973), 365-383, is the assumption that the Court would have ruled for the United States if Olney had proved what everyone already knew: sugar refined in the four Pennsylvania plants absorbed by American Sugar Refining would eventually enter “the stream of interstate commerce.” Presumably, such proof would have included contracts between manufacturers and their wholesalers indicating the former’s intention to sell refined sugar outside Pennsylvania. There is ample indirect evidence, however, to suggest that such proof would not have affected the Court’s stance. In all the contemporaneous foreign corporation cases involving manufacturing, intent to sell in one state commodities produced in another state had never been a sufficient defense against taxation and regulation (see the discussion in note 106). Debate in Congress indicates that the architects of the Sherman Act understood, in conformity with the Court’s recent decisions, that jurisdiction could be established only upon showing that monopolization stemmed from marketing practices that were unlawful at common law. In 1890 Sherman had taken the very position that, two decades later, Edmunds and Taft suggested the attorney general ought to have taken more strongly in Knight. But Sherman had lost that battle; ironically, Edmunds had been among his chief antagonists. The rise of the Olney-was-at-fault interpretation of Knight is best explained, I think, as an attempt to restrict the case’s value as precedent and thus to carve out a larger federal role in corporation law once the states’ inertia on the matter bcame fully apparent after 1903.
-
(1911)
North American Review
, vol.194
, pp. 816
-
-
Edmunds, G.F.1
-
76
-
-
0041187343
-
-
New Haven
-
The concept of a “no man’s land” was stated in its most widely-cited form in Edward S. Corwin, The Twilight of the Supreme Court (New Haven, 1934), 20. Corwin there alluded to the Court’s “dormant” commerce power decisions (e.g. W’elton), suggested that those cases enabled large-scale corporations to evade state regulation, and then noted that Knight set up a “no thoroughfare” sign to Congress once it attemnted to travel the very highway that the Court had opened up for the corporations. Corwin’s analysis ignored foreign corporation law, however; and the Paul doctrine provided the missing link in the formal chain of control mechanisms that the Court expounded between 1869 and 1903. Particularly after 1917, the Court’s insistence on maintaining an array of commerce doctrines based on dual federalism created practical gaps between policy objectives and constitutional authority. At no point, however, did juridicial commerce theories create situations in which neither the several states nor the Congress could devise solutions for policy problems. For an incisive discussion of the historical relationship between “formal power” and “real power” in the federal system, see Harry N. Scheiber, “Federalism and the American Economic Order, 1790-1910,” Law and Society Review, 10(1975), 57-118.
-
(1934)
The Twilight of the Supreme Court
, pp. 20
-
-
Corwin, E.S.1
-
77
-
-
84976122904
-
Recent Decisions
-
Artemus Stewart, “Recent Decisions,” American Lato Register, 43 (1895), 88. Arnold Paul apparently took this criticism seriously in Conservative Crisis and the Rule of Law: Attitudes of Bar and Bench, 1887-1896 (Ithaca, 1960), 182-183.
-
(1895)
American Lato Register
, vol.43
, pp. 88
-
-
Stewart, A.1
-
78
-
-
84976145028
-
The Power of Stockholders to Bind a Corporation
-
When minority stockholders did refuse to assent to ultra vires consolidations, however, the courts consistently enjoined prospective mergers. See Small v. Minneapolis Electro Matrix Co., 45 Minn. 264 (1891); Easun v. Buckeye Brewing Co., 51 Fed. 156 (1892); Marble v. Harvey, 92 Tenn. 115 (1892); Byrne v. Schuyler Electric Mfg. Co., 65 Conn. 336 (1895); Forrester v. Boston Mining Co., 21 Montana 544 (1898). See also W. Lloyd Kitchel, “The Power of Stockholders to Bind a Corporation,” Yale Law Journal, 5 (1895), 83-92.
-
(1895)
Yale Law Journal
, vol.5
, pp. 83-92
-
-
Kitchel, W.L.1
-
79
-
-
84976122900
-
-
Boston
-
Although the Court remained consistent on this point (see note 43), corporations often attempted to use the commerce clause both ways in order to escape regulation altogether. Some firms that argued that their operations (being production) were not subject to Congress’s supervision under the commerce power also argued that their operations (being commerce) were not subject to state supervision under foreign corporation laws. Thus in July 1894, at the very time counsel for American Sugar Refining was preparing its brief for the Knight Case, another lawyer for American Sugar Refining was appearing before a Massachusetts trial court to argue that the state’s new foreign corporation law (requiring detailed annual reports on capitalization, assets, and the like) was unconstitutional “as being an interference with the commerce clause of the Constitution of the United States.” American Sugar Refining lost the Massachusetts case and eventually settled, paying the fine prescribed by the state’s foreign corporation law, plus costs. (Massachusetts, Attorney General, Report for the Year Ending January 16, 1895 [Boston, 1895], 15). A similar crusade against the Louisiana foreign corporation law culminated in 1900 with a Supreme Court opinion upholding the statute. (American Sugar Refining Co. v. Louisiana, 179 U.S. 89 [1900]). The most direct link between the commerce clause doctrine enunciated in Knight and the Court’s stance on foreign corporation laws came in Diamond Glue Co. v. United States Glue Co., 187 U.S. 611 (1903). An Illinois firm (Diamond Glue), the nation’s largest and technologically most advanced manufacturer of glue products, had agreed to supervise the construction and later the operation of a factory to be built in Milwaukee by a Wisconsin corporation (U.S. Glue). The Illinois firm was also to have full control of the handling and interstate distribution of the Milwaukee plant’s entire output. The agreement was to last for five years, at which time the plant (including all the capital equipment installed by Diamond Glue) was to become the property of U.S. Glue. After construction of the plant was completed, however, U.S. Glue refused to release control of the premises. Diamond Glue brought an action for breach of contract in federal court, and U.S. Glue set up as a defense the former’s failure to comply with the registration requirements in the Wisconsin foreign corporation law. On appeal to the Supreme Court, Justice Oliver Wendell Holmes upheld U.S. Glue’s demurrer: It is said that the contract in suit, as carried out, was concerned in part with interstate commerce, and therefore was free from the operation of the Wisconsin [foreign corporation] statute. …[But] the foundation of the commerce outside the State was doing business within it. The superintendence and manufacture had to come before the sale. The requirements of this act before allowing the plaintiff to do business in the State, if good as to that business taken by itself, are not made bad by the presence in the contract of an ulterior term which the plaintiff might or did intend to carry out by transporting the products of the business elsewhere. United States v, E.C. Knight Co., 156 U.S. 1, 13.…
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(1895)
Report for the Year Ending
, pp. 15
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-
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80
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84975995006
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Abuses of the Corporate Privilege
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Topeka
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Philadelphia Fire Association v. New York, 119 U.S. 110 (1886) at 129. Not surprisingly, legal scholars like Seymour D. Thompson who applauded Harlan’s dissenting opinion in Knight also tended to support proposals for a federal incorporation law that would supplant all state statutes, including the discriminatory foreign corporation laws. See Thompson, “Abuses of the Corporate Privilege,” Reports of the Ninth Annual Meeting of the Bar Association of the State of Kansas (Topeka, 1892), 43; Thompson, “Notes of Recent Decisions,” American Law Review, 29(1895), 293-306. See also Paul, Conservative Crisis and the Rule of Law, 58, 183-184.
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(1892)
Reports of the Ninth Annual Meeting of the Bar Association of the State of Kansas
, pp. 43
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Thompson1
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81
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84976145524
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State Control of Trusts
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Adams, “State Control of Trusts,” 478.
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Adams1
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82
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84976145072
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Neglect of the Old Principle of Public Benefit in Recent Corporation Laws
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Chicago
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John B. Connor, “Neglect of the Old Principle of Public Benefit in Recent Corporation Laws,” in Franklin H. Head, ed., Chicago Conference on Trusts (Chicago, 1900), 344.
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(1900)
Chicago Conference on Trusts
, pp. 344
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Connor, J.B.1
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83
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84976145072
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Neglect of the Old Principle of Public Benefit in Recent Corporation Laws
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Chicago
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In addition to the evidence discussed in the text, see the comments of the Missouri and Texas attorneys general in Ibid., 106-115, 567-568., John B. Connor, “Neglect of the Old Principle of Public Benefit in Recent Corporation Laws,” in Franklin H. Head, ed., Chicago Conference on Trusts (Chicago, 1900)
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(1900)
Chicago Conference on Trusts
, pp. 106-115
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Connor, J.B.1
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85
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84920800756
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Austin
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In some states the foreign corporation laws had been drafted so poorly that after the license of a foreign corporation had been revoked (a rare occurence except for insurance companies), secretaries of state had no discretion to refuse a second license to a “new” corporation formed in still another state by the same corporators and with the same assets as the firm banished earlier. Texas officials were vexed by this problem in dealing with the Waters-Pierce Oil Co., a Standard affiliate. See Texas, Attorney General, Report for the Year 1899-1900 (Austin, 1900), 7-8, 75-81. The Supreme Court sustained the initial revocation of the company’s license in Waters-Pierce Oil Co. v. Texas, 177 U.S. 28 (1900).
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(1900)
Report for the Year 1899-1900
, pp. 7-8
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87
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84975995053
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The St. Louis Antitrust Conference
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“The St. Louis Antitrust Conference,” Public Opinion, 27 (1899), 387-388.
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(1899)
Public Opinion
, vol.27
, pp. 387-388
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88
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84949060586
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State Laws: Survival of the Unfit
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Report of the Commissioner of Corporations … [1904], House Doc. No. 165, 58th Congress, 3d Session (Serial 4830), 40. See also Raymond T. Zillmer, “State Laws: Survival of the Unfit,” University of Pennsylvania Law Review, 62 (1914), 509-524.
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(1914)
University of Pennsylvania Law Review
, vol.62
, pp. 509-524
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Zillmer, R.T.1
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89
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84976185128
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Danbury, Conn.
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State Boards of Commissioners for Promoting Uniformity of Legislation in the United States, Report of the Twelfth National Conference (Danbury, Conn., 1902), 7.
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(1902)
Report of the Twelfth National Conference
, pp. 7
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