From ND IL Judge Perry–Latest on my complaint to remove Trump from office for being an adjudicated criminal and insurrectionist

I am looking for lawyers, law students and attorneys to help me on this case. I am only a 67 year old mother of 4 and a no body. Most of my complaint was taken from another one professionally prepared by a group of think tank lawyers. Currently, this is what Judge April Perry and I discussed in the Northern District Court for the Eastern Division of federal court this morning, 7/17/25

United States District Court

Northern District of Illinois – CM/ECF NextGen 1.8 (rev. 1.8.3)Notice of Electronic Filing

The following transaction was entered on 7/17/2025 at 11:53 AM CDT and filed on 7/17/2025

Case Name:Denison v. Trump
Case Number:1:24-cv-13332
Filer:
Document Number:28

Docket Text:
MINUTE entry before the Honorable April M. Perry: Status hearing held 7/17/2025. The Court discusses with Plaintiff that, based on the allegations in the current complaint, there is no basis for Article III standing and that the injunctive relief sought by Plaintiff is impossible at this time for the Court to provide. Plaintiff expresses several ideas about how the complaint may be amended to establish both a viable form of relief and standing. While the Court expresses concerns that Plaintiff will be able to state a viable legal claim, she is given until 8/7/2025 to amend the complaint to attempt to do so. Mailed notice. (jcc,)

End docket quote

One of the ways to attain standing is by membership in an organization.

For example, in Monsanto Co. v. Geertson Seed Farms24 the Animal and Plant Health Inspection Service (APHIS), a division of the United States Department of Agriculture, had decided to deregulate a variety of generally engineered alfalfa. The district court held that APHIS violated a federal statute by issuing the deregulation decision without sufficiently assessing the environmental consequences. It vacated APHIS’s deregulation decision, ordered APHIS to prepare an environmental impact statement before deciding the deregulation petition, enjoined planting of the genetically engineered seeds pending APHIS’s completion of the environmental impact statement, and issued related relief. The government and owners of the intellectual-property rights in the seeds appealed, challenging the scope of the relief. The court of appeals affirmed, and the Supreme Court granted review. The respondents who opposed review (conventional seed farms and environmental groups) argued that the government and intellectual-property owners lacked standing to appeal.

The Supreme Court held that the appellants (petitioners in the Supreme Court) did have standing to appeal

you can find a copy of my file stamped complaint here.

https://drive.google.com/file/d/1Y_hk4kgh4Ce8zt7KlDJsGi1KNK5x60c5/view?usp=sharing

it must be amended because so many things have changed since I first filed it.

I am looking for law firms and organizations that can help me with this lawsuit, so if you kow of any, please have them contact me. joanne@justice4every1.com

Legal research on Standing, Article sec 2 so far:

  1. Google AI on standing Article 3, § 2:

Article III of the U.S. Constitution requires that federal courts only hear “Cases” and “Controversies,” which necessitates that a plaintiff have standing to sue. Standing requires demonstrating an injury in fact, causation, and redressability. Leading cases like Lujan v. Defenders of Wildlife, Spokeo, Inc. v. Robins, and TransUnion LLC v. Ramirez have shaped the understanding of these requirements.

Article III Standing Requirements:
Injury in Fact:
The plaintiff must have suffered or be imminently threatened with a concrete and particularized injury. This injury cannot be hypothetical or a generalized grievance shared by the public.

Causation:
The injury must be fairly traceable to the defendant’s conduct. The connection between the injury and the defendant’s actions cannot be too attenuated.
Redressability:
It must be likely that a favorable court decision will redress the injury. The requested relief must be able to remedy the harm suffered.
Key Cases:
Lujan v. Defenders of Wildlife (1992):
.
Established the foundational elements of Article III standing: injury in fact, causation, and redressability.
Spokeo, Inc. v. Robins (2016):
.
Addressed the concreteness of injury, emphasizing that a statutory violation alone is not sufficient for standing; the injury must be concrete and particularized.
TransUnion LLC v. Ramirez (2021):
.
Further clarified the injury in fact requirement, holding that a statutory violation that does not cause a concrete harm does not confer standing.
Baker v. Carr (1962):
.
Established that federal courts could hear cases about state legislative apportionment, a significant step in ensuring equal representation according to SpringerLink.
Warth v. Seldin (1975):
.
Illustrates a situation where plaintiffs lacked standing because they failed to show a direct connection between the challenged zoning ordinances and an injury they suffered according to UMKC Law School.
Clapper v. Amnesty International USA (2013):
.
Dealt with the standard for establishing standing based on future harm.
Hollingsworth v. Perry (2013):
.
Clarified the government’s standing to appeal in cases involving constitutional challenges.
DaimlerChrysler Corp. v. Cuno (2006):
.
Ruled that state taxpayers generally lack standing to challenge state tax or spending in federal court simply by virtue of their taxpayer status.
Diamond v. Charles (1986):
.
Determined that citizens generally need a direct stake in the outcome to challenge a state statute in federal court.
Standing to Appeal:
To appeal a federal court decision, a party must demonstrate an injury fairly traceable to the judgment below and that a favorable ruling would redress that injury, according to the International Association of Defense Counsel.
In essence, Article III standing ensures that federal courts only hear genuine legal disputes, preventing them from being used to resolve abstract grievances or issues of public policy that are best addressed by other branches of government.

The U.S. Supreme Court held that a group of doctors, nurses, and medical associations did not have the right under the U.S. Constitution, a doctrine known as “standing,” to challenge Food and Drug Administration (FDA) regulations governing the use of the abortion drug mifepristone in FDA v. Alliance for Hippocratic Medicine, No. 23-235 (June 13, 2024). This ruling could make it harder for organizations to successfully challenge corporate diversity, equity, and inclusion (DEI) initiatives.

Standing and Why It Matters
The concept of standing is fundamental to federal court jurisdiction. Article III § 2 of the U.S. Constitution limits the issues federal courts can resolve to “cases” (lawsuits seeking to protect and enforce rights or to prevent and punish wrongs) and “controversies” (disputes or disagreements between parties). To qualify as a case or controversy, a plaintiff must have a personal stake in the outcome. In the words of Supreme Court Justice Antonin Scalia, to bring a federal lawsuit, a plaintiff must answer the basic question that embodies the concept of standing: “What’s in it for you?”

To establish standing, the plaintiff must demonstrate:

The plaintiff suffered or likely will suffer an injury in fact;
The defendant caused or likely will be the cause of the injury; and
The requested judicial relief likely will redress the injury.
If the plaintiff cannot satisfy all three requirements, the court must dismiss the case for lack of jurisdiction.

Injury In Fact
An injury in fact must be a specific and actual harm. A general complaint or harm that may happen is not an injury in fact. As Justice Brett Kavanaugh wrote in Alliance for Hippocratic Medicine, the doctrine of standing “screens out plaintiffs who might have only a general legal, moral, ideological, or policy objection” to a particular action.

  1. Standing

In cases involving challenges to DEI initiatives, courts have ruled the plaintiffs failed to demonstrate an injury in fact because they could not show they would have received the benefit sought in the absence of the alleged discrimination. In two cases against the same defendant, White plaintiffs alleged that a grant program available only to Black, Latinx, and Native American applicants was unlawful race discrimination. Courts in both cases ruled that the plaintiffs lacked standing because they failed to show the defendant would have chosen them as grant recipients were it not for their race, making the plaintiffs’ alleged injury too speculative to be an injury in fact. Similarly, the U.S. Court of Appeals for the Sixth Circuit dismissed a case for lack of standing where the plaintiff failed to allege they met the non-race-related requirements for that grant and therefore failed to allege an injury in fact.

In Alliance for Hippocratic Medicine, the Alliance argued the loss of considerable resources spent unsuccessfully opposing the FDA’s regulation constituted an injury in fact. Rejecting this argument, the Court stated, “[A]n organization that has not suffered a concrete injury caused by the defendant’s actions cannot spend its way into standing.”

Causation
Once a plaintiff has shown an injury in fact, the plaintiff must establish a chain of events leading from the defendant’s actions to the asserted injury. The Court’s analysis of causation in Alliance for Hippocratic Medicine is instructive. The Alliance alleged that the FDA’s rule would injure a doctor’s conscience by forcing the doctor to provide a life-saving abortion to someone experiencing complications from taking the drug mifepristone. The Court emphasized federal statutes expressly and definitively protect doctors from providing medical care that violates their consciences. These statutes break the chain of events that would connect the FDA’s rule authorizing the use of mifepristone to the alleged injury and thus defeat the plaintiff’s attempt to show causation.

Redressability
The third prong of the standing test is whether a court can redress, or cure, a claimed injury. Redressability and causation are closely related. If the defendant did not cause the injury, then the court cannot redress the injury by any order to the defendant. Even if the plaintiff plausibly alleges causation, redressability may depend on the nature of the relief requested.

For example, the U.S. Court of Appeals for the Tenth Circuit found a plaintiff challenging an employer’s mandatory DEI training lacked standing because he could not demonstrate redressability. The plaintiff alleged that the defendant’s mandatory DEI trainings caused him to suffer the injury in fact of a hostile work environment. The plaintiff sought an injunction prohibiting the defendant from using or distributing DEI materials. However, because the plaintiff had resigned from his employment by the time he filed the lawsuit, the court held that a change in the defendant’s policy would not redress any ongoing injury to the plaintiff.

Associational Standing
The Supreme Court has long recognized that, in appropriate circumstances, organizations may have standing to pursue claims on behalf of their members. This is known as “associational,” “organizational,” or “third party” standing and is a heavily litigated issue in organizations’ lawsuits challenging DEI programs and practices.

To prove associational standing, the plaintiff organization must demonstrate:

The organization’s members would have standing in their own right;
The interests the association seeks to vindicate are germane to the association’s mission; and
Neither the claim nor the relief requested requires the participation of the individual members.
Whether establishing standing requires an organization to identify members by name depends on where the plaintiff filed the lawsuit. The Eleventh Circuit held in a 2-1 decision that an organization had standing to sue even though it declined to identify by name any member that suffered an injury in fact. (The dissenting judge observed that the organization offered no good reason for withholding members’ names and suggested that the anonymous members suffered no injury in fact but were merely lending their identities for the purpose of the litigation.)

The Second Circuit came to the opposite conclusion, dismissing an organization’s challenge to a fellowship program for lack of standing because the plaintiff organization refused to name even a single member who had suffered harm. The First Circuit also has held that a plaintiff organization must name an injured individual to support associational standing. The U.S. Supreme Court likely will have to resolve this split in the circuits.

Takeaways for Employers
The first line of defense for employers facing legal challenges to DEI practices is to evaluate whether the plaintiff has the right to bring the case at all. Although standing arguments are fact specific, employers can ensure those who challenge private sector DEI programs have a demonstrable connection to such programs. A successful defense based on an individual or organization’s standing allows employers to evaluate and, if necessary, modify DEI programs to withstand legal challenges.

Jackson Lewis attorneys are available to answer your DEI questions and help you ensure your DEI programs are carefully designed, documented, and implemented to comply with applicable law.

©2024 Jackson Lewis P.C. This material is provided for informational purposes only. It is not intended to constitute legal advice nor does it create a client-lawyer relationship between Jackson Lewis and any recipient. Recipients should consult with counsel before taking any actions based on the information contained within this material. This material may be considered attorney advertising in some jurisdictions. Prior results do not guarantee a similar outcome.

Focused on employment and labor law since 1958, Jackson Lewis P.C.’s 1,000+ attorneys located in major cities nationwide consistently identify and respond to new ways workplace law intersects business. We help employers develop proactive strategies, strong policies and business-oriented solutions to cultivate high-functioning workforces that are engaged and stable, and share our clients’ goals to emphasize belonging and respect for the contributions of every employee. For more information, visit https://www.jacksonlewis.com.

  1. Standing and irreducable minimum

Federal-court practitioners will likely have heard of the “irreducible minimum”1 of standing, which Article III of the United States Constitution requires of every plaintiff on every claim: the party invoking the court’s jurisdiction must have an actual or imminent, personalized, concrete injury; the injury must be traceable to the conduct complained of in the lawsuit; and there must be a reasonable probability that a favorable court ruling would redress the injury. Lack of Article III standing is a silver bullet: it is jurisdictional, it cannot be waived, the court must notice a standing defect even if no party raises it, and the appellant’s lack of standing requires dismissal.

Less well known is that an appellant in federal court – whether plaintiff or defendant – must separately have standing to appeal. Standing can present a fatal obstacle to appeals of interest to business lawyers, including class-action settlements, bankruptcies, challenges to government action, cases involving intervenors, and even occasionally appeals from jury verdicts. Understanding appellate-standing requirements can help you stop an adversary’s appeal cold and can keep you from spending time and money on your own client’s appeal that cannot succeed. This article examines the obscure-but-useful area of standing to appeal, highlighting recurring scenarios where parties do or don’t have standing and the considerations at play.

I. Article III Standing

A. Basic Requirements for Article III Standing

Article III of the United States Constitution limits the federal judicial power to “Cases” and “Controversies.”2 To reach the merits of a case, an Article III court must have jurisdiction. “One essential aspect of this requirement is that any person invoking the power of a federal court must demonstrate standing to do so.”3 To establish Article III standing, the party invoking a federal court’s jurisdiction must establish (1) that he or she has actually suffered, or imminently will suffer, a concrete and particularized “injury in fact;” (2) that the injury is fairly traceable to the defendant’s conduct; and (3) that it is “‘likely,’ as opposed to merely ‘speculative,’ that the injury will be ‘redressed by a favorable decision.’”4 The Supreme Court has described these three requirements as the “irreducible minimum” of Article III standing.5

These requirements serve several purposes. They help assure that legal questions will be resolved in a “concrete factual context conducive to a realistic appreciation of the consequences of judicial action.”6 They additionally are meant to ensure that the party invoking the federal court’s jurisdiction has a “‘personal stake’ in the outcome of the controversy” and that the dispute “touches upon the ‘legal relations of parties having adverse legal interests.’”7 They are also meant to keep federal courts within their lane, restraining them from reaching out to decide issues committed to other branches of government.8

These rules also have their own important glosses. A party must demonstrate standing for each claim they press and each form of relief they seek.9 The party claiming standing must show that he “personally would benefit in a tangible way from the court’s intervention.”10 Because the injury must be concrete and personalized, the desire to vindicate “value interests,” “psychic satisfaction,” and the desire to see that “laws are faithfully enforced” cannot support Article III standing.11 Only the party invoking the court’s jurisdiction (normally the plaintiff in the trial court or the appellant in an appellate court) must have standing; the party objecting to relief against itself (normally the defendant or appellee) need not.12

Article III standing is essential to a federal court’s subject-matter jurisdiction.13 Since federal courts are presumed not to have jurisdiction until it is affirmatively shown,14 the record must contain facts affirmatively establishing standing, appropriate to the stage of the litigation.15 If the plaintiff fails to demonstrate standing, the court must usually dismiss the case.16 As with other subject-matter jurisdiction requirements, the absence of standing cannot be waived or forfeited17 and a court must notice a standing defect sua sponte even if no party raises it.18

Article III standing should not be confused with “prudential” standing, a set of principles that formerly limited which plaintiffs could sue even if they had standing in the constitutional sense. The Supreme Court eventually clarified that “prudential standing” was a misnomer. It untangled the prudential-standing doctrine into multiple strands, most of which are irrelevant here.19 When this article speaks of standing, it means Article III standing unless otherwise specified.

B. Article III Standing Applied to Appeals

“Although rulings on standing often turn on a plaintiff’s stake in initially filing suit, ‘Article III demands that an ‘actual controversy’ persist throughout all stages of litigation.’”20 Thus “[t]he requirement of standing ‘must be met by persons seeking appellate review, just as it must be met by persons appearing in courts of first instance.’”21 An appellant–or petitioner in the Supreme Court–must satisfy Lujan’s three requirements, tailored to initiating an appeal rather than filing an initial lawsuit. The test for standing looks to injury to the appellant caused by the lower court’s judgment instead of injury to the plaintiff caused by the defendant’s conduct. “To show standing under Article III, an appealing litigant must demonstrate that it has suffered an actual or imminent injury that is ‘fairly traceable’ to the judgment below and that could be ‘redress[ed] by a favorable ruling’” from the appellate court.22 If the appellant lacks standing to appeal, the court must dismiss the appeal.23

For example, in Monsanto Co. v. Geertson Seed Farms24 the Animal and Plant Health Inspection Service (APHIS), a division of the United States Department of Agriculture, had decided to deregulate a variety of generally engineered alfalfa. The district court held that APHIS violated a federal statute by issuing the deregulation decision without sufficiently assessing the environmental consequences. It vacated APHIS’s deregulation decision, ordered APHIS to prepare an environmental impact statement before deciding the deregulation petition, enjoined planting of the genetically engineered seeds pending APHIS’s completion of the environmental impact statement, and issued related relief. The government and owners of the intellectual-property rights in the seeds appealed, challenging the scope of the relief. The court of appeals affirmed, and the Supreme Court granted review. The respondents who opposed review (conventional seed farms and environmental groups) argued that the government and intellectual-property owners lacked standing to appeal.

The Supreme Court held that the appellants (petitioners in the Supreme Court) did have standing to appeal. Its decision illustrates how the standing requirements apply to appeals as well as some of the intricacies in evaluating standing. The Court started with the bottom line: “Petitioners are injured by their inability to sell or license [the genetically modified seeds] to prospective customers until such time as APHIS completes the required EIS. Because that injury is caused by the very remedial order that petitioners challenge on appeal, it would be redressed by a favorable ruling from this Court.”25

The respondents’ counter-arguments, which the Supreme Court rejected on the facts, also help illustrate how the traditional standing requirements translate to appeal. The respondents contended that the petitioners lacked standing to appeal because their inability to sell or license the seed was caused by a part of the injunction that petitioners did not challenge, namely the district court’s setting aside of APHIS’s deregulation decision. Thus, the argument apparently went, a favorable ruling on appeal would not redress the injury caused by the district court’s judgment (the third Lujan requirement) because even a favorable ruling would not remedy petitioners’ injury (their inability to sell or license the seed). The Supreme Court rejected the argument because the petitioners had always contended that their own proposed judgment should be entered, and that judgment would have allowed planting, and thus sales, of the seed. Additionally, the Court held, the judgment prevented even partial deregulation of the seed without an environmental impact statement, and the appellants were harmed by the preclusion of even partial deregulation. To the respondents’ argument that the injury from precluding partial deregulation was not “actual or imminent” (the first Lujan requirement) because APHIS might not partially deregulate even if allowed to, the Supreme Court explained that APHIS’ litigation conduct showed that there was “more than a strong likelihood that APHIS would partially deregulate [the seed] were it not for the District Court’s injunction.”26

Even a party that seeks United States Supreme Court review of a state-court decision must meet these standing requirements – and can obtain review even if the state-court suit did not satisfy Article III. In ASARCO, Inc. v. Kadish,27 plaintiffs brought a state-court suit against an Arizona land agency, seeking a declaration that a state statute governing mineral leases on state lands was void under both federal law and the state Constitution. Mineral lessees of state school lands intervened as defendants. The trial court upheld the statute, but the Arizona Supreme Court reversed and held the state statute invalid as applied to certain mineral leases. The U.S. Supreme Court granted the mineral lessees’ petition for certiorari. It explained that while the original plaintiffs did not have a sufficient injury to have Article III standing to bring suit in federal court, state courts were free to entertain suits that federal courts cannot. The parties seeking to invoke the jurisdiction of a federal court – the United States Supreme Court – were defendants that had lost in the Arizona Supreme Court: leaseholders who had been granted leases under the law and procedures held invalid by the Arizona Supreme Court.28 They had Article III standing to seek Supreme Court review because they were injured by the Arizona Supreme Court’s judgment. The state supreme court’s decision “poses a serious and immediate threat to the continuing validity of those leases by virtue of its holding that they were granted under improper procedures and an invalid law.”29 If the United States Supreme Court agreed with petitioners’ legal argument, it would reverse the Arizona court’s decision and remove the decision’s disabling effect on the petitioners. Thus, the petitioners “first invoking the authority of the federal courts” had met all of the Article III standing requirements: the state courts’ adverse adjudication of their legal rights was “the kind of injury cognizable in this Court on review from the state courts.” They had personally suffered actual or threatened injury as a result of the putatively illegal conduct. The injury could fairly be traced to the challenged action, and the injury was likely to be redressed by a favorable decision.30 “When a state court has issued a judgment in a case where plaintiffs in the original action had no standing to sue under the principles governing the federal courts, we may exercise our jurisdiction on certiorari if the judgment of the state court causes direct, specific, and concrete injury to the parties who petition for our review, where the requisites of a case or controversy are also met.”31

An intervenor can also have standing to appeal, if it meets the Article III requirements. In Food Marketing Institute v. Argus Leader Media,32 the district court compelled the United States Department of Agriculture to disclose certain data about grocery stores under the Freedom of Information Act. The USDA declined to appeal, but the Food Marketing Institute (a trade association of grocery stores) intervened and appealed. The court of appeals affirmed, and the Supreme Court granted review. Discussing whether the Institute had Article III standing to appeal, the Supreme Court explained that the disclosure ordered by the trial court “likely would cause [the association’s members] some financial injury” because the grocery-store industry was highly competitive and disclosure of store-level SNAP data would help competitors win business from the Institute’s members.33 Further, this “concrete injury is … directly traceable to the judgment ordering disclosure,” and a “favorable ruling from this Court would redress the retailers’ injury by reversing the judgment.”34

C. Distinction Between Standing to Sue and Standing to Appeal

An appellant’s standing to appeal is different from the plaintiff’s standing to file the lawsuit in the first place. While an appellate court is obligated to satisfy itself that jurisdiction, and thus standing, existed in the lower court as well as in the appellate court,35 they are separate inquiries.

For example, a party that did not even have Article III standing in the trial court may still be injured by the judgment and have Article III standing to appeal. In Seila Law LLC v. Consumer Financial Protection Bureau,36 the Consumer Financial Protection Bureau had issued a civil investigative demand to a law firm, Seila Law LLC. The CFPB petitioned the district court to enforce the demand. Seila opposed the petition, contending that the CFPB’s leadership structure violated the United States Constitution because the President could only remove the agency’s director for cause. The district court enforced the demand, and the court of appeals affirmed. The Supreme Court granted Seila’s petition for review, and an amicus argued that Seila lacked standing to appeal because the demand would have been issued even in the absence of the CFPB director’s removal protection. The Supreme Court held that the argument did not defeat the district court’s jurisdiction. Seila, it explained, “is the defendant and did not invoke the [District] Court’s jurisdiction,” and “[w]hen the plaintiff has standing, ‘Article III does not restrict the opposing party’s ability to object to relief being sought at its expense.’”37 The Court continued that Seila’s “appellate standing is beyond dispute” because it had been “compelled to comply with the civil investigative demand and to provide documents it would prefer to withhold,” that “injury is traceable to the decision below and would be fully redressed if we were to reverse the judgment of the Court of Appeals ….”38

In ASARCO, Inc. v. Kadish,39 a party injured by a state-court decision on a question of federal law obtained United States Supreme Court review, even though there would not have been standing to bring the action in federal court to begin with. By adjusting legal relations, the state court’s judgment can cause the losing party an Article III injury even if there would not previously have been an injury sufficient to support standing.40

II. How Article III Standing Can Make or Break an Appeal

Even where a client is upset enough about a trial judge’s ruling to spend the time and expense to appeal, Article III standing can block the appeal unless a favorable ruling from the appellate court will concretely and personally benefit the client. The issue most often arises in cases seeking injunctive or declaratory relief rather than money, but it can occasionally arise on appeal from a damages judgment as well. To illustrate, we walk through some recurring (and overlapping) scenarios where appeals have been dismissed for lack of standing, then examples where the courts upheld standing even though on the surface the appellant appeared to lack the required personal stake in the outcome. These scenarios are not exhaustive, but they illustrate the considerations involved and should be of the most interest to business lawyers.

A. Example Situations Where Appeals are Dismissed for Lack of Standing

  1. Appellants Challenge Aspects of the Judgment That Do Not Adversely Affect Them

If the appellant was not injured by the challenged aspect of the lower court’s judgment, or an appellate decision could not effectively redress that injury, the appellant lacks Article III standing to appeal.

In Waid v. Snyder (In re Flint Water Cases),41 appellants objected to a provision in a class-action settlement. They objected to a provision in the district court’s decision awarding 17% of their recovery to lead class counsel and 8% to their independently retained counsel. But, if that provision were struck down, those appellants would instead pay 25% of their recovery to lead class counsel. Either way, they would pay 25% in common benefit awards and fees. “[B]ecause [these] Objectors would fare no better with or without the Common Benefit Assessments applicable to their claims, they fail to demonstrate that they have suffered an injury in fact. Accordingly, [these] Objectors lack standing to appeal the Common Benefit Assessments” at issue.42 They also could not challenge common benefit fund assessments associated with child plaintiffs, because the objectors were adults and would not be affected by any change to the common-benefit fund related to minors.43

An appellant similarly lacks Article III standing to appeal a ruling that only harms someone else. In Kimberly Regenesis, LLC v. Lee County,44 the plaintiff noticed the deposition of a county commissioner in a disability-discrimination case. The county moved for a protective order, arguing that the commissioner had quasi-judicial immunity from discovery, but the commissioner did not. When the district denied the protective-order motion, the county appealed. The Eleventh Circuit held that the county lacked Article III standing to appeal because any immunity belonged solely to the commissioner, not the county, so the county was not adversely affected by the order.45

  1. The Original Party Does Not Appeal, An Intervenor Does Appeal, But the Intervenor Lacks Independent Standing

Diamond v. Charles46 and Hollingsworth v. Perry47 each illustrate how the appellant must personally stand to obtain a concrete benefit from a favorable appellate ruling – and the corollary that when only an intervenor appeals, the intervenor must personally stand to gain a concrete benefit. In Diamond, plaintiffs, challenging the constitutionality of an Illinois law restricting abortion, sued state officials charged with enforcing it. The would-be appellant, pediatrician Eugene Diamond, intervened as a defendant supporting the law. The district court enjoined enforcement of certain provisions but not others; all parties appealed; and the court of appeals affirmed and expanded the injunction. Diamond appealed to the Supreme Court, but the state did not.

The Supreme Court held that Diamond lacked Article III standing to prosecute the appeal. To continue the suit in the absence of the defendant state, Diamond, himself, had to satisfy Article III.48 None of the benefits he hoped to achieve through a favorable ruling, the Court explained, satisfied Article III. If the Court held the Illinois law constitutional, Diamond could not compel the state to enforce the law. A private citizen lacks a cognizable interest in the prosecution of someone else.49 Nor did he have a concrete interest on the theory that a law banning abortion would yield more live births and, eventually, more patients for him as a pediatrician. That benefit was speculative.50 His desire, as a doctor, to litigate the standards that should apply to physicians practicing abortion did not suffice, because “Article III requires more than a desire to vindicate value interests.”51 In short, “Diamond has an interest, but no direct stake, in the abortion process” and his “abstract concern … does not substitute for the concrete injury required by Art. III.”52

In Hollingsworth v. Perry,53 California state voters had passed a ballot initiative amending the state constitution to preclude same-sex marriage. Plaintiffs, same-sex couples who wanted to marry, sued in federal court, contending the state constitutional amendment violated the Due Process and Equal Protection Clauses of the Fourteenth Amendment. They named as defendants California’s governor and other state and local officials charged with enforcing California’s marriage laws. The officials refused to defend the law, so the district court allowed the initiative’s proponents to intervene to defend it. After trial, the district court declared the amendment unconstitutional and enjoined the public officials named as defendants from enforcing it. Those officials did not appeal, but the intervening initiative proponents did. The California Supreme Court meanwhile held that official proponents of a ballot initiative have authority under state law to assert the state’s interest in defending the constitutionality of the initiative when public officials refuse to do so. The court of appeals held that the intervenors had standing to defend the law and affirmed the district court’s order on the merits.

The Supreme Court reversed, holding that the intervening proponents did not have Article III standing to appeal. The Court reiterated that standing “must be met by persons seeking appellate review, just as it must be met by persons appearing in courts of first instance.”54 It explained that plaintiffs had standing to file the case in the district court, against the officials responsible for enforcing the state constitutional amendment. But once the district court issued its order, the Court held, the plaintiffs no longer had any injury to redress. The state officials had not appealed. The “only individuals who sought to appeal” were the ballot proponents. But they had not been ordered to do or refrain from doing anything. Their only interest was to vindicate the validity of a generally-applicable California law. Under settled law, the Court continued, such a “generalized grievance,” no matter how sincere, is insufficient to confer Article III standing.55 The intervenors had no “personal stake” in defending the law that was distinguishable from the general interest of every California citizen, which was not a “particularized interest” sufficient to create a case or controversy under Article III.56 Even though the California Supreme Court had held that the initiative proponents could assert the state’s interest, “standing in federal court is a question of federal law, not state law. And no matter its reasons, the fact that a State thinks a private party should have standing to seek relief for a generalized grievance cannot override our settled law to the contrary.”57

  1. The Appellant’s Only Remaining Interest is Overturning an Attorney-Fee Award

Diamond and Lewis v. Continental Bank Corp.58 also illustrate that wanting to overturn an attorney-fee award is not enough to confer standing to appeal the underlying substantive decision.

In Diamond, the Court held that petitioner Diamond did not have standing on the merits, as already discussed. The Court then held that Diamond did not have Article III standing to appeal on the ground that a successful appeal would overturn the attorney-fee award against him. The district court had ordered him, as a losing defendant, to pay attorney fees of the prevailing plaintiffs. That award would be overturned if the Supreme Court reinstated the law on appeal. The Supreme Court held that even this concrete, direct pecuniary interest in the outcome of the appeal did not provide Article III standing. Standing, the Court held, “requires an injury with a nexus to the substantive character of the statute or regulation at issue” but the “fee award … bears no relation to the statute whose constitutionality is at issue here…. [T]he mere fact that continued adjudication would provide a remedy for an injury that is only a byproduct of the suit itself does not mean that the injury is cognizable under Art. III.”59

Lewis similarly holds that an interest in attorney fees is not enough to satisfy Article III. Continental Bank, an Illinois bank holding company, applied to Florida to establish and operate an industrial savings bank. The Florida state controller, Lewis, refused to process the application because two state statutes prohibited out-of-state holding companies from operating industrial savings banks. Continental sued Lewis in federal court, claiming Florida’s statutes violated the Commerce Clause of the United States Constitution. The district court agreed with Continental and ordered Lewis to process the application. Lewis appealed, and the court of appeals affirmed. But while the appeal was pending, Congress changed the governing federal statute so that it now authorized states to prohibit out-of-state ownership of the kind of bank Continental wanted to open. The Supreme Court held the Commerce Clause challenge moot because Florida’s statutes were now authorized by a federal statute.60 And just as Diamond had held that an interest in overturning an attorney-fee award was not enough to confer Article III standing, the Court held that Continental’s interest in preserving its attorney-fee award as a prevailing party also did not keep the case alive. The “interest in attorney’s fees is, of course, insufficient to create an Article III case or controversy where none exists on the merits of the underlying claim.”61

These holdings articulating that Article III is not satisfied by a litigant’s interest in an attorney-fee award are hard to reconcile with the Court’s classic and still-good-law holding that a class representative does have a sufficient Article III stake to appeal denial of class certification at the end of the case, even though the class representative’s own claim has been adjudicated. The Court held that the class representative’s interest in shifting attorney fees to absent class members, by obtaining class certification, was a sufficient stake to satisfy Article III.62 It is difficult to understand why a plaintiff’s interest in obtaining attorney fees from a defendant, or a defendant’s interest in overturning an attorney-fee award against itself, is insufficient, but a plaintiff’s interest in forcing other plaintiffs to bear some of the attorney fees is sufficient.

  1. The Appellant’s Personal Stake Disappears During the Litigation

Sometimes the plaintiff’s personal stake, which conferred Article III standing at the commencement of the litigation, disappears during the litigation or on appeal. But “[t]he ‘case-or-controversy requirement subsists through all stages of federal judicial proceedings, trial and appellate.’”63 As such, the Supreme Court has consistently held that there is no longer an Article III case or controversy when the appellant’s personal stake disappears during an appeal.

Wittman v. Personhuballah64 illustrates this holding. After the Commonwealth of Virginia adopted new congressional districts to reflect the results of the 2010 census, voters in one of the affected districts sued, claiming the redrawing of their district’s lines was an unconstitutional racial gerrymander. Members of Congress from several Virginia districts intervened to defend the redistricting. A three-judge district court agreed with the voters and set a deadline for the Virginia Legislature to adopt a new redistricting plan. The Commonwealth of Virginia did not appeal, but the intervening members of Congress did. The only parties seeking to defend the redistricting plan, and seeking review of the district court’s conclusion that it was unconstitutional, were the intervening members of Congress. While the appeal was pending, the Virginia Legislature failed to meet the district court’s redistricting deadline, so a special master appointed by the district court developed a new districting plan. The Supreme Court held that because of events during the litigation, “the intervenors now lack standing to pursue the appeal.”65

One of the three members of Congress claiming standing was Representative Randy Forbes, the incumbent in District 4. He had maintained that unless the legislature’s plan was upheld, his district would be transformed from a 48% Democratic district into a safe 60% Democratic district, harming his reelection chances there. As a result, he said, he was running in District 2 instead. He had maintained that the Supreme Court’s decision would make a concrete difference. He would run in District 2 under the current plan, but District 4 if the legislature’s plan were reinstated. His attorney ultimately informed the Court that Forbes would seek election in District 2 regardless of whether the legislature’s plan were reinstated. The Court held that given this letter, “we do not see how any injury that Forbes might have suffered ‘is likely to be redressed by a favorable judicial decision.’”66 Redressability is an essential element of standing, as detailed above. The Court explained that it “need not decide whether, at the time he first intervened, Representative Forbes possessed standing. Regardless, he does not possess standing now.”67

Still, the two other appealing members of Congress – representing Districts 1 and 7 – claimed they had standing to challenge the district court’s order because, unless the legislature’s plan were reinstated, a portion of their electorate would be replaced with voters unfavorable to them, reducing their likelihood of winning reelection. The Supreme Court rejected this argument because the record contained no evidence supporting it. The Court explained that “‘the party invoking federal jurisdiction bears the burden of establishing’ that he has suffered an injury by submitting ‘affidavit[s] or other evidence.’”68 When challenged by a court or opposing party concerned about standing, “the party invoking the court’s jurisdiction cannot simply allege a nonobvious harm, without more.”69 The representatives claimed that unless the legislature’s plan were reinstated, “their districts will be flooded with Democratic voters and their chances of reelection will accordingly be reduced,” but they “have not identified record evidence establishing their alleged harm.”70 Given the holdings about the three representatives, “we conclude that none of the intervenors has standing to bring an appeal in this case. We consequently lack jurisdiction and therefore dismiss this appeal.”71

Trump v. New York72 also treated the disappearance of the plaintiff’s personal stake as a lack of standing to appeal. Trump concerned the decennial census of population in the United States. The President had issued a memorandum announcing a policy of excluding aliens who were not lawfully in the country from the decennial census. The memorandum directed the Secretary of Commerce to report, to the extent possible, not only the tabulation of population, but information permitting the President to carry out the new policy. Several plaintiffs, including the State of New York, challenged the memorandum. The district court held that the plaintiffs had Article III standing because the memorandum was chilling aliens and their families from responding to the census, degrading the quality of census data used to allocate federal funds and forcing plaintiffs to spend resources to combat the chilling effect. The district court enjoined the Secretary from reporting the newly requested information. The government appealed to the Supreme Court.

The Supreme Court held that the appeal no longer presented an Article III case or controversy. The chilling effect that had supported standing in the district court no longer existed, because the census response period had ended.73 The threatened impact of an unlawful apportionment on congressional representation and federal funding did not suffice, because it was not yet clear whether or how the President’s policy would be implemented or what effect it would have on apportionment.74 The Supreme Court concluded that under the current facts, the plaintiffs lacked Article III standing, and the case was not ripe.75

  1. The Appellant Obtained All its Requested Relief in the Trial Court, But Wants Review of Alternative Grounds or Unfavorable Findings

Though not technically grounded in Article III, a closely-related doctrine normally precludes appeal unless the appellant is “aggrieved” by the judgment or order being appealed. A party that received all the relief it requested in the trial court normally cannot appeal because the relief was granted on one ground rather than another,76 or to review unfavorable findings unnecessary to the judgment.77 “Ordinarily, only a party aggrieved by a judgment or order of a district court may exercise the statutory right to appeal therefrom. A party who receives all that he has sought generally is not aggrieved by the judgment affording the relief and cannot appeal from it.”78 The “rule is one of federal appellate practice, however, derived from the statutes granting appellate jurisdiction and the historic practices of the appellate courts; it does not have its source in the jurisdictional limitations of Art. III.”79 So “[i]n an appropriate case, appeal may be permitted from an adverse ruling collateral to the judgment on the merits at the behest of the party who has prevailed on the merits, so long as that party retains a stake in the appeal satisfying the requirements of Art. III.”80

The prudential “aggrieved” requirement may be ripe for reappraisal. The most-commonly-used appeal statutes do not say the appellant must be aggrieved. The Supreme Court’s 2014 decision in Lexmark International v. Static Control Components, Inc. suggests that courts should not apply “prudential” doctrines to conclude that parties lack standing, but should decide non-constitutional standing issues as a matter of statutory interpretation.81 A judge-made “aggrieved” requirement that limits who can appeal, but is not found in the Constitution or statute, is arguably in tension with Lexmark.82 Several lower federal appellate courts have grappled with how Lexmark applies to the judge-made “person-aggrieved” limitation in bankruptcy appeals. Though sometimes changing terminology in response to Lexmark, they have continued to apply the person-aggrieved requirement.83

  1. The Appellant’s Interest is in Advancing Values or Vindicating The Rule of Law

The personal stake required by Article III must be concrete, and the issue must particularly affect the party invoking federal-court jurisdiction.84 Consequently, one cannot appeal to vindicate value interests,85 the rule of law, or to obtain psychological satisfaction.

The Supreme Court’s decision in Hollingsworth v. Perry86 illustrates this principle. As discussed above, state voters passed a ballot initiative amending the state constitution to define marriage as a union between a man and a woman. The district court held the amendment unconstitutional and enjoined the defendant officials from enforcing it. The proponents appealed, but the state officials did not. The Ninth Circuit affirmed the district court’s order. The Supreme Court reversed, concluding that the proponents did not have standing to appeal. Whereas a “litigant must seek relief for an injury that affects him in a ‘personal and individual way,’” and “possess a ‘direct stake in the outcome of the case,’” the proponents had no “‘direct stake’ in the outcome of their appeal.”87 “Their only interest in having the District Court order reversed was to vindicate the constitutional validity of a generally applicable California law” – and such a “generalized grievance,” held in common with the public at large, is “insufficient to confer standing.”88 Vindication of “value interests,” the Court repeated, is “not a ‘particularized’ interest sufficient to create a case or controversy under Article III.”89

Carl F. Schier PLC v. Nathan (In re Capital Contracting Co.)90 illustrates many of the limits on Article III standing to appeal. The facts are complicated, but the Article III holding is simple. The would-be appellant, Carl F. Schier LLP, was a law firm. It had represented the bankruptcy debtor, Capital Contracting, in a state-court lawsuit. Capital Contracting filed bankruptcy, and in the bankruptcy proceedings, Schier filed a claim for legal fees. The bankruptcy trustee then countersued Schier, claiming Schier had committed malpractice in the state court. They settled, and Schier withdrew its fee claim. When the bankruptcy trustee filed a final report, Schier objected that the appeal in the state-court litigation was a valuable asset of the bankruptcy estate that the trustee had failed to administer or abandon. The bankruptcy judge overruled the objection and approved the report, and Schier appealed to the district court. The district court dismissed the appeal, and Schier appealed to the Sixth Circuit.

The Sixth Circuit held that Schier lacked Article III standing to appeal to the district court.91 It recited that to establish injury in fact under Article III, the plaintiff must show an invasion of a legally protected interest that is concrete and particularized and actual or imminent, not conjectural or hypothetical. On appeal, the focus shifts to injury caused to the appellant by the judgment, rather than caused to the plaintiff by the underlying facts.92 The court concluded that “Schier has not shown that it suffered an Article III injury from the bankruptcy court’s order approving the trustee’s final report” despite the report’s failure to list as an asset the right to appeal in the state-court lawsuit.93 “[T]he failure to list those rights could not financially harm Schier” because Schier had settled with the trustee and withdrawn its attorney fee claim.94 Even if a state-court appeal would reduce the state-court judgment against Capital Contracting to zero (and, in the process, vindicate Schier’s position that it had not committed malpractice), “that reversal could not provide Schier with one cent more in attorney’s fees,” since it had withdrawn its fee claim.95 The bankruptcy court’s order did not affect Schier in a “personal and individual way.”96 Schier’s “strong feelings … over the validity of its proposed appeal” did not provide standing, because “Article III courts are not the place for ‘concerned bystanders’ to vindicate ‘value interests.’”97 Schier could not gain standing by saying the trustee and bankruptcy court were required to fix the purported error in omitting the appeal rights as an asset, because “vindication of the rule of law” is not a basis for Article III standing, nor is Schier’s “psychic satisfaction” from enforcement of the law.98

  1. The Facts Claimed to Establish Standing are Not Set Forth in the Record

Standing to appeal creates a potential trap for the unwary. Appeals are typically decided on the factual record made before the trial court. But the appellant’s lack of standing to appeal may not come into focus until the appeal is well under way. Standing to appeal sometimes fails because the facts relied on to establish it are not in the record.

In Bender v. Williamsport Area School District,99 students contended that the school district violated the First Amendment by refusing to allow a student religious club to use school facilities on the same basis as other student clubs. The district court ruled in the students’ favor. The school district did not appeal, but one member of the school board (Youngman) did appeal. No one raised any question about his standing in the court of appeals, which ruled in his favor. After the Supreme Court granted the students’ petition for certiorari, it noticed that neither the school board nor any defendant besides Youngman opposed the students’ position, and only Youngman had appealed. The Supreme Court held that he lacked standing to appeal. He did not have standing to appeal in his capacity as a member of the school board, because he was only one member of the board, and the board, as a whole, had decided not to appeal.100 His alternate theory of standing contended that the judgment injured him in his personal capacity as parent of a child in the school. The Supreme Court rejected that argument, partly because the record did not contain evidence of that injury. As relevant here, it explained that the “presumption … is that the court below was without jurisdiction unless the contrary appears affirmatively from the record,” that the “factual predicate may not be gleaned from the briefs and arguments themselves,” and “[t]here is nothing in the record indicating anything about Mr. Youngman’s status as a parent” or that “he or his children have suffered any injury as a result of the District Court’s judgment, or as a result of the activities of [the club] since subsequent to the entry of that judgment.”101

D. Appeals Allowed Despite Superficial Absence of Standing

Even where these principles would normally require dismissal for lack of Article III standing, the Supreme Court, in some instances, allows appeals for policy reasons. These holdings apparently confirm at least the first part of Oliver Wendell Holmes’ famous observation that “[t]he life of the law has not been logic; it has been experience.”102

  1. Appeal by Individual Plaintiff, Who Has Received All Possible Individual Relief, From Denial of Class Certification

In 1980, the Supreme Court held in Deposit Guaranty National Bank v. Roper103 that if class certification is denied and individual judgment is eventually entered in the plaintiff’s favor, the plaintiff can then appeal the denial of class certification in a post-judgment appeal. Roper held that the plaintiffs, despite having judgment in their favor for all the damages they could hope to obtain, had Article III standing to challenge denial of class certification because they had an economic interest in shifting part of their attorney fees to class members (which required class certification).104

Roper is limited to situations where the appellant asserts a continuing economic interest in shifting attorney fees and costs to others. Where the appellant asserts no such interest, Roper does not apply.105 The Supreme Court has also strongly suggested that Roper is unique to class actions. It likely does not apply even to the superficially similar issue of denial of collective-action status under the Fair Labor Standards Act.106

While Roper’s holding has diminished in importance given the subsequent enactment of Federal Rule of Civil Procedure 23(f) (authorizing courts to allow immediate appeal from denial of class certification), it creates an apparent inconsistency in Article III dogma. The usual rule is that Article III is not satisfied by the appellant’s interest in either recovering, or avoiding having to pay, attorney fees incurred in the litigation itself. The Roper opinion makes clear that the Court was animated largely by a desire to prevent defendants from “picking off” class representatives by offering the representatives full relief to moot their individual claims, denying them the injury needed to satisfy Article III on appeal and obtain class certification.107 The Court apparently seized on the only available injury to satisfy Article III. Regardless, Roper makes the appellant’s desire to shift attorney fees sufficient to satisfy Article III in the setting of denial of class certification, when it is insufficient elsewhere. The Supreme Court has noted, but not resolved, the inconsistency.108

  1. Appellant Prevailed on the Judgment, But is Allowed to Appeal for Policy Reasons

Normally, a party that received an entirely favorable judgment cannot appeal to obtain review of an unfavorable determination, because of the statutory rule that a party must be aggrieved by the judgment.109 However, the Supreme Court has sometimes recognized exceptions to this rule when there is a “policy reason … of sufficient importance to allow an appeal” by the winner below.110

One example involves patent cases. When a patentholder sues a defendant for infringement, the defendant can defend on the grounds, among others, that it is not infringing the patent or that the patent is invalid. Suppose the trial court finds that the patent is valid but the defendant did not infringe it. Can the defendant appeal the conclusion that the patent is valid? Yes, but the scope of review depends on the procedural setting.

Electrical Fittings Corp. v. Thomas Betts Co.111 was a patent-infringement suit. The defendant raised an affirmative defense that the patent was invalid. The trial court held one claim of the patent to be valid, but not infringed. The successful defendant appealed, seeking reversal of the finding that the claim was valid. The court of appeals dismissed the appeal based on the rule that the prevailing party cannot appeal a judgment in its favor. The Supreme Court reversed. It held that the prevailing defendant could not force the appellate court to review the finding that the patent was valid, which did not affect the outcome as the defendant had not infringed the patent anyway. But, the Court held, the defendant was entitled to have the validity decision eliminated from the trial court’s judgment.112

As the Court later explained, in Electrical Fittings, “policy considerations permitted an appeal.”113 The finding that the patent was valid might scare other potential infringers into complying with the patent rather than challenging it, and there was a public interest in eliminating invalid patents.114 The dispute was not moot in the Article III sense, because the defendant still “alleged a stake in the outcome.”115 And when the defendant files a counterclaim seeking a declaratory judgment that the patent is invalid, that counterclaim provides a separate basis for jurisdiction, and the court has jurisdiction to entertain defendants appeal from the validity determination.116

Another policy-driven exception to the requirement that a prevailing party cannot appeal concerns civil-rights cases. A public official sued for damages for a civil-rights violation under 42 U.S.C. § 1983 can defend not only on the basis that his or her conduct did not violate the plaintiff’s constitutional rights, but also based on qualified immunity – that it was not clearly established that such conduct violated constitutional rights. Suppose an official is sued for a civil-rights violation, is found to have violated the plaintiff’s rights, but obtains a defense judgment based on qualified immunity. Can the official appeal to obtain review of the finding that he or she violated the plaintiff’s rights? The Supreme Court has held that at least the Supreme Court itself can review such an appeal, if the official regularly engages in such conduct as part of her job. In that event, the official retains the personal stake required by Article III and both she, the plaintiff, and the public all have an interest in resolving going forward whether the conduct violates the Constitution.117 An official who obtains a defense judgment in the trial court on the basis of qualified immunity can appeal to challenge the holding that her conduct violated the Constitution. Otherwise, the holding that such conduct violated the Constitution would affect the official’s and others’ conduct going forward, and there is a public interest in moving forward with such an appeal.118 The Court left open whether federal courts of appeals can review such appeals.119

The Electrical Fittings, Camreta and Roper exceptions are narrow. But, they are not necessarily exhaustive. A party that received an entirely favorable judgment in the trial court, but wants review of an unfavorable decision reached by the trial court, should consider whether the issue to be reviewed affects an important public interest going forward such that it should be resolved or the adverse finding, at least, eliminated. If so, and if the party has a continued personal stake required by Article III, there could be a policy-based reason for allowing it to appeal.

III. Conclusion

“Chance favors the prepared mind.”120 The lawyer who knows the standing requirements, and pauses to ask why the appellant has standing, will occasionally be rewarded with a silver bullet that stops the adversary’s appeal cold. Occasionally the careful lawyer may also discover a fatal defect in her own appeal, or even a way to cure the standing problem, before spending the client’s money on an appeal that will be dismissed. Either way, knowing the Article III standing requirements can give you an edge, or at least give you something to talk about at law-nerd conventions.

View Article

Greater specifics:

  1. I have social security. Defendant constantly threatens social security
  2. I have Medicare. Defendant constantly threatens Medicare.
  3. I run a charity that serves the poor and immigrants. Defendant constantly threatens to cut funding to these NGOs, and has in fact, cut grants and programs to the indigent and to immigrant charity NGOs serving those groups.
  4. I get food stamps. Defendant constantly threatens that and plans to cut food stamps are in the works
  5. I am a voter. Trump constantly threatens voting rights and to disenfranchise millions of US citizens.
  6. Sanctuary City. I have lived in Chicago for 30+ years since 1989 (except for 3 years in North Carolina). Defendant constantly threatens the rights of those that live in Sanctuary Cities and their funding.
  7. Wrongful firings of govt lawyers that protect our rights. Defendant’s DOJ recently fired Maureen Comey, daughter of James Comey (who was previously fired for not pledging allegiance to Defendant). Maureen Comey had been prosecuting the Defendant in the Epstein case (his possible murder and disappearing client list)
  8. Membership in organizations that protect immigrants, medicare, social security, food stamps, Sanctuary Cities, women’s rights (I am/was a member of NOW and Feminist Majority) and reproductive rights and rights to health care, access to Planned Parenthood which he constantly threatens. I still have 3 weeks to join some more of these to give me standing.
    Medicarerights.org looks good. I will like and follow to join (new web based forms of membership?)
    ACLU will join or at least like and follow on Instagram and FB
    NOW National Organization of Women. Like and follow
    Feminist Majority. Like and follow
    Planned Parenthood. Signed up to volunteer to help Planned Parenthood as a volunteer. Planned Parenthood is constantly under attack by Defendant and his thugs and goons and cronies.
  9. I am a Medicare insurance recipient,

what Google AI says about Medicare status under Defendant’s present administration:

Based on the latest reports available from July 2025, there are several actions and proposals by the Trump administration that could be perceived as “cuts” or have a negative impact on Medicare, along with statements emphasizing protection of the program:
Potential Medicare Cuts Triggered by Deficit: A budget reconciliation bill signed into law by President Trump in July 2025, while focused on various areas, including tax cuts, is projected to increase the deficit significantly. The Committee for a Responsible Federal Budget notes that this could trigger mandatory spending cuts to Medicare under the Statutory Pay-As-You-Go Act of 2010. The Medicare Rights Center estimates these cuts could total nearly $500 billion over the next decade, including a $45 billion reduction next year alone, unless Congress steps in to prevent them.
Weakened Medicare Advantage Oversight: The Trump administration’s Centers for Medicare & Medicaid Services (CMS) issued a final rule for the 2026 Medicare Advantage (MA) program that reportedly omitted several consumer protections that were part of a previous proposed rule, according to the Center for Medicare Advocacy.
Restricted Access to Care through Medicare Advantage: Project 2025, which aims to prepare for a second Trump term, proposes making Medicare Advantage (MA) the default enrollment option for all Medicare beneficiaries. The Center for American Progress warns that this could restrict older Americans’ access to care, limit choices, require prior authorization for services, and deny recommended care. They also estimate that a higher MA enrollment could lead to billions in overpayments to corporations at the expense of Medicare enrollees and taxpayers.
Faster Clawback of Hospital Payments: The Trump administration plans to accelerate the clawback of $7.8 billion in Medicare payments to hospitals related to the 340B drug program. The American Hospital Association expressed concerns about this accelerated timeline and potential further cuts based on drug acquisition cost surveys.
Executive Actions Impacting Drug Costs: The Trump administration rescinded an executive order designed to lower prescription drug costs for Medicare and Medicaid recipients, removing a $2 copayment cap on generic medications for Medicare beneficiaries and terminating a pilot program assisting states with expensive cell and gene therapies, according to Congressman Steve Cohen.
However, The White House published a fact-check article stating that President Trump would always protect Social Security, Medicare, or Medicaid benefits, and that the administration would not cut these programs. They highlight President Trump’s repeated statements to that effect and emphasize the administration’s focus on eliminating fraud and waste in entitlement programs, citing estimates from the U.S. Government Accountability Office regarding improper payments in Medicare and Medicaid.
It’s important to consider that the interpretations of these actions and proposals, and their potential impact, can differ depending on the perspective and priorities of different organizations and individuals.

All good judicial notice.

From KKD: why is Pasluka still on the loose in Chicago

Next Pasulka (Sex for Custody) Court Date: Wednesday, June 11, 2025 for Status

kenneth ditkowsky3:35 PM (39 minutes ago)

It is amazing that clout heavy politician and Attorney Pasulka is still on the loose.    Can the politicians wait out the situation until prosecution become impossible.     Why is law enforcement (STATES ATTORNEY) not pushing the case to trial?    Why is the judge allowing Pasulka to wait out the lives of his victims?    Where is the Bar Association?
Of course we all know the “skinny!”    The reason is the same that the Court appointed guardians are able to prey on the elderly and their families.     The delay in this case is more proof of the corruption in the Courts and an affirmation that OPERATION GREYLORD’s termination was grossly premature.     
I appreciate being kept informed on this case of predation in the Circuit Court of Cook County, Illinois.    Corruption is subtle, difficult to prove and almost impossible to get resolved in the America public’s favor.    Pasulka’s  averred sex for child custody scam is just as venal and dishonorable as Financial Elder Abuse (720 ILCS 5/17 – 56) and both just as difficult to get prosecuted.
I wonder, if the delay in this case may be a cover for illicit sexual misconduct by some of the presiding Judges in these Pasulka child custody cases!     John Kass’ article has disappeared from Goggle  – this is the article that exposed how to become a Judge in Cook County, Illinois.       

Ken Ditkowsky

from a Chicago Trib Article

Chicago family lawyer charged with sexually attacking a client and two associates at law firm

Author

By Sophie Sherry

UPDATED: September 1, 2020 at 12:11 AM CDT

A prominent Chicago family attorney has been charged with sexually attacking a client and two associates at his law firm.

David Pasulka, 61, is accused of sexually assaulting one of the associates at least five times in the firm’s offices, prosecutors said in court Monday.

He’s also charged with inappropriately touching another associate more than 60 times, and sexually abusing a client after telling her she would need to “do a little extra” in order to gain custody of her children.

Pasulka faces one count of criminal sexual assault, one count of aggravated criminal sexual abuse and one count of criminal sexual abuse. A judge ordered Pasulka held on $10,000 bond, rejecting prosecutors’ argument that he be denied bail.

The allegations against Pasulka were made public late July in a complaint filed by the Illinois Attorney Registration and Disciplinary Commission.

Pasulka was taken off Cook County’s list of approved court-appointed child representatives by the presiding judge of the Domestic Relations Division, according to an internal email provided by the Office of the Chief Judge.

Grace Dickler also suspended Pasulka’s participation in any other of the division’s court committees.

The criminal charges accuse Pasulka of sexually assaulting a female lawyer at his firm several times over a six-year period beginning in 2012. Prosecutors said Pasulka would call the women into his office and remind her that he had the power to hurt her career if she ever complained publicly.

Another female lawyer at the firm said she was subjected many times to fondling, rubbing and touching while at work between 2015 and 2017.

In the third case, Pasulka allegedly demanded sex in return for a favorable custody recommendation in March of 2017.

Pasulka had been appointed to represent two children in a divorce case. During a private meeting with the children’s mother, Pasulka began inappropriately touching her, prosecutors said.

Pasulka told her she needed to be a “good girl” and “do a little extra” if she wanted custody of her children, prosecutors said. He then told the mother to return to the office that evening.

Instead, the mother told her own attorney that Pasulka had inappropriately touched her and, four days later, she reported the incident to police.

ssherry@chicagotribune.com

Originally Published: August 31, 2020 at 8:11 PM CDT

From JMD: write your elected federal senators and congresspeople and demand the 238 detainees be returned for due process proceedings

here are my sample letters and you can google contact my senator or congress person and click on the contact link. same for your governor.

JUSTICE 4 EVERY1, NFP

5958A N. Milwaukee Ave JoAnne Denison, Executive Director
Chicago, IL 60630 Cell Phone 773-255-7608
ph 312-553-1300 http://www.justice4every1.com
fax 773-423-4455 JoAnne@Justice4Every1.com
A social Justice Services NFP

To: Illinois Gov. Pritzker

April 18, 2025–Good Friday so do something good!

RE: Immediate demand to return 238 wrongfully deported immigrants from a torture prison in El Salvador on 3/15/25

Dear Gov. Pritzker;

This is to demand that your offices immediately contact the nefarious President of El Salvador and his offices and work together to return some 238 wrongfully deported immigrants to the US where they should be provided with a skilled immigration lawyer to defend their immigration cases.

This is a dire travesty of justice and it undermines democracy, human and civil rights, not just in the US, but throughout the world.

Almost none of these men have committed any crime, many had green (LPR) cards and all of them were entitled to notice, a petition and a hearing prior to deportation and none of them received that. In essence, they were summarily kidnaped to El Salvador.

The US Supreme court has already agreed with such an analysis and has made the following finding:

“The order properly requires the government to ‘facilitate’ Abrego Garcia’s release from custody in El Salvador and to ensure that his case is handled as it would have been had he not been improperly sent to El Salvador,” the Supreme Court’s ruling said.
https://www.supremecourt.gov/opinions/24pdf/24a949_lkhn.pdf, p.2.

As a elected representative of Illinois voters , I am expecting that you and your offices work assiduously to remedy this situation since the present Trump administration is clearly infirm and has dilapidated into some deep dark abyss of full blown incessant unmitigated ineptitude.

The future of US and world democracy depends on your work, so please do it with all alacrity and earnest.

I thank you for your work to help these detainees

Sincerely,

Joanne Denison
Joanne Denison
Executive Director,
Justice 4 Every1, NFP

and for your congresspersons/senators:

JUSTICE 4 EVERY1, NFP

5958A N. Milwaukee Ave JoAnne Denison, Executive Director
Chicago, IL 60630 Cell Phone 773-255-7608
ph 312-553-1300 http://www.justice4every1.com
fax 773-423-4455 JoAnne@Justice4Every1.com
A social Justice Services NFP

To: All US Senators &
Congress People
via email or fax
Washington DC 20510

April 18, 2025–Good Friday so do something good!

RE: Immediate demand to return 238 wrongfully deported immigrants from a torture prison in El Salvador on 3/15/25

Dear Senator or Congressperson;

This is to demand that your offices immediately contact the nefarious President of El Salvador and his offices and work together to return some 238 wrongfully deported immigrants to the US where they should be provided with a skilled immigration lawyer to defend their immigration cases.

This is a dire travesty of justice and it undermines democracy, human and civil rights, not just in the US, but throughout the world.

Almost none of these men have committed any crime, many had green (LPR) cards and all of them were entitled to notice, a petition and a hearing prior to deportation and none of them received that. In essence, they were summarily kidnaped to El Salvador.

The US Supreme court has already agreed with such an analysis and has made the following finding:

“The order properly requires the government to ‘facilitate’ Abrego Garcia’s release from custody in El Salvador and to ensure that his case is handled as it would have been had he not been improperly sent to El Salvador,” the Supreme Court’s ruling said.
https://www.supremecourt.gov/opinions/24pdf/24a949_lkhn.pdf, p.2.

As a elected federal representative of US voters , I am expecting that you and your offices work assiduously to remedy this situation since the present administration is clearly infirm and has dilapidated into some deep dark abyss of full blown incessant unmitigated ineptitude.

The future of US and world democracy depends on your work, so please do it with all alacrity and earnest.
I greatly appreciate your efforts in this matter.

Sincerely,

Joanne Denison
Joanne Denison
Executive Director,
Justice 4 Every1, NFP

From PP: ICE indiscriminately detains US citizens and green card holders and keeps no stats on their wrongful acts

Some Americans Have Already Been Caught in Trump’s Immigration Dragnet. More Will Be.

by Nicole Foy

ProPublica is a Pulitzer Prize-winning investigative newsroom. Sign up for The Big Story newsletter to receive stories like this one in your inbox.

https://www.propublica.org/article/more-americans-will-be-caught-up-trump-immigration-raids

Series: The New Immigration:How Recent Arrivals at the Border Have Changed the Country and Its Attitudes

More in this series

About a week after President Donald Trump took office, Jonathan Guerrero was sitting at the Philadelphia car wash where he works when immigration agents burst in.

The agents didn’t say why they were there and didn’t show their badges, Guerrero recalled. So the 21-year-old didn’t get a chance to explain that although his parents were from Mexico, he had been born right there in Philadelphia.

“They looked at me and made me put my hands up without letting me explain that I’m from here,” Guerrero said.

An agent pointed his gun at Guerrero and handcuffed him. Then they brought in other car wash workers, including Guerrero’s father, who is undocumented. When agents began checking IDs, they finally noticed that Guerrero was a citizen and quickly let him go.

“I said, ‘Look, man, I don’t know who these guys are and what they’re doing,” said Guerrero. “With anything law-related, I just stay quiet.”

Less than two months into the new Trump administration, there has been a small but steady beat of reported cases like Guerrero’s.

In Utah, agents pulled over and detained a 20-year-old American after he honked at them. In New Mexico, a member of the Mescalero Apache nation more than two hours from the border was questioned by agents who demanded to see their passport. Earlier this month, a Trump voter in Virginia was pulled over and handcuffed by gun-wielding immigration agents.

In Texas, a 10-year-old citizen recovering from brain cancer was detained at a Border Patrol checkpoint and eventually deported to Mexico with her undocumented parents and other citizen siblings in February. The family said it was rushing her to an emergency checkup in Houston when Border Patrol agents ignored a hospital letter that the family had used to go through checkpoints before. An agency spokesperson said the family’s account was inaccurate but declined to provide specifics.

It’s unclear exactly how many citizens have faced the Trump administration’s dragnet so far. And while previous administrations have mistakenly held Americans too, there’s no firm count of those incidents either.

The government does not release figures on citizens who have been held by immigration authorities. Neither Customs and Border Protection nor Immigration and Customs Enforcement, which handles interior immigration enforcement, would provide numbers to ProPublica on how many Americans have been mistakenly detained.

Experts and advocates say that what is clear to them is that Trump’s aggressive immigration policies — such as arrest quotas for enforcement agents — make it likely that more citizens will get caught up in immigration sweeps.

“It’s really everyone — not just noncitizens or undocumented people — who are in danger of having their liberty violated in this kind of mass deportation machinery,” said Cody Wofsy, the deputy director of the Immigrants’ Rights Project at the American Civil Liberties Union.

Asked about reports of Americans getting caught up in administration’s enforcement policies, an ICE spokesperson told ProPublica in a written statement that agents are allowed to ask for citizens’ identification: “Any US immigration officer has authority to question, without warrant, any alien or person believed to be an alien concerning his or her right to be, or to remain, in the United States.” The agency did not respond to questions about specific cases.

The U.S. has gone through spasms of detaining and even deporting large numbers of citizens. In the 1930s and 1940s, federal and local authorities forcibly exiled an estimated 1 million Mexican Americans, including hundreds of thousands of American-born children.

Spanning both Obama administrations, an NPR investigation found, immigration authorities asked local authorities to detain about 700 Americans. Meanwhile, a U.S. Government Accountability Office report found that immigration authorities asked to hold roughly 600 likely citizens during Trump’s first term. The GAO also found that Trump actually deported about 70 likely citizens.

The GAO report did not get into any individual cases. But lawsuits brought against federal immigration agencies detail dozens of cases where plaintiffs received a settlement.

When local deputies in Pierce County, Washington, arrested Carlos Rios on suspicion of drunken driving in 2019, not even the fact that he had his U.S. passport could convince the deputies — or the ICE agents who took him into federal custody — that he was a citizen.

Rios, who immigrated from Mexico in the 1980s and became a citizen in 2000, often carried his passport with him in case he picked up a welding job on a Coast Guard ship or a commercial fishing job that took him into international waters. But no one listened to him when Rios insisted repeatedly that he was a citizen and begged Pierce County jail officials and ICE officers to check his bag. Rios ended up being held for a week. ICE did not comment on the case.

Rios received a $125,000 settlement but is still haunted by his time in detention.

“I don’t even have to close my eyes,” Rios said. “I remember every single second.”

There are other, more recent instances too. This January, in the last days of President Joseph Biden’s time in office, Border Patrol conducted raids in Kern County, California, more than four hours from the border.

Among those detained was Ernesto Campos, a U.S. citizen and owner of a Bakersfield landscaping company. Agents stopped Campos’ truck and slashed his tires when he refused to hand over his keys.

At that point, Campos began recording on his phone and protested that he is a U.S. citizen.

In the video, agents said they were arresting Campos for “alien smuggling.” (His undocumented employee was in the truck with Campos.) Border Patrol told a local TV station that agents were also concerned about human trafficking.

Campos has still not been charged. His lawyer said he was held for four hours.

Campos’ case is mentioned in a recent lawsuit by the ACLU of Southern California and the United Farm Workers contending that agents in the same operation detained and handcuffed a 56-year-old grandmother who is a legal permanent resident. The suit argues that Border Patrol agents “went on a fishing expedition” that profiled Latinos and farmworkers.

Asked about Campos’ case and the lawsuit, Customs and Border Protection said it does not comment on ongoing litigation.

While there are a number of fixes the government could make to limit the wrongful detention of citizens, immigration authorities have often failed to follow through.

After a series of lawsuits against the Obama administration, ICE began requiring officers to consult with supervisors before detaining someone who claims to be a citizen, and to not arrest someone if the evidence of citizenship “outweighs evidence to the contrary.” But the GAO report on mistaken detention of citizens noted that ICE wasn’t actually training officers to follow the policy. (In response to the GAO report, ICE said it revised its training materials. It told ProPublica that agents are still following those policies for determining citizenship)

Customs and Border Protection and ICE are not even required to track how often they hold citizens on immigration charges, the GAO found. While ICE agents could note in their database if someone they’ve investigated turns out to be a citizen, the GAO found that they are not required to do so. As a result, records are often wrong and left uncorrected even after agents have been told of a mistake. Someone flagged incorrectly in an ICE database once may be forced to deal with questions about their citizenship for years.

Peter Sean Brown, another U.S. citizen born in Philadelphia, was mistaken more than 20 years ago for a Jamaican national living in the U.S. illegally. When he was later arrested in 2018 for a probation violation, immigration officials requested he be held, despite their own records documenting the case of mistaken identity, his lawyer said.

Brown repeatedly insisted he was a citizen, a claim agents are supposed to immediately review.

“I’M TRYING TO OBTAIN INFORMATION CONCERNING A UNVALID ICE HOLD,” Brown wrote to guards on April 19, 2018, while still detained at the Monroe County jail in Florida. “IM A US CITIZEN…HOW IS THIS EVEN POSSIBLE?”

ICE eventually released him — after three weeks in detention.

Correction

March 19, 2025: This story originally incorrectly referred to an agency that provided statements to ProPublica. It was Customs and Border Protection, not Border Patrol.

Pratheek Rebala contributed research.

From PP: This is what ICE detainees are wanted for: slave labor to make US billionaires rich and richer

An ICE Contractor Is Worth Billions. It’s Still Fighting to Pay Detainees as Little as $1 a Day to Work.

Link to original story: https://www.propublica.org/article/inside-ice-air-deportation-flights?utm_source=sailthru&utm_medium=email&utm_campaign=majorinvestigations&utm_content=feature

by McKenzie Funk

ProPublica is a Pulitzer Prize-winning investigative newsroom. Sign up for The Big Story newsletter to receive stories like this one in your inbox.

The for-profit prison company GEO Group has surged in value under President Donald Trump. Investors are betting big on immigration detention. Its stock price doubled after Election Day.

But despite its soaring fortunes, the $4 billion company continues to resist having to pay detainees more than $1 a day for cleaning facilities where the government has forced them to live.

At the 1,575-bed detention center GEO runs for Immigration and Customs Enforcement in Tacoma, Washington, detainees once prepared meals, washed laundry and scrubbed toilets, doing jobs that would otherwise require 85 full-time employees, the company estimated. The state’s minimum wage at the time was $11 an hour. (It’s now $16.66.) In 2017, Washington sued GEO to enforce it, and in October 2021 a federal jury ruled unanimously in the state’s favor.

This year, GEO and Washington are back in court — for a third time — as the company tries to reverse the earlier decision that sided with the state. GEO has brought in contract cleaners at the Tacoma facility while the case plays out, keeping detainees there from paid work and from having a way to earn commissary money.

The legal battle has national repercussions as the number of ICE detainees around the country rises to its highest level in five years. The vast majority are held in private facilities run by GEO or corporate competitors like CoreCivic. If following state minimum wages becomes the norm, Trump’s immigration crackdown could cost the country even more than it otherwise would — unless private detention centers absorb the cost themselves or decide to cut back on cleaning, which Tacoma detainees have already accused GEO of doing.

GEO frames the lawsuit as a fight over the federal government’s authority to make the laws of the nation. Multiple courts have decided that the Fair Labor Standards Act, which sets the federal minimum wage, does not apply to detained migrants. At issue in the Tacoma case is the state minimum wage.

“Simply put, we believe the State of Washington has unconstitutionally violated the Supremacy Clause of the United States Constitution,” GEO wrote in a news release.

The company did not respond to a request for comment from ProPublica. ICE and CoreCivic declined to comment.

GEO’s latest legal salvo came last month.

A three-judge panel at the 9th U.S. Circuit Court of Appeals had recently affirmed lower courts’ rulings. GEO had to pay state minimum wage at the Tacoma facility. The company was also ordered to hand over $17 million in back wages, plus $6 million for “unjust enrichment.” The combined penalties amounted to less than 1 percent of GEO’s total revenues in 2024.

Rather than pay up, GEO petitioned on Feb. 6 for a rehearing by the full 9th Circuit. In the news release, it vowed to “vigorously pursue all available appeals.”

It isn’t that GEO lacks the ability to pay, the company has made clear in legal filings. Its gross profit from its Tacoma facility, today called the Northwest ICE Processing Center, was about $20 million a year when Washington filed its lawsuit. The company told a judge in 2021 it could “pay the Judgments twenty times over.”

The real issue is the precedent the Tacoma case could set. GEO, which manages 16 ICE detention facilities across the country, faces similar lawsuits in California and Colorado. The California case, also before the 9th Circuit, is on hold pending the outcome of Washington’s. Colorado’s is winding its way through a lower court.

GEO is expected to fight the case all the way to the Supreme Court, if needed.

If eventually forced to pay state minimum wages across the country, the company could decide to pay detainees more or else hire outside employees at all its locations – either of which would potentially eat into its profits, stock price and dividends.

The company also could try to renegotiate its long-term contracts with ICE for a higher rate of reimbursement, Lauren-Brooke Eisen, an expert in incarceration, noted in an article for the Brennan Center for Justice.

Or GEO could respond to higher labor costs another way. After the jury decision against it in 2021, the company paused Tacoma’s Voluntary Work Program, as it is known, rather than pay detainees there minimum wage. Some could no longer afford phone calls to family members. (For such detainees, the program had never been entirely voluntary. “I need the money desperately,” one testified. “I have no choice.”)

The facility also “got really gross” after the sudden stoppage, a Mexican detainee told the Associated Press at the time. “Nobody cleaned anything.”

GEO brought in contract cleaners eventually.

Mike Faulk, a spokesperson for the Washington state attorney general’s office, said testimony in the minimum-wage issue highlights the problem with housing detainees in private prisons: profit motive. Not only did GEO pay $1 a day for cleaning in Tacoma, it budgeted less than $1 per meal that each detainee ate, one kitchen worker testified. “So the grade of food is abysmal,” Faulk said of the detainee’s testimony. “He routinely picked out grasshoppers/insects from the food.”

For its part, GEO argues that Washington wants to unfairly — and hypocritically — hold the Tacoma facility to a standard that even state facilities don’t have to meet. The company has noted that a carveout in Washington law exempts state prisons from minimum-wage requirements, allowing the state to pay prisoners no more than $40 a week. The federal government, taking GEO’s side, has made the same point in “friend of the court” briefs under both the first Trump administration and the Biden administration. So did a dissenting judge in the recent 9th Circuit decision.

But to liken state prisons to a privately run immigration facility is an “apples and oranges” comparison, the 9th Circuit decided. Washington doesn’t let private companies run its state prisons. And the migrants in Tacoma are detained under civil charges, not as convicted criminals.

As judges have noted, GEO’s contract with ICE states that the prison company must follow “all applicable federal, state, and local laws and standards,” including “labor laws and codes.” It also holds that GEO must pay detainees at least $1 a day for the Voluntary Work Program. The federal government “made a deliberate choice to dictate to GEO the minimum rate,” the 9th Circuit wrote in its most recent decision, but “it also made a deliberate choice not to dictate to GEO a maximum rate.”

Conditions in Tacoma are worsening as the number of detainees rises, according to Maru Mora Villalpando, founder of the activist group La Resistencia. The group is in regular contact with people inside the detention center.

Meal service, Mora Villalpando said, is faltering: “Dinner used to be at 5. Then 6. Now it’s 9.”

Cleaning is faltering, too, she said. Without detainee labor, the outside cleaners have to do it all.

“But these people,” Mora Villalpando said, “can’t keep up.”

From KKD: Money flowing in Guardianship Continues a Horrific System of Elder Abuse

With Power and Money at Stake, Legal Guardianship Industry Thrives on Elder Abuse

https://townhall.com/columnists/mikehuckabee/2021/05/01/with-power-and-money-at-stake-legal-guardianship-industry-thrives-on-elder-abuse-n2588811#google_vignette

Mike Huckabee | May 01, 2021     

Mudslinging and character assassination is an expected part of politics. It’s what you signed up for. Running for public office means opening yourself up to intrusive probings into your personal life, hit jobs from political reporters, and even attacks on your close friends and family members. 

These types of dirty tricks, common in politics should be nowhere near our legal guardianship systems. Unfortunately, that is not the case. The legal system is supposed to provide a refuge of justice and protection for the innocent and the abused. It should never be used as a weapon to steal an unsuspecting person from their hard-earned possessions as well as their dignity. 

Jan Garwood, 70, of Longwood, FL, was deemed to be incapacitated and placed under guardianship after being injured in an automobile accident while grieving the death of her son. She soon found herself an “inmate” at a locked-down memory care unit called the Palms of Longwood Assisted Living Facility in Seminole County.

Unsure where to turn for help, Garwood used a cell phone smuggled into the facility by a family member, to post a plea for help on social media. Garwood contacted WFTS ABC Action News I-Team, via Facebook, after watching their series on Florida’s broken guardianship system – The Price of Protection

Hillary Hogue, a guardian reform advocate, also heard Garwood’s call for help. Hogue visited Garwood at the Longwood memory care facility and did not feel she medically belonged there. Hogue then put Garwood in touch with attorney Vitto Roppo

Roppo worked with Garwood’s attorney of record to file a motion requesting Garwood’s capacity be re-examined. The judge agreed to the motion and following a doctor’s evaluation, Garwood was released from the control of the guardian. 

For his efforts, Roppo was threatened by the attorney representing the Garwood’s guardian. In a letter, Roppo was put on notice he would face a Motion for Sanctions upon denial of his motion seeking a new medical evaluation for Garwood. Roppo was advised to “Govern yourself accordingly,” a phrase often included at the close of a legal correspondence intended to bully or intimidate the recipient. 

Although vindicated and free, Garwood’s ordeal was not over. While under her control, the guardian sold Garwood’s home, below market value, directly to an employee of the Palms of Longwood. The guardian also placed all of Garwood’s belongings, valued at $300,000, in storage; however, the guardian is unable, or unwilling, to tell her the location of her property. 

As the saying goes, “Once is happenstance.” 

Consider the case of Joann Bashinsky, a beloved Alabama philanthropist with an estate estimated to be worth $200 million. Bashinsky was placed under Emergency Guardianship after two of her employees, John McKleroy and Patty Towsend, petitioned the probate court claiming she had dementia and was unable to manage her finances. At the same time the Emergency and Permanent Petitions for Guardianship were being filed, Mrs. Bashinsky was terminating their employment for ignoring and undermining her directives. 

In a miscarriage of justice, a Jefferson County, AL Probate Court judge deemed Bashinsky had dementia and appointed a close associate of the ex-employees as guardian. Mrs. Bashinsky’s family and friends came to her aid and helped her fight back. In the summer of 2020, the Alabama Supreme Court (ALSC) vacated the guardianship, stating, “Ms. Bashinsky’s constitutional and statutory rights of due process” were violated by the probate judge when she was deprived of counsel and prevented from presenting evidence she was not incapacitated. 

A strong rebuke by the Alabama Supreme Court has not persuaded the petitioners and Guardian Greg Hawley to remove their claws from Mrs. Bashinsky’s estate. The ALSC only ruled on the emergency petition, as the permanent petition had yet to be heard by the probate court. There was still a chance the ex-employees could see the permanent petition for guardianship enforced. 

The legal battle took its toll on Mrs, Bashinsky, who passed away in January, after more than a year of fighting for her rights and freedom. 

The petitioners and their lawyers, showing you a glimpse of what kind of people they are, filed new motions 8 minutes after Mrs. Bashinsky’s funeral service began. Family members and her legal team attending the funeral simultaneously received text messages alerting them they were being served new motions. 

McKleroy and Townsend filed a motion to block a request by the Bashinsky estate to dismiss the permanent petition following Mrs. Bashinsky’s death, a motion to apply sanctions against Mrs. Bashinsky for comments she made in a reporter a week before her death, and (who is surprised by this?) a motion to seek compensation for attorney fees and other expenses. 

To her family, friends, and the hundreds of people who were helped by Mrs. Bashinsky’s philanthropy, she lives on in their hearts and memory. 

Probate Judge Lee Tucker now oversees the permanent petition for guardianship filed by McKleroy and Townsend, and despite having passed from this Earth, Mrs. Bashinsky’s case is still very much alive. We all know why…the “motion to seek compensation for attorney fees and other expenses” tells us why. 

“This is a predatory and exploitive a case as I have ever seen,” stated legal counsel for the Bashinsky estate.

“Twice is coincidence.” 

Mary Sykes noticed $4,000 missing from her bank account; she soon realized her oldest daughter was responsible. Sykes sought an order of protection from her daughter and reached out to the Illinois Department of Aging for assistance. Her daughter countered and filed a petition seeking to be appointed guardian. In a combined hearing a week later, Sykes found herself not receiving protection from her daughter, but being subjugated to her control. 

When neighbors of Sykes heard what happened, they contacted Kenneth Ditkowsky, a Cook County, IL attorney (now retired). Ditkowsky had previously represented Sykes in a separate civil matter. 

Ditkowsky began investigating and learned the contents of a safe deposit box belonging to Sykes, which contained over $1 million dollars in gold coins and other valuables, had vanished. He also learned Sykes’s primary care physician refused to certify her as incompetent, but the court system found a doctor who contradicted that diagnosis. Ditkowsky was no stranger to corruption in the Chicago legal community, having been encouraged years earlier a bribe to the judge would secure victory for his client. Many of these attorneys and judges were later indicted in Operation Greylord

Shortly after seeking copies of filings in the Sykes case and reaching out to her physician, Ditkowsky received threatening calls from the guardian ad litem (GAL) and the attorney for the plenary guardian. Ditkowsky, who had been practicing in notoriously corrupt Chicago for years and argued before the U.S. Supreme Court, laughed off the threats. 

The GAL and others filed complaints with the Illinois Attorney Disciplinary Review Committee (IARDC), claiming Ditkowsky defamed the court by calling out the corruption. For speaking out and trying to help a former client, the IARDC upheld the allegations against and suspended Ditkowsky’s law license for four years

“Three times is a pattern.” 

It is said that politics brings out the worst in people, as it taps into the things about which people are most passionate. The same can be said for the love of money. When power and money are at stake, it’s no surprise unscrupulous people will resort to dirty tricks and intimidation. 

Guardianship abuse is real; these cases are just the tip of the iceberg. 

     

From YT: Important news for Immigrants to stay safe in the US (both tourist visas and green cards)

In case you didn’t know, immigrants and visitors to the US are under attack by the present administration–even green card holders, so it’s important to know your rights.

One green card holder was protesting at his college, exercising his 1st amendment rights and is currently held in detention by ICE. He has a pregnant wife and has not yet been released.

Others in the US on valid tourist visa have been picked up, held for months and then deported. Some of these detainees report seeing other men and women being held without attorneys and no one to help them for months in detainment centers.

Here are the rules for visitors and immigrants, even those with green cards:

  1. No social media, no blogging, delete all accounts. No activism, no protesting anything. Do not join or become a member of any organization, especially those of a political nature. If you receive emails from any political groups, delete those emails and email accounts. Your phone is subject to inspection by Border Patrol. Get a burner phone if you must cross the border. Let an US citizen keep your phone if they will not be subject to inspection. Or send your phone by international courier. If you have immigration visa(s) pending, USCIS may ask for those social media/blog account ID’s and passwords, either in a request or at an interview. Delete all that nonsense, it’s not worth it. Of course, anything public should be immediately deleted. But remember always there are nightly webcrawlers that permanently record all that stuff, so see if you can get past posts deleted from those sites.
  2. Get cameras and put them on your front and back doors. Do not answer the door for any strangers. Use a rape chain or slider lock if someone claims to have a valid warrant. Remember, warrants signed by immigration officials are ineffective and you do not have to comply. Do not open the door if the authority says they have a valid warrant. Once the door is opened, while this is illegal, they may put a foot across the threshold and force their way in. That’s why use of a slider lock or rape chain is crucial or have them slip the warrant under the door. If there are others in the house, have them turn on cell phones to record. Try to record live on Facebook/Youtube and warn your friends to upload. If the authorities ask you to delete, upload instead. Keep open all laptops and computers in the house and upload live to Facebook/Youtube. If you are arrested, post to social media. Get your friends and family present to post/upload live also. Get plenty of active friends on Fb/YT who may be on line to upload or download any interactions with the authorities. If they see an arrest or search on FB/YT, ask them to immediately download it because the authorities may later delete it.
  3. Try to get a job with a private area and make sure your employer will protect you. If ICE enters your place of work, do not run, do not hide, but walk to your car and leave. Your employer should get all immigrants to a private area and ask ICE to leave and not further answer any questions. They have no real police power. Only a warrant signed by a state or federal court judge is effective and can be enforced.
  4. Absolutely no arrests. For sure no convictions. Get an attorney to get all convictions off your record, if at all possible.
  5. It is now advised that even green card holders should not travel outside the US. You might not be able to come back.
  6. If you are detained, review the prior post, Shut the F*** Up and practice it with friends and family. ICE may pressure you into surrendering your green card or sign form I-407. Don’t do it. They cannot make you surrender your green card. They do not have that authority. Just repeat you are invoking your right to remain silent and you want to call your attorney. If they ask you to do anything or go anywhere, just say “I object for the record.” Your attorney cannot help you if you do not object. If the authority asks to search you, your person or property, just respond “I object for the record”.
    As in the military, name, rank and serial number only. For you, name, address and drivers license only. Say and show nothing else. In some states, you do not even need to show your driver’s license or passport unless there is “reasonable suspicion” or “probable cause”, so get educated on interactions with state authorities.
  7. If detained, repeatedly ask to call your attorney. If stopped, constantly ask if you can leave, and if they say you can leave, do so quickly. Don’t hang around, and don’t come back.
  8. If you are undocumented, get documented. The fastest way to a green card is to marry an US citizen or green card holder. The fastest visa is a fiancé visa. This means the immigrant comes to the US on a tourist visa and they must wait 90 days to file the fiancé visa form and get married. After 90 days in the US on a tourist visa you are allowed to change your mind, file the fiancé visa and get married and the green card will come quickly. If the immigrant is already in the US, marry a US citizen or green card holder. The marriage must be bona fide or genuine and you must live with that spouse, share a lease or deed, and a bank account and finances. You must sleep in the same house or apartment every night. If you have children together, that is a huge help to your visa application. You can also join the US military and can have US citizenship in a year or two. If you are married, apply for citizenship after 3 years. Otherwise you have to wait 5 years. If your visa application is lingering, you or your attorney can file a “Request to Expedite”.
  9. An immigrant with a green card can also sponsor an immediate relative with an I-130: parent, child, spouse or sibling.
  10. After you submit your immigrant visa application, you should receive a receipt in about 6 to 8 weeks. Asylum applications are taking longer, 10 to 12 weeks. If you do not receive a receipt and any check was not cashed or credit card charged (about 2 weeks), resubmit the entire package with a letter explaining the original submission may have been lost. Your receipt is critical and if stopped by ICE or Border Patrol, that receipt number should save you from detainment/deportation proceedings. Keep your visa application receipt with you at all times. Remember, name, address and receipt number only. Say nothing else to the authorities.
  11. Many immigrants have US born citizen children. Your citizen child over age 21 can sponsor you. Conversely, a citizen with a foreign born child unmarried, under age 21 can be sponsored by a citizen/green card parent. If paternity was not established and the parents were not married at the time of birth, a paternity test will be required for citizen/green card fathers.
  12. You are allowed to have multiple applications pending at the same time–I-130 or sponsorship by citizen spouse, U visa, TPS, etc. If one falls thru that will save you from the dreaded NTA or Notice to Appear (for deportation/removal proceedings).
  13. Asylum applicants can come to the US and then have up to a year to submit their Asylum application. This is because if your life is in danger, you can come right away.
  14. What if you can’t find an US citizen to marry and you qualify under no other programs? Leave the US and re enter on a student visa. Take at least 12 hours of classes twice per year. Any courses will qualify, including ESL or English as a Second Language, art, sports or PE (physical education), dance, etc. If you need to work do an OTP. Look for an employer to sponsor your green card. Community college courses qualify.
  15. Sign up for and watch carefully all the immigration attorney videos on You Tube. The Brad Show, McBean Immigration, Legal Eagle, etc. More changes are coming, and not all of them good.
  16. Don’t forget there is a visa lottery every year. Here is this year’s information:
  17. Check the results for all applicants for the DV Lottery.
  18. Results for the 2025 DV Lottery are available from May 4, 2024 to September 30, 2025.
  19. Results for the 2026 DV Lottery will be available from May 3, 2025 to at least September 30, 2026.
  20. Important caveat to Visa Lottery Program: The Diversity Visa (DV) or Green Card Lottery allows individuals from certain countries who meet education or work requirements to obtain a green card through a lottery. Undocumented immigrants typically cannot benefit from winning the lottery because they have violated immigration law by being present in the U.S. Accordingly, get documented. Important Note:If you are already in the US on a tourist visa and win the lottery, you will need to apply for an immigrant visa through consular processing outside of the US. 
  21. If you are in the US on a tourist visa, you can generally extend those 6 months which will give you time to get an immigration visa application on file. Do not file for immigration status until you have been in the US for at least 90 days, then you are allowed to change your mind. Canadian citizens have even more options and may be able to stay indefinitely under certain terms and conditions.
  22. Remember US immigration laws are complex, technical and confusing. Even John Oliver had to admit that by using an immigration attorney you can double your chances of being approved by USCIS. And he generally says horrible things about lawyers, which of course are often deserved.
  23. Good luck and stay safe

Now here are the videos that prompted this post.

Canada, UK, Germany and other European countries have issued travel advisories to the US

Germany issues travel advisory to US

Valid green card holders are asked to surrender their green cards at the US border and are being denied admission, some for many months

Legal Eagle: Defendant declares many foreign nationals terrorists without due process

Legal Eagle: Defendant deports legal green card holder on student visa for protesting him on campus

Horror stories from ICE/USCIS taking away green cards without due process.

From KKD–why hasn’t the ARDC reinstated me or acknowledged that atty can blog freely about corruption in the courts??

Here in Chicago, the Democratic Party is funded in part by Esformes and his group.    Who do you think keeps them in power?      Worse yet, when JoAnne Denison stepped out to complain concerning the terrorism being meted out to the elderly – it was the Democratic Party’s IARDC that suspended her law license and has harassed her TO THIS DAY, NOT A SINGLE POLITICAL OPERATIVE  (ALL DEMOCRATS) HAS STEPPED UP TO TAKE HER SIDE OR THE SIDE OF ANY OF THE PEOPLE ABUSED BY GUARDIANSHIP.

Going one step further – have you seen one Chicago or Illinois politician stand up for the elderly?      I’ll bet a dollar to your penny that every one of these politicians have accepted money from the nursing home industry and in particular the Esformes group.  

Hypocrisy is a bitter pill

Ken Ditkowsky

From Joanne;

Ken is right, I did nothing wrong except blog about corruption and because of my blog, at least Judge Jane Stuart was removed for her shameful perfidy in the Mary G Sykes case. Mary was granny napped from her home of decades and forced to live in Naperville and then a string of nursing homes–all places where she made it clear she did not want to go.

As for Ken, his charges were clearly bogus and trumped up. When a group of Mary Sykes’ friends came to him and begged him for help in protecting her, he did his due diligence and wrote letters to critical witnesses–her doctor and friends and neighbors, calling upon them to provide him with crucial information they might know about Mary Sykes. This was his Rule 137 duty to investigate every case before assuming his duty as attorney to any litigant in the case. Every attorney knows or should understand this very important duty of ethics to the court system and public.

The ARDC then twisted this around and said that Ken was asking Mary’s physician, Dr. Patel to breach his HIPA obligations, when that was not stated in the letter at all and Dr. Patel never even responded to the letter.

When brought before the ARDC tribunal to testify, Dr. Patel never testified he took the letter as an invitation to reveal any confidential information, yet Ken was hit with a 3 year suspension of his law license regardless of the facts, evidence and testimony.

In the end, Mary was murdered, grievances were filed with ARDC over the murder and no attorney involved–Adam Stern, Cynthia Farenga, Peter Schmeidel was ever disciplined over this clearly shameful case of egregious attorney misconduct.

The real kicker was that Gloria Sykes, who was part of the group and even spearheaded it, held Mary’s Power of Attorney for Health Care which meant that since she hired Ken, there could not possibly be any wrongful disclosure of healthcare information regarding Mary.

The ARDC has not apologized to Ken and reinstated him and for the most part, the probate court and its minion attorneys continue to violate the civil right and human rights of all litigants before it left and right. They summarily invalidate POAs without notice, a petition, service of a summons or any basic constitutional rights being afforded the victim and their family. They summarily evict family members from the victim’s residence, and often these family members are elderly and or disabled. Ruining lives and families, ripping them apart is still seen as “business as usual” on the 18th floor of the Daley center.

No one seems to care.

This corrupt system continues to use the OPG, Office of Public Guardian and OSG or Office of State Guardian to accomplish these illegal goals left and right, up and down and even sideways.

Worse yet, the OPG bills estates $275 per hour to destroy families and force the elderly and disabled into nursing homes against their consent and will.

Clearly that is double dipping from the state/government because the overhead of these attorney and their corrupt agencies–OPG and OSG has already been paid by the taxpayer!

That’s right, you the taxpayer pay to ruin families and destroy lives to a state agency, and then they turn around and bill estates $275 per hour! It’s nothing but fraud and elder financial abuse.

Why the FBI and states attorneys offices have not shut down all this corruption is beyond the pale.

As for me, all I did was blog about what was going on in the Mary Sykes case and I was summarily suspended for 3 years and my license has not been reinstated either. The ARDC has stated that my blog, this blog was a “danger to the public.”

They have not apologized, they have not made it clear to Illinois Licensed attorneys that blogging about corruption is protected first amendment speech and they continue to turn a blind eye to the horrors endemic to the public on the 18th floor of the Daley center.

From LM: Demand the immediate release of Diane Berkebile, imprisoned over true statements she made about her’s mother’s guardianship

On Nov. 9, 2024 Diane Berkebile was falsely arrested and hauled off to the Lawrence County Corrections Center.

Please demand her release–fax and phone numbers and addresses given below

FALSE IMPRISONMENT PUBLIC NOTICE

False Imprisonment of Diane Berkebile, New Castle PA
Booking No. 2039152, Lawrence County Corrections Center

This is to advise you that the recent incarceration of Diane Berkebile constitutes false imprisonment, false arrest, a violation of 18 USC 1983 and deprivation of civil rights under color of authority and I and others are demanding her immediate release. She is elderly and disabled and should not have ever been incarcerated.

It is my understanding that the arrest is for not appearing for a false collections proceeding where Ms. Berkebile was never served. She was sued for defamation over a series of Facebook posts which criticized DA Lamancusa in his official government functions which should be covered under 1st Amendment free speech provisions every US citizen possesses and an inalienable right.

In addition, the statements she made on social media were in fact truthful and would be subject to Pennsylvania’s new anti SLAPP act as her constitutional right under the 1st Amendment to the US constitution and under the Free Speech provisions to the Pennsylvania Constitution. See attached Statute details. Lamancusa is also a pubic figure and as such he cannot sue anyone for false light, defamation or libel. In addition, defamation claims are successfully defended by asserting the following affirmative defenses of hyperbole, opinion, substantial truth, etc. and the burden would be put on you to prove the statements are false and damaging in some manner. Be aware that these opinions of states attorneys and district attorneys are now commonly held by the public and it may be difficult or impossible to even find a jury on your side.

It is my understanding that during this false and malicious arrest: 1. She requested but was shown no warrant or court order; 2. She was not read her rights; 3. She had repeatedly requested a copy of her files, but the clerk of court would not send them to her. In addition, she was unable to obtain a pro bono attorney because no attorney wanted to go into that court systems due to overwhelming issues with corruption and not following state and federal law, rules and regulations.

From the Pennsylvania State Constitution:

§ 7. Freedom of press and speech; libels. The printing press shall be free to every person who may undertake to examine the proceedings of the Legislature or any branch of government, and no law shall ever be made to restrain the right thereof.

Lamancusa should be utterly ashamed of yourself, immediately release Ms. Berkebile and pay her significant damages for her pain and suffering. All of the lawsuits Lamancusa should be immediately withdrawn with prejudice.

For More Information call me or see my blog at http://www.Justice4Every1.com
Joanne Denison, court corruption advocate, 773.255.7608

and my fax today to the authorities:

Anonymous Tip Line: https://lawrencecountydistrictattorneysoffice.com/anonymous-tips/?

The Lawrence County Government Center is located at 430 Court Street, New Castle, Pennsylvania 16101. Their phone number is (724) 656-1925.

Fax no. 724.646.2286(does not work)

Honorable Dominick Motto
President Judge
Lawrence County Government Center
430 Court Street
New Castle, Pennsylvania 16101
Phone: 724-656-1925
Fax: 724-656-2286
James Fee, Law Clerk

Honorable J. Craig Cox
Associate Judge
Lawrence County Government Center
430 Court Street
New Castle, Pennsylvania 16101
Phone: 724-656-1927
Fax: 724-656-2288

Honorable John W. Hodge
Associate Judge
Lawrence County Government Center
430 Court Street
New Castle, Pennsylvania 16101
Phone: 724-656-1919
Fax: 724-656-2285
Sean Merritt, Law Clerk

Honorable David H. Acker
Associate Judge
Lawrence County Government Center
430 Court Street
New Castle, Pennsylvania 16101
Phone: 724-656-1958
Fax: 724-656-2284
David DeRosa, Law Clerk

The court document clearly show NO SERVICE on Diane B. They show a huge verdict, an attempt at collections and when she didn’t appear, because she was never served, she was falsely arrested.

PA had “kids for cash”, now it’s “Diane for Cash”