Monday, 3 February 2020

Divorce Lawyer Bountiful Utah

Divorce Lawyer Bountiful Utah

Divorce law in the United States has come a long way. Today all states including Utah permit you to seek divorce on no fault grounds. If you are seeking a divorce, speak to an experienced Bountiful Utah divorce lawyer.
“Just cause and good provocation” convinced Reuben Ward of Howard County, Missouri, that he and his wife should “tear” themselves “asunder.” In a whimsical notice in the Missouri Intelligencer, June 19, 1824, he advised her to get a divorce: “when you readest this suppress thy sobs, sue out a divorce, and set thy cap for another and a more happy swain, while I roam through the world sipping honey from the bitter or sweet flowers that chance may strew in my path.” With this lighthearted farewell, Ward joined thousands of others who left their homes and spouses behind them.
Ward’s attitude was far from unusual in the nineteenth-century American West, a region widely known for its dedication to individualism, breaking ties, and reshaping institutions. Although settlers carried established ideas and institutions westward, most refused to be bound by them. Instead, they revised customary procedures whenever it suited their purposes. In addition, western settlers frequently acted in haste. Because they were anxious to establish government and other institutions, westerners often skipped time-consuming deliberations. Haste set the state for the adoption of permissive divorce statutes and short residency requirements on more than one occasion.

Western states including Utah soon gained notoriety for their broadminded or, as some said, decadent divorce laws. The West was widely known for divorce laws that were, according to an 1867 observer, “very liberal; seldom compelling men or women to remain in marriage bonds which they wish severed.”

The American West seemed to provide a hothouse environment for the institution of divorce. Here, the divorce rate rose faster than in northeastern or southern states. Even if migratory divorces were subtracted from total divorces, the West’s divorce rate considerably exceeded those of the Northeast and South. in addition, one town after another gained a national, and sometimes international, reputation as a divorce mill during the latter part of the nineteenth century. Gradually, lenient western divorce laws and colorful western divorce mills helped convince many Americans that the time had come to regularize and control divorce in the entire United States.

Divorce and Desertion

In 1908, Commissioner of Labor Carroll D. Wright reported that “the divorce rate increases as one goes westward.” Wright and the staff of the Census Bureau collected statistics beginning with the year 1867 that revealed the ratio of divorces to population increased faster in western states than in any other region of the United States.
The growth of divorce in the West is even more striking when rates in the western division are combined with those in the southcentral and north-central divisions–the two next highest divisions. The western division, which encompassed Arizona, California, Colorado, Idaho, Montana, Nevada, New Mexico, Oregon, Utah, Washington, and Wyoming, can be united with the south-central and northcentral because these divisions also included a number of states and territories generally thought of as western in culture and outlook during most of the nineteenth century. The south-central included Indian Territory, Oklahoma Territory, and Texas, while the northcentral was composed of Indiana, Illinois, Iowa, Kansas, Michigan, Minnesota, Missouri, Nebraska, North Dakota, Ohio, South Dakota, and Wisconsin.

Undoubtedly, some Americans interpreted high rates of divorce in these states and territories as a temporary development resulting from stresses of migration and settlement. But Commissioner Wright pointed out that the upwardly spiraling divorce rate was a western rather than a frontier phenomenon. Although it was reasonable to expect the divorce rate to stabilize as western areas became more settled, Wright noted “no such tendency” was “apparent in the figures for divorce, and in fact an opposite tendency” appeared “to be at work.” In his view, high rates of divorce in the West seemed likely to continue.
Wright reported the “most common single ground for divorce” was desertion. During the period of the first Census Bureau study, 1867-86, desertion was higher nationwide than in the western division, but during the period of the second study, 1887-1906, the western desertion rate exceeded the national average.

The rise in desertion cases in the western division may have been caused by a shift in population. Between 1867 and 1886, abandoned spouses in eastern and central states obtained divorces after their spouses went westward. In 1840, for example, Anna Tucker Morrison of Mobile, Alabama, left her husband and relocated in Jacksonville, Illinois. He later obtained a divorce in Alabama on the ground of her desertion. After 1887, however, far more people, and far more potential deserters, lived in western states and territories. Many abandoned spouses were westerners and obtained divorces in western jurisdictions. One such case was deserted Oklahoma Territory husband who sought a divorce on the ground of his wife’s prolonged absence, explaining that she had “gone over-land in a wagon west to some Western state.”
A sizable number of western settlers obtained divorces because their spouses refused to migrate with them. A wife who remained in a couple’s former home was considered a deserter in jurisdictions whose laws stated that a husband’s domicile constituted the family domicile. A typical case was that of Berne Ball. In 1895, he divorced his wife of twenty-eight years on the ground of desertion after she refused to migrate from New York City to Logan County, Oklahoma.

Desertions that never reached divorce courts also appear to have been rampant throughout the West. But, because no one was counting, it is impossible to measure the extent or duration of desertion.
The growing use of cruelty as a ground for divorce may have resulted, at least in part, from the inclination of legislators to extend its scope. Before the Civil War, many northeastern and southern lawmakers expanded the definition of cruelty to include verbal abuse. During the latter part of the nineteenth century, western lawmakers also added verbal abuse to cruelty provisions. In 1877, for example, legislators in Dakota Territory broadened the ground of cruelty to include “mental suffering.” In 1890, Oklahoma territorial legislators did so as well.
Like women petitioners, men who accused their mates of cruelty cited both physical and verbal mistreatment. In 1895, J. Dayton Thorpe testified before an Oklahoma territorial court that his wife, Abbie, struck and beat him over one hundred times, threw scissors at him, and aimed a revolver at him which she repeatedly snapped to frighten him. He added that she regularly called him a “damned old fool” and a “damn son-of-a-bitch,” and told him to “go to hell” on several occasions when he asked her “civil questions.” According to him, Abbie finally abandoned him and their daughter, saying that “she did not want the child that it looked too much like its father, she had no use for it.” The paperwork ended before a divorce was granted, but it is unclear whether Thorpe dropped his suit or the case was dismissed after Abbie counter charged him with paying “improper attentions” to a hired woman and squandering the $3000 she brought to the marriage.

These divorcing women received alimony more frequently than women in northeastern and southern states. Most women who requested alimony were plaintiffs rather than defendants, for it was widely believed that a guilty wife forfeited her claim to a husband’s earnings if her misbehavior brought the marriage to an end.
Clear regional differences existed in the application of this principle. Pennsylvania judges ordered alimony in 0.4 percent of divorce cases, Alabama courts in 1.9 percent of cases, and Massachusetts judges in 6.1 percent of cases. But Wisconsin judges ordered alimony in 34.3 percent of cases, and Utah judges did so in 32.1 percent of cases.
Even when a man initiated the divorce and proved his wife guilty, judges sometimes awarded alimony to the female defendants. Generally, alimony awards were insufficient to women’s needs, especially women who received custody of children. Presumably women who had worked during their marriages would continue to do so after they divorced. Western divorce-seeking women also had a slightly better chance of getting child custody than did women in southern and northeastern states. Between 1887 and 1906, Census Bureau figures show that women received custody at a three-to-one ratio to men. In western states, women received custody at a noticeably higher ratio, especially in California, Colorado, Idaho, Illinois, Indiana, Iowa, Kansas, Michigan, Minnesota, Montana, Nebraska, Nevada, Ohio, Utah, Washington, and Wisconsin.

When women were denied custody, public sentiment was often on their side. In 1906, for example, Evelyn Blakeney kidnapped her seven-year-old daughter, locked herself and her daughter in a lavatory on an eastbound Rock Island train, and fired a bullet through the door when the sheriff tried to break in. After her arrest, a scandalous hearing ensued, in part because her former husband was a well- known attorney who was a candidate for delegate to the Oklahoma Constitutional Convention. Throughout, she was supported by a condolent crowd and sympathetic newspaper coverage.
Obviously, western divorce was far from a nirvana for women. Alimony awards were often small, one-time sums, and child custody decisions were erratic. Consequently, many women remained in difficult marriages because they were unable to support themselves and feared losing their children. One especially touching case was that of Lena Tow, who left her husband and took their three small children to Montana. After her borrowed funds ran out and she failed to find a job, she dejectedly returned to her husband in Norway, Iowa. A despairing Kansas woman took another tack; she simply waited for her verbally abusive, alcoholic husband to die.
Yet another national trend found in the western states and territories was the spread of divorce–meaning decrees granted by white legislatures and courts–to virtually all groups of people.
The Divorce Mill Panic
By the late nineteenth century, many Americans were disquieted by divorce in general and western divorce in particular. In their eyes, it seemed the West was rapidly leading the nation into moral and social decline. Their fears were reinforced by frequent reports of outrageous western divorce trials and of free-wheeling divorce mills that granted quick divorces to migratory divorce-seekers from stricter jurisdictions.
Divorce mills alarmed many Americans. Some people recognized the injustices that could occur in quick and easy divorces granted to out-of-state divorce-seekers. Others were embarrassed because their home states and territories were widely censured for their permissive divorce laws and procedures. And others reacted to divorce mills with consternation because they saw them as harbingers of greater evils: the spread of immorality, a breakdown in family life, and the fall of American society.
During the latter part of the nineteenth century, divorce mills fueled the divorce debate and fostered a widespread demand for change. In 1885, Samuel W. Dike, secretary of the National Divorce Reform League, pointed out that divergent divorce laws made divorce mills and migratory divorce possible. “The divorce broker,” he wrote, “sits in his office, and from the compilations prepared for his use, assigns his applications to one State or another as may best suit each case.” Consequences of divorce mills, whether real or assumed, primed many people to respond with indignation to the divorce mill scenario.

Certainly, during the closing decades of the nineteenth century, the rapid growth of divorce stunned many people: one of fourteen to sixteen marriages ended in divorce in the United States during the 1880s. In addition, divergent divorce laws caused confusion and sometimes corruption as well. In 1888, a New York attorney compiled a chart showing that all states and territories, except South Carolina, allowed divorce. Of the forty-seven states and territories surveyed, forty allowed the inclusive, flexible ground of cruelty. Numerous other grounds were available, and even anti-divorce South Carolina provided several grounds for annulment.
Western divorce mills seemed to be the height of laxity and permissiveness: the ultimate inducement to divorce-seekers to flee strict laws in their home states and seek a divorce in more lenient jurisdictions. Consequently, divorce mills elicited impassioned criticism and indignant responses.
During mid-century, Utah was branded a divorce mill as a result of Mormon policies concerning marriage and divorce. The Church of Jesus Christ of Latter-day Saints was founded by Joseph Smith in Fayette, New York, in 1830, but its members, commonly known as Mormons, fled persecution by moving to Ohio, Missouri, and Illinois. It was at Nauvoo, Illinois, on July 12, 1843, that Smith received a revelation saying that Mormons must practice polygamy–meaning that one husband wed several wives. This innovation drew enormous enmity from outsiders; in 1844, an anti-Mormon mob lynched Joseph Smith.
After this calamity, thousands of Mormons trekked to a desert in Utah that lay outside the boundaries of the United States. They hoped to live in peace, free from persecution and regulation by laws stipulating that marriages be monogamous. Under the leadership of Brigham Young, Mormons established Salt Lake City in 1847 and the state of Deseret in 1849. In 1850, the United States Congress recognized Deseret as the Territory of Utah, which brought Mormons back within the jurisdiction of the United States. Brigham Young served as governor of the new territory until 1857, when conflicts with the United States government, largely over polygamy, ended his tenure. Although the U. S. Congress enacted anti-polygamy statutes in 1862, 1882, and 1884, church officials refused until 1890 to abandon the practice.

During these years, many Americans harshly criticized Mormon practices, for they saw polygamy as a threat to long-held and widely cherished conceptions of marriage. In 1850, John Gunnison, an army officer stationed in Salt Lake City, wrote his wife that “some things happen in this polygamy loving community which would astonish the people in the States.” He added that it was easy to see “the influence of polygamy in degrading the female sex.” Some years later, another anti-polygamist, Philip Van Zile, thought about running for Congress so he could “do this country good” by eradicating “that relic of barbarism from its fair name.”
In addition to polygamy, the divorce practices of the Latter-day Saints shocked Gentiles, as Mormons called non-Mormons. Beginning in 1847, Mormon church leaders regularly granted divorces. Because they lacked the legal power to terminate marriages, they claimed they limited themselves to divorcing polygamous couples whose marriages fell within the jurisdiction of the church. Brigham Young reportedly granted over 1600 divorces during his presidency of the church between 1847 and 1876. Although Young theoretically opposed divorce because it contradicted the Mormon belief in eternal marriage, he was willing to terminate contentious and other unworkable marriages. On one day, he relieved George D. Grant of three wives and a few weeks later, parted him from a fourth.
Young personally lacked sympathy for men such as Grant: “it is not right for men to divorce their wives the way they do,” he stated in 1858. He had slightly more compassion for women. Although he often counseled a distraught wife to stay with her husband as long “as she could bear with him,” he instructed her to seek a divorce if life became “too burdensome.” In 1861, Young instructed husbands to release discontent wives.
As news of Mormon church divorces reached the Gentile world, public outrage against Mormons flared. After 1852, when the first Utah territorial legislature adopted a statute that permitted probate courts to grant divorces, many people became highly critical of lenient civil divorces as well.

The 1852 Utah Territory statute was objectionable because in addition to listing the usual grounds of impotence, adultery, wilful desertion for one year, habitual drunkenness, conviction for a felony, inhuman treatment, it included an omnibus clause. According to this clause, judges could grant divorces “when it shall be made to appear to the satisfaction and conviction of the court that the parties cannot live in peace and union together and that their welfare requires a separation.” In addition, the 1852 statute contained a loose residency requirement: a court need only be satisfied that a petitioner was “a resident of the Territory, or wishes to become one.”
As a result of the 1852 statute, civil divorces were easy to obtain in Utah Territory; a couple could even receive a divorce on the same day they applied for it. Unlike most other jurisdictions, Utah judges accepted collusion–an agreement to divorce between husband and wife. A married couple could appear in court, testify that they agreed to divorce, and receive a decree. Records of the Washington County probate court between 1856 and 1867 contain several such cases. On February 12, 1856, John and Sarah Wardall petitioned for divorce and requested equal division of their children and property. The judge agreed: John received custody of the two oldest boys and Sarah got custody of their daughter and youngest boy. The Wardalls also amica bly split two beds, four pillows, two bolsters, two blankets, and other household equipment down-the-middle. What could have been a difficult divorce turned out to be an administrative matter completed in a few minutes.
In an unusual case of mutual agreement, a woman’s father appeared before a Washington County judge. He testified that his daughter and her husband had asked him to apply for a divorce on their behalves. The judge, who knew the couple, stated that husband and wife wanted to divorce so that they could “marry whomsoever they will or can.” Because he believed that mutual agreement resulted “in the most good to both Parties,” he granted the divorce. It became final four days later when the couple submitted a property settlement.
When Jacob Smith Boreman, a non-Mormon from Virginia, became United States district court judge in the Salt Lake City region in 1872, he was shocked by Utah divorce laws and procedures. Boreman was especially surprised that judges accepted collusion and that divorce-seekers could file petitions, enter proof of grounds, and receive divorce decrees “all on the same day.” Boreman remarked that such practices “made it no difficult matter to secure a divorce in a probate court,” especially when most judges “had no legal training, but on the contrary were densely ignorant of the rules of law.”
Boreman himself heard a portion of one of the most dramatic divorce cases in Mormon history. In 1873, Ann Eliza Webb Young brought suit against her husband, Brigham Young. Young seemed willing to divorce Ann Eliza, but unwilling to pay the requested alimony: $20,000 costs plus $200,000 to support Ann Eliza and her children. Young, who had once offered to divorce any wife who wished to leave him, fought Eliza’s petition by arguing that their marriage was illegal because it was polygamous, thus unrecognized by United States law. According to Boreman, Young believed that if he won, he would be free from alimony; if he lost, polygamous marriages would have garnered legal recognition, for if a judge gave Ann Eliza a divorce he would have also inadvertently declared the Young’s polygamous marriage valid.

After an 1874 federal law moved Utah divorce cases from probate to district courts, Boreman became the presiding judge in the case of Young v. Young. Boreman ordered Brigham Young to pay temporary alimony to Ann Eliza, but he had to imprison Young to make him pay. The suit was dismissed in 1877 by another district court judge who refused to recognize Brigham Young’s polygamous marriage to Ann Eliza. Consequently, Ann Eliza Young failed to get a divorce decree and alimony, while Brigham Young failed to get recognition of polygamous marriages.
Despite its lenient divorce laws, it is unclear whether Utah was a divorce mill. Between 1867 and 1886, Utah courts granted 4,078 divorces. Of these, 1,267 couples had married in Utah. It is impossible to know how many of the remaining 2,811 cases involved migratory divorce-seekers or those who were converts anxious to join the Latter-day Saints after they freed themselves from unwilling mates. High migration rates into Utah during these years, however, suggest that most divorces were probably obtained by would-be converts rather than migratory divorce-seekers.
The number of divorces granted to migratory divorce-seekers by western divorce mills was almost certainly exaggerated by contemporary observers. Still, thousands of Americans reacted with alarm to the divorce mills that seemed to litter western areas of the United States during the last half of the nineteenth century. How could state governments restrict and control divorce when western divorce mills tempted divorce-seekers to escape restrictive laws and obtain divorces in more permissive jurisdictions?
The divorce issue was already volatile during the mid-nineteenth century, but the divorce mill panic greatly exacerbated that volatility. In addition, it convinced some people that divorce should be reexamined and cut back, and that “the practice of permitting residence in another state for the purpose of securing a divorce should be abolished.”
During the late nineteenth century, many Americans felt the spiraling divorce rate and the rise of divorce mills in western states and territories indicated it was time to re-evaluate divorce in the United States. They believed these pheonomenon were evidence that such long-held American values as individualism, freedom from tyranny, and a search for personal happiness had flourished in the American West–and had gotten out of hand. Clearly, the time was right for a national call for revision in divorce laws and procedures; the stage was set for the national uniform divorce law movement.
The seeds of the uniform national divorce law reform movement were planted in 1881, when the New England Divorce Reform League organized under the leadership of Theodore Woolsey, attorney, Doctor of Divinity, and retired president of Yale University. The divorce controversy reached a new peak in public visibility when the government’s second statistical study was released in 1908. This report on marriage and divorce between 1887 and 1906 described a far more comprehensive study of the topic than the earlier surveys. It contained statistics from 2,797 counties. Only six counties were omitted; for example, San Francisco County, California, was left out because an earthquake and fire had destroyed public records on April 18, 1906. This study asked for more information than the first, including data regarding alimony and number of children involved in divorces. In addition, it reflected a growing concern of the day, alcoholism, by compiling statistics of cases in which intemperance was a cause of divorce. Finally, it included a thorough digest of statutes concerning marriage and divorce in states, territories, and other countries.
The reawakened interest in national uniform divorce law continued for several years. Despite this brief regeneration, the uniform divorce law movement gradually lost momentum. It was increasingly apparent that states and territories could not, or would not, agree on divorce provisions. Around 1910, many supporters of uniform divorce law began to recognize the odds against their cause. The divorce rate was rising, divorce was gaining acceptance, and the National League for the Protection of the Family was waning in membership and visibility. It no longer provided impetus for the uniform law movement.
Still, some tenacious people clung to the idea of uniform divorce law. To them, the failure of states and territories to agree on this matter demonstrated that the federal government would have to mandate such laws. If a constitutional amendment was necessary, then they would campaign for such an amendment. President Roosevelt’s annual message of 1906 had paved the way. Arguing that “the home life of the average citizen” was imperiled by the scandals and abuses resulting from wide variations in divorce laws, Roosevelt suggested “the whole question of marriage and divorce should be relegated to the authority of the National Congress.”
Boards of Episcopal, Methodist, and Roman Catholic clergy, several members of the U.S. Congress, the General Federation of Women’s Clubs, and the California Commission on Marriage and Divorce also supported the idea of a constitutional amendment. These uniform law proponents and their successors continued to unsuccessfully push the idea of a constitutional amendment until 1947. Specifically, the leaders of the uniform law movement committed an error when they neglected to include more women in policy-level conferences. This inattention to women, especially feminists, turned a visible, vocal group against their cause. As early as 1890, in the pages of the widely read North American Review, Mary Livermore attacked divorce laws made by men to serve the interests of men. She demanded that women be included in policy deliberations.
The leaders of the uniform divorce law campaign also failed to construct a broad platform that would attract people who advocated their own solutions. Livermore, for example, insisted that “legal equality” between mates was the only solution to growing “restlessness and unhappiness in married life.” And an outspoken woman essayist, Marguerite Wilkinson, argued that only education could cure the “divorce evil.” The “right education” would help people develop informed minds and strong characters, crucial qualities in marriage partners. Wilkinson also believed people must be taught about sex and love before marrying rather than being “childishly ashamed” to talk about such matters. Uniform divorce law proposals were narrow in another way: they failed to raise such crucial issues as alimony and child custody and focused on reducing the divorce rate and destroying western divorce mills. In so doing, they failed to attract the support of people whose major concerns about divorce were alimony, child custody, and easing the burdens on divorcing spouses and their children. Uniform divorce advocates seemed to overlook the desirability of revising laws for the benefit of divorcing Americans.
External forces also impeded the success of the uniform divorce law campaign. One influential force was social scientists’ views of divorce, views that opposed the idea of uniform divorce law at almost every turn. The other was a rising divorce rate; even as some Americans harangued against divorce, other Americans increasingly embraced it. During the closing decades of the nineteenth century and the opening decade of the twentieth, social scientists tended to argue that divorce was a positive institution. Many believed that it especially benefited modern society by eliminating dysfunctional marriages.
The rising divorce rate was the second external factor that defeated the national uniform divorce law movement. Many Americans began to accept the ubiquity of divorce in American society; even as uniform divorce law advocates called for a reduction in divorces, increasing numbers of American divorced. Because thousands of people each year rejected the argument that marriage was a sacrament and a lifetime agreement, and discounted warnings regarding the decline of American society and their children’s futures, the divorce rate continued its upward spiral in the United States.
Self-Help Literature
As the divorce rate rose in the United States, self-help authors increasingly tried to assist their readers in achieving satisfactory marriages rather than resorting to divorce. Although it is impossible to know how many people bought and read advice manuals, such books appeared on the market with regularity. This suggests that self-help books had a sizable audience, for publishers surely would have abandoned the genre if it failed to sell.
Self-help authors tried to combat the rising divorce rate in their own way, by offering practical counsel on how to avoid divorce. They attempted to strengthen marriages and avert people from the divorce courts by suggesting ways of choosing a good marriage partner and achieving serenity and happiness in marriage. Each of these writers tried to stem the tide of divorce by suggesting ways that marriage could be improved. Their advice focused on strengthening marriage rather than on assisting divorce-seekers. Few writers addressed such matters as locating an attorney, laws of various jurisdictions, child custody, property settlements, alimony, and general etiquette of divorce. One of the few practical guides to appear was How to Get a Divorce, published in 1859 in New York City. Written by an attorney, this small pamphlet contained a compilation of each state’s divorce laws, but neglected to give step-by-step advice.
During the late nineteenth and early twentieth century, many Americans clung to traditional views of marriage and divorce. They failed to realize that powerful forces, including industrialization, urbanization, changing gender roles, and rising expectations of marriage, propelled people toward divorce. Instead, they believed that strict divorce statutes could keep people in their marriages, reduce the divorce rate, and eliminate western divorce mills.
Other Americans, however, acknowledged divorce as a reality. Increasingly, advocates of divorce argued that divorce was a citizen’s right, and that it was beneficial to American society because it eliminated dysfunctional marriages. Although “no thinking person” would argue that divorces “be granted people who have simply tired of the marriage yoke,” certainly divorces for “extreme cruelty, drunkenness and certain forms of crime” were necessary. Should divorce disappear, “women would be the chief sufferers, for they would be compelled to bow their necks to the yoke.” Rather than escaping unbearable marriages, aggrieved wives would have to endure–to be “a bond slave as abject as she was in the days of the savagery of the race.”
On May 18, 1913, Sara Bard Field boarded a ship in Portland, Oregon. With her sister Mary and her four-year-old daughter Kay, Field sailed to San Francisco where she spent $62.70 on three train tickets to Goldfield, Nevada. During the train’s Sacramento stop, she mailed a letter to her husband telling him of her plans. When the trio arrived in Goldfield, they discovered what Field described as a “typical mining town,” but to their amazement and delight, Goldfield’s hotel boasted running water, bathtubs, electricity, and “excellent food.” After settling into the hotel, Field met with an attorney to initiate a divorce suit against her husband, Albert Ehrgott.
Sara Field was typical of a growing number of Americans who rejected the idea of marriage as a sacrament and for life. Field was willing to put her marriage asunder and set herself and her children adrift because her watchword was love. Although her husband had not committed a marital crime–adultery, desertion, non-support, or cruelty–Field no longer loved him. Moreover, she loved another man. Thus, she was willing to thwart her husband’s opposition to a divorce by seeking a migratory decree in Nevada.
Many Americans still opposed this kind of thinking. As a result, the great American divorce debate continued. Most of its themes were familiar ones. Was marriage a lifetime undertaking or was it a dissolvable contract? Should divorces be difficult or easy to obtain? Could uniform national divorce laws reduce the rising divorce rate? What actions would curb migratory divorces? What factors caused the rising divorce rate?
Certainly, a new morality seemed to be developing in the United States. As the first decade of the twentieth century came to a close, divorce appeared to be everywhere; it also seemed to have garnered widespread support.
The new morality that affected a wide spectrum of Americans was accompanied by a rising divorce rate. Regardless of how the divorce rate was computed, its overall pattern was the same: upwards. Whether the number of divorces between 1910 and the mid-1940s was compared with total population, married population, or marriages in a given year, the resulting ratio showed an ascending curve that surpassed the divorce rate in all other nations. The divorce rate was abnormally high after World War I, when hasty wartime marriages collapsed and others succumbed to war-related stresses, but it leveled off somewhat during the 1930s Depression when limited resources mitigated against divorce. In 1928, a year approximately midway between 1910 and 1945, slightly more than one of six marriages ended in divorce.
Most other trends held steady as well. Urban divorce rates continued to out-distance rural rates. The West’s divorce rate continued to exceed that of other regions. Women continued to obtain more divorces than men; in 1928, women received 71 percent of all divorces granted. And in that year, 47 percent of divorces were granted on the increasingly popular ground of cruelty, a charge women continued to use more than men.
Proponents of uniform divorce law kept the issue of migratory divorce in the public eye throughout the pre-World War II era. They discounted statistics indicating that only 3 to 20 percent of divorces were obtained in states other than the state of marriage and that only a few of these involved spouses who had purposely migrated to obtain a divorce. Instead, they talked in terms of an “exodus” of divorce-seekers from New York and an “interstate migration” of British Columbian divorce-seekers into Washington state.
Of course, Nevada was the most highly publicized destination for divorce-seekers. The state, and especially the city of Reno, soon gained a reputation as a jurisdiction that combined lax laws, leisure pursuits, and a pleasant climate. Reno began its rise to infamy as a divorce mill largely because of Nevada’s six-month residency requirement for citizenship, voting, and divorce, a provision intended to accommodate the needs of a highly mobile population of miners and entrepreneurs. In 1900, a well-known Englishman, Lord Russell, divorced his wife in Reno, married another woman, and was subsequently sued for adultery by his first wife. The resulting scandal drew widespread attention to Nevada’s lenient divorce laws.
Other well-known people soon took advantage of Nevada’s six month residency requirement and permissive grounds for divorce, including a broad, catch-all cruelty provision. In 1905, the ease of Reno divorce, at least for those who could afford to travel to Nevada and spend six months there, was brought to public attention by Laura B. Corey of Pittsburgh. Corey claimed that her wealthy husband was involved with a dancer. The resulting publicity catapulted Reno into the national spotlight.
Collusion
Collusion subverted the adversarial nature of divorce actions in which an innocent spouse sued a guilty spouse. Instead, couples who agreed between themselves to “sue” for divorce, usually also decided whether it would be more convenient and seemly if the wife or the husband was the plaintiff. They might also take into account the costs and amount of court time involved if one or the other initiated the suit. Because women received more divorces than men, it is reasonable to assume that in cases of collusion, couples agreed that wives should be the plaintiff more often than husbands. During the 1930s, a Richmond, Virginia, man who was considering divorce said as much: “Custom demanded, to a large extent, that the husband allow the wife to make the first move.”
The contention that many couples agreed which party would be the plaintiff is borne out by a sample of forty-five midwestern women and men who obtained divorces before 1945. Thirty-seven interviewees revealed that they and their spouses had agreed that the wife should be the plaintiff. They believed that if she accused him of fault instead of him accusing her, she would bear less stigma in the eyes of their children whom she would be raising. They also thought that if a wile appeared as the wronged party, this would encourage a court to accept her property and child custody demands–arrangements that the couple had already agreed upon. Eight other couples chose the husband as plaintiff, but none of these cases involved children so neither stigma nor custody settlements was an issue. Five of these couples decided that the husband should act as plaintiff because the wives feared dealing with attorneys and appearing in court. One husband was willing to take care of all legal matters and hire an attorney friend at a special rate. Only years later did his former wife accidentally learn that he had moved out of town without paying his “friend.”
Certainly, many migratory divorces had a collusive element. When spouses agreed that one of them would go to a lenient jurisdiction to obtain a divorce, they were practicing collusion. And when a spouse promised to refrain from bringing a counteraction or attempting to revise the terms of a migratory divorce, she or he was being collusive.
The state of New York provided the setting for another type of collusion. Because New York specified only adultery as a ground for divorce, many people created sham adultery cases. Companies sprang up that supplied a hotel room, a phony partner, a private detective, and a photographer. Once the incriminating photographs were taken, the case went to court where the partner and detective testified to a husband’s or wife’s adultery. During the early 1920s, one entrepreneur used unemployed actors in producing fabricated court evidence.
In other states, collusion frequently went hand-in-hand with the use of moderate grounds. Few wives and husbands who agreed to divorce wanted to stain their spouses’ reputations with charges of adultery, alcoholism, or impotency. Even if accurate, such harsh grounds could easily be replaced by the less damaging grounds of cruelty, neglect of duty, or incompatibility when they were available. Of the forty-five collusive couples mentioned above, forty-two chose such grounds as cruelty, neglect of duty, or incompatibility, although in at least twenty-nine of these cases, adultery and alcoholism had destroyed their marriages.
In flaunting the adversary system, collusive couples practiced a form of what was later called no-fault divorce. Evidently, the time was not yet ripe for the acceptance of no-fault divorce; few people even raised the possibility. Instead, collusion remained in force, thus establishing in practice what later no-fault legislation would recognize by statute.
The Search for Causal Factors of Divorce
As the divorce rate rose and problems concerning full faith and credit as well as collusion captured the public’s attention, a growing number of Americans felt compelled to identify factors causing divorce. If they understood causes of divorce, they reasoned, they might be able to curb divorce, or at least deal effectively with associated problems. And if they were aware of causal factors, policy-makers and legislators could devise rational solutions for such problems as the rising divorce rate, migratory divorce, and collusion.
The move to detect causes of divorce was hardly new, but it intensified as the divorce rate climbed. Commentators ranging from sociologists to novelists to judges posited their pet theories regarding divorce. Like earlier commentators, several writers linked American individualism and democratic ideals to the escalating divorce rate. In 1915, one advocate of easy divorce declared that the growth of divorce in the United States signaled Americans’ “increasing individualism” and their “demand for a larger degree of freedom and happiness.
Between 1910 and the mid-1940s, a few divorce-related issues had been resolved. The Supreme Court had hammered out a principle regarding migratory divorce. And the uniform divorce law movement had neared its end. But many problems continued to exist. The growth of collusion was subverting the word and intention of divorce statutes. Causes of divorces were still difficult to determine. And such issues as alimony and child custody continued to receive little public airing. Clearly, post-1945America would have no lack of causes to debate and pursue. By the mid- 1940s, then, divorce was a permanent feature of American life. It was everywhere; it had even become a staple theme of popular literature in the United States.
When World World II ended in 1945, divorce was becoming increasingly common in the United States. With spouses frequently coming and going, the institution of marriage was beginning to somewhat resemble a revolving door. But divorce was not only ubiquitous; it was widely accepted as a traditional–or customary–way of resolving marital disharmony.
As the century progressed, the spread of divorce affected American law and society on many levels. By 1970, every state in the union permitted divorce.
No-Fault Divorce
As the divorce rate spiraled upward, more people became concerned about the effects of the divorce process on divorcing spouses and their children. Early in the twentieth century, several Americans began to support a radical plan to soften the process by replacing adversarial divorce with divorce by mutual consent. As early as 1915, one commentator prophesied that divorce by mutual consent was “likely to form one of the provisions of future divorce law.” In 1923, novelist and essayist Katharine Fullerton Gerould had argued that if laws made it possible “to marry at sight,” they ought to make it possible “to divorce on demand.” And in 1927, Judge Ben B. Lindsey of Denver suggested that couples undertake trial marriages that could be terminated by mutual agreement.
During the mid- 1940s, Americans continued to discuss the possibility of replacing adversarial divorce with a non-punitive procedure.
In 1947, the New York Public Affairs Committee published a pamphlet, Broken Homes, criticizing adversarial divorce. It maintained that because most husbands and wives were driven apart by “internal tensions” in the marriage itself, both parties were “at fault.” Two years later a legal authority defined divorce as the termination of an unworkable relationship, a termination that should consider the best interests of divorcing spouses and their children rather than punishing the “guilty” party.
Other writers explored the form that mutual consent–essentially no-fault–divorce might take. In 1949, one legal specialist supported the American Bar Association’s “contract theory” of divorce. A dissatisfied couple would present data about themselves and their children to a judge. During the next six months, the court would investigate the case, while the couple considered reconciliation. If the information submitted proved accurate and the couple rejected reconciliation, the judge would grant a divorce. This process was intended to bring an end to court battles “about ’causes’,” “substitute honesty for hypocrisy,” and result in humane, enforceable divorce decrees.
In the meantime, a number of states by legislative enactment had begun to de-emphasize adversarial divorce procedures. In several states, statutes permitted couples to divorce after they had lived apart for a specified time; no wrongdoing need have occurred. By the mid- 1960s, eighteen states, Puerto Rico, and the District of Columbia sanctioned living apart as a ground for divorce.
Another attempt to offset the harsh effects of adversary divorce was the establishment of family courts; only judges trained in family law would rule on such issues as alimony and child custody. It was hoped that family courts would establish equitable financial settlements and prevent one parent from denying child-visitation rights to the other. After the first family court was established in Cincinnati, in 1941, the concept spread to Milwaukee, St. Louis, Omaha, Des Moines, Portland, Oregon, and Washington, D.C. In 1949, the states of Texas and Washington initiated similar reforms. The Los Angeles Children’s Court of Conciliation, which tried to reconcile divorcing parents, was perhaps the most well-known of these schemes. By 1959, the Los Angeles Children’s Court reportedly reconciled 43 percent of the alienated couples who entered counseling.
Still, many people continued to advocate the elimination of adversary divorce. In 1966, historian Christopher Lasch argued that lenient, non-punitive divorce would protect the family rather than threaten its well-being. If mates could easily end destructive marriages, society would be left with “mature marriages” rather than non-functional ones. Two years later, anthropologist Margaret Mead advised Americans to view divorce as the termination, without re crimination, of a dead marriage. Divorce was, in her view, an opportunity for a divorced person to form “a better marriage, a true marriage” in the future.
During the late 1960s, such legal specialists as New York University law professor Henry H. Foster, Jr., and attorney Doris Jonas Freed recommended the adoption of mutual consent, or no-fault, divorce. Foster and Freed argued that divorce law must strike a balance between public concern for the family and the need to end an individual marriage. Foster explained that 70 percent of divorce petitioners tried to minimize the adversarial nature of divorce proceedings through collusion or by charging cruelty rather than utilizing harsher grounds, especially adultery. Foster predicted that “substantial reforms” were in the offing and hoped that they would “sever the bonds of acrimony” and assist divorcing mates and their children in getting on with their lives.
California was first to act on the idea of no-fault divorce. After studying various suggestions and the 1966 Report of the Governor’s Commission on the Family, California legislators began to draft nofault divorce statutes in 1967. In 1969, the legislature approved the Family Law Act. Governor Ronald Reagan signed it into law on September 5, 1969. The bill, which went into effect on January 1, 1970, replaced California’s seven grounds for divorce with two no-fault provisions: irremediable breakdown of a marriage and incurable insanity. Petitioners had only to reside in California for six months before applying for a divorce. Judges could award alimony based on a spouse’s need for support and the other spouse’s ability to pay; they were to divide a couple’s property equally. Judges were also to make child custody decisions. And the final decree was to be known as a dissolution, rather than a divorce. Legislators hoped that these provisions would end adversarial divorce and eliminate the need for one petitioner to present evidence blackening the character of the other.
California’s no-fault divorce statute marked the beginning of widespread changes in American divorce law. In 1971, Iowa was the first state to follow California in adopting no-fault divorce. By August 1977, only three states retained the adversary system of divorce: Illinois, Pennsylvania, and South Dakota. Fifteen states–Arizona, California, Colorado, Delaware, Florida, Iowa, Kentucky, Michigan, Minnesota, Missouri, Montana, Nebraska, Oregon, Washington, and Wisconsin–stipulated irretrievable breakdown of a marriage as the sole ground for divorce, while sixteen others–Alaska, Alabama, Connecticut, Georgia, Hawaii, Idaho, Indiana, Maine, Massachusetts, Mississippi, New Hampshire, North Dakota, Ohio, Texas, Tennessee, and Rhode Island–had added irretrievable breakdown to existing “fault” grounds. Today you can apply for divorce on no fault grounds in Utah. Speak to an experienced Bountiful Utah divorce lawyer to know how you can seek a divorce in Utah on no fault grounds.
No-fault divorce did bring about a number of significant alterations in American divorce. It changed the concept of divorce from a punishment of an offending spouse to a “remedy for situations which are unavoidable and unendurable.” And, although no-fault divorce law attempted to preserve marriages when possible, it provided relief to dissatisfied spouses on non-judgmental grounds.
It also made collusion between divorcing spouses unnecessary because one no longer “sued” the other for divorce. As a result, the number of male petitioners increased considerably. No-fault divorce also led to less costly divorce because a no-fault action seldom involved high court, attorney, and other costs. A 1977 U.S. Supreme Court ruling in Bates v. State Bar of Arizona intensified this effect by permitting attorneys to advertise their services. Soon, American lawyers advertised easy, inexpensive divorces more frequently than any other legal service.
Parents Versus Third Parties: Grandparent Visitation
Parents have rights over their children; and the state has a residual role. Are there others who have claims? Sometimes—particularly after bitter divorces or the death of one parent—grandparents feel themselves cut off from their grandchildren. The extended family may be decaying; but grandparents still play a huge role in the lives of millions of children.
All fifty states today have statutes granting grandparents, and sometimes other third parties, the right to petition for visitation rights—even when parents object. These statutes pit parental rights against the grief of grandparents who lose contact with their grandchildren. These statutes vary in substance and procedure, but they all give a court power to override a parent’s decision to cut off contacts with relatives. Many of the laws require divorce or the death of a parent to trigger visitation rights for third parties; children of fractured families, it was feared, were losing touch with extended families, particularly the parents of the non-custodial parent.
Tommie and Brad Troxel never married, but they lived together and had two daughters together. (Tommie had eight children in all.)81 After the couple broke up in 1991, Brad moved in with his parents and often brought the girls to their house for his visitation weekends. When Brad committed suicide in 1993, his parents wanted to maintain the same type of schedule; but their mother agreed to no more than one visit per month. The Washington State statute permitted “any person” to petition for visitation rights, and authorized courts to grant these requests if this was shown to be in the “best interests of the child.” The trial court granted substantial visitation rights to the grandparents— more or less what a divorced dad might expect.
Tommie appealed; and in Troxel v. Granville (2000), a somewhat surprising decision, the United States Supreme Court held that Washington’s visitation statute was unconstitutional, at least as applied to Tommie. Under the Fourteenth Amendment— the Due Process Clause—the parents’ right to “liberty” included rights over the care, control, and education of their children. Troxel expanded this right. The Washington statute, according to a plurality of the Court, was “breathtakingly broad.” A third-party visitation statute must, at a minimum, give “special weight” to a parent’s decision not to allow visitation. The Washington statute relied on that old standard, the “best interests of the child.” This appeared to give equal weight to the preferences of the parent and third parties. But a fit parent must be presumed to act in the best interests of the child; and that includes the decision to block visits by grandparents. Before a court can order visitation rights, there must be at least some evidence to overcome this presumption.
After Troxel, courts in many states struggled with challenges to their own statutes—did they give enough deference to parental rights? Statutes in California and Minnesota expressly built in a presumption in favor of parental decisions. New York’s visitation statute permits grandparents to petition for visitation if either parent is deceased or if “equity would see fit to intervene.” Lower courts have read this requirement as sufficiently protective of a parent’s right to refuse visitation.
Little Brittany Collier lived with her mother and her maternal grandparents, Gary and Carol Harrold, from birth to age two. Her father (who had never been married to her mother) had supervised visitation rights twice a week. Then Brittany’s mother died of cancer. Her father petitioned for and won custody of Brittany. He took her from the grandparents’ home and refused any further contact. They filed a request for visitation. Ohio law put the burden of proof on the party seeking visitation, and listed factors to be considered, including the wishes of a child’s parent. This emphasis on the parent’s rights was enough to allow the court to avoid Troxel. The Harrolds, who had a longstanding and close relationship with Brittany, won the right to visitation.
Cases like these continue to wind their way through state court systems with mixed results. The statutes, and Troxel itself, are, of course, signs of the times. There is no organized “grandparents’” lobby; but it is easy to form interest groups out of dispersed individuals with a common problem or interest. And the civil rights movements—starting with African Americans, then women, Native Americans, the elderly, the handicapped, prisoners, and all other conceivable clusters—make the idea of grandparents’ rights more tenable. As do the increasing use of courts, constitutions, and judicial review to sort out rights and conflicting interests; the growing tendency of law to treat individuals as rightsholders, rather than families; and the increase in the number of what used to be called “broken homes.” All this set the stage for a battle, in which Troxel was a kind of climax, but not a definitive resolution.
Choosing the right attorney
Divorce law is a highly specialized profession, and one attorney is not necessarily as good as another. Even if you restrict yourself to an attorney who specializes in divorce law, attorneys have different amounts of experience in complicated negotiations and in litigation. They differ in the time they have practiced in your jurisdiction and in their awareness of individual judges’ previous rulings. They differ in cost. They differ in how thoroughly they prepare cases and in how responsive they are to your phone calls and needs. Some will handle your case themselves, while others will turn it over to an associate—perhaps an inexperienced one. Some will agree to act as a coach if you decide to represent yourself, providing information and advice and reviewing agreements you have reached with your spouse.
Litigation has a number of serious financial and emotional pitfalls. Legal fees may escalate out of proportion to your assets. When you take your case to court, your life is scrutinized in public and your future is turned over to a judge who neither knows your family nor has the time to tailor a decision to your unique case. His or her ruling is determined by some combination of formulas, the opinions of experts if called in on your case, and the judge’s own leanings. Litigation is chancy and courts unpredictable. He points out that every trial lawyer has had the experience of turning down settlement offers because they were too low, only to obtain far lower settlements in court.
Mediation is an alternative to the traditional two-attorney adversarial path to divorce and is being used by increasing numbers of people. In mediation, an impartial professional helps divorcing spouses hammer out agreements that are fair, informed, workable, and acceptable to both spouses. In mediation, there is no winner and loser, as there so often is in an adversarial divorce. Mediators take a win-win approach. Some couples use mediation to negotiate all issues: parenting arrangements, support issues, and property division. Some use it only for decisions related to the children, while their attorneys handle their financial issues.
Don’t confuse mediation with arbitration. In arbitration, parties accept the decision of the arbitrator. In mediation, a settlement is completely voluntary. Mediators neither make decisions nor force a decision. If the parties do not reach a decision on one or more issues in mediation, they are free to resolve them through their attorneys or the courts. Don’t confuse mediation with counseling or therapy, either. Mediators do not help you decide whether to get divorced or help you work through your emotions and losses, as therapists do.
Mediation can be used at any time. Some couples use it before one moves out of the home, others after they have met with an attorney. Some try it as a last attempt to avoid litigation, although by this time conflict has often escalated out of control. Some couples seek family mediation after divorces are final to settle new disputes that have arisen over children. Some use it after remarriage to work out a detailed parenting agreement in which everyone’s roles and responsibilities are spelled out when one or more stepparents are involved.
Mediation is not a panacea. It is a poor choice if either party is fixated on revenge or “winning,” or if either is determined to hide assets despite agreements for full disclosure. It is not a good alternative if one party’s functioning is seriously impaired due to very low intelligence or severe psychopathology. If a spouse cannot let go of the marriage, he or she may not be willing to resolve all issues because to do so would mean the end of the marriage. And if one spouse has clearly dominated the relationship or if there has been ongoing domestic violence, it takes a very highly skilled and astute mediator to guide the couple to a fair agreement.
Successful mediation may mean you can avoid years of bitterness, hard feelings, court battles, and relitigations. It is a process far better suited to families than is the adversarial process, particularly for issues concerning children. If all issues are not resolved in mediation, you can always fall back on adversarial means to resolve them. Mediation is an option well worth considering at any time during the divorce process. Couples in mediation typically report feeling empowered to shape their own futures rather than victimized by a callous system. Mediation is less time-consuming, less costly, and less stressful than is the adversarial path to divorce, and people generally report more satisfaction with mediation and mediated agreements than they do with adversarial procedures and their resultant settlements.
The adversarial legal system can do for families in divorce what the hand grenade does for interior design. Mediation is a path to a kinder, gentler divorce. In fact, the majority of states now have mandated mediation for couples with disputes about their children. In Utah the spouses must subject themselves to mandatory divorce mediation before they can move the courts.
If divorce will be the end of the relationship, the hand grenade approach may not be so catastrophic. But in cases involving underage children, divorce is not the end of the parents’ relationship, but a milestone. Mediation gets spouses communicating in a constructive way. It demonstrates that cooperation can be more to their advantage than confrontation. It models communication and negotiation skills that can be used in the future. This is quite a contrast to the escalating bitterness and conflict that are so often by-products of adversarial divorces and that inevitably color future interactions.
Couples in mediation typically report feeling empowered to shape their own futures rather than victimized by a callous system. Mediation is less time-consuming, less costly, and less stressful than is the adversarial path to divorce, and people generally report more satisfaction with mediation and mediated agreements than they do with adversarial procedures and their resultant settlements. Studies report that people are also more willing to adhere to their mediated agreements and less likely to drag one another back to court.
In mediation, the mediator helps the parties clarify issues, individual needs, and priorities; develop and evaluate a variety of options; and hammer out agreements that are acceptable to both parties. Parties are also helped to compile information needed to make informed decisions, such as financial records, their separate living expenses, pension valuations, and property and business appraisals.
Emotional Divorce
Your emotional divorce is completely separate from your legal divorce. For some it does not take place until long after the legal divorce is finalized. For some, it is an elusive goal, never reached.
Your emotional divorce is accepting the end of your marriage, recognizing both its strengths and shortcomings over the years, and acknowledging the role you played in its demise. It is letting go of the sadness, anger, and resentments and laying your past to rest. It is feeling only indifference, concern, or tenderness for your former partner rather than anger, hatred, resentment, regret, sorrow, longing, love, or dependency. It is getting on with a future of your own design.
People achieve their emotional divorce to different degrees; not everyone is a glaring failure like John or a dazzling success like Ann. Those with moderate success may still harbor strong feelings but may be able to compartmentalize them so they do not interfere with their day-to-day lives. Others may successfully co-parent their children but not without a constant struggle to avoid conflict.
For most people, disengaging from one another is an important step in completing their emotional divorce. Many people balk at the idea of disengaging, feeling that it is unnecessary. However, in the long run, relatively few people find they were correct. For most people it is a must! The following steps will help you in the disengaging process:
• If you are a departing spouse, take everything with you and change your mailing address; do not keep keys to the family home.
• Limit all contact and discussions with each other to necessary matters only, such as children, dividing belongings, and resolving financial matters.
• Formalize how you will communicate from now on; set prearranged meetings or phone calls.
• If your former partner persistently tries to make unnecessary contact, get an answering machine and screen calls.
• Send support payments through the mail.
• Do not rely on your ex-spouse for any of the functions (other than parenting) that he or she took responsibility for in the marriage (cooking, laundry, car or house repairs, bill paying, financial planning, and so forth). Falling into these familiar patterns will keep you in a state of limbo—no longer a part of your old world but unable to enter a new one.
• If you have children, establish a set schedule for them to see the departing parent. This eliminates the need for ongoing contact to arrange for exchanging the children, and it allows each of you to make plans independently. It is also good for your children.
• Respect one another’s privacy; do not ask about or offer personal information.
Disengagement does not mean you must permanently terminate your relationship with your spouse. A good relationship with your former partner can be a real asset in the future, particularly if you have children. However, to have a good relationship in the future, the spousal relationship needs to be redefined and restructured. You need to stop interacting in your old ways and find mutually acceptable new ways of relating. Because of the emotionally charged atmosphere of separation, a period of non-involvement is usually necessary before a new and different relationship can develop successfully.
If you feel the need to speak or contact your ex-spouse after a bitter divorce battle, speak to an experienced Bountiful Utah divorce attorney before you do so.

Bountiful Utah Divorce Lawyer Free Consultation

When you need legal help for a divorce in Bountiful Utah, please call Ascent Law LLC (801) 676-5506 for your Free Consultation. We can help you with Divorce. Legal Separation. Child Custody. Child Support. Alimony. Mondifications. Paternity Issues. College Funds. School Schedules. Vacation Schedules. International Divorce. International Travel with Minor Children. And So Much More. We want to help you.

Michael R. Anderson, JD

Ascent Law LLC
8833 S. Redwood Road, Suite C
West Jordan, Utah
84088 United States

Telephone: (801) 676-5506

from Michael Anderson https://www.ascentlawfirm.com/divorce-lawyer-bountiful-utah/



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Sunday, 2 February 2020

Do I Need A Lawyer For A First Time DUI?

Do I Need A Lawyer For A First Time DUI

Driving under the influence (DUI) is a very serious criminal charge in most states, despite how common it may seem, since impaired driving puts the lives of so many people at risk. Depending on factors such as your blood-alcohol concentration (BAC); your criminal record; or whether anyone was killed or severely injured as a result, you could be facing a significant jail sentence and/or hefty fines. On top of that, you will probably lose your driving privileges for a certain period of time and may need to install an ignition interlock device (IID) after a period of suspension (depending on the DUI laws of your state). You probably won’t need the help of a lawyer if it is your first offense; there were no injuries; and there is a very high probability that you will be convicted of a DUI. In these situations, chances are fairly high that you will plead guilty or no contest and then be subject to the standard sentence and administrative penalties.

If your BAC was particularly high (0.05 percent is the limit in Utah) and/or if the officer has additional, strong evidence of impairment (erratic driving, smell of alcohol on the breath, slurred speech, etc.), then the likelihood of a conviction is quite high. But even if your case fits this general description, there may be factors in your case that necessitate legal assistance.

If you’re in doubt about the prospects of your case, an attorney may be willing to provide a free initial consultation. If it’s not a slam-dunk case for the prosecution, generally speaking, then there may be an opportunity for a plea bargain. Trials are expensive and take up space on the docket, so the state may rather accept a plea to a lesser charge rather than go through a trial it may eventually lose. Some plea bargains can be accomplished without legal assistance, but experienced DUI attorneys understand how to negotiate with the prosecution (and probably already have relationships with them).

Also, a prosecutor with a weak case may try to bluff in order to induce a guilty plea in situations where a plea bargain would be more advantageous to the defendant. Typically, reckless driving will be the lesser charge; but some states also have what is called wet reckless, which acknowledges the impairment but carries a lighter sentence than DUI with no jail time. Also, your driver’s license will not be suspended after a wet reckless unless your BAC is higher than .05 percent. But keep in mind that a wet reckless conviction may still be considered a prior DUI offense if you are charged with a second such offense.

Courts in most states are willing to bargain down a DUI sentence in exchange for a guilty plea in certain instances. For example, you may be facing charges for a second or third DUI, which can land you in prison for a few months or years. Instead of taking it to trial, the prosecution may be willing to reduce the sentence in exchange for a guilty plea. And if it’s a DUI charge involving drugs other than alcohol, an attorney may be able to negotiate away random drug testing or other conditions of probation. But, as with plea bargaining, “sentence bargaining” goes much smoother when handled by an attorney. Keep in mind that it is very difficult to negotiate the sentence for a first-offense, non-injury DUI case. It can be difficult deciding whether or not to hire a lawyer if you’ve been charged with a DUI. On one hand, an attorney can help defend you against less-than-solid charges or where the stakes are especially high. On the other hand, you don’t want to spend all of that money for something you think you can do yourself with a little elbow grease and determination. But, considering the consequences of a DUI conviction, it’s usually a good idea to at least consult with a local DUI attorney. After all, the attorney will be much more knowledgeable about your local DUI laws and how best to defend against the charges.

Defending a Utah DUI or alcohol-related charge can be quite challenging. This is due to the fact that the main witnesses against you are the police, and there is scientific evidence from the breath test and/or blood test being presented against you. The videotape of your arrest, the officer’s testimony, and your performance on the Standard Field Sobriety tests may also present damaging evidence against you. This is when you need DUI lawyers in Utah.

Driving Under the Influence (DUI)

The first thing you need to know is that, if you want to preserve your driving privileges, you need to request a hearing with the Driver License Division within 10 days of your arrest. This process can be time-consuming and confusing, but a qualified DUI lawyer in Utah will handle this process for you! A first-offense DUI is usually a misdemeanor, and many courts hand down a standard sentence. If you were driving while intoxicated and there’s strong evidence backing that up elevated blood alcohol content (BAC), witnesses stating you were driving erratically, failed field sobriety tests, etc. some people simply choose to plead guilty. In these cases, an attorney may not be able to do much for you. However, if there are any facts about your case that may increase your penalty, such as an extremely high BAC or an accident, or aspects that might decrease your penalties, such as procedural issues during your arrest, you may want to hire a lawyer. If you’re not sure, an attorney can help recognize these facts and help you come up with a plan of action, including representing you at trial if necessary.

Some of the factors that can create doubt about the justification for your arrest include:

• Questionable field sobriety test results

• BAC below 0.05%

• Questions about the accuracy of the BAC

• Procedural problems with your arrest, like not reading you your Miranda rights in cases like these, an attorney may be able to get the charges thrown out or reduced. Local DUI attorneys generally have a good idea of how the prosecutor works and what arguments are most likely to win a reduced plea.

In some states prosecutors can reduce the charges to something called a wet reckless. This is a reckless driving charge where alcohol played a factor. This charge usually leads to a lesser sentence than a DUI. In states without the wet reckless charge, you may be able to plead down to a reckless driving charge. You can win a plea bargain on your own, especially if the facts are strongly in your favor. However, if your case is less clear, an attorney may have a better chance of success. Where judges have discretion in handing down punishments, sentence bargaining may help you get a lesser sentence. However, even if a judge has discretion they don’t always use it. Many see so many DUI cases they don’t have time to look carefully at each one, so they stick with a standard sentence for nearly all DUI first offenses. If judges in your jurisdiction do regularly accept sentence bargains, an attorney is likely to know what legal facts are more likely to win a successful outcome. If your case is more than just a misdemeanor DUI, having an attorney becomes more important. Some situations can turn even a first-time DUI into a felony:

• DUI with a child in the car

• Very high BAC

• Causing injuries

These and other factors are serious and can lead to a year or more in prison, among other penalties. An experienced DUI attorney may have a better chance of reducing your plea or sentence than you would on your own. Representing yourself in plea or sentence bargaining is challenging but not impossible. However, if your case will be going to trial you want to consider getting a lawyer. Trial procedures are more complicated than bargaining procedures, and you’ll be expected to follow all procedures correctly. Judges won’t give you any breaks for not knowing them. If your income is low enough you may qualify to have a public defender represent you. In many jurisdictions public defenders handle a lot of DUIs.

They’ll know how the system works and how to get you the best deal possible given the facts of your case. If you qualify for a public defender, try to find out what reputation the public defender’s office has in your jurisdiction. If it’s positive, the prosecutor may be more willing to negotiate a good deal. If your income is too high to qualify for a public defender, you’ll need to hire a private attorney if you want representation. For the best chance of success, keep a few things in mind:

• An attorney who handles DUI cases regularly is more likely to get you a good outcome than a generalist.

• Make sure you find out up front how much your case is likely to cost, including factors that might increase the cost.

• If possible, talk to at least 2 or 3 lawyers to find one you are comfortable with.

An initial consultation is often free, so you can see if the attorney is a good fit for you. Some attorneys do charge for the initial consultation but will apply the fee to the cost of your case if you hire them. In many cases you won’t need an attorney for a first offense DUI. But if your case isn’t straightforward, an attorney may be able to get a better outcome for your case than you could alone. If this is your first drunk driving offense or your first brush with the law for any reason, expect that you might be in for an expensive process. Sometime after your arrest for a DUI (driving under the influence) or DWI (driving while intoxicated), you’ll have to appear before a judge for your arraignment. An arraignment is a court appearance in which a defendant is formally charged with a crime and asked to respond to the charge by entering a plea.

At your arraignment, you’ll be asked to plead to the charge. Typically, the options are guilty, no contest, or not guilty. A lawyer may also be appointed for you and the amount of your bail may be set. Most defendants charged with misdemeanors who haven’t already posted bail are released on their own recognizance at arraignment. Having an attorney represent you at arraignment is normally unnecessary. At this stage, you are only entering a plea, and you can plead not guilty. You can always change your plea to guilty or “nolo contendere” (no contest) later. In most states, you can also insist on a jury trial. In these states you don’t have to specifically request a jury trial; it is assumed you want one unless you expressly waive that right. You can always drop your demand for a jury trial later. If you’re charged with having prior under-the-influence convictions, you should deny these convictions so that you or your attorney can challenge their validity later.

After you’ve been released from jail, try to objectively evaluate your case (most likely with the help of an experienced lawyer). Your alternatives include:

• simply pleading guilty as charged

• trying to plea bargain down to a reduced charge like reckless driving (a “wet reckless” is a term used for reckless driving involving alcohol)

• asking for a trial before a judge, or

• demanding a jury trial (available in most, but not all, states).
Generally, the wisdom of fighting a DUI charge depends on the strength of the prosecution’s evidence. So, if there’s evidence showing you had a high blood alcohol concentration (BAC) or that you were extremely intoxicated, negotiating a plea deal might be the way to go. In all states, you can be convicted of a “per se” DUI for driving with a BAC of 0.08% or more, regardless of whether or not you were actually affected by the alcohol you drank. So, when a driver has a high BAC (about 0.12% or above), it becomes a lot more difficult to win at trial. Even if your attorney can raise some doubt about the precision of the BAC measurement, it might not be enough to convince the jury that you were below the legal limit. Your chances of beating a per se DUI charge at trial get better with a BAC that’s closer to 0.08%. With a BAC that’s 0.08% on the dot or only slightly above, all your attorney needs to do is persuade the jury that you’re within the margin of error of the testing procedure.

Depending on the circumstances, your attorney might also be able to convince the jury that your BAC was below limit while driving but has raised by the time you was tested known as the “rising-blood-alcohol defense.” Evidence of impairment is also an important consideration. Even if the prosecution doesn’t have a chemical testing showing you had a prohibited amount of drugs or alcohol in your blood (evidence of a per se DUI), there’s a second type of DUI based on actual impairment. In other words, proof that you were driving while affected by drugs or alcohol you ingested can also lead to a DUI conviction. Evidence of impairment often comes in the form of bad driving, poor field sobriety test (FST) performance, slurred speech, and behavior indicating intoxication. Sometimes, evidence that seemingly indicates impairment can be explained. For instance, a person who fails to complete an FST perfectly might have been tired or just simply uncoordinated. But for evidence of intoxication like a driver swerving all over the freeway and reeking of booze an explanation might not cut it.

DUI Lawyer Free Consultation

When you need legal help with a DUI Charge in Utah, please call Ascent Law LLC for your free consultation (801) 676-5506. We want to help you!

Michael R. Anderson, JD

Ascent Law LLC
8833 S. Redwood Road, Suite C
<span itemprop=”addressLocality”>West Jordan
, Utah
84088 United States
Telephone: (801) 676-5506

from Michael Anderson https://www.ascentlawfirm.com/do-i-need-a-lawyer-for-a-first-time-dui/



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Real Estate Lawyer Magna Utah

Real Estate Lawyer Magna Utah

Seek the assistance of an experienced Magna Utah real estate lawyer to draft your real estate purchase agreement. There are many complex issues involved in a real estate purchase contract.

A party’s right to assign the purchase contract to a third party may be a significant issue to a seller. Sellers generally agree to execute a purchase contract with a specific purchaser only after they are convinced of the purchaser’s ability to complete the transaction. By providing the purchaser with a right to assign the contract, the seller is agreeing to substitute an unknown for the party it knows well. This may be particularly problematic in cases where the seller has agreed to provide the purchaser with take-back financing. Therefore, some sellers will not agree to an assignment of the contract or may demand the right to prohibit the assignment, with or without cause.

Miscellaneious Clause

A “general provisions” or “miscellaneous” clause is quite common in real estate contracts. This clause allows the parties to address issues such as:

1. In the event that mortgages are used rather than deeds of trust, the word “mortgage” shall be substituted automatically.

2. If this contract provides for the assumption of existing trust(s) or for purchase subject to existing trust(s), it is understood that the balance of such trust(s) and the cash down payment are approximate amounts.

3. Trustees in all deeds of trust are to be named by the parties secured thereby.

4. The property is to be conveyed in the name(s) to be designated in writing by the purchaser prior to settlement.

5. The seller shall furnish any pertinent information required by the purchaser or his or her financing agency in reference to obtaining a loan commitment and in general shall reasonably cooperate (at the purchaser’s sole expense and obligation) with the purchaser’s acquisition of the property.

6. The words “seller,” “purchaser,” and all pronouns and any variations thereof shall be deemed to refer to the masculine, feminine, neuter, singular, or plural, as the identity of the person or entity and the context may require.

Real Estate Notices

The purchase contract should require that all notices to be provided under the terms of the contract be in writing and be mailed by certified or registered mail to the addresses stated in the contract. Written notice of address changes must be sent to all parties.

Real Estate Acknowledgment

The purchase contract must be signed by both parties in order to be enforceable and binding. The final clause of most real estate contracts is an acknowledgment clause whereby both parties acknowledge that they agree to all the contract’s terms.

Real Estate Options

You may consider using an option to gain site control over a specific site. For a fee, the potential purchaser may be able to purchase an option that would provide the purchaser or “optionee” with a defined period of time (“option period”), usually from 30 to 90 days, to evaluate the site, for example, to complete feasibility and environmental studies and to decide whether it wants to purchase the property. If the optionee decides to purchase the property, it “exercises” the option and settles on the property within the time period set out in the option agreement. Longer-term (multiyear) option contracts are more common in the development of raw land, where a developer seeks site control over a large tract of land but can afford to purchase and develop only one portion at a time. The long-term option contract might allow the developer to purchase one portion, develop and sell it, and then use the sales proceeds to exercise the option on the next portion of land, and so on.

Purchase and Option Agreements

There are not many differences between a purchase and an option contract. In fact, an option agreement must contain many if not all of the provisions included in a purchase contract because the option essentially converts into a purchase contract if the optionee exercises its option to purchase the property. Therefore, option contracts often include many of the provisions in the context of what the parties must do or provide if the option is exercised. The purchase and the option contracts do differ in the following ways:

• Unlike the purchaser of a purchase contract, who is legally committed to purchasing the property by the settlement date, the purchaser of an option is committed only to deciding whether it wants to exercise its option to purchase the property within the option period.

• Purchase contracts require a significant earnest money deposit, ranging from 5 percent to 25 percent, to “guarantee” the purchaser’s performance. Option contracts, on the other hand, generally require the purchaser to pay only a relatively small amount of money—1 percent to 5 percent of the purchase price—for the right to defer its decision on the purchase. This option fee may or may not be applied to the purchase price. The option contract should state how the option fee is to be treated.

• An option is often viewed as a purchaser’s, not a seller’s tool, because it allows the purchaser to risk very little and requires the seller to provide the purchaser with an exclusive right to purchase the property during the option period. A seller is not likely to enter into an option contract if there is significant demand for the property in the marketplace. Sellers obviously prefer to execute a purchase contract, which carries the expectation of settlement, instead of an option contract, which carries limited expectations that the property will be transferred.

• Optionees generally are required to act within the option period or lose their option on the property; purchasers in a purchase contract are often provided, for good cause, a reasonable period of time to complete the transaction even after the settlement date has expired

You may want to secure the right to extend the option period one or more times. If so, it should negotiate terms that fix:

1. The number of times that the option period can be extended.

2. The number of days or months added in each extension of the option period.

3. The additional amount of consideration that must be paid by the optionee for each extension.

4. Whether these additional fees later will be applied toward the purchase price, if settlement goes further.

5. Whether the purchase price of the property will be increased because the optionee is postponing settlement on the purchase by extending the option period.

Exercise The Option

An option agreement must include a statement of what the optionee must do to exercise the option if it wants to purchase the property, the manner by which the seller must be notified of the optionee’s exercise of the option, and any other action that the optionee must take to exercise the option, including the payment of additional funds.

At the time it exercises the option, the optionee must provide the escrow agent with an additional deposit, in order to secure the right to purchase the property. These issues can be addressed together in one paragraph.

Purchase Price

The purchase price provision in an option agreement may be considerably more complicated than a similar provision in a purchase contract and may be utilized to address the following issues:

1. The purchase price of the property.

2. Whether the initial consideration paid by the optionee for the option will be applied, in whole or in part, toward the purchase price.

3. Whether the optionee will have to pay additional funds, at the time when it exercises the option, to create an “earnest money deposit” similar to the deposit required under traditional purchase contracts.

4. Whether the purchase price will increase, and the extent of this increase if the settlement date is postponed due to additional extensions of the option period by the optionee.

Failure to Exercise the Option

The option agreement must explicitly state the rights of the parties, should the optionee fail to exercise the option. Commonly, the option agreement will provide that:

1. The seller is to retain all consideration paid by the optionee for the option and any extensions.

2. Neither party retains any claims against the other after the expiration of the option period.

In fact, the seller may seek to include, in this provision or elsewhere in the option agreement, a statement that prohibits the optionee from recording the option in the land records of the jurisdiction where the property is situated. The statement will limit any perceived restrictions on the transferability of the property or continuing claims by the optionee upon expiration of the option.

Loans

Every loan that is obtained by a sponsor, whether from private or public lenders, will carry some variation of interest rates, maturity and amortization, financing fees and other lender charges, and prepayment provisions.

Interest Rates

When a lender agrees to lend money, it not only wants the money or principal paid back according to a payment schedule but it also wants the borrower to pay interest on the amount of the original loan that has not yet been repaid. A lender usually determines how much interest it will charge a borrower by considering:

1. Interest costs, if any, incurred by the lender to borrow the money that it is lending the borrower.

2. The amount of interest that the lender could earn if it invested its money elsewhere, given similar risks.

3. The amount of interest being earned from investments that the lender will have to liquidate in order to make the loan.

4. The amount of money that the lender will spend over the loan term to service the loan or track the loan and the loan payments.

5. The amount of money (“profit”) that the lender wants to make over and above the direct costs incurred to borrow the money and service the loan.

6. The riskiness of the loan, as perceived by the lender.

All loans carry interest rates regardless of the profit motive of the lender. Interest rates can be “fixed” or constant throughout the loan term, or they can “adjust” or change periodically over the life of the loan. With a fixed interest rate loan, the interest rate on the loan never varies. The borrower pays, during the entire loan term, whatever interest rate it agreed to pay when it secured the loan. Interest rates on adjustable rate loans, often referred to as adjustable rate mortgages (ARMs), can change frequently over the loan term. Every adjustable rate loan should clearly state when the loan adjusts; how the new, adjusted interest rate will be established; and any limitation on the amount of increase in the interest rate that can be imposed on the borrower on a date of adjustment. ARMs with interest rates that are adjusted once a year, once every three years, or once every five years are common in the industry. However, some ARMs are adjusted every month or even more frequently. Where an interest rate is adjusted every three years, the borrower actually has secured a hybrid fixed and adjustable rate loan. The loan remains at a fixed rate of interest for three years, is adjusted, and then stays “fixed” at the adjusted rate for three more years, continuing in this manner until the end of the loan term.

When you are purchasing real estate for development, an experienced Magna Utah real estate lawyer can be of immense help. The lawyer can guide you through the purchase process and draft the required documents to complete the transaction.

Magna Utah Real Estate Lawyer Free Consultation

When you need legal help with a real estate case in Magna Utah, please call Ascent Law LLC for your free consultation (801) 676-5506. Evictions. Real Estate Contracts – REPCS. Litigation and Lawsuits. Boundary Disputes. Quiet Title cases. Utah Liens. Real Estate Trusts.
And Much More. We want to help you.

Michael R. Anderson, JD

Ascent Law LLC
8833 S. Redwood Road, Suite C
<span itemprop=”addressLocality”>West Jordan
, Utah
84088 United States
Telephone: (801) 676-5506

from Michael Anderson https://www.ascentlawfirm.com/real-estate-lawyer-magna-utah/



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Saturday, 1 February 2020

Products Liability Lawsuits

Products Liability Lawsuits

At the point when an individual is harmed by a faulty item that is absurdly risky or dangerous, the harmed individual may have a case or reason for activity against the organization that structured, fabricated, sold, circulated, rented, or outfitted the item. At the end of the day, the organization might be obligated to the individual for his wounds and, therefore, might be required to pay for his harms. That, to put it plainly, is item risk; and, of course, the law that oversees this sort of obligation is alluded to as item risk law.

Items obligation cases can be founded on carelessness, severe risk, or rupture of guarantee of wellness relying upon the ward inside which the case is based. In a severe risk hypothesis of obligation, the level of consideration practiced by the maker is insignificant, as long as the item is demonstrated to be inadequate, they will be held at risk for the damage coming about because of the imperfection.

In many countries governing bodies have led the pack in forcing exacting risk for item surrenders. The courts of a few nations, including Canada and South Africa, have not pursued California’s (US) Greenman holding.
History

Of the different U.S. states, California was the first to discard the fiction of a guarantee and to intensely attest the regulation of severe obligation in tort for blemished items, in the Supreme Court of California’s choice in Greenman v. Yuba Power Products, 59 Cal. 2d 57 (1963) (in which the greater part sentiment was written by then-Associate Justice Roger J. Traynor). The Greenman choice was exceedingly persuasive on the improvement of item risk law in other states.

An offended party in an items obligation case states that the maker of an item ought to be at risk for an individual damage or property harm that outcomes from a deformity in an item or from false portrayals made by the producer of the item. A litigant frequently endeavors to discredit the offended party’s case by demonstrating that the item was not faulty or that the offended party’s abuse of the item was what made damage the offended party.

Items risk law comprises of a blend of tort law and contract law. Parts of this region of law identified with tort incorporate severe risk, carelessness, and trickery. Viewpoints that identify with contract law relate for the most part to the laws overseeing guarantees. Since this territory of law is extremely half and a half in nature, an offended party may attest various potential cases, for example, carelessness, break of inferred guarantee of wellness, rupture of express guarantee, or misrepresentation.

At the point when courts in the United States started to force suggested guarantees of merchantability in the late 1800s, the standard necessitated that the offended party has privity of agreement with the litigant. This implied the purchaser more likely than not acquired an item legitimately from the maker so as to recuperate from the producer. Amid that time, makers had started to depend all the more intensely on retailers to sell items. Since numerous purchasers did not really buy the items straightforwardly from the producers, however, those purchasers couldn’t recoup for the break of suggested guarantee from the makers because of an absence of privity of agreement.
Courts opened the ways to current items obligation cases during the 1960s by enabling remote offended parties to recuperate against the makers of damaged items. The American Law Institute (ALI) included standards relating to items obligation in the Restatement (Second) of Torts, which was authentic declared in 1965. Since the 1960s, the law of items risk has kept on extending and create. The ALI perceived this improvement by affirming the Restatement (Third) of Torts: Products Liability, in 1998.
Each state has its own laws for product liability. Currently, there is no federal law regulating products liability claims. Utah code states that a complaining customer should not demand a dollar amount while making his or her claim but will expect a reasonable return for his or her particular situation of products liability and malfunctions. This stage of filing a complaint is also known as a “pray for damages.” Alteration or Modification After Sale – If the product in debate was altered by the customer after the product’s sale and is seen as a substantial contributing cause, then the manufacturer or seller is not liable. The manufacturer is also not at fault if the product was not used for its original purpose. Deadline for Filing a Case – A buyer has two years after his or her first issue with a product to file a claim. This also applies when the malfunction is evidenced but is not pursued by the customer with the diligence that is necessary to identify the cause. The deadline for filing a case is known as the statute of limitations.

Sales Contract that Indemnifies – If the sales contract or collateral document requires the customer to indemnify the manufacturer of a product or to hold the manufacturer harmless, then a claim cannot be made. In such an instance, the claim is considered “void and unenforceable” even if a defect in the design or manufacturing caused an injury or death. Navigating these laws can be difficult because of the vague terms, which are decided by case law. In addition, there is a negative slant towards pursuing an injury claim. At Christensen & Hymas, we seek to help those who are truly in need of representation and commit our full attention to their cases. In 2010, over 64,000 people filed a federal lawsuit because they were injured by a defective and dangerous product. This means that an average of 175 people a day were injured. While only 50 people in Utah filed a lawsuit, the number of people injured was likely higher. Those who did not file a lawsuit may never held the guilty party responsible because they did not know how to do so. You may have a loved one who has been harmed or killed as a result of someone’s bad product. We created this page to help you understand your options regarding compensation for your needless suffering.
Types of Product Liability Laws
In many states, including Utah, there are three different ways that a business can be considered in charge of its item:

1. Design deformities

2. Manufacturing deformities,

3. Failure to caution of its risks.

Defect in Design
A company’s liability for a design defect occurs when there was a foreseeable risk posed by the product when the product was manufactured as intended and used for its intended purposes.
In numerous states, offended parties additionally need to demonstrate that the hazard could have been decreased or maintained a strategic distance from by the selection of a sensible elective plan, which was:

• Feasible, as it were, the maker had the capacity to deliver it;

• Economically possible, at the end of the day, it would not be too expensive to even think about making the item with the change; and

• Not contrary to the item’s expected reason, at the end of the day, the item would in any case play out the capacity for which it was made.

Design Defect Example
For instance, expect that a metal fan was secured by a guard, however, the openings in the gatekeeper were seventy-five percent of an inch wide. In utilizing the fan, the offended party’s hand slips between the holes in the guard, and the offended party is harmed by the edges of the fan. The offended party may put together an item risk suit with respect to the plan of the fan, contending that the watchman’s openings were irrationally enormous and that it was predictable that somebody’s hand would contact the cutting edges.

For this situation, there are numerous elective plans that may have averted the damage. The holes in the gatekeeper could have been little, with the goal that it would be incomprehensible for somebody’s hand to go through however air would, in any case, have the option to pass unobstructed.

The court would then request an expected expense of making fan watches with little spaces. It would likewise gauge the normal expense of the doctor’s visit expenses related to fan-related wounds and duplicate that by the assessed number of fan-related wounds. On the off chance that the expense of making the littler hand watchmen is not exactly the expense of doctor’s visit expense from fan wounds, the littler gatekeeper would be considered monetarily attainable.

There are two ways that Utah characterizes an item plan as imperfect:
1.When utilized appropriately, the item caused surprising risks due to how it was planned.
2.It qualifies under #1 and when it was structured there was a “more secure elective plan” that could have sensibly been utilized.
To demonstrate this in court, four things must be appeared:
1.the item’s structure was faulty;
2.this “made the item irrationally perilous;”
3.it “was available at the time the respondent [manufactured, appropriated, or sold] the item; and”
4.it caused the offended party’s wounds.
When a product has a design defect, the plaintiff most often sues on the basis of negligence or strict liability. The negligence cause of action will allege that the manufacturer knew or should have known of the risk associated with the design. A plaintiff has a stronger argument if he or she can show that an alternative design would not have reduced profits significantly. A strict liability cause of action alleges that the manufacturer placed a defective product posing an unreasonable risk of danger into the stream of commerce.
What Is a Manufacturing Defect?
A manufacturing defect is a type of legal claim involved in a many types of product liabilityclaims. With an assembling imperfection, the item moves toward becoming threats, hazardous, or unfit for use because of how it was developed or set up together amid the assembling procedure.
Manufacturing defects are different from design defects, in which there is something wrong with the way the product was designed. With a manufacturing defect, there is nothing wrong with the design; however, an error in manufacturing is what makes the product dangerous to the consumer. Another common type of defect is a warning label defect, where the company failed to include sufficient warnings with a product.
Manufacturing Defects defines
Utah defines a manufacturing defect in two ways. If the product was made different from:
1. “the manufacturer’s design or specifications, or
2. products from the same manufacturer that were intended to be identical.”
Proving a manufacturing defect requires the same four things as a design defect.

Product Liability Claims under Utah Law

There are several types of product liability claims which may be made, including the following:

* Strict Liability – Under strict products liability, a manufacturer is held liable if warnings, design or manufacturing defects make the product ‘unreasonably dangerous.’

*Warning Defect-a warning defect means that the manufacturer either failed to warn the consumer about dangers, or provided an inadequate warning.

*Design Defect-a design defect occurs where the manufacturer, according to common engineering principals, could have designed the product in a safer manner. You may recall that lawn mowers used to have exposed blades and no kill switch to prevent contact with rotating blades.

*Manufacturing Defect-a manufacturing defect happens when, although the product is a safe design, a flaw in the manufacturing process makes the product dangerous. For instance, a spoon which is manufactured with edges sharp enough to cut your mouth represents a manufacturing defect.

* Negligence-a claim for the failure to include an effective warning, safe design or prevent manufacturing defects. Unlike strict liability, the claimant must prove that the manufacturer was negligent in the production process or knew or should have known of the defect.

* Breach of Warranty-a claim that the product failed to live up to its purpose. For example, a tire which blows out at freeway speed would be considered a breach of the warranty that the tire is safe for road use.

A Utah products liability lawyer can better help you understand what type, or types, of claim you may have available and will have access to the necessary expert witnesses and engineers needed to establish the claim.

Do you need product liability insurance?
There’s a typical misguided judgment among some entrepreneurs that they needn’t bother with protection, or that it’s excessively costly. In all actuality, regardless of whether you’re a dough puncher selling delectable cupcakes, or a boutique selling the trendiest garments—you ought to dependably shield yourself from the danger of item liability claims. The minute you start selling your product you’re at risk for product liability lawsuits, which can be very expensive and time consuming.
Any small business that produces and sells a product should have this type of coverage, including:
• Bakeries
• Clothing stores
• Florists
• Restaurants
• Gift shops

• Wholesalers
• Specialty food stores
• Coffee shops
• Pet stores
• Print and copy shops

Remember that product liability cases are not just a hazard for business-to-shopper activities, yet in addition business-to-business tasks. In the event that you produce an item that you pitch to different entrepreneurs, despite everything you need item obligation protection. A portion of these organizations would include:

• Software developers
• Website creators/designers

• Raw material suppliers
• Equipment suppliers

Other coverage options to consider:
Commercial general liability insurance: Commercial general liability (CGL) insurance is intended to shield you and your business from a misfortune in case you’re found legitimately subject for real wounds or property harm to an outsider brought about by the item you sell or the administration you give. CGL protection can likewise offer insurance in circumstances where you or your workers are directing business offsite.

Digital hazard and information break inclusion: Cyber assaults are a progressing risk to independent ventures and have kept on rising as of late. Digital occasion cost inclusion is intended to help private ventures that depend on innovation relieve a portion of the costs that may acquire because of a digital hack.

Proficient Liability: If one of your customers or clients guarantees your recommendation caused them a money-related misfortune, your expert obligation inclusion can enable you to recuperate from the budgetary results that may acquire. This inclusion is otherwise called mistakes and oversights (E&O) inclusion.

Property protection: As an entrepreneur, you likely depend on your property, devices, gear, and innovation to help keep your business running. In the event that one of those key bits of the riddle was harmed and required fix, you will be unable to proceed with tasks. This is the point at which you need property protection inclusion.

Gear breakdown protection: Your hardware is shrouded in your property protection arrangement for harm brought about by outer sources, for example, flame, floods, and climate harm; be that as it may, you may not be secured for electrical or mechanical harm. In these circumstances, you’d look to your gear breakdown protection.

Business accident protection: If you or your representatives utilize your vehicle for business purposes you need

business collision protection to secure that vehicle in manners your own auto approach will most likely be unable to.

Products Liability Lawyer Free Consultation

When you need legal help with a products liability matter in Utah, please call Ascent Law LLC for your free consultation (801) 676-5506. We want to help you.

Michael R. Anderson, JD

Ascent Law LLC
8833 S. Redwood Road, Suite C
<span itemprop=”addressLocality”>West Jordan
, Utah
84088 United States
Telephone: (801) 676-5506

from Michael Anderson https://www.ascentlawfirm.com/products-liability-lawsuits/



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Family Lawyer South Jordan Utah

Family Lawyer South Jordan Utah

If you are living in South Jordan Utah and have adopted a special needs child, you may be eligible for assistance. Speak to an experienced Family Lawyer in South Jordan, Utah.

Once the state agrees that a child has special needs, and the child can show eligibility, all that remains is to determine the child’s legal status. A Title IV-E eligible child must be either voluntarily placed or have his or her legal status determined in a court of law by a judge. A voluntarily placed child is one who has been placed into foster care voluntarily by his or her birth parents under the terms of a voluntary placement agreement and with the goal of going back home eventually. When the goal cannot be reached, and the child becomes a waiting child in need of an adoptive placement, a court becomes involved. In other cases, children go into foster care without a voluntary placement agreement and the birth parents relinquish their rights immediately. If the court and a judge become involved within six months of the child going into foster care, the requirements of IV-E have been met. This rule is designed to stop “foster care drift.”

Adoption

Adoption subsidy, or AAP, is available only to adoptive parents of a child with special needs. The two types of AAPs are IV-E (or federal) AAP and state AAP. IV-E AAP is subject to FFP. The states will get some of this money back, most of it in fact.

Administrative hearings are relatively informal proceedings in which you as adoptive parents have the opportunity to present your case in your own words. You are permitted to be represented by counsel, but depending on the issue, may choose to represent yourself and reserve the option of enlisting the services of an attorney if you decide to pursue the appeal to the final stage of the hearing process. Lack of resources to hire an attorney should never prevent you from requesting a hearing. Adoptive parents are often quite successful in representing themselves. When making a decision about whether to seek representation or go it alone, it is usually a good idea to consult with an experienced South Jordan Utah family lawyer.

Hearing decisions must be communicated in writing. If the initial hearing decision goes against you, the notification letter must also provide information about the next level of appeal. The second step in the appeals process in a number of states is an administrative review of the hearing, usually by a section in the state department of human services. The administrative review is not another hearing but a reconsideration of the hearing decision based on the hearing record and relevant state regulations. Once again, the administrative review decision must be communicated to the adoptive parent in writing along with information about the next level of appeal.

Adoptive parents should contact the adoption section in the state human services agency, explain that they adopted a child and are interested in filing an appeal for Title IV-E adoption assistance. You should inform the state official you are aware that the child’s eligibility must be established through an administrative fair hearing. You should then ask how to go about requesting a hearing and ask for any written regulations and procedures on the subject. If you cannot obtain sufficient information because the state does not yet have clear guidelines on filing an appeal for adoption assistance after finalization, you should not give up. The specific steps for filing an appeal for adoption assistance after a final decree of adoption may vary from state to state, but you should be able to rely on certain basic due process rights. As noted in the previous section, the right to an administrative fair hearing is triggered by the proposed denial of federal or state assistance. If no other avenue presents itself, you should be able to receive a fair hearing by

• filing an application for Title IV-E adoption assistance with the appropriate state or county agency, as if the child had not yet been adopted. You should retain a copy of the application; or

• writing a letter of petition indicating you are applying for adoption assistance and that you are aware that appeals must be made through the state’s administrative fair hearing system as set forth in federal PIQ 92-02. The letter should discuss the extenuating circumstances that you believe are grounds for a reconsideration of your child’s eligibility. Finally, you should indicate that you are requesting an administrative fair hearing or information about how to obtain one.

Remember, the application will probably be denied, but federal regulations stipulate that it may not be ignored. If your request for adoption assistance is denied, the denial notice must inform you of your right to appeal the decision and how to schedule an administrative fair hearing. If there is no response to the application in thirty to forty-five days, or if the response does not contain sufficient information about the appeal process, you should contact the state’s office of administrative fair hearings for guidance. Unresponsiveness and an agency’s failure to act with “reasonable promptness” to an application are cited as grounds for a fair hearing in federal regulations. An experienced South Jordan Utah family lawyer can help you get a fair hearing. Fair hearing is your right and you shouldn’t give up this right.

Your first responsibility as an adoptive parent is to establish that extenuating circumstances either prevented you from applying for adoption assistance or prevented your child from being determined eligible for adoption assistance. If you succeed in arguing that extenuating circumstances are a factor in your case, then your child’s eligibility for adoption assistance should be reconsidered. You may present written documentation, call on witnesses for oral testimony, or present both kinds of evidence to support your argument.

• Relevant facts regarding the child, the biological family or child’s background are known and not presented to the adoptive parents prior to the legalization of the adoption

• Denial of assistance was based on a means test of the adoptive family. (According to federal law, the income of the adoptive family has no effect upon the child’s eligibility for adoption assistance.)

• Erroneous determination by the state that a child is ineligible for adoption assistance

• Failure by the state agency to advise adoptive parents of the availability of adoption assistance.

Suppose, for example, you feel that information about your child’s special needs was not available to you at the time of adoption and had you known the extent of the child’s problems, you would have applied for or received adoption assistance. At the hearing, you would present statements by medical or mental health professionals that (1) showed the extent of the child’s current special needs, and (2) showed that the current special needs either existed or were traceable to conditions that existed at the time of the adoption. Because adoptive parents have worked hard to secure medical or psychological services to address their child’s emerging problems, they often have such documentation in abundance. You also might find adoption agency workers to corroborate your testimony.

The point of the presentation is to establish that the child’s special needs originated prior to the adoption, but you were either unaware of them or did not recognize their seriousness. The purpose of the adoption assistance program is to help such children. Serious medical or emotional problems may be particularly difficult to recognize in infants or very young children who are simply not old enough to manifest clear symptoms. Adoptive parents and their children should not be punished because of a lack of sufficient information at the time of the adoption. When you are seeking an administrative hearing, always seek the assistance of an experienced South Jordan Utah family lawyer. The lawyer can provide you with invaluable assistance.

Federal law does not explicitly use the term burden of proof in discussing questions of eligibility, but the law makes it clear that the state or local agency, not the applicant, is responsible for determining eligibility for federal programs, including IV-E adoption assistance. The applicant has the responsibility of providing information to facilitate the eligibility determination. In most cases involving an appeal for adoption assistance after finalization, the chief contribution of the adoptive family is to provide information about the child’s special needs.

Adoptive parents are not expected to assume the primary burden for establishing whether the child meets such requirements as AFDC relatedness or if a judicial determination of best interest has been made when they submit an application for adoption assistance before finalization. Those eligibility requirements pertain to the child’s situation at the time he or she was removed from the home of the birth parents, a period before many adoptive families come into the picture and have any relationship with the child. In such cases, the state or local agency assumes responsibility for gathering the facts necessary to determine if the AFDC relatedness and judicial determination of best interest standards are satisfied.

The state’s responsibility for conducting eligibility determinations and the adoptive family’s responsibility for responding to eligibility determinations. If the state contends that the child is not eligible for adoption assistance because he or she did not meet the AFDC relatedness requirement, for example, it should provide documentation for its determinations. At that point, the adoptive family must be able to challenge that claim with evidence of its own.

1. Extenuating circumstances are most accurately characterized as the subject of the hearing, meaning that they are a matter to be determined at the hearing itself, not the grounds on which the decision to grant or deny a hearing is made. As an adoptive family, you have a right to an administrative fair hearing if a federal benefit is denied. You should be able to obtain a hearing in virtually every instance in which you petition for adoption assistance after finalization of the adoption.

2. You assume the burden of establishing the existence of extenuating circumstances at the administrative fair hearing.

3. If you succeed in establishing the existence of extenuating circumstances, the next question before the hearing examiner is whether the child met the eligibility requirements for IV-E adoption assistance.

4. The state (agency) is responsible for making eligibility determinations. If the state has determined that the adoptive child does not meet one or more of the eligibility requirements for IV-E adoption assistance, it is responsible for presenting evidence at the hearing to support its determination. If the evidence regarding the child’s eligibility is not available at the time of the hearing, the hearing examiner may order the agency to determine eligibility as part of the hearing decision.

You share the burden of proof with the agency in that you must respond to a determination by the state that the child does not meet one or more of the eligibility requirements for IV-E adoption assistance with evidence of your own. This responsibility, however, presupposes that an eligibility determination has been made and communicated to you. If there is no record that an eligibility determination has been made, you must cooperate in presenting information in your possession that may be relevant to the child’s eligibility, but you do not assume the entire burden of establishing the child’s eligibility.

If you are seeking assistance for your adopted special needs child, speak to an experienced South Jordan Utah family lawyer.

South Jordan Utah Family Lawyer Free Consultation

When you need legal help from a family lawyer in South Jordan Utah, please call Ascent Law LLC for your free consultation (801) 676-5506. Postnups. Prenups. Child Custody. Paternity. Divorce. Legal Separation. Alimony. Debt Division. Asset Division. Asset Protection.
And Much More. We want to help you.

Michael R. Anderson, JD

Ascent Law LLC
8833 S. Redwood Road, Suite C
West Jordan, Utah
84088 United States

Telephone: (801) 676-5506

from Michael Anderson https://www.ascentlawfirm.com/family-lawyer-south-jordan-utah/



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