
Infringement of property rights claims require proof of ownership, unauthorized interference, notice procedures, evidentiary support, injunction strategies, and damages analysis. Infringement of property rights occurs when a person unlawfully uses, occupies, reproduces, or interferes with protected property interests without authorization. Infringement of property rights disputes often depend on ownership records, notice requirements, registration status, and evidence of unauthorized conduct. Understanding infringement of property rights helps property holders preserve remedies, seek injunctions, recover damages, and protect ownership interests through timely legal action.
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Attempted solicitation under New York law occurs when a person takes a substantial step toward asking someone else to commit a crime. This charge often surprises people, because it applies even when the underlying crime never happens, and the attempt itself is enough to trigger liability. New York Penal Law treats attempted solicitation seriously for this reason, focusing on the defendant's intent and conduct rather than the outcome. If you or someone you know is facing an attempted solicitation investigation, understanding the intent and substantial-step requirements early can make a meaningful difference in how the case unfolds.
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An Employee Stock Ownership Plan (ESOP) agreement is a legal document that establishes the terms under which employees acquire an ownership stake in their employer's company through a trust mechanism. ESOP agreements are governed by federal tax law, primarily the Internal Revenue Code and ERISA (Employee Retirement Income Security Act), which impose strict requirements on plan design, funding, valuation, and distribution. Failure to comply with these requirements can result in plan disqualification, loss of tax benefits, and personal liability for plan fiduciaries. This article examines the legal structure of ESOP agreements, the rights and responsibilities they create for participating workers, timing and valuation issues, and the procedural safeguards available when disputes arise.
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Family law encompasses the legal issues that arise between parents, guardians, and children, including custody, visitation, child support, and parental rights determinations. New York family law operates under strict procedural rules that govern notice, filing deadlines, and evidence standards, and procedural defects can result in case dismissal, delayed relief, or loss of parental rights. Courts in Queens handle thousands of family matters annually, and delays in filing proper documentation or establishing jurisdiction can affect custody outcomes and support orders. This article covers the core legal framework parents encounter: custody and visitation posture, child support calculation, modification procedures, and how Queens courts apply New York statutory requirements.
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New York DUI Record Expungement seals past drunk driving offenses from public view through a formal court petition process. New York law permits eligible individuals to pursue a DUI Record Expungement, a crucial legal process that removes or seals a conviction record. This remedy is not automatic; clearing your history requires filing a formal petition with the court and satisfying strict statutory criteria. The court's decision depends heavily on the severity of the offense, potential injuries, and time elapsed. Seeking guidance on DUI Record Expungement can help individuals accurately evaluate their eligibility, navigate complex legal procedures, and gather the essential documentation required to strengthen their case and regain peace of mind.
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Antitrust compliance sets the legal rules for corporate pricing, competitor agreements, and market conduct under the Sherman Act, Clayton Act, and FTC Act. Many businesses encounter antitrust compliance problems only after regulators have already started asking questions. At its core, antitrust compliance demands proactive systems, written policies, documented decisions, and trained employees, not reactive damage control. I have advised corporate clients who faced federal scrutiny over routine communications, which is precisely why building a sound antitrust compliance framework before a problem arises is the most important step a company can take.
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