I. Introduction: The Search for Interpersonal Justice
Pondering the future of a field in 2005, a leading scholar asked: “Where might private law theori[s]ing go in the next 25 years?”Footnote 1 That scholar might be intrigued by the present-day arc of intellectual history. Instrumentalist accounts of lawyer-economists and critical scholars have fallen out of favour. These theorists, infamously, see “interpersonal justice” as a stumbling block to what matters – the pursuit of aggregate welfare or a more egalitarian world.
Against this, the task of restoring interpersonal justice to a position of chief importance in private law has been undertaken by the devotees of Kant and Aristotle, who draw from their meditations on equal freedom and the correction of transactional injustices.Footnote 2 The lynchpin of this defence is the recognition of the “relational nexus” in private law. An “internalist” appreciation, it is said, takes seriously the self-understanding of participants, including the rules and decisions offered by adjudicators providing guidance on parties’ interpersonal rights and duties. “External” approaches miss the point: a functionalist view of tort as aiming at the goals of loss compensation and deterrence, for instance, cannot but misconstrue “bilateralism” in private law.Footnote 3
The Kantian contribution has proved a double-edged sword. It is now de rigueur to query: “What is it that ties the claimant and defendant together?”Footnote 4 But in defining the domain of interpersonal justice, Kantians have also confined it to a narrow set of concepts: correlativity, formalism, independence and negative freedom, a robust distinction between misfeasance and nonfeasance, the continuity between right and remedy, and a strict division between correction and distribution, or private and public spheres of law.
Even among private lawyers with a deontological bent, the Kantian case has not been put beyond a reasonable doubt.Footnote 5 Dissatisfaction has now ignited a search for “third way” approaches. These include Dagan and Dorfman’s bracing account of relational justice;Footnote 6 McBride’s thoughtful picture of private law and human flourishing;Footnote 7 Jaffey’s intriguing attempt at a rapprochement between corrective and distributive justice;Footnote 8 and Gardner’s exploration of the relationship between personal life and private law.Footnote 9
This article likewise attempts a non-instrumental yet non-Kantian framework for interpersonal justice. Why place another option on the menu of private law theory? First, there remains work to be done in sorting through our conceptions of personhood and the interpersonal. Second, in operationalising theory, it is vital to clarify that there is not one overarching question for private law. There are questions about institutions of empowerment, our primary entitlements, remedial norms and practices, and how we define the division of labour between public and private. Moreover, if we are committed to interpersonal justice, these questions must be framed and answered in such a light. Why do we owe it to each other to craft a general institution of private empowerment? How do our doctrinal entitlements flow from a process of interpersonal reasoning? What considerations factor in determining remedies for breaches of rights and duties? And how do we draw the line between what we owe each other as members of a polity, and what we owe each other in particular private law settings? These are distinct questions, and their answers are neither completely continuous nor discontinuous. Third, a new framework is needed to overcome misleading dichotomies that have marked the so-called public-private divide, including the antinomies of correction and distribution, principle and policy, and negative versus positive.
In situating my contribution, I have opted to take the Kantian approach as my departure point. As Calvino reminds us, we define ourselves in relation or in opposition to classic works.Footnote 10 Weinrib, the leading corrective justice theorist, once adopted such a contrastive and dialectical style, taking seriously the claims of critical legal studies to revive legal formalism.Footnote 11 Others have, in turn, used the Kantian and corrective justice approach as a starting point for articulating their own viewsFootnote 12 and I take inspiration from this strategy, giving the Kantian paradigm due regard as the self-appointed force for preserving “relationality” in private law.
Let me offer an opening sketch of a post-Kantian vision. Its core elements take reference from a method that is well established in political and moral philosophy, but which has yet to make a comprehensive impact on private law:Footnote 13 the contractualist philosophy of Rawls and Scanlon. Contractualism anchors what we owe each other in the notion of interpersonal justification, which is determined by the identification of principles that no one could reasonably reject. The direction of this procedure is relational in that justification is made towards affected individuals as ends in themselves, and not to the world at large. This core idea differs sharply from the Kantian account, where interpersonal justice simply refers to persons relating on terms of equal and reciprocal negative liberty. Moreover, on the contractualist account, individuals are not simply abstract purposive beings defined without reference to well-being, but people situated in different contexts with a range of interests. While Kantians claim that formal independence exhausts the substantive content of private law, contractualist reasoning admits of more complexity. In factoring interests and other considerations into the interpersonal calculus, contractualism compares burdens to individuals under various regulative principles, while giving particular force to the priority of persons. In addition, contractualism rejects the received wisdom that there is no relational nexus beyond private law. On the Kantian view, the realm of the public concerns what is emphatically non-relational: distributive and instrumentalist reasoning in pursuit of shared societal goals, and the division of benefits and burdens as a matter of multipolarity. On the contractualist view, relational nexuses can be formulated at different levels of interactions, recognising that there are differences as well as intersections between spheres of relationality.
I argue that contractualism presents a more appealing approach to addressing enduring issues in private law theory. These range from macro-institutional questions to micro-level doctrinal puzzles, the difference between the realm of primary rights and secondary remedies, and aforesaid dichotomies that have plagued private law. I do not claim that contractualism is a “theory of everything”, but that it offers the potential for resolving or dissolving the aforementioned debates, and reclaiming “interpersonal justice” on fresh terms.
II. From Kant to Contractualism
A. The Closing of the Kantian Mind
In pinning a label to scholars within the Kantian tradition, I do not mean to diminish their differences. Weinrib draws primarily from Aristotle and Kant, Ripstein from Kant and Rawls.Footnote 14 Beever’s approach is also philosophical, though he has worked theory extensively through the details of doctrine. That said, these authors share overlapping views on various organising ideas in private law, such that commentators often discuss them together.Footnote 15
For Weinrib, corrective justice is associated with the idea that the positions of the parties, their normative entitlements, the nature of the injustice, and the justifications relevant to liability, are all correlatively-structured. Correlativity keeps out instrumental considerations such as deep pockets or the ability to bear losses, since these do not apply equally to both parties. Since correlativity is structural, it needs to be linked up to a substantive principle consistent with it. Here Weinrib draws on Kantian personality, referring to beings capable of setting and choosing their own ends, but not subject to a duty to act for any particular purpose. This idea generates negative duties of non-interference that protect purposive capacity per se, applying at the level of particular persons (“subjective rights”) and the system as a whole (“Right” as the objective order of value).
Ripstein’s account is in the same ballpark as Weinrib’s, though he gives Kantian independence pride of place. Each person’s entitlement to use their bodies and property as they see fit, consistent with the entitlement of others to do the same, gives rise to a morality of interaction that entails reciprocal constraints. While Ripstein and Weinrib are ad idem on Kantian right as the substantive source of private law entitlements, Ripstein argues that a focus on the right to independence proceeds in an opposite direction from Weinrib’s corrective justice starting point, since the latter appears to over-emphasise remedies over rights. Ripstein also takes the idea of purposiveness to be thinner than Weinrib’s and in any event subsidiary to equal and reciprocal negative liberty.
Beever follows a version of Weinribian corrective justice in his earlier account of negligenceFootnote 16 and subsequently takes a more explicit Kantian turn.Footnote 17 In Rediscovering the Law of Negligence, he delineates four spheres of morality – personal, interpersonal, societal and international – and argues that the first concerns ethics, and the last two distributive justice, while the interpersonal is the only sphere aligned with corrective justice. Beever’s analysis of negligence rests very heavily on what he sees as an unbridgeable distinction between principle (rules and doctrine) and policy (everything apart from principle). This distinction, like Weinribian correlativity, excises supposedly irrelevant considerations. In A Theory of Tort Liability, Beever uses a Kantian framework very similar to Ripstein’s. He defends a “rights”- rather than “loss”-based model of tort liability, where rights are understood in the Kantian sense of “equal maximum freedom”, “innate right” and “innocence”.
Critical engagement with Kantian theory is not in short supply, and commentators have often pointed to a lack of fit with doctrines such as the objective standard of care, pure economic loss, public authority liability, strict liability torts and economic torts.Footnote 18 I will eschew a review of common cavils. The principal difficulty is the “implausible claim” that Kantian right exhausts all that is significant about persons and relations, such that “human well-being as such has no normative or moral significance at all”.Footnote 19 One can certainly contemplate space for a conception of personality that accommodates a wider range of motivations and interests. As Keating observes, Kantians overshoot the mark by forswearing all talk of interests: “Evaluations of the urgency of the interests at stake are basic ingredients in judgments of negligence …. Articulating the care owed in some context requires balancing the plaintiff’s interest in avoiding physical harm against the defendant’s interest in imposing risk …. Almost any tort can be described in terms of some interest that it protects.”Footnote 20
Indeed, we value freedom from interferences not solely because such interferences constitute disrespect for abstract personality, but because they may present setbacks to the variety of interests valued, prioritised and protected in private law.
In addition, to say that interpersonal justice is relational only insofar as it concerns the “not in charge of” relationship between abstract persons seems to denude the concept of its jurisgenerative capacity. Surely persons relate to each other on a wide variety of terms specific to the type of relationship and interaction at hand. Even if we took Kantian independence as our lodestar, it is hard to imagine its workability as an account of practical reasoning without interpersonal interests and other considerations taken into account. Bodily integrity, for instance, can be compromised in different ways and by different means, with the nature of the interpersonal wrong sensitive to the importance of the interest (physical, sexual, privacy-based, etc.) and extent of violation in the relevant context.
Moreover, in reasoning to what we owe each other, the Kantian might concede that: “Questions of whether a particular injury was within the ambit of the risk in a negligence action, whether a consequential loss was within the terms of a shipping contract [and so on] are not fully determined by the relevant juridical concepts.”Footnote 21 But Kantians perplexingly claim that these are run-of-the-mill questions resolvable by the application of Kantian right to particulars.Footnote 22 Others point out this “refusal to take interests into account makes it all but impossible to avoid being vague”.Footnote 23 Consequently, the Kantian picture forecloses a range of considerations that enter our deliberation as bases for determining regulative principles.
B. The Contractualist Approach
In this respect, contractualism sees moral argument as interest-centred reasoning about the justifiability of actions to the persons potentially affected by themFootnote 24 and philosophers have found that this method spells out “in illuminating terms” what it is for a nexus of duties and claims to hold between persons.Footnote 25
First, unlike the Kantian view, contractualism does not presuppose a Procrustean description of abstract personality. This is not to say that one admits all manner of detail. For the purposes of determining what we owe each other in various contexts, our inquiry is practically oriented, not centred on specific individuals, but representative persons falling under certain descriptions, constituencies, or standpoints: peoples in global society, members of a political community, employers and employees, injurers and foreseeable victims, neighbours, parties to a commercial contract, and so on. As Kumar notes, the “description of a standpoint abstracts away from the points of view of actual people, so it does not pick out anyone in particular”, referring instead to persons in a certain social position and their generally characterised circumstances.Footnote 26 Standpoint reasoning permits us to frame epistemically accessible options for conduct, by filtering cognitively burdensome and normatively irrelevant information associated with the particular preferences, history or makeup of specific individuals.
Second, contractualism recognises that persons interact in different spheres of interpersonal justice. A sphere constitutes a core area of interaction within which persons relate to each other, such as the political community, family, home, workplace or sites of commerce.Footnote 27 While somewhat conventionalist in utilising socio-legal categories as a starting point, one could see this as an application of “situation-sense”, in its understanding of legal norms as clustering around models of interaction that include type-situations and transactions between type-characters.Footnote 28 While some spheres involve multiple persons or classes of persons, and concern the distribution of benefits and burdens across parties, this does not entail that the relevant morality of interaction is a consequentialist one.
Third, contractualism acknowledges the significance and weight of various interests. Unlike the economistic view, however, interests are not reducible to subjective preferences, and neither can they be neatly aggregated under the banner of wealth maximisation. Instead, they are “distinctive” and “widely recognised aspects of individual well-being”.Footnote 29 How does one identify admissible interests? There is no fixed formula: “[W]e bring to moral argument a conception of generic points of view and the reasons associated with them which reflects our general experience of life, and … this conception is subject to modification under the pressures of moral thought and argument.”Footnote 30 We may take further guidance from the scheme of interests recognised in private law, ranging widely from self-determination and physical security, to proprietary, economic, emotional, dignitarian, reputational, privacy and other interests forming aspects of our well-being. This is defensible provided we do not see any existing hierarchy as cast in stone, given worries about pernicious path dependency.Footnote 31
Fourth, contractualism sees parties as not simply seeking advantages over others, but as possessing a shared willingness to modify individual demands in pursuit of mutually acceptable terms of cooperation. We pursue our interests in ways that can be justified to other persons who equally have interests to pursue. Rawls thus understands individuals to possess moral personality in being rational (capable of having ends or purposes), as well as reasonable (capable of abiding by fair and reciprocal terms of agreement). As Freeman explains: “[W]e think of a reasonable person as one who is cooperative and fair-minded, who respects others and their position and is sensitive to the reasons and purposes they have, and who is willing to moderate his demands and meet others halfway when conflicts arise.”Footnote 32
A few clarifications: first, reasonable rejectability does not “function as a kind of primitive property that one somehow intuits”.Footnote 33 What the contractualist framework offers is a procedure for interpersonal reasoning, which enables us to filter through various considerations. In addition, notions of “contract” tend to cause confusion. The idea of “contracting” does not refer to an actual consensus ad idem. Instead the hypothetical “contract” functions as a heuristic directing us to the positions of individual contractors, so that affected interests feature as personal reasons in deliberation. Rawls famously sends contractors to the original position behind a veil of ignorance, removing facts about their natural assets and abilities, class position or social status, and ethical or religious commitments, in order to excise arbitrarily conferred advantages from colouring our reasoning, and as a “way of testing whether one really does judge a principle to be acceptable from all points of view”.Footnote 34 While Scanlonian contractualism does not employ a thick “veil”, it likewise recognises some stylisation of the information space. In considering a principle of mutual aid, for instance, while we consider the generic positions of rescuers and rescuees, we should not permit the fact that one so happens in actuality not to require such aid to taint the initial structure of deliberation.Footnote 35
Lastly, contractualism alludes to principles that no one could reasonably reject. While Scanlon alludes to an “indefinite number” of valid moral principles,Footnote 36 what we are ultimately comparing are various regulative options for the governance of conduct, practices and policies. Regulative options can be framed at different levels, as lawyers appreciate when parsing differences between rules, standards, principles and multi-factor approaches. Contractualists tend to frame the relevant regulative options at relatively high levels of generality in order to facilitate moral discourse and evaluation. We compare burdens to classes of persons under Rawlsian principles of justice with the distribution of burdens under alternative schemes; we compare principles of mutual aid (no aid, easy aid, aid despite high personal cost); we contrast principles of negligence and strict liability governing the imposition of risk within a community. As one commentator has observed, principles “should not be thought of as statable rules whose application requires little, if any, interpretation and judgment”.Footnote 37 This suggests that contractualist reasoning is itself no algorithm for solving every problem of interpersonal justice, given the leeway one has in framing regulative options and the weight of the relevant considerations at stake. Nonetheless, as I will explain, the contractualist reasoning procedure is able to plug the gap between the abstract and concrete in a manner more compelling than the Kantian approach. It does not rest purely on our intuitions as to justice; depending on the question at hand, more fine-grained comparative analyses can be undertaken in specifying the relevant principles through the method of co-deliberation.Footnote 38
For the contractualist, a course of conduct, practice, or policy is justifiable if permitted by regulative principles that nobody could reasonably reject as a basis for informed, unforced and general agreement. In examining a certain option, we contemplate how its adoption would burden different individuals under various standpoints. For each candidate principle, we look at the individuals who would be personally burdened the most, comparing pairwise the weight of the personal reasons which such individuals have for rejection. If a principle imposes greater burdens on others’ interests compared with alternative principles which could certainly burden oneself, but to a lesser extent, this would be a ground for reasonably rejecting the first principle. This interpersonal comparison of burdens to interests is often called the “greater burden” approach. We have reason to accept this approach in that each of us stands to benefit from an ethical system where our more pressing interests are given due recognition. A smaller burden on liberty to protect another’s security might be justified to both parties, if the alternative is an unattractive outcome where a more pressing interest in security is sacrificed for a trivial advance in another’s liberty, and such constraints jointly and severally advance each person’s interests on balance.
This method looks primarily to personal reasons that individuals have for rejecting a proposed principle, and only secondarily to non-personal reasons. Personal reasons include the various personal interests of prospective claimholders and affected persons, the nature of conduct and manner of interference with interests, and prior relational context, which enter deliberation as reasons for considering one principle over another. While Scanlon’s initial formula appeared to exclude aggregative reasons (the cumulative reasons of many individuals) and impersonal reasons (those that do not have to do with the way individuals would be affected), the better view is that these work as defeasible defaults that accord priority to the separateness of persons, while also making space for circumstances where each individual has equally or comparably pressing personal interests and it would be unreasonable to choose a principle favouring a single individual or smaller group over those of a larger group, or cases where countervailing impersonal reasons of sufficient magnitude and importance (such as legal-systemic and institutional considerations) can be given appropriate weight in determining which principles are reasonably rejectable.Footnote 39
In any event, even if an interpersonal comparison of interests yields a prima facie preference for certain regulative options, permitting some activities or arrangements to proceed, relational justification requires that the interests of those burdened continue to exert demand for appropriate recognition. Institutional mechanisms might be morally required to uphold core interests. A socially valuable activity or arrangement might be permitted only on the grounds that due care is exercised, or that the least restrictive or burdensome means are used in proceeding. Reciprocal benefits might be necessary, including offsetting benefits flowing to those affected or mutual privileges to expose others to certain risks or setbacks in pursuit of overall and longer-term advantages for all, as are other forms of compensatory advantages that adequately vindicate the interests trenched upon.
Consider a few examples. We might argue that transiting from a state of nature into a political community is justified to each member of the polity. Each obviates greater burdens of the Hobbesian condition and gains more on balance, despite certain burdens imposed by the state’s coercive apparatus: the state provides public goods, fixes coordination problems and prohibits antisocial conduct threatening core physical and proprietary interests. Moreover, as between possible political schemes, once we discount arbitrary factors of socio-economic status, wealth and connection, we might accept something like Rawlsian principles of justice: protection of equal basic liberties, fair equality of opportunity for those with similar abilities and levels of motivation, and a measure of socio-economic security in the distribution of income and wealth.
Take a more basic dilemma of interpersonal morality: the justification of certain principles of rescue.Footnote 40 The paradigm cases are where some person is suffering extreme pain or an immediate threat to life. The relevant parties are potential rescuees and rescuers who have little prior contact and are in a sufficiently proximate situation such that the latter have the ability and opportunity to offer aid. A principle of rescue must contemplate the relative interests of parties, in particular the possibility of significant incursions on the autonomy and resources of rescuers, as contrasted with the burdens of harm befalling the un-rescued. At one end, as Scanlon observes, we could reject an intolerably intrusive principle that required us to give no more weight to our interests than to the similar interests of others. On the other hand, we could accept a principle requiring us to make a slight sacrifice in order to alleviate someone’s dire plight; or perhaps a principle of helpfulness requiring us to aid those not necessarily in desperate need but who would benefit considerably. The burdens to each person as a potential rescuer are minimal, the benefits considered ex ante of being rescued from severe plight outweigh these burdens, and in the longer run this pattern of offsetting benefits works to the mutual advantage of all.
One arena of contractualist reasoning with especial relevance to private law can be found in the literature on social risks and tort theory. Fletcher famously invoked a continuity with social contract reasoning, arguing for a “reciprocity” principle in tort: a victim is permitted recovery for injuries caused by risks greater in degree and different in order from those created by the victim and imposed on the injurer or, in short, “non-reciprocal” risks.Footnote 41 To place Fletcher’s insights within a larger pattern of contractualist reasoning, we need to appreciate that the principle of reciprocity points to different aspects of interpersonal justification for persons within a community of risk.Footnote 42 We all have interests in pursuing valuable activities that unavoidably generate risks to others: certain kinds of travel, developing technologies, construction projects and so on. In comparing burdens to our interests in liberty and security, risky endeavours hold out the possibility of justification to each subject in the idiom of general expected benefit. Each individual might accept a small risk to life or limb insofar as this is offset by benefits associated with the policy or activity over time, as long as each shares similar prospects.Footnote 43 As Keating puts it: “When mutuality of benefit is reali[s]ed in this way, no one’s life or limb is sacrificed to the greater good of others, and we each gain more from the right to impose certain risks than we lose from having to bear exposure to equivalent risks.”Footnote 44 Accordingly, we might say that risk exposure is interpersonally justifiable if outweighed by greater benefits flowing directly or indirectly to those exposed and/or part of an equitable system under which those exposed may expose others to a similar profile of risks.Footnote 45
The negligence principle further reflects the notion that each person can require reasonable precautions to reduce the risks of harm. As Lehman observes, the contractualist “might insist further that we seek to minimi[s]e the risk of harm to each [individual], aiming any precautions we take at the safety of each affected person”.Footnote 46 Where the burden to a prospective victim under a system not requiring due precaution is greater in pairwise comparison with the burden on a potential injurer who has to bear the cost of a required precaution, and we all reciprocally benefit from a system of due precaution, such an obligation cannot be reasonably rejected. On the other hand, Fletcher’s reference to Rylands v Fletcher Footnote 47 scenarios of bringing or keeping exceptionally dangerous things on land in extraordinary or unusual circumstances, or Vincent v Lake Erie Transportation Co. Footnote 48 instances of necessity, denote situations where justification on the basis of general and reciprocally expected benefits are not present, such that a strict liability claim for financial compensation is necessary as a condition for proceeding with some risky activity, in order to account for the burden of risk and harm imposed. In this way, contractualism accounts for the respective places of negligence and strict liability as a matter of interpersonal justification; it does not purport to favour a movement to strict liability on instrumentalist grounds.Footnote 49
I believe that the general unity of contractualist thinking has sometimes been obscured. Oberdiek makes the thought-provoking suggestion that given the bilateral structure of tort law, some forms of contractualism, such as Rawlsian social contract theory, are ill-suited as interpretive theories, given that the relevant justifications are applied omnilaterally to society at large; while others, such as Scanlonian contractualism that focuses on justification to a subject, are better suited to the privity of two-party interactions.Footnote 50 I agree that Rawlsian political principles are not meant to be directly imported into private law, given the different “hats” adopted by the relevant classes of contractors. As I have argued elsewhere,Footnote 51 those who are “least advantaged” in the Rawlsian architectonic tend to be persons experiencing a clustering of disadvantages in secure functioning; private law on the other hand deals with a whole spectrum of relative positions, from those who are equally resourced to others situationally disadvantaged in different ways. Nonetheless, it is useful to emphasise a methodological continuity between contractualisms. As Scanlon notes, contractualism explains interpersonal aspects of morality and obligation, excluding parts that do not involve relational components (such as the cultivation of personal virtue), yet including Rawlsian political justice (with its institutional features).Footnote 52 As I suggest below, Rawlsian-type arguments evidently have some relevance to the justification of private law at the institutional level of the question of private rights of action. And it has been observed that, notwithstanding an administrative division of labour, what we owe each other in one sphere of justice can impact upon what we owe each other in another: minimum wage laws, rules on predatory lending in consumer credit transactions, and warranties of habitability are said to preserve an adequate social minimum, if not necessarily maximising the position of the less advantaged.Footnote 53 Hence contractualism as a general structure of justification always applies interpersonally, with the catch being that the relevant relations between classes of persons requires adequate specification, whether in macro or micro senses. Emancipating the idea of interpersonal justice will thus require us to apply contractualist reasoning across a wider canvas. The normative principles that emerge through contractualist reasoning offer the resources to make sense of our institutions and practices, evaluate their merits and reconstruct these in keeping with our commitments to interpersonal justice.
III. Kant versus Contractualism
A. Institutions of Interpersonal Empowerment
On the Kantian account, a rather thin account of empowerment emerges. First, these theorists downplay the importance of empowerment in focusing on Kantian rights and duties, rather than the power/liability aspect of a private law claim. Second, these theorists describe the role of a court in overly “bilateral” terms: the claimant and defendant in an immediate dispute. The judge’s mandate does not extend to the interests of any “non-participants”. By narrowing the locus of concern to a specific doing and suffering, however, it becomes harder to see what other interests different classes of persons might have, interests that drive a demand for access to justice in private law. Third, when Kantian theorists do direct their attention to systemic reasons for institutions, the account they render again revolves around Kantian freedom. For Weinrib, institutions are required as an external standpoint to bring home to parties their rights. Ripstein likewise thinks that the adjudicative institutions trace back to Kantian freedom, but he rejects empirical justifications such as imperfect information, partiality and defects in human motivation. Rather, institutions make determinate Kantian right in particular situations. Also, even in uncontroversial cases, Kantian right requires that the defendant is entitled to do nothing until the claimant successfully establishes an imputation of wrongdoing, hence requiring a publicly instituted process of resolution.
These issues – the problem of determinacy and protection of something akin to a presumption of innocence – are arguably part of the story of legal institutions. But they do not get us fully to mechanisms of individual empowerment. Moreover, they are driven by Kantian assumptions we have previously called into question. Contrast a contractualist account.Footnote 54 In what sense do we owe it to each other to put in place an institution of private empowerment? Here, it might be useful to stress the multilayered relational nexuses that come to the fore. While on the one hand there is a bilateral nexus between a particular wrongdoer and victim, when considering the institution of private redress as a whole, we are also looking at similarly situated classes of claimant and defendant, and more generically, across all classes of persons in a polity who might seek to invoke the machinery of private empowerment through available causes of action for wrongs and injustices done to them – a macro-level type nexus closer to Rawlsian-level contractualist reasoning.
As rational and reasonable members of a community, we have shared interpersonal reasons for an institution of private rights of action. These include remedying particular injuries and giving effect to individual sovereignty in the sense of being able to hold others accountable for unjustified incursions on protected interests, in a way that is at the initiative of the victim and partially within their control. These are paralleled in conventional moral practices such as Strawsonian reactive attitudes, underpinned by a victim’s standing to demand recognition and reparation.Footnote 55 Importantly, having private rights of action benefits each person by upholding social equality in the sense of equal access to justice independent of the vagaries of power and privilege. To put it another way, once irrelevant factors are “veiled”, the package of interests we all possess as members of a polity calls for the design of a legal institution that protects core first-order interests, allows victims to initiate the prosecution of claims, and promotes access to justice for all classes of claimants. We cannot reasonably reject a principle of equal access to justice or, as one commentator has put it, equal accountability for wrongs, which includes a recognition of equality of legal status, equality of empowerment in initiating a claim, and equality within the trial process.Footnote 56 Any alternative arrangement contemplating less equal or unequal access to justice cannot be reasonably accepted, given the disproportionately greater burdens on claimholders who lose out under this system.
The contractualist method thus offers a normatively richer conception of the institution of private empowerment. Moreover, in its sensitivity to a range of human interests, the contractualist account is more hospitable in principle to novel claims at the frontiers of tort and other domains – gendered harms of sexual harassment, rape and unwanted pregnancy, causes of action concerning abuses of power by public authorities, and so forth – compared with the standard Kantian focus on a limited list of rights. In turning attention to institutional structures of empowerment, contractualism further connects private law with concerns of the civil justice system.Footnote 57 For example, in ameliorating the impact of class, gender, race or other factors, more attention might be paid to levelling the playing field in favour of equipage equality by redistributing party and judicial resources, focusing on circumstances where the greatest burdens are borne by litigants, and where necessary, limiting the ability of powerful actors to force weaker parties out of public courts. Consistent with the room for manoeuvre provided by the contractualist framework, the various options require further context-specific determination consistent with the non-rejectable principle of equal access to private law justice, but thinking this way alerts us to the possibilities for equalising empowerment.
B. Entitlements and Obligations: What We Owe Our Neighbours
Consider a specific doctrinal illustration: the tort of private nuisance, often defined as an unlawful interference with a person’s private use and enjoyment of land.Footnote 58 The relevant conception of persons and relational nexuses is quite different from the more abstract question of justifying the general institution of private empowerment. These notions are scoped to the circumstances, concerning classes of claimant-landowners or those with sufficient interests in land, and defendant-owners, occupiers and others who are responsible for creating, and at times continuing, such interferences.
Regarding the standard nuisance claim involving amenity harm, an unlawful interference is understood as one that is unreasonable and the maxim that governs relations between neighbours is often described, in the words of Bramwell B. in Bamford v Turnley,Footnote 59 as a rule of “give and take, live and let live”.Footnote 60 In Fearn and others v Board of Trustees of the Tate Gallery,Footnote 61 the majority of the UK Supreme Court reiterated that the idea of unreasonable interference is “rooted in values of reciprocity and equal justice”,Footnote 62 citing established authority that “reasonableness” is not to be understood in an overly broad or undefined way, but as expressing the principle of give and take permitting acts necessary for the common and ordinary use and occupation of land.Footnote 63 In this regard, the “governing principle is good neighbourliness, and this involves reciprocity”.Footnote 64 Lord Leggatt explained this as “a form of the golden rule that you should “do as you would have done by’” or, to put it negatively, “people cannot fairly demand of others behaviour which they would not at the same time allow others to demand of them”.Footnote 65 As we will see from a contractualist perspective, this idea of reciprocity is a normative one, quite different from, say, Coase’s famously agnostic notion of reciprocal causation.Footnote 66 The latter view controversially holds the claimant to be no different from the defendant in being causally implicated in the nuisance in question. This fails to draw any coherent moral distinction between the farmer and rancher whose cattle tramples the farmer’s crops, or for that matter, the respective actions of tortfeasors and victims generally, in its eagerness to recast nuisance as a question of transaction costs and efficient resource allocation.Footnote 67
Other Kantian commentators have tried rationalising the tort within their conceptual armoury. Weinrib claims it “arranges for the co-existence of neighbouring owners on terms of their reciprocal freedom”.Footnote 68 Beever’s “commutative justice” account holds that a nuisance claim will be permitted in circumstances where “the successful party was using his land in a manner more fundamental to the concept of property than the party who lost”.Footnote 69 But a Kantian approach is apt to see rights primarily in thin terms of non-interference. Consequently, references to coexisting uses, or the relative fundamentality of property rights, must introduce further elements, such as the comparative weight of the relevant interests in the use and enjoyment of land, systematically applied across classes of claimants and defendants.
Let us attempt a contractualist account. The key idea is that reasonable use depends on interpersonal justification. We often undertake activities that interfere with the use and enjoyment of others’ lands. If these activities are undertaken in respect of mutually shared interests, and outweigh a more limited burden of inconvenience, they are interpersonally justifiable. Such interferences are “modest, reciprocal, and mutually beneficial”.Footnote 70 Unreasonable interferences, on the other hand, are not interpersonally justifiable. These are material or substantial interferences that go beyond the burdens imposable so that all might enjoy greater benefits in the use and enjoyment of land.
Since nuisance is “the law of give and take, the court is inevitably concerned to some extent with the utility … of the defendant’s activity”Footnote 71 in addition to the burdens to claimants viz. the interests of both parties in the neighbourly nexus. In Sturges v Bridgman,Footnote 72 one could see as significant certain burdens on interests in being able to use a room on one’s land, whether as a living space or bedroom, or more particularly in this situation as a consulting room for a doctor, where such burdens involve noise and vibrations that prevents one from even being able to conduct any occupation requiring thought and attention. Such burdens are not interpersonally justifiable if imposed in the course of furthering the pecuniary interests of defendants, who might create significant interferences in their operation of machinery for a confectionary business. In the famous case of Hunter v Canary Wharf Ltd.,Footnote 73 the House of Lords held that the general interest in being able to build on one’s land is weightier than a neighbour’s interest in being able to receive television reception in an already constructed residence (hence the construction was interpersonally justifiable and not a nuisance). In contrast, an interest in television reception is sufficiently widespread in modern life and arguably more significant than an interest in a company’s installation of high-voltage electrical lines.Footnote 74 Because interpersonal justification as between persons is an inquiry into comparative interests, there is no mystery as to why courts consider the nature and extent of interference: duration, volume, and timing of noise (e.g. nocturnal noise)Footnote 75 is relevant to the extent of the burden imposed on a claimant’s interests in being able to use or enjoy land (e.g. for rest and sleep).
Consider briefly the recent Fearn decision, where the majority found that the defendant’s art gallery had committed a nuisance via a visual intrusion, by opening a viewing platform from which many visitors could look into the living areas of the claimants’ glass-walled apartments. In contractualist terms, while one cannot reasonably reject a fair amount of unavoidable “overlooking” in the ordinary course of activities as between neighbours, the defendant’s activities imposed a burden beyond a level of modest and reciprocal interferences.Footnote 76 Notably, it was held that private nuisance extends to visual intrusions and the protection of privacy interests.Footnote 77 These extensions are readily supported by contractualism, which focuses on the range of interests in using and enjoying land – be they interests in physical integrity, security or kinds of amenities – rather than a particular manner of interference. One significant amenity interest lies in the ability to conduct personal activities in a protected space without being under the gaze of others. Consequently, we could accept that the impact of constant viewing by many strangers is likely to produce a significant burden on the privacy of claimants who have an interest in enjoying their residences free from prying eyes.
It is also not difficult to see the locality principleFootnote 78 as consistent with a contractualist rationalisation of “live and let live” within a more “specialised” community of reciprocal burdens and benefits. In a residential locality, it is interpersonally justifiable to permit certain burdens of noise (music) and smell (cooking), in order to allow for shared interests in pursuing activities such as these which outweigh the burdens of amenity disruption imposed, as a matter of mutual advantage. In an industrial or commercial area, the pattern of interpersonally acceptable uses is different: “[v]ibrations from the operation of candy-making equipment are disruptive to doctors using sensitive listening devices, but not to other confectioners operating similar equipment.”Footnote 79 The locality principle is thus based on the idea that relational justification can be tailored to parties situated in certain geographic nexuses.
Consider next the role of care and precaution. Whether a defendant has taken reasonable precautions to minimise or eliminate interference is a relevant factor. Yet it is not conclusive, as it is no defence that one has conducted oneself with care where interferences remain excessive, and subject to strict liability.Footnote 80 While we generally benefit more from being able to construct or demolish homes than we lose by the inconveniences we have to put up with from time to time as a result of such activities, when choosing between various means of doing so we justify our actions to others by selecting the choice that imposes the least burdens of discomfort and inconvenience, involving less costly precautions or adjustments to an activity. Hence, “a man who pulls down his house for the purpose of building a new one … is not responsible as for a nuisance if he uses all reasonable skill and care to avoid annoyance to his neighbour by works of demolition”.Footnote 81 Nonetheless, even if one has taken care to avoid unnecessary interferences, the interference might remain interpersonally unjustifiable. In a Sturges-type scenario, if the level of noise and vibrations is such as to prevent a neighbour from making any meaningful use of his room, it is no answer that the defendant has taken all possible care in avoiding even higher levels of noise. Because the burden to the claimant’s core interests in the basic use and enjoyment of a room is greater than the defendant’s interest in operating machinery for business, and the relative weight of these interests applies systematically across parties, the defendant’s activities would be unjustifiable as a nuisance. Liability for private nuisance is thus not simply fault-based or exclusively strict: it partakes of different senses of “unreasonableness” in requiring different forms of justification to affected neighbours, the anchoring idea in a contractualist framework.
C. Repairers, Repairees and the Realm of Remedies
Kantians and contractualists agree that remedies should not be seized upon by instrumentalists to serve goals such as overall efficiency, welfare or other aims that have little to do with the relationship of the parties. But the Kantian account remains undergirded by a monistic conception of right. The position as summed up by Weinrib’s thesis of limitation is that “the remedy restores only the plaintiff’s right”.Footnote 82 This involves further sub-claims associated with the continuity between rights and remedies, including (1) that Kantian rights survive their violation; (2) that remedies are shaped purely by considerations of Kantian right; and (3) that remedies make it as if the breach never happened. These misconstrue the character and complexity of remedies.
In asking what we owe each other as a question of remedial law, it is important to be sensitive to the possible nexuses alluded to. On one hand, we have the interests of the immediate victim and wrongdoer. On the other, we contemplate the concerns of parties who are potential users of private law’s system of remedial justice and, beyond, a limited set of impersonal and systemic considerations that we cannot reasonably reject. Consequently, when considering our secondary entitlements, we open the door to a closely connected – but nonetheless distinctive – zone of normative inquiry, involving the comparative burdens on repairers and repairees in the choice of remedies.
First, Weinrib says that the “right survives the injustice and continues into the remedy, which is nothing other than the judicially crystallized post-injustice shape of the right”,Footnote 83 while Ripstein insists that “what survives is your continuing entitlement as against me”.Footnote 84 While this sort of rights-talk introduces equivocation, a more precise analysis might distinguish bottom-line claims, liberties, powers and immunities from rights understood as inputs of a certain kind.Footnote 85 For the contractualist, bottom-line primary obligations emanate from an interpersonal comparison of burdens within the relational nexus at hand, where “rights” (in the more jurisgenerative sense) can be taken as amplifiers of core protected interests. A specific bottom-line obligation may be breached in a way that results in the former being extinguished; yet the considerations that shape the original entitlements, such as the protected interests animating it, certainly remain relevant as a matter of interpersonal justice. In this way they retain normative force and necessarily factor into our remedial responses, though their presence is not determinative.
Second, in crafting remedies, the contractualist will demur that this analysis is exhausted by Kantian right. Consider the perennial puzzle of a choice between injunctive relief and an award of damages. Like the Kantian, the contractualist rejects the instrumentalist notion that remedies are a choice between property and liability rules, dependent purely on the transaction costs of bargaining. But the contractualist can accommodate a wider variety of considerations. Take the case of remedial relief in nuisance. In Coventry (t/a RDC Promotions) v Lawrence,Footnote 86 it was said that while the burden would be on the defendant to show why an injunction should not be granted, it would normally be right to refuse an injunction if all the well-known Shelfer criteria were satisfied (a small injury to the claimant’s rights, estimable and compensable via a small monetary payment, and on the flip side an oppressive outcome for the defendant),Footnote 87 with the public impact, implications for the defendant and the existence of planning permission being relevant considerations.Footnote 88
Consider that parties generally benefit from a regime that protects victims’ property interests in a way that does not impose greater and unnecessary burdens on nuisance-creators. This makes some version of a disproportionate hardship defence interpersonally justifiable to the parties. An injury readily compensable in monetary terms, which would lead to significantly greater burdens on the nuisance-creator were an injunction awarded, could warrant damages in lieu of an injunction. At other times, aggregative considerations of “public interest” may also factor into remedial design. The poster child in this regard is the well-known American decision of Boomer v Atlantic Cement Co.,Footnote 89 an older and more well-established cousin of Coventry, which similarly departed from injunctive relief as a general rule in favour of a balancing approach taking into account relative impact and hardship to the defendant, as well as the public benefits of the defendant’s activities and investments in land.Footnote 90 While an interpersonal comparison of interests between neighbouring claimants and defendants might yield a prima facie prohibition on the defendant’s pollution, the existence of wider social value to the defendant’s employees and local economy constitutes a type of aggregative consideration that is sufficient to militate against an injunction, given the greater burdens to societal interests were an injunction to be awarded. Nonetheless, the activity can only proceed with interpersonal justification if the claimants’ legitimate proprietary interests are adequately recognised. The defendant cannot simply claim that public benefit outweighs the claimants’ losses in aggregate. Rather, the normative force of the claimants’ interests in land means that the defendant must impose any interferences in the least restrictive fashion (by exercising care and moderating activities) and remains “strictly” liable for court-ordered financial compensation which ensures that affected claimants are no worse off physically or economically.
Third, in looking to the aftermath of remedies, a contractualist critique puts paid to the idea that damages make it as if the tort never happened.Footnote 91 As others have pointed out: “The thought that people who suffer devastating injuries or serious violations can be made whole is a comforting one, but there is no reason to think it true.”Footnote 92 Even if we take Kantians to refer to the restoration of a normative, rather than factual, equilibrium, it seems unlikely that remedies will always leave no normative remainder. A severed arm can be replaced by a prosthetic limb and monetary compensation, but as Gardner interjects, there always remains “a residue of unconformed-to reason, a remnant of the past that remains stubbornly inaccessible to reparative resolution … [i]f nothing else, there is the bare fact of my unperformed duty”.Footnote 93
Since the contractualist accepts no inexorable connection between entitlements and remedies, she can acknowledge that while the interests giving force to primary obligations enter our remedial deliberations, there is no guarantee that such interests are fully commensurable with various measures of damages available in private law, as these variables cannot be neatly aligned along single metric.Footnote 94 Consider then how we might justify certain kinds of vindicatory awards relating to non-pecuniary interests, such as compensation for pain, suffering and loss of amenity. We could accept that, regardless of any harms to the body requiring repair or replacement, everyone has irreducible interests in their physical persons, and in having the option to put one’s body to chosen uses. Examples include awards to unconscious claimants for the deprivation of ordinary experiences and the amenities of life;Footnote 95 for autonomy deprivation given the unwanted birth of a child;Footnote 96 and the recommended range of awards under the well-known Guidelines for the Assessment of General Damages in Personal Injury Cases.Footnote 97
As between a situation where courts are paralysed by incommensurability and unable to provide a remedial response, and a regime offering some form of compensation, the former is clearly less acceptable given its significant burdens to victims. Moreover, given the interests of all users of private law in the systematic operation of its remedial machinery, we can reasonably accept that in such cases we might have to design a conventional scheme of awards where the initial figures are discretionally fixed, with the maintenance of remedial justice effected through comparative (horizontal and vertical) equity across different kinds of injuries depending on their scale and severity. Accordingly, we can rationalise remedies as the best possible substitutes for securing the interpersonal interests underlying our primary obligations while acknowledging the unavoidability of normative remainders. This recognition displays more fidelity to the complex texture of our normative landscape; it does not abridge a multifaceted inquiry by insisting on a unitary idea of Kantian right that allegedly exhausts the content of remedies.
D. Divisions of Labour
1. Correction and distribution
Consider how contractualism might overcome the Procrustean dichotomies that have defined private law. Recall the Weinribian assertion that corrective justice concerns the restoration of notional equality between two parties in transactions where they are connected as doer and sufferer of the same injustice in private law. Distributive justice, on the other hand, concerns proportional equality and the distribution of benefits and burdens among potentially numerous participants, and is said to be coterminous with public law.
But it is not entirely helpful to demand that distribution and correction be confined to two completely different spheres. What is important is to appreciate what sorts of benefits and burdens are allocated in the relational nexus at hand, and how institutions emerge to vindicate the relevant allocation. As others have argued, the “rules of tort liability allocate various risks of harm and obligations to repair harm as between various classes of persons [thus] … falling within the province of distributive justice”, while “the principle of corrective justice tells us that such harms ought to be corrected”.Footnote 98 Contractualism thus finds it perspicuous to tackle the multifaceted aspects of what we owe each other by focusing on the relevant spheres of interpersonal justice. The relationality of torts is instead constructed through an interpersonal comparison of burdens and personal interests. A contractualist understanding of the state does not operate in a “maximalist” mode of facilitating goals such as equalising welfare to the greatest extent possible. The regulative principles of Rawlsian justice emerge through contractualist reasoning between members of a polity: the state ought to be justified to each member on grounds that she cannot reasonably reject.
Consequently, we open the door to a better framing of the relevant questions. Consider, briefly, one familiar example: the alignment between social insurance schemes and tort law. Interestingly, Kantians are rather ambiguous about the extent to which tort can be eroded by such schemes, sometimes simply conceding that distributive justice programmes may be needed which “may well involve the pro tanto displacement of tort law”.Footnote 99 A contractualist analysis recognises that while we owe it to each other to put in place a system of equal empowerment for tortious redress, this may run up against the idea that members of a community also owe it to each other to consider loss compensation systems which eliminate arbitrary events, such as physically debilitating accidents that present setbacks to core interests. We might further ask if the normative interests in having such a scheme outweigh the set of personal interests associated with rights to redress, and if so, what further forms of justification are required in order that the restriction of tortious rights is justified to those who must bear the burdens of doing so.
Hence one might express some scepticism about a comprehensive no-fault accident compensation scheme such as the paradigmatic New Zealand model,Footnote 100 covering a full range of personal injuries including accidents, injuries resulting from medical treatment, occupational diseases and criminal injuries.Footnote 101 While the scheme allows for the processing of claims for small injuries without the difficulties of proving fault, from the viewpoint of the individual user of the tort system, one must take into account the loss of individual accountability, insofar as civil proceedings may not be brought for injuries it covers, as well as the added burden of supporting the scheme qua taxpayer, employer or employee. Perhaps a more targeted scheme, such as a hybrid no-fault road traffic accident scheme tracing back to the model pioneered by Keeton and O’ConnellFootnote 102 and implemented in several American states,Footnote 103 appears more justifiable. Under this model, insurance coverage is to be purchased by vehicle owners, covering pecuniary losses suffered by the car owner, passengers and pedestrians, but up to a certain cap of benefits, and tort claims are abolished for minor injuries but room is left for a right to sue in tort for more serious injuries.Footnote 104 While persons qua potential claimants have normative interests in private empowerment, and persons qua potential defendants have interests in being liable only where their responsibility for harmful outcomes is engaged, they could find it reasonably acceptable to waive such interests, up to a certain point. Each person arguably shares a similar risk profile qua claimant and defendant-road user, and could have her interests better served on balance by a plan that partially substitutes tort law with a scheme ensuring speedy delivery of a limited measure of compensation while permitting tortious claims above a certain threshold, hence amounting to less of an incursion into private rights of action. The point is that we mediate between systems of private empowerment and social insurance not by a process of Aristotelian abstraction, but by considering relevant benefits and burdens, and limiting the displacement of private rights to that needed to give effect to different spheres of relations.
2. Principle and policy
Contractualism also provides a novel take on the theme of principle versus policy. Kantians insist that only the former matters, for otherwise “the law is awash with conflicting policy arguments”.Footnote 105 Principle is said to represent considerations of justice between immediate parties, while policy represents economic, social and political goals that improve community welfare. Concerns about bringing the law into disrepute, unattractive socio-economic effects, indeterminate liability, unmanageable litigation and so on have no place in private law.
The problem with Kantians is that they adopt a gerrymandered conception of interpersonal justice while contrasting this with “welfarist” concerns. Recall that interpersonal justice certainly includes the immediate parties to a dispute, but also extends to classes of persons in the parties’ positions: “[i]nevitably the same justifications to which the court appeals in connection with this relationship pertain equally to all other possible relationships that are legally alike”.Footnote 106 And insofar as policy is cast wholly in a consequentialist mode of economic analysis, institutional or systemic considerations become unnecessarily “othered”.Footnote 107 Accordingly, we need a broader framework to better make sense of the weight and eligibility of considerations relevant to private law adjudication. The contractualist calculus emerges as apropos in this regard. In constructing and comparing regulative options, the considerations put forward must always pass the test of reasonable rejection. Contractualism gives priority to personal interests and other agent-relative factors, but allows for context-specific impersonal, aggregative, or systemic considerations of appropriate force insofar as these can be understood as relevant from the standpoint of persons in a certain nexus. At no point are persons to be taken simply as means to an ends. Neither are all considerations flattened into an analysis grounded on a single measure of efficiency.
Take a few familiar examples. A “floodgates” concern regarding the ability of courts to deal expeditiously with a deluge of claims is not correlative in a strict Kantian sense, but it is clearly relevant to adjudication. From a contractualist angle, one could argue that the management of civil litigation is a concern relevant to all users of the system of private empowerment, since each user has an interest in avoiding a situation of severely clogged courts. But we can reasonably accept that the promotion of this institutional interest cannot simply be at the expense of leaving claimants without an avenue of redress, consistent with the priority given to our interests in civil recourse. Hence this policy concern should be effected in the way least burdensome to those who might find their interests in redress undermined. Instead of negating duties of care completely, we could consider procedural and case management reforms for expeditiously and summarily disposing of claims that do not meet some prima facie threshold of merit. Similarly, in relation to concerns such as protecting the reputation and integrity of the legal system, one could argue that insofar as these are institutional values necessary for the system to function without being undermined, we all have an interest in recognising their force. Nonetheless, in order that protected interests are not unnecessarily trenched upon, such systemic considerations should curtail private law entitlements to the least possible extent. For example, in applying the illegality defence encapsulated in the ex turpi causa maxim,Footnote 108 a court will only deny a private law claim if this is necessary to give effect to the underlying purpose of the prohibition transgressed, and the consequences for protected interests are not disproportionate.Footnote 109 Reasoning in this way helps us to better mediate between personal interests and systemic considerations.
3. Negative and positive
Finally, consider Ripstein’s “division of responsibility”: the idea that public law concerns the society’s positive responsibility to provide an adequate set of primary goods as a matter of “background” justice, whereas private law concerns negative liberty in “foreground” interactions, each person having a special responsibility for setting and pursuing their purposes. It follows that the division of responsibility between public and private maps on to the nonfeasance/misfeasance distinction in Ripstein’s theory.
Contractualism offers a more textured division of labour. What we owe each other in different spheres of interaction may generate a range of both negative and positive duties. Consider one enduring puzzle: strict liability to make restitution in respect of a mistaken payment, the so-called core case of unjust enrichment. Here, despite the best endeavours of Kantian theorists to fold this into a misfeasance model through the combination of a mistaken transferor’s absence of donative intent to give the transferee something for nothing and the transferee’s retention and acceptance of the benefit as non-gratuitously given, the duty seems inconsistent with Kantian independence in subordinating the transferee to the transferor’s own ends.Footnote 110 On the transferor’s end, even if she has made a unilateral mistake and did not intend to act gratuitously, the responsibility for freely parting with her money is hers absent force or fraud; on the transferee’s end, “acceptance” is often a fiction because many are neither aware nor have means of verifying that a benefit was given non-gratuitously, and even where there was an opportunity to disclaim the benefit, it is not abundantly clear how such a duty is compatible with equal negative liberty.
A contractualist analysis would suggest that we could not reasonably reject a principle that allocates to payees the burden of a risk of mistaken payments, given that greater harm and disruption tends to be suffered by those who cannot recover such payments, in comparison with the lesser burden suffered by payees in the form of having to give up unexpected windfalls. We could also accept a change of position defenceFootnote 111 that protects the interests of a mistaken payee where he has in good faith incurred expenditure in reliance of the mistaken payment, in order that restitution will not cause the payee to be unduly burdened by ending up worse off than prior to the payment. In this latter case restitution will impose a greater burden on a good faith payee in contrast with the loss to the payor, who may bear more responsibility for allowing the mistaken payment to be made. It is also said that the justifiability of the rule is enhanced by the recognition that persons might find themselves on either side of a mistaken payment, and hence a would-be payee also has an interest in claiming the upside of protection for transactions in which they might end up as payors.Footnote 112 Such positive obligations are not explicable within the Kantian model of equal and reciprocal non-interference, and neither are they duties owed to the public at large. They are genuinely interpersonal as between these classes of actors, based on the relational structure of each interaction. As one commentator notes: “Is the no-liability rule for nonfeasance one that, in Scanlon’s terms, we couldn’t reasonably reject? I think the answer is an overwhelming ‘no’!”Footnote 113
IV. After Kant: Contractualism and the Future of Private Law Theory
I have explained how the Kantian vision of freedom has in fact yoked us to an impoverished vision of private law. In its place I have proposed a contractualist framework of interpersonal justice. Is such an approach “monist” or “pluralist”? Monists, it is said, recognise the existence of “one super value … over all others”.Footnote 114 Kantians are at times described as monists in emphasising equal freedom above all considerations. It seems, however, to be an ungrounded assertion that the only way to achieve rational resolution is through monism.
The contractualist framework I have offered holds out such a promise, neither monist in the Kantian sense of favouring one super value, yet not pluralist in the sense of signing up to a dog’s breakfast of values. While pluralism is certainly more inclusive, and some versions of it have potential – for instance, localised forms of values-balancing or the search for any overlapping consensus at some level of abstraction – the worry remains that without any procedure for filtering, ordering or reconciling disparate normative approaches, it is not clear how a conception of interpersonal justice can be preserved.Footnote 115 Instead, the production possibility frontier for contractualism is fixed by its framework. What we owe each other is determined via a second-order process of justification to affected persons within an identified relational nexus, with justifiability decided by the identification of regulative options parties could not reject. Any proposed normative consideration must thus be filtered through the contractualist test to be validated as a function of interpersonal reasoning.
Does this require lawyers to be contractualist philosophers? I would argue that despite any lack of familiarity with the philosophical canon of Rawls or Scanlon, core elements of the contractualist perspective, including a focus on shared interests and the idea of ethical role reversal, are readily found across the private law landscape – from the golden rule in morality, to the notion of “live and let live”, and ideas of reciprocity in social interaction. Hence reflective judges and jurists may have often invoke contractualist reasoning, however partial and perspectival in character. In a way, then, the conceit of this project is not to conceive a new theoretical perspective ex nihilo but to draw out these patterns of interpersonal reasoning implicit in our considered judgments. The contractualist perspective is not only that of the theorist, who brings together different dimensions of contractualist reasoning, but is also built on that of judges, jurists and other participants, and ultimately grounded on a process of reasoning deeply responsive to the positions of persons in a given relational nexus.
Moreover, I would argue that contractualism offers the tools for productive engagement with other third-way views, although a comprehensive survey of these views is beyond the scope of this current article. For instance, Jaffey argues for a “standpoint limitation” on how selective considerations of distributive justice enter private law. Private law rules develop on the basis of “moral principles that are applicable from the parties’ standpoint”, including considerations of harm and benefit that apply in the light of ordinary common knowledge in society and what parties can reasonably be expected to know,Footnote 116 in a manner that renders it “a partial and localised aspect of distributive justice”.Footnote 117 Contractualism also finds it germane to evaluate regulative options by examining the comparative burdens to persons under different standpoints, understood as referring to the positions of individuals in various relational contexts with generic sets of interests. But the contractualist does not claim such standpoint-based reasoning as exclusive to private law. It is part and parcel of how we derive different spheres of interpersonal justice, whether in more macro or micro terrains, helping us overcome the corrective–distributive justice dichotomy, rather than returning us to another version of it.
Another example is McBride’s eudaimonic account, under which there exist certain lists of goods, the possession of which constitutes human flourishing. While McBride’s account rests on controversial metaphysical or meta-ethical assumptions, we might understand such goods as tentatively identifying certain core interests. The relevant interests then serve as inputs into the contractualist framework and necessarily acquire context-specific weight in examining comparative burdens to persons. This reasoning process is committed to the non-foundationalist notion that moral conclusions are constructed from a process of agents taking up a practical standpoint for reasoning, rather than divining a moral reality obtaining independently of this process.
Lastly, among those who have used the “relational” label, Dagan and Dorfman have argued for the abandonment of libertarian-leaning formal freedom, in favour of a more robust liberal egalitarian commitment to substantive equality and positive self-determination. On this approach, private law is said to structure our interpersonal interactions in a manner that recognises our interdependence, vulnerabilities and differences. Contractualism shares the key premise that persons are not dissociated beings but embedded in different settings and spheres. But the contractualist would not define the domain of private law exclusively by the values of substantive equality and self-determination. In situating this paradigm shift at the level of impersonal values or ideologies, the process of interpersonal justification based on various context-specific interests and comparative burdens begins to recede from view. Yet another “relational” view is offered by Gardner, who carves up relational duties into those which he terms loosely relational, and others he calls strictly relational.Footnote 118 Loosely relational duties are said to be those we owe each other simply in virtue of being persons or human beings, whereas strictly relational duties supposedly arise from particular persons standing in some special relationship identified as valuable to have. This identification of grounds of loose and strict relationality – humanity with respect to the former, and the value of special relationships with respect to the latter – appears arguable. The rationale for road users owing each other certain standards of care, for instance, cannot simply be summed up by the impersonal value of basic humanity. A more complete justification is necessarily interpersonal: taking into account the physical, psychological, and proprietary interests of victims, and the burdens on tortfeasors’ liberty of movement as well as the limits of their capacity-based agency, we settle on a level of precaution, systematically applied, where the benefits to victims’ security exceed the burdens imposed on potential injurers. Moreover, Gardner’s “special” relationships include friendship and marriage, on the one hand, as well as sellers and buyers, and doctors and patients, on the other, as others have pointed out.Footnote 119 These relationships do not appear to have very much in common. Instead of classifying all these as “special”, it would be more meaningful to identify the interests that provide the grounds of certain interpersonal relations, and further considerations that lead private law to support such relations in the ways it does, as a function of what parties in such contexts can reasonably accept. Again, a bifurcation between loose and strict relationality is not necessarily the best way to carve up private law duties, in comparison with the contractualist approach that provides a fuller account of parties and nexuses, as well as the relevant grounds of interpersonal entitlements.
Among the great currents of thought in private law, those which have retained their currency have appealed to certain enduring ideas and intuitions. For Kantians, it is the fact and value of freedom. As I have argued, however, there is a post-Kantian alternative centred instead on interpersonal justification. As Pettit observes: “[W]e shrink from the gaze of another when we realise that it is impossible for us to justify our behaviour to someone else.”Footnote 120 For the contractualist, interpersonal reasoning underscores the second-order value of forming and abiding by relationships of reciprocal recognition. We give effect to interpersonal justice not simply by treating each other as formally independent, but by taking the force of personal interests and reasons seriously in generating principles that no one can reasonably reject. In connecting this framework to different issues in private law, we thus have a set of resources for integrating theory and practice, in line with the aspiration that Weinrib once called the “adamantine necessity for coherence in legal thinking”.Footnote 121