Sound recordings produced after February 15, 1972 can be protected from infringement under federal copyright law but Congress did not extend statutory protection to recordings created before that date. In a certified question, the United States Court of Appeals for the Second Circuit asks us whether there is common-law copyright protection in New York for sound recordings made prior to 1972.
This case involves a dispute between two music recording companies. Capitol Records, Inc. owns the rights to several classical recordings made in the 1930s. Naxos of America, Inc. copied those recordings from the original shellac record format and, using technological advances, remastered the recordings for sale to the public as compact discs. Naxos did not request permission from Capitol to use the recordings. The issue here is whether Capitol may maintain a copyright infringement action against Naxos premised on the common law of New York. Because the answer to this question will have significant ramifications for the music recording industry, as well as these litigants, we were offered and accepted certification.
I. Factual and Procedural Background
During the 1930s, the Gramophone Company Limited, currently known as EMI Records Limited—the parent company of Capitol—recorded classical musical performances of three world-renowned artists: Yehudi Menuhin’s July 1932 performance of Edward Elgar’s “Violin Concerto in B minor, Opus 61”; Pablo Casals’ performances of J.S. Bach’s cello suites, recorded between November 1936 and June 1939; and Edwin Fischer’s performances of Bach’s “The Well Tempered Clavier, Book I,” recorded between April 1933 and August 1934, and of Bach’s “The Well Tempered Clavier, Book II,” recorded between February 1935 and June 1936. The artists’ contracts specified that Gramophone would have absolute, worldwide rights to the performances, including the right to reproduce and sell copies of the performances to the public.
Gramophone recorded all of the performances in England. At that time, the United Kingdom provided statutory copyright protection to sound recordings for 50 years (see UK Copyright Act of 1911, 1 & 2 Geo 5, ch 46, § 19). Thus, all of the Gramophone recordings at issue had entered the public domain in the United Kingdom by 1990.
Naxos also wished to preserve these important historical recordings. It located copies of the original 1930s shellac recordings and undertook its own multistep restoration process in the United Kingdom. The remastered compact disc versions produced by Naxos were distributed for sale in the United States beginning in 1999, competing with the compact disc products marketed by Capitol. Naxos never obtained a license from Capitol and rebuffed Capitol’s demand to cease and desist the sale of the Naxos compact discs.
Capitol commenced an action against Naxos in the United States District Court for the Southern District of New York in 2002. The complaint set forth claims of common-law copyright infringement, unfair competition, misappropriation and unjust enrichment, all of which were premised on the law of the State of New York, the situs of the alleged infringement. Naxos moved to dismiss for failure to state a claim, arguing that the recordings had entered the public domain in the United Kingdom and, hence, the United States as well. Capitol moved for, among other relief, partial summary judgment on liability.
The District Court granted summary judgment to Naxos. The court characterized Capitol’s cause of action as a “hybrid copyright, unfair competition” claim and concluded that Capitol did not have intellectual property rights in the original recordings because its copyrights had expired in the United Kingdom. (
On appeal, the Second Circuit determined that this case raises several unsettled issues of New York law. After noting that, under federal law, “it is entirely up to New York to determine the scope of its common law copyright with respect to pre-1972 sound recordings,” the Second Circuit certified the following question to this Court: “In view of the District Court’s assessment of the undisputed facts, but without regard to the issue of abandonment, is Naxos entitled to defeat Capitol’s claim for infringement of common law copyrights in the original recordings?” (
“(1) ‘Does the expiration of the term of a copyright in the country of origin terminate a common law copyright in New York?’ (2) ‘Does a cause of action for common law copyright infringement include some or all of the elements of unfair competition?’
(3) ‘Is a claim of common law copyright infringement defeated by a defendant’s showing that the plaintiffs work has slight if any current market and that the defendant’s work, although using components of the plaintiffs work, is fairly to be regarded as a “new product”?’ ” {Id. at 484-485.)
II. English Copyright Law
Because of the close connection between the evolution of copyright protection in England and the American adaptation of copyrights, it is helpful to examine the historical roots of property rights in tangible intellectual products
(see generally Eldred v Ashcroft,
With the introduction of the printing press in England in the 15th century, a commercial interest in written works was born. It was, however, not authors but printers and publishers who initially sought to control the right to publish literary works
{see
Patterson, Copyright in Historical Perspective, at 6, 21). The concept of an exclusive right to reproduce works sprang
After the abolition of the Star Chamber in 1641 and the civil war between the Crown and Parliament, English law began to recognize an author’s natural property right to control the dissemination of a literary creation (see id. at 160-162; see also 2 Blackstone, Commentaries on the Laws of England, at 405-406 [1769]; Millar v Taylor, 98 Eng Rep 201, 257, 4 Burr 2303, 2406-2407 [KB 1769] [Mansfield, L.C.J.] [discussing the “uniform( )” decisions of the Chancery Court]; 98 Eng Rep at 212, 4 Burr at 2323 [Willes, J.] [same]). Parliament’s passage of the Statute of Anne in 1709 (8 Anne ch 19) signaled an attempt to end government censorship and trade guild monopoly. It broadened the concept of copyrights to include the ability of an author to decide whether a literary work would be published and disseminated to the public (referred to as the “right of first publication”) and, if distributed, how the work would be reproduced in the future. The Statute of Anne vested an author or publisher of a literary work with statutory copyright protection for specified time periods—new works received 14 years of copyright protection (with the possibility of a 14-year renewal) and previously published works were entitled to 21 years of protection (see Patterson, Copyright in Historical Perspective, at 143-150).
In the latter half of the 18th century, a recognition emerged that the creation of a literary work should vest rights in its author similar to the ownership rights in perpetuity associated with other forms of tangible property. The common law embraced this concept of ownership for literary works
(see 2
Blackstone, Commentaries on the Law of England, at 405-406). This caused a “great question of literary property” to arise
(Proceedings in the Lords on the Question of Literary Property,
17 Parliamentary History of England, at 953, 953-954 n [HL
The first definitive ruling on this question appears in Millar v Taylor (98 Eng Rep 201, 4 Burr 2303 [KB 1769]). Millar, a bookseller, had purchased the rights to a certain book from its author. The dispute involved the unauthorized reproduction of the book by another publisher after copyright protection extended by the Statute of Anne had expired. The primary issues were whether common-law rights continued to exist in perpetuity after the first publication of a literary work and, if so, whether the Statute of Anne had abrogated the perpetual common-law copyright. In a 3-1 decision in favor of the bookseller, the court of King’s Bench concluded that the common law furnished perpetual copyright protection that did not terminate upon the first publication of a literary work. More importantly, the Statute of Anne was viewed as not extinguishing common-law protections (see 98 Eng Rep at 252-253, 4 Burr at 2398-2399 [Mansfield, L.C.J.]; see also Patterson, Copyright in Historical Perspective, at 168-172).
Several years later, however, the House of Lords reached a different result in the seminal case of Donaldson v Beckett (4 Burr 2408; 17 Parliamentary History of England, at 953 [HL 1774]). Relying on the Millar precedent, the Chancery Court had granted an injunction against the sale of an unauthorized reproduction of a literary work even though the work was not entitled to protection under the Statute of Anne. Given the importance of the issues presented, the House of Lords sought advisory opinions from 12 judges on five questions.* 1 2 The judges were asked to rule on whether the common law recognized the right of first publication; and if perpetual protection existed in common law for literary works, whether the Statute of Anne operated to curtail that protection. 3
III. Development of American Copyright Law
We enter the colonial era in America. In the midst of the Revolutionary War and transformation of the British colonies into independent states and commonwealths, it was generally presumed that colonial common law, derived from English law, should be applied as long as it was consistent with the acts of the colonial legislatures. Notably, preservation of existing common law was addressed in the first Constitution of the State of New York (see NY Const art XXXV [1777] [renumbered as article I, § 14 and amended by Constitutional Convention of 1938]). Our Founders were aware that there was common-law copyright protection in England, as evidenced in James Madison’s writings, which observed that “[t]he copyright of authors has been solemnly adjudged, in Great Britain, to be a right of common law” (Madison, Federalist No. 43).
Similar to the British experience, the new states responded to the needs of authors and publishers by adopting statutory copyrights. Using the Statute of Anne as a model, Connecticut, followed by Massachusetts and Maryland, enacted statutes assuring copyright protection for between 14 and 28 years following first publication (see Library of Congress, Copyright Enactments, 1783-1900, at 9-14). Soon thereafter, the Colonial Congress (operating under the Articles of Confederation) recommended that each state pass legislation providing at least 14 years of copyright protection after first publication (id. at 9). Twelve of the 13 original states would eventually heed this call (see id. at 14-29; Nachbar, Constructing Copyright’s Mythology, 6 Green Bag 2d 37, 38 [Autumn 2002]). When the New York Legislature acted, it contemplated the existence of common-law copyright protections separate from statutory rights: “nothing in this act, shall extend to effect prejudice, or confirm the rights, which any person may have, to the printing or publishing of any book or pamphlet, at common law, in cases not mentioned in this act” (L 1786, ch 54, § IV).
As the drafting of the national Constitution was underway, the Founders decided that federal copyright protection would be more effective and desirable than leaving the matter to the
The American counterpart to Millar and Donaldson reached the United States Supreme Court in the case of Wheaton v Peters (8 Pet [33 US] 591 [1834]). The plaintiff, who had been the third official reporter for the United States Supreme Court, invoked statutory and common-law copyright claims to prevent his successor from copying and republishing material contained in the volumes published by the first three official reporters (see Patterson, Copyright in Historical Perspective, at 203). The Supreme Court, with two Justices dissenting, remanded for factual determinations on the statutory copyright claim but held that Wheaton could not maintain a common-law copyright cause of action. The majority and dissenting opinions extensively debated the impact of Millar and Donaldson on colonial copyright law. The majority acknowledged that the common law insured copyright protection prior to publication but believed that in the absence of federal common law under our constitutional system, a party seeking common-law protection must look to the state where the controversy arose (see Wheaton v Peters, 8 Pet [33 US] at 658).
The lasting effect of the
Wheaton
decision was that it “became accepted, and in most cases unquestioned, doctrine that ... it was the act of publication which divested common law rights”
With the dawn of the 20th century, courts throughout the country were confronted with issues regarding the application of copyright statutes, which were created with sole reference to the written word, to new forms of communication. One of the first such challenges involved music. In
White-Smith Music Publ. Co. v Apollo Co.
(
Following the
White-Smith
decision, Congress passed the Copyright Act of 1909. Since the Supreme Court had declared that player piano rolls and, by implication, sound recordings could not be “published” (i.e., read by a person) under federal law, Congress did not include audio musical works within the scope of the statute
{see
Keller and Cunard, Copyright Law: A Practitioner’s Guide § 1:3:1, at 1-18 [Aug. 2004]). Despite the fact that sound recordings could not be “published” under federal law, they were eligible for state common-law protection
(see Wheaton v Peters,
8 Pet [33 US] at 687 [Thompson, J., dissenting]). To insure that the 1909 Act would not be interpreted to deny any existing common-law protection, Congress explicitly stated that the Act “shall [not] be construed to annul or limit
State courts then had to deal with the operation of this dual system of copyright protection. In Waring v WDAS Broadcasting Sta. (327 Pa 433, 194 A 631 [1937]), the plaintiff, a conductor and owner of an orchestra, had contracted with a phonograph company to produce recordings of the orchestra’s performances to be sold to phonograph dealers and the public. To avoid interfering with a different contract the orchestra had for weekly radio broadcasts of live performances, the record labels contained a printed warning that they were “[n]ot licensed for radio broadcast.” (327 Pa at 436, 194 A at 633.) The plaintiff sued to prevent the owner of a radio station from broadcasting the recorded performances over the airwaves.
The Supreme Court of Pennsylvania found that the records were protected by state common law. Beginning with the premise that sound recordings were not copyrightable under federal law, the court explained:
“[a]t common law, rights in a literary or artistic work were recognized on substantially the same basis as title to other property. Such rights antedated the original copyright act of 8 Anne c. 19, and, while it has been uniformly held that the rights given by the act supersede those of the common law so far as the act applies . . ..the common-law rights in regard to any field of literary or artistic production which does not fall within the purview of the copyright statute are not affected thereby” (327 Pa at 439, 194 A at 634).
The court declared that a performer who transforms a musical composition into a sound product creates “something of novel intellectual or artistic value [and] has undoubtedly participated in the creation of a product in which he is entitled to a right of property” (327 Pa at 441, 194 A at 635). Even if the common law offered protection to sound recordings only to the point of first publication, the court held that the sale of records was not a publication of the work that operated to divest the orchestra
A similar dispute arose in New York in
Metropolitan Opera Assn, v Wagner-Nichols Recorder Corp.
(
A
contrary view was initially expressed by the Second Circuit in
RCA Mfg. Co. v Whiteman
(114 F2d 86 [2d Cir 1940],
cert denied
The Waring, Metropolitan Opera and Capitol Records decisions may appear to conflict with the accepted principle that a public sale of a literary work is a “general publication” terminating a common-law copyright, and any copyright protection thereafter must be derived from statute. But the historical distinction in the treatment of literary and musical works by Congress accounts for the lack of federal statutory copyright protection for sound recordings. In the absence of protective legislation, Congress intended that the owner of rights to a sound recording should rely on the “broad and flexible” power of the common law to protect those property rights after public dissemination of the work. As Metropolitan Opera so aptly observed more than five decades ago, the common law “has allowed the courts to keep pace with constantly changing technological and economic aspects so as to reach just and realistic results” (199 Mise at 799).
In recent times, state legislatures have found common-law remedies inadequate to deter the widespread prevalence of “music piracy.” By the 1970s, the technological ease of reproducing existing recordings for resale without securing authorization had motivated about one half of the state legislatures, including New York
(see
Penal Law former § 441-c [L 1966, ch 988]), to adopt criminal statutes prohibiting such piracy
(see
HR Rep No. 94-1476, 94th Cong, 2d Sess, at 133, reprinted in 1976 US Code Cong & Admin News, at 5659, 5749). Spurred by the action of the states, Congress finally responded in 1971 and amended the Copyright Act of 1909 to expressly include “[s]ound recordings” within the classes of artistic and intellectual works entitled to federal copyright protection (17 USC § 5 [n], added by Pub L 92-140, 85 US Stat 391 [Act of Oct. 15, 1971]). But the 1971 amendments were prospective only, so recordings created before February 15, 1972—the effective date of the amendment—were not protected by federal law
(see
Pub L 92-140 § 3 [1971]). During the drafting of the amendment, debate arose concerning the scope of protection to be afforded to pre-1972 sound recordings. Both the Senate and the House of
The 1971 amendments raised new problems for the music recording industry. Because the status of pre-1972 sound recordings was a matter left to the states, there was uncertainty as to how claims of copyright infringement would be treated in different jurisdictions. The amendments also did not include a technical definition of the term “publication,” which clouded the meaning of that term of art in the recording industry. Finally, there was concern that the amendments could be read as abrogating existing state statutes proscribing music piracy (see HR Rep No 94-1476, 94th Cong, 2d Sess, at 133, reprinted in 1976 US Code Cong & Admin News, at 5659, 5749).
Initial guidance came from the United States Supreme Court in
Goldstein v California
(
The Supreme Court also acknowledged that the states were free to act with regard to sound recordings precisely because Congress had not, and in the absence of conflict between federal and state law, the Supremacy Clause was not a barrier to a state’s provision of copyright protection to a work not covered under federal copyright law {see id. at 569-570). Nor did the Court find fault with the perpetual nature of California’s copyright {see id. at 560-561). Rejecting the defendant’s “publication” argument, the Court clarified that
“[f]or purposes of federal law, ‘publication’ serves only as a term of the art which defines the legal relationships which Congress has adopted under the federal copyright statutes. As to categories of writings which Congress has not brought within the scope of the federal statute, the term has no application” {id. at 570 n 28).
The effect of Goldstein was more than an affirmation of the states’ right to enact criminal laws prohibiting music piracy. Its rationale clearly deviated from the Wheaton view—that publication divests common-law rights even in the absence of statutory protection. Instead, the Court relied on the rule that state common-law copyright protection can continue beyond the technical definition of publication in the absence of contrary statutory authority (see 1 Nimmer on Copyright § 4.02 [C], at 4-17 n 23).
In the aftermath of Goldstein, Congress rectified some of the problems that erupted with the 1971 amendment of the Copyright Act. A major revision and restructuring of the Act occurred in 1976 and took effect in 1978. Included among the amendments was a statutory definition of “publication,” now defined to include “the distribution of copies or phonorecords of a work to the public by sale or other transfer of ownership” (17 USC § 101). This definition applied prospectively only, thereby continuing to exclude pre-1972 recordings from the scope of the statute. Congress again left to the states the decision how to handle the meaning and effect of “publication” for pre-1972 sound recordings.
The music industry’s belief that state common law could provide copyright protection for pre-1972 recordings (until the date of federal preemption), without regard to the “publication”
La Cienega
was criticized in Congress as exposing pre-1972 sound recordings to unauthorized uses and as “overturning] nearly 90 years of [precedential] decisions” (143 Cong Rec H9882-01 [statement of Rep. Coble]). It was estimated that the ruling, if allowed to stand, would cause musicians, composers and publishers to lose over a billion dollars in annual revenue
(see id.
[statement of Rep. Delahunt]). Congress reacted to
La Cienega
by amending section 303 of the federal Copyright Act to clarify that “[t]he distribution before January 1, 1978, of a phonorecord shall not for any purpose constitute a publication of the musical work embodied therein” (17 USC § 303 [b]). After the passage of this amendment, the Ninth Circuit acknowledged that the intent of Congress was to “ ‘restore national uniformity on this important issue by confirming the wisdom of the custom and usage of the affected industries and of the Copyright Office for nearly 100 years’ ”
(ABKCO Music, Inc. v LaVere,
IV The Scope of Common-Law Copyright Protection in New York
The first New York State Constitution in 1777 permitted the continuation of colonial common law, derived from English common law. One such principle was that the creator of a literary
As earlier discussed, federal copyright statutes in the early 20th century encompassed only written musical compositions, not sound recordings
(see White-Smith Music Publ. Co. v Apollo Co.,
With the 1971, 1976 and subsequent congressional amendments to the federal Copyright Act, New York common-law protection of sound recordings has been abrogated, but only in two respects. First, the common law does not apply to any sound
Even assuming, however, that common-law copyright protection ceases upon “first publication” without regard to the existence of an applicable statute covering the type of literary or artistic work at issue, our common law would continue to protect sound recordings made before 1972.
The evolution of copyright law reveals that the term “publication” is a term of art that has distinct meanings in different contexts. With regard to literary works, it has long been the rule that common-law protection ends when a writing is distributed to the public (see
e.g. Palmer v De Witt,
Y. The Certified Questions
Having concluded that the musical recordings here are presumptively entitled to common-law copyright protection in New York, we proceed to address the three subquestions posed by the Second Circuit.
First: “Does the expiration of the term of a copyright in the country of origin terminate a common law copyright in New York?”
When the recordings here were created in England, they received statutory copyright protection in the United Kingdom (UK) for 50 years after the date of creation
(see
Copyright Act of 1911,1 & 2 Geo 5, ch 46, § 19). As a result, the UK copyrights for all of the recordings expired by the 1990s—years before Naxos’s allegedly infringing actions. Naxos argues, and the District Court apparently agreed, that the expiration of the foreign copyrights prevents the enforcement of copyright protections in other jurisdictions, including the United States and New York. We disagree and concur with the Second Circuit’s observation that “nothing in federal law denies Capitol enforceable rights in the original recordings simply because the U.K. copyrights have expired” (
Under the Federal Constitution, treaties that the United States enters with other countries have the force of federal law and must be respected by the states
(see
US Const art VI [2]). Although the Berne Convention and the Universal Copyright Convention both recognize the “Rule of the Shorter Term,”
Thus, neither federal statutory nor constitutional law prohibits the states from providing common-law protection to artistic works that are in the public domain in the country of origin
(see generally Hasbro Bradley, Inc. v Sparkle Toys, Inc.,
780 F2d 189, 192-193 [2d Cir 1985]). Nothing in the statutes of this state or in our jurisprudence suggests such a prohibition is warranted. Indeed, there are indications that the opposite is true
(see
1 Nimmer on Copyright § 5.11, at 5-90;
see also Rostropovich v Koch Intl. Corp.,
34 USPQ2d 1609, 1614,
Second: “Does a cause of action for common law copyright infringement include some or all of the elements of unfair competition?”
We understand this question to ask whether the District Court was correct to assume that some type of malicious intent or bad faith is a necessary element of a state common-law copyright infringement claim. A copyright infringement cause of action in New York consists of two elements: (1) the existence of a valid copyright; and (2) unauthorized reproduction of the work protected by the copyright
(see e.g.
L 1786, ch 54, § I). To the extent that any inference of deceptive or fraudulent intent may have been referred to in early copyright case law, it appears to have been the view that bad faith was inherent in the act of copying and selling a work without permission from a competitor because this would deprive the true owner of the work’s value
(see Millar v Taylor,
98 Eng Rep at 203, 4 Burr at 2305;
see also Capitol Records, Inc. v Wings Digital Corp.,
Third: “Is a claim of common law copyright infringement defeated by a defendant’s showing that the plaintiffs work has slight if any current market and that the defendant’s work, although using components of the plaintiffs work, is fairly to be regarded as a ‘new product’?”
We begin by noting that Naxos does not contend that “market size” or “new product” issues are relevant to the existence of a common-law copyright regarding sound recordings. Its discussion of those terms is limited to the context of an unfair competition cause of action. In any event, the ability to enforce copyright protections provided by New York common law is not diminished due to the size of the market and, therefore, the popularity of a product does not affect a state common-law copyright infringement claim (see generally Nimmer, Copyright in the Dead Sea Scrolls: Authorship and Originality, 38 Hous L Rev 1, 177-179 [Spring 2001]).
Nor do we believe that a state common-law copyright claim can be defeated under the so-called “new product” analysis. We note that the Second Circuit has declared that the “[independent creation” of a new product “[can]not consist of actual copying” of an entire work
(Durham Indus., Inc. v Tomy Corp.,
630 F2d 905, 910 [2d Cir 1980]). In the related area of the federal “fair use” doctrine, it is a general rule that the reproduction of an entire copyrighted work constitutes infringement
(see Infinity Broadcast Corp. v Kirkwood,
VI. Conclusion
In light of our responses to these inquiries and our conclusion that state common law protects ownership interests in sound recordings made before 1972 that are not covered by the federal Copyright Act, the answer to the main certified question is that, without regard to the issue of abandonment, Naxos is not entitled to defeat Capitol’s claim for infringement of common-law copyright in the original recordings. Accordingly, the certified question should be answered in the negative.
Chief Judge Kaye and Judges G.B. Smith, Ciparick, Rosenblatt, Read and R.S. Smith concur.
Following certification of a question by the United States Court of Appeals for the Second Circuit and acceptance of the question by this Court pursuant to section 500.17 of the Rules of Practice of the Court of Appeals (22 NYCRR 500.17), and after hearing argument by counsel for the parties and consideration of the briefs and the record submitted, certified question answered in the negative.
Notes
. The District Court also addressed issues of waiver and abandonment, which are not relevant to the certified question posed to us.
. One of the judges was Lord Chief Justice Mansfield, who, as a member of the House of Lords, declined to provide an opinion because of his participation in Millar v Taylor (4 Burr at 2417).
. The texts of the inquiries by the House of Lords were as follows:
1. “Whether, at common law, an author of any book or literary composition, had the sole right of first printing and publishing the same for sale, and might bring an action against any person who printed, published, and sold the same without his consent?”
2. “If the author had such right originally, did the law take it away upon his printing and publishing such book or literary com-
position, and might any person afterward reprint and sell, for his own benefit, such book or literary composition, against the will of the author?”
3. “If such an action would have lain at common law, is it taken away by the statute of 8th Anne: and is an author, by the said statute, precluded from every remedy except on the foundation of the said statute, and on the terms and conditions prescribed thereby?”
4. “Whether the author of any literary composition, and his assigns, had the sole right of printing and publishing the same, in perpetuity, by the common law?”
5. “Whether this right is in any way impeached, restrained, or taken away, by the statute 8th Anne?” (Proceedings in the Lords on the Question of Literary Property, 17 Parliamentary History of England, at 970-971.)
. The precise ruling by the House of Lords is the subject of scholarly debate. Professor Nimmer, among other commentators, takes the position that the House of Lords voted to overrule
Millar
only with regard to the abrogation question
(see 1
Nimmer on Copyright § 4.02 [B], at 4-14, and n 12;
see also
Bowker, Copyright, Its History and Its Law, at 7 [1912]; Patterson, Copyright in Historical Perspective, at 174 [“The actual holding of the
Donaldson
case is that the author’s common-law right to the sole printing, publishing, and vending of his works, a right which he could assign in perpetuity, is taken away and supplanted by the Statute of Anne”]; Burger,
The Berne Convention: Its History and Its Key Role in the Future,
3 J Law & Tech 1, 6 n 25 [1988]; Cambridge Research Institute, Omnibus Copyright Revision, Comparative Analysis of the Issues, at 6 [1973]). It has been argued, however, that the House of Lords actually held that the common law never provided any copyright protection and that the rights of authors and publishers were solely statutory in nature
(see
Abrams,
The Historic Foundation of American Copyright Law: Exploding the Myth of Common Law Copyright,
29 Wayne L Rev 1119, 1164 [Spring 1983]; Deazley,
Re-Reading Donaldson [1774] in the Twenty-First Century and Why It Matters,
25 [6] Eur Intell Prop Rev 270, 274 [2003]; Brown, Kaplan and Brown’s Copyright, at 53, and n 32 [2d ed 1974]). The controversy stems from the lack of any contemporaneous report of the
. The majority opinion in Wheaton has been criticized for its failure to rely on the rationale of Donaldson (that common-law rights cease upon publication because divestment is required by statute) and the majority’s “unpersuasive analysis of Pennsylvania common law” (1 Nimmer on Copyright § 4.03, at 4-18).
. At this time, Congress was in the process of revising the copyright statutes but decided to wait for the Supreme Court’s decision.
. This rule was reaffirmed in
Rosette v Rainbo Record Mfg. Corp.
(546 F2d 461 [2d Cir 1976],
affg
. The preemption date was later extended by 20 years, to February 15, 2067 (see Pub L 105-298, 112 US Stat 2827 [105th Congress, 2d Sess, Oct. 27, 1998] [termed the “Sonny Bono Copyright Term Extension Act”], amending 17 USC § 301 [c]).
. This appears to be the position of the United States Copyright Office and the sound recording industry with respect to recordings not covered by the national Copyright Act
(see ABKCO Music, Inc. v LaVere,
. As the United States Supreme Court has explained, a federal statutory copyright infringement cause of action consists of two elements: “(1) ownership of a valid copyright, and (2) copying of constituent elements of the work that are original”
(Feist Pubis, v Rural Tel. Serv. Co.,
. Although we express no view on whether Naxos has, in fact, created a “new product,” we simply note that Capitol has a protected property interest in the performances embodied on the shellac records
(cf Capitol Records v Greatest Records,
