Interpretations and studies of theological texts have led to countless disputes throughout the ages. This appeal concerns a different form of conflict arising from one monastery’s translation of certain ancient religious texts, and another monastery’s unauthorized use of verbatim or near-verbatim copies of such texts on its Orthodox faith-devoted website. Seven, a number both religiously and factually significant, is the quantity of works the former monastery contends the latter infringed. The parties here let fly a legion of arguments and defenses as to why ultimate judgment should rest in their favor. We have pored over the voluminous record before us and the district court’s orders granting summary judgment to the former monastery.
See Holy Transfig. Monas. v. Archbishop Gregory,
I. Background 1
A. A Tale of Two Monasteries
Plaintiff-Appellee Society of the Holy Transfiguration Monastery, Inc. (the “Monastery”) is an Eastern Orthodox monastic order located in Brookline, Massachusetts. It was founded in the early 1960s and incorporated as a non-profit organization. In 1965, the Monastery began *36 a spiritual affiliation 2 with the bishops of the Russian Orthodox Church Outside of Russia (“ROCOR”). Although the Monastery concedes it commemorated the bishops of ROCOR for a time (until 1986 to be precise), it considers itself an independent entity in both its organization and governance. Stated differently, the Monastery was not formed at the order or direction of ROCOR or any bishop a part thereof; instead, its formation occurred prior to its spiritual affiliation with ROCOR. On December 8, 1986, the Monastery ceased its commemoration of the ROCOR bishops, thus ending its spiritual affiliation with ROCOR.
Since the Monastery’s formation, its members, consisting of approximately thirty-five monks, have worked on translating religious texts, including services, psalms, and prayers, from their original Greek into English. The cardinal works at issue (the “Works”) consist of (1) the St. Isaac Work, 3 (2) the Psalter, (3) the Octoechos, (4) the Pentecostarion, (5) the Dismissal Hymns, (6) the Prayer Book, and (7) the Horologion. 4
Though the Works and their corresponding translations are of ancient texts, they became in demand over the years amongst parishes due to an increasing need for English versions of Orthodox liturgical texts for liturgies conducted in English. The Monastery obliged such requests, but on a limited basis. For instance, it provided copies of its then-in-progress Dismissal Hymns to approximately twelve parishes with specific instructions that no copies be made. Its limited distribution purpose was two-fold: the Monastery hoped to receive feedback as to the quality of the translations for those parishes seeking a linguistically-friendly English-language religious text, and at the same time, help to meet the growing need for religious texts in English language religious services.
Not all were satisfied with the Monastery’s vocation. In the late 1970s (before the Monastery’s termination of its spiritual affiliation with ROCOR), Defendant-Appellant Archbishop Gregory (the “Archbishop”), a member of the Monastery at that time, obtained ROCOR’s permission to leave the Monastery and move west to Colorado where he formed his own monastery, the Dormition Skete. Throughout the years, the Dormition Skete has dedicated itself to painting traditional Byzantine Orthodox icons for both church and private use. It is only composed of a few members; those relevant to this dispute include the Archbishop and Father Peter, a priest monk 5 in the order who, true to his apostolic name, has served and sup *37 ported the Archbishop in various capacities.
In addition to forming the monastery, the Archbishop created a website devoted to the Orthodox faith, www.trueorthodoxy. info (the “Website”), over which he has conceded to having authority and ownership. The asserted purpose of the Website is “to share information about the Orthodox Christian religion with users of the internet.” Created on February 8, 2005, religious works have since been posted free-of-charge to the Website for nonprofit, educational purposes. Of relevance to this dispute are a posting of a portion of the St. Isaac work, done sometime in 2005, and postings of the remaining six Works in August 2007. To perform such postings, the Archbishop relied on Father Peter, who helped build, design, and program the Website.
Like many a missionary before him, the spreading of religious teachings (here, through the posting of translated religious texts via the internet) brought trouble upon the Archbishop — trouble not isolated to this dispute alone. On January 23, 2006, the Monastery filed a lawsuit in the U.S. District Court for the Eastern District of Michigan against the Archbishop and his publisher at the time, Sheridan Books, Inc. The Monastery alleged copyright infringement of two works, the St. Isaac work (at issue on this appeal) 6 and the St. Andrew work (not at issue on this appeal). 7 The parties ultimately entered into a Settlement Agreement on July 24, 2006. Pursuant to the terms of this agreement, the court dismissed the Michigan lawsuit with prejudice. Notably, the Archbishop, in settling, agreed to the following:
[T]he Monastery is the ovmer of the copyrights in and to the translations of [the St. Andrews work and the St. Isaac work] .... [The Archbishop] further agree[s] that, in consideration of the overall settlement of the dispute concerning the Works, [he] will not challenge the validity of the Monastery’s copyright and/or the registrations in and to the Works at any time in the future.... Archbishop Gregory warrants and represents that ... no copy, duplicate, transcript, reproduction or replica, of any portion of the St. Isaac Work has been or will be printed or published by or for Archbishop Gregory and that Archbishop Gregory asserts that he does not have any knowledge of the existence of any copy, duplicate, transcript, reproduction, or replica of any portion of the St. Isaac Work in any medium, and will not assist in the creation of copy [sic], duplicate, transcript reproduction or replica of the St. Isaac Work in any medium, at any time in the future.
(Emphasis added.)
Despite this agreement, the contested portion of the St. Isaac work remained on the Dormition Skete’s Website post resolution of the Michigan dispute, and in August 2007, a collection of the remaining six Works also was posted to the site.
B. Seeking Secular Judgment
The Monastery took action. On December 28, 2007, it filed the Complaint in this action alleging infringement of the Monastery’s copyrights in the Works and breach of the Settlement Agreement for the continued display of portions of the St. Isaac work.
*38 In response, the Archbishop promptly-removed what he believed at the time to be the allegedly infringing material from the site. He then filed a motion to dismiss the Monastery’s Complaint on February 14, 2008, which the court subsequently denied. When his efforts proved unsuccessful, the Archbishop answered the Monastery’s Complaint on April 24, 2008. In his Answer, the Archbishop admitted that the Works, including a portion of the St. Isaac work, were available on his Website. However, he denied both the Monastery’s claim of ownership to the Works’ copyrights, as well as its claims of copyright infringement. The Archbishop also raised several defenses, including that the Monastery’s Works were made for hire for ROCOR; the Works had been published without copyright notice and were in the public domain; the Archbishop made fair use of the Works; and the dispute was a Church matter, best left to a different hierarchy of laws.
On October 30, 2009, each of the parties filed cross motions for partial summary judgment. The Monastery claimed it was entitled to partial summary judgment because the Archbishop had breached the parties’ prior Settlement Agreement by posting a portion of the St. Isaac work on his Website, and because the Archbishop’s posting of the work, in and of itself, constituted copyright infringement. The Archbishop riposted, challenging the Monastery’s ownership of copyrights in the Pentecostarion, the Octoechos, the Psalter, and the St. Isaac works, and asserting that ROCOR was the true owner of the copyrights at issue. Staying firm in his position that the Monastery lacked any legal right to enforce ROCOR’s copyrights against the Archbishop, the Archbishop argued there was no genuine issue of material fact for the court to resolve.
The district court found merit to the Monastery’s motion.
Holy Transfiguration I,
On July 23, 2010, the Monastery moved yet again for summary judgment, this time on its surviving infringement claims against the Archbishop. The Monastery alleged that the Archbishop infringed its copyrights in the remaining six Works, specifically, the Psalter, the Prayer Book, the Horologian, the Pentecostarion, the Dismissal Hymns, and the Octoechos.
The Archbishop opposed the motion. He asserted that the Monastery was not the owner of the copyrights at issue; the Works were in the public domain, having been published without copyright notice; and the Works lacked originality.
Holy Transfiguration II,
The district court again found in favor of the Monastery.
Holy Transfiguration II,
The Archbishop now appeals the district court’s grants of summary judgment. The Archbishop reasserts for this court many of his prior arguments, including that RO-COR, not the Monastery, owns the copyrights to the contested Works; the Works lack originality; the Works were placed in the public domain without copyright notices; the Archbishop’s use of the Works was fair; and the Archbishop is sheltered from liability pursuant to DMCA’s safe harbor provision, and if he is not, he holds neither direct nor vicarious liability for the alleged infringement. The Archbishop additionally scatters the following claims amidst his prior arguments: the Archbishop was not the alleged direct infringer of the Works; the district court improperly determined that the Archbishop lacked standing to challenge the Monastery’s ownership of the St. Isaac work; and the Monastery’s course of engaging in litigation constituted an improper attempt to create a monopoly. We begin our journey through the intricacies of copyright law applicable to this dispute.
II. Discussion
We lay the foundation of the applicable standard of review. Summary judgment is properly granted where the movant “shows that there is no genuine dispute as to any material fact and the movant is entitled to judgment as a matter of law.” Fed.R.Civ.P. 56(a). We examine the district court’s grant of summary judgment with fresh and searching eyes,
Airframe Sys., Inc. v. L-3 Commc’ns Corp.,
To establish copyright infringement, a plaintiff must concurrently proceed down two roads and “prove two elements: ‘(1) ownership of a valid copyright, and (2) copying of constituent elements of the work that are original.’ ”
Situation Mgmt. Sys., Inc. v. ASP. Consulting LLC,
A. Validity of Ownership
The Copyright Act provides that copyright protection extends to the individual who actually created the work.
See
17 U.S.C. § 201(a) (“Copyright in a work ... vests initially in the author or authors of the work.”). To show ownership of a true copyright, “a plaintiff must prove that the work as a whole is original and that the plaintiff complied with applicable statutory formalities.”
Lotus Dev. Corp. v. Borland Int’l, Inc.,
The Monastery has met its prima facie burden of establishing ownership of the copyrights to all the Works, as it holds a certificate of registration issued by the U.S. Copyright Office for each religious text.
8
See
17 U.S.C. § 410(c);
Situation Mgmt. Sys.,
1. Transfer Alert: Who Owns the Copyright?
The cornerstone of the Archbishop’s argument is that the Monastery’s works are in fact owned by a third party, ROCOR. The Archbishop argues that the Monastery was once a part of ROCOR and its secession in 1986 had the effect of transferring its copyrights in the Works to ROCOR.
There are two ways under governing law by which a transfer of copyright may be effectuated. The first manner is by “an instrument of conveyance, or a note or memorandum of the transfer, [that] is in writing and signed by the owner of the rights conveyed or such owner’s duly authorized agent.” 17 U.S.C. § 204(a). The Archbishop does not allege, nor does the record reveal, any writing or instrument by the Monastery showing such an intent to transfer ownership of the Works’ copyrights to ROCOR or another entity. Because there is no signed writing or instrument establishing a transfer of copyright to ROCOR, we turn to the second means of copyright transfer, i.e., by operation of law, with the governing law in this case *41 being the Monastic Statutes for Monasteries of ROCOR (the “Monastic States”) and the Regulations of ROCOR (the “Regulations”).
The Archbishop rests the yoke of his persuasive burden on this latter means of copyright transfer. Specifically, he contends a transfer by operation of law occurred here because, pursuant to the Monastic Statutes (to which all member monasteries must agree on joining RO-COR) the Monastery expressly accepted that if it ever ceased to be a ROCOR monastery, all of its property would transfer to ROCOR. The Archbishop cites to the following language from the Monastic Statutes for support:
The articles of incorporation of the monastery, convent or community must make it clear that it will always be in the jurisdiction of the Synod of Bishops of [ROCOR] and that, in case of its closing or liquidation, its possessions mil be handed over to the diocese subject to the Synod of Bishops of [ROCOR], or directly to the Synod of Bishops.
(Emphasis added.)
The Archbishop’s argument leads us into a desert of case law on the issue of copyright transfers by operation of law.
See Taylor Corp. v. Four Seasons Greetings, LLC,
The few cases addressing this question generally concern a transfer by operation of
state
law, with the transfers at issue typically arising from a corporate merger or dissolution, bankruptcy, foreclosure, and the like.
See id.
at 963-64;
Valdez,
The Archbishop’s argument differs from the few eases that address transfers of copyright ownership by operation of law. To begin with, the underlying law which the Archbishop asks us to interpret and apply — ROCOR’s Monastic Statutes and Regulations — contrasts with the aforementioned cases in which state law predominantly served as the guiding light.
Generally, the Supreme Court has cautioned that where parties “seek resolution of a church property dispute in the civil courts!,] there is substantial danger that the State will become entangled in essentially religious controversies.”
Serbian E. Orthodox Diocese for U.S. & Can. v. Milivojevich,
A review of the record confirms that we may apply the Monastic Statutes’ plain terms without treading upon religious doctrine, church governance, and ecclesiastical laws — territory that the Supreme Court has made clear lies beyond our civil court jurisdiction. The specific section of the Monastic Statutes that the Archbishop asks us to apply provides in part:
“The articles of- incorporation of the monastery [here, appellee] ... must make it clear that it will always be [under ROCOR] jurisdiction ... and that, in case of its closing or liquidation, its possessions will be handed over to the diocese.... ”
Neutrally applying this plain language, we conclude that the Archbishop’s position as to ROCOR’s ownership holds little water.
We first examine the Monastic Statute language to which the Archbishop expressly directs us. We split the statutory language in two and turn first to its requirement that a monastery’s articles of incorporation clearly state ROCOR jurisdiction.
a. Monastic Statute Requirement that the Monastery’s Articles of Incorporation Expressly Affirm ROCOR Jurisdiction
An examination of the Monastery’s various articles of incorporation and by-laws
9
does not show language to the effect that, from the date of its spiritual affiliation onward, the Monastery would permanently be under ROCOR jurisdiction or that it agreed to have its property continually fall under ROCOR’s dominion and control. In fact, a review of all such articles and bylaws reveals no reference whatsoever to ROCOR or to the entities’ ecclesiastical affiliation. The same holds true for a review of the certificates of registration (dating from 1986, the year the Monastery ceased its spiritual affiliation with RO-COR, on through 1997) for each of the respective Works. Each certificate expressly lists under Name of Author, “Holy Transfiguration Monastery,” with no mention of or reference to ROCOR. The ab
*43
sence of a clear or implicit agreement on the Monastery’s part (whether in its articles of incorporation, by-laws, the Works’ certificates of registration, or otherwise) to be permanently bound by ROCOR statutory law or to relinquish title in its property to ROCOR does not constitute the type of “express or implied consent to transfer” copyright ownership that courts have held sufficient to support the finding of a transfer by operation of law.
Valdez,
b. Monastic Statute Requirement that Upon Closing or Liquidation, the Monastery’s Possessions Cede to ROCOR
The Archbishop argues that when the Monastery ceased commemorating the bishops of ROCOR, this act constituted a “closing or liquidation” under the statutes, and thus, all of the Monastery’s ownership claims and property interests were transferred to ROCOR. The Archbishop likens the Monastery’s termination of ecclesiastical affiliation to a corporate dissolution, merger, bankruptcy, mortgage foreclosure, or the like, the latter of which courts have held may indicate a transfer of copyright by operation of law.
Cf. Lone Ranger Television, Inc. v. Program Radio Corp.,
In contrast to these cases — and even more telling, in contrast to the specific language of the statute — the Monastery here continued to exist after it terminated its commemoration of the ROCOR bishops; it did not close, liquidate, dissolve, merge into another religious institution, or otherwise discontinue its existence. Instead, it continued to operate as it had prior to its spiritual affiliation with ROCOR, as an independent monastery. The express terms of the Monastic Statutes are clear: “in case of [a monastery’s] closing or liquidation, its possessions will be handed over to the diocese” (emphasis added). Because the Monastery never closed, liquidated, or otherwise ceased its existence, no such “hand[ing] over” of its possessions to ROCOR could have taken place, unless it authorized otherwise. And as we have explained, we find no such authorization or agreement in the record.
c. Additional Relevant Language in the Monastic Statutes
Lastly, immediately preceding the statutory language referenced and discussed above, the statute states that “[t]he possessions of a monastery, convent or community are its property and registered in its name, which is why each monastery, convent and community must take steps to become incorporated as an entity” (emphasis added). Reading this language, it seems clear that a monastery, on joining ROCOR, remains the owner of its possessions unless and until it becomes incorporated as an entity of ROCOR. Stated differently, if a monastery never so incorporates itself as dictated by the Monastic Statutes, its possessions will remain under the monastery’s domain.
Notably, a review of the record reveals no such incorporation on the part of the Monastery. The most the evidence shows is that the Monastery was founded in 1960 independently of ROCOR — i.e., not at the order or request of ROCOR — and incorporated in Massachusetts as a non-profit cor *44 poration on January 12, 1961, before its spiritual affiliation with ROCOR. In 1965, the Monastery commenced its spiritual affiliation with ROCOR, but the only act it seems to have taken reflecting such an affiliation (the Archbishop pointing us to no contradictory evidence) is acceptance of an antimension, 10 which the Monastery returned when it discontinued its affiliation with ROCOR. We are far from being authorities as to the weight the giving of an antimension to another religious body might hold under church law and offer no ruminations on the matter. But a review of the evidence reveals no other act or document confirming that the Monastery reincorporated itself under ROCOR law. The giving of a consecrated cloth does not, under civil law, ring of the type of alteration in corporate structure that a transfer in authority over the Monastery’s possessions may properly be deemed to have occurred.
In sum, with no evidence in the record showing a transfer of copyright ownership by operation of law, we hold that the Monastery, and not ROCOR, holds title to the copyrights at issue in this dispute.
2. No Notice?: No Problem
The Archbishop casts his next lot and contends that certain of the Monastery’s Works became a part of the public domain because they were published without copyright notice prior to 1989. There were three paths under the common law pursuant to which a work could be exposed to the public or enter the public domain: (1) exhibition or performance of the work; (2) limited publication; and (3) general publication.
Burke v. Nat’l Broad. Co.,
On appeal, the Archbishop does not clarify whether his position is that all of the disputed Works passed into the public domain or that only some did. Moreover, he does not clarify which of the three copyright regimes — the 1909 Act, the 1976 Act, or the Berne Act — apply to which works. Regardless, under all three regimes, lack of proper notice definitely would not render the Works part of the public domain if there had been no “general publication” of the Works. Because the Archbishop has not established that “general publication” without notice has ever occurred for any of the disputed Works, we may reject his public-domain claim without having to untangle the web of statutory regimes.
*45
A general publication is “when a work is made available to members of the public at large without regard to who they are or what they propose to do with it.”
Burke,
The Archbishop’s brief arguments on appeal do little to show such a dispersal of the Works that they could be deemed to have entered the public domain. At most, the Archbishop contends that the Monastery “allowed the disputed Works to pass into the public domain and provided the court with evidence of the same,” and therefore, the district court erred in granting summary judgment against him. The evidence to which the Archbishop directs our attention, however, does not show the wide distribution typically associated with a general publication; instead, it simply shows the Archbishop’s unsupported assertions that translations of certain Works were disseminated into the public, with a vague reference to the fact that certain Works were sent to people for use in their churches.
The Monastery does not contest this latter proposition. In fact, it concedes it authorized St. Nectarios Press to distribute booklets — composed of in-progress translations of certain of the Works at issue on appeal expressly attributing copyright ownership to the Monastery — to certain parishes for their use and editorial critiques. Any such promulgation though, according to the Monastery, was restricted and should be deemed a limited publication not requiring such notice.
We agree. Delivery of these booklets to selected religious congregations for the circumscribed purpose of literary feedback rings more of a limited publication (distribution “to a limited class of persons and for a limited purpose”) — than of a general publication (distribution to “the public at large without regard to who they are or what they propose to do with [the work]”).
Burke,
The Archbishop directs us to nothing more than his own unsubstantiated contentions that certain Works were “passed around” in the public sphere for decades without notice. Even accepting this statement as true, we face the reality that not just any publication of the Works without notice will insert them into the public realm; instead, any such injection must be authorized by the copyright holder,
ie.,
the one effectively relinquishing its copyright.
Harris Custom Builders, Inc. v. Hoffmeyer,
Because any authorized publication of the Works that took place was only to a select group (specific religious congregations) for a particular purpose (editorial feedback), only a limited publication took place. Thus, the Monastery did not lose its copyright ownership via a general publication. If any copies of the Works were circulated outside the targeted circle of parishes, it was unauthorized and did not affect the Monastery’s ownership.
3. Originality of the Works
The Archbishop next asserts that the Works here were not original, and therefore, not copyrightable.
12
See Johnson v. Gordon,
To bolster this argument, the Archbishop proffers affidavits from a colleague, Bishop John. 13 The Bishop’s sworn statements compare various texts to the Works and claim that the former texts clearly demonstrate the duplicative nature of the latter. Thus, so the Archbishop postulates, because the Monastery’s translations are nothing more than a nearly identical, cobbling together of already translated religious texts, the Monastery cannot claim copyrights to the contested Works.
The Monastery retorts that its translations are both unique and entitled to copyright protection, citing to the Copyright Act’s express acknowledgment of the copyrightability of derivative works. 17 U.S.C. §§ 101, 103. Moreover, it notes that courts repeatedly have recognized the validity of copyrights to works that the Monastery claims are comparative to those at issue here.
See, e.g., Merkos L’Inyonei Chinuch, Inc. v. Otsar Sifrei Lubavitch, Inc.,
*47
The Copyright Act provides that “[cjopyright protection subsists ... in original works of authorship.” 17 U.S.C. § 102(a). Assessing whether a work is original is a matter of law.
Yankee Candle Co. v. Bridgewater Candle Co.,
The Copyright Act makes clear that translations may be original and copyrightable, despite being derivative of another product.
See
17 U.S.C. § 101 (“A ‘derivative work’ is a work based upon one or more preexisting works, such as a translation____”);
id.
§ 103 (“The subject matter of copyright as specified by section 102
includes compilations and derivative
works....”) (emphasis added). The originality standard for such derivative works is, as set forth above, far from a high one. Specifically, courts have held there is a “ ‘minimal,’ ” “ ‘low threshold,’ ”
Original Appalachian Artworks, Inc. v. Toy Loft, Inc.,
First, the law does not support the Archbishop’s argument that such a derivative work or compilation cannot be copyrightable. Courts consistently have held that such works may be copyrighted provided that “there is originality in [the works’] arrangement or selection.”
M. Kramer Mfg. Co. v. Andrews,
Second, the record does not support the Archbishop’s argument. The only evidence the Archbishop offers to show a lack of originality in the Works are Bishop John’s affidavits, stating the Works contain “insignificant changes” or “negligible additions or subtractions” to other sources he has examined, assessed, and compared to the Works.
15
However, the Monastery examined the same sources the Bishop attested to having compared with the Works. The Monastery created a detailed comparison in which it placed its translations along-side those materials cited by Bishop John, as well as the Archbishop’s translations, effectively demonstrating notable differences between the Bishop’s referenced texts and the Monastery’s (and nearly identical similarities between the Archbishop’s translations and the Monastery’s). Although the comparison shows certain similarities between the Monastery’s Works and those referenced by the Bishop, the differences in the same reflect a creativity in the Monastery’s word usage, structure, and overall translation.
Cf
Feist>
It is well-accepted that “[o]riginal, as the term is used in copyright, means only that the work was independently created by the author (as opposed to copied from other works), and that it possesses at least some minimal degree of creativity.”
Id.
at 345,
Having concluded our traversal of the ownership prong of a copyright infringement claim, we proceed to the second prong of our analysis,
i.e.,
whether copying of the Works occurred.
Situation Mgmt. Sys.,
B. Copying
A party seeking to establish copying of a work’s original elements must make a dichotomized showing. The copyright holder first must factually establish, whether via direct or circumstantial evidence, that the alleged infringer copied the protected work.
Yankee Candle,
1. Actual Copying
Proving actual copying by direct evidence is generally a difficult task, as it is the rare case in which the specific act of copying was witnessed, observed, or recorded.
See Johnson,
We have termed the degree of similarity for purposes of indirectly adducing evidence of copying, “probative similarity.”
Johnson,
Here, we have the relatively unique case of both direct and indirect evidence of copying.
See Segrets,
But lest there be any doubts as to the Archbishop’s concessions, there is ample circumstantial evidence in the record from which we may infer actual copying.
See Coquico,
2. Substantial Similarity
We traditionally have assessed whether substantial similarity lies between copyrightable expressions by applying the “ordinary observer” test. Under this rubric, two works will be deemed substantially similar if a reasonable ordinary observer, on examining both, “would be disposed to overlook [the disparities between the works], and regard their aesthetic appeal as the same.”
Concrete Machinery,
The Archbishop now attacks the district court’s utilization of the traditional ordinary observer test. In essence, he argues that the court should have applied a more differentiating dissection analysis and isolated the original, or protected, components of the Works from the remaining elements. Had it done so, so the argument goes, it would have recognized that the Works consist of non-copyrightable elements, preventing a finding of actionable copying.
In general, the Archbishop’s overall argument rests on solid ground: a court’s substantial similarity analysis must center on a work’s original elements.
See Coquico,
a. Short Phrases
The Archbishop attempts to guide us in the appropriate textual incisions he asserts are warranted. Specifically, he argues the district court erred in its comparison of the Works to the Archbishop’s versions; instead of comparing the respective texts as a whole, the court should have performed the requisite triage pursuant to which it would have discovered that the only elements unique to the Works are, at most, “short phrases, single words, and expressions that are obvious.” Because copyright protection cannot extend to such elements, the Archbishop claims it likewise cannot extend to the Works.
We are not convinced that the district court’s application of the ordinary observer test here was inappropriate or that a deeper dissection analysis was warranted. An examination of each of the district court’s orders shows that it considered the respective works as a whole while also narrowing in on their particular textual variations (where present),
17
ultimately concluding that “the slight textual differences between the two [texts] are insufficient as a matter of law to render the Archbishop’s versions not ‘substantially similar’ to the infringed portions of the Works copyrighted by the Monastery.”
Holy Transfiguration Monastery II,
Moreover, while both this court and the Copyright Office have generally recognized that short phrases may not be subject to eopyrightability,
see
37 C.F.R. § 202.1(a) (listing as “works not subject to
*52
copyright” “[wjords and short phrases such as names, titles, and slogans; familiar symbols or designs; mere variations of typographic ornamentation, lettering or coloring; [and] mere listing of ingredients or contents”);
see also CMM Cable,
Here, we have no context to analyze. Aside from brief-yet-undeveloped citations to relevant case law, the Archbishop fails to identify — whether below or on appeal— the alleged short phrases which he contends are not copyrightable. Judges are not mindreaders. To properly assess whether the alleged short phrases are subject to protection, we must know what they are. We have often admonished counsel that “it is not the job of this court to do [appellant’s] work for him.”
United States v. Rodriguez,
Left alone with a plethora of ancient religious texts and phrases, we cannot properly know those phrases the Archbishop wants us to touch versus those we should not. And we need not so decipher on our own. We thus deem the Archbishop’s dissection argument as to. the copyrightability of the Works waived.
Rodriguez,
b. Merger Doctrine
The Archbishop raises an additional challenge to the copyrightability of the Works and the district court’s determination as to his liability for infringement. He argues that because there are only a limited number of ways by which the Works at issue could have been translated, the Works consist of non-copyrightable ideas that have merged with expression, preventing the final product from being copyrightable. Best described as a reliance on the merger doctrine, we unfurl the Archbishop’s argument.
*53
It is accepted that “[t]he merger doctrine denies copyright protection when creativity merges with reality; that is, when there is only one way to express a particular idea.”
Coquico,
[w]hen there is essentially only one way to express an idea, the idea and its expression are inseparable and copyright is no bar to copying that expression. [Even] [w]hen the idea and its expression are not completely inseparable, there may still be only a limited number of ways of expressing the idea.
Yankee Candle,
The Archbishop claims the Monastery’s Works fall on the former end of this spectrum because there were only a limited number of manners by which the Works (originally in ancient Greek) could be translated into English. Thus (so we presume the argument goes, as the Archbishop does not clearly articulate as such), the expression of these once ancient Greek texts effectively merged with the (unstated) idea because the resulting translations were essentially the only viable interpretations that could result from an English-rendition of the ancient Greek works.
Yet again, the Archbishop leaves us in the dark as to what idea(s) he claims has, for all intents and purposes, merged with expression such that copyrightability may not attach. On a more basic note, though, lies the essence of this dispute: we are dealing here with translations, and “the art of translation involves choices among many possible means of expressing ideas,” making the merger doctrine “inapposite to the context presented here.”
Merkos,
c. Comparing the Texts
The district court carefully compared each of the allegedly infringing texts with the Monastery’s Works. On reviewing detailed, side-by-side comparisons of the texts, and specifically noting those sections in which slight variations in the texts were present, it found that no reasonable juror could conclude the Archbishop’s versions were not “substantially similar” to the Works.
See Holy Transfiguration II,
Our independent review of the Works and the Archbishop’s translations confirms the district court’s ruling. We agree that the Archbishop’s translations are, as a matter of law, substantially similar to the Monastery’s Works where his versions differed — if at all — only in minor textual variations that would likely cause the ordinary observer to overlook the subtle discrepancies and deem the texts essentially indistinguishable.
See Johnson,
The Monastery having established both elements of an infringement
claim
— i.e., actual copying and actionable copying — we
*54
echo the district court’s determination that the Archbishop copied the Works. We thus affirm the district court’s grant of summary judgment to the Monastery as to copyright infringement of the Works.
See Johnson,
C. Defenses
The Archbishop next argues that even if we determine copyright infringement occurred, he should not be held liable for such transgressions. The Archbishop brings four principal defenses: (1) the copyright claim was for direct infringement, and because the Archbishop was not the specific individual responsible for uploading the translations at issue, he may not be held liable for infringement; (2) the Archbishop is immune from liability under the 1998 Digital Millennium Copyright Act (“DMCA”), 17 U.S.C. §§ 101, et seq. or other applicable law; (3) the Archbishop’s reproductions of the Works constituted fair use; and (4) the Monastery misused its copyright, thereby preventing it from litigating a copyright infringement claim. We address each seriatim.
1. Direct Infringement Defense
The Monastery contends the Archbishop violated its exclusive right to display the Works. It specifically directs us to the Archbishop’s statement in his Answer, conceding that copies of the Works “were available on his website.” The Archbishop counters that he may not be held liable for direct copyright infringement because he “is not the person who posted the disputed Works on the website.” Relying on
Sony Corp. of Am. v. Universal City Studios, Inc.,
he argues that only the one who “trespasses into [the copyright holder’s] exclusive domain” constitutes a direct infringer of a copyright; because he himself did not volitionally copy or post the Works to the Website, liability may not attach to him.
Sony,
As set forth above, the Monastery is the owner of the copyrights at issue.
See supra
at Part II.A. By virtue of its ownership, it holds certain exclusive rights, including the right to perform or authorize reproduction of the Works, to prepare derivatives of the Works, to distribute copies to the public, or to publicly display the Works.
See
17 U.S.C. § 106;
see also Cartoon Network LP v. CSC Holdings, Inc.,
Section 101 of the Copyright Act defines “copies” as “material objects ... in which a work is fixed by any method ... and from which the work can be perceived, reproduced, or otherwise communicated....” 17 U.S.C. § 101. A work is “ ‘fixed’ in a tangible medium of expression when its embodiment ... is sufficiently permanent or stable to permit it to be perceived, reproduced, or otherwise communicated for a period of more than transitory duration.” Id. A “display” of a work *55 is defined under the Act as “showfing] a copy of [a work], either directly or by means of a film, slide, television image, or any other device or process.” 17 U.S.C. § 101. Applying these definitions to the facts, we draw the following conclusions.
Here, the Archbishop’s verbatim or near-identical versions of the Works constituted a “copy” under the Copyright Act. The translation images were embodied in a medium (here, the computer server and internet) where they could be perceived by, electronically communicated to, and/or reproduced by those who accessed the server. See 17 U.S.C. § 101.
Thé copies also were embodied or “ ‘fixed’ in a tangible medium of expression,” as they were loaded on the Archbishop’s computer server and posted to his Website.
Id.; see Cartoon Network,
Lastly, the Archbishop “display[ed]” the Works publicly — that is, he “show[ed] a copy of’ the Works “by means of a ... device or process,” 17 U.S.C. § 101 — when he posted the Works on his website. Although the question of whether a computer has “displayed” a copyrighted work may be a difficult one in other contexts,
see, e.g., Perfect 10,
The Archbishop asks us to overlook the fact that images of the Works were displayed via his computer, and instead, focus on whether he was the specific individual who so electronically placed the images on the Website. He argues that because he himself did not personally engage or participate in any of the volitional display acts that infringed upon the Monastery’s exclusive rights, he should not be held liable.
The Archbishop’s “volitional act” position is not a novel one; it is an argument that has been raised — with varying degrees of success — in our sister circuits.
See, e.g., Quantum Sys. Integrators, Inc. v. Sprint,
*56 Contrary to the Archbishop’s contention that he did not engage in infringing acts, the record makes clear that he performed several acts to ensure that copies of the Works were available on his server and posted to his Website. First, the Archbishop was the registered owner of the domain name, “trueorthodoxy.info,” i.e., the Website. Second, during deposition testimony the Archbishop “admitted] he bears responsibility for and has authority over the content that appears on the [w]ebsite.” In fact, he expressly stated:
Q. Are you familiar with the website trueorthodoxyinfo?
A. Yes, somewhat.
Q. Who owns that website?
A. Ido.
'!■ * ‡
Q. [Referring to one of the Archbishop’s sworn affidavits] Where you say that the website trueorthodoxy.info is registered to you.
A. Yes.
Q. That’s accurate?
A. Yes.
Q. And also ... that you are responsible for the content of the website.
A. Yes.
Q. And that’s accurate?
A. Yes.
* * *
Q. Who selects the content that appears on the website?
A. I, normally.
(Emphasis added.)
Third, at deposition the Archbishop conceded his active involvement in the posting of materials to the server for public access:
Q: Did you — did you yourself actually place content on the website?
A. No.
Q. Who did?
A. Father Peter.
Q. Did you supervise him in doing that?
A. To some extent, yes.
Q. How did you supervise him?
A. If there’s something I liked, I had him put it up.
Q. So you brought things ...
A. I chose what goes up.
Q. [HJave you been responsible for the content of the website since the inception?
A. Yes.
Q. Okay. And you’re still responsible for the content now?
A. Yes.
(Emphasis added.)
Fourth, the Archbishop confirmed he knew Father Peter generally was uploading religious services to the Website and that he expressly authorized him to do so. Indeed, the Archbishop appears to believe that this final point, in and of itself, will save him from liability. It does not.
A review of the record makes clear that Father Peter acted as the Archbishop’s agent in both building and handling the technical aspects of the Website. Established law confirms that agency principles may apply in the copyright context,
see, e.g., Metcalf v. Bochco,
The record confirms that the Archbishop held authority and control over the Website, and that he knew of and assented to Father Peter’s postings of religious texts to the site. Furthermore, Father Peter’s *57 postings to the site clearly fell within his actual authority because he knew of the Archbishop’s overall goal of “sharfing] information about the Orthodox Christian religion with users of the internet,” and the materials he posted fell within this ambit. See id. § 2.01 (defining actual authority as “when, at the time of taking action that has legal consequences for the principal, the agent reasonably believes, in accordance with the principal’s manifestations to the agent, that the principal wishes the agent to so act.”). For these reasons, the Archbishop’s attempt to shift the blame onto Father Peter — because the latter personally performed acts of unauthorized copying — -fails. See Restatement (Third) of Agency § 7.04 (“A principal is subject to liability to a third party harmed by an agent’s conduct when the agent’s conduct is within the scope of the agent’s actual authority or ratified by the principal; and (1) the agent’s conduct is tortious, or (2) the agent’s conduct, if that of the principal, would subject the principal to tort liability.”).
The law on which the Archbishop relies concerning direct infringement liability is equally unpersuasive. Although the Archbishop contends the Supreme Court’s decision in
Sony
supports his postulation that a showing of personal involvement in the alleged infringement is required, a close reading of the case shows otherwise. The Supreme Court clearly defined an infringer as “ ‘[ajnyone who violates any of the exclusive rights of the copyright owner,’ that is, anyone who trespasses into his exclusive domain by using
or authorizing
the use of the copyrighted work in one of the [statute’s listed exclusive rights].”
Sony,
On careful consideration of this evidence and relevant precedent, we conclude that — regardless of whether the law mandates a showing of volitional conduct to establish direct infringement — the Archbishop here engaged in sufficient acts of authority and control over the server and material actually posted that he may be held liable for direct infringement of the Works.
19
See generally Screen Gems-Co
*58
lumbia Music, Inc. v. Metlis & Lebow Corp.,
2. Digital Millennium Copyright Act Defense
The Archbishop next raises an argument concerning the DMCA, which provides a safe harbor of immunity for certain service providers. See 17 U.S.C. § 512. To begin with, the Archbishop does not expressly assert a defense under the DMCA itself. Even if he were to have done so, however, any such defense would have been unavailing.
As the district court noted, the Archbishop failed to raise an affirmative defense pursuant to the DMCA in his pleadings.
Holy Transfiguration II,
*59
Instead of expressly asserting such a defense, the Archbishop argues the DMCA “did not supplant law,” directing us to Ninth Circuit precedent in which that court stated the DMCA’s limitations of liability provisions did not substantially change “[cjlaims against service providers for direct, contributory, or vicarious copyright infringement,” which are “generally evaluated just as they would be in the non-online world.”
Ellison v. Robertson,
3. Fair Use Defense
The Archbishop attempts to carry his evidentiary burden as to another defense, claiming his reproductions of the Works constitute fair use.
See Campbell v. Acuff-Rose Music, Inc.,
The Copyright Act codifies the fair use doctrine and breaks it into four factors that a court must weigh in assessing whether use of a work is fair or infringing.
See
17 U.S.C. § 107 (listing the purpose and character of a work’s use, the nature of the copied work, the extent of the copying, and its effect on a work’s market value). When performing such weighing, a court should carefully balance the relevant interests and apply “an equitable rule of reason,” as “each case raising the question must be decided on its own facts.” H.R.Rep. No. 1476, at 65 (1976),
reprinted in,
1976 U.S.C.C.A.N. 5659, 5679;
see also Sony,
a. Purpose and Character of the Use
The first factor we must consider is “the purpose and character of the use, including whether such use is of a commercial nature or is for nonprofit educational purposes.” 17 U.S.C. § 107(1). Our task under the first prong is to assess “whether and to what extent the new work is ‘trans-
*60
formative,’” that is, “whether the new work merely supersedes the objects of the original creation” or whether it “adds something new, with a further purpose or different character, altering the first with new expression, meaning, or message.”
Campbell,
. [28] The Archbishop posits that his use of the Monastery’s Works was “productive” because his goal was educational, ie., to allow Orthodox Christians to sample and learn from the Works’ teachings on the Orthodox faith. Because he held no commercial purpose in his use of the Works, the Archbishop contends we should find the first prong to be in his favor. Notably, the Archbishop seems to concede that his use of the Works might not have been transformative per se, but contends nonetheless that “a work need not be transformative to be fair;” because his use was productive, we should find in his favor as to “purpose and character of use.”
The Monastery counters that the Archbishop’s use cannot be deemed transformative because his versions simply supplanted the original Works’ purpose (also of a religious educational nature) and failed to make any new or creative point. Additionally, the Monastery rejects the Archbishop’s contention that his use cannot be deemed commercial. It argues that because the Archbishop has repeatedly infringed the Works (which were expensive to create) free of cost, he has profited in his alleged use to educate others and benefitted from others’ interest in his versions.
Regarding the “transformative” or “productive” nature of the Archbishop’s versions, the Archbishop is correct that “transformative use is not absolutely necessary for a finding of fair use.”
Campbell,
The Archbishop’s translations are not transformative. A review of his works reflects minimal “intellectual labor and judgment.”
Folsom,
The Archbishop contends the first factor still favors a finding of fair use because any copying he did was not for commercial gain. But removing money from the equation does not, under copyright law, remove liability for transgressing another’s works. The Supreme Court has held that “the mere fact that a use is educational and not for profit does not insulate it from a finding of infringement.”
Campbell,
Applying this framework, we agree with the Monastery that the Archbishop “profited” from his use of the Works. Regardless of whether the Archbishop’s versions generated actual financial income for himself or the Dormition Skete, he benefitted by being able to provide, free of cost, 22 the core text of the Works to members of the Orthodox faith, and by standing to gain at least some recognition within the Orthodox religious community for providing electronic access to identical or almost-identical English translations of these ancient Greek texts. For these reasons, we conclude that as to the first factor, the scales tip in the Monastery’s favor.
b. Nature of the Copyrighted Work
The second statutory factor, “the nature of the copyrighted work,” 17 U.S.C. § 107(2), requires us to consider two elements: (1) whether the Monastery’s Works are factual or creative,
see Harper & Row,
When interpreting the copyright laws, courts commonly have recognized an author’s power to control whether, when, and how to release his material.
Harper & Row,
However, the Monastery’s remaining Works were published, reducing — to some extent — concerns as to the Archbishop’s unilateral publication of versions of them. But that does not tip the fair use balance in favor of the Archbishop, even with respect to the previously published Works.
See generally Fitzgerald v. CBS Broad., Inc.,
We believe the Works here fall closer to the creative end of the copyright spectrum than the informational or factual end.
See Worldwide Church,
c. Amount and Substantiality of the Use
The third factor requires us to consider “the amount and substantiality of the portion used in relation to the copyrighted work as a whole.” 17 U.S.C. § 107(3);
see Campbell,
The Archbishop attempts to narrow our focus to the fact that the copying he did of the St. Isaac work (specifically, Homily 46) is only “one of seventy-seven homilies in the St. Isaac work,” which is only “3 pages in a work that in [sic] 568 pages or approximately a half percent of the entire work,” and that his use as to the remaining Works only consisted of postings of small portions of the texts. Our focus, however, is not so limited.
See Núñez,
Lifting our eyes to the full extent of the Archbishop’s use, we see that he made identical or near-verbatim copies of the Works — themselves parts of greater texts, but which alone may be qualitatively significant.
See Harper & Row,
Courts have cut both ways as to the fair use of verbatim copying.
Compare Sony,
A telling factor in conducting this analysis is “the purpose and character of the use,” as “[c]opying does not become excessive ... merely because the portion taken was the original’s heart.”
Campbell,
*64 d. Effect on the Market
The fourth and final factor addresses “the effect of the use upon the potential market for or value of the copyrighted work.” 17 U.S.C. § 107(4). Considered “the single most important element of fair use,”
Harper & Row,
As to the degree of market harm, the Archbishop argues that the Monastery has not shown specific lost sales or profits as a result of the alleged infringement. But the fourth factor of the fair use inquiry cannot be reduced to strictly monetary terms. Statutory law expressly states that it considers not only the impact of a work’s use on the potential market, but also its effect on the
“value of the copyrighted work.”
17 U.S.C. § 107(4) (emphasis added). Indeed, “[e]ven copying for noncommercial purposes may impair the copyright holder’s ability to obtain the rewards that Congress intended him to have.”
Sony,
If we were to rule that the Archbishop’s use here was fair, this unquestionably would affect the market for translations of ancient religious texts, likely discouraging other institutions from investing in and expending the time, effort, and resources necessary for producing works that, without modern translations, would remain predominantly inaccessible to other religious institutions and their members.
See Núñez,
As to our second inquiry, it is without question that if others were to engage in the “unrestricted and widespread” copying of the Monastery’s Works, this would have an “adverse impact on the potential market for the original” Works.
Campbell,
In sum, the record shows that the Archbishop offered identical or near-identical versions of the creative Works on his Website for the precise purpose for which the Monastery had created the Works in the first place, thereby harming their potential market value.
See Worldwide Church,
4. Misuse of Copyright Defense
And so, we come to the last defense. Attempting to cloak himself in copyright misuse’s protective armament, the Archbishop alleges that the Monastery’s litigation tactics are nothing more than a deliberate stratagem to prevent the Archbishop from sharing ancient religious works with the Orthodox community, thereby engaging in anti-competitive behavior and creating a monopoly. 24
“This court has not yet recognized misuse of a copyright as a defense to infringement.”
García-Goyco v. Law Envtl. Consultants, Inc.,
III. Conclusion
Our pilgrimage through the complexities of copyright law concluded, we keep our words here few — for the foregoing reasons, we affirm the decision of the district court.
Affirmed.
Notes
. We construe "the record in the light most favorable to the nonmovant and resolv[e] all reasonable inferences in the party’s favor.”
Meuser v. Fed. Express Corp.,
. The' record reflects that “spiritual affiliation,” often used interchangeably with the terms “ecclesiastical jurisdiction” or "in-communion,” is a term used when a monastery agrees with the particular confession of faith of a bishop or group of bishops and enjoys their blessing during that time.
. The full title of the St. Isaac work is "The Ascetical Homilies of St. Isaac the Syrian.”
. The respective known dates of registration for these Works are January 3, 1986 (St. Isaac Work), February 24, 1986 (Psalter), June 24, 1986 (Octoechos), June 24, 1986 (Pentecostarion), December 10, 1987 (Dismissal Hymns), November 16, 1988 (Prayer Book), and December 3, 1997 (Horologion). Of the seven, four works were registered as published works (St. Isaac, Horologian, Prayer Book, and Psalter), and three, as unpublished works (Octoechos, Dismissal Hymns, and Pentecostarion).
.At deposition, Father Peter defined the position of "priest monk” as a monk (a member of a monastic order who has withdrawn from the world for religious reasons and assumed certain vows) who also performs religious services.
. The electronically posted (and now contested) St. Isaac work consisted of one of the homilies from the Ascética! Homilies of Saint Isaac, specifically, Homily 46.
. The full tide of the St. Andrew work is “The Life of Saint Andrew the Fool-For-Christ of Constantinople. ’'
. According to the record, the St. Isaac, Psalter, Prayer Book, and Horologion Works were registered with the U.S. Copyright Office as published works within approximately five years of their first publication dates.
See 17
U.S.C. § 410(c);
Brown v. Latin Am. Music Co.,
. Most of the copies of the Monastery's bylaws and articles of incorporation in the record do not contain a date, making it unclear as to how recent or old the various versions are and where they fall in relation to the period of the Monastery’s spiritual affiliation with ROCOR.
. The Monastery defines an antimension as "a cloth signed by a bishop that is kept on an altar table to indicate that the bishop has consecrated the cloth to be served on as an altar.”
.The Monastery points to the Archbishop’s undeveloped references to booklets lacking a copyright notice during the course of this dispute, but which he contended supported the conclusion of a publication without notice. The Monastery counters the Archbishop's argument with a sworn affidavit from the publisher of St. Nectarios Press stating that the “versions” the Archbishop references are inaccurate copies of those actually distributed to the public. Such evidence falls far short of supporting the conclusion that the Monastery authorized publication without notice of the underlying Works and relinquished its copyright.
. The Archbishop brings additional challenges to the Works’ originality. Because these arguments better fall into the analytical category of whether copying of the Works occurred, we turn to these points infi-a.
. According to his sworn affidavit, Bishop John is “a hierarch in the Genuine Orthodox Church of America,” who "was ordained to the holy priesthood by Metropolitan Valentine, First Hierarch of the Russian Orthodox Autonomous Church” and “[f]or more than 20 years ... ha[s] been a student of Orthodox Christianity.”
. Even Bishop John concedes that the Monastery "has expended some effort in their copyrighted work.”
. Bishop John's affidavits do not go into great detail as to the methodology he utilized to analyze the translations of the Archbishop's and Monastery’s works, its comparison of the latter to other translations, or the process behind the selection of these other texts.
. Both below and on appeal, the Monastery has provided detailed comparisons of the par *50 ties’ respective versions of the religious texts. This extensive analysis shows verbatim or near word-for-word similarities between the Works and the Archbishop’s texts.
. For instance, the district court noted the following specific differences in the works' translations:
[RJegarding Psalm 3 of the Psalter Work, the Monastery's phrasing "without cause” has been replaced by "vainly” in the Archbishop's corresponding website document. In addition, there are slight textual differences between portions of the Monastery's Prayer Book Work and the corresponding text posted on the Archbishop’s website (e.g., the Archbishop changes "Friend of Man” to "Lover of man” throughout the document).
Holy Transfiguration Monastery II,
The Archbishop’s copying [of the St. Isaac Work] omitted footnotes and a total of three words, added a question mark, and changed the spelling of six words. It also added six quotation marks, and changed some headings.
Holy Transfiguration Monastery I,
.
Compare Applied Innovations, Inc. v. Regents of the U. of Minn.,
. The Archbishop additionally points to the Fourth Circuit’s decision in
CoStar Group
as authority for his claim that he cannot be held liable because he, himself, did not personally post the disputed material to the site. His position is inapposite.
CoStar Group
provides that "ISPs, when
passively storing material
at the direction of users in order to make that material available to other users upon their request, do not ‘copy’ the material in direct violation of § 106 of the Copyright Act,’’ and that "the
automatic
copying, storage, and transmission of copyrighted materials ... does not render an ISP strictly liable for copyright infringement."
CoStar Group,
Moreover, the Fourth Circuit subsequently limited its
CoStar
holding in
Quantum,
stating the appellant in that case (challenging the lower court's finding of infringement) "over
*58
state[d] the 'volitional' requirement purportedly established by
CoStar "
because the latter concerned passive conduct "typically engaged in by an ISP," and the acts at issue in
Quantum
were of a more active, volitional, and controlled nature.
Quantum,
. Because we conclude the Archbishop is liable for direct infringement, we need not address his arguments as to why (despite the Monastery's not raising such a claim) secondary liability cannot attach.
See Ortiz-Gonzalez v. Fonovisa,
. We moreover question whether any such defense, even if asserted, holds any merit. The Archbishop likely would not qualify as an ISP under the DMCA’s express provisions, see 17 U.S.C. § 512(k), and even if he did, he has not complied with the specific criteria necessary for an ISP to receive the protections of the DMCA’s safe harbor provisions. See 17 U.S.C. § 512(c)(1).
. At deposition, the Archbishop acknowledged his awareness of the costs he was saving himself by not purchasing the Monastery's Works, stating "[y]es, $120 per book [containing one of the Works]. Now you know why we don't buy their works.”
. The district court likewise recognized as much, stating "[a] rule that would require a victim of infringement to delay taking action to defend its copyright until actual (and perhaps irreparable) harm had accrued would run contrary to the very purpose of the Copyright Act.”
Holy Transfiguration I,
. The defense of copyright misuse "derives from the doctrine of patent misuse,” which " 'requires that the alleged infringer show that the patentee has impermissibly broadened the physical or temporal scope of the patent grant with anticompetitive effect.’ ”
Broad. Music Inc. v. Hampton Beach Casino Ballroom, Inc.,
No. CV-94-248-B,
