Cited Articles
Instances where the Energy Law Journal has been cited in opinions and other published legal materials
U.S. Supreme Court
- General Motors Corp. v. Tracy, 519 U.S. 278, 117 S.Ct. 811, 136 L.Ed.2d 761 (1997) (citing Mogel & Gregg, Appropriateness of Imposing Common Carrier Status on Interstate Natural Gas Pipelines, 4 Energy L.J. 155 (1983)).
- Morgan Stanley v. Public Utility Dist. No. 1, 554 U.S.527, 128 S. Ct. 2733, 2741 (2008), (citing Seth Blumsack, Measuring the Benefits and Costs of Regional Electric Grid Integration, 28 Energy L.J. 147, 147 (2007)).
Federal Courts & Agencies
- AES Sparrows Point LNG, LLC v. Smith, 470 F.Supp.2d 586, 596, 165 Oil & Gas Rep. 287, 287, Util. L. Rep. P 14,634, 14634 (D.Md. Jan 23, 2007) (NO. CIV.A.RDB 06 2478) (citing Jacob Dweck, David Wochner, and Michael Brooks, Liquefied Natural Gas (LNG) Litigation After the Energy Policy Act of 2005: State Powers in LNG Terminal Siting, 27 Energy L.J. 473 (2006)).
- AIU Ins. Co. v. Superintendent, 1991 Me. Super. Lexis 5 (Super. Ct. M.E. 1991) (citing Richard Goldsmith, Utility Rates and 'Takings', 10 Energy L.J. 241 (1989)) Note: only published in LexisNexis.
- Alliance for Clean Coal v. Miller, 44 F.3d 591 (7th Cir.(Ill.) 1995) (citing G. William Stafford, Electric Wholesale Power Sales at Market-Based Rates, 12 Energy L.J. 291 (1991); Richard D. Cudahy, Retail Wheeling: Is this Revolution Necessary?, 15 Energy L.J. 351 (1994)).
- Association of Oil Pipe Lines v. FERC, 83 F.3d 1424 (D.C.Cir. 1996) (citing Steven Reed & Pantelis Michalopoulos, Oil Pipeline Regulatory Reform: Still in the Labyrinth?, 16 Energy L.J. 65 (1995)).
- Automated Power Exchange, Inc. v. FERC, 204 F.3d 1144 (D.C. Cir. 2000) (citing Richard D. Cudahy, Retail Wheeling: Is This Revolution Necessary?, 15 Energy L.J. 351 (1994)).
- Brazos Elec. Power Co-op., Inc. v. FERC, 205 F.3d 235 (5th Cir. 2000) (citing Richard Cudahy, PURPA: The Intersection of Competition and Regulatory Policy, 16 Energy L.J. 419 (1995)).
- Colorado Interstate Gas Co. v. Wright, 707 F.Supp.2d 1169 (D. Kan. 2010) (citing Jim Behnke, Safety Jurisdiction over Natural Gas Pipelines, 19 Energy L.J. 71 (1998)).
- Consolidated Edison Co. of New York, Inc. v. FERC, 823 F.2d 630 (D.C.Cir. 1987) (citing Griggs, Restructuring the Natural Gas Industry: Order No. 436 and Other Regulatory Initiatives, 7 Energy L.J. 71 (1986)).
- Farmers Union Cent. Exchange, Inc. v. FERC, 734 F.2d 1486 (D.C.Cir. 1984) (citing Report of the Committee on Oil Pipeline Regulation, 4 Energy L.J. 143 (1983); Navarro & Stauffer, The Legal History and Economic Implications of Oil Pipeline Regulation, 2 Energy L.J. 291 (1981); Coburn, The Case for Petroleum Pipeline Deregulation, 3 Energy L.J. 225 (1982)).
- Finestone v. Florida Power and Light Co., 2008 WL 863894 (11th Cir. 2008) (citing Jason Bjorn Aamodt, Comment, Regulating the Standard of Care Owed to the Public During an Emergency at a Nuclear Power Plant, 16 Energy L.J. 181, 184-89 (1995))
- General Motors Corp. v. Tracy, 519 U.S. 278, 117 S.Ct. 811, 136 L.Ed.2d 761 (U.S.Ohio, 1997) (citing Mogel & Gregg, Appropriateness of Imposing Common Carrier Status on Interstate Natural Gas Pipelines, 4 Energy L.J. 155 (1983)).
- Idaho Power Co. v. FERC, 312 F.3d 454 (D.C.Cir. 2002) (citing Report of the Committee on Electric Utility Regulation, 18 Energy L.J. 197, 200 (1997); Andrew S. Katz, Using the EEI-NEM Master Contract to Manage Power Marketing Risks, 21 Energy L.J. 269 (2000)).
- Illinois Bell Telephone Co. v. F.C.C., 988 F.2d 1254, (D.C.Cir. 1993) (citing W. Whittaker, The Discounted Cash Flow Methodology: Its Use in Estimating a Utility's Cost of Equity, 12 Energy L.J. 265 (1991)).
- Illinois Commerce Commission v. F.E.R.C., 576 F.3d 470 (7th Cir. 2009) (citing Richard J. Pierce, Jr., Regional Transmission Organizations: Federal Limitations Needed for Tort Liability, 23 Energy L.J. 63 (2002)).
- Illinois Commerce Com'n v. FERC, 576 F.3d 470 (7th Cir. 2009) (citing Richard J. Pierce, Jr., Regional Transmission Organizations: Federal Limitations Needed for Tort Liability, 23 Energy L.J. 63, 64 (2002))
- In re Public Serv. Co. of N.H., 108 B.R. 854 (Bankr. D. N.H. 1989) (citing Richard Goldsmith, Utility Rates and 'Takings', 10 Energy L.J. 241 (1989)).
- In re Public Serv. Co. of N.H., 114 B.R. 820 (Bankr. D. N.H. 1990) (citing Richard Goldsmith, Utility Rates and 'Takings', 10 Energy L.J. 241 (1989)).
- Interstate Natural Gas Ass'n of America v. FERC, 285 F.3d 18 (D.C.Cir. 2002) (citing Paul Mohler, Experiments at the FERC--In Search of a Hypothesis, 19 Energy L.J. 281, 300 (1998)).
- Isla Petroleum Corp. v. Department of Consumer Affairs, 640 F.Supp. 474 (D.Puerto Rico 1986) (citing E. O'Donnell & L. Glassman, Energy Emergencies: Constitutional Constraints on State Efforts to Control Oil Supplies and Prices, 5 Energy L.J. 77 (1984)).
- K N Gas Supply Services, Inc. v. American Production Partnership-V, Ltd ., 994 F.Supp. 1283 (D.Colo. 1998) (citing Richard J. Pierce, Jr., Reconstituting the Natural Gas Industry from Wellhead to Burnertip, 9 Energy L.J. 1 (1988)).
- Kansas Power and Light Co. v. FERC, 851 F.2d 1479 (D.C.Cir. 1988) (citing Pierce, Reconstituting the Natural Gas Industry From Wellhead to Burnertip, 9 Energy L.J. 1 (1988)).
- Kentucky West Virginia Gas Co. v. Pennsylvania Public Utility Com'n, 837 F.2d 600 (3d Cir.(Pa.) 1988) (citing Hobelman, The Narragansett Decision and Its Aftermath, 6 Energy L.J. 33 (1985)).
- Louisiana Energy and Power Authority v. FERC, 141 F.3d 364 (D.C.Cir. 1998) (citing Richard J. Pierce, Jr., Antitrust Policy in the New Electricity Industry, 17 Energy L.J. 29 (1996)).
- Maine Public Utilities Commission v. F.E.R.C., 520 F.3d 464 (D.C. Cir. 2008) (citing Carmen L. Gentile, The Mobile-Sierra Rule: Its Illustrious Past and Uncertain Future, 21 Energy L.J. 353 (2000)).
- Maine Public Utilities Comm'n v. FERC, 454 F.3d 278, 284, 372 U.S.App. D.C. 82, Util. L. Rep. P 14,602, 14602 (D.C. Cir. Jun 30, 2006) (No. 05-1001) (citing David G. Tewksbury & Stephanie S. Lim, Applying the Mobile-Sierra Doctrine to Market-Based Rate Contracts, 26 Energy L.J. 437 (2005)).
- Maine Public Utilities Commission v. F.E.R.C., 520 F.3d 464 (D.C. Cir. 2008) (citing Carmen L. Gentile, The Mobile-Sierra Rule: Its Illustrious Past and Uncertain Future, 21 Energy L.J. 353 (2000)).
- Maine Public Utilities Com'n v. FERC. 520 F.3d 464 (D.C. Cir. 2008) (citing David G. Tewksbury & Stephanie S. Lim, Applying the Mobile-Sierra Doctrine to Market-Based Rate Contracts, 26 Energy L.J. 437, 439-447 (2005)).
- Maryland People's Counsel v. FERC, 761 F.2d 780 (D.C.Cir., 1985) (citing Means & Angyal, The Regulation and Future Role of Direct Producer Sales, 5 Energy L.J. 1 (1984)).
- Michigan Electric Transmission Co. v. Midland Cogeneration Venture, Ltd., 737 F. Supp. 2d 715 (E.D. Mich. 2010) (citing Jackie S. Levinson & Andrew D. Schifrin, Regulatory & Tax Treatment of Electric Interconnection Facilities, 23 Energy L.J. 459 (2002)).
- Mobil Oil Exploration and Producing Southeast, Inc. v. FERC, 885 F.2d 209 (5th Cir. 1989) (citing Shoneman & McConnell, F.E.R.C. Order No. 451: Freedom (Almost) for Old Gas, 7 Energy L.J. 299 (1986); Mogel & Gregg, Appropriateness of Imposing Common Carrier Status on Interstate Natural Gas Pipelines, 4 Energy L.J. 155 (1983)).
- Morgan Stanley Capital Group Inc. v. Pub. Util. Dist. No. 1, 554 U.S.527, 128 S. Ct. 2733, 2741 (2008) (citing Seth Blumsack, Measuring the Benefits and Costs of Regional Electric Grid Integration, 28 Energy L. J. 147, 147 (2007)).
- Mustang Energy Corp. v. FERC, 859 F.2d 1447 (10th Cir. 1988) (citing Griggs, Restructuring the Natural Gas Industry: Order No. 436 and Other Regulatory Initiatives, 7 Energy L.J. 71 (1986)).
- Northern Natural Gas Co. v. Approximately 9117.53 acres in Pratt, Kingman, and Reno Counties, Kan., No. 10–1232–MLB, 2012 WL 859728 (D. Kan. Mar. 13, 2012) (citing Citing: J. Behnke and H. Dondis, The Sage Approach to Immediate Entry by Private Entities Exercising Federal Eminent Domain Authority under the Natural Gas Act and the Federal Power Act, 27 Energy L.J. 499 (2006)).
- Public Utility Dist. No. 1 of Snohomish County Washington v. FERC, 471 F.3d 1053 (9th Cir. 2006) (citing Carmen L. Gentile, The Mobile-Sierra Rule: Its Illustrious Past and Uncertain Future, 21 Energy L.J. 353, 373 (2000); Michael A. Yuffee, California's Electricity Crisis: How Best To Respond to the “Perfect Storm,” 22 Energy L.J. 65, 65-84 (2001)).
- Sea Robin Pipeline Co. v. FERC, 127 F.3d 365 (5th Cir. 1997) (citing Angela S. Chitwood-Beehler, A Conflict in the Circuits: The FERC's Jurisdiction Over Gathering Rates, 13 Energy L.J. 375 (1992)).
- Solid Waste Agency of Northern Cook County v. U.S. Army Corps of Engineers, 998 F. Supp. 946 (N.D.Ill.1998) (citing Stokes, The Limit of Government's Regulatory Authority Over Non-Adjacent Wetlands: Hoffman Homes, Inc. v. EPA, 15 Energy L.J. 137 (1994)).
- South Coast Air Quality Management District v. F.E.R.C., 621 F.3d 1085 (9th Cir. 2010) (citing James J. Hoecker, The NEPA Mandate and Federal Regulation of the Natural Gas Industry, 13 Energy L.J. 265 (1992)).
- Standardization of Generator Interconnection Agreements and Procedures, Order No. 2003, 2001 - 2005 FERC Stats. & Regs., Regs. Preambles ¶ 31,146 (2003) (citing Richard J. Pierce, Jr., Regional Transmission Organizations: Federal Limitations Needed for Tort Liability, 23 Energy L.J. 63 (2002)).
- Statement of Administrative Policy on Separations of Functions, 101 F.E.R.C. ¶ 61,340 (2002) (citing Stephen R. Melton, Separation of Functions at the FERC: Does the Reorganization of the Office of General Counsel Mean What It Says?, 5 Energy L.J. 349 (1984)).
- Tennessee ex rel. City of Cookeville, Tenn. v. Upper Cumberland Elec. Membership Corp ., 256 F. Supp. 2d 754 (M.D.Tenn., 2003) (citing The Rural Electrification Act Preempts State Condemnation Law: City of Morgan City v. South Louisiana Electric Cooperative Ass'n, 16 Energy L.J. 489 (1995)).
- United Distribution Companies v. FERC, 88 F.3d 1105 (D.C. Cir. 1996) (citing Richard J. Pierce, Jr., Reconstituting the Natural Gas Industry from Wellhead to Burnertip, 9 Energy L.J. 1 (1988)).
- Williams Natural Gas Co. v. FERC, 943 F.2d 1320 (D.C.Cir. 1991) (citing Pierce, Reconstituting the Natural Gas Industry from Wellhead to Burnertip, 9 Energy L.J. 1 (1988); Williams, The Proposed Sea-Change in Natural Gas Regulation, 6 Energy L.J. 233 (1985)).
State Courts & Agencies
- Armstrong Petroleum Corp. v. Tri-Valley Oil & Gas Co., 11 Cal. Rptr. 3d 412 (2004) (citing Mickey S. Moon, Assigning Gas Balancing Rights in the Absence of a Gas Balancing Agreement,14 Energy L.J. 407 (1993))
- Chugach Electric Ass'n, Inc. v. Regulatory Com'n of Alaska, 49 P.3d 246 (Alaska 2002) (citing Harvey L. Reiter, Competition Between Public and Private Distributors In a Restructured Power Industry, 19 Energy L.J. 333 (1998)).
- City of Boulder v. Colorado Pub. Utilities Comm'n, 996 P.2d 1270 (Colo. 2000) (citing Hon. Richard D. Cudahy, PURPA: The Intersection of Competition and Regulatory Policy, 16 Energy L.J. 419 (1995)).
- City of Saint Paul v. Northern States Power Co., 462 N.W.2d 379 (Minn. 1990) (citing Pierce, Reconstructing the Natural Gas Industry from Wellhead to Burnertip, 9 Energy L.J. 1 (1988)).
- Connecticut Light & Power Co. v. Department of Public Utility Control, 2002 WL 31000014 (Conn. Super. 2002) (citing A. Gupta, Tracking Stranded Costs, 21 Energy L.J. 113 (2000)).
- Connecticut Light and Power Co. v. Department of Public Utility Control,830 A.2d 1121 (Conn. 2003) (citing A. Gupta, Tracking Stranded Costs, 21 Energy L.J. 113 (2000)).
- Gulf States Utilities Co. v. Public Utility Com'n of Texas, 841 S.W.2d 459 (Tex.App.-Austin 1992) (citing Clinton A. Vince & John S. Moot, Federal Preemption Versus State Utility Regulation in a Post-Mississippi Era, 10 Energy L.J. 1 (1989); Lindh, Federal Preemption of State Regulation in the Field of Electricity and Natural Gas: A Supreme Court Chronicle, 10 Energy L.J. 277 (1989)).
- Indemnity Ins. Co. of North America v. City of Tacoma, 2010 WL 4290648, 158 Wash.App. 1022 (Wash. App. Div. 1 Nov. 01, 2010) (NO. 64247-2-I) (citing Tyler Harden, Limiting Tribal Rights Under the Federal Power Act: Skokomish Indian Tribe v. United States, 28 Energy L.J. 667 (2007)).
- In re Application of Delmarva Power & Light Co. for an Increase in its Electric Base Rates & from Certain Revisions to its Electric Service Rules and Regulations, Docket No. 91-20, 1992 Del. PSC LEXIS 15 (1992) (citing W. Whittaker, The Discounted Cash Flow Methodology: Its Use in Estimating a Utility's Cost of Equity, 12 Energy L.J. 265 (1991)).
- In re Application of the Union Light, Heat & Power Co. for Certain Findings Under 15 U.S.C. § 79Z, Docket No. 2001-058, 2001 Ky. PUC LEXIS 624 (2001) (citing Andrew Katz, Using the EEI-NEM Master Contract to Manage Power Marketing Risks, 21 Energy L.J. 269 (2000)).
- In re Application of Wash. Gas & Light Co. for Authority to Increase Existing Rates and Charges for Gas Service, 229 P.U.R. 4th 177 (2003) (citing Mark Newton Lowry & Lawrence Kaufman, Performance-Based Regulation of Utilities, 23 Energy L.J. 399 (2002)).
- In re Consideration of Standards for Integrated Resource Planning and Investments in Conservation & Demand Mgmt. for Natural Gas Utilities, 1994 Va. PUC LEXIS 158 (1994) (citing Donald F. Santa, Jr. & Patricia J. Beneke, Federal Natural Gas Policy and the Energy Policy Act of 1992, 14 Energy L.J. 1, 44–45 (1993)).
- In re Harper, 223 A.D.2d 200 (N.Y. App. Div. 1996) (citing Frank R. Lindh, Federal Pre-emption Versus State Utility Regulation in a Post-Mississippi Era, 10 Energy L.J. 1-79 (1989)). Note: this case deals with plagiarism by a law student using an ELJ article.
- In Re Washington Gas Light Co., Dist. of Columbia Div., 229 P.U.R. 4th 177, 387, (D.C. P.S.C. Nov. 10, 2003) (citing Mark Newton Lowry & Lawrence Kaufmann, Performance-Based Regulation of Utilities, 23 Energy L.J. 399 (2002)).
- La. Atty. Gen. Op. No. 09-0148, Mr. Frederick D. Heck (2010) (citing Jon Wellinghoff, James Pederson & David L. Morenoff, Facilitating Hydrokinetic Energy Development Through Regulatory Innovation, 29 Energy L.J. 397 (2008)).
- Leggett v. Duke Energy Corp., 308 S.W.3d 843 (Tenn. 2010) (citing Frank R. Lindh, Federal Preemption of State Regulation in the Field of Electricity and Natural Gas: A Supreme Court Chronicle, 10 Energy L.J. 277 (1989)).
- National-Southwire Aluminum Co. v. Big Rivers Elec. Corp., 785 S.W.2d 503 (Ct. App. Ky. 1990) (citing Hoecker, "Used and Useful": Autopsy of a Ratemaking Policy, 8 Energy L.J. 303 (1987)).
- Office of the Attorney Gen. of the State of Cal., 81 Op. Atty Gen. Cal. 1, 1998 Cal. AG LEXIS 14 (1998) (citing Richard J. Pierce, Jr., Reconstituting the Natural Gas Industry from Wellhead to Burnertip, 9 Energy L.J. 1 (1988); J. Michaels & Arthur S. DeVany, Market-Based Rates for Interstate Gas Pipelines: The Relevant Market and the Real Market, 16 Energy L.J. 299 (1995)).
- Penn. Pub. Util. Comm’n v. Penn. Power & Light Co., Docket Nos. R 00943271 and R00943271C001 – 0145, 1995 Pa. PUC LEXIS 190 (1995) (citing W. Whittaker, The Discounted Cash Flow Methodology: Its Use in Estimating a Utility's Cost of Equity, 12 Energy L.J. 265 (1991)).
- Petition of Indiana-American Water Co., 150 P.U.R. 4th 141 (1994) (citing W. Whittaker, The Discounted Cash Flow Methodology: Its Use in Estimating a Utility's Cost of Equity, 12 Energy L.J. 265 (1991)).
- QWEST Communications Corp. v. MCIMetro Access Transmission Services, LLC, No. 08F-259T, R09-0248-I (Colo. P.U.C. Mar. 6, 2009) (citing Kiplyn R. Farmer, Note, FERC Waiver of Filed Rate Doctrine: Some Suggested Principles, 9 Energy L.J. 497 (1988)).
- In Re Regulation of Local Distribution Cos., 163 P.U.R. 4th 210 (1995) (citing Richard J. Pierce, Jr., Reconstituting the Natural Gas Industry from Wellhead to Burnertip, 9 Energy L.J. 1 (1988)).
- Southern Union Co. v. Department of Public Utilities, 941 N.E.2d 633 (Mass. 2011) (citing Mark Newton Lowry & Lawrence Kaufmann, Performance–Based Regulation of Utilities, 23 Energy L.J. 399 (2002)).
- State ex rel. Utilities Com'n v. Carolina Power & Light Co., 359 N.C. 516, 614 S.E.2d 281 (2005) (citing William H. Penniman & Paul B. Turner, A Jurisdictional Clash Over Electricity Transmission: Northern States Power v. FERC, 20 Energy L.J. 205, 207-10 (1999)).
- T&F Operating, Inc., Docket No. 00-722-G-PC, 2002 W. Va. PUC LEXIS 2138 (2002) (citing Jim Behnke, Safety Jurisdiction over Natural Gas Pipelines, 19 Energy L.J. 71 (1998)).
- TransAmerican Natural Gas Corp. v. Finkelstein, 933 S.W.2d 591 (Tex.App.-San Antonio, 1996) (citing Jerome C. Muys et al., Report of the Committee on Public Lands, 15 Energy L.J. 219 (1994)).
- U.S. Steel Min. Co., LLC v. Helton, 219 W.Va. 1, 631 S.E.2d 559 (2005) (citing John S. Lowe, Severance Taxes as an Issue of Energy Sectionalism, 5 Energy L.J. 357, 360-61 (1984)).
- U.S. West Communications, Inc. v. City of Longmont, 948 P.2d 509 (Colo. 1997) (citing Kiplyn R. Farmer, Note, FERC Waiver of the Filed Rate Doctrine: Some Suggested Principles, 9 Energy L.J. 497 (1988)).
- Zimmerman v. Board of Commissioners of Wabaunsee County, 264 P.3d 332 (Kan. 2011) (citing Nicholas W. Fels & Frank R. Lindh, Lessons from the California “Apocalypse:” Jurisdiction over Electric Utilities, 22 Energy L.J. 1 (2001)).
International Citations
- Belgian Electricity & Gas Commission (CREG), The Level and Evolution of Energy Prices, Report No. F120131-CDC-1134 (Jan. 31, 2012) (citing Anatole Boute, Challenging the Re-Regulation of Liberalized Electricity Prices Under Investment Arbitration, 32 Energy L.J. 497 (2011)).
Law Review, Treaties & Journals
- Jason Aamodt, Symposium, Naturally Occurring Radioactive Materials: Human Health & Regulation, 33 Tulsa L.J. 847 (1998) (citing Aamodt, Comment, Regulating the Standard of Care Owed to the Public During an Emergency at a Nuclear Power Plant, 16 Energy L.J. 181 (1995)).
- Inessa Abayev, Hydraulic Fracturing Wastewater: Making the Case for Treating the Environmentally Condemned, 24 Fordham Envtl. L. Rev. 275 (2013) (citing Lynn Kerr McKay, Ralph H. Johnson & Laurie Alberts Salita, Science and the Reasonable Development, 32 Energy L.J. 125 (2011)).
- Katherine A. Abend, Avoiding Water-Intensive Energy Production: How to Keep the Water Running and the Lights On, 41 Envtl. L. Rep. News & Analysis 11020 (2011) (citing Benjamin K. Sovacool, Running on Empty: The Electricity-Water Nexus and the U.S. Electric Utility Sector,30 Energy L.J. 11 (2009)).
- Shirley S. Abrahamson, Susan M. Fieber & Gabrielle Lessard, Judges on Judging: A Bibliography, 24 St. Mary's L.J. 995 (1993) (citing Richard D. Cudahy, Comment, Shedding Light on Dequesne, 12 Energy L.J. 259 (1991)).
- Rosa M. Abrantes-Metz et. al., Revolution in Manipulation Law: The New Cftc Rules and the Urgent Need for Economic and Empirical Analyses, 15 U. Pa. J. Bus. L. 357 (2013) (citing Craig Pirrong, Energy Market Manipulation: Definition, Diagnosis, and Deterrence, 31 Energy L.J. 1 (2010)).
- Nathaniel K. Adams, Comment, Take-Or-Pay: The D.C. Circuit Forces the FERC's Hand, 23 Land & Water L. Rev. 149 (1988) (citing Shoneman & McConnell, FERC Order 451: Freedom (Almost) for Old Gas, 7 Energy L.J. 299 (1986)).
- Alan J. Alexander, The Texas Wind Estate: Wind as a Natural Resource and a Severable Property Interest, 44 U. Mich. J.L. Reform 429 (2011) (citing Brit T. Brown & Benjamin A. Escobar, Wind Power: Generating Electricity and Lawsuits, 28 Energy L.J. 489 (2007)).
- Brent Allen, Consumers Versus Contracts: Morgan Stanley, Maine, and the Mobile-Sierra Doctrine, 1 San Diego J. Climate & Energy L. 315 (2009) (citing Carmen L. Gentile, The Mobile-Sierra Rule: Its Illustrious Past and Uncertain Future, 21 Energy L.J. 353 (2000)).
- 198 A.L.R. Fed. 147 (2004), Preemption Issues Under Atomic Energy Act of 1954, secs. 1 et seq., 42 U.S.C.A. §§ 2011, et seq. (citing Seth A. Rice, Note, Consolidated Edison Co. of New York, Inc. v. Pataki, 24 Energy L.J. 107 (2003)).
- Louis Altman & Malla Pollack, Callmann on Unfair Compet., TMs, & Monopolies § 4:14, Exemptions from the Antitrust Laws-Electric Energy (2011) (citing Joseph T. Kelliher, Market Manipulation, Market Power, and the Authority of the Federal Energy Regulatory Commission, 26 Energy L.J. 1 (2005)).
- Am. Jur. 2d Energy and Power Sources § 48, Coal (2011) (citing Leslie R. Dubois, Curiosity and Carbon: Examining the Future of Carbon Sequestration and the Accompanying Jurisdictional Issues as Outlined in the Indian Energy Title of the 2005 Energy Policy Act, 27 Energy L.J. 603 (2006).
- 15 Am. Jur. 2d Proof of Facts § 125, Wrongful Termination of Electric Service (2008) (citing John S. Moot, Economic Theories of Regulation and Electricity Restructuring, 25 Energy L.J. 273 (2004)).
- 27A Am. Jur. 2d Energy and Power Sources § 50, Hydrogen (2008) (citing Russell Moy, Tort Law Considerations for the Hydrogen Economy, 24 Energy L.J. 349 (2003) ).
- 27A Am. Jur. 2d Energy and Power Sources § 151, Effect of Contrary Contract Provision (2008) (citing Ren Orans, C.K. Woo & William Clayton, Benchmarking the Price Reasonableness of the Long-Term Electricity Contract, 25 Energy L.J. 357 (2004)).
- 27A Am. Jur. 2d Energy and Power Sources § 53, Wind Energy (2008) (citing Darrell Blakeway & Carol Brotman White, Tapping the Power of Wind: FERC Initiatives to Facilitate Transmission of Wind Power, 26 Energy L.J. 393 (2005)).
- 27A Am. Jur. 2d Energy and Power Sources § 146, Public Utility Regulatory Policy Act (2008) (citing Michael D. Hornstein & J.S. Gebhart Stoermer, The Energy Policy Act of 2005: PURPA Reform, the Amendments and their Implications, 27 Energy L.J. 25 (2006)).
- 27A Am. Jur. 2d Energy and Power Sources § 165, Right of Eminent Domain or to Acquire Property (2008) (citing Jim Behnke & Harold Dondis, The Sage Approach to Immediate Entry by Private Entities Exercising Federal Eminent Domain Authority Under the Natural Gas Act and the Federal Power Act, 27 Energy L.J. 499 (2006)).
- 27A Am. Jur. 2d Energy and Power Sources § 50, Hydrogen (2008) (citing Peter M. Crofton, Emerging Issues Relating to the Burgeoning Hydrogen Economy, 27 Energy L.J. 39 (2006)).
- 24 Am. Jur. 2d Proof of Facts § 71, Proper Purpose for Shareholder's Inspection of Corporate Books and Records (2008) (citing Jonathan D. Schneider, The Smartest Guys in the Room: The Amazing Rise and Fall of Enron, 25 Energy L.J. 441 (2004)).
- 15 Am. Jur. 2d Proof of Facts § 125, Wrongful Termination of Electric Service (2008) (citing Jonathan D. Schneider, The Smartest Guys in the Room: The Amazing Rise and Fall of Enron, 25 Energy L.J. 441 (2004).
- 19 Am. Jur. 2d Proof of Facts § 75, Dam Failure as Result of Negligent Design or Maintenance (2008) (citing Jeremy Ward, Note, If It’s Worth a Dam, It’s “Navigable Waters”: A Proposed Revision of Section 3(8) of the FPA Derived from Decisions Followed in FPL Energy Maine Hydro LLC v. FERC, 26 Energy L.J. 179 (2005)).
- 17 Am. Jur. 2d Proof of Facts § 133, Failure to Manage Dam or Reservoir to Prevent Flooding (2008) (citing Jeremy Ward, Note, If It’s Worth a Dam, It’s “Navigable Waters”: A Proposed Revision of Section 3(8) of the FPA Derived from Decisions Followed in FPL Energy Maine Hydro LLC v. FERC, 26 Energy L.J. 179 (2005)).
- 9 Am. Jur. 2d Proof of Facts § 261, Controlling Stockholder's Breach of Duty to Investigate Motive and Intent of Purchaser Before Selling Stock (2008) (citing Jonathan D. Schneider, The Smartest Guys in the Room: The Amazing Rise and Fall of Enron, 25 Energy L.J. 441 (2004)).
- 29 Am. Jur. 3d Proof of Facts § 133, Liability of a Director to a Corporation for Mismanagement (2008) (citing Jonathan D. Schneider, The Smartest Guys in the Room: The Amazing Rise and Fall of Enron, 25 Energy L.J. 441 (2004)).
- 62 Am. Jur. Trials § 395, Defending the Legal Malpractice Claim Arising from Representation of Small Business (2008) (citing Jonathan D. Schneider, The Smartest Guys in the Room: The Amazing Rise and Fall of Enron, 25 Energy L.J. 441 (2004)).
- 83 Am. Jur. Trials § 119, Ex Parte Attachment of Parent Corporation's Treasury Stock (2008) (citing Jonathan D. Schneider, The Smartest Guys in the Room: The Amazing Rise and Fall of Enron, 25 Energy L.J. 441 (2004)).
- S. Rheagan Alexander, Tribal Consultation for Large-Scale Projects: The National Historic Preservation Act and Regulatory Review, 32 Pace L. Rev. 895 (2012) (citing Brit T. Brown & Benjamin A. Escobar, Wind Power: Generating Electricity and Lawsuits, 28 Energy L.J. 489 (2007)).
- Alfred C. Aman Jr., Symposium, Privatization and the Democracy Problem in Globalization: Making Markets More Accountable Through Administrative Law, 28 Fordham Urb. L.J. 1477 (2001) (citing John Burrit McArthur, Antitrust in the New Deregulated Natural Gas Industry, 18 Energy L.J. 1 (1997)).
- Alfred C.Aman, Jr., Administrative Equity: An Analysis of Exceptions to Administrative Rules, 1982 Duke L.J. 277 (1982) (citing Noland & Penniman, The FERC Adjustments Process Under Section 502(c) of the Natural Gas Policy Act of 1978, 1 Energy L.J. 79 (1980)).
- American Bar Association and Canadian Bar Association, Settlement of International Disputes Between Canada and the USA, 35 Can.-U.S. L.J. 9 (2011) (citing Alastair R. Lucas, Canada's Role in the United State's Oil and Gas Supply Security: Oil Sands, Arctic Gas, NAFTA, and Canadian Kyoto Protocol Impacts, 25 Energy L.J. (2004)).
- Adell Louise Amos, Hydropower Reform and the Impact of the Energy Policy Act of 2005 on the Klamath Basin: Renewed Optimism or Same Old Song?, 22 J. Envtl. L. & Litig. 1 (2007) (citing Leslie R. Dubois, Comment, Curiosity and Carbon: Examining the Future of Carbon Sequestration and the Accompanying Jurisdictional Issues as Outlined in the Indian Energy Title of the 2005 Energy Policy Act, 27 Energy L.J. 603 (2006); Joseph Barwick, Agency Conditions on the Relicensing of Hydropower Projects on Federal Reservations, 19 Energy L.J. 397 (1998)).
- Owen L. Anderson, Geologic CO2 Sequestration: Who Owns the Pore Space?, 9 Wyo. L. Rev. 97 (2009) (citing Philip M. Marston & Patricia A. Moore, From EOR to CCS: The Evolving Legal and Regulatory Framework for Carbon Capture and Storage, 29 Energy L.J. 421 (2008)).
- Jennifer R. Andriano, The Power of Wind: Current Legal Issues in Siting for Wind Power, 61 Planning & Environmental Law No. 5 (2009) (citing Brit T. Brown & Benjamin A. Escobar, Wind Power: Generating Electricity and Lawsuits, 28 Energy L.J. 489 (2007)).
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- André Douglas Pond Cummings, Still "Ain't No Glory In Pain”: How The Telecommunications Act of 1996 and Other 1990s Deregulation Facilitated the Market Crash of 2002, 12 Fordham J. of Corp. & Fin. L. 467+ (2007) (citing Allan Horwich, Warnings to the Unwary: Multi-Jurisdictional Federal Enforcement of Manipulation and Deception in the Energy Markets After the Energy Policy Act of 2005, 27 Energy L.J. 373 (2006)).
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