Proposals for Improvements to the UDRP – Version 1.0

October 2022, Superseded by version 2.0

Proposals to improve the UDRP

INTRODUCTION

Thank you for taking the time to review and consider the following proposals. The proposals presented here offer balanced, pragmatic solutions to pain points experienced by all stakeholders to the UDRP.  These limited, discrete, and focused procedural improvements enhance the UDRP’s efficacy and fairness while leaving the heart of the Policy and the jurisprudence unchanged.  

These proposals are a work in progress.  We welcome you to join as a member of the group that is working to further develop these proposals with the aim of creating final proposals that benefit all groups affected by the UDRP and that can therefore attain consensus support from the community. 

This initial set of draft proposals was developed by an exploratory group consisting of participants who come from different stakeholder backgrounds, but who are united in the view that the UDRP process can be improved for the benefit of all.  The proposals presented here have the unanimous support of the diverse participants in our group.   We believe this bodes well for these proposals serving as the foundation for proposals that could attract consensus support from all stakeholders.  

The aim of this group of proposals is to:

  • Be limited to procedural improvements that will not destabilize the UDRP
  • Offer benefits to all participants in the UDRP system
  • Omit proposals that are unlikely to receive widespread support or are too controversial

These proposals are not intended as a universal answer to all issues around the Policy.  While the UDRP has been used successfully to resolve over 80,000 disputes since its adoption in 1999 and has proven to be an effective means for addressing some of the widespread problems of cybersquatting, after 23 years of experience, and the evolution of the Internet since 1999, it is apparent that certain beneficial improvements could be made to the procedures and practices surrounding the UDRP.  

We believe there is a way forward to improving the UDRP without undermining it and without engaging in years of unproductive discussions.  If you also believe that this is possible, we welcome you to join together with other likeminded individuals in the spirit of compromise and pragmatism, to further develop these proposals with the aim of achieving consensus support amongst the ICANN community.


SECTIONS

 


I. Primary Proposals

 

Proposal #1: Appellate Level

  1. It is proposed that an appeal procedure be created to assist in rectifying errant single-panelist decisions.  This proposal would not replace the current appeal process, which requires the filing of an action in a court of mutual jurisdiction but would supplement the existing procedure as an alternate and efficient route of appeal.
  2. Either non-prevailing party may initiate the appeal.
  3. Only a decision issued by a single-member panel is eligible for appeal.  Decisions issued by a three-member panel are not eligible for appeal under this procedure and would only be subject to the traditional appeal route of a court action.
  4. The appeal must be commenced within ten (10) business days from the date of the decision that is being appealed. 
  5. Appeals shall be decided by a three-member panel.
  6. Complainants or Respondents who lose a single-panelist hearing would be entitled to commence an appeal upon payment of a more-than-nominal filing fee. The fee would serve to both cover the costs of the administration of the appeal and of the three panelists. The appeal fee should be of a relatively significant amount to deter frivolous appeals.
  7. Court proceedings for independent adjudication of the dispute would remain available to the parties; however, a party that elects to initiate the UDRP administrative appeal procedure would agree that the appeal decision is binding and final as to the appellant. The appellee, however, would retain the option to commence litigation to alter the outcome of the UDRP case or of the appellate panel.
  8. An administrative review would involve a closed evidentiary record, such that only the evidence from the original hearing would be permitted.
  9. The same Provider that administered the UDRP shall administer the appeal.  If, for any reason, that Provider is unable or unwilling to administer the appeal, the appellant may select another accredited Provider to administer the appeal.
  10. If the appellate panel finds, having regard for all of the circumstances, that the respondent did not receive notice of the original Complaint, it may, in its discretion, accept a response and supporting evidence from the Respondent. The usual rules for replying to a Response would apply (i.e., additional submissions).
  11. A party may only appeal the outcome of the UDRP, not a specific finding.  The appellant by filing an appeal will seek to reverse the outcome of the UDRP, be it an order for transfer or for cancellation, or denial of transfer or denial of cancellation of a disputed domain name. Appeals of an individual element of the decision (e.g., Reverse Domain Name Hijacking (“RDNH”) or a finding as to legitimate interest) are not permitted. An appeal panel may reverse or vary the original UDRP decision as it sees fit. 
  12. Administrative reviews shall be heard by three appellate panelists.
    1. Each party shall select one non-presiding (i.e., “wing”) panelist from the rosters of any accredited Provider to serve on the appellate panel. 
    2. The presiding panelist shall be appointed pursuant to a neutral or balanced method, an example of which is offered below in Procedural Improvement #4 (Neutral Selection of Presiding Panelist).
  13. The administrative review procedure will involve: a) a Notice of Administrative Review setting out the grounds for the requested review; b) the submission of the original Complaint, Response, associated annexes, orders, and correspondence, and the original decision; and c) brief written submissions from the parties.

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Proposal #2: UDRP Companion and ICANN Funding

 

1. We propose the creation of a pan-Provider “Companion” to the UDRP, in the vein of the WIPO Jurisprudential Overview. This would build upon existing summaries of UDRP consensus views and would have the added authority of applying across all Providers.

2. It is proposed that a small and balanced group of qualified experts, substantially representing the full range of UDRP participants, be established to create and maintain the “Companion,” which would set out and codify consensus views on issues which frequently arise in the UDRP. Inclusion of a view in the Companion should require agreement of the group of experts. Where agreement cannot be achieved on a given issue, the different views of the experts shall be set out.

3. It is expected that the Companion will serve as a guide for practitioners and panelists, subject to reasonable discretion and the evolution of the case law.

4. The Companion should be subject to review and updates at regular intervals.

5. The UDRP has served as a showcase policy for ICANN for 23 years despite very little in the way of financial support from ICANN itself. We believe that it is ICANN’s responsibility to financially support the UDRP through funding, and in particular through the creation and maintenance of the Companion. We believe that the DNS relies upon a well-functioning UDRP. A portion of funds derived from domain name registrations and from new gTLD registry applications should be directed to the UDRP in this manner for purposes of funding the creation of such a pan-Provider Companion.

 

 

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Proposal #3: Improved Notice of Proceedings

Notice of proceedings is a fundamental aspect of justice. Although the UDRP has been generally successful in providing notice of a dispute to respondents, we believe that the process can be improved. Currently, notice of a dispute is issued by the Provider directly to the respondent.  However, there have been some reported instances of a registrant not responding to or not recognizing the import of the Provider’s notice, as the registrant is not familiar with the Provider or with the UDRP procedure.  Internet users are often advised not to open attachments from unknown senders, and therefore the use of email as a method to deliver notice of UDRP complaints is not always reliable.

We believe that it would increase effectiveness and would be prudent and manageable for registrars to provide additional notice to respondents. After a registrar locks a disputed domain name once it is alerted to a Complaint by a Provider, a registrar would be required to provide notice of the proceeding to its own customer, namely the registrant/ respondent. Registrants have a relationship with their registrar and will generally be familiar with and trusting of notices received by their registrar. Accordingly, when a registrant is notified by its registrar that a UDRP case has been commenced against it, the registrant will generally be more likely to read it and to trust that the notice is legitimate. Some registrars already provide this additional notice to their customers as a matter of good customer service. We propose that this practice become universal and mandatory across all registrars. 


Registrars, however, would not be required to serve the Complaint. That function would still be left to the Provider. The registrar’s actions would be limited to emailing its customer at all available email addresses (including the account holder address and not just the registrant’s recorded Whois address) and providing notification to its customer that the disputed domain name has been locked and that they will have received or will shortly receive a Notice of Commencement of Proceedings from the Provider. Such registrar notices should alsoinclude links to online materials to be curated or created and published by ICANN, as recommended in Proposal #4 below, which are written in terms accessible to those who are not legal professionals, and which can serve to educate and instruct respondents on what the UDRP is and how to respond to a complaint.

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Proposal #4 – Educational Materials For Parties

We believe it may be possible to reduce the frequency of poorly-conceived or unsubstantiated pleadings by providing parties with neutral and standardized educational materials covering the basic requirements of a UDRP complaint and response.

The educational materials would alert parties to the most common deficiencies in poorly drafted complaints and inadequate responses (e.g., the failure to submit proof of adequate and timely trademark rights; the need to support contentions with documentary evidence and not through unsubstantiated allegations;  explanations of bona fide noncommercial fair use or valid legitimate interests), etc.).  The materials would be made available in plain language for those who are not trained legal professionals or otherwise have little experience in this field.

This information would benefit meritorious complainants and their counsel who are unfamiliar with the UDRP by alerting them to potential pitfalls.  It could also benefit both complainants and respondents by helping unwitting Complainants and their counsel avoid bringing Complaints that will not succeed and could possibly result in a finding of RDNH. Similarly, materials could help educate Respondents about trademark rights and clarify that registering a domain name that is available may not automatically provide rights to such a domain name.

Care must be taken with such materials so as not to deter lawful registration of domain names or discourage legitimate complaints.  Dispute Providers could offer links to these educational materials at prominent points most likely to be seen by parties prior to submission of their pleadings, such as on their dispute home pages, facilities for online submission of complaints and responses, notice of commencement emails, and other locations.

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Proposal #5 – Expedited Transfer Policy

To reduce the enforcement burden on certain well-known marks that are repeatedly targeted by cybersquatters, we propose the adoption of an expedited transfer policy to simplify and accelerate the procedure for resolving such disputes. The outlines for the ETP are detailed in the attached Appendix A.

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Proposal #6: –  Ensuring the Continued Success of the UDRP

The UDRP has performed admirably over the course of 23 years, with accredited Providers managing the procedure almost entirely on their own. Stakeholders have been very fortunate that it has worked out as well as it has, despite little oversight. Nevertheless, the continued success of the UDRP rests nearly entirely on accredited Providers, and there are no assurances that in the future, an existing or new Provider will not enact internal procedures which negatively impact the UDRP and harm other Providers. For example, a Provider could decide to retain inexperienced personnel as Panelists and could do so at minimal cost. Such a development would not only negatively affect the efficacy, quality, and credibility of the UDRP, but would also cause a swift and disastrous competitive disadvantage to other Providers. This is just one example of how the UDRP could take a wrong turn in the future due to the lack of regulated standards or best practices across all Providers.

Accordingly, we believe that the best opportunity to consider measures aimed at preventing these situations is the present. If they were to occur in the future, it may be difficult or impossible to rectify the harms at that point. We therefore propose that stakeholders and Providers discuss standards which will best ensure the continued efficacy, quality, and credibility of the UDRP. Such an exercise would benefit Providers who strive to provide the best possible administrative services to stakeholders and would also benefit stakeholders who want to ensure the continued success of the UDRP.

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Proposal #7: Assisting Complainants with GDPR Related Challenges

We recognize that the adoption of GDPR has created several challenges for Complainants arising from the resulting inability to access current and complete historical Whois records.

Loss of Access to Reverse Whois Information

Prior to GDPR, Complainants were able to identify many or all of the domain names associated with a single-registrant profile. This enabled Complainants to more efficiently bring a proceeding in respect of multiple domain names against a single Respondent. While it is sometimes still possible to do that with other research methods, the current situation substantially limits Complainants’ resources.

We considered whether it was advisable to revise the UDRP and associated rules to enable Complainants to access such registrant data, for example, by compelling registrars to disclose all domain names associated with a particular registrant. After examining and carefully considering this issue, the problems associated with this potential solution appeared to counsel against such a solution being adopted within the limited scope of an RPM working group. For example, the UDRP could be misused to obtain such data for competitive or other purposes and could be a breach of the registrant’s confidentiality. As such, we do not recommend such a solution. Rather, we recommend that whatever solution ICANN adopts to address issues arising from GDPR enable Complainants to obtain such data outside of the UDRP procedure itself.

A possible policy approach explored which should be the subject of consideration by all concerned stakeholder groups within ICANN is whether Complainants may request a Reverse Whois report from the concerned registrar, to the extent available and subject to any applicable laws, upon achieving a final transfer order.

Failure to disclose Whois

A lesser but related issue is some registrars failing to abide by the Temp Spec and reveal a registrant’s underlying Whois information in a timely manner or at all (i.e., apart from situations where the registrar is given false information, or the registrant uses layers of proxy services). Although it may provide grounds for a complaint to ICANN Compliance, in practice this remedy is insufficient, because ICANN Compliance may be unable to immediately address and rectify the situation within the timeframes of the pending UDRP proceeding. Nevertheless, we propose that ICANN Compliance be made ready and available to immediately direct a registrar to comply with the Temp Spec upon demand from a Provider and to promptly take enforcement measures against a non-compliant registrar. However, this does not necessitate a revision to the UDRP or its associated Rules.

Inability to Contact Registrant

Prior to GDPR, Complainants were generally able to reach out to registrants in an attempt to settle disputes informally (including the offer of settlement funds) before incurring the expense of a UDRP filing. Similarly, the inability, in many cases, to substantively contact a registrant in pre-proceeding communications, such as issuing a demand letter or conveying a settlement offer, is prevented by some registrars by the manner in which they limit contact with undisclosed registrants. Although this issue does not require a revision to the UDRP or its associated Rules, we recommend that ICANN take steps to require registrars to provide potential Complainants with a means of sending a customized message of reasonable length to a registrant, even if the registrant remains undisclosed. Ideally this communication would be received by the registrant in a manner that indicates that it is being sent via the registrar’s facilities. A small fee payable by complainants for this service would be reasonable to defray the added costs to registrars. By enabling complainants to potentially resolve disputes prior to the initiation of the formal UDRP proceeding, substantial costs savings would be achieved, and registrants would benefit from the potential receipt of settlement funds.

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II. Recommendations Against Adopting Certain Proposed Revisions to the UDRP

We recommend against adopting certain possible revisions to the UDRP.   Such revisions may attempt to resolve known problems, but in our view these revisions would themselves create more problems than they would solve, and therefore on balance we propose that such proposals not be pursued.  We also do not believe that any of these possible revisions would achieve the necessary consensus support and, in the end, would simply waste valuable time in extensive but unproductive discussion.   We view such revisions as dead-ends and recommend against them as further explained below.

#1 – Recommend Against Adopting Penalties for Complainants or Respondents

Given the wide disparity between the cost of domain name registration and of pursuing UDRP complaints, we recognize that there ought to be consequences for cybersquatting beyond a transfer order. However, in closely examining and considering this issue, we believe that there is no readily practical solution for imposing penalties that would be collectable and/or meaningful.  No practical solution is apparent, as bad actors can disguise themselves such that they are unreachable.  

For example, if a repeat cybersquatter were ordered to pay a fine, the likelihood of a complainant actually collecting it is very low. Moreover, creating a requirement that cybersquatters must pay a fine could also result in the converse requirement, namely complainants having to pay a fine if found guilty of RDNH – which would be generally collectable and thereby create a disparity for complainants.

Alternatively, if a bond were to be posted by a respondent as a prerequisite to defending a complaint, this would raise access-to-justice issues and present difficulties for the panel in dealing with a case where the respondent did not pay the required fee or bond. Furthermore, bonds would involve the collection, holding, and administration of funds, and this would be an impractical or overly burdensome task for someone, likely the Provider or Registrar, to undertake and be responsible for. Even an “evergreen” bond, i.e. one in place for a particular cybersquatter, regardless of the domain names, would still enable it to be circumvented by using stolen credit cards or other means and would likely be unenforceable. 

Prohibiting cybersquatters from registering additional domain names is also impractical, as cybersquatters would easily circumvent such prohibition by using different registrant profiles. Moreover, the prohibition would likely only apply to unlawful additional registrations, and there would be no readily practical means of determining which domain names the prohibition should apply to.

Having considered all the above issues, we do not believe that this is an avenue worth pursuing as part of an RPM working group. It is unfortunate that complainants bear the cost burden without contribution from cybersquatters. However, there is not a workable solution beyond the impractical use of higher registration costs, greater registrar involvement in takedown requests, or lower costs for researching, drafting, and filing UDRP complaints.

One possibly ameliorative measure could be a lower cost and faster procedure that is usable for obvious cases of cybersquatting, combined with a new “cancellation” remedy wherein domain names that have been adjudged to be abusive are permanently subject to cancellation at the registry level, thus relieving successful complainants of the need to pay annual renewal fees for what is essentially a non-productive asset. We believe that this kind of new procedure would greatly assist complainants who are repeatedly victims of cybersquatting and is more viable than the punitive measures discussed above.

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#2 – Recommend Against Adopting Formalized Mediation

Formalized mediation, although attractive, is not practical for the UDRP. We recognize that mediation is an important and useful feature in litigation and arbitration and is already easily accessible by the parties. Nevertheless, we have closely examined the viability of including mediation as a formalized feature within the UDRP and have determined that on balance, it is not desirable or feasible. 

While mandated mediation could, in some cases, result in a resolution of a pending UDRP Complaint, in most cases it would likely result only in additional expenditure and delay. Most cybersquatters would not participate in mediation, just as they do not participate in the dispute proceeding by failing to file a Response. On other occasions it would just be an opportunity to hold up the proceedings in an attempt to obtain an unjustified payment from the Complainant. Most importantly however, once complainants have already expended significant sums on legal and Provider fees for the investigation, preparation, and filing of the Complaint, they would not be motivated to incur this additional expense. Moreover, where mediation does take place in the context of domain disputes, such as New Zealand and the UK, the mediator is paid by the registry and there is no likelihood of that occurring with the UDRP. Finally, should mediation be desired upon the consent of both parties, it is currently available, through private means, where the proceedings are suspended for up to 45 days.

Accordingly, we believe that it is up to the parties to decide whether they want to try to resolve the case informally. The parties are currently able to seek a voluntary suspension of the proceeding in order to explore settlement and experience shows that this is effective and far less costly.

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#3 – Recommend Against Substantive Policy Changes: For Example, Changing “AND” to “OR”

We recognize that a domain name could be registered in good faith and then later repurposed to be used in bad faith, and that the UDRP does not address this contingency, as the Policy requires the conjunctive requirement of bad faith registration and bad faith use in par. 4(a)(iii). Nevertheless, after carefully examining and considering the issue, we believe that the UDRP should not be revised to eliminate the conjunctive requirement and allow for either bad faith registration or bad faith use.

First and foremost, the instances of such cases – where a good faith registrant subsequently repurposes the domain name to use it in bad faith – are exceedingly rare. Therefore, even if such a revision to the UDRP were to be made, it would have relatively little effect on the vast majority of cybersquatting cases, which typically involve both bad faith registration and bad faith use. 

Furthermore, if the UDRP were revised to encompass this relatively rare contingency, it would represent a fundamental and major change in the Policy which would invite other equally drastic changes to the UDRP and thereby either result in deadlock amongst stakeholders or destabilize the tried-and-tested UDRP, which has been overwhelmingly successful in its application over the course of 23 years. 

We also considered that if such a major revision to the core of the Policy were to be made, it would have a substantial effect on the established case law which has developed and evolved over the course of the 23-year history of the UDRP. Parties and panelists would no longer be able to rely upon much of the established jurisprudence, which is based upon the present formulation, and which has served to provide consistency and predictability in the UDRP.

Revising the Policy to enable transfer of a domain name that was registered in good faith but used in bad faith would necessarily involve great uncertainty in its application. Bad-faith use could be considered by some panelists to have occurred – even in connection with the good faith registration of a so-called “generic” or dictionary-word domain name that long-predates the complainant’s recent trademark rights – merely where the registrant hasn’t used the domain name, where the registrant inadvertently permitted the appearance of pay-per-click (“PPC”) links, or the registrant offered the domain name for sale to the general public. Accordingly, such a revision would likely result in great uncertainty and the destabilization of the UDRP.

The UDRP was intended to address clear cases of cybersquatting — which, by definition and by established jurisprudence — means registering a domain name to take advantage of a specific trademark owner. Attempting replacement of the word “and” would not be a productive use of time, as it would certainly result in deadlock amongst stakeholders and counter requests for many changes that ultimately would not enjoy consensus support (e.g., eliminating passive holding, clear RDNH penalties, and the like). Even if such a change were feasible, it would fundamentally shift the UDRP’s intended purpose from addressing cybersquatting per se, to targeting abusive use of domain names more generally. That is an area that does deserve attention, but it is best addressed through other means, such as through the courts or through the development of ICANN DNS abuse policies. The UDRP has achieved its marked success and effectiveness in dealing with cybersquatting through a delicate balance and long-term development of jurisprudence which should not be destabilized only to address what ultimately is an outlier, extremely rare set of potential ‘good faith turned into bad faith’ cases.

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III. Procedural Improvements

The following are procedural proposals that we believe could improve or solve some of the current issues that practitioners face.  These are not listed in any ranking of importance but are offered to address recurring problems. 

1. Choice of Registrar Upon a Transfer of a Domain Name

Problem:  A Complainant may not wish to receive the transfer of a disputed domain name at the current registrar (i.e., a “push” transfer), especially if the current registrar has limited functionality or is in a foreign language.

Solution:  Following a transfer order, require registrars to permit transfer to the Complainant’s registrar of choice upon request.  The dispute provider shall transmit to the registrar, along with the notice of the successful complaint, the email address of the Complainant’s designated representative for the purpose of effecting the transfer to the Complainant’s registrar of choice.  Upon a request by the Complainant to transfer to a different registrar, the registrar shall unlock the domain name and shall send to the Complainant’s designated representative the Transfer Authorization Code or similar transfer code in respect of the disputed domain name.

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2. Ensuring transfer

Problem:  If the losing respondent files a court case in a court that is not the agreed mutual jurisdiction, some registrars may not fulfill their obligation to transfer a disputed domain name following a successful complainant using the justification that there is a court case pending “somewhere”.

Solution: The only permitted “mutual jurisdiction” is the one properly specified by the Complainant in the Complaint.  If the complainant prevails and the respondent does not file a challenge under section 4(k) of the Policy in a court of mutual jurisdiction within the permitted time period, the registrar of the disputed domain name MUST timely transfer the disputed domain name to the Complainant as the Complainant so directs, notwithstanding that the respondent may have filed a challenge in court in a location that is not the mutual jurisdiction specified in the Complaint.

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3. Consistent, Clear Rules for Supplemental Filings

Problem:  Unclear, inconsistent procedures burden both complainants and respondents leading to the needless expenditure of time and funds in the preparation of supplemental filings that are often then rejected by the panel.  Unclear procedures also raise issues of equity and timeliness.  A panel upon receipt of a late-filed, unsolicited supplemental pleading by a complainant may not provide the respondent adequate, or any, time to prepare a responsive supplemental pleading.  Addressing unsolicited supplemental filings may unduly delay an expeditious resolution of the dispute.

Solution:  A party must request and obtain permission from the Panel before filing a supplementary or additional submission of any kind.  The Panel should allow sufficient time after the filing of the Response (for example, at least three (3) days), for such a request to be made prior to the Panel issuing its decision. The request shall be limited to 300 words and shall only include the grounds for the request.  The Panel shall permit a supplemental filing by a complainant where there are new facts and/or legal issues in the response that could not have reasonably been anticipated.  If permission is granted, the Panel should ensure that: a) the requester is permitted an appropriate length of time to file the supplemental filing (such as for example, five (5) days); and b) the other party is provided with a reasonable opportunity to respond, with an additional submission of its own, within an appropriate length of time (for example, five (5) days).

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4. Neutral Selection of Presiding Panelist

Problem:  In a three-member panel the Presiding Panelist plays a critical role.  The appearance of neutrality in selecting the Presiding Panelist is important for the credibility of the Policy. While the Providers have generally done a good job in selecting slates of presiding panelists in three-member panel cases, we note that there does not currently exist a consistent selection process or policy across the different Providers.  There is also a concern that in the future a Provider (perhaps a newly-appointed provider) could adopt a process that is not perceived as neutral, which could undermine the credibility of the UDRP.

Solution:  Develop a uniform or standard procedure across all providers for selection of a Presiding Panelist.  We suggest discussion of an equitable procedure for appointment of the Presiding Panelist.  One possible approach would be to rely on the non-presiding panelists (i.e. “Wings”) selecting the candidates, supplemented if necessary by random selection, as detailed below.

Suggested Procedure for the Selection of a President Panelist:

  1. Each party shall select one Wing from the rosters of any accredited Provider to serve on the panel. 
  2. The presiding panelist shall be selected, in order of priority, by:
    1. the two parties by mutual agreement;
    2. alternatively, the two Wings shall select up to five candidates for presiding panelist by mutual agreement;
    3. if the Wings mutually agree on fewer than five presiding panelist candidates, the provider shall make up the balance of the remaining five candidates for presiding panelist by random selection from a number of previous panelists who have served as presiding panelist within a defined time frame, subject to section (c) below.
    4. Once selected, the five candidates for presiding panelist shall be ranked by the parties and appointed by the provider according to the current procedure.
  3. Procedural details for the selection of the presiding panelist are:
    1. At any point prior to the appointment of the presiding panelist, the two parties may mutually agree upon a presiding panelist and promptly notify the provider of their selection;
    2. Upon appointment, the two Wings shall have one week to mutually agree upon a presiding panelist;
    3. If the Wings within the one-week period are unable to agree upon five presiding panelist candidates, then the provider shall select additional candidates for presiding panelist to make up the balance of the five presiding panelist candidates by random selection from a number of previous panelists who have served as presiding panelist within a defined time frame (the Presiding Panelist Roster).  If the Wings are unable to mutually agree upon any candidates for presiding panelist, then all five candidates for presiding panelist shall be selected by this random selection.
    4. If the provider determines that one or more of the presiding panelists on the initial Presiding Panelist Roster are not qualified to serve as presiding panelist, for example because facility in a specific language is required or because of a known conflict of interest, the provider shall use its best efforts to develop a Presiding Panelist Roster comprised of at least twice as many eligible panelists as there are presiding panelist candidates remaining to be selected.  The remaining candidates for presiding panelist shall then be selected by random draw from the updated Presiding Panelist Roster.  By way of example, if the dispute involves a Chinese language domain name and a Chinese content website such that the provider reasonably believes that facility in Chinese is a qualification to serve as Presiding Panelist and the Wings have mutually selected two candidates for presiding panelist, the provider shall develop a Presiding Panelist Roster of at least six eligible panelists from which the three remaining candidates for presiding panelist shall be randomly drawn.  Under this provision (c)(iv), as in provision (b)(iv) above, once five candidates for Presiding Panelist have been nominated by the provider, the parties shall rank and/or strike them as they currently do in accordance with the provider’s standard procedure.
    5. If the provider believes it is unable to assemble a compliant Presiding Panelist Roster, due to having on its roster an insufficient number of panelists who meet the eligibility criteria as determined by the provider, the provider may decline to handle the case.  If the provider declines to handle the case, the complainant may file the case with another provider.

 

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5. Three-member panel timelines

Problem: There is no clear, consistent timeline by which a Complainant must pay the additional fee if the Respondent selects a three-member panel.  A slow-paying Complainant can delay proceedings by a month or more, thus leaving the disputed domain name locked and the Respondent without recourse.

Solution:  Clarify the procedure and timing for circumstances in which a complainant does not make timely payment of the additional fee for a three-member panel.

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6. Right to a Decision

Problem:  A complainant may wish to withdraw its complaint after a response is filed, especially if the complaint was speculative and baseless and the complainant fears an adverse decision.  Yet the Respondent will have gone to the trouble and expense of filing a response.  The Complainant may be deserving of a finding of Reverse Domain Name Hijacking, and the Respondent could be disadvantaged if the dispute is not resolved, such that the Complainant might withdraw the complaint and then refile it later.

Solution:  It shall be up to the Panel, in its discretion, to determine if a Complainant shall be permitted to withdraw its Complaint without the consent of the Respondent, subsequent to a Response having been filed.

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7. Accuracy and Provision of Registration Data/Registrar Verification

Problem 1: The Registrar Provided Registration Data (Registrar Verification) Can Be Unclear.  

The Registrar Provided details about the registrant and the disputed domain name is shared with the Panel but, depending on the provider, is not always shared with both parties.  If there are material inaccuracies in the registrar verification — in particular the date the respondent registered the disputed domain name, as the registrar may only know the date at which the disputed domain name was transferred to it but not the date when the respondent originally registered the domain name — neither party would be aware of it or able to correct the record, and therefore the panel may issue a decision based on incorrect information.

Solution 1: Registrars should be required when providing Registrar Verification to simply provide an exact copy of the full Whois record without elaboration and leave it to the parties to evaluate what the provided data effectively means; or b) if providing more than a copy of the Whois data itself, i.e. answering questions posed by the Provider in relation to the Whois records, accurately identify what the data being provided represents, e.g. whether the date being conveyed is in fact the date upon which to the registrar’s knowledge, the Respondent registered the domain name, or the date when the domain name was created, or the date when the registrar first received the domain name registration, or otherwise.

Problem 2: The Respondent is Denied Access to Critical Evidence that is Entered into the Record and that is Only Available to the Panel and to the Complainant. 

After a Complaint is filed, the critical information contained in the Registrar Verification, e.g. the identity of the Respondent and the registration date of the disputed domain name, is officially conveyed by the registrar who in turn typically shares it with the Panel and the Complainant. The Complainant then typically uses the data to amend its Complaint to reflect the underlying registrant and sometimes to reflect the date of registration (subject to its limitations as identified in Problem 1, above). This Registrar Verification is generally considered official and accurate since it is provided by the concerned registrar and is derived from the, now private, Whois record. Since Respondents are not provided with this Registrar Verification, they do not have access to the full case file unlike the Complainant and the Panel. The Complainant and the Panel will be aware that the Registrar Verification inter alia, identified the Respondent and provided a certain date in respect of the disputed domain name and will generally rely upon this official record. However, since a Respondent is not furnished with a copy of the Registrar Verification, they are unable to review it and correct it where appropriate. For example, a Respondent will be unaware that the provided Registrar Verification specified an incorrectly named party or specified an incorrect registration date and will thereby be unable to challenge it beyond what is included in the Complaint itself despite the Registrar Verification having formed part of the case file provided to the Complainant and Panelist only. Furthermore, if the Registrar Verification, for example, discloses a registration date of 2017, a Complainant may rely upon that date and allege 2017 as the date of registration in the Complaint based upon the Registrar Verification that it received. A Respondent, however, may want to challenge it by arguing that for example, the 2017 date was merely the date upon which the registrant moved the domain name to the current registrar, but the actual registration date was years earlier. Without having received the Registrar Verification itself, the Respondent may be unaware that the Complainant’s allegations were based upon the Registration Date and as a result the Respondent would not know to challenge the official Registrar Verification itself. Further, as has happened, a Panel may discredit a Respondent’s response in the belief that the Respondent is willfully misrepresenting its date of registration of the Disputed Domain Name if it conflicts with the date provided by the registrar. Because the registrar verification is not shared with the Respondent, the Respondent has no way of knowing that a date has been inaccurately submitted by the registrar as the registration date when in fact it may be the date the domain name was transferred to the registrar or some other date. Sharing the registrar disclosure with a Respondent would easily remedy this issue.

Solution 2: Registrar verifications should be shared with both parties as part of the case file upon the commencement of the proceeding. This will not prejudice the Complainant in any way but will provide the full and identical case record to both parties and thereby help avoid misapprehensions resulting from incomplete or incorrect Registrar Verification.

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8. Timeframe to Publish Decisions

Problem:  We are aware of significant delays that occur between the Panel delivering its decision to a Provider and the Provider communicating and/or publishing the decision. Many of these delays may be beyond the control of the Provider or result from Providers making their best efforts to administer and communicate decisions. Nevertheless, currently the Rules require Providers to communicate their decision within 3 business days (Rule 16(a)).

Solution:  To promote compliance with this deadline, we propose that the time frame be reconsidered, based upon the reasonable needs of Providers and of the parties, and that whatever appropriate time frame is agreed upon be strictly abided by Providers, subject to exceptional circumstances.

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9. Identify Dissenting Panelists

Problem:  If a dissenting panelist is not identified, it is unclear which panelist holds which views.  This lack of transparency undercuts the ability of parties to make well-informed choices when selecting panelists for a three-member panel.

Solution:  Dissenting panelists should be identified in the decision by name.

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10. Providing Decisions in a Standard Format

Problem:  Previously, ICANN compiled and maintained a list of all decisions from all providers. It ceased doing so in 2006. There is no longer an official compilation of all cases across all providers. Moreover, since not all Providers issue cases in machine- readable format, they are not easily searchable. The lack of a central database for the over 80,000 issued UDRP decisions undermines the transparency of the UDRP and makes reviewing and analyzing decisions far more difficult.

Solution: ICANN should provide a centralized database of UDRP decisions in a standard, machine-readable format.  We recommend that ICANN undertake and fund this initiative to create the central database and work with Providers to develop a standard machine-readable format for all UDRP decisions. Alternatively, Providers could make a version of their decisions available in a standard, machine readable format, such as in the JSON or a similar format, thereby making it practicable for the private sector to create a searchable central depository of all cases.

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Appendix A

Expedited Transfer Procedure (ETP)

Summary:

Complementing the UDRP, the proposed Expedited Transfer Procedure (“ETP”) is a more streamlined, efficient transfer/suspension procedure available to brand owners who are subject to persistent cybersquatting.

The ETP is intended for and is best suited for the clearest of cybersquatting, phishing, fraud, and comparable cases where there is no conceivable good faith registration and use.  The ETP is not appropriate where a case may involve more complex issues such as freedom of expression, resellers, nominative fair use, or the date on which the current registrant acquired the disputed domain name.

The requirement that a mark be enforced in five consecutive, successful UDRP complaints to be eligible to use the ETP is an essential element of the ETP to help ensure that only marks that are subject to persistent cybersquatting and asserted by experienced representatives can avail themselves of this expedited procedure.

Key Benefits:

  • The Complaint consists primarily of “check the box” representations along with a short summary of the case.   The evidentiary requirements are minimal and standardized. The matter is heard by a single Panelist unless the Respondent pays to convert to a three-member UDRP.
  • Time to decision is as little as 14 days.

 

Expedited Transfer Procedure

  1. Eligibility
    1. The trademark rights being asserted must be for a registered trademark (the “Mark”).
    2. A Complainant will need to establish eligibility to use the procedure by either establishing that:
      1. The Complainant has prevailed in its five most recent UDRP complaints in respect of the Mark (with no intervening ETP losses); or
      2. The Complainant prevailed in its last ETP complaint in respect of the Mark.
  2. Complaint
    1. The Complaint consists of 1) a section where the complainant makes a series of representations (the “Representation Section”); 2) a Statement of the Case, 3) Evidentiary Support, 4) Certification of accuracy and completeness.
    2. The Representation Sections consists of the following representations (check the box) all of which must be confirmed to the best of the Complainant’s knowledge and belief:
      1. the Complainant currently has enforceable and registered rights in its Mark;
      2. the Complainant’s date of first use of the Mark predates the original creation date of the Disputed Domain Name as shown in the Whois record;
      3. the Respondent does not currently have, nor ever had, a legitimate right or interest to the Disputed Domain Name and the Domain Name was registered and is being used in bad faith;
      4. the Disputed Domain Name is not used for a bona fide non-commercial purpose, including without limitation, criticism, advocacy, educational purposes, or a fan site.
      5. there is no reasonably conceivable good faith commercial use of the Domain Name other than by the Complainant;
      6. there has never been a business relationship either directly or indirectly between the Complainant or Respondent or any principals thereof;
      7. the Disputed Domain Name either a) meets the Telstra criteria for finding that passive holding is in bad faith, or b) is specifically targeting the Complainant in bad faith. (To be further defined.)
    3. The Statement of the Case shall be limited to 1000 words.  The statement of the case shall demonstrate that all three criteria for a successful UDRP complaint have been met.
    4. Evidentiary Support.
      1. The Complainant shall attach at least one trademark registration in respect of the Mark;
      2. Attach proof of the Domain Name’s Creation Date (e.g., the Whois record);
      3. Identify prior cases that demonstrate Complainant’s eligibility to use the ETP as per Section 1.b. above.
      4. If relying on 2.b.vii.b., Complainant’s representation of targeted bad faith, provide evidence of such bad faith use.
      5. Evidence of the fame of the asserted trademark.
    5. The complaint may be filed against multiple domain names.  (Procedure to be determined.)
  3. Notice
    1. Same procedure as UDRP except that; a) the Registrar is also required to serve the Complaint on the registrant; and b) the Registrar should where possible and to achieve the highest likelihood of adequate notice, serve the registrant using the account holder’s contact details in addition to the registrant’s Whois contact details. Boilerplate Notice of Complaint shall be in a number of the most widely spoken languages.
  4. Response
    1. Upon receipt of a Notice of the Complaint, the Respondent shall have ten calendar days to file a Response.
    2. The Respondent may request an automatic ten calendar day extension of the deadline to file a response.
    3. The Response shall be limited to 1,000 words.
    4. The Respondent may convert the dispute to a three-member panel UDRP dispute at the current Provider by submitting one-half (1/2) of the fee for a three-member Panel at the current ETP Provider.  The Complainant shall be responsible for its remaining portion of the three-member panel fee charged by the current Provider. The Complainant will have ten days to supplement or replace its ETP complaint with a UDRP complaint.
  5. Decision
    1. The evidentiary standard is clear and convincing (with a definition and examples of what this means).
    2. If the Respondent fails to submit a compliant Response, the Panelist shall have three calendar days to issue a decision.
    3. If the Respondent submits a compliant Response, the Panel shall have five calendar days to issue a decision.
    4. If the Panel finds for the Complainant, whether or not the Respondent submitted a compliant response, the decision shall state that the Panel finds that the Complainant has demonstrated sufficient evidence in support of its representations.  Further, the Panel shall provide a statement of the primary rationale for its decision of at least 200 words which is specific to and points out the facts of the case most relevant to the Panel’s decision.
  6. Providers
    1. Providers shall publish the decision within 72 hours of receipt of the decision from the Panel.
    2. Providers shall assign panelists in a round-robin format from their roster accounting for availability and language proficiency.
  7. Remedies
    1. Complainant shall have a choice of three remedies:
      1. Transfer.  The registrar will transfer the domain name to the Complainant.
      2. Cancelation.  The registrar will delete the domain name and make it available for re-registration.
      3. Suspension.  The registrar/registry will remove the name servers from the domain name for a period of ten years.  After the ten-year period the Disputed Domain Name shall be cancelled.  Neither the registry nor registrar shall assess any fees regarding the suspended domain name during the suspension period.
    2. Delayed transfer when Suspension Requested.  If a suspension remedy is chosen, any time during the suspension period the Complainant can choose to convert the suspension to a transfer.  Once the transfer occurs it will be treated as a new registration and registration and renewal fees will start accruing.  The registrar or registry shall not change the price categorization of the domain name. 
  8. Outcomes
    1. If the Complainant prevails, the Panel will order the remedy requested by the Complainant.
    2. If the Respondent prevails, the Respondent shall retain possession of the Disputed Domain Name.  Further, as specified in Section 1 above, the Complainant must requalify for ETP eligibility for the Mark by prevailing in five UDRP complaints relying on the Mark filed subsequent to the denial of its ETP complaint.  If after considering the submissions, the ETP panel finds that the circumstances are exceptional and warrant waiving the requirement to requalify for the ETP for the Mark, the ETP panel shall make such a finding.
    3. If the Panel determines that the Complainant was abusive or misleading, the Panel shall make a finding of Reverse Domain Name Hijacking. Such a finding of RDNH shall result in the barring of that Complainant from using the ETP for a period of two years and such Complainant shall be barred from filing a UDRP on this disputed domain name.
    4. ETP decisions are subject to appeal.  If an ETP complaint is denied, the Complainant is not precluded from filing a UDRP complaint on the Disputed Domain Name.  If an ETP complaint is accepted, the Respondent may avail itself of the appellate procedure described in Proposal #1.  The appeal of an accepted ETP complaint must be filed within ten business days of the publication of the ETP decision.
  9. Mandatory Review
    1. The ETP will be reviewed after three years.  The review will determine whether the ETP will continue or should be terminated. 

Commentary and Notes

Prefatory Notes

The UDRP would be a more effective remedy for the most harmful forms of persistent cybersquatting if these instances could be identified and resolved in an expedited proceeding.  There are vast differences between disputes that involve blatant fraud, phishing or other forms of evident abuse from those involving evidence-intensive disputes such as matters involving criticism, fair use, resellers or distributors, registration dates and other more complicated matters.  The purpose of the ETP is to address the former expeditiously and to leave the rest to the UDRP.

The requirement that the Complainant prevail in the previous five consecutive UDRP cases on the particular mark is an essential element of the ETP.  This serves to distinguish those marks that are subject to persistent cybersquatting from other marks that may be new, non-distinctive, non-exclusive, or are otherwise not suited for an expedited procedure. 

Since the Respondent may lose rights to its disputed domain name in as little as 14 days, the reasonableness of enabling a Complainant to avail itself of the ETP requires that there is a very high likelihood that the complaint is meritorious and that the Complainant will prevail.  The track record of prevailing in the five previous consecutive UDRP complaints qualifies the mark holder to use the ETP to protect its mark.

Eligibility

1(a) The mark relied upon must be a registered trademark.  Common law rights are not eligible. 

1(b) Initial eligibility for the ETP arises from prevailing in the five successive immediately preceding UDRP complaints with respect to the Mark.  Once the Complainant begins filing ETP complaints, the Complainant remains eligible for the ETP so long as its ETP complaints are accepted.  If Complainant files an ETP complaint that is denied, it will lose eligibility to file ETP complaints, subject to the exceptional 8(b) waiver.  Complainant regains eligibility to file ETP complaints after prevailing in five successive immediately preceding UDRP complaints with respect to the Mark that are filed after the date of the denial of the ETP complaint. 

If the Complainant wishes to file a complaint that it believes is meritorious but is unsure whether it will prevail in an ETP complaint, the Complainant may elect to file the complaint as a standard UDRP complaint instead so that if its UDRP complaint is denied it does not lose its eligibility for the ETP and it won’t have to go through the process to regain ETP eligibility.

Complaint

              2.(b)(ii) Creation date.  If the creation date of the Disputed Domain Name is before the date that the Complainant has enforceable rights in its Mark, such that the Complainant is asserting that the Respondent is not the original registrant of the domain name and acquired the Disputed Domain Name at a later date from a third party, this raises a question of fact as to what date should be considered to be the registration date of the Disputed Domain Name.  This may be a factually intensive disputed point requiring the Panel to weigh competing evidence and may not be able to be determined with a high degree of confidence.  As such, disputes where determining the registration date, rather than the creation date, is critical to the outcome of the dispute are not suited for the ETP.

              2(b)(iv) Non-commercial use.  The question of whether a non-commercial use is fair or pretextual is an evidentiary intensive question and is not suited to the ETP.

              2.(b)(v) No reasonably conceivable good faith use.   The ETP is suited for Disputed Domain Names that on their face are targeting the Complainant’s well-known mark.  The ETP is not suited for valuable domain names that can be legitimately used by third-parties and that are similar to an asserted trademark.   Domain names which are inherently non-distinctive on their face raise the evidentiary question as to whether the use (website, email, etc.) is primarily for the purpose of targeting the Complainant and, in the absence of clear evidence thereof, should not be considered suitable for the ETP.

              2(b)(vii)  Passive or targeted use.  Disputed domain names that are passively held are eligible for the ETP if they meet the five-part Telstra test, in particular “that it is not possible to conceive of any plausible actual or contemplated active use of the domain name by the Respondent that would not be illegitimate” (https://www.wipo.int/amc/en/domains/decisions/html/2000/d2000-0003.html).  Otherwise, the Complainant should demonstrate evidence that the Disputed Domain Name is being used specifically to target the Mark.

Notice

              3.a. Effective notice is particularly important especially when the Respondent has a shortened period for an initial response and might lose possession of its domain name in as little as 14 days.  A critical aspect of effective notice is for the Registrar to send the Complaint to the Respondent using the primary contact information that the Registrar has on file for the Respondent.  This contact information is more likely to be accurate and up-to-date than the Whois contact information, which as it was originally available to the public may have been a less sensitive secondary email address.  Also, the Respondent may not be familiar with the Provider’s name and may distrust any unsolicited email with attachments as dangerous spam.  The Respondent has a trusted, established relationship with its Registrar and will be more likely to pay attention to communications from its Registrar.  

              Multi-lingual boilerplate notice.  Further, to help ensure that non-English speakers understand that a dispute has been filed against them and what their options are, a notice in a number of the most widely spoken languages (https://blog.busuu.com/most-spoken-languages-in-the-world/) alerting the respondent that its domain name is at risk of loss from a dispute and providing basic helpful information shall also be sent by the Provider and by the Registrar.

Remedies

7.a.iv  The objective of the provision that the registrar or registry shall not change the price categorization of the disputed domain name is so that there is no price gouging of the Complainant that wishes to register the domain name following a period of suspension. 
             If a third-party has a legitimate interest in and use for a suspended domain name, the third-party could reach an agreement with the Complainant to end the suspension and to register the disputed domain name and then to transfer it to the third-party according to whatever the agreed terms are.

Outcomes

              8.b.  In exceptional circumstances, a Panel that denies an ETP complaint may nonetheless view the requirement that a Complainant requalify for the ETP to be inappropriate.  Perhaps a fact came to light in the response that the Complainant could have had no reasonable expectation of knowing before filing the complaint or there has been misconduct on the part of a respondent.  If deemed appropriate a Panel may waive the requirement to requalify for the ETP, though the expectation is that this waiver will be applied very sparingly and only in exceptional circumstances.