Date: 20061017
Docket: T-555-05
Citation: 2006 FC 1235
Ottawa, Ontario, October 17th,
2006
PRESENT: The Honourable Mr. Justice Kelen
BETWEEN:
THE
INFORMATION COMMISSIONER OF CANADA
Applicant
and
THE
MINISTER OF ENVIRONMENT CANADA
Respondent
REASONS FOR JUDGMENT AND JUDGMENT
[1]
This
is an application for review of the refusal of the Minister of Environment
Canada (the Minister) to disclose portions of a Memorandum to Cabinet dated
March 1995 regarding Methylcyclopentadienyl Manganese Tricarbonyl (MMT) by
reason that the requested records are exempt from disclosure under paragraphs
21(1)(a) and (b) of the Access to Information Act, R.S.C. 1985, c. A-1,
(the Access Act). The Minister disclosed pages 11 to 38 and Appendix 1
of the Memorandum to Cabinet except for redactions in portions of nine
paragraphs, which are the subject of this application.
[2]
A
table identifying the specific portions of the Memorandum withheld by the
Minister that are the subject of this application (the Disputed Passages) is
set out in Appendix “A” to these Reasons.
Facts
[3]
The
Memorandum to Cabinet consisted of two sections. The first section was a
three-page advocacy document in which the sponsoring Minister presented Cabinet
with an overview of the issue, together with recommendations, their costs and
the principal arguments in support of the recommendations. The second section
was called the “Analysis Section”, which presented an objective analysis of the
background of the issue, the factors that were considered in arriving at the
possible options described, and the cost of implementing each. This “Analysis
Section” was previously known as the “Discussion Paper” in a Memorandum to
Cabinet.
The requested information
[4]
The
requested information is the “Analysis Section” or discussion paper that is
part of a Memorandum to Cabinet. The discussion paper is confined to pages 11
to 38 and Appendix 1, and it is presented in both official languages. The
discussion paper relates to the fuel additive MMT. Cabinet made its decision
concerning MMT public on May 19, 1995 when the government introduced Bill C-94,
the Manganese-based Fuel Additives Act. Bill C-94 was reintroduced as
Bill C-29 on April 22, 1996 and was adopted by Parliament on April 25, 1997
(S.C. 1997, C-11). The purpose of the statute was to prohibit the
inter-provincial trade and import for commercial purposes of MMT and gasoline
containing MMT.
History of this Access Act request
(a) The Request
[5]
On
September 16, 1997, Ethyl Canada Inc., through its solicitor, submitted to the Minister
a request under section 6 of the Access Act for:
Discussion Papers, the purpose of which
is to present background explanations, analyses of problems or policy options
to the Queen’s Privy Council for Canada for consideration by the Queen’s Privy
Council for Canada in making decisions with respect to Methylcyclopentadienyl
Manganese Tricarbonyl (MMT).
[6]
On
October 28, 1997, the Minister identified four records relevant to Ethyl’s
request but advised Ethyl that access to all four records would be denied
because they constituted “confidences of the Queen’s Privy Council for Canada”
(“Cabinet Confidences”) and were therefore excluded from the scope of the Access
Act under paragraphs 69(1)(a) and (e).
[7]
After
the Minister refused to disclose the records, Ethyl complained to the
Commissioner. The Commissioner conducted an investigation under section 30 of
the Access Act. The Commissioner concluded that a portion of the
Memorandum, namely the analysis section, fell within the scope of “discussion
paper” material identified in paragraph 69(1)(b) of the Access Act and
therefore recommended that the Minister disclose portions of the requested
records.
[8]
The
Minister rejected the Commissioner’s recommendation. The Commissioner then
applied to the Federal Court pursuant to paragraph 42(1)(a) of the Access
Act for a review of the Minister’s refusal to disclose the requested
records.
(b) 1st
Federal Court Review in 2001
[9]
On
April 2, 2001, Mr. Justice Edmond Blanchard allowed the Commissioner’s
application for review and issued an Order, as set out in Appendix “B” to these
Reasons, requiring the Clerk of the Privy Council (the Clerk) to sever and
release portions of the requested records containing background explanations or
analyses of problems or policy options: Canada (Information Commissioner) v.
Canada (Minister of Environment), [2001] 3 F.C. 514.
[10]
On
February 7, 2003, the Federal Court of Appeal upheld Justice Blanchard but allowed
to a limited extent the appeal by the Minister: Canada (Information
Commissioner) v. Canada (Minister of the
Environment), 2003 FCA 68. Writing for a unanimous Court, Noël J.A.
stated:
¶ 27 I would therefore allow the appeal to the limited extent
indicated by these reasons, and vary paragraph 2 of the order given by the
Applications Judge as follows:
2. The four documents
which both the Minister and the Privy Council Office determined as Cabinet
confidences are to be returned for review by the Clerk of the Privy Council to
determine:
(a) whether there exists within or appended to
the documents a corpus of words the purpose of which is to present
background explanations, analyses of problems or policy options to Council for
consideration by Council in making decisions, that can be reasonably severed
from the documents pursuant to section 25 of the Access Act;
(b) if such severable corpus of words
is found to exist by the Clerk of the Privy Council Office, it is hereby
ordered that it be severed and released to the applicant subject to any
exemption which may be claimed by the head of the government institution.
[11]
Justice
Blanchard held that section 69 of the Access Act, which provides that
the Act does not apply to Cabinet Confidences, did not include the “Analysis Section”
of the Memorandum to Cabinet. The historical evidence demonstrated that the
government transformed the “Discussion Paper”, which was part of the Memorandum
to Cabinet, into the “Analysis Section”. Justice Blanchard held at paragraph
45:
[…] Such a change to the Cabinet paper system could be
viewed as an attempt to circumvent the will of Parliament.
Therefore, Justice
Blanchard found that the Analysis Section of the Memorandum to Cabinet was
subject to the Access Act. This groundbreaking decision was upheld by
the Federal Court of Appeal. The Court of Appeal held at paragraph 10 per Noël
J.A.:
In considering the evolution of the Cabinet paper system,
the Applications Judge found that the type of discussion previously reflected
in a separate document identified as a “discussion paper” was, during the
period in issue, moved to the “analysis” section of a document referred to as a
“memorandum to Cabinet” (or M.C.). He then analysed the words, purpose and
intent of Parliament in enacting paragraph 69(3)(b) of the Access Act
and paragraph 39(4)(b) of the CEA and concluded that Parliament did not
intend to allow Cabinet to circumvent the application of the legislation by
merely incorporating one accessible document into another which is not. He held
that it was the contents of a document, rather than its title, which ought to
govern and attributed the refusal to produce the requested documents to a
misapprehension of the legal effect of the relevant legislation.
[12]
The
part of the decision not upheld was the finding of Justice Blanchard at
paragraph 47 that the Analysis Section must be disclosed without reference to
any exemptions in the Access Act:
In my opinion, the correct meaning of a
“discussion paper” intended in paragraphs. 69(1)(b) and 69(3)(b) of the Access
Act is information the purpose of which is to present background explanations,
analyses of problems or policy options to Council for consideration by Council
in making decisions. If this information exists but is included in a memorandum
to Cabinet, the next step is to determine whether this information can be
reasonably severed from the
memorandum to Cabinet pursuant to section 25 of the Access Act. If the
information can be reasonably severed, it must be released to the public.
[…]
[Emphasis added]
The Court of Appeal held at paragraph 16
that the Minister (or head of the government institution) must be provided the
opportunity to invoke any exemption that might apply to this information under
sections 13 to 26 of the Access Act. The Court of Appeal varied the
Order of Justice Blanchard to allow the Minister of the Environment in this
case the opportunity to consider and claim any exemption that might apply to
the analysis section of the Memorandum to Cabinet.
(c) Clerk
certifies under the Canada Evidence Act
[13]
The
Clerk then reviewed the four records and certified that documents #2, #3 and #4
constituted confidences of the Privy Council. Document #1, a 51-page document,
is the Memorandum. The Clerk certified that pages 1-10 and 39-51 of the
Memorandum consisted of information contained in “a memorandum the purpose of
which is to present proposals or recommendations to Council” within the meaning
of paragraph 39(2)(a) of the Canada Evidence Act (the CEA).
[14]
The
Clerk determined that pages 11-38 of the Memorandum and Appendix 1 to the
Memorandum (the Analysis Section) contained “a corpus of words the
purpose of which is to present background explanations, analyses of problems or
policy options to Council for consideration by Council in making decisions.”
Accordingly, the Clerk referred the Analysis Section to the Minister for review
and invited the Minister to claim any remaining grounds for exempting
disclosure under the Access Act as contemplated in the judgment of the
Court of Appeal.
(d) 2nd
Complaint by the Commissioner and Federal Court Review
[15]
On
June 2, 2003, the Commissioner initiated another complaint under subsection
30(3) of the Access Act in respect of the Minister’s failure to process
the Analysis Section.
[16]
On
June 20, 2003, the Minister informed the Commissioner and Ethyl of his decision
to invoke in respect of portions of the Analysis Section the exemptions
provided in subsections 14, 21(1)(a),(b) and (c), and 23 of the Access Act.
The Minister provided Ethyl with the portions of the Analysis Section that were
not subject to exemptions.
[17]
Further
to his own complaint, the Commissioner investigated the Minister’s response to
Ethyl’s request by examining the exemptions claimed by the Minister and seeking
representations from Ethyl and the Minister concerning the application of the
exemptions.
[18]
On
February 20, 2004, the Minister withdrew his reliance on section 14 of the Access
Act in respect of paragraphs 37 and 68-79 of the Analysis Section and on
paragraph 21(1)(c) of the Access Act in respect of paragraphs 55-106 of
the Analysis Section. The Minister maintained his reliance, however, on the
exemptions provided in subsections 21(1)(a),(b) and 23 of the Access Act.
[19]
On
September 30, 2004, the Commissioner completed his investigation of his
complaint. The Commissioner concluded that the portions of the Analysis Section
withheld under paragraphs 21(1)(a) and (b) were not exempt and recommended that
the Minister disclose the corresponding portions of the Analysis Section. The
Commissioner also concluded, however, that the Minister properly claimed
exemptions under section 23 of the Access Act in respect of other
portions of the Analysis Section.
[20]
The
Minister rejected the Commissioner’s recommendation to disclose additional
information. On March 25, 2005, with Ethyl’s consent, the Commissioner applied
to this Court for a review of the Minister’s refusal to disclose the Disputed
Passages.
Relevant
Legislation
[21]
The
legislation relevant to this application is:
1. the Access to
Information Act, R.S.C. 1985, c. A-1; and
2. the Canada Evidence Act, R.S.C.
1985, c. C-5.
The relevant excerpts of these statutes are
reproduced at Appendix “C” to these Reasons.
Standard of Review
[22]
Before
embarking on an analysis of the issues raised in this application, it is
necessary to undertake the pragmatic and functional analysis of the appropriate
standard of review: Dr. Q. v. College of Physicians and Surgeons of British
Columbia, [2003] 1 S.C.R. 226. As stated by Linden J.A. in Sketchley v. Canada (Attorney
General),
2005 FCA 404:
¶ 46 …[T]he pragmatic and functional
analysis must be undertaken anew by the reviewing Court with respect to each
decision of an administrative decision-maker, not merely each general type of
decision of a particular decision-maker under a particular provision.
[23]
This
application raises as issues the interpretation and application of the
discretionary exemptions under paragraphs 21(1)(a) and (b) of the Access Act
to a particular set of records. If this Court finds that the exemptions apply,
the Commissioner additionally calls upon this Court to review the exercise of
the Minister’s discretion to refuse disclosure of the Disputed Passages. These
are two distinct issues requiring separate analyses of the applicable standard
of review.
(i) Standard of review with respect to paragraphs 21(1)(a) and
(b): Interpretation and Application
(a) Presence or absence of a privative clause or statutory right of
appeal
[24]
The
first factor is the presence or absence of a privative clause or statutory
right of appeal. This factor was assessed by the Supreme Court of Canada in Canada
(Information Commissioner) v. Canada (Commissioner of the
Royal Canadian Mounted Police), [2003] 1 S.C.R. 66. At paragraph 15,
Gonthier J. held that the Access Act does not contain a privative clause
insulating decisions of heads of government institutions on questions of access
to information, and subsections 41 and 42 of that Act provide a statutory right
of judicial review of these decisions before the Federal Court. Accordingly,
this factor suggests no deference.
(b) Relative
expertise
[25]
The
second factor to consider is the expertise of the decision-maker relative to
the Court. The finding under review involves the statutory interpretation by
the Minister of the interplay between subsections 21(1)(a), (b) and section 69
of the Access Act. Relative to the reviewing judge, this decision-maker
has no expertise in statutory interpretation. The Court is better able to
decide questions of law than the Minister. Accordingly, this factor suggests a
less deferential review.
(c) Purpose of the legislation
[26]
The
third factor to consider is the purpose of the applicable legislation, namely
the Access Act. In Canada (Information Commissioner) v. Canada
(Commissioner of the Royal Canadian Mounted Police), supra, the
Supreme Court per Gonthier J. at paragraph 17 determined that the purpose of
the Access Act is advanced by adopting a less deferential standard of
review.
(d) Nature of the question
[27]
The
fourth factor to be addressed is the nature of the question: whether it is one
of law, fact, or mixed law and fact. The Court will accord greater deference
to the head of government’s factual findings, and less deference on questions
of legal principle or interpretation. The question in this review involves the
statutory interpretation of the interplay of provisions under the Access Act
with respect to the Disputed Passages. This is a question of law, which
warrants no deference.
(e) Conclusion
[28]
Having
regard to the four factors, the Minister’s decision to withhold the Disputed
Passages on the basis of the exemptions provided in paragraphs 21(1)(a) and (b)
should be assessed on the correctness standard.
(ii) Standard
of review with respect to the Exercise of Discretion
[29]
The
Access Act leaves the disclosure of records falling within paragraphs
21(1)(a) or (b) to the discretion of the Minister. The Federal Court of Appeal
considered the standard of review applicable to a minister’s exercise of
discretion under paragraph 21(1)(a) in 3430901 Canada Inc. v. Canada
(Minister of Industry), [2002] 1 F.C. 421 [Telezone]. At paragraph
45, Evans J.A. stated:
In my opinion, the Minister’s exercise of
discretion under paragraph. 21(1)(a) is now also subject to review for
unreasonableness.
Further, “unreasonableness simpliciter,” not patent unreasonableness, is
the relevant variant of rationality review applicable to the discretionary
decision in this case. The expertise available to the Minister in making the
decision, and his accountability to Parliament, are outweighed by the
importance afforded by the Act to the right affected, namely, the public right
of access to government records secured by an independent review of refusals to
disclose, and by the case-specific nature of the policy decision made.
[Emphasis added]
[30]
In
my view, Evans J.A.’s analysis is equally applicable to this Court’s review of
the Minister’s exercise of discretion under paragraphs 21(1)(a) and (b). I
therefore conclude that the Minister’s exercise of discretion should be
assessed on the reasonableness standard.
Burden of Proof
[31]
Section
48 of the Access Act provides that the government institution concerned
bears the burden of establishing that its head is authorized to refuse to
disclose a requested record. The parties agree that, as the party attempting to
prevent disclosure, the Minister bears the burden of proving the applicability
of an exemption to a particular set of records.
[32]
The
Minister argues, however, that, as the party alleging that discretion has been
improperly exercised, the Commissioner bears the burden of proving this
allegation. The Minister relies on the Federal Court of Appeal’s judgment in Telezone,
supra. At paragraph 99 of that judgment, Evans J.A. concluded that “…the burden
of proof was on the appellants to establish that the Minister had failed to
exercise according to law the statutory discretion to disclose the documents
containing advice and recommendations within the meaning of paragraph
21(1)(a).”
[33]
In
my view, however, the Supreme Court of Canada’s subsequent judgment in Lavigne
v. Canada (Office of
the Commissioner of Official Languages), [2002] 2 S.C.R. 773,
disposes of this issue. At paragraph 60, Gonthier J., writing for a unanimous Court,
stated the following in relation to the Privacy Act:
As I have said, s. 22(1)(b) is not an
absolute exemption clause. The decision of the Commissioner of Official
Languages to refuse disclosure under s. 22(1)(b) must be based on concrete
reasons that meet the requirements imposed by that paragraph. Parliament has
provided that there must be a reasonable expectation of injury in order to
refuse to disclose information under that provision. In addition, s. 47 of
the Privacy Act provides that the burden of establishing that the discretion
was properly exercised is on the government institution. If the government
institution is unable to show that its refusal was based on reasonable grounds,
the Federal Court may then vary that decision and authorize access to the
personal information (s. 49).
[Emphasis changed]
[34]
Although
Gonthier J.’s statement in Lavigne concerns section 47 of the Privacy
Act, the same reasoning applies with equal force to section 48 of the Access
Act. As Evans J.A. noted in Telezone, supra, at paragraph 93,
“Sections 47 and 48 of the Privacy Act are not materially different from
sections 48 and 49 of the [Access Act].”
[35]
Accordingly,
the Court must be satisfied that the Minister was correct in determining that
paragraphs 21(1)(a) or (b) apply in respect of the Disputed Passages and that
the Minister’s discretionary refusal to disclose was reasonable.
Issues
[36]
The
issue is whether the Minister lawfully refused to disclose the Disputed
Passages on the basis of the exemption provided in paragraphs 21(1)(a) and (b)
of the Access Act. Specifically:
1. Are the Disputed
Passages exempt from disclosure under paragraphs 21(1)(a) or (b) of the Access
Act?
2. If exempt, did the
Minister lawfully exercise his discretion to refuse to disclose the Disputed
Passages?
Analysis
Issue No. 1: Are the Disputed Passages
exempt from disclosure?
(a) The interplay
between section 21 and section 69 of the Access Act
[37]
Paragraphs
21(1)(a) and (b) grant the Minister discretion to withhold certain records
containing advice provided to the government:
|
Operations
of Government
Advice, etc.
21. (1) The head of a government institution may refuse to
disclose any record requested under this Act that contains
(a) advice or
recommendations developed by or for a government institution or a minister of
the Crown,
(b) an
account of consultations or deliberations involving officers or employees of
a government institution, a minister of the Crown or the staff of a minister
of the Crown,
[…]
if the record came into existence
less than twenty years prior to the request.
|
Activités du
gouvernement
Avis, etc.
21. (1) Le
responsable d’une institution fédérale peut refuser la communication de
documents datés de moins de vingt ans lors de la demande et contenant :
a) des
avis ou recommandations élaborés par ou pour une institution fédérale ou un
ministre;
b) des
comptes rendus de consultations ou délibérations où sont concernés des cadres
ou employés d’une institution fédérale, un ministre ou son personnel;
|
[38]
Before
considering the specific application of paragraphs 21(1)(a) and (b) to the
Disputed Passages, it is necessary to address a preliminary issue raised by the
Commissioner concerning the interplay between sections 21 and 69 of the Access
Act.
[39]
Subsection
69(1) provides that, as a general rule, the Access Act does not apply to
Cabinet Confidences. Subsection 69(3) carves out an exception to this rule:
|
Confidences
of the Queen’s Privy Council for Canada
69. (1) This Act does not apply to
confidences of the Queen’s Privy Council for Canada, including, without
restricting the generality of the foregoing,
[…]
(b)
discussion papers the purpose of which is to present background explanations,
analyses of problems or policy options to Council for consideration by
Council in making decisions;
|
Documents confidentiels du Conseil privé de la Reine pour le
Canada
69. (1) La
présente loi ne s’applique pas aux documents confidentiels du Conseil privé
de la Reine pour le Canada, notamment aux:
[…]
b) documents de travail destinés à présenter des problèmes, des
analyses ou des options politiques à l’examen du Conseil;
|
|
[…]
Exception
(3) Subsection (1) does not apply to
(a) confidences of the Queen’s Privy Council for Canada that have been
in existence for more than twenty years; or
(b) discussion papers described in paragraph (1)(b)
(i) if the decisions to which the discussion papers relate have been made
public, or
(ii) where the
decisions have not been made public, if four years have passed since the
decisions were made.
|
[…]
Exception
(3) Le paragraphe (1) ne s’applique pas :
a) aux documents confidentiels du Conseil privé de la Reine pour le
Canada dont l’existence remonte à plus de vingt ans;
b) aux documents de travail visés à l’alinéa (1)b), dans les
cas où les décisions auxquelles ils se rapportent ont été rendues publiques
ou, à défaut de publicité, ont été rendues quatre ans auparavant.
|
[40]
In
accordance with the Court of Appeal’s judgment dated February 7, 2003, the
Clerk reassessed the four documents originally identified as responsive to
Ethyl’s request and severed the portions falling within the scope of the
exception defined in paragraph 69(3)(b). The Clerk concluded that the Analysis
Section constituted a “discussion paper” within the meaning of paragraph
39(4)(b) of the Canada Evidence Act and therefore did not warrant
protection as a Cabinet Confidence. Paragraph 39(4)(b), which is set out in
Appendix “C” to these Reasons, is identical to paragraph 69(3)(b) of the Access
Act. Further to the Court of Appeal’s judgment, the Minister was given an
opportunity to claim exemptions applicable to the Analysis Section.
[41]
The
Commissioner argues, however, that the exemptions provided in paragraphs
21(1)(a) and (b) cannot apply when the conditions in paragraph 69(3)(b) are
met. Discussion papers removed from the “protection of candour” regime found in
subsection 69(1), it is argued, cannot be exempt from disclosure by being
categorized as “advice and recommendations” or “accounts of consultations or
deliberations” under paragraphs 21(1)(a) or (b). The Commissioner argues that
such a result defeats the intent of Parliament and the stated purpose of the Access
Act.
[42]
The
modern approach to statutory interpretation described by Elmer Driedger in The
Construction of Statutes (Toronto: Butterworths, 1974) at page 67 was
adopted by the Supreme Court of Canada in Re Rizzo and Rizzo Shoes Ltd.,
[1998] 1 S.C.R. 27 at 41:
Today there is only
one principle or approach, namely, the words of an Act are to be read in their
entire context and in their grammatical and ordinary sense harmoniously with
the scheme of the Act, the object of the Act, and the intention of Parliament.
[43]
The
Commissioner has filed material tracing the legislative history of sections 21
and 69. On the basis of this extrinsic material, the Commissioner asks the
Court to interpret the Access Act in such a way as to prevent the
exemption under subsection 21(1) of any records within the scope of subsection
69(3). It is well established that the Court may look to extrinsic material,
including Hansard, to ascertain the purpose behind an enactment or provision: Reference
re Firearms Act (Can.), [2000] 1 S.C.R. 783 at
paragraph 17; R. v. Morgentaler, [1993] 2 S.C.R. 463 at 483-84.
[44]
Both
a plain reading of sections 21 and 69 and a review of the Access Act’s
legislative history, however, leads me to conclude that the Commissioner’s
argument on this point must fail.
[45]
First,
the effect of subsection 69(3) is discerned, albeit circuitously, by reading
the opening text of subsections 69(1) and (3):
|
69. (1) This Act does not apply
to confidences of the Queen’s Privy Council for Canada, including,
without restricting the generality of the foregoing,
[…]
(3) Subsection (1) does not
apply to […]
[Emphasis
added]
|
69. (1) La
présente loi ne s’applique pas aux documents confidentiels du Conseil
privé de la Reine pour le Canada, notamment aux:
[…]
(3) Le paragraphe
(1) ne s’applique pas: […]
[Je
souligne]
|
A plain reading of these
provisions indicates that if a record falls within the scope of subsection
69(3), then, as an exception to the rule in subsection 69(1) excluding Cabinet
Confidences, the Access Act applies in respect of the record. As noted
below, this fact alone does not determine whether the record must be released
on request. Such a determination must be made in accordance with the other
provisions of the Access Act.
[46]
Second,
the Court of Appeal was clear in granting the Minister an opportunity to claim
any exemptions found to apply to the records which the Clerk found did not
constitute Cabinet Confidences under paragraph 69(3)(b) of the Access Act.
As referred to above in paragraph 9, Noël. J.A. stated:
(b) if such severable corpus of
words is found to exist by the Clerk of the Privy Council Office, it is hereby
ordered that it be severed and released to the applicant subject to any
exemption which may be claimed by the head of the government institution.
[Emphasis added]
If the application of paragraph 69(3)(b)
precluded all other exemptions under the Access Act, no such opportunity
would have been provided.
[47]
Third,
the specific exemption under subsection 21(1) of “advice and recommendations”
and “accounts of consultations or deliberations” is distinct from the
terminology found in paragraph 69(1)(b): “discussion papers the purpose of
which is to present background explanations, analyses of problems or policy
options to Council for consideration by Council in making decisions”. As Malone
J.A. explained in Jabel Image Concepts Inc. v. Canada (Minister of National
Revenue)
(2000), 257 N.R. 193, at paragraph 12 (F.C.A.):
[…]
When an Act uses different words in relation to the same subject such a choice
by Parliament must be considered intentional and indicative of a change in
meaning or a different meaning. […]
It follows that, whatever Parliament’s intention
was in respect of discussion papers, the intention as expressed in subsection
21(1) is that the Minister has discretion to refuse to disclose records
containing information described in that subsection.
[48]
Finally,
the legislative history of the Access Act indicates that Parliament did
not intend the application of subsection 69(3) to preclude the operation of
subsection 21(1). Bill C-43, which enacted the Access Act, received
first reading in the House of Commons on July 17, 1980. Bill C-43 at first
reading contained distinct exemptions for Cabinet Confidences and records
containing “advice and recommendations” and “accounts of consultations or deliberations”:
the former were subject to a mandatory exemption under clause 21, and the
latter were subject to a discretionary exemption under clause 22. Clauses 21
and 22, as they read during first reading of Bill C-43, are set out in Appendix
“D” to these Reasons. During the Committee stage, Bill C-43 was amended by
removing the mandatory exemption for Cabinet Confidences under clause 21 and
substituting a new clause 69, which removed altogether Cabinet Confidences from
the scope of the Access Act. In doing so, the Committee added an
exception for background papers. Clause 22 now appears as section 21 of the Access
Act, and clause 69 appears as section 69 of the Access Act.
[49]
Clauses
21 and 22 addressed distinct classes of records based on distinct justifications
for their non-disclosure. Notwithstanding the differences between these
predecessor clauses and the current provisions found in subsections 21(1) and
69(3) of the Access Act, it is clear that Parliament did not intend
these provisions to be applied such that records within the scope of the latter
are necessarily excluded from the former. While the possibility for overlap
exists, nothing inherent in these provisions requires it.
[50]
The
Commissioner’s argument that exemptions under subsection 21(1) cannot be
applied to records within the scope of subsection 69(3) must therefore fail.
Issue No. 1: Are the Disputed Passages
exempt from disclosure?
(b) “Advice or
Recommendations”: Paragraph 21(1)(a)
[51]
Paragraph
21(1)(a) provides a discretionary exemption for “advice or recommendations
developed by or for a government institution or a minister of the Crown.” The
Federal Court of Appeal held in Telezone, supra at paragraph 50, that:
[…]
by exempting “advice and recommendations” from disclosure, Parliament must
be taken to have intended the former to have a broader meaning than the latter,
otherwise it would be redundant.
[Emphasis in original]
The Court of Appeal then interpreted “advice” at
paragraph 52:
On
the basis of these considerations, I would include within the word “advice” an
expression of opinion on policy-related matters, but exclude information of a
largely factual nature, even though the verb “advise” is sometimes used in
ordinary speech in respect of a communication that is neither normative, nor in
the nature of an opinion.
[52]
I am
also guided by the interpretation of section 21 provided by Evans J., as he
then was, in Canadian Council of Christian Charities v. Canada (Minister of
Finance), [1999] 4 F.C. 245 at paragraph 39:
It
is difficult to avoid the conclusion that the combined effect of paragraphs
21(1)(a) and (b) is to exempt from disclosure under the Act a very wide range
of documents generated in the internal policy processes of a government
institution. Documents containing information of a factual or statistical
nature, or providing an explanation of the background to a current policy or
legislative provision, may not fall within these broad terms. However, most
internal documents that analyse a problem, starting with an initial identification
of a problem, then canvassing a range of solutions, and ending with specific
recommendations for change, are likely to be caught within paragraph (a) or (b)
of subsection 21(1).
[53]
In
refusing to release the Disputed Passages, the Minister has relied on both paragraphs
21(1)(a) and (b). Having reviewed the material, I conclude that some portions
of the Disputed Passages are subject to the discretionary exemption under paragraph
21(1)(a). I will review separately the applicability of paragraph 21(1)(b) to
the Disputed Passages. The Confidential Appendix to these Reasons sets out for
greater certainty the appropriate redactions in the nine paragraphs in dispute.
The highlighted portions in the Confidential Appendix indicate the portions of
text which the Court concludes are not subject to paragraph 21(1)(a).
Paragraph 46
[54]
Paragraph
46, which discusses the “economic implications and competitiveness of the motor
vehicle and petroleum industries”, contains eight sentences. The last four
sentences have been withheld. Of these sentences, the first contains purely
factual information and is therefore not subject to paragraph 21(1)(a). The
second sentence contains both opinion and fact. Accordingly, I find that
paragraph 21(1)(a) applies in respect of the opinion expressed in the first 15
words in the second sentence but not in respect of the factual information
provided in the remaining 18 words. The third sentence reflects an opinion and
is therefore subject to paragraph 21(1)(a). The fourth sentence contains both
fact and opinion, and I find that paragraph 21(1)(a) applies only in respect of
the final 12 words.
Paragraph 47
[55]
The
last three sentences of paragraph 47 have been withheld. The first of these
sentences contains both fact and advice, and I would apply paragraph 21(1)(a)
only in respect of the opinion expressed in the final thirteen words. The
second sentence in dispute contains purely factual information to which
paragraph 21(1)(a) does not apply. I am satisfied that the third sentence
consists entirely of opinion on a policy issue and is therefore subject to
paragraph 21(1)(a).
Paragraph 66
[56]
The
Minister refused to disclose both sentences in paragraph 66, which discusses a
disadvantage of the “National Approach” option. The second sentence has been withheld
on the basis of the solicitor-client privilege exemption under section 23 of
the Access Act. The Commissioner does not take issue with the Minister’s
refusal to disclose the second sentence. It is not clear from the material
whether section 23 has also been invoked in respect of the first sentence. In
any event, the Minister claims the first sentence is exempt under paragraphs
21(1)(a) and (b).
[57]
The
first sentence of paragraph 66 contains purely factual information. Moreover,
it is almost identical to the statement already released in paragraph 36 of the
Analysis Section. The Minister cannot rely on paragraph 21(1)(a) to refuse
disclosure of the first sentence. Any claim to withhold the first sentence on
the basis of section 23 must also fail because solicitor-client privilege does
not apply to information which has already been disclosed.
Paragraph 84
[58]
The
Minister refused to disclose the second sentence in paragraph 84, which
discusses a disadvantage of the option to “Harmonize motor vehicle emissions
standards with U.S. Federal Standards (without removing MMT)” (“Option 3”). I
am not satisfied that this sentence constitutes “advice or recommendations”
within the meaning of paragraph 21(1)(a).
Paragraph 87
[59]
The
Minister refused to disclose all three sentences in paragraph 87, which
continues the discussion of disadvantages of Option 3. The information
contained in the first two sentences, while somewhat speculative, is largely
factual. Accordingly, I cannot conclude that the first two sentences are exempt
under paragraph 21(1)(a). The third sentence, however, consists of opinion and
is exempt under paragraph 21(1)(a).
Paragraph 89
[60]
The
Minister refused to disclose both sentences in paragraph 89, which is also part
of the section describing disadvantages of Option 3. The first eleven words
clearly constitute advice within the meaning of paragraph 21(1)(a); however,
the remaining text in paragraph 89 consists of factual information. While the
last eleven words in the first sentence appear to form the basis of the advice
expressed in the opening words of the sentence, I am satisfied that severance
is appropriate in this situation. Therefore, only the first eleven words of
paragraph 89 are exempt under paragraph 21(1)(a).
Paragraph 94
[61]
Paragraph
94, the last sentence of which has been withheld by the Minister, begins the
discussion of disadvantages of the “Excise Tax Option” (“Option 4”). The
withheld text contains information that is entirely speculative in nature. It
is characterized more accurately, in my view, as explanatory than as an opinion
on a policy matter. I am not satisfied that it constitutes “advice or
recommendations” within the meaning of paragraph 21(1)(a).
Paragraph 95
[62]
Paragraph
95, which consists of two sentences, continues the discussion of Option 4’s
disadvantages. The Minister has refused to disclose paragraph 95 in its
entirety. It is clear from a reading of the first sentence that it is normative
and expresses an opinion on the appropriateness of Option 4. It is therefore
exempt under paragraph 21(1)(a). The second sentence, however, is entirely
factual in nature and is not subject to paragraph 21(1)(a).
Paragraph 106
[63]
Paragraph
106, which contains two sentences and has been withheld in its entirety,
discusses a disadvantage of the “Market-Based (Do-Nothing) Approach”. I am
satisfied that the both sentences consist of advice within the meaning of
paragraph 21(1)(a).
Issue No. 1: Are the Disputed Passages
exempt from disclosure?
(c) “Account of
Consultations or Deliberations”: Paragraph 21(1)(b)
[64]
There
has been relatively little judicial consideration of paragraph 21(1)(b). I am,
however, guided by the interpretive comments provided by Martineau J. in Newfoundland
Power Inc. v. Canada (Minister of National Revenue), 2002 FCT 692 at paragraph
5:
I
consider that the analysis of various strategic or legal alternatives, and any
recommendation made by managers or employees of the defendant regarding the
position the latter should take on a taxpayer's notice of objection, are
clearly covered by paragraph 21(1)(b) of the Act.
[65]
Also
noteworthy is the interpretation provided in Chapter 2-8 of the Treasury Board
Manual on Access to Information Policy and Guidelines. Before reviewing its
content, the admissibility and use of the manual must be addressed. As stated
by R. Sullivan in Sullivan and Driedger on the Construction of Statutes (Toronto: Butterworths, 2002) at
pages 505-506:
It
is well established that administrative interpretation may be relied on by
courts to assist in determining the meaning or effect of legislation. However,
the opinion of administrative interpreters is not binding on the courts. Except
in so far as they are empowered to do so by statute, administrators can neither
make law (that is the job of the legislature) nor determine its true meaning
(that is the job of the courts. All they can do is offer an opinion that is
more or less persuasive.
The Treasury Board Manual provides the following
discussion of paragraph 21(1)(b):
This
provision has certain key components. The first is the term
"account". As this term is not defined in the Act, it is given its
ordinary meaning as a "particular statement or narrative of an event or
thing; a relation, report or description". The term "account"
encompasses an exchange of views.
[…]
It
is important in this context, however, to bear in mind that the existence of an
account is not sufficient. It must be an account of "consultations or
deliberations". As these words are not defined for the purposes of the
Access to Information Act, they would be given their ordinary and usual
meaning. "Consultation" is defined as "the action of consulting
or taking counsel together;..." The term "consult" is defined as
"to ask advice of, seek counsel from; to have recourse to for instruction
or professional advice..." "Deliberation" is defined as
"...careful consideration with a view to decision or the consideration and
discussion of the reasons for and against a measure by a number of
councillors".
Based
on these definitions, only that information describing the advice provided, the
consultations undertaken or the exchange of views leading to a particular
decision would qualify as an account exemptible under paragraph 21(1)(b).
[Emphasis added]
[66]
I
agree that the terms “account”, “consultation” and “deliberations” should be
given their ordinary and usual meaning as reflected in the Treasury Board
Manual.
[67]
It
follows from the definitions above that factual information must generally be
excluded from the scope of paragraph 21(1)(b). Accordingly, I conclude that the
portions of the Disputed Passages that I have identified above in my analysis
of paragraph 21(1)(a) as containing largely factual information are not exempt
under paragraph 21(1)(b).
[68]
In
the context of a Memorandum to Cabinet, it is apparent that there may be
considerable overlap between the scope of records covered by each of paragraphs
21(1)(a) and (b). This overlap flows from the consultative nature of the
memorandum, which has been prepared by the staff of a government institution or
a minister of the Crown. In the specific context of the Analysis Section, I am
satisfied that the portions of the Disputed Passages that I have identified as
falling within the scope of paragraph 21(1)(a) are also exempt under paragraph
21(1)(b).
[69]
I
therefore conclude that paragraphs 21(1)(a) and (b) of the Access Act
apply in respect of the Disputed Passages to the extent set out in Appendix “A”
to these Reasons.
Issue No. 2: If exempt, did the Minister lawfully exercise his discretion
to refuse to disclose the Disputed Passages?
[70]
The
Commissioner argues that the Minister improperly exercised the discretion to
refuse the release of the Disputed Passages. The parties have confidentially
filed material to assist the Court in reviewing the Minister’s exercise of
discretion. As noted above, the Minister bears the burden of satisfying this
Court that the exercise of discretion was reasonable.
[71]
The
general thrust of the Commissioner’s argument is that the Minister’s discretion
was unreasonably exercised because the Minister refused to release passages
containing the same information found in portions of the released material. The
Commissioner further argues that the Minister failed to exercise his discretion
in accordance with the principle cited by the Federal Court of Appeal in Rubin
v. Canada Mortgage and Housing Corp., [1989] 1 F.C. 265 at 274:
Accordingly, it is
incumbent upon the institutional head (or his delegate) to have regard to the
policy and object of the Access to Information Act when exercising the
discretion conferred by Parliament pursuant to the provisions of subsection
21(1). When it is remembered that subsection 4(1) of the Act confers upon every
Canadian citizen and permanent resident of Canada a general
right to access and that the exemptions to that general rule must be limited
and specific, I think it clear that Parliament intended the exemptions to be
interpreted strictly.
[72]
The
Commissioner has referred the Court to several passages within the released
portion of the Analysis Section, which, in his submission, closely parallel
information withheld by the Minister. The Court has already concluded that
paragraphs 21(1)(a) and (b) do not apply to many of the Disputed Passages
identified by the Commissioner. Of those that do not, I do not find that there
is substantial similarity between these passages and the portions of the
Disputed Passages exempt under paragraphs 21(1)(a) and (b). The exempted
portions contain advice, while the passages to which the Commissioner has
referred the Court consist of largely factual information.
[73]
It
is apparent from the record that the Minister’s refusal to release the Disputed
Passages was primarily because the MMT issue remained an active policy file for
the government. In a letter to the Commissioner dated February 20, 2004, the
Deputy Minister stated:
The MMT issue continues to be in the public forum and has
policy implications for the Government of Canada. The Minister of the
Environment is now charting a course forward towards the establishment of a
third-party independent review. The findings of that review will help determine
if subsequent federal action on MMT is warranted. Given the continued activity
on this file, we have determined that the release of additional information in
the document could affect the Government’s decision-making process and
compromise future federal action.
[74]
Earlier,
the Deputy Minister wrote to Commissioner in a letter dated September 8, 2003:
MMT continues to be an
active file for the Government of Canada. The exemptions applied to the
document are required to allow for the preservation of a full and frank flow of
interchange among public officials participating in the decision making
process. If this advice were to become public, the integrity of the
Government’s decision making process could be compromised.
[75]
A
review of the confidentially filed material does not disclose any further
reasons for the Minister’s refusal to release the Disputed Passages. In
conducting the requisite balancing of interests for and against disclosure, the
Minister’s designate considered the “active” status of the MMT file as the
overriding factor in refusing disclosure.
[76]
The
case law addresses the need for the Minister to consider the public interest
for and against disclosure and weigh these competing interests with the purposes
of the Act in mind. Also, the Treasury Board Manual directs that discretion to
release records under section 21 requires considering “whether or not
disclosure of the information will result in injury or harm to the processes
for providing advice or recommendations or carrying on consultations and
deliberations.” The Supreme Court of Canada has confirmed the common law
principle that the public interest in disclosure must be weighed against the
public interest in retaining confidentiality—even in the context of Cabinet
Confidences: Babcock v. Canada (Attorney General), [2002] 3 S.C.R. 3, at
paragraphs 22, 28.
[77]
The
Court of Appeal provided in Telezone, supra, at paragraph 51, the
following guidance on the purposes to be considered by the Minister in interpreting
section 21:
In
addition, the exemption must be interpreted in light of its purposes, namely,
removing impediments to the free and frank flow of communications within
government departments, and ensuring that the decision-making process is not subject
to the kind of intense outside scrutiny that would undermine the ability of
government to discharge its essential functions: Canadian Council of
Christian Charities, supra, at paragraphs 30-32.
[78]
The
competing public interest in disclosure was described by Evans J., as he then
was, in Canadian Council of Christian Charities, supra, at paragraph 32:
On
the other hand, of course, democratic principles require that the public, and
this often means the representatives of sectional interests, are enabled to
participate as widely as possible in influencing policy development. Without a
degree of openness on the part of government about its thinking on public
policy issues, and without access to relevant information in the possession of
government, the effectiveness of public participation will inevitably be
curbed.
[79]
The
confidential cross-examination of the Deputy Minister does not provide any
rationale for non-disclosure in relation to the public interest except for the
publicly stated reason that the records were not being disclosed because MMT is
an active file. There is no indication that the Deputy Minister was aware of
the case law governing the interpretation and application of section 21, and it
is unclear whether she appreciated the principles relevant to her exercise of
discretion. The Deputy Minister must consider whether disclosure is possible
without impairing the effectiveness of government.
[80]
The
Court of Appeal in Telezone, supra, stated the following at paragraph
112 concerning the sufficiency of reasons:
The
question here is whether the reasons provide a sufficient explanation for the
refusal to disclose so as to enable the Court to perform its reviewing
function, or reveal that the Minister’s discretion to withhold documents
exempted under paragraph 21(1)(a) was not exercised according to law.
The provision of reasons also promotes
transparency and accountability in administrative decision-making. As Estey J.
stated in Northwestern Utilities Ltd. v. City of Edmonton, [1979] 1
S.C.R. 684 at 706:
[…]
This obligation is a salutary one. It reduces to a considerable degree the
chances of arbitrary or capricious decisions, reinforces public confidence in
the judgment and fairness of administrative tribunals, and affords parties to
administrative proceedings an opportunity to assess the question of appeal and
if taken, the opportunity in the reviewing or appellate tribunal of a full
hearing which may well be denied where the basis of the decision has not been
disclosed. […]
[81]
In
scrutinizing the Minister’s “weighing” process on a standard of reasonableness,
I find that there are insufficient reasons provided in support of the
Minister’s refusal to disclose. In my view, the Deputy Minister’s analysis was
somewhat capricious. Portions continued to be released even after the Deputy
Minister determined disclosure would impair government action despite no
appreciable change in circumstances. As well, much of what the Deputy Minister
withheld based on impairment concerns do not, in this analysis, fall under section
21 in any event.
[82]
I
have not been referred to any evidence—public or confidential—that supports the
Minister’s conclusion that the release of the Disputed Passages would
compromise future government action on the MMT issue. The government has already
released virtually all of the Analysis Section. The analysis contains 106
paragraphs. Only parts of nine paragraphs have been redacted. The released text
includes the details of the five options considered by Cabinet. The Minister’s
refusal to release the Disputed Passages on the basis of paragraphs 21(1)(a)
and (b), which therefore cannot be said to withstand a probing examination, is
unreasonable in the circumstances.
Conclusion
[83]
Based
on the foregoing, I would allow the application for review. Section 49 of the Access
Act requires that the Court order the institutional head to disclose to the
requester the portion of records for which there is no authority to refuse
disclosure. Accordingly, I order the Minister to disclose to Ethyl the
following portions of the Disputed Passages which are not subject to the
section 21 discretionary exemptions:
1. in
paragraph 46: the entire first sentence, the last 18 words in the second
sentence, and the first 11 words in the fourth sentence;
2. in
paragraph 47: the first ten words in the first sentence, and the entire second
sentence;
3. the first
sentence of paragraph 66;
4. all of
paragraph 84;
5. the first
two sentences in paragraph 87;
6. in
paragraph 89, the last 11 words in the first sentence;
7. all of
paragraph 94; and
8. the second
sentence in paragraph 95.
[84]
The
remaining portions of the Disputed Passages to which paragraph 21(1)(a) and (b)
apply are returned to the Minister to re-determine with reasons whether
disclosure to Ethyl is warranted in the circumstances having regard to the
public interest in favour of releasing information and in protecting the
internal processes necessary for effective government.
Costs
[85]
Both
parties have asked for costs. Subsection 53(1) of the Access Act
provides that costs shall be in the discretion of the Court and shall follow
the event unless the Court orders otherwise. The Commissioner’s submissions to
the Court were largely focussed on the issue of the interplay between sections
21 and 69 of the Access Act. These arguments were substantially without
merit. This will be reflected in an order that each party bear its own costs.
JUDGMENT
THIS COURT ADJUDGES AND DECLARES that:
1. The Minister must disclose to Ethyl the
following portions of the Disputed Passages and the corresponding French text:
a) in
paragraph 46: the entire first sentence, the last 18 words in the second
sentence, and the first 11 words in the fourth sentence;
b) in
paragraph 47: the first ten words in the first sentence, and the entire second
sentence;
c) the first
sentence of paragraph 66;
d) all of
paragraph 84;
e) the first
two sentences in paragraph 87;
f)
in paragraph 89, the last 11 words in the first sentence;
g) all of
paragraph 94; and
h) the second
sentence in paragraph 95;
2. The following portions of the Disputed Passages
are returned to the Minister for a re-determination with reasons of whether
disclosure to Ethyl is warranted in the circumstances having regard to the
public interest in favour of releasing information and in protecting the
internal processes necessary for effective government:
a) in
paragraph 46, the first 15 words in the second sentence, the third sentence, and the last 12 words in
the fourth sentence;
b) in paragraph 47, the last 13 words in the
first sentence, and the third sentence;
c) the third sentence in paragraph 87;
d) the first 11 words in paragraph 89;
e) the first sentence in paragraph 95; and
f)
paragraph 106;
3. The
parties shall each bear their own costs in these proceedings.
“Michael A. Kelen”
APPENDIX “A”
The “Disputed
Passages” in the Memorandum to Cabinet Regarding MMT
|
#
|
Page
(English
Version)
|
Para.
|
Material
(English
Version)
|
Provision(s)
relied upon
|
Court’s Conclusion
|
|
Exemption applied
|
Order
|
|
1
|
19
|
46
|
Last 4
sentences
|
21(1)(a) and
(b)
|
Second
sentence: first 15 words; third sentence; fourth sentence: last 12 words
[21(1)(a),(b)]
|
Return exempt
portion to Minister; release non-exempt portion to Ethyl.
|
|
2
|
21
|
47
|
Last 3
sentences
|
21(1)(a) and
(b)
|
First
sentence: last 13 words; third sentence. [21(1)(a),(b)]
|
Return exempt
portion to Minister; release non-exempt portion to Ethyl.
|
|
3
|
25
|
66
|
First sentence
|
21(1)(a) and
(b), 23
|
None.
|
Release to
Ethyl.
|
|
4
|
27
|
84
|
Last sentence
|
21(1)(a) and
(b)
|
None.
|
Release to
Ethyl.
|
|
5
|
27
|
87
|
Entire
paragraph
(3 sentences)
|
21(1)(a) and
(b)
|
Third
sentence. [21(1)(a),(b)]
|
Return exempt
portion to Minister; release non-exempt portion to Ethyl.
|
|
6
|
27
|
89
|
Entire
paragraph
(2 sentences)
|
21(1)(a) and
(b)
|
First 11
words. [21(1)(a),(b)]
|
Return exempt
portion to Minister; release non-exempt portion to Ethyl.
|
|
7
|
29
|
94
|
Last sentence
|
21(1)(a) and (b)
|
None.
|
Release to
Ethyl.
|
|
8
|
29
|
95
|
Entire
paragraph
(2 sentences)
|
21(1)(a) and
(b)
|
First
sentence. [21(1)(a),(b)]
|
Return exempt
portion to Minister; release non-exempt portion to Ethyl.
|
|
9
|
29
|
106
|
Entire
paragraph
(2 sentences)
|
21(1)(a) and
(b)
|
Both sentences.
[21(1)(a),(b)]
|
Return exempt
portion to Minister.
|
|
|
TOTAL
|
|
19
sentences
|
APPENDIX “B”
Order of
Blanchard J., April 2, 2001
1. This
application for judicial review is allowed with costs.
2. The four documents which both the Minister and the Privy
Council Office determined as Cabinet confidences are to be returned for review
by the Clerk of the Privy Council to determine:
(a) Whether the documents contain background explanations,
analysis of problems or policy options that can be reasonably severed from the
documents pursuant to s. 25 of the Access Act.
(b) If such information is deemed severable by
the Clerk of the Privy Council Office, it is hereby ordered released to the
requirant.
APPENDIX “C”
1. Access
to Information Act, R.S.C. 1985, c. A-1
|
Purpose
2.
(1) The purpose of this Act is to extend the present laws of Canada to
provide a right of access to information in records under the control of a
government institution in accordance with the principles that government
information should be available to the public, that necessary exceptions to
the right of access should be limited and specific and that decisions on the
disclosure of government information should be reviewed independently of
government.
[…]
Right to access to records
4. (1) Subject to this Act, but
notwithstanding any other Act of Parliament, every person who is
(a) a Canadian citizen, or
(b) a permanent resident
within the meaning of subsection 2(1) of the Immigration and Refugee
Protection Act,
has a right to and shall, on request,
be given access to any record under the control of a government institution.
[…]
Operations of Government
Advice, etc.
21. (1) The head of a government institution may refuse to
disclose any record requested under this Act that contains
(a) advice or
recommendations developed by or for a government institution or a minister of
the Crown,
(b) an
account of consultations or deliberations involving officers or employees of
a government institution, a minister of the Crown or the staff of a minister
of the Crown,
[…]
if the record came into existence
less than twenty years prior to the request.
[…]
Solicitor-client privilege
23.
The head of a government institution may refuse to disclose any record
requested under this Act that contains information that is subject to
solicitor-client privilege.
[…]
Severability
25.
Notwithstanding any other provision of this Act, where a request is made to a
government institution for access to a record that the head of the
institution is authorized to refuse to disclose under this Act by reason of
information or other material contained in the record, the head of the
institution shall disclose any part of the record that does not contain, and
can reasonably be severed from any part that contains, any such information
or material.
[…]
Receipt and investigation of complaints
30.
(1) Subject to this Act, the Information Commissioner shall receive and
investigate complaints
(a) from persons who have been refused
access to a record requested under this Act or a part thereof;
[…]
Information Commissioner may initiate complaint
(3) Where the Information
Commissioner is satisfied that there are reasonable grounds to investigate a
matter relating to requesting or obtaining access to records under this Act,
the Commissioner may initiate a complaint in respect thereof.
[…]
Review by Federal Court
41.
Any person who has been refused access to a record requested under this Act
or a part thereof may, if a complaint has been made to the Information
Commissioner in respect of the refusal, apply to the Court for a review of
the matter within forty-five days after the time the results of an
investigation of the complaint by the Information Commissioner are reported
to the complainant under subsection 37(2) or within such further time as the
Court may, either before or after the expiration of those forty-five days,
fix or allow.
[…]
Burden of proof
48.
In any proceedings before the Court arising from an application under section
41 or 42, the burden of establishing that the head of a government
institution is authorized to refuse to disclose a record requested under this
Act or a part thereof shall be on the government institution concerned.
Order of Court where no authorization to refuse
disclosure found
49.
Where the head of a government institution refuses to disclose a record
requested under this Act or a part thereof on the basis of a provision of
this Act not referred to in section 50, the Court shall, if it determines
that the head of the institution is not authorized to refuse to disclose the
record or part thereof, order the head of the institution to disclose the
record or part thereof, subject to such conditions as the Court deems
appropriate, to the person who requested access to the record, or shall make
such other order as the Court deems appropriate.
[…]
Costs
53.
(1) Subject to subsection (2), the costs of and incidental to all proceedings
in the Court under this Act shall be in the discretion of the Court and shall
follow the event unless the Court orders otherwise.
Idem
(2) Where the Court is of the
opinion that an application for review under section 41 or 42 has raised an
important new principle in relation to this Act, the Court shall order that
costs be awarded to the applicant even if the applicant has not been
successful in the result.
[…]
Confidences of the Queen’s Privy Council for
Canada
69.
(1) This Act does not apply to confidences of the Queen’s Privy Council for Canada,
including, without restricting the generality of the foregoing,
(a) memoranda the purpose of which is to
present proposals or recommendations to Council;
(b) discussion papers the purpose of which
is to present background explanations, analyses of problems or policy options
to Council for consideration by Council in making decisions;
(c) agenda of Council or records recording
deliberations or decisions of Council;
(d) records used for or reflecting
communications or discussions between ministers of the Crown on matters
relating to the making of government decisions or the formulation of
government policy;
(e) records the purpose of which is to brief
ministers of the Crown in relation to matters that are before, or are
proposed to be brought before, Council or that are the subject of
communications or discussions referred to in paragraph (d);
(f) draft legislation; and
(g) records that contain information about
the contents of any record within a class of records referred to in
paragraphs (a) to (f).
Definition of “Council”
(2) For the purposes of
subsection (1), “Council” means the Queen’s Privy Council for Canada,
committees of the Queen’s Privy Council for Canada, Cabinet and committees of
Cabinet.
Exception
(3) Subsection (1) does not
apply to
(a) confidences of the Queen’s Privy Council
for Canada that have been in existence for more than twenty years; or
(b) discussion papers described in paragraph
(1)(b)
(i) if the decisions to which the discussion papers
relate have been made public, or
(ii) where the decisions have not been made public,
if four years have passed since the decisions were made.
|
Objet
2. (1) La présente loi a pour
objet d’élargir l’accès aux documents de l’administration fédérale en
consacrant le principe du droit du public à leur communication, les
exceptions indispensables à ce droit étant précises et limitées et les décisions
quant à la communication étant susceptibles de recours indépendants du
pouvoir exécutif.
[…]
Droit d'accès
4. (1) Sous réserve des autres
dispositions de la présente loi mais nonobstant toute autre loi fédérale, ont
droit à l'accès aux documents relevant d'une institution fédérale et peuvent
se les faire communiquer sur demande:
a) les citoyens canadiens;
b) les résidents permanents
au sens du paragraphe 2(1) de la Loi sur l'immigration et la protection des
réfugiés.
[…]
Activités du
gouvernement
Avis, etc.
21. (1) Le
responsable d’une institution fédérale peut refuser la communication de
documents datés de moins de vingt ans lors de la demande et contenant :
a) des
avis ou recommandations élaborés par ou pour une institution fédérale ou un ministre;
b) des
comptes rendus de consultations ou délibérations où sont concernés des cadres
ou employés d’une institution fédérale, un ministre ou son personnel;
[…]
Secret professionnel des avocats
23. Le responsable d’une
institution fédérale peut refuser la communication de documents contenant des
renseignements protégés par le secret professionnel qui lie un avocat à son
client.
[…]
Prélèvements
25. Le responsable d’une
institution fédérale, dans les cas où il pourrait, vu la nature des
renseignements contenus dans le document demandé, s’autoriser de la présente
loi pour refuser la communication du document, est cependant tenu, nonobstant
les autres dispositions de la présente loi, d’en communiquer les parties
dépourvues des renseignements en cause, à condition que le prélèvement de ces
parties ne pose pas de problèmes sérieux.
[…]
Réception des plaintes et
enquêtes
30. (1) Sous réserve des autres
dispositions de la présente loi, le Commissaire à l’information reçoit les
plaintes et fait enquête sur les plaintes :
a)
déposées par des personnes qui se sont vu refuser la communication totale ou
partielle d’un document qu’elles ont demandé en vertu de la présente loi;
[…]
Plaintes émanant du Commissaire à
l’information
(3) Le
Commissaire à l’information peut lui-même prendre l’initiative d’une plainte
s’il a des motifs raisonnables de croire qu’une enquête devrait être menée
sur une question relative à la demande ou à l’obtention de documents en vertu
de la présente loi.
[…]
Révision par la Cour fédérale
41. La personne qui s’est vu
refuser communication totale ou partielle d’un document demandé en vertu de
la présente loi et qui a déposé ou fait déposer une plainte à ce sujet devant
le Commissaire à l’information peut, dans un délai de quarante-cinq jours suivant
le compte rendu du Commissaire prévu au paragraphe 37(2), exercer un recours
en révision de la décision de refus devant la Cour. La Cour peut, avant ou
après l’expiration du délai, le proroger ou en autoriser la prorogation.
[…]
Charge de la preuve
48. Dans les procédures
découlant des recours prévus aux articles 41 ou 42, la charge d’établir le
bien-fondé du refus de communication totale ou partielle d’un document
incombe à l’institution fédérale concernée.
Ordonnance de la Cour dans les
cas où le refus n’est pas autorisé
49. La Cour, dans les cas où
elle conclut au bon droit de la personne qui a exercé un recours en révision
d’une décision de refus de communication totale ou partielle d’un document
fondée sur des dispositions de la présente loi autres que celles mentionnées
à l’article 50, ordonne, aux conditions qu’elle juge indiquées, au
responsable de l’institution fédérale dont relève le document en litige d’en
donner à cette personne communication totale ou partielle; la Cour rend une
autre ordonnance si elle l’estime indiqué.
[…]
Frais et
dépens
53. (1) Sous réserve du
paragraphe (2), les frais et dépens sont laissés à l’appréciation de la Cour
et suivent, sauf ordonnance contraire de la Cour, le sort du principal.
Idem
(2) Dans les
cas où elle estime que l’objet des recours visés aux articles 41 et 42 a
soulevé un principe important et nouveau quant à la présente loi, la Cour
accorde les frais et dépens à la personne qui a exercé le recours devant
elle, même si cette personne a été déboutée de son recours.
[…]
Documents confidentiels du
Conseil privé de la Reine pour le Canada
69. (1) La présente loi ne
s’applique pas aux documents confidentiels du Conseil privé de la Reine pour
le Canada, notamment aux :
a)
notes destinées à soumettre des propositions ou recommandations au Conseil;
b)
documents de travail destinés à présenter des problèmes, des analyses ou des
options politiques à l’examen du Conseil;
c)
ordres du jour du Conseil ou procès-verbaux de ses délibérations ou
décisions;
d)
documents employés en vue ou faisant état de communications ou de discussions
entre ministres sur des questions liées à la prise des décisions du
gouvernement ou à la formulation de sa politique;
e)
documents d’information à l’usage des ministres sur des questions portées ou
qu’il est prévu de porter devant le Conseil, ou sur des questions qui font
l’objet des communications ou discussions visées à l’alinéa d);
f)
avant-projets de loi ou projets de règlement;
g)
documents contenant des renseignements relatifs à la teneur des documents
visés aux alinéas a) à f).
Définition de
« Conseil »
(2) Pour
l’application du paragraphe (1), « Conseil » s’entend du Conseil
privé de la Reine pour le Canada, du Cabinet et de leurs comités respectifs.
Exception
(3) Le
paragraphe (1) ne s’applique pas :
a)
aux documents confidentiels du Conseil privé de la Reine pour le Canada dont
l’existence remonte à plus de vingt ans;
b)
aux documents de travail visés à l’alinéa (1)b), dans les cas où les
décisions auxquelles ils se rapportent ont été rendues publiques ou, à défaut
de publicité, ont été rendues quatre ans auparavant.
|
2. Canada Evidence Act, R.S.C. 1985, c. C-5
|
Objection relating to a
confidence of the Queen’s Privy Council
39.
(1) Where a minister of the Crown or the Clerk of the Privy Council objects
to the disclosure of information before a court, person or body with
jurisdiction to compel the production of information by certifying in writing
that the information constitutes a confidence of the Queen’s Privy Council
for Canada, disclosure of the information shall be refused without
examination or hearing of the information by the court, person or body.
Definition
(2) For the purpose of
subsection (1), “a confidence of the Queen’s Privy Council for Canada”
includes, without restricting the generality thereof, information contained
in
(a) a memorandum the purpose of which is to
present proposals or recommendations to Council;
(b) a discussion paper the purpose of which
is to present background explanations, analyses of problems or policy options
to Council for consideration by Council in making decisions;
(c) an agendum of Council or a record
recording deliberations or decisions of Council;
(d) a record used for or reflecting
communications or discussions between ministers of the Crown on matters
relating to the making of government decisions or the formulation of
government policy;
(e) a record the purpose of which is to
brief Ministers of the Crown in relation to matters that are brought before,
or are proposed to be brought before, Council or that are the subject of
communications or discussions referred to in paragraph (d); and
(f) draft legislation.
Definition of “Council”
(3) For the purposes of
subsection (2), “Council” means the Queen’s Privy Council for Canada,
committees of the Queen’s Privy Council for Canada, Cabinet and committees of
Cabinet.
Exception
(4) Subsection (1)
does not apply in respect of
(a) a confidence of the Queen’s Privy
Council for Canada that has been in existence for more than twenty years; or
(b) a discussion paper described in
paragraph (2)(b)
(i) if the decisions to which the discussion paper
relates have been made public, or
(ii) where the decisions have not been made public,
if four years have passed since the decisions were made.
|
Opposition
relative à un renseignement confidentiel du Conseil privé de la Reine pour le
Canada
39. (1) Le tribunal,
l’organisme ou la personne qui ont le pouvoir de contraindre à la production
de renseignements sont, dans les cas où un ministre ou le greffier du Conseil
privé s’opposent à la divulgation d’un renseignement, tenus d’en refuser la
divulgation, sans l’examiner ni tenir d’audition à son sujet, si le ministre
ou le greffier attestent par écrit que le renseignement constitue un
renseignement confidentiel du Conseil privé de la Reine pour le Canada.
Définition
(2) Pour
l’application du paragraphe (1), un « renseignement confidentiel du
Conseil privé de la Reine pour le Canada » s’entend notamment d’un
renseignement contenu dans :
a)
une note destinée à soumettre des propositions ou recommandations au Conseil;
b)
un document de travail destiné à présenter des problèmes, des analyses ou des
options politiques à l’examen du Conseil;
c)
un ordre du jour du Conseil ou un procès-verbal de ses délibérations ou
décisions;
d) un
document employé en vue ou faisant état de communications ou de discussions
entre ministres sur des questions liées à la prise des décisions du
gouvernement ou à la formulation de sa politique;
e)
un document d’information à l’usage des ministres sur des questions portées
ou qu’il est prévu de porter devant le Conseil, ou sur des questions qui font
l’objet des communications ou discussions visées à l’alinéa d);
f)
un avant-projet de loi ou projet de règlement.
Définition de
« Conseil »
(3) Pour
l’application du paragraphe (2), « Conseil » s’entend du Conseil
privé de la Reine pour le Canada, du Cabinet et de leurs comités respectifs.
Exception
(4) Le
paragraphe (1) ne s’applique pas :
a)
à un renseignement confidentiel du Conseil privé de la Reine pour le Canada
dont l’existence remonte à plus de vingt ans;
b)
à un document de travail visé à l’alinéa (2)b), dans les cas où les
décisions auxquelles il se rapporte ont été rendues publiques ou, à défaut de
publicité, ont été rendues quatre ans auparavant.
|
APPENDIX “D”
3. Bill C-43, An
Act to enact the Access to Information Act and the Privacy Act, to amend the
Federal Court Act and the Canada Evidence Act, and to amend certain other Acts
in consequence thereof (First Reading, July 17, 1980; First Session, Thirty-second
Parliament)
|
Operations of Government
Memoranda to Cabinet, discussion papers and other
Cabinet documents
21.
(1) The head of a government institution shall refuse to disclose any record
requested under this Act that falls within any of the following classes:
(a) memoranda the purpose of which is to
present proposals or recommendations to Council;
(b) discussion papers the purpose of which
is to present background explanations, analyses of problems or policy options
to Council for consideration by Council in making decisions, before such
decisions are made;
(c) agendas of Council or records recording
deliberations or decisions of Council;
(d) records used for or reflecting
consultations among Ministers of the Crown on matters relating to the making
of government decisions or the formulation of government policy;
(e) records the purpose of which is to brief
Ministers of the Crown in relation to matters that are before, or are
proposed to be brought before, Council or that are the subject of consultations
referred to in paragraph (d); and
(f) draft legislation before its
introduction in Parliament.
Records containing information
about Cabinet records
(2) The head of a government
institution shall refuse to disclose any record requested under this Act that
contains information about the contents of any record within a class of
records referred to in paragraphs (1)(a) to (f).
Limitation
(3) Subsections (1) and (2) do not
apply in respect of any record requested under this Act that contains
information about the contents of any record within a class of records
referred to in paragraphs (1)(a) to (f),
(a) where disclosure of the record is
authorized by the Prime Minister of Canada or a person delegated by the Prime
Minister to so authorize or pursuant to guidelines established by the Prime
Minister; or
(b) where a request is made under this Act
for access to the record, or to a record that contains information about the
contents of the record, more than twenty years after the record came into
existence.
Definition of “Council”
(4) For the purposes of this
section, “Council” means the Queen’s Privy Council for Canada, committees of
the Queen’s Privy Council for Canada, Cabinet and committees of Cabinet.
Advice, etc.
22. (1) The head of a government institution may refuse to
disclose any record requested under this Act that contains
(a) advice or
recommendations developed by or for a government institution or a Minister of
the Crown,
(b) an
account of consultations or deliberations involving officials or employees of
a government institution, a Minister of the Crown or the staff of a Minister
of the Crown,
(c) positions
or plans developed for the purpose of negotiations carried on or to be
carried on by or on behalf of the Government of Canada and considerations
relating thereto;
(d) plans
relating to the management of personnel or the administration of a government
institution that have not yet been put into operation,
if the record came into existence less than twenty years
prior to the request.
[…]
|
Activités du gouvernement
Notes au Cabinet, documents de
travail et autre documents du Cabinet
21. (1) Le responsable d’une
institution fédérale est tenu de refuser la communication des documents qui
entrent dans l’une des catégories suivantes :
(a) notes ou mémoires
destines à soumettre des propositions ou recommandations au Conseil;
b)
documents de travail destinés à présenter des problèmes, des analyses ou des
options politiques à l’examen du Conseil, tant que celui-ci n’a pas pris de
décision à leur sujet;
c)
ordres du jour du Conseil ou procès-verbaux de ses délibérations ou
décisions;
d)
document employés en vue ou faisant état de consultations entre ministres de
la Couronne sur des questions liées à la prise des décisions du gouvernement
ou à la formulation de sa politique;
e)
documents d’information à l’usage des ministres de la Couronne sur des
questions portées ou qu’il est prévu de porter devant le Conseil, ou sur des
questions qui font l’objet des consultations visées à l’alinéa d);
f)
avant-projets de loi tant que les projets correspondants ne sont pas déposés
devant le Parlement.
Documents contenant des
renseignements sue les documents du Cabinet
(2) Le
responsable d’une institution fédérale est tenu de refuser la communication
de documents contenant des renseignements relatifs à la teneur des documents
qui font partie des catégories visées aux alinéas (1)a) à f).
Exceptions
(3) Les
paragraphes (1) et (2) ne s’appliquent pas aux documents qui font partie des
catégories visées aux alinéas (1)a) à f) et, selon le cas:
a)
dont le premier ministre du Canada ou une personne qu’il délègue à cet effet
autorise la communication ou dont la communication est autorisée en vertu de
directives du premier ministre;
b)
dont la date est antérieure de plus de vingt ans à celle
de la demande de communication des documents en question ou de documents
contenant des renseignements relatifs à leur teneur.
b)
à un document de travail visé à l’alinéa (2)b), dans les cas où les
décisions auxquelles il se rapporte ont été rendues publiques ou, à défaut de
publicité, ont été rendues quatre ans auparavant.
Définition de
« Conseil »
(4) Pour
l’application du présent article, « Conseil » s’entend du Conseil
privé de la Reine pour le Canada, du Cabinet et de leurs comités respectifs.
Avis, etc.
21. (1) Le
responsable d’une institution fédérale peut refuser la communication de
documents datés de moins de vingt ans lors de la demande et contenant :
a) des
avis ou recommandations élaborés par ou pour une institution fédérale ou un
ministre de la Couronne;
b) des
comptes rendus de consultations ou délibérations où sont concernés des cadres
ou employés d’une institution fédérale, un ministre de la Couronne ou le
personnel de celui-ci;
[…]
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