Date: 20061012
Docket: T-36-02
Citation: 2006 FC 1200
Ottawa, Ontario, October 12, 2006
PRESENT: THE HONOURABLE MR. JUSTICE
BEAUDRY
BETWEEN:
MERCK FROSST CANADA LTD.
Applicant
and
THE MINISTER OF HEALTH OF CANADA
Respondent
REASONS FOR JUDGMENT AND
JUDGMENT
(public
version)
[1]
This is an application for judicial review under
section 44 of the Access to Information Act, R.S. 1985, c. A-1
(“the Act”) of a December 19, 2001, decision by the Respondent concerning the
disclosure of documents pertaining to a Supplemental New Drug Submission (SNDS)
for SINGULAIR® (Singulair), a drug developed by the Respondent for the
treatment of asthma. The Applicant is seeking from the Court an order
declaring illegal the process followed by the Respondent in handling the access
request and an order under subsection 20(1) of the Act prohibiting the
disclosure of the documentation covered by the decision being challenged.
I. Issues
[2]
The issues raised by the parties are the
following:
- Is the Applicant
entitled to a declaratory order with respect to the illegality of the
process followed by the Respondent in handling the access request?
- In the
affirmative, was the process followed by the Respondent in handling the
access request in compliance with the Act?
- Was the
Respondent’s decision to disclose the documents referred to in the access
request covered by one of the exceptions provided for in subsection 20(1)
of the Act?
II. Facts
[3]
On May 7, 2001, the Respondent received from a
third party (the third party Applicant) an access request under section 4
of the Act concerning the documentation pertaining to the Singulair SNDS.
[4]
A “new drug submission” (NDS) is the method
provided for by the Food and Drug Regulations, C.R.C. c. 870
(ss. C.08.001 et seq.) when a drug company wants to sell a new
drug. The applicant drug company includes in the NDS a research and
development outline on the drug in question in an effort to demonstrate its
effectiveness, safety and quality for approval by Health Canada.
[5]
An SNDS is the procedure followed to request an
authorization to sell a drug for which there has already been an NDS (and which
has already been approved) and to which changes have been made. The SNDS is
based on the NDS, but includes additional pre-clinical, clinical or
manufacturing information specific to the desired changes.
[6]
The request covered the following information:
All releasable
information on 4 mg SINGULAIR® which was filed as a Supplemental New Drug
Submission, including correspondence and the reviewer’s notes.
[7]
Margery Snider, an officer in the access to
information coordination section of the Department of Health, assembled
305 pages of documentation. The documents were then sent to two
Proprietary and Scientific Information Assessment officers in the Therapeutic Products
Directorate of the Health Products and Food Branch so that they could make
recommendations regarding the documents covered by the request.
[8]
The two Proprietary and Scientific Assessment
officers reviewed the documents and on June 8, 2001, submitted recommendations
regarding the information in the documents that should not be disclosed under
subsection 20(1) of the Act.
[9]
They also made recommendations concerning the
documents they felt were likely to be disclosed directly to the third party
because they were not covered by any of the exceptions provided for in the Act.
[10]
On June 11, 2001, the Respondent’s
representatives suppressed a few passages from the documentation because they
believed subsection 20(1) of the Act applied.
[11]
Also on June 11, 2001, Ms. Snider
sent the Applicant a notice to the third party Applicant under section 27
of the Act. Accompanying the letter were the 305 pages of documents that
Health Canada had identified as meeting all or part of the access to
information request. Ms. Snider asked the Applicant to provide her with
representations as to any reasons that would warrant a refusal to disclose some
or all of the documents under subsection 20(1) of the Act within
20 days following the date of the notice.
[12]
Pending the Applicant’s representations in
response to the notice given under section 27 of the Act, the Respondent
refrained from directly disclosing most of the documentation to the third
party.
[13]
However, on June 11, 2001,
eight pages of documentation were disclosed without notice to the
Applicant, as the Respondent felt that none of the exceptions applied to the
pages in question.
[14]
The Applicant was granted an extension to
July 20, 2001 to reply.
[15]
On June 15, 2001, the Applicant
learned that eight pages of documents had been sent directly to the third party
Applicant without notice to the Applicant.
[16]
On July 20, 2001, the Applicant
responded to the Respondent’s notice. The highlights of the Applicant’s
representations can be summarized as follows:
-
the Applicant objected under subsection 20(1) of
the Act to the disclosure of any of the documentation sent to it on June 11,
2001, and to the disclosure of eight pages sent to the third party Applicant
without notice;
-
the Applicant objected to the process followed
by the Respondent in his initial handling of the access request on the grounds
that it was not in compliance with the Act; the Applicant argued that
subsection 20(1) imposed on the Respondent a duty to conduct a genuine and
thorough review of the documentation instead of sending it in bulk to the
Applicant so that the Applicant had to do that task in a very short period of
time.
[17]
The Respondent received from the Applicant an
annotated copy of the documentation sent on June 11, 2001, containing
the Applicant’s recommendations regarding the application of
subsection 20(1) of the Act.
[18]
The annotated documentation and the
July 20, 2001, letter were sent to the Proprietary and Scientific
Information Assessment officers, who analysed them.
[19]
On October 2, 2001, the Applicant
received from the Respondent a letter conveying his decision to follow some of
the Applicant’s recommendations. The Respondent attached a copy of the newly
expurged documents thereto.
[20]
However, the Respondent also informed the
Applicant that several of its representations were not specific or detailed
enough to warrant the suppression of the rest of the documentation under
subsection 20(1).
[21]
Under an agreement with the Respondent, the
Applicant was given another date –October 31, 2001 – by which to
complete a review of the documentation attached to the
October 2, 2001, letter from Health Canada.
[22]
On October 31, 2001, the Applicant
replied to the Respondent’s letter of October 2, 2001. In that
reply, the Applicant set out the reasons why it objected to the disclosure of
the remaining information in the documentation.
[23]
Attached to the Applicant’s
October 31, 2001 letter were:
a) a letter dated October 29, 2001 to
the Applicant from a consulting firm the Applicant had hired;
b) a
table summarizing the Applicant’s objections; and
c) a highlighted copy of the
documentation setting out the Applicant’s detailed objections.
[24]
On December 19, 2001, the Respondent
issued his decision under subsection 28(3) of the Act. He informed the
Applicant of his intent to disclose some of the documentation covered by the
request.
[25]
Accompanying the December 19, 2001
letter was the documentation newly expurged by the Respondent subsequent to the
Applicant’s observations contained in its letter of October 31, 2001.
[26]
In his letter of December 19, 2001,
the Respondent stated that he accepted some of the representations made by the
Applicant and that the information was suppressed accordingly. However, the
Respondent expressed the view that section 20 of the Act did not apply to
the remaining information in the documentation.
[27]
On January 8, 2002, the Applicant
filed this application for judicial review challenging the decision of
December 19, 2001.
[28]
The Applicant took the position that only the
following pages of the expurged documents shown as Exhibit “U” in Margery
Snider’s confidential affidavit of July 17, 2002, remain in dispute:
pages 7‑16, 24‑33, 35, 39‑42, 43‑46, 48‑54,
57, 105‑115, 119‑121, 137‑167, 187‑188, 194‑198,
200, 202, 204‑246 and 296.
III. Brief
history of proceedings
A. Federal
Court
[29]
The Applicant and the Respondent were parties to
a proceeding similar to this one in Federal Court (docket T-90-01)
pertaining to the NDS for Singulair.
[30]
This application for judicial review was first
heard by Mr. Justice Harrington in 2004 (Merck Frosst Canada
& Co. v. Canada (Minister of Health), 2004 FC 959, [2005] 1
F.C.R. 587).
[31]
Mr. Justice Harrington allowed the
application for judicial review in part and held that the Respondent was
compelled by subsection 20(1) to refuse to disclose the comprehensive
summary, the reviewer’s notes and the correspondence. He held that even though
some of the information contained in those three parts of the documentation was
in the public domain in another form, it was not available “as such” and
therefore remained confidential.
[32]
He determined, however, that the disclosure of
the notice of compliance did not contravene subsection 20(1) of the Act
and that the Respondent had the right to disclose the notice directly to the
third party Applicant without consulting the Applicant.
[33]
He also held that the Respondent should not have
disclosed certain documents to the third party Applicant without prior notice
to the Applicant and that the Applicant was entitled to a declaratory order to
that effect.
B. Federal
Court of Appeal
[34]
The Federal Court of Appeal reversed
Mr. Justice Harrington’s order (Merck Frosst Canada & Co. v.
Canada (Minister of Health), 2005 FCA 215, [2006] 1 F.C.R. 379).
[35]
Writing for the Court,
Mr. Justice Desjardins held that Mr. Justice Harrington made
an error of law at paragraph 53 of his reasons where he held that, in
order for the documentation in question to lose its confidential status, it had
to be found as such in the public domain.
[36]
The Court of Appeal held that the
confidentiality of information protected by paragraph 20(1)(b)
stems from the pith and substance, not the form, of that information. Once
information is in the public domain, its ceases to be confidential,
irrespective of any differences between the form it takes in the documentation
a federal institution has in its possession and documentation that is in the
public domain.
[37]
The Court of Appeal also ruled that the
reviewer’s notes could not be protected by paragraph 20(1)(b) of
the Act because they emanated from the Respondent and paragraph 20(1)(b)
protects only documentation emanating from the third party Applicant involved
in the application.
[38]
Finally, the Court of Appeal referred the matter
back to the Federal Court under paragraph 52(b)(ii) of the Federal
Courts Act, R.S.C. 1985, c. F‑7, for redetermination before
another judge on the basis of Court of Appeal’s reasons.
IV. Relevant
legislation
[39]
The relevant provisions of the Act are:
20. (1) Subject to this section, the head
of a government institution shall refuse to disclose any record requested
under this Act that contains
|
20. (1) Le responsable d’une institution
fédérale est tenu, sous réserve des autres dispositions du présent article,
de refuser la communication de documents contenant :
|
(a) trade secrets of a third party;
|
a) des
secrets industriels de tiers;
|
(b) financial, commercial,
scientific or technical information that is confidential information supplied
to a government institution by a third party and is treated consistently in a
confidential manner by the third party;
|
b) des
renseignements financiers, commerciaux, scientifiques ou techniques fournis à
une institution fédérale par un tiers, qui sont de nature confidentielle et
qui sont traités comme tels de façon constante par ce tiers;
|
(c) information the disclosure of
which could reasonably be expected to result in material financial loss or
gain to, or could reasonably be expected to prejudice the competitive
position of, a third party; or
|
c) des
renseignements dont la divulgation risquerait vraisemblablement de causer des
pertes ou profits financiers appréciables à un tiers ou de nuire à sa
compétitivité;
|
(d) information the disclosure of
which could reasonably be expected to interfere with contractual or other
negotiations of a third party.
|
d) des
renseignements dont la divulgation risquerait vraisemblablement d’entraver
des négociations menées par un tiers en vue de contrats ou à d’autres fins.
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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.
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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 la condition que le prélèvement de
ces parties ne pose pas de problèmes sérieux.
|
27. (1) Where the head of a government
institution intends to disclose any record requested under this Act, or any
part thereof, that contains or that the head of the institution has reason to
believe might contain
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27. (1) Sous réserve du
paragraphe (2), le responsable d’une institution fédérale qui a
l’intention de donner communication totale ou partielle d’un document est
tenu de donner au tiers intéressé, dans les trente jours suivant la réception
de la demande, avis écrit de celle-ci ainsi que de son intention, si le
document contient ou s’il est, selon lui, susceptible de contenir :
|
(a) trade secrets of a third
party,
|
a) soit
des secrets industriels d’un tiers;
|
(b) information described in
paragraph 20(1)(b) that was supplied by a third party, or
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b) soit
des renseignements visés à l’alinéa 20(1)b) qui ont été fournis par le
tiers;
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(c) information the disclosure of
which the head of the institution could reasonably foresee might effect a
result described in paragraph 20(1)(c) or (d) in respect of a
third party, the head of the institution shall, subject to subsection (2), if
the third party can reasonably be located, within thirty days after the
request is received, give written notice to the third party of the request
and of the fact that the head of the institution intends to disclose the
record or part thereof.
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c) soit
des renseignements dont la communication risquerait, selon lui, d’entraîner
pour le tiers les conséquences visées aux alinéas 20(1)c) ou d).
La présente disposition ne vaut que s’il
est possible de rejoindre le tiers sans problèmes sérieux.
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28. (1) Where a notice is given by the
head of a government institution under subsection 27(1) to a third party in
respect of a record or a part thereof,
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28. (1) Dans les cas où il a donné avis
au tiers conformément au paragraphe 27(1), le responsable d’une institution
fédérale est tenu :
|
(a) the third party shall, within
twenty days after the notice is given, be given the opportunity to make
representations to the head of the institution as to why the record or the
part thereof should not be disclosed; and
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a) de
donner au tiers la possibilité de lui présenter, dans les vingt jours suivant
la transmission de l’avis, des observations sur les raisons qui justifieraient
un refus de communication totale ou partielle du document;
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(b) the head of the institution
shall, within thirty days after the notice is given, if the third party has
been given an opportunity to make representations under paragraph (a),
make a decision as to whether or not to disclose the record or the part
thereof and give written notice of the decision to the third party.
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b) de
prendre dans les trente jours suivant la transmission de l’avis, pourvu qu’il
ait donné au tiers la possibilité de présenter des observations conformément
à l’alinéa a), une décision quant à la communication totale ou
partielle du document et de donner avis de sa décision au tiers.
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(2) Representations made by a third party
under paragraph (1)(a) shall be made in writing unless the head of the
government institution concerned waives that requirement, in which case they
may be made orally.
|
(2) Les observations prévues à l’alinéa
(1)a) se font par écrit, sauf autorisation du responsable de
l’institution fédérale quant à une présentation orale.
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(3) A notice given under paragraph (1)(b)
of a decision to disclose a record requested under this Act or a part thereof
shall include
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(3) L’avis d’une décision de donner
communication totale ou partielle d’un document conformément à l’alinéa (1)b)
doit contenir les éléments suivants :
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(a) a statement that the third
party to whom the notice is given is entitled to request a review of the
decision under section 44 within twenty days after the notice is given; and
|
a) la
mention du droit du tiers d’exercer un recours en révision en vertu de
l’article 44, dans les vingt jours suivant la transmission de l’avis;
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(b) a statement that the person
who requested access to the record will be given access thereto or to the
part thereof unless, within twenty days after the notice is given, a review
of the decision is requested under section 44.
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b) la
mention qu’à défaut de l’exercice du recours en révision dans ce délai, la
personne qui a fait la demande recevra communication totale ou partielle du
document.
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(4) Where, pursuant to paragraph (1)(b),
the head of a government institution decides to disclose a record requested
under this Act or a part thereof, the head of the institution shall give the
person who made the request access to the record or the part thereof
forthwith on completion of twenty days after a notice is given under that
paragraph, unless a review of the decision is requested under section 44.
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(4) Dans les cas où il décide, en vertu
de l’alinéa (1)b), de donner communication totale ou partielle du
document à la personne qui en a fait la demande, le responsable de
l’institution fédérale donne suite à sa décision dès l’expiration des vingt
jours suivant la transmission de l’avis prévu à cet alinéa, sauf si un
recours en révision a été exercé en vertu de l’article 44.
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44. (1) Any third party to whom the head
of a government institution is required under paragraph 28(1)(b) or
subsection 29(1) to give a notice of a decision to disclose a record or a
part thereof under this Act may, within twenty days after the notice is
given, apply to the Court for a review of the matter.
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44. (1) Le tiers que le responsable d’une
institution fédérale est tenu, en vertu de l’alinéa 28(1)b) ou du
paragraphe 29(1), d’aviser de la communication totale ou partielle d’un
document peut, dans les vingt jours suivant la transmission de l’avis,
exercer un recours en révision devant la Cour.
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51. Where the Court determines, after
considering an application under section 44, that the head of a government institution
is required to refuse to disclose a record or part of a record, the Court
shall order the head of the institution not to disclose the record or part
thereof or shall make such other order as the Court deems appropriate.
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51. La Cour, dans les cas où elle
conclut, lors d’un recours exercé en vertu de l’article 44, que le
responsable d’une institution fédérale est tenu de refuser la communication
totale ou partielle d’un document, lui ordonne de refuser cette
communication; elle rend une autre ordonnance si elle l’estime indiqué.
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V. Arguments
of the parties
1.
Is the Applicant entitled to a
declaratory order about the legality of the process followed by the Respondent
in handling the access request?
[40]
The Applicant challenged two elements of the
process followed by the Respondent in handling the access request. It objects
first of all to the June 11, 2001 decision to disclose documents to
the third party Applicant without prior consultation. It also objects to the
fact that the Respondent imposed on it the onus of showing why disclosure of
the documents should be refused under subsection 20(1) without having
conducted its own genuine and thorough review of the documentation before
issuing the notice under section 27.
A. Decision
of June 11, 2001
(1) Respondent
[41]
The Respondent contended that his decision of
June 11, 2001 is not reviewable by this Court.
[42]
On a procedural level, the Respondent argued
that the June 11, 2001 decision, even though it related to the same
access request, is distinct from the December 19, 2001 decision that
is challenged herein.
[43]
According to the Respondent, the Applicant is
seeking judicial review of two decisions in a single application, in violation
of rule 302 of the Federal Courts Rules, SOR 98/106, which
provides that “[u]nless the Court orders otherwise, an application for judicial review
shall be limited to a single order in respect of which relief is sought.”
[44]
The Respondent also contended that the Applicant
is entitled to judicial review only as a result of a notice given under
section 28 of the Act. Since no notice was given to the Applicant under
section 28 in respect of the June 11, 2001 decision, the
Applicant cannot seek judicial review of that decision under section 44.
[45]
The Respondent further argued that even if this
Court had the necessary jurisdiction to hear an application for judicial review
under section 44 of the Act of the June 11, 2001 decision, the
application for judicial review filed by the Applicant is definitely out of
time. The Respondent noted that the Applicant did not file a motion for an
extension of time and did not offer any explanation for the delay.
[46]
Also on a procedural level, the Respondent
argued that section 51 of the Act does not allow this Court to make a
declaratory order against the June 11, 2001 decision.
Section 51 provides that the Court cannot make such an order unless it
first determines that the applicant is required to refuse to disclose the
documentation. The Respondent contended that the disclosure of these documents
is not precluded by subsection 20(1) of the Act.
[47]
On the merits, the Respondent claims that this
Court should not rule on the legality of the June 11, 2001 decision
because the documents have already been disclosed to the third party
Applicant. The proceeding would be moot. A declaratory order on the legality
of that decision would have no practical effect on the parties and would be of
no use for future disputes.
(2) Applicant
[48]
The Applicant stated that it wanted to prevent
further occurrences of such disclosure without notice and argued that the
remedy provided for in section 44 of the Act is the only remedy available
to it. It stated that a declaratory order on the legality of the
June 11, 2001 decision would be very useful because it would bind the
Respondent in his handling of access requests and in the process of third‑party
consultation.
[49]
If this Court determines that it is not entitled
to a declaratory order on the legality of the June 11, 2001 decision,
the Applicant is asking the Court to make an order the effect of which would be
to prevent the Respondent from disclosing information contained in an SNDS
without having first received the representations of the third party Applicant
concerned, in accordance with section 27 of the Act.
[50]
The Court has noted the procedural arguments put
forward by the Respondent. However, a multiplication of decisions pertaining
to the same access to information request would lead to a proliferation of
third‑party actions opposing the disclosure of documents. That would be
at odds with rule 3 of the Federal Courts Rules, which provides
that:
These Rules shall be interpreted and
applied so as to secure the just, most expeditious and least expensive
determination of every proceeding on its merits.
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Les présentes règles sont interprétées et
appliquées de façon à permettre d'apporter une solution au litige qui soit
juste et la plus expéditive et économique possible.
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[51]
Moreover, while this proceeding is moot since
disclosure has already occurred, the issues are serious enough; therefore, this
Court should rule on the matter.
[52]
Therefore, I rule that the Applicant is entitled
to a declaratory order about the illegality of the disclosure of documents
without consultation on June 11, 2001.
B. Process
imposing on the Applicant the onus of showing that the Respondent should refuse
to disclose documents pursuant to subsection 20(1) of the Act.
(1) Respondent
[53]
The Respondent contended that judicial review of
the legality of the decision-making process would be purely moot because an
application for judicial review of a decision by an official of a federal
institution under section 44 of the Act is heard de novo (Air
Atonabee Ltd. (c.o.b. City Express) v. Canada (Minister of Transport),
[1989] F.C.A. No. 453 (T.D.) (QL), Aliments Prince Foods Inc. v. Canada
(Department of Agriculture and Agri-Food), [2001] F.C.A. No. 144 (F.C.A.)
(QL), Bacon International Inc. v. Canada (Department of Agriculture
and Agri-Food), [2002] F.C.A. No. 776 (T.D.) (QL)).
[54]
The Respondent argued that the role of this Court
is to analyse the decision maker’s decision where the decision maker has
determined, based on the evidence, whether any of the paragraphs of
subsection 20(1) of the Act applied. The Court thus does not have to
determine the legality of the process that led to the
December 19, 2001 decision.
[55]
The Respondent also repeated the arguments made
in response to the previous point: under section 44 of the Act, the
Applicant may only seek judicial review of the December 19, 2001
decision as to its substance, and section 51 does not allow this Court to
make a declaratory order on the process, unless it first determines that the
Respondent is required to disclose the documents covered by the access request.
[56]
Now, the Respondent argued that the
December 19, 2001 decision was correct in view of the exceptions
provided for in subsection 20(1) of the Act.
(2) Applicant
[57]
According to the Applicant, the process followed
by the Respondent was so irregular as to taint the validity of the
December 19, 2001 decision, to the extent that it would be
undesirable to endeavour to completely separate the decision-making process
from the decision per se. The phrase “review of the matter” in
section 44 is, in the Applicant’s opinion, sufficiently broad to cover
both the decision and the decision‑making process.
[58]
From a practical standpoint, the remedy provided
for by section 44 is the only remedy available to the Applicant, and the
Applicant contended that it would be in the interest of justice for this Court
to review the process followed by the Respondent. In spite of the de novo
nature of this judicial review, this Court should enjoy full room to manoeuvre.
[59]
In response to the Respondent’s arguments
regarding sections 44 and 51 of the Act, the Applicant stated that, since
the December 19, 2001 decision was wrong in substance and the
requirements of section 51 were met, there is nothing to prevent this
Court from making a declaratory order in relation to the process which led to
that decision.
[60]
Having examined at length the arguments put
forward by the parties, I hold that it is unrealistic to view the process
followed by the Respondent in handling a request as being completely separate
from the substance of the final decision, to the extent that examination of the
process is moot in an application for judicial review.
[61]
Given that this Court finds that some of the
documents covered by the request should not be disclosed under
subsection 20(1) of the Act, section 44 of the Act does not bar an
examination of the process and the substance of the decision by this Court.
[62]
I therefore hold that the Applicant is entitled
to a declaratory order about the legality of the process imposing on it the
onus of showing that the Respondent was required to refuse to disclose the
documents under subsection 20(1) of the Act.
2. In
this affirmative, was the process followed by the Respondent in handling the
access request in compliance with the Act?
A.
Decision of June 11, 2001
(1) Applicant
[63]
The Applicant argued that the disclosure of
documents by the Respondent without notice to the Applicant was a violation of
the Act.
[64]
The Applicant relies on the word “shall” in
subsection 27(1) of the Act to underscore what it perceives as the duty of the
Respondent to consult.
[65]
The Applicant also reiterated that it never
waived its right to be consulted as would have been possible under
subsection 27(2) of the Act.
[66]
With regard to statutory interpretation, the
Applicant contended that the intent of Parliament is clear. Where a federal
institution intends to refuse to disclose, no consultation is required under
subsection 27(1).
[67]
In these circumstances, the rights of the
Applicant are protected because there is no risk of disclosure. However, if
the federal institution intends to disclose any or all of the documentation,
the Act and the principles of procedural fairness require that the Applicant be
notified and given the opportunity to make representations.
[68]
If the Respondent discloses confidential
documents within the meaning of paragraph 20(1)(b) of the Act, the
loss of confidentiality of those documents causes irreparable harm to the
Applicant and the Applicant challenges the Respondent’s position that the
documents are not covered by subsection 20(1).
(2) Respondent
[69]
The Respondent’s position is totally opposed to
the Applicant’s. According to the Respondent, subsection 27(1) of the Act
clearly provides that such notice is not required unless the Respondent
believes (“the head of the institution has reason to believe”) that the
documents are likely to contain information covered by subsection 20(1).
In this case, the Respondent contended that, following the first review of the
documents, he was satisfied that subsection 20(1) was not likely to apply
and that no notice was therefore required.
[70]
The Respondent therefore argued that the
evidence showed unequivocally that the documents disclosed on
June 11, 2001 were not covered by subsection 20(1) of the Act.
[71]
In my view, it is hardly relevant to say that
the documents disclosed without prior consultation are not covered by
subsection 20(1) of the Act. According to the interpretation of the
Respondent, he would have the authority to determine that subsection 20(1)
is not applicable, and that determination would not be reviewable and could
cause irreparable harm to the third party affected by the access to information
request.
[72]
I hold from this that the disclosure of
documents by the Respondent without consultation was contrary to the economy of
subsection 20(1) of the Act. Given that such a process could cause
irreparable harm to a third party, such as the Applicant, if the Respondent
wrongly concluded that subsection 20(1) did not apply to the documents,
disclosure without prior consultation should not have occurred.
B.
Was the Respondent’s decision to disclose
the documents referred to in the access request covered by one of the
exceptions provided for in subsection 20(1) of the Act?
(1) Applicant
[73]
The Applicant contended that the process used by
the Respondent was not consistent with the Respondent’s obligation under the Act
to conduct a genuine and thorough review of the documentation before asking the
Applicant to make its representations.
[74]
Now, having failed to observe its duty in that
regard, the Respondent failed to meet its obligation by imposing an
unreasonable burden on the Applicant and putting it in a position that makes it
impossible to strike the balance sought by the Canadian law between access to
information held by the government and bona fide protection of the
strategic information, in particular research and development information, held
by Canadian drug companies.
[75]
The Applicant contended that, after having
received the access request, the Respondent did not conduct a research and a
genuine analysis to determine whether the information requested regarding the
SNDS could be exempted under subsection 20(1) of the Act.
[76]
According to the Applicant, the Respondent
cannot circumvent its responsibilities by conducting a brief initial check and
then requiring that the Applicant provide documentation that has been expurged
page by page and word by word or face disclosure of the documentation if the
representations are not sufficiently detailed.
[77]
The Applicant also contended that the process
followed by the Respondent is contrary to the Treasury Board directive on the handling
of access to information requests.
[78]
The Applicant claimed that that directive tend
to confirm its interpretation of subsection 20(1). The third‑party
notice procedure described in section 27 is intended to quell any doubt by
allowing the third party to “verify” the position of the government institution
on what it intends to disclose. The third party is then able to proceed with
full knowledge and can rely on a genuine “first review” by the government
institution.
[79]
The Applicant further argued that the process
followed by the Respondent is at odds with the duty to act fairly because it
consisted only in briefly reviewing the documentation, transferring it “in
bulk” to the Applicant in order to obtain the Applicant’s representations, and
then rejecting those same representations on the grounds that they were not
sufficiently specific and detailed.
(2) Respondent
[80]
The Respondent submitted that the process that
resulted in his December 19, 2001 decision was legal.
[81]
He contended that section 27 of the Act did
not impose on the federal institution a greater onus than simply being
satisfied that the document to be disclosed is likely to contain
information covered by subsection 20(1).
[82]
The “genuine and serious” review requested by
the Applicant at the initial stage was therefore not required by the Act. As
he was satisfied, following an initial review, that the documents he wanted to
disclose were likely to contain information covered by subsection 20(1),
the Respondent could rightly proceed with a notice under section 27.
[83]
The Respondent contended that the Act imposes on
the third party in an access request the onus of showing that an institution is
required to refuse to disclose the information under subsection 20(1) of
the Act.
[84]
The requirement of specific representations
warranting a refusal to disclose was not, according to the Respondent,
capricious or illegal, because section 2 of the Act provides that exceptions to
the right to disclosure of information should be “specific and limited”.
[85]
The Respondent contended that many of the
representations made by the Applicant were insufficiently specific, mentioning
a vague possibility of potential injury arising from disclosure of the
documentation but not establishing specific and limited probability, of
such injury.
[86]
Despite the strong arguments made by the
Applicant on this point, I believe that the process which imposed on the
Applicant the onus of showing that the Respondent was required to refuse
disclosure of the documents under subsection 20(1) was not illegal.
[87]
Since disclosure is the rule and refusal to
disclose the exception, the Respondent’s only duty was to identify the passages
to which subsection 20(1) was likely to apply and then ask the Applicant to
provide representations regarding the application of subsection 20(1) to all
the documentation.
[88]
Obviously, the Applicant was in a better
position than the Respondent and had greater expertise than the Applicant to
identify passages of documentation covered by an access request to which
subsection 20(1) of the Act would likely apply, because most of the
documentation emanated from the Applicant.
[89]
That is one of the arguments made by the
Applicant to support its submissions regarding the application of subsection
20(1) in response to the following question, which deals with the accuracy of
the Respondent’s submissions regarding the application of subsection 20(1) to
the documentation covered by the request.
[90]
It cannot be denied that such a process imposed
on a third party such as the Applicant an onus and a considerable amount of
work when an access request is submitted and the time comes to make a
determination on the application of subsection 20(1). However, that onus is
not out of proportion considering the greater expertise of the third party concerned
and the importance it is likely to ascribe to the protection of information
about it.
[91]
To summarize, the purpose of such a process is
to impose on the Respondent a duty to consult the Applicant following a fairly
brief review of the documentation, to consider the Applicant’s recommendations
and, if he decides not to follow those recommendations, to explain why. If the
Applicant is not happy with the Respondent’s decision, it can apply under
section 44 of the Act to have this Court review the Respondent decision.
[92]
It thus remains to review the Respondent’s
decision de novo and determine whether the decision to disclose the
documents covered by this application for judicial review was or was not in
compliance with the Act.
3. Was the Respondent’s decision to disclose the documents
referred to in the access request covered by one of the exceptions provided for
in subsection 20(1) of the Act?
(1) Applicant
[93]
The errors identified by the Applicant in
requesting that the December 19, 2001 decision be set aside are:
-
The Respondent wrongly believed that, at the
stage of initial processing of the request, the Applicant has the onus of
making specific and detailed representations (see preceding point).
-
The Respondent’s agents applied paragraphs 20(1)
(a), (b), (c) and (d) conjunctively, not
disjunctively.
-
The Respondent took the view that the disclosure
of certain documents could not cause injury if the information they contain is
in the public domain in another form. Even though the Federal Court of Appeal
rejected a similar argument under paragraph 20(1)(b), the Applicant
invoked that argument for certain documents because paragraph 20(1)(c)
would apply.
-
The Respondent wrongly believed that the
Applicant could not object to disclosure of the reviewer’s notes because they
emanated from and were the property of the Applicant.
[94]
The Applicant submitted a detailed table listing
all the litigious passages and containing its representations regarding the
reasons why they were suppressed. The table appears in Appendix A of the
confidential version of the reasons for this order.
(2) Respondent
[95]
The Respondent contended that the litigious
passages of the documentation did not meet the requirements of paragraphs
20(1)(b) and (c) of the Act. The Applicant was thus not relieved
of its onus of showing that disclosure should have been refused.
[96]
The Respondent also contended that the
Applicant’s argument that information could be exempted under paragraph 20(1)(c)
even if it is in the public domain in another form was not valid.
[97]
The Respondent noted that the affidavits from
his witnesses contained specific and detailed representations explaining why
disclosure of the information would not cause injury.
[98]
The Respondent also submitted a table addressing
the Applicant’s objections to disclosure of the litigious passages. The table
appears in Appendix B of the confidential version of the reasons for this
order.
[99]
Regarding the reviewer’s notes and the
correspondence, the Federal Court of Appeal (Merck Frosst Canada & Co.
v. Canada (Minister of Health), 2005 FCA 215, [2006] 1 F.C.R. 379) reversed
the holding by Mr. Justice Harrington that they were exempted from
paragraph 20(1)(b). In paragraphs 6 and 7 of her reasons,
Mr. Justice Desjardins wrote:
The trial judge could not find, either, that the reviewer’s notes
and the correspondence between the parties should not be communicated under
paragraph 20(1)(b) of the Act solely because they were written in
response to the respondent’s request. The information in the reviewer’s notes
contains certain information that does not emanate from the respondent, and the
fact that these notes were written pursuant to the respondent’s request does
not affect this situation in any way (Canada Packers Inc. v. Canada
(Minister of Agriculture), [1988] 1 F.C. 483, aff’d [1989]
1 F.C. 47).
Having
identified these errors, this Court could itself undertake a review of the
thousands of documents in question to determine, on the one hand, whether
paragraph 20(1)(c) should apply, and if not, whether any of the
other exceptions is applicable.
[100]
The Federal Court of Appeal, having held that
the interests of justice would not be well served, referred the matter back to
this Court for redetermination on the basis of the Federal Court of Appeal’s
reasons.
[101]
I have therefore examined the reviewer’s notes
and the correspondence and find that pages 187, 188, 200 and 202 contain
information about the Applicant the disclosure of which would cause injury.
Disclosure of that information should therefore be refused under paragraph
20(1)(c).
[102]
The Federal Court of Appeal also reversed
Mr. Justice Harrington’s holding that documents containing
information in the public domain could still be considered confidential within
the meaning of paragraph 20(1)(b) if it is in a different form. In
paragraph 53 of his reasons, Mr. Justice Harrington wrote:
[…] the question is not really whether or not there is information in the
public domain concerning SINGULAIR®, the question is whether the information as
presented by Merck Frosst is in the public domain. If that information in the
form presented “comme telle” (as such) is not in the public domain,
confidentiality has not, in my opinion, been lost.
[103]
Mr. Justice Desjardins held at
paragraph 2 that “once the information is within the public
domain, it is no longer confidential, even if it differs in form.”
[104]
The remaining issue is whether paragraph 20(1)(c)
could apply to these documents. The Applicant argued that disclosure of this
information in the form in which it is presented could give an advantage to its
competitors and cause it injury.
[105]
In AstraZeneca Canada Inc. v. Canada (Health),
2005 FC 189, [2005] F.C.A. No. 859 (F.C.) (QL), Mr. Justice Phelan
addressed a similar issue and ruled that the injury alleged by the Applicant
was too vague to warrant a refusal to disclose the documents in question under
paragraph 20(1)(c).
[106]
In paragraph 81 of his reasons,
Mr. Justice Phelan wrote:
AstraZeneca has claimed exemption from disclosure of publicly
available information. It does so on the basis that no one knows that it used
the publicly available information nor how it used that information. As a
general proposition, publicly available information is not exempt information
under section 20 either as a class of documents or under the “harm’s” test. It
requires compelling evidence to dislodge the logical conclusion that
information in the public domain will be used, particularly by knowledgeable
users. AstraZeneca’s evidence is at best speculative.
[107]
Mr. Justice Phelan relied on the
Federal Court of Appeal decision in Cyanamid Canada Inc. v. Canada (Minister
of Health and Welfare) (1992), 45 C.P.R. (3d) 390, in which
Mr. Justice Stone wrote at page 403:
[…] An
alternative argument is advanced under paragraph 20(1)(c). The
appellant submits that although information may be publicly available, it is
not available from a single source. However, if access were granted
under the Act it would confer an advantage upon the requester by saving him
time and expense of collecting that information from several other public
sources and enable him to construct the “larger picture” to the detriment of
the appellant. I am not persuaded by this argument.
[108]
The Federal Court of Appeal recently upheld the
decision by Mr. Justice Phelan in AstraZeneca Canada Inc. v.
Canada (Health), 2006 FCA 241, [2006] F.C.A. No. 1076 (F.C.A.) (QL). In
the wake of that decision, I allowed the parties to make additional
submissions.
[109]
Except for the pages referred to in paragraph
112 and like Mr. Justice Phelan, I am also
not convinced by the Applicant’s arguments in this regard and hold that the
Applicant did not discharge the onus of sufficiently demonstrating the
probability that it would sustain injury if documents containing information
already in the public domain were disclosed.
[110]
Having reviewed the documents covered by this
application for judicial review and considered the parties’ arguments and the
principles established by the applicable case law and legislation, I rule as
follows:
[111]
The pages in respect of which the Applicant says
that disclosure should be refused because they contain information that is not
“as such” in the public domain are not exempt under subsection 20(1)(c).
According to the tables submitted by the parties, those pages are 7 to 16, 43
to 46, 48 to 54, 204 to 211, 213 to 225, 227 to 231, 233 to 235, 237, 239 to
241, 243, 245, 246 and 296.
[112]
However, disclosure should be refused under
paragraph 20(1)(c) in respect of documents containing more specific or
detailed information than the information in the public domain the disclosure
of which would likely cause the Applicant significant loss of profit or
undermine its competitiveness. According to the tables submitted by the
parties, those pages are pages 57, 187, 188, 200 and 202.
[113]
Disclosure of pages 105 to 115, 119 to 121, 137
to 167, 212, 236, 242 and 244 should be refused under paragraph 20(1)(b)
of the Act because those pages contain confidential information that was
treated as such by the Applicant and is not in the public domain.
[114]
At the hearing, counsel for the Respondent
conceded that some passages on pages 226, 232, 238 and 244 should be exempted
under subsection 20(1) of the Act. The Court’s view is that those pages should
be suppressed in their entirety under section 25 of the Act because I believe
it would be extremely difficult to isolate the information that should not be
disclosed. The same is true of the pages referred to in paragraphs 112 and
113.
[115]
The rest of the documentation covered by this
application can be disclosed as weeded by the Respondent in Exhibit “U” of
Margery Snider’s confidential affidavit of July 17, 2001, because subsection
20(1) of the Act does not apply.
JUDGMENT
THE COURT ORDERS that this application
for judicial review be allowed in part pursuant to these reasons. Given the
outcome of the matter, all without costs.
“Michel Beaudry”
Certified true
translation
François Brunet,
LLB, BCL