Date: 20120613
Docket: IMM-3842-11
Citation: 2012 FC 745
Ottawa, Ontario, June 13,
2012
PRESENT: The Honourable Mr. Justice O'Keefe
BETWEEN:
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NADARAJAH KURUPARAN
BAHMINI KURUPARAN
MAIYURAN KURUPARAN
KIRUSHANTHY KURUPARAN
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Applicants
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and
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THE MINISTER OF CITIZENSHIP AND
IMMIGRATION
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Respondent
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REASONS FOR JUDGMENT AND
JUDGMENT
[1]
This
is an application pursuant to subsection 72(1) of the Immigration and
Refugee Protection Act, SC 2001, c 27 (the Act) for judicial review of a
decision of the Immigration and Refugee Board, Refugee Protection Division (the
Board), dated May 18, 2011, wherein the applicants were determined to be
neither Convention refugees within the meaning of section 96 of the Act nor
persons in need of protection as defined in subsection 97(1) of the Act.
[2]
This
conclusion was based on the Board’s finding that Nadarajah Kuruparan, the
principal applicant, was excluded from refugee protection under section 98 of
the Act due to his position and involvement in the Sri Lankan Navy, an
organization found to have committed crimes against humanity and war crimes
within the scope of article 1F(a) of the United Nations Convention relating
to the Status of Refugees, July 28, 1951, [1969] Can TS No 6 (the UN
Convention). The other applicants’ claims were based on the principal
applicant’s claim.
[3]
The
applicants request that the Board’s decision be set aside and the matter be
referred back for redetermination by a differently constituted panel.
Background
[4]
The
principal applicant is Nadarajah Kuruparan. The other applicants are related to
the principal applicant as follows: Bhamini Kuruparan (shown as Bahmini
Kuruparan in the style of cause), his wife; Maiyuran Kuruparan, his son; and
Kirushanthy Kuruparan, his daughter.
[5]
All
of the applicants are citizens of Sri Lanka. The principal applicant is of Tamil ethnicity.
[6]
The
principal applicant is trained as an electrical engineer. He joined the Sri
Lankan Navy (the Navy) in 1981 as a service officer cadet and became an acting
sub-lieutenant in 1985. By 2008, he had risen to the rank of Commodore, a
position third to the Rear Admiral of the entire Navy. During his time in the
Navy, the principal applicant never participated in combat. However, as one of
only five Tamil officers in the Navy, the principal applicant testified that he
faced many challenges. He was suspected by his superiors as being a sympathizer
of the Liberation Tigers of Tamil Eelam (LTTE) and was allegedly denied
advancement at the rate he earned it.
[7]
In
2001, the principal applicant was approached by a Tamil man who sought to
engage his help in the LTTE cause, particularly with respect to information
about offensive naval operations. Although he refused to support the LTTE,
similar requests were later made of him. To protect himself and his family, the
principal applicant reduced his involvement in the community, the time he spent
with other Tamils and limited his visits to family members.
[8]
In
2006, the LTTE relaunched its war against the government and the situation in Sri Lanka worsened. The Sri
Lankan government forces retaliated and many Tamil civilians were killed. The
Navy was an integral part of the government’s efforts and succeeded in blocking
many LTTE supplies.
[9]
In
2008, when the LTTE was in dire need of military intelligence to execute their
operations, the principal applicant was again contacted by various LTTE
supporters requesting his aid. He was also threatened by phone.
[10]
In
August 2008, the principal applicant was summoned by the Navy’s intelligence
unit and questioned about relatives that had visited him. The principal
applicant responded to the inquiries and was then permitted to return to his
duties. In the same month, the principal applicant’s wife was threatened by
youths with handguns. They demanded that the principal applicant assist their
movement or face severe consequences. Later, the principal applicant’s close
friend, a high ranking Navy officer, allegedly warned him of the risk he faced
from paramilitary personnel of the Sri Lankan military and from other Tamil
groups. In response, the principal applicant moved his family into the
Officers’ married quarters in September 2008.
[11]
Between
2001 and 2009, the principal applicant allegedly submitted several requests to
be taken from active duty; these requests were all denied. On June 1, 2009, the
principal applicant retired from the Navy and joined the Regular Naval Reserve,
a mandatory requirement for all retired Navy personnel.
[12]
After
retirement, a pro-government Tamil group began to threaten the principal
applicant. They repeatedly demanded money, which the applicants repeatedly
refused. The principal applicant feared the government and pro-government
militias for their belief that, as a Tamil, he would divulge sensitive
information about the Navy to the LTTE. Subsequently, he also feared the LTTE
for his refusal to grant them the information they requested.
[13]
On
July 3, 2009, armed men abducted the principal applicant’s wife for a short
time in a van. She testified that the men identified themselves as belonging to
the Karuna group. The men claimed that they knew the principal applicant was
aiding the LTTE and demanded payment of a large sum of money within a month
else the entire family would be killed. In fear, the principal applicant decided
to flee Sri
Lanka with
his family. Using an unused U.S.
visa obtained to visit relatives in 2008, the applicants left Sri Lanka in July 2009. From the U.S., they came to the
Canadian border on August 4, 2009 where they claimed refugee status.
[14]
The hearings
of the applicants’ refugee claims were held on January 26, 2010 and January 11,
2011.
Board’s Decision
[15]
The
Board released its decision on March 23, 2011. In its reasons, the Board first summarized
the facts as presented in the principal applicant’s Personal Information Form
(PIF).
[16]
The
Board then acknowledged two issues that were raised during the hearings:
exclusion and inclusion.
Exclusion
[17]
Commencing
with the exclusion issue, the Board referred to article 1F(a) of the UN
Convention. It noted that it is established jurisprudence that the standard of
“serious reasons for considering”, as used in article 1F(a), may be understood
as “reasonable grounds to believe”. This standard means more than suspicion or
conjecture, but less than proof on a balance of probabilities. It applies to
questions of fact, whereas whether those facts meet the requirements of a crime
against humanity or a war crime is a question of law.
[18]
Turning
to the definition of “crimes against humanity”, the Board cited the definition
under Article 7 of the Rome Statute of the International Criminal Court,
signed July 17, 1998 (the Rome Statute) and the endorsement of this definition
in Canadian law.
[19]
The
Board found that the question in this case pertained to whether the principal
applicant was legally responsible as an accomplice for the crimes against
humanity perpetrated by the Navy during his years of naval service. To analyze
this question, the Board referred to the Charter of the International
Military Tribunal, 8 August 1945 (the IMT Charter) which states in part at
Article 6:
Leaders,
organizers, instigators and accomplices participating in the formulation or
execution of a common plan or conspiracy to commit any of the foregoing crimes
are responsible for all acts performed by any persons in execution of such
plan.
[20]
The
principle of the complicity of an accomplice has been examined in the
jurisprudence, and the Board cited relevant sections in its decision before
proceeding with its analysis.
[21]
The
Board acknowledged that the Navy is not characterized as a limited,
brutal-purpose organization and therefore, the principal applicant’s mere
membership in it was not sufficient to establish that he was complicit in the
human rights abuses committed by it. However, the Board found that the evidence
did indicate that the principal applicant had been complicit in the crimes
against humanity because he had a long service with the Navy; an organization
that was known to regularly and systematically commit human rights abuses
against the LTTE, the Tamil population and individuals suspected or perceived
to be LTTE collaborators or sympathizers. The Board found the following factors
particularly notable in its finding that the principal applicant was complicit
in crimes against humanity. The principal applicant:
Had been aware of the atrocities
committed by the Sri Lankan security forces, including the Navy, since
voluntarily joining in 1985;
Had a long service with the Navy;
Received promotions during his long
service; and
Did not leave his employment earlier
when he had opportunities to do so.
[22]
In
determining whether the principal applicant was complicit, the Board examined
the facts according to the following six factors recognized in the
jurisprudence: nature of the organization; method of recruitment; position/rank
in the organization; knowledge of the organization’s atrocities; length of time
in the organization; and opportunity to leave the organization.
[23]
Nature
of the Organization
The Board reviewed the jurisprudence
and first found that the scope of the organization of reference does not need
to be narrowed to the individual unit in which the person was serving. The
determining factor is the existence of a shared common purpose and knowing
participation in the organization’s commission of war crimes against humanity.
The Board referred to examples of war crimes or crimes against humanity
committed by the Navy as set out in the documentary evidence. Based on this
evidence, the Board found that the Sri Lankan security forces, including its Navy,
committed serious human rights abuses whilst the principal applicant was a Navy
officer.
[24]
Method
of Recruitment and Position/Rank in the Organization
The Board noted that the principal
applicant voluntarily joined the Navy and was promoted and given numerous
awards throughout his long-standing career. By 2009, he had become a senior
member of the Navy with a very high position. The Board cited jurisprudence
regarding the connection between an individual’s rank or position in an
organization and their complicity in international crimes committed by their
organization.
[25]
The
Board found that the principal applicant’s activities as an electrical engineer
maintaining and repairing bases and ships and proposing electrical, electronic
and communication requirements for the Navy showed that he participated in
facilitating the Navy’s operations, which included the darker aspects of those
operations. His physical and operational remoteness did not bar him of
complicity given that he facilitated the Navy in the commission of atrocities.
The Board found that this was further supported by: the principal applicant’s
admitted knowledge of the crimes committed by the Navy and security forces
during his employment; his positions of importance in the Navy; and his failure
to withdraw from the Navy.
[26]
Knowledge
of Organization’s Atrocities
On this point, the Board sought
guidance from the Supreme Court of Canada’s decision in Mugesera v Canada (Minister of
Citizenship and Immigration), 2005 SCC 40, [2005] 2 S.C.R. 100 at paragraphs
172 to 177. The Board highlighted the principal applicant’s admission that he
had been aware of the atrocities committed by the Navy as early as 1985. He was
aware of these atrocities through the media and fellow naval officers and
discussed them with his peers. Further, the principal applicant testified that
he was involved in strategy meetings to input on equipment capacity as it was
his duty to ensure maximum ship performance. The Board found that although the
principal applicant stated he did not support or tolerate the Navy’s behaviour,
his failure to disengage from the Navy at the earliest opportunity indicated
otherwise. As such, the mens rea element for complicity was satisfied.
[27]
Length
of Time in the Organization
The Board reiterated the principal
applicant’s length of service in the Navy and his long-time knowledge of the
atrocities committed by it. Despite this knowledge, the principal applicant
supported the Navy’s activities for over twenty years and received promotions
throughout his career. The Board found the principal applicant’s tolerance of
the Navy’s crimes, his continued association with the Navy and his rank as
indicated the common purpose that he shared with the Navy in the commission of
the crimes.
[28]
Opportunity to Leave the Navy
The Board acknowledged the principal
applicant’s attempt to leave the Navy in 2001, although he had prior knowledge
of the Navy’s crimes as early as 1985. Further, no documentary evidence was
provided to support his claim that he was refused discharge from the Navy. The
principal applicant testified that there was a mandatory service period of 20
years and 2001 was therefore his first opportunity to leave the Navy. However,
the Board rejected this claim on the basis that the principal applicant did not
join the Navy until 1985, after completing his four-year engineering degree.
Therefore the twenty-year time limit would not have ended in 2001, but instead
in 2005 and there was no documentary evidence to suggest that the principal
applicant had sought discharge from the Navy in 2005.
[29]
Further,
although the principal applicant testified that he actively pursued retirement
from the Navy between 2007 and 2009, the Board found no persuasive documentary
evidence to support this claim. The certificate of service describing the
principal applicant’s employment with the Navy did not indicate any discharge
attempts. The Board therefore found that the principal applicant had not
persuasively established that he attempted to leave the Navy as alleged.
Instead, the Board found that the principal applicant had fabricated his story
about attempting to leave for the sole purpose of his refugee claim.
[30]
The
principal applicant indicated that if he left the Navy without permission, his
actions would have amounted to absence without leave or desertion. The maximum
punishment listed under Sri Lankan law for these crimes is two years
imprisonment or death (if cowardice is shown), respectively. However, the Board
acknowledged recent documentary evidence that indicated that the punishment for
desertion was not as severe as set out in the legislation. Further, in 2005,
the principal applicant would have served twenty years. Therefore, on a balance
of probabilities, the Board found that the principal applicant would not have
been liable for any punishment for leaving the Navy in 2005 since he was
allowed to do so given he had completed his obligations by that time.
[31]
In
addition, the principal applicant had several opportunities between 1993 and
2006, when he had visited other countries, to defect and seek refugee
protection abroad. He testified that he did not do so because he did not wish
to be a deserter. However, the Board found that he could have done so without
being a deserter on any of his trips abroad after 2005.
[32]
Based
on the totality of the evidence before it, the Board concluded that there were
serious reasons for considering that the principal applicant was an accomplice
in the war crimes and crimes against humanity committed by the Navy and the Sri
Lankan security forces. Therefore, the Board found that the principal applicant
was excluded from protection in Canada pursuant to article 1F(a) of the UN Convention.
Inclusion
[33]
Turning
to the issue of inclusion, the Board found that the determinative issues were
credibility, subjective fear and whether the applicants’ fear of persecution
was objectively well founded. The principal applicant indicated that he feared
groups from both sides of the conflict: the People's Liberation Organization of
Tamil Eelam (PLOTTE), LTTE, Karuna group and the Sri Lankan government
paramilitaries and intelligence agency.
[34]
No
evidence was adduced on PLOTTE and the Board therefore did not find that the
applicants had an objective fear of persecution at the hands of this group.
With regards to the LTTE, the Board noted that the LTTE was defeated by Sri
Lankan security forces in May 2009 and there was no persuasive documentary
evidence that LTTE targeted ex-military for execution. The Board reviewed
documentary evidence dated post-May 2009 that suggested that the LTTE forces
had emerged in different forms. However, there was no indication that these
different forms would threaten or target former Navy or military personnel.
[35]
On
the applicants’ fear of the government groups, the principal applicant
indicated that in 2008, one of his close friends warned him that the government
paramilitary group and intelligence may try to eliminate him. The principal
applicant did not provide any affidavit from his friend to corroborate this
statement. Although the principal applicant is Tamil, the Board found that
based on his clean records and good standing in the Navy, it was not plausible
that these government groups would have an interest in eliminating him for
sympathizing with the LTTE. The Board found that the principal applicant’s fear
of a false report being written against him was purely speculative;
particularly as he had been informed while in Canada that he was not on a “wanted list”.
Therefore, the Board did not find that the principal applicant had any objectively
well-founded fear of persecution by government groups if he returned to Sri Lanka.
[36]
The
principal applicant indicated that his grounds for claiming refugee protection
did not arise until July 2009 when his wife was abducted at gunpoint by men
claiming to be from the Karuna group. The men demanded a large sum of money and
threatened the applicants should they not pay. The Board reviewed extensive
documentary evidence that indicated that the Karuna group and paramilitaries
had in the past abducted suspected LTTE members and supporters for ransom and
had committed other violent attacks against civilians.
[37]
Based
on this evidence, the Board found that on a balance of probabilities, the
leaders of the Karuna group (notably Vinayagamoorthi Muralitharan (VM)) were
aware of their group’s extortion activities. However, there was no evidence to
suggest that these leaders had refused to do anything about it. Therefore, the
Board found that some individual members extorted money from civilians on their
own initiative. In addition, there was insufficient evidence to find that the
leader’s power was used to sanction extortion by persons claiming to be members
of the Karuna group. Therefore, the principal applicant’s claim that members of
the Karuna group who were trying to extort money from him were doing so under
the authority and power of VM was uncorroborated and the power structure of VM
would not be used against him to ensure success of extortion. The Board held
that the applicants’ fear of extortion by a group involved in criminal
activities did not provide them with a nexus to a Convention refugee ground.
[38]
The
Board also found that the principal applicant’s fear of being kidnapped if
returned to Sri
Lanka is a
generalized fear faced by all Sri Lankans. The Board noted there was no
persuasive evidence that anything other than money had motivated the
perpetrators to target the applicants. The principal applicant’s fear was of a
generalized risk of persecution by some members of the Karuna group involved in
criminal activities. Therefore, the principal applicant did not fall within the
protection of paragraph 97(1)(b) of the Act. In addition, as the Board had
found that the principal applicant’s fear of state agencies in Sri Lanka had no
objective basis, his claim did not fall within the scope of paragraph 97(1)(a)
of the Act.
[39]
Finally,
as the other applicants’ claims were based on the principal applicant’s claim,
the Board denied their claims as well.
Issues
[40]
The
applicants submit the following points at issue:
1. Is there any evidence
which supports the applicants’ submissions with respect to the issues set out
below, and are any of these issues, either singly or in combination, serious
ones?
2. Did the Board err in
fact, err in law, breach fairness or exceed jurisdiction in determining the
applicants as not Convention refugees in that state protection was reasonably
forthcoming?
[41]
I
would phrase the issues as follows:
1. What is the appropriate
standard of review?
2. Did the Board err in
excluding the principal applicant on the basis of being complicit in crimes
against humanity under article 1(F)(a) of the UN Convention?
3. Did the Board err in
denying the applicants’ refugee claims?
Applicants’ Written Submissions
[42]
The
applicants submit that the task before the Board was to: identify which units
of the Navy were involved in crimes; identify the crimes as crimes against
humanity; and link the principal applicant to the units that had committed
those crimes.
[43]
The
applicants refer to Marinas Rueda v Canada (Minister of Citizenship and
Immigration), 2009 FC 984, [2009] FCJ No 1203, in which they submit that
this Court found the Board over-generalized in finding that the Navy as a whole
was the relevant organization responsible for crimes against humanity.
[44]
On
the unit responsible for the acts, the applicants submit that the case of Canada
(Minister of Public Safety and Emergency Preparedness) v Cortez Muro, 2008
FC 566, [2008] FCJ No 718, demonstrates that the relevant unit to be analyzed
is the one specified by the Minister; in this case that unit was the Navy.
However, the applicants submit that the evidence the Board relied on showed
that specific units, rather than the Navy as a whole, committed the human
rights abuses.
[45]
Further,
the applicants submit that this Court has found that large military branches in
democratic countries cannot be entirely responsible for human rights abuses. In
support, the applicants point to this Court’s finding on the Columbian army in Ardila
v Canada (Minister of
Citizenship and Immigration), 2005 FC 1518, [2005] FCJ No 1876 (at paragraph
12).
[46]
Next,
the applicants submit that the Board erred in failing to identify crimes
against humanity in which the principal applicant had a shared common purpose.
The applicants submit that the Board’s analysis contains an extensive list of
crimes and atrocities, some of which are not crimes against humanity. This
included, for example, a report of torture against Tamil fisherman, presumably
citizens of India, who accidentally
crossed into Sri Lankan waters.
[47]
The
applicants submit that the Board was required to identify crimes using proper
legal principles and then proceed to determine whether these crimes amounted to
crimes against humanity based on the elements specified by the Supreme Court in
Mugesera above, at paragraph 119.
[48]
In
assessing whether the principal applicant belonged to the units that had
committed the crimes against humanity, the applicants submit that leaders,
organizers, instigators and accomplices participating in the formulation and execution
of a common plan or of a conspiracy to commit crimes, are responsible for them.
Criminal responsibility will more likely attach to an individual that is deeply
involved in the decision-making process or that does little to thwart the
planning or the commission of the relevant act.
[49]
Turning
to the principal applicant’s role in the Navy, the applicants submit that it pertained
to the performance of ships, as per his electrical engineering and business
education. The principal applicant’s career did not involve combat and he only
served on a ship early in his career when he was a junior engineer. His long
service was predominantly spent in the dockyard or in military schools. He was
also one of only five Tamil officers in the Navy where the majority of the
officers were Sinhalese (there was also a very small percentage of Muslim
officers). The applicants submit that the Board erred in not considering that
the principal applicant’s leadership position was not close to the crimes or
the planning of them but rather pertained to technical, teaching and
administrative duties.
[50]
The
applicants submit that the analysis of complicity starts with the definition of
individual criminal responsibility as set out in article 25 of the Rome
Statute. Next, the Board must link the applicant to specific crimes. In
support, the applicants distinguish the facts in this case from Penate v
Canada (Minister of Employment and Immigration) (TD), [1994] 2 FC 79, [1993]
FCJ No 1292, a case relied on by the Board in its analysis of an individual’s
complicity in an army’s actions based on an embracement and effective support
of the army and its goals. The applicants highlight the fact that in Penate
above, the applicant was a career soldier in the Salvadoran army who knew of
the atrocities committed and had witnessed at least one international offence.
Contrary to this case, the applicant in Penate above, therefore had a
sufficient degree of complicity to be found guilty of crimes against humanity.
[51]
Instead,
the applicants point to Loordu v Canada (Minister of
Citizenship and Immigration), 199 FTR 308, [2001] FCJ No 141, in which the
applicant was a Tamil and a low-ranking member of the police force. This Court
found that although elements of the Sri Lankan police force committed crimes against
humanity, there was no evidence that the police force was an organization with
a limited brutal purpose.
[52]
The
applicants also refer to this Court’s decision in Bonilla Vasquez v Canada (Minister of
Citizenship and Immigration), 2006 FC 1302, [2006] FCJ No 1627; a case
pertaining to an army Major who had served fifteen years in the Colombian
military. In Vasquez above, this Court found that due to the applicant’s
high rank, leadership position and long-term service, he had to be aware of the
operations that were undeniably penetrating crimes against civilians. He
thereby lent his support and “knowingly participation” to those crimes (at
paragraph 15). The Court in Vasquez above, stated that the law on
“complicity” was two fold: (1) a shared common purpose and (2) knowledge. The
shared common purpose must constitute a crime against humanity, as defined in
paragraphs 151, 154 to 156 and 161 of Mugesera above. As mentioned
previously, the applicants submit that in this case, the Board erred by not
determining which crimes were crimes against humanity.
[53]
The
applicants submit that the Board erred in fact and in law in basing its
complicity finding on a common purpose with the Navy. The applicants submit
that there is no jurisprudence in which this Court has upheld exclusions based
on belonging to a Navy that has been found to be complicit in crimes against
humanity. Conversely, in Ruiz Blanco v Canada (Minister of Citizenship and
Immigration), 2006 FC 623, [2006] FCJ No 793, this Court quashed a Board’s
decision excluding a twenty-year non-commissioned Navy officer on the basis
that there was too little evidence on crimes committed by the Navy.
[54]
The
applicants submit that although the principal applicant testified that he was
aware of human rights abuses, mere knowledge of atrocities does not equate to
shared purpose and complicity. The applicants submit that the Board erred in
finding that the principal applicant’s participation in strategy meetings for
improving equipment performance was relevant to him being involved with crimes
of any kind. The Board erred by failing to: make findings on the evidence that
civilians who were wrongly believed to be LTTE members were killed by accident;
not clarifying whether the principal applicant’s knowledge of civilian deaths
by Navy shelling was a crime against humanity; making no reference as to
whether the shelling was in relation to legitimate actions or not; and not
referring to Navy complicity in the military and police actions against
civilians in Colombo in 2006.
[55]
The
applicants also distinguish El-Kachi v Canada (Minister of
Citizenship and Immigration), 2002 FCT 403, [2002] FCJ No 554, a case relied
upon by the Board, on the basis that it did not concern a member of a national
army. Rather, that case pertained to a militia independent of the government.
[56]
In
addition, the applicants submit that the Board erred in finding that the
principal applicant’s knowledge of the crimes led to his complicity in them.
Mere knowledge of atrocities is not determinative of complicity in them.
[57]
The
applicants submit that the Board erred in finding that the principal applicant
had fabricated his efforts to leave the Navy between 2007 and 2009 solely on
the basis of lacking corroborative documentation. Similarly, the Board erred by
making a negative inference from the lack of an affidavit from the principal
applicant’s friend corroborating the claim that he had notified him of the risk
he faced from paramilitary groups. In refugee claims, the applicants submit
that it is an error to reject evidence or impugn credibility solely for reason
of lacking corroborating evidence. The principal applicant should have been
granted the benefit of the doubt. Therefore, the Board’s inferences were
unreasonable and should not stand.
[58]
The
applicants submit that the Board erred in finding that the leaders of the
various paramilitary-political parties are not known to have sanctioned the
human rights abuses by their organizations. The applicants also submit that the
Board erred by failing to recognize that extortion can be persecution. Failure
to consider the reason for extortion and the motivation for paying extortion is
a reviewable error.
[59]
Finally,
the applicants submit that the risk they face is not generalized, rather, they
have been directly affected.
Respondent’s Written Submissions
[60]
The
respondent submits that the issue of whether the facts support the principal
applicant’s exclusion from refugee protection under article 1F(a) of the UN
Convention is reviewable on a reasonableness standard. Similarly, the Board’s
decision on whether the applicants are Convention refugees or persons in need
of protection under sections 96 and 97 of the Act attracts a standard of review
of reasonableness.
[61]
The
respondent notes that the principal applicant’s refugee claim was rejected on
two grounds: exclusion from refugee protection under article 1F(a) of the UN
Convention and failure to establish a well-founded fear of persecution or
personal risk.
[62]
To
succeed on judicial review, the respondent submits that the applicants must
establish errors on both of these findings.
[63]
The
respondent submits that the principal applicant was reasonably excluded under
article 1F(a) of the UN Convention. The proper approach to the application of
the exclusion clause is first, by reference to existing jurisprudence and
second, by reference to the clear intent of the signatories of the UN
Convention. It is irrelevant whether the principal applicant was complicit in
one atrocity or several, at one time or over a period of time. What matters is
whether the principal applicant belonged to an organization that had repeatedly
been involved in the commission of crimes against humanity in a systemic or
widespread fashion.
[64]
The
respondent submits that like all crimes, crimes against humanity consist both
of a criminal act and a guilty mind. An individual may be found to have
“committed” a crime against humanity where they have been complicit in the
commission of the offence. A determination of complicity must be made on a
case-by-case basis. Complicity can be based on “personal and knowing
participation” or on the existence of a “shared common purpose”.
[65]
The
respondent submits that the Federal Court of Appeal has held that the “personal
and knowing” participation test is broader than merely requiring the personal
participation of the individual in the alleged crimes, be it by carrying them
out personally or facilitating their commission.
[66]
A
shared common purpose will arise where an individual has knowledge that his
organization is committing crimes against humanity and does not take steps to
prevent them from occurring or disengage from the organization at the earliest
opportunity consistent with his or her safety, but rather lends active support
to the organization.
[67]
The
respondent submits that in this case, the documentary evidence establishes that
the Navy was directly involved and provided material support to the other
security forces in committing atrocities.
[68]
Relying
on general principles on “complicity” that have emerged from the jurisprudence,
the respondent submits that the Board correctly interpreted and applied the law
on article 1F(a) of the UN Convention. The respondent submits that the Board
considered the relevant six factors, as required.
[69]
The
first factor pertains to the nature of the organization. The respondent submits
that the Board reasonably found that the Sri Lankan Navy had committed, on its
own or jointly with other security forces, acts considered to be war crimes or
crimes against humanity. These acts were committed whilst the principal
applicant was a Navy officer. The respondent submits that the Board also
reasonably assessed the second factor, the method of recruitment, and found
that the principal applicant had voluntarily joined the Navy in 1985, after
having already served as an officer cadet.
[70]
Turning
to the third factor, the position or rank in the organization, the respondent
highlights the principal applicant’s acknowledgement that he was a high ranking
officer and indispensable to the operation of the Navy. The Board reasonably
found that the principal applicant’s activities as an electrical engineer
facilitated the Navy operations, which included the darker aspects of those
operations.
[71]
Fourthly,
the respondent submits that the Board made a reasonable finding on the knowledge
of the organization’s atrocities. The principal applicant admitted his
awareness of the atrocities from the media and fellow naval employees. Further,
although the principal applicant testified that he was not personally involved,
he was occasionally involved in strategy meetings to provide input on equipment
capacity. The respondent submits that the Board reasonably found that the
principal applicant’s behaviour and failure to disengage from the Navy
indicated that he supported or tolerated the Navy’s behaviour.
[72]
On
the fifth factor, the length of time in the organization, the respondent
submits that the Board reasonably found that the principal applicant’s length
of service (over twenty years) was indicative of a common purpose shared with
the Navy in the commission of the crimes.
[73]
Finally,
the respondent submits that the sixth factor, opportunity to leave the
organization, was also reasonably assessed by the Board. The Board considered
the principal applicant’s testimony and his military documents and reasonably
found that he fabricated his story about attempting to leave the Navy. Further,
the principal applicant’s testimony indicated that his primary concern was with
his career development and he only left for fear of his and his family’s safety.
The Board reasonably sought corroborating evidence of his attempts to leave
after noting that the principal applicant would not have been liable for
punishment after 2005 and had had several opportunities to travel abroad;
opportunities during which he had never applied for refugee protection. The
principal applicant failed to produce any such evidence and did not withdraw or
protest at the first reasonable opportunity.
[74]
Based
on its analysis of these factors, the respondent submits that the Board’s decision
that the principal applicant was complicit in crimes against humanity was a
finding that was reasonably open to it.
[75]
The
respondent also submits that the Board’s decision that the applicants were not
Convention refugees or persons in need of protection under sections 96 and 97
of the Act was reasonable. The respondent submits that risk was not established
on either the principal applicant’s former position in the Navy or on the
threat of extortion.
[76]
On the
risk associated with his former position in the Navy, the respondent submits
that the Board reasonably found insufficient evidence that remnants of the LTTE
and sympathizers are targeting former military personnel. It also reasonably
found no persuasive evidence that government paramilitaries or intelligence
would have any interest in the principal applicant especially due to his clean
record, numerous promotions and good standing. A false report implicating the
principal applicant in providing intelligence to the LTTE was reasonably deemed
purely speculative. Further, if he had been a suspected LTTE supporter, the
principal applicant would have faced problems at the airport; problems that he
testified that he did not face. The principal applicant also confirmed that his
contacts in Sri
Lanka had
told him that he was not on a “wanted list” of the government or
paramilitaries. Based on this evidence, it was reasonable for the Board to
search for corroborating evidence to support the claim of possible threats from
the government or paramilitaries. The principal applicant did not provide such
evidence.
[77]
The
respondent also submits that the Board made a reasonable finding that the risk
of extortion faced by the applicants was a risk generally faced by others in
the country. There was no inconsistency in the Board’s initial reference to the
principal applicant’s or his wife’s past targeting of extortion and its final
determination that the nature of this risk is faced generally by other
individuals in or from Sri Lanka.
[78]
Further,
the jurisprudence has established that the ability to distinguish a subcategory
from the citizenry at large does not remove that group from the generalized
risk category. In this case, the Board reasonably determined that the risk
faced by the applicants in the identified subcategory was prevalent and
widespread and thereby faced generally by other individuals. The evidence also
showed that money was the sole motivation of the perpetrators targeting the
applicants. As recognized by the Board, victims of crime do not qualify as at
risk under subsection 97(1) of the Act. In particular, wealth or perceived
wealth does not constitute personalized risk and extortion alone does not
amount to persecution unless it is linked to a Convention ground. Therefore,
the respondent submits that the Board reasonably concluded that the extortion
faced by the applicants was generalized and random crime, not personalized
crime. There was therefore no nexus to a Convention ground.
Analysis and Decision
[79]
Issue
1
What is the appropriate standard
of review?
Where previous jurisprudence has
determined the standard of review applicable to a particular issue before the
court, the reviewing court may adopt that standard (see Dunsmuir v New Brunswick, 2008 SCC 9, [2008] 1
SCR 190 at paragraph 57).
[80]
In Canada
(Minister of Citizenship and Immigration) v Ekanza Ezokola, 2011 FCA 224,
[2011] FCJ No 1052, the Federal Court of Appeal stated the standard of review
as follows at paragraph 39:
The
fundamental issue identified by the applications judge is the scope of the concept
of complicity by association for the purposes of applying Article 1F(a) of the
Convention. As he indicates, this is a question of law subject to the standard
of correctness. Once the test has been properly identified, the issue of
whether the facts in this case trigger the application of Article 1F(a) is a
question of mixed fact and law with respect to which the Panel is entitled to
deference (Canada (Minister of Citizenship and Immigration) v. Zeng,
2010 FCA 118, para. 11).
[81]
In
reviewing the Board’s decision on the standard of reasonableness, the Court
should not intervene unless the Board came to a conclusion that is not
transparent, justifiable and intelligible and within the range of acceptable
outcomes based on the evidence before it (see Dunsmuir above, at
paragraph 47; and Canada (Citizenship and Immigration) v Khosa, 2009 SCC
12, [2009] SCJ No 12 at paragraph 59). It is not up to a reviewing court to
substitute its own view of a preferable outcome, nor is it the function of the
reviewing court to reweigh the evidence (see Khosa above, at paragraphs
59 and 61). Conversely, where the standard of review is correctness, no
deference is owed to the decision-maker (see Dunsmuir above, at
paragraph 50).
[82]
Issue
2
Did the Board err in excluding
the principal applicant on the basis of being complicit in crimes against
humanity under article 1(F)(a) of the UN Convention?
Background: Article 1F(a) of
the UN Convention excludes “any person with respect to whom there are serious
reasons for considering that he has committed a crime against peace, a war
crime, or a crime against humanity” from Convention refugee protection. In Canada, section 98 of the Act
excludes individuals that fall within the scope of article 1F(a) from the
refugee protection available under both section 96 and subsection 97(1) of the
Act.
[83]
In
assessing whether a person falls within the scope of article 1F(a), there is
little difference between “serious reasons for considering” (as used in article
1F(a)) and “reasonable grounds to believe” (see Sivakumar v Canada (Minister of Employment
and Immigration)
(CA), [1994] 1 FC 433, [1993] FCJ No 1145 at paragraph 18; and Mugesera
above, at paragraph 114). As explained further by Mr. Justin Linden in
paragraph 18 of Sivakumar above:
[…]
Both of these standards require something more than suspicion or conjecture,
but something less than proof on a balance of probabilities. This shows that
the international community was willing to lower the usual standard of proof in
order to ensure that war criminals were denied safe havens.[…]
[84]
In Mugesera
above, the Supreme Court also explained that “reasonable grounds will exist
where there is an objective basis for the belief which is based on compelling
and credible information” (at paragraph 114).
[85]
Where
an applicant has not himself committed crimes against humanity, he may still be
legally responsible as an accomplice to such crimes. Article 6 of the IMT
Charter attaches liability to accomplices that participate in the “formulation
or execution of a common plan or conspiracy to commit” crimes against
humanity.
[86]
A
leading case on findings of complicity of accomplices is Ramirez v Canada (Minister of Employment
and Immigration)
(FCA), [1992] 2 FC 306, [1992] FCJ No 109. In that case, the Federal Court of
Appeal established that both “personal and knowing participation” in the crimes
and a “shared common purpose” were essential requirements for a finding of
complicity (see Ramirez above, at paragraphs 15 and 18).
[87]
More
recently in Bukumba v Canada (Minister of Citizenship and Immigration),
2004 FC 93, [2004] FCJ No 102, Mr. Justice Von Finckenstein summarized the
principles that have been enunciated with regards to complicity in crimes
against humanity (at paragraph 19):
1. An individual may be an
accomplice to an international crime even though a specific act or omission is
not directly attributable to him;
2. An individual who
associated with a person or organization responsible for international crimes
may be an accomplice to these crimes if he knowingly participated in or
tolerated them;
3. An individual may be an
accomplice to an international crime if, having knowledge of that crime, he
fails to take steps to prevent it occurring or to disengage himself from the
offending organization at the earliest opportunity consistent with his own
safety;
4. An individual will be an
accomplice to an international crime if he provides information about others to
an organization with a limited, brutal purpose with knowledge that they will
likely come to harm; and
5. Membership in an
organization with a limited, brutal purpose leads to a presumption of knowledge
as to the act which this organization is undertaking.
[88]
The
relevant factors for assessing an individual’s complicity in crimes against
humanity have been applied by this Court on numerous occasions (see for example
Fabela v Canada (Minister of
Citizenship and Immigration), 2005 FC 1028, [2005] FCJ No 1277 at paragraph
24). These factors were correctly stated by the Board as: nature of the
organization; method of recruitment; position and rank in the organization;
knowledge of the organization’s atrocities; length of time in the organization;
and opportunity to leave the organization.
[89]
These
factors have been described as “the most important factors to consider when
determining whether there were serious reasons to believe that the principal
applicant had personal knowledge, or could be considered as an accomplice in
the perpetration of crimes against humanity” (see Fabela above, at
paragraph 24).
[90]
In
its decision, the Board considered the above principles and applied the facts
to the above enumerated factors. Based on this assessment, the Board found that
the principal applicant was complicit in the Navy’s crimes against humanity and
was thereby excluded from refugee protection.
[91]
Alleged
Errors:
The applicants raise several issues with the Board’s assessment of the article
1F(a) exclusion. The Board’s main alleged errors are: over-generalization in
finding that the Navy as a whole, rather than specific units, was responsible
for the crimes against humanity; failure to specifically identify the crimes
against humanity and the war crimes; failure to adequately link the principal
applicant to the specific units of the Navy that had committed crimes against
humanity and to which the principal applicant had a shared common purpose; and
error in finding on the basis of lacking corroborative documentation that the
principal applicant had fabricated his efforts to leave the Navy between 2007
and 2009.
[92]
The
first alleged error pertains to the characterization of the “organization” that
committed the crimes. The Board found that the Navy was not characterized as a
limited, brutal-purpose organization. However, it found that the documentary
evidence indicated that war crimes or crimes against humanity had been
committed by the Navy alone or jointly with other security forces.
[93]
In
criticizing the Board’s characterization of the Navy as a whole responsible for
the atrocities, the applicants rely on Rueda above. In that case, the
principal applicant served in the Peruvian Navy prior to coming to Canada with his family and
filing refugee claims. While the principal applicant was a member of the
Peruvian Navy, the Navy was called to quell a riot at a prison. The Peruvian
Navy’s actions in quelling the riot were held to be crimes against humanity by
the Inter-American Court of Human Rights.
[94]
The
Court in Rueda above, overturned the Board’s decision excluding the principal
applicant on the basis that the Board over-generalized without determining if
the Peruvian Navy, as an entity, was purposely responsible for crimes against
humanity. Specifically, the Court found that the Board made the following
errors (at paragraph 48). The Board did not assess: the conduct of the
leadership in command of the Navy; whether general naval orders directed or
facilitated the commission of atrocities by navy units; whether officers in the
navy chain of command passed on instructions that contributed to the commission
of crimes against humanity; and the degree of knowledge seamen and officers had
of atrocities committed by the Navy.
[95]
The
Court in Rueda above, also noted that the Board recited a wide sweep of
government forces in which the Navy was only mentioned four times (at paragraph
46). The corresponding documents in which the Navy was mentioned specified that
political-military commands in charge of local administration were largely
responsible for committing the atrocities and that the Navy’s involvement in
human rights violations decreased after the prison incident (at paragraphs 49
and 50). For these collective reasons, the Court held that the Board’s finding
that the Peruvian Navy as a whole had a common purpose of generalized and
systematic commission of crimes against humanity was questionable (at paragraph
52).
[96]
In
this case, the Board did not explicitly address the enumerated errors
identified above in Rueda. However, a review of the documentary evidence
relied on in its decision indicates significant differences from the evidence
relied upon by the Board in Rueda above. The Board in this case cited
numerous excerpts from documentary country evidence in support of its finding.
Of these examples, a few referred broadly to the Sri Lankan government forces,
while the large majority explicitly mentioned the Navy acting alone or in
conjunction with other government security forces. With regards to the Navy,
atrocities were documented in various locations across the country and in the
surrounding waters. Units were seldom mentioned due to the recognized difficulty
in identifying specific ones. This was further complicated by the Navy’s
expanded involvement into land-fighting roles. Collectively, I find this
evidence, which is compelling and comes from credible sources such as the
United Nations and the Asian Human Rights Commission, provides an objective
basis for the Board’s finding (see Mugesera above, at paragraph 114).
[97]
The
applicants also rely on Ardila above, in submitting that this Court has
found that large military branches in democratic countries cannot be entirely
responsible for human rights abuses. However, the facts of Ardila above,
are also distinguishable from this case. In Ardila above, the applicant
had spent eight of his twelve years in the army either riding horses or as a
student. Although some members of the army had committed notorious crimes
against humanity, these were largely isolated incidents and were not
representative of the general conduct by the army (at paragraph 10). It was
therefore reasonable for the Court in Ardila above, to find that not
every member of the army was complicit in crimes against humanity (at paragraph
12).
[98]
Again,
the facts in this case differ from those in Ardila above. In this case,
the principal applicant held a much more senior position in the Navy and the
documentary evidence suggested systemic crimes against humanity by the Navy and
security forces for several decades as opposed to singular isolated incidents.
I therefore do not find that the reasoning in Ardila above, relied upon
by the applicants is applicable to the Board’s decision in this case.
[99]
Finally,
the applicants also submit that the evidence the Board relied on showed that
specific units, rather than the Navy as a whole, committed the human rights
abuses. However, the applicants do not specify which evidence they are
referring to in support of this submission and I do not agree with this
characterization of the evidence cited by the Board.
[100] For these reasons, I do
not find that the Board came to an unreasonable conclusion in characterizing
the Navy as a whole as having committed the crimes against humanity during the
time that the principal applicant was an officer.
[101] On the second alleged
error, the applicants submit that the Board simply enumerated acts it
considered to be war crimes or crimes against humanity without specifying
reasons why. Rather, the Board should have identified crimes using proper legal
principles and then proceeded to determine whether these crimes amounted to
crimes against humanity.
[102] The importance of
clearly specifying the crimes against humanity was highlighted in Sivakumar
above. Mr. Justice Linden explained (at paragraph 33):
Given
the seriousness of the possible consequences of the denial of the appellant's
claim on the basis of section F(a) of Article 1 of the Convention to the
appellant and the relatively low standard of proof required of the Minister, it
is crucial that the Refugee Division set out in its reasons those crimes
against humanity for which there are serious reasons to consider that a
claimant has committed them.
[103] The Supreme Court has
explained that the criminal act of a crime against humanity consists of the
following essential elements (see Mugesera above, at paragraph 128):
1. One of the enumerated
proscribed acts is committed;
2. The act occurs as part of
a widespread or systematic attack; and
3. The attack is directed
against any civilian population or any identifiable group.
[104] Crimes against humanity
are defined in Article 7 of the Rome Statute and this definition has been
incorporated into Canadian legislation. Under subsection 4(3) of the Crimes
Against Humanity and War Crimes Act, SC 2000, c 24, crimes against humanity
are defined as:
murder,
extermination, enslavement, deportation, imprisonment, torture, sexual
violence, persecution or any other inhumane act or omission that is committed
against any civilian population or any identifiable group and that, at the time
and in the place of its commission, constitutes a crime against humanity
according to customary international law or conventional international law or
by virtue of its being criminal according to the general principles of law
recognized by the community of nations, whether or not it constitutes a
contravention of the law in force at the time and in the place of its
commission.
[105] Several of the Navy and
Sri Lankan security forces’ acts described in the documentary evidence, as
referred to by the Board, fall within the scope of this definition.
[106] The Supreme Court has
explained the meaning of “widespread or systematic attack” in the following
manner (see Mugesera above):
[…]
in most instances, an attack will involve the commission of acts of violence […]
(at paragraph 153)
[…]
It [a widespread attack] may consist of a number of acts or of one act of great
magnitude […] (at paragraph 154)
A
systematic attack is one that is "thoroughly organised and follow[s] a
regular pattern on the basis of a common policy involving substantial public or
private resources" and is "carried out pursuant to a [...] policy or
plan", although the policy need not be an official state policy and the
number of victims affected is not determinative […] (at paragraph 155)
[…]
The widespread or systematic nature of the attack will ultimately be determined
by examining the means, methods, resources and results of the attack upon a
civilian population […] (at paragraph 156)
[107] The extensive sources of
evidence and the reporting contained therein, including references to tens of
thousands of disappearances and the institutionalization of torture, supports a
finding that the Navy and security forces’ acts were part of a widespread or
systematic attack in Sri Lanka.
[108] Finally, the evidence
indicates that the violence was disproportionately directed against the Tamil
minority population. As stated by the Supreme Court, a prototypical example of
a “civilian population” would be a particular national, ethnic or religious
group (see Mugesera above, at paragraph 162). The Tamil population in Sri Lanka clearly falls within
this description.
[109] In summary, although the
Board did not explicitly undertake the analysis of the crimes, the information
contained in the excerpts of the documentary evidence that it included in its
decision adequately establishes the essential elements of crimes against
humanity. I do not find the Board’s failure to explicitly undertake this
analysis is sufficient to render its decision unreasonable.
[110] On the third alleged
error, the applicants submit that the Board failed to adequately link the
principal applicant to the specific units of the Navy that had committed crimes
against humanity and to which the principal applicant had a shared common
purpose.
[111] The applicants submit
that the principal applicant’s role in the Navy was not related to the planning
or commission of the crimes, but rather pertained to technical, teaching and
administrative duties. However, the Board found that the principal applicant’s
participation in strategy meetings for improving equipment performance was
relevant to him being involved in the crimes against humanity. This position is
supported by the Supreme Court’s finding in Mugesera above, at paragraph
174:
It
is important to stress that the person committing the act need only be
cognizant of the link between his or her act and the attack. The person need
not intend that the act be directed against the targeted population, and motive
is irrelevant once knowledge of the attack has been established together with
knowledge that the act forms a part of the attack or with recklessness in this
regard. […]
[112] The Supreme Court also
explained that in assessing whether an applicant possessed the requisite
knowledge, the following may be considered: the applicant’s position in a
military or other government hierarchy, public knowledge about the existence of
the attack, the scale of the violence and the general historical and political
environment in which the acts occurred. The applicant does not need to know the
specific details of the attack to possess the requisite knowledge (see Mugesera
above, at paragraph 175).
[113] Further, it is
established jurisprudence that what makes an individual an accomplice to the
acts committed by that organization, is “the fact of knowingly contributing to
these activities in any manner whatsoever” (see Ezokola above, at
paragraph 55, [emphasis added]). Stated another way, “it is not working within
an organization that makes someone an accomplice to the organization's
activities, but knowingly contributing to those activities in any way or making
them possible, whether from within or from outside the organization” (see Bazargan
v Canada (Minister of Employment and Immigration), 67 ACWS (3d) 132, [1996]
FCJ No 1209 at paragraph 11).
[114] It is also notable that
in Ezokola above, the Federal Court of Appeal recently answered the
following certified question affirmatively (at paragraphs 44 and 72):
For
the purposes of exclusion pursuant to paragraph 1F(a) of the United Nations
Refugee Convention, can complicity by association in crimes against humanity be
established by the fact that the refugee claimant was a senior public servant
in a government that committed such crimes, along with the fact that the
refugee claimant was aware of these crimes and remained in his position without
denouncing them?
[115] In this case, the
principal applicant testified that he was aware of the atrocities committed by
the Navy. At the January 2010 hearing he testified that:
…
we do not really get involved with any conflict but we support with all of our
technical support to those people who are going to the front.
[116] The principal
applicant’s work on equipment performance and technical matters, coupled with
his senior position, his involvement in strategy meetings and his knowledge of
the history of violence in Sri Lanka, renders the Board’s finding that he was cognizant of the
link between his acts and the crimes committed by the Navy reasonable.
[117] Finally, on the fourth
alleged error, the applicants submit that the Board erred in finding that the
principal applicant had fabricated his efforts to leave the Navy between 2007
and 2009 on the basis of lacking corroborative documentation. This issue arises
from the final factor for assessing an individual’s complicity in crimes
against humanity; namely, the principal applicant’s opportunity to leave the
Navy. It is notable that the other five factors all pointed to the principal
applicant being complicit; particularly the fact that he joined the Navy
voluntarily, held a senior position, had long been aware of the Navy’s
atrocities and had been in the Navy for over two decades.
[118] In its decision, the
Board acknowledged the principal applicant’s testimony that he first attempted
to leave the Navy in 2001 and had actively pursued retirement from 2007 to
2009. However, on review of the principal applicant’s naval employment
documents, the Board found no evidence of these efforts to leave the Navy. The
Board therefore found that the principal applicant had not established
persuasively that he had attempted to leave the Navy, but rather that he had
fabricated this story to support his refugee claim. The applicants submit that
the Board erred by rejecting evidence or impugning credibility solely for
reason of lacking corroborating evidence.
[119] In support, the
applicants refer to Ahortor v Canada (Minister of Employment and
Immigration), 65 FTR 137, [1993] FCJ No 705, in which the Court found that
the Board could not relate a failure to offer documentation of an arrest to the
applicant’s credibility in the absence of evidence that contradicted the
allegations (at paragraph 45). The Court found that there was in fact evidence,
both from the applicant’s oral testimony and documentary evidence, to explain
the non-availability of arrest reports (at paragraph 46). There was no basis
for the Board to disbelieve the applicant (at paragraph 48).
[120] Conversely, in this
case, the Board reviewed the principal applicant’s naval employment records and
found no indication that the principal applicant had attempted to leave the
Navy. In light of the Board’s findings on the other complicity factors, the
absence of evidence to support the principal applicant’s claims, the principal
applicant’s recent promotion to Commodore in 2008 (during the time that he was
allegedly actively seeking to retire) and the lack of information on attempted
departures from the Navy in the principal applicant’s employment records, I
find that there was sufficient basis for the Board to doubt the principal
applicant’s credibility regarding his intention to leave. This accords with the
established jurisprudence that an applicant’s testimony will be presumed true
unless there is a reason to doubt it (see Tellez Picon v Canada (Minister of
Citizenship and Immigration), 2010 FC 129, [2010] FCJ No156 at paragraph 9).
[121] Finally, it is notable
that the Board did not limit its analysis to the principal applicant’s alleged
attempts to leave the Navy, but also conducted a thorough analysis of potential
hardships that the principal applicant could have faced in so doing. I find no
error in this respect.
[122] In summary, I do not
find that the Board’s decision on exclusion is unreasonable. Rather, the
Board’s conclusion is transparent, justifiable and intelligible and within the
range of acceptable outcomes based on the evidence before it.
[123] Issue 3
Did the Board err in denying the
applicants’ refugee claims?
In assessing the applicants’ refugee
claims under section 96 and subsection 97(1) of the Act, the Board identified
three determinative issues: credibility; subjective fear; and whether the
applicant’s fear of persecution was objectively well-founded. The applicants
submit that the Board made the following errors in its analysis:
Made negative inferences on the
applicants’ risk from paramilitary groups on the basis of lacking corroborating
evidence;
Found that the
paramilitary-political parties posed a generalized risk as opposed to a
systemic, racial targeting attack on Tamils; and
Found that extortion per se
cannot be persecution.
[124] The first alleged error
pertains to the Board’s negative inferences on the lack of an affidavit from
the principal applicant’s friend confirming that he had informed him of the
risk that the applicants faced from paramilitary groups. In support, the Board
referred to the principal applicant’s employment record as evidence that he was
not a suspect. The applicants submit that the Board unreasonably impugned
credibility based on the lack of corroborating evidence and made unreasonable
inferences based on the principal applicant’s employment record.
[125] In support, the
applicants refer to De Urbina v Canada (Minister of Citizenship and Immigration), 2004 FC 494, [2004]
FCJ No 650. In that case, this Court found that the panel had failed to conduct
further analysis after finding that the applicant’s father’s explanation was
conjecture (at paragraph 16). The Court explained that “[a]n assessment of the
plausibility of testimony requires that the testimony be tested against known
or undisputed facts” (at paragraph 17).
[126] Conversely, in this
case, the Board noted the lack of an affidavit and the applicants’
responsibility to submit one. However, the Board’s analysis did not end there.
As acknowledged by the applicants, the Board noted the principal applicant’s
successful career, coupled with a lack of punishment for any disobedience.
Further, the Board noted that the applicants had remained in Sri Lanka after his phone call
with his friend, without being targeted by the government or paramilitaries. In
addition, since arriving in Canada, the principal applicant had discovered that he was not on
any government or paramilitary “wanted list”. This type of search for confirmatory
evidence where a decision-maker has concerns about the reliability of a
witness’ testimony has been approvingly described as “a matter of common sense”
(see Ortiz Juarez v Canada (Minister of Citizenship and Immigration), 2006 FC 288, [2006]
FCJ No 365 at paragraph 7).
[127] Without further evidence
before it, I find that it was reasonable for the Board to conclude that the
creation of a false report against him was purely speculation. As recognized by
this Court in De Urbina above, “findings of implausibility should not be
set aside lightly, and that great deference is owed to credibility findings
made by the Refugee Protection Division” (at paragraph 21). Based on the
evidence before the Board and its thorough assessment of that evidence, I do
not find that the Board’s findings of implausibility are unreasonable.
[128] Secondly, the applicants
submit that the Board erred in finding that the paramilitary-political parties
posed a generalized risk as opposed to a systemic, racial targeting attack on
Tamils. A systemic targeting of Tamils would provide a nexus to the Convention
refugee definition.
[129] The applicants submit
that the Board erred in finding that the leaders of the paramilitary-political
parties had not sanctioned the human right abuses committed by their
organizations. The Board also allegedly erred in finding that specific members
could not pose a risk if their organizations did not pose a risk. The
applicants submit that there was evidence showing that individual members were
acting under the name of their organizations.
[130] On review of the
documentary evidence cited by the Board, I do not agree with the applicants’
submissions. In its decision, the Board noted that conditions giving rise to
the applicants’ refugee claim did not arise until July 2009 when the principal
applicant’s wife was temporarily abducted for ransom. The Board cited recent
documentary evidence indicating previous targeting of Tamil businessmen by
government-supported paramilitaries. However, as the government refused to pay
these groups, the state of affairs had evolved into “increasing lawlessness and
insecurity for all minority businessmen” (see paragraph 110 of the Board’s
decision).
[131] Further, the evidence
indicated that some individual members of the Karuna group extorted money from
civilians, but there was no persuasive evidence that these acts were done under
the authority and power of the leaders of the organizations. The importance of
this observation is that if violence against Tamils was found to be promoted by
the leaders of the organization, it could be indicative of a nexus with a
Convention refugee ground. Conversely, if individual members are committing
criminal acts against the population at large, no such nexus exists (see Prophète
v Canada (Minister of
Citizenship and Immigration), 2008 FC 331, [2008] FCJ No 415 at paragraph
23; affirmed in 2009 FCA 31, [2009] FCJ No 143).
[132] The Board found that the
documentary evidence as a whole suggested that criminal activities were
occurring against civilians across the country. The extortion of the principal
applicant was therefore found to be related to the perception that he was a
wealthy individual. As the fear of extortion pertained to a group involved in
criminal activities, the Board found that this fear did not amount to a nexus
with any Convention refugee grounds. On review of the Board’s reasoning and the
available documentary evidence, I do not find that the Board erred in its
finding on this issue.
[133] Finally, the applicants
submit that the Board erred in finding that extortion per se cannot be
persecution. However, the Board did not explicitly state that extortion per
se could not be persecution, but rather that the extortion faced by the
applicants did not amount to persecution because they were targeted due to
their wealth. As I stated in Carias v Canada (Minister of
Citizenship and Immigration), 2007 FC 602, [2007] FCJ No 817, wealth does
not constitute personalized risk; it is a generalized risk (at paragraph 27).
Further, contrary to the applicants’ submissions, the Board did consider that the
reason for extortion was to obtain money and that the applicants’ motivation
for paying it was to avoid being kidnapped.
[134] In summary, I find that
the Board’s decision on the issue of inclusion was also reasonable. As with its
finding on the exclusion issue, the Board’s conclusion on inclusion was
transparent, justifiable and intelligible and within the range of acceptable
outcomes based on the evidence before it. I would therefore dismiss this
judicial review application.
[135] The respondent proposed
the following question for certification as a serious question of general
importance:
For
the purposes of exclusion pursuant to paragraph 1F(A) [sic]of the Refugee
Convention, does the “personal and knowing participation” test for liability
for complicity with respect to crimes against humanity still apply to soldiers
and officers in the military chain of command, including high ranking or senior
officers, who otherwise may not be liable as commanders?
[136] The applicants agreed. I
am not prepared to certify this question as it would not be determinative of
the appeal. In addition, the Federal Court of Appeal has also ruled on the
matter.
JUDGMENT
THIS COURT’S
JUDGMENT is that the application for judicial
review is dismissed.
“John
A. O’Keefe”
ANNEX
Relevant
Statutory Provisions
Immigration
and Refugee Protection Act,
SC 2001, c 27
72. (1) Judicial
review by the Federal Court with respect to any matter — a decision,
determination or order made, a measure taken or a question raised — under
this Act is commenced by making an application for leave to the Court.
. . .
96. A
Convention refugee is a person who, by reason of a well-founded fear of
persecution for reasons of race, religion, nationality, membership in a
particular social group or political opinion,
(a) is
outside each of their countries of nationality and is unable or, by reason of
that fear, unwilling to avail themself of the protection of each of those
countries; or
(b) not
having a country of nationality, is outside the country of their former
habitual residence and is unable or, by reason of that fear, unwilling to
return to that country.
97. (1) A
person in need of protection is a person in Canada
whose removal to their country or countries of nationality or, if they do not
have a country of nationality, their country of former habitual residence,
would subject them personally
(a) to a
danger, believed on substantial grounds to exist, of torture within the
meaning of Article 1 of the Convention Against Torture; or
(b) to a
risk to their life or to a risk of cruel and unusual treatment or punishment
if
(i) the
person is unable or, because of that risk, unwilling to avail themself of the
protection of that country,
(ii) the
risk would be faced by the person in every part of that country and is not
faced generally by other individuals in or from that country,
(iii) the
risk is not inherent or incidental to lawful sanctions, unless imposed in
disregard of accepted international standards, and
(iv) the
risk is not caused by the inability of that country to provide adequate
health or medical care.
98. A
person referred to in section E or F of Article 1 of the Refugee Convention
is not a Convention refugee or a person in need of protection.
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72. (1) Le
contrôle judiciaire par la Cour fédérale de toute mesure — décision,
ordonnance, question ou affaire — prise dans le cadre de la présente loi est
subordonné au dépôt d’une demande d’autorisation.
. . .
96. A
qualité de réfugié au sens de la Convention — le réfugié — la personne qui,
craignant avec raison d’être persécutée du fait de sa race, de sa religion,
de sa nationalité, de son appartenance à un groupe social ou de ses opinions
politiques :
a) soit
se trouve hors de tout pays dont elle a la nationalité et ne peut ou, du fait
de cette crainte, ne veut se réclamer de la protection de chacun de ces pays;
b) soit,
si elle n’a pas de nationalité et se trouve hors du pays dans lequel elle
avait sa résidence habituelle, ne peut ni, du fait de cette crainte, ne veut y
retourner.
97. (1) A
qualité de personne à protéger la personne qui se trouve au Canada et serait
personnellement, par son renvoi vers tout pays dont elle a la nationalité ou,
si elle n’a pas de nationalité, dans lequel elle avait sa résidence habituelle,
exposée :
a) soit
au risque, s’il y a des motifs sérieux de le croire, d’être soumise à la
torture au sens de l’article premier de la Convention contre la torture;
b) soit
à une menace à sa vie ou au risque de traitements ou peines cruels et
inusités dans le cas suivant :
(i) elle
ne peut ou, de ce fait, ne veut se réclamer de la protection de ce pays,
(ii) elle
y est exposée en tout lieu de ce pays alors que d’autres personnes
originaires de ce pays ou qui s’y trouvent ne le sont généralement pas,
(iii) la
menace ou le risque ne résulte pas de sanctions légitimes — sauf celles
infligées au mépris des normes internationales — et inhérents à celles-ci ou
occasionnés par elles,
(iv) la
menace ou le risque ne résulte pas de l’incapacité du pays de fournir des
soins médicaux ou de santé adéquats.
98. La
personne visée aux sections E ou F de l’article premier de la Convention sur
les réfugiés ne peut avoir la qualité de réfugié ni de personne à protéger.
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United
Nations Convention relating to the Status of Refugees, July 28, 1951, [1969] Can TS No 6
Article 1. -
Definition of the term "refugee"
. . .
F. The
provisions of this Convention shall not apply to any person with respect to
whom there are serious reasons for considering that:
(a) He
has committed a crime against peace, a war crime, or a crime against
humanity, as defined in the international instruments drawn up to make
provision in respect of such crimes;
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Article
premier. -- Définition du terme "réfugié"
…
F. Les
dispositions de cette Convention ne seront pas applicables aux personnes dont
on aura des raisons sérieuses de penser :
a ) Qu'elles
ont commis un crime contre la paix, un crime de guerre ou un rime contre
l'humanité, au sens des instruments internationaux élaborés pour prévoir des
dispositions relatives à ces crimes;
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Rome Statute of the International Criminal
Court, A/CONF183/9, 17
July 1998
3.
In accordance with this Statute, a person shall be criminally responsible and
liable for punishment for a crime within the jurisdiction of the Court if
that person:
(a)
Commits such a crime, whether as an individual, jointly with another or
through another person, regardless of whether that other person is criminally
responsible;
(b)
Orders, solicits or induces the commission of such a crime which in fact
occurs or is attempted;
(c)
For the purpose of facilitating the commission of such a crime, aids, abets
or otherwise assists in its commission or its attempted commission, including
providing the means for its commission;
(d)
In any other way contributes to the commission or attempted commission of
such a crime by a group of persons acting with a common purpose. Such
contribution shall be intentional and shall either:
(i)
Be made with the aim of furthering the criminal activity or criminal purpose
of the group, where such activity or purpose involves the commission of a
crime within the jurisdiction of the Court; or
(ii)
Be made in the knowledge of the intention of the group to commit the crime;
(e)
In respect of the crime of genocide, directly and publicly incites others to
commit genocide;
(f)
Attempts to commit such a crime by taking action that commences its execution
by means of a substantial step, but the crime does not occur because of
circumstances independent of the person's intentions. However, a person who
abandons the effort to commit the crime or otherwise prevents the completion
of the crime shall not be liable for punishment under this Statute for the
attempt to commit that crime if that person completely and voluntarily gave
up the criminal purpose.
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3. Aux termes
du présent Statut, une personne est pénalement responsable et peut être punie
pour un crime relevant de la compétence de la Cour si :
a)
Elle commet un tel crime, que ce soit individuellement, conjointement avec
une autre personne ou par l’intermédiaire d’une autre personne, que cette
autre personne soit ou non pénalement responsable ;
b) Elle
ordonne, sollicite ou encourage la commission d’un tel crime, dès lors qu’il
y a commission ou tentative de commission de ce crime ;
c) En vue de
faciliter la commission d’un tel crime, elle apporte son aide, son concours
ou toute autre forme d’assistance à la commission ou à la tentative de
commission de ce crime, y compris en fournissant les moyens de cette
commission ;
d) Elle
contribue de toute autre manière à la commission ou à la tentative de
commission d’un tel crime par un groupe de personnes agissant de concert.
Cette contribution doit être intentionnelle et, selon le cas :
i) Viser à
faciliter l’activité criminelle ou le dessein criminel du groupe, si cette
activité ou ce dessein comporte l’exécution d’un crime relevant de la
compétence de la Cour ; ou
ii)
Être faite en pleine connaissance de l’intention du groupe de commettre ce
crime ;
e) S’agissant
du crime de génocide, elle incite directement et publiquement autrui à le
commettre ;
f)
Elle tente de commettre un tel crime par des actes qui, par leur caractère
substantiel, constituent un commencement d’exécution mais sans que le crime
soit accompli en raison de circonstances indépendantes de sa volonté. Toutefois, la personne qui abandonne
l’effort tendant à commettre le crime ou en empêche de quelque autre façon
l’achèvement ne peut être punie en vertu du présent Statut pour sa tentative
si elle a complètement et volontairement renoncé au dessein criminel.
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Charter of
the International Military Tribunal,
8 August 1945
Article 6.
. . .
The following
acts, or any of them, are crimes coming within the jurisdiction of the
Tribunal for which there
shall be individual responsibility:
(a) ' Crimes against peace: ' namely, planning, preparation, initiation or
waging of a war of aggression, or a war in violation of international
treaties, agreements or assurances, or participation in a common plan or
conspiracy for the accomplishment of any of the foregoing;
(c) ' Crimes
against humanity.- ' namely, murder, extermination, enslavement, deportation,
and other inhumane acts committed against any civilian population, before or
during the war, or persecutions on political, racial or religious grounds in
execution of or in connection with any crime within the jurisdiction of the
Tribunal, whether or not in violation of the domestic law of the country
where perpetrated.
Leaders, organizers, instigators and accomplices participating in the
formulation or execution of a common plan or conspiracy to commit any of the
foregoing crimes are responsible for all acts performed by any persons in
execution of such plan.
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Article 6.
. .
.
Les
actes suivants, ou l'un quelconque d'entre eux, sont des crimes soumis à la
juridiction du Tribunal et entraînent une responsabilité individuelle :
(a) ' Les Crimes contre la Paix ': c'est-à-dire la direction, la préparation,
le déclenchement ou la poursuite d'une guerre d'agression, ou d'une guerre en
violation des traités, assurances ou accords internationaux, ou la
participation à un plan concerté ou à un complot pour l'accomplissement de
l'un quelconque des actes qui précèdent;
(c) ' Les Crimes contre l'Humanité ': c'est-à-dire l'assassinat,
l'extermination, la réduction en esclavage, la déportation, et tout autre
acte inhumain commis contre toutes populations civiles, avant ou pendant la
guerre, ou bien les persécutions pour des motifs politiques, raciaux ou
religieux, lorsque ces actes ou persécutions, qu'ils aient constitué ou non
une violation du droit interne du pays où ils ont été perpétrés, ont été
commis à la suite de tout crime rentrant dans la compétence du Tribunal, ou
en liaison avec ce crime.
Les dirigeants,
organisateurs, provocateurs ou complices qui ont pris part à l'élaboration ou
à l'exécution d'un plan concerté ou d'un complot pour commettre l'un
quelconque des crimes ci-dessus définis sont responsables de tous les actes
accomplis par toutes personnes en exécution de ce plan.
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