Date: 20090626
Docket: IMM-4884-08
Citation: 2009 FC 673
Ottawa, Ontario, June 26, 2009
PRESENT: The Honourable Mr. Justice Shore
BETWEEN:
DAVID YOUNG SOP JUNUSMIN
ANGELICA SARI DEWI
PRETTY LADY
YOUNG JUNUSMIN
Applicants
and
THE
MINISTER OF CITIZENSHIP AND IMMIGRATION
Respondent
REASONS FOR JUDGMENT AND JUDGMENT
I.
INTRODUCTION
[1]
An uncontradicted narrative in evidence is the primary
source of understanding the human condition in the context of any judicial
analysis. The recognition and acknowledgement of the details of an individual
or individuals’ background, especially in an immigration or refugee case, are
essential. The circumstances, situations and events within a narrative must not
be overlooked, otherwise, a travesty to justice could be the consequence. For
jurisprudence to be valid, the narrative must be the prime source from which
legal analysis begins and ends, or else, it is a theoretical, abstract exercise
divorced from reality. Each individual before the law must be acknowledged for
his or her narrative, otherwise, the very integrity of a legal system is in
jeopardy.
[2]
In this vein, it is necessary to demonstrate a
grasp of the country conditions to ensure that the setting is acknowledged;
without a setting, a narrative cannot be understood in context.
[3]
In the present case, neither the narrative nor
the country conditions were adequately, albeit briefly, demonstrated for an
understanding of the Applicants’ situation.
[4]
Moreover, according
to the uncontradicted narrative, the Applicants had to pay bribes in order not
to be persecuted. If that is not persecution, what is? Despite money being
paid, incidents arose demonstrating that no matter how much money was paid,
these payments did not guarantee the Applicants’ safety. If an individual has
to pay for his or her own safety in order to ward off persecution, that, in and
of itself, is persecution. The Applicants should not have to pay a bribe in
order to survive.
II.
JUDICIAL PROCEDURE
[5]
This is an application for judicial review of a
decision of the Refugee Protection Division of the Immigration and Refugee
Protection Board (“the Board”) dated September 22, 2008 (“the Decision”), which
concluded that the Applicants were not Convention refugees within the meaning
of section 96 of the Immigration
and Refugee Protection Act, S.C. 2001, c. 27 (“the Act”) or persons in
need of protection under section 97 of the Act.
III.
THE
IMPUGNED DECISION
[6]
In the
Decision, the Board member quoted one paragraph from the Applicants’ own
summary of their claim. The remainder of the Board member’s Decision is
reproduced below:
“[8] The panel heard the
testimony of the claimants and examined all the evidence.
[9] Accordingly, the
panel declared that it was satisfied as to the claimants’ identities.
[10] As for the merits of
the case:
[11] The claimants stated
that they feared for their lives in their country of origin since the 1998
riots.
[12] These riots were not
directed as such against the Chinese community or certain religious communities
but were an event of a general nature.
[13] Moreover, the
claimants left their country in 1998 and did not claim refugee protection. They
explained that they did not claim for protection in the Netherlands because they were reputedly
told that they did not have to claim refugee protection as soon as they arrived
in that country.
[14] Accordingly, they
were unable to justify why they did not claim refugee protection as soon as
they arrived in Canada.
[15] Moreover, between
1998 and their departure in 2006, there was only one incident with regard to
them, in April 2006.
[16] This was an isolated
incident and nothing leads the panel to believe that it was an instance of
racism or religious persecution against the claimants.
[17] Even if that had
been the case, one isolated incident since 1998 would not be sufficient to lead
the panel to conclude that the claimants had been subjected to persecution
under the terms of sections 96 and 97 of the Act.
[18] Finally, nothing in
the documentary evidence leads the panel to conclude that there is religious
persecution of the Chinese in Indonesia, under the terms of sections
96 and 97 of the Act.
[19] To the contrary, the
2004 Country Report contains the following passage:
“(…) Instances of discrimination and
harassment of ethnic Chinese Indonesians declined compared with previous years.
(…)
[Reproduced verbatim]
[20] Accordingly and in
keeping with the above analysis, the panel has no other alternative than to
dismiss the refugee protection claims.”
[7]
A Board
member’s decision may be brief; however, it must also be accurate to reflect
the narrative and the evidence. It is to be noted that Board members may not
have time for long decisions; understandably, but decisions, even if brief,
must demonstrate that parties have been heard and that their narratives have
been analyzed. A Board member’s decision that does not show an examination of
either a narrative or an analysis according to country conditions is not
adequately motivated.
[8]
In the
following summary of the narrative as reflected in the record, in simply three
and a half pages, this Court has, at least, given voice to a narrative that all
but disappeared in its most salient points when recounted by the Board member.
IV.
BACKGROUND
[9]
As no
questions were raised by the Board member concerning the credibility of the Applicants,
the following facts emerge from this specific case.
[10]
The
principal applicant, Mr. David Young Sop Junusmin, his spouse, Ms. Angelica
Sari Dewi, and their minor child, Pretty Lady Young Junusmin (“the Applicants”)
are citizens of Indonesia. Born into a Chinese Buddhist
family in 1963, Mr. Junusmin’s parents and most of his siblings changed their
Chinese sounding names to Indonesian names in 1966 due to the Indonesian
government’s policy of integration at the time. Mr. Junusmin comes from a
family of acupuncturists, and is himself a practicing acupuncturist. He had
operated an acupuncture clinic in Jakarta
since 1996.
[11]
Mr.
Junusmin has been a practicing Christian since he became interested in Christianity
when he was 17 years old. The existence of duly authentic documents is needed
to ensure the veracity of the identity of applicants. In this case, the
identity of the Applicants as practicing Chinese Christians was not contested
by the Board member. The authentic documents in the certified record
of the Board
show that Mr. Junusmin and his family are Chinese Christians. They claim to
have all suffered persecution and discrimination throughout their lives in Indonesia based on their Christian
religion and Chinese ethnicity.
[12]
While both
Mr. Junusmin and Ms. Dewi claim to have suffered discrimination all through
their lives, it was not until 1998 that they claim they began suffering
persecution. During the riots that occurred in Indonesia in 1998, Mr. Junusmin was assaulted while
on his way to his clinic. His arms and fingers were slashed in a knife attack
by a mob, he was knocked unconscious, and robbed. Since it was unsafe for
ethnic Chinese to travel in the streets, Mr. Junusmin’s brother-in-law had to
bribe a policeman to help escort Mr. Junusmin home from the hospital. Mr.
Junusmin’s clinic was looted and like many Chinese merchants whose businesses
had been targeted, Mr. Junusmin and his mother both kept their acupuncture businesses
closed for several months as a precaution.
[13]
Both Mr.
Junumin’s clinic and that of his mother had been targeted for extortion of
money in exchange for protection even before the 1998 riots; and, after he had
re-opened his clinic, he was approached again in 2000 by a second group,
wherein he was again insulted regarding his Chinese ethnicity, and continued to
be forced to pay protection money, not only to the first group but also to the
second group, in order to avoid harassment and being killed.
[14]
In 2005,
Mr. Junusmin married his current spouse. Like him, she has two children from
her previous marriage. Together, they have a daughter, Pretty Lady, who has
accompanied them to Canada.
[15]
Mr.
Junusmin’s spouse, Ms. Dewi, also experienced discrimination throughout her
life. During the 1998 riots, her female Chinese neighbour was raped. Indeed, during
these riots, because of her recognizable Chinese ethnicity, she had to hide in
the trunk of a colleague’s car to avoid being seen and targeted. She also had
to flee her home when a mob threatened to attack the compound where she lived.
She stayed away from work for three weeks after these incidents.
[16]
After a
series of church bombings in December 2000, she did not attend church until
February or March 2001.
[17]
In 2004,
further derogatory comments were made in regard to her Chinese ethnicity when
she was robbed at knifepoint.
[18]
She
applied and received a visa to enter the U.S.A. in 2004; however, Mr.
Junusmin’s application to the U.S.A. was denied. The couple
traveled to Malaysia and Singapore in April 2004 for a period of two weeks because
Mr. Junusmin was told by an agent that passports without stamps of visits to
other countries would reduce their chances of obtaining a visa. The couple
managed to obtain tourist visas to the Netherlands, where they spent a month in late 2004. They
had the intention to flee to the Netherlands
to claim asylum, but were told at a government office that they could not ask
for asylum because they had not done so upon their arrival at the airport.
Having no choice, they returned to Indonesia.
[19]
In April
2006, the Applicants were, again, assaulted and robbed at knifepoint and were
threatened with harm if they made a police report. The Applicants were also
made to realize by the police that the latter would only make a report subsequent
to the payment of a bribe. The police told Ms. Dewi that due to the Applicants’
Chinese origins, they should be mindful of their background; thus, insinuating
both a warning and a threat.
[20]
The
Applicants again applied for a visa to the U.S.A. While Ms. Dewi was granted a visa, Mr.
Junusmin was again denied. They were, however, granted tourist visas for Canada. Mr. Junusmin was the first
in his family to arrive in Canada. On June 13, 2006, he did not
claim refugee protection immediately as he was awaiting his wife and infant daughter,
who were to arrive one month later as a result of a sudden illness to which his
daughter had succumbed prior to travel. Mr. Junusmin’s spouse and daughter
arrived in Canada on July 9, 2006 and the family,
as a whole, claimed refugee protection two days later.
V.
ISSUES
[21]
Three
issues are raised by this application:
1. Did the Board member provide sufficient reasons for his
conclusions?
2. Did the Board
member err in his factual determinations?
3. Did the Board
member err in law, under the circumstances which were uncontradicted, when he
held that one incident of persecution would not be sufficient to establish
persecution under the Act?
VI.
APPLICABLE
LEGISLATION
[22]
Sections
96 and 97 of the Act read as follows:
Convention refugee
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.
|
Définition de « réfugié »
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.
|
Person in need of protection
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.
[…]
|
Personne à protéger
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.
[…]
|
VII.
ANALYSIS
What is the standard of review
of decisions of a Board member?
[23]
The sufficiency of reasoning of a decision by a Board member is a
component of the duty of procedural fairness. As such, the standard of judicial
review applicable to whether a Board member
has given sufficient reasons for its decision is assessed according to the
correctness standard (Canadian Union of Public Employees
(C.U.P.E.) v. Ontario (Minister of Labour), 2003 SCC 29, [2003] 1 S.C.R.
539 at para. 100; Sketchley v. Canada (Attorney General), 2005 FCA 404, [2006]
3 F.C.R. 392 at para. 81; Vila v. Canada (Minister of Citizenship and
Immigration), 2008 FC 627 at para. 9; H.L. v. Canada
(Minister of Citizenship and Immigration), 2009 FC 521,
[2009] F.C.J. No. 645 (QL) (H.L. v. Canada) at para. 15). When
a breach of the duty of fairness is found, the decision should generally be set
aside (Sketchley, above, at para. 54).
[24]
The second question pertains
to possible errors in the Board’s factual determinations. Questions of fact regarding
the Board’s decisions are assessed according to the reasonableness standard (see
Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190
at para. 53).
[25]
Finally, the third question addresses itself to whether the Board erred by holding that one incident
of persecution would not be sufficient to establish persecution under the IRPA. Such a finding is
a question of law that is reviewable on the correctness standard (see Sketchley v. Canada
(Attorney General), above; Dunsmuir v. New Brunswick, above,
at para. 60).
1. Did the Board member provide sufficient reasons for its
conclusions?
Sufficiency of reasons for the
finding that the Applicants lacked an objective fear of persecution
[26]
The duty of procedural fairness requiring that a
Board member comment on documentary evidence in a decision increases with the
relevance of that evidence. In Cepeda-Gutierrez v. Canada
(Minister of Citizenship and Immigration), (1998) 157 F.T.R. 35, 83
A.C.W.S. (3d) 264 (F.C.T.D.) (Cepeda-Gutierrez), Justice John Evans
found that
[17] [T]he
more important the evidence that is not mentioned specifically and analyzed in
the agency’s reasons, the more willing a court may be to infer from the silence
that the agency made an erroneous finding of fact “without regard to the
evidence” […] In other words, the agency’s burden of explanation increases with
the relevance of the evidence in question to the disputed facts. Thus, a
blanket statement that the agency has considered all the evidence will not
suffice when the evidence omitted from any discussion in the reasons appears squarely
to contradict the agency’s finding of fact. Moreover, when the agency refers in
some detail to evidence supporting its finding, but is silent on evidence
pointing to the opposite conclusion, it may be easier to infer that the agency
overlooked the contradictory evidence when making its finding of fact.
[27]
In Maksud v. Canada
(Minister of Citizenship and Immigration), 2005 FC 221, 137 A.C.W.S. (3d)
390, Justice Carolyn Layden-Stevenson found that when the Board does not
disbelieve an applicant, it must at least comment on evidence that was central
to the claim:
[8] It
was certainly open to the board to disbelieve the applicant, but it did not. In
the face of its finding that Mr. Maksud was targeted for political reasons and
in the face of it not having found him to be not credible, in my view, it was
incumbent on the board to refer to and comment on this evidence. The RPD could
have rejected the evidence, but it could not ignore it because it was central
to the claim. If it disbelieved the evidence, it had to say so unequivocally.
The ultimate determination, in the circumstances, must be considered to have
been arrived at without regard to the evidence and is therefore patently
unreasonable.
[28]
Indeed, part of the duty to provide
adequate reasoning includes addressing relevant contradictory
evidence. In Avila v. Canada (Minister of Citizenship
and Immigration), 2006 FC 359, 295 F.T.R. 35, Justice Luc Martineau found
that the Board cannot arbitrarily disregard relevant evidence which supports an
applicant’s arguments.
[29]
In Polgari v. Canada
(Minister of Citizenship and Immigration), 2001 FCT 626, 15 Imm. L.R. (3d)
263, Justice Dolores Hansen found that a finding, open to a decision-maker,
does not set aside the necessity of analyzing evidence which is contrary to the
Board member’s finding on the evidence without written motivation to that
effect:
[32] […] While
it may have been reasonably open to the panel to make the findings it did, the
absence of any analysis of the extensive documentation contained in the
Hungarian Lead Case Information Package and the materials in the RCO disclosure
package or the documents submitted by the applicants coupled with the failure
to adequately address the contradictory documents and explain its preference
for the evidence on which it relied warrants the Court’s intervention.
[30]
This Court has admonished decisions that selectively relied upon
certain evidence while ignoring evidence that supports an applicant’s position,
such as in Orgona v. Canada (Minister of Citizenship and
Immigration), 2001 FCT 346, 14 Imm. L.R. (3d) 273:
[31] In
assessing whether mistreatment of the Roma, and of the applicants, could be
considered persecution, the tribunal found much of the evidence of the
applicants lacked credibility in light of certain documentary evidence. But it
made no reference to the significant documentary evidence which was supportive
of the applicants’ claims. In so doing, it appears to have ignored relevant
evidence. Even though it is not necessary to refer to all of the documentary
evidence before it, when evidence which supports the applicants’ position is
not referred to, and when other documentary evidence is selectively relied
upon, the tribunal, in my opinion, errs in law by ignoring relevant evidence.
[31]
With regard to the Board member’s finding of the
lack of an objective fear of persecution, the Board stated at paragraph
18 of the Decision that “nothing in the documentary evidence leads the panel to
conclude that there is religious persecution or persecution of the ethnic Chinese
in Indonesia, under the terms of sections 96 and 97 of the Act.” The view of
the Board member, reproduced below, is in direct contradiction to the evidence
in regard to the ethnic Chinese in Indonesia who are systematically robbed and
treated violently due to their origins:
Q: Well
we don’t see that in the documentary proof that only Chinese people are robbed
in Indonesia because first of all you represent three percent of the population
and the robbers might not make a lot of money if they do this. What do you have
to say about that?
[…]
A: Why
Chinese are targeted or Chinese origin are targeted by robbery and any
atrocity, because it’s a common knowledge that Chinese have lots of money.
Q: You
see, we have documentary proof that has been deposited either by your counsel
or the Board. And when we read all the documents in question we fail to see
that the Chinese ethnic people in Indonesia are systematically persecuted.
[Transcript,
at pp. 8-9]
Finally, at paragraph 19 of its
decision, the Board member quotes the 2007 U.S. State Department Country
Report on Human Rights Practices (“2007 Country Report”) that “[i]nstances of discrimination and harassment of ethnic Chinese
continued to decline compared with previous years […].”
[32]
It is of course, for the Board member to decide the weight to be
given to each piece of evidence and to select the evidence that it preferred;
however, this must be done according to the whole of the evidence before the
Board member, without citing material out of context. Thus, while it was open
to the Board member to make the findings which he did, in his Decision, the
Board member failed to analyze direct and specific contradictory evidence that
goes to the heart of Mr. Junusmin’s claim. The documentary evidence before the
Board member included the Immigration and Refugee Board’s own National
Documentation Package on Indonesia (version 2 April 2008) and the documents submitted by the Applicants.
Both of these sets of documents, the Board’s very own documentation package, in
and of itself, had evidence of continuing harassment, systemic discrimination,
and violence against Chinese Christians in Indonesia.
[33]
In addition to the Board’s own documentation package, two
affidavits submitted by the Applicants were not mentioned at all in the Board
member’s Decision, although they offered evidence of continuing violence
against Chinese Christians in Indonesia. One affidavit was submitted by Ms. Janet
Hinshaw-Thomas, director of the non-profit refugee organization PRIME –
Ecumenical Commitment to Refugees, which is accredited by the Board of
Immigration Appeals of the US Department of Justice to represent
clients in the U.S. immigration system. In her affidavit, Ms.
Hinshaw-Thomas states clearly that in Indonesia, Chinese Christianss must still
bargain for their safety to life and limb:
[12] It
is my conviction, based on reviewing a large number of declarations, that
despite any well-honed words of certain Indonesian politicians, the average
Indonesian Christian and/or Chinese must constantly negotiate safety in Indonesia
on a daily basis. The only real protection appears to be the kind which
must be bought with money, and there is no concept on the part of the average
Indonesian that Indonesia should be a multi-ethnic state with different
religions represented […].
[Underlined by
the Court]
[34]
Contrary to the Board member’s perception during the hearing, the
affidavit of Ms. Jana Mason of the International Rescue Committee highlights that
the ethnic Chinese have been targeted due to their perceived wealth, precisely
because they are an identifiable ethnic group, outside of the mainstream of
Indonesian society:
[11] Even
ethnic Chinese who are not Christian are presumed to be Christian by much of
the Indonesian population and have subjected to violence for that reason. Ethnic
Chinese have also been targeted because of their status as an ethnic minority
believed by many Indonesians to control the country’s wealth. Ethnic Chinese
have remained fearful since being targeted for violence in the 1998 riots that
preceded the downfall of then-president Suharto. Despite some positive
developments since then – including the repeal of certain anti-Chinese laws –
the potential for violence against this population has not lessened. Ethnic
Chinese are viewed by many Indonesians as perpetual “foreigners.” The fact that
many or most are Christian gives them yet another “strike” against them.
[Underlined by
the Court]
[35]
The Board’s National Documentation Package on
Indonesia
(version 2 April 2008) affirms the evidence
submitted by the Applicants by clearly demonstrating the cyclical nature
of anti-Chinese violence during times of economic crisis wherein ethnic Chinese
are targeted because of their perceived economic wealth. In the documentary
evidence before the Board member was a document by Human Rights Watch entitled,
“Indonesia Alert: Economic Crisis Leads to Scapegoating of Ethnic Chinese”, which
details the history of how “[a]nti-Chinese violence in one form or another
has accompanied virtually every outbreak of social and political unrest during
President Soeharto’s thirty years in power…” (Certified Board Record, at p.
23, underlined by the Court). The Human Rights Watch document also links
anti-Chinese violence to “attacks on churches, adding another explosive element
to the mix, as many Chinese are also Christian.” (Certified Board Record, at p.
23).
[36]
The Board member duly received in evidence, “Patterns of
Collective Violence in Indonesia (1990-2003)”, published by the United Nations
Support Facility for Indonesian Recovery, within which researchers found
that the combination of economic success and political marginalization makes
the visible Chinese minority in Indonesia vulnerable to explosive
violence:
Anderson (1990) notes that the New
Order allowed the Chinese to flourish
economically, but it
politically marginalized them. We know from the larger comparative literature
that such combinations of economic privilege and political marginality make a group
extremely vulnerable: their riches are resented, but they have no political,
legal or institutional protection when resentments against their riches rise
(Chua, 2002). Structural ambivalences of this kind have often been associated
with explosive violence in several parts of the world […]
(Patterns of
Collective Violence in Indonesia (1990-2003), at p. 29)
[37]
Although not binding, but nevertheless
significant to this Court, the Applicants did submit as documentary evidence before
the Board member, the American decision of Sael v. Ashcroft, 386
F.3d 922 (9th Cir. 2004) At page 14537 of that decision, the U.S. Court of
Appeals for the Ninth Circuit found that periods of relative calm have
alternated with periods of anti-Chinese violence:
We recognize
that Indonesia’s ethnic Chinese minority is often described as economically
powerful, but any reasonable factfinder would be compelled to conclude, in
light of the record presented to Judge Hayward and to the BIA, that the
economic success of some ethnic Chinese is used as a convenient, recent
justification for an anti-Chinese sentiment that has remained constant even as
periods of social and political unrest have alternated with periods of relative
calm. That sentiment emerges at times of social upheaval, when ethnic
Chinese are often made the “scapegoats” for Indonesia’s economic
and political problems. […]
[Underlined by
the Court]
[38]
The Board member is presumed to have considered
all the evidence without the need to address every piece of evidence. Nevertheless, the Board member has a duty
to address in his reasons any evidence directly contradicting conclusions on a key aspect of a determination. Given
the applicable law, the Decision before this Court does not provide sufficient
reasons. The documents cited
above by this Court were all before the Board member and show evidence that specifically
and directly contradicted the finding that no objective fear of persecution
for Chinese Christians in Indonesia exists. It was open to the Board member to
make such findings if that would be the case; however, due to the centrality of
the findings to the disposition of the Applicants’ claim, it was incumbent
upon the Board member to address the abundant contradictory evidence in
order to fulfill the duty of giving sufficient or adequate reasons.
[39]
Moreover, the Board member’s quote from the 2007 Country Report only
states that discrimination and harassment of ethnic Chinese Indonesians has
“declined compared with previous years.” Such reasoning is clearly an
insufficient basis for finding that there is no objective fear of persecution.
A “declining” amount of harassment says nothing about the actual amount of
harassment against the ethnic Chinese in Indonesia. How can harassment be said
to have been analyzed in regard to an uncontradicted narrative which is
summarily disregarded before a recognition is made of the evidence as a whole? The
Board member simply picked and chose evidence without regard
to the context whatsoever: The Board member failed to touch upon the essence of
the documentary evidence. In making a determination, it is incumbent on the
Board member to provide adequate reasons. Thus, the combination of a dearth of
analysis and failure to adequately address the evidence in its context warrants
this Court’s intervention.
Sufficiency of reasons for the
finding that the Applicants lacked subjective fear of persecution
[40]
While it may be open for a Board member to hold
that the failure to claim refugee status in a third country or immediately upon
arrival in Canada show a lack of subjective fear, the question is whether the Board
member provided sufficient reasoning to support such a finding.
[41]
A close reading of the Decision shows that the
Board member did not base the finding on the failure to claim refugee status in
the Netherlands: it merely
summarized the Applicant’s position on this point. Rather, the Board member
used the Applicants’ experience in the Netherlands to infer that the Applicants should have known to claim immediately
upon arrival in Canada: “Accordingly, they were unable to justify why they did
not claim refugee protection as soon as they arrived in Canada” (Decision, at para. 14).
[42]
The Respondent cites Mendoza v. Canada
(Minister of Citizenship and Immigration), 2004 FC 687, 131 A.C.W.S. (3d)
323 for the proposition that for reasons to be sufficient, they must be clear,
precise and intelligible so that a claimant may know why his or her claim has
failed. Nevertheless, the Board member’s reasoning is unclear as to why the
Applicants’ knowledge of refugee practice in the Netherlands makes their delay
in making a claim at the Canadian border on arrival unjustifiable.
[43]
Evidence from the hearing as well as from the
Applicants’ affidavits explain why Mr. Junusmin had delayed claiming
protection upon arrival at the Canadian border. As outlined above, he wanted to
claim with his wife and daughter, who arrived in Canada nearly a month later due
to their daughter’s sudden illness. Mr. Junusmin, and his wife and daughter
claimed protection two days after the arrival of the latter two. The Board
member does not indicate any analysis of the explanation of the principal
applicant, Mr. Junusmin.
[44]
Indeed, there is no absolute legal requirement
that refugee claimants must make their claims at the border at the moment of
entry. In Huerta v. Canada (Minister of Employment and Immigration),
(1993) 157 N.R. 225, 40 A.C.W.S. (3d) 487 (F.C.A.), the Federal Court of Appeal
held that a delay in making a refugee protection claim is not a decisive
factor, in and of itself, but may be a relevant factor for a tribunal to
take into account in assessing the statements and actions of a claimant.
2. Did the Board
member err in its factual determinations?
Board
member’s factual determination that the Applicants only experienced one
incident of harassment
[45]
The Board member’s conclusion that between 1998 and 2006 the
Applicants only experienced one incident is not supported by the facts. Both
affidavits of Mr. Junusmin and his wife detail many incidents of direct and
indirect uncontradicted events that together could constituent persecution on
the basis of race and/or religion.
[46]
For instance, the affidavits reveal that Ms. Dewi was called a
racial epithet while robbed at knifepoint in 2004. Ms. Dewi also specified that
her female Chinese neighbour had been raped during the 1998 riots, during which
time she herself had to hide for her own safety because of her Chinese
ethnicity. Mr. Junusmin’s affidavit revealed that during the 1998 riots he had
been slashed at knifepoint by a mob and his business was looted. Before and
after the 1998 riots, in order to protect himself and his acupuncture clinic,
Mr. Junusmin, under unrelentless threat, was forced on a continuous basis to
pay money to two different groups who extorted funds from him. These incidents,
in light of the evidence, demonstrate the anti-Chinese violence of the 1998
riots coupled with the continuing vulnerability of the ethnic Chinese in
Indonesia today (See the Response to Information Request IDN101030.E. 28 March
2006, in the information package of the Board itself).
[47]
In this case, since the Board member did not find the Applicants
lacking in credibility, it was incumbent upon him to consider whether, absent
effective state protection, the Applicants would in all-likelihood continue to
be targeted for extortion and violent crime (See Packiam v. Canada (Minister
of Citizenship and Immigration), 2004 FC 649, 130 A.C.W.S. (3d) 1008, at
para. 9). The “Handbook on Procedures and Criteria for Determining Refugee
Status under the 1951 Convention and the 1967 Protocol relating to the Status
of Refugees” (HCR/1P/4/Eng/REV.1 Reedited, Geneva, January 1992, UNHCR 1979)
(“UN Handbook”), as a guide to interpretation of the Convention, sets out
criteria and methods by which to analyze facts:
[201] Very
frequently the fact-finding process will not be complete until a wide range of
circumstances has been ascertained. Taking isolated incidents out of context
may be misleading. The cumulative effect of the applicant's experience must be
taken into account. Where no single incident stands out above the others,
sometimes a small incident may be “the last straw”; and although no single
incident may be sufficient, all the incidents related by the applicant taken
together, could make his fear “well-founded” […].
[48]
The Board member did not, at all, consider the evidence before
him as to the cumulative effect of harassment in Indonesia, and thereby failed
to analyze these incidents as they impacted on the persecution findings (See H.L.
v. Canada¸ at para. 23).
Whether the 1998 riots
targeted the ethnic Chinese minority
[49]
Evidence that the
1998 riots targeted ethnic Chinese has been well documented. At
paragraph 12 of the Decision, however, the Board member categorically stated
that “[the 1998 riots] were
not directed as such against the Chinese community or certain religious
communities but were an event of a general nature.” The Board member had
expressed the same sentiment during the hearing. At page 4 of the Transcript of
the hearing, the Board member’s line of questioning showed that he believed the
1998 riots were of a general nature of which the opposite is demonstrated
subsequent to the Board member’s remarks reproduced below:
Q: You, madam,
when did you start thinking that your life was in danger?
A: 13th May
1998.
Q: Okay. But
in 1998 the upheaval was not against only Chinese people, it was against the
system all together, not only Chinese people were persecuted at that time.
Right?
[50]
That is not the case, unequivocally, whatsoever,
as clearly demonstrated in the evidence. In the evidence before the Board
member, many references are made to the 1998 riots as primarily targeting the
ethnic Chinese. The Sael v. Ashcroft decision, above, is but one
such example. Citing the U.S. Department of State Indonesia Country Reports
on Human Rights Practices for 1998, among other sources, the Sael v.
Ashcroft decision at page 14536 directly addresses the result of the 1998
riots: “Anti-Chinese violence peaked recently in 1998, when
more than 1,000 people were killed and dozens of women raped during a series of
bloody riots” (Underlined by the Court). The Sael v. Ashcroft
decision also notes that there is evidence that “Chinese shops and homes were the intended
targets of this violence, although non-Chinese shoppers and would-be looters
became victims when they were trapped inside burning businesses” (Sael v. Ashcroft, at page 14536,
footnote 6).
[51]
Justice Luc Martineau’s decision in H.L.
v. Canada, above, found that it was unreasonable
for a Board member in that case to find that the 1998 riots in Indonesia were
not directed at ethnic Chinese. They in fact were: “This assessment
flies in the face of the documentary evidence which leaves no doubt that,
although the riots were spurred by broader political and economic
considerations, their effects were heavily and devastatingly felt by the
country’s ethnic Chinese population” (H.L. v. Canada¸
at para. 24).
[52]
There are many references in the Board’s own
documentary evidence that the 1998 riots were racially motivated. This Court is
of the view that the truth of such facts would be known and acknowledged by a
Board member. Based on the evidence that was clearly before the Board member,
it was unreasonable and without regard to that evidence for the
Board member to suggest that the 1998 riots were not targeted against ethnic
Chinese in Indonesia.
3.
Did the
Board member err in law, under the circumstances which were uncontradicted,
when he held that one incident of persecution would not be sufficient to
establish persecution under the Act?
[53]
Given the Board member’s error in the factual
findings described above, it is clear that the Applicants’ narrative contains
more than one incident which it was incumbent on the Board member to analyze
rather than simply disregard.
As such, it not necessary to determine whether, as a matter of law, the Board
member erred as to whether one incident is insufficient to find persecution.
Nevertheless, it is important to note that the Board member mistook the legal
requirement regarding persecution.
[54]
The UN Handbook, above, sets out principles that guide the
interpretation of that which constitutes persecution:
[51] There is no universally accepted definition of
“persecution”, and various attempts to formulate such a definition have met
with little success. From Article 33 of the 1951 Convention, it may be inferred
that a threat to life or freedom on account of race, religion, nationality,
political opinion or membership of a particular social group is always
persecution. Other serious violations of human rights--for the same
reasons--would also constitute persecution.
[52] Whether
other prejudicial actions or threats would amount to persecution will depend on
the circumstances of each case, including the subjective element to which
reference has been made in the preceding paragraphs. The subjective character
of fear of persecution requires an evaluation of the opinions and feelings of
the person concerned. It is also in the light of such opinions and feelings
that any actual or anticipated measures against him must necessarily be viewed.
Due to variations in the psychological make-up of individuals and in the
circumstances of each case, interpretations of what amounts to persecution are
bound to vary.
[53] In
addition, an applicant may have been subjected to various measures not in
themselves amounting to persecution (e.g. discrimination in different forms),
in some cases combined with other adverse factors (e.g. general atmosphere of
insecurity in the country of origin). In such situations, the various elements
involved may, if taken together, produce an effect on the mind of the applicant
that can reasonably justify a claim to well-founded fear of persecution on
“cumulative grounds”. Needless to say, it is not possible to lay down a general
rule as to what cumulative reasons can give rise to a valid claim to refugee
status. This will necessarily depend on all the circumstances, including the
particular geographical, historical and ethnological context.
[55]
These
passages confirm that persecution is determined on a case-by-case basis. One
persecutory act may, depending on the circumstances of the act itself,
constituent persecution within the meaning of the Act (See Vural v.
Canada (Minister of Employment and Immigration), (1994) 80 F.T.R. 313, 48
A.C.W.S. (3d) 830 at para. 5).
VIII. CONCLUSION
[56]
The Board member did not provide adequate reasons for his conclusions;
he completely disregarded both the subjective and objective evidence. The Board
member simply made findings of fact that were unreasonable and without any regard
to the evidence before him.
JUDGMENT
THIS COURT
ORDERS that the application for judicial
review be granted and the Decision of the Board member dated September
22, 2008 be set aside. The matter is to be returned to the
Board and referred to a differently constituted panel for reconsideration not
inconsistent with these reasons.
“Michel M.J. Shore”