Date:
20110309
Docket:
T-1007-10
Citation:
2011 FC 275
Ottawa, Ontario,
March 9, 2011
PRESENT: The
Honourable Mr. Justice Mosley
BETWEEN:
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JUAN RAMON FERNANDEZ
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Applicant
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and
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THE ATTORNEY GENERAL OF CANADA
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Respondent
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REASONS FOR
JUDGMENT AND JUDGMENT
[1]
This
case turns largely on whether the National Parole Board may question an
offender about past conduct that could have, in theory at least, supported a
prosecution for a criminal organization offence for which he was not charged.
In the circumstances of this case, I conclude that such questioning is open to
the Board. The Board ordered the applicant to be detained past his statutory
release date until the expiry of the committal warrant. The Board’s Appeal
Division affirmed that order. The applicant seeks judicial review of the Appeal
Division decision. For the reasons that follow, the application is dismissed.
BACKGROUND:
[2]
The
applicant is a citizen of Spain, born on December 23, 1956. He came to Canada as a child and has since had a long history of conflicts with the law, beginning in
adolescence. His adult criminal record starts in 1975 and has many entries
including a conviction for manslaughter. As a result, he has spent much of his
life in prison and has an extensive institutional record. The portions of that
record entered as exhibits to the respondent’s affidavit evidence indicate that
the applicant has long been considered by the police and correctional
authorities to be affiliated with organized crime.
[3]
The
applicant has
been deported from this country twice and re-entered unlawfully. In September
of 1995, while serving a sentence for the manslaughter offence and a subsequent
conviction for possession of narcotics for the purpose of trafficking, he was
ordered detained by the Board until warrant expiry on the ground that he was
likely to commit another serious offence. In September 1998, he was convicted
of conspiring, while in custody, with another inmate to import a narcotic.
[4]
On
July 8, 2004, the applicant pleaded guilty to a variety of offences that
included: counselling an indictable offence (murder), conspiracy to commit an
indictable offence (import cocaine), possession of a forged passport,
possession of a stolen credit card, fraud over $5000 and illegal entry into Canada. He received a sentence of 12 years for the major offence; with the sentences for
the other offences to be served concurrently. Other charges were withdrawn. With
credit for pre-sentence custody, he was committed to the penitentiary to serve
7 years, 8 months and 14 days. His statutory release date, calculated in
accordance with s.127 of the Corrections and Conditional Release Act, S.C. 1992, c. 20
(“CCRA”),
was determined to be August 27, 2009. As of that date, while still serving the
remainder of this sentence, he would have been entitled to be released and to remain
at large under supervision subject to the suspension, cancellation or
revocation of his release: CCRA ss.127 (7) and s.128.
[5]
On
December 2, 2008, and pursuant to CCRA para. 129 (2) (b) and ss.129 (3), the
Correctional Service of Canada (“CSC” or “the Service”) made a referral to the Board
for a detention review on the ground that the Service was of the opinion that the
applicant would commit a serious drug offence before the warrant expiry date. At
the hearing on May 22, 2009, the Board dealt with both the detention review and
the applicant’s application for full parole so he could be deported to Spain. CSC recommended the applicant’s detention and opposed parole on the ground that there
was no viable plan for supervision as he could not be supervised if he were
deported to Spain.
[6]
The
applicant had the assistance of a lawyer who made submissions at the conclusion
of the hearing. A decision was rendered the same day ordering detention to
warrant expiry and denying the application for parole.
[7]
The
applicant appealed the detention review decision to the Appeal Division. His
lawyer submitted written representations on August 4, 2009. On August 19, 2009
the Appeal Division affirmed the Board’s decision. This application for
judicial review was filed on June 24, 2010 following the unopposed grant of an
extension of time.
[8]
For
the purposes of this application, the parties agreed that the decisions of the Board
and the Appeal Division should be treated effectively as one decision. But, it
is the decision of the Appeal Division that is before this Court for review.
DECISIONS UNDER
REVIEW:
The
Board’s Decision – May 22 2009
[9]
The
Board focused on the likelihood of the commission of a serious drug offence
before the expiration of the sentence. The following excerpt captures the
essence of its decision:
Having reviewed in detail the extent and nature of
your offending involving a persistent pattern of drug offending over an
extended period even while in custody, the sophistication of your entrenchment
in the drug underworld and your continued ties with criminal associates and
possible organized crime members, your chronic pattern of non-compliance even
after being deported twice to your home country, your lack of insight and
motivation for change and the absence of viable supervision programs to safely
manage the high public safety concerns that you currently pose in the
community, the Board has concluded that there are reasonable grounds to believe
that you are likely to commit a serious drug offence before the expiration of
your sentence according to law. As a result, the Board is ordering that you be
detained until sentence expiry.
The
Appeal Division Decision – August 19, 2009
[10]
The
Appeal Division considered the following issues: (1) the Board’s duty to act
fairly: reasonable apprehension of bias; (2) erroneous and incomplete
information; and (3) the reasonableness of the decision. The Appeal Division found
the applicant was treated fairly by the Board and found nothing in the decision
which gave rise to a reasonable apprehension of bias. With respect to the
grounds of erroneous and incomplete information and overall reasonableness, the
Appeal Division held that the Board’s reasons were well supported and
consistent with the criteria in the CCRA.
ISSUES:
[11]
The
grounds set out in the Notice of Application to this Court are that the Board
erred in failing to observe natural justice by repeatedly questioning the
applicant about his involvement in criminal organizations and erred in relying
on inaccurate information provided by the CSC regarding the likelihood that the
applicant would commit a serious drug offence prior to warrant expiry.
[12]
In
his affidavit evidence, the applicant also contends that the Board failed to
comply with statutory time-limits in scheduling the hearing and rendering a
decision. That issue was not raised in the applicant’s Notice of Application
and was not argued by his counsel at the hearing. Accordingly, I will not deal
with that question here. In any case, having reviewed the respondent’s evidence
with respect to the steps taken and the statutory provisions I am satisfied that
there was no breach of the time-lines for conducting the detention review.
[13]
In
my view, the issues are as follows:
i.
Did
the Board breach its duty of fairness to the applicant and did the Appeal
Division err in finding there was no unfairness in the detention review hearing?
ii.
Was
the decision reasonable on all of the evidence?
LEGISLATIVE
FRAMEWORK:
[14]
I
think it useful to review the legislation governing detention review
proceedings prior to discussing the issues. As noted above, the applicant in
this matter was entitled to statutory release in August 2009. “Statutory
release” is defined in CCRA section 99 as release from imprisonment subject to
supervision before the expiration of an offender’s sentence to which an
offender is entitled under section 127. Pursuant to subsection 127 (1), and subject
to any other provision of the Act, an offender is entitled to be released on
the date determined in accordance with the section and to remain at large until
the expiration of the sentence. Until sentence expiry, the offender is subject
to supervision and, pursuant to s. 133, any conditions prescribed by the
regulations or imposed by the releasing authority, which, for the purpose of
statutory release, is the Board.
[15]
These
provisions are contained in Part II of the CCRA which deals with Conditional
Release, Detention and Long-Term Supervision. Sections 100 and 101 of the Act
set out the purpose and principles of conditional release. The purpose is to
contribute to the maintenance of a just, peaceful and safe society by decisions
that will best facilitate the rehabilitation of offenders and their
reintegration into the community as law-abiding citizens. The paramount
consideration in the determination of any case is the protection of society.
Among other principles, the Board is to take into consideration all available
and relevant information including the sentencing reasons and that provided by
the correctional authorities and the offender.
[16]
Sections
129 and 130 of the CCRA outline the procedure for a detention referral by the
Service and review by the Board. The relevant provisions read as follows:
129.
(1) Before the statutory release date of an offender who is
serving a sentence of two years or more that includes a sentence imposed for
an offence set out in Schedule I or II or an offence set out in Schedule I or
II that is punishable under section 130 of the National Defence Act,
the Commissioner shall cause the offender’s case to be reviewed by the
Service.
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129.
(1) Le commissaire fait étudier par le Service, préalablement à la
date prévue pour la libération d’office, le cas de tout délinquant dont la
peine d’emprisonnement d’au moins deux ans comprend une peine infligée pour
une
infraction
visée à l’annexe I ou II ou mentionnée à l’une ou l’autre de celles-ci et qui
est punissable en vertu de l’article 130 de la Loi sur la défense nationale.
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(2)
After the review of the case of an offender pursuant to subsection (1), and
not later than six months before the statutory release date, the Service
shall refer the case to the Board together with all the information that, in
its opinion, is relevant to it, where the Service is of the opinion
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(2)
Au plus tard six mois avant la date prévue pour la libération d’office, le
Service défère
le
cas à la Commission — et lui transmet tous les renseignements en sa
possession et qui, à son avis, sont pertinents — s’il estime que :
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[…]
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[…]
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(b)
in the case of an offender serving a sentence that includes a sentence for an
offence set out in Schedule II, that there are reasonable grounds to believe
that the offender is likely to commit a serious drug offence before the
expiration of the offender’s sentence according to law.
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b) dans le cas où
l’infraction commise relève de l’annexe II, il y a des motifs raisonnables de
croire que le délinquant commettra, avant l’expiration légale de sa peine,
une infraction grave en matière de drogue.
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[…]
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[…]
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130. (1) Where the case
of an offender is referred to the Board by the Service pursuant to subsection
129(2) or referred to the Chairperson of the Board by the Commissioner
pursuant to subsection 129(3) or (3.1), the Board shall, subject to
subsections 129(5), (6) and (7), at the times and in the manner prescribed by
the regulations, (a) inform the offender of the referral and review,
and (b) review the case, and the Board shall cause all such inquiries
to be conducted in connection with the review as it considers necessary.
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130.
(1) Sous réserve des paragraphes 129(5), (6) et (7), la Commission
informe le détenu du renvoi et du prochain examen de son cas — déféré en application
des paragraphes
129(2),
(3) ou (3.1) — et procède, selon les modalités réglementaires, à cet examen
ainsi qu’à toutes les enquêtes qu’elle juge nécessaires
à cet
égard.
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[…]
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[…]
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(3) On completion
of the review of the case of an offender referred to in subsection (1), the
Board may order that the offender not be released from imprisonment before
the expiration of the offender’s sentence according to law, except as
provided by subsection (5), where the Board is satisfied
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(3)
Au terme de l’examen, la Commission peut, par ordonnance, interdire la mise
en liberté du délinquant avant l’expiration légale de sa
peine
autrement qu’en conformité avec le paragraphe
(5) si
elle est convaincue :
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[…]
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[…]
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(b) in the
case of an offender serving a sentence that includes a sentence for an
offence set out in Schedule II, or for an offence set out in Schedule II that
is punishable under section 130 of the National Defence Act, that the
offender is likely, if released, to commit a serious drug offence before the
expiration of the offender’s sentence according to law,
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b)
dans
le cas où la peine comprend une peine infligée pour une infraction visée à
l’annexe
II, ou qui y est mentionnée et qui est punissable en vertu de l’article 130
de la Loi sur la défense nationale, qu’il commettra,
s’il
est mis en liberté avant l’expiration légale de sa peine, une infraction
désignée en
matière
de drogue;
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(c) in the
case of an offender whose case was referred to the Chairperson of the Board
pursuant to subsection 129(3) or (3.1), that the offender is likely, if released,
to commit […] a serious drug offence before the expiration of the offender’s
sentence according to law.
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c)
en cas
de renvoi au titre du paragraphe 129(3) ou (3.1), qu’il commettra, s’il est
mis
en
liberté avant l’expiration légale de sa peine, l’une ou l’autre de ces
infractions.
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[…]
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[…]
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[17]
Section
131 of the CCRA provides for annual reviews of a decision to detain an offender
during the period of statutory release. Section 132 sets out a non-exhaustive
list of factors to be considered in recommending, determining or reviewing
detention. These include a number of elements that would be relevant in assessing
the likelihood of the commission of an offence causing the death of or serious
harm to another person before the expiration of the offender’s sentence or the
commission of a sexual offence.
[18]
Factors
expressly relevant to the determination of whether it is likely that a serious
drug offence would be committed by the offender if released are set out in
subsection 132 (2):
(2)
For the purposes of the review and determination of the case of an offender
pursuant to section 129, 130 or 131, the Service, the Commissioner or the
Board, as the case may be, shall take into consideration any factor that is
relevant in determining the likelihood of the commission of a serious drug
offence before the expiration of the offender’s sentence according to law,
including
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(2)
Le Service et le commissaire, dans le
cadre
des examens et renvois prévus à l’article 129, ainsi que la Commission, pour
décider de
l’ordonnance
à rendre en vertu de l’article 130 ou 131, prennent en compte tous les
facteurs utiles pour évaluer le risque que le délinquant commette, s’il est
mis en liberté avant l’expiration légale de sa peine, une infraction grave en
matière
de drogue, notamment :
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(a)
a pattern of persistent involvement in drug-related crime established on the
basis of any evidence, in particular,
(i)
the number of drug-related offences committed by the offender,
(ii)
the seriousness of the offence for which the sentence is being served,
(iii)
the type and quantity of drugs involved in any offence committed by the
offender,
(iv)
reliable information demonstrating that the offender remains involved in
drug-related activities, and
(v)
a substantial degree of indifference on the part of the offender as to the
consequences to other persons of the offender’s behaviour;
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a) une implication
persistante dans des activités criminelles liées à la drogue, attestée
par
divers éléments, en particulier :
(i)
le nombre de condamnations infligées au délinquant en relation avec la
drogue,
(ii)
la gravité de l’infraction pour laquelle il purge une peine d’emprisonnement,
(iii)
les type et quantité de drogue en cause dans la perpétration de l’infraction
pour
laquelle le délinquant purge une peine d’emprisonnement ou de toute autre infraction
antérieure,
(iv)
l’existence de renseignements sûrs
établissant
que le délinquant est toujours impliqué dans des activités liées à la drogue,
(v)
un degré élevé d’indifférence quant aux conséquences de ses actes pour
autrui;
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(b)
medical, psychiatric or psychological evidence of such likelihood owing to a
physical or mental illness or disorder of the offender;
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b) les rapports de
médecins, de psychiatres ou de psychologues indiquant que, par suite de
maladie physique ou mentale ou de troubles mentaux, il présente un tel
risque;
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(c)
reliable information compelling the conclusion that the offender is planning
to commit a serious drug offence before the expiration of the offender’s
sentence according to law; and
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c) l’existence de
renseignements sûrs obligeant
à
conclure que le délinquant projette de commettre, avant l’expiration légale
de sa peine, une infraction grave en matière de drogue
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(d)
the availability of supervision programs that would offer adequate protection
to the public from the risk the offender might otherwise present until the
expiration of the offender’s sentence according to law.
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d) l’existence de
programmes de surveillance qui protégeraient suffisamment le public contre le
risque que présenterait le délinquant
jusqu’à
l’expiration légale de sa
peine.
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ANALYSIS:
Standard
of Review
[19]
A
standard of review analysis is not required where procedural fairness is in
question. As discussed by Mr. David Philip Jones Q.C. in Recent Developments
in Administrative Law, Canadian Bar Association, Ottawa, November 26, 2010,
the proper approach is to ask whether the requirements of procedural fairness
and natural justice in the particular circumstances have been met. The question
is not whether the decision was “correct” but whether the procedure used was
fair. Deference to the decision-maker is not at issue. See: Ontario
(Commissioner Provincial Police) v. MacDonald, 2009 ONCA 805, 3 Admin L.R.
(5th) 278 at para. 37 and Bowater Mersey Paper Co. v. Communications,
Energy and Paperworkers Union of Canada, Local 141, 2010 NSCA 19, 3 Admin
L.R. (5th) 261 at paras. 30-32.
[20]
The
parties agree that in so far as the issues in this case may concern questions
of law, the standard should be correctness: Tehrankari v. Canada (Correctional
Service) (2000), 188 F.T.R. 206, 38 C.R. (5th) 43; Brown v.
Canada (Attorney General), 2006 FC 463, 290 F.T.R. 143; Russell v.
Canada (Attorney General), 2006 FC 1209, 301 F.T.R. 95. I do not need to
decide that question in this case. The courts have recognized that the Board
and its Appeal Division have expertise in conditional release-related
decisions. Hence, considerable deference should be given to their fact-finding
and to their application of the governing statutes and regulations to those
facts. The reasonableness standard thus applies: Cartier v. Canada (Attorney General), 2002 FCA 384, 300 N.R. 362; Latham v. Canada, 2006
FC 284, 288 F.T.R. 37 at paras. 6-8.
Did the Board breach
its duty of fairness to the applicant?
[21]
I
think it useful to recall at the outset of discussing this issue that the
hearing in this case had two purposes. One was to consider the CSC
recommendation that the applicant be detained until warrant expiry and the
other was to determine whether the applicant should be granted full parole for
the purpose of deporting him back to his native Spain.
[22]
Both
of these purposes concerned the application of the Board’s conditional release mandate
and were subject to the broad statement of purpose and principles set out in
sections 100 and 101 of the CCRA. Thus, the protection of society was the
paramount consideration to be taken into account by the Board: Cartier,
above, at paragraph 12. This was recognized by the Supreme Court of Canada in Mooring
v. Canada (National Parole Board), [1996] 1 S.C.R. 75, 132 D.L.R. (4th)
56, a case which dealt with a constitutional issue arising from a parole
revocation decision. At paragraph 27, Justice Sopinka observed that in the risk
assessment function of the Board, the factors that predominate are those that
concern the protection of society.
[23]
I
do not accept the applicant’s contention that the Board is not engaged in a
risk assessment in the detention review context. There is no language in the CCRA
to indicate that Parliament intended to exclude these considerations in giving
the Board this mandate. By authorizing the Board to override statutory
remission and order an offender’s detention until the full expiry of the sentence
for a number of serious crimes, Parliament clearly intended the Board to assess
the risk to society that may result from an offender’s release: s.132 (2) (d).
[24]
In
carrying out its risk assessment function, the Board may take into account all
available and relevant information, provided it has not been obtained improperly:
s. 101; Mooring, above, at para. 27. It must act fairly and ensure that
the information upon which it acts is reliable and persuasive. Should the
institutional record contain erroneous information, it is open to the offender
to challenge the accuracy of the information with the CSC, pursuant to the
grievance procedure: Latham, above, at paras. 42, 43 and 53, or to
challenge it before the Board.
[25]
The
Board may choose not to rely on information contained in the CSC files if it
considers that it is inaccurate or unreliable. As the Federal Court of Appeal observed
in Zarzour v. Canada (2000), 196 F.T.R. 320, 268 N.R. 235 at paragraph
38, “confronting the person primarily affected with the allegations made in his
regard, and enabling him to comment on them and rebut them, is also a
significant method of verification”.
[26]
The
information the Board relies upon may include information about criminal
charges that have not resulted in convictions: Mooring, above, at para.
26; Prasad v. Canada (National Parole Board) (1991), 51 F.T.R. 300, 5
Admin. L.R. (2d) 251; Yussuf v. Canada (Attorney General), 2004 FC 907; Lepage
v. Canada (Attorney General), 2007 QCCA 567; R. v. Antoine, 2008
SKCA 25, 310 Sask. R. 246; Normand v. Canada (National Parole Board) (1996),
124 F.T.R. 114, 34 W.C.B. (2d) 173, citing at paragraph 24 several decisions
denying habeas corpus applications on this ground, approved by the
Supreme Court of Canada in Martin v. Beaudry, [1996] 1 S.C.R. 898.
[27]
In
this case, the applicant submits that the Board erred in directly questioning
him with respect to conduct that did not result in criminal charges. In
particular, he argues that the Board was in breach of the direction given by
the Federal Court of Appeal in Canada (Attorney General) v. Coscia, 2005
FCA 132, [2006] 1 F.C.R. 430, in that it questioned him about actions that
could support a charge of participation in the activities of a criminal
organization contrary to section 467.11 of the Criminal Code, R.S.,
1985, c. C-46.
[28]
In
support of this contention, the applicant points to a number of passages in the
transcript of the hearing which refer to his involvement in criminal activities
and association with members of organized crime groups. These are at pages 31,
32, 39, 40, 61, 68 and 69 where the applicant was closely questioned about
events in his criminal history.
[29]
At
the opening of the hearing, a CSC representative advised the Board that the
Service recommended that a detention order be issued as there was:
[A]a pattern of drug offending in
this case, coupled with traditional organized crime affiliation. Community
supervision possibilities were investigated as an alternative to detention.
However, from a supervision perspective, the offender’s case would not be
manageable in the community…all indications would suggest that the offender
will return to the community and involve himself in further organized gang
activity despite any level of supervision or structure imposed…Mr. Fernandez’s
association with criminal organizations is a significant factor elevating the
danger and threats he possesses to the safety of the public… It is the position
of the C.S.C. that Mr. Fernandez remains an unrepentant offender who has
persistently returned to jurious [sic] drug offences, and in view of the total
absence of any change in his criminal values, he meets the legal criteria to be
detained...
[30]
During
the hearing, the applicant repeatedly denied being part of any criminal
organization but acknowledged having sold drugs to members of biker gangs such
as the Hells’ Angels and having associated with recognized members of
traditional organized crime in Montreal.
[31]
The
applicant was asked directly (at pages 34-35 of the transcript) whether he had
ever hired someone to “eliminate someone else”. He denied that and provided a
convoluted explanation as to how he came to plead guilty to counselling the
commission of a murder. The applicant had provided a loaded handgun to an undercover
police informant to collect a debt. The informant turned the gun over to the
police. At pages 39-40 of the transcript, the applicant explains to the Board
that he provided the handgun to collect some $700,000 that “belonged to two
friends of ours”.
Q. who is the victim of the
murder investigation?
A. Um, Constantin Alevizos?
Constantin Alevizos.
…
Q. Yes. So
he’s the same person that you are alleged to have wanted to have killed?
A. Yes, Miss.
Q. So, and, and you’re denying
any, anything…
A. I’ll explain how it led to
this situation.
Q. Okay, mm-hmm.
A. So Mr. Santos came to Toronto and this, and asked me for work….So I says do you want to collect? He says, well,
yeah, but give me a gun and this and that. Gave him a gun and that. He was
supposed to collect.
…
Q. who had the money?
A. Was Alvarez.
Q. Alevivos. Constantin?
A. Yes.
Q. And he owed that money to
whom?
A. He owed that money
to certain people for the poker machines.
Q. Without names, were they
organized crime?
A. The persons?
Q. Yeah.
A. Yes, Miss.
[32]
It
was reasonable for the Board to explore the circumstances in which the
applicant had become involved in the commission of a serious crime in order to
assess whether he would be likely to commit another serious crime prior to
warrant expiry. The linkage of the prior offence to organized crime was
relevant to that assessment as it provided information about the applicant’s
criminal associations. That information would assist the Board in determining
whether he would be likely to re-associate with those persons. The applicant’s
involvement was not peripheral. He had supplied a handgun to collect a debt
owing to persons involved in organized crime. That conduct was relevant to the
Board’s mandate. Indeed the Board is directed to consider the seriousness of
the offence for which the sentence is being served: para. 132 (2) (a) (ii).
[33]
In
several other passages, Board members quote directly from certified transcripts
of the reasons for the sentence that Mr. Justice Joseph F. Kenkel imposed on
the applicant, on June 29, 2004, and from the transcript of the hearing on July
8, 2004 where orders for the forfeiture of offence-related property seized from
the applicant were imposed. The Board is required to consider such reasons:
s.101 (b). In my view, Justice Kenkel’s comments amply justified the Board’s
inquiry into the applicant’s involvement in organized crime.
[34]
At
pages 31 and 32 of the Board hearing transcript, the Chair quotes from Justice
Kenkel’s oral reasons at the July 8, 2004 hearing:
Q. Okay. So you came illegally undetected once.
Then when you came back in June ’01, it says that you were under constant
surveillance from the time you….
A. It’s possible, yes, Miss.
Q. …crossed into Canada. This when you were caught
with a number of very expensive jewellery, and it says, “There is extensive
evidence of his participation in organized crime, including large-scale fraud
schemes,” and referencing your calls during the course of that fraudulent
scheme to jewellery stores and luxury brand names. And they give such names as
Versace. So did, did you – is that all, is any of this true? [Emphasis added]
…
Q…and the court was satisfied that you were
extensively involved, and later on, it talks about high level involvement in
fraud and organized crimes activities?
[35]
The
underlined passage appears at pages 1 and 3 of the certified transcript of
Justice Kenkel’s reasons. At pages 7 and 8 of that transcript can be found the
following comment from Justice Kenkel:
The Crown points to a substantial
body of evidence showing that the accused, as he was illegally at the time in
Canada and subject to round the clock surveillance during the period of the
offences, deriving his income from no legal source but was deriving substantial
income through his participation in organized crime, in particular drug
trafficking and large scale credit card fraud schemes…
[36]
In
the transcript of the sentencing hearing, Justice Kenkel notes that the accused
admitted the facts as submitted by the Crown. He observes that the charges
arose from a police investigation into organized crime and states:
With respect to the offenses
before this court, I take into account the circumstances of the offenses, as
set out in the agreed statement of facts and supplementary materials referred
to in court and admitted by the accused. I agree with the Federal Crown
that the facts show that Mr. Fernandes [sic] was involved with organized
criminal activity at a high level. He also dealt with organizations found to
be criminal organizations in this contexts [sic] such as the Hells Angels for
the purposes of drug trafficking. Even though the alleged importing
conspiracy is a "dry conspiracy" in that no drugs were seized, it is
plain that Mr. Fernandes' efforts were towards the importation of large amounts
of cocaine for the purpose of trafficking, at a high level. His ability to
illegally enter Canada, obtain numerous fraudulent identification documents to
commit fraud on the scale indicated here again shows a level of marked
sophistication in his criminal activity. I also agree with the Federal Crown
that all of the evidence with respect to counseling to commit murder, the
evidence of intimidation, as well as access to firearms, and the extensive
involvement of Mr. Fernandes is [sic] organized crime plainly makes him a
danger and a threat to the safety of the public. [Emphasis added]
[37]
The
underlined passages were quoted to the applicant in questions which appear at
page 68 of the transcript:
A. I’m not in organized crime.
Q. I’ll read you something from the courts. “I agree
with the federal crown that” – this is the judge – “the facts show that Mr.
Fernandez was involved in organized crime, criminal activity at a high level.
He also dealt with organizations found to be criminal organizations of this
context such as the Hells Angels for the purpose of drug trafficking, even
though the alleged import….” and it goes on.
…
Q. And he went on to say that he also agreed that
“The evidence with respect to counseling to commit murder, the evidence of
intimidation as well as access to firearms and the extensive involvement in
organized crime plainly makes you a danger and a threat to the safety of the
public.” So this is, this is not the police. This is not a social worker.
This is the judge when he sentenced you.
[38]
I
note that in closing submissions at the Board hearing, the applicant’s
assistant, a lawyer, suggested that the applicant’s links to organized crime
went back to the ‘70s and ‘80s and that now, “all of the players are in
custody”, implying that the applicant could no longer associate with them.
Justice Kenkel found that the applicant continued his involvement with
organized crime following his return to this country in 2001. This was clearly
relevant territory for the Board to explore. The applicant’s criminal history
covered a wide range of offences. In assessing whether the applicant was likely
to commit a serious drug offence if released, it was not unfair for the Board
to consider his entire history.
[39]
The
applicant submits that the Board was also in breach of the direction given in Coscia
by raising allegations of crimes for which he had not been charged or
convicted: drug importation and jury tampering.
[40]
The
applicant was questioned closely about his involvement in drug crimes. He
admitted his involvement in the purchase and sale of illicit drugs but
vehemently denied being directly involved in their importation. This was
splitting hairs. He had entered a plea of guilty to the charge of conspiring to
import cocaine in 2004. The applicant conceded that drugs he admitted selling,
such as cocaine, were imported. When pressed at the hearing, he also acknowledged
having been convicted of conspiring during an earlier incarceration to have a
fellow inmate’s grandmother import hash oil from Jamaica. I see no unfairness
in the Board’s questioning of the applicant about these matters.
[41]
Counsel
submits that the applicant was also unfairly questioned about jury tampering.
This was, I believe, a reference to a brief exchange that appears at page 67 of
the transcript. The applicant was questioned regarding allegations of witness
tampering:
Q. Just one quick question. Did
you tamper with the witnesses while…
A. No, there was no tampering.
Q. So, I know that there was a
charge at one point, and it was…
A. No, I never. I don’t even know
that char – they never even gave me disclosure on that.
Q. So you didn’t do that?
A. No.
[42]
The
appraisal prepared by CSC officials to support the recommendation for detention
indicates that the applicant was detained in provincial custody for a prolonged
period following his sentencing by Justice Kenkel. This was to deal with obstruction
of justice charges before he was transferred to the penitentiary. The Crown
Attorney’s office advised CSC that the charges were ultimately withdrawn because
the applicant had already been sentenced to a significant period of time and would likely have only received an additional term
of imprisonment to run concurrently with the twelve years he received for the
counselling offence.
[43]
As
these charges had been withdrawn prior to the hearing, the applicant was no
longer in jeopardy of prosecution for the alleged offences when he was asked
about them. Nor could the Crown have reinstituted the charges without facing an
abuse of process argument. In any event, as I will discuss below, any
information given by the applicant to the Board about these matters could not
have been used against him as evidence in any subsequent trial for these or
other offences. But the information that such charges had been laid against the
applicant, and the circumstances in which they arose, was relevant to the
Board’s mandate to protect the public interest. In my view, there was no breach
of fairness in asking him about them.
Is
Coscia determinative of this proceeding?
[44]
Coscia,
above, arose out of a decision of the Board denying the respondent parole pursuant
to s. 102 of the CCRA. The respondent had been released on day parole, but this
parole was suspended as a result of a charge of uttering death threats for
which he was subsequently convicted. At the hearing of his application for
parole, the Board pursued a line of questions regarding the respondent's ties
with organized crime. The respondent acknowledged having been involved with
others in criminality, but disputed participation in traditional organized
crime, i.e., the “Mafia”. In its decision, the Board commented on the
respondent's evasive answers regarding that involvement.
[45]
On
judicial review, the application judge found that the respondent was denied
parole because of his involvement with traditional organized crime. He held
that the Board and its Appeal Division had effectively found the respondent to
be in fact, if not in law, a member of organized crime. This was a conclusion
he considered could not be reached in the absence of a conviction for that
offence under the Criminal Code. For this and other reasons, the
decision of the Appeal Division was quashed and a new parole hearing was
ordered to be held before a differently constituted Board.
[46]
The
Attorney General of Canada appealed the decision on the grounds that the
applications judge applied the wrong standard of review and misconstrued the
basis upon which early parole was denied by the Board. The majority in the
Federal Court of Appeal agreed, at paragraph 28 of their reasons, that the
judge had applied the wrong standard of review and misconstrued the reasons
invoked by the board in support of this decision. However, the majority
concluded, at paragraph 33 that "the Board committed a breach of
procedural fairness by insisting on questions that had a double meaning,
without appreciating or understanding the difficult position in which they put
the respondent."
[47]
The
applicant in this matter relies on three paragraphs in which the majority in Coscia
elaborated upon its concerns with respect to the Board’s questioning of the
respondent in that case:
34. In this respect, it is
no justification for the Board to say that he was not concerned with the
respondent being a member of organized crime in the legal sense. Accepting
that the Board had no such concerns, it remains that if one admits to being
a member of or participating in a criminal organization, one is exposed both to
a criminal code conviction and to being found to be a member of a criminal
organization pursuant to the Directive. The Board had no power to grant
immunity in this regard and did not purport to do so.
35. Assuming that the
applicant was or is a member of a criminal organization, as the Board believed,
and recognizing that he has never been so found, under the criminal code nor
pursuant to the Directive, the Board's line of questions placed him in the very
difficult position of responding to the satisfaction of the Board without
providing a recorded commission that he was or is a member of or a participant
in a criminal organization. Both the respondent and his counsel attempted
to draw this difficulty to the attention of the Board, but to no avail. The Board
went on to find that the respondent's evasiveness in answering these questions
was attributable to his failure to assume responsibility for his criminal
behaviour.
36. While it is open to
the Board to inquire into the respondent's relationships with (criminal) others
who conspired with him to commit the offenses of which he was convicted (and
indeed to inquire into any ongoing relation with like minded persons) it
should avoid the use of terms which, if acknowledged, can give rise to an
admission that a criminal offense has been committed with respect to which no
conviction has been obtained, or at least be mindful of the difficulty
which its choice of words can pose. [Emphasis added]
[48]
From
these and other portions of the reasons for judgment it is apparent that the
Court of Appeal was concerned that the line of questioning placed the offender
in some difficulty as the language used by the Board respecting organized crime
was ambiguous. The Court of Appeal found that this difficulty was compounded by
the Board when it went on to draw a negative inference from the respondent’s
denial of his involvement with the "Mafia" and criminal others.
[49]
The
Directive to which the Court of Appeal referred in these paragraphs is Commissioner’s
Directive 568-3. This Directive sets out the procedures for identifying an
inmate as a member of a "criminal organization", defined as a group
or association that is involved in ongoing illegal activities. In paragraph 20
of the version modified on July 11, 2008, it is stated that "[m]embership
and Association with a criminal organization shall be considered a significant
risk factor when making any decision related to the offender." This is,
as the respondent submits, a directive applicable to CSC and not to the Board.
[50]
The
applicant in this case had long been identified by the correctional authorities
as an associate of persons who are or were members of criminal organizations. Indeed,
the thrust of closing submissions by his lawyer at the Board hearing was to the
effect that this factor should be discounted because those persons were all in
jail. These associations have long had negative consequences for the applicant
in his institutional career and have contributed to decisions affecting him by
federal and provincial correctional officials regarding transfers and security
levels. In any event, the applicant could not have been in any jeopardy of such
a determination by reason of the questions put to him by the Board in 2009 because
it had already been made many years before.
[51]
The
applicant submits that he was not prepared to deal with such matters at the
hearing. However, as noted, his affiliations had been entered into his
institutional record on many prior occasions and he was well acquainted with
the effect they have had on his life in jail. At the Board hearing he disputed
involvement in organized crime but acknowledged closely associating with
persons who are members of such groups and having bought and sold drugs with some
of them. It is clear that the applicant thinks that this line of questioning
was unfair as he does not see himself as being a member of these organizations.
During the hearing, he had the opportunity to contest the reliability of the
information to which the Board referred. The fact that the result of the
Board’s assessment of all of the information before it was unfavourable to him
does not make the procedure unfair: Lepage, above, at para. 40.
[52]
In
these proceedings, the respondent has asked the Court to consider the
applicable law with respect to self-incrimination as well as the Board's legislative
powers and legal duties. The respondent argues that there is no unfairness for
the Board to question an offender about other criminal behaviour that has not resulted
in convictions.
[53]
It
does not appear from the reasons for judgment in Coscia that the
protections afforded against self-incrimination by the Canadian Charter
of Rights and Freedoms, Part I of the Constitution Act, 1982, Being
Schedule B to the Canada Act, 1982 (U.K.), 1982, c.11 (the “Charter”) were
cited by either party in their submissions to the Court of Appeal. They were in
this case. These protections are set out in sections 11 (c) and 13 of the Charter.
[54]
Section
11 (c) provides that any person charged with an offence has the right not to be
compelled to be a witness in proceedings against that person in respect of the
offence. Its application is limited to persons charged with public offences
involving punitive sanctions, that is, criminal, quasi-criminal and regulatory
offences: Martineau v. Canada (Minister of National Revenue), 2004 SCC
81, [2004] 3 S.C.R. 737 at paras. 19 and 67. Proceedings of an administrative
nature, such as those before the Board, are not penal in nature: Martineau, at
paras. 22 – 23. In this case, the applicant could not have claimed the
protection of section 11 (c) and refused to answer questions about his criminal
activity which were not supported by a conviction: Prasad, above; Giroux
v. Canada (National Parole Board) (1994), 89 F.T.R. 307, 51 A.C.W.S. (3d)
1057; R. v. Davis [1996] B.C.J. No. 2119 (B.C.S.C.) (QL). This is
because, as Justice Donna McGillis discussed at paragraph 20 of Giroux,
the applicant was not in any jeopardy with respect to potential criminal charges
in the detention review before the Board.
[55]
These
proceedings are administrative in nature and, in conducting the review, the
Board is required to consider any factor relevant to the determination of the likelihood
of the commission of a serious drug offence. As in Giroux, the
information respecting criminal offences alleged to have been committed by the
applicant was a highly relevant factor to be considered by the Board regardless
of whether he had been convicted of those offences: see also Mooring,
Prasad, Yussuf, Lepage, Antoine and Normand cited above.
[56]
To
the extent that an offender requires protection against the use of any
potentially incriminating evidence he may provide during a Board hearing in
subsequent criminal proceedings that protection is afforded by section 13 of
the Charter. Section 13 compels the testimony of all witnesses,
generally, except an accused charged before a criminal court. It provides the
witness with “subsequent use immunity” at other proceedings. It states:
A witness who testifies in any proceedings has the
right not to have any incriminating evidence so given used to incriminate that
witness in any other proceedings, except in a prosecution for perjury or for
the giving of contradictory evidence.
[57]
It
is well-settled that section 13 of the Charter prevents the use of any testimony
obtained at an administrative hearing or other civil proceeding as evidence in subsequent
penal proceedings against offenders, except for perjury or for giving
contradictory evidence: R. v. Carlson (1984), 47 C.R. (3d) 46 (B.C.S.C.);
R. v. Tyhurst, [1993] B.C.J. No. 2615 (B.C.S.C) (QL); R. v.
Sicurella (1997), 120 C.C.C. (3d) 403, 47 C.R.R. (2d) 317 at paras.47-49
(O.C.J.); Donald v. Law Society of British Columbia (1984), 48 B.C.L.R.
210, 2 D.L.R. (4th) 385 (B.C.C.A.); Gillis v. Eagleson
(1995), 23 O.R. (3d) 164 at p. 167, 37 C.P.C. (3d) 252 (Gen. Div.); Royal
Trust Corp. of Canada v. Fisherman (2000), 49 O.R. (3d) 187 (S.C.J.). The
applicant could not be prosecuted for perjury or for giving contradictory
evidence as the information he provided was not under oath before a court.
[58]
In
addition to the express protection afforded by s. 13, section 7 of the Charter
has been held to provide witnesses with “derivative use immunity”. Derivative
use immunity protects against the use of any evidence obtained as a result of compelled
testimony. This is part of the right against
self-incrimination: R .v S. (R.J.), [1995] 1 S.C.R. 451; British Columbia (Securities Commission) v. Branch, [1995] 2 S.C.R. 3 at p.
14, 123 D.L.R. (4th) 462. While the applicant was not under oath at the hearing
and was not before a court, the circumstances under which the hearing was
conducted effectively compelled him to answer the Board’s questions. The
information he provided was not volunteered and, in my view, could not be used by
the authorities to uncover other inculpatory evidence to be used against him in
a subsequent criminal proceeding.
[59]
In
other words, any admission that the applicant may have made in these
proceedings about his involvement in criminal organizations could not have been
used against him as evidence in any prosecution for the offence of
participation in a criminal organization or any other substantive offence of
which he may be suspected.
[60]
The
decision whether or not to charge the applicant with the offence of
participation in a criminal organization rested with the police and Crown
Attorneys. They had that opportunity when the applicant was arrested in 2003
and chose not to exercise it for reasons that are unknown to this Court and are
not, in any case, material. The enforcement authorities could not now revisit
that decision on the basis of anything learned from the offender during his detention
review hearing. As discussed above, they could not re-open the plea
arrangements that were entered into between the Crown and the applicant, and
approved by the Ontario Superior Court, that led to the withdrawal of charges at
the time of his plea. No unfairness relating to
possible jeopardy resulted from asking the offender about these matters in 2009.
[61]
In
reaching this conclusion, I am mindful that the principle of stare decisis
dictates that a court is normally bound to follow any case decided by a court
above it in the hierarchy. This is to ensure certainty, predictability and
consistency in the law: Segnitz v. Royal & Sun Alliance Co. of Canada
(2005), 76 O.R. (3d) 161, 255 D.L.R. (4th) 633 (O.C.A.). However, stare decisis is no longer as
rigid as it formerly was: Lefebvre c. Québec (Commission des Affaires Sociales)
[1991] R.J.Q. 1864, 39 Q.A.C. 206 (Q.C.A.). Inferior courts
are not bound by propositions of law incorporated into the ratio decidendi
of a higher court’s decision which had merely been assumed to be correct
without argument. This also applies to expressions of opinion that do not form
part of the ratio: Baker v. The Queen, [1975] A.C. 774, [1975] 3 All ER
55; R.
v. Henry,
2005 SCC 76, [2005] 3 S.C.R. 609 at para. 57.
[62]
In
my view, the comments of the majority of the Federal Court of Appeal at
paragraphs 34-36 of Coscia were not intended to set down a binding
proposition of law but were rather offered as words of guidance to the Board to
assist it to avoid entering into confusing ambiguity that would deny an
applicant the right to a fair hearing. Those remarks were intended to be
helpful but do not form part of the ratio decidendi of the decision. The
ratio in Coscia turned on the particular facts of that case.
[63]
The
offender in Coscia was attempting to regain conditional release. In
doing so, he denied the implication that he was in some way associated with
traditional organized crime. The Board, in attempting to elicit answers from
him about his criminal behaviour, did not allow him to explain the distinction
he wished to make. At paragraph 35, the Court of Appeal notes that counsel
attempted to draw the Board’s attention to this without success. In the result,
the majority found that the respondent was denied a fair hearing. In the
instant case, the applicant was given several opportunities to deny any association
with organized crime and explain his criminal history.
[64]
There
appears to have been no submissions to the Federal Court of Appeal in Coscia
similar to those which have been presented to this Court with respect to the
application of the protections against self-incrimination or discussion of the
principles respecting plea negotiations and abuse of process that would prevent
an offender being placed in jeopardy by reason of the Board’s questions. Accordingly,
I do not consider the views expressed in paragraphs 34-36 of Coscia to
be dispositive of this case.
[65]
I
note that in Allaire v. Canada (Attorney General) 2010 FC 132, my
colleague Justice Michel Shore observed that Coscia placed the Board in
a very difficult position with respect to the nature and scope of questioning
available to it. Nonetheless, he considered himself bound by the cited passages.
Having read my colleague’s reasons closely, it does not appear that the considerations
I have discussed above were argued before him. For that reason, judicial comity
does not compel me to reach a similar conclusion. I agree, however, with his
observations about the difficulties that would flow from a too rigid
interpretation of Coscia. In this case, for example, it might have prevented
the Board from inquiring into matters that go directly to the heart of the
offender’s criminal history and the risk he presents to society. That cannot
have been the Court of Appeal’s intention.
Was the decision
to detain until warrant expiry reasonable?
[66]
The
applicant submits that the decision to order his continued detention is
unreasonable because it was made without evidence. This assertion is based
largely on a notation in the Assessment for Decision prepared by CSC officials
which reads as follows:
There is no concrete information compelling the
conclusion that the offender is planning to commit a serious drug offense
before the expiration of the offender's sentence according to law.
[67]
This
statement appears at page 9 of a 10 page appraisal and analysis of detention
criteria. The document goes on to say:
The subject’s preventive security file continues to
grow and contains a number of volumes. There is ongoing intelligence
information implicating the subject in drug subculture activity, however, all
of the information remains unsubstantiated to date.
However, as already stated, there is no evidence
that Fernandez has severed his association with Traditional Organized Crime. As
serious drug offending characterized Fernandez’s TOC involvement in the past,
there is every likelihood that it will continue to flavour his activity in the
future.
[68]
The
conclusion reached in this document was that there were reasonable grounds to
believe that the offender was likely to commit a serious drug offence before
the expiration of his sentence. As I read the assessment as a whole, while CSC
officials may have lacked concrete evidence of a plan to commit a crime, they were
convinced that the applicant would return to the serious drug offending that
had characterized his behaviour following previous releases. This was, in part,
because of his continuing association with organized crime figures. That was
relevant information for the Board to take into consideration.
[69]
In
argument, the respondent drew particular attention to the role illicit drugs
played in the applicant’s criminal history from 1978 to 2004, to the
seriousness of his drug convictions, including: (i) possession for the purpose
of trafficking (3kg of cocaine), (ii) conspiracy to import 8kg of hash oil into
Canada, and (iii) conspiracy to import 1000kg of cocaine into Canada. His manslaughter conviction was related to drug trafficking. The respondent noted
other relevant information such as: the applicant’s acquittal in 1988 of
charges of conspiracy to traffic in drugs; marijuana charges that were
withdrawn in 2004; his reported indifference as to the consequences to others
as a result of his criminal behaviour; the psychological evidence pointing to
his “denial and minimization” of his conduct; and his criminal associations.
[70]
Based
on the evidence as a whole, and in light of the factors which the governing
legislation requires to be taken into consideration, it cannot be said that the
Board made an unreasonable finding in concluding that the applicant was likely
to commit a serious drug offence prior to his warrant expiry date. The
applicant’s long history of criminality, much of which has involved trafficking
in drugs, amply supported that conclusion.
[71]
In
the result, I am satisfied that the decision of the Appeal Division to uphold
the Board’s decision was reasonable and that the applicant was not denied
procedural fairness by the manner in which he was questioned. This application
will be dismissed. While the respondent has been entirely successful, I do not
think it appropriate to award costs in a matter arising from a detention
decision.
JUDGMENT
THIS
COURT’S JUDGMENT is that this application is dismissed. No
costs are awarded.
“Richard G. Mosley”