Date: 20070724
Docket: DES-4-06
Citation: 2007 FC 766
Ottawa, Ontario, July 24, 2007
PRESENT: The Honourable Mr. Justice Simon Noël
BETWEEN:
ATTORNEY
GENERAL OF CANADA
Applicant
and
COMMISSION
OF INQUIRY INTO THE ACTIONS OF CANADIAN
OFFICIALS IN
RELATION TO MAHER ARAR
and MAHER
ARAR
Respondents
TABLE OF CONTENT
1. Background and Facts.................................................................................................................. 3
(A) Establishing the Inquiry................................................................................................... 3
(B) Mandate of the Commissioner........................................................................................ 5
(C) Protection of Sensitive
Information................................................................................ 8
(D) Commissioner’s Notice to
Disclose............................................................................... 12
2. Procedural
Overview.................................................................................................................. 14
3. Legislative
Framework (The Judicial Test to be Met)................................................................... 17
4. Issues......................................................................................................................................... 20
(A) The Deference Issue....................................................................................................... 20
(B) Some of the Principles and
Concepts at Play............................................................... 20
5. Analysis..................................................................................................................................... 20
(A) The Deference Issue....................................................................................................... 20
(B) Some of the Principles and
Concepts at Play............................................................... 23
(I) The Ribic Three-Part
Test........................................................................................... 23
(II) The Relevancy of the Redacted
Information................................................................. 25
(III) Providing Some Meaning to the
Concept of “Injury”.................................................... 27
(a) Information in the Public
Domain......................................................................... 32
(b) Information Critical of the
Government or which would bring Embarrassment to the Government............................................................................................................................... 36
(IV) Some Meaning to the Concept
of “International Relations”.......................................... 38
(V) Some Meaning to the Concept
of “National Defence”................................................. 38
(VI) Some Meaning to the Concept
of “National Security”.................................................. 39
(VII) The Third Party Rule................................................................................................... 46
(VIII) The Mosaic Effect....................................................................................................... 52
(IX) The Impact of Disclosure on
International Relations...................................................... 55
(a) Disclosure of Comments made by
Foreign Officers.............................................. 55
(b) Public Criticism of Foreign
Governments............................................................ 56
(X) If Injury is found to exist,
which Interest prevails, the Public Interest in Disclosure or the Public
Interest in Non-Disclosure................................................................................................................... 57
6. Brief
Comments on the Ex Parte (In Camera) Decision............................................................. 62
7. Conclusion................................................................................................................................. 62
REASONS FOR JUDGMENT AND JUDGMENT
[1]
This
is an application by the Attorney General of Canada pursuant to section 38.04
of the Canada Evidence Act, R.S.C. 1985, c. C-5 (CEA) for an order by
the Federal Court prohibiting the disclosure of certain redacted portions of
the public report, issued by the Commission of Inquiry into the Actions of
Canadian Officials in Relation to Maher Arar (“Commission” or “Inquiry”), on the
basis that disclosure of this information would be injurious to international
relations, national defence or national security. This is the public
judgment. A twin ex parte (in camera) judgment has also been issued today.
In the ex parte (in camera) judgment, I have applied the principles
which are explained in this judgment to the particular factual situation of the
file.
1. Background and Facts
(A) Establishing
the Inquiry
[2]
Maher
Arar is a Canadian citizen, who was never charged with any criminal offence in
Canada, the United States, or Syria. On September 26, 2002, while transiting
through John F. Kennedy International Airport in New York, Mr. Arar was
arrested and detained by American officials for 12 days. He was then removed against
his will to Syria, the country of his birth. Mr. Arar was imprisoned in Syria
for nearly one year, where he was interrogated, tortured, and held in degrading
and inhuman conditions. On October 5, 2003, Mr. Arar returned to Canada. These
events attracted a great deal of media attention, including concerns about the
role Canadian officials may have played in Mr. Arar’s detention in the United
States, his removal to Syria, and his imprisonment and treatment while in
Syria.
[3]
On
February 5, 2004, the Governor-in-Council adopted Order-in-Council 2004-48
(Terms of Reference) on recommendation of the Deputy Prime Minister and the
Minister of Public Safety and Emergency Preparedness. The Terms of Reference
established a public Commission of Inquiry into the Actions of Canadian
Officials in Relation to Maher Arar, under Part I of the Inquiries Act, R.S.C. 1985, c. I-11.
The Honourable Dennis O’Connor, Associate Chief Justice of Ontario, was
appointed Commissioner and was given a dual mandate: (a) to investigate and
report on the actions of Canadian officials in relation to the deportation and
detention of Maher Arar (Factual Inquiry); and (b) to recommend an independent
review mechanism for the RCMP’s national security activities (Policy Review). By
subsequent Order-in-Council dated February 12, 2004, the Inquiry was added to
the schedule of the CEA which lists entities who can receive information
injurious to international relations, national defence, or national security
without having to provide notice to the Attorney General under section 38.01 of
the CEA.
[4]
It
is important to note that this application relates only to the public report
outlining the Commissioner’s findings in the Factual Inquiry.
(B) Mandate of
the Commissioner
[5]
In
the words of Justice Cory, writing for the majority of the Supreme Court in Phillips
v. Nova Scotia (Commission of Inquiry into the Westray Mine Tragedy),
[1995] 2 S.C.R. 97 at paragraph 62, the purpose and the significance of a
commission of inquiry is the following:
One of
the primary functions of public inquiries is fact‑finding. They are
often convened, in the wake of public shock, horror, disillusionment, or
scepticism, in order to uncover "the truth". Inquiries are,
like the judiciary, independent; unlike the judiciary, they are often endowed
with wide‑ranging investigative powers. In following their
mandates, commissions of inquiry are, ideally, free from partisan loyalties and
better able than Parliament or the legislatures to take a long‑term view
of the problem presented. Cynics decry public inquiries as a means used
by the government to postpone acting in circumstances which often call for
speedy action. Yet, these inquiries can and do fulfil an important
function in Canadian society. In times of public questioning, stress and
concern they provide the means for Canadians to be apprised of the conditions
pertaining to a worrisome community problem and to be a part of the
recommendations that are aimed at resolving the problem. Both the status
and high public respect for the commissioner and the open and public nature of
the hearing help to restore public confidence not only in the institution or
situation investigated but also in the process of government as a whole.
They are an excellent means of informing and educating concerned members of the
public.
[6]
The
Commission’s Terms of Reference in respect to the Factual Inquiry required the
Commissioner to:
(a) to investigate and report on
the actions of Canadian officials in relation to Maher Arar, including with
regard to
(i)
the
detention of Mr. Arar in the United States,
(ii)
the
deportation of Mr. Arar to Syria via Jordan,
(iii)
the
imprisonment and treatment of Mr. Arar in Syria,
(iv)
the return
of Mr. Arar to Canada, and
(v)
any other
circumstances directly related to Mr. Arar that the Commissioner considers
relevant to fulfilling this mandate.
[7]
In
order to allow the Commissioner to successfully complete his mandate, the Terms
of Reference gave him broad powers over the rules of procedure which would
govern the Inquiry. Among the most important parameters for the Commission
were the following:
[…]
(e)
the
Commissioner be authorized to adopt any procedures and methods that he may consider expedient
for the proper conduct of the inquiry, and to sit at any times and in any
places in Canada that he may decide;
(f)
the
Commissioner be authorized to grant to any person who satisfies him that he or
she has a substantial and direct interest in the subject-matter of the factual
inquiry an opportunity during that inquiry to give evidence and to examine or
cross-examine witnesses personally or by counsel on evidence relevant to the
person’s interest;
[…]
(k)
the
Commissioner be directed, in conducting the inquiry, to take all steps
necessary to prevent disclosure of information that, if it were disclosed to
the public, would, in the opinion of the Commissioner, be injurious to international
relations, national defence or national security and, where applicable, to
conduct the proceedings in accordance with the following procedures, namely,
(i)
on
the request of the Attorney General of Canada, the Commissioner shall receive
information in camera and in the absence of any party and their counsel
if, in the opinion of the Commissioner, the disclosure of that information
would be injurious to international relations, national defence or national
security,
(ii)
in
order to maximize disclosure to the public of relevant information, the
Commissioner may release a part or a summary of the information received in
camera and shall provide the Attorney General of Canada with an opportunity
to comment prior to its release, and
(iii)
if the
Commissioner is of the opinion that the release of a part or a summary of the
information received in camera would provide insufficient disclosure to
the public, he may advise the Attorney General of Canada, which advice shall
constitute notice under section 38.01 of the Canada Evidence Act;
(l)
the
Commissioner be directed, with respect to the preparation of any report
intended for release to the public, to take all steps necessary to prevent the
disclosure of information that, if it were disclosed to the public, would, in the
opinion of the Commissioner, be injurious to international relations, national
defence or national security;
[8]
The
Terms of Reference ensured that the Commissioner would have access to all
information he deemed necessary to fully investigate the events surrounding the
Maher Arar affair, while guaranteeing that information injurious to international
relations, national defence or national security would not be disclosed without
prior authorization from the Government. In particular, section (k) of the Terms
of Reference establishes how the Commission is to handle information that is
subject to national security confidentiality.
[9]
In
a July 19, 2004 ruling on confidentiality, the Commissioner determined that he
would apply the same test that a reviewing judge would apply under subsection
38.06(2) of the CEA when making determinations as to whether information for
which national security confidentiality is claimed should be disclosed under
section (k) of the Terms of Reference. At page 16 of the ruling the
Commissioner wrote (Ruling is available online at www.ararcommission.ca):
I am of the view that the process set out
in the Terms of Reference [section (k)] contemplates that I should, at this
stage, apply the same test that a reviewing judge would apply under s. 38.06(2)
of the Canada Evidence Act.
The Government
did not apply for a judicial review of the Commissioner’s July 19, 2004 ruling.
(C) Protection of
Sensitive Information
[10]
The
Commissioner developed and published Rules of Procedure and Practice (Rules),
as per his power under section (e) of the Terms of Reference. The Rules
addressed in detail the process for receiving evidence subject to national
security confidentiality claims. According to the Rules, the Commissioner was
to convene an in camera hearing to hear all evidence over which the
Government asserted a national security confidentiality claim. After hearing
all evidence in camera, the Commissioner would periodically rule as to
the validity of the national security confidentiality claim asserted. As
stated above, such determinations were made by applying the same test that a
reviewing judge would under subsection 38.06(2) of the CEA.
[11]
The
Rules also provided that the Commissioner could appoint an independent legal
counsel to act as amicus curiae during the in camera hearings so
as to test, in an adversarial manner, the Government’s national security
confidentiality claims. The Commissioner appointed the Honourable Ron Atkey to
be the amicus curiae given his expertise in national security matters
and due to the fact that he served as a federal Minister of Employment and
Immigration and as Chair of the Security Intelligence Review Committee (SIRC).
Mr. Atkey was assisted by Mr. Gordon Cameron, who also has an expertise in national
security matters having served for more than ten years as outside counsel for
SIRC. It must also be noted that Mr. Atkey was one of the Commissioner’s
counsel in the present application.
[12]
After
presiding over hearings where government witnesses testified as to the validity
of the national security claims, the Commission also heard evidence from Mr.
Reid Morden, a former Director of CSIS and a former Deputy Minister of the
Department of Foreign Affairs, who has experience dealing with issues of national
security confidentiality. Mr. Morden was retained as an expert advisor and
witness to assist the Commissioner with disclosure decisions. In carrying out
his duties, Mr. Morden reviewed the information over which the Government
claimed national security confidentiality and the reasons why such confidentiality
was claimed, and then testified as to the potential injurious consequences (if
any) the disclosure of this information could have.
[13]
After
the Commissioner’s main evidentiary hearing concluded, Government counsel
engaged in a series of discussions with the Commissioner in regards to the information
that the Commissioner might wish to include in the Factual Inquiry report.
These discussions resolved the vast majority of the disputes as to what
information could not be disclosed for reasons of national security
confidentiality. Nonetheless, after these discussions there remained certain passages
which the Government maintained were not to be disclosed due to national
security confidentiality but that the Commissioner insisted must be disclosed
to the public. These passages were reviewed by senior government officials,
including several Deputy Ministers, which resulted in the Government
authorizing the disclosure of certain passages, notwithstanding the potential
injury of such disclosure. The Ministers were then briefed on the remaining
protected passages, and the Ministers decided not to authorize their
disclosure, regardless of the fact that the Commissioner was of the opinion
that their disclosure was in the public interest and was necessary to fairly
recite the facts surrounding the Arar affair. As it stands approximately 99.5%
of the public report has been disclosed to the public, and only the release of
about 1500 words is contested.
[14]
In
the public report, the passages the Government claims should be protected are
designated by [***], regardless of whether the designation replaces one word,
one sentence or one paragraph. The decision to use this designation was made
by the Government, but controversy has arisen as in the past the Government has
chosen to black out text containing sensitive information, including during the
Inquiry when the Government chose to black out sensitive information contained
in their public exhibits.
[15]
It
is also important to note that the Commissioner declared himself satisfied with
the content of the public report. He stated in different passages throughout
the public report that he was satisfied with the results of the Factual Inquiry,
notwithstanding the expurgated 1500 words. He stated that the report permits a
good understanding of what happened to Mr. Arar. At pages 10 of the Analysis
and Recommendations volume of the public report, the Commissioner wrote:
The Factual Inquiry process
was thorough and comprehensive, and I am satisfied that I have been able to
examine all the Canadian information relevant to the mandate … The process was
complex because of the need to keep some of the relevant information confidential,
to protect national security and international relations interests… However, I
am pleased to say that I am able to make public all of my conclusions and
recommendations, including those based on in camera evidence.
At
pages 11-12 of the Factual Background – Volume I, the Commissioner makes the
following unequivocal statement:
A good deal of
evidence in the Inquiry was heard in closed, or in camera, hearings, but a significant amount of this in camera evidence
can be discussed publicly without compromising
national security confidentiality. For that reason, this Report contains a more extensive summary of the
evidence than might have been the case in
a public inquiry in which all of the hearings were open to the public and all transcripts of evidence are readily
available. While some
evidence
has been left out to protect national security and international relations interests, the Commissioner is satisfied
that this edited account does not
omit
any essential details and provides a sound basis for understanding what happened to Mr. Arar, as far as can be
known from official Canadian sources.
Finally, it should be
noted that there are portions of this public version that have been redacted on the basis of an assertion of national
security confidentiality by the Government that
the Commissioner does not accept. This dispute will be finally resolved after the release of this public
version. Some or all of this
redacted
information may be publicly disclosed in the future after the final resolution of the dispute between the Government and the Commission.
[Emphasis added]
Furthermore, at page 304 of
the Analysis and Recommendations volume, the Commissioner wrote:
The Inquiry is now complete
and I am comfortable that, in the end, I was able to get to the bottom of the
issues raised by the mandate, as I had access to all the relevant material,
regardless of any NSC claims. In this report, I have disclosed additional
information that was not available for the public hearings.
(D) Commissioner’s
Notice to Disclose
[16]
The
Commission prepared two different reports at the conclusion of the Factual
Inquiry: an in camera report, which includes sensitive information which
may be injurious to international relations, national defence or national security;
and a public report, which was released on September 18, 2006. As discussed
above, the Government took issue with some of the information contained within
the public report, and as a result chose to redact certain portions of it on
the basis that the release of these portions of the report would cause injury
to Canada’s international relations, national defence, or national security.
[17]
On
September 18, 2006 the Commissioner sent the public report, detailing the
findings of the Factual Inquiry, to the Privy Council. With the report, the
Commissioner included a letter to the clerk of the Privy Council stating that
the information redacted from the report is information that can be disclosed
to the public and is necessary to fairly recite the facts surrounding the Arar
affair. In response the Government filed the present application, pursuant to
section 38.04 of the CEA, asking the Court to prohibit the disclosure of the
redacted portions of the public report on the basis that they contain
information that if disclosed would be injurious to international relations,
national defence or national security.
[18]
On
September 26, 2006, the Senior Assistant Deputy Minister of Justice informed
the Commissioner that the Attorney General had received notice, pursuant to subsection
38.02(1.1) of the CEA, that sensitive or potentially injurious information may
be disclosed in connection with the Inquiry and “accordingly, the Commissioner,
having provided notice on September 18, 2006, is free to disclose the
information after 10 days has elapsed” (Application Record of the Attorney
General, Affidavit of Simon Fothergill, Exhibit C, page 30).
[19]
The
same day, the Deputy Attorney General wrote to the Commissioner informing him
that the Government was bringing an application to the Federal Court, pursuant
to section 38.04 of the CEA, for an order prohibiting the Commission from
disclosing the redacted information.
2. Procedural Overview
[20]
On
December 6, 2006, the Attorney General filed the present application with the
Federal Court, pursuant to section 38.04 of the CEA, seeking to prohibit the
disclosure of the redacted portions of the Commissioner’s public report.
[21]
In
accordance with section 38.11 of the CEA the entire application record was initially
private. On December 20, 2006 Chief Justice Lutfy, with the consent of the
Attorney General, made an order allowing some documents in the case to be made
public. It is to be noted that unlike most other cases dealing with issues
under section 38 of the CEA one of the respondents (the Commission) has had
access to the entire record and has participated in all in camera
proceedings, as the Commission’s counsel had access to all the information at
issue during the Inquiry. Thus, only the respondent Maher Arar was denied access
to the “private” materials and was excluded from the in camera
hearing.
[22]
On
February 5, 2007, Chief Justice Lutfy rendered his decision in Toronto Star
Newspapers Ltd v. Canada, 2007 FC 128 [Toronto Star]. In his
decision the Chief Justice looked to the Supreme Court’s decision in Ruby v.
Canada (Solicitor General), [2002] 4 S.C.R. 3, where provisions similar to
section 38.11 of the CEA contained in the Privacy Act, R.S.C. 1985, c.
P-21 were found to be constitutionally overbroad. In his decision, the Chief
Justice concluded that the provisions requiring section 38 of the CEA applications
be heard in private violated subsection 2(b) of 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 [Charter], and could
not be saved by section 1 of the Charter. More specifically, Chief
Justice Lutfy found that the combined effect of subsections 38.04(4), 38.11(1)
and 38.12(2) of the CEA violated the open court principle which is enshrined
under subsection 2(b) of the Charter, and that this violation could not
be saved by section 1 (Toronto Star, at paragraphs 39, 70-72). The
Chief Justice determined that the appropriate remedy to this Charter
violation would be to read down the impugned sections of the CEA so that these
sections apply only to the ex parte submissions provided for in
subsection 38.11(2) of the CEA (Toronto Star, at paragraph 83). Given
this decision, the content of this application’s “private” file was reviewed
and documents which could be classified as “public” became part of the public
file, while sensitive information and documents remained part of an ex parte
(in camera) file.
[23]
On
April 30, 2007, the Court heard a full day of public submissions in this
matter. Subsequently, numerous days of ex parte (in camera)
(excluding the Respondent Maher Arar and his counsel) submissions were held.
[24]
Following
a request from the Court to review the ex parte (in camera) affidavits
filed in the case given the decision and the approach taken by Chief Justice
Lutfy in Toronto Star, on May 10, 2007 counsel for the Attorney General
wrote to inform the Court that the Attorney General and the Commission had
consented to the disclosure of five ex parte (in camera) affidavits,
if portions of these remained redacted. Consequently, on May 14, 2007 the
Court publicly released redacted versions of some of the ex parte (in
camera) affidavits, namely those of Mr. Reid Morden, Chief Superintendant
Richard Evans, Mr. Geoffrey O’Brian, X (an anonymous RCMP official), and Mr.
Daniel Livermore. These affidavits became part of the public file. The
contents of these affidavits are discussed in the analysis section of this
judgment.
[25]
In
response to the release of these affidavits, the Court scheduled a public
hearing on the morning of May 23, 2007 to allow the Respondent, Maher Arar, to
make submissions on the released affidavits. Following this hearing, the ex
parte (in camera) hearing was resumed. The ex parte (in
camera) hearing concluded this same day.
[26]
I
also note that I asked counsel for both parties to address whether the
Commission’s in camera report, which was submitted to the Privy Council,
should be made available to the Court. The parties agreed to this request and
the Commission’s in camera report was made available to the Court.
[27]
As
stated earlier, I have chosen to write both a public and an ex parte (in
camera) decision in this matter. The public decision will deal with the
general principles at issue in this application whereas the ex parte (in
camera) decision will apply the principles elaborated in the public
decision to the specific information at issue in this application.
3.
Legislative Framework (The Judicial Test to be Met)
[28]
For
the sake of completeness and for reference purposes I have reproduced below the
sections of the CEA which are most relevant to the present application.
38.01 (1) Every participant
who, in connection with a proceeding, is required to disclose, or expects to
disclose or cause the disclosure of, information that the participant
believes is sensitive information or potentially injurious information shall,
as soon as possible, notify the Attorney General of Canada in writing of the
possibility of the disclosure, and of the nature, date and place of the
proceeding.
[…]
|
38.01 (1) Tout
participant qui, dans le cadre d’une instance, est tenu de divulguer ou
prévoit de divulguer ou de faire divulguer des renseignements dont il croit
qu’il s’agit de renseignements sensibles ou de renseignements potentiellement
préjudiciables est tenu d’aviser par écrit, dès que possible, le procureur
général du Canada de la possibilité de divulgation et de préciser dans l’avis
la nature, la date et le lieu de l’instance.
[(…)]
|
38.02 (1) Subject to
subsection 38.01(6), no person shall disclose in connection with a proceeding
(a) information about which notice is given
under any of subsections 38.01(1) to (4);
(b) the fact that notice is given to the
Attorney General of Canada under any of subsections 38.01(1) to (4), or to
the Attorney General of Canada and the Minister of National Defence under
subsection 38.01(5);
(c) the fact that an application is made to
the Federal Court under section 38.04 or that an appeal or review of an order
made under any of subsections 38.06(1) to (3) in connection with the
application is instituted; or
(d) the fact that an agreement is entered
into under section 38.031 or subsection 38.04(6).
(1.1) When an entity listed in the
schedule, for any purpose listed there in relation to that entity, makes a
decision or order that would result in the disclosure of sensitive
information or potentially injurious information, the entity shall not
disclose the information or cause it to be disclosed until notice of intention
to disclose the information has been given to the Attorney General of Canada
and a period of 10 days has elapsed after notice was given.
(2) Disclosure of the
information or the facts referred to in subsection (1) is not prohibited if
(a) the Attorney General of Canada
authorizes the disclosure in writing under section 38.03 or by agreement
under section 38.031 or subsection 38.04(6); or
(b) a judge authorizes the disclosure under subsection
38.06(1) or (2) or a court hearing an appeal from, or a review of, the order
of the judge authorizes the disclosure, and either the time provided to
appeal the order or judgment has expired or no further appeal is available.
|
38.02 (1) Sous réserve du
paragraphe 38.01(6), nul ne peut divulguer, dans le cadre d’une instance :
a) les renseignements qui font l’objet d’un avis donné au
titre de l’un des paragraphes 38.01(1) à (4);
b) le fait qu’un avis est donné au procureur général du
Canada au titre de l’un des paragraphes 38.01(1) à (4), ou à ce dernier et au
ministre de la Défense nationale au titre du paragraphe 38.01(5);
c) le fait qu'une demande a été présentée à la Cour
fédérale au titre de l'article 38.04, qu'il a été interjeté appel d'une
ordonnance rendue au titre de l'un des paragraphes 38.06(1) à (3) relativement
à une telle demande ou qu'une telle ordonnance a été renvoyée pour examen;
d) le fait qu’un accord a été conclu au titre de l’article
38.031 ou du paragraphe 38.04(6).
(1.1) Dans le cas où une entité
mentionnée à l’annexe rend, dans le cadre d’une application qui y est
mentionnée en regard de celle-ci, une décision ou une ordonnance qui
entraînerait la divulgation de renseignements sensibles ou de renseignements
potentiellement préjudiciables, elle ne peut les divulguer ou les faire
divulguer avant que le procureur général du Canada ait été avisé de ce fait
et qu’il se soit écoulé un délai de dix jours postérieur à l’avis.
(2) La divulgation des renseignements ou des
faits visés au paragraphe (1) n’est pas interdite :
a) si le procureur général du Canada l’autorise par écrit
au titre de l’article 38.03 ou par un accord conclu en application de
l’article 38.031 ou du paragraphe 38.04(6);
b) si le juge l’autorise au titre de l’un des paragraphes
38.06(1) ou (2) et que le délai prévu ou accordé pour en appeler a expiré ou,
en cas d’appel ou de renvoi pour examen, sa décision est confirmée et les
recours en appel sont épuisés.
|
38.04 (1) The Attorney
General of Canada may, at any time and in any circumstances, apply to the
Federal Court for an order with respect to the disclosure of information
about which notice was given under any of subsections 38.01(1) to (4).
[…]
(4) An application under this
section is confidential. Subject to section 38.12, the Chief Administrator of
the Courts Administration Service may take any measure that he or she
considers appropriate to protect the confidentiality of the application and
the information to which it relates.
(5) As soon as the Federal Court
is seized of an application under this section, the judge
(a) shall hear the representations of the
Attorney General of Canada and, in the case of a proceeding under Part III of
the National Defence Act, the Minister of National Defence, concerning
the identity of all parties or witnesses whose interests may be affected by
either the prohibition of disclosure or the conditions to which disclosure is
subject, and concerning the persons who should be given notice of any hearing
of the matter;
(b) shall decide whether it is necessary to
hold any hearing of the matter;
(c) if he or she decides that a hearing
should be held, shall
(i) determine who should be given notice of
the hearing,
(ii) order the Attorney General of Canada to
notify those persons, and
(iii) determine the content and form of the
notice; and
(d) if he or she considers it appropriate
in the circumstances, may give any person the opportunity to make
representations.
|
38.04 (1) Le procureur
général du Canada peut, à tout moment et en toutes circonstances, demander à
la Cour fédérale de rendre une ordonnance portant sur la divulgation de
renseignements à l'égard desquels il a reçu un avis au titre de l'un des
paragraphes 38.01(1) à (4).
([…])
(4) Toute demande présentée en
application du présent article est confidentielle. Sous réserve de l'article
38.12, l'administrateur en chef du Service administratif des tribunaux peut
prendre les mesures qu'il estime indiquées en vue d'assurer la
confidentialité de la demande et des renseignements sur lesquels elle porte.
(5) Dès que la Cour fédérale est saisie d'une
demande présentée au titre du présent article, le juge :
a) entend les observations du procureur général du Canada —
et du ministre de la Défense nationale dans le cas d'une instance engagée
sous le régime de la partie III de la Loi sur la défense nationale —
sur l'identité des parties ou des témoins dont les intérêts sont touchés par
l'interdiction de divulgation ou les conditions dont l'autorisation de
divulgation est assortie et sur les personnes qui devraient être avisées de
la tenue d'une audience;
b) décide s'il est nécessaire de tenir une audience;
c) s'il estime qu'une audience est nécessaire :
(i) spécifie les personnes qui devraient en être
avisées,
(ii) ordonne au procureur
général du Canada de les aviser,
(iii) détermine le contenu et
les modalités de l'avis;
d) s'il l'estime indiqué en l'espèce, peut donner à
quiconque la possibilité de présenter des observations.
|
38.06 (1) Unless the judge concludes that the disclosure of the
information would be injurious to international relations or national defence
or national security, the judge may, by order, authorize the disclosure of
the information.
(2) If the judge concludes that the disclosure
of the information would be injurious to international relations or national
defence or national security but that the public interest in disclosure
outweighs in importance the public interest in non-disclosure, the judge may
by order, after considering both the public interest in disclosure and the
form of and conditions to disclosure that are most likely to limit any injury
to international relations or national defence or national security resulting
from disclosure, authorize the disclosure, subject to any conditions that the
judge considers appropriate, of all of the information, a part or summary of
the information, or a written admission of facts relating to the information.
(3) If the judge does not authorize disclosure
under subsection (1) or (2), the judge shall, by order, confirm the
prohibition of disclosure.
(3.1) The judge may receive into
evidence anything that, in the opinion of the judge, is reliable and
appropriate, even if it would not otherwise be admissible under Canadian law,
and may base his or her decision on that evidence.
(4) A person who wishes to introduce into
evidence material the disclosure of which is authorized under subsection (2)
but who may not be able to do so in a proceeding by reason of the rules of
admissibility that apply in the proceeding may request from a judge an order
permitting the introduction into evidence of the material in a form or
subject to any conditions fixed by that judge, as long as that form and those
conditions comply with the order made under subsection (2).
(5) For the purpose of subsection (4), the judge
shall consider all the factors that would be relevant for a determination of
admissibility in the proceeding.
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38.06 (1) Le juge peut
rendre une ordonnance autorisant la divulgation des renseignements, sauf s’il
conclut qu’elle porterait préjudice aux relations internationales ou à la
défense ou à la sécurité nationales.
(2) Si le juge conclut que la divulgation des
renseignements porterait préjudice aux relations internationales ou à la
défense ou à la sécurité nationales, mais que les raisons d’intérêt public
qui justifient la divulgation l’emportent sur les raisons d’intérêt public
qui justifient la non-divulgation, il peut par ordonnance, compte tenu des
raisons d’intérêt public qui justifient la divulgation ainsi que de la forme
et des conditions de divulgation les plus susceptibles de limiter le
préjudice porté aux relations internationales ou à la défense ou à la
sécurité nationales, autoriser, sous réserve des conditions qu’il estime
indiquées, la divulgation de tout ou partie des renseignements, d’un résumé
de ceux-ci ou d’un aveu écrit des faits qui y sont liés.
(3) Dans le cas où le juge n’autorise pas la
divulgation au titre des paragraphes (1) ou (2), il rend une ordonnance
confirmant l’interdiction de divulgation.
(3.1) Le juge peut recevoir et
admettre en preuve tout élément qu’il estime digne de foi et approprié — même
si le droit canadien ne prévoit pas par ailleurs son admissibilité — et peut
fonder sa décision sur cet élément.
(4) La personne qui veut faire admettre en
preuve ce qui a fait l’objet d’une autorisation de divulgation prévue au
paragraphe (2), mais qui ne pourra peut-être pas le faire à cause des règles
d’admissibilité applicables à l’instance, peut demander à un juge de rendre
une ordonnance autorisant la production en preuve des renseignements, du
résumé ou de l’aveu dans la forme ou aux conditions que celui-ci détermine,
dans la mesure où telle forme ou telles conditions sont conformes à
l’ordonnance rendue au titre du paragraphe (2).
(5)
Pour l’application du paragraphe (4), le juge prend en compte tous les
facteurs qui seraient pertinents pour statuer sur l’admissibilité en preuve
au cours de l’instance.
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4. Issues
(A) The Deference Issue
(B)
Some
of the Principles and Concepts at Play
5. Analysis
(A)
The
Deference Issue
[29]
Both
Respondents submit that the Court should accord deference to the Commissioner’s
rulings as to what information can be disclosed. The Commission, in its submissions,
uses the pragmatic and functional approach to conclude that the Commissioner’s
findings as to whether certain information can be disclosed, notwithstanding
the Government’s national security confidentiality claim, should be reviewed on
the reasonableness standard.
[30]
The
Attorney General, for his part, did not directly address the question of deference
to the Commissioner in his submissions. However, counsel for the Attorney
General did speak to this issue at the public hearing. The Attorney General, in
oral submissions, argued that the Commissioner’s rulings as to whether the
information at issue can be disclosed should be afforded no deference given the
wording of the Terms of Reference, the role, the structure of the Commission,
and the wording of section 38 of the CEA.
[31]
I
agree with the Attorney General. The position of the Respondents is
unpersuasive on this point. The CEA is clear: where the Federal Court is
seized with an application to determine whether information can be disclosed
under section 38.04, the Court after applying the criteria set out at section
38.06 makes a determination as to the whether the information in question
should be disclosed. This wording indicates that the Court’s role under
sections 38.04 and 38.06 of the CEA is to rule on whether particular
information can be disclosed. This judicial obligation cannot be delegated. Thus,
to accord deference to the Commissioner’s findings, as per the Respondents’
submissions, would result in the Court abdicating its role and judicial
obligations under the CEA.
[32]
This
being said, the jurisprudence is also clear that the Court’s role under section
38 of the CEA is not to judicially review a decision to disclose information. As
the Federal Court of Appeal wrote in Canada (Attorney General) v. Ribic,
2003 FCA 246 [Ribic]:
It is important to remind
ourselves that proceedings initiated pursuant to section 38.04 of the Act
for an order regarding disclosure of information are not judicial review
proceedings. They are not proceedings aimed at reviewing a decision of the
Attorney General not to disclose sensitive information. The prohibition to
disclose sensitive information is a statutory one enacted by paragraph
38.02(1)(a) [as enacted by S.C. 2001, c.41, s.43] of the Act …
[Emphasis added]
This
was also recently affirmed by Justice Mosley in Attorney General of Canada
v. Mohammed Momin Khawaja, 2007 FC 490 at paragraph 61 [Khawaja].
[33]
Having
said this, the Court is fully aware that the Commission has considered the
matters referred to in the Terms of Reference in detail. Moreover, this Court
also recognizes that the point of view expressed by the Commissioner in his
rulings, and his subsequent reports, are valuable to the decision that has to
be made in the present application.
[34]
As
a general rule, a commission acts independently of the Government when
conducting its inquiry and when it subsequently reports its conclusions and
recommendations. However, as per paragraph 39(2)(a) of the CEA, a commission’s
report once filed with the Governor-in-Council becomes a confidence of the Privy
Council. Thus, it is the executive who possesses complete power over whether
to make a commission’s final report public. Nonetheless, it goes without saying
that if the executive chooses not to release a commission’s report it would
certainly have to account to the Canadian public.
[35]
In
the situation at hand, the executive, on the advice of the Ministers consulted,
chose to redact approximately 1500 words from the public report that the
Commissioner submitted to the Privy Council. The executive then took steps, under
section 38 of the CEA, to obtain an order from this Court prohibiting the
disclosure of the redacted passages.
[36]
This
is the situation that the present application creates. I feel that it is
important to reiterate that the Court, contrary to other section 38
applications, had the benefit of assessing the ex parte (in camera)
hearings from different view points given that both the Commission and the
Attorney General made submission at these hearings. The fact that I heard from
both the Applicant and one of the Respondents can be useful in making a
decision. Having said that, this Court will now fully assume all of its judicial
obligations as prescribed by the CEA.
(B)
Some
of the Principles and Concepts at Play
(I) The Ribic Three-Part Test
[37]
The
parties agree that the Court must apply the section 38.06 of the CEA scheme to
determine whether disclosure of the information at issue in the present
application should be prohibited. The section 38.06 scheme demands that the
Court apply a three-step test, which was clarified by the Federal Court of
Appeal in Ribic, at paragraphs 17-21. The first step of the scheme demands
that the party seeking disclosure establish that the information, for which
disclosure is sought, is relevant. The second step demands that the Attorney
General establish that disclosure of the information at issue would be injurious
to international relations, national defence, or national security. If injury
is found to exist, the last step asks the Court to determine whether the public
interest in disclosure outweighs the public interest in non-disclosure, and
thus whether the information at issue should be disclosed.
[38]
I
feel it is important to emphasize that the Federal Court of Appeal’s decision Ribic
is in no way put in doubt by this decision. All parties are in agreement
that the framework established in Ribic must be applied to determine
whether the information at issue in this application can be disclosed. This
being said, the facts giving rise to Ribic are very different from the
facts in the present application. In the case at hand, we are dealing with a commission
of inquiry with a mandate to investigate the actions of Canadian officials in
the Arar affair, whereas Ribic dealt with how much of the information
provided by two witnesses had to be disclosed at a criminal trial. In my
view, the interests at stake are different in these two contexts: in the
criminal context a person’s liberty and security interests are at stake;
whereas a commission of inquiry plays a unique and useful role as it undertakes
a fact-finding missions to inform Canadians and provide recommendations to the
Government regarding a particular situation of crisis so as to restore public
confidence in the process of government.
[39]
Consequently,
I will apply the Ribic framework, but will attempt to contextualize it
given the particularities giving rise to this application, namely that we are
dealing with a public inquiry.
(II) The Relevancy of the Redacted Information
[40]
The
first step of the section 38.06 test demands that the party seeking disclosure
establish that the information for which disclosure is sought is “in all
likelihood relevant evidence” (Ribic, at paragraph 17). The Federal
Court of Appeal in Ribic specified that the threshold, at this stage, is
a low one (Ribic, at paragraph 17). The Court went on to say that this
first step is a necessary one because if the information is found to be not
relevant, the analysis under section 38.06 will come to an end (Ribic,
at paragraph 17).
[41]
I
reiterate that contrary to Ribic, which was a criminal case, the present
application involves a commission of inquiry. In what concerns the Arar
Commission, the terms of reference provide a detailed procedure on how to deal
with protected information. Under the terms of reference, the Commission can
receive sensitive information under paragraph 38.01(6)(d) and subsection
38.01(8) of the CEA. Therefore, in the case at hand, the relevancy factor is
to be evaluated considering the uniqueness and utility of commissions of
inquiry to the government and the public.
[42]
As
previously explained, the Terms of Reference at paragraph (k) and its
subparagraphs give the Commissioner a mandate to ensure the non-disclosure of
sensitive information and establish a procedure which must be followed when
considering whether information can be disclosed, all in accordance with section
38 of the CEA. To that end, the Commissioner may consider releasing a summary
of the evidence heard in camera and if such a summary is not sufficient,
in the Commissioner’s opinion, he may inform the Applicant. Such an opinion
constitutes notice under section 38.01 of the CEA. This was the route whereby
the Applicant filed the present application with the Court.
[43]
The
Attorney General submits that the contents of the redacted portions of the
public report are not relevant to the terms of reference of the Commission and
that the Commissioner has never explained the relevancy of this information.
[44]
For
his part, the Commissioner in his ex parte (in camera) decisions
addressed the relevancy factor when discussing the public interest in
disclosure. In his decision, the Commissioner commented that some of the
information at issue, if disclosed, would help the public understand the Commissioner’s
recommendations. A reading of the Commissioner’s three volumes shows that the
Inquiry dealt with a good number of the public interest issues raised by this
application, including: issues of human rights when dealing with other countries;
Canada’s use of information obtained through questionable means such as
torture; international sharing practices post 9/11, et al.
[45]
Having
reviewed each of the redacted portions of the Commission’s public report,
knowing that the threshold to establish relevance is low, and having in mind
the words of Justice Cory of the Supreme Court on the importance of commissions
of inquiry in Philips, above, particularly the paragraph I reproduced at
paragraph 5 of this judgment, I find relevance in the redacted passages. After
all, the Commissioner clearly identified the redacted information as being
relevant for the purposes of his report. Surely such an opinion carries some
weight. I further note that the Commissioner’s determinations as to relevance
may also be of some significance under the third part of the Ribic test,
as sometimes the more relevant the redacted information, the greater the public
interest in disclosure; and conversely, sometimes the less relevant the
redacted information, the less the public interest in disclosure. Of course,
“relevance” must be weighed against other factors so that a final determination
as to disclosure can be made.
(III)
Providing
Some Meaning to the Concept of “Injury”
[46]
The
second step under the section 38.06 scheme asks the Court to determine whether disclosure
would be injurious to international relations, national defence, or national
security. It is normally the executive, after assessing the information, who
determines whether disclosure would be injurious. It is trite law in Canada,
as well as in numerous other common law jurisdictions, that courts should accord
deference to decisions of the executive in what concerns matters of national
security, national defence and international relations, as the executive is
considered to have greater knowledge and expertise in such matters than the
courts (Suresh v. Canada (Minister of Citizenship and Immigration),
[2002] 1 S.C.R. 3 at para. 33; Ribic, at para. 19; United States v. Reynolds, 345 U.S. at 10 (United States Supreme Court); Secretary
of States for the Home Department v. Rehman, [2001] UKHL 47 at para. 31
(House of Lords)). Justice Létourneau of the Federal Corut of Appeal wrote in Ribic,
at paragraph 18: “It is a given that is it not the role of the judge to
second-guess or substitute his opinion for that of the executive”. Also of
interest, Lord Hoffman, of the House of Lords, wrote the following in a
postscript in Rehman, above:
… in matters of national
security, the cost of failure can be high. This seems to me to underline the
need for the judicial arm of government to respect the decisions of ministers
of the Crown … It is not only that the executive has access to special
information and expertise in these matters. It is also that such decisions,
with serious potential results for the community, require a legitimacy which
can be conferred only be entrusting them to persons responsible to the
community through the democratic process. If the people are to accept the
consequences of such decisions, they must be made by persons whom the people
have elected and whom they can remove.
[47]
This
being said, the onus at this stage is on the party seeking the prohibition on
disclosure to convince the Court that disclosure would be injurious to
international relations, national defence or national security (Ribic,
at paragraph 21; Khawaja, at paragraph 65). The case law establishes
that to find that an injury to international relations, national defence or
national security would result from disclosure, the reviewing judge must be
satisfied that the executive’s opinion as to injury has a factual basis, established
by evidence (see Ribic, at paragraph 18). Moreover, the Federal Court
of Appeal in Ribic, using the standard of review language states that
“if his [the Attorney General’s] assessment of injury is reasonable, the judge
should accept it” (Ribic, at paragraph 19).
[48]
Given
that the Attorney General has the burden to prove that disclosure would be
injurious to international relations, national defence or national security, the
question becomes: what is an “injury to international relations, national
defence, or national security”? I have attempted to provide some meaning to
this concept in the paragraphs that follow.
[49]
The
CEA at section 38 offers the following definition of “potentially injurious
information”:
“potentially injurious
information” means information of a type that, if it were disclosed to the
public, could injure international relations or national defence or
national security.
[Emphasis added]
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« renseignements
potentiellement préjudiciables » Les renseignements qui, s’ils sont
divulgués, sont susceptibles de porter préjudice aux relations
internationales ou à la défense ou à la sécurité nationales.
[Je souligne]
|
Of interest, this
definition uses the word “could” whereas section 38.06 of the CEA states that a
judge is to determine whether the disclosure of information “would” be
injurious to international relations, national defence, or national security.
The Federal Court of Appeal in Jose Pereira E. Hijos, S.A. v. Canada
(Attorney General), 2002 FCA 470 at paragraph 14, spoke to the meaning of
the words “would” and “could” in the context of the CEA:
Counsel for the
appellants also contended that even if it could be said that Parts D and E of
the Buckley certificate were effectively adopted by the respondent, the
certificate is itself defective because nowhere therein is it stated, in
compliance with subsection 38(1), that the release of the information
"would" be injurious to Canada's international relations. That
phraseology suggests that in order to secure the benefit of sections 37 and 38
a party must show a probability that a feared injury will result from
disclosure. The record contains nothing showing that the disclosure of
information sought by the series of "vote buying" questions
"would be injurious to international relations". It is noted that the
phraseology employed in Parts D and E to the Buckley certificate is
"could" and "could reasonably" rather than
"would". The statute would seem to require a showing of
probability of injury instead of mere possibility.
[Emphasis added]
I
agree with the Federal Court of Appeal. The use of the word “would” by the
legislator indicates that the Government under section 38.06 of the CEA must
satisfy the reviewing judge that the injury alleged must be probable, and not
simply a possibility or merely speculative.
[50]
This
being said, the definition of “potentially injurious information” contained in
the CEA is little more than circular. I therefore turn to the ordinary meaning
of the term “injury”.
[51]
The
Oxford English Dictionary defines “injury” as follows:
1. Wrongful action or treatment;
violation or infringement of another's rights; suffering or mischief wilfully
and unjustly inflicted. With an and pl., A wrongful act; a wrong
inflicted or suffered.
2. Intentionally hurtful or offensive speech or
words; reviling, insult, calumny; a taunt, an affront. Obs. [Cf. F. injure = parole offensante, outrageuse.]
3. a. Hurt or loss caused to or
sustained by a person or thing; harm, detriment, damage. With an and pl.
An instance of this.
b. concr. A bodily wound or sore. Obs.
rare.
4. attrib. and Comb., as injury-doing, wrong-doing; injury-feigning vbl. n. and ppl. a.; injury time, the extra time allowed in a game of
football or the like to make up for time spent in attending to injuries.
(The Oxford English
Dictionary, 2nd ed., s.v. “injury”)
Obviously in
the context of section 38 of the CEA definition (3) is most appropriate. This
definition indicates, as do the others to an extent, that to be considered an
‘injury’ there has to be some detriment, damage or loss. For its part, the
Black’s Law Dictionary defines the term “injury” as follows (Black’s Law Dictionary, 7th ed., s.v.
“injury”)
:
1. The violation of another’s legal right,
for which the law provides a remedy; a wrong or injustice. See WRONG. 2. Harm or damage.
– injure, vb. – injurious, adj.
Once again
the concept of harm and damage is echoed in this definition.
[52]
Turning
to the definition of “préjudiciable”, the word used in the French version of the
CEA. Le
Petit Robert defines “préjudiciable” as “Qui porte, peut porter préjudice” (Le Petit Robert, 1992,
s.v. «préjudiciable»). The same dicitionary
defines the word
“préjudice” as:
1. Perte d’un bien, d’un avantage par le
fait d’autrui; acte ou événement nuisible aux intérêts de qqn et le plus
souvent contraire au droit, à la justice. Causer un préjudice à qqn.
Porter préjudice : causer du tort. Subir un préjudice. V.
Dommage. Préjudice matériel, moral, esthétique, d’agrément, de jouissance.
V. Dam, désavantage, détriment. 2. Ce qui est nuisible pour, ce qui
va contre (qqch.) Causer un grave préjudice à une cause, à la justice. Au
préjudice de l’honneur, de la vérité. V. Contre, malgré.
(Le Petit Robert, 1992,
s.v. «préjudice»)
For its part,
the Dictionnaire de droit Québécois et Canadien defines “préjudiciable” as :
“qui cause ou peut causer un préjudice” (Dictionnaire du droit Québécois et
Canadien, 2e édition, « préjudiciable »), and defines
“préjudice” as :
1. Dans un sens général, atteinte portée
aux droits ou aux intérêts de quelqu’un. Ex. L’administrateur du bien d’autrui
est tenu de réparer le préjudice causé par sa démission si elle est donnée sans
motif sérieux. 2. Dommage corporel, matériel, ou moral subi par
une personne par le fait d’un tiers et pour lequel elle peut éventuellement
avoir le droit d’obtenir réparation.
(Dictionnaire du droit
Québécois et Canadien, 2e édition, « préjudice »)
The French
definition reverberates the same concept as the English definition, namely that
for an ‘injury’ to exist some harm or damage must occur.
[53]
To
further explain these principles, it is useful to consider Canadian, as well as
foreign case law. Although the jurisprudence fails to explicitly define
“injury to international relations, national defence or national security”, the
jurisprudence, particularly out of the United Kingdom, provides some indicia as
to what can be considered such an injury.
(a)
Information
in the Public Domain
[54]
In
Babcock v. Canada (Attorney General), [2002] 3 S.C.R. 3, the
Supreme Court of Canada ruled that information in the public domain could not
be protected under section 39 of the CEA, which deals with confidences of the
Queen’s Privy Council for Canada. At paragraph 26 of Babcock, above, Chief
Justice McLachlin wrote :
Where a document has already
been disclosed, s. 39 no longer applies. There is no longer a need to seek
disclosure since disclosure has already occurred. Whether section 39 does not
apply, there may be other bases upon which the government may seek protection
against further disclosure at common law […] However, that issue does not arise
on this appeal. Similarly, the issue of inadvertent disclosure does not arise
here because the Crown deliberately disclosed certain documents during the
course of litigation.
Although
Babcock, above, deals with section 39 of the CEA, the same principle
applies in the section 38 of the CEA context, namely that information in the
public domain cannot be protected from disclosure. In K.F. Evans Ltd. v.
Canada (Minister of Foreign Affairs), [1997] 1 F.C. 405
(FCTD) at paragraph 35, Justice Rothstein (as he then was) discusses
the principle in the section 38 of the CEA context:
In many cases, the
confidential information constitutes observations on existing policies and
practices and how they might relate to a legal challenge […] I am inclined to
think that much of what is said to be confidential is already publicly known in
one form or another. It appears that if anything, disclosure might result in
some embarrassment to the respondent but why that embarrassment would harm
international or federal-provincial relations is not readily evident. I think
what we largely have in this case is exaggeration of the harm to Canadian
interests from disclosure which subsections 37(1) and 38(1) of the Canada
Evidence Act were enacted to curtail.
[55]
Case
law emanating from the United Kingdom also supports the principle that
information in the public domain cannot be protected by the courts. In the House
of Lord’s decision in Attorney General v. Observer Ltd et al, [1990] 1
AC 109, Lord Brightman wrote at page 267:
The Crown is only entitled to
restrain the publication of intelligence information if such publication would
be against the public interest, as it normally will be if theretofore
undisclosed. But if the matter sought to be published is no longer secret,
there is unlikely to be any damage to the public interest by re-printing what
all the world has already had the opportunity to read.
[Emphasis added]
However, even
more interesting is Justice Scott’s decision in the case at the Chancellery
Division level, a decision which was subsequently upheld by both the Court of
Appeal and the House of Lords. Justice Scott, his judgement, reproduced at
page 150 of Attorney General v. Observer Ltd et al, [1990] 1 AC 109, sets
out five criteria that should be looked to when determining whether the public
accessibility of information is fatal to an attempt to prohibit disclosure.
These criteria are the following:
(1) The nature of
the information − where the information is very harmful a court will be
more willing to prohibit further disclosure;
(2) The nature of
the interest sought to be protected;
(3) The
relationship between the plaintiff (person seeking prohibition on disclosure)
and the defendant;
(4) The manner in
which the defendant has come into possession of the information − if the
defendant does not have “clean hands” a court will be more likely to prohibit
the disclosure;
(5) The
circumstances in which, and the extent to which, the information has been made
public.
[56]
I
note that the rule that information available in the public domain cannot be
protected from disclosure is not an absolute. There are many circumstances
which would justify protecting information available in the public domain, for
instance: where only a limited part of the information was disclosed to the
public; the information is not widely known or accessible; the authenticity of
the information is neither confirmed nor denied; and where the information was
inadvertently disclosed.
[57]
In
Canada, the Supreme Court has left the door open to the possibility that courts
can prohibit the disclosure of information that has entered the public domain
through inadvertent disclosure (see Babcock, above at paragraph 54
[reproduced at paragraph 54 of this judgment]. In Khawaja, Justice
Mosley also addressed the effects of an inadvertent disclosure. At paragraph
111 of his decision, he wrote:
… inadvertent waiver is not
enough to justify disclosure. In light of the case-by-case nature of the test,
the most appropriate approach is to proceed by way of the same three step
assessment; taking into account the fact that inadvertent disclosure of the
information has occurred. Inadvertent disclosure may for example make it more
difficult for the government to demonstrate injury under the second stage of
the assessment. Inadvertent disclosure can also be considered at the balancing
stage of the test, as it might weigh in favour of the Court considering the
release of the information subject to conditions designed to limit any
remaining concerns regarding injury.
In my view,
the circumstances of the “inadvertent disclosure” are of essence when determining
whether inadvertently disclosed information can be protected by the Court. As
stated by Justice Mosley, such a determination must be made keeping in mind the
three-part test established under section 38.06 of the CEA.
(b)
Information
Critical of the Government or which would bring Embarrassment to the Government
[58]
As
can be seen from the passage I have reproduced from K.F. Evans Ltd,
above (at paragraph of this judgment), the Court will not prohibit disclosure
where the Government’s sole or primordial purpose for seeking the prohibition
is to shield itself from criticism or embarrassment. This principle has also
been confirmed by the Supreme Court in Carey v. Ontario, [1986] 2 S.C.R.
637 at paragraphs 84-85, where Justice LaForest, for the Court, wrote:
[84] There
is a further matter that militates in favour of disclosure of the documents in
the present case. The appellant here alleges unconscionable behaviour on the
part of the government. As I see it, it is important that this question be
aired not only in the interests of the administration of justice but also for
the purpose for which it is sought to withhold the documents, namely, the
proper functioning of the executive branch of government. For if there has been
harsh or improper conduct in the dealings of the executive with the citizen, it
ought to be revealed. The purpose of secrecy in government is to promote its
proper functioning, not to facilitate improper conduct by the government.
This has been stated in relation to criminal accusations in Whitlam, and
while the present case is of a civil nature, it is one where the behaviour of
the government is alleged to have been tainted.
[85] Divulgence is all the more important in our day when more
open government is sought by the public. It serves to reinforce the faith of
the citizen in his governmental institutions. This has important implications
for the administration of justice, which is of prime concern to the courts. As
Lord Keith of Kinkel noted in the Burmah Oil case, supra, at p.
725, it has a bearing on the perception of the litigant and the public on
whether justice has been done.
[Emphasis added]
[59]
Also
of interest, Justice Mason of the High Court of Australia stated in his
judgment in Commonwealth of Australia v. John Fairfax & Sons Ltd. (1980)
147 C.L.R. 39 at page 51:
[…] But it can scarcely be a
relevant detriment to the government that publication of material concerning
its actions will merely expose it to public discussion and criticism. It is
unacceptable in our democratic society that there should be a restraint on the
publication of information relating to government when the only vice of that
information is that it enables the public to discuss, review and criticise
government action. Accordingly, the court will determine the government’s
claim to confidentiality by reference to the public interest. Unless
disclosure is likely to injure the public interest, it will be protected.
This
passage was later cited with approval by Bingham L.J. and Lord Keith of Kinkel
in their respective judgments in Observer Ltd, above.
[60]
The
same principle has also been expressed in the Johannesburg Principles:
National Security, Freedom of Expression and Access to Information, U.N.
Doc. E/CN.4/1996/39 (1996), a tool for interpreting article 19 of the
United Nations’ International Covenant on Civil and Political Rights, which
states at Principle 2(b):
In
particular, a restriction sought to be justified on the ground of national security is not legitimate if
its genuine purpose or demonstrable effect is to protect interests unrelated to
national security, including, for example, to protect a government from
embarrassment or exposure of wrongdoing, or to conceal information about the
functioning of its public institutions, or to entrench a particular ideology,
or to suppress industrial unrest.
Given the
abundance of case law and legal documents advancing that information which is
critical or embarrassing to the Government cannot be protected, there appears
to me to be no reason to depart from the application of this principle.
(IV)
Some
Meaning to the Concept of “International Relations”
[61]
I
now turn to what is meant by the term ‘international relations’. Canadian
jurisprudence does not define this term. However, Black’s Law Dictionary
defines ‘international relations’ as (Black’s Law Dictionary, 7th ed., s.v.
“international relations”):
1. World politics. 2. Global
political interaction primarily among sovereign nations. 3. The
academic discipline devoted to studying world politics, embracing international
law, international economics, and the history and art of diplomacy.
Given this
definition and the purpose of section 38 of the CEA, ‘information injurious to
international relations’ refers to information that if disclosed would be
injurious to Canada’s relationship with foreign nations.
(V)
Some
Meaning to the Concept of “National Defence”
[62]
As
for the term ‘national defence’, Black’s Law Dictionary defines the term as
follows (Black’s
Law Dictionary,
7th ed., s.v. “national defense”):
1. All measures taken by a nation to
protect itself against its enemies • A nation’s protection of its collective
ideals and values is included in the concept of national defense. 2. A
nation’s military establishment.
In my view
given the purpose of section 38, namely to prevent the release of information
that could be injurious, the Black’s Law Dictionary’s broad definition of what
constitutes national defence is appropriate.
(VI)
Some
Meaning to the Concept of “National Security”
[63]
Unlike
the terms ‘international relations’ and ‘national defence’, whose definition is
widely and more easily understood, the meaning of this term is not commonly
known, and there has been great debate in the academic world as to what it
delineates. The Canadian Security Intelligence Service Act, R.S.C. 1985, c.
C-23,
at section 2, offers the following definition of “threats to the security of
Canada”:
"threats
to the security of Canada" means
(a)
espionage or sabotage that is against Canada or is detrimental to the
interests of Canada or activities directed toward or in support of such
espionage or sabotage,
(b)
foreign influenced activities within or relating to Canada that are
detrimental to the interests of Canada and are clandestine or deceptive or
involve a threat to any person,
(c)
activities within or relating to Canada directed toward or in support of the
threat or use of acts of serious violence against persons or property for the
purpose of achieving a political, religious or ideological objective within
Canada or a foreign state, and
(d)
activities directed toward undermining by covert unlawful acts, or directed
toward or intended ultimately to lead to the destruction or overthrow by
violence of, the constitutionally established system of government in Canada,
but does
not include lawful advocacy, protest or dissent, unless carried on in
conjunction with any of the activities referred to in paragraphs (a)
to (d).
|
«menaces envers la sécurité du Canada»
Constituent des
menaces envers la sécurité du Canada les activités suivantes :
a) l'espionnage
ou le sabotage visant le Canada ou préjudiciables à ses intérêts, ainsi que
les activités tendant à favoriser ce genre d'espionnage ou de sabotage;
b) les activités
influencées par l'étranger qui touchent le Canada ou s'y déroulent et sont
préjudiciables à ses intérêts, et qui sont d'une nature clandestine ou
trompeuse ou comportent des menaces envers quiconque;
c) les activités
qui touchent le Canada ou s'y déroulent et visent à favoriser l'usage de la
violence grave ou de menaces de violence contre des personnes ou des biens
dans le but d'atteindre un objectif politique, religieux ou idéologique au
Canada ou dans un État étranger;
d) les activités
qui, par des actions cachées et illicites, visent à saper le régime de
gouvernement constitutionnellement établi au Canada ou dont le but immédiat
ou ultime est sa destruction ou son renversement, par la violence.
La présente définition ne vise toutefois pas les
activités licites de défense d'une cause, de protestation ou de manifestation
d'un désaccord qui n'ont aucun lien avec les activités mentionnées aux
alinéas a) à d).
|
For its part,
the Access to Information Act, R.S.C. 1985, c.
A-1,
at
section 15, talks about “the detection, prevention or suppression of subversive
or hostile activities”. At section 15(2) of the Act, the term “subversive or
hostile activities” is defined as:
"Subversive or hostile activities" means:
(a) espionage against Canada or any state allied with or associated with
Canada;
(b) sabotage;
(c) activities directed toward the commission of terrorist acts,
including hijacking, in or against Canada or foreign states;
(d) activities directed toward accomplishing government change within Canada
or foreign states by the use of or encouragement of the use of force,
violence or any criminal means;
(e) activities directed toward gathering information used for
intelligence purposes that relates to Canada or any state allied or
associated with Canada; and
(f) activities directed toward threatening the safety of Canadians,
employees of the Government of Canada or property of the Government of Canada
outside Canada.
|
«activités hostiles ou subversives »
a) L’espionnage dirigé
contre le Canada ou des États alliés ou associés avec le Canada;
b) le sabotage;
c) les activités visant la
perpétration d’actes de terrorisme, y compris les détournements de moyens de
transport, contre le Canada ou un État étranger ou sur leur territoire;
d) les activités visant un
changement de gouvernement au Canada ou sur le territoire d’États étrangers
par l’emploi de moyens criminels, dont la force ou la violence, ou par
l’incitation à l’emploi de ces moyens;
e) les activités visant à
recueillir des éléments d’information aux fins du renseignement relatif au
Canada ou aux États qui sont alliés ou associés avec lui;
f) les activités destinées à
menacer, à l’étranger, la sécurité des citoyens ou des fonctionnaires
fédéraux canadiens ou à mettre en danger des biens fédéraux situés à
l’étranger.
|
[64]
Case
law provides some meaning to the term as well. The Supreme Court in Suresh,
above, commented on the meaning of the term “danger to the security of
Canada”. At paragraphs 88-90, Justice Arbour (as she then was), writing for
the majority of the Court, stated the following:
88 […] These
considerations lead us to conclude that to insist on direct proof of a specific
threat to Canada as the test for “danger to the security of Canada” is to set
the bar too high. There must be a real and serious possibility of
adverse effect to Canada. But the threat need not be direct; rather it
may be grounded in distant events that indirectly have a real possibility of
harming Canadian security.
89 While
the phrase “danger to the security of Canada” must be interpreted flexibly, and
while courts need not insist on direct proof that the danger targets Canada
specifically, the fact remains that to return (refouler) a refugee under
s. 53(1)(b) to torture requires evidence of a serious threat to national
security. To suggest that something less than serious threats founded on
evidence would suffice to deport a refugee to torture would be to condone
unconstitutional application of the Immigration Act. Insofar as
possible, statutes must be interpreted to conform to the Constitution.
This supports the conclusion that while “danger to the security of Canada” must
be given a fair, large and liberal interpretation, it nevertheless demands
proof of a potentially serious threat.
90 These
considerations lead us to conclude that a person constitutes a “danger to the
security of Canada” if he or she poses a serious threat to the security of
Canada, whether direct or indirect, and bearing in mind the fact that the
security of one country is often dependent on the security of other
nations. The threat must be “serious”, in the sense that it must be
grounded on objectively reasonable suspicion based on evidence and in the sense
that the threatened harm must be substantial rather than negligible.
[Emphasis added]
[65]
For
its part, the House of Lords under the penmanship of Lord Slynn of Hadley in Rehman
wrote (Rehman, above, at paragraphs 15-16) :
[…] “the interests of national
security” cannot be used to justify any reason the Secretary of State has for
wishing to deport an individual from the United Kingdom. There must be some
possibility of risk or danger to the security and well-being of the nation
which the Secretary of State considers makes it desirable for the public good
that the individual should be deported. But I do not accept that this risk
has to be the result of “a direct threat” to the United Kingdom […] Nor do I
accept that the interests of national security are limited to action by an
individual which can be said to be “targeted at” the United Kingdom, its system
of government or its people […]
[…] The sophistication of
means available, the speed of movement of persons and goods, the speed of
modern communication, are all factors which may have to be taken into account
in deciding whether there is a real possibility that the national security of
the United Kingdom may immediately or subsequently be put at risk […] To
require the matters in question to be capable of resulting “directly” in a
threat to national security limits too tightly the discretion of the executive
in deciding how the interests of the state, including not merely military
defence but democracy, the legal and constitutional systems of the state need
to be protected. I accept that there must be a real possibility of an adverse
effect on the United Kingdom for what is done by the individual under inquiry
but I do not accept that it has to be direct or immediate […]
[Emphasis added]
[66]
I
now turn to the definitions offered of the term “national security” by some of
the legal scholars. Mr. Stanley Cohen, in his book Privacy, Crime and
Terror : Legal Rights and Security in a Time of Peril (Markham: LexisNexis
Canada, 2005) at pages 161-164, offers the following definition of national
security:
Although a pivotal concept,
“national security” and the related, if not equivalent phrase, “danger to the
security of Canada”, have been regarded as notoriously difficult to define.
Nevertheless, despite possessing a degree of imprecision, the concept of
“danger to the security of Canada” is not unconstitutionally vague. In Suresh,
at the level of the Federal Court of Appeal, Robertson J.A. found, in the
context of deportation proceedings, that the phrase was constitutionally
sufficient. He acknowledged that the phrase was imprecise but reasoned that
whether a person poses a danger to the security of Canada may be determined by
“the individual’s degree of association or complicity with a terrorist
organization”.
[…]
“National security” also finds
expression in the Canadian Evidence Act (CEA) in the context of the Act’s
definitions of “potentially injurious information” and “sensitive
information”. In both instances, the concept is linked with information
relating to national defence and international security, although, clearly,
these matters are not co-extensive.
As Lustgarten and Leigh point
out in their fine text, In From the Cold: National Security and
Parliamentary Democracy, the phrase “national security” is actually a
relative newcomer to the lexicon of international affairs and political
science. In the U.K., the wealth of statutes and regulations giving
extraordinary powers to the Executive and its officials were generically
entitled and drew their justifications from the need for Defence of the Realm.
“National security”, at least in the United States and the United Kingdom,
seemingly has drawn its currency from the American practice and experience.
The use of this terminology
rather than national “defence” has important implications for foreign policy, signalling
“a more grandly ambitious conception of that nation’s [America’s] role in world
affairs.” As is evident, the term “national security” also has great currency
in Canada, notwithstanding this country’s rather more modest claims in the
international arena.
[67]
For
his part, Professor Craig Forcese wrote the following in what concerns the
definition of “national security” in his 2006 paper “Through a Glass Darkly:
The Role and Review of “National Security” Concepts in Canadian Law” (43 Alta.
L. Rev. 963):
… Canada’s National Defence
College defined national security in 1980 as the preservation of a way of life
acceptable to the Canadian people and compatible with the needs and legitimate
aspirations of others. It includes freedom from military attack or coercion,
freedom from internal subversion, and freedom from the erosion of the
political, economic, and social values which are essential to the quality of
life in Canada.
[…]
A slightly more focused
definition of national security has been offered by the U.S. Department of
Defense:
National Security is a
collective term encompassing both
national defence and
international relations of the United States. Specifically, the condition
provided by:
a) military or defence
advantage over any foreign nation or group of nations;
b) favourable foreign
relations position; or
c) defence posture capable of
successfully resisting hostile or destructive action from within or without,
overt or covert.
[…]
Still another definition, one
that boils a broad definition of national security is as follows:
Central to [a]
kind of national security policy … [based on the preservation of a way of life
acceptable to the Canadian people and the security of people, national
institutions, and freedoms from unlawful harm, armed attacks and other
violence] and three principal frameworks: deterrence against attacks; defence
against those attacks that you can identify; and then a credible ability to
defeat attacks on our national security.
[68]
From
these definitions “national security” means at minimum the preservation of the
Canadian way of life, including the safeguarding of the security of persons,
institutions and freedoms in Canada.
[69]
This
being said, to properly understand the national security claims at issue in
this application some of the grounds on which such claims can succeed must be
made known. As a brief overview, the Attorney General submits the following
types of information should not be disclosed :
(a)
Information
collected and within the possession of intelligence agencies and law
enforcement agencies (to a certain extent);
(b) Information
obtained from foreign intelligence agencies or law enforcement agencies (Third
Party Rule);
(c)
Information
relating to targets of investigations or persons of interest;
(d) The name of sources,
modes of operations, and situation assessments made intelligence and law
enforcement agencies;
(e)
Information
that if pieced into the general picture may permit a comprehensive
understanding of the information being protected (Mosaic Effect).
I will
specifically address the Third Party Rule, the Mosaic Effect, and the impact of
disclosure on international relations in the paragraphs that follow.
(VII)
The
Third Party Rule
[70]
In
order to consolidate and to insure the steady flow of information, law enforcement
and intelligence agencies have historically relied on the third party rule.
This rule is an understanding among information sharing parties that the
providers of the information will maintain control over the information’s subsequent
disclosure and use. In other words, agencies receiving information under the
third party rule promise not to disclose the information they receive unless
they obtain permission from the source. This being said, the third party rule
is one that is sacred among law enforcement and intelligence agencies and is
premised on mutual confidence, reliability and trust. X (for the RCMP), an
affiant for the Applicant, describes this rule in his affidavit as an
“understanding among information sharing partners that the party providing
information controls the subsequent dissemination and use of that information
beyond the receiving party” (Public Affidavit of X (for the RCMP), at paragraph
23).
[71]
The
Attorney General submits that if the third party rule is breached, the
bilateral relationship between the party sharing information and Canada could
be detrimentally affected. The Attorney General also submits that because the law
enforcement and intelligence communities are relatively small, if Canada is
viewed as unreliable and untrustworthy by one country this view may be adopted
by other countries that may have access to information of interest to Canada.
As per X (for the RCMP)’s affidavit, strict adherence to the third party rule
is necessary to maintain relationships with law enforcement and intelligence
partners so as to continue to receive information from them.
[72]
The
Attorney General, through its submissions and its affidavits, also explains
that under the third party rule it is possible to seek consent for disclosure
from providers of the information. Such consent is generally sought in the law
enforcement context, where the receiving agency wishes to press charges based
on the information obtained. X (for the RCMP)’s affidavit explains that
although a procedure exists for seeking consent to disclosure, if the RCMP were
to seek consent to disclose the information in this case, the RCMP’s commitment
to the third party rule may be questioned as disclosure would be sought for a
purpose other than law-enforcement, and therefore outside the general accepted
parameters for seeking consent (X (for the RCMP)’s affidavit, at paragraph 42).
[73]
The
respondent Maher Arar submits that the third party rule does not apply unless
the information obtained by Canada is specifically marked as “confidential”, or
otherwise designated as being protected by the third party rule. Thus, only
where information is marked as being protected will Canada be required to
obtain consent before disclosing such information. Counsel to Mr. Arar referred
to the Federal Court of Appeal’s decision in Ruby v. Canada (Solicitor
General), [2000]
3 F.C. 589 (FCA) which provides an in-depth overview of the third party rule
in the context of the Access to Information Act. Justices Létourneau
and Robertson writing for the Court, state at paragraphs 101-111:
Section 19 is a qualified
mandatory exemption: the head of a government institution must refuse to
disclose personal information obtained in confidence from another government or
an international organization of states unless that government or institution
consents to disclosure or makes the information public. This is generally
referred to as the third party exemption.
[…]
It is true that the primary
thrust of the section 19 exemption is non-disclosure of the information but, as
we already mentioned, it is not an absolute prohibition against disclosure.
This exemption, like the others, has to be read in the overall context of the
Act which favours access to the information held. Subsection 19(2) authorizes
the head of a government institution to disclose the information where the
third party consents.
[…]
In our view, a request by an
applicant to the head of a government institution to have access to personal
information about him includes a request to the head of that government
institution to make reasonable efforts to seek the consent of the third party
who provided the information […]
[…] This means that the
reviewing Judge ought to ensure that CSIS has made reasonable efforts to seek
the consent of the third party who provided the requested information. If need
be, a reasonable period of time should be given by the reviewing Judge to CSIS
to comply with the consent requirement of paragraph 19(2)(a).
In summary,
the Federal Court of Appeal in Ruby indicates that consent to disclosure
is necessary to not violate the third party rule and that law enforcement and
intelligence agencies have a duty to prove that they made reasonable efforts to
obtain consent to disclosure or they must provide evidence that such a request
would be refused if consent to disclosure was sought.
[74]
Mr.
Arar also argues that the Attorney General provided no specific information as
to why seeking consent to disclosure would cause harm to Canada. According to
Mr. Arar, the argument that seeking consent to disclosure is different in the
law-enforcement context and in the context of a public inquiry is not compelling.
Mr. Arar explains that the goals of the Inquiry, namely to look into the potential
wrongdoings of Canadian officials in the Arar affair as well as recommend a
review mechanism for the RCMP’s national security activities, are reasons as compelling
as criminal prosecutions for seeking consent to disclosure.
[75]
Moreover,
Mr. Arar contends that if seeking consent, on its own, amounts to harm,
depending on the country from which disclosure is sought, the likelihood of
harm may be limited. If the information originates from countries such as the
United Kingdom or the United States, or other western democracies, seeking
consent is unlikely to cause harm as these countries have legal systems similar
to Canada’s and therefore understand the role and importance of public
inquiries for promoting democratic governance. According to Mr. Arar this is
particularly true of the United States, as the country was approached by the Commission
and was invited to participate in the Inquiry, but refused to do so. Finally, Mr.
Arar submits that seeking consent to disclosure, on its own, is unlikely to
cause harm, especially as the fact that consent is sought does not mean that
consent will be given and that the information at issue will be disclosed.
[76]
Furthermore,
Mr. Arar submits that with respect to other regimes such as Syria, it is
unlikely that consent to disclosure would cause further harm to Syria’s
relationship with Canada. The fact that the Commission substantiated Mr.
Arar’s claims that he was tortured by Syrian officials and that the Government
of Canada has made an official complaint to the Syrian government with respect
to Mr. Arar’s torture while in Syrian jail has probably soured relations
between the two countries more than seeking consent to disclosure could.
[77]
This
being said, in my view the third party rule is of essence to guarantee the
proper functioning of modern police and intelligence agencies. This is
particularly true given that organized criminal activities are not restricted
to the geographic territory of a particular nation and that recent history has
clearly demonstrated that the planning of terrorist activities is not
necessarily done in the country where the attack is targeted so as to diminish
the possibility of detection. Consequently, the need for relationships with
foreign intelligence and policing agencies, as well as robust cooperation and
exchanges of information between these agencies, is essential to the proper
functioning of policing and intelligence agencies worldwide.
[78]
Furthermore,
I note that information sharing is particularly important in the Canadian context
as it is recognized that our law enforcement and intelligence agencies require
information obtained by foreign law enforcement and intelligence agencies in
order to nourish their investigations. It has been recognized time and time
again that Canada is a net importer of information, or in other words, that
Canada is in a deficit situation when compared with the quantity of information
it provides to foreign nations. The Supreme Court in Charkaoui v. Canada,
2007 SCC 9, noted at
paragraph 68:
The protection of Canada’s
national security and related intelligence sources undoubtedly constitutes a
pressing and substantial objective … The facts on this point are undisputed.
Canada is a net importer of security information. This information is
essential to the security and defence of Canada, and disclosure would adversely
affect its flow and quality.
[79]
In
my view breaching the third party rule can be compared to the breach of one’s
contractual obligations. In contract law, the effect of a breach of a contract
is not necessarily clear at the moment of the breach. However, after a breach
occurs numerous possible scenarios may come true. The first being that the
innocent party may begin proceedings against the breaching party for damages.
The second being that the innocent party takes no outright action, however they
view the breaching party as unreliable and untrustworthy which may affect the
relationship to varying degrees, the extent of which are generally only known
to the innocent party. The third being that nothing occurs. This could happen
for various reasons, among them that the contract is viewed as unimportant, the
innocent party wished the contract to come to an end, the innocent party is
empathetic as they would have taken the same action as the breaching party, etc.
In my view these same scenarios are possible where a breach of the third party
rule occurs. If Canada were to breach the third party rule, depending on the
particular circumstances injury could occur. However, the extent of the harm
which may follow would not be easy to assess as it is impossible to predict the
future. In other words, a breach of the third party rule may cause harm and
may affect the flow of information to Canada. However, in many cases, only the
non-breaching party will fully know the effect of a breach to this rule.
[80]
When
determining whether disclosure will cause harm, it is also important to
consider the nature of Canada’s relationship with the law enforcement or
intelligence agency from which the information was received. It is recognized
that certain agencies are of greater importance to Canada and thus that more
must be done to protect our relationship with them. Consequently, care must be
taken when considering whether to circumvent the third party rule in what
concerns information obtained from our most important allies.
[81]
This
being said, the severity of the harm that may be caused by a breach of the
third party rule can be assessed under the third part of the section 38.06 test
when the reviewing judge balances the public interest in disclosure against the
public interest in non-disclosure.
(VIII)
The
Mosaic Effect
[82]
This
Court and numerous others have written at length about the “mosaic effect”.
This principle advances that information, which in isolation appears
meaningless or trivial, could when fitted together permit a comprehensive
understanding of the information being protected. Justice Mosley in Khawaja
at paragraph 136 cites to Henrie v. Canada (Security Intelligence Review
Committee), [1989] 2 F.C. 229 at para. 30 (T.D.), aff’d 88 D.L.R. (4th)
575 (C.A.) to describe the “mosaic effect” :
The mosaic effect
was aptly described by the Federal Court in Henrie v.
Canada (Security Intelligence Review Committee), [1989] 2 F.C. 229 at
para. 30 (T.D.), aff’d, 88 D.L.R. (4th)
575 (C.A.) [Henrie] wherein the Court recognized:
30
It is of some importance to realize than an "informed reader",
that is, a person who is both knowledgeable regarding security matters and is a
member of or associated with a group which constitutes a threat or a potential
threat to the security of Canada, will be quite familiar with the minute
details of its organization and of the ramifications of its operations
regarding which our security service might well be relatively uninformed. As a
result, such an informed reader may at times, by fitting a piece of
apparently innocuous information into the general picture which he has before
him, be in a position to arrive at some damaging deductions regarding the
investigation of a particular threat or of many other threats to national
security…
[Emphasis in the original]
[83]
The
Attorney General submits that in what concerns the particular information at
issue in this application, probable injury would occur if the information is
disclosed due to the “mosaic effect”. The affiant X (for the RCMP) explains
that “the more limited the dissemination of some of the information, the more
likely an informed reader can determine the targets, sources and methods of
operation of the agency” (Affidavit of X (for the RCMP), at paragraph 48).
Mr. O’Brian, in his affidavit, also explains that CSIS is particularly
concerned with the mosaic effect. At paragraphs 32-33 of his affidavit, Mr.
O’Brian wrote:
… in the hands of an informed
reader, seemingly unrelated pieces of information, which may not in and of
themselves be particularly sensitive, can be used to develop a more
comprehensive picture when compared with information already known by the
recipient or available from another source.
By fitting the information
disclosed by the Service with what is already known, the informed reader can
determine far more about the Service’s targets and the depth of its knowledge
than a document on its face reveals to an uninformed reader. In addition, by
having some personal knowledge of the Service’s assessments and conclusions on
an individual or the depth, or lack, of its information regarding specific
threats would alert some persons to the fact that their activities escaped
investigation by the Service.
[84]
This
being said, the mosaic effect is obviously of concern. However, I agree with
my colleague Justice Mosley’s recent conclusion in Khawaja, at paragraph
136, that the mosaic effect, on its own, will not usually provide
sufficient reason to prevent disclosure of what would otherwise appear to be an
innocuous piece of information. Thus, further evidence will generally be
required to convince the Court that a particular piece of information, if
disclosed would be injurious to international relations, national defence or
national security. Consequently the Attorney General, at minimum, will have to
provide some evidence to convince the Court that disclosure would be injurious
due to the mosaic effect. Simply alleging a “mosaic effect” is not
sufficient. There must be some basis or reality for such a claim, based on the
particulars of a given file.
(IX)
The
Impact of Disclosure on International Relations
[85]
The
Attorney General, particularly through the affidavit of Mr. Daniel Livermore,
explains how disclosure of information could be injurious to international
relations. Below, I have detailed the various effects which the Attorney
General claims disclosure would have, as well as the injury following from each
of them. I note that some of the injurious effects described do not specifically
apply to the factual situation of this application, but for the sake of
completeness and for future reference, I have included them in this
decision.
(a)
Disclosure
of Comments made by Foreign Officers
[86]
Mr.
Livermore in his affidavit writes that in the normal course of diplomatic
exchanges, information is provided in confidence to foreign officials with the
expectation that such information will remain confidential. Mr. Livermore goes
on to state that the release of information acquired by Canada through
diplomatic exchanges would undermine Canada’s credibility as a privileged
interlocutor with the foreign officers and the foreign government in question.
Mr. Livermore also suggests that it is international practice that information
provided in confidence by foreign officials is to remain confidential and that
the names of foreign officials who provide such information are to remain
confidential. To do otherwise, according to Mr. Livermore, would severely
affect Canada’s ability to pursue its foreign policy objectives.
[87]
Reid
Morden, affiant for the Commission, agrees in part with Mr. Livermore. Mr.
Morden in his affidavit states at paragraph 18 that:
Without question, one must
exercise judgment before disclosing comments made by foreign officials. This
judgment involves weighing the release of the information against the broader
public interest. However, this balancing process must be done on a case by
case basis.
(b)
Public
Criticism of Foreign Governments
[88]
According
to Mr. Livermore public negative comments made by Canadian diplomats about
foreign governments can cause injury. Mr. Livermore, in his affidavit, explains
that the fundamental purpose of Canadian diplomatic presence in a country is to
maintain influential channels of communication to protect Canadians and advance
a wide range of Canadian interests including the respect for human rights,
democracy, and the rule of law. Furthermore, the affiant states that to permit
Canadian officials to make public negative comments about a foreign government
would diminish Canada’s influence in the country at which the comments are
aimed, and would diminish Canada’s capacity to protect Canadians in distress
through consular services.
[89]
Mr.
Livermore also suggests that the release of confidential assessments of human
rights situations of foreign countries, as well as other assessments of
situations in foreign countries, may affect the willingness of foreign states
to engage with Canada on such issues.
[90]
For
its part, the Commission submits, through its affiant Reid Morden, that public
criticism of a country’s human rights record would not necessarily have an
adverse impact on Canada’s relations with that country or on information
sharing. Mr. Morden points to the fact that the United States publicly criticizes
countries with poor human rights records and publishes this criticism in report
format on the official website of the State Department, yet retains good
relations with many of these countries.
(X)
If
Injury is found to exist, which Interest prevails, the Public Interest in
Disclosure or the Public Interest in Non-Disclosure
[91]
The
last step of the analysis under section 38.06 of the CEA demands that a
reviewing judge consider whether the public interest in disclosure outweighs
the public interest in non-disclosure. It must be noted that a judge will normally
only undertake such an analysis where an injury to international relations,
national defence or national security is found to exist. However, in the
present case which involves a Commission of inquiry and because of the issues
at play, I undertook such an analysis even though I concluded that disclosing
some of the information would not be injurious.
[92]
This
being said and keeping in mind that the present application involves a
Commission of inquiry, the weighing of the public interest in disclosure
against the public interest in non-disclosure involves assessing numerous
factors. These factors can only be identified after the factual issues at hand
are properly understood. Once the factors at play in a particular proceeding are
identified, they are individually assessed and then weighed against one
another. It is only once this exercise is complete that a proper determination
as to whether the public interest favours disclosure or non-disclosure can be
made. In the following paragraphs I will identify some of the factors
considered in the present application, keeping in mind that it involves a
commission of inquiry.
[93]
One
factor which was considered was the relevance of the redacted information. In
some circumstances, the higher the relevance of the redacted information, the
greater the public interest in disclosure and conversely the less relevant the
information the greater the public interest in non-disclosure. I reiterate,
such an assessment cannot in itself be determinative of the interest since it can
only be made after all the factors at play in a particular proceeding are
identified and assessed. A second factor which can be considered is the extent
of the injury that would occur if the information is disclosed. It may be
that the less severe the injury the greater the public interest in disclosure, and
conversely the greater the injury the greater the public interest in
non-disclosure. As an example, where a human source or an investigative
technique would be disclosed, the injury likely to occur would be very grave
and therefore the public interest would favour non-disclosure; however, where the
only injury is a loss of control of the information, the injury would be less
severe and therefore the public interest would tip in favour of disclosure. Again,
this assessment is not determinative in itself, as a determination as to
whether the public interest lies in disclosure or non-disclosure can only be
made after all the factors at play in a particular proceeding are identified
and assessed.
[94]
Below,
I have detailed the various interests raised by both Respondents in favour of public
disclosure. I note that it is impossible to comment on the persuasiveness of
the public interest arguments raised in this public judgment. Nonetheless, I
can say that I have considered each of these arguments when weighing the public
interest in disclosure against the public interest in non-disclosure.
[95]
The
Commission submits that disclosure is necessary to promote the “open court”
principle. Public inquiries play an important role in democracy by ensuring
that Government officials are accountable. A commission’s ability to reveal the
truth to the public about a particular controversy may allow the public to
regain its confidence in governing institutions. The Commission also submits
that only through maximum disclosure will the Government be exposed to public
scrutiny, which is, according to the Commission “unquestionably the most
effective tool in achieving accountability for those whose action[sic] are
being examined.” (Commission’s Memorandum of Fact and Law, at paragraph 59). Keeping
these concepts in mind, it is important to remember that the Commissioner
declared himself satisfied with the content of the public report (see paragraph
15 of the present decision). In my view, this opinion is an element to
consider when balancing the public interest in disclosure against the public
interest in non-disclosure.
[96]
The
Respondent Mr. Arar, for his part, submits that not disclosing the redacted information
would undermine the very purpose of calling the Inquiry. According to Mr. Arar,
he has a right to know the facts relating to his detention, deportation
and torture. Furthermore, he claims that the redactions within the public
report may contain information which is necessary for the public to understand
the actions of the RCMP and CSIS in the Arar affair. In particular, he
believes that at least some of the redactions relate to the candour of certain
CSIS operatives, who may have misled their superiors. Mr. Arar also argues
that the redactions conceal the fact that briefings to numerous Ministers were
inadequate and that the RCMP’s investigation and adherence to information
sharing protocols was deficient. Thus, Mr. Arar views disclosure as in the
public interest to fully understand the inadequacies of the various
organizations and officials who played a role in the Arar affair and to promote
transparency and responsible government.
[97]
Mr.
Arar also submits that disclosure is in the public interest as it would clarify
whether “purchased information” produces reliable intelligence upon which
action can be taken, especially where such information is obtained by torture.
According to Mr. Arar full disclosure is of essence to determine whether our
intelligence services rely on information extracted under torture. According
to Mr. Arar such a determination is important as torture is a crime of
universal jurisdiction, and if information obtained through torture is used by
intelligence agencies in Canada these organizations may be considered complicit
in torture. Given these submissions, Mr. Arar believes that the Inquiry is
“inexorably linked” with the cases of Abdullah Almalki and Ahmed El Maati. Consequently,
he feels that disclosure in the Arar Inquiry is necessary for the proper
investigation of the Almalki and El Maati affairs and only through disclosure
will the “pattern of conduct of Canadian intelligence agencies and the possible
use of Syria and other undemocratic regimes as proxy torturers” be disclosed (Memorandum
of the Respondent Maher Arar, dated April 19, 2007, at paragraph 42).
[98]
This
being said, for the purposes of this proceeding, which considers the
application of section 38 of the CEA when dealing with a commission of inquiry,
I have identified some non-exhaustive factors which must be assessed and
weighed against one another to determine whether the public interest lies in
disclosure or in non-disclosure:
(a)
The
extent of the injury;
(b) The relevancy of the
redacted information to the procedure in which it would be used, or the
objectives of the body wanting to disclose the information;
(c)
Whether
the redacted information is already known to the public, and if so, the manner
by which the information made its way into the public domain;
(d) The
importance of the open court principle;
(e)
The
importance of the redacted information in the context of the underlying
proceeding;
(f)
Whether
there are higher interests at stake, such as human rights issues, the right to
make a full answer and defence in the criminal context, etc;
(g)
Whether
the redacted information relates to the recommendations of a commission, and if
so whether the information is important for a comprehensive understanding of
the said recommendation.
[99]
I
reiterate, the weighing of the public interest in disclosure against the public
interest in non-disclosure must consider a number of different factors. It is
only once these factors have been properly assessed and weighed against one
another that a determination as to disclosure can be made.
6. Brief Comments on the Ex Parte (In Camera)
Decision
[100] As mentioned
at the beginning of this judgment, I am also issuing a twin ex parte (in
camera) 82 pages (178 paragraphs) decision today. The ex parte (in
camera) decision considers some of the principles (with the particular
situation of the file) overviewed in the public decision. In the end, I have
agreed in part with the Attorney General and in part with the Commission.
7. Conclusion
[101] For the sake
of transparency and to aid in understanding this public judgment, I am
including the order issued in the ex parte (in camera) judgment,
without the table which details my determination on disclosure for each
redacted passage. Obviously, the reason why the table is not included is to
protect the sensitive information contained in the redacted passages, the whole
subject to the right of appeal provided for by the CEA.
ORDER
IN ACCORDANCE WITH SECTIONS 38.04 AND
38.06 OF THE CEA, THIS COURT ORDERS that:
-
The
information, disclosure of which is identified as not injurious and/or for
which the public interest in disclosure prevails, as contained in the table
that is part of the ex parte (in camera) order (not included in
the present public order so as to respect the objectives of the CEA), is
authorized for disclosure, the whole subject to the right to appeal the said
order as provided in the Act; and
-
The
remaining information, disclosure of which is identified as injurious and/or
for which the public interest in non-disclosure prevails, as contained in the
table that is part of the ex parte (in camera) order (not
included in the present public order so as to respect the objectives of the
CEA), not be disclosed, and the present order confirms the prohibition of
disclosure thereof;
“Simon Noël”
FEDERAL COURT
SOLICITORS OF RECORD
PUBLIC
DOCKET: DES-4-06
STYLE OF CAUSE: Attorney
General of Canada –v-
Commission
of Inquiry into the Actions of Canadian Officials in relation to Maher Arar and
Maher Arar
PLACE OF HEARING: Ottawa
Ontario
DATE OF HEARING: Teleconferences - April 25, 2007 and May 14, 2007
Public
Hearings - April 30, 2007 and May 23, 2007
Ex
parte (in camera) hearings – May 1, 2, 3 and 23, 2007
REASONS FOR ORDER: NOËL
S. J.
DATED: July 24, 2007
APPEARANCES:
Mr. A. Préfontaine
|
FOR THE APPLICANT
|
Mr. P. Cavalluzzo,
Ms. V. Verma
Mr. R. Atkey
|
FOR THE RESPONDENT COMMISSION
|
Mr. L. Waldman,
Ms. M. Edwardh
|
FOR THE RESPONDENT MAHER
ARAR
|
SOLICITORS OF RECORD:
John H. Sims, Q. C. Deputy Attorney
General of Canada
|
FOR THE APPLICANT
|
Commission of Inquiry into the Actions
of Canadian
Officials in Relation to Maher Arar
Ottawa, Ontario
|
FOR THE RESPONDENT
COMMISSION
|
Waldman & Associates
Toronto, Ontario
Ruby & Edwardh
Toronto, Ontario
|
FOR THE RESPONDENT MAHER
ARAR
|