Date: 20081124
Docket: T-880-06
Citation: 2008 FC 1308
Ottawa, Ontario, November 24,
2008
PRESENT: The Honourable Madam Justice Mactavish
BETWEEN:
ANDREW MARK BUFFALO also known
as
ANDREW MARK FREEMAN suing on his own
behalf
and on behalf of all persons who became
members of the
SAMSON CREE
NATION on or after June 29, 1987
Plaintiffs
and
CHIEF and COUNCIL of the SAMSON
CREE NATION
and the
SAMSON CREE NATION
Defendants
(Third Party Plaintiffs)
and
HER MAJESTY THE QUEEN as represented by
the
MINISTER OF
INDIAN AFFAIRS AND NORTHERN DEVELOPMENT
Defendant
(Third Party Defendant)
REASONS FOR ORDER AND ORDER
[1]
Andrew Buffalo
commenced an action against the Chief and Council of the Samson Cree Nation and
the Samson Cree Nation itself (collectively the “Samson defendants”), and
against Her Majesty the Queen as represented by the Minister of Indian Affairs
and Northern Development. Mr. Buffalo’s action was commenced “on his own
behalf and on behalf of all persons who became members of the Samson Cree Nation
on or after June 29, 1987”.
[2]
Mr. Buffalo now seeks
to have the action certified as a class proceeding. For the reasons that
follow, I find that Mr. Buffalo has not satisfied several components of the
test for certification. As a consequence, the motion will be dismissed.
Background to the Action
[3]
In order to appreciate
the issues raised by the parties in relation to the motion for certification,
it is necessary to have an understanding of the complex history of the
relations between the parties leading up to the commencement of this action.
[4]
This case has its
genesis in the differential treatment accorded to Aboriginal men and women who
married non-Aboriginals under the provisions of the pre-1985 Indian Act.
With the passage of the Bill C-31 amendments to the Act in 1985, (the Act to
Amend the Indian Act, R.S.C. 1985, c. 32
(1st Supp.), s. 4), this legislative differential treatment was
eliminated.
[5]
In accordance with the
provisions of the amended Indian Act, a Band list was to be maintained
by the Department of Indian Affairs and Northern Development (“DIAND” or the
“Crown”), on which every person who was entitled to be a member of the Band in
question would be listed.
[6]
Commencing on April 17,
1985, certain persons who had not previously been members of the Samson Cree
Nation became entitled to have their names entered on to the Band list. As of
June 28, 1987, additional persons who had not been members of the Band prior to
April 17, 1985 became entitled to be members of the Samson Cree Nation. This latter
group included people who were first generation descendants of persons who had
previously been excluded from Band membership by virtue of the pre-1985 Indian
Act.
[7]
In accordance with
section 10 of the post-1985 Indian Act, Bands could assume control over
their membership with the consent of a majority of the electors of the Band, as
long as proper notice was provided, and the majority of the electors consented
to the membership rules established by the Band, amongst other requirements.
[8]
After the Bill C-31
amendments came into force, the Samson Cree Nation attempted to regain control
of its membership. However, the Band’s Membership Code was refused by the
Crown in late 1987, because it did not satisfy the requirements of the Indian
Act. An application for Judicial Review of this decision was dismissed,
and a subsequent appeal was later abandoned.
[9]
Further amendments to
the Indian Act were enacted in 1988 which made Band membership available
to descendants of the dead. These were known as the “death rule amendments”.
[10]
Implementation of the
new Band membership legislation was fraught with difficulties. Some Bands,
including the Samson Cree Nation, were of the view that the 1985 amendments to
the Indian Act interfered with their Aboriginal and treaty rights of
self-determination and self-government, as well as their right to control their
own membership. As a consequence, there were delays within the Samson Cree
Nation in recognizing the membership of certain individuals granted status
through Bill C-31. Included amongst these individuals was the Plaintiff,
Andrew Buffalo.
[11]
The Samson Cree Nation occupies
Reserves No. 137 and 137A in Alberta, and has an undivided interest with three
other Bands in Reserve No. 138 (also referred to as the Pigeon Lake Reserve).
[12]
On or about May 30,
1946, the Samson Cree Nation surrendered its rights, title and interest with
respect to petroleum, natural gas and certain minerals on Reserves 137 and 138
to the Crown in trust for the benefit of the Nation.
[13]
The Crown negotiates
leases for oil production, calculates royalties and pays interest in relation
to oil and gas resources on Reserve lands, pursuant to the Indian Oil and
Gas Act, R.S.C. 1985, c. I-7 and the Indian Oil and Gas Regulations, S.O.R./94-753.
Royalties from Reserves No. 137 and 137A are paid to the Band, whereas
royalties from Reserve No. 138 are divided between Samson and the three other
Bands. The payments are calculated on a per capita basis, based upon
the membership lists for each Band kept by DIAND. It is this latter category
of royalties that are in issue in this case.
[14]
From time to time, the
Samson Cree Nation pays out per capita distributions (“PCDs”) to
individuals recognized as members by the Band. In addition, benefits relating
to matters such as housing, education and social assistance are made available
from time to time to Band members who are deemed to be entitled to such
benefits.
[15]
In accordance with the
provisions of the Indian Act, the Samson Cree Nation maintains both a
capital and a revenue account. Payments made by the Samson Cree Nation from
its capital account require the approval of DIAND, whereas no such approval is
require for payments made from the Band’s revenue account.
[16]
Until 2005, oil
royalties were paid by the Crown into one of the Band’s two accounts. Royalty
payments initially went into the Band’s capital account, and PCD payments were
originally paid by Samson to Band members out of that account.
[17]
However, in 1987, the
Samson Cree Nation took issue with the payment of PCDs to some of the individuals
identified as Band members on the DIAND membership list. Litigation was
commenced in this Court by both the Band and by Andrew Buffalo. Mr. Buffalo
was the representative plaintiff for approximately 391 other class members in
Federal Court action T-430-01 (the “Suspense Account litigation”).
[18]
As a result of
interlocutory proceedings, DIAND began transferring the portion of royalty
monies which related to the individuals whose membership was contested by the
Band into a “Suspense Account”. Payments into this account were made by DIAND
between June 29, 1987, and May 1, 1988.
[19]
In or around May of
1988, the Samson Cree Nation began making PCD payments out of interest accruing
in its revenue account. It is alleged that one of the reasons for this change was
to prevent DIAND from paying PCDs to individuals, including Andrew Buffalo, who
were not recognized as members by the Samson Cree Nation.
[20]
The Suspense Account litigation
was ultimately resolved in 2002, through a series of orders issued by Justice
Hugessen. On February 12, 2008, Mr. Buffalo signed a Settlement, General
Release and Confidentiality Agreement in favour of the Crown. There is a
dispute between the parties as to the scope of the release granted by Mr.
Buffalo. At a minimum, the document released the Crown from any claims with
respect to PCD payments made by the Crown into the suspense account in relation
to Mr. Buffalo.
[21]
In the meantime, on
June 1, 1995, Mr. Buffalo entered an agreement with the Samson Cree Nation,
whereby the Band recognized him as a member, and Mr. Buffalo released the Band
from any claims that he could have against it “by reason of or in respect of
any claim [for] per capita distribution”. Although not specified in the
settlement agreement, Mr. Buffalo evidently received the sum of $1,000 from the
Samson Cree Nation at that time. Since then, Mr. Buffalo has received PCDs
from the Band.
[22]
Other individuals whose
membership had been contested by the Band also signed similar, although not
necessarily identical, settlement agreements and releases with the Samson Cree
Nation at various times. The Crown states that these agreements were signed
without the knowledge of DIAND.
[23]
In his Reasons for
Order of December 11, 2002, Justice Hugessen found that the settlement
agreement and release between Mr. Buffalo and the Samson Cree Nation could not
be set up against Mr. Buffalo in the context of the Suspense Account
litigation, because Mr. Buffalo’s claim in that case was against the Crown, and
the settlement agreement was made with the Samson Cree Nation.
[24]
Justice Hugessen
acknowledged that such a release “might properly release the Band”. However, he
goes on to note that the agreement was based on the Band’s representation that it
controlled its own membership, as otherwise it could not allow Mr. Buffalo to
be a member in exchange for the release from liability. Given that this was
not in fact the case, Justice Hugessen found that the basic premise of the
contract was false, such that the agreement could not be enforced against Mr.
Buffalo by the Samson Cree Nation.
[25]
Justice Hugessen also
observed that the Band owed fiduciary obligations to its members and, as such,
had to treat them all fairly and equitably. It was up to the Samson Cree
Nation to demonstrate it had not breached its fiduciary obligations to Mr.
Buffalo in entering the agreement, which it had failed to do.
[26]
Apart from the $1,000
payment referred to above, Mr. Buffalo alleges that he has not received
anything from the Samson Cree Nation in relation to PCDs for the period between
May 1, 1988, when the Samson Cree Nation began making PCD payments out of its
revenue account, and June 1, 1995, when he allegedly settled with the Band.
Mr. Buffalo’s proposed class action relates to this period. The nature of the
claim will be discussed in greater detail further on in this decision.
[27]
Before turning to
consider the various elements of the test for certification, it is helpful to
start with an overview of the general principles governing class actions.
General Principles Governing Class Proceedings
[28]
As the Supreme Court of
Canada has observed, class actions allow for improved access to justice for
those who might otherwise be unable to seek vindication of their rights through
the traditional litigation process. Class actions also enhance judicial
economy, allowing a single action to decide large numbers of claims involving
similar issues. Finally, class actions encourage behaviour modification on the
part of those who cause harm: see Western Canadian Shopping Centres Inc. v. Dutton,
[2001] 2 S.C.R. 534, 2001 SCC 46, Hollick v. Toronto (City), [2001] 3 S.C.R. 158, 2001 SCC 68, and Rumley v. British Columbia,
[2001] 3 S.C.R. 184, 2001 SCC 69.
[29]
In the above trilogy of
cases, the Supreme Court also held that an overly restrictive approach to the
application of class action certification legislation must be avoided, so that
the benefits of class actions can be fully realized.
[30]
Moreover, the Supreme
Court noted in the Hollick case that:
… the certification stage focuses on the form of the action. The question at the
certification stage is not whether the claim is likely to succeed, but whether
the suit is appropriately prosecuted as a class action. [at paragraph
16]
[31]
In other words, a
certification motion is a procedural matter. Its purpose is not to determine whether
the litigation can succeed, but rather, how the litigation should
proceed: see Sauer v. Canada (Attorney
General), [2008] O.J. No.
3419, (S.C.J.) at paragraph 12.
[32]
In a motion such as
this, the onus is on the plaintiff to establish an evidentiary basis for
certification. That is, the plaintiff must show some basis in fact for each of
the certification requirements, apart from the requirement that the pleadings
disclose a reasonable cause of action. This latter requirement is governed by
the principle that pleadings should not be struck unless it is “plain and
obvious” that no claim exists: see Hollick, at paragraph 25.
Applicable Provisions of the Federal
Courts Rules
[33]
Certification motions are governed by Rule 334.16(1) of the Federal
Courts Rules, which states that:
334.16 (1) Subject to subsection (3), a judge shall, by order,
certify a proceeding as a class proceeding if
(a)
the pleadings disclose a reasonable cause of action;
(b)
there is an identifiable class of two or more persons;
(c)
the claims of the class members raise common questions of law or fact,
whether or not those common questions predominate over questions affecting
only individual members;
(d)
a class proceeding is the preferable procedure for the just and efficient
resolution of the common questions of law or fact; and
(e)
there is a representative plaintiff or applicant who
(i)
would fairly and adequately represent the interests of the class,
(ii)
has prepared a plan for the proceeding that sets out a workable method of
advancing the proceeding on behalf of the class and of notifying class
members as to how the proceeding is progressing,
(iii)
does not have, on the common questions of law or fact, an interest that is in
conflict with the interests of other class members, and
(iv) provides a summary of any
agreements respecting fees and disbursements between the representative
plaintiff or applicant and the solicitor of record.
|
334.16
(1) Sous réserve du paragraphe (3), le juge autorise une instance comme
recours collectif si les conditions suivantes sont réunies :
a) les
actes de procédure révèlent une cause d’action valable;
b) il
existe un groupe identifiable formé d’au moins deux personnes;
c) les
réclamations des membres du groupe soulèvent des points de droit ou de fait
communs, que ceux-ci prédominent ou non sur ceux qui ne concernent qu’un
membre;
d) le
recours collectif est le meilleur moyen de régler, de façon juste et efficace,
les points de droit ou de fait communs;
e) il
existe un représentant demandeur qui :
(i) représenterait de façon équitable et adéquate les
intérêts du groupe,
(ii) a élaboré un plan qui propose une méthode
efficace pour poursuivre l’instance au nom du groupe et
tenir les membres du groupe informés de son déroulement,
(iii) n’a pas de conflit d’intérêts avec d’autres membres
du groupe en ce qui concerne les points de droit ou de fait communs,
(iv) communique un sommaire des conventions relatives aux
honoraires et débours qui sont intervenues entre lui et l’avocat inscrit au
dossier.
|
[34]
It should be noted that Rule 334.16(1)
uses mandatory language, providing that a court shall grant
certification, where all five elements of the test are satisfied.
[35]
The parties agree that the list
contained in Rule 334.16(1) is conjunctive. As a consequence, if an applicant
fails to meet any one of the five listed criteria, the certification motion
must fail: see Sander Holdings Ltd. v. Canada (Minister of Agriculture), 2006 FC 327, at paragraph 38.
[36]
Also relevant is Rule 334.18,
which states that:
334.18 A judge shall not refuse to certify a proceeding as a
class proceeding solely on one or more of the following grounds:
(a) the relief claimed includes a claim for
damages that would require an individual assessment after a determination of
the common questions of law or fact;
(b) the relief claimed relates to separate
contracts involving different class members;
(c) different remedies are sought for different
class members;
(d) the precise number of class members or the
identity of each class member is not known; or
(e) the
class includes a subclass whose members have claims that raise common
questions of law or fact not shared by all of the class members. [emphasis
added]
|
334.18
Le juge ne peut invoquer uniquement un ou plusieurs des motifs ci-après pour
refuser d’autoriser une instance comme recours collectif :
a) les réparations demandées comprennent une
réclamation de dommages-intérêts qui exigerait, une fois les points de droit
ou de fait communs tranchés, une évaluation individuelle;
b) les réparations demandées portent sur des
contrats distincts concernant différents membres du groupe;
c) les réparations demandées ne sont pas les
mêmes pour tous les membres du groupe;
d) le nombre exact de membres du groupe ou
l’identité de chacun est inconnu;
e) il existe au sein du groupe un sous-groupe
dont les réclamations soulèvent des points de droit ou de fait communs que ne
partagent pas tous les membres du groupe.
[Je souligne]
|
[37]
The use of the word “solely” or
“uniquement” in Rule 334.18 suggests that while the enumerated factors may
indeed be relevant considerations on a motion for certification, none of these
factors, either singly, or combined with other factors listed in the provision,
will, by themselves, provide a sufficient basis to decline certification: see Tihomirovs v. Canada (Minister of Citizenship and Immigration), 2006 FC 197, at paragraph 41.
[38]
With this understanding of the
relevant Rules, I turn next to consider whether Mr. Buffalo has satisfied each
of the elements of the test for certification, such that the matter should be
certified as a class proceeding.
Should This Matter be Certified as a Class Proceeding?
[39]
The Federal Courts
Rules were amended in 2002 to provide for class proceedings. Given the
fairly recent introduction of class proceedings in this Court, there is relatively little Federal Court
jurisprudence governing the certification process.
[40]
The Federal Courts Rules
regarding the certification of class actions are, however, very similar to the
corresponding British Columbia rules: Sylvain v. Canada
(Agriculture and Agri-Food), 2004 FC
1610, at paragraph 26, and Rasolzadeh
v. Her Majesty the Queen and Minister of Citizenship and Immigration, 2005 FC 919, at paragraph 23.
[41]
The Rules are also very similar to
those provided for in the Ontario class action legislation: see Le Corre v. Canada
(Attorney General), 2004 FC 155, at
paragraph 17. As a consequence, the jurisprudence that has developed in those
jurisdictions is of considerable assistance in determining whether or not
certification is appropriate in this case.
[42]
With this in mind, I turn now to examine
each of the factors enumerated in Rule 334.16(1), starting with a consideration
of whether the pleadings disclose a reasonable cause of action.
a) Is
There a Reasonable Cause of Action?
[43]
The parties are in agreement that
the test to be imposed at this stage is similar to that used in connection with
motions to strike pleadings. That is, the question is whether it is “plain and
obvious” that the pleadings do not disclose a reasonable cause of action: Hunt
v. Carey Canada Inc., [1990] 2 S.C.R. 959, at paragraphs 32-33. The
parties also agree that this is a low threshold: see, for example, Manuge v.
Canada, 2008 F.C. 624, at paragraph 38, Peppiatt et al. v. Nicol et al.,
[1993] O.J. No. 2722, (1993), 16 O.R. (3d) 133, at pp. 140-1, and Denis v.
Bertrand & Frère Construction Co., [2000] O.J. No. 5783.
[44]
The parties also agree that unlike
a motion to strike under Rule 221(1) of the Federal Courts Rules, in
this case, the onus is on the plaintiff to demonstrate that his pleadings do in
fact disclose a reasonable cause of action.
[45]
Mr. Buffalo’s current action was
commenced by statement of claim issued on May 24, 2006. The claim alleges that
Mr. Buffalo did not receive PCDs from either the Crown or the Samson Cree
Nation for the period between May 1, 1988 and June 1, 1995, and that others
amongst the plaintiffs did not receive PCDs for the same or greater or lesser
periods.
[46]
Briefly stated, Mr. Buffalo’s
statement of claim asserts that the Samson Cree Nation received royalty
payments from the Crown in relation to the Pigeon Lake Reserve Samson lands, calculated
using DIAND membership numbers that included the members of the proposed class.
[47]
The statement of claim further
alleges that the Samson defendants then excluded the plaintiffs from
distribution of PCDs and other payments, as well as from access to benefits.
According to the statement of claim, in so doing, the Samson defendants
breached the fiduciary duty that they owed to the plaintiffs.
[48]
The statement of claim identifies
the particulars of the breach of fiduciary duty as using the plaintiffs’ names
for the purposes of obtaining a greater per capita share of oil
royalties from its Reserve lands, while denying the plaintiffs the financial
benefits associated with Band membership, thereby unjustly enriching the Band.
The statement of claim further asserts that the Samson defendants committed
equitable fraud.
[49]
It is also alleged that the Band
failed to account to the plaintiffs “for the excess royalties received on a per
capita basis in the Agreement signed by some or all of the Plaintiffs and
in doing so fraudulently concealing and continuing to fraudulently conceal the
extent of their equitable entitlement”.
[50]
Finally, the statement of claim
alleges that the Samson defendants treated the plaintiffs inequitably in
relation to other members of the Band in the distribution of PCDs and other
benefits from June 29, 1987 onward, and in fraudulently concealing and
continuing to fraudulently conceal the enrichment.
[51]
Insofar as the claim against the
Crown is concerned, Mr. Buffalo pleads that the Crown has received oil and gas
royalty payments from oil and gas companies, in trust, for the benefit of the
relevant Bands, including the Samson Cree Nation. The claim further asserts
that the Crown has the ability to trace these royalties, together with interest
paid thereon.
[52]
The claim further asserts that the
Crown owes a fiduciary duty to the Samson Cree Nation, including its members,
and that the Crown breached this duty by failing to disclose to the plaintiffs
that oil royalties were being calculated based upon their membership in the
Samson Cree Nation.
[53]
It is also alleged that the Crown
breached the fiduciary duty owed to the plaintiffs by crediting royalties and
interest to Samson, when the Crown knew that Samson was acting dishonestly and
fraudulently in not treating its Band members equitably. The Crown further
breached its fiduciary duty, the plaintiffs say, by failing to take any steps
to protect the financial interests of the plaintiffs from the inequitable
treatment by Samson, thereby fraudulently concealing from the plaintiffs the
extent of their equitable entitlement.
[54]
Each of the defendants provided
substantial submissions as to the alleged deficiencies in the statement of
claim, in support of their position that it does not disclose a reasonable
cause of action. As it is not determinative of the outcome, I am prepared to
assume for the purposes of this motion that the statement of claim does in fact
disclose a reasonable cause of action.
b)
Is There an Identifiable Class of Two or More Persons?
[55]
The Supreme Court of Canada has
observed that the definition of the class “is critical because it identifies
the individuals entitled to notice, entitled to relief (if relief is awarded),
and bound by the judgment”: Western Canadian Shopping Centres Inc.,
previously cited, at paragraph 38.
[56]
As the Supreme Court also noted at
paragraph 21 of the Hollick case, this requirement is not an onerous
one. However, while Mr. Buffalo need not show that everyone in the class
shares the same interest in the resolution of the asserted common issue, there
must be some showing that the class is not unnecessarily broad.
[57]
That is, Mr. Buffalo must
demonstrate that the class could not be defined more narrowly, without
arbitrarily excluding some people who share the same interest in the resolution
of the common issues: Hollick, at paragraph 21.
[58]
In order to satisfy this
criterion, what Mr. Buffalo must show is that there is an identifiable class of
two or more persons, which class is not unlimited, and which is defined by
reference to objective criteria: Hollick, at paragraph 17.
[59]
The parameters of class definition
suggested by Mr. Buffalo have varied throughout these proceedings. The
statement of claim identifies the putative class as Mr. Buffalo “on his own behalf and on behalf of all
persons who became members of the Samson Cree Nation on or after June 29,
1987”.
[60]
During his oral
submissions, counsel for Mr. Buffalo acknowledged that this definition was
somewhat open-ended, suggesting that the proposed
class definition be modified to add the words “and who are not recognized as
members by the Samson Cree Nation”. According to Mr. Buffalo, there would be approximately 400 people who
would come within this class.
[61]
When the Court pointed out that
this amended class definition would exclude Mr. Buffalo, who has himself been
recognized as a member of the Samson Cree Nation since 1995, counsel then
proposed a further modification to the definition, namely that it include Mr.
Buffalo “on his own behalf and
on behalf of all persons who became members of the Samson Cree Nation on or
after June 29, 1987, and who were from time to time not recognized as members
of the Samson Cree Nation”. The motion was then argued on the basis of this
proposed class definition.
[62]
In his reply
submissions, counsel for Mr. Buffalo proposed a further modification to the
class definition, suggesting that it be further amended to include Mr. Buffalo “on his own behalf and on behalf of all persons who became members of the
Samson Cree Nation on or after June 29, 1987, and who were from time to time
not recognized as members of the Samson Cree Nation between June 29, 1987 and
June 1, 1995, inclusive”.
[63]
Counsel then suggested
that there should also be a subclass created of those members of the class who
had never signed settlement agreements with the Samson Cree Nation. When the
Court asked counsel whether there would not have to be a separate
representative plaintiff for the subclass, given that Mr. Buffalo would not be
a member of the subclass, counsel stated that the Court would have to decide whether
this was appropriate. No individual was proposed as an appropriate
representative for the subclass.
[64]
Given the evolving
nature of the proposed class definition, counsel for the defendants were then
permitted to make additional submissions by way of sur-reply.
[65]
In the course of the
hearing, the Court queried whether it was the intention of the plaintiff that
individual class members would be able to maintain a claim for damages arising
in the period after June 1, 1995. Counsel for Mr. Buffalo stated that it was
his understanding that claims for damages would be capped as of June 1, 1995
for all of the members of the class, apart from claims for pre-judgment
interest.
[66]
However, in a letter
provided to the Court after the hearing was completed, counsel indicated
instead that “individual class members will have suffered different damages
(corresponding losses) either before or after June 1, 1995, particularly those
who have not signed agreements with Samson and therefore have never received
PCDs, should she find them to be members of the class” [sic].
[67]
While I will return to
this issue when examining the suitability of Mr. Buffalo as a representative
plaintiff, I should preface my analysis regarding the existence of an
identifiable class by expressing my very real concern with respect to the lack
of thought that appears to have been given to the question of class definition
by the plaintiff.
[68]
As I observed at the
outset, the definition of the class is
critical in a class action for a number of different reasons. The proposed
class definition in this case has been a moving target, with the plaintiff
continually modifying the proposed class definition in an attempt to address
concerns raised with respect to the proposed definition by the opposing parties
and by the Court.
[69]
I have a second concern in
approaching this issue, which arises out of the failure of Mr. Buffalo to
identify any issues of fact or law common to all of the class members. This
concern will be addressed in greater detail in the next section of this
decision. However, it should be noted at this juncture that there must be some
rational relationship between the identifiable class and the common issues.
This is because the definition of the identifiable class will often depend in
part upon the identification of common issues, and vice versa: see Cloud
v. Canada (Attorney General), [2004] O.J. No. 4924, (Ont. C.A.) at paragraph 48, leave to appeal refused, [2005] S.C.C.A.
No. 50.
[70]
As a result, the failure on the
part of Mr. Buffalo to identify any common issues for resolution through a
class proceeding makes the proper identification of the class more difficult.
[71]
I am also concerned that the class
definition ultimately proposed by Mr. Buffalo does not relate to essential
facts giving rise to the claim, as it has been framed by the plaintiff. As I
understand it, central to the plaintiffs’ claim is the inclusion of certain
Band members’ names on the Band list maintained by DIAND, which was used in the
calculation of royalties payable to the Band in relation to the Pigeon Lake
Reserve. This in turn gave rise to an enhanced per capita share of oil
royalties having been paid to the Samson Cree Nation, allegedly resulting in
the unjust enrichment of the Band.
[72]
Also important to the claim, and
thus to the proper identification of the class, is the corresponding
non-recognition of class members by the Band after the members were recognized
by the Minister, which allegedly resulted in PCD payments and other benefits being
denied to these individuals, and the corresponding unjust enrichment of the
Samson Cree Nation.
[73]
Despite the
difficulties identified above, and keeping in mind the teachings of the Supreme
Court of Canada that the requirement that
there be an identifiable class is not an onerous one, I am nevertheless satisfied
that there is an identifiable class of two or more
persons in this matter, which class is not unlimited, and which can be
defined by reference to objective criteria.
[74]
This class can properly be described as:
All persons who became members of the Samson Cree Nation between
June 29, 1987 and June 1, 1995, inclusive, whose names were recorded on the
membership list maintained by the Minister of Indian Affairs and Northern
Development at any time during this period, and who were not recognized as
members of the Band by the Samson Cree Nation at any point between the time
that the member’s name was added to the membership list maintained by the
Minister and June 1, 1995.
[75]
As noted above, in his
reply submissions, Mr. Buffalo also proposed the creation of a subclass, which,
he says, would be confined to the approximately 42 individuals who have never signed settlement agreements
with the Samson Cree Nation.
[76]
The creation of subclasses
is governed by Rule 334.16(3) of the Federal Courts Rules, which permits
the creation of subclasses “whose members have claims that raise common issues
of law or fact that are not shared by all of the class members so that the
protection of the interests of the subclass members requires that they be separately
represented”.
[77]
There is an issue in
this litigation as to the binding effect of the settlement agreements and
releases that have been signed by some members of the putative class, including
Mr. Buffalo, in favour of the Samson Cree Nation. (Although not referred to by
Mr. Buffalo in relation to the question of class definition, there is also an
issue with respect to the legal effect of releases signed by members of the
proposed class in favour of the Crown in the context of the Suspense Account
litigation.)
[78]
The difficulty with the
subclass proposed by Mr. Buffalo is that it purports to create a subclass of
individuals whose claims do not raise the common issue,
rather than a subclass whose members’ claims do raise the common issue.
He has also not explained why protection of the interests of the proposed subclass
members requires that they be separately represented. As a result, Mr. Buffalo
has not satisfied me of the existence of a subclass that meets the requirements
of Rule 334.16(3).
[79]
Before leaving this
issue, I should note that because the class definition identified by the Court
contains a clear temporal limitation, I do not agree with the defendants that
the composition of the class would be forever changing, or that any individuals
who are born and added to the DIAND list after June of 1995 would become
members of the class. On the basis of the Court’s class definition, no one
added to the DIAND membership list after June 1, 1995 would be eligible for inclusion in the class.
c)
Do the Claims of the Class Members Raise Common Questions of Law
or Fact?
[80]
To be appropriate for
certification as a class action, a case must raise issues of fact or law common
to all class members: see Western Canadian Shopping Centres Inc., at
paragraph 39.
[81]
Indeed, the question of
commonality of issues has been described as lying at the heart of a class
proceeding: see Manuge, at paragraph 26, and Campbell
v. Flexwatt Corp., [1998] 6 W.W.R. 275, 44 B.C.L.R. (3d) 343 (B.C.C.A.),
at paragraph 52, leave to appeal to S.C.C. refused, [1998] S.C.C.A. No. 13.
[82]
In identifying whether a given
case raises issues of fact or law common to all class members, the Court should
approach the matter purposively. As the Supreme Court of Canada observed at
paragraph 39 of the Western Canadian Shopping Centres Inc. case, the
question is “whether allowing the suit to proceed as a representative one will
avoid duplication of fact-finding or legal analysis.” According to the Supreme
Court, an issue will be ‘common’ “only where its resolution is necessary to the
resolution of each class member's claim”.
[83]
The Supreme Court went on to note
that:
It is not
essential that the class members be identically situated vis-à-vis the opposing
party. Nor is it necessary that common issues predominate over non-common
issues or that the resolution of the common issues would be determinative of
each class member's claim. However, the class members' claims must share a
substantial common ingredient to justify a class action. Determining whether
the common issues justify a class action may require the court to examine the
significance of the common issues in relation to individual issues. In doing
so, the court should remember that it may not always be possible for a
representative party to plead the claims of each class member with the same
particularity as would be required in an individual suit: paragraph 39.
[84]
To be appropriate for
certification, the common issues do not have to determine the question of
liability for all of the members of the class, or otherwise dispose of the
action: see Campbell v. Flexwatt Corp., previously cited.
[85]
The determination of the common issue or issues does, however, have to have sufficient significance in relation to the claim being
asserted such that its resolution will advance the litigation in a meaningful
way: see Carom v. Bre-X Minerals Ltd., [1999] O.J. No. 1662 (Ont. Sup. Ct.), at
paragraph 63, and Rosedale Motors Inc. v. Petro-Canada Inc., [2001] O.J. No. 5368 (Ont. Div. Ct.).
[86]
In this case, Mr. Buffalo’s
memorandum of fact and law identifies what he says are the common issues in the
following terms: “on questions
of fact, the members of the proposed class are all members of Samson”, and “on
questions of law, they are all governed by the same federal statutory regime
and they are all owed the same fiduciary obligations”.
[87]
In his oral
submissions, counsel for Mr. Buffalo identified the common issues of fact as
being “on behalf of all these people the Samson Cree Nation received oil
royalties” and “until they signed agreements, members of the class did not
receive any benefits from the Samson Cree Nation”.
[88]
With respect, while the
foregoing may relate to common attributes of the putative class, none of the
matters identified by counsel for Mr. Buffalo are common issues which require
resolution in order to move this litigation forward in a meaningful way.
Indeed, I do not understand any of these so-called “common issues” to be
seriously in dispute in this case.
[89]
To be appropriate for
certification in a class action, common issues require precise definition for
inclusion in the certifying order, and are usually framed in the form of
questions to be answered in the course of the litigation.
[90]
By way of example, in Harrington
v. Dow Corning Corp., [1996] B.C.J.
No. 734, aff’d [2000] B.C.J. No. 2237, one of the questions certified by the
British Columbia Supreme Court was “Are silicone breast implants reasonably fit
for their intended purpose?”
[91]
Similarly, in Manuge, this
Court certified a number of questions including, amongst others, “Does the Crown owe fiduciary duties to the Plaintiff and
the Class and has the Crown breached the fiduciary duties owed to the Class by
implementing section 24(a)(iv) of Part III(B) of SISIP Plan Policy 901102?”,
“Has the Crown [been] unjustly enriched and is an Order for restitution
appropriate?” and “Is the Crown liable for general damages for discrimination,
breach of fiduciary duties and bad faith?”.
[92]
No such common issues have been
identified by the plaintiff in this case.
[93]
As was noted at the outset of this
analysis, the onus is on the plaintiff to show some basis for each of the certification
requirements, including the existence of common issues of fact or law common
to all class members, the resolution of which will advance the litigation in a
meaningful way.
[94]
Whatever common issues of fact or
law may in fact exist in this matter, having failed to identify any such issues
on this motion, Mr. Buffalo has clearly failed to satisfy the onus on him in
this regard.
[95]
As was noted earlier, the test for
certification is conjunctive. Mr. Buffalo having failed to satisfy this
component of the test, it follows that his motion must be dismissed. However,
in the event that a reviewing court may take a different view of the matter, I
will proceed to address the remaining components of the test.
d) Is a Class Action the Preferable Procedure for
the Fair and Efficient Resolution of the Common Questions of Law or
Fact?
[96]
The question of preferable
procedure was the primary focus of the defendants’ submissions on this motion.
[97]
In Caputo v. Imperial Tobacco
Ltd.¸ [2005] O.J. No. 842, (Ont. Sup. Ct.), Justice Winkler (as he then was), described the
consideration of whether a class proceeding is the preferable procedure as “a
matter of broad discretion”: at paragraph 29.
[98]
In determining whether a class
action is the preferable procedure to be followed in this case, Rule 334.16(2) of
the Federal Courts Rules directs that the Court consider:
334.16(2) All
relevant matters shall be considered in a determination of whether a class
proceeding is the preferable procedure for the just and efficient resolution
of the common questions of law or fact, including whether
(a) the questions of law or fact common to the
class members predominate over any questions affecting only individual
members;
(b) a significant number of the members of the
class have a valid interest in individually controlling the prosecution of
separate proceedings;
(c) the class proceeding would involve claims that
are or have been the subject of any other proceeding;
(d) other means of resolving the claims are less
practical or less efficient; and
(e) the administration of
the class proceeding would create greater difficulties than those likely to
be experienced if relief were sought by other means.
|
334.16(2) Pour décider si le recours collectif est
le meilleur moyen de régler les points de droit ou de fait communs de façon
juste et efficace, tous les facteurs pertinents sont pris en compte,
notamment les suivants :
a) la
prédominance des points de droit ou de fait communs sur ceux qui ne
concernent que certains membres;
b) la
proportion de membres du groupe qui ont un intérêt légitime à poursuivre des
instances séparées;
c) le
fait que le recours collectif porte ou non sur des réclamations qui ont fait
ou qui font l’objet d’autres instances;
d)
l’aspect pratique ou l’efficacité moindres des autres moyens de régler les
réclamations;
e) les
difficultés accrues engendrées par la gestion du recours collectif par
rapport à celles associées à la gestion d’autres mesures de redressement.
|
[99]
The focus of the parties’
submissions was on the factor identified in Rule 334.16(2)(a), namely whether the questions
of law or fact common to the class members predominate over any questions
affecting only individual members.
Do the Common Questions Predominate
Over Questions Affecting Only Individual Members?
[100]
In the Hollick
decision cited earlier, the Supreme Court of Canada directed lower courts not to
take an overly restrictive approach to questions as to the preferable procedure
at the certification stage. The Supreme Court noted that the preferability
requirement could be met, even in cases where there were substantial issues
requiring an individualized assessment, as long as the resolution of the common
issues would significantly advance the action.
[101]
In Cloud¸ the
Ontario Court of Appeal observed that the assessment of the relationship
between common and individual issues is a qualitative and not a quantitative
inquiry, and that the importance of the common issues must be considered in
relation to the claim as a whole: see paragraph 84.
[102]
However, the Ontario
Court of Appeal also observed in Cloud that the determination of whether
the resolution of the common issues will significantly advance the action can
only be carried out in light of the specific common issues identified. In this
regard, the Court observed that “without an articulation of what the common
issues are, any assessment of their relative importance in the context of the
entire claim cannot be properly made”: at paragraph 77.
[103]
This observation is
particularly apposite in this case, as the failure of Mr. Buffalo to identify
any common issues of fact or law requiring resolution through the class
proceeding has made the qualitative assessment of the preferable procedure
component of the test for certification virtually impossible.
[104]
That said, it does bear
noting that there are significant issues raised by this litigation that will
require individualized assessment.
i) The Limitations Issues
[105]
As was noted above,
Mr. Buffalo’s claim relates, in part, to the denial of PCDs that he says were
owed to him by the Samson Cree Nation between May 1, 1988 and June 1, 1995.
His statement of claim was not issued until May 24, 2006, nearly 11 years after he was recognized as a member by the
Samson Cree Nation, and as such began receiving PCDs.
[106]
In accordance with
subsection 39(1) of the Federal Courts Act, R.S.C. 1985, c. F-7, the laws relating to
prescription and the limitation of actions in force in a province between
subject and subject apply to proceedings in the Federal Court in respect of any
cause of action arising in that province.
[107]
Insofar as the claim
relates to the Crown, section 32 of the Crown Liability and Proceedings Act,
R.S., 1985, c. C-50, provides that the laws relating to the limitation of
actions in force in a province between subject and subject apply to any
proceedings by or against the Crown in respect of any cause of action arising
in that province.
[108]
In this case, the
provincial limitations legislation in issue is the Alberta Limitations Act, R.S.A. 2000, c. L-12. Subsection 3(1) of the Act
provides that:
3(1) Subject to section 11, if a claimant does not seek a remedial
order within
(a) 2 years after the date on which the claimant first knew, or in
the circumstances ought to have known,
(i) that the injury for which the claimant seeks a remedial order
had occurred,
(ii) that the injury was attributable to conduct of the defendant,
and
(iii) that the injury, assuming liability on the part of the
defendant, warrants bringing a proceeding,
or
(b) 10 years after the claim arose,
whichever period expires first, the defendant, on pleading this Act
as a defence, is entitled to immunity from liability in respect of the claim.
[109]
Section 11 of the Act further
provides that:
11. If, within 10 years after the claim arose, a claimant does not
seek a remedial order in respect of a claim based on a judgment or order for
the payment of money, the defendant, on pleading this Act as a defence, is
entitled to immunity from liability in respect of the claim.
[110]
The defendants assert
that Mr. Buffalo was in possession of all of the essential facts necessary to
initiate this action by August of 2000, when he retained counsel and initiated
the Suspense Account litigation. Having failed to commence this action within
two years of when he knew, or ought to have known of essential facts giving
rise to the claim, the defendants say that the claim is statute barred.
[111]
In the alternative,
the defendants assert that Mr. Buffalo’s claim is barred by paragraph 3(1)(b)
of the Limitations Act, which, they say, bars any claim brought more
than 10 years after the occurrence of the last wrong complained of. According
to the defendants, the last possible date upon which Mr. Buffalo’s claim could
have arisen was June 1, 1995, namely the date upon which he executed his
agreement with the Samson Cree Nation and began receiving PCDs. As the
statement of claim was not issued until May
24, 2006, the defendants say that Mr. Buffalo’s claim is out of time.
[112]
Finally, in the event
that Mr. Buffalo’s claim falls within the transitional provisions of the Limitations
Act, the defendants say that the applicable limitation period is the
earlier of the period prescribed under the predecessor legislation or that
prescribed in the new legislation. In this case, the earlier period would be
the six year period for the commencement of claims relating to the breach of
fiduciary duty, with the result that Mr. Buffalo’s claim became statute barred
on June 1, 2001.
[113]
The defendants also
argue that an individualized assessment would have to be carried out with
respect to each and every member of the class, in order to determine what each
individual knew and when they knew it, so as to determine whether they had a
viable cause of action as of the date upon which Mr. Buffalo’s statement of
claim was issued.
[114]
In response, Mr.
Buffalo submits that his cause of action did not arise until December of 2005,
when he received a copy of a document entitled “Samson Cree Nation Information
on the Capital Account from 1969 to 2003”.
[115]
Mr. Buffalo also relies
on section 4 of the Alberta Limitations Act, which provides
that:
4(1) The operation of the limitation period provided by section
3(1)(b) is suspended during any period of time that the defendant fraudulently
conceals the fact that the injury for which a remedial order is sought has
occurred.
(2) Under this section, the claimant has the burden of proving that
the operation of the limitation period provided by section 3(1)(b) was
suspended.
[116]
According to Mr.
Buffalo, given that his claim asserts that the defendants fraudulently
concealed the fact that the Samson Cree Nation was receiving royalties based
upon membership numbers that included the members of the class, the limitation
period did not start to run until 2005.
[117]
Finally, Mr. Buffalo
argues that no individualized assessment is required with respect to the
limitations question as it relates to the issue of fraudulent concealment.
According to Mr. Buffalo, a finding that the limitations period had not run in
relation to his personal claim would govern all of the other members of the
class.
[118]
I do not agree with Mr.
Buffalo that a finding in his favour in relation to the limitations issues
would bind all of the members of the class. If this were correct, a person who
may have had full actual knowledge as far back as 1995 of all of the matters
alleged in Mr. Buffalo’s statement of claim, whose claim would otherwise be statute-barred, could have that
claim resurrected, simply by virtue of that individual’s membership in the
class.
[119]
Whatever other advantages may be
afforded by class proceedings, the ex post facto resurrection of
statute-barred claims is not one of them.
[120]
Moreover, subsection
4(2) of the Limitations Act makes it clear that it is the claimant who
has the burden of proving that the operation of the limitation period provided
by section 3(1)(b) was suspended as a result of fraudulent concealment by a
defendant.
[121]
Thus, there will
clearly be a question as to when each of the individual members of the class
knew, or ought to have known, of the essential facts giving rise to their cause
of action. The issue of discoverability cannot be determined in a global
fashion: see Daniels v. Canada (Attorney
General) 2003 SKQB 58, at
paragraph 65. Rather, it requires the individualized assessment of the state
of knowledge of each member of the class or subclass: see also Signalta
Resources Ltd. v. Dominion Exploration Canada Ltd., [2007] ABQB 636, and Knight
v. Imperial Tobacco Canada, 2006 BCCA 235.
ii) The Claims for Lost Benefits
[122]
Unlike PCDs, which are
paid out equally to each recognized member of the Samson Cree Nation in
accordance with a fixed formula, benefits such as housing, education and social
assistance are made available from time to time to Band members who are deemed
to be entitled to such benefits.
[123]
According to the
affidavit of Clifford Potts, a paralegal with the Samson Cree Nation, decisions relating to the eligibility for benefits are
not dependent upon or otherwise related to whether an applicant has become a
Member of the Samson Cree Nation by virtue of the Bill C-31 amendments to the Indian
Act.
[124]
By way of example, funding of
post-secondary education is determined on a case-by-case basis. Monetary
grants and awards through the Samson Education Trust Fund may depend upon
scholastic achievement, availability of grant monies and whether an individual
requests funding assistance.
[125]
Similarly, applications for
on-reserve housing are also assessed on a case-by-case basis. Whether an
individual receives funding for housing may depend upon factors such as the size
of the family, the availability of funds, and whether an individual requests
funding assistance.
[126]
Insofar as eligibility for welfare
and social assistance benefits is concerned, such benefits are awarded based on
criteria including where an individual resides, whether an individual
demonstrates the requisite financial need, and whether an individual has
actually requested benefits.
[127]
As a consequence, it is very clear
that to the extent that the claim relates to lost benefits, an individualized assessment will have to be
carried out with respect to the claims of each individual member of the class.
iii) The Release Issues
[128]
Finally, there will be issues with
respect to the enforceability of releases signed by certain members of the class
in favour of the Samson Cree Nation that will require individualized assessment. Indeed, counsel for Mr. Buffalo conceded in
argument that it would be necessary to look at the personal circumstances of
each claimant in relation to the negotiation and execution of each release.
[129]
Similarly, it will also be
necessary to examine the individual situation of any individuals who were
involved in the Suspense Account litigation, who may have signed releases in
favour of the Crown.
Conclusion with Respect to the Predominance of the
Individual Issues
[130]
As was noted earlier in this
analysis, in considering whether the common questions of law or fact
predominate over questions affecting only individual members, the proper approach is to focus not on whether there
are issues that require individualized assessment, but on whether there are
common issues that could advance the litigation by their resolution.
[131]
In this case, however,
Mr. Buffalo has not identified any common issues of law or fact that
could advance the litigation by their resolution, whereas the defendants have
identified several issues that will require individualized assessment. In such
circumstances, the individual issues clearly predominate, such that proceeding
by way of a class action is not the preferable procedure for
the just and efficient resolution of the issues in this claim.
Other Considerations Regarding the Preferable
Procedure
[132]
As was noted above, the
focus of the parties’ submissions was on the factor identified in Rule 334.16(2)(a), namely whether the questions of law or fact common to the class members
predominate over any questions affecting only individual members. However,
reference was also made to the value of the potential claims as a factor
militating against certification.
[133]
One of the benefits of
class proceedings is that it allows for claims of a relatively small size to be
prosecuted in circumstances where individual actions would simply not otherwise
be financially viable. Indeed, the small size of individual claims may be a
factor weighing in favour of certification: see, for example Manuge, at
paragraph 28, Sorotski v. CNH Global
N.V., 2007 SKCA 104, at paragraph 66
and Bodnar v. The Cash Store Inc., 2006 BCCA 260, at paragraphs 19 and 20.
[134]
Little information has been
provided with respect to the size of the individual claims in issue in this
case, although counsel for the plaintiff did mention at one point that Mr.
Buffalo’s personal claim would be worth somewhere in the vicinity of $192,000.
[135]
Mr. Buffalo’s statement of claim
also asserts that at least as of May of 1988, Samson’s annual budget
contemplated monthly PCD payments in the amount of $500 each, along with four
quarterly distributions, each in the amount of $600.
[136]
I have also been also provided
with the decision of Justice Slatter, then of the Alberta Court of Queen’s
Bench, in Yellowbird v. Samson Cree Nation No. 444, 2006 ABQB 434, aff’d
2008 ABCA 270. Although
framed differently, the Yellowbird action involved claims for PCDs brought by
individuals whose memberships in the Samson Cree Nation were affected by Bill
C-31.
[137]
The judgment indicates that the
value of one individual’s entitlement to PCDs for the period between June of
1987 and February of 2006 was $197,547.55, inclusive of interest.
[138]
What this indicates is that the
value of the individual claims in issue here may well be substantial, such that
individual prosecution is indeed a viable option. Moreover, the potential size
of these individual claims is such that class members could indeed have an
interest in individually controlling the prosecution of separate actions.
Conclusion Regarding the Preferable Procedure
[139]
For these reasons, Mr. Buffalo has
not persuaded me that a class action is the preferable procedure to be followed
for the just and efficient resolution of the issues in this claim.
e) Is Mr. Buffalo a Suitable Representative
Plaintiff?
[140]
The requirements for establishing
that the proposed representative plaintiff would indeed be an appropriate one
are set out in Rule 334.16(1)(e). This provision requires that it be
established that the proposed representative plaintiff:
334.16(1)(e)(i) would fairly and adequately represent the
interests of the class,
(ii)
has prepared a plan for the proceeding that sets out a workable method of
advancing the proceeding on behalf of the class and of notifying class
members as to how the proceeding is progressing,
(iii)
does not have, on the common questions of law or fact, an interest that is in
conflict with the interests of other class members, and
(iv) provides a summary of any
agreements respecting fees and disbursements between the representative
plaintiff or applicant and the solicitor of record.
|
334.16(1)(e)(i)
représenterait de façon équitable et adéquate les intérêts du groupe,
(ii) a élaboré un plan qui propose une méthode efficace
pour poursuivre l’instance au nom du groupe et tenir les membres du groupe
informés de son déroulement,
(iii) n’a pas de conflit d’intérêts avec d’autres membres
du groupe en ce qui concerne les points de droit ou de fait communs,
(iv) communique un sommaire des conventions relatives aux
honoraires et débours qui sont intervenues entre lui et l’avocat inscrit au
dossier.
|
[141]
Mr. Buffalo submits
that he is a suitable representative plaintiff,
primarily on the basis that he was found to be such by Justice Hugessen in the
context of the Suspense Account litigation.
[142]
Mr. Buffalo has sworn that he has
been advised by his counsel that his interests are not in conflict with those
of other members of the proposed class. He has also provided a copy of the
contingency fee arrangement that he has entered into with his counsel.
[143]
Insofar as a litigation
plan is concerned, Mr. Buffalo has suggested a method for advertising for class
members, but offers no other suggestions for the prosecution of this action.
[144]
I agree with the
defendants that the fact that Mr. Buffalo may have been approved as a suitable
representative plaintiff in the context
of the Suspense Account litigation does not mean that he is necessarily a suitable representative plaintiff in this
case.
[145]
First of all, there is
no suggestion in the decisions of Justice
Hugessen which have been
provided to me that there was any objection to Mr. Buffalo acting as a
representative plaintiff in that case. That is not the case here.
[146]
I am also troubled by
the failure of Mr. Buffalo to prepare even a rudimentary litigation plan in
this matter, as required by Rule 334.16(1)(e)(ii).
When he was questioned about this by the Court, counsel’s response was that the
matter was under case management, and that a litigation plan could be worked
out through the case management process. At another point in his submissions,
counsel referred to the Federal Courts Rules as providing “a template”
for his litigation plan.
[147]
With respect, this is simply not
sufficient.
[148]
I accept that a litigation plan is
not to be scrutinized in great detail at the certification stage because the
plan will likely be amended during the course of the proceeding. The plan
must, however, demonstrate that the plaintiff and his counsel have thought the
process through, and that they grasp its complexities: see Sorotski, at paragraph 95. See also Williams v. College
Pension Board of Trustees, 2005 BCSC 788 at paragraphs 139-140, and Fakhri
v. Alfalfa's Canada, Inc. (c.o.b. Capers Community Market), 2003 BCSC 1717,
at paragraphs 77-78.
[149]
The litigation plan will also
assist the Court in determining whether a class proceeding is the preferable
procedure in a given case, and whether the litigation is manageable in its
constituted form: see Carom, previously cited.
[150]
I also agree with the Saskatchewan
Court of Appeal that there are no fixed rules or requirements for a litigation
plan, and that the appropriate content of a litigation plan will depend on the
nature, scope and complexity of the particular litigation to which it relates:
see Sorotski, at paragraph 78.
[151]
However, the jurisprudence has
established the following non-exhaustive list of the matters to be addressed in
a litigation plan:
(i)
the steps that are going to be taken to identify necessary witnesses
and to locate them and gather their evidence;
(ii)
the collection of relevant documents from members of the class as well
as others;
(iii)
the exchange and management of documents produced by all parties;
(iv)
ongoing reporting to the class;
(v)
mechanisms for responding to inquiries from class members;
(vi)
whether the discovery of individual class members is likely and, if so,
the intended process for conducting those discoveries;
(vii)
the need for experts and, if needed, how those experts are going to be
identified and retained;
(viii)
if individual issues remain after the termination of the common issues,
what plan is proposed for resolving those individual issues; and
(ix)
a plan for how damages or any other forms of relief are to be assessed
or determined after the common issues have been decided.
See:
Sorotski, at paragraph 78. See also Paron v. Alberta
(Minister of Environmental Protection),
2006 ABQB 375, at paragraph 130, Bellaire v. Independent Order of Foresters (2004),
5 C.P.C. (6th) 68 (Ont.Sup.Ct.) at paragraph 53, and Boucher v. P.S.A.C.
(2005), 18 C.P.C. (6th) 391 (Ont.Sup.Ct.) at paragraph 29.
[152]
Finally, as was noted in Sorotski,
at a minimum, the litigation plan provided by a proposed representative
plaintiff must allow the motions judge to determine “whether the representative
plaintiff should be entrusted with the responsibility of moving the claim
forward on behalf of class members”: at paragraph 81. The “plan” provided by
Mr. Buffalo does not meet this minimum threshold.
[153]
It is open to the Court to allow
counsel to file a revised litigation plan, where the other requirements for
certification have been met: see, for example, Sorotski, at paragraph
82. See also Carom v. Bre-X Minerals Ltd. (1998), 20 C.P.C. (4th) 163
(Ont. Gen. Div.), and Tom’s Grain & Cattle Co. v. Arcola Livestock Sales
Ltd., 2004 SKQB 338.
[154]
However, I am not prepared to do
so here, in light of my finding that other requirements for certification have not
been met, and given the other concerns that I have with respect to the
suitability of Mr. Buffalo as a representative plaintiff, which will be
discussed below.
[155]
I have several other reasons for
concluding that Mr. Buffalo is not a suitable representative plaintiff in this
case. His failure to identify any common issues of fact or law causes me to
question his ability to “fairly and adequately
represent the interests of the class”, as contemplated by Rule 334.16(1)(e)(i).
So too does his failure to have given due consideration to the proper
description of the proposed class.
[156]
As a final matter, I would note
that I have not been asked to make a definitive ruling either on the question
of whether Mr. Buffalo’s claim is statute barred, or with respect to the effect
of the releases that he has signed, and I have not done so here. I am,
however, satisfied that there is at least a question as to whether Mr. Buffalo
himself has a viable claim, which further calls into question his suitability
as a representative plaintiff.
[157]
As a consequence, Mr. Buffalo has
failed to persuade me that he is a suitable representative plaintiff in this
case.
Conclusion
[158]
For these reasons, I find that Mr.
Buffalo has failed to identify any common issues of fact or law which may be
resolved through the class proceedings process. He has also failed to persuade
me that a class proceeding is the preferable procedure for the just and
efficient resolution of this matter. Finally, he has not persuaded me that he
is a suitable representative plaintiff in this case.
[159]
As was noted at the outset of this
analysis, the list contained in Rule 334.16(1) of the Federal Courts Rules
is conjunctive. Having failed to satisfy at least three of the criteria for
certification, it follows that the motion is dismissed.
Costs
[160]
The defendants acknowledge that as
a general rule, costs are not awarded in relation to certification motions,
regardless of their outcome. Nevertheless, the defendants submit that in this
case, the conduct of Mr. Buffalo is such that they should be entitled to their
costs.
[161]
Rule 334.39 (1) of the Federal
Courts Rules provides that:
334.39 (1) Subject to subsection (2), no costs may be awarded
against any party to a motion for certification of a proceeding as a class
proceeding, to a class proceeding or to an appeal arising from a class
proceeding, unless
(a) the conduct of the party unnecessarily
lengthened the duration of the proceeding;
(b) any step in the proceeding by the party was
improper, vexatious or unnecessary or was taken through negligence, mistake
or excessive caution; or
(c) exceptional circumstances make it unjust to
deprive the successful party of costs.
(2) The Court has full discretion to award costs with
respect to the determination of the individual claims of a class member.
|
334.39 (1) Sous réserve du paragraphe (2), les dépens ne sont
adjugés contre une partie à une requête en vue de faire autoriser l’instance
comme recours collectif, à un recours collectif ou à un appel découlant d’un
recours collectif, que dans les cas suivants :
a) sa conduite a eu pour effet de prolonger
inutilement la durée de l’instance;
b) une mesure prise par elle au cours de
l’instance était inappropriée, vexatoire ou inutile ou a été effectuée de
manière négligente, par erreur ou avec trop de circonspection;
c) des circonstances exceptionnelles font en
sorte qu’il serait injuste d’en priver la partie qui a eu gain de cause.
(2) La Cour a le
pouvoir discrétionnaire d’adjuger les dépens qui sont liés aux décisions
portant sur les réclamations individuelles de membres du groupe.
|
[162]
Relying on Rules 334.39(1)(a) and
(c), the Samson defendants submit that there were a number of “holes” in Mr.
Buffalo’s motion, including his failure to identify any common questions of
fact or law, which would justify an order of solicitor and client costs in
their favour.
[163]
The Samson defendants further
argue that they have worked long and hard to resolve the complex and emotional
issue of Band membership in the wake of the Bill C-31 amendments to the Indian
Act, and that the vast majority of members of the putative class have
already settled their differences with the Samson defendants, and have decided
to move on with their lives.
[164]
According to the Samson
defendants, Mr. Buffalo’s attempt to put the matter back before the Courts is
an attempt to undo everything that has been accomplished by both the Samson
Cree Nation and those who claim membership in it.
[165]
While recognizing that an award of
costs against Mr. Buffalo could have a “chilling effect”, the Samson defendants
submit that such an effect “is not a bad thing in some cases”.
[166]
The Crown also seeks its costs in
this matter under the “exceptional circumstances” provision of Rule 334.39(1)(c).
Pointing to Rule 334.17(1), the Crown
notes that an order certifying a proceeding as a class proceeding must set out
the common questions of law or fact for the class. Having failed to identify
any common questions of fact or law for resolution through the class
proceedings process, there was nothing in the motion to which the Crown could
respond.
[167]
The Crown also points to the fact
that it did not seek its costs in the course of the Suspense Account litigation, even though it incurred costs
and was not directly interested in the outcome of that case. Given that it is
once again being asked to defend a case in which similar issues are being
raised, the Crown submits that it should be entitled to something by way of
costs.
[168]
Mr. Buffalo argues that the
ordinary “no costs” rule should apply in this case, pointing to the fact that
Justice Hugessen did not award any costs in relation to the Suspense Account litigation.
Mr. Buffalo further points to the chilling effect that an order of costs against
him would have, arguing that there was nothing so extreme in his conduct of
this matter that would justify such an order.
[169]
Because of the numerous
deficiencies in Mr. Buffalo’s motion materials and arguments which have been
identified in these reasons, I have given very serious consideration to the
defendants’ request for costs. I have also had regard to the policy
considerations underlying the presumptive “no costs” rule.
[170]
As was noted earlier in these
reasons, class proceedings are intended, in part, as a means of providing
increased access to justice. There is ordinarily no added personal benefit
accruing to a representative plaintiff in return for assuming that role, and
additional costs will usually be associated with pursuing a matter as a class
proceeding, rather than as an individual action. As a consequence, an award of
costs against an unsuccessful would-be representative plaintiff could have the
effect of deterring potential future representative plaintiffs from bringing
class actions, thereby defeating the access to justice goal of class
proceedings: see, for example, Alberta Law Reform Institute, Class Actions:
Final Report Number 85 (Edmonton, Alberta: Alberta Law Reform Institute,
December 2000) at p. 143-4.
[171]
While Rule 334.39(1) of the Federal
Courts Rules does authorize costs awards in limited circumstances, it is
clear that an award of costs in relation to an unsuccessful motion for
certification will be exceptional. Having regard to the factors identified in
the Rule, the circumstances of this case, and in the exercise of my discretion,
I decline to make any order of costs in this matter.
ORDER
THIS COURT
ORDERS AND ADJUDGES that the motion is dismissed, without costs.
“Anne
Mactavish”