Date: 20130613
Docket: T-312-13
Citation:
2013 FC 643
BETWEEN:
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LAWYERS' PROFESSIONAL INDEMNITY
COMPANY
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Applicant
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and
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ANTHONY COOTE
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Respondent
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REASONS FOR ORDERS
HUGHES
J.
[1]
The
Applicant Lawyers’ Professional Indemnity Company (LawPRO) has brought a motion
under section 40 of the Federal Courts Act, RSC 1985, c. F-7, to declare
that the Respondent Anthony Coote is a vexatious litigant, and for consequent
relief. The Respondent Coote has brought two motions also heard at this time, one
purports to be a Charter challenge and a request to declare LawPRO to be
vexatious, the other seeks to set aside or vary previous Orders of Manson J.
and Boivin J of this Court. I will issue one set of Reasons dealing with all
three motions and separate Orders with respect to each motion. In brief, I will
grant the LawPRO motion to declare Anthony Coote a vexatious litigant and
dismiss the two motions brought by Anthony Coote.
THE PARTIES
[2]
The
Applicant Lawyers’ Professional Indemnity Company (LawPRO) is an insurer
representing lawyers in Ontario against whom claims have been made by various
persons. LawPRO has been named as a party defendant in an action brought in this
Court by the Respondent Coote (action T-1083-12); as a party respondent in a
proposed proceeding in this Court brought by Anthony Coote (12-T-19); and was
an Applicant in proceedings in the Ontario Superior Court of Justice (CV-10-3731-00),
in which Coote was declared to be a vexatious litigant; with a subsequent
appeal to the Ontario Court of Appeal; and a purported appeal as of right
attempted to be brought by Coote in the Supreme Court of Canada.
[3]
The
Respondent Anthony Coote (Coote), also known as Antoine Coote or Caufield
Anthony St. Orbain Coote, is an individual presently residing in Mississauga,
Ontario. He is the father of Twain Coote (Coote Jr.) who was the subject of
proceedings taken under the Immigration and Refugee Protection Act, SC
2001, c. 27 (IRPA) and is currently in detention awaiting removal to Jamaica.
Those proceedings appear to be the genesis of the many proceedings brought by
his father in the Ontario Courts and in this Court.
THE ISSUES IN
THE LAWPRO MOTION
[4]
The
issue presented by LawPRO on its motion is whether, under the circumstances of
this case, Coote should be declared to be a vexatious litigant, and what
consequential relief should be provided.
[5]
The
Respondent Coote challenges this motion and raises a number of issues, which
can be distilled to the following:
1. Has
the proper consent of the Attorney General been obtained?
2. Should
this proceeding have been brought by way of application and not a motion?
3. Should
a court seal have been affixed to the Notice of Motion?
4. Has
the Respondent Coote been properly served?
5. Does
LawPRO have standing to bring these proceedings?
6. Was
Coote justified in bringing all the various proceedings, including appeals and requests
for directions, that he has?
[6]
I
will deal with the Respondent’s issues 1 to 5 first, then collectively deal
with the Applicant’s issue and the Respondent’s issue 6 as Issue #6.
ISSUE
# 1: HAS THE PROPER CONSENT OF THE ATTORNEY GENERAL BEEN OBTAINED?
[7]
Section
40 of the Federal Courts Act provides that an application under that
section can only be made with the consent of the Attorney General. A consent
signed by the Assistant Deputy Attorney General, Litigation, on the 23rd
day of January, 2013 has been provided in the Record.
[8]
The
Respondent Coote has objected to this consent, pointing out that it has been
signed by the Assistant Deputy and not the Attorney General. This objection
overlooks the provisions of subsection 24(2) of the Interpretation Act,
RSC 1985, c. I-21, which states:
24.
(2) Words directing or empowering a minister of the Crown to do an act or
thing, regardless of whether the act or thing is administrative, legislative
or judicial, or otherwise applying to that minister as the holder of the
office, include
(a)
a minister acting for that minister or, if the office is vacant, a minister
designated to act in the office by or under the authority of an order in
council;
(b)
the successors of that minister in the office;
(c)
his or their deputy; and
(d)
notwithstanding paragraph (c), a person appointed to serve, in the department
or ministry of state over which the minister presides, in a capacity
appropriate to the doing of the act or thing, or to the words so applying.
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(2)
La mention d’un ministre par son titre ou dans le cadre de ses attributions,
que celles-ci soient d’ordre administratif, législatif ou judiciaire, vaut mention
:
a)
de tout ministre agissant en son nom ou, en cas de vacance de la charge, du
ministre investi de sa charge en application d’un décret;
b)
de ses successeurs à la charge;
c)
de son délégué ou de celui des personnes visées aux alinéas a) et b);
d)
indépendamment de l’alinéa c), de toute personne ayant, dans le ministère ou
département d’État en cause, la compétence voulue.
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[9]
The
Federal Court of Appeal held that these provisions apply in circumstances such
as the present. In King v Canada (Minister of Human Resources and Social
Development), 2009 FCA 105, Sexton JA wrote at paragraphs 16 and 17:
16
Paragraph 24(2)(d) states that where a statute grants a Minister the power to
make a decision, that power may also be exercised by department officials who
are appointed to do so. That is, such an official may make a binding decision
herself, without consulting with the Minister and without any personal
intervention by the Minister, and without delivering advice to anyone.
17
The operation of paragraph 24(2)(d) was explained by Justice Létourneau in
Canada (Human Resources Development) v. Wiemer (1998), 228 N.R. 341 at para. 11
(F.C.A.), another case concerning a decision made under the CPP:
There
is no requirement under the Act that approval of an application for a division
of unadjusted pensionable earnings be given by the Minister personally. Under
subsection 24(2) of the Interpretation Act, R.C.S. 1985, c. I-21, powers given
to a minister to do an act or a thing can be exercised by a person appointed to
serve in the department over which the minister presides in a capacity
appropriate to the doing of the act. Indeed, section 24 merely recognizes in
legislation an existing practice dictated by the diversity and complexities of
modern public administrations. Prior to the enactment of this provision, our
Courts had recognized the existence of a principle of implied delegation of
ministerial powers in order to ensure a proper and efficient functioning of
public administrations. Recently, the Supreme Court of Canada reasserted the principle when Major J., writing for the Court, concluded that the
express delegation or devolution of powers to department officials found in s.
7 of the Fisheries Act may appear unnecessary today. "When power is entrusted
to a Minister of the Crown, Major J. wrote, the act will generally be performed
not by the Minister but by delegation to responsible officials in his
department".
[10]
I
find that the consent of the Assistant Deputy, as provided in the Record
herein, satisfies the requirement of subsection 40(2) of the Federal Courts
Act.
ISSUE
#2: SHOULD
THESE PROCEEDINGS HAVE BEEN BROUGHT BY APPLICATION AND NOT MOTION?
[11]
This
proceeding was brought by way of a Notice of Motion. I find that this was
appropriate.
[12]
The
Federal Court of Appeal, in Nelson v Canada (Customs & Revenue Agency),
2003 FCA 127, dealt with the issue as to whether a motion or application was
the proper way to proceed under section 40 of the Federal Courts Act,
and held that a motion was appropriate. Sharlow JA for the Court wrote at
paragraph 22:
22
Mr. Nelson argues that an order under section 40 of the Federal Court Act must
be made on the basis of an originating application, not an interlocutory motion
as was done here. There is no merit to that argument. Section 40 of the Federal
Court Act simply refers to an "application". That term is
sufficiently broad to include originating applications and motions.
ISSUE
#3: SHOULD
A COURT SEAL HAVE BEEN AFFIXED TO THE NOTICE OF MOTION?
[13]
There
is no requirement that the Notice of Motion herein be issued under the seal of
the Court.
ISSUE #4: HAS THE
RESPONDENT COOTE BEEN PROPERLY SERVED?
[14]
At
the hearing, the Respondent Coote objected that he had not been properly served
with the Applicant’s Notice of Motion and other documents. Coote has filed an
Appearance and materials responding to the motion, as well as his own motions.
He is, and for a considerable time has been, fully aware of all the documents
provided by LawPRO herein. I find no merit to this objection raised at the
hearing.
ISSUE #5: DOES
LAWPRO HAVE STANDING TO BRING THESE PROCEEDINGS?
[15]
Section
40 of the Federal Courts Act does not specify who may bring proceedings
under that provision. I find that LawPRO, being a party in this Court, as well
as the Ontario Courts and Supreme Court of Canada in proceedings brought by or
involving Coote, has sufficient interest in the relief sought so as to have
standing to bring this proceeding.
ISSUE
#6: DO THE FACTS AND LAW JUSTIFY AN ORDER DECLARING COOTE TO BE A
VEXATIOUS LITIGANT AND TO RPOVIDE CONSEQUENT RELIEF?
[16]
I
will turn first to the jurisdiction of the Federal Court to deal with a request
that a person be declared to be a vexatious litigant and to provide consequent
relief. That jurisdiction is set out in section 40 of the Federal Courts Act,
RSC 1985, c. F-7:
40.
(1) If the Federal Court of Appeal or the Federal Court is satisfied, on
application, that a person has persistently instituted vexatious proceedings
or has conducted a proceeding in a vexatious manner, it may order that no
further proceedings be instituted by the person in that court or that a
proceeding previously instituted by the person in that court not be
continued, except by leave of that court.
Marginal
note: Attorney General of Canada
(2)
An application under subsection (1) may be made only with the consent of the
Attorney General of Canada, who is entitled to be heard on the application
and on any application made under subsection (3).
Marginal
note: Application for rescission or leave to proceed
(3)
A person against whom a court has made an order under subsection (1) may
apply to the court for rescission of the order or for leave to institute or
continue a proceeding.
Marginal
note: Court may grant leave
(4)
If an application is made to a court under subsection (3) for leave to
institute or continue a proceeding, the court may grant leave if it is
satisfied that the proceeding is not an abuse of process and that there are
reasonable grounds for the proceeding.
No
appeal
(5)
A decision of the court under subsection (4) is final and is not subject to
appeal.
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40.
(1) La Cour d’appel fédérale ou la Cour fédérale, selon le cas, peut, si elle
est convaincue par suite d’une requête qu’une personne a de façon persistante
introduit des instances vexatoires devant elle ou y a agi de façon vexatoire
au cours d’une instance, lui interdire d’engager d’autres instances devant
elle ou de continuer devant elle une instance déjà engagée, sauf avec son
autorisation.
Note
marginale :Procureur général du Canada
(2)
La présentation de la requête visée au paragraphe (1) nécessite le
consentement du procureur général du Canada, lequel a le droit d’être entendu
à cette occasion de même que lors de toute contestation portant sur l’objet
de la requête.
Note
marginale :Requête en levée de l'interdiction ou en autorisation
(3)
Toute personne visée par une ordonnance rendue aux termes du paragraphe (1)
peut, par requête au tribunal saisi de l’affaire, demander soit la levée de
l’interdiction qui la frappe, soit l’autorisation d’engager ou
de
continuer une instance devant le tribunal.
Note
marginale :Pouvoirs du tribunal
(4)
Sur présentation de la requête prévue au paragraphe (3), le tribunal saisi de
l’affaire peut, s’il est convaincu que l’instance que l’on cherche à engager
ou à continuer ne constitue pas un abus de procédure et est fondée sur des
motifs valables, autoriser son introduction ou sa continuation.
Note
marginale :Décision définitive et sans appel
(5)
La décision du tribunal rendue aux termes du paragraphe (4) est définitive et
sans appel.
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[17]
The
Federal Court is a successor to the Exchequer Court; and, under the provisions
of section 4 of the Federal Courts Act, supra, is continued as an
additional court of law, equity and admiralty in and for Canada, for the better
administration of the laws of Canada and as a superior court of record having
civil and criminal jurisdiction.
4.
The division of the Federal Court of Canada called the Federal Court — Trial
Division is continued under the name “Federal Court” in English and “Cour
fédérale” in French. It is continued as an additional court of law, equity
and admiralty in and for Canada, for the better administration of the laws of
Canada and as a superior court of record having civil and criminal jurisdiction.
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4.
La section de la Cour fédérale du Canada, appelée la Section de première
instance de la Cour fédérale, est maintenue et dénommée « Cour fédérale » en
français et « Federal Court » en anglais. Elle est maintenue à titre de
tribunal additionnel de droit, d’equity et d’amirauté du Canada, propre à
améliorer l’application du droit canadien, et continue d’être une cour
supérieure d’archives ayant compétence en matière civile et pénale.
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[18]
The
relevant provisions of the Federal Courts Act, as they stood at the
time, and for the present purposes, are not different from the present
provisions; were considered by the Supreme Court of Canada in Canada (Human
Rights Commission) v Canadian Liberty Net, [1998] 1 S.C.R. 626, where
Bastarache J for the majority reviewed many of the provisions of that Act
and at paragraph 36 concluded that the jurisdiction of the Federal Court should
not be construed in a narrow fashion, and that the Court can be considered to
have a plenary jurisdiction:
36
As is clear from the face of the Federal Court Act, and confirmed by the
additional role conferred on it in other federal Acts, in this case the Human
Rights Act, Parliament intended to grant a general administrative jurisdiction
over federal tribunals to the Federal Court. Within the sphere of control and
exercise of powers over administrative decision-makers, the powers conferred on
the Federal Court by statute should not be interpreted in a narrow fashion.
This means that where an issue is clearly related to the control and exercise
of powers of an administrative agency, which includes the interim measures to
regulate disputes whose final disposition is left to an administrative
decision-maker, the Federal Court can be considered to have a plenary
jurisdiction.
[19]
The
Federal Court may deal with vexatious matters in several ways. If a particular
pleading in a proceeding is “scandalous, frivolous or vexatious” or is an
“abuse of the process of the Court”, Rule 221 of the Federal Courts Rules
(SOR/98-106) provides that the Court may order the proceedings dismissed or the
particular pleading struck out. If a person, whether or not a litigant, behaves
in a manner that is in contempt of the Court or its process, Rules 466 to 472
provide that the Court may review the alleged contempt and impose penalties,
including imprisonment, a fine, a restraining order and sequestration.
[20]
Section
40 of the Federal Courts Act provides a process whereby a person who has
used the Court system in such a way as to be found to be a vexatious litigant
may be so declared and restraints put upon the access by that person to the
Court system.
[21]
The
Courts are a fundamental part of our democratic form of government, and access
to the Courts should be safeguarded. However, where it is found that persons
used the system vexatiously so as to occupy an inordinate amount of the time
and resources of the Court, and vex the Court officials and staff unnecessarily
so as to preclude the proper carrying out of their duties, then constraints
must be placed upon those persons so as to ensure that the Courts’ resources
are properly available to all those who legitimately seek to use the Courts’
processes and seek justice. The Court must balance the right of an individual
to have his or her day in Court with the right of other individuals to have
their day in Court, as well. This Court, as part of its plenary jurisdiction,
as well as under section 40 of the Federal Courts Act has the power to
declare persons to be vexatious litigants and to grant consequential relief.
[22]
Relief
under section 40(1) of the Federal Courts Act has been described as an
extraordinary, but necessary, remedy by Dawson J (as she then was) in her
reasons in Canada Post Corporation v Varma (2000), 192 FTR 278, [2000]
FCJ No 851 at paragraphs 20 and 21:
[20]
The jurisprudence of this Court has not set forth, in any detail, the purpose
of subsection 40(1) of the Act. However, in Mishra v. Ottawa (City), [1997]
O.J. No. 4352, Sedgwick J. of the Ontario Court of Justice (General Division)
considered the purpose of the equivalent provision of the Ontario Courts of
Justice Act, R.S.O. 1990, c. C. 43 and stated at paragraph 52 of his reasons:
[52] An order will not readily be granted by this court that would
restrict in any way the free access of any person to the courts to assert his
or her civil rights and remedies. The access must be exercised responsibly and
with due regard for the applicable laws and rules of procedure and the
integrity of the administration of justice, including the protection accorded
to others against being indiscriminately made the subjects of vexatious
proceedings.
[21]
An order under subsection 40(1) is an extraordinary remedy. However in
appropriate cases, it is necessary in order to maintain respect for the
judicial process and to protect others from frivolous and pointless litigation.
[23]
At
paragraph 22, she adopted the factors to be considered as set out by the
Ontario Courts, which:
•
reveals
that the categories for vexation are never closed
•
that
the history of the proceedings must be examined to determine if they are
vexatious in nature; for instance:
o were there no
reasonable grounds to institute an action?
o the issue has
already been determined
o unsuccessful
appeals were pursued
o grounds and
issues raised in previous proceedings tend to be rolled forward into subsequent
proceedings
[24]
At
paragraph 23, Dawson J wrote that: the individual’s behaviour may be relevant;
are there frivolous and unsubstantiated allegations of impropriety leveled
against lawyers who acted for or against the individuals; are the individual’s
proceedings replete with extreme and unsubstantiated allegations.
[25]
In
R v Mennes, 2004 FC 1731, the late Layden-Stevenson J (as she then was)
referred to the decision of Justice Henry of the Ontario High Court in Lang Michener
Lash Johnson v Fabian, et al (1987), 37 DLR (4th) 685,
which listed several factors to be considered by the Court. At paragraphs 76
to78 she wrote:
76
An order under subsection 40(1) is an extraordinary remedy. However, in
appropriate cases, the remedy is necessary in order to maintain respect for the
judicial process and to protect others from frivolous and pointless litigation:
Olympia Interiors, supra. Because the provision in the Act is similar to the
wording of the corresponding provision in the Ontario legislation, guidance can
be obtained from Ontario judgments: Vojic v. Canada (Minister of National
Revenue), [1992] F.C.J. No. 902 (T.D.).
77
In Re Lang Michener et al. and Fabian et al. (1987), 37 D.L.R. (4th) 685,
Justice Henry reviewed the Ontario jurisprudence and extracted the following
principles regarding vexatious proceedings:
(a)
the bringing of one or more actions to determine an issue which has already
been determined by a court of competent jurisdiction constitutes a vexatious
proceeding;
(b)
where it is obvious that an action cannot succeed, or if the action would lead
to no possible good, or if no reasonable person can reasonably expect to obtain
relief, the action is vexatious;
(c)
vexatious actions include those brought for an improper purpose, including the
harassment and oppression of other parties by multifarious proceedings brought
for purposes other than the assertion of legitimate rights;
(d)
it is a general characteristic of vexatious proceedings that grounds and issues
raised tend to be rolled forward into subsequent actions and repeated and
supplemented, often with actions brought against the lawyers who have acted for
or against the litigant in earlier proceedings;
(e)
in determining whether proceedings are vexatious, the court must look at the
whole history of the matter and not just whether there was originally a good
cause of action;
(f)
the failure of the person instituting the proceedings to pay the costs of
unsuccessful proceedings is one factor to be considered in determining whether
proceedings are vexatious;
(g)
the respondent's conduct in persistently taking unsuccessful appeals from
judicial decisions can be considered vexatious conduct of legal proceedings.
78
The categories for vexatious proceedings are not closed: Vojic, supra. In
addition to the circumstances set out in Re Lang Michener, supra, proceedings
have been found to be vexatious where:
--
the court has no power to grant the requested relief: Foy, supra;
--
proceedings are instituted to delay other proceedings: Mascan Corp., supra;
--
the litigant has instituted proceedings but failed to pursue a large number of
the proceedings with diligence: Yorke v. Canada (1995), 102 F.T.R. 189 (T.D.);
--
pleadings are replete with extreme or scandalous allegations that remain
unsubstantiated: ibid.;
--
disregard for the Court has been demonstrated: Vojic, supra;
--
the litigant has distributed court documents to parties unrelated to the
proceedings for purposes extraneous to the litigation: Canada Post Corp. v.
Varma (2000), 192 F.T.R. 278 (F.C.T.D.);
--
the litigant has relied on abusive tactics in the conduct of the litigation:
Nelson v. Canada, 2002 FCT 77 aff'd. (2003), 301 N.R. 359 (F.C.A.), leave to
appeal dismissed, [2003] S.C.C.A. No. 139.
[26]
Importantly,
she wrote at paragraph 79 that the matter must be approached objectively rather
than subjectively. I will approach the matter objectively.
[27]
However,
I pause because I have searched for literature that may assist in considering
what, subjectively, may be motivating a person who may be considered a
vexatious litigant. There is very little; however, I have found an article by
Mark I. Levy, MD, published on the web by Forensic Psychiatric Associates
Medical Corporation, dated June 10th, 2007 entitled “Vexatious
Litigants – Litigants Who Won’t Accept “No” (or “Yes”) for an Answer”. He
provides three behavioural characteristics commonly demonstrated by vexatious
litigants:
1. A
history of changing counsel more than once, coupled with at least one episode
of representing themselves in Court, in propria persona. Not surprisingly,
competent counsel generally find a means to ethically remove themselves from
the case after a period of poor client control. Sooner or later, usually after
a time of appearing “pro per”, these litigants find counsel who more or less
identify with their client, presumably for reasons having to do with their own
personal psychology. The result of this is an attorney-client dyad that is
driven by a mission. No client control exists nor is it even recognized by
plaintiff’s counsel as lacking. Hence no settlement can ever occur.
2. Evidence
of narcissistic and paranoid personality traits, obtained from psychiatric
examination and psychological testing. These traits are generally manifested by
attitudes expressed verbally or behaviorally (e.g., through physical
appearance) conveying that the individual considers himself to be an exception,
i.e., that the normal rules of behavioral conduct within a judicial process to
which all litigants are expected to submit uniquely do not apply to him because
he is allegedly special, having suffered abuse, humiliation and/or
victimization unduly at the hands of alleged perpetrators, including judges,
thereby entitling the vexatious litigant to exceptional status and
accommodation by the Court. Not infrequently, although the source of alleged
abuse is initially the defendant in a civil action, eventually the Court itself
is drawn into this “dance” and is experienced from a paranoid perspective by
the litigant, as itself also an abuser. Invariably, this is due to the Court
attempting to impose a modicum of decorum on behavior of the litigant by
invoking normal procedural requirements. As a result of this transformation of
the Court, in the litigant’s mind, from arbitrator to oppressor, the Court’s
responses may eventually be perceived as more persecutory and humiliating than
was the alleged conduct of the original defendant.
3. A
refusal to settle disputes through customary procedural channels of negotiation
and even traditional litigation. These individuals wish to have their alleged
suffering, humiliation and victimization witnessed on the stage of litigation.
Their common fantasy is that unspecified “others” (the jury, initially the
Court itself) will sympathize with suffering and offer some sort of illusoryl
vindication and redemption. Consequently, not only do they characteristically
refuse to accept negative judicial decisions, sometimes they will reject
decisions in their own favor, if they believe that acceptance will terminate
the litigation and their chances to obtain the imagined vindication. Although
this may superficially appear to be perverse, it is in fact a direct product of
their peculiar motivation to litigate in the first place, i.e., to have their
alleged victimization witnessed, not to resolve conflict. Of course, such
motivation leads to an endless quest because no degree of witnessing and
acknowledgment of their pain can ever approach the unconditional love for which
they long and thus “restore” the wounded narcissism and damaged self esteem of
these individuals. If permitted to do so, they will attempt to appeal trial
court decisions to the highest judicial levels.
[28]
I
will, however, proceed with an objective analysis of the circumstances in this
case.
THE FACTS
[29]
The
Applicant has filed the Affidavit of a law clerk in the offices of its
solicitors, Justin Loveland, which provides documents taken from several
proceedings in this Court, the Federal Court of Appeal, the Ontario Courts and
the Supreme Court of Canada in which Coote was a party. There was no
cross-examination of the affiant.
[30]
In
addition, the Court is aware of proceedings in the present file T-312-13 as
well as appeals taken by Coote to the Federal Court of Appeal arising out of
these proceedings. As stated in Varma, supra, at paragraph 10, a Court
is entitled to take notice of its own records and proceedings therein.
[31]
I
summarize many of the steps taken by the Respondent Coote in these and other
proceedings:
On
February 10, 2011. Coote was declared a vexatious litigant in the Ontario
Superior Court under section 140(3) of the Courts of Justice Act. This decision
was affirmed by the Ontario Court of appeal (2011 ONCA 562).
Coote filed what he called an
Appeal “as of Right” with the Supreme Court of Canada. The Registry of that
Court corresponded with Coote advising that this was improper but that the
matter would be treated as an Application for Leave.
Coote
filed a Motion for Directions respecting the Supreme Court registry’s decision in
the Federal Court on March 14, 2012. Justice Campbell of this Court dismissed
the Motion for lack of jurisdiction due to an absence of an originating process
within the Federal Court’s Jurisdiction.
Coote
attempted to file a Notice of Motion seeking to vary or set aside the Direction
of Justice Campbell.
On
May 16, 2012 Justice Mosley directed that the Notice of Motion should not be
accepted for filing. Justice Mosley also directed the Registry to seek directions
from a Judge of the court in respect of any future filings by Coote.
On
the 5th of June, 2012 Coote commenced an action in the Federal Court
against the staff of the Supreme Court of Canada and LawPRO (T-1083-12). The
statement of claim claimed damages in the amount of $456,850,000. The allegations
included procedural unfairness, abuse of process, undue delays, undue
influence, dishonesty, deceit and fraud.
Coote
issued another Statement of Claim in the Federal Court on June 25, 2012. Named
as defendants were the law firm and members of that firm representing his son
(defended by LawPRO) and members of the Immigration and Refugee Board (IRB).
This arose from proceedings respecting his son Twain A. Coote in a deportation
proceeding. Coote, who is not a lawyer, was purporting to be representing his
son Coote Jr.
On
July 26, 2012 the LawPRO Defendants filed a motion to strike the Second Claim
because the court lacks jurisdiction. On August 2, 2012 Coote served a response
to the motion to strike. His reply is difficult to comprehend. He appeared to
seek to “strike” counsel for LawPRO, to “enforce defaults” and to obtain “leave
to amend any oversights by the Federal Court staff or perfection in pleading
law required by the defendants”.
On
August 7, 2012 the IRB Defendants served their motion to strike Coote’s Second
Claim against them.
On
August 14, 2012 Coote brought a motion to note the LawPRO defendants in
default. On August 15 he served another Motion Record seeking to note the IRB
Defendants in default. On August 24 the LawPRO Defendants responded to the
motion for default judgment.
On
August 21, 2012 Justice Gagne struck out the claim and awarded costs to the
Defendants set at $500. These costs have been paid.
On
August 30, 2012 Coote served his reply to the LawPRO Defendant’s responding
motion record.
Coote
brought a motion for a reconsideration of Justice Gagne’s orders and for default
judgment.
On
September 6, 2012 LawPRO responded to the motion for reconsideration. On
September 11, 2012 Coote served a reply to LawPRO’s responding motion record.
Justice Gagne dismissed the Motion for Reconsideration on October 30, 2012.
On
September 20, 2012 Justice Hughes struck out the Second Claim and awarded costs
to the LawPRO and IRB Defendants. The Coote Motions for Default was also
dismissed.
On
September 25, 2012 Coote brought two appeals appealing the orders of Justice
Hughes and the dismissal of the Motion for Default.
On
October 14, 2012 Coote sent a letter to the Registrar of the Federal Court of Appeal.
He sought directions with respect to “Irregularities, Non-Compliance of the
Federal Court Rules and Prejudice”.
On
October 30, 2012 Justice Dawson of the Federal Court of Appeal stated in a
Direction that the Court would not respond to this question.
On
October 31 Coote brought a motion to determine the contents of the Appeal
Books.
On
November 1, 2012 Coote brought a motion to vary and set aside the direction of
Justice Dawson
On
November 30, 2012 Justice Trudel made an Order with respect to Coote’s motion
to have the decision to vary or set aside the direction of Justice Dawson.
Justice Trudel dismissed the motion.
On
December 11, 2012 Justice Gauthier of the Court of Appeal made an Order with
respect to Coote’s motion to determine the contents of the Appeal Book.
On
February 26, 2013 Prothonotary Aalto provided an order dismissing Coote’s
motion to quash.
On
February 27, 2013 Justice Stratas of the Federal Court of Appeal Ordered that
Coote’s several appeals be consolidated.
On
March 13, 2013 Justice Heneghan provided a written Direction with respect to
Coote’s objection regarding LawPRO filing an amended statement of claim. She
dismissed the objection as it had no basis.
On
March 18, 2013 Justice Manson provided an Order with respect to Coote’s motion
to vary or set aside the Order of Prothonotary Aalto.
On
March 27, 2013 Coote filed a Notice of Appeal of the decision of Justice
Manson.
On
April 11, 2013 Justice Boivin provided an Order with respect to the date, time
and place of the hearing of the present motion.
On
April 24, 2013, Justice Nadon of the Federal Court of Appeal dismissed Coote’s
motion for “clarification” of Justice Stratas’ Order and to “strike lawyers and
their documents”.
On
April 29, 2013 Justice Stratas provided Directions with respect to consolidation
of several of the proceedings stemming from interlocutory orders of Justice
Boivin and Manson.
On
May 3, 2013 Coote filed a Notice of Appeal of the decision of Justice Boivin.
On
May 27, 2013 a direction from the Federal Court stated that any objection of
Mr. Coote with respect to insufficient notice of the hearing and insufficient
time of the hearing be filed as a motion.
On
May 30, 2013, Justice Stratas Ordered consolidation of various appeals and
suspended further filing of motions unless the grounds were expressly stated.
On
June 5, 2013 an Order of this court directed that Coote’s motions are to be
heard on June 10, 2013 including the motion to set aside or vary the orders of
Justice Manson and Justice Boivin.
In
addition to the foregoing Coote has sent numerous letters and emails including
draft pleadings and motion records to the parties and the Court.
[32]
As
an illustration of the tone of some of the correspondence filed by Coote with
the Court, I set out the following taken from pages 16 and 17 of the Record
filed by Coote in response to the present motion. It is a portion of a letter
written by Coote to the Applicant’s solicitors, dated February 12, 1013:
I
shall seek your ultimate striking from the record for abusing the court
process, which the Registry never allowed previously, repeatedly frustrated,
evident at pages 194-196 and 255-258; I shall challenge all three sections
above as being discriminatory, applied unconscionably, enforced spitefully,
maliciously and vexatiously when allegations are made against Judges, lawpro,
registry staff, crown, Canadian Judicial Council officials and Judges at the
Council, with some of the same Judges allegations are made against in
provincial courts to the Canadian Judicial Council in my case and the federal
court in the cases cited, assigned to hear s.40 motions or the equivalent
s.140, a clear conflict of interests, as well as applied unfairly under the
applicable sections of the Charter and constitutionally challenge these three
sections by serving all attorney generals of all provinces; and I shall file
other Motions under the Federal Court Rules on the many issues that are all
contested based on inaccuracies, wrong assumptions, rolling forward, re-hashing
and re-litigating matters highlighted at page 229 of your record, presently
before the Federal Court of Appeal, supporting the adjournment and Motion to
stay to follow. Given there may be a need for a Motion for direction, such is
also a consideration for adjournment.
Lastly,
I shall file a cross motion under s.40 seeking to hold the SCC defendants,
lawpro and all its defendants, the federal crown and its defendants, and the
provincial crown and all its defendants, equally seeking a vexatious order,
relying on your own record outlining the ungovernable conduct of all concerned.
If vexatious order applies to all litigants, so should it to Supreme Court
defendants, provincial crown and their defendants, as well as federal crown and
their defendants.
As
I stated, my intentions are unshakable and unequivocal, and my resolve will be
supported by my Notice of Appearance to follow.
THE ONTARIO
COURTS
[33]
I
am aware that Coote has been declared to be a vexatious litigant in a decision
of Justice van Rensburg of the Ontario Superior Court of Justice in Ontario
v Coote, 2011 ONSC 858, a decision affirmed by the Court of Appeal for
Ontario, 2011 ONCA 562. Justice van Rensburg wrote at paragraphs 86 to 91 of
her decision:
86
The focus of the s. 140 application is on the conduct of the litigant, the
manner in which he has pursued litigation in our courts and whether and to what
extent his conduct has abused our courts' processes. In this case the
respondent has demonstrated all of the characteristics of a vexatious litigant
identified by Henry J. He has re-litigated procedural and substantive issues
that have already been determined against him. He has rolled forward grounds
and issues from one proceeding into subsequent actions and has made claims
against lawyers who have acted for or against him in earlier proceedings. He
has failed to pay any of the costs awarded against him. He has persistently
taken unsuccessful appeals from judicial decisions.
87
It is evident from the materials he has filed in the various proceedings that
Mr. Coote has been using the courts and the various proceedings as a platform
from which to voice his various and ever-increasing grievances against our
justice system and the many players in it, including judges, lawyers and court
staff.
88
Numerous judges have prepared detailed reasons for their decisions, explaining
to Mr. Coote why certain claims he has persisted in advancing cannot succeed.
Instead of accepting such guidance and pursuing his claims on the merits, Mr.
Coote responded with allegations of misconduct. In response to adverse
decisions, Mr. Coote has alleged conspiracies, conflicts of interest,
incompetence, fraud and other improprieties on the part of judges, court staff
and counsel.
89
The steps Mr. Coote has taken in the courts are only the tip of the iceberg.
Those named by Mr. Coote as respondents and defendants have retained counsel in
order to respond to the proceedings that have been commenced against them.
Their legal counsel have attempted to reason with Mr. Coote, ultimately
preparing motions to attempt to winnow the non-justiciable claims from the
claims that might have a chance of succeeding in court. The same lawyers have
had to respond to voluminous emails and other communications from Mr. Coote.
90
Mr. Coote has commenced proceedings and taken steps in the proceedings for
purposes other than the assertion of legitimate rights, resulting in harassment
and oppression of other parties and their counsel.
91
I am satisfied that Mr. Coote is a vexatious litigant and that an order is
required under s. 140 of the Courts of Justice Act to prevent his further abuse
of the processes of our courts through the commencement and continuation of
vexatious litigation.
[34]
Justice
van Rensburg declared Coote to be a vexatious litigant and provided for
consequential relief similar to that sought by LawPRO in these proceedings. She
awarded costs payable to LawPRO. The Ontario Court of Appeal dismissed the
appeal and awarded further costs in favour of LawPRO. I am advised that costs
exceeding $135,000.00 remain unpaid by Coote.
[35]
Coote
sought to appeal to the Supreme Court of Canada “as of right”. The Supreme
Court of Canada Registry staff corresponded with Coote advising him that no
appeal “as of right” existed in this matter, and that his application would be
treated as an application for leave. Coote refused to accept this advice and
ultimately sought to bring an action for substantial damages against the Registry
staff - in the Federal Court.
COOTE’S
MOTION TO SET ASIDE OR VARY THE ORDERS OF MANSON J AND BOIVIN J
[36]
Coote
has brought a motion, which was heard at the same time as the LawPRO motion, to
set aside or vary the Order of Manson J dated March 18, 2013 and of Boivin J
dated April 11, 2013 in these proceedings. The Order of Manson J dismissed an
appeal from the Order of Prothonotary Aalto refusing to quash these
proceedings. The Order of Boivin J consolidated Coote’s motion respecting Charter
challenges and other relief with LawPRO’s motion respecting vexatious litigant,
and set both down to be heard June 10, 2013.
[37]
I
will dismiss this motion for several reasons:
(1)
Absent
Consent or unusual circumstances only the Judge of this Court who issued an
Order can vary that Order, and only in limited circumstances, such as clerical
error or a matter overlooked. Another Judge of this Court cannot do so;
(2)
Both
Orders are under appeal;
(3)
As
to Boivin J’s Order, the matter is now moot; I heard both motions on June 10,
2013.
[38]
I
will dismiss this motion with costs, including disbursements and taxes, fixed
at a nominal amount of $250.00, since this motion was essentially bound up with
the LawPRO motion.
COOTE’S
MOTION, RESPECTING THE CHARTER, TO HAVE LAWPRO DECLARED A VEXATIOUS LITIGANT
AND FOR OTHER RELIEF
[39]
As
Ordered by Boivin J, I heard this motion at the same time as I heard LawPro’s
motion to have Coote declared a vexatious litigant.
[40]
I
am dismissing this motion. First, the evidence before me, which consists of
much of the proceedings of record in the Supreme Court of Canada involving The
Queen in Right of Ontario, Coote, and LawPRO, simply does not demonstrate that
LawPRO has acted in a vexatious manner. In fact, it supports a conclusion that
Coote has acted in such a manner. There has been attached to Coote’s affidavit
some proceedings in Ontario to which LawPRO is not a party, and which is
irrelevant in respect of LawPRO. There simply is no evidence upon which any
allegation as against LawPRO being a vexatious litigant is substantiated.
[41]
As
to a Charter challenge, no argument has been made and no evidence has
been provided that supports a challenge to section 40 of the Federal Courts
Act based on the asserted sections of the Charter, sections 15(1)
and 24(1). The same pertains to Coote’s purported challenges to section 40(1)
and 58(1)(a) of the Supreme Court Act, RSC 1985, c.S.26.
[42]
The
Ontario Court of Appeal, in a decision dated August 23, 2011, dismissed Coote’s
constitutional challenge to section 140 of the Ontario Courts of Justice Act.
Therefore, even if the Federal Court had jurisdiction respecting the
constitutionality of that Act, which it does not, the matter is res
judicata.
[43]
I
will dismiss this motion with costs, including disbursements and taxes, fixed
at a nominal amount of $250.00, since this motion was essentially bound up with
the LawPRO motion.
“Roger
T. Hughes”