Docket: T-1653-15
Citation:
2016 FC 673
Ottawa, Ontario, June 15, 2016
PRESENT: The
Honourable Mr. Justice Manson
BETWEEN:
|
APOTEX INC.,
APOTEX PHARMACHEM INDIA PVT LTD AND APOTEX RESEARCH PRIVATE LIMITED
|
Applicants
|
and
|
MINISTER OF
HEALTH AND ATTORNEY GENERAL OF CANADA
|
Respondents
|
JUDGMENT AND REASONS
[1]
This is the second judicial review involving a
decision of the Minister of Health [the Minister] restricting importation of
drugs from two of Apotex Inc.’s drug manufacturing facilities. Specifically, Apotex
Inc. [Apotex], Apotex Pharmachem India Pvt Ltd. [APIPL] and Apotex Research
Private Limited [ARPL] [collectively “the Applicants”], challenge the
Minister’s August 31, 2015 decision that varied the terms and conditions of
Apotex’s Drug Establishment Licences in respect of its two facilities in India,
APIPL and ARPL.
I.
Background
A.
Regulatory Regime
[2]
The Respondent Minister is responsible, through
her delegates at Health Canada, for administering the Food and Drugs Act,
RSC 1985, c F-27 [FD Act], and the Food and Drugs Regulations,
CRC, c 870 [FD Regulations].
[3]
The FD Act and FD Regulations
govern the manufacture, import and sale of all drug products in Canada. To
fabricate, distribute or import into Canada for sale any drug, the manufacturer
must hold an establishment licence [EL], which is granted when the holder of
the EL demonstrates its facilities comply with Good Manufacturing Practices
[GMP] and meet the requirements of Part C, Division 2 of the FD Regulations.
GMP observations are classified by level of risk and depending on the severity
and number of observations, may result in the addition of terms and conditions
to the ELs, or a non-compliant rating.
B.
The Facts
[4]
On September 30, 2014, following a series of
Toronto Star articles highly critical of the Minister’s inaction in respect of
imported products from ARPL and APIPL, the Minister imposed terms and
conditions on Apotex’s ELs [the 2014 Terms and Conditions] that prevented the
import or sale of drug products from these facilities [the Import Ban].
[5]
The media criticism was prompted by the United
States Food and Drug Administration’s [FDA] “import alert” imposed against
products from those very facilities on the basis of data integrity concerns
unveiled during FDA inspections in early 2014. Notably, Health Canada’s own
inspections, carried out in conjunction with European and Australian regulatory
counterparts, had not uncovered critical deficiencies that required immediate
action for either ARPL or APIPL.
[6]
In June of 2015, Health Canada conducted further
inspections of the ARPL and APIPL facilities with the limited purpose of
assessing the extent to which Apotex had successfully carried out its proposed
Corrective and Preventative Action Plan [CAPA], implemented to address
deficiencies noted by the FDA [June CAPA Inspections].
[7]
Records of Decision were prepared for each
facility, which included the inspectors’ reports and Health Canada’s analysis
[CAPA Inspection Reports]. The CAPA Inspection Reports note that while the
system controls and modified procedures satisfactorily addressed data integrity
concerns, additional supervision would be necessary to demonstrate
sustainability and CAPA effectiveness at times of increased production.
Oversight was also needed because Apotex’s retrospective review of data
generated before the conclusion of the on-site June CAPA Inspections was still
ongoing. Importantly however, overall the inspection team recommendation
conveyed that “Health Canada Inspectors did not
identify any instances of data integrity (DI) violations observed during the
June 2014 FDA Inspection”.
[8]
By letter dated August 31, 2015, Health Canada
advised Apotex it had amended the terms and conditions on Apotex’s ELs [the
2015 Terms and Conditions] pursuant to section C.01A.012 of the FD Regulations
– the provision governing amendments to existing terms and conditions [the
August 2015 Decision].
[9]
The 2015 Terms and Conditions distinguished
between drugs made before June 10, 2015 [Pre-June 10, 2015 Products] and those
made after [Post-June 10, 2015 Products]. The conditions imposed on the
Pre-June 10, 2015 Products are the exact same as the 2014 Terms and Conditions.
Post-June 10, 2015 Products, although not banned completely, were subject to
various additional testing and reporting requirements.
[10]
Just prior to the First Judicial Review hearing,
the Respondents brought a motion for mootness arguing that the August 2015
Decision was a “new” decision, unrelated to the Import Ban, and that the 2015
Terms and Conditions allegedly superseded those implemented
in 2014 [First Mootness Motion]. The Court dismissed
the motion on the basis that the 2014 Terms and Conditions had been brought
forth into the 2015 Terms and Conditions, with the result that the Pre-June 10,
2015 Products from APIPL and ARPL remained subject to the Import Ban (Apotex
Inc v Canada (Health), 2015 FC 1157 at paras 11-13 [First Mootness
Motion]).
[11]
On October 14, 2015, following the hearing of
the First Judicial Review, the Court quashed the Minister’s decision to impose
the Import Ban, including the 2014 Terms and Conditions. The Court found that
the Import Ban was motivated by the Minister’s improper purpose of quelling
criticism in the media and in the House of Commons, rather than due to a
legitimate concern for protecting Canadians’ health and safety, and that it was
imposed without affording the procedural fairness required in the circumstances
(Apotex Inc v Canada (Minister of Health), 2015 FC 1161 at paras 95-121
[Apotex v Canada]).
[12]
In the present judicial review, the Applicants
seek, inter alia, an order declaring that the August 2015 Decision of
the Minister is unlawful, and an order prohibiting or restraining the Minister
from further carrying into effect the 2015 Import Ban, in particular, by
attempting to vary, amend, suspend or otherwise alter Apotex’s ELs with respect
to APIPL and ARPL so as to prohibit the importation of drug products from those
facilities.
[13]
On March 14, 2016, the Minister issued a
decision removing all terms and conditions on Apotex’s ELs for ARPL and APIPL [the
March 2016 Decision]. As a consequence, the Respondents brought a motion
requesting dismissal of this judicial review for mootness, alleging that the
Applicants’ sought relief, including that the August 2015 Decision be quashed,
is no longer at issue.
C.
Evidence in the Mootness Motion
[14]
The Applicants provided a second Affidavit of
Dr. Jeremy Desai [the Desai Affidavit], President and Chief Executive Officer
of Apotex, as evidence in the motion which describes the ongoing effect of the
August 2015 Decision on Apotex’s Regulatory Submissions.
[15]
As background, the Desai Affidavit explains that
section C.08.004 of the FD Regulations provides that a drug manufacturer
may obtain a Notice of Compliance [NOC] in respect of a new drug only after
filing a New Drug Submission [NDS] or an Abbreviated New Drug Submission
[ANDS].
[16]
Upon Health Canada’s determination that the
submission demonstrates the product is safe and effective under the FD
Regulations, the product is placed on “patent hold”
until the generic manufacturer complies with requirements of the Patented
Medicines (Notice of Compliance) Regulations, SOR/93-133. Once compliant,
the Director General of the Therapeutic Products Directorate [TPD] is required
to issue a NOC.
[17]
The Desai Affidavit explains that following
Health Canada’s implementation of the September 2014 Import Ban, TPD refused to
complete review of submissions for any products manufactured at APIPL or ARPL,
including for products TPD had already found satisfactory. Apotex was informed
the affected submissions would not be approved until Apotex provided additional
information related to data integrity.
[18]
After the Court quashed the Import Ban, Apotex
requested that TPD withdraw its requirements for additional data integrity
information, and restore patent hold status and/or complete processing of
regulatory submissions delayed due to the Import Ban.
[19]
TPD will not complete processing Apotex’s ANDS
where the ANDS includes data generated at ARPL or APIPL prior to June 10, 2015,
unless Apotex supplies additional confirmatory data. Apotex claims this
distinction flows from the August 2015 Decision under review in this case.
Consequently, on November 12, 2015, Apotex commenced another judicial review
bearing file number T-1915-15, in which it seeks an order compelling the
Minister to issue NOCs in respect of all submissions affected by the Import Ban
where no statutory impediments exist; return to patent hold all submissions
removed on the basis of data integrity concerns; and review the affected
submissions without requiring additional data integrity evidence from Apotex.
[20]
Apotex has been supplying the requested data
integrity information and the Minister has issued NOCs or placed on patent hold
some of the affected submissions. However, TPD continues to require additional data
integrity evidence in respect of four regulatory submissions, notwithstanding
the March 2016 Decision removing all terms and conditions from Apotex’s ELs in
respect of ARPL and APIPL.
II.
Issues
[21]
For the mootness motion, the issue is:
- Whether this
judicial review is moot, and if so, whether the Court should exercise its
discretion to hear the application.
[22]
For the judicial review application, the issue
is:
- Whether the
August 2015 Decision and resulting continuation of the Import Ban through
the 2015 Terms and Conditions is unlawful on the basis of its close
connection to the decision quashed in the First Judicial Review and on the
evidence before the Minister at the time of its implementation.
III.
Analysis
[23]
The relevant provisions of the FD Regulations
are attached as Annex A.
A.
Preliminary motion to file reply evidence
[24]
As a preliminary matter, on May 20, 2016, the
Respondents sought to file reply evidence relating to the status of various
government websites as of May 13, 2016. I indicated to the parties at the
outset of the hearing that I find this evidence to be of limited value to the
Court and inconsequential to my decision on mootness or in the context of the
judicial review.
[25]
As such, I dismissed the Minister’s motion to
introduce new reply evidence and did not accept new evidence sought be relied
upon by the Applicants in reply thereto.
B.
Mootness Motion
(1)
Whether the judicial review is moot, and if so, whether
the Court should exercise its discretion to hear the application.
[26]
In Borowski v Canada (Attorney General),
[1989] 1 S.C.R. 342 at paras 15-17 [Borowski], the Supreme Court of Canada
determined that the doctrine of mootness applies when the Court’s decision on
the merits would have no practical effect in solving a live controversy between
the parties. In the context of a judicial review, there is no tangible dispute
between the parties where a decision has been overtaken by a subsequent
decision (Stewart v Ontario (Director, Office of the Independent Police
Review), 2013 ONSC 7907 at para 18).
[27]
The Court in Borowski set out a basic two
part analysis: the Court must first determine whether the required tangible and
concrete dispute has disappeared and the issues have become academic; and if
so, whether it should exercise its discretion to hear the case by considering:
- the presence of
an adversarial context;
- judicial
economy, which encompasses considerations of whether the decision will
have a practical effect on the parties, whether the case is of a recurring
nature but brief duration or a question that may evade review by the
court, or is an issue of public importance for which resolution is in the
public interest; and
- the need for the
Court to be sensitive to its role as the adjudicative branch of
government.
[28]
The Respondents, the moving party in this
motion, submit this application is moot, as the March 2016 Decision removed the
2015 Terms and Conditions imposed by the August 2015 Decision and granted the
relief sought by the Applicants. In other words, the desired effect of the
application has been achieved (Doucet-Boudreau v Nova Scotia (Department of
Education), 2003 SCC 62 at para 17).
[29]
They claim that any order by this Court granting
the remedies sought in the Notice of Application – an order declaring and
quashing the August 2015 Decision as unlawful; an order requiring the Minister
to rescind the ban; or, an order restraining the Minister from giving effect to
the 2015 Decision – would have no practical effect for the litigants in this
case.
[30]
The Respondent distinguishes this scenario from
the First Mootness Motion, where the Court found the application was not moot,
given that the 2014 Terms and Conditions had been brought forward by the August
2015 Decision (First Mootness Motion, above, at paras 11-14). By
contrast, the March 2016 Decision removed all terms and conditions, and there
remain no restrictions on the importation of products from APIPL and ARPL, such
that there is no continuing adversarial relationship.
[31]
The Applicants allege otherwise. They claim that
despite the March 2016 Decision, Health Canada continues to give effect to the
2015 Terms and Conditions as if they were lawful, reasonable and still in
effect, and there is very much a live, and not solely academic issue between
the parties.
[32]
On the first prong of the Borowski test,
I am satisfied that the judicial review is moot. The August 2015 Decision and the
restrictions on import it imposed cease to exist. Accordingly, there is no live
controversy between the parties, and the Applicants’ requested relief that the
August 2015 Decision of the Minister be quashed is prima facie moot.
[33]
Although the declaratory relief sought by the
Applicants remains, the doctrine of mootness may not be avoided merely by
seeking declaratory relief (Rahman v Canada (Minister of Citizenship &
Immigration), 2002 FCT 137 at para 18; Fogal v Canada (1999), 167
FTR 266, aff’d (2000), 184 FTR 160 (note) (FCA), leave to appeal denied [2001]
SCC No 84). Since the dispute giving rise to the appeal has dissolved, any such
declaratory relief that may be granted in the application does not flow from a
live controversy, and thus it is to be considered in the second step of the Borowski
analysis (Danada Enterprises Ltd v Canada (Attorney General), 2012 FC
403 at para 61).
[34]
While the Court will generally decline to hear
and decide moot applications, the question remains whether the Court ought to
hear this judicial review, even though its principal underpinnings are now
moot, upon considering: (a) the presence of an adversarial context; (b)
judicial economy; and (c) the need for the Court to be sensitive to its role as
the adjudicative branch of government.
(a)
Adversarial Context
[35]
The first factor set out in Borowski –
the existence of an adversarial context – supports the exercise of the Court’s
discretion. The Applicants have provided evidence that an adjudication on the
merits will have collateral and practical significance on the parties’ rights,
as asserted in a currently pending judicial review application before this
Court, and as well in an action for damages the Applicants intend to commence (Borowski,
above, at para 31; Apotex v Warner-Lambert Company LLC, 2012 FCA 323 [Warner-Lambert];
Apotex Inc v Bayer AG, 2014 FCA at para 9 [Bayer AG]).
[36]
While the Respondents argue that for the
adversarial context to exist, any collateral effects on other proceedings must
be dispositive, I disagree. Such a prerequisite to the exercise of discretion
is not supported by Borowski, or in subsequent case law.
[37]
I do note that the Notice of Application in
T-1915-15 makes no mention of the August 2015 Decision. Instead, the alleged
impropriety of the Minister’s actions in refusing to process Apotex’s
regulatory submissions is because it is based on the 2014 Import Ban that has
since been quashed. However, given the close relation between the Import Ban
and subsequent August 2015 Decision, including the fact that arguably a
continuum exists with respect to the effects of both the 2014 and 2015
Decisions, determinations made on the legality of the August 2015 Decision may
collaterally affect T-1915-15.
[38]
Further, there is little doubt that the outcome
of the judicial review may significantly and collaterally impact any action for
damages filed by the Applicants relating to the Import Ban on drug products
from APIPL and ARPL.
[39]
The issues were vigorously argued by the parties
who, given the history of this dispute, clearly have a stake in the outcome:
the Applicants, because of the above-described collateral effects, and the
Respondents, in that adjudication involves a determination of the lawfulness of
Ministerial action.
[40]
This factor weighs in favour of the Court
exercising its discretion to adjudicate on the dispute, in view of the
declaratory relief that remains.
(b)
Concerns for Judicial Economy
[41]
The concern for judicial economy considers
whether “the special circumstances of the case make it
worthwhile to apply scarce judicial resources to resolve it” (Borowski,
above, at para 34). Such concerns are answered if the Court’s decision will
have some practical effect on the rights of the parties (Borowski,
above, at paras 34, 35). My above finding that a decision on the merits will
have a practical, albeit collateral, effect on the parties’ rights mitigates
concern over wasting scarce judicial resources in hearing and deciding a moot
issue.
[42]
The Applicants argue that the judicial economy
factor weighs in their favour given that (i) considerable time and effort has
been expended in this proceeding and (ii) a definitive resolution at this
stage, rather than in any collateral proceeding, would save judicial resources.
This argument is without merit: the very same proposition was argued and was
explicitly rejected in Borowski, above, at paragraph 44, where Justice
Sopinka, writing for the Court stated: “[t]o give
effect to this argument would emasculate the mootness doctrine which by
definition applies if at any stage the foundation for the action disappears”
(see also Tamil Co-operative Homes Inc v Arulappah (2000), 192 DLR (4th)
177 at paras 29-31 (ONCA); CUPE v Canada (Minister of Transport), 2015
FC 1421 at para 11).
(c)
The Court’s Law-Making Function
[43]
On the final Borowski factor, there is no
concern here of the Court encroaching into areas of executive or legislative
policy. The issues at play concern the lawfulness of Ministerial action in
implementing administrative policies relating to the regulation of drug
manufacturers and import of drugs pursuant to the FD Act and FD
Regulations. In adjudicating such issues, the Court would not be departing
from its traditional role in supervising those who exercise statutory powers to
ensure they do not overstep their legal authority.
[44]
In the context of this case, and against these
above criteria – in particular, the continued existence of an adversarial
context – I am satisfied that the Court should exercise its discretion to hear
the matter on its merits, notwithstanding mootness.
C.
Judicial Review
(1)
Whether the August 2015 Decision and resulting
continuation of the Import Ban through the 2015 Terms and Conditions is unlawful
on the basis of its close connection to the decision quashed in the First
Judicial Review and on the evidence before the Minister at the time of its
implementation.
(a)
Standard of Review
[45]
The applicable standard of review in assessing whether
the August 2015 Decision is unlawful on the basis of its close connection to
the Minister’s 2014 Decision is correctness. This is a legal question that
involves determining the effect of amending and more importantly, carrying
forward and maintaining a decision that was subsequently quashed on the basis
it was implemented unfairly and for an improper purpose.
[46]
Though the issue before me does not directly
involve review of the Minister’s interpretation of the governing legislative
scheme, I find that the connection of the August 2015 Decision to the 2014
Import Ban, and the Minister’s use of certain provisions of the FD
Regulations to implement the August 2015 Decision, further support
correctness review as appropriate. In the First Judicial Review I found that
the Minister’s interpretation of the FD Regulations is a question of law
reviewable on a standard of correctness (at paras 74 and 75) – a conclusion that
was largely based on Justice Stratas’ standard of review analysis of the same
Minister applying the same regulations in Takeda Canada Inc v Canada
(Minister of Health), 2013 FCA 13 at paras 26, 111, leave to appeal to SCC refused,
(2013) 460 NR 399 (note).
[47]
Given my below findings, it is unnecessary to
adjudicate on other issues raised by the parties, or to analyse the appropriate
standards of review to be applied to those issues.
(b)
Analysis
[48]
The Applicants assert that the August 2015
Decision was quashed by the First Judicial Review, as it was premised upon the
presumed lawfulness of the 2014 Terms and Conditions, later adjudged by this
Court to be unjustified. They emphasize that the June CAPA Inspections were not
undertaken with a view to determine whether the imposition of terms and
conditions and an Import Ban was actually justified: instead, they were carried
out with a view to determine whether the 2014 Terms and Conditions should be
modified.
[49]
The Applicants argue the August 2015 Decision
should be quashed on the basis that the Minister acted unlawfully in:
- maintaining the
Import Ban through the 2015 Terms and Conditions, notwithstanding the
Court’s judgment on the First Judicial Review;
- acting in a
manner not authorized by the FD Regulations;
- founding her
decision upon the (incorrect) assumption that the Import Ban was lawful
and justified, thereby tainting the entire decision-making process;
- failing to act
in accordance with the principles of fundamental justice and fairness; and
- rendering a
decision that was substantively unreasonable and contrary to the
provisions of the FD Regulations.
[50]
The Applicants propose that a decision founded
upon a decision that is quashed cannot stand (Thambiturai v Canada (Minister
of Citizenship & Immigration), 2006 FC 751 at paras 17, 18). They claim
that as a matter of law, there were no terms and conditions for the Minister to
“amend” in making the August 2015 Decision.
[51]
As well, the First Mootness Motion found that
the Pre-June 10, 2015 Products manufactured at APIPL and ARPL are still subject
to the 2014 Import Ban through the 2015 Terms and Conditions. The Applicants
assert that the evidence revealed in the Rule 318 materials, and by the
Minister’s affiant, Mr. Etienne Ouimette (Executive Director of the Licensing
and Inspection Bureau at the Health Products and Food Branch Inspectorate of
Health Canada), further supports this conclusion: the Minister’s delegates were
well aware and, in fact, intended that the Pre-June 10, 2015 Products remain
subject to the 2014 Terms and Conditions.
[52]
In opposition, the Respondents argue that the
characterization of the August 2015 Decision as an “amendment”,
and reference to section C.01A.012 of the FD Regulations does not render
it unlawful.
[53]
They cite the Supreme Court decision in British
Columbia (Milk Board) v Grisnich, [1995] 2 S.C.R. 895 [Milk Board], as
standing for the proposition that the Minister’s use of the amending provision
is inconsequential, so long as the Minister was acting within her jurisdiction,
as “Courts are primarily concerned with whether a
statutory power exists, not with whether the delegate knew how to locate it”
(Milk Board, above, at para 20).
[54]
Accordingly, the Respondents submit that the Minister
has the authority to impose terms and conditions on an existing EL (Apotex v
Canada, above, at paras 134-50; FD Regulations, section
C.01A.008(4)), and regardless of the August 2015 Decision’s description as an
amendment, it is not nullified merely because it references a decision
subsequently set aside.
[55]
The Respondents further argue that there was
evidence supporting the Minister’s August 2015 Decision, including the 2014 FDA
reports identifying data integrity issues at the facilities, and information
gathered in the course of the June 2015 CAPA Inspections. There is also no evidence
to suggest that continuing the terms for the Pre-June 10, 2015 Products was
politically motivated or made for any other improper purpose.
[56]
I do not find the Respondents’ reference to Milk
Board, above, applicable in this case. Milk Board arose in the
context of deciding whether an administrative tribunal endowed with powers from
both federal and provincial jurisdiction was required to specify which of those
powers it was relying upon in making its order. The majority concluded that the
only requirement is to possess jurisdiction, and that the source of
jurisdiction need not be specified on the face of every order (at para 8).
[57]
The question before the Court here is not
whether the Minister had the jurisdiction to amend terms and conditions to a
drug manufacturer’s Els, or of the Minister improperly specifying the source of
her jurisdiction. In fact, it is quite evident that the power to amend or
impose terms and conditions falls squarely within the Minister’s mandate.
Instead, the issue is whether the August 2015 Decision was unlawful on the
basis that the amendment, in effect, sustained a decision quashed by this Court
by maintaining in part, the 2014 Terms and Conditions in the 2015 Terms and
Conditions.
[58]
In essence, the lawfulness of the August 2015
Decision depends upon (i) whether it is a sufficiently independent decision from
the 2014 Import Ban, and (ii) whether it could nonetheless be justified in the
evidence, such that the Minister’s improper purpose in imposing the Import Ban
did not also taint this subsequent and related decision.
[59]
It is evident that the August 2015 Decision was
not implemented as, nor intended to be, a new and independent decision from the
2014 Import Ban. I disagree with the Respondents that the characterization of
the August 2015 Decision as an amendment is immaterial. The two decisions are
inextricably interconnected, and the facts before me suggest the August 2015
Decision was neither in substance or form a free-standing and uninfluenced
decision, such that it was not also infected by the improper purpose that
motivated the Import Ban.
[60]
The statutory authority for the August 2015
Decision arose from section C.01A.012 of the FD Regulations, which
authorizes the Minister to:
amend the terms and conditions of an
establishment licence if the Minister believes on
reasonable grounds that an amendment is necessary to prevent injury to the
health of the consumer
[Emphasis added]
[61]
On a plain and ordinary reading, it is apparent
this provision contemplates and was intended for amendment of prior existing
terms and conditions of an EL, which only existed on the strength of the 2014 Terms
and Conditions, quashed in the First Judicial Review. This is particularly so
considering the existence of subsection C.01A.008(4), relating to issuance of
an EL, the provision employed by the Minister in imposing the 2014 Terms and
Conditions.
[62]
Moreover, as the Applicants identify, the August
31, 2015 letter conveys that the Minister arrived at the August 2015 Decision
following consideration only of whether the 2014 Terms and Conditions should be
“re-examined” and “amended”.
Quite plainly, the June 2015 inspections were aimed at ascertaining whether the
2014 Terms and Conditions should be modified, and were not undertaken with an
open view to addressing the fundamental question of whether any resultant
findings warranted imposing or maintaining an Import Ban.
[63]
It is also not contested that insofar as the Pre-June
10, 2015 Products are concerned, the Import Ban was carried forward. This is
clear on the face of the 2015 Terms and Conditions and in the Records of
Decision following the June 2015 CAPA Inspections, which indicate that products
from ARPL and APIPL manufactured before June 10, 2015 “will
not be subject to these new recommended Terms and Conditions”, “[r]ather, they are subject to the current Terms and
Conditions”.
[64]
The August 2015 Decision’s mere continuation of
the Import Ban was also confirmed by the Minister’s affiant, Mr. Ouimette, who
acknowledged on cross-examination that the June 2015 CAPA inspections were
carried out with a view to determining whether the 2014 Terms and Conditions
could be relaxed.
[65]
I find that the August 2015 Decision cannot
stand as lawful when the close interconnection between this Decision and the
Import Ban is coupled with the lack of evidence before the Minister that
supports any reasonable belief an Import Ban was necessary in August of 2015. The
Respondents have pointed to no evidence, either of any affiant or
circumstantial, to persuade me that even though the August 2015 Decision was an
amendment and closely connected to the 2014 Decision, it was nonetheless
justified on the facts.
[66]
It is apparent that the Minister reviewed new
evidence before arriving at the August 2015 Decision. In particular, the
investigative reports from the June 2015 CAPA Inspections of ARPL and APIPL
found:
- no instances of
data integrity violations of the type observed during the June 2014 FDA
inspection;
- no “high impact observations”, but several medium
and low impact observations;
- deficiencies
with respect to documentation and investigation of deviations, indicating
that some remaining CAPA elements still needed to be implemented;
- that despite
verification of the system controls and modified procedures, “which satisfactorily addressed data integrity concerns”,
additional oversight would be necessary to demonstrate sustainability and
CAPA effectiveness upon increased production; and
- that until Apotex’s
retrospective review of data was completed, there remained uncertainty
regarding the data that was generated, and thus uncertainty whether regulatory
requirements to support the release of these products into the Canadian
market had been met.
[67]
This information does not support the
Respondents’ assertion that an Import Ban was warranted in August of 2015. In
fact, these CAPA Inspection Reports verified there were “no instances of data integrity violations” as observed
during the June 2014 FDA inspection. As well, though there remained “uncertainty” surrounding some data, as Apotex’s
retrospective data review was incomplete at the time of the inspection, a lack
or insufficiency of evidence hardly establishes the requisite justification for
an Import Ban. This is especially so where following its own inspections,
Health Canada had previously issued a Compliant with Terms and Conditions
rating to APIPL, and had publicly assured in imposing the Import Ban that there
were no health and safety concerns of the banned products. The fact the
retrospective data review was not complete also does not establish that the
Minister believed on “reasonable grounds that an
amendment is necessary to prevent injury to the health of the consumer”,
as required by section C.01A.012 of the FD Regulations, in light of the
other concrete information disclosed by the CAPA Investigation Reports indicating
the contrary.
[68]
In the First Judicial Review, the Court found
that the Import Ban was motivated by the Minister’s desire to silence criticism
from the media and in the House of Commons, and thus that it was at the very
least instigated under those circumstances by an improper purpose. At
paragraphs 102 and 103 of that judgment, I found that:
[102] … In September of 2014, in the absence
of media criticism on the Minister or Health Canada, evidence of the on-going
regulatory relationship between Apotex and Health Canada demonstrates that it
is unlikely and against past and customary practice that Health Canada would
have:
a) suddenly and
without explanation withdrawn its own inspectors’ Compliant with Terms and
Conditions rating for APIPL, which stemmed from an inspection expressly aimed
at investigating FDA concerns of the APIPL and ARPL facilities;
b) immediately
and without notice ceased the usual pattern of ongoing dialogue for working
with regulated parties and taking corrective actions in situations of GMP
non-compliance, as outlined by their own policies;
c) banned
products from both facilities targeted in the Toronto Star articles, despite
the fact that APIPL had just been granted a Compliant with Terms and Conditions
rating by Health Canada inspectors and only ARPL had been the subject of the
most recent FDA Import Alert; and
d) implemented an
Import Ban without first attempting to consult with Apotex regarding the newly
learned FDA concerns, or requesting an extension of Apotex’s voluntary
quarantine.
[103] There is nothing in the evidence to
suggest that the events of September were so different from the previous six
months such that the Import Ban was needed immediately, without notice or any
opportunity to be heard, and for both APIPL and ARPL – facilities expressly
mentioned in the critical articles.
[69]
Fundamentally, it is not simply the Minister’s reference
to a certain provision of the FD Regulations or to a decision
subsequently set aside that, in my view, makes the August 2015 Decision
unlawful. Rather, it is the perpetuation of a decision found to have been
motivated by a purpose falling outside the Minister’s delegated authority, and
thus a decision not made in accordance with, or respecting the supremacy of the
rule of law (Apotex v Canada, above, at para 107).
[70]
According to the Respondents, it is fundamentally
important that the decision in the First Judicial Review did not undermine the
legitimate data integrity concerns Health Canada had about the facilities in
question. I note that neither the First Judicial Review, nor these reasons
suggest that Health Canada did not have data integrity concerns, or that Health
Canada is not entitled to consider information from international regulatory
counterparts. However, I disagree on these facts that any existing data
integrity concerns, which the evidence demonstrates had only improved since September
of 2014, justified the continuation of an Import Ban in the August 2015
Decision, without more.
[71]
Counsel for the Minister cautioned that a
finding of presumptive invalidity of the August 2015 Decision based on the
outcome of the First Judicial Review could lead to regulatory voids and unintended
consequences, particularly in light of the continuing and ongoing regulatory
scheme in which this fact pattern took place. I agree.
[72]
Though the judgment in the First Judicial Review
certainly casts doubt on the propriety of the August 2015 Decision, the fact
that the August 2015 Decision relied on a subsequently overturned decision did
not, in these circumstances, render it automatically void. In the First Mootness
Motion, I found that the addition of the 2015 Terms and
Conditions was based on a different platform than that which formed the basis
for the 2014 Terms and Conditions, and that the record
at that time did not set out a sufficient factual foundation for a
determination on the viability of the 2015 Terms and Conditions (First
Mootness Motion, above, at paras 7, 12). Now, with the benefit of a full
factual record, I find that there is simply no evidence supporting any asserted
basis for implementing or maintaining the Import Ban so as to support a finding
that the 2015 Decision was justified or sufficiently separate from the 2014 Import
Ban.
[73]
I am also wary of the need to avoid undue
interference with the discharge of administrative functions in respect of
matters delegated to administrative bodies by Parliament. This judgment does
not purport to suggest that Health Canada is unable to undertake regulatory
action necessary to protect Canadians’ health and safety, either at the time of
the August 2015 Decision, or in the future – so long as such exercises of
public authority find their source in law.
[74]
This case involves a very unique set of
circumstances where an underlying decision of the Minister, found to have been
made for an improper purpose and carried out unfairly, has been perpetuated in
identical form in a subsequent decision without an evidentiary or lawful basis
to do so.
[75]
It is the interconnectedness of the decisions,
coupled with the dearth of evidence justifying an Import Ban in August of 2015,
that makes it both legally and logically unsound to now find that the August
2015 Decision was not also tainted by the improper purpose that led to the
quashing of the 2014 Terms and Conditions in the First Judicial Review. For
this reason, I would grant the judicial review and declare that the August 2015
Decision is unlawful.
[76]
Though the Applicants request other relief, a
declaration of unlawfulness is the full extent of the relief warranted. The
other sought relief essentially invites the Court to make pronouncements and
place limitations on Ministerial action where I am confident it would be either
redundant or is simply unnecessary.