R. v. Kuldip, [1990] 3 S.C.R. 618
Her Majesty The Queen Appellant
v.
Shamanand Kuldip Respondent
and
The Attorney General of Canada and
the Attorney General
for Alberta Interveners
indexed as: r. v. kuldip
File
No.: 20803.
1990:
March 28; 1990: December 7.
Present: Dickson C.J.* and Lamer C.J.** and Wilson, La Forest,
L'Heureux‑Dubé, Gonthier and McLachlin JJ.
on
appeal from the court of appeal for ontario
Constitutional
law ‑‑ Charter of Rights ‑‑ Self‑incrimination ‑‑
Retrial ‑‑ Cross‑examination of accused at a new trial on his
testimony given at a previous trial for purpose of impeaching his credibility ‑‑
Whether cross‑examination infringed s. 13 of the Canadian Charter of
Rights and Freedoms .
Evidence
‑‑ Cross‑examination ‑‑ Self‑incrimination ‑‑
Retrial ‑‑ Cross‑examination of accused at a new trial on his
testimony given at a previous trial for purpose of impeaching his credibility ‑‑
Whether cross‑examination infringed s. 13 of the Canadian Charter of
Rights and Freedoms or s. 5(2) of the Canada Evidence Act .
The
respondent was convicted of failing to remain at the scene of an accident with
intent to escape civil or criminal liability, contrary to s. 233(2) of the Criminal
Code . A Summary Conviction Appeal Court allowed his appeal
and ordered a new trial. During the course of the second trial, the Crown
sought to impeach the respondent's credibility by cross‑examining him on
apparent inconsistencies with the testimony which he had given at his first
trial. He was again convicted of the offence and an appeal from that
conviction was dismissed by the Summary Conviction Appeal Court. The Court of
Appeal allowed the appeal from that decision, quashed the conviction and
entered a verdict of acquittal on the grounds that the cross‑examination
of the respondent, using his testimony at his first trial to impeach his
credibility at his second trial, violated s. 13 of the Canadian
Charter of Rights and Freedoms .
The
constitutional questions stated in this Court were: whether the cross‑examination
of an accused at a new trial on testimony given at a previous trial on the same
charge for any purpose infringes s. 13 of the Charter ; and,
if so, whether such cross‑examination is justified on the basis of
s. 1 of the Charter .
Held
(Wilson, La Forest and L'Heureux‑Dubé JJ. dissenting): The appeal should
be allowed.
Per Dickson
C.J. and Lamer C.J. and Gonthier and McLachlin JJ.: The cross‑examination
of the respondent at his second trial on testimony given by him at a previous
trial on the same information was clearly for the purpose of undermining his
credibility and, therefore, his s. 13 rights were not violated. It is
appropriate to distinguish between a cross‑examination made for the
purpose of impeaching credibility and one made to "incriminate" the
accused, that is, to establish guilt. Using a prior inconsistent statement
from a former proceeding in order to impugn the credibility of an accused does
not incriminate that person. The previous statement is not tendered as evidence
to establish the proof of its contents but, rather, is tendered for the purpose
of unveiling a contradiction between what the accused is saying now and what he
has said on a previous occasion. An accused has the right to remain silent
during his trial. If, however, an accused chooses to take the stand, that
accused is implicitly vouching for his credibility. Such an accused, like any
other witness, has therefore opened the door to having the trustworthiness of
his evidence challenged. An interpretation of s. 13 which insulates an
accused from having previous inconsistent statements put to him on cross‑examination
for the sole purpose of challenging credibility would "stack the
deck" too highly in favour of the accused.
Section
5(2) of the Canada Evidence Act expressly allows
the witness to make an objection to a question where the answer may tend to
criminate the witness. The witness is guaranteed that, in exchange for
being compelled to answer such a question, the answer will not be used to criminate
the witness in a subsequent proceeding. A further guarantee that such answer
will not be used in cross‑examination to challenge the witness's
credibility at a later proceeding would extend beyond the purpose of
s. 5(2) . Section 5 does not prohibit the Crown from ever using the
privileged testimony in cross‑examining the accused at a later proceeding
but, rather, only prevents the Crown from using the testimony to incriminate
the accused.
Section
5(2) of the Act and s. 13 of the Charter offer
virtually identical protection. Neither prevents the Crown from using the
testimony in cross‑examination at the later proceeding for the purpose of
determining the witness's credibility. The difference between these sections
is that s. 5(2) requires an objection at the first proceedings while
s. 13 does not.
A
constitutional question is to be stated only where doubt as to the
constitutional validity, applicability or operability of a statute or
regulation is raised. It was not necessary to answer the constitutional
questions stated here because the case at bar arose out of the Crown's actions
in cross‑examining the accused and not out of any question as to the
constitutionality of a legislative provision.
Per Wilson,
La Forest and L'Heureux‑Dubé JJ. (dissenting): The appeal should be
dismissed for the reasons given by the Court of Appeal.
Cases
Cited
By Lamer
C.J.
Applied: Tétreault‑Gadoury
v. Canada (Employment and Immigration Commission), [1989] 2 S.C.R.
1110; distinguished: R. v. Mannion, [1986] 2 S.C.R.
272; considered: R. v. Dubois, [1985] 2 S.C.R.
350; R. v. Wilmot (1940), 74 C.C.C. 1; R. v. Côté (1979),
50 C.C.C. (2d) 564; R. v. Langille (1986), 176 A.P.R.
262; R. v. B.(W.D.) (1987), 38 C.C.C. (3d) 12; Johnstone
v. Law Society of British Columbia, [1987] 5 W.W.R. 637; R. v.
Corbett, [1988] 1 S.C.R. 670.
Statutes
and Regulations Cited
Canada Evidence Act, R.S.C. 1970, c.
E-10 (now R.S.C., 1985, c. C‑5 ), ss. 5(1) , (2) , 10 .
Canadian Charter of Rights and Freedoms,
ss. 1 , 13 .
Criminal Code, R.S.C. 1970,
c. C‑34, s. 233(2).
Rules of
the Supreme Court of Canada, SOR/83‑74, r. 32 [am. SOR/84‑821,
s. 1 ].
APPEAL
from a judgment of the Ontario Court of Appeal (1988), 24 O.A.C. 393, 40
C.C.C. (3d) 11, 62 C.R. (3d) 336, allowing the respondent's appeal from
a judgment of Weiler Dist. Ct. J., (1986), 17 W.C.B. 91, 9 C.R.D. 875-02,
[1986] Ont. D. Crim. Conv. 5405-02, dismissing the respondent's appeal from a
conviction by Drukarsh Prov. Ct. J. on a charge of failing to remain at the
scene of an accident. Appeal allowed, Wilson, La Forest and L'Heureux‑Dubé
JJ. dissenting.
Michael
F. Brown, for the appellant.
Paul
Slansky, for the respondent.
S.
R. Fainstein, Q.C., for the intervener the Attorney
General of Canada.
Balfour
Der, for the intervener the Attorney General for Alberta.
//Lamer C.J.//
The
judgment of Dickson C.J. and Lamer C.J. and Gonthier and McLachlin JJ. was
delivered by
LAMER C.J. --
The present appeal is concerned with the right of the Crown to cross-examine an
accused at a new trial on testimony given at a former trial on the same
information. More specifically, the Court is asked to determine if, under s.
13 of the Canadian Charter of Rights and Freedoms , a
prior inconsistent statement made by an accused may be used by the Crown in
cross-examination of the accused on re-trial in order to undermine his or her
credibility. The resolution of this question will, however, be applicable
whether the prior testimony was given at an individual's own trial or whether it
was given at some other prior proceedings. Section 13 reads as follows:
13. A
witness who testifies in any proceedings has the right not to have any
incriminating evidence so given used to incriminate that witness in any other
proceedings, except in a prosecution for perjury or for the giving of
contradictory evidence.
The
Facts
The
respondent, Shamanand Kuldip, was charged with failure to stop at the scene of
an accident contrary to s. 233(2) of the Criminal Code, R.S.C.
1970, c. C-34. On February 27, 1984, he was tried and convicted of this
offence, but that conviction was quashed and a new trial ordered by the County
Court of the Judicial District of York on December 5, 1984. On re‑trial
before Drukarsh Prov. Ct. J. of the Provincial Court of Ontario, the respondent
was again convicted. He appealed his conviction to the Summary Conviction
Appeal Court. Weiler Dist Ct. J. of the District Court of Ontario dismissed
the appeal. The respondent then appealed to the Ontario Court of Appeal. The
Court of Appeal allowed the appeal, quashed the conviction and entered a
verdict of acquittal on the grounds that the cross-examination of the
respondent, using his testimony at his first trial to impeach his credibility
at his second trial, violated s. 13 of the Charter :
(1988), 40 C.C.C. (3d) 11.
At
both his first and second trial, the respondent testified to the effect that,
following the car accident in which he was involved on February 6, 1983, he
went to 42 Division of the Metropolitan Toronto Police and reported what had
occurred. He also gave evidence at both trials that he went back to 42
Division again on March 2, 1983, in order to attempt to ascertain the name of
the officer who had taken the original report on February 6, 1983. As regards
this second visit to 42 Division, Kuldip gave the following evidence at his
first trial:
Question
Can you tell us about when that was, when you went back
to the 42 Division?
Answer
I went back to [the] 42 Division March 2nd. It was - I
can give you a time, it was about twelve o'clock. We left there at 2:08.
Okay, we reached the police station and I spoke to an officer, P.C. Brown and
he told me that the officer who probably took the statement was either McNichol
or Gibson and he remembers me coming in there and giving the statement because
he saw me coming in there kind of shaken up when I walked in.
Question
Are you saying this P.C. Brown you'd been speaking to on
the second occasion was also there on the first occasion?
Answer
Yes, but
he did not take the statement. He didn't take any statements. He just
remembers me coming in there, because my father was with me.
At
the second trial, the respondent testified that about an hour prior to giving
testimony at his second trial, he discovered that Constable Brown was not on
duty on February 6, 1983. He was then asked the following question by his
counsel:
Question
Did you ever think that P.C. Brown might have been one
of the officers that you dealt with on February the 6th, in other words, on the
day of the incident . . .?
Answer
I
thought so. To me he looked familiar and - however, I found out he wasn't even
on duty that day and time, so it cannot be him.
At
the second trial, Constable P.C. Brown testified that he did not work on
February 6, 1983. The Crown cross-examined the respondent on the
inconsistencies in his evidence between the first and second trials concerning
the presence of Constable P.C. Brown at the 42 Division on the aforementioned
date. After reading to the respondent the testimony he gave at his first
trial, the Crown proceeded to cross-examine the respondent as follows:
Question
Do you recall being asked those questions and giving
those answers?
Answer
It certainly is familiar. So, I would have to say yes,
if it's on the transcript.
Question
Were you trying to tell the truth on the last occasion?
Answer
I was. I certainly, by no means, meant to lie.
Question
Can you explain, sir, how you not only recall that P.C.
Brown was present on the 6th of February, but that he actually remembered you,
according to your evidence, when you returned on the 2nd of May [sic] . . .
Answer
Well, if I said that, that's what the officer said the
day that I visited him.
Question
I see. I take it from that answer that it was the
officer who was initially confused and his confusion confused you? Is that
right?
Answer
Sorry, I don't understand.
Question
Well, you say - you say you must have said that because
the officer told you he remembered you?
Answer
Of
course.
Question
Of course he couldn't have remembered you, sir, if it
was the 6th of February that you came into the station on the first place, is
that right, because he didn't work on the 6th, did he?
Answer
That's right.
Question
You just found that out today, right?
Answer
Right.
Hence,
the respondent's prior testimony was being used by the Crown to suggest, in
effect, that he changed the evidence he gave at his first trial that P.C. Brown
was present when he reported the occurrence on February 6, 1983, because he had
learned at the subsequent trial that P.C. Brown was not on duty that day. In
doing so, the Crown obviously sought to undermine the respondent's credibility
in respect of the fact that he had allegedly reported the incident immediately.
Judgments
Below
Provincial
Court of Ontario
Drukarsh
Prov. Ct. J., at the conclusion of the second trial, convicted the respondent.
He accepted the evidence tendered by the Crown and disbelieved the defence
evidence. The respondent appealed his conviction to the Summary Conviction
Appeal Court on the grounds that the trial judge erred in permitting Crown
counsel to cross-examine the appellant on evidence given by him at a previous
trial.
District
Court of Ontario
Weiler
Dist. Ct. J. held that the Crown was entitled at the second trial to
cross-examine the respondent as to credibility by putting to him prior
contradictory statements made at his previous trial. In this respect, she
stated:
I am
of the opinion that a distinction must be drawn between evidence used to
incriminate and prior statements being used to test credibility. Otherwise,
the result would be that the accused would be the only witness who could
insulate his first story from exposure at a subsequent trial.
She
observed that at the re-trial, counsel for the respondent had made extensive
use of the evidence given by Crown witnesses at the first trial in
cross-examination of the same Crown witnesses. In her opinion, to bestow upon
an accused who chooses to testify immunity from being exposed to a similar test
of his credibility "goes against the grain of common sense". Weiler
Dist. Ct. J. added that to preclude the cross-examination of an accused on his
prior statements on the basis of s. 13 of the Charter would
mean that s. 10 of the Canada Evidence Act, R.S.C. 1970, c.
E-10 (now R.S.C., 1985, c. C-5 ), "had been silently and judicially
repealed".
Ontario
Court of Appeal (Howland C.J.O., Martin and Grange JJ.A.)
Writing
for the court, Martin J.A. commenced his analysis by reviewing this Court's
judgment in R. v. Mannion, [1986] 2 S.C.R.
272. Having done so, he rejected the appellant's attempt to distinguish Mannion from
the case at bar on the basis that the use of prior inconsistent statements
solely to impeach credibility did not "incriminate" the respondent
under s. 13 . In reaching this conclusion, the court considered the status of
the right to cross-examine an accused on his testimony in a prior judicial
proceeding before the advent of the Charter .
The
court observed that evidence given under oath by an accused in a prior judicial
proceeding was receivable against him or her in a subsequent criminal trial
unless, in the prior proceeding, the accused had invoked s. 5(2) of the Canada
Evidence Act . Sections 5(1) and 5(2) read as follows:
5. (1) No witness shall be excused from
answering any question upon the ground that the answer to such question may
tend to criminate him, or may tend to establish his liability to a civil
proceeding at the instance of the Crown or of any person.
(2)
Where with respect to any question a witness objects to answer upon the ground
that his answer may tend to criminate him, or may tend to establish his
liability to a civil proceeding at the instance of the Crown or of any person,
and if but for this Act, or the Act of any provincial legislature, the witness
would therefore have been excused from answering such question, then although
the witness is by reason of this Act, or by reason of such provincial Act,
compelled to answer, the answer so given shall not be used or receivable in
evidence against him in any criminal trial, or other criminal proceeding
against him thereafter taking place, other than a prosecution for perjury in
the giving of such evidence.
By
signifying an objection at the beginning of his or her testimony at the initial
proceeding, the accused could trigger the protection offered by s. 5(2) .
Having
done so, the witness was protected from having the previous evidence used
against him\her in a subsequent criminal proceeding. The pre-Charter
jurisprudence does not address the issue of a distinction between the use of
prior evidence on cross-examination for purposes of incrimination versus
impeaching credibility and Martin J.A. inferred that no distinction was
intended. He stated (at p. 21):
Section
5(2) imposed a blanket prohibition against the use of the accused's prior
evidence on cross-examination either for the purpose of incriminating him
directly or for the purpose of impeaching his credibility.
The
court noted that under the Canada Evidence Act there was no
obligation upon the court, tribunal or judicial officer, before whom evidence
was given on the first occasion, to advise the witness of the right to invoke
the protection of s. 5(2) of the Act. Despite complaints regarding the
unfairness of this situation, no obligation was legislated or inferred from the
existing statute. It was the opinion of the court that one of the purposes of
s. 13 of the Charter was to redress this unfairness.
Section 13 would extend the protection of s. 5(2) to all witnesses, regardless
of whether an objection was made in the earlier proceedings.
Martin
J.A. did not read the judgment of this Court in Mannion as
limiting the application of s. 13 to situations where the prior evidence is used
to incriminate the accused as opposed to impeach his or her credibility. In
this respect, he remarked as follows (at pp. 22-23):
If the
effect of s. 13 of the Charter were so restricted, the unfairness or inequality
that s. 13 of the Charter was designed to remove would be perpetuated: the
sophisticated witness who objected to answering under s. 5(2) would be afforded
protection against the subsequent use of his evidence not only to incriminate
him directly, but also to attack his credibility, whereas the unsophisticated
witness who failed to object because he was unaware of the protection afforded
by s. 5(2) would not be protected by s. 13 of the Charter against the
subsequent use of his evidence to attack his credibility. Section 5 of the Canada Evidence
Act , of course, remains in force.
The
court also commented that to the extent that impeaching the credibility of the
accused assists the Crown in its case, it may be "difficult to draw a
clear line between cross-examination on the accused's prior testimony for the
purpose of incriminating him and such cross-examination for the purpose of
impeaching his credibility" (p. 23).
Relying
on passages from McIntyre J.'s judgment in Mannion, Martin
J.A. concluded that the statutory protection provided under s. 5(2) could not
be broader than that accorded by s. 13 of the Charter . He
interpreted McIntyre J. in Mannion to mean that if the answers of an
accused who has invoked s. 5(2) are not admissible against him for any purpose
in subsequent proceedings (other than a prosecution for perjury in the giving
of such evidence), then the protection bestowed by s. 13 of the Charter must
also extend that far.
Analysis
Introduction
The
present appeal deals with the proper scope to be given to s. 13 of the Charter which
guarantees the right against self-incrimination. The following constitutional
questions were stated by Dickson C.J. on April 27, 1989:
1.Whether the cross-examination of an accused at a new
trial on testimony given at a previous trial on the same charge for any purpose
infringes or denies the right guaranteed in s. 13 of the Canadian
Charter of Rights and Freedoms ?
2.If so,
is such cross-examination justified on the basis of s. 1 of the Canadian
Charter of Rights and Freedoms and, therefore, not inconsistent with
the Constitution Act, 1982 ?
In
essence, these questions are identical to those examined by this Court in Mannion. The
only difference between Mannion and the present appeal lies in the
fact that this Court is now asked to examine the purpose of the
cross-examination of an accused at a new trial on testimony given at a previous
trial. In this respect, the Crown argued that, in the case at hand, the
testimony given by Kuldip at his previous trial was not used to
"incriminate" him but was solely tendered for the purpose of undermining
his credibility. From the Crown's standpoint, s. 13 of the Charter does
not prevent the use of previous testimony when such use is directed at
impeaching the accused's credibility. The respondent argued that s. 13
prevents the use of testimony from a former proceeding, during a subsequent
cross-examination, whatever the purpose of the cross-examination. The reasons
of Martin J.A., outlined above, indicate that the resolution of this matter
raises certain policy issues regarding the interaction of s. 13 of the Charter and s.
5(2) of the Act, and will involve the interpretation of s. 5(2) of the Canada
Evidence Act .
In
order to assess properly the difficult questions raised in this appeal, I feel
it is essential to commence my analysis with a brief review of this Court's
recent decisions as regards the right against self-incrimination: R. v.
Dubois, [1985] 2 S.C.R. 350, and Mannion, supra.
Decisions
of this Court
In Dubois, the
accused was charged with second degree murder. At his trial, he voluntarily
took the stand and admitted that he had committed the murder, alleging certain
circumstances of justification. He was convicted but successfully appealed the
conviction to the Alberta Court of Appeal and was granted a new trial on
grounds of misdirection to the jury. At the new trial, Dubois did not testify
but the Crown sought to adduce the testimony he had given at his first trial as
part of its case. Both the trial judge and the Alberta Court of Appeal
concluded that such use of previous testimony was not precluded by s. 13 of the Charter . A
majority of this Court, however, reversed this position. The purpose
underlying s. 13 was stated in the following terms (at p. 358):
Hence,
the purpose of s. 13 , when the section is viewed in the context of s. 11(c) and (d), is to
protect individuals from being indirectly compelled to incriminate themselves,
to ensure that the Crown will not be able to do indirectly that which s. 11(c)
prohibits. It guarantees the right not to have a person's previous testimony
used to incriminate him or her in other proceedings.
Taking a
purposive approach to s. 13 , this Court concluded that a new trial on the same
charge constitutes "any other proceedings" within the meaning of the
section. This Court held that the protection of s. 13 inures to an individual
at the moment an attempt is made to utilize the previous testimony to
incriminate its author. Because the Crown had tendered the previous testimony
as part of its case, the previous testimony was used to incriminate Dubois in
another proceeding and thus his s. 13 rights had been violated. Thus, Dubois stands
for the proposition, and only for the proposition, that a new trial on the same
charge constitutes another proceeding for the purpose of s. 13 , that the benefit
of s. 13 inures to the benefit of an accused at the time an attempt is made to
utilize the previous testimony for the purpose of incrimination, and that
evidence tendered by the Crown as part of its case is incriminating. The
issue pertaining to the use of testimony given at a previous trial on
cross-examination was, however, left unresolved (at pp. 364-65):
Since in
this case, the Crown is tendering the evidence as part of its case, which
clearly comes within the meaning of "used to incriminate", we need
not here address the question of whether those words include resort to the
previous testimony for the purpose of cross-examining the accused, were the
latter to choose to take the stand again in his or her own defence.
This
question was answered to some extent in Mannion.
Mannion
was charged with rape. At his initial trial on this charge, he testified to
the effect that he had been contacted by an investigating officer who had told
him that he wanted to see him concerning a rape. He was convicted but this
conviction was eventually quashed by the Alberta Court of Appeal which ordered
a re-trial. Upon this new trial, Mannion again chose to testify. When doing
so, he mentioned that he had been called by the investigating officer but gave
no specific reason for this call. As Mannion had left Edmonton, the scene of
the rape for which he was charged, for Vancouver soon after having been called
by the officer, the Crown sought to use Mannion's initial testimony on
cross-examination in an effort to demonstrate that Mannion's departure for
Vancouver was prompted by his knowledge of the rape investigation, thereby
establishing the guilty conscience of the accused. In a unanimous
judgment (per McIntyre J.), such use of Mannion's previous testimony
was found to contravene s. 13 of the Charter . The
essence of the decision is contained in this passage, at pp. 279-80:
Mannion
was a witness who testified at the earlier proceeding. His testimony in that
earlier proceeding, while not introduced by the Crown in its case in chief, was
brought in on cross-examination. In my view, it was used to incriminate him.
The Crown adduced evidence at both trials that, prior to the arrest of the
respondent at Hinton on his way to Vancouver, no police officer had
communicated to him that they were investigating his involvement in a rape.
Mannion had mentioned that he knew a rape was involved in his earlier trial and
this fact was put to him in cross-examination in the second. The Crown argued
in each trial that Mannion knew that a rape was involved before the police told
him and that his precipitate flight from Edmonton when he became aware that the
police wanted to see him displayed a consciousness of guilt. It is clear
then that the purpose of the cross-examination, which revealed the inconsistent
statements, was to incriminate the respondent. This evidence was relied upon by
the Crown to establish the guilt of the accused. It is therefore my view that
s. 13 of the Charter clearly applies to
exclude the incriminating use of the evidence of these contradictory statements.
[Emphasis added.]
Thus, in Mannion this
Court partially answered the question left open by its judgment in Dubois: the
use of previous testimony in a subsequent trial during cross-examination, for
the purpose of establishing consciousness of guilt, violates the right against
self-incrimination guaranteed by s. 13 of the Charter . The
question left open by Mannion to be decided in this case is whether
previous testimony may be used during cross-examination in a subsequent
proceeding for some other purpose, namely: for the purpose of challenging the
credibility of the witness.
Various
other courts before and after Mannion have considered
this question of whether cross-examination on prior inconsistent statements for
purposes of destroying credibility constitutes incrimination under s. 13 . I
now turn to these decisions.
Decisions
of Other Courts
In R. v.
Langille (1986), 176 A.P.R. 262 (N.S.C.A.), a bankrupt made an
affidavit in a bankruptcy proceeding and then objected to being cross-examined
on the affidavit in the course of his trial for alleged bankruptcy offences.
The Nova Scotia Court of Appeal distinguished between the tendering of evidence
for the purpose of incrimination versus discrediting the accused. After
reviewing a number of judgments, including Dubois, the
court concluded (at p. 269):
Applying
the reasoning in Dubois, it is my respectful opinion that there was no
violation of s. 13 when the Crown cross-examined the appellant [Langille] upon
his affidavit, even if the affidavit could equate the applicable words of s.
13 . To prevent such cross-examination would be to invite witnesses to tell one
story at one time with the full knowledge that the story could be changed with
impunity in another proceeding, subject only to "a prosecution for perjury
or for the giving of contradictory evidence".
In R. v.
B.(W.D.) (1987), 38 C.C.C. (3d) 12, the Saskatchewan Court of
Appeal considered the use of an affidavit signed by an accused in Unified
Family Court during cross-examination on a criminal charge of sexual abuse.
Vancise J.A. distinguished incriminating evidence from discrediting evidence
(at pp. 22-23):
In our opinion, it is only when
answers are used to "incriminate" or have the effect of
self-incrimination, that s. 13 comes into play. In the situation where the
prior inconsistent statement is being used to discredit or to lessen the
credibility that should be given to his present testimony, s. 13 should not
apply. In our opinion, "discredit" cannot be interpreted as
"incriminate".
Such
use of a previous statement does not violate the purpose of s. 13 when viewed
from the context of s. 11(c) and (d), which is to
prevent the accused from being indirectly compelled to incriminate himself.
Its purpose is not to insulate the accused from exposure where he has related
inconsistent and conflicting evidence, or to protect him from being exposed to
a test of credibility.
Vancise
J.A. later stated that if the Crown's evidence on cross-examination related to
the commission of the offence rather than to the accused's credibility, s. 13
would be engaged and the cross-examination prohibited, because "[t]hat
would be an attempt to use the accused's previous answers against him as the
basis of his own prosecution" (p. 24).
In Johnstone
v. Law Society of British Columbia, [1987] 5 W.W.R. 637 (B.C.C.A.),
counsel for the Law Society at a discipline hearing attempted to cross-examine
the appellant solicitor on his testimony before the registrar for purposes of
impugning his credibility. The British Columbia Court of Appeal held that such
use of prior statements did not contravene s. 13 . The British Columbia Court
of Appeal did not consider attacks on credibility to be incriminating. Craig
J.A. characterized at p. 652 the use of cross-examination in Mannion to
prove consciousness of guilt as something "from which a trier of fact may
infer that an accused is guilty of the crime charged. It was, therefore, a
factor which incriminated him".
The
above cases all argue in favour of a distinction between a cross-examination
made for the purpose of impeaching credibility and one made to
"incriminate" the accused, that is, to establish guilt. In my view
this is an appropriate distinction and is one which is supported by the facts
in this case. I agree with the appellant's view as regards the purpose for
which the respondent's testimony from the first trial was used. Indeed, by
putting to the respondent prior inconsistent statements made at his previous
trial, Crown counsel could only seek to impeach the respondent's credibility in
respect of his allegation that he had reported the accident in which he was
involved to officer P.C. Brown. The rationale for a distinction based on the purpose
for which cross-examination is made was stated most succinctly by Craig J.A. in Johnstone, at p.
652:
The
submission of Mr. Hall really amounts to a contention that any cross-examination
of an accused (or a person in the position of Johnstone) on testimony which he
gave under oath in a previous proceeding always contravenes s. 13 , even if its
sole purpose is to reflect on his credibility. Such a conclusion is contrary
to the basis upon which we normally assess testimony. We are constantly
telling juries that a criminal trial is not a contest between the state and the
accused but that, rather, it is a solemn inquiry which is conducted in
accordance with certain principles with a view to ascertaining the truth. The
major concern of every trier of fact is whether the evidence is credible -- or
to use Wigmore's expression, the "trustworthiness" of the evidence.
Wigmore states that "no safeguard for testing the value of human statements
is comparable to that furnished by cross-examination . . ." [citation
omitted]. Although the Charter may produce a change in some of what I term
traditional views in the law, I doubt that the framers of the Charter ever
intended that when a trier of fact is assessing the credibility of a witness he
cannot consider his previous testimony on the same subject except when the sole
purpose of such examination is to incriminate the witness, as in the Mannion case.
To hold that any cross-examination of an accused (or a person in the
position of Johnstone) on previous testimony contravenes s. 13 is an
unwarranted extension of the right guaranteed by s. 13 .
Using a
prior inconsistent statement from a former proceeding during cross-examination
in order to impugn the credibility of an accused does not, in my view,
incriminate that accused person. The previous statement is not tendered as
evidence to establish the proof of its contents, but rather is tendered for the
purpose of unveiling a contradiction between what the accused is saying now and
what he or she has said on a previous occasion. For example, a situation could
arise where A is charged with murder and B gives testimony at A's trial that B
was with A in Montréal on the day of the alleged murder committing a bank
robbery. B may subsequently become the accused in a trial for robbery and
choose to take the stand in his defence. If B then testifies that he was in
Ottawa on the day of the alleged robbery, the Crown is entitled to
cross-examine B with respect to the discrepancy between his current testimony
and his previous testimony. The previous statement is used only to impeach the
accused's credibility with respect to his current testimony that he was in
Ottawa on the day of the alleged robbery. The previous statement may not be
used, however, to establish the truth of its contents; it may not be used to
establish that the accused was, in fact, in Montréal on the day of the alleged
bank robbery nor can it be used to establish that the accused did, in fact,
commit the alleged bank robbery. In the situation just described, it would be
incumbent upon the trial judge to give a warning to the jury that it would not
be open to it to conclude, on the basis of his previous statement, that the
accused was in Montréal on the day of the alleged bank robbery nor to conclude
that the accused did, in fact, commit the bank robbery. The jury would have to
be warned that the only possible conclusion open to it from such
cross-examination would be that the accused was not telling the truth when he
said that he was in Ottawa on the day of the robbery and that he was not, in
fact, in Ottawa on that day. Of course, this in turn might well enable it to
conclude, beyond a reasonable doubt, that B was in Montréal committing
the robbery; but this conclusion could only be reached as a result of other
evidence which will have become uncontradicted evidence as a result of the
cross-examination which has impeached the credibility of the accused and
thereby caused the jury to disbelieve the accused's current testimony.
This
seems an appropriate time at which to mention that I share Martin J.A.'s
concern that it is sometimes difficult to draw a clear line between
cross-examination on the accused's prior testimony for the purpose of
incriminating him and such cross-examination for the purpose of impeaching his
credibility. A trial judge will have to be very clear in his or her
instructions to the jury when setting out the uses to which previous testimony
can be put and the uses to which such testimony must not be put. While such a
distinction may be somewhat troublesome to the jury, it is my view that with
the benefit of clear instructions from the trial judge the jury will not be
unduly burdened with this distinction. These instructions should, in many
ways, be reminiscent of those which are routinely given with respect to the use
to which an accused's criminal record may be put. A trial necessarily involves
evidentiary questions which are sometimes complex in nature. While simplicity
in these manners is generally preferable to complexity, the policy reasons
underlying the need for a jury to have before it all the relevant information
related to the charge (discussed by this Court in R. v. Corbett, [1988]
1 S.C.R. 670) clearly outweigh the benefits of simplicity in these
circumstances.
An
accused has the right to remain silent during his or her trial. However, if an
accused chooses to take the stand, that accused is implicitly vouching for his
or her credibility. Such an accused, like any other witness, has therefore
opened the door to having the trustworthiness of his\her evidence challenged.
An interpretation of s. 13 which insulates such an accused from having previous
inconsistent statements put to him\her on cross-examination where the only
purpose of doing so is to challenge that accused's credibility, would, in my
view, "stack the deck" too highly in favour of the accused.
Thus,
but for the policy concern raised by Martin J.A. in the Ontario Court of
Appeal, I would be inclined to conclude, at this point, that s. 13 does not
preclude the use of previous testimony during a subsequent cross-examination if
the sole purpose of that cross-examination is to challenge the credibility of
an accused who has chosen to testify in the second proceedings. I turn now to
an examination of the policy issue raised by the Court of Appeal in this case.
Policy
Issue
In
the judgment of the Court of Appeal, Martin J.A. rejected the interpretation
that was given to s. 13 of the Charter by the British
Columbia Court of Appeal in Johnstone, supra. He
consequently rejected the relevance, for the purposes of s. 13 , of identifying
the objectives of the Crown in putting the prior inconsistent statements to the
accused in cross-examination. Instead, Martin J.A. interpreted s. 13 to mean
that an incriminating statement made by an accused at a proceeding can under no
circumstances be used in cross-examining him or her at a later proceeding,
regardless of the specific purpose of using the testimony in the course of the
cross-examination.
As
outlined above, the Court of Appeal decided that s. 13 must be interpreted in
light of the protection against self-incrimination afforded to a witness under
s. 5 of the Canada Evidence Act . The court emphasized
that considerable unfairness resulted from the application of s. 5 , since there
was no obligation on the judicial body hearing a witness to advise that witness
of his or her right to object to a potentially incriminating question. Martin
J.A. described the resulting unfairness as follows (at p. 22):
Prior to
the Charter , a sophisticated witness or one who had the benefit of the advice
of counsel might secure protection from the subsequent use of his evidence
against him in a criminal trial by invoking s. 5(2) , whereas an unsophisticated
witness or one who lacked counsel, because he was unaware of his right to
invoke s. 5(2) , might have the evidence from a prior proceeding used against
him in a subsequent trial.
The
court concluded that a fundamental purpose underlying the adoption of s. 13 was
to redress such unfairness caused by the application of s. 5 .
In
view of the purpose of s. 13 , it was argued that the section could not be
interpreted in such a way as to give a witness narrower protection from the use
of incriminating evidence against him than the protection he would be afforded
if he were "sophisticated" enough to make an objection under s. 5 .
To ascertain the precise scope of s. 13 , therefore, the court found it
necessary to consider the protection gained by a witness who makes a valid
objection under s. 5 .
The
Court of Appeal considered the jurisprudential interpretation of s. 5 prior to
the coming into force of the Charter and concluded that s. 5 effectively
prohibited testimony given by a witness in a proceeding from being used to
cross-examine him for any purpose at a later proceeding. The prior testimony
could in no circumstances be used in cross-examining an accused at a later
proceeding (at pp. 20-21):
It was well established prior to the
advent of the Charter that, where a witness in a judicial proceeding invoked s.
5(2) of the Canada Evidence Act , his evidence
could not be used to cross-examine him: see R. v. Wilmot . . .; R. v. Coté . . . .
I observe that both R. v. Wilmot . . . and R. v. Coté . . .
were cited with approval by McIntyre J. in R. v. Mannion . . .
The
pre-Charter authorities did not distinguish between the use of the prior
evidence on cross-examination for the purpose of directly incriminating the
accused and its use for the purpose of attacking his credibility. Section 5(2)
imposed a blanket prohibition against the use of the accused's prior evidence
on cross-examination either for the purpose of incriminating him directly or
for the purpose of impeaching his credibility.
The
court clearly saw no ambiguity in the case law applying s. 5 that would allow
it to interpret the section in order to permit the use of the prior testimony
in cross-examining the accused at a later proceeding for the purpose only of
impeaching his credibility.
The
court's understanding of the purpose underlying s. 13 and its concern for the
inequity which could result if s. 13 were interpreted so as to provide less
protection than s. 5 thus caused it to reject the Crown's contention that s. 13
prevents the use of prior inconsistent statements made by an accused in
cross-examining him at a later proceeding where the sole purpose of using the
statement is to assist the Crown in incriminating the accused.
With
all due respect, I am unable to accept the Court of Appeal's method of
interpreting s. 13 . First, I believe that s. 5(2) of the Act should not be
used as an obligatory instrument in the assessment of the ambit of s. 13 , even
if the necessary result, which I do not admit in this instance, would be that
the protection granted by the federal statute is wider than that afforded under
the Charter . It is possible that, in certain circumstances, the
rights protected by statute will be greater in scope than comparable rights
affirmed by our Constitution. The Charter aims to guarantee
that individuals benefit from a minimum standard of fundamental rights. If
Parliament chooses to grant protection over and above that which is enshrined
in our Charter , it is always at liberty to do so.
Furthermore,
I am not prepared, when interpreting s. 13 , to presume that it was designed to
remedy an unfair situation created by statute. If undesirable inequalities
arise from the application of a statutory provision, for example s. 5(2) of the Canada
Evidence Act , it is up to Parliament to redress the unfairness by
amending or repealing the problematic elements of the provision. The advent of
the Charter has not modified pre-existing rights and, conversely,
the fact of pre-existing rights should not unnecessarily influence the
interpretation of the scope of constitutionally-protected rights.
Secondly,
and I say this with the utmost respect, I cannot accept the Ontario Court of
Appeal's interpretation of s. 5(2) of the Canada Evidence Act . In my
opinion, the protection offered by s. 5(2) , namely, the guarantee that
"the answer so given [by the witness] shall not be used or receivable in
evidence against him in any criminal trial, or other criminal proceeding
against him thereafter taking place . . .", must be interpreted in
consideration of the express purpose of allowing the witness to make an
objection under s. 5(2) . This purpose is expressed clearly in the opening
words of s. 5(2) that impose the substantive condition to be fulfilled before
the section is made operative: a witness is entitled to object to a question
on the grounds that "his answer may tend to criminate him, or may tend to
establish his liability to a civil proceeding at the instance of the Crown or
of any person . . .". Since the witness is only entitled to object to a
question on the grounds that the answer to the question will tend to criminate
him, it is only logical that he be guaranteed, in exchange for compelling him
to answer the question, that his answer will not be used to criminate him in a
subsequent proceeding. A further guarantee that such answer will not be used
in cross-examination to challenge the witness's credibility at a later
proceeding would extend beyond the purpose of s. 5(2) . With respect for
contrary views, testimony given by a witness at a proceeding may,
notwithstanding an objection under s. 5(2) , be used at a subsequent proceeding
in cross-examining the witness if the purpose of such use is to impeach his
credibility and not to incriminate the witness.
It
is also apparent that the scope of the judicial interpretation of s. 5(2) has,
by some, been overstated. It has been concluded that the effect of R. v.
Wilmot (1940), 74 C.C.C. 1 (Alta. C.A.), R. v. Coté (1979),
50 C.C.C. (2d) 564 (Que. C.A.), and Mannion, supra, is
that an objection made under s. 5(2) at the first proceedings gives rise to a blanket
prohibition against using the testimony in the course of cross-examining the
witness at a subsequent proceeding. In Wilmot, the
Alberta Court of Appeal considered whether the accused could be cross-examined
with respect to testimony given at an earlier proceeding where such testimony
was given in response to a question by the Crown to which an objection under s.
5(2) had been made. Ford J.A., speaking for the majority, stated the following
(at pp. 18-19):
In
my opinion the prohibition against the use as well
as the reception of answers made to questions that may tend to incriminate,
except as provided in the Act applicable to the inquest, whether it is the
Alberta Evidence Act or the Canada Evidence Act ,
applies just as much to the use of the answer against the accused in cross-examination
as to its being receivable in the Crown's case in chief.
In Côté, I, on
behalf of the Quebec Court of Appeal, considered in detail the procedural
conditions that must be fulfilled by a witness in order to make a valid
objection under s. 5(2) of the Canada Evidence Act in the
course of a proceeding. The court dealt very briefly with the issue of whether
the successful invocation of s. 5(2) prevented the privileged testimony from
being used in cross-examining the witness at a later proceeding. I stated, at
pp. 571-72:
[TRANSLATION] It
seems clear to me that to use the testimony in this way is to
"use(d)" in the sense of s. 5 (in the French version, ". . .
l'invoquer . . ."). This last ground does not seem to me deserving of
further consideration. It suffices that I refer anyone who would like to go
into the question in depth to the comments of our Alberta colleagues in the
case of R. v. Wilmot . . .
Lastly,
McIntyre J., speaking for this Court in Mannion, supra,
summarized the holdings in Wilmot and Côté to the
effect that "an accused person may not be cross-examined or
examined-in-chief upon evidence given at a previous hearing where he had
invoked the protection of s. 5 of the Canada Evidence Act "
(p. 281). Mannion concerned the application of s. 13 of
the Charter ; McIntyre J.'s statements with respect to s. 5(2) were
therefore not directly relevant to the holding in the case.
The
holdings in these cases do not lead necessarily to the conclusion that testimony
protected by the s. 5(2) privilege cannot be used in cross-examining the
accused at a subsequent proceeding where the purpose of using the testimony is
to impeach the accused's credibility and not to assist in building the Crown's
against him, that is, to incriminate him. In Wilmot and Côté, the
purpose of using the prior testimony in cross-examining the accused was never
examined. The courts did not attempt to ascertain whether the testimony was
used by the Crown to incriminate the accused or merely to impeach his
credibility. As stated earlier, in Côté the focus of the
case was on what had to be said by the witness in order to invoke the
protection of s. 5(2) . In Mannion, it was found that the Crown used the
particular testimony in cross-examining the accused for the purpose of
establishing a consciousness of guilt on his part; this was held to be an
incriminating use of the earlier statements. Thus, any statement by this Court
regarding the interpretation of s. 5(2) was not necessary to determine the
result.
To
the extent that Ford J.A., writing for the Alberta Court of Appeal in Wilmot, or
myself, writing for the Quebec Court of Appeal in Côté, failed
to examine the purpose of the Crown in putting the prior inconsistent
statements of the accused to him in cross-examination, I am of the opinion that
s. 5 was not interpreted correctly. Section 5 does not prohibit the Crown from
ever using the privileged testimony in cross-examining the accused at a later
proceeding. The Crown is only prevented from so using the testimony if the
purpose of such use is to incriminate the accused. These judgments decided the
central issue in each case without addressing the issue of whether the
testimony was used in cross-examination to incriminate the accused or to undermine
his credibility. Only after this question is answered can the accused's rights
under s. 5(2) be determined.
It
is thus apparent that Martin J.A.'s legitimate policy concern that s. 5 of the Canada
Evidence Act and s. 13 of the Charter not
provide different protection for an accused, against the use of incriminating
statements, does not, in my view, arise. Section 5(2) and s. 13 offer
virtually identical protection: a witness who testifies in any proceeding has
the right not to have his or her testimony used to incriminate such witness at
a later proceeding. Neither s. 5 nor s. 13 prevents the Crown from using the
testimony in cross-examination at the later proceeding for the purpose of
undermining the witness's credibility. The difference between these sections
is that s. 5(2) requires an objection at the first proceedings while s. 13 does
not.
Disposition
In
the case at bar, the cross-examination of the respondent at the second trial
was clearly for the purpose of undermining his credibility. Therefore, in view
of the foregoing analysis, his s. 13 rights were not violated.
The
constitutional questions, set out above, were stated prior to the decision in
Tétreault-Gadoury v. Canada (Employment and Immigration Commission), [1989]
2 S.C.R. 1110, which established that under Rule 32 of the Rules of
the Supreme Court of Canada, SOR/83-74, a constitutional question will only be
stated when the constitutional validity or the constitutional applicability of
a statute or of regulations is raised, or the inoperability thereof is urged.
In light of that decision, the constitutional questions do not, in my
respectful view, arise, nor would they have arisen had this Court interpreted
s. 13 as did the Ontario Court of Appeal. In the case at bar, it was the
action of the Crown in cross-examining the accused which was challenged under
the Charter . The constitutionality of a legislative provision was
not in issue. Therefore, the constitutional questions need not be answered.
Consequently,
I would allow the appeal and restore the conviction entered by the Provincial
Court of Ontario.
//Wilson J.//
The
reasons of Wilson, La Forest and L'Heureux-Dubé JJ. were delivered by
WILSON J.
(dissenting) -- I am in respectful agreement with the reasons of Martin J.A.
writing for a unanimous Court of Appeal (1988), 40 C.C.C. (3d) 11 and have
nothing to add to them. I would accordingly dismiss the Crown's appeal.
Appeal
allowed, WILSON, LA FOREST and L'HEUREUX‑DUBÉ JJ. dissenting.
Solicitor
for the appellant: The Attorney General for Ontario, Toronto.
Solicitors
for the respondent: Pinkofsky, Lockyer, Kwinter, Toronto.
Solicitor
for the intervener the Attorney General of Canada: John C. Tait, Ottawa.
Solicitor
for the intervener the Attorney General for Alberta: The Attorney General for
Alberta, Edmonton.