hollick v. toronto (city), [2001] 3
S.C.R. 158, 2001 SCC 68
John Hollick Appellant
v.
City of Toronto Respondent
and
Friends of the Earth, West Coast Environmental Law
Association, Canadian Association of Physicians for the
Environment, the Environmental Commissioner
of Ontario and Law Foundation of Ontario Interveners
Indexed as: Hollick v. Toronto (City)
Neutral citation: 2001 SCC 68.
File No.: 27699.
2001 : June 13; 2001: October 18.
Present: McLachlin C.J. and Gonthier, Iacobucci,
Major, Bastarache, Binnie and Arbour JJ.
on appeal from the court of appeal for ontario
Practice -- Class actions -- Certification --
Plaintiff complaining of noise and physical pollution from landfill owned and
operated by city -- Plaintiff bringing action against city as representative of
some 30,000 other residents who live in vicinity of landfill -- Whether
plaintiff meets certification requirements set out in provincial class action
legislation -- Class Proceedings Act, 1992, S.O. 1992, c. 6, s. 5(1).
The appellant complains of noise and physical
pollution from a landfill owned and operated by the respondent city. He sought
certification, under Ontario’s Class Proceedings Act, 1992, to represent
some 30,000 people who live in the vicinity of the landfill. The motions judge
found that the appellant had satisfied each of the five certification
requirements set out in s. 5 of the Act and ordered that the appellant be
allowed to pursue his action as representative of the stated class. The
Divisional Court overturned the certification order on the grounds that the
appellant had not stated an identifiable class and had not satisfied the
commonality requirement. The Court of Appeal dismissed the appellant’s appeal,
agreeing with the Divisional Court that commonality had not been established.
Held: The appeal
should be dismissed.
The Class Proceedings Act, 1992 should be
construed generously to give full effect to its benefits. The Act was adopted
to ensure that the courts had a procedural tool sufficiently refined to allow
them to deal efficiently, and on a principled rather than ad hoc basis,
with the increasingly complicated cases of the modern era.
In this case there is an identifiable class within the
meaning of s. 5(1)(b). The appellant has defined the class by reference
to objective criteria, and whether a given person is a member of the class can
be determined without reference to the merits of the action. With respect to
whether “the claims . . . of the class members raise common issues”, as
required by s. 5(1)(c), the underlying question is whether allowing the
suit to proceed as a representative one will avoid duplication of fact-finding
or legal analysis. Thus an issue will be common only where its resolution is
necessary to the resolution of each class member’s claim. Further, an issue
will not be “common” in the requisite sense unless the issue is a substantial
ingredient of each of the class members’ claims. Here, if each of the class
members has a claim against the respondent, some aspect of the issue of
liability is common within the meaning of s. 5(1)(c). The issue is whether
there is a rational connection between the class as defined and the asserted
common issues. While the putative representative must show that the class is
defined sufficiently narrowly, he or she need not show that everyone in the
class shares the same interest in the resolution of the asserted common
issue. The appellant has met his evidentiary burden. It is sufficiently
clear that many individuals besides the appellant were concerned about noise
and physical emissions from the landfill. Moreover, while some areas within
the geographical area specified by the class definition appear to have been the
source of a disproportionate number of complaints, complaints were registered
from many different areas within the specified boundaries.
A class proceeding would not be the preferable
procedure for the resolution of the common issues, however, as required by
s. 5(1)(d). In the absence of legislative guidance, the preferability
inquiry should be conducted through the lens of the three principal advantages
of class actions: judicial economy, access to justice, and behaviour
modification. The question of preferability must take into account the
importance of the common issues in relation to the claims as a whole. The
preferability requirement was intended to capture the question of whether a
class proceeding would be preferable in the sense of preferable to other
procedures such as joinder, test cases and consolidation. The preferability
analysis requires the court to look to all reasonably available means of
resolving the class members’ claims, and not just at the possibility of
individual actions. The appellant has not shown that a class action is the
preferable means of resolving the claims raised here. With respect to judicial
economy, any common issue here is negligible in relation to the individual
issues. While each of the class members must, in order to recover, establish
that the landfill emitted physical or noise pollution, it is likely that some
areas were affected more seriously than others, and that some areas were
affected at one time while other areas were affected at other times. Once the
common issue is seen in the context of the entire claim, it becomes difficult
to say that the resolution of the common issue will significantly advance the
action. Nor would allowing a class action here serve the interests of access
to justice. The fact that no claims have been made against the Small Claims
Trust Fund may suggest that the class members claims are either so small as to
be non-existent or so large as to provide sufficient incentive for individual
action. In either case access to justice is not a serious concern. The
argument that behaviour modification is a significant concern in this case
should be rejected for similar reasons.
Cases Cited
Referred to: Rylands
v. Fletcher (1868), L.R. 3 H.L. 330; Bywater v. Toronto Transit
Commission (1998), 27 C.P.C. (4th) 172; Western Canadian Shopping
Centres Inc. v. Dutton, [2001] 2 S.C.R. 534, 2001 SCC 46; Caputo v.
Imperial Tobacco Ltd. (1997), 34 O.R. (3d) 314; Webb v. K-Mart Canada
Ltd. (1999), 45 O.R. (3d) 389; Mouhteros v. DeVry Canada Inc.
(1998), 41 O.R. (3d) 63; Taub v. Manufacturers Life Insurance Co. (1998),
40 O.R. (3d) 379; Abdool v. Anaheim Management Ltd. (1995), 21 O.R. (2d)
453; Rumley v. British Columbia, [2001] 3 S.C.R. 184, 2001 SCC 69.
Statutes and Regulations Cited
Class Proceedings Act, R.S.B.C. 1996, c. 50, s. 4(2).
Class Proceedings Act, 1992, S.O. 1992, c. 6, ss. 2(1), (2), 5(1), (4), (5), 6.
Code of Civil Procedure, R.S.Q., c. C-25, Book IX.
Environmental Bill of
Rights,1993, S.O. 1993, c. 28, ss. 61(1),
74(1).
Environmental Protection Act, R.S.O. 1990, c. E.19, ss. 14(1), 99, 172(1), 186(1).
Family Law Act, R.S.O. 1990, c. F.3.
Federal Rules of Civil
Procedure, Rule 23(b)(3).
Rules of Civil Procedure, R.R.O. 1990, Reg. 194, Rule 12.01.
Authors Cited
Branch, Ward K. Class Actions
in Canada. Vancouver: Western Legal Publications, 1996 (loose-leaf
updated December 1998, release 4).
Cochrane, Michael G. Class
Actions: A Guide to the Class Proceedings Act, 1992. Aurora, Ont.:
Canada Law Book, 1993.
Eizenga, Michael A., Michael J.
Peerless and Charles M. Wright. Class Actions Law and Practice.
Toronto: Butterworths, 1999 (loose-leaf updated June 2001, issue 4).
Friedenthal, Jack H., Mary K. Kane
and Arthur R. Miller. Civil Procedure, 2nd ed. St. Paul, Minn.: West
Publishing Co., 1993.
Ontario. Attorney General’s
Advisory Committee on Class Action Reform. Report of the Attorney General’s
Advisory Committee on Class Action Reform. Toronto: The Committee, 1990.
Ontario. Law Reform Commission. Report
on Class Actions. Toronto: Ministry of the Attorney General, 1982.
APPEAL from a judgment of the Ontario Court of Appeal
(1999), 46 O.R. (3d) 257, 181 D.L.R. (4th) 426 (sub nom. Hollick v.
Metropolitan Toronto (Municipality)), 127 O.A.C. 369, 32 C.E.L.R. (N.S.) 1,
41 C.P.C. (4th) 93, 7 M.P.L.R. (3d) 244, [1999] O.J. No. 4747 (QL),
dismissing an appeal from a decision of the Divisional Court (1998), 42 O.R.
(3d) 473, 168 D.L.R. (4th) 760, 116 O.A.C. 108, 28 C.E.L.R. (N.S.) 198, 31
C.P.C. (4th) 64, [1998] O.J. No. 5267 (QL), allowing an appeal from a
decision of the Ontario Court (General Division) (1998), 27 C.E.L.R. (N.S.) 48,
18 C.P.C. (4th) 394, [1998] O.J. No. 1288 (QL), granting a motion to have
an action certified as a class proceeding. Appeal dismissed.
Michael McGowan, Kirk
M. Baert, Pierre Sylvestre and Gabrielle Pop‑Lazic, for
the appellant.
Graham Rempe and Kalli
Y. Chapman, for the respondent.
Robert V. Wright and Elizabeth
Christie, for the interveners Friends of the Earth, West Coast
Environmental Law Association and Canadian Association of Physicians for the
Environment.
Doug Thomson and David
McRobert, for the intervener the Environmental Commissioner of Ontario.
Written submissions only by Mark M. Orkin, Q.C.,
for the intervener the Law Foundation of Ontario.
The judgment of the Court was delivered by
1
The Chief Justice – The
question raised by this appeal is whether the appellant has satisfied the
certification requirements of Ontario’s Class Proceedings Act, 1992, S.O.
1992, c. 6, and whether the appellant should accordingly be allowed to pursue
his action against the City of Toronto as the representative of some 30,000
other residents who live in the vicinity of a landfill owned and operated by
the City. For the following reasons, I conclude that the appellant has not
satisfied the certification requirements, and consequently that he may pursue
this action only on his own behalf, and not on behalf of the stated class.
I. Facts
2
The appellant Hollick complains of noise and physical pollution from the
Keele Valley landfill, which is owned and operated by the respondent City of
Toronto. The appellant sought certification, under Ontario’s Class
Proceedings Act, 1992, to represent some 30,000 people who live in
the vicinity of the landfill, in particular:
A. All persons who have owned or occupied property in the Regional
Municipality of York, in the geographic area bounded by Rutherford Road on the
south, Jane Street on the west, King-Vaughan Road on the north and Yonge Street
on the east, at any time on or after February 3, 1991, or where such a person
is deceased, the personal representative of the estate of the deceased person;
and
B. All living parents, grandparents, children, grandchildren,
siblings, and spouses (within the meaning of s. 61 of the Family Law Act)
of persons who were owners and/or occupiers . . . .
The merits of
the dispute between the appellant and the respondent are not at issue on this
appeal. The only question is whether the appellant should be allowed to pursue
his action as representative of the stated class.
3
Until 1983, the Keele Valley site was a gravel pit owned privately. It
operated under a Certificate of Approval issued by the Ministry of the
Environment in 1980. After the respondent purchased the site in 1983, the
Ministry of the Environment issued a new Certificate of Approval. The 1983
Certificate covers an area of 375.9 hectares, of which 99.2 hectares are actual
disposal area. The remainder of the land constitutes a buffer zone. The
Certificate restricts Keele Valley to the receipt of non-hazardous municipal or
commercial waste, and it sets out various other requirements relating to the
processing and storage of waste at the site. It also provides for a Small
Claims Trust Fund of $100,000, administered by the Ministry of the Environment,
to cover individual claims of up to $5,000 arising out of “off-site impact”.
4
The Ministry of the Environment monitors the Keele Valley site by employing
two full-time inspectors at the site and by reviewing detailed reports that the
respondent is required to file with the Ministry. In addition, the City of
Vaughan has established the Keele Valley Liaison Committee, which is meant to
provide a forum for community concerns related to the site. Until 1998, the
appellant participated regularly at meetings of the Liaison Committee.
Finally, the respondent maintains a telephone complaint system for members of
the community.
5
The appellant’s claim is that the Keele Valley landfill has unlawfully
been emitting, onto his own lands and onto the lands of other class members:
(a) large quantities of methane, hydrogen sulphide, vinyl chloride and
other toxic gases, obnoxious odours, fumes, smoke and airborne, bird-borne or
air-blown sediment, particulates, dirt and litter (collectively referred to as
“Physical Pollution”); and
(b) loud noises and strong vibrations (collectively referred to as
“Noise Pollution”);
The appellant
filed a motion for certification on November 28, 1997. In support of his
motion, the appellant pointed out that, in 1996, some 139 complaints were
registered with the respondent’s telephone complaint system. (Before this
Court, the appellant submitted that “at least 500” complaints were made “to
various governmental authorities between 1991 and 1996” (factum, at para. 7).)
The appellant also noted that, in 1996, the respondent was fined by the
Ministry of Environment in relation to the composting of grass clippings at a
facility located just north of the Keele Valley landfill. In the appellant’s
view, the class members form a well-defined group with a common interest vis-à-vis
the respondent, and the suit would be best prosecuted as a class action. The
appellant seeks, on behalf of the class, injunctive relief, $500 million in
compensatory damages and $100 million in punitive damages.
6
The respondent disputes the legitimacy of the appellant’s complaints and
disagrees that the suit should be permitted to proceed as a class action. The
respondent claims that it has monitored air emissions from the Keele Valley
site and the data confirm that “none of the air levels exceed Ministry of the
Environment trigger levels”. It notes that there are other possible sources
for the pollution of which the appellant complains, including an active quarry,
a private transfer station for waste, a plastics factory, and an asphalt
plant. In addition, some farms in the area have private compost operations.
The respondent also argues that the number of registered complaints – it says
that 150 people complained over the six-year period covered in the motion
record – is not high given the size of the class. Finally, it notes that, to
date, no claims have been made against the Small Claims Trust Fund.
II. Judgments
7
The motions judge, Jenkins J., found that the appellant had satisfied
each of the five certification requirements set out in s. 5(1) of the Class
Proceedings Act, 1992: (1998), 27 C.E.L.R. (N.S.) 48. He found that the
appellant’s statement of claim disclosed causes of action under s. 99 of the Environmental
Protection Act, R.S.O. 1990, c. E.19, and under the rule in Rylands v.
Fletcher (1868), L.R. 3 H.L. 330; that the appellant had defined an
identifiable class of two or more persons; that the issues of liability and
punitive damages were common to the class; and that a class action would be the
preferable procedure for resolving the complaints of the class. Finally, he
found that the appellant would be an adequate representative for the class and
that the appellant had set out a workable litigation plan. Though Jenkins J.
struck out the appellant’s claim for injunctive relief on the ground that
damages would be a sufficient remedy and rejected his claims under the Family
Law Act, R.S.O. 1990, c. F.3, on the grounds that the facts pleaded “cannot
. . . establish a basis for a claim for loss of care, guidance, and
companionship” (p. 62). Jenkins J. concluded that the appellant had satisfied
the certification requirements of s. 5(1). Accordingly he ordered that the
appellant be allowed to pursue his action as representative of the stated
class.
8
The Ontario Divisional Court, per O’Leary J., overturned the
certification order on the grounds that the appellant had not stated an
identifiable class and had not satisfied the commonality requirement: (1998),
42 O.R. (3d) 473. O’Leary J. interpreted the identifiable class requirement to
require that “there be a class that can all pursue the same cause of action”
against the defendant. He noted that “[t]o pursue such cause of action the
members of the class must have suffered the interference with use and enjoyment
of property complained of in the statement of claim” (p. 479). O’Leary J.
concluded that the appellant had not stated an identifiable class (at pp.
479-80):
[T]he evidence does not make it likely that th[e] 30,000 [class
members] suffered such interference. It cannot be assumed that the complaints
made to Toronto make it likely that the landfill was the cause of the odour or
thing complained about. . . . [E]ven if one were to assume that the Keele
Valley landfill site was the source of all the complaints, 150 people making complaints
over a seven-year period does not make it likely that some 30,000 persons had
their enjoyment of their property interfered with.
For the same
reasons, he concluded that the appellant had not satisfied the commonality
requirement, writing that “[b]ecause the class that was certified . . . bears
no resemblance to any group that was on the evidence likely injured by the
landfill operation, there are no apparent common issues relating to the members
of the class” (p. 480). O’Leary J. set aside the certification order without
prejudice to the plaintiff’s right to bring a fresh application on further
evidence.
9
The Court of Appeal for Ontario, per Carthy J.A., dismissed
Hollick’s appeal ((1999), 46 O.R. (3d) 257), agreeing with the Divisional Court
that commonality had not been established. Citing Bywater v. Toronto
Transit Commission (1998), 27 C.P.C. (4th) 172 (Ont. Ct. (Gen. Div.)),
Carthy J.A. noted that the definition of a class should not depend on the
merits of the litigation. However, he saw no bar to a court’s looking beyond
the pleadings to determine whether the certification criteria had been
satisfied. “If it were otherwise”, he noted, “any statement of claim alleging
the existence of an identifiable group of people would foreclose further
consideration by the court” (p. 264). Carthy J.A. acknowledged that a court
should not test the existence of a class by demanding evidence that each member
of the purported class have, individually, a claim on the merits. The court
should, however, demand “evidence to give some credence to the allegation that
. . . ‘there is an identifiable class . . .’” (p. 264) (emphasis
deleted).
10
Carthy J.A. did not find it necessary to resolve the issue of whether
the appellant had stated an identifiable class, because in his view the
appellant had not satisfied the commonality requirement. In Carthy J.A.’s
view, proof of nuisance was essential to each of the appellant’s claims.
Because a nuisance claim requires the plaintiff to make an individualized
showing of harm, there was no commonality between the class members. Carthy
J.A. wrote (at pp. 266-67):
This group of 30,000 people is not comparable to
patients with implants, the occupants of a wrecked train or those who have been
drinking polluted water. They are individuals whose lives have each been
affected, or not affected, in a different manner and degree and each may or may
not be able to hold the respondent liable for a nuisance. . . .
No common issue other than liability was suggested
and I cannot devise one that would advance the litigation.
Carthy J.A.
dismissed the appeal, affirming the Divisional Court’s order except insofar as
it would have allowed the appellant to bring a fresh application on further
evidence.
III. Legislation
11
Class Proceedings Act, 1992, S.O. 1992, c. 6
5. -- (1) The court shall certify a class
proceeding on a motion under section 2, 3 or 4 if,
(a) the pleadings or the notice of
application discloses a cause of action;
(b) there is an identifiable class of two or
more persons that would be represented by the representative plaintiff or
defendant;
(c) the claims or defences of the class
members raise common issues;
(d) a class proceeding would be the
preferable procedure for the resolution of the common issues; and
(e) there is a representative plaintiff or
defendant who,
(i) would fairly and adequately represent the
interests of the class,
(ii) has produced a plan for the proceeding that
sets out a workable method of advancing the proceeding on behalf of the class
and of notifying class members of the proceeding, and
(iii) does not have, on the common issues for the
class, an interest in conflict with the interests of other class members.
6. The court shall not refuse to certify a
proceeding as a class proceeding solely on any of the following grounds:
1. The relief claimed includes a claim for damages
that would require individual assessment after determination of the common
issues.
2. The relief claimed relates to separate
contracts involving different class members.
3. Different remedies are sought for different
class members.
4. The number of class members or the identity of
each class member is not known.
5. The class includes a subclass whose members
have claims or defences that raise common issues not shared by all class
members.
IV. Issues
12
Should the appellant be permitted to prosecute this action on behalf of
the class described in his statement of claim?
V. Analysis
13
Ontario’s Class Proceedings Act, 1992, like similar legislation
adopted in British Columbia and Quebec, allows a member of a class to prosecute
a suit on behalf of the class: see Ontario Class Proceedings Act, 1992,
s. 2(1); see also Quebec Code of Civil Procedure, R.S.Q., c. C-25, Book
IX; British Columbia Class Proceedings Act, R.S.B.C. 1996, c. 50. In
order to commence such a proceeding, the person who seeks to represent the
class must make a motion for an order certifying the action as a class
proceeding and recognizing him or her as the representative of the class: see Class
Proceedings Act, 1992, s. 2(2). Section 5 of the Act sets out five
criteria by which a motions judge is to assess whether the class should be
certified. If these criteria are satisfied, the motions judge is required to
certify the class.
14
The legislative history of the Class Proceedings Act, 1992, makes
clear that the Act should be construed generously. Before Ontario enacted the Class
Proceedings Act, 1992, class actions were prosecuted in Ontario under the
authority of Rule 12.01 of the Rules of Civil Procedure, R.R.O. 1990,
Reg. 194. That rule provided that
[w]here there are numerous persons having the same interest, one or
more of them may bring or defend a proceeding on behalf or for the benefit of
all, or may be authorized by the court to do so.
While that
rule allowed courts to deal with relatively simple class actions, it became
clear in the latter part of the 20th century that Rule 12.01 was not
well-suited to the kinds of complicated cases that were beginning to come
before the courts. These cases reflected “[t]he rise of mass production, the
diversification of corporate ownership, the advent of the mega-corporation, and
the recognition of environmental wrongs”: Western Canadian Shopping Centres
Inc. v. Dutton, [2001] 2 S.C.R. 534, 2001 SCC 46, at para. 26. They often
involved vast numbers of interested parties and complex, intertwined legal
issues – some common to the class, some not. While it would have been possible
for courts to accommodate moderately complicated class actions by reliance on their
own inherent power over procedure, this would have required courts to devise ad
hoc solutions to procedural complexities on a case-by-case basis: see Western
Canadian Shopping Centres, at para. 51. The Class Proceedings Act, 1992,
was adopted to ensure that the courts had a procedural tool sufficiently
refined to allow them to deal efficiently, and on a principled rather than ad
hoc basis, with the increasingly complicated cases of the modern era.
15
The Act reflects an increasing recognition of the important advantages
that the class action offers as a procedural tool. As I discussed at some
length in Western Canadian Shopping Centres (at paras. 27-29), class
actions provide three important advantages over a multiplicity of individual
suits. First, by aggregating similar individual actions, class actions serve
judicial economy by avoiding unnecessary duplication in fact-finding and legal
analysis. Second, by distributing fixed litigation costs amongst a large
number of class members, class actions improve access to justice by making
economical the prosecution of claims that any one class member would find too
costly to prosecute on his or her own. Third, class actions serve efficiency
and justice by ensuring that actual and potential wrongdoers modify their
behaviour to take full account of the harm they are causing, or might cause, to
the public. In proposing that Ontario adopt class action legislation, the
Ontario Law Reform Commission identified each of these advantages: see Ontario
Law Reform Commission, Report on Class Actions (1982), vol. I, at
pp. 117-45; see also Ministry of the Attorney General, Report of the
Attorney General’s Advisory Committee on Class Action Reform (February
1990), at pp. 16-18. In my view, it is essential therefore that courts not
take an overly restrictive approach to the legislation, but rather interpret
the Act in a way that gives full effect to the benefits foreseen by the
drafters.
16
It is particularly important to keep this principle in mind at the
certification stage. In its 1982 report, the Ontario Law Reform Commission
proposed that new class action legislation include a “preliminary merits test”
as part of the certification requirements. The proposed test would have
required the putative class representative to show that “there is a reasonable
possibility that material questions of fact and law common to the class will be
resolved at trial in favour of the class”: Report on Class Actions, supra,
vol. III, at p. 862. Notwithstanding the recommendation of the Ontario Law
Reform Commission, Ontario decided not to adopt a preliminary merits test.
Instead it adopted a test that merely requires that the statement of claim
“disclos[e] a cause of action”: see Class Proceedings Act, 1992, s.
5(1)(a). Thus the certification stage is decidedly not meant to be a test of
the merits of the action: see Class Proceedings Act, 1992, s. 5(5) (“An
order certifying a class proceeding is not a determination of the merits of the
proceeding”); see also Caputo v. Imperial Tobacco Ltd. (1997), 34 O.R.
(3d) 314 (Gen. Div.), at p. 320 (“any inquiry into the merits of the action
will not be relevant on a motion for certification”). Rather the certification
stage focuses on the form of the action. The question at the
certification stage is not whether the claim is likely to succeed, but whether
the suit is appropriately prosecuted as a class action: see generally Report
of the Attorney General’s Advisory Committee on Class Action Reform, at pp.
30-33.
17
With these principles in mind, I turn now to the case at bar. The issue
is whether the appellant has satisfied the certification requirements set out
in s. 5 of the Act. The respondent does not dispute that the appellant’s
statement of claim discloses a cause of action. The first question, therefore,
is whether there is an identifiable class. In my view, there is. The
appellant has defined the class by reference to objective criteria; a person is
a member of the class if he or she owned or occupied property inside a
specified area within a specified period of time. Whether a given person is a
member of the class can be determined without reference to the merits of the
action. While the appellant has not named every member of the class, it is
clear that the class is bounded (that is, not unlimited). There is, therefore,
an identifiable class within the meaning of s. 5(1)(b): see J. H. Friedenthal,
M. K. Kane and A. R. Miller, Civil Procedure (2nd ed. 1993), at pp.
726-27; Bywater, supra, at pp. 175-76; Western Canadian
Shopping Centres, supra, at para. 38.
18
A more difficult question is whether “the claims . . . of the class
members raise common issues”, as required by s. 5(1)(c) of the Class
Proceedings Act, 1992. As I wrote in Western Canadian Shopping Centres,
the underlying question is “whether allowing the suit to proceed as a
representative one will avoid duplication of fact-finding or legal analysis”.
Thus an issue will be common “only where its resolution is necessary to the
resolution of each class member’s claim” (para. 39). Further, an issue will
not be “common” in the requisite sense unless the issue is a “substantial
. . . ingredient” of each of the class members’ claims.
19
In this case there is no doubt that, if each of the class members has a
claim against the respondent, some aspect of the issue of liability is common
within the meaning of s. 5(1)(c). For any putative class member to prevail
individually, he or she would have to show, among other things, that the
respondent emitted pollutants into the air. At least this aspect of the
liability issue (and perhaps other aspects as well) would be common to all
those who have claims against the respondent. The difficult question, however,
is whether each of the putative class members does indeed have a claim – or at
least what might be termed a “colourable claim” – against the respondent. To
put it another way, the issue is whether there is a rational connection between
the class as defined and the asserted common issues: see Western Canadian
Shopping Centres, at para. 38 (“the criteria [defining the class] should
bear a rational relationship to the common issues asserted by all class
members”). In asserting that there is such a relationship, the appellant
points to the numerous complaints against the Keele Valley landfill filed with
the Ministry of Environment. In the appellant’s view, the large number of
complaints shows that many others in the putative class, if not all of them,
are similarly situated vis-à-vis the respondent. For its part the
respondent asserts that “150 people making complaints over a seven-year period
does not make it likely that some 30,000 persons had their enjoyment of their
property interfered with” (Divisional Court’s judgment, at pp. 479-80). The
respondent also quotes the Ontario Court of Appeal’s judgment (at p. 264),
which declined to find commonality on the grounds that
[i]n circumstances such as are described in the statement of claim one
would expect to see evidence of the existence of a body of persons seeking
recourse for their complaints, such as, a history of “town meetings”, demands,
claims against the no fault fund, [and] applications to amend the certificate
of approval . . . .
20
The respondent is of course correct to state that implicit in the
“identifiable class” requirement is the requirement that there be some rational
relationship between the class and common issues. Little has been said about
this requirement because, in the usual case, the relationship is clear from the
facts. In a single-incident mass tort case (for example, an airplane crash),
the scope of the appropriate class is not usually in dispute. The same is true
in product liability actions (where the class is usually composed of those who
purchased the product), or securities fraud actions (where the class is usually
composed of those who owned the stock). In a case such as this, however, the
appropriate scope of the class is not so obvious. It falls to the putative
representative to show that the class is defined sufficiently narrowly.
21
The requirement is not an onerous one. The representative need not show
that everyone in the class shares the same interest in the resolution of
the asserted common issue. There must be some showing, however, that the class
is not unnecessarily broad – that is, that the class could not be
defined more narrowly without arbitrarily excluding some people who share the
same interest in the resolution of the common issue. Where the class could be
defined more narrowly, the court should either disallow certification or allow
certification on condition that the definition of the class be amended: see W.
K. Branch, Class Actions in Canada (1996), at para. 4.205; Webb v.
K-Mart Canada Ltd. (1999), 45 O.R. (3d) 389 (S.C.J.) (claim for
compensation for wrongful dismissal; class definition overbroad because
included those who could be proven to have been terminated for just cause); Mouhteros
v. DeVry Canada Inc. (1998), 41 O.R. (3d) 63 (Gen. Div.) (claim against
school for misrepresentations about marketability of students after graduation;
class definition overinclusive because included students who had found work
after graduation).
22
The question arises, then, to what extent the class representative
should be allowed or required to introduce evidence in support of a
certification motion. The recommendations of the Ontario Law Reform
Commission’s 1982 report on this point should perhaps be given limited weight
because, as discussed above, those recommendations were made in the context of
a proposal that the certification stage include a preliminary merits test: see Report
on Class Actions, supra, vol. II, at pp. 422-26 (recommending that both
the representative plaintiff and the defendant be required, at the
certification stage, to file one or more affidavits setting out all the facts
upon which they intend to rely, and that the parties be permitted to examine
the deponents of any such affidavits). The 1990 report of the Attorney
General’s Advisory Committee is perhaps a better guide. That report suggests
that “[u]pon a motion for certification . . . , the representative plaintiff shall
and the defendant may serve and file one or more affidavits setting
forth the material facts upon which each intends to rely” (emphasis added): see
Report of the Attorney General’s Advisory Committee on Class Action
Reform, supra, at p. 33. In my view the Advisory Committee’s report
appropriately requires the class representative to come forward with sufficient
evidence to support certification, and appropriately allows the opposing party
an opportunity to respond with evidence of its own.
23
This appears to be the existing practice of Ontario courts. In Caputo,
supra, the representative brought a class action against cigarette
manufacturers claiming that they had knowingly misled the public about the
risks associated with smoking. In support of the certification motion, the
class representative filed only a solicitor’s affidavit based on information
and belief. The court held that the evidence adduced by the class
representative was insufficient to support certification, and that the
defendant manufacturers should be allowed to examine the individual class members
in order to obtain the information required to allow the court to decide the
certification motion. The “primary concern”, the court wrote, is “[t]he
adequacy of the record”, which “will vary in the circumstances of each case”
(p. 319).
24
In Taub v. Manufacturers Life Insurance Co. (1998), 40 O.R. (3d)
379 (Gen. Div.), the representative sought to bring a class action on behalf of
the residents in her apartment building, alleging that mould in the building
was exposing the residents to health risks. The representative provided no
evidence, however, suggesting that the mould had been found anywhere but in her
own apartment. The court wrote (at pp. 380-81) that “the CPA requires the
representative plaintiff to provide a certain minimum evidentia[ry] basis
for a certification order” (emphasis added). While the Class Proceedings
Act, 1992 does not require a preliminary merits showing, “the judge must be
satisfied of certain basi[c] facts required by s. 5 of the CPA as the basis for
a certification order” (p. 381).
25
I agree that the representative of the asserted class must show some
basis in fact to support the certification order. As the court in Taub
held, that is not to say that there must be affidavits from members of the
class or that there should be any assessment of the merits of the claims of
other class members. However, the Report of the Attorney General’s Advisory
Committee on Class Action Reform clearly contemplates that the class
representative will have to establish an evidentiary basis for certification:
see Report, at p. 31 (“evidence on the motion for certification should be
confined to the [certification] criteria”). The Act, too, obviously
contemplates the same thing: see s. 5(4) (“[t]he court may adjourn the motion
for certification to permit the parties to amend their materials or pleadings
or to permit further evidence”). In my view, the class representative must
show some basis in fact for each of the certification requirements set out in
s. 5 of the Act, other than the requirement that the pleadings disclose a cause
of action. That latter requirement is of course governed by the rule that a
pleading should not be struck for failure to disclose a cause of action unless
it is “plain and obvious” that no claim exists: see Branch, supra, at
para. 4.60.
26
In my view the appellant has met his evidentiary burden here. Together
with his motion for certification, the appellant submitted some 115 pages of
complaint records, which he obtained from the Ontario Ministry of Environment
and Energy and the Toronto Metropolitan Works Department. The records of the
Ministry of Environment and Energy document almost 300 complaints between July
1985 and March 1994, approximately 200 complaints in 1995, and approximately
150 complaints in 1996. The Metropolitan Works Department records document
almost 300 complaints between July 1983 and the end of 1993. As some people
may have registered their complaints with both the Ministry of Environment and
Energy and the Metropolitan Works Department, it is difficult to determine
exactly how many separate complaints were brought in any year. It is
sufficiently clear, however, that many individuals besides the appellant were
concerned about noise and physical emissions from the landfill. I note,
further, that while some areas within the geographical area specified by the
class definition appear to have been the source of a disproportionate number of
complaints, complaints were registered from many different areas within the
specified boundaries. I conclude, therefore, that the appellant has shown a
sufficient basis in fact to satisfy the commonality requirement.
27
I cannot conclude, however, that “a class proceeding would be the
preferable procedure for the resolution of the common issues”, as required by
s. 5(1)(d). The parties agree that, in the absence of legislative guidance,
the preferability inquiry should be conducted through the lens of the three principal
advantages of class actions – judicial economy, access to justice, and
behaviour modification: see also Abdool v. Anaheim Management Ltd.
(1995), 21 O.R. (2d) 453 (Div. Ct.); compare British Columbia Class
Proceedings Act, s. 4(2) (listing factors that court must consider in
assessing preferability). Beyond that, however, the appellant and respondent
part ways. In oral argument before this Court, the appellant contended that
the court must look to the common issues alone, and ask whether the common
issues, taken in isolation, would be better resolved in a class action rather
than in individual proceedings. In response, the respondent argued that the
common issues must be viewed contextually, in light of all the issues – common
and individual – raised by the case. The respondent also argued that the
inquiry should take into account the availability of alternative avenues of
redress.
28
The report of the Attorney General’s Advisory Committee makes clear that
“preferable” was meant to be construed broadly. The term was meant to capture
two ideas: first the question of “whether or not the class proceeding [would
be] a fair, efficient and manageable method of advancing the claim”, and
second, the question of whether a class proceeding would be preferable “in the
sense of preferable to other procedures such as joinder, test cases,
consolidation and so on”: Report of the Attorney General’s Advisory
Committee on Class Action Reform, supra, at p. 32. In my view, it
would be impossible to determine whether the class action is preferable in the
sense of being a “fair, efficient and manageable method of advancing the claim”
without looking at the common issues in their context.
29
The Act itself, of course, requires only that a class action be the
preferable procedure for “the resolution of the common issues” (emphasis
added), and not that a class action be the preferable procedure for the
resolution of the class members’ claims. I would not place undue weight,
however, on the fact that the Act uses the phrase “resolution of the common
issues” rather than “resolution of class members’ claims”. As one commentator
writes:
The [American] class action [rule] requires that the class action be
the superior method to resolve the “controversy.” The B.C. and Ontario Acts
require that the class proceeding be the preferable procedure for the
resolution of the “common issues” (as opposed to the entire controversy).
[This] distinctio[n] can be seen as creating a lower threshold for
certification in Ontario and B.C. than in the U.S. However, it is still
important in B.C. and Ontario to assess the litigation as a whole, including
the individual hearing stage, in order to determine whether the class action is
the preferable means of resolving the common issues. In the abstract, common
issues are always best resolved in a common proceeding. However, it is
important to adopt a practical cost-benefit approach to this procedural issue,
and to consider the impact of a class proceeding on class members, the
defendants, and the court.
See Branch, supra,
at para. 4.690. I would endorse that approach.
30
The question of preferability, then, must take into account the
importance of the common issues in relation to the claims as a whole. It is
true, of course, that the Act contemplates that class actions will be allowable
even where there are substantial individual issues: see s. 5. It is also true
that the drafters rejected a requirement, such as is contained in the American
federal class action rule, that the common issues “predominate” over the
individual issues: see Federal Rules of Civil Procedure, Rule 23(b)(3)
(stating that class action maintainable only if “questions of law or fact
common to the members of the class predominate over any questions affecting
only individual members”); see also British Columbia Class Proceedings Act,
s. 4(2)(a) (stating that, in determining whether a class action is the
preferable procedures, the court must consider “whether questions of fact or
law common to the members of the class predominate over any questions affecting
only individual members”). I cannot conclude, however, that the drafters
intended the preferability analysis to take place in a vacuum. There must be a
consideration of the common issues in context. As the Chair of the Attorney
General’s Advisory Committee put it, the preferability requirement asks that
the class representative “demonstrate that, given all of the circumstances
of the particular claim, [a class action] would be preferable to other
methods of resolving these claims and, in particular, that it would be
preferable to the use of individual proceedings” (emphasis added): M. G.
Cochrane, Class Actions: A Guide to the Class Proceedings Act, 1992 (1993),
at p. 27.
31
I think it clear, too, that the court cannot ignore the availability of
avenues of redress apart from individual actions. As noted above, the
preferability requirement was intended to capture the question of whether a
class proceeding would be preferable “in the sense of preferable to other
procedures such as joinder, test cases, consolidation and so on”: see Report
of the Attorney General’s Advisory Committee on Class Action Reform, supra,
at p. 32; see also Cochrane, supra, at p. 27; M. A. Eizenga, M. J.
Peerless and C. M. Wright, Class Actions Law and Practice (loose-leaf),
at para. 3.62 (“[a]s part of the determination with respect to preferability,
it is appropriate for the court to review alternative means of adjudicating the
dispute which is before it”). In my view, the preferability analysis requires
the court to look to all reasonably available means of resolving the class
members’ claims, and not just at the possibility of individual actions.
32
I am not persuaded that the class action would be the preferable means
of resolving the class members’ claims. Turning first to the issue of judicial
economy, I note that any common issue here is negligible in relation to the
individual issues. While each of the class members must, in order to recover,
establish that the Keele Valley landfill emitted physical or noise pollution,
there is no reason to think that any pollution was distributed evenly across
the geographical area or time period specified in the class definition. On the
contrary, it is likely that some areas were affected more seriously than
others, and that some areas were affected at one time while other areas were
affected at other times. As the Divisional Court noted, “[e]ven if one
considers only the 150 persons who made complaints – those complaints relate to
different dates and different locations spread out over seven years and 16
square miles” (p. 480). Some class members are close to the site, some are
further away. Some class members are close to other possible sources of
pollution. Once the common issue is seen in the context of the entire claim,
it becomes difficult to say that the resolution of the common issue will
significantly advance the action.
33
Nor would allowing a class action here serve the interests of access to
justice. The appellant posits that class members’ claims may be so small that
it would not be worthwhile for them to pursue relief individually. In many
cases this is indeed a real danger. As noted above, one important benefit of
class actions is that they divide fixed litigation costs over the entire class,
making it economically feasible to prosecute claims that might otherwise not be
brought at all. I am not fully convinced, however, that this is the situation
here. The central problem with the appellant’s argument is that, if it is in
fact true that the claims are so small as to engage access to justice concerns,
it would seem that the Small Claims Trust Fund would provide an ideal avenue of
redress. Indeed, since the Small Claims Trust Fund establishes a no-fault
scheme, it is likely to provide redress far more quickly than would the
judicial system. If, on the other hand, the Small Claims Trust Fund is not
sufficiently large to handle the class members’ claims, one must question
whether the access to justice concern is engaged at all. If class members have
substantial claims, it is likely that they will find it worthwhile to bring
individual actions. The fact that no claims have been made against the Small
Claims Trust Fund may suggest that the class members claims are either so small
as to be non-existent or so large as to provide sufficient incentive for
individual action. In either case access to justice is not a serious concern.
Of course, the existence of a compensatory scheme under which class members can
pursue relief is not in itself grounds for denying a class action – even if the
compensatory scheme promises to provide redress more quickly: see Rumley v.
British Columbia, [2001] 3 S.C.R. 184, 2001 SCC 69, at para. 38. The
existence of such a scheme, however, provides one consideration that must be
taken into account when assessing the seriousness of access-to-justice
concerns.
34
For similar reasons I would reject the argument that behaviour
modification is a significant concern in this case. Behavioural modification
may be relevant to determining whether a class action should proceed. As noted
in Western Canadian Shopping Centres, supra, at para. 29, “[w]ithout
class actions, those who cause widespread but individually minimal harm might
not take into account the full costs of their conduct, because for any one
plaintiff the expense of bringing suit would far exceed the likely recovery”.
This concern is certainly no less pressing in the context of environmental
litigation. Indeed, Ontario has enacted legislation that reflects a
recognition that environmental harm is a cost that must be given due weight in
both public and private decision-making: see Environmental Bill of Rights,
1993, S.O. 1993, c. 28, and Environmental Protection Act. I am not
persuaded, however, that allowing a class action here would serve that end. If
individual class members have substantial claims against the respondent, we
should expect that they will be willing to prosecute those claims individually;
on the other hand if their claims are small, they will be able to obtain
compensation through the Small Claims Trust Fund. In either case, the
respondent will be forced to internalize the costs of its conduct.
35
I would note, further, that Ontario’s environmental legislation provides
other avenues by which the complainant here could ensure that the respondent
takes full account of the costs of its actions. While the existence of such
legislation certainly does not foreclose the possibility of environmental class
actions, it does go some way toward addressing legitimate concerns about
behaviour modification: see Environmental Bill of Rights, 1993, ss.
61(1) (stating that “[a]ny two persons resident in Ontario who believe that an
existing policy, Act, regulation or instrument of Ontario should be amended,
repealed or revoked in order to protect the environment may apply to the
Environmental Commissioner for a review of the policy, Act, regulation or
instrument by the appropriate minister”) and 74(1) (stating that “[a]ny two
persons resident in Ontario who believe that a prescribed Act, regulation or
instrument has been contravened may apply to the Environmental Commissioner for
an investigation of the alleged contravention by the appropriate minister”); Environmental
Protection Act, s. 14(1) (stating that “[d]espite any other provision of
this Act or the regulations, no person shall discharge a contaminant or cause
or permit the discharge of a contaminant into the natural environment that
causes or is likely to cause an adverse effect”); s. 172(1) (stating that
“[w]here a person complains that a contaminant is causing or has caused injury
or damage to livestock or to crops, trees or other vegetation which may result
in economic loss to such person, the person may, within fourteen days after the
injury or damage becomes apparent, request the Minister to conduct an
investigation”); and s. 186(1) (stating that “[e]very person who contravenes
this Act or the regulations is guilty of an offence”).
36
I conclude that the action does not meet the requirements set out in s.
5(1) of Ontario’s Class Proceedings Act, 1992. Even on the generous
approach advocated above, the appellant has not shown that a class action is
the preferable means of resolving the claims raised here.
37
I should make one note on the scope of the holding in this case. The
appellant took pains to characterize this case as raising the issue of whether
Ontario’s Class Proceedings Act, 1992 permits environmental class actions.
I would not frame the issue so broadly. While the appellant has not met the
certification requirements here, it does not follow that those requirements
could never be met in an environmental tort case. The question of whether an
action should be permitted to be prosecuted as a class action is necessarily
one that turns on the facts of the case. In this case there were serious
questions about preferability. Other environmental tort cases may not raise
the same questions. Those cases should be decided on their facts.
38
The appeal is dismissed. There will be no costs to either party.
Appeal dismissed.
Solicitors for the appellant: McGowan & Associates,
Toronto.
Solicitor for the respondent: H. W. O. Doyle, Toronto.
Solicitors for the interveners Friends of the Earth, West Coast
Environmental Law Association and Canadian Association of Physicians for the
Environment: Sierra Legal Defence Fund, Toronto.
Solicitors for the intervener the Environmental Commissioner of
Ontario: McCarthy Tétrault and David McRobert, Toronto.
Solicitor for the intervener the Law Foundation of Ontario: Mark M.
Orkin, Toronto.