SUPREME
COURT OF CANADA
Between:
Attorney
General of Canada
Appellant
and
Attorney
General of Quebec
Respondent
-
and -
Attorney
General of New Brunswick,
Attorney
General for Saskatchewan,
Attorney
General of Alberta, Michael Awad,
Canadian
Conference of Catholic Bishops
and
Evangelical Fellowship of Canada
Interveners
Official
English Translation: Reasons of LeBel and Deschamps
JJ.
Coram: McLachlin C.J. and Binnie, LeBel, Deschamps, Fish, Abella,
Charron, Rothstein and Cromwell JJ.
Reasons for
Judgment:
(paras. 1 to 156)
Joint Reasons
for Judgment:
(paras. 157 to 281)
Reasons for
Judgment:
(paras. 282 to 294)
|
McLachlin C.J. (Binnie, Fish and Charron JJ. concurring)
LeBel and Deschamps JJ. (Abella and Rothstein JJ.
concurring)
Cromwell J.
|
Reference
re Assisted Human Reproduction Act ,
2010 SCC 61, [2010] 3 S.C.R. 457
Attorney
General of Canada Appellant
v.
Attorney
General of Quebec Respondent
and
Attorney General of New Brunswick,
Attorney General for Saskatchewan,
Attorney General of Alberta, Michael Awad,
Canadian Conference of Catholic Bishops
and Evangelical Fellowship of Canada Interveners
Indexed as: Reference
re Assisted Human Reproduction Act
2010 SCC 61
File No.: 32750.
2009: April 24; 2010: December 22.
Present: McLachlin C.J. and Binnie, LeBel,
Deschamps, Fish, Abella, Charron, Rothstein and Cromwell JJ.
on appeal from the court of appeal for quebec
Constitutional law ― Division of powers
― Criminal law ― Assisted reproduction ― Whether ss. 8
to 19, 40 to 53, 60, 61 and 68 of Assisted Human Reproduction Act, S.C. 2004,
c. 2 , exceed legislative authority of Parliament under s. 91(27) of Constitution
Act, 1867 .
In 1989, the federal government established the
Royal Commission on New Reproductive Technologies (the “Baird Commission”) to
study assisted human reproduction. In its report, the Baird Commission
expressed concern about certain practices in the field and pressed for
legislation. Between 1993 and 1995, the federal government consulted with the
provinces, the territories and independent groups for advice on the issue, and
the result was the passage of the Assisted Human Reproduction Act in
2004. The Act contains prohibitions and other provisions designed to
administer and enforce them. It is set up as follows:
(1) Sections 5 to 9 prohibit human
cloning, the commercialization of human reproductive material and the
reproductive functions of women and men, and the use of in vitro embryos
without consent. (2) Sections 10 to 13 prohibit various activities
unless they are carried out in accordance with regulations made under the Act,
under licence and in licensed premises. These “controlled activities” involve
manipulation of human reproductive material or in vitro embryos,
transgenic engineering and reimbursement of the expenditures of donors and
surrogate mothers. (3) Sections 14 to 19 set up a system of
information management related to assisted reproduction. (4) Sections 20
to 39 establish the Assisted Human Reproduction Agency of Canada.
(5) Sections 40 to 59 charge the Agency with administering and
enforcing the Act and regulations, and authorize it to issue licences for
certain activities related to assisted reproduction. (6) Sections 60
and 61 provide for penalties, (7) ss. 65 to 67 authorize the
promulgation of regulations, and (8) s. 68 gives the Governor in
Council power to exempt the operation of certain provisions if there are
equivalent provincial laws in force that cover the field.
The Attorney General of Quebec accepted that
some of the provisions were valid criminal law, but challenged the
constitutionality of the balance of the Act in a reference to the Quebec Court
of Appeal. According to the Attorney General of Quebec, ss. 8 to 19, 40
to 53, 60, 61 and 68 are attempts to regulate the whole sector of medical
practice and research related to assisted reproduction, and are ultra vires the
federal government. The Quebec Court of Appeal held that the impugned sections
were not valid criminal law since their pith and substance was the regulation
of medical practice and research in relation to assisted reproduction.
Held: The appeal
should be allowed in part.
Sections 8, 9, 12,
19 and 60 of the Act are constitutional.
Sections 10, 11, 13, 14 to 18, 40(2), (3),
(3.1), (4) and (5), and 44(2) and (3) exceed the legislative authority of
the Parliament of Canada under the Constitution Act, 1867 .
Sections 40(1), (6) and (7), 41 to 43, 44(1) and (4), 45 to 53, 61 and
68 are constitutional to the extent that they relate
to constitutionally valid provisions.
Per McLachlin C.J.
and Binnie, Fish and Charron JJ.: The Act is essentially a series of
prohibitions, followed by a set of subsidiary provisions for their
administration. While the Act will have beneficial effects and while some of
its effects may impact on provincial matters, neither its dominant purpose nor
its dominant effect is to set up a regime that regulates and promotes the
benefits of artificial reproduction. The fact that the Baird Commission may
have referred to positive aspects of assisted reproduction technology in its
report does not establish that these benefits were the focus of Parliament’s
efforts. Furthermore, while the Act employs both a
penal and regulatory form, Parliament may validly employ regulations as part of
a criminal law provided it targets a legitimate criminal law purpose.
Here, the
matter of the statutory scheme, viewed as a whole, is a valid exercise of the
federal power over criminal law. The dominant purpose and effect of the
legislative scheme is to prohibit practices that would undercut moral values,
produce public health evils, and threaten the security of donors, donees, and
persons conceived by assisted reproduction. While this initiative necessarily
touches on provincial jurisdiction over medical research and practice, these
fields are the subject of overlapping federal and provincial jurisdiction.
Parliament has a strong interest in ensuring that basic moral standards govern
the creation and destruction of life, as well as their impact on persons like
donors and mothers. The Act seeks to avert serious damage to the fabric of our
society by prohibiting practices that tend to devalue human life and degrade
participants. Overlapping with the morality concerns are concerns for public
health and security which may be properly targeted by criminal law. These are valid criminal law purposes.
The prohibitions in ss. 8 to 13 come within
the scope of the federal criminal law power and are valid criminal law. The
provisions are related to ss. 5 to 7, which are conceded to be valid
criminal law. Section 8 prohibits the use of reproductive material for
the artificial creation of embryos, unless the donor has consented in
accordance with the regulations. This relates to the fundamental importance
ascribed to human autonomy. Section 9 prohibits persons from obtaining
reproductive material from underage donors, except for the purpose of
preserving the sperm or ovum or for the purpose of creating a human being that
the person reasonably believes will be raised by the donor. This provision
seeks to protect vulnerable youth from exploitation and undue pressure. It is
an absolute prohibition like ss. 5 to 7, without any accompanying
regulations.
Sections 10 and 11 buttress the prohibitions in
s. 5. In essence, s. 10 prohibits dealing with human reproductive
material without a licence. It targets health risks and moral concerns related
to the artificial creation of human life. Section 11 prohibits transgenic
engineering unless permitted by the regulations and performed by a licence‑holder.
By using a selective prohibition to broaden the absolute prohibitions in
s. 5 on the creation of chimeras and hybrid entities, s. 11 recognizes
that mixing human and non‑human genetic material can raise moral concerns
long before such experiments result in the creation of a new life form. Working
together, licensing and regulation provide for enforceable, tailored
prohibitions, which leave the provinces free to regulate the beneficial aspects
of genetic manipulation.
Section 12 prohibits reimbursement of
donors and surrogate mothers except in accordance with the regulations and with
a licence. This provision is rooted in the same concerns as ss. 6 and 7,
which prohibit the commercialization of reproduction. Section 13 is an
absolute prohibition on the performance of licensed activities in unlicensed
premises, backed by a penalty. The artificial creation of human life in
clandestine facilities would pose serious health risks to those involved.
Ensuring that the facilities of assisted human reproduction are properly
supervised also relates to Parliament’s moral concerns.
Together with ss. 5 to 7, ss. 8 to 13
form a valid prohibition regime that is consistent with the objectives of the
Act as a whole. These provisions contain prohibitions, backed by penalties,
and are directed in pith and substance to valid criminal law goals. Although
some of the prohibitions impact on the regulation of medical research and
practice, the impact is incidental to the legislation’s dominant criminal law purpose
and limited to those ends. Furthermore, subject to the Act’s prohibitions, the
provinces are free to enact legislation promoting beneficial practices in the
field of assisted reproduction.
While not criminal law in pith and substance,
the administrative, organizational, and enforcement provisions in ss. 14
to 68 are integrated into the prohibition regime set up by ss. 5 to 13.
Some of these ancillary provisions are criminal in nature and do not
significantly intrude on provincial powers, such as the provisions for
enforcement (ss. 45 to 59), promulgation of regulations (ss. 65 to
67), and imposition of penalties (ss. 60 and 61). The organizational
provisions in ss. 20 to 39 are also essentially part of the criminal
prohibitions in ss. 5 to 13. The information management provisions in
ss. 14 to 19 and the administrative provisions in ss. 40 to 44
represent a minor incursion on provincial powers. They generally fall under
the provincial powers over property and civil rights and matters of a merely
local or private nature. However, since these are very broad heads of power,
the intrusion is less serious. Moreover, the provisions do not purport to
create a substantive right, but function merely to assist in enforcing the
Act. Without the prohibition regime in ss. 5 to 13, they would serve no
purpose. Furthermore, the provisions are designed to supplement, rather than
exclude, provincial legislation. Finally, Parliament has a history of
administering and enforcing statutes addressing issues of morality, health and
security by way of licensing bodies. Since the ancillary provisions constitute
a minor incursion on provincial jurisdiction, the rational and functional
connection test should be applied to determine whether they are valid under the
ancillary powers doctrine.
Sections 14 to 68 support the legislative
scheme in a way that is rational in purpose and functional in effect.
Sections 14 to 19 define standards of consent and privacy, charge the
Agency with managing personal health information, and establish rules for the
medical profession. These provisions harness the flow of information, first to
deal appropriately with consent and related privacy issues, and second to
facilitate compliance with the Act. Sections 40 to 44 relate to the
issuance of licences for controlled activities, and are directly related to
prohibiting harmful and immoral conduct while excepting beneficial activity.
The provisions relating to inspection and enforcement found in ss. 45 to
59 are also part and parcel of the scheme prohibiting immoral and potentially
harmful uses of human reproductive material. Sections 60 and 61, which
provide penal sanctions, are necessary for criminal law provisions. Finally,
s. 68 permits the Governor in Council to declare provisions of the Act
inapplicable in a province where a provincial law contains similar provisions,
pursuant to an agreement with that province. This provision recognizes the
fact that assisted human reproduction is an area of overlapping jurisdiction,
and allows provincial schemes to govern exclusively where provincial laws are
equivalent to the federal scheme. The ancillary provisions are thus valid
under the ancillary powers doctrine.
Per
LeBel, Deschamps, Abella and Rothstein JJ.: Sections 8
to 19, 40 to 53, 60, 61 and 68 of the Act exceed the legislative authority of
the Parliament of Canada under the Constitution Act, 1867 . The
provisions of the Act concerning controlled activities, namely those involving
assistance for human reproduction and related research activities, do not fall
under the criminal law power, but belong to the jurisdiction of the provinces
over hospitals, property and civil rights, and matters of a merely local
nature.
The first step of the constitutional analysis
involves identifying the pith and substance (purpose and effects) of the
impugned provisions. Those provisions must be considered separately before
considering their connection with the other provisions of the Act, since the
purposes and effects of a statute’s many provisions can be different. It is
also important to identify the pith and substance of the impugned provisions as
precisely as possible, since a vague characterization could lead not only to
the dilution of and confusion with respect to the constitutional doctrines, but
also to an erosion of the scope of provincial powers as a result of the federal
paramountcy doctrine. If the pith and substance of the provisions falls within
the jurisdiction of the other level of government, it is necessary first to
assess the extent of the overflow in light of the purpose of the provisions and
to weigh their effects. It must then be determined whether the provisions form
part of an otherwise valid statute. Finally, the impugned provisions must be
considered in the context of the entire statute in order to determine whether
they are sufficiently integrated with the other provisions of the otherwise
valid statute. This review must make it possible to establish a relationship
between the extent of the jurisdictional overflow and the importance of the
provisions themselves within the statute of which they form a part. There are
two applicable concepts: functionality and necessity. The more necessary the
provisions are to the effectiveness of the rules set out in the part of the
statute that is not open to challenge, the greater the acceptable overflow will
be. Care must be taken to maintain the constitutional balance of powers at all
stages of the constitutional analysis.
In this case, the purpose and the effects of the
impugned provisions relate to the regulation of a specific type of health
services provided in health‑care institutions by professionals to
individuals who for pathological or physiological reasons need help to
reproduce. Their pith and substance is the regulation of assisted human
reproduction as a health service. In the Act, substantive and formal
distinctions are drawn between prohibited activities and controlled
activities. This dichotomy appears clearly from Parliament’s statement of
principles in s. 2 and from the titles used in the Act itself. Furthermore,
whereas the category of controlled activities concerns services that are
available to persons in need of assistance because of an inability to reproduce
and that are used by professionals who provide the required help, the
activities that are prohibited completely do not involve techniques used in
assisted human reproduction. The impugned provisions do not have the same
purpose as the unchallenged provisions. They were enacted to establish
mandatory national standards for assisted human reproduction. As can be seen
from the legislative history, this was how Parliament believed that the
benefits of assisted human reproductive technologies and related research for
individuals, for families and for society in general could be most effectively
secured. When it decided to regulate what are
called “controlled” activities, Parliament took into account the concerns
expressed about the ethical and moral aspects and the safety of assisted
reproductive activities. And in so doing it intended to implement a recommendation
from the Baird Commission in order to ensure that Canadians could have access
to assisted reproduction services. Regarding the
activities that are prohibited completely, Parliament responded to what
was presented to it as a consensus that they are reprehensible. Those
prohibitions are therefore intended to prevent activities and the use of
technologies that do not form part of the process of genetic research or
assisted human reproduction.
A review of the effects of the provisions of the
Act confirms that the impugned scheme seriously affects the practice of
medicine and overlaps or conflicts with many Quebec statutes and regulations.
The impugned provisions have a direct impact on the relationship between
physicians called upon to use assisted reproductive technologies, donors, and
patients. Section 8 sets out rules on consent for the removal and use of
human reproductive material, even though rules on consent already exist in the Civil
Code of Québec. Similarly, s. 12 implicitly authorizes surrogacy
contracts, whereas the Code provides that such contracts are null.
Moreover, ss. 10, 11, 13, 40(1) and 42 require researchers and physicians
who engage in activities related to treatments for infertility to obtain licences
from the Federal Agency even though other Quebec legislation already requires
them to obtain permits. Sections 14 to 19 establish a system for the
management and disclosure of information relating to assisted reproductive
activities, but Quebec already has its own rules governing the use of assisted
reproductive technologies by health‑care institutions and physicians, and
the disclosure of confidential information is also subject to provisions of
several Quebec statutes and regulations. Finally, the oversight by the Federal
Agency under ss. 45 to 53 duplicates the oversight provided for in other
Quebec statutes.
The impugned provisions, viewed from the
perspective of their pith and substance, are not connected with the federal
criminal law power. The criminal law power does not give Parliament an
unconditional right to take action to protect morality, safety and public
health. To be connected with this federal head of power, a law or a provision
must (1) suppress an evil, (2) establish a prohibition and (3) accompany
that prohibition with a penalty. It is not enough to
identify a public purpose that would have justified Parliament’s action. That
purpose must also involve suppressing an evil or safeguarding a threatened
interest. The evil must be real and the apprehension of harm must be
reasonable. This requirement constitutes an essential element of the
substantive component of the definition of criminal law, and it applies with
equal force where the legislative action is based on morality. Recourse to the
criminal law power cannot be based solely on concerns for efficiency or
consistency, as such concerns, viewed in isolation, do not fall under the
criminal law. In the case at bar, although a connection can be made between
the pith and substance of the absolute prohibitions and a risk of harm, the
same cannot be said of the regulation of the other activities and of the
regulatory scheme that is established in the Act. Nothing in the record
suggests that the controlled activities should be regarded as conduct that is reprehensible
or represents a serious risk to morality, safety or public health. A review of
all the work of the Baird Commission and the evidence confirms that, where the
impugned provisions are concerned, Parliament’s action did not have the purpose
of upholding morality and was not based on a reasoned apprehension of harm, but was instead intended to establish national
standards for assisted human reproduction.
The impugned provisions represent an overflow of
the exercise of the federal criminal law power. Their pith and substance is
connected with the provinces’ exclusive jurisdiction over hospitals, property
and civil rights, and matters of a merely local nature.
The impugned provisions affect rules with respect to the management of
hospitals, since Parliament has provided that the Act applies to all premises
in which controlled activities are undertaken.
Furthermore, the fact that several of the impugned provisions concern
subjects that are already governed by the Civil Code of Québec and other
Quebec legislation is an important indication that in pith and substance, the
provisions lie at the very core of the provinces’ jurisdiction over civil
rights and local matters.
Given the extent of the overflow in this case,
it cannot be found that an ancillary power has been validly exercised unless
the impugned provisions have a relationship of necessity with the rest of the
statute. However, the scheme established by the prohibitory provisions does
not depend on the existence of the regulatory scheme. As well, it is clear
from the legislative history that the prohibitory provisions were in fact
always considered to stand alone and that the regulation of certain activities
did not depend on the prohibition of other activities. It must be inferred from this that in setting up the
regulatory scheme, Parliament’s intention was to enact legislation in relation
to a matter outside its jurisdiction.
The provisions pursuant to
which the Federal Agency is responsible for implementing the regulatory scheme
are purely ancillary and have no independent purpose. They are invalid.
Furthermore, the constitutional defects are not remedied by s. 68, which
authorizes the Governor in Council to declare certain provisions inapplicable
if the federal minister and the government of a province so agree, as the
jurisdictional overflow remains just as great as long as regulation of the
activities in question remains dependent on the will of the federal
government. Finally, if the principle of subsidiarity
were to play a role in the case at bar, it would favour connecting the rules in
question with the provinces’ jurisdiction over local matters, not with the
criminal law power.
Per Cromwell J.:
The matter of the impugned provisions is regulation of
virtually every aspect of research and clinical practice in relation to
assisted human reproduction. The matter of the challenged provisions is best
classified as relating to the establishment, maintenance and management of
hospitals, property and civil rights in the province and matters of a merely
local or private nature in the province. Sections 10, 11, 13, 14 to 18,
40(2), (3), (3.1), (4) and (5), and 44(2) and (3) exceed the legislative
authority of the Parliament of Canada under the Constitution Act, 1867 .
However, ss. 8, 9 and 12 in purpose and effect prohibit negative practices
associated with assisted reproduction and fall within the traditional ambit of
the federal criminal law power. Similarly, ss. 40(1), (6) and (7), 41 to
43, and 44(1) and (4) set up the mechanisms to
implement s. 12 and, to the extent that they
relate to provisions of the Act which are constitutional, were properly
enacted by Parliament. Sections 45 to 53 , to the extent that they deal with inspection and enforcement in relation to constitutionally
valid provisions of the Act, are also properly enacted under the
criminal law power. The same is true for ss. 60 and 61 , which create
offences. Section 68 is also
constitutional, although its operation will be limited to constitutional
sections of the Act. Given that the other provisions establishing the Assisted
Human Reproduction Agency of Canada are not contested, there is no
constitutional objection to s. 19 .
Cases Cited
By McLachlin C.J.
Referred to: General Motors of Canada Ltd. v. City
National Leasing, [1989] 1
S.C.R. 641; Kirkbi AG v. Ritvik Holdings Inc., 2005 SCC 65, [2005] 3
S.C.R. 302; Kitkatla Band v. British Columbia (Minister of Small Business,
Tourism and Culture), 2002 SCC 31, [2002] 2 S.C.R. 146; Ward v. Canada
(Attorney General), 2002 SCC 17, [2002] 1 S.C.R. 569; Reference re
Employment Insurance Act (Can.), ss. 22 and 23, 2005 SCC 56, [2005] 2
S.C.R. 669; Attorney General of Canada v. Canadian
National Transportation Ltd., [1983] 2 S.C.R. 206; Attorney‑General
for Alberta v. Attorney‑General for Canada, [1947] A.C. 503; Canadian
Western Bank v. Alberta, 2007 SCC 22, [2007] 2 S.C.R. 3; Reference re
Anti‑Inflation Act, [1976] 2 S.C.R. 373; Reference re Firearms Act
(Can.), 2000 SCC 31, [2000] 1 S.C.R. 783; R. v. Morgentaler, [1993]
3 S.C.R. 463; R. v. Furtney, [1991] 3 S.C.R. 89; RJR‑MacDonald Inc.
v. Canada (Attorney General), [1995] 3 S.C.R. 199; R. v. Hydro‑Québec,
[1997] 3 S.C.R. 213; Rothmans, Benson & Hedges Inc. v. Saskatchewan,
2005 SCC 13, [2005] 1 S.C.R. 188; Irwin Toy Ltd. v. Quebec (Attorney
General), [1989] 1 S.C.R. 927; Ross v. Registrar of Motor Vehicles,
[1975] 1 S.C.R. 5; In re The Board of Commerce Act, 1919, and The Combines
and Fair Prices Act, 1919, [1922] 1 A.C. 191; Proprietary Articles Trade
Association v. Attorney‑General for Canada, [1931] A.C. 310; Reference
re Validity of Section 5(a) of the Dairy Industry Act, [1949] S.C.R.
1; Boggs v. The Queen, [1981] 1 S.C.R. 49; R. v. Wetmore,
[1983] 2 S.C.R. 284; R. v. Malmo‑Levine, 2003 SCC 74, [2003] 3
S.C.R. 571; R. v. Butler, [1992] 1 S.C.R. 452; Russell v. The Queen
(1882), 7 App. Cas. 829; Schneider v. The Queen, [1982] 2 S.C.R. 112; Morgentaler
v. The Queen, [1976] 1 S.C.R. 616; 114957 Canada Ltée (Spraytech,
Société d’arrosage) v. Hudson (Town), 2001 SCC 40, [2001] 2 S.C.R. 241; Monsanto
Canada Inc. v. Ontario (Superintendent of Financial Services), 2004 SCC 54,
[2004] 3 S.C.R. 152; Siemens v. Manitoba (Attorney General), 2003 SCC 3,
[2003] 1 S.C.R. 6; Global Securities Corp. v. British Columbia (Securities
Commission), 2000 SCC 21, [2000] 1 S.C.R. 494; Reference re Goods and
Services Tax, [1992] 2 S.C.R. 445; Papp v. Papp, [1970] 1 O.R. 331; OPSEU v. Ontario (Attorney General), [1987] 2 S.C.R. 2; Lord’s
Day Alliance of Canada v. Attorney General of British Columbia, [1959] S.C.R. 497.
By LeBel and
Deschamps JJ.
Referred to: Reference
re Secession of Quebec, [1998] 2 S.C.R. 217; 114957
Canada Ltée (Spraytech, Société d’arrosage) v. Hudson (Town), 2001 SCC 40, [2001] 2 S.C.R. 241; Canadian
Western Bank v. Alberta, 2007 SCC 22, [2007] 2
S.C.R. 3; Kitkatla Band v.
British Columbia (Minister of Small Business, Tourism and Culture), 2002 SCC 31, [2002] 2 S.C.R. 146; RJR‑MacDonald
Inc. v. Canada (Attorney General), [1995] 3 S.C.R.
199; R. v. Morgentaler, [1993] 3 S.C.R. 463; Friends
of the Oldman River Society v. Canada (Minister of Transport), [1992] 1 S.C.R. 3; Siemens v. Manitoba
(Attorney General), 2003 SCC 3, [2003] 1 S.C.R. 6;
Krieger v. Law Society of Alberta, 2002 SCC 65, [2002] 3 S.C.R. 372; Law Society of British
Columbia v. Mangat, 2001 SCC 67, [2001] 3 S.C.R. 113; R. v. Furtney,
[1991] 3 S.C.R. 89; Rio Hotel Ltd. v. New Brunswick (Liquor Licensing Board),
[1987] 2 S.C.R. 59; Multiple Access Ltd. v. McCutcheon, [1982] 2 S.C.R.
161; Reference re Exported Natural Gas Tax, [1982] 1 S.C.R. 1004; Robinson
v. Countrywide Factors Ltd., [1978] 1 S.C.R. 753; Attorney‑General
for Ontario v. Barfried Enterprises Ltd., [1963] S.C.R. 570; Smith v.
The Queen, [1960] S.C.R. 776; Attorney‑General for Ontario v.
Attorney‑General for the Dominion, [1896] A.C. 348;
Attorney‑General of Ontario v. Attorney‑General for the Dominion of
Canada, [1894] A.C. 189; Hodge v. The Queen (1883), 9 App. Cas. 117;
Papp v. Papp, [1970] 1 O.R. 331; General
Motors of Canada Ltd. v. City National Leasing,
[1989] 1 S.C.R. 641; Kirkbi
AG v. Ritvik Holdings Inc., 2005 SCC 65, [2005] 3 S.C.R. 302; Reference
re Firearms Act (Can.), 2000 SCC 31, [2000] 1
S.C.R. 783; Toronto Star Newspapers Ltd. v. Canada, 2010 SCC 21, [2010] 1 S.C.R. 721; In re The Board of
Commerce Act, 1919, and The Combines and Fair Prices Act, 1919, [1922] 1
A.C. 191; Proprietary Articles Trade Association v. Attorney-General for
Canada, [1931] A.C. 310; Reference re Validity of Section 5(a) of the
Dairy Industry Act, [1949] S.C.R. 1; R. v. Butler, [1992] 1 S.C.R.
452; R. v. Malmo‑Levine, 2003 SCC 74, [2003] 3 S.C.R. 571; R. v.
Hydro‑Québec, [1997] 3 S.C.R. 213; R. v. Sharpe, 2001 SCC 2,
[2001] 1 S.C.R. 45; Reference re ss. 193 and
195.1(1)(c) of the Criminal Code (Man.), [1990] 1
S.C.R. 1123; Labatt Breweries of Canada Ltd. v.
Attorney General of Canada, [1980] 1 S.C.R. 914;
R. v. Wetmore, [1983] 2 S.C.R. 284; Eldridge v. British Columbia
(Attorney General), [1997] 3 S.C.R. 624; Workmen’s Compensation Board v.
Canadian Pacific Railway Co., [1920] A.C. 184; Provincial Secretary of
Prince Edward Island v. Egan, [1941] S.C.R. 396; Nova Scotia Board of
Censors v. McNeil, [1978] 2 S.C.R. 662; Attorney
General for Canada and Dupond v. City of Montreal,
[1978] 2 S.C.R. 770; Schneider v. The Queen, [1982] 2 S.C.R. 112;
Scowby v. Glendinning, [1986] 2 S.C.R. 226.
By
Cromwell J.
Referred
to: Chatterjee v. Ontario (Attorney General), 2009 SCC 19, [2009] 1
S.C.R. 624; Attorney General of Canada
v. Canadian National Transportation, Ltd., [1983] 2 S.C.R. 206; General Motors of Canada Ltd. v. City National
Leasing, [1989] 1 S.C.R. 641.
Statutes and Regulations Cited
Act respecting clinical and research activities relating to assisted
procreation, R.S.Q., c. A‑5.01.
Act respecting health services and social services, R.S.Q., c. S‑4.2, ss. 9 et seq., 17 et
seq., 79 et seq., 339 et seq., 413.2, 414, 437.
Act respecting medical laboratories, organ,
tissue, gamete and embryo conservation, and the disposal of human bodies, R.S.Q., c. L‑0.2, s. 31.
Assisted
Human Reproduction Act, S.C. 2004, c. 2 .
Assisted
Human Reproduction (Section 8 Consent) Regulations, SOR/2007‑137.
Bill C‑6,
An Act respecting assisted human reproduction and related research, 3rd
Sess., 37th Parl., 2004.
Bill C‑13,
An Act respecting assisted human reproduction, 2nd Sess., 37th
Parl., 2002.
Bill C‑47,
An Act respecting human reproductive technologies and commercial
transactions relating to human reproduction, 2nd Sess., 35th Parl., 1996.
Bill C‑56,
An Act respecting assisted human reproduction, 1st Sess., 37th Parl.,
2001‑2002.
Bill C‑247,
An Act to amend the Criminal Code (genetic manipulation), 1st
Sess., 36th Parl., 1997.
Bill C‑336,
An Act to amend the Criminal Code (genetic manipulation), 1st Sess.,
37th Parl., 2001.
Canadian Charter of Rights and Freedoms, s. 1 .
Canadian Environmental Protection Act, R.S.C. 1985, c. 16
(4th Supp.), s. 34(6).
Civil Code of Québec, R.S.Q., c. C‑1991, arts. 10 to
25, 541.
Code of ethics of physicians, R.R.Q., c. M‑9, r. 4.1, ss. 20, 21, 28, 29, 49.
Constitution Act, 1867, ss. 91 , 92 .
Court of Appeal Reference Act, R.S.Q., c. R‑23.
Criminal Code, R.S.C. 1906, c. 146,
ss. 207, 303, 306.
Criminal Code, R.S.C. 1927, c. 36,
ss. 207, 303, 306.
Criminal
Code, R.S.C. 1985, c. C‑46, ss. 52 to 56 , 62 , 156 [rep.
S.C. 1980‑81‑82‑83, c. 125, s. 9], 157 [rep. S.C.
1987, c. 24, s. 4], 158 [idem], 207(1)(a), 265.
Criminal Code, S.C. 1953‑54, c. 51,
ss. 150, 237.
Criminal
Code, 1892, S.C. 1892, c. 29, ss. 179, 271, 272.
Medical Act, R.S.Q.,
c. M‑9, s. 42.
Professional Code, R.S.Q., c. C‑26.
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APPEAL
from a judgment of the Quebec Court of Appeal (Gendreau, Chamberland and Rayle
JJ.A.), 2008 QCCA 1167, 298 D.L.R. (4th) 712, [2008] R.J.Q. 1551, [2008] Q.J.
No. 5489 (QL), 2008 CarswellQue 9848, in the matter of a reference
concerning the question whether some sections of the Assisted Human
Reproduction Act are ultra vires the Parliament of Canada. Appeal
allowed in part.
René LeBlanc, Peter W. Hogg and Glenn Rivard, for the appellant.
Jocelyne Provost and Maude Randoin, for the respondent.
Gaétan Migneault, for the intervener the
Attorney General of New Brunswick.
Graeme G. Mitchell, Q.C., for the intervener the Attorney General for Saskatchewan.
Lillian Riczu and Randy Steele, for the intervener the
Attorney General of Alberta.
Written submissions only for the
intervener Michael Awad.
Written submissions only by William J. Sammon, Don Hutchinson and Faye Sonier for the interveners the Canadian Conference
of Catholic Bishops and the Evangelical Fellowship of Canada.
The
reasons of McLachlin C.J. and Binnie, Fish and Charron JJ. were delivered by
The
Chief Justice —
I. Introduction
[1]
Every generation faces unique moral issues. And
historically, every generation has turned to the criminal law to address them.
Among the most important moral issues faced by this generation are questions
arising from technologically assisted reproduction — the artificial creation of
human life. Parliament has passed a law dealing with these issues under its
criminal law power. The question on appeal is whether this law represents a
proper exercise of Parliament’s criminal law power. I conclude that it does.
[2]
Since time immemorial, human beings have been
conceived naturally. Human beings have sought to enhance this process, to be
sure; fertility rites, prayers and various medical and quasi-medical
prescriptives to enhance fertility are part of human history. Human beings
have also sought to constrain the process, through rules governing sexual
conduct and marriage. These rules are deeply embedded in morality, which
speaks to our conception of how human beings should behave for their own good
and the greater good of society. Through morality, often abetted by the
criminal law, society has traditionally found collective answers to
reproductive issues. Yet, until recently, the fundamental processes by which
new human beings were conceived remained largely beyond technological
manipulation.
[3]
This changed in the latter part of the 20th
century, with the development of technology that allowed ova and sperm to be
captured and united to form a zygote outside the human body. Refining the
process even further, scientists found ways to disassemble and recombine
genetic material within the ovum. Implantation techniques allowed couples and
surrogate mothers to carry pregnancies created in a petri dish to term. At the
far end of the spectrum lay the possibility of combining animal and human forms
or reproducing an individual through cloning.
[4]
These new techniques raise important moral,
religious and juridical questions. The new questions do not fit neatly within
the traditional legal frameworks that have developed in a world of natural
conception. These challenges have opened a dialogue between ethicists,
religious leaders and the public. Different people have taken different moral
views on the issues. Fears have been expressed as to the possibility that some
may abuse the new techniques in ways that might damage individuals — both
existing and yet to be conceived — and ultimately society. Traditional criminal
law imposed no obvious restraints and offered no clear answers to these
questions.
[5]
It was against this background that Parliament
decided to act. It did not act precipitously. Rather, it established the
Royal Commission on New Reproductive Technologies (the “Baird Commission”) to
study the matter and make recommendations. The Baird Commission expressed
concern about certain practices in the field of new reproductive technologies
and pressed the government to pass legislation to limit their use: see Proceed
with Care: Final Report of the Royal Commission on New Reproductive
Technologies (1993) (the “Baird Report”).
[6]
Between 1993 and 1995, the federal government
consulted with the provinces, the territories and independent groups, including
researchers, men and women dealing with infertility problems, persons with
disabilities, religious denominations and physicians. It also asked a group of
experts in philosophy, sociology, anthropology, medicine and law for their
advice on the issue of human embryo research. The result of these
consultations was the ultimate passage of the Assisted Human Reproduction
Act, S.C. 2004, c. 2 (also referred to as the “Act”), enacted in March
2004, as an exercise of the federal criminal law power under s. 91(27) of
the Constitution Act, 1867 .
[7]
The Act contains a prohibition regime, supported
by provisions designed to administer and enforce its prohibitions. The
Attorney General of Quebec accepted that some of the prohibitions were valid
criminal law, but challenged the constitutionality of the balance of the Act in
a reference to the Quebec Court of Appeal. According to the Attorney General
of Quebec, ss. 8 to 19, 40 to 53, 60, 61 and 68 were attempts to regulate the
whole sector of medical practice and research related to assisted reproduction,
including the doctors and hospitals involved. In June 2009, Quebec passed its
own law on the subject, entitled the Act respecting clinical and research
activities relating to assisted procreation, R.S.Q., c. A-5.01.
[8]
On June 19, 2008, the Quebec Court of Appeal
accepted the argument of the Attorney General of Quebec that the impugned
sections were not valid criminal law: 2008 QCCA 1167, 298 D.L.R. (4th) 712.
The Court of Appeal held that their real character — their pith and substance —
was the regulation of medical practice and research in relation to assisted
reproduction. Parliament’s purpose, it concluded, was not only to prohibit
wrongful acts, but also to assure that desirable aspects of assisted
reproduction were encouraged and correctly regulated. The provisions were thus
declared unconstitutional.
[9]
The Attorney General of Canada now appeals to
this Court.
[10]
My colleagues LeBel and Deschamps JJ. conclude
that the impugned sections of the Act, in pith and substance, constitute an
attempt to regulate hospitals and medical research, and thus are ultra vires
the federal Parliament. I respectfully disagree. The prohibitions in ss.
5 to 7 are conceded to be valid criminal legislation. In my view, the
remaining prohibitions in ss. 8 to 13 are also valid criminal law. Although
some of these prohibitions impact on the regulation of medical research and
practice, all matters within provincial jurisdiction, the impact is incidental
to the legislation’s dominant criminal law purpose and limited to those ends.
Finally, while not criminal law in pith and substance, the administrative,
organizational, and enforcement provisions in ss. 14 to 68 are integrated into
this prohibition regime, and hence they are valid under the ancillary powers doctrine.
I would therefore allow the appeal.
II. The
Legislation
[11]
The prohibitions are of two types. Sections 5
to 9 are cast in absolute terms. In those sections, the Act prohibits:
(a) human cloning (s. 5(1)(a)) and
the use, manipulation and transplantation of reproductive material of a
non-human life form, chimera or hybrid, in order to create a human being (s.
5(1)(g) to (j));
(b) the creation of an in vitro embryo
for any purpose other than creating a human being or improving or providing
instruction in assisted reproduction procedures (s. 5(1)(b));
(c) the creation of an embryo from a cell
taken from an embryo or foetus (s. 5(1)(c)) or the maintenance of such
an embryo outside of the body after the fourteenth day of its development (s.
5(1)(d));
(d) the determination of an embryo’s sex
for non-medical reasons (s. 5(1)(e));
(e) the alteration of the genome of an in
vitro embryo or cell of a human being such that the alteration is capable
of being transmitted to descendants (s. 5(1)(f));
(f) the commercialization of the
reproductive functions of women and men, particularly the payment of
consideration to surrogate mothers (s. 6) and the purchase and sale of in
vitro embryos or the purchase of human reproductive material (s. 7);
(g) any use of in vitro embryos
unless the donor has given written consent, as well as the use and posthumous
removal of human reproductive material unless the donor has given written
consent, when the purpose of the use or removal is the creation of an embryo
(s. 8); and
(h) the removal or use of sperm or ova
from a donor under 18 years of age, except for the purpose of preserving the
sperm or ova or for the purpose of creating a human being where it is
reasonable to believe that the human being will be raised by the donor (s. 9).
[12]
Other prohibitions, referred to in the Act as
“controlled activities”, are found in ss. 10 to 13. These sections prohibit
various activities, unless they are carried out in accordance with regulations
made under the Act, under licence, and in licensed premises. The activities in
question involve:
(a) altering, manipulating, treating,
obtaining, storing, transferring, destroying, importing and exporting human
reproductive material or in vitro embryos for certain purposes (s. 10);
(b) combining any part of the human genome
with any part of the genome of another species (s. 11);
(c) reimbursing a donor for an expenditure
incurred in the course of donating sperm or ova and a surrogate mother for an
expenditure incurred by her in relation to her surrogacy (s. 12);
(d) undertaking a controlled activity in
an unlicensed facility (s. 13).
[13]
The prohibition regime is followed by provisions
that do not in themselves purport to create criminal offences, but are directed
to administering and enforcing the primary criminal law prohibitions. These
include a mechanism for gathering and storing information related to assisted
reproduction procedures, the establishment of an administrative agency (the
Assisted Human Reproduction Agency of Canada (“Agency”)), the power of the
Governor in Council to make regulations respecting the Act (s. 65), and the
power of the Governor in Council to exempt the operation of certain provisions
if there are equivalent provincial laws in force that cover the field (s. 68).
[14]
Only the validity of certain sections of the Act
is at issue in this appeal. With the exception of the regulations under s. 8,
no regulations have yet been promulgated.
III. The
Issues
[15]
The Attorney General of Quebec concedes that the
absolute prohibitions found in ss. 5 to 7 are valid criminal law. This leaves
the following issues:
(1)
The validity of the legislative scheme as a
whole
(2)
The validity of the “controlled activities”
prohibitions
(3)
The validity of the administrative provisions
under the ancillary powers doctrine
IV. Analysis
A. The
Validity of the Legislative Scheme as a Whole
[16]
Since the Attorney General of Quebec is
challenging individual provisions of the federal scheme, this Court must
examine the whole scheme and the impugned provisions separately (General
Motors of Canada Ltd. v. City National Leasing, [1989] 1 S.C.R. 641, at
p. 666). Ordinarily, this Court would begin by examining the impugned
provisions in order to determine if and to what extent they intrude on the
provincial sphere of competence: see Kirkbi AG v. Ritvik Holdings Inc.,
2005 SCC 65, [2005] 3 S.C.R. 302, at para. 21; Kitkatla Band v. British
Columbia (Minister of Small Business, Tourism and Culture), 2002 SCC 31, [2002]
2 S.C.R. 146, at para. 58. The advantage of this order of analysis is that if
the impugned provisions are not found to intrude at all, “then the investigation
need go no further” (General Motors, at p. 667). While courts may
nonetheless examine the whole scheme in such cases, we have tended to end the
analysis if the individual provisions are not found to be problematic: see
Ward v. Canada (Attorney General), 2002 SCC 17, [2002] 1 S.C.R. 569.
[17]
However, in the case at bar it is necessary to
examine the whole scheme first before we can make sense of the challenged
provisions. This Court has often underlined that the impugned provisions must
be considered in their proper context (see, e.g., Reference re
Employment Insurance Act (Can.), ss. 22 and 23, 2005 SCC 56, [2005] 2
S.C.R. 669, at paras. 17-35). In this case, the Attorney
General of Quebec is challenging the bulk of the Assisted Human Reproduction
Act . While it concedes that ss. 5 to 7 of the Act are valid, it challenges
almost all the remaining operative provisions. Under these circumstances, it
is impossible to meaningfully consider the provisions at issue without first
considering the nature of the whole scheme.
[18]
Therefore, the first question is whether the matter of the statutory scheme, viewed
as a whole, is a valid exercise of federal power. The second question is
whether its individual provisions are also valid. If the scheme as a whole is valid,
but some of its provisions invalid, the invalid provisions are severed, leaving
the remaining provisions intact. As Dickson J. (as he then was) explained in
Attorney General of Canada v. Canadian National Transportation, Ltd.,
[1983] 2 S.C.R. 206, at p. 270, “[i]t is obvious at the outset
that a constitutionally invalid provision will not be saved by being put into
an otherwise valid statute”. Severance may not be possible if bad provisions
are so inextricably bound up with good provisions that the legislature would
not have enacted one without the other: Attorney-General for Alberta v.
Attorney-General for Canada, [1947] A.C. 503 (P.C.), at p. 518.
(1) Characterizing
the Legislative Scheme
[19]
There are two steps to determining whether a law
is valid: characterization and classification. First the dominant “matter” or
“pith and substance” of the law must be determined: Canadian Western Bank v.
Alberta, 2007 SCC 22, [2007] 2 S.C.R. 3, at para. 25. Once the “matter” is
thus characterized, the second step is to determine if it falls under a head of
power assigned to the enacting body: Kitkatla Band, at para. 52. In
this case, the enacting body is federal, and the Attorney General of Canada has
decided to limit his arguments on the validity of the Act to a single head of
jurisdiction: the criminal law power in s. 91(27) of the Constitution Act,
1867 . If the scheme, properly characterized, falls within that power, it
is valid, subject to a closer look at particular provisions. If not, it is
invalid. See Reference re Anti-Inflation Act, [1976] 2 S.C.R. 373, at p.
450; Kitkatla Band.
[20]
The parties disagree on the proper
characterization of the Assisted Human Reproduction Act . The Attorney
General of Canada says that the dominant purpose and effect of the legislative
scheme is to prohibit practices that would undercut moral values, produce
public health evils, and threaten the security of donors, donees, and persons
conceived by assisted reproduction. The Attorney General of Quebec, focussing
mainly on the effects of the Act, says that its dominant characteristic is the
regulation of reproductive medicine and research. These different
characterizations of the scheme lead to different results at the second step.
The Attorney General of Canada says the law is valid federal legislation under
the criminal law power, while the Attorney General of Quebec says it is an
illegal scheme to regulate health concerns that fall under provincial powers.
[21]
The issue is as follows: Is the Assisted
Human Reproduction Act properly characterized as legislation to curtail
practices that may contravene morality, create public health evils or put the
security of individuals at risk, as the Attorney General of Canada contends?
Or should it be characterized as legislation to promote positive medical
practices associated with assisted reproduction, as the Attorney General of
Quebec contends? In pith and substance, what is this legislation about?
Controlling and curtailing the negative impacts associated with artificial
human reproduction? Or establishing salutary rules to govern the practice of
medicine and research in this emerging field?
[22]
To determine which characterization is correct,
one must consider the purpose and effect of the legislative scheme. One must
ask, “[w]hat in fact does the law do and why?”: D. W. Mundell, “Tests for
Validity of Legislation under the British North America Act: A Reply to
Professor Laskin” (1955), 33 Can. Bar Rev. 915, at p. 928.
[23]
I turn first to purpose. The Attorney General of
Canada, as stated, says that the purpose of the Act is to prohibit improper
practices associated with assisted reproduction — practices that may undermine
fundamental moral precepts, lead to public health evils and threaten the
security of individuals. By contrast, the Attorney General of Quebec argues
that the purpose of the Act is to legislate on health, a matter generally
within provincial jurisdiction. The question at this point is therefore
whether the dominant purpose of the Act is to prohibit reprehensible conduct,
as the Attorney General of Canada alleges, or to regulate health, as the
Attorney General of Quebec alleges.
[24]
The text of the Act suggests that its dominant
purpose is to prohibit inappropriate practices, rather than to promote
beneficial ones. It is true that the Act establishes a scheme to control
assisted reproduction on a national level, and this initiative necessarily
touches on provincial jurisdiction over medical research and practice.
However, the dominant thrust of the Act is prohibitory, and the aspects that
concern the provision of health services do not rise to the level of pith and
substance. As s. 2 of the Act explains, the purpose of the Act is to safeguard
against practices that may offend fundamental values and rights and harm
human health, safety and dignity. The emphasis is on preventing
practices that offend these values and produce this harm.
[25]
The Act accomplishes its purpose of prohibiting
reprehensible conduct by imposing sanctions. The Act is essentially a series of
prohibitions, followed by a set of subsidiary provisions for their
administration.
[26]
The Attorney General of Quebec concedes that the
prohibitions in ss. 5 to 7 of the Act are valid criminal law. In my view, the
prohibitions in ss. 8 to 13 advance the same criminal law purpose. Sections 8
to 13, viewed in context, are not aimed at promoting the beneficial aspects of
assisted reproduction. While they distinguish the beneficial from the
reprehensible, it is only for the purpose of carving out the latter. In this
sense, the prohibitions in ss. 5 to 13 all advance a common purpose, but do so
in a manner tailored to the conduct that they address. Conduct that is always
reprehensible is prohibited absolutely (ss. 5 to 9). Conduct that is
reprehensible in particular situations is prohibited selectively; thus, ss. 10
to 13 prohibit only the harmful aspects of the conduct at issue. In other
words, they prohibit conduct, subject to exceptions for practices that
Parliament does not consider to be harmful.
These prohibitions do not prevent the provinces from enacting legislation
promoting beneficial practices in the field of assisted reproduction. Subject
to the Act’s prohibitions, the provinces are free to regulate these practices.
The scheme of the Act is to carve out from the broader field of assisted
reproduction conduct that Parliament considers criminal.
These prohibitions give the Act its content and define its purpose.
[27]
In support of the Attorney General of Quebec’s
position that the Act should be characterized as health legislation, LeBel and
Deschamps JJ. argue that the Act has a two-fold purpose: (1) the prohibition of
reprehensible practices; and (2) the promotion of beneficial practices.
Criminal law, they argue, is concerned with prohibiting undesirable conduct, and
cannot extend to promoting the beneficial aspects of assisted reproduction. In
their view, Parliament’s desire to promote beneficial practices proves that the
Act is intended to create a national scheme for the regulation of assisted
reproductive technologies.
[28]
My colleagues rely on the Baird Report as proof of
Parliament’s intention to impose national medical standards under the guise of
criminal law, e.g., at para. 206:
It is
clear that the Baird Commission wanted certain activities to be denounced and
prohibited because, in its view, there was a consensus that they were
reprehensible. But the Commission also wanted assisted human
reproduction and related research activities to be regulated for the purpose of
establishing uniform standards that would apply across Canada. Thus, it can be
seen that the distinction drawn in the [Act] between prohibited
activities and controlled activities corresponds to the two distinct categories
of activities for which the Baird Commission recommended two distinct
approaches with different purposes. [Emphasis added.]
Prohibition,
the argument continues, may be the proper domain of the criminal law, but the
promotion of beneficial health practices is the domain of the provinces. The
Act impermissibly gathers both purposes under the broad umbrella of the
criminal law. On the argument advanced by my colleagues, it follows that large
parts of the Act are invalid.
[29]
The first response to this argument is to note
that it treats the Baird Report as proof of the purpose behind the Assisted
Human Reproduction Act . But that is to ignore what the Baird Report was
about. The Baird Commission was writing a policy analysis (not a
constitutional law paper) on a subject thought to raise serious issues of
morality. Its enquiry into moral issues surrounding assisted reproduction
established the validity of these concerns and impelled Parliament to adopt the
Act, as discussed more fully below. However, the fact that the Baird
Commission may have referred to positive aspects of assisted reproduction
technology — benefits all acknowledge — does not establish that these benefits
were the focus of Parliament’s efforts.
[30]
The second response to this argument is that it
rests on an artificial dichotomy between reprehensible conduct and beneficial
practices. The Act certainly employs both a penal
and regulatory form, however Parliament may validly employ regulations
as part of a criminal law provided they target a legitimate criminal law
purpose. Prohibiting or regulating bad
conduct may in fact produce benefits. This is a common consequence of many
criminal laws. What matters for purposes of constitutionality is not whether a
criminal law has beneficial consequences, but whether its dominant purpose
is criminal. The Assisted Human Reproduction Act does not have two objects, the first to prohibit
reprehensible conduct, the second to promote beneficial effects. It targets
conduct that Parliament has found to be
reprehensible. In so doing, it incidentally permits beneficial practices through regulations. But that does not render it
unconstitutional.
[31]
Turning to the effects of the Act, this
legislation clearly has an impact on the regulation of medical research and
practice, and hospital administration. Researchers, practitioners and hospitals
will be subject to both the Act and the regulations it contemplates.
[32]
However, the doctrine of pith and substance
permits either level of government to enact laws that have “substantial impact
on matters outside its jurisdiction”: P. W. Hogg, Constitutional Law of
Canada (5th ed. Supp.), at p. 15-9. The issue in such cases is to determine
the dominant effect of the law. Viewed as a whole, the dominant effect
of the Act is to prohibit a number of practices which Parliament considers immoral
and/or which it considers a risk to health and security, not to promote the
positive aspects of assisted reproduction. The dominant effect of the
prohibitory and administrative provisions is to create a regime that will prevent
or punish practices that may offend moral values, give rise to serious public
health problems, and threaten the security of donors, donees, and persons not
yet born.
[33]
In sum, while the Act will have beneficial
effects — one hopes all criminal laws will have beneficial effects — and while
some of its effects may impact on provincial matters, neither its dominant
purpose nor its dominant effect is to set up a regime to regulate and promote
the benefits of artificial reproduction in hospitals and laboratories.
[34]
I conclude that the pith and substance of the
Act is properly characterized as the prohibition of negative practices
associated with assisted reproduction.
(2) Does
the Matter of the Act Come Within Section 91(27)?
[35]
Having characterized the matter to which the Act
relates, the next question is whether it comes within the scope of the federal
criminal law power under s. 91(27) of the Constitution Act, 1867 . In
order to answer this question, we must consider whether the matter satisfies
the three requirements of valid criminal law: (1) a prohibition; (2) backed by
a penalty; (3) with a criminal law purpose: Reference re Firearms Act (Can.),
2000 SCC 31, [2000] 1 S.C.R. 783 (“Firearms Reference”), at para. 27.
[36]
As already discussed, the Act, properly
characterized, imposes prohibitions backed by penalties, thereby fulfilling the
first two requirements of a valid criminal law. Admittedly, some of the
provisions permit exceptions. However, the criminal law does not require
absolute prohibitions: R. v. Morgentaler, [1993] 3 S.C.R. 463; R. v.
Furtney, [1991] 3 S.C.R. 89; RJR-MacDonald Inc. v. Canada (Attorney
General), [1995] 3 S.C.R. 199. To be sure, a large portion of the
scheme is regulatory. However, it is open to Parliament to create regulatory
schemes under the criminal law power, provided they further the law’s criminal law
purpose. The complexity of modern problems often requires a nuanced scheme
consisting of a mixture of absolute prohibitions, selective prohibitions based
on regulations, and supporting administrative provisions. Such schemes permit
flexibility, vital in a field of evolving technologies, and they have
repeatedly been upheld as valid criminal law: RJR-MacDonald; R. v.
Hydro-Québec, [1997] 3 S.C.R. 213. To take but one example, the
list of toxic substances capable of harming the populace is ever-changing. It
is unrealistic to expect Parliament to enact new laws every time a change
occurs, and the criminal law power does not require it to do so. The
same logic applies to the present case.
[37]
My colleagues LeBel and Deschamps JJ. take issue
with the provisions of the Act that prohibit activities unless conducted in
accordance with federal regulations. As noted above, they argue that these
provisions are designed to promote beneficial practices, while I view them as
carve-outs from prohibition. They further argue that since the doctrine of
paramountcy allows federal legislation to prevail over provincial legislation
in the case of conflicts, finding the regulatory provisions intra vires
would effectively oust provincial power over health.
[38]
In my view, the requirement that a criminal law
contain a prohibition prevents Parliament from undermining the provincial
competence in health. The federal criminal law power may only be used to
prohibit conduct, and may not be employed to promote beneficial medical
practices. Federal laws (such as the one in this case) may involve large
carve-outs for practices that Parliament does not wish to prohibit. However,
the use of a carve-out only means that a particular practice is not prohibited,
not that the practice is positively allowed by the federal law. This
has important implications for the doctrine of federal paramountcy. If a
province enacted stricter regulations than the federal government, there would
be no conflict in operation between the two sets of provisions since it would
be possible to comply with both. Further, there would be no frustrations of
the federal legislative purpose since federal criminal laws are only intended
to prohibit practices. A stricter provincial scheme would complement the
federal criminal law. See Rothmans, Benson & Hedges Inc. v.
Saskatchewan, 2005 SCC 13, [2005] 1 S.C.R. 188, at para. 22; Irwin Toy
Ltd. v. Quebec (Attorney General), [1989] 1 S.C.R. 927, at pp. 964-65; and Ross
v. Registrar of Motor Vehicles, [1975] 1 S.C.R. 5. There may be a conflict
between a criminal law and a less strict provincial scheme. However, in
such a case, Parliament’s stricter scheme would be acting as a prohibition. In
this way, the prohibition requirement for criminal laws acts as a major
limitation on the effect of s. 91(27) .
(3) Does
the Act Serve a Valid Criminal Law Purpose?
[39]
Having determined that the Act imposes
prohibitions backed by penalties, it remains to be determined whether it does
so in the service of a criminal law objective. The Attorney General of Canada
asserts that the Act serves broad criminal law purposes centred around
morality, health, and security. The Attorney General of Quebec suggests that
the real purpose of the law is not criminal, but regulatory — namely, to
establish a system to regulate assisted reproduction. In turn, it contends
that such a scheme is provincial turf.
[40]
Much judicial ink has been spilled in attempting
to elucidate a precise definition of a valid criminal law purpose. The early cases
swung from the extreme of a precisely defined “domain” of criminal law (In re
The Board of Commerce Act, 1919, and The Combines and Fair Prices Act, 1919,
[1922] 1 A.C. 191 (P.C.), at pp. 198-99), to the opposite extreme of any “act
prohibited with penal consequences” (Proprietary Articles Trade Association
v. Attorney-General for Canada, [1931] A.C. 310 (P.C.), at p. 324).
[41]
The modern conception of a valid criminal law
objective is grounded in the Reference re Validity of Section 5(a) of the
Dairy Industry Act, [1949] S.C.R. 1 (the “Margarine Reference”),
where Rand J. decided that a criminal prohibition must serve “a public purpose”
like “[p]ublic peace, order, security, health, morality” (p. 50), stopping
short of pure economic regulation. It has been held that highway regulation
bearing no relation to public safety falls beyond the scope of the federal
criminal law power: Boggs v. The Queen, [1981] 1 S.C.R. 49. On the
other hand, prohibitions aimed at combatting the “public health evil” of
tobacco consumption have been found to fall within the ambit of the criminal
law power (RJR-MacDonald, at paras. 32-33), as have prohibitions
directed at protecting the public from environmental hazards (Hydro-Québec),
dangerous and adulterated food and drug products (R. v. Wetmore, [1983]
2 S.C.R. 284), illicit drugs (R. v. Malmo-Levine, 2003 SCC 74, [2003] 3
S.C.R. 571), and firearms (Firearms Reference).
[42]
The Attorney General of Canada relies on these
cases to argue that prohibiting the detrimental aspects of assisted
reproduction constitutes a valid criminal law purpose under the objectives of
morality, health, and security, including the protection of vulnerable groups.
The Attorney General of Quebec criticizes this approach, arguing that it
represents a virtually unlimited extension of the criminal law power, which
would threaten the constitutional division of powers between the federal and
provincial governments.
[43]
There is merit in both positions. On the one
hand, the jurisprudence properly recognizes that confining the criminal law
power to precise categories is impossible. The criminal law must be able to
respond to new and emerging matters of public concern that go to the health and
security of Canadians and the fundamental values that underpin Canadian
society. A crabbed, categorical approach to valid criminal law purposes is
thus inappropriate. On the other hand, a limitless definition, combined with
the doctrine of paramountcy, has the potential to upset the constitutional
balance of federal-provincial powers. Both extremes must be rejected. To constitute
a valid criminal law purpose, a law’s purpose must address a public concern
relating to peace, order, security, morality, health, or some similar purpose.
At the same time, extensions that have the potential to undermine the
constitutional division of powers should be rejected.
[44]
Whether a federal law falls within Parliament’s
criminal law power under s. 91(27) of the Constitution Act, 1867 , is a
question of which level of government has jurisdiction to enact this
law. This question relates to the powers of one level of government vis-à-vis
the other, and it is resolved by determining the law’s pith and substance.
The degree to which the Act may impact on individual liberties is not relevant
to this inquiry. The Attorney General of Quebec has not challenged the Assisted
Human Reproduction Act on the basis that it constitutes an unjustified
infringement of individual liberty. That would raise the question of whether any
level of government could enact this law, an issue which turns on the
state’s authority vis-à-vis the individual: see R. v. Butler,
[1992] 1 S.C.R. 452, and Malmo-Levine. Rather, the Attorney General of
Quebec challenges the Act on the basis that it wrests turf from the provinces.
[45]
It follows that this case does not require us to
balance the impact of the Act on liberty against the importance of Parliament’s
legislative objective. The only question is whether the Act comes within the
scope of s. 91(27) . In this respect, I differ from my colleagues LeBel and
Deschamps JJ., who argue that there is insufficient societal consensus to
justify the restrictions that the Act imposes on individual liberties. With
respect, the language of justification has no place in the pith and substance
analysis.
[46]
Criminal law objectives, such as peace, order, security,
morality, and health do not occupy separate watertight compartments. The
question in each case is whether the matter of the legislation at issue relates
to one or more of the recognized criminal law purposes, or a similar
objective. Criminal laws will often engage more than one objective, and the
objectives may overlap with each other.
[47]
In this case, the Attorney General of Canada
relies mainly on the objectives of upholding morality and avoiding or
containing potential public health evils. Mingled with these are overtones of
security insofar as the practices may harm participants and offspring. It has
been recognized that morality, public health evils and security are, in
principle, capable of supporting criminal laws. We are not therefore
confronted with the need to determine whether a new type of objective can be
recognized as a valid criminal law purpose. The question is simply whether the
legislative scheme falls within the ambit of the objectives that the Attorney
General of Canada has identified.
[48]
I turn now to consider the scope of the criminal
law purposes that Parliament has identified. I conclude that upholding
morality is the principal criminal law object of the Act. What is at stake is
not merely two competing health schemes, but Parliament’s power to enact general
norms for the whole of Canada to meet the pressing moral concerns raised by the
techniques of assisted reproduction. The objects of prohibiting public health
evils and promoting security play supporting roles with respect to some
provisions. Taken together, these objects confirm that the Act serves valid
criminal law purposes. In reaching this conclusion,
moreover, I do not intend to broaden the scope of the criminal law power, but
rather apply this Court’s jurisprudence.
(a) Morality
[49]
Morality has long been recognized as a proper
basis for the exercise of the criminal law power. In one of the first cases to
consider the ambit of s. 91(27) , Sir Montague E. Smith wrote that the criminal
law power includes laws “designed for the promotion of public order, safety, or
morals”: Russell v. The Queen (1882), 7 App. Cas. 829 (P.C.), at p.
839. Similarly, in the Margarine Reference, Rand J. included morality
in his famous definition of valid criminal law purposes.
[50]
Criminal law may target conduct that Parliament reasonably apprehends as a
threat to our central moral precepts: Malmo-Levine, at para. 78. Moral
disapprobation is itself sufficient to ground criminal law when it addresses
issues that are integral to society. Different
people hold different views about issues such as the artificial creation of
human life. However, under federalism analysis, the focus is on the
importance of the moral issue, not whether
there is societal consensus on how it should be resolved. Parliament need
only have a reasonable basis to expect that its legislation will address a moral concern of
fundamental importance, even if hard evidence is unavailable on some
points because “the jury is still out”: Malmo-Levine, at para. 78. Whether the law violates the Canadian Charter of Rights
and Freedoms guarantees of individual liberty is another issue.
[51]
In summary, morality constitutes a valid
criminal law purpose. The role of the courts is to
ensure that such a criminal law in pith and substance relates to conduct
that Parliament views as contrary to our central moral precepts, and that there is a consensus in society that the regulated
activity engages a moral concern of fundamental importance.
(b)
Health
[52]
Health is a jurisdiction shared by both the
provinces and the federal government. In order to preserve the balance of
powers, Parliament’s ability to pass criminal laws on the basis of health must
be circumscribed. To this end, criminal laws for the protection of health must
address a “legitimate public health evil”: RJR-MacDonald, at para. 32;
see also Schneider v. The Queen, [1982] 2 S.C.R. 112, at p. 142.
[53]
It has proven difficult to articulate a precise
definition of a legitimate public health evil. It has been held that the
federal criminal law power encompasses the regulation or prohibition of threats
as diverse as tobacco (RJR-MacDonald); dangerous and adulterated food
and drug products (Wetmore); illicit drugs (Malmo-Levine); gun
control (Firearms Reference); and environmental degradation (Hydro-Québec).
[54]
Behind the diversity in the cases that have
upheld criminal laws on the basis of public health evils lie three constant
features. In each of these cases, the criminal law was grounded in (1) human
conduct (2) that has an injurious or undesirable effect (3) on the health of
members of the public.
[55]
Human conduct causing harm is the fundamental
stuff of the criminal law. The element of harmful human conduct transforms a
public health problem, like cancer, into a public health evil, like tobacco.
The criminalization of public health evils recognizes that criminal liability
is not confined to crimes like murder and fraud, where human conduct is coupled
with injury to a specific person. Parliament is entitled to target conduct
that elevates the risk of harm to individuals, even if it does not
always crystallize in injury. For example, Parliament may criminalize
dangerous driving, despite the fact that it creates only a risk of injury, not
a certainty. Where human conduct may cause injurious or undesirable effects on
the health of members of society, Parliament may prohibit it as a public health
evil.
[56]
No constitutional threshold level of harm, as
such, constrains Parliament’s ability to target conduct causing these evils. It
is not apparent that the criminal law may only regulate the severest risks to
individual’s health and safety, and not also prohibit less severe harms that
are of public concern. In RJR-MacDonald, La Forest J. emphasized
that the harm of tobacco consumption was “dramatic and substantial” (para. 32).
However, this observation does not constrain the test he applied for whether
Parliament may regulate a risk to health: “. . . the criminal law power may
validly be used to safeguard the public from any injurious or
undesirable effect. The scope of the federal power to create criminal
legislation with respect to health matters is broad, and is circumscribed only
by the requirements that the legislation must contain a prohibition accompanied
by a penal sanction and must be directed at a legitimate public health evil”
(para. 32 (emphasis added; internal quotation marks omitted)). This said, the
need to establish a reasonable apprehension of harm means that conduct with
little or no threat of harm is unlikely to qualify as a “public health evil”: Malmo-Levine,
at para. 212, per Arbour J., dissenting, but not on this point.
[57]
My colleagues LeBel and Deschamps JJ. argue that
there is little to distinguish assisted reproduction from any other emerging
field of medical practice. All medical practices come with risks. This, they
argue, does not bring those practices within the federal criminal law power.
The answer to this argument, confirmed by the cases, is that, provided it is
not a colourable intrusion upon provincial jurisdiction (i.e. one not supported
by a valid criminal law purpose), Parliament is entitled to use the criminal
law power to safeguard the public from conduct that may have an injurious or
undesirable effect on the health of members of the public, notwithstanding the
provinces’ general right to regulate the medical profession. Health is subject
to overlapping federal and provincial jurisdiction, and the provinces’ power to
legislate in this field does not exclude Parliament’s authority to target
conduct that constitutes a public health evil: RJR-MacDonald, at para.
32.
(c) Security
[58]
Security is relied on only peripherally in this
case. Yet the Attorney General of Canada raises morality and health concerns
that have significant implications for personal security. It is beyond dispute
that one of the most fundamental purposes of criminal law — indeed its most
fundamental purpose — is the protection of personal security. To preserve
human life and security is the state’s most fundamental concern.
Traditionally, the criminal law has played a central role in the pursuit of
this objective. This extends to life before birth; control over the
termination of pregnancy has long been recognized as a valid criminal law
subject: see Morgentaler v. The Queen, [1976] 1 S.C.R. 616. It is
beyond the scope of the present appeal to decide whether such laws infringe
individual liberties in a manner that is unconstitutional. In the context of
the federalism analysis, it suffices that the protection of vulnerable groups
has been recognized as a valid criminal law purpose.
(d) Is
the Legislative Scheme Grounded in a Valid Criminal Law Purpose?
[59]
As discussed earlier, the purposes of the
criminal law overlap. Morality, public health evils and security may focus on
the same concerns. In exercising its criminal law power, Parliament is not
confined to a single purpose or a given combination of purposes. What is
required is that the legislation, properly characterized and considered in
light of the various objectives advanced, serves legitimate criminal law
purposes.
[60]
For the reasons that follow, I conclude that the
Assisted Human Reproduction Act , viewed as a whole, is grounded in valid
criminal law purposes.
[61]
Assisted reproduction raises weighty moral
concerns. The creation of human life and the processes by which it is altered
and extinguished, as well as the impact this may have on affected parties, lie
at the heart of morality. Parliament has a strong interest in ensuring that
basic moral standards govern the creation and destruction of life, as well as
their impact on persons like donors and mothers. Taken as a whole, the Act
seeks to avert serious damage to the fabric of our society by prohibiting
practices that tend to devalue human life and degrade participants. This is a valid criminal law purpose, grounded in
issues that our society considers to be of fundamental importance.
[62]
Overlapping with the morality concerns are
concerns for public health. As discussed above, acts or conduct that have an
injurious or undesirable effect on public health constitute public health evils
that may properly be targeted by the criminal law. The question is whether the
threats to donors of sperm or ova, surrogate mothers and persons created
through misuse of the techniques of assisted reproduction, fall within this
principle. In my view, they do. It is not difficult to project serious
physical and psychological harms to the affected individuals. How assisted
reproduction techniques are used can mean the difference between life and
death, health and sickness. Conduct that abuses these processes poses risks to
the health of the population and may legitimately be considered a public health
evil to be addressed by the criminal law.
[63]
Overlapping with the concerns of upholding
morality and addressing public health evils is a final concern — security. The
Attorney General of Canada argues that reproductive techniques, improperly
used, threaten the security of those involved in the processes and those born
as a result of their application. While the record does not detail these
concerns, again they are easy to envision.
[64]
I conclude that the legislative scheme is not
directed toward the promotion of positive health measures, but rather addresses
legitimate criminal law objects. As discussed above, the other two elements of
criminal law, prohibition and penalty, are established on the face of the
Act. I therefore conclude that the Assisted Human Reproduction Act ,
viewed as a whole, is valid criminal legislation.
[65]
It may be appropriate at this point to address
the arguments relied on by LeBel and Deschamps JJ. in support of their view
that the criminal law must be circumscribed to prevent trenching on provincial
powers to regulate health.
[66]
My colleagues argue that the law generally
regulates “a specific type of health services provided in health‑care
institutions by health‑care professionals” (para. 227). They
characterize the Province’s power under s. 92(16) (“Generally all Matters of a
merely local or private Nature in the Province”) as a residual power. They go
on to paint a picture of provincial health law being in conflict with the
federal criminal law power, and conclude that the federal criminal power must
be circumscribed to accommodate the Quebec regulatory scheme.
[67]
My colleagues’ conclusion takes them into
untravelled constitutional territory. “Double occupancy” of a field of
endeavour, such as health, is a permanent feature of the Canadian
constitutional order. It leads to a standard “double aspect” analysis under
which both aspects subsist side by side, except in case of conflict, when the
federal power prevails: Rothmans, Benson & Hedges Inc. v. Saskatchewan,
at para. 11. In holding that the double aspect doctrine does not apply to this
field of double occupancy, my colleagues assert a new approach of provincial
exclusivity that is supported by neither precedent nor practice. Canadian
constitutional jurisprudence has consistently granted wide latitude to the
federal criminal law power, despite the fact that much of the criminal law has
a provincial regulatory counterpart. For example, most provinces have drug and
pharmaceutical laws, but these do not preclude federal criminal legislation to
control narcotics.
[68]
The Constitution Act, 1867 , allocates to
Parliament jurisdiction over the criminal law precisely to permit Parliament to
create uniform norms. Circumscription of the ambit of the criminal law to
avoid trenching on provincial regulation runs counter to this purpose.
Criminal norms of necessity often touch on matters that are regulated by the
provinces. This must be so, in the interest of uniform criminal law norms
throughout Canada.
[69]
In support of their contention that the criminal
law must be circumscribed to preserve space for provincial regulation, my
colleagues repeatedly refer to the principle of subsidiarity (e.g., para. 273).
The idea behind this principle is that power is best exercised by the
government closest to the matter. Since the provincial governments are closest
to health care, the argument goes, they should exercise power in this area,
free from interference of the criminal law. Subsidiarity therefore favours
provincial jurisdiction.
[70]
Despite its initial appeal, this argument
misconstrues the principle of subsidiarity. As L’Heureux-Dubé J. explained in 114957
Canada Ltée (Spraytech, Société d’arrosage) v. Hudson (Town), 2001 SCC 40,
[2001] 2 S.C.R. 241, at para. 3, in an area of jurisdictional overlap, the
level of government that is closest to the matter will often introduce
complementary legislation to accommodate local circumstances. In Spraytech,
for example, the town supplemented federal pesticide controls by further
restricting the use of certain substances. L’Heureux-Dubé J. decided that the
town could adopt higher standards for pesticide control because the local law
complemented, rather than frustrated the federal legislation. She took this as
an example of subsidiarity. Moreover, as developed
above, a carve-out to a criminal law would not be paramount to stricter
provincial regulations.
[71]
Additionally, the federal-provincial equivalency
provision found at s. 68 of the Act answers the argument that Quebec already
regulates the subject matter of the Act, and is better placed to do so: if this
is the case, an arrangement between the federal government and Quebec may
occur, in which case the Quebec law would be enforced by officials of the
Quebec government.
[72]
More fundamentally, subsidiarity does
not override the division of powers in the Constitution Act, 1867 .
L’Heureux-Dubé J. cautioned that “there is a fine line between laws that
legitimately complement each other and those that invade another government’s
protected legislative sphere” (Spraytech, at para. 4), and she noted
that subsidiarity allows only the former. Subsidiarity might permit the
provinces to introduce legislation that complements the Assisted Human
Reproduction Act , but it does not preclude Parliament from legislating on
the shared subject of health. The criminal law power may be invoked where
there is a legitimate public health evil, and the exercise of this power is not
restricted by concerns of subsidiarity.
[73]
Nor can I accept my colleagues’ argument that
recognition of the Act as valid criminal law will place us on a slippery slope
leading to federal dominion over a vast array of risky medical practices. My colleagues write that:
In the
end, if we were to adopt the Attorney General of Canada’s interpretation and
accept that the fact that a technology is “novel” justifies, on its own,
resorting to the criminal law power, nearly every new medical technology could
be brought within federal jurisdiction. This view of the criminal law is
incompatible with the federal nature of Canada; it not only upsets the
constitutional balance of powers in the field of health, but also undermines
the very definition of federalism. [para. 256]
[74]
It is not the degree of risk that brings a
medical procedure within s. 91(27) , but a genuine criminal law purpose,
whether grounded in morality, a public health evil, or security. “Playing God”
with genetic manipulation engages moral concerns that my colleagues’ example of
risky cardiac bypass surgery does not. Different medical experiments and
treatments will raise different issues. Few will raise “moral” issues of an
order approaching those inherent in reproductive technologies. The federal
criminal law at issue in this case does not threaten “the constitutional
balance”.
[75]
Nor can I accept my colleagues’ suggestion that
the beneficial aspects of assisted reproduction oust the possibility of a valid
criminal law purpose. At several points in their reasons my colleagues draw
attention to the desirable aspects of assisted reproduction. The suggestion seems
to be that something so good cannot be the subject matter of criminal law:
. . . the evidence also shows that the
same authorities recognized that some assisted reproductive technologies are
beneficial to society and should accordingly be supported, although they also
need to be regulated. [para. 211]
Assisted
human reproduction was not then, nor is it now, an evil needing to be suppressed.
In fact, it is a burgeoning field of medical practice and research that, as
Parliament mentions in s. 2 of the [Act], brings benefits to many Canadians. [para. 251]
[76]
As I explained earlier, I do not share the view
that the Act can be characterized as legislation in relation to the positive
aspects of assisted reproduction. However, my colleagues’ argument on this
point raises a more fundamental issue. Their reasoning, with respect,
substitutes a judicial view of what is good and what is bad for the wisdom of
Parliament. Similar arguments have been rejected in other contexts. In Malmo-Levine,
for example, it was argued that use of marijuana benefits many Canadians and
not just those in medical need. My colleagues break new ground in enlarging
the judiciary’s role in assessing valid criminal law objectives. It is ground
on which I respectfully decline to tread.
[77]
For the foregoing reasons, I cannot subscribe to
the picture of Canadian federalism painted by my colleagues, where the federal
criminal law power would be circumscribed by provincial competencies. I share
their view that the criminal law cannot be used to eviscerate the provincial
power to regulate health. Our Constitution prevents this from
occurring, however, by requiring that criminal laws further a valid
criminal law objective, and that they adopt the form
of a prohibition. These requirements allow
for the nationwide criminal norms that the Constitution intended, while
ensuring adequate space for provincial regulation.
B. Do
the Prohibitions in Sections 8 to 13 of the Act Constitute Valid Criminal Law?
[78]
The federalism analysis does not end merely
because it has been determined that a law, viewed as a whole, is valid criminal
legislation. Even if a law is in pith and substance criminal legislation, it
may nevertheless contain provisions which are neither valid criminal
prohibitions, nor ancillary to valid criminal prohibitions. An invalid
legislative provision is not rendered valid merely because it is included in a
legislative scheme that, viewed globally, is valid: General Motors. In
each case, the question is whether the provision, considered in the context of
the larger scheme of the Act, is valid criminal legislation, in terms of
prohibition, penalty and criminal law purpose.
[79]
The Attorney General of Quebec accepts that ss.
5 to 7 are valid criminal law, reflecting pressing moral concerns. These
sections ban a variety of conduct, including cloning human beings, creating an
embryo from genetic material taken from another embryo or a foetus, maintaining
an embryo outside the body of a woman more than 14 days after fertilization
(ectogenesis), creating a chimera, paying consideration to surrogate mothers,
and purchasing sperm or ova.
[80]
The challenged prohibitions in ss. 8 to 13 generally
engage the same morality, health, and security issues as the prohibitions in
ss. 5 to 7, as discussed more fully below. Sections 10 and 11 amplify the
scope of the prohibitions in s. 5, and s. 12 addresses the pecuniary issues
that arise in ss. 6 and 7. The Attorney General of Quebec’s main challenge to
these provisions is based on the form they take. The Attorney General of
Quebec places great emphasis on the fact that some of the prohibitions in ss. 8
to 13 are subject to exceptions, and many of them operate against the backdrop
of regulations and a licensing scheme, which remain to be fully articulated.
The Attorney General of Quebec contends that the “controlled activities”
prohibitions in ss. 10 to 13 promulgate a scheme to regulate medicine and
research in the area of assisted reproduction. It takes a similar view of the prohibitions
in ss. 8 and 9. Consequently, the Attorney General of Quebec argues that none
of these provisions are valid criminal law.
[81]
As discussed earlier in connection with the
legislative scheme viewed as a whole, the cases establish that criminal
prohibitions may permit exceptions, and that the exceptions may take the form
of a regulatory scheme. Thus, the form of ss. 8 to 13 is itself insufficient
to remove these sections from the scope of the federal criminal law power.
[82]
The Attorney General of Quebec’s argument
appears to be that the extent of the regulation and the unpublished
nature of the regulations distinguishes this case from cases like RJR-MacDonald
and the Firearms Reference, where regulatory schemes were upheld
as valid criminal law.
[83]
I turn first to the fact that the regulations
have not yet been published. It is difficult to see how the unpublished nature
of the regulations could take an otherwise valid criminal regulatory scheme
outside the federal criminal law power. The suggestion is that the
regulations, when published, will effectively hijack provincial competencies
with respect to hospitals and the medical profession.
[84]
However, the issue in the present appeal is the validity of the Act, not the
regulations. In a case where regulations have been passed, it may be
appropriate to scrutinize them to ascertain the true intent of the legislature
(see, e.g., Monsanto Canada Inc. v. Ontario (Superintendent of Financial
Services), 2004 SCC 54, [2004] 3 S.C.R. 152, at para. 35, per Deschamps
J.). In the absence of regulations, however, the only question is whether the
“controlled activities” provisions are a valid exercise of Parliament’s
legislative authority. Any regulations passed under the enabling statute will
be valid only insofar as they further valid criminal law goals, and they will
be subject to challenge to the extent that they do not.
[85]
This brings us to the extent of the regulatory
scheme. The first point is that the extent or comprehensiveness of a criminal
law regulatory scheme does not affect its constitutionality. Provided a
regulatory scheme reflects and furthers proper criminal law goals, it remains
securely anchored in the federal criminal law power. Extensive and
comprehensive regulatory schemes were found to be valid criminal law in RJR-MacDonald
and the Firearms Reference.
[86]
The Attorney General of Quebec’s real point
appears to be that the regulatory scheme imposed by ss. 8 to 13 is of such
magnitude that medical and research regulation becomes the dominant character,
or pith and substance, of these provisions, notwithstanding the criminal
prohibitions they purport to create.
[87]
This argument, to the extent it gains any
traction, requires that the prohibitions in ss. 8 to 13 be viewed in isolation
from the rest of the Act (and it ignores the fact that s. 9 is truly an
absolute prohibition like ss. 5 to 7, without any accompanying regulations).
The Attorney General of Quebec sees these prohibitions as a stand-alone
regulatory scheme divorced from ss. 5 to 7, which are conceded to be valid
criminal laws. I agree with the Attorney General of Quebec that the proper
approach is to rigorously scrutinize what each provision says and does. But it
must be scrutiny in context, which takes into account the relationship between
the absolute and selective prohibitions, as well as the other provisions of the
Act.
[88]
Viewed in the context of the legislative scheme
as a whole, the dominant character of the prohibitions in ss. 5 to 7 is to
criminalize conduct that Parliament has found to be fundamentally immoral, a
public health evil, a threat to personal security, or some combination of these
factors. A detailed examination of ss. 8 to 13 supports the conclusion that,
like ss. 5 to 7, these provisions contain a prohibition, backed by a penalty,
and are directed in pith and substance to valid criminal law goals. I consider
each section in turn.
(1) Section
8
[89]
Section 8 prohibits the use of reproductive material
for the artificial creation of embryos, unless the donor has consented in
accordance with the regulations: Assisted Human Reproduction (Section 8
Consent) Regulations, SOR/2007-137 (June 14, 2007). It is backed by
penalties, specified in s. 60 of the Act.
[90]
Section 8 is grounded in valid criminal law
purposes. As the Baird Report put it, “gamete donors . . . have a unique moral
interest in the use of their genetic material” (p. 639). This morality
interest stems from the danger that reproductive material may be used against a
donor’s will to create a human being, as well as from the possibility that an
embryo, donated with the intent of creating a human being, could be used for
different purposes, such as research. At the heart of s. 8 lies the fundamental
importance that we ascribe to human autonomy. The combination of the embryo’s
moral status and the individual’s interest in his or her own genetic material
justify the incursion of the criminal law into the field of consent. There is a consensus in society that the consensual use of reproductive material implicates fundamental notions of morality. This confirms that s. 8 is valid criminal law.
(2) Section
9
[91]
Section 9 prohibits a person from obtaining
sperm or ova from donors under 18 years of age, except for the purpose of
preserving the sperm or ovum or for the purpose of creating a human being that
the person reasonably believes will be raised by the donor. This is an
absolute prohibition, and it takes the same form as the prohibitions in ss. 5
to 7, which are conceded to be valid criminal law. Like s. 8, it is backed by
penalties set out in s. 60. The only question is whether it is grounded in a valid
criminal law purpose.
[92]
The Attorney General of Canada argues that the
purpose of s. 9 is to protect vulnerable youth from exploitation and undue
pressure to donate reproductive material for the benefit of third parties. The
protection of vulnerable groups is a long-standing concern of the criminal law:
Malmo-Levine, at para. 76; Morgentaler v. The Queen. Coupled
with the moral interest in controlling the use of one’s genetic material, this
places the s. 9 prohibition securely within the scope of the criminal law.
(3) Section
10
[93]
Section 10 prohibits altering, manipulating,
treating, obtaining, storing, transferring, destroying, importing or exporting
human reproductive material or in vitro embryos for certain purposes,
unless these activities are performed in accordance with the regulations and a
licence. The prohibition is backed by penalties set out in s. 61. In essence,
s. 10 prohibits dealing with human reproductive material without a licence.
[94]
The Attorney General of Quebec’s first objection
to s. 10 is that it sets up a scheme supported by yet-to-be-pronounced
regulations. It argues that when the regulations are eventually promulgated,
they will seize control of areas falling under provincial jurisdiction, namely,
hospitals and the medical profession.
[95]
The Attorney General of Quebec’s concern is
understandable in light of the broad wording of the section. Section 10 of the
Act is the most problematic of the impugned provisions. By prohibiting all the
listed medical procedures unless they are performed by a licence holder in
compliance with regulations, this section allows for federal oversight of
research and medical practice. The ultimate impact of the provision will be
determined by the future regulations. If the federal government were to
implement regulations enacting a complete code of conduct for doctors, and
regulating every component of the delivery of fertility services, the
regulations would be ultra vires. However, as noted above, a finding
that s. 10 is intra vires would not mean that the future regulations promulgated
under this section will necessarily be valid as well. Should future
regulations go too far, they will be ultra vires. The only question before
us now is whether s. 10 itself falls under the criminal law power.
[96]
The Attorney General of Quebec’s second
objection to s. 10 is that its dominant purpose, or pith and substance, is the
regulation of hospitals and medical practice and research, which come within
the province’s jurisdiction over health. Against this, the Attorney General of
Canada argues that the criminal law purpose underlying s. 10 is “a mix of
concerns about health protection, morality and ethics” (Factum, at para. 88),
and thus serves valid criminal law purposes. The Attorney General of Canada
contends that licensing is the only means of identifying where suspect
practices are performed, and by whom. In turn, the regulations introduced
under s. 10 provide a flexible means with which to carve out those aspects of
genetic manipulation that are unacceptable from the perspective of morality, health,
or security. Working together, licensing and regulation provide for
enforceable, tailored prohibitions, which leave the provinces free to regulate
the beneficial aspects of genetic manipulation.
[97]
The Attorney General of Canada identifies a
number of health risks that it seeks to target with s. 10. Sperm and ova from
infected donors pose grave risks to the health of both the women who receive
them and the resulting offspring. Retrieval of ova may cause serious health
problems for women, as the process uses drugs that can induce ovarian
hyperstimulation syndrome, a potentially dangerous condition. Multiple
pregnancies, a common outcome of assisted reproduction, may pose health risks
to women (high blood pressure, kidney trouble and difficult delivery) and to
resulting offspring (cerebral palsy, poor eyesight and breathing problems).
Additionally, the Baird Commission found that alterations to the genetic
material of embryos, either for therapeutic reasons or to enhance certain
physical characteristics, puts offspring at an elevated risk of developing
deformities, functional disturbances, and cancer (Baird Report, at p. 943).
Conduct that creates a serious risk of these problems arguably rises to the
level of a public health evil, and Parliament is entitled to criminalize it.
[98]
The health aspects of s. 10 are buttressed by
morality concerns. The Attorney General of Canada argues that the alteration,
manipulation and treatment of human reproductive material is a quintessential
moral concern capable of grounding criminal law, as attested by the historic
treatment of contraception and abortion (see, e.g., Criminal Code, 1892,
S.C. 1892, c. 29, ss. 179, 271 and 272; Criminal Code, R.S.C. 1906, c.
146, and Criminal Code, R.S.C. 1927, c. 36, ss. 207, 303 and 306; Criminal
Code, S.C. 1953-54, c. 51, ss. 150 and 237). Social mores have changed
over time on these issues, but that is not the point. The point is simply that
s. 10 touches on important moral concerns that have long been held to fall
within the s. 91(27) criminal law power. These concerns have not disappeared.
If anything, the new reproductive technologies have complicated and magnified
them, underscoring the moral concern that
Parliament apprehended.
[99]
Conception no longer occurs by necessity within
a woman’s body, but may, through in vitro fertilization technologies,
take place outside of it. Life, traditionally “created” by sexual
reproduction, may now be created by the asexual replication technique of
cloning. The genetic make-up of offspring, once determined by the natural
process of DNA recombination, may now be artificially altered through genetic
manipulation and germ cell line intervention. And the sex of a child may be
determined at early stages of development, creating attendant moral concerns
(see, e.g., M. Somerville, “Reprogenetics: Unprecedented Challenges to Respect
for Human Life” (2005), 38 Law/Tech. J. 1).
[100]
These developments raise the prospect of novel
harms to society, as the Baird Report amply documents. The “commodification of
women and children” (p. 718); sex-selective abortions (p. 896);
cross-species hybrids; ectogenesis with the potential to “dehumanize
motherhood”; “baby farms” (p. 637); saviour siblings (a child whose primary
purpose is to cure another child suffering from a genetic disorder);
devaluation of persons with disabilities; discrimination based on ethnicity or
genetic status (p. 28); and exploitation of the vulnerable — these are but some
of the moral concerns raised in the Report.
While the ethical acceptability of these techniques is, of course, debatable
(see, e.g., S. Sheldon and S. Wilkinson, “Should selecting saviour siblings be
banned?” (2004), 30 J. Med. Ethics 533), it cannot be seriously
questioned that Parliament is able to prohibit or regulate them.
[101]
Had Parliament wished to prohibit absolutely the
practices targeted in s. 10 — the altering, manipulation and treatment of
human reproductive material — it could have done so (see, e.g., Report of
the Departmental Committee on Human Artificial Insemination (1960), in
which the Scottish Home Department concluded against criminalization, but only
for practical reasons: paras. 259-63). The imposition of a selective, rather
than an absolute prohibition reflects the fact that some uses of human
reproductive material may be beneficial. Acting under s. 10, the executive may
prohibit reprehensible conduct, while leaving the positive aspects of assisted
reproduction untouched. This does not mean that s. 10 of the Act may be
characterized as a law in relation to these exceptions. Rather, the main
thrust of s. 10 is to separate the moral and beneficial from the immoral and
harmful, and to prohibit the latter.
[102]
Section 10 must also be read in light of s. 68
of the Act, which lifts the application of the federal law in any province “if
the Minister and the government of that province agree in writing that there
are law [sic] of the province in force that are equivalent to those
sections and the corresponding provisions of the regulations”. This provision
suggests that Parliament’s object when enacting s. 10 was to establish “minimum
federal safety and ethical standards” for fertility services, while leaving the
provinces in charge of regulating and monitoring the medical profession (Expert
Report by F. Baylis (August 2006), A.R., at p. 7000). Parliament has adopted a
form of legislation akin to the Canadian Environmental Protection Act,
R.S.C. 1985, c. 16 (4th Supp.), upheld in Hydro-Québec: it established
the licensing and regulation scheme itself, but also established an arrangement
whereby similar or identical provincial regulations could govern (s. 68 of the Assisted
Human Reproduction Act and s. 34(6) of the Canadian Environmental Protection
Act). As stated by La Forest J. when reviewing the Canadian Environmental
Protection Act in Hydro-Québec, “in enacting the legislation in
issue here, Parliament was alive to the need for cooperation and coordination
between the federal and provincial authorities. . . . In particular, . . . Parliament
has made it clear that the provisions of this Part are not to apply where a
matter is otherwise regulated under other equivalent federal or provincial
legislation” (para. 153).
[103]
The Attorney General of Quebec submits that,
rather than establishing the regulations itself and allowing equivalent
provincial rules to govern, Parliament should have prohibited all fertility
treatments [translation] “unless
they were regulated properly, and specifically, by the provinces” (transcript, at
p. 39). The Attorney General of Quebec approves of the approach used in the
criminal regulation of lotteries, which prohibits lotteries unless they are
conducted in accordance with provincial regulations (s. 207(1) (a) of the
Criminal Code, R.S.C. 1985, c. C-46 ; Furtney; Siemens v.
Manitoba (Attorney General), 2003 SCC 3, [2003] 1 S.C.R. 6, at para. 35).
Parliament establishes certain requirements for these provincial lottery
schemes, but does not enforce the regulations itself. As noted by the Attorney
General of Quebec, adopting this form of legislation in the Assisted Human
Reproduction Act would result in a prohibition of fertility services in the
provinces that have not enacted the minimum standards required by Parliament.
It would also result in temporary prohibitions every time the federal
government identifies a new concern requiring new regulations.
[104]
I cannot accept that if Parliament wishes to
prevent the problematic outcomes of otherwise beneficial medical treatments, it
must prohibit the treatment until the provinces are able to act. Parliament
came to the conclusion that it would be inappropriate to prohibit all fertility
treatments in a province that had not yet adopted sufficient oversight. It was
willing to do so in the case of gambling, but in the context of medical
treatments, such an absolute ban would have imposed major hardships on
individuals. Further, the form of legislation adopted in this case reflects the
fact that assisted reproduction is a developing field, and that Parliament may
need to enact further regulations to meet newly discovered criminal concerns.
This is not the case for gambling. By regulating fertility services itself, in
conjunction with s. 68 , Parliament allows the enjoyment of the beneficial
aspects of fertility treatments in the interim between the promulgation of new
federal regulations and the adoption of similar rules by the provinces. Section
68 is only relevant to my analysis because it confirms that Parliament had a
valid criminal law purpose for enacting s. 10. Equivalency provisions would
not save federal laws that are ultra vires.
[105]
I conclude that s. 10 is valid criminal
legislation.
(4) Section
11
[106]
Section 11 prohibits a person from combining the
human genome with the genomes of other species — transgenic engineering —
unless permitted by regulations and licence. Like s. 10, it is a prohibition
backed by penalties, set out in s. 61.
[107]
Again, the question is whether the prohibition
is grounded in a valid criminal law purpose. The Attorney General of Canada argues
that transgenic science “could result in a combination of genes that would make
it possible to create an entity with both human and animal characteristics”
(Factum, at para. 73). This, it argues, has “profound ethical and moral
implications . . . for our idea of what a human being is and the integrity of
intrinsic human characteristics” (ibid.). Transgenic science has been
associated with other harmful techniques of assisted reproduction, such as
human cloning and the commodification of reproductive materials (see, e.g., A.
Campbell, “Defining a Policy Rationale for the Criminal Regulation of
Reproductive Technologies” (2002), 11 Health L. Rev. 26). These risks
support the use of the criminal law to control transgenic research.
[108]
In essence, s. 11 uses a selective prohibition
to broaden the absolute prohibitions in s. 5(1)(h), (i) and (j)
on the creation of chimeras and hybrid entities. Section 11 recognizes that
mixing human and non-human genetic material can raise moral concerns long
before such experiments result in the creation of a new life form. The
Attorney General of Quebec accepts that Parliament has a valid moral interest
in banning the harms caught by s. 5(1)(h), (i) and (j).
It is difficult to argue that s. 11’s broader focus on transgenic manipulation
does not invoke the same moral concerns.
[109]
I conclude that s. 11 is valid criminal law.
(5) Section
12
[110]
Section 12 prohibits reimbursing donors for
expenditures incurred in the course of donating sperm or ova, for the
maintenance or transport of an in vitro embryo, or for expenditures
incurred by a surrogate mother — except in accordance with the regulations and
a licence. The section also prohibits reimbursement for expenditures without
receipts, and the reimbursement of surrogate mothers for the loss of
work-related income without medical certification that work may pose a risk to
her health or that of the embryo. The prohibitions in s. 12 are backed by the
penalties in s. 61.
[111]
The question is whether s. 12 has a criminal law
purpose. Section 12 is complementary to ss. 6 and 7, which are conceded to be
valid criminal law. Sections 6 and 7 prohibit the commercialization of
reproduction. These prohibitions are based on the Baird Report, which stated:
“To allow commercial exchanges of this type [buying and selling embryos, use of
financial incentives, etc.] would undermine respect for human life and dignity
and lead to the commodification of women and children” (p. 718). Section 12
addresses the related issue of permitted expenses. It seeks to ensure that
credited expenses are confined to actual outlays, and do not cross the line
into commercialized reproductive activities. This is the line that prohibits
that which is considered inappropriate commodification,
and permits that which is considered acceptable
reimbursement. The act of drawing this line raises fundamental moral
questions. Though there are differing views on where the line should be drawn,
it is difficult to argue that the criminal law power does not permit Parliament
to prohibit that which falls on the wrong side of it.
[112]
I conclude that s. 12 is rooted in the same
concerns as ss. 6 and 7 and is valid criminal law.
(6) Section
13
[113]
Section 13 is an absolute prohibition on the
performance of licensed activities in unlicensed premises, backed by a penalty
set out in s. 61. The only issue is whether it is grounded in a valid criminal law
purpose.
[114]
The purpose of s. 13 is to confine activities
relating to the artificial production of human life to places which have been
licensed to perform such activities. It imposes controls not on what is done,
but on where it is done. The mechanism used is licensing, on the basis of
yet-to-be-adopted regulations.
[115]
On one hand, the Attorney General of Quebec
argues that it is for the provinces, not the federal government, to regulate
the facilities in which medical procedures are performed. In its view, the
establishment of standards for assisted reproduction facilities comes within
provincial jurisdiction.
[116]
On the other hand, the Attorney General of
Canada contends that it is essential to restrict the places in which the
practice of assisted reproduction takes place. The Attorney General of Canada
explains that s. 13 is aimed at preventing the artificial creation of human
life in clandestine laboratories, on shoddy operating tables, and in shuttered
basements, where human reproductive material might be imperilled, unhampered by
regulatory supervision. It prohibits this and imposes a penalty.
[117]
The location where assisted
reproduction takes place is important. The
facilities must be equipped and staffed to properly care for donors, donees,
and delicate life forms produced by artificial means. The suitability of
assisted reproduction facilities is vital to avoiding harms related to morality
and health. In turn, these facilities must be identified so that they can be
subject to inspection and control. As with ss. 10 to 12, licensing provides
the only practical means of enacting a prohibition on substandard facilities.
[118]
The production of human life in clandestine
facilities may well constitute a public health evil. The conduct involved can
pose serious health risks to those involved. Inadequate equipment,
unsterilized facilities, unqualified staff, inappropriate emergency protocols —
all of these factors and more may pose grave risks to the health of donors,
mothers, and the future human beings who are the object of the exercise.
[119]
These health-related objectives overlap with the
moral concern of ensuring that assisted reproduction facilities are subject to
supervision. The Baird Report concluded that human reproductive material
attracts special moral concerns. These concerns come to the fore in the
creation and preservation of life by artificial means. Parliament is entitled
to prohibit the performance of assisted reproduction procedures in secret, lest
human reproductive material be manipulated and put to purposes that are
considered immoral. Parliament is also entitled to prohibit the performance
of assisted reproduction procedures in facilities that are unable to
appropriately support human life. For example, it would cheapen human life to
permit artificially created newborns to die simply because a facility was not
equipped to meet their special needs. These prohibitions speak to our
fundamental notions of humanity. Consequently, the morality interest validates
the use of criminal sanctions to prevent assisted reproduction from being
practised in unsuitable venues. In turn, this objective is actualized by way
of licensing.
[120]
The prohibition on unlicensed facilities does
not oust the ability of the provinces to designate the facilities in which
assisted reproduction procedures are performed. Section 13 does not confine
these activities to any specific facilities. The hospitals and research
centres where these procedures take place will be subject to concurrent
provincial licensing. Section 13 does not displace this provincial oversight,
but merely requires a supplementary federal licence certifying that assisted
reproduction processes can be carried out in the laboratory or hospital in
question. Further, if the province and the federal
government reach an equivalency agreement under s. 68 , the province alone would
issue and enforce licences under s. 13. This prohibition does not seek
to usurp the provinces’ role in regulating hospitals and research centres, but
rather to prevent specific practices from being carried out in unsuitable
facilities.
[121]
I conclude that s. 13 addresses serious harms
both to society and the individuals involved in assisted reproduction
procedures. It is valid criminal law.
(7) Summary
[122]
I conclude that, in pith and substance, the
prohibitions in ss. 8 to 13 come within the scope of the federal criminal law
power and are valid criminal law. Together with ss. 5 to 7, these provisions
form a valid prohibition regime that is consistent with the general pith and
substance of the Assisted Human Reproduction Act as a whole.
[123]
I turn now to the validity of the administration
and enforcement provisions in the remainder of the Act.
C. Are
the Administrative Provisions of the Act (Sections 14 to 61 and 65 to 68)
Ancillary to the Prohibition Regime in Sections 5 to 13?
[124]
The criminal prohibitions in ss. 5 to 13 are
followed by a number of sections that provide for their administration and
enforcement. Sections 14 to 19 set up a system of information management.
Sections 20 to 39 of the Act establish the Assisted Human Reproduction Agency
of Canada. Sections 40 to 59 charge the Agency with administering and
enforcing the Act and regulations, and authorize it to issue licences for
certain activities related to assisted reproduction. Finally, ss. 60 and 61
provide for penalties, ss. 65 to 67 authorize the promulgation of regulations,
and s. 68 addresses the equivalency agreements with the provinces.
[125]
In pith and substance, many of these provisions
do not come within Parliament’s criminal law power. However, the Attorney
General of Canada argues that these provisions (the “ancillary provisions”)
support the criminal law prohibitions in ss. 5 to 13 of the Act and are valid
under the doctrine of ancillary powers (also known as the ancillary doctrine:
see Global Securities Corp. v. British Columbia (Securities Commission),
2000 SCC 21, [2000] 1 S.C.R. 494, at para. 45).
[126]
The ancillary powers doctrine holds that
legislative provisions which, in pith and substance, fall outside the
jurisdiction of the government that enacted them, may be upheld on the basis of
their connection to a valid legislative scheme. This doctrine addresses the
reality in federal states that one level of government will often be unable to
legislate effectively on matters within its jurisdiction without trenching on
subjects that belong to the other level of government. At the same time,
however, the doctrine of ancillary powers seeks to maintain the basic division
of federal and provincial powers established by the Constitution Act, 1867 .
[127]
The Court has developed a rational, functional test
to describe the required connection, with the caveat that a test of necessity
will apply where the encroachment on the jurisdiction of the other level of
government is substantial: General Motors, at pp. 667-70; Reference
re Goods and Services Tax, [1992] 2 S.C.R. 445, at pp. 469-70; Kirkbi AG
v. Ritvik Holdings Inc. The idea of proportionality underlies the idea of
a rational and functional standard for some cases and standard of necessity for
others. The more an ancillary provision intrudes on the competency of the
other level of government, the higher the threshold for upholding it on the
basis of the ancillary powers doctrine. Though this test has been criticized
as too dependent on a subjective classification of the severity of the
intrusion (see Hogg, at p. 15-43), for the purposes of this decision it need
not be revisited.
[128]
In General Motors, Dickson C.J. noted a
number of factors that would determine the severity of an extrajurisdictional
incursion. These factors may be summarized as follows.
[129]
The first factor concerns the scope of the
heads of power in play — whether they are broad or narrow. Dickson C.J.
focussed on the head of power that validates the scheme in which the impugned
provision appears. Broad heads of power lend themselves to jurisdictional
overlap, and are “therefore less likely to give rise to highly intrusive
provisions” (General Motors, at p. 671). This stands in contrast to
narrow heads of power, which are “quite susceptible to having provisions
‘tacked-on’ to legislation which is validated under them” (ibid.).
Dickson C.J. thus concluded that the intrusion on the powers of the other level
of government will usually be less serious where the impugned provision appears
in a legislative scheme that is validated under a broad head of power. This
logic suggests that it is also important to consider the head of power that the
impugned provision is said to infringe. If it intrudes upon a broad head of
power, the intrusion will generally be less serious because it does not overwhelm
the jurisdiction of the other level of government. Conversely, an intrusion on
a narrow legislative competency will be more serious because it threatens to
obliterate that head of power.
[130]
The second factor concerns the nature of the
impugned provision. In General Motors, Dickson C.J. considered the
intrusion on provincial powers less serious because the nature of the impugned
provision in that case was remedial. The provision was designed “to help
enforce the substantive aspects of the Act, but it [was] not in itself a
substantive part of the Act” (p. 673). Dickson C.J. also noted that the
incursion on the jurisdiction of the other level of government would be less
serious where the impugned provision was limited in scope, and did not create
general rights. Another relevant aspect of the nature of the impugned
provision is whether it is intended to replace legislation introduced by the
other level of government, or merely supplement it. An intrusion will be less
serious when the impugned provision is meant to coexist with legislation
enacted by the other level of government.
[131]
Finally, Dickson C.J. considered whether the
impugned provision’s enacting body had a history of legislating on the
matter in question. A history of legislation in the area supports the
legitimacy of the impugned provisions and suggests they will not prove unduly
intrusive on the other level of government. Thus the enacting body is “not
constitutionally precluded” from enacting similar legislation “where such
measures may be shown to be warranted” (p. 673). In General Motors, it
sufficed that Parliament had a history of intruding on provincial jurisdiction
by creating rights of civil action. This track record demonstrated that the
inclusion of such a right was “not constitutionally fatal” (p. 674).
[132]
Dickson C.J.’s list of factors did not purport
to be exhaustive, and the assessment of the seriousness of an intrusion must
ultimately be grounded in the facts of each case. However, the General
Motors factors align well with the facts of the present appeal.
[133]
Before turning to the question of how
seriously the ancillary provisions intrude on provincial jurisdiction, it is
useful to describe the nature of the intrusions. Some of the ancillary
provisions are criminal in nature and do not significantly intrude on
provincial powers. The provisions for enforcement (ss. 45 to 59), promulgation
of regulations (ss. 65 to 67), and imposition of penalties (ss. 60 and 61) are
essentially part of the criminal prohibitions in ss. 5 to 13. Indeed, many of
them are rough analogues to provisions in the Criminal Code . The
organizational provisions in ss. 20 to 39 are similar in nature. However,
other provisions intrude directly on provincial powers. Of particular
significance are the information management provisions in ss. 14 to 19 , which
define standards of consent and privacy, charge the Agency with managing
personal health information, and establish rules for the medical profession.
Additionally, the administrative provisions in ss. 40 to 44 endow the Agency
with broad powers to grant licences that affect the who, where, when, and how
of assisted reproduction.
[134]
The question is whether these provisions, taken as a whole,
represent a minor incursion on provincial powers, or a substantial one. The
first consideration is the scope of the provincial head
of power in play. In the present appeal, the ancillary
provisions generally fall under the provincial powers over property and civil
rights (s. 92(13)) and matters of a merely local or private nature (s.
92(16)). Both of these heads of power are very broad, and they are often seen
as sources of residual jurisdiction: see Hogg, at pp. 17-2 and 17-3. The
breadth of these heads of power renders the intrusion less serious.
[135]
This brings us to the second factor, the nature of the ancillary
provisions. None of these provisions purport to create a substantive right.
Rather, as explained below, they function merely to assist in enforcing the
Act. Without the prohibition regime in ss. 5 to 13, these provisions would
serve no purpose; they would establish an agency with
nothing to enforce. Consent is obtained, information flows, and privacy is
protected — all to ensure the smooth functioning of the criminal prohibitions.
Moreover, the ancillary provisions are tailored to a small corner of the vast
topography of the provincial power over health: namely, the harmful aspects of
assisted human reproduction, insofar as they are specifically targeted by the
Act and regulations. The impact of the law on provincial powers is real, but
it is confined in a manner consistent with the purpose of the Act.
Furthermore, the ancillary provisions are designed to supplement, rather than
exclude, provincial legislation. The Act imposes federal rules on the practice
of assisted reproduction, but it does not prevent the provinces from regulating
this field, especially for the promotion of its beneficial aspects. This
conclusion is underscored by the equivalency provision in s. 68, which provides
that the Governor in Council may consent to suspending certain portions of the
Act and regulations in favour of equivalent provincial laws. The nature of the
ancillary provisions points in the direction of a minor intrusion on provincial
powers.
[136]
Finally, I turn to Parliament’s history of legislating in the
field occupied by the ancillary provisions. Parliament
has long sought to address issues of morality, health, and security. As
discussed above, it has also invoked the criminal law power to uphold
regulatory schemes. Of particular relevance is Parliament’s history of
administering and enforcing these statutes, often by way of licensing bodies
like the Agency: see Firearms Reference; Hydro-Québec. These
historical comparisons suggest that the ancillary provisions constitute only a
minor intrusion on provincial powers.
[137]
In light of these factors, I conclude that the
ancillary provisions constitute a minor incursion on provincial jurisdiction.
Accordingly, the rational and functional connection test should be applied in
this case.
[138]
The rational and functional connection test
assesses the relationship between the ancillary provisions and the otherwise
valid legislative scheme in which they appear. The ancillary provisions must
support the scheme in a way that is rational in purpose and functional in
effect. This means that they must “complement rather than supplement” the
legislative scheme: Papp v. Papp, [1970] 1 O.R. 331 (C.A.), at p. 336.
It also means they must be appropriately tailored to fill “gaps” in the
legislative scheme that might otherwise lead to inconsistency, uncertainty, or
ineffectiveness: Kirkbi AG v. Ritvik Holdings Inc. It need not be shown that the scheme would fail without the
ancillary provisions; that would be a test of necessity. Rather, the ancillary
provisions must themselves perform a function that complements the other
provisions in the scheme, and they cannot have been tacked on merely as a
matter of convenience.
[139]
The rational, functional connection test
recognizes the need to protect the supremacy of each level of government in the
areas of jurisdiction assigned to it by the Constitution Act, 1867 .
However, it also recognizes that these heads of power are no longer
watertight. The complexity of modern legislation will often render it
impossible for one level of government to fulfill its constitutional mandate
without trespassing on the jurisdiction of the other level. The Court’s
endorsement of a flexible, cooperative approach to federalism suggests that
this kind of pragmatic lawmaking should be encouraged: see Dickson C.J. in OPSEU
v. Ontario (Attorney General), [1987] 2 S.C.R. 2, at p. 18;
Canadian Western Bank v. Alberta, at para. 42.
[140]
The final question is whether the ancillary
provisions are rationally and functionally connected to the valid criminal law
provisions in ss. 5 to 13 of the Act.
(1) Sections
14 to 19
[141]
The first set of ancillary provisions are ss. 14
to 19, which address access to information. These provisions harness
the flow of information, first to deal appropriately with consent and related
privacy issues, and second to facilitate compliance with the Act. Both these
goals are rationally connected to the scheme in ss. 5 to 13. The only purpose
of these information management provisions is to further the scheme.
Functionally, they fill gaps that would otherwise undermine the operation of
the prohibition regime.
[142]
Consent is central to the scheme established by the Act. Section
2(d) declares that “the principle of free and informed consent must be
promoted and applied as a fundamental condition of the use of human
reproductive technologies”. This concern is reflected in the
consent provisions of s. 8, which bar the use of human reproductive material to
create an embryo, or the use of an in vitro embryo, unless the donor
consents. The importance of consent is intimately tied to moral concerns, as
discussed earlier.
[143]
Sections 14 to 19 contain a number of provisions
to ensure that participants give consent, have sufficient information to make
this consent meaningful, and that their privacy is protected throughout. These
provisions ensure that donors are aware of the requirements and protections of
the Act and have adequate counselling services so as to give full and informed
consent (s. 14(2)). Additionally, they provide for disclosure of relevant
health information to participants in, and offspring of the processes (s.
18(3), (4) and (7)) so that they, too, will have the necessary information to
manage their own reproductive lives. Furthermore, the information management
provisions provide for the withdrawal of consent, requiring the destruction of
personal information and reproductive material (s. 16(2) and (3)). Finally,
these provisions also protect privacy interests, so that the laudable ends of
informed consent do not unduly compromise human dignity (ss. 15(1) and 18(2)).
[144]
Compliance is also central to the operation of the Act, because a
prohibition regime would be useless if it did not have a mechanism to ensure
that its provisions are respected. Sections 14 to 19 achieve this end by
coordinating information sharing between the relevant actors: donors,
practitioners, the Agency, and the public. With regard to donors, s. 14(2)
provides that they will be informed of the prohibitions and protections of the
Act, ensuring that they have sufficient information to comply with the Act and
demand compliance of practitioners. As for practitioners and other licensees,
s. 14(1) provides that they will have sufficient information about donors to
avoid contravening the prohibitions in the Act (e.g., by accepting a donation
of reproductive material from an underage donor, in contravention of s. 9).
Sections 15 and 16 cover the disclosure of personal information to the Agency,
the courts and insurers, while s. 17 charges the Agency with maintaining a
personal health information registry to assist in administering and enforcing
the Act (see also s. 18(1)). Finally, s. 19 gives the public a right to access
certain information about the Agency’s activities, thereby promoting compliance
by subjecting enforcement of the Act to public scrutiny.
[145]
It is not difficult to see how the collection of information will
help to ensure that the Act’s prohibitions are respected and, if defied, that
such conduct will be effectively prosecuted.
[146]
I conclude that ss. 14 to 19 are closely tied to the valid
criminal prohibitions in ss. 5 to 13. These prohibitions fill a gap by
addressing the practical considerations inherent in the functioning of the
legislative scheme. Because they do so in a tailored manner, they constitute a
proper exercise of ancillary powers.
(2) Sections
20 to 59 and 65 to 67
[147]
The organizational provisions in ss. 20 to 39,
the administrative provisions in ss. 40 to 44, the enforcement provisions in
ss. 45 to 59, and the regulatory provisions in ss. 65 to 67 are clearly
ancillary to the criminal prohibition regime in ss. 5 to 13, furthering it in
both purpose and functional effect. All of these provisions present the
necessary rational connection to the valid criminal law prohibitions in the
Act. I consider each set of provisions in turn.
[148]
The organizational provisions in ss. 20 to 39
merely establish the Agency to administer and enforce the federal Act, and, as
such, the constitutionality of this portion of the legislation is entirely
subsidiary to the constitutionality of the prohibitions in ss. 5 to 13.
Indeed, the Attorney General of Quebec does not claim that these provisions are
unconstitutional.
[149]
The administrative provisions in ss. 40 to 44
are concerned with the issuance of licences for controlled activities (s. 40).
This is directly related, as discussed above, to prohibiting harmful and
immoral conduct, while excepting beneficial activity. Licensing helps to
ensure that selective prohibition targets morally reprehensible conduct, and
does so in a flexible manner that can adapt to changing circumstances. It does
so by restricting and supervising the use of technologies associated with the
artificial creation of human life. In this situation, licensing is about
separating good from bad, not about promoting or encouraging the positive
aspects of assisted reproduction. Sections 41 to 44 are collateral to this
purpose.
[150]
The provisions relating to inspection and
enforcement of the Act found in ss. 45 to 59 also constitute a valid exercise
of ancillary powers. They are part and parcel of the scheme by which
Parliament prohibits immoral and potentially harmful uses of human reproductive
material, while permitting beneficial uses to continue. Without inspection and
enforcement provisions, the prohibitions of ss. 5 to 13 would be ineffective.
The manipulation of human reproductive material happens in the privacy of
laboratories, requiring special rules for inspection and enforcement. In
essence, these provisions are analogous to the search and seizure powers in the
Criminal Code , narrowly tailored to the special exigencies of enforcing
the Assisted Human Reproduction Act .
[151]
Finally, the regulatory provisions in ss. 65 to
67 permit adaptations as required by changing circumstances in the rapidly
evolving field of assisted reproduction. Section 65 lists a number of topics
on which the Governor in Council may enact specific rules to more precisely
tailor the prohibition regime to the particular demands of the moment. This
regulatory power is merely the mechanism by which a set of selective
prohibitions addresses an ever-changing subject. The Attorney General of
Quebec does not seek to have these provisions declared unconstitutional.
(3) Equivalency
Provisions
[152]
Section 68 of the Act permits the Governor in
Council to declare provisions of the Act inapplicable in a province where a
provincial law contains similar provisions, pursuant to an agreement with that
province. This provision recognizes the fact that assisted human reproduction
is an area of overlapping jurisdiction, and it provides for harmonization and
the avoidance of duplication where provincial laws cover the same matters as
the Act. Section 68 provides a flexible approach to federal-provincial
cooperation, which is appropriate to modern federalism, where matters will
frequently attract concurrent legislative authority.
[153]
This provision is not seriously attacked,
although the Attorney General of Quebec argues that its presence is indicative
of the predominantly regulatory nature of the legislation. This is an old
argument, and it has been soundly rejected in the jurisprudence. The mere fact
that a matter comes within provincial jurisdiction does not preclude it from
coming under federal jurisdiction as well. As noted
above, this Court has upheld as constitutional provisions that allow the
provinces to limit the scope of federal legislation under cooperative schemes: Lord’s
Day Alliance of Canada v. Attorney General of British Columbia, [1959]
S.C.R. 497, Furtney and Hydro-Québec.
[154]
I conclude that s. 68 is constitutional.
(4) Sections
60 and 61
[155]
These provisions are not seriously attacked.
They simply provide the penal sanctions that are necessary for criminal law
provisions. Like the penal provisions of the Criminal Code of Canada,
they are valid.
V. Conclusion
[156]
I conclude that the impugned sections of the Act
are valid. The prohibitions in ss. 8 to 13 fall within the federal criminal
law power under s. 91(27) of the Constitution Act, 1867 . The remaining
sections are ancillary to this criminal law scheme. Consequently, I would allow
the appeal and answer the constitutional question as follows:
Do ss. 8 to 19, 40 to 53, 60, 61 and 68 of
the Assisted Human Reproduction Act, S.C. 2004, c. 2 , exceed, in whole
or in part, the legislative authority of the Parliament of Canada under the Constitution
Act, 1867 ?
Answer: No.
English version of the reasons of
LeBel, Deschamps, Abella and Rothstein JJ. delivered by
[157]
LeBel and Deschamps JJ. — In 2001, Health Canada estimated that every
100th baby in the industrialized world was being conceived through the
application of some kind of assisted human reproduction technology (Proposals
for Legislation Governing Assisted Human Reproduction: An Overview (May
2001)). The popularity of assisted human reproduction was bound to increase,
as it corresponded to a need. The same department reported in 2009 that one in
eight Canadian couples experienced problems related to infertility. This
appeal does not concern the appropriateness or wisdom of the decision to
regulate assisted human reproduction, or even the validity of the Assisted
Human Reproduction Act, S.C. 2004, c. 2 (“AHR Act ”), as a
whole. Rather, the dispute relates to the connection between certain
provisions of the AHR Act and the federal criminal law power. The
Attorney General of Canada is appealing as of right from an opinion of the
Quebec Court of Appeal on a reference under the Court of Appeal Reference
Act, R.S.Q., c. R‑23. The following constitutional question was
stated:
Do ss. 8 to 19, 40 to 53, 60, 61 and
68 of the Assisted Human Reproduction Act, S.C. 2004, c. 2 , exceed,
in whole or in part, the legislative authority of the Parliament of Canada
under the Constitution Act, 1867 ?
[158]
For the reasons that follow, we would answer
this question in the affirmative, except to the extent that the offences
provided for in ss. 60 and 61 relate to provisions that are not in
dispute. The provisions of the AHR Act concerning controlled
activities, namely those involving assistance for human reproduction and
related research activities, do not fall under the criminal law power, but
belong to the jurisdiction of the provinces over hospitals, civil rights and
local matters. We would therefore dismiss the appeal.
I. Introduction
[159]
Connecting the impugned provisions with the
heads of power relied on by the parties — criminal law, on the one hand, and
property and civil rights, education, hospitals and local matters, on the other
— is a particularly delicate exercise because the scopes of certain of these
powers are not clearly defined. As we will see, however, even though defining
the scopes of certain powers may seem difficult, the powers in question do have
real limits and the courts retain a role in reviewing compliance with those
limits. To determine whether the government that enacted the impugned
provisions has complied with the limits, we will need to review the history of
the AHR Act and the doctrines of Canadian constitutional law.
II. History
of the Assisted Human Reproduction Act
[160]
In 1989, the federal government, which was
already concerned about the stakes of genetic manipulation, struck the Royal
Commission on New Reproductive Technologies (the “Baird Commission”) to inquire
into the existing situation and foreseeable scientific and medical advances in
the area of new reproductive technologies. The Baird Commission was mandated
to inquire both into the impact of these technologies on health and research
and into their ethical, social, economic and legal implications and their
impact on the general public. In November 1993, it tabled its final report
entitled Proceed With Care: Final Report of the Royal Commission on New
Reproductive Technologies (the “Baird Report”). The Baird Commission made
two key recommendations in its report:
1 - that
legislation be enacted to prohibit, with criminal sanctions, certain aspects of
new reproductive technologies; and
2 - that a national regulatory body
for reproductive technologies be established. (See Executive Summary, at
p. xxxii.)
[161]
After the Baird Report was tabled, the federal
government initiated a process to implement its recommendations. This process
would prove to be particularly long and arduous. Several bills were introduced
before the AHR Act. They can be divided into two groups. The scope of
the first group of bills was limited to the prohibition of certain activities:
Bill C‑47, An Act respecting human reproductive technologies and
commercial transactions relating to human reproduction, 2nd Sess., 35th
Parl., 1996; Bill C‑247, An Act to amend the Criminal Code (genetic
manipulation), 1st Sess., 36th Parl., 1997; Bill C‑336, An Act to
amend the Criminal Code (genetic manipulation), 1st Sess., 37th
Parl., 2001. The second group of bills purported to regulate certain activities
associated with assisted human reproduction and to create an agency that was to
be responsible for administering the Act . The purpose of each of the bills in
the second group was to implement both the recommendations of the Baird
Report: Bill C‑56, An Act respecting assisted human reproduction,
1st Sess., 37th Parl., 2001‑2002; Bill C‑13, An Act respecting
assisted human reproduction, 2nd Sess., 37th Parl., 2002.
[162]
All five of these bills died on the Order Paper
at the end of the sessions of Parliament in which they were introduced.
[163]
Finally, Bill C‑6, An Act respecting
assisted human reproduction and related research, 3rd Sess., 37th Parl., the
source of the current legislation, was introduced on February 11, 2004.
It passed through every stage of parliamentary scrutiny and received Royal
Assent on March 29, 2004. To this date, the only regulations that have
been made pursuant to this Act are the Assisted Human Reproduction
(Section 8 Consent) Regulations, SOR/2007‑137.
III. Structure
and Content of the Assisted Human Reproduction Act
[164]
The AHR Act is formally divided into
17 parts of varying importance. We will focus on the parts of the Act
that will enable us to determine the objectives Parliament was pursuing in enacting
it. To this end, it will be helpful to reproduce s. 2 of the AHR Act,
in which Parliament stated the principles that guided it:
2. [Declaration] The Parliament of Canada recognizes and declares that
(a) the
health and well‑being of children born through the application of
assisted human reproductive technologies must be given priority in all
decisions respecting their use;
(b) the
benefits of assisted human reproductive technologies and related research for
individuals, for families and for society in general can be most effectively
secured by taking appropriate measures for the protection and promotion of
human health, safety, dignity and rights in the use of these technologies and
in related research;
(c) while
all persons are affected by these technologies, women more than men are
directly and significantly affected by their application and the health and
well‑being of women must be protected in the application of these
technologies;
(d) the
principle of free and informed consent must be promoted and applied as a
fundamental condition of the use of human reproductive technologies;
(e) persons
who seek to undergo assisted reproduction procedures must not be discriminated
against, including on the basis of their sexual orientation or marital status;
(f) trade
in the reproductive capabilities of women and men and the exploitation of children,
women and men for commercial ends raise health and ethical concerns that
justify their prohibition; and
(g) human individuality and
diversity, and the integrity of the human genome, must be preserved and
protected.
[165]
After this statement of principles, the Act
contains a series of definitions, which are followed by a number of provisions
divided into two classes: Prohibited Activities and Controlled Activities.
The parts under these headings represent two distinct branches of activities
related to genetic manipulation.
[166]
Sections 5 to 9 list the prohibited
activities. The Baird Commission stated that most of these activities or
technologies were considered to be unacceptable, mainly for ethical or moral
reasons, but also in some cases because of a lack of knowledge of the health
risks they might entail (Baird Report, at p. 108). A voluntary moratorium
on nine of these activities and technologies had been announced in 1995, after
the Baird Report was tabled (Health Canada, News Release 1995‑57). The
prohibited activities are: cloning human embryos (s. 5(1)(a));
creating in vitro embryos for any purpose other than creating a human
being or conducting research (s. 5(1)(b)); manipulating embryos to
create children whose parents never existed genetically (s. 5(1)(c));
maintaining embryos outside a woman’s body after the 14th day following
fertilization (s. 5(1)(d)); engaging in sex selection for non‑medical
reasons (s. 5(1)(e)); altering the genome of a cell such that the
alteration is capable of being transmitted to descendants (s. 5(1)(f));
creating animal‑human chimeras or hybrids (s. 5(1)(g), (h),
(i) and (j)); entering into pre-conception or surrogacy
arrangements for a fee (s. 6); and purchasing or selling ova, sperm and/or
embryos (s. 7). Removal and use of human reproductive material without
consent (s. 8) are also dealt with in the part on prohibited activities.
However, unlike most of the other activities listed in this part, which the Act
prohibits completely, the removal and use of such material are permitted if
consent is given in the form prescribed by regulations. As well, obtaining any
sperm or ovum from a minor is prohibited by s. 9, except to enable the
minor to become a parent. The constitutionality of the absolute prohibitions,
that is, of those provided for in ss. 5 to 7 , is not in issue here, but
the validity of the prohibitions in ss. 8 and 9 is being challenged.
[167]
The controlled activities are set out in
ss. 10 to 13 of the AHR Act. These provisions are being challenged.
They concern both assisted human reproduction and related research.
[168]
When it decided to regulate what are called
“controlled” activities, Parliament clearly took into account the concerns
expressed about the ethical and moral aspects and the safety of assisted
reproductive activities. And in so doing it clearly intended to implement the
Baird Report’s second recommendation in order to ensure that Canadians could
have access to assisted reproduction services. In Chapter 4 of the
report, the Commission had stated that,
• if
safe, ethical, and effective means are available to help Canadians achieve the
goal of having a healthy child, then as a caring society we should consider how
to devote our collective resources to doing so;
• if
procedures have been demonstrated to be safe and effective, and if we
have determined as a society that they should be available, then we must be
prepared to commit public resources to their provision through the health care
system; to do otherwise would be to ignore Canadians’ values with respect to
non-commercialization of reproduction and equity and fairness in access to
treatment, and, as we will show in subsequent chapters, to undermine the
publicly funded health care system by imposing uncontrollable burdens on it;
and
• if a procedure is to be provided through the
public health system, access to it must be determined by medical criteria and
in accordance with the principles established in the Canada Health Act ,
the Canadian Charter of Rights and Freedoms , and human rights
legislation. [Emphasis added; p. 86.]
At
the end of its work, the Commission had noted a near‑total consensus on
certain activities:
• in
vitro fertilization and assisted insemination are legitimate medical
responses to infertility; internationally, the trend has been to
institutionalize this response through some form of national accreditation or
licensing and record keeping for assisted conception research and treatment;
[and]
. . .
• internationally, there is general agreement
that the use of donated gametes or zygotes is permissible . . . . [Emphasis
added; p. 140.]
[169]
It can thus be seen that the Commission was of
the opinion that assisted reproductive activities and related research should
be permitted. This means that it considered them morally and socially
acceptable (Baird Report, at p. 109).
[170]
Section 10 concerns obtaining, storing,
transferring, destroying, importing or exporting embryos or human reproductive
material for the purpose of creating an embryo (s. 10(3)); creating
embryos (s. 10(1)); and using, altering or manipulating in vitro embryos
(s. 10(2)).
[171]
Section 11 requires compliance with
regulations on transgenic research. Section 65(1)(d) establishes a
power to specify parts or proportions of the human genome that may be used in
conjunction with all or parts of the genome of another species.
[172]
Section 12 regulates the reimbursement of
expenditures related to the donation, maintenance and transport of reproductive
material and to the pregnancy of surrogate mothers. Its provisions shed light
on the real purpose of the prohibitions set out in ss. 6 and 7, as it
prohibits only the commercialization of the provision of genetic material or of
surrogacy.
[173]
Section 13 regulates the use of any
premises for a controlled activity.
[174]
A separate part of the Act deals with the
collection and disclosure of personal information and the provision of
counselling services (ss. 14 to 19).
[175]
Sections 20 to 39 define the
responsibilities of the Minister of Health and establish the structure of the
Assisted Human Reproduction Agency of Canada (the “Federal Agency”).
Sections 40 to 59 concern the Federal Agency’s powers of enforcement and
administration. These powers relate primarily to the controlled activities
(see, e.g., s. 40(1)). Sections 60 and 61 provide for penal
sanctions for violating the Act , and ss. 62 to 64 address certain
procedural issues. The power to make regulations is granted in ss. 65 to
67 . Sections 68 and 69 provide for the making (and termination) of
equivalency agreements between the Minister and provincial governments pursuant
to which the Governor in Council may declare that ss. 10 to 16 , 46 to 53
and 61 do not apply. In this regard, it should be mentioned that ss. 40
to 53 , 60 , 61 and 68 are being challenged. However, although ss. 60 and
61 are being challenged as a whole, they should not be declared
unconstitutional in their entirety even if the position of the Attorney General
of Quebec is accepted, because the offences they establish relate not only to
the impugned provisions, but also to the provisions that are not being
challenged. In such a case, they should therefore be read down rather than
being simply declared invalid.
[176]
We will return to the different parts of the AHR
Act below. For now, we will simply note that substantive and formal
distinctions are drawn between prohibited activities and controlled
activities. The dichotomy between dangerous activities and activities that
benefit society appears clearly from Parliament’s statement of principles in
s. 2 and from the titles used in the Act itself. Furthermore, whereas the
category of controlled activities concerns services that are available to
persons in need of assistance because of an inability to reproduce and that are
used by professionals who provide the required help, the activities that are
prohibited completely do not involve techniques used in assisted human
reproduction.
[177]
In sum, the substantive and formal distinctions
between controlled activities and activities that are prohibited completely
stem from the legislative history, from the nature of the activities and from
how they are presented in the AHR Act. The Chief Justice interprets
the AHR Act very differently. She disregards its legislative history,
even criticizing us for attaching importance to the Baird Report. She takes no
account of the distinction the Commission drew in its report between prohibited
activities and controlled activities. In this regard, she asserts that the
fact that the Commission recognized the positive aspects of assisted human
reproduction does not mean that Parliament shared the Commission’s concerns.
We can only emphasize that there is no factual basis whatsoever for the
Chief Justice’s interpretation. Her approach is contrary to the usual
approach to constitutional analysis. In conducting such analyses, this Court
gives considerable weight to the legislative facts. Moreover, in an affidavit
filed in evidence during the hearing in the Court of Appeal, Francine Manseau,
Senior Strategic Policy Advisor, Assisted Human Reproduction Implementation
Office, Department of Health Canada, clearly stated that the mandate received
from the Minister had been [translation]
“to analyse the Baird Report and develop policy statements consistent
with its recommendations and findings” (A.R., at p. 6961). We therefore
prefer to keep the legislative history and the distinctions between prohibited
and controlled activities in mind. We will now review the parties’ positions
on the issues.
IV. Positions
of the Parties
[178]
The Attorney General of Canada describes
assisted human reproduction as a “novel” reality, as a technique of “artificial
creation of human life”. He views it as a single set of activities, which
means that a comprehensive approach must be taken in determining whether the
Act is constitutional and that the provisions of the Act can in this way be
linked to the criminal law. The purpose of the scheme is to protect morality,
safety and public health in the “novel” context of the artificial creation of
human life. The adoption of prohibitions with exemptions and conditions makes
it possible to take a systematic and integrated approach to the problems raised
by the various aspects of assisted human reproduction, and to the complexity of
the issues it raises. The Attorney General of Canada submits that the AHR
Act does not encroach on the field of medical practice because its
provisions have little or nothing to do with the practice of medicine. On the
other hand, it cannot be denied that they have a connection with the protection
of public health, which is a legitimate purpose of the criminal law power.
[179]
The Attorney General of Quebec does not question
the action taken by Parliament with respect to the activities prohibited by
ss. 5 to 7. As regards the provisions on consent and on the controlled
activities, however, he considers that Parliament is regulating the entire
field of medicine connected with assisted human reproduction and related
research. In his view, the pith and substance of the provisions is the
regulation of the practice of medicine in the field of medically assisted human
reproduction. He points out that the activities in question are neither harmful
nor morally reprehensible; on the contrary, they are desirable from a health
standpoint. He submits that the practice of medicine in the field of assisted
human reproduction does not differ from the practice of medicine in any other
area in regard to the professional qualifications of the practitioners, to the
respect they must show patients and to compliance with the ethical,
disciplinary and administrative rules governing the practice of medicine in
general. Subjecting this field of medical practice to the control and
oversight of a national agency represents, in this case, a major overflow of
the exercise of federal legislative jurisdiction into matters within the
provinces’ authority. The Attorney General of Quebec does not deal with the AHR
Act as a whole. Rather, he submits that the impugned provisions cannot be
based on the federal criminal law power, because their purpose is not to
suppress or prevent an evil, while a statutory provision cannot be criminal in
nature without having that as its purpose. To hold these provisions to be
constitutional would be to distort the principles of Canadian federalism.
V. Opinion
of the Quebec Court of Appeal, 2008 QCCA 1167, 298 D.L.R. (4th) 712
[180]
The Attorney General of Quebec referred a
question to the Quebec Court of Appeal under the Court of Appeal Reference
Act in order to obtain its opinion on the constitutionality of the impugned
provisions. In its decision, the Court of Appeal expressed the opinion that
the AHR Act [translation] “reveals
the legislative intent to cover the entire field of assisted reproduction, with
respect to both clinical practice and research” (para. 122). It noted
that in this regard the AHR Act [translation]
“may be characterized as comprehensive and exhaustive legislation on the
subject, just as the Baird Commission wished” (ibid.). The Court of
Appeal held that the impugned provisions could not be considered to be criminal
law legislation (at paras. 137 and 138):
[translation]
However valid these intentions [namely the setting of national standards] are,
they do not have the effect of conferring a criminal law purpose on the control
of assisted reproductive activities. The question is not whether the Act is
good or bad, or whether it achieves its objectives or not, but whether its
purpose is criminal in nature. In the present case, with the exception of the
outright prohibitions, the record reveals no “evil” that needs to be
repressed. Rather, it establishes the intent to control the clinical and
research aspects of a medical activity in order to create a uniformity that is
considered to be desirable. The appropriateness of a single piece of
legislation applying to Canada as a whole and regulating a permitted and
recognized activity is not a purpose that confers criminal law jurisdiction.
To
sum up, the fundamental and dominant purpose of the impugned part of the Act is
the safeguarding of health and not the elimination of an “evil”.
[181]
The Court of Appeal did not discuss the
connection between the provisions that are being challenged and those that are
not. It simply concluded that the impugned provisions lay beyond the scope of
Parliament’s criminal law power and did not discuss the ancillary powers
doctrine.
VI. Applicable
Constitutional Principles and Doctrines
[182]
Before discussing the legislative powers relied
on in this case, we must emphasize the existence and the scope of certain
constitutional principles that shape Canadian federalism. The Court considered
these principles in Reference re Secession of Quebec, [1998] 2 S.C.R.
217. It identified four principles that underlie our Constitution as a whole,
and its evolution: constitutionalism and the rule of law, democracy, the
protection of minorities, and federalism (paras. 48‑82). Of
particular interest to us in the case at bar is federalism. According to this
principle, the powers of the different levels of government in a federation are
co‑ordinate, not subordinate, powers. Federalism implies that a
government does not encroach on the powers of the other level of government
(para. 56).
[183]
In that reference, the Court also commented that
the proper operation of Canadian federalism sometimes requires the application
of a principle of subsidiarity in the arrangement of relationships between the
legislative powers of the two levels of government. According to this
principle, legislative action is to be taken by the government that is closest
to the citizen and is thus considered to be in the best position to respond to
the citizen’s concerns (on the application of this principle in public law, see
114957 Canada Ltée (Spraytech, Société d’arrosage) v. Hudson (Town),
2001 SCC 40, [2001] 2 S.C.R. 241, at para. 3). In Reference re
Secession of Quebec, the Court expressed the opinion that “[t]he federal
structure of our country also facilitates democratic participation by
distributing power to the government thought to be most suited to achieving the
particular societal objective having regard to this diversity”
(para. 58). In taking this position, the Court recognized the possibility
inherent in a federal system of applying the principle of subsidiarity, thereby
enhancing its democratic dimension and democratic value added. Moreover, in Canadian
Western Bank v. Alberta, 2007 SCC 22, [2007] 2 S.C.R. 3, the majority warned
against the asymmetrical effect of the doctrine of interjurisdictional
immunity, observing that this doctrine could be seen as undermining the
principle of subsidiarity (para. 45). In their view, the powers assigned
in the Constitution Act, 1867 to the provinces on the one hand and the
central government on the other are largely consistent with the principle of
subsidiarity. According to Professor Hogg, the broad interpretation that the
Privy Council and this Court generally gave the provincial jurisdiction over
property and civil rights is explained by their acceptance of the principle of
subsidiarity (P. W. Hogg, Constitutional Law of Canada (5th
ed. Supp.), at p. 5‑13). This principle is therefore an important
component of Canadian federalism.
[184]
In performing their function as interpreters of
the law in the context of Canada’s federal system, the Canadian courts have
developed a number of doctrines based on constitutional principles, two of
which could apply in the instant case: the double aspect doctrine and the
ancillary powers doctrine. Because it can be difficult to legislate
effectively within a rigid, formal framework, these two doctrines introduce a
measure of flexibility that enables governments at different levels to co‑operate
in pursuing their legislative mandates. The constitutional analysis required
by these two doctrines involves identifying the pith and substance of
the impugned statute or provisions. The identification of the pith and
substance focusses on the rule applicable to the facts or conduct. The pith
and substance is identified by considering both the rule’s purpose and its
effects: Kitkatla Band v. British Columbia (Minister of Small Business,
Tourism and Culture), 2002 SCC 31, [2002] 2 S.C.R. 146, at paras. 53‑54.
Several expressions have been used to describe the purpose of a rule:
“dominant purpose” (RJR‑MacDonald Inc. v. Canada (Attorney General),
[1995] 3 S.C.R. 199, at para. 29), “leading feature or true character” (R.
v. Morgentaler, [1993] 3 S.C.R. 463, at pp. 481‑82), and
“dominant or most important characteristic” (Friends of the Oldman River
Society v. Canada (Minister of Transport), [1992] 1 S.C.R. 3, at pp. 62-63).
We will use the expression “dominant purpose”, which incorporates all the
necessary nuances.
[185]
Activities, acts or conduct can sometimes be
viewed from different normative perspectives, one relating to a federal power
and the other to a provincial power. Where this is the case, the double aspect
doctrine is engaged: Siemens v. Manitoba (Attorney General), 2003 SCC
3, [2003] 1 S.C.R. 6, at para. 22; Krieger v. Law Society of Alberta,
2002 SCC 65, [2002] 3 S.C.R. 372; Law Society of British Columbia v. Mangat,
2001 SCC 67, [2001] 3 S.C.R. 113; R. v. Furtney, [1991] 3 S.C.R. 89;
Rio Hotel Ltd. v. New Brunswick (Liquor Licensing Board), [1987] 2 S.C.R.
59; Multiple Access Ltd. v. McCutcheon, [1982] 2 S.C.R. 161; Reference
re Exported Natural Gas Tax, [1982] 1 S.C.R. 1004, at p. 1074; Robinson
v. Countrywide Factors Ltd., [1978] 1 S.C.R. 753; Attorney‑General
for Ontario v. Barfried Enterprises Ltd., [1963] S.C.R. 570; Smith v.
The Queen, [1960] S.C.R. 776; Attorney‑General for Ontario v.
Attorney‑General for the Dominion, [1896] A.C. 348 (P.C.);
Attorney‑General of Ontario v. Attorney‑General for the Dominion of
Canada, [1894] A.C. 189 (P.C.); Hodge v. The Queen (1883), 9 App.
Cas. 117 (P.C.); Papp v. Papp, [1970] 1 O.R. 331 (C.A.).
[186]
Where the pith and substance of a rule set out
in a statute considered as a whole is connected with an exclusive power of the
other level of government, the statute is necessarily invalid.
[187]
Where the connection with a power is challenged
in respect of only one or more provisions of the statute, the court must
inquire into whether another doctrine — the ancillary powers doctrine —
applies. The analytical approach to applying this doctrine has been well established
in Canadian law since General Motors of Canada Ltd. v. City National Leasing,
[1989] 1 S.C.R. 641, in which Dickson C.J. proposed and justified the
approach in the following words:
The
steps in the analysis may be summarized as follows: First, the court must
determine whether the impugned provision can be viewed as intruding on
provincial powers, and if so to what extent (if it does not intrude, then the
only possible issue is the validity of the act). Second, the court must
establish whether the act (or a severable part of it) is valid; in cases under
the second branch of s. 91(2) this will normally involve finding the
presence of a regulatory scheme and then ascertaining whether that scheme meets
the requirements articulated in Vapor Canada, supra, and in Canadian
National Transportation, supra. If the scheme is not valid, that is
the end of the inquiry. If the scheme of regulation is declared valid, the
court must then determine whether the impugned provision is sufficiently
integrated with the scheme that it can be upheld by virtue of that
relationship. This requires considering the seriousness of the encroachment on
provincial powers, in order to decide on the proper standard for such a
relationship. If the provision passes this integration test, it is intra
vires Parliament as an exercise of the general trade and commerce power.
If the provision is not sufficiently integrated into the scheme of regulation,
it cannot be sustained under the second branch of s. 91(2). I note that
in certain cases it may be possible to dispense with some of the aforementioned
steps if a clear answer to one of them will be dispositive of the issue. For
example, if the provision in question has no relation to the regulatory scheme
then the question of its validity may be quickly answered on that ground
alone. The approach taken in a number of past cases is more easily understood
if this possibility is recognized. [pp. 671‑72]
This
test was restated in Kitkatla Band, at para. 58, and in Kirkbi
AG v. Ritvik Holdings Inc., 2005 SCC 65, [2005] 3 S.C.R. 302, at
para. 21.
[188]
As a result of some clarifications made in Canadian
Western Bank, at para. 32, regarding the doctrine of interjurisdictional
immunity, we now prefer ― rather than speaking of an “encroachment”, as
in General Motors, Kirkbi and Kitkatla Band ― to use
the word “overflow” when discussing the ancillary powers doctrine. As this
Court noted in Reference re Firearms Act (Can.), 2000 SCC 31, [2000] 1
S.C.R. 783, laws may validly overflow from the jurisdiction of the government
that enacted them so long as the overflow remains ancillary. Because the word
“encroachment” evokes the effects of a statute or of provisions on a purpose
falling within the core of a power of the other level of government, it is more
appropriately linked with the doctrine of interjurisdictional immunity, which
concerns the applicability of laws, not their validity.
[189]
According to the approach adopted in General
Motors, the first step is to identify the pith and substance (purpose and
effects) of the impugned provisions. If the pith and substance falls within
the jurisdiction of the other level of government, the extent of the overflow
must be assessed. It must then be determined whether the provisions that
overflow from the jurisdiction of the government that enacted them form part of
an otherwise valid statute. Finally, the impugned provisions must be
considered in the context of the entire statute in order to determine whether
they are sufficiently integrated with the other provisions of the otherwise
valid statute.
[190]
It is important to identify the pith and
substance of the impugned provisions as precisely as possible. A vague or
general characterization of the pith and substance could have perverse effects
on more than one level: first on the connection with an exclusive power and
then on the extent of the overflow. For example, a finding that a provision is
in pith and substance in relation to health or to the environment would be
problematic. Those subjects are so vast and have so many aspects that,
depending on the angle from which they are approached, they can support the
exercise of legislative powers of either level of government. It is therefore
necessary to take the analysis further and determine what aspect of the field
in question is being addressed. Logically, except in cases of highly specific
powers, the pith and substance of a provision or a statute will be less general
than that of the power itself. If the characterization of the pith and
substance of a provision is too general, there is a danger of its being
superficially connected with a power of the other level of government.
Moreover, in such a case, because of the numerous aspects of the more general
subject matters, the extent of the overflow will also necessarily be
exaggerated. The identification of the pith and substance of a provision or a
statute is therefore subject to the same requirement of precision as the
identification of the purpose of a provision establishing a limit in the
context of the infringement of a right in an analysis under s. 1 of the Canadian
Charter of Rights and Freedoms . In both cases, properly identifying the
purpose forms the cornerstone of the analysis (see Toronto Star Newspapers
Ltd. v. Canada, 2010 SCC 21, [2010] 1 S.C.R. 721, at para. 21). If
vague characterizations of the pith and substance of provisions were accepted,
this could lead not only to the dilution of and confusion with respect to the
constitutional doctrines that have been developed over the years, but also to
an erosion of the scope of provincial powers as a result of the federal
paramountcy doctrine.
[191]
In sum, the need for precision in characterizing
the pith and substance of a statute or a provision assumes greater importance
where a connection must be made with a power whose limits are imprecise. In
the event of uncertainty, it becomes necessary to turn to the broader,
unwritten rules that serve as the basis of and provide a framework for Canadian
federalism, and the crucial role of which we have already noted.
[192]
Despite its importance, the identification of
the pith and substance remains only one part of the first step in applying the
ancillary powers doctrine. It is also necessary to assess the extent of the
overflow. This assessment becomes particularly important at the final step of
the analysis because, if the provisions ― considered in isolation ―
would be ultra vires the legislature that enacted them, the court
must review the extent to which they are integrated into the otherwise valid
statute of which they form a part. This review must make it possible to
establish a relationship between the extent of the jurisdictional overflow and
the importance of the provisions themselves within the statute of which they
form a part. There are two applicable concepts: rationality ― or simple
functionality, to use the language from General Motors ― and
necessity.
[193]
The need to maintain the balance resulting from
the division of legislative powers provided for in the Constitution Act,
1867 justifies the adoption of a variable test. In the words of Dickson
C.J. in General Motors, “[a]s the seriousness of the [overflow into]
provincial powers varies, so does the test required to ensure that an
appropriate constitutional balance is maintained” (p. 671). Thus,
although the fact that a provision is functionally integrated into valid
legislation is enough for a finding of validity in the case of provisions that,
viewed in isolation, overflow only slightly from the legislative authority of
the government that enacted them, provisions that greatly exceed that authority
would have to meet the test of necessity. In other words, the more necessary
the provisions are to the effectiveness of the rules set out in the part of the
statute that is not open to challenge, the greater the acceptable overflow will
be.
[194]
The Attorney General of Canada does not follow
the approach established in General Motors, according to which the
impugned provisions must be considered first. Instead, he proposes beginning
with an analysis of the legislation as a whole. He had proposed this same
approach in General Motors (p. 666): to begin by reviewing the
legislative framework established in the Combines Investigation Act and
then to analyse the impugned provision itself. The Court rejected that
approach (pp. 666‑67). Nevertheless, the Chief Justice takes it in
the case at bar. With all due respect, the approach in question does not make
it possible to identify the pith and substance of the impugned provisions. In
our view, the General Motors test is grounded in logic. As
Dickson C.J. wrote, “in answering this initial question the court is
considering the provision on its own and not assessing the act” (p. 667).
The purpose of one provision may very well be to prohibit cloning whereas the
purpose of another is the regulation of insemination. Since the purposes and
effects of a statute’s many provisions can be different, it is important to
consider the impugned provisions separately before considering their connection
with the other provisions of the statute.
[195]
The Chief Justice applies three criteria to
justify the overflow from federal jurisdiction. In General Motors,
Dickson C.J. did in fact identify three factors that justified the
impugned overflow in that case: the provision was a remedial one, such
overflows were not unprecedented, and the overflow in that case was limited.
We do not believe that these factors can be applied automatically without
reference to the context, however. Indeed, it would be surprising if a past
overflow from the jurisdiction of one level of government could serve to
justify subsequent overflows without eroding the heads of power concerned. It
is necessary in every case to take into account the observable tangible effects
of the impugned provisions on the relevant heads of power.
[196]
In short, care must be taken to maintain the
constitutional balance of powers at all stages of the constitutional analysis.
Be it in identifying the pith and substance of a statute or a provision or in
reviewing the limits of an assigned power or of the exercise of an ancillary
power, the courts must bear the importance of the unwritten constitutional
principles in mind and must adhere to them.
[197]
Having reviewed the constitutional principles
that may apply in the instant case, we will now analyse the impugned
provisions, which will require us to review the case law concerning the various
heads of power being relied on by the parties.
VII. Analysis
of the Impugned Provisions
[198]
The constitutional question posed by the
Attorney General of Quebec refers to ss. 8 to 19, 40 to 53, 60, 61 and 68
of the AHR Act. At first glance, one might think that the Attorney
General of Quebec has carved up the AHR Act. However, a closer examination
of his submissions shows that the question he posed relates to the provisions
that do not impose an absolute prohibition and the ones concerning the
application of those provisions.
A. Pith
and Substance of the Impugned Provisions
[199]
In accordance with the principles discussed
above, this step in the constitutional analysis involves identifying the pith
and substance of the impugned provisions. The pith and substance can be drawn
from the purpose and the effects of the provisions. But this is only the first
step. If this initial step of the analysis raises doubts regarding the
validity of the impugned provisions, the analysis must be taken further so as
to consider the connection between the provisions that are being challenged and
those that are not. The Attorney General of Canada and the Attorney General of
Quebec take diametrically opposed positions with respect to the pith and
substance of the impugned provisions.
[200]
It should be noted that, in the view of the
Attorney General of Canada, all the provisions of the AHR Act pertain to
“facets of the same novel reality, the artificial creation of human life” (Factum,
at para. 41). The AHR Act contemplates “a range of practices that are all related to that activity,
and that all pose risks to the fundamental values of public morality and health
underlying this mix of concerns” (para. 46). The context of the creation
of life transcends the field of medical practice. According to the Attorney
General of Canada, most of the provisions held by the Court of Appeal to be
invalid have nothing to do with the practice of medicine, and none of them
solely concern it.
[201]
The Attorney General of Quebec states that what
the Attorney General of Canada regards as an “exemption regime” amounts, on the
contrary, to the regulation of an entire area of medicine and research in order
to define its evolving framework and ensure safe, accessible health care.
According to the Attorney General of Quebec, the impugned provisions affect the
health-care services needed to treat infertility, the regulation of health-care
specialists who provide those services, the doctor‑patient relationship
and the rights and obligations arising out of that relationship. In his
opinion, all these matters fall indisputably within the provinces’ power to
make laws in relation to hospitals, education, civil rights and matters of a
local or private nature.
(1) Purpose
of the Provisions
[202]
The words of the statute itself can of course be
of assistance in the identification of the purpose of impugned provisions.
However, the context of the enactment of the statute often reveals as much as,
if not more than, the words used. It is both appropriate and necessary to
review the context as part of the statutory interpretation process, in
constitutional as well as in other matters (Reference re Firearms Act,
at para. 17). We must therefore go back to the Baird Commission’s studies
and the extensive work that followed, as well as to the bills that preceded the
enactment of the AHR Act. It should be borne in mind that the Baird
Commission had a very broad mandate. It was asked to “report on current and
potential medical and scientific developments related to new reproductive
technologies, considering in particular their social, ethical, health,
research, legal and economic implications and the public interest” (P.C. 1989‑2150).
To appreciate the scope of the subjects it addressed in its work, one need only
name a few of the topics it discussed: the costs of new reproductive
technologies, the appropriate allocation of resources, monitoring of the
quality of care, research into risk factors and the prevention of infertility,
and a study on adoption systems in Canada.
[203]
The Baird Commission made recommendations that
would require action by a large number of stakeholders, including the federal
government, provincial and territorial governments and certain professional
organizations. It first recommended that the federal government use its
criminal law power to prohibit activities that are fundamentally incompatible with
the values of Canadian society:
We
have judged that certain activities conflict so sharply with the values
espoused by Canadians and by this Commission, and are so potentially harmful to
the interests of individuals and of society, that they must be prohibited by
the federal government under threat of criminal sanction. [p. 1022]
[204]
Regarding the controlled activities, the Baird
Commission considered that national standards were required. It took the view
that Parliament could rely on the peace, order and good government power to act
in this regard (p. 19). It summarized its position as follows:
In summary, the significance of research,
development, and use of new reproductive technologies for Canadian society as a
whole; the national as well as international character of the issues involved;
the inter‑relatedness of their intra- and extraprovincial dimensions; and
the potential effects of provincial failure to regulate the intraprovincial
aspects of the subject, taken together, indicate the need for national
uniformity in legislative treatment rather than provincial or regional
diversity. To safeguard the individual and societal interests involved, we
believe that regulation of new reproductive technologies must occur at the
national level, although provincial and professional involvement will be
essential to the success of this endeavour. Only then will it be possible to
overcome an increasing fragmentation of regulatory control and the difficulty
of monitoring as practices and technologies expand and multiply.
The
Commission therefore proposes that federal legislation be passed making some
uses of the technologies illegal, thus establishing boundaries around what
Canada considers acceptable use. [p. 22]
[205]
The Baird Commission also recommended that the
federal government set up a national body to oversee activities in the field of
assisted human reproduction. According to its report, such a body would have
to permit the creation and implementation of comprehensive and effective
nationwide standards and monitoring devices. Such a system was considered
preferable to a piecemeal federal reform carried out by individual
departments. It would also be preferable to relying on individual responses by
each province and territory, or on non‑governmental or self‑regulatory
initiatives (pp. 112‑13).
[206]
It is clear that the Baird Commission wanted
certain activities to be denounced and prohibited because, in its view, there
was a consensus that they were reprehensible. But the Commission also wanted
assisted human reproduction and related research activities to be regulated for
the purpose of establishing uniform standards that would apply across Canada.
Thus, it can be seen that the distinction drawn in the AHR Act between
prohibited activities and controlled activities corresponds to the two distinct
categories of activities for which the Baird Commission recommended two
distinct approaches with different purposes.
[207]
The concern the Baird Commission expressed about
the prohibited activities reappeared at every stage of the process leading up
to the enactment of the AHR Act. Thus, in 1995, Health Canada announced
a moratorium on certain reproductive technologies and practices (News Release
1995‑57). The moratorium applied to many of the activities that would
subsequently be prohibited in the AHR Act. A few months after the
announcement of the moratorium, a discussion group on embryo research that had
been set up by the federal government submitted a report to Health Canada.
This group recommended that the criminal law be used to prohibit certain
activities, but that other activities simply be regulated. In its report, it
gave the following justification for the alternative approach it was proposing
for those other activities:
This form of legislative intervention is best
suited to precise, yet flexible control of an activity where the objective is
to set standards of activity (as distinguished from standards of behavior).
(Research
on Human Embryos in Canada (1995), at p. 26)
[208]
The first bill on assisted human reproduction
was introduced in 1996 (C‑47). It included the main prohibitory
provisions now found in the AHR Act. For example, payment for surrogacy
was prohibited, but there was no provision like the one that exists today to
the effect that a surrogate mother could be reimbursed for her expenditures.
As well, the use of genetic material without the donor’s consent was
prohibited, but the terms of consent were not regulated. The next two bills
took the form of proposed amendments to the Criminal Code (C‑247,
C‑336). Like the one that preceded them, these bills provided only for
prohibitions.
[209]
When considered in parallel with the adoption of
a moratorium and the tabling of three successive bills that related to only
certain of the prohibited activities, the statements by the Baird Commission
and the 1995 discussion group that the objective in regulating assisted
reproductive activities was to establish national standards confirms that the
purpose of the current legislative provisions concerning the prohibited
activities must be distinguished from that of the provisions concerning the
controlled activities. The former concern what were considered to be
reprehensible activities that fell within the ambit of the criminal law, while
the latter concern activities that were not to be prohibited, since they were
considered acceptable or even legitimate (Baird Report, at pp. 86, 109 and
140). However, these last activities were to be subject to national standards.
[210]
The way the AHR Act is drafted makes it
clear that the dichotomy between reprehensible activities and desirable ones is
embodied in the coexistence of two distinct schemes and that Parliament
therefore adopted the two recommendations of the Baird Commission
unconditionally. From this perspective, there appears to be a perfect
correspondence between the recommendations and the legislation. The principles
that supposedly guided Parliament and that are set out in s. 2 include the
formal statement that certain practices “raise health and ethical concerns that
justify their prohibition” (para. (f)). Parliament also declared (at
para. (b)) that
the
benefits of assisted human reproductive technologies and related research
for individuals, for families and for society in general can be most
effectively secured by taking appropriate measures for the protection and
promotion of human health, safety, dignity and rights in the use of these technologies
and in related research;
[211]
The Act contains, on the one hand, a list of
prohibited activities. The evidence shows that Parliament could consider these
activities unacceptable on the basis of the Baird Report, the discussion
group’s comments on embryo research and the work of Health Canada. As we
mentioned above, these activities include human cloning (s. 5(1)(a))
and creating an embryo for any purpose other than creating a human being
(s. 5(1)(b)). Moreover, although both the prohibited and the
controlled activities involve the manipulation of genetic material, most of the
prohibited activities cannot be considered to be acts connected with assisted
human reproduction. On the other hand, the evidence also shows that the same
authorities recognized that some assisted reproductive technologies are
beneficial to society and should accordingly be supported, although they also
need to be regulated. Finally, some of these technologies, such as
transplanting sperm into a woman’s body and in vitro fertilization, have
been used for over 25 years.
[212]
Both the Attorney General of Canada and the
Attorney General of Quebec filed excerpts from Hansard and expert reports
dating from after the enactment of the AHR Act that describe how the
social context and assisted human reproductive technologies have evolved since
the time of the Baird Commission and the discussion group. Several reports
show clearly that assisted human reproduction has now grown more important.
For example, Dr. Jeff Nisker explains that the need to have recourse to
these technologies has increased because many women now put off the decision to
have children until they are in their 30s or 40s, that is, at a stage in their
lives when their fertility may be reduced owing to physiological or
environmental factors (Quebec Challenge to Assisted Human Reproduction Act
(2006), at pp. 12‑13). Dr. François Bissonnette (La
procréation médicalement assistée au Canada et au Québec — Survol et
enjeux (2006), at p. 7) also discusses the history of assisted human
reproductive technologies, and he notes that the scientific community regards
infertility as a pathological problem (p. 4). He adds that the first
sperm banks date back to the early 1960s. He reports that, as of 2006, nearly
300,000 births worldwide could be attributed to the use of such technologies.
Thus, the witnesses do not see assisted human reproductive technologies as a
social “evil”, but as a “solution” to reproductive problems caused by
pathological or physiological factors.
[213]
In short, while it is true that certain groups
in Canadian society are opposed to assisted human reproductive technologies and
fundamentally challenge their legitimacy, the evidence shows that assisted
human reproduction is usually regarded as a form of scientific progress that is
of great value to individuals dealing with infertility problems. The same
attitudes are adopted with respect to research into reproductive technologies.
For the purposes of this appeal, there is no need to summarize the evidence on
every field of research into new reproductive technologies. Suffice it to
observe that no one has denounced research into assisted human reproduction on
the basis that it is reprehensible. Despite the agreement that technologies
related to assisted human reproduction need to be regulated, it is clear from
the evidence that research into such technologies is considered to be not only
desirable, but necessary. Thus, Dr. Roger Gosden, in testifying before
the Standing Committee on Health on May 17, 2001 (at 11:40 (online)),
stressed the important role that research plays in enhancing our understanding
of the causes of infertility, improving the success rate of infertility
treatments and avoiding inherited diseases.
[214]
In the course of the debate in Parliament,
particular attention was devoted to research involving transgenics. Some
members suggested that such research be prohibited rather than being regulated
(as it is under s. 11 of the AHR Act). In responding to two
proposed amendments, Health Canada representatives explained that such an
approach would not be desirable.
[215]
Regarding a proposal for a total ban on
transgenics, the chair of the Standing Committee on Health asked Rodney Ghali,
a science policy analyst from the Special Projects Division of the Department
of Health, what the impact of prohibiting all transgenic research would be.
Mr. Ghali answered that research in this huge field, which is beneficial
for all Canadians, included research into cancer, Huntington’s disease and
other diseases of the nervous system. The proposed amendment was rejected
(House of Commons, Minutes of Proceedings and Evidence of the Standing
Committee on Health, No. 013, 2nd Sess., 37th Parl.,
December 9, 2002, at 10:25‑10:35 (online)).
[216]
Similarly, in response to a motion to amend that
would have resulted in a ban on transgenics, Jeannot Castonguay, the
Parliamentary Secretary to the then Minister of Health, explained in the House
of Commons that such a ban “would have the effect of immediately, and
permanently, putting an end to the efforts of numerous Canadian researchers and
laboratories to develop therapies for the treatment of a number of dread
diseases, among them cancer and Alzheimer’s” (House of Commons Debates,
vol. 138, No. 072, 2nd Sess., 37th Parl., March 18,
2003, at p. 4335).
[217]
We therefore cannot agree with the Attorney
General of Canada that the impugned provisions concerning the controlled
activities have the same purpose as the unchallenged provisions concerning the
prohibited activities. Parliament responded to what was presented to it as a
consensus that some of the prohibited activities are reprehensible. Those
prohibitions are therefore intended to prevent activities and the use of
technologies that do not form part of the process of genetic research or
assisted human reproduction. Parliament clearly showed that its intention was
to prohibit them, and they are in fact prohibited completely. It showed no
such intention with respect to the activities that are not prohibited
completely. As can be seen from the legislative history, the technologies and
activities included among the controlled activities are very different in
nature from the activities that are prohibited completely. These are
technologies and activities to which professionals working in the field
commonly have recourse. Parliament did not indicate that it intended to
prohibit or even limit them. The purpose of the impugned provisions is instead
to set up a national scheme to regulate the activities in question. In light
of s. 2(b) of the AHR Act, we would add that this was how
Parliament believed that “the benefits of assisted human reproductive
technologies and related research for individuals, for families and for society
in general can be most effectively secured” (see also S. Bordet,
S. Feldman and B. M. Knoppers, “Legal Aspects of Animal-Human Combinations in Canada” (2007), 1 M.H.L.P.
83, at p. 85).
(2) Effect
of the Provisions
[218]
Identifying the pith and substance of the
impugned provisions involves a consideration not only of their purpose, but
also of their effects. “Effects” of the provisions means the actual impact of
the application of the provisions on Canadians: Reference re Firearms Act,
at para. 18. As we mentioned above, the Attorney General of Canada
submits that the impugned provisions have little or nothing to do with health
and that none of them pertain either to the quality of medical procedures or to
the management of health‑care institutions (Factum, at para. 92).
The Attorney General of Quebec counters that the impugned scheme seriously
affects the practice of medicine and overlaps or conflicts with many Quebec
statutes and regulations. In our opinion, a review of the effects of the
provisions of the AHR Act confirms the position of the Attorney General
of Quebec.
[219]
For instance, s. 8 of the AHR Act
sets out rules on consent for the removal and use of human reproductive
material. Section 8 would appear to be very broad in scope: it applies
to any removal or use of human reproductive material for the purpose of
creating an embryo. This means that it applies to any manipulation of this
nature. However, the purpose of the provision is to establish a framework for
consent to such manipulations, not to prohibit them. But it should be noted
that s. 265 of the Criminal Code, R.S.C. 1985, c. C‑46 ,
already prohibits the removal of genetic material without consent (see
P. Healy, “Statutory Prohibitions and the Regulation of New Reproductive
Technologies under Federal Law in Canada” (1995), 40 McGill L.J. 905, at
p. 941).
[220]
The impugned provisions have a direct impact on
the relationship between physicians called upon to use assisted reproductive
technologies, donors, and patients. Moreover, rules on consent already exist
in the Civil Code of Québec, R.S.Q., c. C‑1991 (“C.C.Q.”)
(arts. 10 to 25), the Act respecting health services and social services,
R.S.Q., c. S‑4.2 (“AHSSS”) (ss. 9 et seq.), and
the Code of ethics of physicians, R.R.Q., c. M‑9, r. 4.1
(ss. 28, 29 and 49). To give another example, ss. 12(1)(c)
and 12(3) of the AHR Act address the reimbursement of surrogate mothers
for expenditures incurred and for the loss of work‑related income.
Section 12 implicitly authorizes surrogacy contracts, whereas
art. 541 C.C.Q. provides that such contracts are null.
[221]
Moreover, ss. 10, 11, 13, 40(1) and 42 of
the AHR Act require researchers and physicians who engage in activities
related to treatments for infertility to obtain licences from the Federal
Agency. But the AHSSS already requires hospital centres and specialized
medical centres to obtain permits (s. 437 of the AHSSS). The Act
respecting medical laboratories, organ, tissue, gamete and embryo conservation,
and the disposal of human bodies, R.S.Q., c. L‑0.2,
s. 31, imposes the same obligation on laboratories and on organ and tissue
banks. Given that obtaining a licence from the Federal Agency is a
prerequisite for undertaking a controlled activity in any premises (s. 13
of the AHR Act), this obligation could require compliance with
conflicting requirements or could, at the very least, result in extensive
duplication in the requirements of the two levels of government.
[222]
Sections 14 to 19 of the AHR Act
establish a system for the management and disclosure of information relating to
assisted reproductive activities. They provide for the establishment of a
registry and set out rules for access to and disclosure of relevant
information. But Quebec already has its own rules governing the use of
assisted reproductive technologies by health‑care institutions and
physicians. Moreover, the doctor‑patient relationship is protected by
professional secrecy as provided for in s. 42 of the Medical Act,
R.S.Q., c. M‑9. And the disclosure of confidential information is
also subject to provisions of several Quebec statutes and regulations,
including the Code of ethics of physicians (ss. 20 and 21) and the AHSSS
(see, inter alia, ss. 17 et seq.).
[223]
Finally, under ss. 45 to 53 of the AHR
Act, inspectors from the Federal Agency are granted broad powers to enter
places or conveyances and examine and seize information or material. These
provisions apply not only to physicians and researchers, but also to all health‑care
institutions where assisted reproductive activities or related research
activities are conducted. This oversight by the Federal Agency duplicates the
oversight provided for in the Medical Act, the Code of ethics of
physicians, the Professional Code, R.S.Q., c. C‑26, and
the AHSSS. The AHSSS also includes numerous provisions that
grant extensive powers of investigation to Quebec agencies created under it
(see, inter alia, ss. 413.2 and 414 of the AHSSS).
[224]
To illustrate the scope of the provincial rules
that apply to health‑care professionals and institutions, it will be
helpful to review certain characteristics of Quebec’s health‑care system,
which has a vertical aspect as regards supervision and sanctions and a
horizontal aspect as regards the provision of health care. The Minister of
Health and Social Services oversees Quebec’s health and social services
agencies (ss. 339 et seq. of the AHSSS), which are in turn
responsible for overseeing the application of Quebec’s standards and organizing
services within their respective territories. Public health institutions, in
co‑operation with private clinics and doctors’ offices, provide health
services and social services (ss. 79 et seq. of the AHSSS).
Moreover, health‑care professionals are regulated by their respective
professional orders under the Professional Code and the other statutes
that apply specifically to the orders in question. The same structure applies
regardless of the nature of the health service in issue.
[225]
Thus, even though an integrated system already
exists in Quebec for all medical and related research activities, including
those that, from ethical, moral and medical standpoints, are similar to
activities associated with assisted human reproduction, the AHR Act
establishes a distinct framework and special rules for those associated with
assisted human reproduction. As a result, the AHR Act’s special system
for assisted reproductive activities, with all its potential for red tape, has
a considerable impact on all those who participate in such activities, both
professionals who undertake them and the institutions where they take place.
[226]
We concluded above that the purpose of the
impugned provisions was to establish mandatory national standards for assisted
human reproduction. A review of the practical consequences of these provisions
shows that they have a significant impact on the practice of medicine. We
therefore cannot agree with the Attorney General of Canada that the impugned
provisions have nothing to do with the quality of services or the management of
health‑care institutions.
[227]
Rather, the purpose and the effects of the
provisions in question relate to the regulation of a specific type of health
services provided in health‑care institutions by health‑care
professionals to individuals who for pathological or physiological reasons need
help to reproduce. Their pith and substance must be characterized as the
regulation of assisted human reproduction as a health service. It would of
course have been possible to say that the pith and substance of the impugned
provisions relates to the regulation of research and practice associated with
assisted human reproduction, but in our opinion, the effects of the provisions
make a more precise characterization necessary. This approach is more
consistent with the principles discussed above according to which the pith and
substance should be identified as precisely as possible in light of the need to
connect it with legislative powers (see para. 190). At the next step in
the constitutional analysis, we must in fact establish that connection by
identifying the head of power with which the impugned provisions — viewed from
the perspective of their pith and substance — are connected.
B. Connecting
the Pith and Substance of the Provisions With Heads of Power
[228]
It is important to bear in mind this Court’s
caveat in Reference re Firearms Act: “The determination of which head
of power a particular law falls under is not an exact science”
(para. 26). A law, or one or more of its provisions, may in theory be
connected with several heads of power. Despite this difficulty, it must be
determined whether the pith and substance of the impugned law or of its
impugned provisions results in a connection with the head of power relied on by
the government that enacted them.
[229]
In this appeal, the Attorney General of Canada
submits that the pith and substance of the AHR Act relates to
Parliament’s criminal law power. The Attorney General of Quebec contends that
this cannot be the case and that the pith and substance of the impugned
provisions brings them within exclusive provincial jurisdiction. Thus, the
determinative question is whether the impugned provisions fall within the head
of power relied on in support of their validity by the government that enacted
them. To answer this question, it will be necessary to briefly review the
scope of the federal criminal law power.
(1) Scope
of the Federal Criminal Law Power
[230]
Defining the limits of the federal criminal law
power has always been a difficult task. The case law in this respect begins
with In re The Board of Commerce Act, 1919, and The Combines and Fair Prices
Act, 1919, [1922] 1 A.C. 191 (P.C.). In that case, the Privy Council
declared a federal law to be invalid on the basis that its “subject matter” did
not by its very nature belong to the domain of criminal jurisprudence.
[231]
The substantive criterion of a connection with
the criminal law based on the nature of the acts to which the legislation
applies was interpreted as freezing the content of the criminal law in time.
In Proprietary Articles Trade Association v. Attorney‑General for
Canada, [1931] A.C. 310 (P.C.), Lord Atkin recast the test, replacing it
with an analysis based on conditions of form: there must be a prohibition
accompanied by a sanction. In describing the subject matter of the
prohibition, he added the following: “It appears to their Lordships to be of
little value to seek to confine crimes to a category of acts which by their
very nature belong to the domain of ‘criminal jurisprudence’; for the domain of
criminal jurisprudence can only be ascertained by examining what acts at any
particular period are declared by the State to be crimes” (p. 324). In
his view, therefore, the content of the criminal law could not be frozen in
time. But this new definition was too broad. It was based only on the
application of formal criteria and was of no assistance in establishing the
substantive limits of the federal criminal law power. The Privy Council’s
approach would not have caused the same problems in a unitary state, but it
became a source of unique difficulties in a federal state. Since legislative
powers were in practice distributed among a number of levels of government, the
federal power had to be delimited not only on the basis of the very nature of
criminal law, but also in accordance with the fundamental structures of the
division of powers.
[232]
An important clarification was accordingly made
by Rand J. in Reference re Validity of Section 5(a) of the Dairy Industry
Act, [1949] S.C.R. 1 (the “Margarine Reference”). Rand J. stressed that a substantive component was needed to justify
the exercise of the federal criminal law power. However, the most frequently
quoted passage from his opinion does little to clarify the content of this
substantive component:
Is
the prohibition . . . enacted with a view to a public purpose which
can support it as being in relation to criminal law? Public peace, order,
security, health, morality: these are the ordinary though not exclusive ends
served by that law . . . . [p. 50]
Health,
which Rand J. mentioned, cannot always justify action by Parliament in
relation to the criminal law. This passage must therefore also be considered
in the context of Rand J.’s definition of the criminal law. It then
becomes apparent that, although he disagreed with the view expressed by Lord
Atkin in Proprietary Articles Trade Association on the question whether
the criminal law could be kept within fixed bounds, he agreed with him that it
had to include not only a formal component but also a characteristic
substantive component (see W. R. Lederman, “Mr. Justice Rand and
Canada’s Federal Constitution” (1979‑1980), 18 U.W.O. L. Rev. 31,
at p. 39). Rand J. made the following comment:
A
crime is an act which the law, with appropriate penal sanctions, forbids; but
as prohibitions are not enacted in a vacuum, we can properly look for some
evil or injurious or undesirable effect upon the public against which the law
is directed. That effect may be in relation to social, economic or
political interests; and the legislature has had in mind to suppress the evil
or to safeguard the interest threatened. [Emphasis added; p. 49.]
In
our view, therefore, it is not enough to identify a public purpose that would
have justified Parliament’s action. Indeed, it might be hoped that Parliament
does not act unless there is a public purpose that justifies its doing so.
Where its action is grounded in the criminal law, the public purpose must
involve suppressing an evil or safeguarding a threatened interest.
[233]
This view of the constituent elements of the
federal criminal law power, namely that it has two components, one substantive
and the other formal, continues to be valid today and was applied in, inter
alia, the Reference re Firearms Act (para. 27). Three criteria
have to be met to connect a law or a provision with this federal head of power,
namely that it
1
- suppress an evil,
2
- establish a prohibition, and
3
- accompany that prohibition with a penalty.
[234]
The formal component — establishing a
prohibition and accompanying it with a penalty — supports a finding that a
regulatory scheme, even one that takes the form of exemptions from a
prohibitory scheme, falls within the field of criminal law. However, the
substantive component, the justifiable criminal law purpose — the prohibition
of a real or apprehended evil, and the concomitant protection of legitimate
societal interests — must also be present. The substantive criterion assumes
particular importance because of the liberal interpretation given to the formal
component.
[235]
These components permit the federal government
to deal with and make laws with regard to new realities, such as pollution, and
genetic manipulations that are considered undesirable. Thus, Parliament
retains flexibility in making decisions to prohibit conduct it considers
reprehensible and to prevent the undesirable effects of such conduct.
[236]
Rand J.’s reference to an evil to be
suppressed or a threatened interest to be safeguarded necessarily implied that
the evil or threat must be real. In the context of the Charter , the
recognized threshold is that of the reasoned apprehension of harm. The
reasoned apprehension of harm, which was accepted as a criterion in R. v.
Butler, [1992] 1 S.C.R. 452, and in R. v. Malmo‑Levine,
2003 SCC 74, [2003] 3 S.C.R. 571, at para. 78, must be real and must
relate to conduct or facts that can be identified and established. Although
the instant case does not involve the application of the Charter ,
referring to a threshold illustrates what form a substantive component might
take and helps give concrete form to the substantive component of the criminal
law. It is therefore helpful for the purpose of determining whether this
component cited to justify Parliament’s action is present or is simply absent
(see G. Côté‑Harper, P. Rainville and J. Turgeon, Traité
de droit pénal canadien (4th ed. 1998), at pp. 61‑62; RJR‑MacDonald,
at para. 29, per La Forest J., and at paras. 201-2, per
Major J.).
[237]
It must be possible to describe the risk of harm
precisely enough that a connection can be established between the apprehended
harm and the evil in question. In both Butler and Malmo‑Levine,
the Court described the risk of harm in concrete terms, in the former as a “‘reasoned
apprehension of harm’ resulting from the desensitization of individuals exposed
to materials which depict violence, cruelty, and dehumanization in sexual
relations” (p. 504), and in the latter as the “protection of
. . . chronic users . . . and adolescents who may not yet
have become chronic users, but who have the potential to do so”
(para. 77). Although the Court held in the Reference re Firearms Act that
creating a registry and a licensing system represented a valid exercise of
Parliament’s criminal law power, we observe that the substantive component was
easy to establish. In the Court’s opinion, “[g]un control has traditionally
been considered valid criminal law because guns are dangerous and pose a risk
to public safety” (para. 33). Another situation in which a connection
with a criminal law purpose can be seen is that of the regulation of tobacco
product labelling and the prohibition on advertising and promoting such
products. Even though Parliament cannot, for social policy reasons, ban the
use of tobacco completely, it is faced with an “evil” that it has undertaken to
combat: RJR‑MacDonald, at para. 44. The same observation
holds true for the emission of toxic substances into the environment. In R.
v. Hydro‑Québec, [1997] 3 S.C.R. 213, the majority of the Court held,
after finding that Parliament had the power “[to prevent] pollution or, to put
it in other terms, causing the entry into the environment of certain toxic
substances”, that a regulatory scheme was valid (para. 130). In short,
the choice of means is a matter for Parliament, but the federal criminal law
power cannot be exercised if the purpose of the legislation enacted to exercise
it does not fall within the scope of the criminal law.
[238]
The requirement of a concrete basis and a
reasoned apprehension of harm applies with equal force where the legislative
action is based on morality. In establishing the basis for Parliament’s
action, the Chief Justice relies heavily on the purpose of upholding public
morality. In her view, to justify having recourse to the criminal law by
relying on morality, Parliament need only have a reasonable basis to expect
that its legislation will address a concern of fundamental importance
(para. 50). If her interpretation were adopted, the decision to bring
certain conduct within the criminal law sphere would never be open to effective
review by the courts. The issue would simply be whether a moral concern is
addressed and whether there is a consensus that the concern is of fundamental
importance (para. 51). This approach in effect totally excludes the
substantive component that serves to delimit the criminal law. Not only does
it go far beyond morality, which as a result serves only as a formal component,
but it inevitably encompasses innumerable aspects of very diverse matters or
conduct, such as participation in a religious service, the cohabitation of
unmarried persons or even international assistance, which, although they
involve moral concerns in respect of which there is a consensus that they are
important, cannot all be considered to fall within the criminal law sphere.
[239]
In our opinion, this goes further than any
previous judicial interpretation. A definition such as this amounts to what
the Chief Justice herself describes as a “limitless definition” that must be
rejected because it jeopardizes the constitutional balance of the federal‑provincial
division of powers (para. 43). It is true that the criminal law often
expresses aspects of social morality or, in broader terms, the fundamental
values of society. However, legislative action by Parliament on this basis
presupposes the existence of a real and important moral problem. Yet care must
be taken not to view every social, economic or scientific issue as a moral
problem. In 1931, in Proprietary Articles Trade Association, the Privy
Council rejected any conception of the criminal law that did not take into
account the evolution of society. Thus, when Parliament criminalizes an act,
its decision remains subject to review by the courts, which will take society’s
attitude into account. And it must be borne in mind in this area that a broad
range of philosophical and religious ideas coexist in a society as diverse as
contemporary Canadian society. Although the rules in the Criminal Code
have long been understood in light of the principles of Judeo‑Christian
morality, societal changes have freed them from those fetters. The coming into
force of the Charter , for example, resulted in fundamental changes that
affected offences related to sex, pornography and prostitution and demonstrated
the importance of the explosion of the former conceptual framework (see the
former ss. 156 , 157 and 158 of the Criminal Code , repealed by S.C.
1980-81-82-83, c. 125, s. 9, and S.C. 1987, c. 24, s. 4,
and Butler, R. v. Sharpe, 2001 SCC 2, [2001] 1 S.C.R. 45, and Reference
re ss. 193 and 195.1(1)(c) of the Criminal Code (Man.), [1990] 1
S.C.R. 1123). The judgments on the application of the Charter have not
of course purported to define the limits of the federal criminal law power, but
they do clearly illustrate what is considered to be an evil, which is a
question the Chief Justice does not deal with in her analysis relating to
morality. We also note that, although the existence of an evil to be
suppressed is not discussed in her analysis of the moral aspect of the criminal
law, it is given considerable emphasis in her analysis of the public health‑related
aspect of the criminal law (paras. 52‑56 and 62).
[240]
In this context, absent an intention to change
the law and give the federal criminal law power an unlimited and uncontrollable
scope, the requirement of a real evil and a reasonable apprehension of harm
constitutes an essential element of the substantive component of the definition
of criminal law. Without it, the federal criminal law power would in reality
have no limits. The federal government would have the authority under the
Constitution to make laws in respect of any matter, provided that it cited its
criminal law power and that it gave part of its legislation the form of a
prohibition with criminal sanctions. This is what Rand J. wanted to
prevent in the Margarine Reference.
[241]
In cases in which the purpose being relied on
was the protection of public health, the courts have shown less deference to
Parliament if the risk could not be easily demonstrated. They may have taken
this stance because risks to health can often be established through empirical
studies. For example, in the Margarine Reference, the fact that
consuming margarine entailed no health risks explains why no connection could
be established between the prohibition and the criminal law power. In Labatt
Breweries of Canada Ltd. v. Attorney General of Canada, [1980] 1 S.C.R.
914, the failure to demonstrate a risk associated with the consumption of malt liquors
accounts for the outcome of the trial. In RJR‑MacDonald, on the
other hand, given the well‑established health risks associated with
tobacco consumption, the exercise of the criminal law power was found to be
justified.
[242]
Furthermore, the fact that certain provisions of
a statute have a connection with the criminal law does not mean that the entire
statute can be justified in the same manner and on the same basis. For
example, in R. v. Wetmore, [1983] 2 S.C.R. 284, the majority clearly
stated that the Food and Drugs Act had three distinct parts, one of
which — on marketing — fell under the trade and commerce power rather than the
criminal law power (p. 288). The same type of distinction was made in the
Margarine Reference, and it resulted in a declaration that the
provisions respecting the production, possession and sale of the products in
question were invalid. A similar distinction can be drawn in the case at bar
between the absolute prohibitions and the impugned provisions of the AHR Act.
[243]
Although a reasoned apprehension of harm
necessarily constitutes a criminal law purpose, health, ethics and morality do
not automatically arouse such an apprehension in every case. For an activity
to fall under the criminal law, it must be found that there is an evil to be
suppressed or prevented and that the pith and substance of the provisions in
issue is the suppression of that evil or the elimination of that reasoned risk
of harm.
[244]
When Parliament exercises a power assigned to
it, it can establish national standards. However, administrative efficiency
alone cannot be relied on to justify legislative action by Parliament (Margarine
Reference, at p. 52). The action must be taken within the limits of
an assigned head. Recourse to the criminal law power cannot therefore be based
solely on concerns for efficiency or consistency, as such concerns, viewed in
isolation, do not fall under the criminal law. The three criteria of the
criminal law must be met.
[245]
The subjects set out in the lists of federal and
provincial powers represent an organizational framework for constitutional
powers that is designed to establish a federal scheme and enable the scheme to
develop in accordance with its fundamental structures. As the Court noted in
the Reference re Firearms Act, Canada’s constitutional balance of
powers requires each level of government to respect the other’s jurisdiction:
Although
the criminal law power is broad, it is not unlimited. Some of the parties
before us expressed the fear that the criminal law power might be
illegitimately used to invade the provincial domain and usurp provincial
power. A properly restrained understanding of the criminal law power guards
against this possibility. [para. 30]
[246]
The principles underlying the balance of
Canadian federalism themselves require that rules that relate in pith and
substance to the criminal law power be distinguished from those that, although
having a regulatory aspect, are intended to govern fields falling under other —
exclusive or concurrent — federal or provincial powers.
(2) Lack
of a Connection Between the Pith and Substance of the Impugned Provisions and
the Federal Criminal Law Power
[247]
In the instant case, the primary focus of the
analysis is on the “evil” the impugned provisions are intended to suppress.
The Attorney General of Canada relies on the fact that the criminal law has
traditionally been linked to Parliament’s power to make laws in relation to
safety, morality and public health. More specifically, he submits that the
scheme in issue contemplates a range of activities that pose risks to the
fundamental values of morality and public health, and that these risks explain
the enactment of this diverse set of measures and justify the concerns
expressed with respect to assisted human reproduction and the creation of
life. The Chief Justice goes even further, as she departs from the Attorney
General of Canada’s position. She considers that the purpose of the AHR Act
is to prohibit conduct considered by Parliament to be reprehensible
(para. 30).
[248]
The problem with these positions is that
although a connection can be made between the pith and substance of the
absolute prohibitions and a risk of harm, the same cannot be said of the
regulation of the other activities and of the regulatory scheme that is
established. It should be noted that the AHR Act prohibits, for
example, altering the genome of a cell such that the alteration is capable of
being transmitted to descendants (s. 5(1)(f)) or creating animal‑human
hybrids (s. 5(1)(h), (i) and (j)). The Baird
Commission concluded that there was a consensus in society that these
activities threaten the future of the human race.
[249]
As for the controlled activities, they include
practices such as insemination and in vitro fertilization using genetic
material from a man and a woman who will become the parents. These are
legitimate practices on which, according to the Baird Commission, a broad
consensus exists (Baird Report, at p. 140). They have even been included
among the basic services covered by Ontario’s health insurance plan for more
than 15 years (Baird Report, at p. 82).
[250]
To find that the pith and substance of the
impugned provisions relates to the prohibition of reprehensible conduct is
therefore problematic in two ways. First, from the standpoint of morality, no
evil has been identified. Second, all activities related to assisted human
reproduction are regulated, not just specific ones that Parliament could
theoretically have considered ― but in fact did not consider ―
reprehensible. A review of all the work of the Baird Commission and the
discussion group together with the Health Canada studies, the importance of
which we highlighted above, confirms that, where the impugned provisions are
concerned, Parliament’s action did not have the purpose of upholding morality
and was not based on a reasoned apprehension of harm. The Baird Commission had
drawn a fundamental distinction between the activities the prohibition of which
is not being challenged and a set of activities to be regulated, the beneficial
nature of which it emphasized. Finally, in its statement of principles,
Parliament made it clear that it considered assisted reproduction services to
be beneficial. In light of the evidence, the concerns that led Parliament to
enact the impugned provisions quite simply did not include the purpose of
upholding morality relied on by the Chief Justice.
[251]
Nothing in the record suggests that the controlled
activities should be regarded as conduct that is reprehensible or represents a
serious risk to morality, safety or public health. As we mentioned above,
Parliament, in adopting the Baird Report’s recommendation on controlled
activities, intended to establish national standards for assisted human
reproduction. The purpose was not, therefore, to protect those who might
resort to assisted human reproduction on the basis that it was inherently
harmful. Assisted human reproduction was not then, nor is it now, an evil
needing to be suppressed. In fact, it is a burgeoning field of medical
practice and research that, as Parliament mentions in s. 2 of the AHR
Act, brings benefits to many Canadians.
[252]
Both at the time of the Baird Commission’s work
and during the parliamentary debates, questions were raised and comments made
about Parliament’s authority to create such a regulatory scheme. We have
already mentioned the Commission’s opinion on the prohibited activities and the
controlled activities, but there is more. It is clear from the Commission’s
report that its mandate and its recommendations were conducive to actions
involving more than just the federal government’s legislative powers:
It
is clear, then, that many sectors of society beyond the health care sector and
public institutions beyond the federal government will have crucial roles to
play. Concerted action and cooperation by the provinces/territories, the
professions, and other key participants in the context of the proposed national
framework are the only way to ensure ethical and accountable use of new
reproductive technologies in Canada — now and in the future. [p. 1021]
[253]
Regardless of whether the Commission’s opinion
on the need to rely on the general federal power to make laws for the peace,
order and good government of Canada was valid, it appears to have been shared
by stakeholders at that time. For example, in the news release announcing the
moratorium on prohibited activities, the federal Minister of Health mentioned
consultations with the provinces on the regulation of assisted human
reproduction and stated that those consultations would be “extensive and
complex due to the nature of the shared jurisdiction among the federal,
provincial and territorial governments in this area” (p. 2). Approval for
basing the regulatory scheme on the criminal law power was far from unanimous.
Many of those who participated in the proceedings pointed out that many aspects
of the field of assisted human reproduction fell within provincial
jurisdiction. Moreover, in his testimony in 2001 before the Standing Committee
on Health, which was studying the draft bill, the Minister of Health referred,
in discussing the constitutional basis for federal action, not to the criminal
law power, but to the “general jurisdiction to legislate where there are broad
matters of health and safety and order concerning all Canadians” (House of
Commons, Minutes of Proceedings and Evidence of the Standing Committee on
Health, No. 013, 1st Sess., 37th Parl., May 3, 2001, at 11:35 (online);
see also House of Commons Debates, May 21, 2002, May 27, 2002,
and January 28, 2003).
[254]
The concerns expressed by many participants and
their hesitation to base the legislative framework on the federal criminal law
power should come as no surprise. Although assisted human reproduction raises
moral and ethical questions, this does not necessarily mean that exercising the
criminal law power is justified on the basis that there is an evil to be
suppressed. Rather, both those who testified before the Baird Commission and
those who participated in the parliamentary debates acknowledged that the
development of assisted human reproduction amounts to a step forward for the
constantly growing number of people dealing with infertility. Moreover, it
represents the only option for homosexuals who wish to reproduce. The risks
for the health and safety of people who resort to these technologies do not
distinguish the field of assisted human reproduction from other fields of
medical practice that have evolved after a period of experimentation, such as
that of organ transplants or grafts.
[255]
Medical advances are not limited to the field of
assisted human reproduction, and many such advances can raise issues related to
ethics, morality, safety and public health. There is no question that the
success rate of the first few attempts at heart bypass surgery was less
spectacular, the technologies less sophisticated and the materials less
diverse. Although heart surgery, like many other medical treatments, may raise
issues related to health, safety, ethics and morality, particularly where
children, senior citizens or disabled persons are involved, criminalizing the
practice of cardiology is not being considered. Neither a desire for
uniformity nor the very novelty of a medical technology can serve as the basis
for an exercise of the federal criminal law power.
[256]
In the end, if we were to adopt the Attorney
General of Canada’s interpretation and accept that the fact that a technology
is “novel” justifies, on its own, resorting to the criminal law power, nearly
every new medical technology could be brought within federal jurisdiction.
This view of the criminal law is incompatible with the federal nature of
Canada; it not only upsets the constitutional balance of powers in the field of
health, but also undermines the very definition of federalism.
[257]
We cannot, therefore, accept the argument that
the criminal law power gives Parliament an unconditional substantive right to
take action to protect morality, safety and public health. The Attorney
General of Canada has in the alternative invoked no other powers that could
serve as a basis for the exercise of Parliament’s legislative authority.
[258]
As we explained above, in determining whether a
provision is valid, the court must examine, inter alia, the overflow
from the exclusive jurisdiction of the government that enacted it. Often, the
overflow is proved by demonstrating that the rules fall within the jurisdiction
of the other level of government, and the Attorney General of Quebec has in
fact done so in the instant case. We will now therefore turn to the connection
between the impugned provisions and the exclusive provincial power.
(3) Connection
With Provincial Powers
[259]
The Attorney General of Quebec submits that the
impugned provisions fall within the provinces’ exclusive jurisdiction over
hospitals, education, property and civil rights, and matters of a merely local
nature (s. 92(7) , (13) and (16) of the Constitution Act, 1867 ). It
is clear from the record that the impugned statutory provisions fall under
various provincial heads of power.
[260]
A lengthy review is not needed to determine that
the impugned provisions affect rules with respect to the management of
hospitals. Parliament has provided that the AHR Act applies to all
premises in which controlled activities are undertaken (s. 13). Yet it is
inconceivable that assisted reproductive technologies could be employed without
the support of institutions under provincial jurisdiction: such institutions
are where specimens are taken, diagnoses are made, materials are stored,
treatment is provided and follow‑up takes place. The power of the
provinces to make laws in relation to the establishment, maintenance and
management of hospitals is therefore engaged, and it necessarily includes the
power to establish standards for the operation of such institutions (see Eldridge
v. British Columbia (Attorney General), [1997] 3 S.C.R. 624, at
para. 24). For the purpose of establishing a constitutional connection,
there is no reason to distinguish clinics or laboratories that conduct analyses
or take specimens from hospitals. All such institutions are related on the
basis of a common practice, and they cannot be characterized using any term
other than “hospital” merely because they are specialized or small. Thus, it
is clear that the provisions that impose obligations in respect of premises
where activities related to assisted reproduction take place are intended to
apply to all such activities and all such institutions, without distinguishing
between clinics and hospitals. In this sense, in light of the pith and
substance of the impugned provisions — the regulation of assisted human
reproduction as a health service ― those provisions are closely connected
with the activities of hospitals and fall within the power of the provinces to
make laws in relation to that matter.
[261]
The Attorney General of Quebec also argues that
the provinces’ power to make laws in relation to education is engaged here.
This argument is not convincing. The rules established in the AHR Act
relate to this power only to the extent that the activities associated with
assisted human reproduction either require certain qualifications for which
special training is necessary or take place in university hospitals for
research or educational purposes. Furthermore, the purpose of the Federal
Agency’s authority to oversee persons and institutions licensed to engage in
assisted reproductive activities is not related to training or to the framework
within which training takes place. The rules do not therefore have the
regulation of teaching as their pith and substance, and the provisions
themselves are only indirectly connected with the provinces’ power in relation
to education.
[262]
The other two heads of power relied on by the
Attorney General of Quebec are property and civil rights, and local matters.
These two powers, which are often invoked together, are broad. The expression
“civil rights” is now understood in association with fundamental freedoms. In
the context of s. 92(13) of the Constitution Act, 1867 , however, it
refers to the field of private law (H. Brun, G. Tremblay and
E. Brouillet, Droit constitutionnel (5th ed. 2008);
A. Tremblay, Les Compétences législatives au Canada et les Pouvoirs
provinciaux en Matière de Propriété et de Droits civils (1967)). More
specifically, this head of power covers property, the status and capacity of
persons, the family, matrimonial agreements, extracontractual and contractual
liability, privileges, hypothecs, liberalities and successions, and
prescription. In short, it concerns a very large number of subjects that are
addressed, in the case of Quebec, in the Civil Code of Québec (G.‑A. Beaudoin,
in collaboration with P. Thibault, La Constitution du Canada: institutions,
partage des pouvoirs, Charte canadienne des droits et libertés (3rd ed.
2004)). Because of its broad scope, this head of power is often referred to as
a partial residual jurisdiction.
[263]
The power to make laws in relation to property
and civil rights, which is by far the most important of the provincial heads of
power, has been relied on so often in challenges of federal laws that “[m]ost
of the major constitutional cases have turned on the competition between one or
more of the federal heads of power, on the one hand, and property and civil
rights, on the other” (Hogg, at p. 21‑2). Since the founding of the
Canadian federation, many government measures, including health‑related
measures, have been connected with this head of power (Workmen’s
Compensation Board v. Canadian Pacific Railway Co., [1920] A.C. 184
(P.C.)).
[264]
The power of the provinces in relation to
matters of a merely local or private nature — which can also be regarded as a
partial residual jurisdiction — has often been relied on in conjunction with
their power in relation to property and civil rights (Provincial Secretary
of Prince Edward Island v. Egan, [1941] S.C.R. 396; Nova Scotia Board of
Censors v. McNeil, [1978] 2 S.C.R. 662, at p. 699; Attorney General
for Canada and Dupond v. City of Montreal, [1978] 2 S.C.R. 770, at
p. 792; Siemens v. Manitoba, at para. 22). Indeed, the courts
have tended to consider the two heads of power as one. In Schneider v. The
Queen, [1982] 2 S.C.R. 112, however, the majority of this Court held that
this power to make laws in relation to matters of a merely local nature was the
only source of the provinces’ general authority over health that supported a
finding that the Heroin Treatment Act, 1978, enacted by the British
Columbia legislature was valid.
[265]
In reviewing the effects of the impugned
provisions, we observed that the provisions affect essential aspects of the
relationship between a physician and persons who require assistance for
reproduction. The fact that several of the impugned provisions concern
subjects that are already governed by the Civil Code of Québec, the AHSSS,
the Medical Act and the rules of ethics applicable to the professionals
in question is an important indication that, in pith and substance, the
provisions lie at the very core of the provinces’ jurisdiction over civil
rights and local matters.
[266]
To say, as the Attorney General of Canada does,
that the impugned provisions have nothing to do with the quality of medical procedures
is to deny the medical environment in which assisted human reproduction
activities take place, where the physician plays a crucial role. Not only is
the physician centrally involved in making the diagnosis, but he or she is also
one of the people who will provide the information the patients need to make a
decision and who will act on that decision and then follow up on the
treatment. Ample proof of the effect of the impugned provisions of the AHR
Act on the practice of medicine can be found in the obligations the
provisions impose not only on physicians, but also on the institutions where
assisted reproduction services are dispensed. Consent to treatment and to the
donation and use of genetic material for assisted human reproduction ―
which forms the purpose of the regulations that are provided for ― is
intimately related to property and civil rights. In addition, the regulation
of the medical profession and of the relationship between service providers and
persons needing assistance to reproduce are also local matters for the purposes
of the division of powers. Thus, viewed from the perspective of their dominant
purpose and their effects, the impugned provisions have a close connection with
the power to make laws in relation to civil rights and local matters.
[267]
In short, the fact that the impugned provisions
have a significant effect on activities that generally fall within the
exclusive jurisdiction of the provinces confirms that those provisions
represent an overflow of the exercise of the federal criminal law power. At
this point, it might be tempting to declare that the impugned provisions are
unconstitutional on this basis alone, as the Quebec Court of Appeal did. But
it is necessary to complete the analysis and consider whether the ancillary
powers doctrine applies. Before doing that, however, we must clarify a point
regarding the double aspect doctrine, since the Chief Justice suggests that our
approach represents a constitutional innovation. With all due respect, we must
point out that she is not really considering the double aspect doctrine,
because if she were, she would have to conclude that it applies to the absolute
prohibitions, but not to the impugned provisions.
[268]
The double aspect doctrine can be viewed at
three different levels: (1) that of the facts themselves regardless of
their legal characterization; (2) that of the legal perspectives
represented by the legislative rules; and (3) that of the power in the
context of the constitutional division of powers. The double aspect relates
primarily to the second level, that is, to the different normative perspectives
that make it possible to understand certain corresponding facts at the first
level. When the doctrine applies, these rules at the second level are
connected, on the basis of their pith and substance, with different powers at
the third level, one of which may come under federal authority while the other
comes under provincial authority.
[269]
In the instant case, it can be seen from our
review that the first level encompasses three distinct realities: (1.1) a
category of activities that, according to the legislative facts, represent a
social evil, namely the activities that are prohibited completely; (1.2) a
second category of activities that are already found in medical practice and
research and that, as a whole, form part of a health service, namely, among the
controlled activities, the use of human reproductive material (s. 10 of
the AHR Act), transgenic research (s. 11) and the regulation of the
use of premises for health care and research (s. 13); and (1.3) a third
category of activities governed by the provisions on consent and the use of
genetic material obtained from minors (ss. 8 and 9), and on the
reimbursement of expenditures incurred by a surrogate mother (s. 12).
[270]
At the second level, there is no question that
the activities in category (1.1) could be viewed from two different normative
perspectives: (2.1) that of the suppression of an evil and (2.2) that of the
regulation of the practice of medicine and the delivery of health services.
There is therefore a double aspect, since (2.1) can be connected with the
federal criminal law power (3.1), and (2.2) can be connected with the
provincial powers in relation to property and civil rights and to matters of a
merely local nature (3.2). But in our opinion, in light of the legislative
facts adduced in evidence, the activities in category (1.2) cannot be connected
with the normative perspective of the suppression of an evil (2.1). These
activities can be viewed only from perspective (2.2), which means that, unlike
the activities in category (1.1), they do not have a double aspect. In other
words, under Canadian constitutional law, the activities in category (1.2) —
the controlled activities — can be considered from only one normative
perspective that relates, because of its pith and substance, not to the federal
criminal law power, but to the exclusive provincial powers we discussed above.
There is therefore no double aspect in respect of category (1.2).
[271]
As for the activities in category (1.3),
they cannot be viewed from both perspective (2.1) of the suppression of an
evil and perspective (2.2) of the regulation of the practice of medicine
either. Indeed, we have already concluded that the provisions governing
activities and premises associated with assisted human reproduction and related
research (ss. 10, 11 and 13 of the AHR Act) actually fall under provincial
jurisdiction. Parliament’s attempt to justify its action in this area is
specious. Its true objective was the one recommended by the Baird Commission
that the drafters of the AHR Act were responsible for attaining: to
establish national standards. It is in this light that the regulation of the
activities in category (1.3) can be fully appreciated. Parliament has not
sought to prohibit these activities as it has done with the activities in
category (1.1). Rather, its intention was to establish uniform national
conditions for consent, the use of genetic material obtained from minors and
the reimbursement of expenditures. Moreover, it was not even necessary to
include a provision in the AHR Act with respect to the removal of
genetic material without the donor’s consent, since such an act would
constitute assault under the Criminal Code . This shows that the attempt
to deal with the activities in category (1.3) from a “federal” perspective
has resulted in a specious form of legislation that is unacceptable under the
constitutional principles that ground Canadian federalism.
[272]
Insofar as the provisions pursuant to which the
Federal Agency is responsible for implementing the regulatory scheme are purely
ancillary and have no independent purpose, we need not go into greater detail
in order to conclude that they are invalid. However, we wish to point out that
the constitutional defects are not remedied by s. 68 of the AHR Act,
which authorizes the Governor in Council to declare certain provisions inapplicable
if the federal minister and the government of a province so agree. The
jurisdictional overflow remains just as great as long as regulation of the
activities in question remains dependent on the will of the federal
government. As we mentioned above, federal and provincial powers are co‑ordinate
and not subordinate. In s. 68, Parliament has given the federal
government a legal tool to impose its own standards on the regulation of
assisted human reproduction. Provincial regulatory action will be tolerated
only if the provinces in question adhere to the federal scheme. The federal
government alone is to determine whether the two schemes are consistent.
Subordinating the statutes and regulations in question in this way would be
possible only if the federal legislation were itself valid because it was
anchored in a specific federal power (see Furtney).
[273]
In sum, the conclusion that the impugned
provisions, far from falling under the federal criminal law power, relate
instead to the provinces’ jurisdiction over hospitals, property and civil
rights and matters of a merely local or private nature is self‑evident.
If any doubt remained, this is where the principle of subsidiarity could apply,
not as an independent basis for the distribution of legislative powers, but as
an interpretive principle that derives, as this Court has held, from the
structure of Canadian federalism and that serves as a basis for connecting
provisions with an exclusive legislative power. If subsidiarity were to play a
role in the case at bar, it would favour connecting the rules in question with
the provinces’ jurisdiction over local matters, not with the criminal law power
(see J.‑F. Gaudreault‑DesBiens, “The Irreducible Federal Necessity
of Jurisdictional Autonomy, and the Irreducibility of Federalism to
Jurisdictional Autonomy”, in S. Choudhry, J.‑F. Gaudreault-DesBiens
and L. Sossin, eds., Dilemmas of Solidarity: Rethinking Redistribution
in the Canadian Federation (2006), 185, at p. 193).
C. The
Ancillary Powers Doctrine Does Not Apply
(1) Integration
With a Valid Statute
[274]
Were the impugned provisions enacted pursuant to
a power that is ancillary to Parliament’s criminal law power? To answer this
question, we must focus our analysis on the relationship between these
provisions and the provisions ― which are not challenged by the Attorney
General of Quebec ― that prohibit activities. Ever since the first bills
on this subject were introduced, the government’s intention has remained at all
times to prohibit certain specific activities associated with the manipulation
of genetic material. Moreover, the provisions concerning the prohibited
activities are the ones in respect of which the pressure on the federal
government to take action was most intense. Not only did the Baird Commission
make a separate recommendation regarding these activities in its final report,
but they were for the most part included in the Health Canada moratorium. It
must therefore be determined whether the impugned provisions are sufficiently
integrated with the set of provisions criminalizing certain specific acts. As
we have seen, it will first be necessary to assess the extent of the overflow,
since that is what determines the degree of integration required — a functional
or a necessary relationship.
(2) Assessment
of the Overflow
[275]
According to the General Motors test, the
more serious the overflow, the closer the relationship between the impugned
provisions and the otherwise valid statute must be. In the instant case, our
review of the effect of the impugned provisions has already shown that, if
those provisions are viewed in isolation, the overflow is serious. Given the
extent of the overflow in this case, we cannot find that an ancillary power has
been validly exercised unless the impugned provisions have a relationship of
necessity with the rest of the statute.
(3) Absence
of a Necessary Connection
[276]
The main observation that must be made here is
that the scheme established by the prohibitory provisions does not depend on
the existence of the regulatory scheme. To be effective, the absolute
prohibitions do not need either the provisions regulating certain activities or
the mechanisms for implementing the regulatory scheme. Moreover, those
mechanisms were not included in the first bills, which contained only absolute
prohibitions. This raises an initial doubt as to the strength of the
relationship between these two sets of provisions.
[277]
A second doubt arises in light of the fact that
both the Baird Commission and the discussion group that met after the Baird
Report was tabled made a distinction between the two types of provisions.
Furthermore, the Health Canada moratorium and the bills introduced before 2002
dealt only with the prohibited activities. It is clear from this legislative
history that the prohibitory provisions did in fact stand alone and that they
could apply regardless of whether a scheme regulating other activities
existed. Conversely, the regulation of activities associated with assisted
human reproduction did not depend on other activities being prohibited
completely. Thus, even though both the impugned provisions and the
unchallenged ones relate to the manipulation of genetic material, the necessary
connection criterion is not met.
[278]
Indeed, if we were to characterize the
connection, we would have to stress its artificial nature. As we mentioned
above, and as Healy points out (at p. 915),
reproductive technologies do not constitute a matter over which Parliament or
the provinces can claim exclusive jurisdiction. Two very different
aspects of genetic manipulation have been combined in a single piece of
legislation. The social and ethical concerns underlying these two aspects
appear to be distinct, and in some cases even divergent. While the prohibited
activities are deemed to be reprehensible, the controlled activities are
considered to be legitimate. Parliament has therefore made a specious attempt
to exercise its criminal law power by merely juxtaposing provisions falling
within provincial jurisdiction with others that in fact relate to the criminal
law: Scowby v. Glendinning, [1986] 2 S.C.R. 226.
[279]
Contrary to the conclusion reached in Reference
re Firearms Act (at para. 23), in the case at bar, the recourse to a
regulatory scheme for legitimate assisted human reproduction activities cannot
be justified on the basis of a legislative history that connects the provisions
in issue with the criminal law. Rather, in view of the questions and divergent
opinions noted by the Baird Commission, the recourse to a regulatory scheme
with penalties appears to suggest that Parliament chose to emphasize the form
of the Act , in full knowledge of the weakness of its position as regards the
substance. It should be mentioned that in the course of the study of a draft
that preceded the enactment of the AHR Act, the then Minister of Health
was counting on the conclusion of agreements with the provinces to dispel the
constitutional “concerns” (Hon. A. Rock, House of Commons, Minutes of
Proceedings and Evidence of the Standing Committee on Health, May 3,
2001, at 11:30).
[280]
Given the legislative history of the AHR Act,
the significant impact of the impugned provisions on provincial health systems
and the fact that the matters they address are clearly connected with
provincial heads of power, it must be inferred that in setting up the
regulatory scheme, Parliament’s intention was to enact legislation in relation
to a matter outside its jurisdiction.
VIII. Conclusion
[281]
For these reasons, we would answer the
constitutional question in the affirmative, except to the extent that the
offences provided for in ss. 60 and 61 relate to provisions that are not
in dispute. We would uphold the conclusion of the Quebec Court of Appeal and
dismiss the appeal with this same reservation. In the circumstances of this
appeal, we would not award costs.
The following are the reasons
delivered by
[282]
Cromwell J. — I respectfully disagree with the results proposed both by the
Chief Justice and by Justices LeBel and Deschamps.
[283]
The main question, as I see it, is whether the
federal criminal law power permits Parliament to regulate virtually all aspects
of research and clinical practice in relation to assisted human reproduction.
In my view, it does not.
[284]
I part company with my colleagues at the first
step of the constitutional analysis. At this first step, the Court must
determine the “matter” to which the impugned provisions relate. The “matter”
(or, as it has often been called, the “pith and substance”) of the challenged
provisions is the essence of what the law does and how it does it: Chatterjee
v. Ontario (Attorney General), 2009 SCC 19, [2009] 1 S.C.R. 624, per
Binnie J., at para. 16. To determine the “matter” of the challenged provisions,
the Court must examine both their purpose and effects.
[285]
In my view, the essence of the impugned
provisions of the Assisted Human Reproduction Act, S.C. 2004, c. 2 , is
regulation of virtually every aspect of research and clinical practice in
relation to assisted human reproduction. The sweep of the regulation authorized
by the impugned provisions is most vividly illustrated by reading ss. 10 , 11
and 13 along with the regulation-making power in s. 65 and the licensing
authority set out in s. 40 . I substantially agree with the Quebec Court of
Appeal’s description of the purpose and effects of the challenged provisions as
set out at paras. 121-22 of its judgment (2008 QCCA 1167, 298 D.L.R. (4th)
712).
[286]
The Chief Justice concludes that the “matter” of
this legislation is “the prohibition of negative practices associated with
assisted reproduction” (para. 34). I respectfully do not agree that this
reflects the essence of what the challenged provisions do or how they do it.
The impugned provisions as I read them permit minute regulation of every aspect
of research and clinical practice and do not simply prohibit “negative
practices”. I am also of the view that the essence of the legislation goes
beyond that proposed by Justices LeBel and Deschamps. As I see it, the purpose
and effects of the challenged provisions are not limited, as they would hold, to
“the regulation of assisted human reproduction as a health service” (para.
227); the regulation authorized by the impugned provisions goes far beyond
that.
[287]
Having determined the essence of the law, the analysis
proceeds to the second step which is to classify that “matter” by reference to
the provincial and federal “classes of subjects” listed in ss. 91 and 92 of the
Constitution Act, 1867 : Chatterjee, at para. 24. Substantially
for the reasons given by Justices LeBel and Deschamps at paras. 259‑66, I
conclude that the “matter” of the challenged provisions, viewed as a whole, is
best classified as being in relation to three areas of exclusive provincial
legislative competence: the establishment, maintenance and management of
hospitals; property and civil rights in the province; and matters of a merely
local or private nature in the province. In my respectful view, the “matter”
of the challenged provisions cannot be
characterized as serving any criminal law purpose recognized by the Court’s
jurisprudence. I underline the comment of Justices LeBel and Deschamps
(at para. 244) that “[r]ecourse to the criminal law power cannot therefore be
based solely on concerns for efficiency or consistency, as such concerns, viewed
in isolation, do not fall under the criminal law.”
[288]
That does not conclude the analysis, however. It may be that not each of
the impugned provisions shares the constitutional characterization which
attaches to the “matter” of the impugned provisions viewed as a whole. In my
view, this is the case here: see, for example, Attorney General of Canada v.
Canadian National Transportation, Ltd., [1983] 2 S.C.R. 206, at p. 270; General
Motors of Canada Ltd. v. City National Leasing, [1989] 1 S.C.R. 641, at p. 665.
Sections 5 to 7 are validly enacted under Parliament’s criminal law power as
the Attorney General of Quebec concedes. The same is true, in my view, of ss.
8, 9 and 12. In this respect, I part company with Justices LeBel and
Deschamps.
[289]
Sections 8 and 9 set out prohibited activities and are aimed at
protecting each person’s control over the “products” of his or her own body;
they focus on consent. The purpose and effect of s. 8 is to prevent use of a
donor’s reproductive material or an in vitro embryo for purposes other
than those for which the donor gave free and informed consent. Section 9
addresses the age of consent. It prohibits the use of sperm or ova from a
donor under 18 years of age. In my view, the issues of consent and the age of
consent to otherwise prohibited activities fall within the traditional
boundaries of criminal law.
[290]
I reach the same conclusion with respect to s. 12. It must be read with
ss. 6 and 7. Those provisions, which the Attorney General of Quebec concedes to
be valid federal criminal law, prohibit various forms of commercializing the
reproductive functions of women and men. Section 12 sets out an extension of
the regime established by ss. 6 and 7; s. 12 is a form of exemption from the
strictness of the regime which they impose and, to some extent, defines the scope
of the prohibitions provided for in those sections.
[291]
I conclude that ss. 8, 9 and 12 in purpose and effect prohibit
negative practices associated with assisted reproduction and that they fall
within the traditional ambit of the federal criminal law power.
[292]
As I would affirm the constitutionality of s. 12 of the Act , I would
also uphold the constitutionality of provisions which set up the mechanisms to
implement it. I therefore conclude that ss. 40(1) , (6) and (7) , 41 to 43 and
44(1) and (4) , to the extent that they relate to
provisions of the Act , which are constitutional, were properly
enacted by Parliament in accordance with the federal criminal law power. I
similarly conclude that ss. 45 to 53 , to the extent that they deal with inspection and enforcement in relation to constitutionally
valid provisions of the Act , are also properly enacted under the
criminal law power.
[293]
I agree with the Chief Justice and Justices LeBel and Deschamps that ss.
60 and 61 (which create offences) are constitutionally valid under the federal
criminal law power to the extent that they relate to
constitutionally valid provisions of the Act . I agree with the Chief
Justice’s analysis and conclusion at paras. 152-54 of her reasons that s. 68 is
constitutional, although its operation will of course be limited to
constitutional sections of the Act . As for s. 19 of the Act , I can see no
constitutional objection to it given that the other provisions establishing the
Assisted Human Reproduction Agency of Canada are not contested.
[294]
I would therefore allow the appeal. The parties should bear their own
costs. I would answer the constitutional question as follows:
Do
ss. 8 to 19, 40 to 53, 60, 61 and 68 of the Assisted Human Reproduction Act,
S.C. 2004, c. 2 , exceed, in whole or in part, the legislative authority of the
Parliament of Canada under the Constitution Act, 1867 ?
With
respect to ss. 10, 11, 13, 14 to 18, 40(2), (3), (3.1), (4) and (5) and ss.
44(2) and (3) I would answer yes. With respect to ss. 8, 9, 12, 19 and 60, I would answer
no. With respect to ss. 40(1), (6) and (7), 41 to 43, 44(1) and (4), 45
to 53, 61 and 68, to the extent they relate to
constitutionally valid provisions, I would also
answer no.
Appeal
allowed in part.
Solicitor for
the appellant: Department of Justice, Ottawa.
Solicitor for the
respondent: Attorney General of Quebec, Montréal.
Solicitor for the
intervener the Attorney General of New Brunswick: Attorney General
of New Brunswick, Fredericton.
Solicitor for the
intervener the Attorney General for Saskatchewan: Attorney General
for Saskatchewan, Regina.
Solicitor for the
intervener the Attorney General of Alberta: Alberta Justice,
Edmonton.
Solicitors for the
intervener Michael Awad: Bennett Jones, Calgary.
Solicitors for the
interveners the Canadian Conference of Catholic Bishops and the Evangelical
Fellowship of Canada: Barnes Sammon, Ottawa.