SUPREME
COURT OF CANADA
Between:
Her Majesty The
Queen
Appellant /
Respondent on cross‑appeal
and
Dennis Rodgers
Respondent /
Appellant on cross‑appeal
and
Attorney
General of Canada, Attorney General of Quebec,
Attorney
General of Nova Scotia, Attorney General of New
Brunswick
and Attorney General of British Columbia
Interveners
Coram:
McLachlin C.J. and Bastarache, Binnie, Deschamps, Fish, Abella and Charron JJ.
Reasons for
Judgment:
(paras. 1 to 66)
Dissenting
Reasons:
(paras. 67 to 99)
|
Charron J. (McLachlin C.J. and Bastarache and Abella JJ.
concurring)
Fish J. (Binnie and Deschamps
JJ. concurring)
|
______________________________
R. v. Rodgers, [2006] 1 S.C.R. 554,
2006 SCC 15
Her Majesty The Queen Appellant/Respondent
on cross‑appeal
v.
Dennis Rodgers Respondent/Appellant
on cross‑appeal
and
Attorney General of Canada, Attorney General of Quebec,
Attorney General of Nova Scotia, Attorney General of New
Brunswick and Attorney General of British Columbia Interveners
Indexed as: R. v. Rodgers
Neutral citation: 2006 SCC 15.
File No.: 30319.
2005: November 15; 2006: April 27.
Present: McLachlin C.J. and Bastarache, Binnie,
Deschamps, Fish, Abella and Charron JJ.
on appeal from the court of appeal for ontario
Constitutional law — Charter of Rights — Search and
seizure — Criminal Code provision permitting provincial court judge, on
ex parte application, to authorize collection of DNA samples from three
classes of previously convicted offenders — Legislative safeguards restricting
use of DNA data bank as an identification tool only — Whether collection of DNA
samples for data bank purposes from designated classes of convicted offenders
reasonable — Whether data bank provisions strike an appropriate balance between
public interest in effective identification of persons convicted of serious
offences and rights of individuals to physical integrity and control of release
of information about themselves — Canadian Charter of Rights and Freedoms,
s. 8 — Criminal Code, R.S.C. 1985, c. C‑46,
s. 487.055 .
Constitutional law — Charter of Rights —
Fundamental justice — Procedural fairness — Ex parte proceeding — Criminal Code
provision permitting provincial court judge, on ex parte application, to
authorize collection of DNA samples from three classes of previously convicted
offenders — Whether ex parte nature of proceeding meets minimal constitutional
imperatives of procedural fairness — Canadian Charter of Rights and Freedoms,
s. 7 — Criminal Code, R.S.C. 1985, c. C‑46, s. 487.055 .
Constitutional law — Charter of Rights — Double
jeopardy — Benefit of lesser punishment — Criminal Code provision permitting
provincial court judge, on ex parte application, to authorize collection of DNA
samples from three classes of previously convicted offenders — Whether
imposition of DNA sampling order amounts to “punishment” within meaning of
ss. 11 (h) and 11 (i) of Canadian Charter of Rights and Freedoms — Criminal
Code, R.S.C. 1985, c. C‑46, s. 487.055 .
Criminal law — Forensic DNA analysis — Offenders
serving sentences — Criminal Code provision permitting provincial court judge,
on ex parte application, to authorize collection of DNA samples from three
classes of previously convicted offenders — Whether judge lost jurisdiction
when he proceeded ex parte in absence of any evidence demonstrating need
to do so — Whether offender’s certiorari application should be granted —
Criminal Code, R.S.C. 1985, c. C‑46, s. 487.055 .
R was sentenced to four years in prison for a sexual
assault, committed while he was on probation on a conviction for sexual
interference. He was convicted prior to the proclamation of the 1998 DNA
Identification Act and so was not ordered to provide a DNA sample when
sentenced. Before his sentence expired, the Crown applied ex parte under
s. 487.055(1) (c) of the Criminal Code for authorization to
take DNA samples from R for inclusion in the national DNA data bank. The
sample was not sought as part of an ongoing investigation of a crime. A warrant
was issued and R first learned of the proceeding when served with a summons to
attend to provide bodily substances. R applied for a declaration that
s. 487.055 infringes ss. 7 , 8 , 11 (h) and (i) of the Canadian
Charter of Rights and Freedoms . Alternatively, he argued that the
authorizing judge lost jurisdiction by proceeding ex parte. The
Ontario Superior Court of Justice dismissed R’s applications. The Court of
Appeal upheld the constitutional validity of s. 487.055 but interpreted
the provision as presumptively requiring an inter partes hearing
and held that the authorizing provincial court judge had committed
jurisdictional error by proceeding ex parte. The authorization was
quashed and the application was remitted for reconsideration. The Crown
appealed the quashing of the authorization and R cross‑appealed against
the dismissal of his constitutional challenge.
Held (Binnie, Deschamps
and Fish JJ. dissenting): The appeal should be allowed and the cross‑appeal
should be dismissed.
Per McLachlin C.J.
and Bastarache, Abella and Charron JJ.: The authorizing judge did not
commit jurisdictional error in proceeding ex parte. The Court of
Appeal erred in interpreting s. 487.055 of the Code as
presumptively requiring an inter partes hearing. Charter
values and principles should not be applied to interpret s. 487.055(1)
because they only play a role in statutory interpretation if there is genuine
ambiguity in the legislation. Since s. 487.055(1) is clear and
unambiguous, the court must give effect to the expressed legislative intent to
authorize ex parte applications. [6] [18‑20]
Section 487.055(1) of the Code does not
infringe s. 7 or 8 of the Charter . While the taking of bodily
samples for DNA analysis without consent constitutes a seizure within the
meaning of s. 8 of the Charter , the collection of DNA samples for
data bank purposes from designated classes of convicted offenders is
reasonable. These samples may only be used in order to create profiles in the
DNA data bank. Unlike investigative DNA warrants, authorizations under the
data bank provisions do not target suspected offenders nor particular offences
nor do they gather evidence for use in specific prosecutions. The provisions
put DNA technology to use to identify offenders in a manner analogous to
fingerprinting and other identification measures. Society’s interest in using
this powerful new technology to assist law enforcement agencies in the
identification of offenders is beyond dispute. The resulting impact on the
physical integrity of the targeted offenders is minimal. Furthermore, in
restricting the use of DNA sampling for data bank purposes to an identification
tool only, Parliament has adequately answered any heightened concern about the
potentially powerful impact that DNA sampling has on the informational privacy
interests of the individual. In this case, R had no reasonable expectation of
privacy in respect of his identity. Section 487.055 targets dangerous
convicted offenders. Since R’s identity as a multiple sex offender has become
a matter of state interest, he has lost any reasonable expectation of privacy
in the identifying information derived from DNA sampling. The data bank
provisions strike an appropriate balance between the public interest in the
effective identification of persons convicted of serious offences and the
rights of individuals to physical integrity and privacy. Having regard to the
competing interests at play, there is no constitutional requirement to link the
convicted offender, on reasonable and probable grounds, to any particular
investigation. [5] [25] [37‑38] [42‑44]
The presumptively ex parte hearing is a
constitutionally valid legislative option. Notice and participation are not
themselves principles of fundamental justice. The constitutional norm, rather,
is procedural fairness. What is fair in a particular case depends entirely on
the context and the constitutional question is referable to the minimal
standard mandated by the Charter . In the context of s. 487.055 ,
notice and participation are not required to satisfy the minimal constitutional
norm. Having regard to the interests at stake and the procedural safeguards
afforded by the legislative scheme, the ex parte nature of the
proceedings meets the dictates of procedural fairness afforded under s. 7
of the Charter . Further, although there is no appeal from a
s. 487.055 order, the decision of the judge is reviewable on certiorari.
Lastly, the offender, by reason of his criminal conduct, is already known to
law enforcement authorities and, depending on the circumstances, may be a
logical suspect in future investigations regardless of any s. 487.055
order. What an offender stands to lose on a s. 487.055 application is to
have his DNA profile made available to the state for identification purposes
only. In the investigation of a crime, the use of a DNA profile illegally
included in the data bank itself will provide grounds for an offender to quash
a subsequent DNA warrant. It will also be open to the offender to challenge
the admissibility of any DNA evidence at trial. [5] [47‑54]
Section 487.055(1) of the Code does not
infringe s. 11 (h) or 11 (i) of the Charter . These
sections are inapplicable because the taking of DNA samples does not constitute
a punishment within the meaning of s. 11 . The word “punishment” under
ss. 11 (h) and 11 (i) does not necessarily encompass every
potential consequence of being convicted of a criminal offence. As a general
rule, a consequence will constitute a punishment when it forms part of the
arsenal of sanctions to which an accused may be liable in respect of a
particular offence and the sanction is imposed in furtherance of the purpose
and principles of sentencing. A DNA sampling is no more part of the arsenal of
sanctions to which an accused may be liable in respect of a particular offence
than the taking of a photograph or fingerprints. The fact that the DNA order
may have a deterrent effect on the offender does not make it a punishment. [5]
[63‑65]
Per Binnie, Deschamps
and Fish JJ. (dissenting): To hold an authorization hearing ex parte
under s. 487.055 of the Code, absent any reason to proceed without
notice or participation, does not satisfy the constitutional requirements of
s. 8 of the Charter . The DNA data bank constitutes a substantial
and novel invasion of privacy. Notice and an opportunity to participate should
be given to those whose privacy interests are at stake except where competing
interests require otherwise. While the nature and extent of procedural
fairness depends on context, in this context, there is no reasonable basis to
presumptively depart from the norm of providing notice and participation. Both
context and principle favour inter partes s. 487.055
applications; ex parte proceedings should be exceptional.
[77] [80‑83] [95]
In this case, no justification was shown to proceed ex parte.
First, it is impossible for a subject to destroy his DNA sample. Second, notice
and participation in the hearing create no enhanced risk of flight. The state
interest in proceeding ex parte where there is no reason to do so
is therefore minimal, at best. In any event, an assessment of the state’s
interest must consider as well the competing interests of those whom the state
is required to protect. A s. 487.055 target has a legitimate interest in
presenting information that is relevant to the required exercise of judicial
discretion and that may well persuade the judge not to issue an order. That
person has the most to lose if the order is erroneously made and will often be
in the best position to correct erroneous information upon which the judge
might otherwise be required to rely. The statutory safeguard requiring
consideration of the individual’s interest is rendered illusory by proceeding ex parte
without reason. Finally, the possibility that some errors by an issuing judge
may be reviewed ex post facto by certiorari cannot be
considered an adequate substitute for a fair hearing on an application for an
order. Certiorari is only available on narrow jurisdictional grounds
and an order wrongly made cannot be reversed on a demonstration of error
alone. Recourse to proceedings in certiorari is of no comfort to
persons who could have prevented an error from occurring but for their
exclusion from the hearing and who have suffered the consequences of the errors
without reason or justification. The s. 8 infringement is not justified
under s. 1 of the Charter and, accordingly, s. 487.055 is of
no force or effect to the extent of its inconsistency with s. 8 .
[71] [73] [86‑90] [94] [98-99]
Cases Cited
Discussed: Bell
ExpressVu Limited Partnership v. Rex, [2002] 2 S.C.R. 559,
2002 SCC 42; Hunter v. Southam Inc., [1984]
2 S.C.R. 145; R. v. Beare, [1988] 2 S.C.R. 387; Ruby
v. Canada (Solicitor General), [2002] 4 S.C.R. 3,
2002 SCC 75; R. v. Wigglesworth, [1987]
2 S.C.R. 541; referred to: R. v. S.A.B.,
[2003] 2 S.C.R. 678, 2003 SCC 60; RWDSU v. Dolphin
Delivery Ltd., [1986] 2 S.C.R. 573; Cloutier v. Langlois,
[1990] 1 S.C.R. 158; R. v. Salituro, [1991]
3 S.C.R. 654; R. v. Golden, [2001] 3 S.C.R. 679,
2001 SCC 83; R. v. Mann, [2004] 3 S.C.R. 59,
2004 SCC 52; Symes v. Canada, [1993] 4 S.C.R. 695; Willick
v. Willick, [1994] 3 S.C.R. 670; Vriend v. Alberta, [1998]
1 S.C.R. 493; Charlebois v. Saint John (City), [2005]
3 S.C.R. 563, 2005 SCC 74; R. v. Mills, [1999]
3 S.C.R. 668; R. v. Collins, [1987] 1 S.C.R. 265; R.
v. Stillman, [1997] 1 S.C.R. 607; R. v. McKinlay Transport
Ltd., [1990] 1 S.C.R. 627; R. v. Briggs (2001),
157 C.C.C. (3d) 38; R. v. Simmons, [1988]
2 S.C.R. 495; R. v. Jacques, [1996] 3 S.C.R. 312; R.
v. Monney, [1999] 1 S.C.R. 652; R. v. Caslake, [1998]
1 S.C.R. 51; R. v. Grant, [1993] 3 S.C.R. 223; Weatherall
v. Canada (Attorney General), [1993] 2 S.C.R. 872; R. v.
Murrins (2002), 201 N.S.R. (2d) 288; R. v. Lyons, [1987]
2 S.C.R. 309; R. v. Rose, [1998] 3 S.C.R. 262; R.
v. Harrer, [1995] 3 S.C.R. 562; R. v. Finta, [1994]
1 S.C.R. 701; R. v. Bartle, [1994] 3 S.C.R. 173; Dehghani
v. Canada (Minister of Employment and Immigration), [1993]
1 S.C.R. 1053; Thomson Newspapers Ltd. v. Canada (Director of
Investigation and Research, Restrictive Trade Practices Commission), [1990]
1 S.C.R. 425; Knight v. Indian Head School Division No. 19,
[1990] 1 S.C.R. 653; Baker v. Canada (Minister of Citizenship and
Immigration), [1999] 2 S.C.R. 817; Chiarelli v. Canada
(Minister of Employment and Immigration), [1992] 1 S.C.R. 711; United
States v. Kincade, 379 F.3d 813 (2004); R. v. Shubley, [1990]
1 S.C.R. 3; Martineau v. M.N.R., [2004]
3 S.C.R. 737, 2004 SCC 81.
By Fish J. (dissenting)
Hunter v. Southam Inc.,
[1984] 2 S.C.R. 145; Ruby v. Canada (Solicitor General), [2002]
4 S.C.R. 3, 2002 SCC 75; R. v. S.A.B., [2003]
2 S.C.R. 678, 2003 SCC 60; R. v. Stillman, [1997]
1 S.C.R. 607; Idziak v. Canada (Minister of Justice), [1992]
3 S.C.R. 631.
Statutes and Regulations Cited
Act to amend the Criminal Code,
the DNA Identification Act and the National Defense Act, S.C. 2005, c. 25, s. 5 .
Cal. Penal Code § 296.1
(West Supp. 2005).
Canadian Charter of Rights and
Freedoms, ss. 1 , 7 , 8 , 11 , (h), (i),
12 .
Criminal Code, R.S.C. 1985, c. C‑46, ss. 487.04 , 487.051 ,
487.052 , 487.055 , 487.057(1) , 487.06(2) , 487.07 , 718.2 , 718.3(1) .
DNA Identification Act, S.C. 1998, c. 37, ss. 3 , 4 .
Fla. Stat. Ann.
§ 943.325 (West Supp. 2005).
Ga. Code Ann. §§ 24‑4‑60
to 24‑4‑65 (Supp. 2005).
Identification of Criminals Act, R.S.C. 1985, c. I‑1, s. 2(1) .
Mass. Ann. Laws ch. 22E,
§§ 1‑15 (LexisNexis 2003 & Supp. 2005).
Mich. Comp. Laws Serv.
§§ 28.171 to 28.176 (LexisNexis 2001 & Supp. 2003).
N.J. Stat. Ann. §§ 53:1‑20.17
to 53:1‑20.30 (West 2001 & Supp. 2004).
N.Y. Exec. Law § 995 (Consol.
1995 & Supp. 2004).
Ohio Rev. Code Ann. § 2901.07
(LexisNexis Supp. 2005).
Va. Code Ann. § 19.2‑310.2
(Supp. 2005).
APPEAL and CROSS‑APPEAL from a judgment of the
Ontario Court of Appeal (Doherty, Borens and Cronk JJ.A.) (sub nom. R.
v. Jackpine) (2004), 70 O.R. (3d) 97, 237 D.L.R.
(4th) 122, 184 O.A.C. 354, 182 C.C.C. (3d) 449,
21 C.R. (6th) 284, [2004] O.J. No. 1073 (QL), allowing an
appeal from an order of Trainor J., [2001] O.J. No. 3866 (QL),
dismissing an application to quash an authorization for the taking of bodily
substances for forensic DNA analysis. Appeal allowed and cross‑appeal
dismissed, Binnie, Deschamps and Fish JJ. dissenting.
Kenneth L. Campbell and Michal Fairburn, for the appellant/respondent on
cross‑appeal.
Gregory Lafontaine
and Vincenzo Rondinelli, for the respondent/appellant on cross‑appeal.
Ronald C. Reimer, for the intervener the Attorney General of Canada.
Sabin Ouellet and Annie‑Claude Bergeron,
for the intervener the Attorney General of Quebec.
Peter P. Rosinski, for the intervener the Attorney General of Nova Scotia.
William B. Richards, for the intervener the Attorney General of New Brunswick.
Beverly MacLean,
for the intervener the Attorney General of British Columbia.
The judgment of McLachlin C.J. and Bastarache, Abella
and Charron JJ. was delivered by
Charron J. —
1. Overview
1
This appeal concerns the constitutionality of the DNA data bank
provision contained in s. 487.055 of the Criminal Code, R.S.C. 1985, c.
C-46 , which permits a provincial court judge, on ex parte application,
to authorize the collection of DNA samples from three classes of previously
convicted and sentenced offenders: (a) persons already declared to be
“dangerous offenders”; (b) persons convicted of “more than one murder committed
at different times”; and (c) persons convicted of “more than one sexual offence”
and who, on the date of the application, are still serving a sentence of
imprisonment of at least two years for one or more of those offences. In
contrast to ss. 487.051 and 487.052 which target convicted offenders whose
cases are still before the court for sentencing, applications under this
provision will be referred to as retrospective applications.
2
Dennis Rodgers, a repeat sexual offender caught by this retrospective
legislative scheme, challenges the constitutionality of the provision arguing
that it infringes ss. 7 , 8 , 11 (h) and 11 (i) of the Canadian
Charter of Rights and Freedoms . He argues that the provision does not meet
minimal constitutional norms in three respects: (a) it allows for an ex
parte proceeding in the absence of any justification for denying
fundamental procedural fairness; (b) it permits the seizure of a DNA sample
from a convicted offender without first establishing reasonable and probable
grounds to link the offender to a particular unsolved crime; and (c) it punishes
the offender again for a predicate offence and denies him the benefit of the
lesser punishment in force at the time of his conviction for that offence.
Alternatively, even if the legislation is constitutional, Mr. Rodgers
argues that the authorizing judge lost jurisdiction when he proceeded ex parte
in the absence of any evidence demonstrating the need to do so.
3
Mr. Rodgers’ Charter application and his application for certiorari
were dismissed in all respects by the Ontario Superior Court of Justice ([2001]
O.J. No. 3866 (QL)). On appeal, the Court of Appeal for Ontario upheld
the constitutional validity of the legislation but interpreted s. 487.055 as
presumptively requiring an inter partes hearing ((2004), 70 O.R. (3d)
97). The court held that the authorizing provincial court judge had committed
jurisdictional error when he proceeded ex parte in the absence of
evidence justifying the failure to give notice to Mr. Rodgers. The
authorization for the taking of bodily substances from Mr. Rodgers was therefore
quashed and the application for the authorization was remitted to the Ontario
Court of Justice for a determination on its merits. The Crown appeals the
quashing of the authorization. Mr. Rodgers cross-appeals against the dismissal
of his constitutional challenge.
4
There is no question that DNA evidence has revolutionized the way many
crimes are investigated and prosecuted. The use of this new technology has not
only led to the successful identification and prosecution of many dangerous
criminals, it has served to exonerate many persons who were wrongfully
suspected or convicted. The importance of this forensic development to the
administration of justice can hardly be overstated. At the same time, the
profound implications of government seizure and use of DNA samples on the
privacy and security of the person cannot be ignored. A proper balance between
these competing interests must be achieved within our constitutional framework.
5
For reasons that follow, I have concluded that the collection of DNA
samples for data bank purposes from designated classes of convicted offenders
is reasonable within the meaning of s. 8 of the Charter . Society’s
interest in using this powerful new technology to assist law enforcement
agencies in the identification of offenders is beyond dispute. The resulting
impact on the physical integrity of the targeted offenders is minimal. The
potential invasive impact on the right to privacy has carefully been
circumscribed by legislative safeguards that restrict the use of the DNA data
bank as an identification tool only. As convicted offenders still under
sentence, the persons targeted by s. 487.055 have a much reduced expectation
of privacy. Further, by reason of their crimes, they have lost any reasonable
expectation that their identity will remain secret from law enforcement
authorities. Having regard to the interests at stake and the procedural
safeguards afforded by the legislative scheme, I have also concluded that the ex
parte nature of the proceedings meets the dictates of procedural fairness
afforded under s. 7 of the Charter . Finally, ss. 11(h) and 11(i)
of the Charter are inapplicable. The taking of DNA samples does not
constitute a punishment within the meaning of s. 11 anymore than the taking of
fingerprints or other identification measures.
6
I have also concluded that the authorizing judge did not commit
jurisdictional error in proceeding ex parte. The Court of Appeal erred
in interpreting s. 487.055 as presumptively requiring an inter partes hearing.
The provision is unambiguous and expressly permits but does not require an ex
parte proceeding. The failure to provide notice did not deprive Mr.
Rodgers of procedural fairness. I would therefore allow the Crown’s appeal,
set aside the judgment of the Court of Appeal, dismiss Mr. Rodgers’
cross-appeal and dismiss his Charter and certiorari applications.
7
Before turning to the facts and issues under appeal, I will review the
DNA data bank provisions contained in the DNA Identification Act, S.C.
1998, c. 37 , and the Criminal Code . A clear understanding of the
legislative scheme and its purpose is necessary to deal with the constitutional
arguments advanced by the parties.
2. The Legislative Scheme
8
The DNA Identification Act governs the creation, operation and
maintenance of a national DNA data bank. The Act must be read in conjunction
with the Criminal Code provisions dealing with the collection and use of
DNA samples. This Court in R. v. S.A.B., [2003] 2 S.C.R. 678, 2003 SCC
60, described the DNA provisions as falling into two sets. The first, the
constitutionality of which was upheld in S.A.B., regulates the search
and seizure of DNA material from a suspect for investigative purposes in
respect of a designated offence. The second set of provisions governs the
collection of DNA evidence from convicted persons for the purpose of inclusion
in a national DNA data bank. Section 487.055 , the impugned provision on this
appeal, falls in this latter set.
9
There are three categories of convicted offenders in respect of which a
judicial authorization to seize DNA samples may be obtained for data bank
purposes. First, s. 487.051 applies in respect of offenders convicted of a
designated offence after the proclamation of the DNA Identification Act .
Second, s. 487.052 deals with convicted offenders who have committed a
designated offence prior to the proclamation of the DNA Identification Act
but are still before the court. (Designated offences are defined under s.
487.04 of the Criminal Code and, in general, may be described as the
more serious offences under the Criminal Code in respect of which it may
reasonably be expected that DNA may be left behind by the offender.) Third, s.
487.055 applies to three classes of offenders who have been convicted and
sentenced prior to the proclamation of the DNA Identification Act : (a)
persons already declared to be “dangerous offenders”; (b) persons convicted of
“more than one murder committed at different times”; and (c) persons convicted
of “more than one sexual offence” and who, on the date of the application, are
still serving a sentence of imprisonment of at least two years for one or more
of those offences. (The list of targeted offenders has since been expanded by
deleting the requirement that there be “more than one murder committed
at different times” and by including dangerous sexual offenders and persons
convicted of manslaughter who, on the date of the application, are still
serving a sentence of imprisonment of at least two years for that offence (S.C.
2005, c. 25, s. 5 ).) Only s. 487.055, the retrospective provision, is in
issue on this appeal. However, the alleged s. 8 constitutional deficiency —
the absence of reasonable and probable grounds linking the convicted offender
to a particular investigation — is equally present in all three provisions.
10
Section 3 of the DNA Identification Act expressly sets out the
purpose of the Act:
3. The purpose of this Act is to establish
a national DNA data bank to help law enforcement agencies identify persons
alleged to have committed designated offences, including those committed before
the coming into force of this Act.
Parliament’s
objective in establishing a national DNA data bank is further expressed in the
statement of principles set out in s. 4 :
4. It is recognized and declared that
(a) the protection of society and the administration of justice
are well served by the early detection, arrest and conviction of offenders,
which can be facilitated by the use of DNA profiles;
(b) the DNA profiles, as well as samples of bodily substances
from which the profiles are derived, may be used only for law enforcement
purposes in accordance with this Act, and not for any unauthorized purpose; and
(c) to protect the privacy of individuals with respect to
personal information about themselves, safeguards must be placed on
(i) the use and communication of, and access to, DNA profiles and
other information contained in the national DNA data bank, and
(ii) the use of, and access to, bodily substances that are
transmitted to the Commissioner for the purposes of this Act.
11
The safeguards aimed at protecting the informational privacy of
individuals in accordance with the principles expressed under s. 4 are
conveniently summarized by the intervener the Attorney General of Canada, at
para. 58 of its factum as follows:
a) A DNA data bank
authorization must be obtained on written application to a provincial court
judge. The judge is required to consider specified criteria in determining
whether a DNA data bank authorization should be granted.
b) The class of persons against whom a DNA data bank authorization
may be granted is confined to a specified class of convicted violent offenders:
s. 487.055(1) , Criminal Code .
c) Bodily samples collected pursuant to a DNA data bank
authorization may only be used for forensic DNA analysis for inclusion in the
National DNA Data Bank. Unused portion[s] of bodily samples are required to be
safely stored at the National DNA Data Bank: s. 487.08(1) , Criminal Code .
d) It is a criminal offence to use bodily samples or results of
forensic DNA analysis obtained under a DNA data bank authorization other than
for transmission to the national DNA data bank. A breach of that provision is
a hybrid offence that when prosecuted by indictment is subject to a maximum
penalty of two years imprisonment: ss. 487.08(2) and (3) , Criminal Code .
e) Use of DNA profiles and bodily samples at the National DNA Data
Bank is strictly limited to the narrow purposes of comparing offender profiles
with crime scene profiles. Any use of stored information or bodily samples or
communication of information they may contain is strictly limited to the narrow
identification purposes of the Act. Access to the bank is restricted. Breach
of any of those provisions is a hybrid offence subject to a maximum penalty of
two years imprisonment when prosecuted by indictment: sections 6(6) , 6(7) , 8 ,
10(3) , 10(5) , 11 , DNA Identification Act .
f) Communication of information as to whether a person’s DNA
profile is contained in the offenders’ index may only be made to appropriate
law enforcement agencies or laboratories for investigative purposes or to
authorized users of the RCMP automated conviction records retrieval system: s.
6 , DNA Identification Act .
g) Although the seized bodily samples are retained for safekeeping
in the DNA data bank, they may only be used for further forensic DNA analysis
where that is made necessary by “significant technological advances” since the
time that the original DNA profile was derived. The results of such subsequent
DNA analysis and any residue of the bodily sample are subject to the same rigid
controls as the original profile and sample: s. 10 , DNA Identification Act .
h) Where a DNA profile cannot be derived from a bodily substance
obtained during the execution of a DNA data bank authorization, further samples
may only be taken upon further authorization from a judge: s. 487.091 , Criminal
Code .
i) A DNA Data Bank Advisory Committee has been established by
regulation. The composition of the Committee is stipulated as: a Chairperson,
a Vice-Chairperson, a representative of the Office of the Privacy Commissioner
and up to six other members who may include representatives of the police,
legal, scientific and academic communities. Retired puisne Justice Peter Cory
of this Court is one of two representatives of the legal community on the
current Committee. The Committee’s duties encompass “any matter related to the
establishment and operation” of the Data Bank upon its own motion or at the
request of the Commissioner. The Committee must report annually to the
Commissioner: DNA Data Bank Advisory Committee Regulations,
SOR/2000-181.
j) The Commissioner of the RCMP is required to report annually on
the operation of the National DNA Data Bank: s. 13.1 , DNA Identification Act .
k) The DNA Identification Act is expressly subject to a
review of its provisions and operation by Parliament after five years. That
review is anticipated in the fall of 2005: s. 13 , DNA Identification Act .
l) The Act permits sharing of DNA profiles (but not stored bodily
samples) with foreign governments and international organizations but only for
legitimate law enforcement purposes pursuant to specific agreement or
arrangement between the government of Canada and the foreign government or
international organization: s. 6(4) , DNA Identification Act .
Regulations under the Act further require that such agreements or arrangements
“shall include safeguards to protect the privacy of the personal information
used or disclosed under it”: DNA Identification Regulations,
SOR/2000-300. [Footnotes omitted.]
12
The Crown also filed affidavit evidence from Dr. Ron Fourney, a research
scientist employed by the RCMP since 1988 and the current officer in charge of
the data bank, describing the practical operation of the data bank. Mr.
Rodgers did not dispute the accuracy of this evidence. In his affidavit, Dr.
Fourney explains in some detail how the anonymity of the samples and profiles
is preserved, their physical security maintained, and the genetic privacy of
the individuals ensured. Arbour J. in S.A.B., at para. 49, considered
similar evidence and commented as follows:
[Forensic] DNA analysis is conducted solely for forensic purposes and
does not reveal any medical, physical or mental characteristics; its only use
is the provision of identifying information that can be compared to an existing
sample. The evidence of Dr. Ron Fourney at the Proceedings of the Standing
Senate Committee on Legal and Constitutional Affairs, Issue No. 43,
November 25, 1998, at p. 43:46, confirms the scientific community’s understanding
of the DNA used for forensic analysis:
[A]s forensic scientists, we are interested in everything that does not
code for anything. That is to say, we are looking at anonymous pieces of DNA.
By international convention with Venice in 1993, forensic scientists all over
the world agree that we will take STR markers — that is, short tandem repeat —
or pieces of DNA. By convention, the only ones that we are permitted to use in
forensics are those that do not predict any medical, physical or mental
characteristics.
13
In addition to the statutory safeguards in respect of the informational
privacy of individuals, the Criminal Code mandates a detailed procedure
for collecting DNA samples. In S.A.B., Arbour J. described in
considerable detail the relevant provisions governing the execution of a DNA
warrant obtained for investigative purposes. Most of the provisions apply
equally to the taking of a DNA sample from a convicted offender for data bank purposes.
The procedure is not in issue and need not be described again here. It is not
disputed that the taking of DNA samples involves a minimal intrusion on the
physical integrity of the offender.
14
Before turning to the constitutional issues, I will deal with the
question of statutory interpretation and determine whether the Court of Appeal
was correct in its interpretation of s. 487.055 as presumptively requiring an inter
partes hearing.
3. The Meaning of Ex Parte Within
Section 487.055
15
Section 487.055(1) reads as follows:
487.055 (1) A provincial court judge may, on
ex parte application made in Form 5.05, authorize, in Form 5.06,
the taking, from a person who
(a) before the coming into force of this subsection, had been
declared a dangerous offender under Part XXIV,
(b) before the coming into force of this subsection, had been
convicted of more than one murder committed at different times, or
(c) before the coming into force of this subsection, had been
convicted of more than one sexual offence within the meaning of subsection (3)
and, on the date of the application, is serving a sentence of imprisonment of
at least two years for one or more of those offences,
for the purpose of forensic DNA analysis, of any number of samples of
one or more bodily substances that is reasonably required for that purpose, by
means of the investigative procedures described in subsection 487.06(1).
16
This Court in S.A.B. considered language to the same effect
contained in s. 487.05 and held that the reference to ex parte
proceedings is not mandatory. The authorizing judge may require that notice
be given in a suitable case “to ensure reasonableness and fairness in the
circumstances” (para. 56). Section 487.055 should be read in the same way. It
only permits but does not require an ex parte proceeding.
17
Mr. Rodgers argues that the very discretion to proceed ex parte contravenes
the principles of fundamental justice guaranteed under s. 7 of the Charter .
For reasons that I will give later, I reject this contention. Doherty J.A., in
writing for the Court of Appeal for Ontario, also rejected this constitutional
argument finding that the power to proceed ex parte where circumstances
warrant, in and of itself, did not contravene the principles of fundamental
justice (para. 32). He upheld the constitutional validity of the provision.
However, he then proceeded to incorporate s. 7 Charter principles in his
interpretation of the meaning of ex parte in s. 487.055 and concluded
that it should be read as presumptively requiring an inter partes
hearing. He reasoned as follows (at paras. 33 and 45-46):
The conclusion that s. 487.055 is not
unconstitutional because it permits the judge to proceed ex parte, does
not place the manner in which the judge exercises that discretion in an
individual case beyond the pale of constitutional review. The judge must
exercise that discretion in a manner which is consistent with Charter principles
and specifically in a manner which ensures that the individual’s right to
liberty and security of the person will not be denied except in accordance with
the principles of fundamental justice: see Little Sisters Book and Art
Emporium v. Canada (Minister of Justice), [2000] 2 S.C.R. 1120, 150 C.C.C.
(3d) 1, at pp. 1192-94 S.C.R., p. 53 C.C.C.
.
. .
The discretion granted by s. 487.055(1) to proceed ex
parte should be exercised in a manner that is consistent with Charter
principles. Those principles require notice to the individual whose liberty and
security of the person interests are potentially affected by the order unless
the Crown can establish legitimate grounds (e.g. a real risk of flight)
for proceeding without notice.
A judge hearing a s. 487.055(1) application should
start from the assumption that the target of the application whose liberty and
security of the person will be significantly affected if the order is granted
should receive notice of the application. It is open to the Crown to rebut the
presumption of notice with evidence that in the particular circumstances,
notice could frustrate the process contemplated by s. 487.055. Evidence
showing a real risk of flight if notice was given, would clearly justify a
decision to proceed ex parte.
Since the
material in support of the application under s. 487.055 failed to address the
need to proceed ex parte, Doherty J.A. concluded that the authorizing
judge had no jurisdiction to grant the order (at paras. 53-54):
Absent any justification for proceeding ex parte, the failure to
give the appellants notice of the applications amounted to a denial of natural
justice resulting in a loss of jurisdiction: R. v. Compton (1978), 42
C.C.C. (2d) 163, 3 C.R. (3d) S7 (B.C.S.C.) at p. 165 C.C.C.
It is no answer to a finding that Glaude J.
proceeded without jurisdiction, to argue, as the Crown does, that the orders
were properly made. A “correct” result does not cure a loss of jurisdiction.
18
In my respectful view, Doherty J.A. effectively pre-empted any judicial
review of the constitutional validity of the statutory provision by infusing Charter
principles as part of the interpretative process. In doing so, he exceeded
the proper limits of Charter values as an interpretative tool. It has
long been accepted that courts should apply and develop common law rules in
accordance with the values and principles enshrined in the Charter : RWDSU
v. Dolphin Delivery Ltd., [1986] 2 S.C.R. 573, at p. 603; Cloutier v.
Langlois, [1990] 1 S.C.R. 158, at p. 184; R. v. Salituro, [1991] 3
S.C.R. 654, at p. 675; R. v. Golden, [2001] 3 S.C.R. 679, 2001 SCC 83,
at para. 86; R. v. Mann, [2004] 3 S.C.R. 59, 2004 SCC 52, at paras. 17‑19.
However, it is equally well settled that, in the interpretation of a statute, Charter
values as an interpretative tool can only play a role where there is
a genuine ambiguity in the legislation. In other words, where the legislation
permits two different, yet equally plausible, interpretations, each of which is
equally consistent with the apparent purpose of the statute, it is appropriate
to prefer the interpretation that accords with Charter principles.
However, where a statute is not ambiguous, the court must give effect to the
clearly expressed legislative intent and not use the Charter to achieve
a different result. In Bell ExpressVu Limited Partnership v. Rex,
[2002] 2 S.C.R. 559, 2002 SCC 42, at para. 62, Iacobucci J., writing for a
unanimous court, firmly reiterated this rule:
. . . to the extent this Court has recognized a “Charter
values” interpretive principle, such principle can only receive
application in circumstances of genuine ambiguity, i.e., where a statutory
provision is subject to differing, but equally plausible, interpretations.
[Emphasis in original.]
19
If this limit were not imposed on the use of the Charter as an
interpretative tool, the application of Charter principles as an
overarching rule of statutory interpretation could well frustrate the
legislator’s intent in the enactment of the provision. Moreover, it would
deprive the Charter of its more powerful purpose — the determination of
the constitutional validity of the legislation: Symes v. Canada, [1993]
4 S.C.R. 695, at p. 752; Willick v. Willick, [1994] 3 S.C.R. 670, at pp.
679-80; Vriend v. Alberta, [1998] 1 S.C.R. 493, at paras. 136-42; Bell
ExpressVu, at paras. 60-66; Charlebois v. Saint John (City), [2005]
3 S.C.R. 563, 2005 SCC 74, at paras. 23-24.
20
There is no ambiguity here. The clear language of s. 487.055(1)
indicates that Parliament intended to authorize ex parte applications
under this section. There is no room to interpret the provision as
presumptively requiring that applications be brought on notice. While the
Court of Appeal was correct in stating that the judge who exercises a
discretion pursuant to a constitutionally valid enactment must do so in a
manner which is consistent with the Charter principles, that is a
separate question from the question of statutory interpretation. By
interpreting the provision so as to accord with its view of minimal
constitutional norms, the Court of Appeal effectively trumped the
constitutional analysis, rewrote the legislation, and deprived the government
of the means of justifying, if need be, any infringement on constitutionally
guaranteed rights.
21
The plain and unambiguous meaning of ex parte in s. 487.055(1) of
the Criminal Code is just that — ex parte. The question left to
be determined is whether it was constitutionally permissible for Parliament to
choose this procedural route for retrospective applications.
4. Constitutional Issues
22
As indicated earlier, Mr. Rodgers argues that s. 487.055 is
unconstitutional on three grounds: (a) it allows for an ex parte proceeding
in the absence of any justification for denying fundamental procedural fairness
contrary to s. 7 of the Charter ; (b) it permits the seizure of a DNA
sample from an individual without first establishing reasonable and probable
grounds to link the individual to a particular unsolved crime contrary to s. 8
of the Charter ; and (c) it punishes the offender again for a predicate
offence and denies him the benefit of the lesser punishment in force at the
time of his conviction contrary to ss. 11 (h) and 11 (i) of the Charter .
The relevant Charter provisions read as follows:
7. Everyone has the right to life,
liberty and security of the person and the right not to be deprived thereof
except in accordance with the principles of fundamental justice.
8. Everyone has the right to be secure
against unreasonable search or seizure.
.
. .
11. Any person charged with an offence has the right
.
. .
(h) if finally acquitted of the offence, not to be tried for it
again and, if finally found guilty and punished for the offence, not to be
tried or punished for it again; and
(i) if found guilty of the offence and if the punishment for
the offence has been varied between the time of commission and the time of
sentencing, to the benefit of the lesser punishment.
23
The Crown contends that the constitutional analysis on both grounds (a)
and (b) should be conducted under s. 8 , not because s. 7 is not triggered, but
because s. 8 provides a more specific and complete illustration of the
s. 7 right in this particular context, making any s. 7 analysis
redundant. I agree. Mr. Rodgers’ ex parte argument concerns the
procedural fairness of the very process that authorizes the seizure. In these
circumstances, the question is necessarily encompassed in the s. 8 assessment
of reasonableness and is more properly considered in that context. As we shall
see, what is fair depends entirely on the context. This Court described the
rapport between s. 8 and principles of fundamental justice in R. v. Mills,
[1999] 3 S.C.R. 668, where the interests at play were the right to make full
answer and defence and the complainant’s privacy right. This Court stated as
follows (at para. 88):
Given that s. 8 protects a person’s privacy by
prohibiting unreasonable searches or seizures, and given that s. 8 addresses a
particular application of the principles of fundamental justice, we can infer
that a reasonable search or seizure is consistent with the principles of
fundamental justice. Moreover, as we have already discussed, the principles of
fundamental justice include the right to make full answer and defence.
Therefore, a reasonable search and seizure will be one that accommodates both
the accused’s ability to make full answer and defence and the complainant’s
privacy right.
24
In my view, the same reasoning applies here. I will therefore deal with
grounds (a) and (b) under the s. 8 analysis and then consider s. 11 .
5. Section 8
5.1 The Right to Be Secure Against
Unreasonable Search or Seizure
25
There is no question that the taking of bodily samples for DNA analysis
without the person’s consent constitutes a seizure within the meaning of s. 8
of the Charter . An individual’s right to be secure against search and
seizure, however, is not absolute. Section 8 only protects against
“unreasonable” searches or seizures. To state it in the positive, s. 8
protects reasonable expectations of privacy. This Court has held that for a
search to be reasonable: (a) it must be authorized by law; (b) the law itself
must be reasonable; and (c) the manner in which the search was carried out must
be reasonable (R. v. Collins, [1987] 1 S.C.R. 265, at p. 278; R. v.
Stillman, [1997] 1 S.C.R. 607, at para. 25). We are only concerned here
with the second requirement, the reasonableness of the authorizing provision
itself.
26
The notion of what is “reasonable”, by its very nature, must be assessed
in context. This Court in R. v. McKinlay Transport Ltd., [1990] 1
S.C.R. 627, reiterated the need for a flexible and purposive test. Wilson J.
stated (at p. 645):
Since individuals have different expectations of
privacy in different contexts and with regard to different kinds of information
and documents, it follows that the standard of review of what is “reasonable”
in a given context must be flexible if it is to be realistic and meaningful.
27
Hence any assessment of reasonableness requires a balancing of the
relevant competing interests. In the seminal case of Hunter v. Southam Inc.,
[1984] 2 S.C.R. 145, at pp. 159-60, Dickson J. described the s. 8 test as
follows:
[A]n assessment must be made as to whether in a particular situation
the public’s interest in being left alone by government must give way to the
government’s interest in intruding on the individual’s privacy in order to
advance its goals, notably those of law enforcement.
Where the
constitutional line of “reasonableness” will be drawn then becomes a function
of both the importance of the state objective and the degree of impact on the
individual’s privacy interest. As we shall see, the parties take diametrically
opposed positions on where the line should be drawn, each supporting their
arguments on very different views of the competing state and individual
interests at stake.
5.2 The Parties’ Positions
28
Mr. Rodgers argues that the primary purpose of the DNA data bank is
narrow — it is intended to assist law enforcement authorities to link suspects
to unsolved crimes. He relies more particularly on s. 4 (a) of the DNA
Identification Act which recognizes and declares that “the protection of
society and the administration of justice are well served by the early
detection, arrest and conviction of offenders, which can be facilitated by the
use of DNA profiles”. He submits that s. 487.055 was enacted in furtherance of
this objective as an investigative tool used by the state to gather evidence
for potential use in future criminal proceedings.
29
Mr. Rodgers relies on the well-established constitutional threshold for
subordinating the interests of the individual to the interests of the state in
crime investigations. Although the test admits of exceptions, this Court in Hunter
established three criteria to which searches and seizures must generally
conform in order to meet the reasonableness standard mandated by s. 8 in that
context. First, where possible, the search and seizure must have been approved
by prior authorization. This “puts the onus on the state to demonstrate the
superiority of its interest to that of the individual” (p. 160) and thus
ensures that unjustified searches will be prevented before they occur. Second,
the person authorizing the search must be “capable of acting judicially”
(p. 162) in assessing in a neutral and impartial fashion whether a search
is appropriate in the circumstances. Finally, the interests of the individual
will yield to the interests of the state where there are reasonable and
probable grounds, established upon oath, to believe that an offence has been
committed and that evidence of this is to be found through the search or
seizure. The Court identified this threshold as “the point where
credibly-based probability replaces suspicion” (p. 167). The Court added that
“[h]istory has confirmed the appropriateness of this requirement as the
threshold for subordinating the expectation of privacy to the needs of law
enforcement” (pp. 167-68).
30
The first two criteria are met but Mr. Rodgers submits that s. 487.055
fails to meet the minimal constitutional norm because it does not require the
establishment of reasonable and probable grounds to believe that a particular
offence has been committed and that the taking of a DNA sample from the
convicted offender may afford evidence of that offence. By this argument, he
effectively assimilates s. 487.055 to the DNA warrant provisions contained in
the Criminal Code that allow for DNA sampling from a suspect based on
the Hunter credibly based probability standard. He concedes that if his
argument is accepted and this norm is adopted, the entire legislative scheme
allowing for the collection of DNA samples from convicted offenders for data
bank purposes would become redundant. All DNA samples would have been obtained
under the authority of a search warrant obtained for investigative purposes in
respect of a particular offence.
31
Mr. Rodgers submits that there is no justification for a less exacting
standard where DNA samples are sought from convicted offenders for collection
in the DNA data bank. He does not dispute the fact that there is a reduced
expectation of privacy after arrest and even further when serving a sentence
after conviction. He argues however that this is not conclusive in this case
and that offenders retain subsisting privacy rights despite the reduced
expectation of privacy. Lastly, he submits that an individual’s subsisting
privacy interests are especially high upon completion of his or her sentence.
32
The Crown argues that the state’s purpose in collecting DNA samples for
inclusion in the national data bank is not focussed on a particular
investigation in respect of a specific crime. The purpose of the legislative
scheme is much broader and was correctly articulated by Weiler J.A. in R. v.
Briggs (2001), 157 C.C.C. (3d) 38 (Ont. C.A.), at para. 22, who defined it
as follows:
In this case, the state’s interest is not simply
one of law enforcement vis‑à‑vis an individual — it has a
much broader purpose. The DNA data bank will: (1) deter potential repeat
offenders; (2) promote the safety of the community; (3) detect when a serial
offender is at work; (4) assist in solving cold crimes; (5) streamline
investigations; and most importantly, (6) assist the innocent by early exclusion
from investigative suspicion (or in exonerating those who have been wrongfully
convicted).
The Crown
submits that the appropriate analogy is not to investigative search warrants
but to fingerprinting as a means of identifying offenders. The Crown relies on
R. v. Beare, [1988] 2 S.C.R. 387, where this Court, in a unanimous
judgment, upheld the constitutional validity of the provisions of the Identification
of Criminals Act, R.S.C. 1970, c. I-1, and the Criminal Code which
permit the post-arrest, pre-conviction taking of fingerprints, photographs and
other identification measurements as approved by regulation, without any prior
judicial authorization. The Court rejected the constitutional challenge having
particular regard to the important societal interest in identifying offenders,
the arrested person’s lower expectation of privacy, and the lack of any
significant aggravation to the intrusion of privacy. Given that DNA profiling
is just a more sophisticated, modern, efficient and reliable means of gathering
identification evidence than traditional fingerprinting, the Crown takes the
position that “neither s. 7 nor s. 8 of the Charter require even
prior judicial authorization, let alone a full hearing on notice, to permit the
routine and minimally intrusive taking of bodily samples from the most
dangerous convicted offenders in Canada, so long as such samples are used
solely for identification purposes” (appellant’s factum, at para. 53 (emphasis
in original)).
33
Mr. Rodgers strongly disputes that any such analogy is appropriate,
arguing that the potential impact on the privacy of the individual is far more
significant with DNA sampling than with fingerprinting. He describes the
greater potential impact as follows (at para. 55 of his factum):
Fingerprints only provide evidence of the identity of a person and the
unique pattern of a finger’s skin. In contrast, DNA goes beyond criminal
identification purposes and reveals an incredible amount of personal
information about an individual including, but by no means limited to, his or
her relationship to other persons, ethnic traits, physical characteristics, and
medical conditions. The type of personal information that can be revealed by
DNA will only expand as scientists continue their research in the area of the
human genome. The fact that the DNA profiles loaded into the DNA Data Bank
contain only non-coding portions of an individual’s DNA is of no import since
the DNA Identification Act mandates the permanent retention of
bodily samples seized pursuant to s. 487.055 . Thus, the state retains in its
possession all genetic information that can be derived from an
individual’s DNA. [Emphasis in original.]
Given this
significant privacy interest, Mr. Rodgers submits that, not only is the prior
judicial authorization necessary but, absent individualized evidence that the
subject will either flee or that evidence will be destroyed, there can be no
justification for hearing s. 487.055 applications ex parte. Unlike the
situation with investigative applications for a DNA warrant, surprise and
secrecy are not essential — the subject of the application is either in prison
or, if under some form of release, will be compelled by summons to attend for
sampling. Further, the time and resources needed to litigate an inter
partes hearing is not a significant factor and cannot amount to a
justification for denying the offender the right to be heard. Mr. Rodgers
therefore takes the position that the procedure contemplated under s. 487.055
is fundamentally unfair contrary to s. 7 of the Charter .
34
For reasons that follow, I am unable to accept Mr. Rodgers’ position.
5.3 The Hunter Criteria Not Applicable
35
There is no question that, absent exceptional circumstances, where the
government has embarked upon a criminal investigation and is seeking evidence
to substantiate an investigative theory, the individualized credibly based
probability standard established in Hunter will be the constitutional
norm. The fact that the suspect is a convicted offender may form part of the
reasonable and probable grounds advanced in support of the authorization, but
it does not change the threshold that must be met. It is important to note,
however, that this Court in Hunter itself recognized that this
individualized credibly based probability standard may vary depending on the
context (p. 168). Even within the narrow compass of criminal investigative
activity, exceptions to the requirements of reasonable grounds to believe and
prior judicial authorization have been recognized. For example, in the context
of customs border searches, this Court concluded that the Hunter criteria
for assessing the reasonableness of a search for the purposes of s. 8 were
inapplicable: see R. v. Simmons, [1988] 2 S.C.R. 495; R. v. Jacques,
[1996] 3 S.C.R. 312; R. v. Monney, [1999] 1 S.C.R. 652. See also R.
v. Caslake, [1998] 1 S.C.R. 51, on the common law power to search
incidental to arrest, and R. v. Grant, [1993] 3 S.C.R. 223, on
warrantless searches in circumstances of urgency. As I will explain, the Hunter
criteria are not applicable in this context either.
36
The DNA warrant provisions are akin to the other warrant
provisions contained in the Criminal Code . They allow for the gathering
of evidence from a suspected offender in respect of an investigation into a
specific offence. Those provisions fall clearly within the scope of the Hunter
paradigm. The subject of the proposed search and seizure, whether or not he or
she is a convicted offender, has the constitutional right to be left alone by
law enforcement authorities unless and until there are reasonable and probable
grounds, established upon oath, to believe that an offence has been committed
and that there is evidence to be found by means of the DNA sampling and
analysis. The constitutional validity of these provisions was reviewed and
upheld by this Court in S.A.B.
37
Unlike the warrant provisions, the DNA data bank provisions do
not target suspected offenders in respect of particular offences. Rather, they
target offenders who have been convicted of different categories of offences.
They do not provide for the gathering of evidence for use in a specific
prosecution. Rather, they provide for the collection of samples solely for the
purpose of creating DNA profiles for inclusion in the data bank. In any future
investigation, a comparison between DNA evidence obtained at a crime scene and the
data bank DNA profile will either serve to exonerate or identify a suspect.
However, if a crime scene DNA profile matches an existing profile in the data
bank, the sample is not released. Usual investigative methods, including DNA
warrants, must be resorted to in order to gather evidence in pursuit of the
investigation. Dr. Fourney describes the procedure as follows:
14. Whenever a new DNA profile is entered into one of the indices, the
data bank looks to see if it matches an existing profile in either of the
indices. Where there is a match or “hit”, the data bank notifies the Canadian
Police Services Information Centre (CPSIC) who can then match the SUN with the
identity of the donor. CPSIC has no access to the DNA profile, but has the
ability to decode the SUN to determine the identity of the donor. When there
is a “hit” CPSIC informs the laboratory that generated the crime scene profile
that there has been a match between that crime scene sample and a particular
individual. At no time is the sample or profile released to anyone outside the
data bank. Instead, local investigators use traditional investigative
methods, including DNA warrants, to further their investigation. [Emphasis
added.]
38
In my view, in considering the purpose of the DNA data bank provisions,
the appropriate analogy is to fingerprinting and other identification measures
taken for law enforcement purposes. The purpose of the legislative scheme is
expressly set out in s. 3 of the DNA Identification Act — “to help law
enforcement agencies identify persons alleged to have committed
designated offences, including those committed before the coming into force of
this Act”. The DNA data bank provisions contained in the DNA Identification
Act and the Criminal Code are intended to put modern DNA technology
to use in the identification of potential and known offenders. The DNA
Identification Act is a modern supplement to the Identification of
Criminals Act, R.S.C. 1985, c. I-1 , which provides as follows:
2. (1) The following persons may be
fingerprinted or photographed or subjected to such other measurements,
processes and operations having the object of identifying persons as are
approved by order of the Governor in Council:
.
. .
Section 2 goes
on to identify classes of persons charged and convicted of particular offences
who are subject to the identification process. It is beyond dispute that DNA
sampling is a far more powerful identification tool than fingerprinting.
Therein lies the heightened societal interest in adding this modern technology
to the arsenal of identification tools.
39
I am also of the view that a useful analogy can be drawn between DNA
sampling and fingerprinting in considering the impact on the privacy interest
of the concerned individuals. DNA sampling impacts on the privacy interest of
the subject in two ways: it interferes with the bodily integrity of the person
and it engages the informational component of privacy. With respect to the first,
it is not disputed that the degree of offence to the physical integrity of the
person is relatively modest and Mr. Rodgers takes no serious issue with this
component of the privacy interest. The impact of DNA sampling on the physical
security of the person was considered fully in S.A.B. and, the Court
concluded that “the statutory framework alleviates any concern that the
collection of DNA samples pursuant to a search warrant under ss. 487.04 to
487.09 of the Criminal Code constitutes an intolerable affront to the
physical integrity of the person” (para. 47). The same statutory framework
governs the taking of samples pursuant to DNA data bank orders and raises no
greater constitutional concern in respect of the physical security of the
person than does fingerprinting or the other identification procedures
considered in Beare.
40
The potential impact on the informational component of privacy, however,
is far more significant. It was also discussed in S.A.B. and the Court
recognized that “[t]here is undoubtedly the highest level of personal and
private information contained in an individual’s DNA” (para. 48). It is mainly
for that reason that Mr. Rodgers submits that the analogy to fingerprinting
does not assist in assessing the constitutionality of the DNA data bank
regime. Mr. Rodgers correctly notes that DNA can reveal personal information
that goes far beyond the identity of the person. However, his argument ignores
the legislative provisions enacted in furtherance of the statement of principle
contained in s. 4 of the DNA Identification Act where Parliament
expressly recognizes and declares that safeguards must be placed to protect the
privacy of individuals. These safeguards, described earlier in this judgment,
strictly limit the use that can be made of samples obtained for inclusion in
the data bank to the comparison of offender profiles with crime scene profiles
for identification only.
41
Given this analogy between DNA sampling and fingerprinting, I agree with
the Crown that this Court’s analysis in Beare is instructive. Similar
arguments to those raised on this appeal were made in Beare where the
requirement that a person appear for fingerprinting under the Identification
of Criminals Act following a charge but before conviction was challenged on
the ground that it contravened ss. 7 , 8 , 9 , 10 , 11 (c) and 11 (d)
of the Charter . The impact on the privacy interest of the person
resulting from being subjected to fingerprinting, observation, photographing,
and other measurements was considered as part of the Court’s s. 7 analysis.
The Court rejected the constitutional challenge based, in part, on the
following reasoning (at p. 413):
It seems to me that a person who is arrested on
reasonable and probable grounds that he has committed a serious crime, or a
person against whom a case for issuing a summons or warrant, or confirming an
appearance notice has been made out, must expect a significant loss of personal
privacy. He must expect that incidental to his being taken in custody he will
be subjected to observation, to physical measurement and the like.
Fingerprinting is of that nature. While some may find it distasteful, it is
insubstantial, of very short duration, and leaves no lasting impression. There
is no penetration into the body and no substance is removed from it.
I am unable to accept that a provision providing for
fingerprinting as an incident of being taken into custody for a serious crime
violates the principles of fundamental justice. While a search of one’s premises
requires a prior authorization based on reasonable and probable grounds to
believe both that the offence has been committed and that evidence will be
found, the custodial fingerprinting process is entirely different. It involves
none of the probing into an individual’s private life and effects that mark a
search.
Apart from this, the invasion of privacy on arrest
on reasonable and probable grounds is a far more serious violation of the right
to privacy. It is not significantly aggravated by the taking of the
fingerprints of the person in custody. As already mentioned, there are many
cases where the United States courts, including the Supreme Court, have refused
to accord constitutional protection against a general discretion in the police
to take fingerprints from persons in custody; see Moenssens, supra, at
pp. 62-70.
The Court
specifically rejected the Court of Appeal’s opinion in that case that the
legislation was constitutionally deficient because it did not require that
reasonable and probable grounds linking the fingerprinting to the particular
offence be established. La Forest J., writing for the Court, summarized the
reasoning of the Court of Appeal as follows (at p. 411):
The judges in the Court of Appeal thought their
objections to the discretionary features of the legislation could be met if the
following conditions were satisfied: a peace officer, in addition to having
reasonable and probable grounds for believing the accused had committed an
offence, had reasonable and probable grounds for believing that fingerprinting
would likely provide evidence relating to the offences, or reasonably doubted
the identity of the accused, or believed on reasonable and probable grounds
that fingerprinting would provide evidence of the subject’s identity.
La Forest J.
rejected this approach stating that it ignored “the wide variety of reasons
for which fingerprints may legitimately be used” (p. 411). In the same way, I
am of the view that Mr. Rodger’s main argument on s. 8 ignores the distinct
purpose of establishing a national DNA data bank for identification purposes
and the variety of reasons for which DNA profiles may legitimately be used. In
assessing the reasonableness of the legislation, it is this societal interest
which must be balanced against the privacy interests of the individual.
42
Mr. Rodgers correctly concedes that, as a person who has been convicted
and is serving a sentence, his expectation of privacy is greatly reduced: see Weatherall
v. Canada (Attorney General), [1993] 2 S.C.R. 872, at p. 877; Stillman,
at para. 61. As Weiler J.A. aptly put it in Briggs in the context of
assessing the impact of the DNA data bank legislation (at para. 34):
A person convicted of a crime has a lesser expectation of privacy not
because that person’s worth as a human being is less, but because the person’s
right to make choices about his or her life is curtailed.
Mr. Rodgers
unquestionably has a residual privacy interest in the information contained in
his DNA samples. However, in restricting the use of DNA sampling for data bank
purposes to an identification tool only, Parliament has adequately
answered any heightened concern about the potentially powerful impact that DNA
sampling has on the informational privacy interests of the individual. The
relevant question then becomes whether Mr. Rodgers has any reasonable
expectation of privacy in respect of his identity.
43
The class of persons against whom a DNA data bank authorization may be
granted is confined to offenders who have been convicted of designated
offences. As stated earlier, designated offences, as defined under s. 487.04
of the Criminal Code , may generally be described as the more serious
offences under the Code and offences in respect of which it may
reasonably be expected that DNA may be left behind by the offender. Section
487.055 targets the most dangerous convicted offenders — Mr. Rodgers
falls in that class. Can persons convicted of designated offences, in
particularly the category of offender targeted under s. 487.055 , reasonably
expect to retain any degree of anonymity vis-à-vis law enforcement
authorities after their conviction? Bateman J.A. in R. v. Murrins (2002),
201 N.S.R. (2d) 288 (C.A.), concluded that the reasonable expectancy of a
person convicted of a designated offence would be the opposite (at para. 41):
A person convicted of a designated offence would
reasonably expect the authorities to gather and retain identifying information,
such as fingerprints, distinctive body markings, or eye color. The bodily
sample here is simply another form of identification.
I agree. In
my view, Mr. Rodgers’ identity as a multiple sex offender has become a matter
of state interest and he has lost any reasonable expectation of privacy in the identifying
information derived from DNA sampling in the same way as he has lost any expectation
of privacy in his fingerprints, photograph or any other identifying measure
taken under the authority of the Identification of Criminals Act .
44
Having regard to the competing interests at play, I conclude that there
is no constitutional requirement to link the convicted offender, on reasonable
and probable grounds, to any particular investigation. The data bank
provisions strike an appropriate balance between the public interest in the
effective identification of persons convicted of serious offences and the
rights of individuals to physical integrity and the right to control the
release of information about themselves.
5.4 Procedural Fairness
45
The remaining question is whether the making of s. 487.055 orders
without requiring notice to and participation by the convicted offender
breaches fundamental fairness. (Sections 487.051 and 487.052 which target
convicted offenders whose cases are still before the court for sentencing are
silent on the question of notice. Given that orders under those provisions are
routinely made at the time of sentencing, the offender is usually present at
the hearing.)
46
Mr. Rodgers submits that ex parte hearings are exceptional and
limited in their use where some harm could result from the giving of notice.
In support of his argument, he relies on the following words of Arbour J. in Ruby
v. Canada (Solicitor General), [2002] 4 S.C.R. 3, 2002 SCC 75, at paras. 25
and 38:
Ex parte, in a legal sense, means a
proceeding, or a procedural step, that is taken or granted at the instance of
and for the benefit of one party only, without notice to or argument by any
adverse party: Attorney General of Manitoba v. National Energy Board,
[1974] 2 F.C. 502 (T.D.). The circumstances in which a court will accept
submissions ex parte are exceptional and limited to those situations in
which the delay associated with notice would result in harm or where there is a
fear that the other party will act improperly or irrevocably if notice were
given. For instance, temporary injunctions are often issued ex parte
in order to preserve the status quo for a short period of time before
both parties can be heard (to prevent the demolition of a building, for
example).
.
. .
It remains to determine whether the requirement in
s. 51(3) that a court accept ex parte submissions on request of the government
institution refusing to disclose information is contrary to the principles of
fundamental justice. As I have already noted, the circumstances in which a
court will accept ex parte submissions are exceptional.
The circumstances in which a court will be obliged to hear ex parte
submissions at the request of one party are even more exceptional.
[Emphasis added.]
47
I will return later to the circumstances and the conclusion of the Court
in Ruby. However, it is important to note at the outset that the
fallacy in Mr. Rodgers’ argument is that it presupposes that notice and
participation are themselves principles of fundamental justice, any departure
from which must be justified in order to meet the minimal constitutional norm.
As I read his reasons, Fish J. adopts the same reasoning. With respect, it is
my view that this is not the proper approach. The constitutional norm, rather,
is procedural fairness. Notice and participation may or may not be required to
meet this norm — it is well settled that what is fair depends entirely on the
context: see R. v. Lyons, [1987] 2 S.C.R. 309, at p. 362; R. v. Rose,
[1998] 3 S.C.R. 262, at para. 99; R. v. Harrer, [1995] 3 S.C.R. 562, at
para. 14; R. v. Finta, [1994] 1 S.C.R. 701, at p. 744; R. v. Bartle,
[1994] 3 S.C.R. 173, at p. 225; Dehghani v. Canada (Minister of Employment
and Immigration), [1993] 1 S.C.R. 1053, at p. 1077; Thomson Newspapers
Ltd. v. Canada (Director of Investigation and Research, Restrictive Trade
Practices Commission), [1990] 1 S.C.R. 425, at p. 540; Knight v. Indian
Head School Division No. 19, [1990] 1 S.C.R. 653, at p. 682; Baker v.
Canada (Minister of Citizenship and Immigration), [1999] 2 S.C.R. 817, at
para. 21; Chiarelli v. Canada (Minister of Employment and Immigration),
[1992] 1 S.C.R. 711, at p. 743; Ruby, at para. 39.
48
The extent to which context is all important on questions of procedural
fairness is plain from an analysis of Ruby itself. The ending words to
para. 38 quoted above, not relied upon by Mr. Rodgers, read as follows:
The question is whether, in the context of this case, such a
provision is consistent with the principles of fundamental justice. I
believe that it is. [Emphasis added.]
In Ruby the
Court was assessing the procedural fairness of a mandatory ex parte in
camera proceeding held in response to an access to information request by
Mr. Ruby under the federal Privacy Act . The request was challenged by
the government who claimed the benefit of certain exemptions under the Act.
The Court reiterated the well-established principle that what is fair will
depend on the context. The Court then explained why fairness, as a general
rule, will require notice and participation (at para. 40):
As a general rule, a fair hearing must include an
opportunity for the parties to know the opposing party’s case so that they may
address evidence prejudicial to their case and bring evidence to prove their
position . . . .
The Court
accepted that, in the case at hand, the exclusion of the appellant from the
government’s submissions was an exceptional departure from this general rule
because it left him “in an informational deficit when trying to challenge the
legitimacy of the exemptions claimed by the government” (para. 40).
Notwithstanding this impact on Mr. Ruby, the Court recognized that “the general
rule does tolerate certain exceptions”
(para. 40).
Following its contextual analysis, the Court concluded as follows, at para. 51,
on the question of procedural fairness:
In this case, given the statutory framework, the
narrow basis of the appellant’s constitutional challenge and the significant
and exceptional state and social interest in the protection of information
involved, I find that the mandatory ex
parte and in camera
provisions do not fall below the level of fairness required by s. 7 .
[Emphasis added.]
49
The particular circumstances that informed the Court’s conclusion are
not relevant to this case and need not be reviewed in any greater detail.
However, the analysis in Ruby, as in several other cases cited earlier,
is very instructive. This Court has made it clear, not only that what is fair
in a particular case depends entirely on the context, but that the
constitutional question is referable to the minimal standard mandated by
the Charter . Parliament and the legislatures can, and often do,
legislate beyond minimal constitutional requirements on matters engaging constitutionally
guaranteed rights and freedoms. It would be an unfortunate result if
legislators became hesitant to do so for fear of expanding their constitutional
obligations. This point was made in Chiarelli, at p. 742. The Court
held that s. 7 of the Charter did not give a non-citizen who was
otherwise deportable for criminality a right to an appeal hearing based on
compassionate grounds. The Court then stated the following in respect of
alleged constitutional deficiencies in the hearing that was provided by statute
(at p. 742):
It is entirely within the discretion of Parliament whether an appeal on
this basis is provided. Accordingly, Parliament could have simply provided
that a certificate could issue without any hearing. Does the fact that
Parliament has legislated beyond its constitutional requirement to provide that
a hearing will be held enable the respondent to complain that the hearing does
not comport with the dictates of fundamental justice? It could be argued that
the provision of a hearing ex gratia does not expand Parliament’s
constitutional obligations. I need not resolve this issue in this case because
I have concluded that, assuming that proceedings before the Review Committee
were subject to the principles of fundamental justice, those principles were
observed.
50
The Crown argues that this is a case where Parliament, in requiring
prior judicial authorization under s. 487.055, has chosen to exceed minimal
constitutional norms. The Crown therefore submits that the ex parte
nature of the application cannot be constitutionally infirm because
Parliament could have passed constitutionally valid legislation requiring the
mandatory taking of bodily samples for DNA data bank purposes from s. 487.055
offenders in the complete absence of any prior judicial authorization.
The Crown notes that, significantly, American appellate courts have
consistently and uniformly upheld the constitutional validity of a variety of
state and federal legislative initiatives requiring the compulsory DNA
profiling of certain convicted offenders, without prior judicial authorization
and without requiring any degree of individualized suspicion of a crime by the
target. The courts have held that such legislation does not offend the Fourth
Amendment right against “unreasonable searches and seizures”. In its leading
decision on this point, the 9th Circuit of the U.S. Court of Appeals in United
States v. Kincade, 379 F.3d 813 (2004), concluded as follows, at para. 3:
In light of conditional releasees’ substantially
diminished expectations of privacy, the minimal intrusion occasioned by blood
sampling, and the overwhelming societal interests so clearly furthered by the
collection of DNA information from convicted offenders, we must conclude that
compulsory DNA profiling of qualified federal offenders is reasonable under the
totality of the circumstances. Therefore, we today realign ourselves with
every other state and federal appellate court to have considered these
issues-squarely holding that the DNA Act satisfies the requirements of the
Fourth Amendment. [Footnote omitted.]
The vast
majority of state statutes also have a mandatory retrospective aspect in
respect of offenders who were serving sentences for enumerated offences at the
time the legislation was proclaimed in force, often as a condition of parole.
By way of example, see the following statutes: Cal. Penal Code § 296.1 (West
Supp. 2005); Mich. Comp. Laws Serv. §§ 28.171 to 28.176 (LexisNexis 2001 &
Supp. 2003); Va. Code Ann. § 19.2-310.2 (Supp. 2005); N.Y. Exec. Law § 995
(Consol. 1995 & Supp. 2004); Fla. Stat. Ann. § 943.325 (West Supp. 2005);
N.J. Stat. Ann. §§ 53:1-20.17 to 53:1-20.30 (West 2001 & Supp. 2004); Ohio
Rev. Code Ann. § 2901.07 (LexisNexis Supp. 2005); Ga. Code Ann. §§ 24-4-60 to
24-4-65 (Supp. 2005); Mass. Ann. Laws ch. 22E, §§ 1-15 (LexisNexis 2003 &
Supp. 2005).
51
It is not necessary to decide in this case whether a similar legislative
scheme would be constitutionally valid in Canada. Parliament has not chosen
this route — it has provided for prior judicial authorization. Given the
potential impact on the informational component of a person’s right to privacy,
this additional safeguard, coupled with the legislative restrictions placed on
the use that can be made of collected samples for identification purposes only,
may well be a wise choice — whether or not it exceeds Parliament’s
constitutional obligations. The determinative question becomes whether, in all
the circumstances, Parliament’s choice of a presumptively ex parte hearing
is fundamentally unfair. In my view, it is not. Keeping in mind that there is
no constitutional guarantee to the most favourable procedure available, it is
important to note that the chosen procedure in this case does provide the
offender with the following safeguards:
(1) prior judicial authorization must be obtained on written
application to a provincial court judge: s. 487.055(1) ;
(2) the applicant must establish that the targeted offender falls
within one of the designated categories of offenders;
(3) the judge has the discretion to give notice to the offender
affected by the application;
(4) the judge has the discretion not to order DNA sampling;
(5) in deciding whether to grant the authorization, the judge is
statutorily required to “consider the person’s criminal record, the nature of
the offence and the circumstances surrounding its commission and the impact
such an authorization would have on the privacy and security of the person”: s.
487.055(3.1);
(6) the judge may require conditions to ensure that “the taking of
the samples . . . is reasonable in the circumstances”: s. 487.06(2) ;
and
(7) the police must report back in writing to the provincial court
judge: s. 487.057(1) .
52
Further, although there is no appeal from a s. 487.055 order, the
decision of the judge is reviewable on certiorari. Without doubt,
errors in the record can be made. However, giving the offender notice and an opportunity
to be heard is not the only procedure by which any error could be corrected.
It is not as if DNA samples can be taken surreptitiously without the knowledge
of the targeted person. Before taking any samples, the person acting under the
authority of a DNA warrant, order or authorization, has the duty to inform the
subject, among other matters, of the contents of the authorizing document and
the purpose of taking the samples: s. 487.07 of the Criminal Code .
Hence, the offender will be apprised of the basis for obtaining the order. As
the absence of a precondition to the making of the order would go to
jurisdiction, any such error would be reviewable on certiorari.
53
Finally, in determining whether the chosen procedure meets minimal
constitutional imperatives of procedural fairness, the ex parte nature
of the proceeding must be considered in the context of what is truly at stake
on a s. 487.055 application. As noted earlier, any person whose conduct has
earned a s. 487.055 classification cannot reasonably expect that his or her
identity will remain private vis-à-vis law enforcement authorities.
Indeed, the offender, by reason of his criminal conduct, is already known to
law enforcement authorities and, depending on the circumstances, may be a
logical suspect in future investigations regardless of any s. 487.055 order.
What an offender therefore stands to lose on a s. 487.055 application is to
have his DNA profile made available to the state for identification purposes
only. The inclusion of the DNA profile in the data bank can serve to
effectively eliminate him as a potential suspect in future investigations, or
it can serve to identify him as a person connected to the crime under
investigation. If the latter, his procedural rights with respect to any
potential use of the DNA data bank profile in that investigation are far from
exhausted. If a “hit” is generated in the DNA data bank, and the offender’s
DNA is subsequently gathered by way of a DNA warrant, it will be open to the offender
to challenge the admissibility of any DNA evidence at trial on the basis that
he or she was illegally included in the data bank itself, if that be the case.
Where the “hit” constituted the basis of the DNA search warrant, illegal
inclusion in the data bank itself may provide grounds for quashing the
warrant. A warrantless search would thereafter be considered prima facie unreasonable
and may provide ground for Charter relief at trial. The admissibility
of the evidence will also remain subject to all the usual rules of evidence.
54
Because of the retrospective nature of the application, offenders
targeted by s. 487.055 are finite in number but they are nonetheless numerous.
As noted by the intervener the Attorney General of British Columbia, the National
DNA Data Bank website statistics show that in excess of 1,900 samples have been
obtained through this ex parte process. The offenders, although still
under sentence at the time of the application, are no longer before the
courts. Some are the most dangerous and violent criminals in Canadian
prisons. The Crown submits that requiring their attendance at full inter
partes hearings would create a significant risk to public safety and cause
a substantial expenditure of public resources. While these factors alone could
not justify a breach of fundamental fairness, I find no such breach in this
case. In light of the interests at stake and the panoply of procedural
safeguards that are in place, I conclude that a presumptively ex parte hearing
is a constitutionally valid legislative option.
55
For these reasons, I conclude that the DNA data bank legislative scheme
meets the constitutional requirements of s. 8 of the Charter .
6. Sections
11 (h) and 11 (i)
56
Finally, Mr. Rodgers contends that s. 487.055 infringes both ss. 11 (h)
and 11 (i) of the Charter “because it inevitably punishes the
offender again for a predicate offence and denies the offender the benefit of
the lesser punishment”. For convenience, I again reproduce ss. 11 (h)
and 11 (i):
11. Any person charged with an offence has
the right
.
. .
(h) if finally acquitted of the offence, not to be tried for
it again and, if finally found guilty and punished for the offence, not to be
tried or punished for it again; and
(i) if found guilty of the offence and if the punishment for
the offence has been varied between the time of commission and the time of
sentencing, to the benefit of the lesser punishment.
57
Mr. Rodgers first raised this constitutional argument before the Court
of Appeal and, in that court, only in respect of s. 11 (i). He now
relies on both ss. 11 (h) and 11 (i). However, his argument is
still entirely focussed on whether the imposition of a DNA sampling and
analysis order amounts to a “punishment” within the meaning of s. 11 . The
Court of Appeal summarily dismissed Mr. Rodgers’ s. 11 argument stating that
“the taking of the sample is not a punishment anymore than would be the taking
of fingerprints or the taking of a photograph of a convicted person: R. v.
Briggs, supra, at p. 446 O.R., p. 72 C.C.C.; R. v. Murrins
(2002), 162 C.C.C. (3d) 412, 92 C.R.R. (2d) 285 (N.S.C.A.) at pp. 442-48
C.C.C.” (para. 28). Mr. Rodgers appeals from that finding.
58
First, it is necessary to consider whether s. 11 applies at all to a s.
487.055 application. As the introductory words of the section make it plain,
the protection extended by s. 11 can only be invoked when “[a] person [is]
charged with an offence”. Therefore, in and of itself, the application for a
DNA order does not at all engage s. 11 . It cannot be contended that Mr. Rodgers
is “charged with an offence” on any reasonable meaning of the term and, as I
understood his argument, he is not claiming the protection of s. 11 on that
basis. He relies, rather, on the charges that were brought in respect of the
index offences — namely the multiple sex offences in respect of which he was
convicted and which form the basis of the application for a DNA data bank
order. There is no doubt that s. 11 applies to those criminal proceedings and
the question then becomes whether the imposition of a s. 487.055 order
constitutes further “punishment” for those offences.
59
What constitutes a “punishment” under s. 11 has yet to be fully
explored. The Crown, in part, relies on R. v. Wigglesworth, [1987] 2
S.C.R. 541, and submits that this Court, in the context of a complaint about
“double jeopardy”, described “punishment” as the imposition of “true penal
consequences” such as “imprisonment or a fine which by its magnitude would
appear to be imposed for the purpose of redressing the wrong done to society at
large . . .” (p. 561). The test in Wigglesworth was also
applied in R. v. Shubley, [1990] 1 S.C.R. 3, at pp. 21-23, and in Martineau
v. M.N.R., [2004] 3 S.C.R. 737, 2004 SCC 81, at para. 57. It is important
to put the Wigglesworth test in context. As I will explain, it applies
to determine whether s. 11 is triggered but does not purport to restrict the
meaning of “punishment” in the context of a criminal proceeding to encompass
only imprisonment and heavy fines.
60
In Wigglesworth, the question before the Court was whether the s.
11 (h) protection against double jeopardy extended to police disciplinary
proceedings so as to preclude a subsequent criminal trial based on the same
conduct for which the police officer had been internally disciplined. A
similar question was raised in Shubley in respect of internal prison
disciplinary proceedings. In Martineau, the question was whether the s.
11 (c) right against self-incrimination could be invoked in the context
of forfeiture proceedings commenced under the Customs Act . In each
case, the Court applied the two-prong test established in Wigglesworth
to determine whether the proceeding in question came within the purview of s.
11 — a person charged with an offence can claim the protection of s. 11 if
either (1) the proceedings are, by their very nature, criminal proceedings; or
(2) the punishment invoked involves the imposition of “true penal
consequences”. It is in this context that the Court explained, at p. 561,
what it meant by “true penal consequences”:
In my opinion, a true penal consequence which would attract the
application of s. 11 is imprisonment or a fine which by its magnitude would
appear to be imposed for the purpose of redressing the wrong done to society at
large rather than to the maintenance of internal discipline within the limited
sphere of activity.
61
The Court made it clear however that, under the first branch of the
test, “all prosecutions for criminal offences under the Criminal Code
and for quasi-criminal offences under provincial legislation are automatically
subject to s. 11 ” (p. 560). Under the second branch of the test, a proceeding
that is not criminal or quasi-criminal in nature but attracts a “true
penal consequence” (such as imprisonment or a fine of a certain magnitude) will
be equated to a criminal or quasi-criminal proceeding for s. 11 purposes.
However, what constitutes a “punishment” within a criminal proceeding is not
limited to those two sanctions. Such an interpretation would not accord with
the liberal and purposive approach that must be taken in interpreting Charter
rights. For example, if an offender is charged with a criminal offence, tried,
convicted and sentenced to a term of probation or a small fine, it could not be
argued that the protection of s. 11 (h) would not extend to second
criminal proceedings commenced in respect of the same offence because the
probation or the small fine did not constitute “punishment” for his crime.
Likewise, if the punishment for an offence has been varied between the time of
commission and the time of sentencing so as to abolish the availability of a
conditional discharge for that offence, it could not be argued that the
conditional discharge did not constitute a “punishment” within the meaning of
the s. 11 (i) protection. The accused would be entitled to the benefit
of the less severe sanction in force at the time of commission of the offence.
62
In its ordinary sense, “punishment” refers to the arsenal of sanctions
to which an accused may be liable upon conviction for a particular offence.
The Criminal Code uses the words “punishment” or “punishable” to
describe the range of sanctions available on sentencing. For example, an
offence will be described as “punishable” on summary conviction and the
offender will be “liable to a fine . . . or [a term of] imprisonment”: s. 787(1) .
Section 718.3(1) provides that “[w]here an enactment prescribes different
degrees or kinds of punishment in respect of an offence, the punishment
to be imposed is, subject to the limitations prescribed in the enactment, in
the discretion of the court that convicts a person who commits the offence”.
The words “sentence” and “sanction” are also used interchangeably: see for
example s. 718.2 .
63
This does not mean, however, that “punishment” under ss. 11 (h)
and 11 (i) necessarily encompasses every potential consequence of being
convicted of a criminal offence, whether that consequence occurs at the time of
sentencing or not. A number of orders can be made by a sentencing court, for
example an order for forfeiture, a firearm prohibition, a driving prohibition,
or an order for restitution. It is beyond the purview of this appeal to
determine whether or not any of these consequences constitutes a punishment.
As a general rule, it seems to me that the consequence will constitute a
punishment when it forms part of the arsenal of sanctions to which an accused
may be liable in respect of a particular offence and the sanction is one
imposed in furtherance of the purpose and principles of sentencing. In this
respect, the protection afforded by s. 11 must be contrasted with s. 12 of the Charter
that protects against cruel and unusual “treatment” or punishment. For
example, DNA sampling, ordered as a consequence of conviction, would
undoubtedly constitute a “treatment” and, if the physical method for obtaining
a DNA sample were cruel and unusual, redress could be obtained under s. 12 .
64
However, I agree with the conclusion reached by the Court of Appeal and
find that the imposition of a s. 487.055 order, although a consequence of the
convictions on the index offences, does not constitute a punishment within the
meaning of s. 11 . I find none of Mr. Rodgers’ arguments persuasive. First, his
concern about the potential dangers of equating the taking of DNA samples to
fingerprinting is a matter for consideration under s. 8 , not s. 11 . Second,
the fact that the DNA order may have a deterrent effect on the offender does
not make it a punishment. As aptly noted by Bateman J.A. in Murrins:
The fact that the existence of a DNA profile may deter offenders from
committing future crimes is a residual benefit but does not bring the order
into the category of a punishment. The order is in furtherance of the
legitimate state interest in solving crime rather than its interest in
sanctioning the offender. [para. 102]
As stated by
the Crown in its factum, “[w]hile it is true that many punishments are aimed at
having a deterrent effect, that does not mean that every deterrent measure is,
by definition, ‘punishment’. For example, random traffic stops to check for
alcohol consumption hopefully have the effect of deterring people from drinking
and driving, but no one could properly characterize a R.I.D.E. stop as
‘punishment’”. Finally, the argument that there is a definite stigma attached
to the taking of a DNA sample is not persuasive. Other than a notation on the
records of the Canadian Police Services Information Centre, there is no
information that a person’s DNA sample is in the data bank. If there is any
stigma, surely it flows from the convictions upon which the order is based. In
any event, the fact that a treatment may occasion a certain stigma does not
turn it into a punishment. Stigma may be occasioned by the simple fact of being
arrested and charged with a criminal offence.
65
The DNA sampling and analysis is no more part of the arsenal of
sanctions to which an accused may be liable in respect of a particular offence
than the taking of a photograph or fingerprints. I therefore conclude that ss.
11 (h) and 11 (i) have no application to this case.
7. Disposition
66
For these reasons, I would answer the constitutional questions in the
negative. Section 487.055(1) of the Criminal Code does not infringe ss.
7 , 8 , 11 (h) and 11 (i) of the Charter . I would also
conclude that there is no reason to interfere with the authorization judge’s
discretion to proceed with the s. 487.055(1) application on an ex parte basis.
He was statutorily authorized to do so and no suggestion has been made that, if
indeed so authorized, he did not exercise his discretion judicially. I would
therefore allow the Crown’s appeal, set aside the decision of the Court of
Appeal for Ontario, dismiss Mr. Rodgers’ cross-appeal and dismiss his Charter
and certiorari applications.
The reasons of Binnie, Deschamps and Fish JJ. were delivered by
Fish J. (dissenting) —
I
Overview
67
I agree with two of Justice Charron’s principal findings. With respect,
however, they lead me to a different conclusion.
68
First, I agree that s. 487.055(1) of the Criminal Code, R.S.C.
1985, c. C-46 , with which we are concerned here, cannot pass constitutional
muster unless it complies with s. 8 of the Canadian Charter of Rights and
Freedoms . In Charron J.’s words, “[t]here is no question that the taking
of bodily samples for DNA analysis without the person’s consent constitutes a
seizure within the meaning of s. 8 of the Charter ” (para. 25). Section
8 of the Charter provides that “[e]veryone has the right to be secure
against unreasonable search or seizure.”
69
Accordingly, the outcome of this appeal depends on whether the impugned
provision is reasonable within the meaning of s. 8 .
70
Second, I agree with Charron J. that s. 487.055(1) contemplates
discretionary judicial orders without notice to the persons against whom those
orders are made. I should think it obvious that this discretion must be
exercised in accordance with the relevant factors explicitly set out in s.
487.055(3.1) of the Criminal Code and any other factors that are
implicitly relevant.
71
Accordingly, it seems to me that the core issue on this appeal is
whether there is any reasonable basis for presumptively excluding the subject
of the order from the hearing at which it is made. That person, after all, has
the most to lose if the order is erroneously made — and will often be in the
best position to correct erroneous information upon which the judge might otherwise
be required to rely.
72
The Crown advances several reasons that are said to justify proceeding ex
parte. First, it is said there will be few cases in which an application
for a DNA order under s. 487.055(1) can, or will, be successfully
opposed. With respect, this does not appear to me to be a persuasive argument
for depriving those against whom the order would otherwise be wrongfully made
of the opportunity to prevent this from happening.
73
Another justification, advanced by my colleague, is that errors made by
the issuing trial judge are subject to prerogative review. With respect, I
find it difficult to understand how the possibility of a cumbersome and
expensive ex post facto review on narrow jurisdictional grounds can be
considered an adequate substitute for a fair hearing on the application for an
order — a simple and expeditious opportunity to prevent erroneous orders and
unwarranted seizures from occurring. As Dickson J. (later C.J.C.)
stated in Hunter v. Southam Inc., [1984] 2 S.C.R. 145, s. 8 of the Charter
“requires a means of preventing unjustified searches before they
happen, not simply of determining, after the fact, whether they ought to have
occurred in the first place” (p. 160 (emphasis in original)).
74
Finally, it is argued that giving notice to the subject of a s. 487.055
order might lead to frustration of the purposes of the proposed DNA seizure.
This proposition does not resist even summary analysis.
75
Section 487.055 requires convicted offenders, upon notice, to appear at
a given time and place in order to provide a bodily sample. If they are no
longer in custody and do not flee when they receive this notice to appear, it
is difficult for me to understand why they would flee if they are instead given
notice that an application for the order will be made and informed of their
opportunity to make appropriate representations. If they are still in custody,
then I think it absurd to suggest that they might flee if they are likewise given
notice of the contemplated application.
76
And finally, in either instance, persons who are notified of the
application before the order is made can hardly thereupon hide or destroy their
bodily samples so as to prevent their seizure, should the order sought by the
authorities be made by the judge!
II
Proceeding Ex
Parte
77
Mr. Rodgers argues that holding the authorization hearings ex parte,
absent any reason to proceed without notice or participation, does not satisfy
the constitutional requirements of s. 8 . I agree.
78
Like Charron J., I believe that s. 487.055(1) contemplates presumptively
ex parte hearings. The judge is empowered to hold the hearing inter
partes, but the statute presumes that the data bank order will be issued
without notice or participation.
79
Speaking for a unanimous court, Doherty J.A. held that procedural
fairness and Charter principles “require notice to the individual whose
liberty and security of the person interests are potentially affected by the
order unless the Crown can establish legitimate grounds . . . for
proceeding without notice” ((2004), 70 O.R. (3d) 97, at para. 45). Charron J.,
on the other hand, finds that because the constitutional norm of procedural
fairness depends on context, notice and participation are not necessarily
required.
80
This Court has indeed asserted, repeatedly, that the nature and extent
of procedural fairness depends on context (Charron J., at para. 47). In this
regard, however, I find particularly instructive the most recent formulation of
the governing principles.
81
In Ruby v. Canada (Solicitor General), [2002] 4 S.C.R. 3, 2002
SCC 75, a unanimous Court permitted departure from the “general rule” that
a fair hearing must include an opportunity for the parties to know the
opposing party’s case so that they may address evidence prejudicial to their
case and bring evidence to prove their position. [para. 40]
82
And, while recognizing that this rule is not absolute, the Court took
care to emphasize that “the circumstances in which a court will accept ex
parte submissions are exceptional” (para. 38). The contextual approach
does, as Charron J. states, permit departure from the norm of providing notice
and permitting participation in the hearing. But only “exceptionally”, as the
Court stated in Ruby — and, in my view, not without cause or
justification.
83
In this case, context and principle both favour inter partes and
not ex parte hearings. Unlike in Ruby, we have been shown no
serious reason at all to depart from the venerable norm of providing notice and
participation, and there are important grounds for not doing so.
84
The Court has noted the kind of compelling reasons for which,
exceptionally, ex parte hearings will be permitted. In Ruby,
Arbour J. explained that they are limited to cases where the “delay associated
with notice would result in harm or where there is a fear that the other party
will act improperly or irrevocably if notice were given” (para. 25).
Similarly, in R. v. S.A.B., [2003] 2 S.C.R. 678, 2003 SCC 60, the Court
upheld the constitutionality of ex parte proceedings for DNA warrant
orders “because of the risk that the suspect would take steps to frustrate the
proper execution of the warrant” (para. 56).
85
None of these factors justifies proceeding ex parte in this case.
86
First, it is impossible for a subject to destroy his DNA sample.
“[B]odily samples . . . are usually in no danger of disappearing”: R.
v. Stillman, [1997] 1 S.C.R. 607, at para. 49. And DNA evidence in
particular can be obtained through a variety of approved tests.
87
Second, as mentioned earlier, notice and participation in the hearing
create no enhanced risk of flight. Section 487.055 applies only to offenders
who, on the date of the application, are still serving a sentence of
imprisonment. Offenders in custody are not in a position to flee; those who
are on parole and are minded to flee are perhaps less and not more likely to do
so if they are afforded an opportunity to oppose the order. Proceeding ex
parte carries with it no element of surprise: under s. 487.055, a data bank
order simply requires the subject to report at the place, date and time set out
in the summons. Neither the capacity nor the motivation to flee would in any
way be enhanced by providing notice and permitting participation in the
hearing. The state interest in proceeding ex parte where there is no
reason to do so is therefore minimal, at best.
88
In any event, an assessment of the state’s interest must consider as
well the competing interests of those whom the state is required to protect.
As the Court explained in Idziak v. Canada (Minister of Justice), [1992]
3 S.C.R. 631, determining the “nature and extent of procedural safeguards”
requires balancing the “competing interest of the state and the individual” (p.
657).
89
A s. 487.055 target has a legitimate interest in presenting information
that may well persuade the judge not to issue an order. Parliament
contemplated that there would be instances in which an order might be properly
denied, and has for this reason required the authorizing judge to consider all
of the relevant factors, including “the person’s criminal record, the nature of
the offence and the circumstances surrounding its commission”, as well as “the
impact such an authorization would have on the privacy and security of the
person” (s. 487.055(3.1) ).
90
Proceeding ex parte makes it more difficult — often impossible —
for the judge to consider these factors. The statutory safeguard requiring
consideration of the individual’s interest is thus rendered illusory by
proceeding ex parte without reason.
91
Offenders targeted by an application may well have information, to which
they alone are privy, that is relevant to the required exercise of judicial
discretion under s. 487.055(3.1) . Moreover, the DNA Identification Act,
S.C. 1998, c. 37 , came into force after offenders covered by s. 487.055 had
been convicted. At the time of their convictions, unlike others included in
the data bank, these offenders had no reason to place on the record information
that might be relevant to a DNA data bank order.
92
The risk inherent in denying them that opportunity is further heightened
where the offender entered a guilty plea and there was no full trial. Factors
relevant to a DNA order but not to the sentence are in such cases unlikely to
have been canvassed at the time. Information that is relevant on an
application under s. 487.055(3.1) would thus be absent from the record placed
before the judge who must decide it.
93
Charron J. points out that under s. 487.07 of the Criminal Code ,
the person taking the sample has the duty to inform the subject of the
“contents of the authorizing document and the purpose of taking the samples”
(para. 52). In her view, this ensures that the offender will be apprised of
the basis for the order, and if he or she feels that basis is insufficient,
that error is reviewable on certiorari.
94
Certiorari, as mentioned earlier, is a costly and cumbersome ex
post facto procedure available on narrow jurisdictional grounds. An order
wrongly made cannot be reversed on a demonstration of error alone. In my
respectful view, recourse to proceedings in certiorari is of no comfort
at all to persons who, but for their exclusion from the hearing, would have
prevented that error from occurring — and would not have suffered the
consequences, without reason or justification.
III
Summary and
Conclusion
95
The DNA data bank constitutes a substantial and novel invasion of
privacy. A “hit” between a sample in the data bank and one in the DNA crime
index will often qualify as a sufficient basis for obtaining a DNA search warrant
for the offender. While traditional investigative techniques are still
required, the DNA data bank facilitates the process, pointing to specific
offenders who remain in the data bank for life. These considerations underline
the importance of providing notice and affording those whose privacy interests
are at stake an opportunity to participate in the hearing except where
competing interests otherwise require.
96
In the present matter, we have been shown no cause or justification for
proceeding ex parte, while the reasons for giving notice are both
compelling and self-evident. The judge retains discretion, in any event, to
order an ex parte hearing when there is a reasonable basis for doing so
in the particular circumstances of the case.
97
For all of these reasons, as stated at the outset, I have concluded that
s. 487.055 of the Criminal Code is inconsistent with s. 8 of the Charter .
98
In its admirably succinct treatment of the remaining issue — whether the
impugned statutory provision is a “reasonable limit” within the meaning of s.
1 of the Charter — the Crown simply “relies upon the considerations
advanced in support of the conclusion that [s. 487.055 ] permitted only
‘reasonable’ searches and seizures”. Since those considerations fail to
persuade me in respect of s. 8 , they necessarily fail as well with regard to s.
1 .
99
To the extent of its inconsistency with s. 8 of the Charter , s.
487.055 is therefore, in my respectful view, of no force or effect.
Appeal allowed and cross‑appeal dismissed, Binnie, Deschamps and Fish
JJ. dissenting.
Solicitor for the appellant/respondent on cross‑appeal: Crown
Law Office, Toronto.
Solicitors for the respondent/appellant on cross‑appeal: Lafontaine
& Associates, Toronto.
Solicitor for the intervener the Attorney General of
Canada: Attorney General of Canada, Edmonton.
Solicitor for the intervener the Attorney General of
Quebec: Department of Justice, Sainte‑Foy.
Solicitor for the intervener the Attorney General of Nova Scotia: Attorney
General of Nova Scotia, Halifax.
Solicitor for the intervener the Attorney General of
New Brunswick: Office of the Attorney General, Fredericton.
Solicitor for the intervener the Attorney General of
British Columbia: Ministry of Attorney General, Vancouver.