R. v. Shearing, [2002] 3 S.C.R. 33, 2002 SCC 58
Ivon Shearing Appellant
v.
Her Majesty The Queen Respondent
and
The Attorney General for Ontario,
the Women’s Legal Education and Action Fund,
and the Criminal Lawyers' Association (Ontario) Interveners
Indexed as: R. v. Shearing
Neutral citation: 2002 SCC
58.
File No.: 27782.
2001: October 9; 2002: July 18.
Present: McLachlin C.J. and L’Heureux‑Dubé,
Gonthier, Iacobucci, Major, Bastarache, Binnie, Arbour and LeBel JJ.
on appeal from the court of appeal for british columbia
Criminal law – Evidence – Similar fact evidence –
Admissibility – Leader of a cult charged with sexual offences relating to
multiple complainants — Two complainants not members of accused’s cult but
resident with accused — Remaining complainants disciples of accused — Whether
evidence of each count of sexual misconduct was admissible as similar fact
evidence of all other charges.
Criminal law – Evidence – Cross-examination —
Sexual offences – Diary – Trial judge permitting cross-examination of one
complainant with respect to specific entries in her diary arguably inconsistent
with her testimony at trial but not with respect to absence of any references
to abuse in diary — Whether cross-examination on absence of reference to abuse
should have been allowed.
The accused was the leader of a cult which believed
that enlightenment is reached through ascension by steps of consciousness. He
preached that sexual experience was a way to progress to higher levels and that
he, as cult leader, could be instrumental in enabling young girls to reach
higher levels through sexual and spiritual contact. He was charged with
20 counts of sexual offences alleged to have occurred between
1965 and 1990. Two of the 11 complainants were sisters who had
resided with the accused at the cult’s group residence while teenagers. They
were not adherents of the cult and lived at the group home only because their
mother was a member and the resident housekeeper. The other complainants were
believers. The trial judge dismissed an application by the accused to sever
the counts related to the sisters from the other counts. The counts were tried
together and each was admitted as similar fact evidence for the others.
One of the complainant sisters kept a daily diary for
eight months in 1970. She began it when she was 14 years old. The day‑to‑day
entries covered part of the 10‑year period when she alleged sexual abuse
by the accused and physical abuse by her mother at the accused’s instigation.
When the complainant left the house six years later, her mother put some of her
belongings in a cardboard box in their portion of the storage area shared with
other residents. The mother moved out in 1995. About 18 months later, after
the accused had been indicted, another resident of the house opened the
cardboard box, found the complainant’s diary and gave it to the defence. At
trial, the defence sought to use the diary to contradict the complainant on the
basis of entries arguably inconsistent with her evidence-in-chief, and by
showing the absence of any entry chronicling physical or sexual abuse. The
complainant objected and, at the voir dire into the admissibility of the
diary, asserted a privacy interest. The trial judge permitted the accused to
use the diary to cross‑examine the complainant on entries the defence
considered probative but did not permit cross‑examination on the absence
of any entries recording physical abuse by the mother or sexual abuse by the
accused.
A jury convicted the accused of sexual assaults
against the two sisters and five other complainants. The Court of Appeal
allowed the accused’s appeal with respect to two counts but otherwise dismissed
the appeal.
Held (L’Heureux-Dubé
and Gonthier JJ. dissenting in part): The appeal should be allowed
with respect to the counts relating to the sister who kept the diary and a new
trial ordered with respect to those counts only.
Per McLachlin C.J. and
Iacobucci, Major, Bastarache, Binnie, Arbour and LeBel JJ.: Although evidence
relating to an accused’s disposition will generally be excluded, exceptions to
this rule arise when the probative value of similar fact evidence outweighs its
prejudicial effect. In this case, the cogency of the similar fact evidence
rests on the validity of the double inference that firstly, the accused had a
situation-specific propensity to groom adolescent girls for sexual
gratification by exploiting the cult’s beliefs and its domestic arrangements,
and secondly, that he proceeded in that way with each complainant. Similarity
and unity of the incidents involving the complainant sisters and the others lay
in the accused’s modus operandi, his abuse of power and the theme
of quack spiritualism. These incidents overlapped and were to some extent
concurrent. This proximity in time made the evidence more cogent. The
incidents were also spread over many years, demonstrating, if believed, a degree
of extended consistency in behaviour. Similar fact evidence supported a
finding of situation‑specific behaviour and it was thus open to the jury
to draw the double inference.
That said, the trial judge was then required to
consider the countervailing issue of potential moral and reasoning prejudice to
the accused. The similar fact evidence had significant potential to create
moral prejudice and required a high probative value to be admissible. It was
inflammatory, and painted the accused as a “bad person” albeit it was not
introduced for that purpose and would only incidentally have that effect. It
was introduced in response to issues raised by the defence, namely consent in
the case of the complainant believers and the defence that the alleged acts never
happened in the case of the housekeeper’s daughters.
The combination of sex and spiritualism was inevitably
inflammatory. The accused’s defence to the female complainants who were
believers (religiously inspired consent) became more delicate when the jury was
told that he also had sexual relations with two sisters from the age of
13 who were not disciples but simply residents of his household.
Similarly, the accused’s denial of sexual activity with the housekeeper’s
daughters may have lost much of its force in light of the admitted sexual
touching of other adolescent girls, to which the only defence was consent
(vitiated, so the jury must have found, by the abuse of authority).
With respect to reasoning prejudice, the danger was
that the jury might become confused by the multiplicity of incidents, and
become distracted by the cumulative force of so many allegations from their
task of deciding carefully each charge one by one. However, the accused was
not taken by surprise nor limited in his response to any allegation and the
jury was properly warned about the prohibition on inferring guilt from general
disposition.
After weighing up probative value against prejudice,
the trial judge concluded that both the prejudicial effect and the probative
value of the similar fact evidence were “significant”, but that in the end the
probative value prevailed. There is no reason to interfere with that
conclusion. Absent error in principle, the decision on weighing probative
value against moral and reasoning prejudice rests with the trial judge.
While there was some evidence of opportunity for
collusion or collaboration and motive, and of communication among complainants,
the evidence was not strong, and the trial judge was right to let the question
of collusion go to the jury. The trial judge adequately outlined the defence
and did not err by failing to review for the jury each of the alleged
dissimilarities in the acts. The dissimilarities clearly emerged in the
narrative of each count by each complainant and did not detract very
significantly from the probative value of the evidence on the issue of modus
operandi.
Cross-examination of the complainants was of critical
importance. Evidence relevant to a defence can be excluded only if its
prejudicial effect substantially outweighs its probative value. Cross‑examination
in a sexual assault case may distort the search for truth if it puts the
complainant on trial and limitations have been imposed by the courts to protect
a complainant’s privacy interest, particularly where cross-examination may be
directed to rape myths. This concern lay at the heart of the trial judge’s
ruling. The cogency of the proposed cross‑examination rested on the
unspoken premise that sexual assaults, if they occurred, would have been
recorded in the diary.
The diary was not wrongfully taken. The real issue
concerned the privacy status of the information it contained. Privacy rights
have been disentangled from their roots in private property and a loss of
physical possession will not necessarily defeat a privacy interest.
Sections 278.l to 278.9 of the Criminal Code address
production of personal information and had no application to the admissibility
or use of the diary. Having rightly rejected the applicability of
ss. 278.1 to 278.9 , the trial judge erred on the voir dire by
applying principles drawn from O’Connor related to production of
documents to determine the admissibility and use of the diary in
cross-examination. The balancing of interest test set out in O’Connor applicable
to questions of production is not the test for the scope of cross‑examination.
The complainant’s privacy interest did not
substantially outweigh the accused’s right to test the complainant’s memory by
cross-examination on the absence of entries in the diary recording abuse. The
omission of entries recording sexual abuse would be probative only if the
defence established its premise, namely that there was a reasonable expectation
that recordings of abuse, if abuse occurred, would have been made by the
complainant. At the time of the trial, the complainant was an adult. Arguable
contradictions between her testimony‑in‑chief and her diary
nourished the defence argument that the diary and the omissions provided the
more accurate picture of events. The absence of entries recording abuse was
potentially probative of the complainant’s credibility. The defence was
rightly precluded from asking the jury to assume that if abuse had occurred it
would have been recorded, but it does not follow that the defence should have
been precluded from attempting to demonstrate its premise before the jury using
the diary. The court ought not to have assumed how the complainant would
respond to the cross‑examination. The fact that the entries were mundane
or that the complainant’s lifestyle or reputation would not be on trial does
not eliminate the complainant’s privacy interest but it lessens its weight.
It cannot be said that the verdict on the charges
related to this complainant would necessarily have been the same had the
cross-examination been permitted, and the curative proviso is therefore
inapplicable. An order for a new trial on the charges related to this
complainant does not cast doubt on the correctness of the other verdicts. The
appeal is therefore dismissed with respect to the other complainants.
Per L’Heureux-Dubé and
Gonthier JJ. (dissenting in part): The defence should have been
required to return the diary to the complainant and to seek its production
through the proper statutory channels. The complainant did not abandon
her property interest in her diary. Where an individual
retains a privacy interest in her property, she cannot be deemed to have
abandoned the property. A party alleging abandonment of private goods faces a
significant burden of proving a giving up, a total desertion and an absolute
relinquishment of the goods. Here, the complainant’s property interest
necessarily encompassed her privacy interest, and thus the accused’s argument
that he did not illegally possess the diary because the complainant had
abandoned it is without merit. Some of the concerns posed at the production
stage of documents may not be present if the accused has already examined the
contents of the record to be produced, but this is not an adequate reason to
allow accused persons to benefit from unlawfully or wrongfully circumventing
the statutory scheme. Such a result frustrates the purpose of the
legislation and the constitutional rights of sexual assault victims.
The trial judge correctly refused the defence’s cross‑examination
on the absence of references to abuse in the diary. Defence evidence is only
admissible if its probative value substantially outweighs its prejudicial
effect. In weighing prejudicial and probative value, the trial judge must
consider the complainant’s privacy and equality rights as well as the accused’s
right to full answer and defence. The proposed questions on the absence of
entries would have introduced a high potential of prejudice to the complainant,
substantially outweighing their probative value. A teenager’s diary is high on
the spectrum of records in which one has a privacy interest and the complainant
had a reasonable, continuing expectation of privacy. Her diary was an
outlet for personal self‑expression recording intimate details of part of
her life and the fact that the entries were mundane did not lessen her privacy
interest. The court does not examine the contents of a private document to
evaluate a privacy interest because informational privacy derives from an
assumption that all information about a person is in a fundamental way his or
her own. The extensive, wide-ranging cross‑examination of much of the
entire contents of the diary required to establish an absence of mention of
abuse would have aggravated the violation of privacy rights. Moreover, the
process of establishing the reliability of the evidence would
be time‑consuming and potentially sidetrack the trial.
This Court must be sensitive to equality concerns and
the policy of encouraging reports of sexual assaults. The defence’s rejection
of a tailored cross‑examination was fatal. Allowing cross‑examination
on the absence of entries recording abuse would have endorsed the same
discriminatory beliefs that underlie the unfounded “recent complaint” myth and
wrongly implied that the absence of such entries is support for a conclusion
that the events were fabricated. The trial judge correctly considered
the proposed cross-examination on a voir dire. The defence had a full
and fair opportunity on the voir dire to lay a rational foundation for
the cross‑examination but failed to demonstrate any valid reason or rational basis for the questioning. The trial judge correctly
held that the probative value of the evidence was minimal, if anything.
Furthermore, the right of the accused to make full answer and defence does not
stand or fall on whether the accused may engage in this particular line of
cross-examination.
As found by the majority, the trial judge did not err
in admitting the similar fact evidence.
Cases Cited
By Binnie J.
Applied: R. v.
Handy, [2002] 2 S.C.R. 908, 2002 SCC 56; explained: R.
v. O’Connor, [1995] 4 S.C.R. 411; R. v. Seaboyer, [1991] 2 S.C.R.
577; R. v. Osolin, [1993] 4 S.C.R. 595; R. v. Mills, [1999] 3
S.C.R. 668; referred to: Sweitzer v. The Queen,
[1982] 1 S.C.R. 949; R. v. B. (C.R.), [1990] 1 S.C.R. 717; R. v.
C. (M.H.), [1991] 1 S.C.R. 763; R. v. Litchfield, [1993] 4 S.C.R.
333; R. v. B. (F.F.), [1993] 1 S.C.R. 697; R. v. Lepage,
[1995] 1 S.C.R. 654; R. v. Arp, [1998] 3 S.C.R. 339; Director of
Public Prosecutions v. Boardman, [1975] A.C. 421; R. v. D. (L.E.),
[1989] 2 S.C.R. 111; R. v. Law, [2002] 1 S.C.R. 227, 2002 SCC 10;
Hunter v. Southam Inc., [1984] 2 S.C.R. 145; R. v. Dyment, [1988] 2
S.C.R. 417; R. v. Colarusso, [1994] 1 S.C.R. 20; Morris v. The Queen,
[1983] 2 S.C.R. 190; R. v. R.M. (1997), 93 B.C.A.C. 81; R. v. D.D.,
[2000] 2 S.C.R. 275, 2000 SCC 43; R. v. Bevan, [1993] 2 S.C.R. 599; R.
v. Jolivet, [2000] 1 S.C.R. 751, 2000 SCC 29.
By L’Heureux-Dubé J. (dissenting in part)
R. v. Law, [2002] 1
S.C.R. 227, 2002 SCC 10; R. v. Seaboyer, [1991] 2 S.C.R. 577; R. v.
Osolin, [1993] 4 S.C.R. 595; R. v. O’Connor, [1995] 4 S.C.R. 411; R.
v. Mills, [1999] 3 S.C.R. 668; R. v. Plant, [1993] 3 S.C.R. 281; R.
v. D.D., [2000] 2 S.C.R. 275, 2000 SCC 43.
Statutes and Regulations Cited
Act to amend the Criminal Code
(production of records in sexual offence proceedings), S.C. 1997, c. 30, Preamble.
Canadian Charter of Rights and Freedoms,
ss. 7 , 8 , 11 (d).
Criminal Code, R.S.C. 1985, c. C-46, ss. 265(3) , 278.1 to 278.9 [ad.
1997, c. 30, s. 1], 278.2(1) [am. 1998, c. 9, s. 3],
278.3(5), 278.5(2)(f), (g), 278.6(1), 686(1)(b)(iii).
Authors Cited
Black, Henry Campbell. Black’s
Law Dictionary, 6th ed. St. Paul, Minn.: West Publishing Co.,
1990, “abandonment”.
Brown, Ray Andrews. The Law of
Personal Property, 2nd ed. Chicago: Callaghan, 1955.
LaVacca, Joyce B. “Protecting the
Contents of a Personal Diary from Unwanted Eyes” (1988), 19 Rutgers L.J.
389.
Wigmore, John Henry. Evidence
in Trials at Common Law, vol. IA. Revised by Peter Tillers.
Boston: Little, Brown & Co., 1983.
Wigmore, John Henry. Evidence
in Trials at Common Law, vol. 3A. Revised by James H. Chadbourn.
Boston: Little, Brown & Co., 1970.
APPEAL from a judgment of the British Columbia Court
of Appeal (2000), 143 C.C.C. (3d) 233, 133 B.C.A.C. 121, 217 W.A.C. 121, 31
C.R. (5th) 177, [2000] B.C.J. No. 235 (QL), 2000 BCCA 83, which allowed an
appeal with respect to two counts from a decision of Henderson J. but otherwise
affirmed the decision. Appeal allowed in part, L’Heureux-Dubé and Gonthier JJ.
dissenting in part.
Richard C. C. Peck, Q.C.,
David M. Paciocco and Nikos Harris, for the appellant.
William F. Ehrcke, Q.C.,
and Jennifer Duncan, for the respondent.
Leslie Paine and Christine
Bartlett‑Hughes, for the intervener the Attorney General for Ontario.
Sheilah Martin, Q.C.,
and Ritu Khullar, for the intervener Women’s Legal Education and Action
Fund.
Frank Addario, for
the intervener Criminal Lawyers’ Association (Ontario).
The judgment of McLachlin C.J. and Iacobucci, Major,
Bastarache, Binnie, Arbour and LeBel JJ. was delivered by
1
Binnie J. – This appeal
requires us to consider the appropriate limits on the cross-examination of a
42-year-old woman complainant about the contents of a diary she kept as a
teenager at the time of alleged sexual abuse, some 27 years before the trial.
We must, as well, consider the admissibility of similar fact evidence of other
complainants. These and subsidiary questions arise in the prosecution of the
appellant, the leader of a marginal cult called the Kabalarians, for sexual
offences between 1965 and 1990 that included indecent assault, gross indecency
and sexual intercourse with a person under 14 years old. At trial, the
appellant was convicted by a British Columbia jury of sexual assault of his
housekeeper’s two teenage daughters, one of whom is the diarist, and five other
young women who were led to believe that what appeared to be sexual misconduct
was in fact a religious experience. The appellant was acquitted of all charges
in respect of the other complainants.
2
These convictions were upheld by the British Columbia Court of Appeal
with two exceptions not relevant to the legal issues just mentioned: (2000),
143 C.C.C. (3d) 233. There is no cross-appeal on those counts. In my opinion,
the appellant’s further appeal to this Court should be allowed with respect to
the counts relating to one of the housekeeper’s daughters (KWG), and a new
trial ordered in that respect. The appeal with respect to the other six
complainants should be dismissed.
I. Facts
A. The
Kabalarian Teaching
3
The Kabalarians are a secretive society whose original philosophy seems
to have been reduced by the appellant to a hodge-podge of spiritual fantasies
(e.g., having sex with disembodied minds). Kabalarians believe that
enlightenment is reached through ascension by steps of consciousness. Sexual
experience, the appellant says, is a key way to progress to the next level.
Perhaps not surprisingly, the appellant preached that he, as the leader, could
be instrumental in enabling young girls to reach these higher levels through
sexual/spiritual contact with him. The Kabalarian teaching was summarized in
part by Donald J.A. in the British Columbia Court of Appeal (citing the
appellant’s factum), as follows (at para. 18):
It is the duty of parents to teach their children to develop their
minds. Unbalanced minds continue after the death of a body and can be
dangerous to living minds by becoming disembodied minds. A living person who
is in a negative state of mind is in danger of drawing from the plane of disembodied
minds. A person who is having a sexual problem could attract from the negative
sexual plane of mind. That person would then need a session to remove the
disembodied mind through a medium. This is referred to as “mental work” and
could be performed by Mr. Parker [the founder of the Kabalarian philosophy and
predecessor to the appellant] and later by [the appellant].
4
Several of the complainants described the appellant’s statements in like
terms: he talked about relieving them of “a negative plane of mind”, helping
the complainant to become a “medium”, assisting a complainant’s spiritual
development to reach a higher plane of mind through him (since he was a “high
spiritual being”), performing a “mental demonstration” (while engaged in
physical sexual touching), being close to the “principle” (“universal
consciousness”), developing the complainant into an “instrument” and reaching
mental oneness through physical oneness. The appellant told some of them
during “mental demonstrations” that their negative or disembodied plane of mind
revealed that they wanted to be raped.
5
I should make it clear that the Kabalarian philosophy as such is not and
never was on trial. Its relevance to this case is only as background to the
distinctive sexual embellishments apparently added by the appellant. There was
some evidence that these sexual embellishments were not part of Kabalarianism
under the leadership of the appellant’s predecessor.
6
The appellant cautioned his “pupils” that they shared a special
relationship or bond with him and should not tell anyone else. He suggested to
some of the complainants that they were being subjected to sexual intercourse
while they slept by the “minds” of dead priests. Many of the complainants
testified that since the appellant was the spiritual leader of the Kabalarians,
they believed at the time that his purpose was spiritual and not for his own
sexual gratification. There was shock on the part of some when he used the
word “fuck” because the Kabalarian philosophy did not permit swearing. One
testified that the appellant said his “sperm was spiritual [and] that it would
not make [her] pregnant”.
B. The
Complainants
7
The 11 original complainants were divided into two groups by the defence
for procedural purposes including assessing similar fact evidence, grouping
similar defences, and the application for severance of the charges.
(1) The Housekeeper’s Daughters
8
The “G” complainants are two sisters (KWG and SG) who resided with the
appellant at a group Kabalarian residence (the “Centre”) located in Vancouver.
The two sisters, about a year apart in age, lived on the top floor of the house
in one room with their mother, who had earlier been the housekeeper for the
Kabalarians’ founder and stayed on to work with the appellant. The mother was
a believer. The sisters were not. For most of the time the appellant was the
only adult male in the household of 10 to 12 people. SG said they believed
that if they resisted the appellant’s sexual advances they and their mother
would be “kicked out” of the house. The appellant’s defence to the charges of
sexual abuse of the G complainants was simply that the alleged acts never occurred.
He did not testify at the trial.
(2) The Teenage Disciples
9
The “non-G” complainants did not reside with the appellant but in their
own homes located close to the Centre where they went for “religious”
instruction. They were believers. The situs of the alleged misconduct was at
the Centre itself or at a summer camp run by the Kabalarians in the Okanagan
Valley. Those counts that led to convictions generally alleged less serious
offences than those alleged by the G sisters. The appellant’s defence,
moreover, was different in that he conceded sexual touching occurred but argued
that either the non-G complainants consented or that he reasonably believed
that they had consented.
C. The
Application for Severance
10
The appellant applied at trial for a severance of the counts related to
the G complainants from the other complainants but this was denied by the trial
judge who ruled that the 20 counts were similar fact evidence for one another
and could therefore appropriately be tried together.
D. The
Diary
11
One of the housekeeper’s daughters, KWG, kept a daily diary for eight
months in 1970. She began it when she was 14 years old. The day-to-day
entries covered part of the 10-year period (December 1966 to January 1976) when
she alleged sexual abuse by the appellant and physical abuse by her mother at
the appellant’s instigation. The diary made no mention of either kind of
abuse. When she left the house six years later, in a hurry she says, her
mother put some of her belongings in a cardboard box in a storage area shared
with other residents. Over 22 years later, after the appellant had been
indicted, another resident of the house stumbled across the diary (mistaking
the cardboard box to be her own). Seeing KWG’s name written on the diary, she
realized what it was and turned it over to the defence without alerting either
KWG, the Crown or the police. The existence of the diary was not disclosed by
the defence until mid-trial after KWG had completed her evidence-in-chief.
II. Constitutional
and Statutory Provisions
12
Canadian Charter of Rights and Freedoms
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.
11. Any person charged with an offence has
the right
.
. .
(d) to be presumed innocent until proven guilty according to
law in a fair and public hearing by an independent and impartial tribunal;
Criminal
Code, R.S.C. 1985, c. C-46
265. . . .
(3) For the purposes of this section, no consent
is obtained where the complainant submits or does not resist by reason of
(a) the application of force to the complainant or to a person
other than the complainant;
(b) threats or fear of the application of force to the
complainant or to a person other than the complainant;
(c) fraud; or
(d) the exercise of authority.
.
. .
278.1 For the purposes of sections 278.2 to
278.9 , “record” means any form of record that contains personal information for
which there is a reasonable expectation of privacy and includes, without
limiting the generality of the foregoing . . . personal journals and
diaries . . . .
278.2 (1) No record relating to a
complainant or a witness shall be produced to an accused in any proceedings in
respect of [listing designated offences] . . . except in
accordance with sections 278.3 to 278.91.
III. Judgments
A. British
Columbia Supreme Court __ Henderson J.
(1) Severance of the Counts / Similar Fact Evidence
13
At the trial, defence counsel applied after the non-G complainants
testified and before the G sisters were examined to have the G counts severed
from the counts relating to the other (original) nine complainants. The trial
judge ruled the evidence to be admissible as similar facts:
In my view, the prejudicial effect of the [G]
evidence is, in this case, outweighed by its probative value. The nature of
the sexual acts testified to by the [Gs], their frequency, and the sorts of
things said by the accused to the [Gs] will, if believed by the jury, assist
them in assessing the credibility of an assertion by the accused that the other
acts with the other complainants were not sexual in nature but intended only to
serve a spiritual purpose. That appears to be the fundamental issue with
regard to those complainants. It is said that they consented through fraud,
the fraud being the misrepresentation to which I have referred.
The evidence of the [Gs] is highly relevant to that
central issue as it tends to rebut a defence of an innocent non-sexual purpose
and a genuine consent by the complainants.
14
Having ruled the evidence admissible as similar facts, the trial judge
dismissed the severance application.
(2) Cross-examination on the Personal Diary
15
The trial judge said the threshold issue was
whether or not [KWG] has waived any interest in maintaining privacy
over the information as opposed to caring about possession of the physical
paper. She may have abandoned the piece of paper, she may not need it or want
it anymore. That doesn’t necessarily mean she is happy to have the world know
about the information that’s in there.
The trial
judge also held that ss. 278.1 to 278.9 of the Criminal Code did
not apply because the diary was already in the possession of the defence.
No order of production was therefore either sought or required.
16
Applying the principles set out in R. v. O’Connor, [1995] 4
S.C.R. 411, the trial judge looked to the “individual pieces of information
that [defence counsel] seeks to elicit and the way in which he intends to use
the diary in order to determine, item by item, whether the balance is tipped in
favour of the accused’s right to make full answer and defence or,
alternatively, tipped in favour of preserving the continuing privacy interests
of the complainant”.
17
The trial judge ruled that the appellant would be permitted to use the
diary in all the ways he asked, except for two: he would not be able to
cross-examine about the lack of references in the diary to KWG being beaten by
her mother, nor could he cross-examine on the lack of references in the diary
to the alleged sexual assaults. The appellant was permitted to use the diary
in all the other ways sought, including to contradict KWG’s evidence about
publicly observable events, such as school activities attended, clothing worn
and events celebrated. He was permitted to use the diary to show that she
expressed in it positive feelings towards the appellant. He was permitted to
cross-examine KWG on the fact that the diary covered a period of eight months,
when she had earlier said in her evidence that she only kept a diary for a
couple of weeks. And he was permitted to cross-examine her on the fact that
although she had earlier testified that the sexual acts occurred in the
appellant’s den on a fairly regular basis, the diary showed that the den was
undergoing major renovations which resulted in its not being used for a period
of about three months in the spring of 1970.
18
In short, the appellant was permitted to cross-examine on each of the
entries he considered probative, but not on the absence of entries
dealing with physical and sexual abuse.
B. British Columbia Court of Appeal (2000), 143 C.C.C. (3d) 233
19
The court, per Donald J.A., dealt with the appeal as follows:
(1) Similar Fact Evidence
20
Donald J.A. concluded that the “evidence was such that a reasonable jury
properly instructed could find in the words of the trial judge ‘substantial and
significant similarities’ constituting a pattern and it was proper for the
trial judge to let the jury use the evidence as similar facts if they chose to
do so” (para. 67).
21
As to the defence objection that the trial judge should have listed the
dissimilarities along with the similarities in his charge to the jury,
Donald J.A. acknowledged that it “would have been preferable”
(para. 68) for the trial judge to do so, but in the circumstances of this
trial, it had not been necessary. Both sides’ counsel thoroughly discussed the
similarities and dissimilarities and the “differences stressed by the defence
were obvious and unlikely to be ignored by the jury in their deliberations on
the similar fact issues. The flaw in the charge was only an imperfection not
amounting in my opinion to a reversible error” (para. 69).
(2) Diary
22
The appellant contended that the restriction on cross-examining the
complainant on certain aspects of her diary impeded his right to full answer
and defence. He did not seek “production” under ss. 278.1 to 278.9 of the
Criminal Code . Rather than a “simple balanc[ing]” of privacy rights and
probative value as in an O’Connor motion for production of third party
records, the trial judge should have required that the complainant’s privacy
right be shown to “substantially outweigh” the defendant’s fair trial rights: R.
v. Seaboyer, [1991] 2 S.C.R. 577, and R. v. Osolin, [1993] 4 S.C.R.
595.
23
Donald J.A. held that R. v. Mills, [1999] 3 S.C.R. 668, “shifted
the balance away from the primary emphasis on the rights of the accused”
(para. 93) and introduced a “new direction” (para. 96). Mills,
he wrote, “requires a reconsideration of the position of the complainant, and
in particular the equality rights of the complainant, so as to effectively
guard against procedures which deny complainants equal access to and benefit of
the law” (para. 93).
24
Donald J.A. agreed that there was a high privacy intrusion since
questioning on the absence of entries could not be done without opening the
whole diary to scrutiny (para. 87); further, the prosecution may then have
been “compelled to fully review the contents to show that such reference was
not in keeping with the apparent purpose of the diary” (para. 72). The
complainant KWG was a “virtual prisoner” at the Kabalarian Centre and under the
powerful control of the appellant. It would be “highly unlikely that she would
record the abuse” (para. 86). Further, Donald J.A., after having
“perused” the diary, concluded that the “style and content do not suggest that
if abuse had occurred the complainant would have confided it to her diary” (para.
86).
(3) Disposition
25
The court allowed the appeal with respect to two counts because the
charge to the jury did not distinguish the counts which pre-dated from those
which post-dated the s. 265 amendment to the Criminal Code in 1983
that provided that the abuse of authority could vitiate consent. This error
was conceded by Crown counsel. A new trial was ordered on these counts. The
appeal was otherwise dismissed.
IV. Analysis
26
The appellant says that he was denied the opportunity to make full
answer and defence in two important ways. First he was confronted with irrelevant
evidence in the counts involving the housekeeper’s daughters, namely the
so-called “similar fact” evidence of the other complainants, and vice versa. Secondly,
he was denied the opportunity to use to the full the relevant evidence
already in his possession, namely the diary, in his cross-examination of KWG.
The existence of the diary caught her unawares after she had committed herself
to a particular version of events during her evidence-in-chief and he was
entitled to shake her credibility in cross-examination by demonstrating
inconsistencies between her testimony and what was (or was not) recorded.
27
I will deal with these contentions and a number of subsidiary points, in
turn.
A. The Similar Fact Evidence
28
It is not possible in this case to understand the full measure of the
situation confronting the trial judge and counsel without saying something
about the allegations made by each of the principal complainants.
29
Donald J.A. helpfully summarized the alleged “similar facts”
relating to each of these complainants and, for convenience, I reproduce his
description with a few minor additions and subtractions (at paras. 21-52):
K. W.-G. [KWG]
[KWG], her younger sister S.G., and her mother
moved into the Centre when [KWG] was seven years old. . . .
. . .
The first incident of [the appellant allegedly]
touching [KWG] occurred when she was twelve years old. He told her not to tell
anyone, especially her mother.
[KWG] described numerous incidents of sexual
touching in the den, the stairwell and the shower. In one incident in the den
[the appellant] spoke of “removing disembodied planes of mind” and told her he
was going to make her into a beautiful young lady. Acts of intercourse began
when [KWG] was 13. These events occurred approximately once per month and
continued until she moved out of the house [when she was about 20].
. . .
. . . At the time of the trial [KWG] had commenced civil
proceedings against [the appellant] and the Kabalarian Society.
S.G.
S.G. moved into the Centre when she was six years
old and resided there until she was 18. She described life at the Centre as a
“living hell”.
The first incident of sexual touching occurred when
she was twelve. [The appellant allegedly] tickled her and touched her
breasts. After that, whenever she was alone with him he would try to touch her
breasts.
When S.G. was 13 [the appellant] told her that he
was thinking of making her an “instrument” and she must trust him completely.
He then [allegedly] fondled her breasts and told her not to tell anyone.
Between the ages of 13 and 18, S.[G.] [allegedly]
performed oral sex on [the appellant] at least 30 times. When she was 14 he
performed oral sex on her and this occurred at least 50 times over the next
four years. They first had intercourse when S.[G.] was 18. [S.G. ultimately
had an abortion. She said the appellant was the father.]
.
. .
C.K.
C.[K.]’s parents joined the [Kabalarians] when she
was nine years old. [She] participated in [Kabalarian schooling] and went to
the [Kabalarian Camp] in the summers.
[The appellant allegedly] kissed C.[K.] when she
was 13 in September or October 1970. The next incident of sexual touching
occurred in 1971. Similar incidents took place approximately four times per
month, usually in the den at the Centre, until C.[K.] was about 19.
C.[K.] testified that during the touching [the
appellant] told her that [it was not for his satisfaction but] to remove a
condition or plane of mind that was affecting her. When she was about 16 the
discussion turned to her potential to become a medium. [C.K. was a believer.]
. . .
C.[K.] ceased involvement with the [Kabalarians] at
about 23 or 24 years of age.
J.V.
J.V. became a Kabalarian at age five when her
mother joined the [group].
In 1972 . . . [i]t was revealed by [the
appellant] that the mind of a dead priest had been raping J.V. in her sleep.
[When they were alone, the appellant] touched and kissed J.V.’s breasts and
told her that she was a beautiful young woman and that this experience brought
her mentally closer to him and the “principle”.
A series of sexual touching incidents occurred in
the den at the Centre. There was one instance of digital vaginal penetration.
J.V. testified that she did not [at the time]
regard the touching as being sexual acts, but that [the appellant] was trying
to help her mentally. She would not have allowed it to occur had she believed
it was for his sexual gratification.
.
. .
J.T.
J.T.’s parents were members of the [Kabalarians]
when she was born in 1965. She attended Kabalarian [classes] until she was 21.
J.T. described an instance of sexual touching which
occurred in the den at the Centre in 1984 when she was aged 19. [The appellant]
performed a mental demonstration . . . whereby the voice of a priest came
through [one of the women present] and indicated that J.T. had sexual
“hang-ups”. [The appellant then] admonished the [dead] priest and put him to
sleep. [When J.T. was alone with the appellant he] offered to “help” . . . and
rubbed her breasts and placed his hand into her panties. He then placed her
hand on his penis at which point J.T. said she did not wish matters to go
further and he stopped. J.T. did not [at the time] believe that the acts had
been for [the appellant’s] sexual gratification.
J.A.
J.A. became involved [with the Kabalarians] when
she was eight years old.
There were a number of incidents of kissing and
sexual touching which occurred at [the Kabalarian camp] in the summer of 1985
when J.A. was 15.
[Thereafter she met the appellant] in the den at
the Centre, usually after she had requested an interview with him. During
these interviews [the appellant] would [allegedly] kiss her and touch her
breasts. [The appellant] told her that he was creating a bond between them and
that it was a link for her to feel close to [“]the principle[”]. [She said
t]his occurred approximately 25 times, extending into 1986. Her contact with
[the appellant] ceased when she turned 18.
At the time of the events, J.A. did not think that
[the appellant] had any sexual motivation, but believed that he was trying to
assist her. She viewed him as a master and a teacher.
.
. .
S.A.
S.A. was born in 1969 and her parents joined the
[Kabalarians] when she was seven years old.
In 1985, after Teenage Class, [the appellant
allegedly] took her into the den at the Centre and French kissed her on two or
three occasions. He first touched her intimately when she was 17. S.A. had
initiated the meeting because she was seeking counselling from him regarding an
instance of childhood sexual abuse. [She says the appellant] cuddled her and
massaged her breasts.
When S.A. was 18, she initiated a meeting because
she was considering seeking professional counselling. [She says the appellant]
cuddled and kissed her and placed her hand over his clothed penis. He told her
the reason he was being intimate with her was because she was obsessed
by a sexual plane of mind that needed to be dealt with.
At the time of the events S.[A.] believed that [the
appellant] was trying to assist her. She would not have permitted him to touch
her if she felt it was for his sexual gratification. [Emphasis added.]
30
The issue, as stated, is whether the testimony of the “G” sisters was
improperly used as similar fact evidence in the counts involving the
non-residential complainants, and vice versa. This appeal was argued at the
same time as R. v. Handy, [2002] 2 S.C.R. 908, 2002 SCC 56, and the
analysis explained in that case will be applied here.
(1) The Double Inference
31
The similar fact evidence provided by the G complainants was only
circumstantial evidence in relation to the non-G counts and vice versa. As
with all circumstantial evidence, the cogency of the similar fact evidence
rested entirely on the validity of the inferences it could be said to support
with respect to the issues in question. The Crown’s argument for its admission
was that the jury could legitimately make a “double inference”, firstly that
the appellant has a situation-specific propensity to groom adolescent girls for
sexual gratification by exploiting pseudo-religious elements of the Kabalarian
cult and/or its related domestic arrangements at the Kabalarian “Centre”, and
secondly, that his character or propensity thus established gives rise to the
further inference that he proceeded in that way with the complainant in each of
the charges under the jury’s consideration.
32
I find unconvincing the appellant’s attempt to compartmentalize himself
into spiritual leader (to the non-G complainants) and head of household (to the
G complainants) and to dress that up as an important “dissimilarity”. The G
complainants were obliged by their mother’s spiritual beliefs as well as her
job to live in the relatively closed world of the Kabalarian cult. The
appellant’s “spiritual” hold on the mother delivered her daughters into his
power. Nor in my view is it significant that the G complainants were allegedly
initiated into his sexual practices at an earlier age than the non-G complainants.
Their live-in status simply made them available sooner.
(2) The Test
33
Handy, supra, affirms the test for admissibility of
similar fact evidence set out in Sweitzer v. The Queen, [1982] 1 S.C.R.
949, and R. v. B. (C.R.), [1990] 1 S.C.R. 717. It was there held
that although evidence relating to the accused’s disposition will generally be
excluded, exceptions to this rule will arise when the probative value of the
evidence outweighs its prejudicial effect, per McLachlin J. (as she then
was) in B. (C.R.), at pp. 734-35:
The analysis of whether the evidence in question is admissible must
begin with the recognition of the general exclusionary rule against evidence
going merely to disposition. . . . [E]vidence which is adduced
solely to show that the accused is the sort of person likely to have committed
an offence is, as a rule, inadmissible. Whether the evidence in question
constitutes an exception to this general rule depends on whether the probative
value of the proposed evidence outweighs its prejudicial effect.
34
McLachlin J. formulated the test for admissibility of disposition or
propensity evidence, at p. 732:
. . . evidence of propensity, while generally inadmissible,
may exceptionally be admitted where the probative value of the evidence in
relation to an issue in question is so high that it displaces the heavy
prejudice which will inevitably inure to the accused where evidence of prior
immoral or illegal acts is presented to the jury.
35
The policies underlying the test, and some of the difficulties in its
application, were subsequently discussed in R. v. C. (M.H.), [1991] 1
S.C.R. 763; R. v. Litchfield, [1993] 4 S.C.R. 333; R. v.
B. (F.F.), [1993] 1 S.C.R. 697; R. v. Lepage, [1995] 1 S.C.R.
654; R. v. Arp, [1998] 3 S.C.R. 339; and, most recently, in Handy,
supra.
36
I acknowledge in this case the exceptional prejudice of the similar fact
evidence. It is bad enough for a spiritual leader to be accused of taking
sexual liberties with his disciples. It is a good deal worse to have the added
element of child abuse. Similarly in the case of the G complainants, child
abuse is made worse, if possible, when overlaid with spiritual cant.
37
In light of the principles established in the cases mentioned above, I
propose to consider the admissibility of each of these incidents as “similar
facts” in relation to the other incidents in terms of (a) the probative value
of the evidence, (b) assessment of the potential prejudice, and (c) the
weighing up of probative value versus prejudice. In doing so I will follow the
steps described in Handy.
(a) The Probative Value of the Evidence
38
The initial requirement is to determine whether the similar fact
evidence is indeed strong enough to be capable of properly raising in
the minds of the jury the double inference contended for by the Crown in
relation to the “issues in question” raised by the defence.
(i) The Strength of the Evidence, Including the Potential for
Collusion
39
As the test of admissibility weighs probative value against prejudice, a
question that quickly emerges is whether the Crown is able to lead cogent
evidence of the alleged similar acts. In this case, the similar acts are all
the subject of distinct charges. They are therefore, in any event, before the
jury for a verdict. Apart from the usual issues of credibility, the appellant
says there is evidence of collusion.
40
The theory of similar fact evidence turns largely on the improbability
of coincidence. Collusion, by offering an alternative explanation for the
“coincidence” of evidence emanating from different witnesses, destroys its
probative value, and therefore the basis for its admissibility.
41
In Handy, we held that where there is an air of reality to the
allegation of collusion, the trial judge, in assessing the admissibility of the
similar fact evidence, must be satisfied on a balance of probabilities that the
evidence is not the product of concoction. This is inherent in deciding
whether, as a matter of law, the evidence has sufficient probative value to
overcome the prejudice.
42
If this threshold test is passed, the jury must determine for itself
what weight, if any, to assign to the similar fact evidence.
43
There was evidence of some communication among the complainants. With
respect to the G sisters, this was almost inevitable. They had also kept in
touch with JV. Other complainants were in touch with each other prior to
trial. Civil proceedings had been commenced by the G sisters for compensation
and to close down the Kabalarians. KWG expressed the hope that the appellant
would “rot in Hell”.
44
The evidence here is far more speculative than in Handy. In that
case, there was consultation between the complainant and the similar fact
witness prior to the alleged offence about the prospect of financial
profit. Here, there is some evidence of opportunity for collusion or
collaboration and motive, but nothing sufficiently persuasive to trigger the
trial judge’s gatekeeper function. There is no reason here to interfere with
the trial judge’s decision to let the collusion issue go to the jury. He
instructed the jury to consider “all of the circumstances which affect the
reliability of that evidence including the possibility of collusion or
collaboration between the complainants”. He defined collusion as the
possibility that the complainants, in sharing their stories with one another,
intentionally or accidentally allowed themselves to change or modify their
stories in order that their testimony would seem more similar or more
convincing. It was for the jury to make the ultimate determination whether the
evidence was “reliable despite the opportunity for collaboration” or that “less
weight or no weight should be given to evidence which may have been influenced
by the sharing of information”.
45
While the trial judge did not specifically link the potential of
collusion to the issue of admissibility, he appears to have thought collusion
(as distinguished from contact) was not a serious danger. The evidence
supports his decision. He was justified in letting the collusion issue go to
the jury with an appropriate warning.
(ii) Identification of the Issues in Question
46
In the case of the G complainants, the appellant’s defence was that the
acts described by them simply did not occur. The central issue is the actus
reus and whether the appellant’s blanket denial in that regard is
credible. Probative value is alleged by the Crown to be found in the
distinctive exploitive techniques and cult-related promiscuity of the appellant
described by the non-G complainants in the various incidents, and in the
unlikelihood that absent collusion the two sisters would concoct stories having
so many similarities to each other and to the other nine original non-G
complainants.
47
With respect to the non-G complainants, the defence is that the sexual
touching occurred but the complainants consented. The issue, thus, is whether
the appellant’s exercise of spiritual authority prevented the formation of true
consent (with respect to charges that predated the 1983 amendments to the Criminal
Code ) or vitiated consent to the extent consent was given (post-1983
counts). The appellant’s alleged exploitation of the G complainants might be
thought by the jury to demonstrate sufficient situation-specific propensities
for non-spiritual sex to negative the appellant’s claimed innocent “spiritual” purpose.
(iii) Similarities and Dissimilarities
Between the Facts Charged and the Similar Fact Evidence
48
The cogency of the similar fact evidence in this case is said to arise
from the repetitive and predictable nature of the appellant’s conduct in
closely defined circumstances. There must therefore be shown a persuasive
degree of connection between the similar fact evidence and the offence charged
in order to be capable of raising the double inferences. The degree of
required similarity is assessed in relation to the issue sought to be
established and must be evaluated in relation to the other evidence in the
case. If the cumulative result is simply to paint the appellant as a “bad
person”, it is inadmissible.
49
The Crown’s position is that the appellant utilized a distinctively
bizarre modus operandi which runs like a common thread through the
incidents charged.
50
While the sexual acts themselves were not particularly distinctive, the
underlying unity lies in the alleged abuse of a cult leader’s authority. It is
the fantastic sales pitch and rationale developed by the appellant that could
be considered “particular and distinctive” (Handy, supra, at
paras. 77-79). While it is not necessary to reach for these epithets or
insert catch words into the test -- as explained in B. (C.R.) --
such distinctiveness enhances probative value.
a. Proximity in Time of the Similar Acts
51
The incidents involving the G complainants and the non-G complainants
overlapped and were to some extent concurrent. Proximity in time makes the
evidence more cogent as it reduces the likelihood that the appellant had
changed his ways. The fact the evidence related to incidents spread over 25
years demonstrated, if believed, a degree of extended consistency in behaviour.
b. Extent to Which Other Acts Are Similar
in Detail to the ChargedConduct
52
Similarity does not lie in the physical sexual acts themselves (the G
counts are far more serious). The incidents occurred in private places on
Kabalarian premises and sexual touching began in the majority of cases when the
complainants were under 18. The G complainants were the youngest, at 13 years
old, although CK was only 14 and JA was 15. The similarities really lay in the
modus operandi employed by the appellant to create sexual
opportunities. This will be discussed below.
c. Number of Occurrences of the Similar Acts
53
There were originally 20 counts involving 11 different complainants.
The appellant was convicted of 12 of the counts involving 7 complainants.
There were (if believed) hundreds of incidents. There were clearly enough
instances of alleged similar facts to support a finding of modus operandi
or situation specific behaviour.
d. Circumstances Surrounding or Relating to the Similar Acts
54
The surrounding circumstances are united by the allegation of gross
abuse of power by a cult leader. The spiritual theme is more dominant in the
non-G counts because “spiritualism” was the source of the appellant’s power
over the complainants who did not live under his roof. Nevertheless, the
“spiritual” theme surfaced in the testimony of KWG (“removing disembodied
planes of mind”) and SG (being made an “instrument”). For example SG, one of
the housekeeper’s daughters, testified as follows:
I can’t remember how old I was, but I would say I was around 17 or so
and [the appellant] brought me, told me to meet him in the den or brought me
into the den and then [another resident] came who is what they called their
instrument. He proceeded to have a mental demonstration and through the mental
demonstration they picked up a disembodied plane off me that had a desire to be
raped. And then they brought out a couple of other ones, but that one is one I
remembered because when she left [the appellant] told me that I must have had a
desire to be raped.
55
The combination of spiritualist imagery (achieving higher states of
awareness) and horror stories (invasion of young girls by disembodied minds),
and the supposed prophylactic power of the appellant’s sexual touching to ward
off these horrific threats is, to say the least, distinctive.
56
Within the Kabalarian Centre, the appellant, as leader, exercised
predominantly secular power over his housekeeper’s teenaged daughters.
However, this secular power derived from their physical presence dictated by
their mother’s spiritual adherence to the cult. Their availability, and his
willingness to exploit it, was equally part and parcel of his alleged fantasy
world.
57
The jury might reasonably think that abuse of power to obtain sexual
gratification at the expense of adolescent girls who were to a greater or
lesser extent in his charge over a period of 25 years shows a sexually
manipulative personality with a spiritualist twist that goes beyond “general”
disposition or “mere” propensity (“bad personhood”) which would foster a
“forbidden type of reasoning” from bad personhood to guilt: Director of
Public Prosecutions v. Boardman, [1975] A.C. 421 (H.L.), at p. 453.
The distinctive spiritualist colouration is a strong unifying factor. So is
the age of the majority of complainants when initiated, and the insistence on
confidentiality even though the appellant’s conduct in the non-G cases was
ostensibly cult-sanctioned, and therefore nothing to be ashamed of. More
understandably, the G complainants were also told to keep silent.
58
A jury might reasonably conclude that the appellant’s behaviour in these
different settings was sufficiently situation specific to warrant the drawing
of the double inferences.
e. Any Distinctive Feature(s) Unifying the
Incidents of the Similar Acts
59
The appellant contends that the trial judge erred in failing to
appreciate the distinctive dissimilarities as between the G and non-G
complainants, and in failing to bring some of the dissimilarities already
mentioned to the attention of the jury.
60
In my view, this objection advocates an excessively mechanical
approach. The judge’s task is not to add up similarities and dissimilarities
and then, like an accountant, derive a net balance. At microscopic levels of
detail, dissimilarities can always be exaggerated and multiplied. This may
result in distortion: Litchfield, supra. At an excessively
macroscopic level of generality, on the other hand, the drawing of similarities
may be too facile. Where to draw the balance is a matter of judgment. In this
case, for the reasons already given, the “differences” urged by the appellant
do not have the importance he asserts. The defence, as discussed earlier,
wants to compartmentalize the appellant into roles. I do not think this is
realistic. The Kabalarian cult created a closed domestic and “spiritual”
system under the appellant’s authority to which all of the complainants, to a
greater or lesser extent, were subject.
61
The appellant objects that not only did the trial judge fail to take
into account distinctive dissimilarities in ruling on admissibility, but having
admitted the similar fact evidence, he failed to point out adequately the
dissimilarities in his instructions to the jury. On this point, as well, I
agree with Donald J.A. The trial judge was not required to sum up the two
sides of an artificially constructed ledger as contended for by the appellant.
It was open to him to do so, if he considered it helpful, but in the
circumstances, it was not essential. The dissimilarities did not detract very
significantly from the probative value of the evidence on the issue of modus
operandi, and clearly emerged in the narrative of each count by each
complainant. The differences were skilfully advocated by defence counsel in
his closing address. The trial judge quite adequately outlined the nature of
this aspect of the appellant’s defence to the jury.
f. Intervening Events
62
There were no intervening events of significance.
(iv) Conclusion with Respect to Probative Value
63
The trial judge was correct to conclude that the similar fact evidence
was capable of raising the double inferences in relation to the modus
operandi which was put forward as an answer to the different defences in
the cases of the G complainants and the non-G complainants.
(b) Assessment of the Potential Prejudice
64
Under this heading, it is necessary to consider various elements of
prejudice including the danger that the jury might be confused by the
multiplicity of incidents and put more weight than is logically justified on
the similar act testimony (“reasoning prejudice”) or by convicting the
appellant based on nothing more than bad personhood (“moral prejudice”): Handy,
supra, at para. 31.
(i) Moral Prejudice
65
The “heavy prejudice” mentioned by McLachlin J. in B. (C.R.)
is not the risk of conviction. It is, more properly, the risk of an unfocussed
trial and a wrongful conviction. The forbidden chain of reasoning is to
infer guilt from general disposition or propensity. Here the similar
act evidence undoubtedly paints the appellant in a discreditable light, but it
is not introduced for that purpose and will only incidentally have that
effect. It is introduced in response to issues raised by the defence, namely
consent in the case of the non-G complainants and the defence that the alleged
acts never happened in the case of the G complainants.
66
The combination of sex and religion was inevitably inflammatory, and the
juxtaposition of the G complainants and the non-G complainants afforded
reciprocal aggravation as well as mutual insight. The sheer cumulative number
of alleged incidents contributed to the moral prejudice.
67
The jury, of course, was properly warned about the prohibition on
reasoning from general disposition or character to guilt: R. v.
D. (L.E.), [1989] 2 S.C.R. 111, at p. 128. The jury seems to
have heeded the warning. Had its members proceeded on the basis of moral
prejudice, it is unlikely they would have acquitted the appellant with respect
to four of the non-G complainants, including CK, an emotionally vulnerable
woman who at the relevant time seems to have been suffering from postpartum
depression.
(ii) Reasoning Prejudice
68
The danger is that the jury may become confused by the multiplicity of
incidents, and become distracted by the cumulative force of so many allegations
from their task of deciding carefully each charge one by one.
69
In Handy, a complicating factor was that the jury was asked to
consider seven allegedly similar acts but these acts were not before them as
charges. There was thus a danger that the jury might mix up matters of
consideration (the similar acts) with matters of decision (the charge). Here
the severance motion having failed, the jury had before it for decision each of
the 20 counts.
70
The logistical problems confronting an accused where the similar acts
are not before the court as charges do not apply here. The appellant
was not taken by surprise, nor was he limited in his response to each similar
fact by the collateral issue rule. Each incident was explored from the defence
perspective to the extent the defence considered it to be in its interest to do
so.
(iii) Conclusion on the Prejudice Issue
71
In my view, the similar act evidence has significant potential to create
moral prejudice. The appellant’s defence to the non-G complainants
(religiously inspired consent) becomes more delicate when the jury is told that
he also had sexual relations with two sisters from the age of 13 who were not
Kabalarian disciples but simply residents of his Kabalarian household. The
atmosphere of the case is redolent of quack spiritualism and this would clearly
disturb a Canadian jury. Similarly, the appellant’s denial of abuse of the G
sisters may lose much of its force in light of the admitted sexual touching of
other adolescent girls, to which the only defence is consent (vitiated, so the
jury must have found, by the abuse of authority). I would adopt in this
connection what was said by McLachlin J. in B. (C.R.), supra,
at p. 735:
. . . where the similar fact evidence sought to be adduced is
prosecution evidence of a morally repugnant act committed by the accused, the
potential prejudice is great and the probative value of the evidence must be
high indeed to permit its reception.
72
I do not think the phrase “high indeed” is intended to signal a
superadded component to the balancing test. It merely emphasizes the potentially
poisonous nature of the similar act evidence and the correspondingly high
probative value required to overcome it.
(c) Weighing up Probative Value Versus Prejudice
73
In the weighing up of probative value versus prejudice, a good deal of
deference is inevitably paid to the view of the trial judge: B. (C.R.),
supra, at p. 733. This does not mean that the trial judge has a
discretion to admit similar fact evidence whose prejudicial effect outweighs
its probative value, but it does mean that the Court recognizes the trial
judge’s advantage of being able to assess on the spot the dynamics of the trial
and the likely impact of the evidence on the jurors. These are evidentiary
issues on which reasonable judges may differ and, absent error in principle,
the decision should rest where it was allocated, to the trial judge. In this
case the trial judge’s view has been endorsed by a unanimous Court of Appeal.
74
The trial judge concluded that both the prejudicial effect and the
probative value of the similar fact evidence were “significant”, but that in
the end the probative value prevailed. I see no reason to interfere with that
conclusion. The appeal on that ground must therefore be dismissed.
B. Limiting
the Scope of Cross-examination
75
The second principal ground of appeal has to do with the limited
cross-examination permitted by the trial judge on KWG’s diary.
76
The critical importance of cross-examination is not doubted. The
appellant stood before the court accused of crimes by numerous complainants but
he was presumed to be innocent of each and every count. All of the alleged
sexual misconduct, by its very nature, was in private. At trial, it was his
word against the credibility of his accusers, individually and (by virtue of
the similar fact evidence) collectively. If the complainants were untruthful
about what happened in the privacy of their encounters, the most effective tool
he possessed to get at the truth was a full and pointed cross-examination. The
general principle was stated in Seaboyer, supra, per
McLachlin J., at p. 611:
Canadian courts, like courts in most common law jurisdictions, have
been extremely cautious in restricting the power of the accused to call
evidence in his or her defence, a reluctance founded in the fundamental tenet
of our judicial system that an innocent person must not be convicted. It
follows from this that the prejudice must substantially outweigh the
value of the evidence before a judge can exclude evidence relevant to a defence
allowed by law. [Emphasis added.]
It has been
increasingly recognized in recent years, however, that cross-examination
techniques in sexual assault cases that seek to put the complainant on trial
rather than the accused are abusive and distort rather than enhance the search
for truth. Various limitations have been imposed. One of these limits is the
privacy interest of the complainant, which is not to be needlessly sacrificed.
This was explored by Cory J. writing for the majority in Osolin, supra,
at pp. 669 and 671, as follows:
A complainant should not be unduly harassed and pilloried to the extent
of becoming a victim of an insensitive judicial system. Yet a fair balance
must be achieved so that the limitations on the cross-examination of
complainants in sexual assault cases do not interfere with the right of the
accused to a fair trial.
.
. .
In each case the trial judge must carefully balance
the fundamentally important right of the accused to a fair trial against the
need for reasonable protection of a complainant, particularly where the
purpose of the cross-examination may be directed to “rape myths”.
[Emphasis added.]
77
I underline the reference to “rape myths” because in my view it is a
concern about a potential revival of the shibboleth of “recent complaint” in
sexual assault cases rather than a privacy concern as such, that lies at the
heart of the trial judge’s ruling.
78
In Seaboyer, the accused sought to cross-examine the complainant
on her sexual conduct on other occasions to explain the “bruises and other
aspects of the complainant’s condition which the Crown had put in evidence”
(p. 598). In Osolin, the accused sought to cross-examine a
notation in the complainant’s medical record of a concern she had expressed to
her therapist that her attitude and behaviour may have influenced the accused
to some extent. This case is different. The focus is not private information
as such because, as stated, the trial judge allowed cross-examination by the
defence on each of the specific diary entries the defence sought to utilize.
The defence objection is to the restriction on its ability to cross-examine on
the significance (if any) of what was not recorded. It is common ground
that KWG’s diary contains no references to beatings by the mother or to sexual
abuse by the appellant.
79
The cogency of this line of questioning rested on the premise that if
these assaults had happened, they would have been recorded, and because the
events were not recorded, they did not happen. That, in the Crown’s view, is
where one of the “rape myths” surfaces. The trial judge agreed:
In essence, [the appellant] wants to go to the jury and argue that the
witness has made no “complaint”, if I may use that word, to her private,
confidential diary about the sexual assaults that she now testifies to.
. . .
[Counsel for KWG] argues strongly that there is no probative value in a
lack of complaint in these circumstances, and that to allow cross-examination
and argument on the issue is premised upon a discriminatory belief or bias.
80
The trial judge’s trade-off of permitting questions on actual entries
but disallowing questions on the absence of entries was criticized in
about equal measure by the appellant and the Criminal Lawyers’ Association on
the one hand, who thought it too restrictive on the defence, and on the other
hand by the Crown and the Women’s Legal Education and Action Fund (“LEAF”), who
thought it went too far against the complainant.
81
The Crown and LEAF took the position that KWG’s diary was and remained
her property, and that the appellant came into possession of it without colour
of right. That being the case, the trial judge ought to have ignored the
reality of the appellant’s possession (a sort of constructive dispossession)
and required the appellant to make an application for compelled production of
documents under ss. 278.1 to 278.9 , just as if KWG rather than the appellant
had possession of it.
82
I will deal with these points in turn.
(1) Surprise Disclosure of the Diary
83
In her evidence-in-chief and in the initial cross-examination KWG
committed herself to having experienced a profoundly unhappy childhood (a
“chamber of horrors” is how the defence put it, somewhat sarcastically), lack
of friends at school, prohibition on participation in extracurricular school
activities, and not being allowed to wear ordinary teenager clothing. All of
this was the background to alleged constant physical abuse by the mother and
alleged sexual abuse by the appellant, the latter occurring mainly in the
appellant’s den at the Centre.
84
She was asked by the defence about the possible existence of a diary and
she said she thought she had received one as a present at Christmas in her
early teens, but had only made entries for two weeks or so.
85
At this point in the trial, counsel for the defence flourished KWG’s
original diary which she had not seen for 22 years, and announced that it
contained day-by-day entries for a period of eight months (not the two weeks
she had recalled) commencing January 1970, in the midst of the period of
alleged abuse. It recorded what KWG herself described as “mundane” entries
about schoolmates, participation in school functions, family outings to see
films, Easter presents and some positive references to the appellant (e.g.,
“Stayed home from school today and had a nice talk with Ivon. He makes you
want to work harder”). The defence wished to raise a doubt about the
reliability and completeness of KWG’s memory by contradicting her testimony
with what the defence viewed as inconsistent entries written under her own hand
in the diary, and the omission of any entry chronicling physical or sexual
abuse.
86
KWG’s response to the surprise disclosure of her 1970 diary was to
obtain a short adjournment, and to retain her own counsel who argued that (1)
the diary was the property of KWG and should be returned forthwith and (2)
thereafter dealt with under the documentary production provisions of ss. 278.1
to 278.9 of the Criminal Code .
(2) Wrongful Possession of the Diary
87
KWG testified on the voir dire that she did “not at all” intend
to give up her privacy rights. She was “appalled” and wanted the diary and all
the copies returned to her as the defence had no right to “the little bit of
privacy that [she] had”. On cross-examination, KWG described the diary entries
as “very mundane”, “[b]ut it’s still mine. . . . I don’t
understand what that has to do with anything. This is still mine. Whether
it’s mundane or exciting or boring, it’s still mine”. The trial judge found
that KWG had never waived or abandoned her privacy interest in the diary
and I agree with him.
88
The voir dire included a lengthy legal debate about whether KWG
had or had not abandoned her property interest in her diary, and whether
the appellant’s possession of it amounted to conversion. I do not think KWG
was illegally deprived of possession of the diary (unlike the Chinese
restaurateurs whose safe containing private documents was stolen by thieves in R.
v. Law, [2002] 1 S.C.R. 227, 2002 SCC 10). She simply left it behind in a
common storage room with other possessions no longer required for day-to-day
living. When her mother forwarded her possessions to her in 1995, the diary
was not among them. When the diary fell into the appellant’s possession 22
years after KWG left home, it was not a “wrongful” taking in any legal sense,
although I agree with KWG that it underlined the extent of his unwelcome access
to KWG’s private life as a by-product of her mother’s adherence to the cult.
89
I do not propose to pursue the property ownership debate. The issue for
present purposes is not the “ownership of the diary” (which could be the
subject of a civil cause of action) but the status of information
contained within the diary. Return of the diary, as proposed by my colleague
L’Heureux-Dubé J. at para. 161, would seem to me to shut the barn
door after the horse had escaped.
90
Modern privacy rights have been expanded by disentangling them from
their traditional roots in private property. At one time, privacy interests
could often be effectively protected only by property-based concepts since the
ability to prohibit strangers crossing property lines (as for example to gain
access to one’s home) or get their hands on physical objects (including documents)
was tantamount to controlling the private information contained therein. If
the rights of private property were enforced, there was likely no risk of
exposure of related privacy interests.
91
Technology has incrementally separated the close link between property
and privacy. A great expansion in privacy rights was possible when privacy
interests no longer depended on finding a property intrusion. The absence of a
physical intrusion no longer eliminated a corresponding privacy interest, as
this Court recognized most notably in Hunter v. Southam Inc., [1984] 2
S.C.R. 145, and R. v. Dyment, [1988] 2 S.C.R. 417. The treatment of
personal records in ss. 278.1 to 278.9 is built on the premise that a
person’s reasonable expectation of privacy in personal information in documents
is not necessarily inconsistent with a third party’s property interest in the
actual physical documents, as for example with documents held by mental or
physical health services personnel. Moreover, privacy interests are not lost
when the adverse physical possession is itself wrongful (as in the case of
financial records seized by the police from the stolen safe in Law, supra)
or for a limited purpose (as with the blood and urine samples given for medical
purposes and subsequently seized by the police in Dyment, supra,
and R. v. Colarusso, [1994] 1 S.C.R. 20).
92
A property interest may reinforce the reasonable expectation of privacy,
where the physical ownership and the privacy interest coincide, but loss of
physical possession or ownership will not necessarily defeat a person’s privacy
interest in personal information contained in the document in question.
93
Our concern here is with the privacy interest, not the property
interest.
(3) Applicability of Sections 278.1 to 278.9 of the Criminal
Code
94
Sections 278.l to 278.9 on their face address the production not
the use or admissibility of personal information, as stated by
Parliament itself in the Preamble (S.C. 1997, c. 30):
. . .
WHEREAS the Parliament of Canada recognizes that the
compelled production of personal information may deter complainants of
sexual offences from reporting the offence to the police and may deter
complainants from seeking necessary treatment, counselling or advice;
WHEREAS the Parliament of Canada recognizes that the
work of those who provide services and assistance to complainants of sexual
offences is detrimentally affected by the compelled production of
records and by the process to compel that production;
AND WHEREAS the Parliament of Canada recognizes
that, while production to the court and to the accused of personal
information regarding any person may be necessary in order for an accused to
make a full answer and defence, that production may breach the person’s
right to privacy and equality and therefore the determination as to whether
to order production should be subject to careful scrutiny; . . .
[Emphasis added.]
95
The text of ss. 278.1 to 278.9 that follows is consistent with such
a purpose. Counsel for KWG at trial and LEAF before this Court, argued that
the machinery of ss. 278.1 to 278.9 can be put into reverse, i.e., it
contemplates taking documents already in the hands of the defence and restoring
these to the complainant, thus requiring the defence to make a fresh
application for the document just removed from its possession. In my view,
this interpretation is unduly contrived and does violence to the statutory
language. It draws the alleged purpose of ss. 278.1 to 278.9 too widely
(certainly much more widely than the preambular language) and presupposes that
the court can rewrite the text of the statute to accord with the court’s own
extrapolation of Parliament’s purpose. This cannot be correct. Here the state
is not using its coercive power to compel production in ways which invoke
s. 8 of the Charter (“unreasonable search or seizure”). Nor does
the present case raise Parliament’s specific concerns in ss. 278.1 to
278.9 about protecting the confidential relationship of a patient-therapist,
nor the encouragement of victims of sexual assault to seek professional
treatment, and in turn not to discourage reporting of sexual offences (see
s. 278.5(2) (f) and (g)).
96
The simple fact is that the defence had possession of the diary. It was
not engaged in a “fishing expedition”. The issue for the trial judge was the
admissibility of the contents. Sections 278.1 to 278.9 nowhere refer to
“admissibility” or “evidence”, and understandably so, for as
L’Heureux-Dubé J. pointed out in O’Connor, supra, at
paras. 164-66, the considerations governing production and admissibility
are quite different. To treat production as a proxy for admissibility would
complicate proper hearings under ss. 278.1 to 278.9 , where trial judges proceed
on the basis that the issue at the early stage is only production. Admissibility
is properly left to be determined later when the matter is ripe for decision.
97
The procedural machinery set out in ss. 278.1 to 278.9 also cuts
against LEAF’s argument. Assuming that KWG’s diary is a “record” that falls
within the scope of ss. 278.1 to 278.9 , LEAF would have the appellant
under s. 278.3(5) serve notice and a subpoena on himself, i.e., as “the person
who has possession or control of a record”, for an in camera hearing in
which the presiding judge would decide whether or not to review the diary in
whole or in part because, ex hypothesi, the applicant does not know the
contents of the records which in theory he seeks but in reality is already in
his possession. The judge may then determine whether the record should be
“produced to the accused” (s. 278.6(1) (emphasis added)), i.e., to
the person (indeed the only person) who already possesses it. In my
view, it would be undesirable to twist the language of ss. 278.1 to 278.9
as suggested by LEAF. The limits of Parliament’s intention, as expressed in
the language it has used, should be respected.
98
This conclusion does not advance the appellant’s position very far. As
the Crown and LEAF point out, ss. 278.1 to 278.9 sprang from a recognition
of privacy and equality interests previously outlined in common law and Charter
cases such as O’Connor, Seaboyer and Osolin. I agree.
The same legal principles are quite apt to supply the proper solution to this
appeal.
(4) The Issue Here is Admissibility of Evidence,
Not Production and Disclosure
99
The confusion between production (O’Connor) and admissibility (Osolin)
took hold at an early stage of the voir dire in this case.
100
Having rightly rejected the applicability of ss. 278.1 to 278.9 on
the ground that there was no issue here of production or disclosure, the trial
judge prefaced the opening of submissions on admissibility as “what I’ll call
an O’Connor application at this stage”.
101
Although well aware of Seaboyer (1991) and Osolin (1993),
the trial judge (and eventually the Court of Appeal) seems to have concluded
that these earlier authorities had been overtaken by this Court’s subsequent
pronouncements in O’Connor (1995). I do not agree that O’Connor
can substitute for Osolin or indeed that the two tests are equivalent or
interchangeable.
102
The trial judge heard several days of argument from counsel for KWG as
well as counsel for the prosecution and the defence on the use that would be
made of KWG’s diary in cross-examination before the jury. Much of this
argument was directed explicitly to various dicta in O’Connor, supra.
In his ruling on the permissible scope of the cross-examination, the trial
judge “applied” the O’Connor principles:
The five criteria set out in [O’Connor], a
decision of the Supreme Court of Canada, have application to the stage of a
proceeding like this where production of a document is being sought. However, I
am quite satisfied that those criteria should also be taken into account and
applied when one is considering, not the question of production, but
cross-examination. Referring to the headnote, those criteria are:
First, the extent to which the record is necessary
for the accused to make full answer and defence;
Second, the probative value of the record in
question;
Third, the nature and extent of the reasonable
expectation of privacy vested in that record;
Fourth, whether production of the record would be
premised upon any discriminatory belief or bias;
And fifth, the potential prejudice to the
complainant’s dignity, privacy, or security of the person that would be
occasioned by a production of the record in question. [Emphasis added.]
103
In my view, the trial judge erred in extrapolating the O’Connor
test from the issue of production of information not previously disclosed
to the defence and applying it to the admissibility (or use in
cross-examination) before the jury of evidence already in the possession
of the defence.
104
A simple “balancing of interests” test (O’Connor, supra,
at paras. 129 and 150) cannot be equated to “substantially outweighs” (Seaboyer
and Osolin). Under O’Connor, the default position is that the
third party information is not produced to the defence. Under Seaboyer
and Osolin, the default position is that the defence is allowed to
proceed with its cross-examination.
105
It is important to keep in mind the procedural context of O’Connor.
L’Heureux-Dubé J., noted at paras. 101-2, that whatever duty of
disclosure rested on the Crown, it “does not extend to third parties.
. . . [T]here is no duty on third parties to disclose”.
Lamer C.J. and Sopinka J. agreed: “[T]hird parties have no
obligation to assist the defence” (para. 19). Thus, concluded
L’Heureux-Dubé J., at para. 131:
[S]eeking to invoke the power of the state to violate the privacy
rights of other individuals, the applicant must show that the use of the state
power to compel production is justified in a free and democratic society.
“The essence
of privacy”, L’Heureux-Dubé J. emphasized, at para. 119, “is that
once invaded, it can seldom be regained”. Thus, production would only be
ordered where the salutary effects outweighed the deleterious effects of
disclosure (para. 150). This rationale simply does not apply to evidence
already lawfully in the possession of the defence.
106
The Court in O’Connor made clear, at para. 164, that its
test for production was “not synonymous” (emphasis added) with the test
for admissibility at trial, which would continue to be governed by Seaboyer
and s. 276 of the Criminal Code .
(5) The Proper Limits of Cross-examination
107
In Seaboyer, McLachlin J. noted that “our courts have
traditionally been reluctant to exclude even tenuous defence evidence” (p. 607)
and affirmed that the defence has a right to use evidence in its possession
unless its prejudicial effect “substantially outweighs” (p. 611) its
probative value. The reason for the different orientation is apparent. In the
O’Connor situation, the accused is not entitled to disclosure, and seeks
the intervention of the state to put aside the privacy of a third party
complainant. In the Seaboyer situation, the state is asked by the
complainant to intervene against the accused to deny him the use of information
already in his possession. It is true that some of the same values must be
weighed (e.g., full answer and defence, privacy, equality rights, etc.) but
both the purpose and the context are quite different.
108
The Seaboyer test was affirmed in Osolin, supra, per
Cory J., at p. 671:
Generally, a complainant may be cross-examined for the purpose of
eliciting evidence relating to consent and pertaining to credibility when the
probative value of that evidence is not substantially outweighed by the danger
of unfair prejudice which might flow from it. Cross-examination for the
purposes of showing consent or impugning credibility which relies upon “rape
myths” will always be more prejudicial than probative. Such evidence can
fulfil no legitimate purpose and would therefore be inadmissible to go to
consent or credibility.
109
The issue for the trial judge here, therefore, was whether
cross-examination on the diary would create prejudice to the complainant that “substantially
outweighed” its potential probative value to the appellant, and in that
regard whether cross-examination on the absence of entries recording
abuse relied upon “rape myths” or the equivalent.
(6) KWG’s Privacy Concerns
110
Compelling KWG to answer questions about entries made in her teenage diary
would force her to testify about aspects of her private life and negate her
desire to determine for herself when, how and to what extent personal and
private information is disclosed to others. It is not necessary for present
purposes to address the question whether, and to what extent, these privacy
interests are anchored in s. 7 of the Charter . In Osolin
itself, the invasion of the complainant’s privacy was held protected under
s. 15 and s. 28 of the Charter (p. 669). Its protection
in this case required no more than the fundamental requirement at common law
that “the probative value of evidence must be weighed against its prejudicial
effect” (Osolin, p. 665). Reference was made in that connection to
Wigmore on Evidence, vol. IA (Tillers rev. 1983), at pp. 969
and 975, and to Morris v. The Queen, [1983] 2 S.C.R. 190, at
p. 201.
111
The purpose of the voir dire, according to the trial judge, was
to determine “the circumstances under which what appears to be [KWG’s] diary
came into the accused’s possession”. KWG’s counsel took the position that KWG
could not be asked about the content of the diary even in the voir dire
called for the purpose of determining its admissibility and this limitation was
accepted by defence counsel who said he took the warnings from KWG’s counsel
“to heart”.
112
The fact KWG conceded that the diary contained “mundane” sorts of
information is not, in my view, fatal to her wish to keep private the entries
she did choose to record in her private diary, but the fact KWG freely
acknowledged that her teenage diary was not written in any kind of confessional
spirit does go to the weight of the privacy interest.
113
On this point, however, it is KWG, not the appellant, who might be
expected to complain of the trial judge’s ruling. He allowed the defence to
put to KWG whatever entries it wished where specific entries arguably
contradicted KWG on some of the statements she had made in her
evidence-in-chief.
114
All that was left to explore was what she did not write down.
Cross-examination on that point would be a high-risk tactic for the defence
capable of generating some devastating answers, to put it mildly. However, the
appellant considered pursuit of that point to be crucial to his defence.
(7) Omission of Entries Recording Abuse
115
We arrive then at the appellant’s real grievance. He was not allowed to
challenge the credibility of KWG based on the absence of any entries
dealing with physical or sexual abuse in an important and relevant eight-month
period in 1970.
116
In fact, the jury was never told the omissions existed.
117
The Crown contends that the effect of this restriction was marginal at
best:
The Respondent submits that the non-recording of an event is generally
of much lower probative value than the recording of an event. If an event is
recorded which a witness denies, that contradiction cries out for an
explanation. Where an event is not recorded, however, that fact is not in
itself logically inconsistent with the event having occurred. [Emphasis in
original.]
118
The Crown’s argument assumes the point in issue, of course. If we assume
KWG intended a type of diary that would not be expected to contain entries
recording abuse, the omissions would be irrelevant. It is that assumption,
however, which the defence sought to explore in cross-examination.
119
The courts have recognized, no doubt belatedly, that certain techniques
of cross-examination traditionally employed in sexual assault cases have
distorted rather than advanced the search for truth. This case illustrates one
of the problem areas. The omission to record some piece of information is only
probative if there is a reasonable expectation that such a record would be made
(R. v. R.M. (1997), 93 B.C.A.C. 81, at paras. 45-49; Wigmore on
Evidence, vol. 3A (Chadbourn rev. 1970), at para. 1042). A
pilot’s log will record relevant flight information, because that is its
purpose, but not what he or she had to eat for breakfast over the Atlantic
Ocean. Hospital records will include medical observations but not what
television station the patient happened to be watching that evening. What was
objectionable about the defence approach here was that it overlooked (or
perhaps resolutely resisted) the need to lay before the jury a rational basis
for the inference it ultimately wished to draw, namely that the non-recording
of a certain type of information was circumstantial evidence that the alleged
abuse never happened.
120
The problem lies in the unspoken and unproven premise. KWG was
obviously under no legal or other duty to record such observations. She
clearly did not follow a regular practice of making such entries because no
entries of any kind of abuse were made. All sides agree that the diary entries
were “mundane”. Why assume that a diary devoted to “mundane” entries would
necessarily report on episodes of physical and sexual abuse? On what logical
basis would such a non-record give rise to an inference of testimonial
deficiency or fabrication? In the absence of some evidentiary basis for the
premise that abuse ought to have been recorded, the result of allowing the
cross-examination to proceed as proposed by the defence (“the entire contents
are fair game”) would be to allow the defence to go to the jury at the end of
the trial and to point to the absence of entries in an effort to suggest – nod
nod wink wink – that women and children who are sexually and physically abused
do not suffer in silence, but must and do confide their inner hurt even if only
to their private diaries.
121
While in most instances the adversarial process allows wide latitude to
cross-examiners to resort to unproven assumptions and innuendo in an effort to
crack the untruthful witness, sexual assault cases pose particular dangers. Seaboyer,
Osolin and Mills all make the point that these cases should be
decided without resort to folk tales about how abuse victims are expected by
people who have never suffered abuse to react to the trauma: Mills, supra,
at paras. 72, 117-19; R. v. D.D., [2000] 2 S.C.R. 275, 2000 SCC 43,
at para. 63. This is the law and the trial judge was right to apply it.
(8) Legitimate Scope for Cross-examination
122
This does not turn persons accused of sexual abuse into second-class
litigants. It simply means that the defence has to work with facts rather than
rely on innuendoes and wishful assumptions. This means, in turn, that the
defence should not be prevented from getting at the facts. As
L’Heureux-Dubé J. wrote in O’Connor, supra, at
para. 124:
Although the defence must be free to demonstrate, without resort
to stereotypical lines of reasoning, that such information is actually relevant
to a live issue at trial, it would mark the triumph of stereotype over logic if
courts and lawyers were simply to assume such relevance to exist,
without requiring any evidence to this effect whatsoever. [Emphasis in
original.]
123
At the time of the trial, KWG was a mature and well-spoken 42-year-old
adult. She was (or had been) an airline stewardess. She was not a child in
need of any special protection from the court. There were arguably some
contradictions between her testimony as an adult and what she had written as a
teenager 27 years before, as the trial judge recognized. These arguable
contradictions nourished the defence argument
that the diary
(including omissions) provided a more accurate picture of events in 1970 than
KWG’s unaided recollection. I therefore do not, with respect, agree with my
colleague L’Heureux-Dubé J., at para. 176, that cross-examination on
such issues would serve “no legitimate purpose”.
124
A witness’s powers of recall and the reliability of his or her memory
are important issues in a trial of events that took place 27 years previously.
(9) The Trial Judge’s Ruling with Respect to the Absence of Entries
125
The trial judge did not refer in his ruling to the Seaboyer or Osolin
test for limiting the appellant’s fair trial rights to a full
cross-examination. He explicitly approached the cross-examination issue as an
extension of the O’Connor production issue, applying the same criteria.
126
It is not clear from the record whether he had actually examined the
diary. In his related (but earlier) ruling on the application of
ss. 278.1 to 278.9 of the Criminal Code , he had said that he had
not read “any portion of the diary”. Counsel for the appellant advised this
Court that to his knowledge the trial judge at no time examined the diary,
which, if correct, would be consistent with his adaptation of the O’Connor
approach.
127
After dealing favourably with various elements in the appellant’s motion
to refer KWG to actual entries in the diary, the trial judge addressed the
potential use of the diary in the proposed cross-examination on the absence
of entries regarding the alleged abuse:
I do not make any ruling about how the defence may
argue its case to the jury, but I am satisfied that on this issue, the privacy
interest outweighs the potential probative value. In my view, the probative
value of demonstrating that [KWG] did not write in her diary a description of
any particular sexual assault by [the appellant] is minimal and the intrusion
upon her privacy is considerable. [Defence counsel] may not conduct that
particular sort of cross-examination with the diary.
128
It is evident that the statements in his ruling about “discriminatory belief
or bias” and “the privacy interest” and “probative value” relate back to his
recitation four pages earlier in the transcript of the second, fourth and fifth
elements of the “balancing test” in O’Connor.
129
He specifically attributed his disallowance of questions about the
absence of entries to “criterion number 4 in O’Connor”. It cannot
fairly be concluded, in my view, that he applied Seaboyer or Osolin
when he explicitly purported to apply O’Connor. I see no reason why we
should not accept that this is exactly what he did. At no time did he find
that the intrusion on privacy “substantially outweighed” the probative value.
In the view he took of the post-O’Connor law, that was not the test.
130
The trial judge’s ruling was certainly understood by Donald J.A. in
the British Columbia Court of Appeal, as based on O’Connor. He
concluded that Mills, supra, following on O’Connor, supra,
“casts a new light on the question of the complainant’s privacy and supports
the impugned ruling” (para. 83). Further, “Mills . . .
shifted the balance away from the primary emphasis on the rights of the
accused” (para. 93), and again, “[t]he majority in Mills emphasized
the need to concentrate on the context in which the competing rights arise in
order to strike the right balance in each case” (para. 94).
131
Mills, of course, dealt with the constitutional validity of the
procedure set out in ss. 278.1 to 278.9 of the Criminal Code for
the production of third party records. It did not purport to deal with the
proper limits of cross-examination using evidence already in the possession of
the defence.
132
Moreover, even in terms of production of third party documents, I
do not, with respect, agree that “Mills has shifted the balance away
from the primary emphasis on the rights of the accused” (para. 93
(emphasis added)) because Mills itself affirms the primacy – in the last
resort – of the requirement of a fair trial to avoid the wrongful conviction of
the innocent. Mills states in para. 94 that
where the information contained in a record directly bears on the right
to make full answer and defence, privacy rights must yield to the need to avoid
convicting the innocent.
133
I agree with Donald J.A. that the trial judge applied O’Connor to
limit the defence cross-examination of the complainant but I do not agree, with
respect, that this Court in O’Connor or Mills either intended to
or did substitute a test intended for the production of third party documents
to the quite different problem of imposing limits on cross-examination as laid
down in Seaboyer and Osolin.
(10) The Duty to Permit Proper Cross-examination
134
The trial judge was quite correct to reject the overly aggressive
posture put forward on behalf of the appellant.
135
Defence counsel stated: “My position is [that] I have got this diary, I
am entitled to cross-examine [on] it”. Further, the defence opening position
was that:
I may cross-exam[ine] her and take her through the entire thing so my
friend should assume that the entire contents are fair game.
136
Eventually he relented and provided the court with a list of specific
entries to be put to KWG in cross-examination, all of which were eventually
allowed by the trial judge.
137
The position was accurately summarized on this point by the trial judge
when he said the submission of defence counsel was that
he should have a wide-ranging ability to use the diary in pretty much
any way that he sees fit on behalf of his client.
138
The justified rejection of this position did not end the matter. In Osolin,
the majority took the view that the trial judge is obliged to focus on the
rights of the accused, not the posture adopted by his or her counsel. In that
case, the defence wanted to cross-examine the complainant on her medical
records to show “what kind of person the complainant is” (p. 673). Cory
J. held that such a purpose was plainly improper, but
quite apart from the submissions of the defence counsel, it is the duty
of the trial judge to ensure that the accused’s rights with regard to
cross-examination, which are so essential to the defence, are protected.
139
In his view, a more limited cross-examination ought to have been
allowed. L’Heureux-Dubé J. (at p. 611) and McLachlin J. (at
p. 642) expressly dissented on this point, but the view of Cory J.
was sustained by a majority of the Court.
140
In my view, therefore, it was not enough for the trial judge to reject
the overreaching position of defence counsel. He was also required to assess
for himself the legitimate entitlement of the accused. In fact, he seems to
have done so in the course of argument, but not in his ruling. For example, he
suggested to the defence that it could explore the absence of entries in front
of the jury without going through the diary “item by item”:
The Court: What I meant
by that comment is perhaps you can deal with it on a level of generality by
proving that she did not record this, did not record that, as opposed to taking
her through it item by item, but you can tell me that tomorrow.
[Defence Counsel]: That’s
not the way we’re approaching it, my lord.
141
Donald J.A. was of a similar view in the Court of Appeal (at
para. 87):
If it had been possible to confine the questions simply to the fact
that the entries made no mention of the abuse, without getting into the diary
itself, the balance may have tipped the other way.
142
The trial judge had already rejected an all or nothing approach to the
use of diary entries and there is no reason why similar ground rules involving
a few representative entries could not have been established on this issue as
well. The parties were agreed that the diary made no mention of physical or
sexual abuse. It was therefore unnecessary, with respect, to take KWG through
the entire diary to establish that fact, as suggested by my colleague
L’Heureux-Dubé J. at para. 169.
(11) Applying the Osolin Test
143
The serious limits placed on the defence emerged in the clarification of
the ruling sought by the appellant with respect to the issue of the mother’s
alleged physical abuse (which did not, of course, raise a “rape myth” issue as
such):
[Defence Counsel]: One
further point of clarification with respect to . . . the references
to beatings and negative references to her mother. I have your point squarely
that I shall in all respects stay away from the diary about those issues
but I didn’t want – there may have been some misunderstanding between you and
I, my lord. . . .
The Court: Yes. I have
a note, whatever I may have said a few minutes ago, my note shows that the
diary contains no reference to her mother beating her, but you wanted to
cross-examine her on why that was so.
[Defence Counsel]: Yes.
I’m not going to now, in light of your ruling. I should say this, though,
that I do intend to cross-examine her without any reference to this diary about
what she says were these beatings by her mother because she gave that evidence
in direct examination. I have some discrete questions that I wish to put to
her, no questions about the diary, and I also may ask her some
questions, again nothing about the diary, but to ascertain the
relationship she had with her mother . . . .
The Court: So far as it
arises from direct examination, it doesn’t touch on the diary, then I
guess it’s a separate issue. [Emphasis added.]
144
In my view, KWG’s diary ought not to have been ruled untouchable in this
respect and I think that if the trial judge had properly directed himself on
the Osolin test, he would have reached a different conclusion.
145
Firstly, the absence of any entries relating to physical or sexual abuse
was a live issue with respect to the credibility of KWG that was potentially of
probative value, depending on her responses. The trial judge had already
concluded that there was sufficient potential contradiction between KWG’s
evidence-in-chief and certain of the diary entries to justify calling on her
for an explanation before the jury. Questions dealing with the absence of
entries were no more intrusive into her privacy than those he had already
permitted. The trial judge had decided that it was open to the defence to
argue that the contemporaneous diary showed a more accurate picture of KWG’s
life in 1970 than her unaided evidence-in-chief 27 years later.
146
Secondly, the probative value to the defence depended on establishing
the premise that if the physical and sexual abuse occurred, it would have been
recorded. The defence was rightly precluded from assuming the truth of
that premise, but it did not follow that the defence should also be precluded
from attempting to demonstrate it with this particular diary on the
particular facts of a case. As previously noted, both the trial judge and
Donald J.A. seemed to consider such cross-examination would be proper
provided the result was not an indiscriminate rehash of every entry in the
diary, as the defence had demanded.
147
Thirdly, the court ought not to have assumed what her responses to those
questions would be: Osolin, supra, at p. 674. Both the
trial judge and the Court of Appeal assumed questions about the absence of
entries could have been easily answered by KWG. If so, there was even less
reason to prevent them from being asked.
148
Fourthly, KWG had herself characterized the diary entries as “mundane”.
There was no effort to put her “lifestyle and reputation on trial”: Osolin,
supra, at p. 672. This does not at all eliminate her privacy
interest, but it lessens its weight.
149
Fifthly, neither KWG nor her counsel suggested any particular privacy
interest in the reasons why KWG kept a diary in 1970 or its scope. Indeed, her
counsel acknowledged that “[t]he circumstances under which the diary was
created” goes to the “kind of privacy interest that she has” rather than being
itself the subject matter of a privacy interest.
150
Accordingly, viewed from the Osolin perspective, the nature and
scope of KWG’s diary did not raise privacy or other concerns of such importance
as to “substantially outweigh” the appellant’s fair trial right to
cross-examine on the diary (both the selected entries permitted by the trial
judge and the absence of entries) to test the accuracy and completeness of
KWG’s recollection of events 27 years previously.
151
It cannot be said that there is no reasonable possibility that if the
cross-examination had proceeded, the verdict on the KWG charges would
necessarily have been the same. The curative proviso of s. 686(1)(b)(iii)
is therefore inapplicable: R. v. Bevan, [1993] 2 S.C.R. 599, at
p. 616, and R. v. Jolivet, [2000] 1 S.C.R. 751, 2000 SCC 29, at
para. 49.
C. Effect
of New Trial of KWG Charges on Use of Similar Fact Evidence
152
The new trial ordered on charges related to KWG does not, in my view,
put in doubt the correctness of the jury verdicts with respect to the other
complainants. It is true that KWG’s testimony was admitted as similar fact
evidence on the other counts. However, the ruling that KWG’s testimony was not
tested by cross-examination to the extent necessary to support a conviction
beyond a reasonable doubt on her complaints does not make it inadmissible on
the similar fact issue, namely the appellant’s modus operandi. Ten
other complainants testified to the same effect. There is no miscarriage of
justice in maintaining those convictions. If necessary, I would apply the
curative proviso in s. 686(1) (b)(iii) of the Criminal Code
in that respect.
V. Disposition
153
The Crown did not dispute the correctness of the new trial ordered by the
British Columbia Court of Appeal on the two pre-1983 counts. The appeal is
therefore allowed with respect to the counts pertaining to KWG but is dismissed
with respect to the other convictions of the appellant, the validity of which
is affirmed.
The reasons of L’Heureux-Dubé and Gonthier JJ. were delivered by
154
L’Heureux-Dubé J.
(dissenting in part) – The issues in this case are (1) whether the similar fact
evidence adduced to support the credibility of the complainants was properly
admitted at trial; and (2) whether the trial judge was right to restrict
defence counsel’s cross-examination on the diary of the complainant KWG.
155
I have had the benefit of reading the reasons of my colleague Justice
Binnie. While I agree with him that the trial judge correctly concluded that
the similar fact evidence was admissible, I respectfully disagree that the
defence should have been permitted to question KWG on the absence of reference
to abuse in her diary. The reasons for my disagreement are twofold. First,
the trial judge should have ordered the diary returned to KWG, its rightful
owner, and required the appellant to seek production of it through the
appropriate statutory channels. Second, even if the appellant had acquired the
diary through the proper channels in the first place, the prejudicial effect of
the proposed line of questions on the absence of entries substantially
outweighs its probative value. Thus, I believe the appeal should be dismissed
with respect to all of the convictions of the appellant.
I. Wrongful
Possession of the Diary
156
My colleague correctly concludes that KWG never waived or abandoned her
privacy interest in her diary. He suggests, however, that KWG was not
illegally deprived of her property interest in her diary because “[s]he simply
left it behind in a common storage room with other possessions no longer
required for day-to-day living” (para. 88). Binnie J.’s conclusion in this
regard recalls the trial judge’s determination that KWG’s continuing privacy
interest in the contents of her diary obviated any need to decide whether KWG
had abandoned her property interest in the writing:
I am inclined to the view that K.W. did not abandon her property
interest in the diary either, although that is less clear. Having ignored the
document for 20 years or more, one might conclude that she had abandoned the
property interest in it. I do not need to decide that issue on the present
application. I am satisfied that her privacy interest in the information
remains a right enjoyed by her.
157
In my view, the implications of the reasoning of Binnie J. and the trial
judge warrant some elaboration. At the time she wrote the diary entries, KWG,
her sister, and her mother lived together in a single room in a house at 1160
W. 10th Avenue, Vancouver, along with the accused and about 12 other people.
In order to conserve space, her mother put the family’s belongings in a storage
room in the basement. Each of the residents in the house had her own boxes in
her own area in the storage room. There was no sharing of boxes or storage
areas, each of the residents knew where her belongings were, and Dorothy
Rollins, a long-time member of the Kabalarian Society and resident of 1160 W.
10th Avenue, testified that “[i]t was . . . a code of ethics amongst
ourselves that we didn’t interfere with each other’s privacy”. In the
mid-1970’s, KWG moved out of the house “extremely quick[ly]”. In direct
examination on the voir dire, KWG clearly indicated that she thought the
belongings she left behind, including her diary, “would be in [her mother’s]
care” and expected her mother “would give it back to [her]”. When asked whether
she wanted her diary returned to her, KWG adamantly responded, “Absolutely,
every copy and everything else that was in that box.”
158
Approximately two years after her mother had moved out of the house and
22 years after KWG had left, Dorothy Rollins discovered the diary while
searching through the storage room for some of her own papers. She opened the
box, even though she knew it was not in her area of the storage room, and found
the diary. She knew the diary did not belong to her and observed that it was
locked. Undeterred, Ms. Rollins unlocked the diary and saw that it had KWG’s
name printed in the front. At the time she discovered the diary, she knew the
appellant was charged with the present offences and that KWG was one of the
complainants. Although she could have left the diary where she found it or
easily contacted KWG’s mother to return it to her, Ms. Rollins instead gave it
to Ronelda Chase, who was compiling information for the appellant’s defence.
Neither Ms. Chase nor the appellant ever sought to restore the property to
KWG.
159
The question that the trial judge should have addressed, then, is
whether KWG abandoned her property interest in the diary. I believe
that she did not, and I would apply this Court’s recent unanimous decision in R.
v. Law, [2002] 1 S.C.R. 227, 2002 SCC 10, to resolve this matter. Law,
supra, clearly provides that where an individual abandons or
relinquishes her property, she effectively abandons her privacy interest in
it. The logical corollary to this proposition must be that where an individual
retains a privacy interest in her property, she cannot be deemed to have
abandoned it. While a person can conceivably relinquish her privacy interests
in the contents of her property – for example, by reciting every entry in one’s
diary to the general public – without also giving up the physical good, the law
does not seem to allow for the reverse.
160
In addition, the onus of proving “abandonment” rests with the party
alleging it and is a relatively significant burden, which is met only when
there is “‘a giving up, a total desertion, and absolute relinquishment’ of
private goods by the former owner. It may arise when the owner with the
specific intent of desertion and relinquishment casts away or leaves behind his
property”: R. A. Brown, The Law of Personal Property (2nd ed. 1955), at
p. 9. According to Black’s Law Dictionary (6th ed. 1990), “abandonment”
is the equivalent of “a virtual, intentional throwing away of property”.
Reference to these principles indicates that KWG did not abandon the diary.
Given that a property interest necessarily encompasses the privacy interest
that my colleague agrees KWG still possesses, the appellant’s argument that he
did not illegally possess the diary because the complainant had abandoned it is
without merit.
161
In my view, the trial judge should have ordered the diary, as well as
every copy that was made of it, returned to its rightful owner and required the
appellant to seek production of it through the proper statutory scheme, namely,
ss. 278.1 to 278.9 of the Criminal Code, R.S.C. 1985, c. C-46 , just as
any other accused person in his position would have had to.
162
I am aware that some of the unique concerns posed at the production
stage of such documents and informing Parliament’s decision to enact ss. 278.1
to 278.9 of the Code may no longer be present where the accused has
already examined the contents of the private record he seeks to have produced.
I am not, however, persuaded that this is an adequate reason to allow accused
persons who manage to circumvent the statutory scheme through unlawful or
wrongful means potentially to benefit from their disreputable behaviour. Such
a result would not only frustrate the purpose of the legislation, but the
constitutional rights of sexual assault victims as well: “A complainant’s many
rights in her diary are not . . . abandoned only because such rights have been
previously violated” (intervener Women’s Legal Education Action Fund’s factum,
at para. 15).
163
Like my colleague, however, I do not think it is necessary to dwell
on the property ownership debate. Even if we assume, in the appellant’s
favour, that the diary came into his hands in a manner consistent with the
statutory scheme, I believe both the trial judge and the Court of Appeal were
nonetheless correct to prohibit the proposed line of cross-examination on the diary.
II. The
Proper Limits of Cross-examination
164
The test for admissibility of defence evidence is whether the
prejudicial effect of that evidence substantially outweighs its probative
value: R. v. Seaboyer, [1991] 2 S.C.R. 577; R. v. Osolin, [1993]
4 S.C.R. 595. In weighing prejudicial and probative value, the trial judge
must consider not only the accused’s right to full answer and defence, but also
the importance of the complainant’s and other witnesses’ privacy and equality
rights, as outlined in R. v. O’Connor, [1995] 4 S.C.R. 411, and R. v.
Mills, [1999] 3 S.C.R. 668. The majority decision in Osolin,
supra, clearly held that, similar to O’Connor, supra,
and Mills, supra, the privacy and equality rights of the
complainant as protected by the Charter should inform the trial judge’s
decision on whether to restrict the defence’s cross-examination.
165
On this point, I disagree with my colleague that “the nature and scope
of KWG’s diary did not raise privacy or other concerns of such importance as to
‘substantially outweigh’ the appellant’s fair trial right to cross-examine on
the [absence of entries in the diary] . . . to test the accuracy and
completeness of KWG’s recollection of events 27 years previously” (para. 150).
Instead, I believe that such cross-examination would introduce a high potential
of prejudice. That possibility substantially outweighs the minimal probative
value of questions concerning the absence of entries in the complainant’s
diary.
A. Prejudicial
Effect
166
As Osolin, supra, provides, we must consider the
complainant’s privacy and equality rights in assessing the potential prejudice
posed by a line of questioning on cross-examination. KWG’s privacy rights are
clear: there is no question that the diary is a record over which KWG had a
reasonable and continuing expectation of privacy and my colleague does not
disagree: “The trial judge found that KWG had never waived or abandoned her privacy
interest in the diary and I agree with him” (para. 87 (emphasis in original)).
Significantly, the diary included “information which tends to reveal intimate
details of the lifestyle and personal choices of the individual”: R. v.
Plant, [1993] 3 S.C.R. 281, at p. 293. It was at least a partial record of
KWG’s life during that period of time and represented her particular outlet for
personal self-expression.
167
Notwithstanding these privacy interests that we both accept, Binnie J.
finds that the appellant should be allowed to cross-examine on the absence of
mention of abuse in the diary, in part, because the entries are “mundane”. But
whether or not her diary entries were “mundane” does not lessen her privacy
interest in the diary. It can hardly be doubted that a teenager’s personal
diary is high on the spectrum of records in which one has a privacy interest;
“[d]iaries serve as private enclaves in our society. Teenagers buy diaries
equipped with lock and key”: J. B. LaVacca, “Protecting the Contents of a
Personal Diary from Unwanted Eyes” (1988), 19 Rutgers L.J. 389, at pp.
389‑90. And, as KWG herself appropriately noted, “It was a diary.
Diaries are supposed to be private.” Hence, the fact that KWG specifically
chose to record her thoughts and recollection of daily events in a private,
locked diary, rather than, for instance, on a calendar on her bulletin board,
post-it notes on the refrigerator, or even her school notebook, suggests to me
that she had a high expectation of privacy in what she wrote, regardless
of its content. Counsel for the complainant persuasively observed at trial
that “the issue surely with respect to privacy is the respect these courts are
prepared to pay to the individual’s ability to write down whatever he or she
may choose to write down in one’s personal diary. That’s the privacy interest at
stake, it’s not what is written down.” She went on to draw a powerful analogy
between the diary and private therapy records: “So for example, what if in
therapy one didn’t talk so much about one’s feelings but about one’s taste in
shopping? It would not, in my submission, detract from the reasonable
expectation of privacy to be able to establish that the content of the
conversation was X rather than Y.”
168
Similarly, in Law, supra, this Court did not examine the
contents of the private documents to evaluate the owner’s privacy interest. In
that case, thieves stole a safe containing commercial documents from two
restaurant owners. The police recovered the safe, but before it was returned
to the owners, an officer who suspected the owners of tax violations photocopied
some of the documents inside and eventually forwarded the photocopies to
Revenue Canada. According to Bastarache J., writing for the Court, the owners’
reasonable expectation of privacy in their documents derived not from their
contents, but from the fact that they chose to keep the documents confidential
by locking them in a safe. In its reasoning, the Court, at para. 16, noted
that informational privacy “derives from the assumption that all information
about a person is in a fundamental way his own, for him to communicate or
retain . . . as he sees fit” (emphasis added).
169
I also believe that the complainant’s privacy rights place constraints
on cross-examination where that questioning, as here, would result in
wide-ranging cross-examination of the diary, thus revealing much of its
contents. As the trial judge properly concluded: “The privacy interest in an
examination or cross-examination of [this] sort is considerable, because it can
be expected to touch upon a number of the diary entries in order to demonstrate
that, on occasions when an entry might have been made concerning Mr. Shearing,
none was made.” Therefore, the prejudice to the complainant is increased by
virtue of broad exposure of the contents of her personal diary. Certain
entries had already been opened up for cross-examination on other specific
points. To expose extensively her personal musings through the line of
questioning proposed by the defence is to aggravate the violation of her
privacy rights, not to mention the fact that “the process of proof and
counterproof to establish the reliability of the evidence [would] entai[l]
large amounts of time and may potentially sidetrack the trial of the case”: Osolin,
supra, at p. 621, per L’Heureux-Dubé J. dissenting.
170
Privacy rights and equality rights of the complainant overlap to some
extent in assessing the potential prejudice of the questioning and the
concomitant limits that should be placed on the right to full answer and
defence. As noted by Cory J. in Osolin, supra, at p. 669:
Sexual assault is in the vast majority of cases gender
based. . . .
. . . The provisions of ss. 15 and 28 of the Charter guaranteeing
equality to men and women, although not determinative should be taken into
account in determining the reasonable limitations that should be placed upon
the cross-examination of a complainant. . . . A complainant should
not be unduly harassed and pilloried to the extent of becoming a victim of an
insensitive judicial system.
Thus, this
Court must be sensitive both to the equality concerns present in this case, and
to the policy of encouraging victims to report sexual assaults, without fear of
a wide-ranging and in-depth inquiry of every detail of their private lives.
171
My colleague and I agree that the trial judge correctly rejected “the
overly aggressive posture put forward on behalf of the appellant” (para. 134),
namely, that “he should have a wide-ranging ability to use the diary in pretty
much any way that he sees fit” (para. 137). But we disagree as to whether the
trial judge’s justified rejection of this position resolved the matter.
According to Binnie J., relying on the majority’s reasons in Osolin, supra,
“the trial judge . . . was also required to assess for himself the
legitimate entitlement of the accused” (para. 140) to cross-examine and should
have allowed questioning on the absence of reference to the sexual assaults
using “a few representative entries” (para. 142). I joined McLachlin J. (as
she then was) in expressly dissenting on this point in that case. At p. 643,
McLachlin J. (also joined by La Forest and Gonthier JJ.) explained:
[T]o place a duty on a trial judge to ensure that all legitimate
grounds of cross-examination are explored is inconsistent with the nature of
our trial process and would confuse and complicate the prosecution of criminal
offences unduly. Our criminal trial system is essentially adversarial. The
Crown puts forward evidence directed to showing that the accused is guilty
beyond a reasonable doubt. The accused points out weaknesses in the Crown’s
case and sometimes offers contrary evidence. The court, comprised of judge and
jury, sits as neutral arbiter, charged with deciding, whether, at the close of
all the evidence, the Crown has proven the accused guilty beyond a reasonable
doubt.
I continue to
adhere to this view, and I believe the defence’s rejection of a more tailored
approach to cross-examination on the absence of recording of abuse in the diary
here, like the defence’s failure to raise a valid reason for the
cross-examination in Osolin, supra, was fatal.
172
Proper consideration of the complainant’s equality rights also requires
an appreciation of myths and stereotypes in the context of sexual violence: see
Mills, supra; O’Connor, supra; Osolin, supra;
Seaboyer, supra. Allowing questioning on the absence of the
mention of sexual assault in the diary would be to endorse the same
discriminatory beliefs that underlie the “recent complaint” myth. As I
explained in Osolin, supra, at p. 625, the recent complaint myth
“suggest[s] that the presence of certain emotional reactions and immediate
reporting of the assault, despite all of the barriers that might discourage
such reports, lend credibility to the assault report, whereas the opposite
reactions lead to the conclusion that the complainant must be fabricating the
event”. Similarly, questioning the complainant as to why certain reactions are
not present in her diary or why she did not “report” the incidents by recording
them in her diary, implies that the absence of such writings is support for the
conclusion that she fabricated the events.
173
The rape myth of “recent complaint” has long been dismissed by this
Court and, if used to draw a negative inference about the complainant’s
credibility, constitutes a reversible error: see R. v. D.D., [2000] 2
S.C.R. 275, 2000 SCC 43, at para. 63. As this Court firmly explained in Mills,
supra, at para. 90: “The accused is not permitted to ‘whack the
complainant’ through the use of [such] stereotypes regarding victims of sexual
assault.” Oftentimes, merely posing a question that may be directed to myths
and stereotypes in the sexual assault context is enough to distort the
truth-seeking goal of the trial process because the prejudice derives from the
innuendo imbedded in the question.
B. Probative
Value
174
Equality rights and the problem of the “recent complaint” myth are also
relevant in determining the probative value of the evidence to be gained from
the proposed line of questioning. An analysis of the probative value of the
proposed line of questioning, keeping equality rights in mind, indicates that
cross-examination on this point would not be probative because, as the
respondent correctly observed, the assumption that “silence speaks volumes” is
unfounded, and by itself cannot lead to the conclusion that no sexual assault
occurred.
175
In addition, as McLachlin J. reasoned in Osolin, supra, at
p. 641 (following on the approach she outlined in Seaboyer, supra),
in order for the cross-examination to be relevant, “the accused must
demonstrate that the cross-examination is directed at a ‘legitimate purpose’”.
In the context of cross-examination directed at a complainant, it is ipso
facto an improper purpose to cross-examine with the only goal being to
discredit the complainant’s character. Even the majority in Osolin, supra,
at p. 671, held that “[c]ross-examination for the purposes of showing consent
or impugning credibility which relies upon ‘rape myths’ . . . can fulfil no
legitimate purpose and would therefore be inadmissible to go to consent or
credibility. Cross-examination which has as its aim to elicit such evidence
should not be permitted.”
176
The only object of questioning the complainant in this case about the
absence of entries in her diary is to imply that she is fabricating the events,
thus relying on the same discriminatory beliefs that undergird the recent
complaint myth. Thus, there is no legitimate purpose placed before the trier
of fact.
177
I believe my colleague and I agree that, having eliminated as a basis
for cross-examination reliance on the myth that a complainant who does not record
her abuse in her personal diary lacks credibility, questions on the absence of
mention of sexual assaults in the diary can have no probative value. Where we
fail to agree is when the defence is required to demonstrate a valid
reason for its proposed line of questioning and whether it was given the
opportunity to do so in this case.
178
According to Binnie J., “the absence of any entries relating to physical
or sexual abuse . . . was potentially of probative value, depending on her
responses”, and KWG should have been called on to give these responses
“before the jury” (para. 145 (emphasis added)). The majority in Osolin,
supra, at p. 671, reasoned that where the purpose of the
cross-examination may be directed to rape myths, the determination should take
place in a voir dire, rather than in front of the jury:
In each case the trial judge must carefully balance
the fundamentally important right of the accused to a fair trial against the
need for reasonable protection of a complainant, particularly where the purpose
of the cross-examination may be directed to “rape myths”. In order to assure
the fairness of the trial, where contentious issues arise as to the
cross-examination of the complainant a voir dire should be held. In the
voir dire it will be necessary to show either by way of submissions of
counsel, affidavit or viva voce evidence that the proposed
cross-examination is appropriate.
McLachlin J.
in Osolin, supra, again following her approach in Seaboyer,
supra, unequivocally stated, at p. 640: “The rule is clear.” She
continued, at p. 641: “Before cross-examination can be allowed
. . . the defence must demonstrate that the cross-examination
possesses ‘a degree of relevance which outweighs the damages and disadvantages
presented by the admission of such evidence’” (emphasis added).
179
Here, the defence was given ample opportunity to demonstrate a rational
basis for the proposed line of questioning on the absence of mention of the
abuse in the diary on the voir dire, by way of cross-examination of the
complainant and submissions to the court, and it failed to proffer such a
basis. In cross-examination on the voir dire, the defence asked KWG a
number of exploratory questions pertaining to the nature of the diary and the
length of time she kept it. Rightly so, the defence was not permitted to
engage in a “fishing expedition”, even on the voir dire. Evidence must
be tendered for a legitimate purpose and logically support a defence, and
“[t]he trial judge’s discretion must be exercised to ensure that neither the in
camera procedure nor the trial become forums for demeaning and abusive
conduct by defence counsel”: Seaboyer, supra, at p. 634.
180
Moreover, in his submissions to the court, defence counsel asserted that
examination on the absence of reference to the abuse was relevant to the
complainant’s credibility, without, however, articulating a valid reason why.
Submissions to the Trial Judge on the Voir Dire by Defence
Counsel, Mr. Tammen
(Jury Out)
The Court: .
. .
So where are we going with this diary? What are you
trying to prove with it?
Mr. Tammen: First
of all, several things. I can set them out. First of all, that there’s no
comments in this diary that could be construed as being – reflecting negatively
on the accused. There’s references to him in it, but nothing negative. I
mean, you’ve heard her evidence that she wishes to see him rot in hell, she
hates him. That’s not reflected in the diary. There’s no references to any
sexual acts in the diary.
.
. .
The Court:
So you say, first of all, that the diary overlapped in time with
some of these alleged acts of sexual intercourse, and secondly, you say the
diary has probative value because of the fact that she never confided in her
diary any unhappiness or how the accused was treating her. . . .
Mr. Tammen: Yes,
that’s part of –
The Court: I
didn’t put that very well, but is that essentially one argument you make?
Mr. Tammen: Yes,
it is, my lord. [Emphasis added.]
These
deficiencies led the trial judge to find that the only basis for the evidence
was reliance on the “recent complaint” myth:
Finally, Mr. Tammen wishes to conduct what might be
described as a broad ranging cross-examination, using the diary to demonstrate
that it contains no references to sexual assaults by the accused or sexual
activity with the accused. In essence, he wants to go to the jury and argue
that the witness has made no “complaint”, if I may use that word, to her private,
confidential diary about the sexual assaults that she now testifies to.
.
. .
It can hardly be denied that, in a great number of
instances of sexual assaults upon children, probably in most such instances,
the complainant does not make any complaint at the time to adults, friends or
those who are close to him or her. It should come as no surprise, then, to
find that a child would not confide in her diary that an assault of that sort
has occurred. Ms. Dickson [counsel for the complainant] argues strongly that
there is no probative value in a lack of complaint in these circumstances, and
that to allow cross-examination and argument on the issue is premised upon a
discriminatory belief or bias. [Emphasis added.]
181
My colleague accounts for the defence’s failures to show probative value
in questioning by suggesting that the defence “overlooked (or perhaps
resolutely resisted) the need to lay before the jury a rational basis for the
inference it ultimately wished to draw, namely that the non-recording of a
certain type of information was circumstantial evidence that the alleged abuse
never happened” (para. 119). I disagree. Instead, I think the bottom line is
that the defence simply did not have a rational basis for its proposed
line of questioning. As Binnie J. agrees, KWG was under no legal duty to
record the sexual assaults; she clearly did not follow a regular practice of
making such entries because no entries of any kind of abuse were made; and all
sides admit that the diary entries were “mundane”. Similarly, the Court of
Appeal, which reviewed the diary, concluded, at para. 86: “The style and
content do not suggest that if abuse had occurred the complainant would have
confided it to her diary.”
182
Even if I were to accept my colleague’s suggestion that defence counsel
simply “overlooked (or perhaps resolutely resisted)” the need to assert a valid
reason for its proposed cross-examination in his initial submissions, I would
be hard pressed to believe that he repeated the same error in his reply,
especially given that KWG’s counsel had just finished arguing, at length, that
the proposed questions essentially relied on the “recent complaint” myth.
Furthermore, I do not think it is the duty of the trial judge to ensure that
all legitimate grounds of cross-examination are explored. In short, the trial
judge gave the defence a full and fair opportunity to lay a rational foundation
for the inference it wished to draw and correctly concluded that the probative
value of the evidence was “minimal”, if anything.
183
As a coda to my observation that the probative
value of the evidence was minimal for equality reasons, I would add that the
right of the accused to make full answer and defence does not stand or fall based
on whether the accused may engage in this particular line of
cross-examination. I fail to see what the defence could possibly gain by
questioning KWG on her diary keeping as a 14-year-old. If the defence asks the
complainant why she did not mention the sexual assaults or the beatings in her
diary, the only conceivable answers would be either a) “Those events didn’t
occur at all” (and it is far-fetched to believe that the complainant would
recant in this manner given her prior statements in the case), or, the more
probable answer, b) “I felt uncomfortable writing about these traumatic
occurrences, and I did not intend my diary to constitute a complete record of
my life in any event”. The more probable answer is unhelpful to the defence,
unless of course the defence wishes to imply that because the complainant did
not write of the assaults, the complainant is fabricating the story. This is
an improper purpose of questioning, as has already been discussed. The
cross-examination in any event also seems unnecessary to the appellant’s
defence that the events did not occur at all, since, if the defence wishes to
challenge the complainant’s version, it has the benefit of having the
complainant there to directly question her memory of the assaults and her life
during that period of time.
III. Conclusion
184
In summary, an application of the Seaboyer/Osolin, supra,
test that cross-examination should be restricted if the prejudicial impact
substantially outweighs the probative value, reveals that the trial judge and
Court of Appeal in this case were correct to prohibit the particular line of
questioning proposed by the defence. In applying this test, we must consider
the accused’s right to full answer and defence and the complainant’s privacy
and equality rights. In the case at bar, the prejudicial effect is very high,
while the probative value is, at best, minimal. The diary is an intimate
record of the complainant’s life during that period of time and the proposed
line of cross-examination would necessarily open up much of the diary’s
contents to scrutiny.
185
Besides constituting a wide-ranging violation of the complainant’s
privacy rights, the proposed cross-examination also has potential equality
implications, as victims would naturally be loath to report sexual assaults if
they feared that their entire private lives would be intensely scrutinized at
trial. Given that a diary is an individualistic exercise, questioning a
complainant on the failure to record a sexual assault is akin to questioning a
complainant as to why she failed to raise a “hue and cry” immediately after the
assault. As the proposed line of questioning is animated by a discriminatory
belief, the prejudice is high and the potential probative value is very low, if
anything. In addition, the defence has the benefit of getting evidence by
directly cross-examining the complainant on her version of events, and thus
does not require the additional evidence that would result from questioning the
complainant on why she did not write about the assaults. Therefore, the
evidence is neither relevant nor necessary for the accused to exercise
his right to full answer and defence. A review of all of these factors
strongly indicates that the trial judge and Court of Appeal were correct to
prohibit the proposed line of cross-examination on the diary, as the potential
prejudice substantially outweighs the probative value of such an exercise.
186
I would consequently dismiss the appeal.
Appeal allowed in part, L’Heureux-Dubé
and Gonthier JJ. dissenting
in part.
Solicitors for the appellant: Peck and Company,
Vancouver.
Solicitor for the respondent: The Ministry of the
Attorney General, Vancouver.
Solicitor for the intervener the Attorney General for
Ontario: The Ministry of the Attorney General, Toronto.
Solicitors for the intervener Women’s Legal Education and Action
Fund: Sheilah Martin, Calgary; Chivers Greckol & Kanee,
Edmonton.
Solicitors for the intervener Criminal Lawyers’ Association
(Ontario): Sack Goldblatt Mitchell, Toronto.