rumley v. british columbia, [2001] 3
S.C.R. 184, 2001 SCC 69
Her Majesty The Queen in Right of the Province
of British Columbia Appellant
v.
Leanne Rumley, John Pratt, Sharon Rumley, J.S. and M.M. Respondents
Indexed as: Rumley v. British Columbia
Neutral citation: 2001 SCC 69.
File No.: 27721.
Hearing and judgment: June 13, 2001.
Reasons delivered: October 18, 2001.
Present: McLachlin C.J. and Gonthier, Iacobucci,
Major, Bastarache, Binnie and Arbour JJ.
on appeal from the court of appeal for british columbia
Practice -- Class actions -- Class certification --
Plaintiffs seeking to represent current and former students abused at
residential school for deaf and blind operated by province -- Whether plaintiffs
meet certification requirements set out in provincial class action legislation
-- Class Proceedings Act, R.S.B.C. 1996, c. 50, s. 4.
From the early 1950s until 1992, British Columbia
operated a residential school for deaf children. Until 1979, the school also
enrolled blind children. Investigations by the provincial Ombudsman and later
by a special counsel established that sexual, physical and emotional abuse of
students by staff and peers took place at the school over many years. The
government responded to the special counsel’s report by acknowledging
responsibility for abuse that occurred at the school and establishing an
individual compensation program that awarded compensation in three tiers, with
a minimum of $3,000 and a maximum of $60,000. The respondents commenced a
class action against the appellant in 1998 seeking compensatory and punitive
damages. Under s. 4 of the Class Proceedings Act, the court must
certify a proceeding as a class proceeding if all of the following requirements
are met: (a) the pleadings disclose a cause of action; (b) there is an
identifiable class of two or more persons; (c) the claims of the class members
raise common issues, whether or not those common issues predominate over issues
affecting only individual members; and (d) a class proceeding would be the
preferable procedure for the fair and efficient resolution of the common
issues. The British Columbia Supreme Court denied certification. The Court of
Appeal allowed the respondents’ appeal and certified the claims relating to
sexual abuse as common issues.
Held: The appeal
should be dismissed.
The respondents have satisfied the certification
requirements set out in s. 4 of the Class Proceedings Act. The issues
in dispute are whether there are questions common to the class and whether a
class proceeding would be the preferable procedure for the fair and efficient
resolution of the common issues. Both the commonality and preferability
requirements are satisfied in this case. With regard to commonality, all class
members share an interest in the question of whether the appellant breached a
duty of care. The issues of duty and breach are thus common to the class.
That the standard of care may have varied over the relevant time period is not
an obstacle to the suit’s proceeding as a class action but simply means that
the court may find it necessary to provide a nuanced answer to the common
question. The structure of the special counsel’s report, which explicitly divides
the years between 1982 and 1991 into three discrete subperiods, suggests that
such an approach would not be infeasible. Moreover, the Class Proceedings
Act contemplates the possibility of subclasses, and the court may amend the
certification order at any time. The appropriateness and amount of punitive
damages is also, in this case, a question amenable to resolution as a common
issue.
The preferability inquiry is directed at two
questions: first, whether the class proceeding would be a fair, efficient and
manageable method of advancing the claim, and second, whether the class
proceeding would be preferable in the sense of preferable to other procedures.
The first factor to be considered under s. 4(2) is “whether questions of
fact or law common to the members of the class predominate over any questions
affecting only individual members”. It seems likely that there will be
relevant differences between class members here; as the respondents have
limited their claims to claims of “systemic” negligence, however, the central
issues in this suit will be the nature of the duty owed by the school to the
class members and whether that duty was breached. Those issues are amenable to
resolution in a class proceeding. While the issues of injury and causation
will have to be litigated in individual proceedings following resolution of the
common issue (assuming the common issue is decided in favour of the class, or
at least in favour of some segment of the class), the individual issues will be
a relatively minor aspect of this case. There is no dispute that abuse
occurred at the school. The essential question is whether the school should
have prevented the abuse or responded to it differently.
Cases Cited
Referred to: Hollick v. Toronto (City), [2001] 3 S.C.R. 158, 2001 SCC
68; Western Canadian Shopping Centres Inc. v. Dutton, [2001] 2 S.C.R.
534, 2001 SCC 46; Anderson v. Wilson (1999), 44 O.R. (3d) 673; Chace
v. Crane Canada Inc. (1996), 26 B.C.L.R. (3d) 339; Endean v. Canadian
Red Cross Society (1997), 148 D.L.R. (4th) 158.
Statutes and Regulations Cited
Class Proceedings Act, R.S.B.C. 1996, c. 50, ss. 4, 6(1), 7, 8(3), 10(1).
Class Proceedings Act, 1992, S.O. 1992, c. 6, s. 5.
School Act, R.S.B.C. 1996, c. 412.
APPEAL from a judgment of the British Columbia Court
of Appeal (1999), 72 B.C.L.R. (3d) 1 (sub nom. R. (L.) v. British Columbia),
180 D.L.R. (4th) 639, 48 C.C.L.T. (2d) 1, 38 C.P.C. (4th) 1, 131 B.C.A.C. 68,
214 W.A.C. 68, [1999] B.C.J. No. 2633 (QL), 1999 BCCA 689, reversing in
part a decision of Kirkpatrick J. (1998), 65 B.C.L.R. (3d) 382, 25 C.P.C. (4th)
186, [1998] B.C.J. No. 2588 (QL), refusing to certify certain proceedings
as a class action. Appeal dismissed.
James M. Sullivan, D.
Clifton Prowse and Suzanne M. Kennedy, for the appellant.
Patrick G. Guy and Anne
Sheane, for the respondents.
The judgment of the Court was delivered by
1
The Chief Justice – Like Hollick
v. Toronto (City), [2001] 3 S.C.R. 158, 2001 SCC 68, this case raises the
question of whether the plaintiffs below (respondents here) meet the
certification requirements set out in provincial class action legislation. In
this case the respondents seek to represent current and former students who
were abused at the Jericho Hill School, a residential school for the deaf and
blind operated by the province of British Columbia. At the end of the hearing,
the Court concluded that the respondents had satisfied the certification
requirements set out in s. 4 of the British Columbia Class Proceedings Act,
R.S.B.C. 1996, c. 50, and dismissed the appeal, reasons to follow. These are
those reasons.
I. Facts
2
From the early 1950s until 1992, Jericho Hill School (“JHS”) operated as
a residential school for deaf children. Until 1979, the school also enrolled
blind children. Whereas most schools in British Columbia are managed by
district school boards, JHS was a “provincial school” under British Columbia’s
governing legislation, currently the School Act, R.S.B.C. 1996, c. 412,
and was operated and maintained by British Columbia’s Ministry of Education.
It is now clear that sexual and physical abuse of children took place at the
school throughout its history. The first thorough investigation of abuse at
the school was conducted by the British Columbia Ombudsman in 1992. His
report, issued in 1993, concluded that sexual, physical and emotional abuse of
students by staff and peers occurred over a period of many years. In response
to the Ombudsman’s report and to lawsuits initiated against the province after
the report was issued, the Attorney General appointed Thomas Berger, Q.C., as
special counsel. Berger’s report was issued in March 1995. The Berger report
concluded that “sexual abuse was at times widespread at the residence at
Jericho Hill School, and . . . it went on over a period of many years” (p.
14).
3
The findings of the Berger report are disturbing, to say the least.
Berger interviewed 35 students who were at JHS in the 1950s, 1960s, 1970s, and
1980s. He found that “[m]any of these persons allege[d] that they were
sexually abused or witnessed sexual abuse by staff or other students” (p. 13).
Berger focussed principally on abuse that took place after 1980. According to
the Berger report, two male students complained separately about abuse at the
school in the early 1980s. The first complained that he had been sexually
abused by a female child care counsellor and that students at the school were
encouraged and even forced to have sex with one another; the second alleged
that two male child care counsellors had abused him. After the second
complaint, a social worker with the Ministry of Human Resources conducted
interviews with a number of boys resident at the school. Some of the boys
admitted having abused girls at the school, some as young as seven years old.
The boys also alleged that they had been abused by two male child care
counsellors.
4
According to the Berger report, there is compelling evidence that abuse
was rampant throughout the 1980s. Some of the abuse took place at the
residence associated with the school, but there were also indications of abuse
in a group home run by a psychologist hired by JHS in 1983. In 1984 one
student at the group home stabbed another to death. At the subsequent trial,
the judge expressed concern about the adequacy of supervision in the group
home, stating that the accused “was receiving what I can only characterize as
the most inappropriate form of care and guidance in that foster home”. In 1986
one of the male students at JHS who had resided in the group home committed
suicide after sexually abusing his niece at home.
5
The Berger report speaks separately about the period between 1987 and
1990. In January 1987 the student who had brought the first complaint in the
early 1980s attempted suicide after abusing his younger siblings. After his
suicide attempt, the student repeated his allegation of abuse at the hands of a
female counsellor. He also admitted that he and other boys had abused
elementary-age girls at the school. Around the same time, another male student
was arrested for molesting a young boy. He stated that he himself had been abused
by a child care worker at JHS and stated that he had engaged in sexual activity
with boys and girls at the residence. He listed ten female students whom he
had sexually abused and named three other boys who he said had abused female
students. After these new allegations, the Ministries of Education and Social
Services conducted an investigation, interviewing some 35 students beginning in
early 1987. The students interviewed provided names of other children who they
said had been forced to have sex or had forced others to have sex. One member
of the investigative team, in reviewing the findings, identified “a pervasive
culture at the residence that required students to submit to a sexual rite of
passage if they were to successfully cohabit with their peers”.
6
The Berger report did not go into detail about individual cases; its
principal goal was to determine the prevalence of abuse at the school, not to
determine whether any particular resident had been abused. The report stated
(at p. 14):
I make no findings here regarding individual cases. I am instead
confining myself to stating my finding, applying generally to the state of
affairs at Jericho Hill School, that from the 1950s, extending over about a
35-year period, there was sexual abuse by some child care staff, sexual abuse
by some older children against younger children, and that some of these younger
children (once they became senior students) sexually abused new entrants.
The case histories can be shocking. There is no need to go into them
in detail. But they do indicate that sexual abuse at the school may not
entirely have come to an end even in 1987. One former student states that she
was assaulted by a female child care worker from 1981 to 1990. Another former
student states she was sexually assaulted many times, from 1980 to 1991. It
remains to be seen whether these particular allegations will be made out, but
they do indicate that the possibility of incidents of sexual abuse even after
1987 cannot be dismissed.
In this report I do not go into detail about individual cases. . . . I
am not . . . engaged in determining the impact of abuse in any individual case,
but rather setting out the whole picture.
7
The Berger report found that JHS’s response to allegations of abuse was
often inadequate, noting, for example, that “[e]xcept in a few cases, Jericho
Hill School failed to report the disclosures to the parents of the boys or the
girls, failed to identify the student offenders and to remove them from the
school, and failed to ensure that the students who had been abused received
appropriate therapy” (p. 9). The report found that “[a]lthough it had
responsibility for the management of the school, the Ministry of Education had
no policies and procedures laid down for running a residence for deaf children”
(p. 15). It also noted that in 1978, all students – boys and girls of all ages
– were placed together in a single dormitory and observed that “[i]t is
certainly arguable that these arrangements were not in keeping with reasonable
standards of care at the time” (p. 16).
8
The Berger report also emphasized the exceptional vulnerability of the
children at the school. The report stated (at p. 7):
[T]he vulnerability of the children at Jericho Hill School was the
product of their failure to acquire language early; this meant that they did
not have values instilled in them in the same way as hearing children do; it
often meant increased vulnerability to any staff at the school who may have
been disposed to abuse the children; it meant that the institution was more
susceptible to the development of a culture of abuse; and it meant that the
children usually did not have the ability or the means to communicate with or
complain effectively to parents, teachers, physicians, police or social workers
about sexual abuse.
9
The recommendations of the Berger report were that the province accept
responsibility for the abuse that occurred at JHS; that the province establish
a scheme to compensate those who had suffered abuse at the school; and that the
compensation scheme should award compensation, for those claims accepted, in
three tiers, with a minimum of $3,000 and a maximum of $60,000.
10
The government responded to the Berger report by acknowledging
responsibility for abuse that occurred at JHS. In a ministerial statement made
in June 1995, the Attorney General acknowledged the allegations of sexual abuse
at the school, acknowledged that “[t]he province was responsible for the care
and well-being of these people when they were children”, and stated that “[t]o
the extent that the province failed them, [it] must see that they are now
compensated”. The province also established the Jericho Individual
Compensation Program (JICP), which is structured according to the
recommendations of the Berger report. The program is open to students and
former students who allege abuse as a result of attending or having attended
the school, and provides for awards according to the three-tier system. As of
March 31, 1998, the JICP had heard 49 claims.
11
The respondents commenced this action in January 1998. The suit seeks
compensatory and punitive damages on behalf of a class consisting of:
– all current and former JHS students who have suffered abuse or who
failed to receive a proper education while students of the school;
– all family members of current or former JHS students who suffered
damage as a result of the abuse of a JHS student;
– all family members or others who were themselves abused by current or
former JHS students as a result of the prior abuse of the JHS student.
The
respondents asserted that the following issues are common to the class:
– whether the defendant breached the standard of care it owed to the
plaintiffs between 1950 and 1992;
– whether the defendant made negligent, reckless and/or fraudulent
misrepresentations regarding the school;
– whether the defendant’s conduct justified an award of punitive
damages and, if so, what amount of punitive damages is appropriate.
(Initially the
respondents also asserted that vicarious liability constituted a common issue,
but the respondents abandoned their vicarious liability argument early in the
proceedings.)
12
The only issue on this appeal is whether the respondents have satisfied
the class certification requirements set out in s. 4 of British Columbia’s Class
Proceedings Act.
II. Judgments
13
In the Supreme Court of British Columbia, Kirkpatrick J. denied
certification: (1998), 65 B.C.L.R. (3d) 382. First addressing s. 4(1)(a),
Kirkpatrick J. found that the statement of claim did not disclose a cause of
action based on misrepresentation, emotional harm and mental suffering, breach
of fiduciary duty owed to parents or other third parties, or educational
malpractice. She found, however, that the statement of claim did disclose
causes of action based on the claims of abuse of students, the claims of
“secondary” abuse committed by students against other students or third
parties, and breach of fiduciary duty owed to the students. Kirkpatrick J.
also found that respondents had stated an identifiable class, as required by s.
4(1)(b).
14
Kirkpatrick J. rejected the contention, however, that there were issues
common to the class as required by s. 4(1)(c). She addressed each of the
asserted common issues in turn. As to the negligence issues, she reasoned that
the standard of care owed by the defendant would not have been constant over
the 42-year period identified in the statement of claim and, while this problem
could be partially addressed by subdividing the 42-year period and determining
the standard of care for each subdivision, “[s]uch an approach would not
resolve the anticipated problems of individuals who spanned one or more
periods, or whose own individual circumstances changed along with the standard
of care during the times in question” (p. 402). Further, variations in the
standard of care would “not necessarily relate only to when the claim is
alleged to have arisen, but will likely depend also on who advances the claim,
who is alleged to have perpetrated the wrong, and, perhaps, the nature of the
abuse alleged” (p. 403).
15
Kirkpatrick J. rejected the misrepresentation issues as common to the
class for similar reasons, writing that these issues were “individualistic in
the sense that each plaintiff must demonstrate that [he or she] relied upon the
defendant’s alleged misrepresentation such that the representation had a real
and substantial effect on the individual plaintiff’s decision to enrol and
continue to enrol the student at the school” (p. 404).
16
Finally, Kirkpatrick J. rejected the punitive damages issue as common to
the class, reasoning that assessing punitive damages would require an
individualized showing on the part of each plaintiff and noting that “the
conduct of the defendant in relation to individual plaintiffs may aggravate or
mitigate the assessment of punitive damages, which would fail to be considered
in the determination of entitlement to punitive damages as a common issue” (p.
406). Kirkpatrick J. noted that even if punitive damages were certified as a
common issue, the amount of punitive damages could not be a common issue
because traditionally “[p]unitive damages are . . . only awarded if
compensatory damages are insufficient to deter or punish the defendant” (p.
406). The amount of punitive damages, therefore, could not be assessed until
individual proceedings were completed.
17
Kirkpatrick J. determined that there were no common issues as required
by s. 4(1)(c) and, as there were no common issues, a class action could not be
“the preferable procedure for the fair and efficient resolution of the common
issues”, as required by s. 4(1)(d). She conceded, however, that the JICP is
not an adequate alternative to judicial resolution of the dispute. She noted
that the JICP limits awards to $60,000, does not compensate family members, and
does not provide compensation for loss of income, opportunity, or future care.
Further, the JICP prohibits applicants from being represented by counsel before
the compensation panel. In Kirkpatrick J.’s view, however, the absence of
common issues meant that individual litigation was nonetheless preferable to a
class proceeding.
18
The Court of Appeal for British Columbia, per Mackenzie J.A.,
allowed the appeal, disagreeing with the chambers judge with respect to
commonality and preferability: (1999), 72 B.C.L.R. (3d) 1. In Mackenzie J.A.’s
view, the chambers judge had erred in failing to recognize the “limited
grounds” on which the respondents sought certification. While he conceded that
there were relevant differences amongst the class members, Mackenzie J.A.
reasoned that the “duty of the school to reasonably protect its students from
sexual abuse is clear and immutable throughout the period that the school was
in operation” (p. 8). He wrote (at pp. 8-9):
It is true that the claims of class members may span a period of 42
years and that standards of operation and management of the school may have
changed several times over that lengthy period. Nevertheless, . . . the duty
of the school to reasonably protect its students from sexual abuse is clear and
immutable throughout the period that the school was in
operation. . . .
Claimants will not have to prove that the abuse was
caused by a particular staff member or other student in the absence of a claim
for vicarious liability. In essence the claims will be based on systemic
negligence, the failure to have in place management and operations procedures
that would reasonably have prevented the abuse.
Mackenzie J.A.
concluded that the standard-of-care issue – an aspect of both the negligence
claim and the fiduciary duty claim – was common to all those who alleged that
they had been sexually abused at JHS. He also found that the preferability
requirement had been satisfied, holding that the JICP was an inadequate
alternative.
19
The issue of punitive damages was also common to all those who alleged
that they had themselves been abused at JHS, Mackenzie J.A. concluded. “Any
award for punitive damages,” he wrote, “should reflect the overall culpability
of the defendant. It does not have to be linked to the harm caused to any
particular claimant and does not require individualized assessment.” He
continued: “[a] global award can be assessed for the successful class members
as a group, and allocated among them as the trial judge considers appropriate”
(p. 17).
20
Mackenzie J.A. rejected, however, the other common issues asserted by
the respondents. He rejected abuse claims of a non-sexual nature, finding that
non-sexual abuse was not a central concern of the pleadings and that there was
some uncertainty as to whether non-sexual abuse falls within the definition of
assault. He also rejected “secondary” abuse claims – that is, abuse by a JHS
student who had himself or herself been abused at the school. On this issue he
agreed with the chambers judge that questions of duty, foreseeability, and
proximity rendered secondary-abuse claims prohibitively complicated and
individualized. Mackenzie J.A. also rejected the educational malpractice claims,
finding no precedent suggesting that such claims could be prosecuted
successfully and stating that “any attempt to litigate these issues in the same
class proceedings as the sexual abuse claims would complicate the proceedings
immensely” (p. 15). Finally he rejected claims for family members’ emotional
harm and suffering – claims that relied in part on an allegation of negligent
misrepresentation, reasoning that the claims were “amorphous” and in any event
“[i]ssues of reliance and causation linking representations to the harm alleged
will undoubtedly vary from claimant to claimant” (p. 16).
21
Ultimately Mackenzie J.A. defined the class as follows (at p. 18):
Students at the Jericho Hill School between 1950 and 1992 who reside in
British Columbia and claim to have suffered injury, loss or damage as a result
of misconduct of a sexual nature occurring at the school.
He certified
the following questions as common issues (at p. 18):
1. Was the defendant negligent or in breach of
fiduciary duty in failing to take reasonable measures in the operation or
management of the school to protect students from misconduct of a sexual nature
by employees, agents or other students at the school?
2. If the answer to common issue no. 1 is
“yes”, was the defendant guilty of conduct that justifies an award of punitive
damages?
3. If the answer to common issue no. 2 is
“yes”, what amount of punitive damages is awarded?
22
The appellant now challenges Mackenzie J.A.’s decision, contending that
he erred in certifying even the narrower class.
III. Legislation
23
Class Proceedings Act, R.S.B.C. 1996, c. 50
4 (1) The court must certify a proceeding
as a class proceeding on an application under section 2 or 3 if all of the
following requirements are met:
(a) the pleadings disclose a cause of action;
(b) there is an identifiable class of 2 or more
persons;
(c) the claims of the class members raise common
issues, whether or not those common issues predominate over issues affecting
only individual members;
(d) a class proceeding would be the preferable
procedure for the fair and efficient resolution of the common issues;
.
. .
(2) In determining whether a class
proceeding would be the preferable procedure for the fair and efficient
resolution of the common issues, the court must consider all relevant matters
including the following:
(a) whether questions of fact or law common to
the members of the class predominate over any questions affecting only
individual members;
(b) whether a significant number of the members
of the class have a valid interest in individually controlling the prosecution
of separate actions;
(c) whether the class proceeding would involve
claims that are or have been the subject of any other proceedings;
(d) whether other means of resolving the claims
are less practical or less efficient;
(e) whether the administration of the class
proceeding would create greater difficulties than those likely to be
experienced if relief were sought by other means.
7 The court must not refuse to
certify a proceeding as a class proceeding merely because of one or more of the
following:
(a) the relief claimed includes a claim for
damages that would require individual assessment after determination of the
common issues;
(b) the relief claimed relates to separate
contracts involving different class members;
(c) different remedies are sought for different
class members;
(d) the number of class members or the identity
of each class member is not known;
(e) the class includes a subclass whose members
have claims that raise common issues not shared by all class members.
IV. Issues
24
Have the respondents satisfied the certification requirements set out in
British Columbia’s Class Proceedings Act?
V.
Analysis
25
The only issue in this case is whether the Court of Appeal erred in
granting certification. As the respondents do not cross-appeal from the
decision of Mackenzie J.A., we need not consider whether certification could
have been granted on a broader basis than was recognized by the Court of
Appeal. The only question is whether, given the Court of Appeal’s redefinition
of the class and common issues, the certification requirements were met. Those
requirements are set out in s. 4 of the British Columbia Class Proceedings
Act and are similar to the certification requirements set out in Ontario’s
class action legislation, which I discuss at some length in Hollick.
These reasons discuss the specifics of the British Columbia certification
requirements only insofar as they differ materially from those set out in s. 5
of the Ontario Class Proceedings Act, 1992, S.O. 1992, c. 6, and only to
the extent that those differences bear directly on my analysis in this case.
26
Not all of the certification requirements are at issue on this appeal.
The appellant does not dispute that the respondents have met the requirements
of s. 4(1)(a), (b), and (e) – that is, the appellant does not dispute that the
pleadings disclose a cause of action, that the respondents have stated an
identifiable class, and that the respondents would serve as satisfactory
representatives of the class. The issues in dispute are whether there are
questions common to the class, as required by s. 4(1)(c), and whether a class
proceeding would be the preferable procedure for the fair and efficient
resolution of the common issues, as required by s. 4(1)(d).
27
In my view, both the commonality and preferability requirements are
satisfied in this case. With regard to commonality, I agree with Mackenzie
J.A. that all class members share an interest in the question of whether the
appellant breached a duty of care. On claims of negligence and breach of
fiduciary duty, no class member can prevail without showing duty and breach.
Resolving those issues, therefore, is “necessary to the resolution of each
class member’s claim”: Western Canadian Shopping Centres Inc. v. Dutton,
[2001] 2 S.C.R. 534, 2001 SCC 46, at para. 39. Accordingly I would conclude
that Mackenzie J.A. was correct to find that the issues of duty and breach are
common to the class.
28
The appellant concedes that none of the class members can prevail
without showing that the appellant’s conduct fell below an acceptable standard,
but contends that the nature of the required showing is inescapably
individualistic and not amenable to resolution in general terms applicable to
all class members. The appellant does not dispute Mackenzie J.A.’s statement
that the “duty of the school to reasonably protect its students from sexual
abuse is clear and immutable throughout the period that the school was in
operation” (p. 8). However in the appellant’s view, “[t]he result of this
litigation depends not on the definition of the standard of care, but rather
the application of that standard to the facts found in respect of the
circumstances of each claimant” (appellant’s factum, at para. 64 (emphasis in
original)). The appellant argues that in this case “[l]iability turns not on
the breach of a standard of care in the abstract, but on whether the standard
of care was breached with respect to the school’s supervision of the particular
class member in a way that contributed materially to his/her abuse”
(appellant’s factum, at para. 64). The theory of the appellant is essentially
that the Court of Appeal was able to find a common issue within the meaning of
s. 4(1)(c) only by framing the commonality between the class members in overly
general terms.
29
There is clearly something to the appellant’s argument that a court
should avoid framing commonality between class members in overly broad terms.
As I discussed in Western Canadian Shopping Centres, supra, at
para. 39, the guiding question should be the practical one of “whether allowing
the suit to proceed as a representative one will avoid duplication of
fact-finding or legal analysis”. It would not serve the ends of either
fairness or efficiency to certify an action on the basis of issues that are
common only when stated in the most general terms. Inevitably such an action
would ultimately break down into individual proceedings. That the suit had
initially been certified as a class action could only make the proceeding less
fair and less efficient.
30
I cannot agree, however, that such are the circumstances here. As
Mackenzie J.A. noted, the respondents’ argument is based on an allegation of
“systemic” negligence – “the failure to have in place management and operations
procedures that would reasonably have prevented the abuse” (pp. 8-9). The
respondents assert, for example, that JHS did not have policies in place to
deal with abuse, and that JHS acted negligently by placing all residential
students in one dormitory in 1978. These are actions (or omissions) whose
reasonability can be determined without reference to the circumstances of any
individual class member. It is true that the respondents’ election to limit
their allegations to systemic negligence may make the individual component of
the proceedings more difficult; clearly it would be easier for any given
complainant to show causation if the established breach were that JHS had
failed to address her own complaint of abuse (an individualized breach)
than it would be if, for example, the established breach were that JHS had as
a general matter failed to respond adequately to some complaints (a
“systemic” breach). As Mackenzie J.A. wrote, however, the respondents “are
entitled to restrict the grounds of negligence they wish to advance to make the
case more amenable to class proceedings if they choose to do so” (p. 9).
31
In arguing that the necessary inquiry is inescapably individualistic,
the appellant’s principal contention is that the relevant standard of care, if
framed at the appropriate level of specificity, would have varied over time. I
am not persuaded that this should be an obstacle to the suit’s proceeding as a
class action. It is true that there has been a “dramatic . . . evolution” in
law relating to sexual abuse between 1950 and 1992 and it is quite possible
that the nature of a school’s obligations to its students has changed over
time. However, courts have often allowed class actions to proceed in similar
circumstances: see, e.g., Anderson v. Wilson (1999), 44 O.R. (3d) 673
(C.A.) (certifying class action for medical malpractice even though the action
“concern[ed] allegations of a general practice over a number of years falling
below acceptable standards” (p. 683)); Chace v. Crane Canada Inc.
(1996), 26 B.C.L.R. (3d) 339 (S.C.) (certifying class action for negligent
manufacture and sale over 11-year period on grounds that, if the defendant were
“partially successful in its defence and ultimately found to have been
negligent over part of the period only, that result c[ould] be accommodated in
the answer to the general question” (p. 347)); Endean v. Canadian Red Cross
Society (1997), 148 D.L.R. (4th) 158 (B.C.S.C.) (certifying class action
for negligence and spoliation over four-year period notwithstanding defendant’s
argument that “the standard of care would have been in flux throughout the
material time” (p. 168)).
32
That the standard of care may have varied over the relevant time period
simply means that the court may find it necessary to provide a nuanced answer
to the common question. The structure of the Berger report, which explicitly
divides the years between 1982 and 1991 into three discrete subperiods,
suggests that such an approach would not be infeasible. I further note that
the Class Proceedings Act contemplates the possibility of subclasses and
that the court may amend the certification order at any time: see s. 6(1)
(permitting court to recognize subclasses under certain conditions); s. 7(e)
(stating that the court “must not refuse to certify a proceeding as a class
proceeding merely because . . . the class includes a subclass whose members
have claims that raise common issues not shared by all class members”); s. 8(3)
(stating that “[t]he court, on the application of a party or class member, may
at any time amend a certification order”); s. 10(1) (stating that “[w]ithout
limiting section 8(3), at any time after a certification order is made . . .
the court may amend the certification order”). In my view the Class
Proceedings Act provides the court with ample flexibility to deal with limited
differentiation amongst the class members as and if such differentiation
becomes evident.
33
As the Court of Appeal noted (at p. 9), it is in fact quite likely that
there will be relevant differences between the class members:
Limiting the ground of liability to systemic
negligence does not eliminate all differences among class members. As the
Berger report noted, the duty owed may vary over time depending upon the state
of knowledge of those in charge of the school, the reasonably informed
educational standards and policies of the day, the measures implemented to
prevent abuse and other factors. At the end of the case, liability could be
imposed for abuse during certain periods of the school’s operation and not in
others. It is conceivable that liability might be differentiated in other
ways, for example abuse inflicted by staff but not by other students.
For the
reasons stated above, however, I agree with Mackenzie J.A. that these
differences are not insurmountable. In any event I question the extent to
which differences between the class members should be taken into account at
this stage. The British Columbia Class Proceedings Act explicitly
states that the commonality requirement may be satisfied “whether or not [the]
common issues predominate over issues affecting only individual members”: s.
4(1)(c). (This distinguishes the British Columbia legislation from the
corresponding Ontario legislation, which is silent as to whether predominance
should be a factor in the commonality inquiry.) While the British Columbia Class
Proceedings Act clearly contemplates that predominance will be a factor in
the preferability inquiry (a point to which I will return below), it makes
equally clear that predominance should not be a factor at the commonality
stage. In my view the question at the commonality stage is, at least under the
British Columbia Class Proceedings Act, quite narrow.
34
As noted above, Mackenzie J.A. certified as common not only the standard-of-care
issue but also the punitive damages issues. Here, too, I agree with his
reasoning. In this case resolving the primary common issue – whether JHS
breached a duty of care or fiduciary duty to the complainants – will require
the court to assess the knowledge and conduct of those in charge of JHS over a
long period of time. This is exactly the kind of fact-finding that will be
necessary to determine whether punitive damages are justified: see, e.g., Endean,
supra, at para. 48 (“An award of punitive damages is founded on the conduct
of the defendant, unrelated to its effect on the plaintiff.”). Clearly, the
appropriateness and amount of punitive damages will not always be amenable to
determination as a common issue. Here, however, the respondents have limited
the possible grounds of liability to systemic negligence – that is, negligence
not specific to any one victim but rather to the class of victims as a group.
In my view the appropriateness and amount of punitive damages is, in this case,
a question amenable to resolution as a common issue: see Chace, supra,
at para. 30 (certifying punitive damages as a common issue on the grounds that
the plaintiffs’ negligence claim was “advance[d] . . . as a general
proposition” rather than by reference to conduct specific to any one
plaintiff).
35
The question remains whether a class action would be the preferable
procedure. Here I would begin by incorporating my discussion in Hollick
as to the meaning of preferability: see Hollick, supra, at paras.
28-31. While the legislative history of the British Columbia Class
Proceedings Act is of course different from that of the corresponding
Ontario legislation, in my view the preferability inquiry is, at least in
general terms, the same under each statute. The inquiry is directed at two
questions: first, “whether or not the class proceeding [would be] a fair,
efficient and manageable method of advancing the claim”, and second, whether
the class proceedings would be preferable “in the sense of preferable to other
procedures” (Hollick, at para. 28). I would note one difference,
however, between the British Columbia Class Proceedings Act and the
corresponding Ontario legislation. Like the British Columbia legislation, the
Ontario legislation requires that a class action be “the preferable procedure”
for the resolution of the common issues: see Ontario Class Proceedings Act,
1992, s. 5(1)(d); British Columbia Class Proceedings Act, s.
4(1)(d). Unlike the Ontario legislation, however, the British Columbia
legislation provides express guidance as to how a court should approach the
preferability question, listing five factors that the court must consider: see
s. 4(2). I turn, now, to these factors.
36
The first factor is “whether questions of fact or law common to the
members of the class predominate over any questions affecting only individual
members”: s. 4(2)(a). As I noted above, it seems likely that there will be
relevant differences between class members here. It should be remembered,
however, that as the respondents have limited their claims to claims of
“systemic” negligence, the central issues in this suit will be the nature of
the duty owed by JHS to the class members and whether that duty was breached.
Those issues are amenable to resolution in a class proceeding. While the
issues of injury and causation will have to be litigated in individual
proceedings following resolution of the common issue (assuming the common issue
is decided in favour of the class, or at least in favour of some segment of the
class), in my view the individual issues will be a relatively minor aspect of
this case. There is no dispute that abuse occurred at the school. The
essential question is whether the school should have prevented the abuse or
responded to it differently. I would conclude that the common issues
predominate over those affecting only individual class members.
37
The second factor is “whether a significant number of the members of the
class have a valid interest in individually controlling the prosecution of separate
actions”, and the third is “whether the class proceeding would involve claims
that are or have been the subject of any other proceedings”: s. 4(2)(b), (c).
On these factors I would note again that no class member will be able to
prevail without making an individual showing of injury and causation. Thus it
cannot be said that allowing this suit to proceed as a class action will force
complainants into a passive role. Each class member will retain control over
his or her individual action, and his or her ultimate recovery will be
determined by the outcome of the individual proceedings on injury and causation
(assuming, again, that the common issue is resolved in favour of the class).
Further there is little evidence here to suggest that any significant number of
class members would prefer to proceed individually.
38
I turn next to the fourth factor, which asks “whether other means of
resolving the claims are less practical or less efficient”: s. 4(2)(d). On
this point I would agree with the Court of Appeal that individual actions would
be less practical and less efficient than would be a class proceeding. As
Mackenzie J.A. noted (at pp. 9-10), “[i]ssues related to policy and
administration of the school, qualification and training of staff, dormitory
conditions and so on are likely to have common elements”. Further, “[t]he
overall history and evolution of the school is likely to be important
background for the claims generally and it would be needlessly expensive to
require proof in separate individual cases” (p. 10). I would also agree with
Mackenzie J.A. (and indeed with Kirkpatrick J.) that the JICP does not provide
an adequate alternative to a class action. Amongst other limitations, the JICP
program limits the recovery of any one complainant to $60,000, and it does not
permit complainants to be represented by counsel before the panel. The JICP
simply cannot be said to be an adequate alternative to a class proceeding.
39
The final factor is “whether the administration of the class proceeding
would create greater difficulties than those likely to be experienced if relief
were sought by other means”: s. 4(2)(e). On this point it is necessary to
emphasize the particular vulnerability of the plaintiffs in this case. The
individual class members are deaf or blind or both. Litigation is always a
difficult process but I am convinced that it will be extraordinarily so for the
class members here. Allowing the suit to proceed as a class action may go
some way toward mitigating the difficulties that will be faced by the class
members. I am in full agreement, therefore, with Mackenzie J.A.’s conclusion
that “[t]he communications barriers faced by the students both at the time of
the assaults alleged and currently in the litigation process favour a common
process to explain the significance of those barriers and to elicit relevant
evidence.” As he wrote, “[a] group action should assist in marshalling the
expertise required to assist individual students in communicating their
testimony effectively” (p. 9).
40
I conclude that the respondents have satisfied the certification
requirements set out in s. 4 of the British Columbia Class Proceedings Act.
41
The appeal is dismissed. The respondents shall have costs throughout.
Appeal dismissed with costs.
Solicitor for the appellant: The Ministry of the Attorney
General, Vancouver.
Solicitors for the respondents: Acheson & Company,
Victoria; McDonagh Sheane, Victoria.