SUPREME
COURT OF CANADA
Citation: Ontario (Community Safety and Correctional Services) v.
Ontario (Information and Privacy Commissioner), 2014 SCC 31, [2014] 1 S.C.R.
674
|
Date: 20140424
Docket: 34949
|
Between:
Ministry
of Community Safety and Correctional Services
Appellant
and
Information
and Privacy Commissioner
Respondent
- and -
Attorney General of Canada and
Information Commissioner of Canada
Interveners
Coram: LeBel, Abella, Rothstein, Cromwell, Moldaver, Karakatsanis and
Wagner JJ.
Reasons
for Judgment:
(paras. 1 to 68)
|
Cromwell and
Wagner JJ. (LeBel, Abella, Rothstein, Moldaver and Karakatsanis JJ.
concurring)
|
Ontario (Community Safety and Correctional Services)
v. Ontario (Information and Privacy Commissioner), 2014 SCC 31,
[2014] 1 S.C.R. 674
Ministry of Community Safety
and Correctional Services Appellant
v.
Information and Privacy
Commissioner Respondent
and
Attorney General of Canada and
Information Commissioner of
Canada Interveners
Indexed as: Ontario (Community
Safety and Correctional Services) v. Ontario (Information and Privacy Commissioner)
2014 SCC 31
File No.: 34949.
2013: December 5; 2014: April 24.
Present: LeBel, Abella, Rothstein, Cromwell, Moldaver, Karakatsanis
and Wagner JJ.
on appeal from the court of appeal for ontario
Access to information — Exemptions — Confidentiality
provisions — Requester seeking disclosure of
number of offenders registered under sex offender registry residing in areas
designated by first three digits of Ontario’s postal codes — Government institution denying request on grounds of exemptions
contained in Freedom of Information and
Protection of Privacy Act — Information and Privacy Commission ordering disclosure — Standard of review of Commission’s decision — Whether Commission made reviewable error in interpreting applicable
legislation — Whether Commission applied
appropriate evidentiary standard with regards to harms-based exemptions —
Freedom of Information and Protection of Privacy Act,
R.S.O. 1990, c. F.31, ss. 14, 67 — Christopher’s
Law (Sex Offender Registry), 2000, S.O. 2000, c. 1, ss. 10, 13.
A
requester sought disclosure from the Ministry of Community Safety and
Correctional Services of the number of offenders registered under its sex
offender registry residing within the areas designated by the first three
digits of Ontario’s postal codes. The registry is established and maintained
under Christopher’s Law (Sex Offender Registry), 2000 (“Christopher’s
Law”). The information contained in the Registry is kept confidential by
the Ministry and police. The Ministry refused to disclose, citing law
enforcement and personal privacy exemptions in the Freedom of Information
and Protection of Privacy Act. The Information and Privacy Commissioner (“Commissioner”)
held that the exemptions do not apply and ordered disclosure. The Commissioner’s
decision was upheld on judicial review and on appeal.
Held: The appeal should be dismissed.
The
Commissioner made no reviewable error in ordering disclosure. The applicable standard of review is reasonableness. The Commissioner was required to
interpret Christopher’s Law for the narrow purpose of determining
whether it contained a confidentiality provision that prevails over the Freedom
of Information and Protection of Privacy Act. This task was intimately
connected to her core functions. The Commissioner reasonably concluded that
the Ministry did not provide sufficient evidence that disclosure could lead to
the identification of offenders or of the risks of the harms that the
exemptions seek to prevent.
The
Commissioner did not grant a right of access that is inconsistent
with either Act. Section 67(2) of the Freedom of Information and Protection of
Privacy Act does not specifically provide that a confidentiality provision
in Christopher’s Law prevails and, although s. 10 of Christopher’s
Law is a confidentiality provision, neither it nor any other part of
Christopher’s Law prevails over the Freedom of Information and
Protection of Privacy Act. Explicit references to Freedom of
Information and Protection of Privacy Act in Christopher’s Law
indicate that the Legislature considered the manner in which both statutes
operate together. Had the Legislature intended the confidentiality provision
in Christopher’s Law to prevail, it would have included specific
language to that effect. Neither s. 13 of Christopher’s Law nor Christopher’s
Law working together with the Police Services Act ousts the
application of the Freedom of Information and Protection of Privacy Act.
The Commissioner did not take too narrow a view of the law enforcement
exemptions under ss. 14(1)(e) and 14(1)(l) of the Freedom of Information and
Protection of Privacy Act. Based on the evidence and arguments before her,
she properly focused on the reasonableness of any expectation that the
requested disclosure would lead to the identification of sex offenders or their
home addresses. Because the law enforcement exemptions do not apply, the
discretion not to disclose a record under s. 14 of the Freedom of
Information and Protection of Privacy Act does not apply.
The
Commissioner made no reviewable error with respect to the standard of proof
applicable to the law enforcement exemptions. There is no difference in
substance between a “reasonable expectation of probable
harm” and a “reasonable basis for believing” that harm will occur. The
“reasonable expectation of probable harm” formulation simply captures the need
to demonstrate that disclosure will result in a risk of harm that is well
beyond the merely possible or speculative, but also that it need not be proved
on the balance of probabilities that disclosure will in fact result in such
harm. The “reasonable expectation of probable harm” formulation should be used
wherever the phrase “could reasonably be expected to” is used. The
Commissioner reasonably concluded that the Ministry did not prove that the
Record could be used to identify sex offenders or that it will ignite among sex
offenders a subjective fear of being identified that will lead to lower
compliance rates with Christopher’s Law.
Cases Cited
Applied:
Merck Frosst Canada Ltd. v. Canada (Health), 2012 SCC 3, [2012] 1
S.C.R. 23; referred to: Order PO-2312, 2004 CanLII 56430; Ontario
(Public Safety and Security) v. Criminal Lawyers’ Association, 2010 SCC 23,
[2010] 1 S.C.R. 815; Ontario (Information and Privacy Commissioner, Inquiry
Officer) v. Ontario (Minister of Labour, Office of the Worker Advisor)
(1999), 46 O.R. (3d) 395; Ontario (Minister of Transportation) v. Cropley
(2005), 202 O.A.C. 379; Ontario (Minister of Finance) v. Ontario
(Information and Privacy Commissioner), 2012 ONCA 125, 109 O.R. (3d) 757; Ontario
(Minister of Health and Long-Term Care) v. Ontario (Assistant Information and
Privacy Commissioner) (2004), 73 O.R. (3d) 321; Ontario (Attorney
General) v. Pascoe (2002), 166 O.A.C. 88; Dunsmuir v. New Brunswick,
2008 SCC 9, [2008] 1 S.C.R. 190; Smith v. Alliance Pipeline Ltd., 2011
SCC 7, [2011] 1 S.C.R. 160; Order PO-2518, 2006 CanLII 50861; Order PO-3157,
2013 CanLII 28809; Chesal v. Nova Scotia (Attorney General), 2003 NSCA
124, 219 N.S.R. (2d) 139; F.H. v. McDougall, 2008 SCC 53, [2008] 3
S.C.R. 41; Canada (Information Commissioner) v. Canada (Commissioner of the
Royal Canadian Mounted Police), 2003 SCC 8, [2003] 1 S.C.R. 66.
Statutes and Regulations Cited
Access to Information Act, R.S.C. 1985,
c. A-1, s. 20(1) (c).
Canadian Charter of Rights and Freedoms,
s. 1 .
Christopher’s Law (Sex Offender Registry), 2000, S.O. 2000, c. 1, preamble, ss. 2, 3, 10, 11(1), (2), 13.
Freedom of Information and Protection of Privacy Act, R.S.O. 1990, c. F.31, ss. 2(1) “personal information”, Part II, 10,
12 to 22, Part III, 39(2), 42(1)(e), 67.
Members’ Integrity Act, 1994, S.O. 1994,
c. 38, s. 29(2).
Mining Act, R.S.O. 1990, c. M.14, s. 145(11).
O. Reg. 69/01, s. 2(1).
O. Reg. 265/98, s. 2.
Ontario Disability Support Program Act, 1997, S.O. 1997, c. 25, Sch. B, s. 56(9).
Ontario Works Act, 1997, S.O. 1997, c. 25,
Sch. A, s. 75(9).
Police Services Act, R.S.O. 1990, c. P.15,
s. 41(1.1), (1.2).
Authors Cited
Benedet, Janine. “A Victim-Centred Evaluation of the Federal Sex Offender
Registry” (2012), 37 Queen’s L.J. 437.
APPEAL
from a judgment of the Ontario Court of Appeal (Laskin, Sharpe and Epstein
JJ.A.), 2012 ONCA 393, 292 O.A.C. 335, [2012] O.J. No. 2575 (QL), 2012
CarswellOnt 7088, affirming a decision of Aston, Low and Hourigan JJ., 2011
ONSC 3525, 282 O.A.C. 199, [2011] O.J. No. 2805 (QL), 2011 CarswellOnt 5227,
affirming Order PO-2811, 2009 CanLII 43354. Appeal dismissed.
Sara Blake, Christopher Thompson and Nadia Laeeque, for
the appellant.
William S.
Challis and David
Goodis, for the respondent.
Christine Mohr, for the intervener the Attorney
General of Canada.
Richard G.
Dearden, Diane Therrien and Michael De Santis, for the intervener the Information Commissioner of Canada.
The
judgment of the Court was delivered by
Cromwell and Wagner JJ.
—
I.
Overview
[1]
The main question before the Court concerns the
interaction between Ontario’s access to information legislation and its
confidential Sex Offender Registry (“Registry”). A requester under Ontario’s Freedom
of Information and Protection of Privacy Act, R.S.O. 1990, c. F.31 (“FIPPA”),
sought disclosure from the Ministry of Community Safety and Correctional
Services (“Ministry”) of the number of offenders registered under its Registry
residing within the areas designated by the first three digits of Ontario
postal codes (the so-called Forward Sortation Areas or FSAs). The information
in the Registry, which is established and maintained under Christopher’s Law
(Sex Offender Registry), 2000, S.O. 2000, c. 1 (“Christopher’s Law”),
is confidential but is available for law enforcement purposes only to the
Ministry and to police. In this respect, the Ontario Registry is different
from those of some others jurisdictions which are public and this difference
reflects a clear policy choice. The basis of that choice is the belief that
keeping the information confidential for law enforcement purposes will
encourage the offenders to comply with registration and reporting requirements
and will help prevent vigilantism.
[2]
The Ministry refused to disclose the requested
information (“Record”), citing law enforcement and personal privacy exemptions,
but that decision was overruled by the Information and Privacy Commissioner
(“Commissioner”) who ordered disclosure. The Commissioner concluded that the
Registry was subject to FIPPA and that none of the exemptions claimed by
the Ministry applied. The information sought was not exempted personal
information because it was not reasonable to expect that an individual might be
identified if the information were disclosed. The harm-based law enforcement
exemptions relied on by the Ministry did not apply because the evidence did not
establish a reasonable expectation of harm or a reasonable basis for believing
that any danger would result from disclosure. The Commissioner’s decision was
upheld on judicial review by the Ontario Divisional Court and on appeal to the
Ontario Court of Appeal.
[3]
In this Court, the Ministry maintains that the
Commissioner interpreted and applied FIPPA in a way that is inconsistent
with Christopher’s Law and imposed too onerous a standard of proof in
relation to the exemptions from disclosure. A subsidiary issue concerns the
standard of judicial review that applies to the Commissioner’s decision.
[4]
We are of the view that the Commissioner made no
reviewable error in ordering disclosure. She carefully considered how Christopher’s
Law and FIPPA interrelate. She reasonably concluded that disclosure
could not lead to the identification of offenders or of their home addresses
and that the Ministry did not provide sufficient evidence of the risk of the
harms which the relied-on exemptions seek to prevent. We would dismiss the
appeal but, as requested by the Commissioner, without costs.
II. Facts and Judicial History
A.
Legislative Framework: Christopher’s Law and
FIPPA
(1)
Christopher’s Law
[5]
In 2001, Christopher’s Law came into
force in Ontario and was the first sex offender registry law in Canada. Its
adoption was prompted by a jury recommendation from the 1993 coroner’s inquest
into the abduction, sexual assault and murder by a convicted sex offender of an
11-year-old boy named Christopher Stephenson. Its purpose, both preventive and
responsive in nature, is to create a regulatory registry scheme which aims to
protect the community, reduce recidivism, increase public safety and provide
the police with an important investigative tool: Christopher’s Law’s
preamble; J. Benedet, “A Victim-Centred Evaluation of the Federal Sex Offender
Registry” (2012), 37 Queen’s L.J. 437.
[6]
Under s. 2 of Christopher’s Law, the
Ministry must establish and maintain the Registry containing the names, dates
of birth and addresses of sex offenders, as well as the sex offences for which
they are serving or have served a sentence, or of which they have been
convicted or found not criminally responsible on account of mental disorder.
Additional contents of the Registry are prescribed by regulation (O. Reg.
69/01, s. 2(1)) and include photographs and physical descriptions of the
offenders, work address and telephone number, addresses of secondary
residences, as well as the name and address of any educational institution
where the offender is or has enrolled, attended or worked. The Registry
includes the information provided directly by the offender, as well as
information obtained from provincial and federal governments. It is
computerized and can be accessed by police throughout the province.
[7]
Registered sex offenders are required to report
annually to the police and to promptly notify the police of any change in
residence: s. 3 of Christopher’s Law. Non-compliance is made an offence
pursuant to s. 11(1) of Christopher’s Law.
[8]
The information contained in the Registry is
kept confidential by the Ministry and police. The confidentiality of the
Registry stands in contrast to its publicly accessible counterparts established
and maintained in the United States: see Benedet, at pp. 442 and 470. The
rationale for keeping the information confidential is that this encourages
offenders to comply with the registration and reporting requirements, thereby
making it a more useful law-enforcement tool while at the same time reducing
the risk of harm to the offenders themselves resulting from vigilantism.
(2)
FIPPA
[9]
FIPPA provides for a general right of access to information that is under
the control of an institution (a defined term referring to various government
and related bodies), unless the record falls under the exemptions listed under
ss. 12 to 22: s. 10(1). Among these exemptions is a mandatory exemption
applying to third party “personal information”, a defined term in FIPPA,
meaning in part, “recorded information about an identifiable individual”:
s. 2(1). There are also discretionary exemptions relating to law enforcement,
including exemptions where the disclosure could reasonably be expected to
“endanger the life or physical safety of a law enforcement officer or any other
person” or to “facilitate the commission of an unlawful act or hamper the
control of crime”: ss. 14(1)(e) and 14(1)(l). The purpose of the law
enforcement exemptions is to protect public safety and ensure effective law
enforcement.
[10]
Section 67 of FIPPA sets out the general
priority of the Act over other confidentiality provisions in other legislation:
67.—(1)
This Act prevails over a confidentiality provision in any other Act unless
subsection (2) or the other Act specifically provides otherwise.
[11]
In light of s. 67(1), an institution cannot
refuse to disclose a record requested under FIPPA on the basis that its
governing legislation mandates that the information contained in the record be
kept confidential. Section 67(2) lists specific confidentiality provisions
which prevail over FIPPA. No provisions from Christopher’s Law
are listed therein.
B.
Background Facts
[12]
A requester submitted a request to the Ministry
under FIPPA for disclosure of the first three digits of Ontario postal
codes (FSAs) and the corresponding number of registered sex offenders who
reside in each. Each FSA has a specific geographical boundary, and the
number of FSAs varies from region to region. For instance, the city of Ottawa
has 40 FSAs, whereas the town of Dryden only has one. The number of residents
in Ontario FSAs varies from less than 400 to over 110,000 individuals. The
average population per FSA in Ontario is approximately 25,000 residents.
[13]
The Ministry denied access, citing law
enforcement and personal privacy exemptions listed under ss. 14(1)(e),
14(1)(l), 21(1), 21(2)(e), 21(2)(f) and 21(2)(h) of FIPPA in justifying
its refusal. The requester appealed the Ministry’s decision to the Information
and Privacy Commissioner on August 21, 2008. The Commissioner received
representations from the Ministry, including an affidavit sworn by
Superintendant Truax of the Ontario Provincial Police, as well as
representations from the requester. Superintendant Truax’s affidavit noted the
high compliance rate with the Ontario Registry (over 96%) and his belief that
this high rate is due in part to the Registry’s confidentiality. He outlined
concerns about sex offenders going “underground” in fear of vigilantism as well
as general social unease, negatively affecting relations between sex offenders,
the police and the public: A.F., at para. 25.
C.
Decisions
(1)
Information and Privacy Commissioner Decision,
Order PO-2811, 2009 CanLII 43354
[14]
On August 7, 2009, Senior Adjudicator John
Higgins ordered the Ministry to disclose the Record to the requester. For the
sake of clarity, we will refer to this decision as the Commissioner’s decision.
[15]
The Commissioner turned first to whether Christopher’s
Law ousted the operation of FIPPA. Section 67 of FIPPA
provides that FIPPA will prevail over a confidentiality provision in any
other Act unless the other Act specifically provides otherwise. The question
was whether s. 10 of Christopher’s Law specifically provided otherwise.
Section 10 provides that, subject to collection, retention and use for
specified law enforcement purposes and personnel, no one shall disclose to
another person “information obtained from the sex offender registry in the
course of his or her duties under this Act or received in the course of his or
her duties under this Act”.
[16]
The Commissioner noted a previous appeal (Order
PO-2312, 2004 CanLII 56430 (ON IPC)) where the former Assistant Commissioner
had ruled that s. 10 of Christopher’s Law is not a confidentiality
provision that prevails over FIPPA because the language it uses is not
specific enough to do so, and it does not directly address FIPPA
requests, but instead refers to the disclosure of information obtained by
police in the course of their duties under Christopher’s Law. The
Commissioner agreed with the conclusion in Order PO-2312 that s. 10 of Christopher’s
Law is not a confidentiality provision that prevails over FIPPA.
The Commissioner concluded, therefore, that the information requested was
subject to FIPPA and that the Registry, as a record under the Ministry’s
custody and control, is subject to the access provisions and the exemptions
scheme set out in ss. 12 to 22 of FIPPA. Therefore, the question for the
Commissioner was whether the Record requested was exempted from the general
right of access provided by s. 10 of FIPPA: pp. 4-5.
[17]
The Commissioner noted that the requester was not
seeking access to the entire database, but only a list of FSAs and the number
of registered sex offenders residing in each. Therefore, she concluded that the
information was not “personal information” as defined in s. 2(1) of FIPPA
because it could not reasonably identify any individual listed on the Registry
and was therefore not exempt from disclosure on that basis under s. 21 of FIPPA:
p. 3.
[18]
The Commissioner then turned to the harm-based
law enforcement exemptions under FIPPA at ss. 14(1)(e) and 14(1)(l).
These apply when it is shown that disclosure could reasonably be expected to
endanger the life or physical safety of a law enforcement officer or other
person or to facilitate the commission of an unlawful act or hamper the control
of crime.
[19]
In the case of s. 14(1)(e), the Commissioner
concluded that the Ministry had not established a reasonable basis for
believing that endangerment would result from disclosure. The Commissioner
considered the Ministry’s submissions that the requested information could be
cross-referenced with other publicly available information to identify the
location of the sex offender’s residence, that multiple requests showing
movement could lead to identification, and the Ministry’s concerns about
citizen vigilantism, harassment of the sex offender, decreased compliance with
reporting requirements and recidivism. The Commissioner noted that all the
Ministry’s arguments depended on identifiability and that she had previously
concluded that it was not reasonable to expect that an individual could be
identified if the Record were disclosed: pp. 11-14. The Commissioner expressly
noted that she was not requiring that the Ministry demonstrate that harm was
probable, but that even the lower threshold of a reasonable basis for believing
that harm would result from disclosure was not established here: pp. 14-15.
[20]
With regards to the s. 14(1)(l) exemption
(facilitate the commission of an unlawful act or hamper crime control), the
Commissioner noted that her conclusion according to which it was not reasonable
to expect that offenders may be identified from the disclosure was sufficient to
dispose of the Ministry’s arguments under this exemption as well. The
Commissioner was not persuaded that disclosure of the requested information
could reasonably be expected to facilitate the commission of an unlawful act or
hamper the control of crime: pp. 15-17.
[21]
Given the conclusion that none of the exemptions
applied, the disclosure of the Record was ordered: p. 17.
(2)
Divisional Court, 2011 ONSC 3525, 282 O.A.C. 199
[22]
The Ministry’s application for judicial review
was dismissed in brief oral reasons. The Ministry challenged only the
Commissioner’s conclusions on the ss. 14(1)(e) and 14(1)(l) law enforcement
exemptions.
(3)
Court of Appeal, 2012 ONCA 393, 292 O.A.C. 335
[23]
The Ministry’s further appeal was dismissed. The
Court of Appeal agreed with the Divisional Court that the Commissioner’s
decision was reasonable. It noted that the Ministry offered little, if any,
evidence that the information requested could be used to locate sex offenders
within communities or engender an offender’s subjective perception of this
possibility, resulting in lower compliance with the Registry. The Court of
Appeal found that the correct test had been applied and that the factual
findings were supported by the evidence.
III.
Issues
[24]
The following issues arise from the case on
appeal:
A. What is the applicable
standard of review of the Commissioner’s decision?
B. Did the Commissioner
make a reviewable error by granting a right of access for purposes that are not
consistent with Christopher’s Law or with FIPPA?
C. Did the Commissioner
make a reviewable error in the interpretation of FIPPA law enforcement
exemptions by applying an elevated standard for establishing a reasonable
prediction of future harm to public safety and to the ability of police to
control crime?
[25]
We will discuss them in turn.
IV.
Analysis
A.
Standard of Review
[26]
Both this Court and the Ontario courts have held
that a reasonableness standard of judicial review generally applies to
decisions by the Commissioner interpreting and applying disclosure exemptions
under FIPPA: see, e.g., Ontario (Public Safety and Security) v.
Criminal Lawyers’ Association, 2010 SCC 23, [2010] 1 S.C.R. 815, at para.
70; Ontario (Information and Privacy Commissioner, Inquiry Officer) v.
Ontario (Minister of Labour, Office of the Worker Advisor) (1999), 46 O.R.
(3d) 395 (C.A.) (“Worker Advisor”), at para. 18; Ontario (Minister of
Transportation) v. Cropley (2005), 202 O.A.C. 379, cited in Ontario
(Minister of Finance) v. Ontario (Information and Privacy Commissioner),
2012 ONCA 125, 109 O.R. (3d) 757, at para. 14; Ontario (Minister of Health
and Long-Term Care) v. Ontario (Assistant Information and Privacy Commissioner)
(2004), 73 O.R. (3d) 321 (C.A.), at paras. 26-47; Ontario (Attorney General)
v. Pascoe (2002), 166 O.A.C. 88, at para. 3. Moreover, the Court has
repeatedly said that the reasonableness standard will generally apply to a
tribunal interpreting its home statute or statutes closely connected to its
function: see, e.g., Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1
S.C.R. 190, at para. 54; Smith v. Alliance Pipeline Ltd., 2011 SCC 7,
[2011] 1 S.C.R. 160, at para. 28. The Ministry concedes this general point, but
argues that because the Commissioner also interpreted Christopher’s Law,
which is not her home statute, the standard of correctness should apply.
[27]
We do not agree. The Commissioner was required
to interpret Christopher’s Law in the course of applying FIPPA.
She had to interpret Christopher’s Law for the narrow purpose of
determining whether, as set out in s. 67 of FIPPA, it contained a “confidentiality
provision” that “specifically provides” that it prevails over FIPPA.
This task was intimately connected to her core functions under FIPPA
relating to access to information and privacy and involved interpreting
provisions in Christopher’s Law “closely connected” to her functions.
The reasonableness standard applies.
B.
Purposes of FIPPA and Christopher’s Law
[28]
The Ministry claims that the Commissioner
granted a right of access which was inconsistent with the purposes of Christopher’s
Law and of the right of access under FIPPA. It advances three main
points with respect to this issue. We will address them in turn.
(1)
Does Christopher’s Law Contain a
Confidentiality Provision That Prevails Over FIPPA?
[29]
As noted, s. 67 of FIPPA provides that FIPPA
prevails over a “confidentiality provision” in any other Act unless subsection (2)
or the other Act specifically provides otherwise. Because Christopher’s Law
is not listed in s. 67(2), the issue is whether Christopher’s Law has a
confidentiality provision that “specifically provides” that it prevails over FIPPA.
[30]
The Ministry argues that the Commissioner used
s. 67 of FIPPA as a licence to disregard Christopher’s Law, and
that resorting to s. 67 was unnecessary because there is no conflict between
both statutes: A.F., at para. 68. The Ministry also submits that Christopher’s
Law does “specifically provide” that FIPPA does not prevail, as
required by s. 67(1) of FIPPA. Christopher’s Law does so, it is
argued, by a combination of ss. 10(1), 10(2), 11(2), and 13 as well as s.
41(1.1) of the Police Services Act, R.S.O. 1990, c. P.15. It appears
that these points were not clearly raised at any earlier stage of this
litigation.
[31]
The Commissioner noted, however, that in a previous
appeal, the Ministry had argued that s. 10 of Christopher’s Law was a
confidentiality provision which prevailed over FIPPA. That argument was
rejected in the previous appeal on the ground that s. 10, while a
confidentiality provision, did not “specifically provide” that it prevailed
over FIPPA. That same analysis was accepted by the Commissioner in this
case. We find this to be a reasonable conclusion.
[32]
The legislature turned its mind to the
interaction between FIPPA and Christopher’s Law: A.F., at para.
73. This is evidenced by explicit reference to FIPPA in some of Christopher’s
Law’s provisions. Section 10(4), for instance, deems access to, use and
disclosure of personal information by the police under ss. 10(2) and 10(3) to
be in compliance with s. 42(1)(e) of FIPPA (which in turn provides that
an institution shall not disclose personal information in its custody, except
for the purpose of complying with an Act of the legislature). Such specific
references to FIPPA indicate that the legislature considered the manner
in which both statutes would operate together and the possibility of conflict.
Section 67 of FIPPA is the mechanism the legislature chose to resolve
any conflict.
[33]
However, no confidentiality provision in Christopher’s
Law specifically states that FIPPA does not prevail over it, as s.
67(1) of FIPPA requires. The text of the confidentiality provision of Christopher’s
Law, s. 10(1), is the following:
10.
(1) Subject to subsections (2) and (3), no person shall disclose to another
person information obtained from the sex offender registry in the course of his
or her duties under this Act or received in the course of his or her duties
under this Act except as provided by this Act.
Had the legislature
intended the confidentiality provision in Christopher’s Law to prevail
over FIPPA, it could easily have included specific language to that
effect. Section 10(1) contains no such language. The fact that s. 11(2) of Christopher’s
Law makes it an offence to contravene s. 10 does not impute the necessary
specificity required by s. 67(1) of FIPPA.
[34]
When the legislature in other statutes intended
that FIPPA would not prevail, it found specific language to make that
intent clear. For instance, s. 29(2) of the Members’ Integrity Act, 1994,
S.O. 1994, c. 38, states that “[s]ubsection (1) prevails over the Freedom
of Information and Protection of Privacy Act”: see also the Mining Act,
R.S.O. 1990, c. M.14, s. 145(11); Ontario Disability Support Program Act,
1997, S.O. 1997, c. 25, Sch. B, s. 56(9); Ontario Works Act, 1997,
S.O. 1997, c. 25, Sch. A, s. 75(9). Such language leaves no room for doubt, and
is notably absent from Christopher’s Law.
[35]
The Ministry also argued that s. 10(2) of Christopher’s
Law and s. 41(1.1) of the Police Services Act prescribe complete
disclosure rules: A.F., at para. 70. Section 10(2) of Christopher’s Law,
acting as an exception to the confidentiality provision at s. 10(1), provides
that the police may collect, retain and use information obtained from the
Registry for any purpose under s. 41(1.1) of the Police Services Act.
Section 41(1.1) provides that “[d]espite any other Act, a chief of police . . .
may disclose personal information about an individual in accordance with the
regulations.” This disclosure may be made for purposes of protecting the public
or victims of crime, amongst others, when it is reasonably believed that the
individual poses a significant risk of harm to other persons: s. 41(1.2) of the
Police Services Act; O. Reg. 265/98, s. 2. The combined effect of these
provisions is to allow police to disclose personal information about sex
offenders when they are believed to pose a risk of harm to other persons,
despite protections to personal privacy otherwise provided for in “any other
Act”, such as FIPPA. The information at issue in this case is not
personal information. These combined provisions do not specifically oust the
application of FIPPA.
[36]
The Ministry further argues, apparently for the
first time in this Court, that s. 13 of Christopher’s Law “specifically
provides otherwise” as required by s. 67(1) of FIPPA: A.F., at para.
72. We see no merit in this submission: s. 13 does specifically mention FIPPA,
but not in relation to Christopher’s Law’s confidentiality provisions.
Section 13(1) of Christopher’s Law provides:
13.
(1) Personal information may be collected, retained, disclosed and used in
accordance with this Act despite the Freedom of Information and Protection
of Privacy Act and the Municipal Freedom of Information and Protection
of Privacy Act.
It is hard to see how
this is a “confidentiality provision”: it authorizes the collection, retention,
disclosure and use of information rather than prevents such activities.
Moreover, nothing in s. 13(1) suggests that FIPPA does not prevail over Christopher’s
Law’s confidentiality provisions. Instead, s. 13(1) relates to Part III of FIPPA,
which protects personal privacy. What s. 13(1) does is permit the
collection, retention, disclosure and use of sex offenders’ personal
information, despite the protections afforded in FIPPA, to which
sex offenders would otherwise be entitled. Not only is this exception to the
protection set out in Part III of FIPPA irrelevant to the present
appeal, which is concerned with access under Part II of FIPPA, it is
clear that the Record in this case does not constitute personal information.
Section 13(1) is therefore inapplicable in the circumstances of this case.
[37]
Section 13(2) of Christopher’s Law
expressly holds that s. 39(2) of FIPPA, which requires notice to the
individual whose personal information is being collected, does not
apply. Again, because it relates to personal information, this section is
irrelevant to our purposes and is of no aid to the Ministry’s position.
Moreover, the specific and limited reference to FIPPA suggests that
where Christopher’s Law was intended to prevail over aspects of the
scheme established by FIPPA, express words were used to make that
intention clear. The Ministry’s argument with respect to s. 13 of Christopher’s
Law must therefore be rejected.
[38]
We reject the Ministry’s position and conclude
that the Commissioner reasonably concluded that Christopher’s Law does
not contain a confidentiality provision that specifically indicates that it
prevails over FIPPA. It follows that the Record is subject to FIPPA
and its exemption scheme.
(2)
The Law Enforcement Exemption
[39]
The Ministry submits that the Commissioner took
too narrow a view of the law enforcement exemptions and placed undue emphasis
on whether disclosure would serve to identify registered sex offenders. As the
Ministry expresses it, “[w]hile identification of an individual could lead to
[the harms referred to in the law enforcement exemptions], these consequences
can happen in circumstances where no one has been identified. Community unease
and vigilantism can arise from concern about the presence in the neighbourhood
of any registered sex offender regardless of his identity”: A.F., at para. 44.
[40]
The short but complete answer to this submission
is that it was unsupported by the evidence and arguments placed before the
Commissioner. The Commissioner focused on whether the disclosure could reveal
sex offenders’ identity or location because that was the key to the submissions
placed before her by the Ministry. Those submissions turned on the
reasonableness of any expectation that the disclosure of the Record would lead
to the identification of sex offenders or their home address. Specifically, the
Ministry’s submissions referred to risks related to public identification,
identification of the location of the sex offender’s residence, and location
itself as an identifier.
[41]
The Ministry’s submissions did not focus on
general social unease in the absence of identification or location of a given
sex offender; nor did they focus on sex offenders’ “subjective fear” of
identification. Instead, fear was discussed in relation to the objective
possibility of identification. Social unease was only alluded to once in
Superintendant Truax’s affidavit.
[42]
To the extent that the Ministry is also arguing
that the Commissioner erred by focussing only on whether the disclosure could
reveal the sex offender’s personal identity, as opposed to also revealing his
or her physical location, we are of the view that no such distinction can
logically be sustained: locating a sex offender’s residence is intimately
related to the sex offender being identifiable. In any event, the Commissioner
committed no such error. The Commissioner did consider whether disclosure of
the Record could lead to the location of any given sex offender, thus leading
to their identification. She contrasted this request with an earlier appeal
(Order PO-2518, 2006 CanLII 50861 (ON IPC)) where she denied disclosure of full
postal codes of sex offenders, which could allow the public to “pinpoint the
location of an offender’s residence within five or six houses”, thus making a
sex offender’s location reasonably identifiable: p. 8. The Commissioner found
that disclosing FSAs was not comparable: p. 10.
[43]
The purposes of the law enforcement exemptions —
protecting public safety and effective policing — are not thwarted by the
Commissioner’s decision; nor did she fail to give them proper regard. She did
not unreasonably narrow the law enforcement exemptions under ss. 14(1)(e) and 14(1)(l).
(3)
Discretion
[44]
The Ministry also argues that the exemption
under s. 14 of FIPPA confers a discretion to disclose the record. The
exercise of this discretion involves a weighing of the purposes of the right of
access under FIPPA (informed citizenry and democracy) against the
purposes of the exemption (effective policing and public safety): A.F., at
paras. 75-77. According to the Ministry, an important factor to consider in
this weighing exercise is the requester’s purpose in requesting access — a
purpose which, according to the Ministry, fosters neither democracy nor
effective policing and public safety: A.F., at para. 80.
[45]
This submission overlooks the fact that there is
no discretion unless the exemption applies and, as we shall see, the
Commissioner reasonably concluded that it does not. As explained in Criminal
Lawyers’ Association, at para. 48, the discretion on the part of the
Ministry is not engaged until the exemption is found to apply. The Ministry in
fact had no discretion to exercise under s. 14 of FIPPA in this case
because, as we will discuss shortly, the exemption did not apply. The
Ministry’s argument that the Commissioner failed to examine whether its
exercise of discretion was appropriate is without merit.
(4)
Conclusion on Second Issue
[46]
The Ministry’s arguments with respect to the
Commissioner’s approach to the interaction between FIPPA and Christopher’s
Law must be rejected.
C.
Standard of Proof for the Harm-Based Law
Enforcement Exemptions in FIPPA
[47]
The Ministry argues that the Commissioner did
not apply the appropriate evidentiary standard with regards to the harm-based
exemptions contained in FIPPA. Section 14 of FIPPA provides:
14.—(1) A head may refuse to disclose a record where the disclosure could
reasonably be expected to,
(a) interfere with a law enforcement matter;
. . .
(e) endanger the life or physical safety of a law enforcement
officer or any other person;
. . .
(l) facilitate the commission of an unlawful act or hamper
the control of crime.
[48]
With respect to the exemption contained at s.
14(1)(l), which relates to hampering the control of crime, the Commissioner
held that the Ministry must provide ‘“detailed and convincing’ evidence to
establish a ‘reasonable expectation of harm’”: p. 11. The Commissioner added
that evidence amounting to speculation of possible harm would not be
sufficient. Then turning to s. 14(1)(e), which pertains to the endangerment of
someone’s life, the Commissioner held that the Ministry “must provide evidence
to establish a reasonable basis for believing that endangerment will
result from disclosure”: ibid. (emphasis added).
[49]
Both the Divisional Court and the Court of
Appeal found that there was no basis to interfere with the Commissioner’s
decision.
[50]
The Ministry, however, takes issue with the standard of proof
identified by the Commissioner. It contends that the latter wrongly applied the
standard of proof identified by this Court in Merck Frosst
Canada Ltd. v. Canada (Health), 2012 SCC 3, [2012]
1 S.C.R. 23. In that decision, this Court was interpreting s. 20(1) (c)
of the Access to Information Act, R.S.C. 1985, c. A-1 , which provides
that a government body shall refuse to disclose information if it “could
reasonably be expected to result in material financial loss or gain to, or
could reasonably be expected to prejudice the competitive position of, a third
party”. The extent of the risk of harm was thus expressed in identical language
— “could reasonably be expected to” — as in FIPPA. A unanimous Court
affirmed as correct the elaboration of this standard as a “reasonable
expectation of probable harm”, the elaboration long applied by the federal
courts: para. 206. The Ministry contends that the Commissioner should have
instead applied what it says is a lower standard of proof, namely the
“reasonable basis for believing” formulation that has generally been applied by
the Ontario courts and others interpreting similar statutory language.
[51]
The first difficulty with this submission is its
premise. The Ministry’s argument assumes that there is a difference in
substance between a “reasonable expectation of probable harm” and a “reasonable
basis for believing” that harm will occur. This is a premise that we do not
accept: see, for example, Order PO-3157, 2013 CanLII 28809 (ON IPC), at para.
48.
[52]
It is important to bear in mind that these
phrases are simply attempts to explain or elaborate on identical statutory
language. The provincial appellate courts that have not adopted the “reasonable
expectation of probable harm” formulation were concerned that it suggested that
the harm needed to be probable: see, e.g., Worker Advisor, at paras.
24-25; Chesal v. Nova Scotia (Attorney General), 2003 NSCA 124, 219
N.S.R. (2d) 139, at para. 37. As this Court affirmed in Merck Frosst,
the word “probable” in this formulation must be understood in the context of
the rest of the phrase: there need be only a “reasonable expectation” of
probable harm. The “reasonable expectation of probable harm” formulation
simply “captures the need to demonstrate that disclosure will result in a risk
of harm that is well beyond the merely possible or speculative, but also that
it need not be proved on the balance of probabilities that disclosure will in
fact result in such harm”: para. 206.
[53]
Understood in this way, there is no practical
difference in the standard described by the two reformulations of or
elaborations on the statutory test. Given that the statutory tests are
expressed in identical language
in provincial and federal access to information statutes, it is preferable to have only one further elaboration of that
language; Merck Frosst, at para. 195:
I am not persuaded that we should
change the way this test has been expressed by the Federal Courts for such an
extended period of time. Such a change would also affect other provisions
because similar language to that in s. 20(1) (c) is employed in several
other exemptions under the Act, including those relating to federal-provincial
affairs (s. 14), international affairs and defence (s. 15), law enforcement and
investigations (s. 16), safety of individuals (s. 17), and economic interests
of Canada (s. 18). In addition, as the respondent points out, the “reasonable
expectation of probable harm” test has been followed with respect to a number
of similarly worded provincial access to information statutes. Accordingly,
the legislative interpretation of this expression is of importance both to the
application of many exemptions in the federal Act and to similarly worded
provisions in various provincial statutes. [Emphasis added.]
[54]
This Court in Merck Frosst adopted the
“reasonable expectation of probable harm” formulation and it should be used
wherever the “could reasonably be expected to” language is used in access to information statutes. As the Court in Merck Frosst emphasized, the statute tries
to mark out a middle ground between that which is probable and that which is
merely possible. An institution must provide evidence “well beyond” or
“considerably above” a mere possibility of harm in order to reach that middle
ground: paras. 197 and 199. This inquiry of course is contextual and how much
evidence and the quality of evidence needed to meet this standard will
ultimately depend on the nature of the issue and “inherent probabilities or
improbabilities or the seriousness of the allegations or consequences”: Merck
Frosst, at para. 94, citing F.H. v. McDougall, 2008 SCC 53,
[2008] 3 S.C.R. 41, at para. 40.
[55]
We do not find any of the Ministry’s arguments
for a different approach convincing. It argues, for example, that while the
“reasonable expectation of probable harm” standard is an appropriate one to be
balanced against third-party interests, the proposed FIPPA lower
threshold would reflect the greater need to protect personal safety, which is
the interest at stake in s. 14: A.F., at para. 88. This submission
assumes, however, that there is some practical difference between the
formulations, an assumption that we have rejected.
[56]
The Ministry also relies on the difference in
the French texts of the Ontario and federal provisions. We do not find this
persuasive, however. FIPPA’s s. 14 in its French version expresses the
English text “could reasonably be expected to” with the words “s’il
est raisonnable de s’attendre à”. This may be contrasted with the French
version of s. 20(1)(c) of the federal Access to Information Act
which uses these words to express the same English text: “des renseignements
dont la divulgation risquerait vraisemblablement de causer des pertes .
. . .”
[57]
However, this divergence between the Ontario and
the federal French texts does not support the Ministry’s position that some
different standard was intended. The terms “s’il est raisonnable de
s’attendre à” is a direct translation
of the terms “could reasonably be expected to” used in the English version. It
is therefore hard to see how such a close translation could express a different
meaning than the English text. The 2002 Ontario amendments to the French
version support this position, as they made clear that demonstration of
probable harm was not required (s. 14 formerly read “si la
divulgation devait avoir pour effet probable”).
The current French version of s. 14 of FIPPA amply supports the
“reasonable expectation of probable harm” formulation of the standard.
[58]
The Ministry also argues that the “reasonable
basis for believing” formulation adopted in Ontario properly mirrors the
“reasoned apprehension of harm” test applied under s. 1 of the Canadian Charter
of Rights and Freedoms . Such similarity, the argument goes, would be
principled as s. 14 and s. 1 would contemplate similar kinds of harms to
society. Respectfully, we do not find the analogy to the Charter
appropriate in this context. As the Commissioner points out, the Ministry,
when it interprets exemptions under FIPPA, has no policy role analogous
to that played by Parliament when it enacts laws. Further, as we have held,
institutional heads are not entitled to deference in their interpretation of
exemptions: see, e.g., Canada (Information Commissioner) v. Canada
(Commissioner of the Royal Canadian Mounted Police), 2003 SCC 8, [2003] 1
S.C.R. 66, at para. 17.
[59]
The Commissioner specifically stated that the
Ministry needed to show only “a reasonable basis for believing” to apply the
exemption related to the endangerment of life. She further stated that
“detailed and convincing” evidence must establish a “reasonable expectation of
harm” with regards to the exemption protecting the control of crime. The
Commissioner held that “speculation of possible harm” would not be sufficient:
p. 11. After considering the Ministry’s arguments, the Commissioner found that
“the Ministry’s representations, including the affidavit, [did] not provide a
reasonable basis for believing that endangerment [would] result from
disclosure”: p. 14. She added that the possibility of identification, or even
presumed identification, was “too remote to meet even the lower evidentiary
threshold for section 14(1)(e) established in the Office of the Worker
Advisor case cited above”: p. 15. Of course, as noted above, there is no
such “lower evidentiary threshold” and the Commissioner simply meant that she
did not require proof that harm was probable. Indeed, the Commissioner then
emphasized that she did not require “that the Ministry demonstrate that harm is
probable; there need only be a reasonable basis for believing that harm will
result, and it is not established here”: ibid. Taken together, these
statements properly identified the applicable standard of proof.
[60]
Then turning to the application of this
standard, the Commissioner determined that the Ministry did not provide any
specific evidence explaining how the Record could be cross-referenced with
other information in order to identify sex offenders. We find this to be a
reasonable determination. A review of the Ministry’s evidence shows that there
is hardly any support in the record for its claims. The Ministry provided the
Commissioner with several newspaper articles reporting past violent events, but
all those reports pertained to situations where offenders were actually
identified through information publicly available (e.g., detailed personal
information in online registries available in other jurisdictions). The
Ministry also provided unconvincing and generic scholarly research on “identifiability”.
These papers did not address the specific facts of this case.
[61]
With regards to the unpredictability of future
available information on the internet, despite the Ministry’s contentions, the
Commissioner specifically held that the identification of sex offenders would
be facilitated “in no way” by cross-referencing the number of offenders in an
FSA with any other publicly available information: p. 8 (emphasis deleted).
Moreover, it must be stressed that the Ministry only referred vaguely to the
unpredictability of internet developments and did not provide any specifics
about how identification could occur. On the record before her, the
Commissioner’s conclusions are reasonable.
[62]
The Commissioner also held that she did not
believe that “even multiple requests for the number of offenders in each FSA
could lead to the reasonable prospect that an offender could be identified”: p.
8. She noted that she was not, in any case, dealing with multiple requests and
that she was not aware of such a series of requests: ibid. Once again,
this is a conclusion that was reasonably open to her on the record.
[63]
The Ministry submitted that disclosure of the
Record would ignite among sex offenders a “subjective
fear” of being identified, and that such fear would in turn
lower compliance rates. As previously discussed, it appears that the
“subjective fear” line of argument was not advanced before the Commissioner.
The Ministry did put before the Commissioner an affidavit from Superintendant
Truax, which drew a connection between offenders’ beliefs about their personal
information being released to the public and their ensuing desire to go
“underground” out of fear and thus undermining the important objectives of the
Registry. It follows that an offender’s perception about the risk of this
occurring, whether reasonable or not, might well be relevant to the question of
whether the harm-based law enforcement exemptions apply.
[64]
However, the evidence adduced by the Ministry
does not provide a basis to think that the release of the information sought in
this case could have the effect of triggering this sort of subjective fear.
Superintendant Truax’s affidavit refers to fear that could arise from the
public release of personal information from the Registry. However, the
information at issue here is not “personal information”. If the Ministry seeks
to rely on an argument that non-personal information can trigger a subjective
fear that can reasonably be expected to result in non-compliance with the
Registry — which arguably could fall within the law enforcement exemption — it
must point to evidence supporting that position. It failed to do so and, given
the insufficient support for this position in the record, the result reached by
the Commissioner in this respect was reasonable.
[65]
We agree with the Ontario courts that the
Commissioner made no reviewable error in the application of the standard of
proof to the law enforcement exemptions relied on by the Ministry.
[66]
In sum, the Commissioner’s decision reasonably
applied the appropriate evidentiary standard. The Commissioner took into
account the fact that the Registry’s efficiency is based on its
confidentiality. However, she had to balance this concern with the public’s
interest in having transparent and open governmental institutions. In striking
a balance between those two competing interests, the Commissioner decided that
the risks suggested by the Ministry were too remote and not supported by the
evidence to ground a reasonable expectation of probable harm. This finding was
reasonable.
[67]
Indeed, the Commissioner’s 17-page decision was
well articulated, transparent, and intelligible. It presented extensively the
arguments submitted by the Ministry and it considered them in a fair manner. As
an expert in privacy rights, as well as in access to information requests, the
Commissioner’s decisions deserve deference, short of an unreasonable conclusion
falling outside the range of possible and acceptable outcomes. The Ministry did
not succeed in demonstrating that such an error occurred.
V.
Disposition
[68]
We would dismiss the appeal, but, as requested by the
Commissioner, without costs.
Appeal
dismissed without costs.
Solicitor
for the appellant: Attorney General of Ontario, Toronto.
Solicitor
for the respondent: Information and Privacy Commissioner/Ontario, Toronto.
Solicitor
for the intervener the Attorney General of Canada: Attorney General of Canada,
Toronto.
Solicitors for the
intervener the Information Commissioner of Canada: Gowling Lafleur Henderson,
Ottawa.