Docket: T-70-11
Citation: 2012 FC 517
Ottawa, Ontario, May 3, 2012
PRESENT: The Honourable Mr. Justice de Montigny
BETWEEN:
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KWICKSUTAINEUK AH-KWA-MISH FIRST NATION
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Applicant
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and
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ATTORNEY GENERAL OF CANADA, MINISTER OF FISHERIES AND OCEANS,
MARINE HARVEST CANADA INC. AND EWOS CANADA LTD., DBA MAINSTREAM CANADA
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Respondents
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REASONS FOR JUDGMENT AND
JUDGMENT
[1]
This
application for judicial review is a direct consequence of the decision reached
by the British Columbia Supreme Court on February 9, 2009 in Morton v
British Columbia (Agriculture and Lands), 2009 BCSC 136, 174 ACWS (3d) 103
[Morton], wherein it was held that the provincial regulatory regime for
aquaculture was constitutionally invalid, and that the activity of finfish
farming is a matter of exclusive federal jurisdiction. The Court struck down
the provincial regulatory regime as ultra vires the provincial
legislature but suspended its decision for 12 months. It was then extended to
December 18, 2010 (Morton v British Columbia (Agriculture
and Lands),
2010 BCSC 100, 2 BCLR (5th) 306), to allow the federal government time to
consider and put into place federal regulatory legislation.
[2]
That
decision meant that approximately 680 BC provincial aquaculture licences would
expire on December 18, 2010 and could not be renewed by the Province. In these
circumstances, Canada had 22 months to consult on and implement an
entirely new regulatory and licensing regime for aquaculture and take the steps
necessary to make decisions on the issuance of federal aquaculture licences
effective December 19, 2010.
[3]
Following
consultation regarding the new regulatory regime and the common terms and
conditions that would apply to each new licence, the Department of Fisheries
and Oceans’ (“DFO”) new regulations came into force on December 9, 2010
and most licences were issued effective December 19, 2010.
[4]
Pursuant
to section 18.1 of the Federal Courts Act, RSC 1985, c F-7, the
Kwicksutaineuk Ah-Kwa-Mish First Nation (the “KAFN” or the “Applicant”) has
brought this application for judicial review of the decision of DFO to issue
finfish aquaculture licences to the two corporate Respondents, Ewos Canada
Ltd., dba Mainstream Canada (“Mainstream Canada”) and Marine Harvest Canada
Inc. (“Marine Harvest”).
1. Facts
[5]
This
application relates to aquaculture in British Columbia, and in particular to
salmon aquaculture. The term “aquaculture” refers to the aquatic form of
agriculture where stocks are cared for, raised to marketable size, and then
harvested for processing, sale and consumption. Finfish are a grouping of
vertebrate species that have been successfully domesticated through aquaculture
practice. Atlantic salmon are the predominant species grown by Canadian
aquaculture.
[6]
Salmon
aquaculture is a significant contributor to the economy. Salmon farming
generates over $50 million in wages annually. In 2007, for example, salmon
farming contributed $370 million to the provincial economy (Thomson Affidavit,
paras 9-16; Respondent’s Record, pp. 359-361).
[7]
There
appears to be some 28 fish farms in the Broughton Archipelago, which primarily
cultivate Atlantic salmon. This Archipelago is located on the West coast of British
Columbia,
between Kingcome Inlet and Knight Inlet, at the southern extremity of Queen Charlotte Strait, on
the South-Central coast of British Columbia, and covers an area of
approximately 5,000 square kilometres.
[8]
The
Burdwood farm site is located in Raleigh Passage, off the Burdwood Group Islands. This
operation has a tenure area of 34.33
hectares.
The first aquaculture licence was issued by the Province on February 17, 1992.
Burdwood was acquired by Mainstream Canada, along with several other sites,
from Heritage Salmon Limited in July 2005. It continues to be a producing
aquaculture site and, according to Mainstream Canada, is an integral site for
its operations on the East coast of Vancouver Island. The Province had
licensed this site for the production of Atlantic salmon to a total maximum
production per cycle of 3000 metric tonnes and a maximum net cage area of 12,600 m2 (Thomson
Affidavit, paras 111-112; Jensen Affidavit, paras 10, 17-22, 24 and 81, Ewos
Canada Ltd.’s Record).
[9]
The
Blunden Pass site is
located in Blunden Passage off Baker Island. The operation has a tenure area
of 16.1
hectares.
An aquaculture licence was first issued by the Province on or about February
24, 1993. It was licensed by the Province for the production of Atlantic
salmon and black cod to a total maximum production per cycle of 1840 metric
tonnes and a maximum net cage area of 7200 m2. It appears that this
site has been fallow since 2003, but is a back-up site and is to be used in
order to allow fallowing of other sites.
[10]
The
Applicant is an Aboriginal group, and an Indian Band within the meaning of the Indian
Act, RSC 1985, c I-5, whose traditional territory is within the Broughton
Archipelago near Johnstone Strait between mainland British
Columbia
and Vancouver Island. The KAFN is a member of the Musgamagw Tsawataineuk
Tribal Council (“MTTC”), along with the following three First Nations: the
Gwawaenuk Tribe, the Namgis First Nation and the Tsawataineuk.
[11]
The
KAFN has ten Indian reserves within the meaning of the Indian Act which
are located within the Broughton Archipelago and which are associated with
their traditional fishing stations. The KAFN claim that the marine waters
within the Broughton Archipelago are their fishing grounds, and that the
harvesting of seafood for food, social and ceremonial purposes in this area is
integral to their distinctive culture as an Aboriginal group. Fishing has been
the primary occupation of the members of the KAFN since time immemorial. Both
before and after contact with Europeans, fishing has been the primary means of
sustenance for the KAFN and also of great cultural importance, according to
Chief Robert Chamberlin (Applicant’s Record, pp. 575-576, at paras 11-14).
[12]
The
KAFN claim that the abundance and quality of their fishery is in decline, and
attribute the decline in part to the presence of salmon farms in their
territory. This has been a recurrent theme in the consultation with various
Aboriginal groups both by provincial and federal authorities since the
introduction of farm fishing. It is argued that at least some of the fish
farms, including the Burdwood site, are located on the juvenile out-migration
routes of pink and coho salmon stocks traditionally harvested by the KAFN, and
which are presently in a depressed state.
[13]
The
fish farms are floating nets that are secured to the sea floor in deep marine
water by anchors and occupy the column of water above their anchors up to the
surface of the water. These nets contain hundreds of thousands of fish which
are raised from cultivated eggs in a hatchery and are then moved to the nets,
where they remain until they are harvested.
[14]
The
scientific evidence with respect to the environmental and health hazards
created by fish farms is obviously the subject of much debate. The Applicant,
like many other Aboriginal groups and environmental non-governmental
organizations, contend that a large number of Atlantic salmon harvested in
these fish farms escape in the Broughton Archipelago and then compete with the
wild salmon in the area for wild food. It is also argued that a large amount
of waste and floating material generated by the antibiotics and other drugs
that are fed to farm fish leave the nets and have a detrimental effect on the
wild salmon. Some scientists are also of the view that aquaculture exacerbates
the proliferation of sea lice, which threaten the wild salmon, and that the
presence of fish farms interferes with the migratory routes of the wild
salmon.
[15]
From
1988 (the advent of aquaculture in BC) through February 2009, the Province was
generally responsible for overseeing the aquaculture industry’s operations
pursuant to provincial laws and regulations. Canada had a
relatively limited role in regard to aquaculture. DFO, the lead federal agency
for aquaculture, was responsible for administering, monitoring and enforcing
compliance with federal laws and regulations relating to conservation and
protection, environmental and habitat protection, and aquatic animal health.
DFO conducted scientific research related to aquaculture policy and carried out
initiatives to improve the business climate for aquaculture. Environment Canada, Transport
Canada, Health Canada and the Canadian Food Inspection Agency were
also involved in various aspects of the regulation of the industry. The
respective responsibilities of the Province and Canada were
addressed in a 1988 Memorandum of Understanding (Thomson Affidavit, paras
18-24; Respondent’s Record, pp. 361-363).
[16]
As
previously mentioned, the BC Supreme Court held in February 2009 that the
regulation of aquaculture was within the federal government’s jurisdiction and,
as a result, that the provincial regulatory regime was invalid. Following that
decision, it was then left to the federal government to establish a new
regulatory regime and take the steps necessary to make decisions on the
issuance of federal aquaculture licences. The Province retained some authority
in regard to the issuance of land tenures within provincial jurisdiction for
the purposes of aquaculture, to set labour safety requirements and to take
certain measures respecting business practices.
[17]
Counsel
for the Respondent DFO claimed that the impact of the Morton decision on
DFO’s involvement with aquaculture was “monumental”, and there is no doubt that
the development of a new regulatory regime required an extensive amount of
work. Not only did it involve the drafting of new aquaculture regulations and
three sets of new general aquaculture licence conditions for the main
commercial aquaculture categories (marine finfish, shellfish and freshwater),
but it also necessitated the negotiation of a new memorandum of understanding
with the Province, the creation of an entire regulatory apparatus to administer
the new regulations, and the issuance of approximately 680 aquaculture
licences.
[18]
Concurrently
with the development of the new regulations, in 2009 through early 2010, DFO
led an extensive consultation process, gathering input from governments and
interested parties, including First Nations and other Aboriginal groups,
regarding the future development of sustainable aquaculture. DFO held
approximately 30 workshops across the country and consulted with over 500
representatives which led to the November 2010 Strategic Action Plan
Initiative 2011-2015 Overarching Document and five strategic action plans
including the 2011-2015 West Coast Marine Finfish Sector Strategic Action
Plan.
[19]
These
various tasks clearly put DFO and, more generally, the federal government under
enormous pressure. The issue to be decided, however, is whether the Crown
fulfilled its duty to consult and, if necessary, the duty to accommodate as a
result of the consultation undertaken by DFO with the affected First Nations.
The following account of the consultation that took place from the beginning of
2009 until the issuance of the two impugned licences is based on the affidavits
filed by Chief Robert Chamberlin, on behalf of the Applicant, and by Andrew
Thomson, Director of the Aquaculture Management Division of the Pacific Region
for DFO, on behalf of the Minister of Fisheries and Oceans.
[20]
DFO’s
first step in implementing the Morton decision was to draft new
regulations under the federal Fisheries Act, RSC 1985, c F-14. These
eventually became the Pacific Aquaculture Regulations, SOR/2010-270 [Regulations].
According to the Regulatory Impact Analysis Statement (RIAS) published in July
2010 (Thomson Affidavit, Exhibit “C”), meetings were held with all interested
and affected parties in developing the new regulatory regime, including BC
provincial and municipal governments, First Nations and other stakeholder
groups including industry, environmental groups and the general public.
[21]
On
March 10, 2009, Chief Chamberlin wrote to Paul Sprout, Regional Director
General of DFO, notifying DFO that the KAFN had Aboriginal fishing rights that
would be impacted by the licensing of aquaculture sites in the Broughton
Archipelago, and requesting consultation on that issue. On April 1, 2009, Mr.
Sprout responded to Chief Chamberlin’s letter and explained that DFO was
considering the implications of the Morton decision, that DFO recognized
any regulatory transition would require consultation, and that it intended to
engage in meaningful consultation with First Nations, industry and stakeholders
during the transition. The letter specifically stated that DFO intended to
provide the KAFN with the opportunity to discuss the management and regulation
of aquaculture with DFO representatives.
[22]
In
order to facilitate consultation with a large number of First Nations, DFO
contracted with both the Aboriginal Aquaculture Association and the First
Nations Fisheries Council to host meetings with First Nation groups in BC.
These meetings were intended to provide information and to elicit First
Nations’ views on what elements a new regulatory regime for aquaculture should
include. The Aboriginal Aquaculture Association was established in 2003 to
assist, support and facilitate the meaningful participation of First Nations in
sustainable aquaculture development. The First Nations Fisheries Council was
appointed by the BC First Nations Leadership Council to address common
fisheries issues, priorities and concerns.
[23]
In
April 2009, DFO entered into an Aboriginal Aquatic Resource and Oceans
Management Program Collaborative Management Contribution Agreement with the Aboriginal
Aquaculture Association, to support the carrying out of consultations with
First Nations regarding aquaculture. DFO also entered into a similar agreement
with the Fisheries Council to facilitate the engagement of Aboriginal groups in
dialogue around the use of management of aquatic resources and ocean spaces, by
way of capacity building and encouraging inter-community dialogue and
collaboration. In total, DFO provided $2,143,830 of capacity funding for
Aboriginal fisheries programs, including workshops, meetings and consultation
on the Regulations.
[24]
On
May 14, 2009, DFO representatives met with the Fisheries Council to discuss the
proposed approach for the initial consultation on the Regulations and
the tight timelines. The Fisheries Council expressed an interest in
contributing to the overall process, reviewing the materials for consultation
and providing advice.
[25]
On
June 16 and 17, 2009, DFO hosted meetings in Vancouver and Campbell
River
to seek First Nations’ views on the Morton decision. They were looking
to obtain advice pertaining to the development of specific consultation
protocols and plans for addressing regulatory management proposals and to focus
on the options for structuring the aquaculture management regime. Over 32
First Nations, Tribal Councils and First Nation organizations attended these
meetings, including Chief Chamberlin and Sandy Johnson of the KAFN, and Brian
Wadhams of the MTTC.
[26]
On
December 10 and 11, 2009, DFO met with BC First Nations and stakeholder groups
in Campbell River, BC to gather their input and recommendations on the
development of a new regulatory regime for finfish aquaculture. Chief
Chamberlin attended both of these meetings. During the meeting, DFO explained
the regulatory development process, the principles behind the Regulations,
the scope of the Regulations, licensing and licence conditions,
pollution measures, notification and reporting requirements, enforcement,
inspections, audits and fees, and operational policies and guidelines.
[27]
Additionally,
DFO funded a workshop held on December 14, 2009 in Nanaimo by the
Aboriginal Aquaculture Association to discuss, among other things, the
development of the Regulations and to gather input with respect to
sustainable aquaculture development. A second workshop was held at the same
location on March 30, 2010 to discuss these issues. These workshops were
attended by 25 First Nations and four First Nations organizations, and Chief
Chamberlin attended both of these meetings.
[28]
In
February and March 2010, DFO funded the First Nations Fisheries Council to
conduct a series of community meetings/dialogue sessions with First Nations,
across British
Columbia.
The purpose of the meetings was to share information and to seek input and
guidance from First Nations on the development of a new regulatory regime for
aquaculture, on the basis of a Discussion Paper released in November 2009 by
DFO, entitled Federal BC Aquaculture Regulation & Strategic Action Plan
Initiative Discussion Document. Chief Chamberlin attended six of these
meetings.
[29]
The
First Nations Fisheries Council produced a summary report of the March 2, 2010
meeting in Alert
Bay. After
stating that the Council is not a consultative body and does not act as a
consultation body for DFO, and therefore that “…meetings with DFO did not in
any legal way constitute consultation”, the Report states, among other things:
The attendees were unanimous that fish
farms in their present form are not acceptable within the traditional
territories of the First Nations in attendance, regardless of how they are
managed. Closed containment fish farms are the only acceptable forms of
finfish aquaculture in the First Nations’ territories of the Broughton
Archipelago. Furthermore, it is disturbing that foreign companies are permitted
to operate in First Nation territorial waters without First Nations consent.
These are fundamental issues that need to be addressed before there can be
meaningful involvement from First Nations in creating an aquaculture
regulation. Yet DFO’s presentation was limited to the content of the
regulation. Later discussion will be held with First Nations on the National
Aquaculture Strategy Action Plan Initiative (NASAPI), but DFO’s unwillingness
to discuss specific issues or how they will be managed on an ongoing basis
creates an artificial separation. First Nations want to be involved in the
creation of a new aquaculture regulation, but they are not fully confident that
their concerns will be taken into account.
Record of the Respondent, Attorney
General of Canada and Minister of Fisheries and
Oceans, vol 3, Affidavit of Andrew Thomson, Exh. V, p 623
[30]
The
Report goes on to mention the short time frame set by DFO:
First Nations are not all fully
knowledgeable about the subject or the issues. They need time to speak to
others, to learn, to build capacity, etc. The timeline proposed by DFO feel
[sic] rushed and will not permit First Nations to engage meaningfully. As
First Nations have such a high interest in the outcome of the process, DFO
should be held to addressing First Nations concerns adequately. In this
regard, First Nations need to work together to assemble a set of expectations.
Ibid
[31]
On
May 26, 2010, a joint First Nations Fisheries Council/DFO working group was
formed, to work on areas of joint interests regarding aquaculture. Andrew
Thomson of DFO and Chief Chamberlin were co-chairs of the Aquaculture Working
Group. The Working Group met on five occasions between June and December,
2010, to discuss DFO’s plans to develop and implement the new regulatory and
licensing regime for aquaculture in BC.
[32]
In
addition to the foregoing consultations, DFO sent a letter to approximately 70
coastal First Nations on July 13, 2010, advising that the new draft aquaculture
regulations had been published in the Canada Gazette Part I, and
inviting comments during the 60-day public review period. This letter
outlined, generally, DFO’s intended approach to regulating aquaculture. The
letter also noted that for any new federal licences to be issued in December
2010, DFO did not intend to make changes to previous approvals, i.e., increases
in production, size of existing facilities or permissible species. Rather, the
letter noted, such changes would be individually reviewed in future years.
[33]
DFO
received direct responses to the July 13, 2010 letters from 12 Aboriginal
groups representing 28 First Nations. In addition, DFO received over 900
email, letter and fax submissions during the 60-day comment period. From
August through November 2010, the submissions were reviewed and necessary
amendments were made. In his affidavit, Andrew Thomson claims that the
comments and recommendations received, assisted in the refinement of a number
of provisions of the Regulations. However, Chief Chamberlin states in
his affidavit that none of the feedback offered by the KAFN was incorporated
into the final text of the Regulations, as published on December 8, 2010 in Part II of
the Canada Gazette.
[34]
The
main management tool under the new regulations is the issuance of licences dictating
the conditions to which an operator must adhere. The licence conditions set
out specific management requirements such as fish health management plans,
escape prevention requirements, measures to minimize impacts on fish and fish
habitat, and measures for environmental monitoring record keeping, notification
and reporting.
[35]
The
DFO announcement that all expiring provincial aquaculture licences would be
replaced with federal licences was unanimously opposed by the three principal
First Nations organizations in British Columbia. On August 10, 2010,
the First Nations Summit, the Union of BC Indian Chiefs and the BC Assembly of
First Nations wrote a joint letter to the DFO Minister, expressing concern
about the Department’s plan to roll over existing aquaculture licences. This
letter also expressed the view that such a roll over without consultation and
accommodation of the infringements caused by these licences “would be
unconstitutional” (Applicant’s Record, vol II, Affidavit of Robert Chamberlin,
p 632).
[36]
On
August 24, 2010, the KAFN responded to the DFO letter dated July 13, 2010,
requesting a meeting to discuss the KAFN’s preliminary response to the draft Regulations
and the accompanying RIAS. The meeting occurred in Nanaimo on September
2, 2010. During the meeting, Mr. Thomson informed Chief Chamberlin that DFO
was planning to develop different classes of licences and conditions for
aquaculture, and that it would be sharing the draft licences with First Nations
as they became available. Chief Chamberlin expressed interest in reviewing the
licences and participating in developing conditions, but did not raise any
issues pertaining to the two facilities which are the subject of this
application for judicial review.
[37]
During
that same meeting, Chief Chamberlin expressed interest in area-based planning
for the Broughton area, and Mr. Thomson agreed to continue to engage the KAFN
and MTTC on these issues. DFO also provided an update on its plans to develop
Integrated Management of Aquaculture Plans (“IMAP”) for aquaculture in BC. This
update explained that IMAPs will be the mechanism for setting, consulting on
and generally communicating policy development and conditions for future
licence issuance and will take a geographic, ecosystem-based approach to
aquaculture management. DFO had not determined how it would define the
management areas, although it anticipated that each area would likely
incorporate the claimed traditional territories of multiple First Nations.
Consultation would therefore be required on an aggregate basis and through
multiple forums, with bilateral consultations on an as-requested and as-needed
basis. At the meeting and in a follow-up letter, the KAFN expressly informed
DFO of the potential for the issuance of aquaculture licences to impact its
Aboriginal rights, and of the need for direct consultation in respect of any
proposed licence replacements in the KAFN fishing grounds.
[38]
On
September 24, 2010, DFO responded to that letter requesting a further meeting
with the KAFN to continue discussing the KAFN’s interests and concerns with
DFO’s proposed regulatory regime for aquaculture. In particular, they were
looking to discuss DFO’s proposed approach to licensing aquaculture facilities
and the use of IMAPs. The letter did not address the KAFN’s request for
consultation on specific licences in KAFN territory. The letter once again
emphasized that the new federal licences would not involve increases in
production or changes to the size of existing facilities or permissible
species, and advised that DFO was in the process of developing licence
conditions that would set out specific management requirements. Finally, the
letter stated that examples of draft licences with applicable conditions were
expected to be completed by mid-October, and that DFO would be interested in a
follow-up meeting to hear the KAFN’s views on these conditions.
[39]
On
October 4, 2010, DFO wrote to BC First Nations to provide additional
information on its plans to establish a new federal licensing regime. The letter
explained that DFO was in the process of establishing the new Regulations
and would ensure that any existing aquaculture operations are able to obtain a
federal licence to operate lawfully under the Fisheries Act. It further
explained that DFO’s intention with respect to the new licensing regime was to
develop four classes of licence for marine finfish operations, freshwater
finfish operations, shellfish operations, and enhancement facilities. This
would allow for the setting of specific management requirements as conditions
to the licence. The letter again reiterated that the new federal licences
would not involve increases in production or changes to the size of existing
facilities or permissible species.
[40]
On
October 21, 2010, DFO representatives again met with the KAFN and the KAFN
provided an agenda to highlight the focus of this meeting. There was a general
discussion on IMAPs, and DFO provided an update on the proposed Regulations
and its plans for licensing existing facilities, including those in the
Broughton Archipelago. With the exception of a request for maps of the
licences in their traditional territories, there were no further discussions
about licences following the update. The KAFN did not raise any concerns
regarding specific farms, such as the Burdwood and Blunden Pass farms.
[41]
The
requested maps were provided to the KAFN on November 2, 2010. When asked for
comments on the maps, counsel for the KAFN responded in an email dated November
9, 2010: “The maps look good, there is the matter of far field effects and to
what extent that requires consultation on farms near, but outside the KAFN
boundary. But I’ll give you a more formal response on that shortly” (Record of
the Respondent, Attorney General of Canada and Minister of Fisheries and
Oceans, vol 4, Affidavit of Andrew Thomson, p 1000). No further comments or
requests were received from the KAFN until November 19, 2010. Moreover, the
MTTC cancelled a meeting with DFO that was to be held on October 26, 2010. The
meeting was tentatively rescheduled for the latter half of November, 2010.
Despite three DFO requests for an agenda for the meeting, one was never
provided by the MTTC.
[42]
On
October 27, 2010, DFO sent a letter to all BC First Nations, including the
KAFN, enclosing three draft licence templates for the three main commercial
aquaculture categories (marine finfish, shellfish and fresh water). The letter
explained that the templates set out the generic contents of the licences that
DFO intended to issue and included the full range of conditions that it foresaw
being included in the actual licences. DFO’s intent was that the licences
would include specific information to the individual operations, but that they
would closely follow the template. The letter also asked for comments or
questions on the draft licence templates by November 12, 2010. The deadline
was subsequently extended to November 19, 2010, at the request of counsel for
the Applicant.
[43]
On
November 19, 2010, counsel for the MTTC/KAFN submitted comments to DFO regarding
the draft licences. The letter acknowledged from the outset that “the licence
conditions set out in the draft template are nearly identical to the licence
conditions under existing provincial regulation”. Counsel then stated her
clients traditional concerns with salmon farms and aquaculture in general, in
the following terms:
Our traditional territory in the
Broughton Archipelago has had the highest concentration of salmon farms in the
province for nearly two decades. For this entire period, we have engaged in
consultations with the province about the licensing of salmon farms and their
impacts on our Aboriginal right to the wild fishery. During this time, we have
experienced significant sea lice infestations in our territory, several disease
outbreaks, numerous escapes of exotic Atlantic salmon into our wild salmon
habitat areas, visible pollution of our shellfish food beaches, and an overall
decline of our local wild salmon, herring, eulachon and ground fish stocks. We
have very serious concerns about the heavy use and buildup of pesticides,
disease antibiotics and antifoulants in our marine ecosystem – the system that
has been the primary source of our food since time immemorial. The use of
night lights and net pen by-catch are also areas of significant concern for us
as a cause of depletion of our wild fishery. To date, these problems and
concerns have not been resolved, and we do not see any progress in DFO’s
adoption of the previous provincial regime.
Applicant’s Record, vol II, Affidavit of
Robert Chamberlin, p 649
[44]
Instead
of spending time and resources on a detailed technical review of a draft
template of generic licence conditions, which raised questions they felt they
were not well-positioned to answer, counsel indicated for the first time that
they wished to turn their focus to consultations on concerns with impacts and
risks of the specific finfish licences in their traditional territory. In
their view, the draft licence template conditions did not address their
concerns.
[45]
In
that same letter, the MTTC/KAFN also stated for the first time, a position that
system-wide matters in regard to all the salmon farms in the Broughton
Archipelago had to be addressed prior to issuance of federal licences:
In a letter to you dated September 8,
2010, one of our member nations emphasized its strong interest in engaging in a
Broughton Archipelago area based management plan. This is an approach that
will allow us to exchange basic and fundamental information such as how many
farms are operating in our collective territory and at what volumes and
production cycles, whether there will be a fallow strategy to accommodate the
outgoing migration of our local wild stocks, and whether there are any adequate
processes in place to assess the cumulative effects of a large number of farms
in the Broughton Archipelago ecosystem. In our view, these are fundamental
concepts that must be addressed prior to DFO’s issuance of aquaculture licences
in our territory, and prior to detailed discussions on licence conditions.
Applicant’s Record, vol II, Affidavit of
Robert Chamberlin, p 649
[46]
On
the face of it, this new position taken by the MTTC/KAFN would have required
the completion of a multilateral consultation with all interested First Nations
in the Broughton Archipelago ecosystem, in regard to an area management plan
for the Broughton Archipelago. Finalization of that plan (including any
necessary fallowing strategy for the entire region) prior to issuance of
licences effective December 19, 2010, would also be required.
[47]
In
response to a request by the MTTC/KAFN in their letter dated November 19, 2010,
a meeting was held on December 10, 2010. What was said at that meeting is not
entirely clear, as it was not explicitly recorded. It appears that the
MTTC/KAFN somewhat altered its position. They did not ask that DFO complete
consultations and institute an area management plan and a fallowing strategy
for the Broughton Archipelago region, over the eight days before expiry of the
provincial licences. Instead, the MTTC/KAFN acknowledged it was reasonable in
the circumstances that consultations on the salmon farms in the Broughton
Archipelago region, and their impacts on the MTTC/KAFN’s asserted Aboriginal
rights, would have to continue over a transitional period after issuance of the
federal licences. During the one year transitional period, consultations on an
area-based management approach, as well as on non-regional site-specific
matters raised, would be ongoing.
[48]
Chief
Chamberlin recognized further that a regulatory vacuum for farms stocked with
fish was undesirable, and acknowledged that the expiration of provincial
licences was imminent. The MTTC/KAFN requested that no licences be issued for
the following selection of salmon farms:
a)
the farms that were not currently stocked with fish, as there was no immediate
need for DFO to authorize dormant fish farms to operate (one of which is the
Blunden site);
b)
the two farms – Upper Retreat and Blunden Pass – which are in shallow areas and
have soft bottoms that in the past have caused a build-up of deleterious
substances harmful to fish habitat, and which are near clam beaches and crab
areas that have had a significant increase in sediment pollution; and
c)
the six key farms in MTTC territory – Burdwood, Sargent’s Pass, Humphrey Rock,
Glacier Falls, Cliff Bay and Sir Edmund – which are on the primary migratory
route of juvenile salmon stocks that are presently in significant distress
(alternatively, the KAFN requested that these farms be phased out as soon as
practicable).
[49]
This
was the first time over the course of the consultations that the MTTC/KAFN had
communicated to DFO, site-specific concerns and requests for changes relating
to specific farms (such as the Burdwood and Blunden Pass farms, which are the
subject of this application). In the follow-up letter to that meeting dated
December 17, 2010, counsel for the MTTC/KAFN stated that they “hope to see
their interim input reflected in those [licensing] decisions, [for the
selection of sites identified at the meeting]” and that they “look forward to
ongoing dialogue in the new year”. They requested that DFO provide written
notice of the licensing decisions for those sites at its earliest convenience.
Accordingly, one of the DFO officials who attended the December 10, 2010 meeting
provided the MTTC/KAFN input to Mr. Thomson on Monday, December 13, 2010.
[50]
In
making his decision on behalf of the DFO, Mr Thomson stated in his affidavit
that he had knowledge of and did consider the following information:
i) the
information contained in the provincial licences;
ii)
all information provided by First Nations during the course of DFO’s
consultations, and through correspondence with those First Nations;
iii)
information from the licence applicants/proponents as put forward in their
applications;
iv)
scientific information pertaining to aquaculture environmental impacts,
including that prepared by DFO, and various peer-reviewed research articles in
scientific journals;
v)
knowledge of finfish aquaculture generally, acquired during the course of his
education and professional experience;
vi)
knowledge that there were no changes to the existing operations (e.g. increases
in production, change of species) allowed in the federal licences;
vii)
knowledge that the federal licences were of limited duration (in the case of
finfish licences – 12 months) which would allow for a careful review of the
licences and conditions and provide an opportunity to make any necessary
changes to individual licence conditions during this period; and
viii)
knowledge of the measures, described in his affidavit, that address fish health
and environmental concerns such as those expressed by the KAFN.
Respondent Record of the Attorney General
of Canada and Minister of Fisheries and Oceans, Vol 2, Affidavit of Andrew
Thomson, para 135
[51]
On
December 18, 2010, DFO issued approximately 680 aquaculture licences for
finfish, shellfish, freshwater and enhancement operations, including the 22
licences in the Broughton Planning Area (17 of which, according to the
Applicant, are within KAFN territory). Since the issuance of the Regulations
and of the licences, there is evidence that DFO has been consulting with First
Nations regarding the development of IMAPs. These IMAPs are intended to take a
geographic, ecosystem approach to aquaculture management and will be the
mechanism for setting, consulting on and generally communicating policy
development and conditions for the issuance of future licences.
[52]
Prior
to the hearing of this application, counsel for the Respondent Attorney General
of Canada, brought a motion to strike the affidavit of Michael Price, submitted
on behalf of the Applicant, on the grounds that it is inadmissible as expert
evidence and not in compliance with Rule 52.2 of the Federal Courts Rules,
SOR/98-106 and the Code of Conduct for Expert Witnesses, as set out in
the schedule to the Rules. Ewos Canada Ltd., doing business as Mainstream
Canada, also brought a similar motion, not only to strike the affidavit of
Michael Price but also to strike out some paragraphs of the affidavit sworn on
behalf of the Applicant by Robert Mountain, Local
Fisheries Outreach Coordinator for the MTTC. In a letter
dated October 19, 2011, Marine Harvest voiced its support for these motions.
They were heard at the beginning of the hearing on November 7, 2011, and I
indicated that I would rule on them as part of my decision on the merit.
2. Issues
[53]
This
application for judicial review raises the following issues:
1) Does the
KAFN have the requisite standing to bring this application for judicial review?
2) Did Canada, as
represented by DFO, have a duty to consult with the KAFN about the issuance of
the aquaculture licences, and more specifically the Burdwood and Blunden
licences? If so, what was the extent of the Crown’s duty?
3) Were DFO’s
efforts at consultation reasonable under the circumstances?
[54]
Before
dealing with these issues, however, I will first address the two motions to
strike brought by the Respondents.
3. Analysis
- The
Motions to Strike
[55]
As
previously mentioned, counsel for the Attorney General of Canada filed an
objection to the admissibility of the Expert Affidavit of Michael Price and
brought a motion to have it struck in its entirety. Counsel submitted that the
affidavit is deficient in a number of areas as it failed to set out: 1) the
proposed expert evidence of Mr. Price and merely sets out the conclusions;
2) Mr. Price’s qualifications in relation to the issues addressed in his
evidence; and 3) the particulars of matters that might affect Mr. Price’s duty
to the Court.
[56]
Counsel
for Mainstream Canada filed a similar objection and also brought a motion to
strike, on the same grounds as the Attorney General, as well as on the grounds
that Mr. Price is not an independent and impartial expert witness as he has
been a critic of aquaculture.
[57]
The
Applicant asserts Aboriginal rights to harvest marine resources within its
claimed traditional territory in the Broughton Archipelago. The Applicant
claims that the two farms are in its traditional territory and interfere with
its Aboriginal rights through pollution of the marine environment and the
transmission of parasites and diseases from farmed to wild salmon.
[58]
In
support of its claim that fish farming is detrimental to the health and
environment of the First Nations living in the claimed territory, the Applicant
has filed the affidavit of Mr. Michael Price, an MSc candidate in biology at
the University of Victoria, whose thesis deals with the early marine ecology of
Pacific juvenile salmon. His study areas include British Columbia’s central
coast and the Discovery
Islands region south of the
Broughton Archipelago. According to his affidavit, his opening thesis chapter
“compares levels of sea lice on juvenile pink and chum salmon migrating through
each of the above regions (near and far from salmon farms) to those within the
Broughton Archipelago”, while the rest of his thesis “focuses on human
stressors influencing the early marine ecology of wild juvenile Fraser River
sockeye salmon, with a specific focus on marine salmon farms and farm salmon
processing facilities” (Applicant’s Record, vol I, p 110).
[59]
The
Attorney General’s contention that Mr. Price fails to set out his
qualifications that permit him to reach his overall conclusion can be easily
disposed of. In his first affidavit, Mr. Price sets out his qualifications in
detail, and attaches his curriculum vitae. The Attorney General’s
argument that Mr. Price is not qualified on the particular question that is the
subject of this application because his study area does not include the area in
dispute, is totally without merit. One does not need to be an expert on the
minute subject of the controversy, to offer meaningful help to the Court. As a
biologist with an interest in understanding marine host-parasite systems and
the potential stressors facing wild juvenile salmon as a consequence of open
net pen fish farming, Mr. Price is prima facie well suited to form
general opinions as to the state of the science and its application to the
Burdwood farm.
[60]
As
the Attorney General relies heavily on Rule 52.2 of the Federal Courts Rules
and on section 3 of the Code of Conduct for Expert Witnesses set out in
the schedule to the Rules, for ease of reference they have been
reproduced:
Federal
Courts Rules, SOR/98-106
Expert’s
affidavit or statement
52.2 (1) An
affidavit or statement of an expert witness shall
(a) set out in
full the proposed evidence of the expert;
(b) set out
the expert’s qualifications and the areas in respect of which it is proposed
that he or she be qualified as an expert;
(c) be
accompanied by a certificate in Form 52.2 signed by the expert acknowledging
that the expert has read the Code of Conduct for Expert Witnesses set out in
the schedule and agrees to be bound by it; and
(d) in the
case of a statement, be in writing, signed by the expert and accompanied by a
solicitor’s certificate.
Failure to
comply
(2) If an
expert fails to comply with the Code of Conduct for Expert Witnesses, the
Court may exclude some or all of the expert’s affidavit or statement.
|
Règles
des Cours fédérales,
DORS/98-106
Affidavit
ou déclaration d’un expert
52.2
(1) L’affidavit ou la déclaration du témoin expert doit :
a)
reproduire entièrement sa déposition;
b)
indiquer ses titres de compétence et les domaines d’expertise sur lesquels il
entend être reconnu comme expert;
c)
être accompagné d’un certificat, selon la formule 52.2, signé par lui,
reconnaissant qu’il a lu le Code de déontologie régissant les témoins experts
établi à l’annexe et qu’il accepte de s’y conformer;
d)
s’agissant de la déclaration, être présentée par écrit, signée par l’expert
et certifiée par un avocat.
Inobservation
du Code de déontologie
(2)
La Cour peut exclure tout ou partie de l’affidavit ou de la déclaration du
témoin expert si ce dernier ne se conforme pas au Code de déontologie.
|
Federal
Courts Rules, SOR/98-106,
sched Code of Conduct for Expert Witnesses
Experts’
Reports
3. An
expert’s report submitted as an affidavit or statement referred to in rule
52.2 of the Federal Courts Rules shall include
(a) a
statement of the issues addressed in the report;
(b) a
description of the qualifications of the expert on the issues addressed in
the report;
(c)
the expert’s current curriculum vitae attached to the report as a
schedule;
(d)
the facts and assumptions on which the opinions in the report are based; in
that regard, a letter of instructions, if any, may be attached to the report
as a schedule;
(e) a
summary of the opinions expressed;
(f) in
the case of a report that is provided in response to another expert’s report,
an indication of the points of agreement and of disagreement with the other
expert’s opinions;
(g)
the reasons for each opinion expressed;
(h)
any literature or other materials specifically relied on in support of the
opinions;
i) a
summary of the methodology used, including any examinations, tests or other
investigations on which the expert has relied, including details of the
qualifications of the person who carried them out, and whether a
representative of any other party was present;
(j)
any caveats or qualifications necessary to render the report complete and
accurate, including those relating to any insufficiency of data or research
and an indication of any matters that fall outside the expert’s field of
expertise; and
(k)
particulars of any aspect of the expert’s relationship with a party to the
proceeding or the subject matter of his or her proposed evidence that might
affect his or her duty to the Court.
|
Règles
des Cours fédérales,
DORS/98-106, ann Code de déontologie régissant les témoins experts
Les
rapports d’expert
3.
Le rapport d’expert, déposé sous forme d’un affidavit ou d’une déclaration
visé à la règle 52.2 des Règles des Cours fédérales, comprend :
a)
un énoncé des questions traitées;
b)
une description des compétences de l’expert quant aux questions traitées;
c)
un curriculum vitae récent du témoin expert en annexe;
d)
les faits et les hypothèses sur lesquels les opinions sont fondées, et à cet
égard, une lettre d’instruction peut être annexée;
e)
un résumé des opinions exprimées;
f)
dans le cas du rapport qui est produit en réponse au rapport d’un autre
expert, une mention des points sur lesquels les deux experts sont en accord
et en désaccord;
g)
les motifs de chacune des opinions exprimées;
h)
les ouvrages ou les documents expressément invoqués à l’appui des opinions;
i)
un résumé de la méthode utilisée, notamment des examens, des vérifications ou
autres enquêtes sur lesquels l’expert se fonde, des détails sur les
qualifications de la personne qui les a effectués et une mention quant à
savoir si un représentant des autres parties était présent;
j)
les mises en garde ou réserves nécessaires pour rendre le rapport complet et
précis, notamment celles qui ont trait à une insuffisance de données ou de
recherches et la mention des questions qui ne relèvent pas du domaine de
compétence de l’expert;
k)
tout élément portant sur la relation de l’expert avec les parties à
l’instance ou le domaine de son expertise qui pourrait influencer sur son
devoir envers la Cour.
|
[61]
The
Attorney General’s main complaint with respect to Mr. Price’s affidavit, is
that it falls short of the requirement found at paragraph 52(2)(1)(a) of the Federal
Courts Rules, as further clarified in paragraphs 3(d), (g), (i) and (j) of
the Code of Conduct for Expert Witnesses.
[62]
Mr.
Price sets out his overall conclusion at paragraph 7 of his affidavit, where he
states:
The
scientific evidence for the transmission of parasites and diseases from farm
salmon to wild salmon is not conclusive, nor complete. However, there are a
number of peer-reviewed scientific studies that indicate there are significant,
ongoing, and unaddressed risks to wild juvenile salmon exposed to salmon farms
located along migration routes in the Broughton Archipelago.
[63]
Mr.
Price then elaborates further on this conclusion and explains the reasons for
this conclusion. By way of example, he states that the farms at issue use open
net pens to grow salmon; thus, there is no physical barrier to restrict the
transfer of pathogens from farmed salmon to wild salmon. He further goes on to
say that wild salmon are more susceptible to pathogen infection as juveniles,
and the Burdwood farm is located immediately seaward of salmon rivers, from
which wild juvenile salmon migrate (para 7 of his affidavit).
[64]
Mr.
Price then ties these general statements to the particular situation of the
Burdwood farm at issue in the within application for judicial review. In this
respect, he states the following (para 8 of his affidavit):
The
Burdwood farm is located in Tribune Channel. The Burdwood farm poses a real and
significant risk to salmon, for several reasons. First, Burdwood is located
immediately seaward of salmon rivers, which poses a very high risk of impact of
farm pathogens on the most delicate, juvenile phase of wild pink and chum
salmon. There are several studies that show juvenile salmon sampled near
Burdwood have consistently hosted elevated levels of sea lice. Second, five
depressed pink salmon populations in the Broughton Archipelago likely migrate
past Burdwood en route to the open ocean, and their decline is considered to be
in response to salmon farm exposure. Third, the close proximity of Burdwood to
other farms (i.e., <10 km) may enhance farm-to-farm disease transmission and
amplification (and transmission to migrating wild salmon), as has been shown in
the past for Burdwood and other farms in the Broughton Archipelago. Disease
amplification on salmon farms such as Burdwood, and transmission to wild salmon,
is one of the most serious concerns because quarantine of infected populations
rearing in farm net-pens is not possible.
[65]
The
only problem with his affidavit is that his opinion is based entirely on 24
peer-reviewed scientific articles, only one of which he was involved in
authoring. This, in itself, may not have been critical if he had provided his
own analysis and review of the literature. Instead, he merely attaches the
articles as exhibits and purports to summarize them with one or two sentence
conclusions which he says arise from the articles. He then adopts these
conclusions as his own, in support of his overall opinion.
[66]
This
method is highly problematic. Of course, as a biologist himself, Mr. Price is
qualified to capture the gist of the reviewed articles. The problem, however,
is that he does not give much of an explanation as to how he arrives at his own
summary of these articles. Nor can he comment on the methodology used or the
qualifications of the person who carried these studies. Mr. Price does not
explain how the conclusions he draws for the articles, supports his own overall
opinion that the Burdwood farm poses a real and significant risk to salmon.
This would indeed have been helpful, as none of the studies referenced in his affidavit
specifically relate to the Burdwood farm, nor its impact on juvenile wild pink
and chum salmon. In fact, only two studies relate to the interaction between
wild salmon and farmed salmon.
[67]
The
problems identified above are compounded by the fact that Mr. Price has
publicly spoken out on the serious risks posed by aquaculture and has voiced
his opposition to fish farms, on more than one occasion. For example, the
evidence shows that the Raincoast Conservation Society, Mr. Price’s employer,
is to use “informed advocacy” to further its conservation objectives. Mr.
Price also acknowledged in his second affidavit of June 17, 2011, that in 2006
he made statements expressing his opposition to aquaculture as it is now
practiced, in a presentation to the Special Committee on Sustainable
Aquaculture struck by the British Columbia Legislative Assembly. These views
were also expressed in multiple letters to the editor of the Times Colonist, as
well as in a letter to King Herald V of Norway, dated August 17, 2009. He has recommended
that migration routes and rearing areas for juvenile wild salmon be freed of
salmon farms immediately, and at bare minimum, farms located on migration
routes and/or rearing areas should be emptied during the period when juvenile
salmon are entering the sea from their natal rivers. He has also stated that
there must be a transition of the entire industry to closed containment systems
within a reasonable time period.
[68]
Of
course, these views should not disqualify him as an expert. Mr. Price has
signed the required certificate certifying that he read the Code of Conduct
for Expert Witnesses, which explicitly mentions at section 1 that an expert
witness, “has an overriding duty to assist the Court impartially”, and has
agreed to be bound by it. Moreover, Mr. Price has sworn in a third affidavit
dated October 18, 2011, that he does not have a personal or professional
relationship with the parties to this proceeding. Finally, impartiality does
not mean that scientists are not entitled to have their own particular views
within the scientific debates of their field. As long as an expert does not
become an advocate and does not camouflage an argument under the guise of an
expert opinion, his or her testimony will be admissible.
[69]
That
being said, I find it disturbing that Mr. Price failed to disclose the details
of his relationship with the Raincoast Conservation Society. This is contrary
to paragraph 3(k) of the Code of Conduct for Expert Witnesses, which
requires the expert affidavit to set out particulars of any aspect of his
relationship with the Applicant in this proceeding, or the subject matter of
his proposed evidence, that might affect his duty to the Court. He may also
have been well-advised to be more transparent and to disclose to the Court his
previous statements in relation to aquaculture on the BC coast.
[70]
These
deficiencies are not sufficient to render the affidavit of Mr. Price
inadmissible. They are, however, important factors that have an effect on the
weight to be given to his evidence. His strong views with respect to fish
farming, cannot but cast some lingering doubts on his choice of reviewed
articles, as well as on the conclusions that he draws from these articles.
From a methodological perspective, an expert opinion based entirely on studies
done by other experts is obviously less compelling than an opinion derived from
the expertise of the author himself or herself, and is subject to all the
pitfalls of a second-hand opinion.
[71]
As a
result of the above considerations, I am inclined to give little weight to the
affidavit of Mr. Price. I accept that there is a body of scientific evidence
that shows the potential for impact of the Burdwood farm on wild salmon.
Indeed, Mr. Price himself confesses that the scientific evidence is neither
conclusive nor complete. The affidavit of Mr. Price is therefore held to be
admissible, for this limited purpose only. There is no need to go any
further. It is clearly not for this Court, in the context of this application
for judicial review, to determine whether or not the health and environmental
hazards put forward by the Applicant have been substantiated.
[72]
Counsel
for Mainstream Canada also brought a motion to strike out paragraphs 8 to 12,
15 to 25, 27 to 31, 34 and 35 and Exhibits D to G of the affidavit sworn March
9, 2011 by Chief
Robert Mountain, on the grounds that it
contains inadmissible hearsay, opinion and argument.
[73]
As
set out in paragraphs 4, 5 and 6 in
his affidavit, Chief Mountain was born and
raised in Broughton Archipelago (where the Burdwood and Blunden sites are
located). He was taught to fish in that area by his grandfather from the age
of 5, and has been fishing both commercially and for subsistence in the area
for the past 48 years. At the time of swearing the affidavit, Chief Mountain had served for twelve
years as an Aboriginal Fisheries Guardian in the area, a program funded and
supervised by DFO. Subsequently, he served six years as the Local Fisheries
Outreach Coordinator for the local Tribal Council (of which the KAFN is a
member), with the primary responsibility of gathering “information related to
the wild fishery and aquaculture operations in the Broughton Archipelago”
(Applicant’s Record, vol II, p 357, para 5). He states that in the course of
this work he has spent many days on the water, monitoring the wild and farmed
fisheries in the area.
[74]
Rule
81 of the Federal Courts Rules requires that, except on motions,
affidavits be confined to facts within the personal knowledge of the deponent.
The rule excluding hearsay is a well-established principle. The Court has
stated that “the purpose of an affidavit is to adduce facts relevant to the
dispute without gloss or explanation. The Court may strike affidavits, or
portions of them, where they are abusive or clearly irrelevant, where they
contain opinion, argument or legal conclusions...” (Canada (Attorney
General) v Quadrini, 2010 FCA 47 at para 18, 399 NR 33; see also: Duyvenbode
v Canada (Attorney General), 2009 FCA 120 (available on CanLII); McConnell
v Canadian Human Rights Commission, 2004 FC 817, aff'd 2005 FCA 389).
[75]
Hearsay
evidence is therefore presumptively inadmissible. Unless the proponent of the
hearsay evidence can demonstrate that it meets the twin criteria of necessity
and reliability, the general exclusionary rule of hearsay evidence applies (R
v Khelawon, 2006 SCC 57 at paras 2 and 3, [2006] 2 S.C.R. 787).
[76]
I
agree with counsel for the Applicant that paragraphs 10, 17, 18, 22, 23 and 28
cannot be regarded as hearsay, as they are within Chief Mountain's knowledge on
the basis of his office and experience (see: Smith Kline & French
Laboratories Ltd v Novopharm Ltd, 25 ACWS (2d) 470, 53 NR 68 (FCA); Philip
Morris Inc v Imperial Tobacco Ltd, 8 FTR 310, 3 ACWS (3d) 109 (FC)). Chief Mountain's position as
Aboriginal Fisheries Guardian and Local Fisheries Outreach Coordinator for many
years clearly places him in a position to have personal knowledge of the facts
deposed in these paragraphs. It is also of some relevance that Marine Harvest
has not challenged the evidence of Chief Mountain with contradictory evidence or by way of
cross-examination.
[77]
Paragraphs
15 and 16 contain excerpts of an Advisory Report by the Pacific Fisheries
Resource Conservation Council to the Minister of Fisheries and Oceans Canada
and the Minister of Agriculture, Food and Fisheries of BC (Applicant’s Record,
vol II, Affidavit of Robert Mountain, exhibit “D”, “2002 Advisory: The
Protection of Broughton Archipelago Pink Salmon Stocks”, p 372). The
reliability of this Report poses no serious concerns because Chief Mountain has provided a
copy of the Report and a communiqué summarizing it (see Exhibit “E”). As for
the excerpts from that document found in the affidavit, they are exact
quotations and can easily be verified. It would be unreasonable to view this
report as hearsay and to require its first-hand submission by the Pacific
Fisheries Resource Conservation Council, in these circumstances. The same
reasoning applies to paragraphs 19 to 21 of the affidavit, which refer to the
Final Report of the Special Committee on Sustainable Aquaculture to the BC
Legislature dated May 2007; to paragraphs 27, 28, 30 and 31, which similarly
refer to the Final Report of a survey carried out by Coastal & Ocean
Resources Inc. and funded by the Province (Ibid, exhibit “G”, “Broughton
Archipelago Clam Terrace Survey”, p 466); and to a similar survey carried out
by DFO ( Ibid, exhibit “H”, “An Exploratory Survey for Littleneck Clams
(Protothaca staminea) in the Broughton Archipelago, British Columbia –
2006”, p 505). It is no doubt true that Chief Mountain could not be cross-examined on these various
reports, as he is not the author of such reports. However, counsel for the
Respondent Mainstream did not claim to be prejudiced by the introduction of
these reports per se. It was also open to counsel to introduce
countervailing documents in a similar fashion.
[78]
That
being said, Chief Mountain does cross the
line when he quotes selectively from these reports and offers his own
interpretation of these reports. This is clearly the realm of expert
witnesses. Such an exercise is also fraught with risks and pitfalls. By way
of example, Chief Mountain relies on the final paragraph of the last referred
Report from DFO (Exhibit “H”) to state that “[t]he report concluded that
reports from First Nations and commercial harvesters made to DFO managers
indicate littleneck clam stocks in the Broughton Archipelago are in decline”
(Applicant’s Record, vol II, p 533). He fails to signal, however, that the
same paragraph goes on to state: “Most of the littleneck clams examined were
healthy, so a disease outbreak is not likely the reason why stocks are
depressed. More focused research is needed on the impacts of harvesting and
other human activities on littleneck clam populations”. In my view, this is
not sufficient to exclude these paragraphs, but these commentaries on the
reports are to be given very limited weight.
[79]
Mainstream
Canada also argues that
paragraphs 8, 9, 11, 12, 24, 25, 31, 34 and 35 should be struck out on the
basis that they contain opinion evidence and/or are argumentative. It is of
course well-established that ordinary witnesses should confine themselves to
those facts that are within their personal knowledge, and should not offer
opinion or draw conclusions. Having carefully reviewed the impugned paragraphs
of Chief Mountain’s affidavit, I am of
the view that they are by and large admissible. Summarizing the modern
approach to opinion evidence established by the Supreme Court of Canada in R
v Graat, [1982] 2 S.C.R. 819 (available on CanLII), John Sopinka, Sidney N.
Lederman and Alan W. Bryant, The Law of Evidence in Canada, 2nd
ed, Markham (ON) & Vancouver (BC), Butterworths Canada Ltd, 1999 at p 609:
Courts
now have greater freedom to receive lay witnesses’ opinion if: (1) the witness
has personal knowledge; (2) the witness is in a better position than the trier
of fact to form the opinion; (3) the witness has the necessary experiential
capacity to make the conclusion; and (4) the opinion is a compendious mode of
speaking and the witness could not as accurately, adequately and with
reasonable facility describe the facts he or she is testifying about.
[80]
For
the most part, the statements found in the above-mentioned paragraphs are
largely factual in nature and provide helpful context to this application for
judicial review. It is true that some portions of those paragraphs stray from
fact to opinion and purport to go much beyond what Chief Mountain could
personally observe. Instead of stating events in a matter-of-fact fashion, the
affiant is sometimes tendentious and geared at demonstrating a correlation
between the presence of aquaculture sites and the onset of diseases, and a
decline in salmon stocks in the Broughton Archipelago. To the extent that Chief Mountain offers his own opinion
and professes to draw conclusions on the basis of evidence either scientific in
nature or of which he has no personal knowledge, his statements should be
accorded little weight. I would refrain, however, from trying to excise and
strike out those portions of his affidavit that do not appear to be in
conformity with Rule 81 of the Federal Courts Rules. To some extent,
this is because the line between fact and opinion or argument is not always
clear, and also because the relatively minor offending portions of Chief Mountain’s affidavit
are so intertwined with his otherwise admissible statements, that it would make
his affidavit incomprehensible. For those reasons, I think it preferable to
dismiss the motion of the Respondent Mainstream Canada, and to consider Chief
Mountain’s affidavit with the appropriate caveat as to the weight to be
given to those portions of his testimony that do not derive from his personal
knowledge.
1) Does the KAFN
have the requisite standing to bring this application for judicial review?
[81]
Counsel
for the Respondent Attorney General of Canada contends that this application could only be
brought as a representative proceeding pursuant to Rule 114(1) of the Federal
Courts Rules, by an individual member on behalf of the Aboriginal
collective claiming to hold the Aboriginal right. Since the application has
been brought by the KAFN itself, an Indian Act band consisting of two
distinct but closely associated tribes that were amalgamated for the purposes
of the Indian Act in 1947, it is argued that the Applicant lacks proper
standing.
[82]
There
is very little jurisprudence interpreting Rule 114. However, a paper prepared
by Chief Justice Allan Lutfy and Emily McCarthy, “Rule-Making in a Mixed
Jurisdiction: the Federal Court (Canada)” (2010) 49 S.C.L.R. (2d) 313, provides an
interesting and helpful summary of the genesis of that Rule.
[83]
The
predecessor to Rule 114 was repealed in 2002, when the Federal Courts Rules
were amended to allow for the certification of class actions. It was thought
at the time that proceedings that would have formerly been brought as
representative actions would now be brought as class actions. However, some
time after the repeal of Rule 114, members of the Aboriginal litigation bar
requested that the Rules Committee consider its reinstatement. This request was
based on the fact that representative proceedings are more appropriate for
bringing claims relating to Aboriginal and treaty rights than class
proceedings, since there is no need to certify an Indian band, as it is a
recognized entity in Canadian law. Aboriginal and treaty rights are sui
generis rights that are held by a community and must be asserted
communally. Such rights are not held individually and membership in the group
is essential for exercising or enforcing the right. The communal nature of the
right is particularly problematic for class proceedings because the opt-out
provisions, a critical feature of class proceedings, simply do not work in that
context (see: Gill v Canada, 2005 FC 192 at para 13, 271 FTR 139).
[84]
A
subcommittee reviewed the reasons for the repeal of Rule 114 and the concerns
of the Aboriginal litigation bar. They decided that a representative proceeding
rule should be reinstated, and moreover, that it should be more comprehensive
than its predecessor. This led to the enactment of Rule 114, which applies to
applications in addition to actions, and sets out a number of requirements the
representative must meet. The safeguards of Rule 114(1) apply to protect the
individual members of a First Nation on an application, just as they do on an
action; the Court may therefore require that notice be given, conditions be
imposed on any settlement process, and the representative plaintiff be
replaced.
[85]
Counsel
for the Respondent Attorney General of Canada argues that applications claiming in regard to
Aboriginal rights, similar to actions so claiming, can only properly be brought
as representative proceedings. Yet, no authority is provided in support of
that proposition.
[86]
Counsel
for the Respondent Attorney General of Canada referred to a few cases
where a claim of Aboriginal rights has been brought by a representative acting
on behalf of the members of the First Nation which holds or asserts these
rights (see: Pasco (Oregon Jack Creek Indian Band) v Canadian National
Railway Co (1989), 56 DLR (4th) 404 (BCCA)(available on CanLII),
aff’d [1989] 2 S.C.R. 1069; Wii’litswx v British Columbia (Minister of Forests),
2008 BCSC 1139, 171 ACWS (3d) 501). Not only are these cases not binding on
this Court, but they have been decided in the context of a differently worded
rule and they do not explicitly state that a representative proceeding is the
only way to bring a claim of Aboriginal right.
[87]
In
any event, the language of Rule 114 leaves no doubt as to its intent. It is
framed as permissive, not as mandatory. The opening words of the Rule clearly
state that “…a proceeding (…) may be brought by or against a person
acting as a representative on behalf of one or more other persons…” (Emphasis
added). Had it been the intention to require all such proceedings be brought
pursuant to that Rule, the wording would have been different. Of course, it is
always open to the Court to ensure that the Band or the Aboriginal collective
do not act in contravention to the will of its members or without lawful
authorization. In the case at bar, no such concern has been raised by any of
the Respondents.
[88]
I
recognize that in many cases involving claimed Aboriginal rights and the duty
to consult, the applicant is an individual member of the First Nation or its
chief on behalf of the First Nation (see, for example, Haida Nation v
British Columbia (Minister of Forests), 2004 SCC 73 , [2004] 3 S.C.R. 511 [Haida];
Taku River Tlingit First Nation v British Columbia (Project Assessment
Director), 2004 SCC 74, [2004] 3 S.C.R. 550; Ka’a’Gee Tu First Nation v
Canada (Attorney General), 2007 FC 763, 315 FTR 178). That does not
detract from the fact, however, that Indian Bands are a legal and political entity
that can themselves be sued and become the subject of a legal pronouncement
(see Wewayakum Indian Band v Wewayakai Indian Band, [1991] 3 FC 420
(available on CanLII). While it is true that this case related to a right of
occupancy and use of a reserve and did not involve Aboriginal rights, as
submitted by the Respondent Attorney General, it does not detract from the fact
that the Band itself was the applicant, as opposed to a representative acting
on its behalf. Similarly, a number of Indian Bands brought an application for
judicial review of a decision of the Minister of Fisheries and Oceans, on the
basis that the Minister had failed to uphold the honour of the Crown and to
meet his constitutional duty to consult and accommodate; nowhere did the Court
object to the standing of these bands because no representative was involved (Ahousaht
First Nation v Canada (Fisheries and Oceans), 2008 FCA 212, 379 NR 297).
[89]
For
all of the above reasons, I am of the view that the application is not fatally
flawed because it was not brought by a representative acting on behalf of the
members of the KAFN.
[90]
There
is an additional, related issue that needs to be addressed before turning to
the merits of this application. Counsel for Marine Harvest submits that the
Applicant is not owed any duty to consult since there is no correlation between
this Indian Band and the Aboriginal group that is entitled to claim Aboriginal
rights pursuant to section 35 of The Constitution Act, 1982,
being Schedule B to the Canada Act 1982 (UK), 1982, c 11.
[91]
There
is no dispute that the KAFN’s claim rests ultimately on an assertion of
Aboriginal rights. Section 35 of the Constitution Act, 1982 does not
define the “aboriginal peoples of Canada” to whom such rights are recognized,
but subsequent jurisprudence has defined the holders of Aboriginal rights as
collectives of peoples with distinctive attributes, which may include a common
language, culture and social organization. In addition to the identification
of the indigenous Aboriginal collective whose pre-contact practices are said to
establish the right (in the present case, the right to harvest wild salmon in
the environs of the Broughton Archipelago), the Applicants must also establish
a current connection with the pre-sovereign group. To that extent, band
membership may not necessarily establish an ancestral connection with the
members of the same indigenous Aboriginal collective for which fishing was an
integral aspect of a distinctive culture at contact. An Indian Act band
is a creature of statute that post-dates contact with European settlers, and it
cannot be assumed that the membership of a First Nation holding an Aboriginal
right is coincidental with the membership of an Indian Act band.
Indeed, a First Nation holding or asserting Aboriginal rights may have members
who belong to several different Indian Act bands.
[92]
At
paragraph 5 of his affidavit, Chief Chamberlin states as follows:
The
members of the KAFN are the descendants of two distinct but closely associated
tribes of the Kwakwaka’wakw people who, at the time of European contact, were
known as the Kwicksutaineuk and the Ah-Kwa-Mish. The two tribes were
amalgamated for the purposes of the Indian Act in 1947 and are
now collectively referred to as the KAFN, or the Kwicksutaineuk Ah-Kwa-Mish
Indian Band.
Applicant’s
Record, vol II, p 574
[93]
In
an affidavit sworn on behalf of the Respondent Marine Harvest, Daisy May
Sewid-Smith challenges Chief Chamberlin’s assertion that the
Kwicksutaineuk/Ah-Kwa-Mish First Nation has Aboriginal fishing rights in the
Broughton Archipelago. She deposes that her great-grandfather was a member of
one of the three clans of the Qwe’Qwa’Sot’Enox Nation (an alternate spelling of
which is Kwicksutaineuk) that lived in the village of Gwayasdums on Guilford Island. She also swears that
her great-grandfather moved form Gwayasdums to Village Island, the village site of another First
Nation, in 1855, and never returned to Gwayasdums, but never relinquished his
ownership of Gwayasdums and the surrounding area. She deposes that the members
of the KAFN presently occupying Gwayasdums are a mixed group of the original
three clans and members of neighbouring clans. Through a series of
administrative errors by reserve commissioners in the late 1880’s, reserves were
assigned to the wrong groups; reserves were established within the traditional
territory of the Qwe’Qwa’Sot’Enox for the benefit of related tribal groups with
no ancestral connection to the land, including the group now comprising the
Kwicksutaineuk/Ah-Kwa-Mish First Nation. Thus, she claims that the present
membership of the KAFN are not the “true” Kwicksutaineuk people entitled to
speak for the ten reserves allocated to the KAFN, or the surrounding lands and
waters claimed by the KAFN as their traditional territory.
[94]
There
is no need for this Court to settle these competing claims, for at least three
reasons. First, a nearly identical affidavit was tendered as evidence by the
Crown in the case of Kwicksutaineuk/Ah-Kwa-Mish First Nation v British
Columbia (Minister of Agriculture and Lands), 2010 BCSC 1699, 15 BCLR (5th)
322 [KAFN]. In that case, the plaintiffs alleged that the Province had
licensed fish farms, resulting in sea lice infestations in wild salmon stocks,
which infringed upon their fishing rights. One of the issues to be decided for
the purposes of certifying the proceeding as a class action, was whether the
proposed class (the KAFN and the other First Nations which asserted Aboriginal
fishing rights in the Broughton Archipelago and rivers that drain into the
Archipelago) comprised Aboriginal collectives or members of these collectives
who could assert section 35 fishing rights.
[95]
In
dealing with this issue, Justice Slade not only considered the affidavit of
Daisy Sewid-Smith, but also historical and ethnographic writings. He came to
the conclusion that the KAFN, along with eleven other Aboriginal collectives,
were members of a language group that is today referred to as Kwakiutl. He
went on to state (at paras 89-90):
Each
are present within a geographical area, largely co-extensive with the Broughton
Archipelago, used and occupied at contact by the Kwakiutl. At contact, each
had territorial interests within the larger geographical area, and enjoyed
access to some resources, in common, within the larger territory with which the
Kwakiutl, as a linguistic group (i.e. speakers of Kwak’wala), were associated.
Each
of the collectives referred to in the above paragraph is a band with
antecedents in the tribal divisions among the Kwakiutl. Each, as a band,
occupies one or more Indian Act reserves. The reserves front on the
waters of the Broughton Archipelago. It would be most unusual to suppose that,
as fishing peoples, they do not use their reserves for staging their fishing
activities.
[96]
Of course,
this does not dispose of the competing claims that are asserted with respect to
the Broughton Archipelago and the right to fish in that area. Such claims,
however, are not to be decided in the conduct of a judicial review
application. They are better left to the BC Treaty Commission and, eventually
to a trial where oral evidence can be given and the ethnographic, historical
and traditional evidence can be comprehensively reviewed and considered. I
note, moreover, that the Attorney General of Canada does not dispute that they
have a duty to consult with the KAFN and therefore acknowledges, at least
implicitly, that the KAFN can credibly claim an Aboriginal right to fish in the
area where the two aquaculture licences being considered in this application
have been issued.
[97]
For
all of the foregoing reasons, I am of the view that the KAFN does have standing
to bring this application for judicial review.
2) Did Canada, as
represented by DFO, have a duty to consult with the KAFN about the issuance of
the aquaculture licences, and more specifically the Burdwood and Blunden
licences? If so, what was the extent of the Crown’s duty?
[98]
It
is well-settled law that the appropriate standard of review with respect to the
existence and extent of the duty to consult and accommodate is correctness, as
this is a pure question of law. On the other hand, the applicable standard for
assessing whether the Crown discharged its duty to consult in making a decision
is that of reasonableness (see: Haida, above at paras 61-63; West Moberly
First Nations v British Columbia (Chief Inspector of Mines), 2011 BCCA 247
at para 174, 333 DLR (4th) 31).
[99]
The
Crown’s duty to consult First Nations arises when the Crown has knowledge,
(either real or constructive), of the potential existence of the Aboriginal
right or title and contemplates conduct that might adversely affect it (Haida,
above at para 35). The Supreme Court has restated that test quite succinctly
in its recent decision in Rio Tinto Alcan Inc v Carrier Sekani Tribal
Council, 2010 SCC 43 at para 31, [2010] 2 S.C.R. 650 [Rio Tinto]:
The Court in Haida Nation answered
this question as follows: the duty to consult arises “when the Crown has
knowledge, real or constructive, of the potential existence of the Aboriginal
right or title and contemplates conduct that might adversely affect it”
(para. 35). This test can be broken down into three elements: (1) the Crown’s
knowledge, actual or constructive, of a potential Aboriginal claim or right;
(2) contemplated Crown conduct; and (3) the potential that the contemplated
conduct may adversely affect an Aboriginal claim or right. (Emphasis in
original)
[100] The first two
requirements are clearly met in the case at bar. When the KAFN became aware of
the decision in Morton and of the fact that DFO was assuming
jurisdiction over aquaculture, it was proactive in notifying DFO in writing
that the KAFN had fishing rights in the Broughton Archipelago, that it had
significant concerns about the impact of salmon aquaculture farms on these
rights, and that consultation was required. The letter indicated that the KAFN
had previously notified DFO of these concerns. In a letter dated April 1,
2009, DFO acknowledged receipt of the KAFN’s letter and acknowledged that “any
regulatory transition would require consultation”. More specifically, DFO
indicated its intention “to engage in meaningful consultation with First
Nations”, among others, during that period of transition (Respondent Record of
the Attorney General of Canada and Minister of Fisheries and Oceans, vol 4,
Affidavit of Andrew Thomson, Exhibit “NNN”, p 1022). In the course of the
following months, DFO also recognized the authority of the KAFN Chief and
Council to engage in consultations on behalf of the KAFN. As a result, there
is no doubt that the Crown had knowledge of the KAFN’s claim to Aboriginal
fishing rights.
[101] There can
similarly be no question that DFO proposed to, and did in fact, replace
aquaculture licences in the KAFN’s territory. DFO’s decision to issue
replacement licences is a “decision” that triggers the Crown’s duty to
consult. Indeed, the seminal case of Haida arose from the Crown’s
decision to replace and transfer a tree farm licence from one forestry firm to
another in Haida Nation territory.
[102] It is the
third requirement that is more contentious. This step reflects the purpose of
the duty to consult, which is to try to prevent infringements of Aboriginal
rights wherever possible. On this topic, it is worth remembering what the
Supreme Court stated in Rio Tinto, above at paras 45-46:
The third element of a duty to consult is
the possibility that the Crown conduct may affect the Aboriginal claim or
right. The claimant must show a causal relationship between the proposed
government conduct or decision and a potential for adverse impacts on pending
Aboriginal claims or rights. Past wrongs, including previous breaches of the
duty to consult, do not suffice.
Again, a generous, purposive approach to
this element is in order, given that the doctrine’s purpose, as stated by
Newman, is “to recognize that actions affecting unproven Aboriginal title or
rights or treaty rights can have irreversible effects that are not in keeping
with the honour of the Crown” (p. 30, citing Haida Nation, at paras. 27
and 33). Mere speculative impacts, however, will not suffice. As stated in R.
v. Douglas, 2007 BCCA 265, 278 D.L.R.(4th) 653, at para. 44,
there must [sic] an “appreciable adverse effect on the First Nations’ ability
to exercise their aboriginal right”. The adverse effect must be on the future
exercise of the right itself; an adverse effect on a First Nation’s future
negotiating position does not suffice.
[103] The KAFN
submit that the decision to issue aquaculture licences has the potential to
impact their fishing rights in two ways. Relying on Adams Lake Indian
Band v British
Columbia (Lieutenant Governor in Council), 2011 BCSC
266, 20 BCLR (5th) 356 [Adams Lake] and Gitxsan
v British
Columbia (Minister of Forests), 2002 BCSC 1701, 10
BCLR (4th) 126 [Gitxsan], they argued that a change in governance
necessarily has an impact on their rights. In the first of these two
cases, the Court found that the creation of a municipality wherein a ski resort
was located, did have a significant potential impact on a band which claimed
rights and title to these lands, if only because the resort corporation could
more easily influence and control the policies of the municipality than it
could have done before at the Regional District level. In the second case, the
Court agreed with the applicant First Nations that the government had not
fulfilled its duty to consult when it consented to the change of control of a
forestry company, holding tree farm licences on lands claimed by the First
Nations.
[104] I agree with
counsel for the Respondent Mainstream Canada that these cases can be
distinguished with the case at bar. In Gitxsan, above, the change in
the decision-maker concerned not the regulator but the actual corporation. In Adams
Lake, above, part of the explanation for the Court’s decision was the fact
that municipalities are not subject to the duty to consult.
[105] There is,
however, a common thread in these two decisions that is equally applicable in
the present context. A careful reading of these decisions shows that it is the
indeterminacy of the principles by which the new governing entity intends to
operate, that triggers the Crown’s duty to consult. In Adams Lake, at para
127, for example, the Court wrote:
[…]
Moreover, a change in governance necessarily has an impact on the lands claimed
by the Band because it is the Municipality that will now exercise jurisdiction
over Sun Peaks in a manner that may or may not
adversely affect the aboriginal rights and title claimed by the Band.
(Emphasis added)
[106] In the same
vein, the Court wrote in Gitxsan, at para 82:
I
do not accept the submission that the decision of the Minister to give his
consent to Skeena's change in control had no impact on the Petitioners. While
it is true that the change in control was neutral in the sense that it did not
affect the theoretical tenure of the tree farm and forest licences or any of
the conditions attached to them, the change in control was not neutral from a
practical point of view. First, it changed the identity of the controlling mind
of Skeena, and the philosophy of the persons
making the decisions associated with the licences may have changed
correspondingly. (Emphasis added)
[107] Admittedly,
the Crown was involved in the change of decision-maker in these two cases,
whereas the transfer of jurisdiction from the provincial to the federal
government in the present case came as a result of a judicial decision
interpreting the Constitution Act, 1867 (UK), 30 & 31 Victoria, c
3. Strictly speaking, therefore, the Crown did not initiate that change and it
cannot be said to derive from Crown conduct. However, this is
inconsequential. If the change in control from one company to another may lead
to adverse consequences with respect to claimed Aboriginal rights because of
differing philosophies, it is more likely to be the case when the transfer of
decision-making involves two levels of government, however that may happen.
While this may yet be indiscernible, only time will tell whether the regulation
of aquaculture will dramatically be impacted as a result of the Morton decision.
In recognition of this fundamental shift in the management of the aquaculture
industry, I believe the federal government had an obligation to consult the
Applicant and all of the other First Nations present in the region.
[108] The second
way in which the decision to issue aquaculture licences has the potential to
impact the Applicant’s fishing rights, is more substantive. The KAFN claim
that the licences authorizing aquaculture at the Burdwood and Blunden farm
sites pose significant risks to the health and abundance of the wild fisheries,
upon which the exercise of their Aboriginal fishing rights depend. This view
is grounded in the KAFN’s experience of salmon farming in its traditional
territory, as found in the evidence of Chief Robert Mountain, and its
understanding of the current scientific information about the potential impacts
of salmon aquaculture.
[109] Mainstream
Canada counters that the transfer of regulatory jurisdiction from BC to Canada that arises
from the Morton decision does not in and of itself give rise to any
adverse impacts on KAFN Aboriginal rights or title. Although the Burdwood
licence issued to Mainstream Canada on December 18, 2010 was the first
aquaculture licence issued by DFO, it did not allow for any operational changes
and it was no different than if the Province had again renewed the annual
licence for the Burdwood site in the same form, as had continuously been done
since 2003.
[110] It is true
that the purpose of consultation is to address concerns regarding new potential
adverse impacts. As stated by the Supreme Court in Rio Tinto, above at
para 49: “Prior and continuing breaches, including prior failures to consult,
will only trigger a duty to consult if the present decision has the potential
of causing a novel adverse impact on a present claim or existing right”. In
other words, the scope of the duty to consult does not include past
infringements or existing and ongoing impacts of past actions. For the duty to
be triggered, there must be a new decision or conduct that may affect Aboriginal
rights. The re-issuance of a licence, even if it is similar to the one it is
replacing, is certainly sufficient to meet the third requirement underlying the
duty to consult (see, for example, Upper Nicola Indian Band v British
Columbia (Minister of Environment), 2011 BCSC 388 at paras 103-114, 21 BCLR
(5th) 81). It is a fresh action, so much so that in the absence of the renewed
licence, the commercial activity authorized by that licence would have to come
to a halt. In my view, the duty to consult arises each time a licence is
renewed, because each new licence may potentially affect the claim right or
title, if only incrementally. Otherwise, the duty to consult would be spent
once the initial licence has been granted, for however long a period it is renewed
and irrespective of the impacts the renewed licences may have down the road.
Such a reasoning would make a mockery of the duty to consult and of the honour
of the Crown.
[111] That being
said, the extent of the changes brought about by the renewal of a licence will
be a crucial factor to be considered when assessing the extent of the duty to
consult. The Supreme Court recognized in Haida that what is required of
the government will vary with the strength of the claim and the impact of the
contemplated government conduct on the rights at issue. When the Aboriginal
right is limited and the potential for infringement minor, the duty to consult
will be minimal and the Crown may only have to give notice, disclose
information and discuss any issues raised in response to the notice. When, at
the other end of the spectrum, there is a strong prima facie case for
the claim and the right and potential infringement is of high significance to
the Aboriginal people, “deep” consultation aimed at finding a satisfactory interim
solution may be required. As the Chief Justice stated, on behalf of a unanimous Court
in Rio Tinto, above at para 36, “[t]he richness of the required
consultation increases with the strength of the prima facie Aboriginal
claim and the seriousness of the impact on the underlying Aboriginal or treaty
right…”.
[112] In the case at bar, the
Attorney General has acknowledged a duty to consult and made no submissions
with respect to the strength of the claim asserted by the Applicant. The
Applicant itself was silent on that score. In those circumstances, it would be
most inappropriate for the Court to speculate on that first branch of the
equation, and I shall therefore refrain from any comment except to note that
there seems to be competing claims from many other First Nations on the same
territory where the KAFN asserts fishing rights. In his decision, Justice
Slade points out that there are several other Aboriginal collectives (many of
which are part of the MTTC) that have extensive overlapping territorial claims
within the Broughton Archipelago (KAFN, above at paras 79-85).
[113] There is more
evidence with respect to the second variable of the equation, i.e. the impact
of the licences on the Aboriginal fishing right claimed by the Applicant. As
previously mentioned, the KAFN relies on the affidavits of Robert Mountain and
Michael Price in support of their argument that the authorization of open net
salmon aquaculture operations in the Broughton Archipelago has a high potential
to adversely impact the KAFN’s salmon fishing and shellfish harvesting rights,
particularly in areas identified by the KAFN as sensitive fish habitat such as
the Blunden and Burdwood sites.
[114] In response
to that assertion, the Attorney General of Canada has submitted an affidavit of
Pieter Van Will, employed by DFO as the Program Head of North Island Salmon
Stock Assessment, wherein he refers to affidavits that he filed in the BC
Supreme Court in a related case opposing the Applicant and the Attorney
General. At issue in that claim for damages are the wild salmon populations in
the same area defined as the Broughton Archipelago.
[115] While the Van
Will affidavits do not come to any definitive conclusion, they provide for a
much more nuanced and thorough assessment of the scientific evidence with
respect to the status of the salmon stocks within the disputed area. It is
obviously not for the Court to come to a definitive finding on these complex
scientific issues, especially in the context of an application for judicial
review. All that can safely be said, on the basis of the uncontradicted
evidence of Mr. Van Will, and bearing in mind the serious deficiencies plaguing
the Price and Mountain affidavits, is that there is still a lot to be learned
as to the causes of the decline of some salmon stocks in some rivers of the
Broughton Archipelago. In light of this evidence, I am of the view that the
seriousness of the impact caused by the issuance of the impugned licences on
the KAFN’s asserted Aboriginal right remains an open question; far from being
firmly established, the adverse effect of the licences as issued on December
18, 2010 is, at least for now, speculative. I find myself in much the same
situation as Powers J. in Homalco Indian Band v British Columbia (Minister
of Agriculture, Food and Fisheries), 2005 BCSC 283 at para 34, 39 BCLR
(4th) 263, where he could only notice that there are serious gaps and
differences in scientific opinion about the effects and risks involved with
salmon aquaculture. While seven years have gone by since he made these
comments, there does not seem to be any more certainty as a result of the
further studies that have been conducted in the meantime.
[116] In the
result, I come to the conclusion that the consultation required is clearly not
at the upper end of the spectrum as advocated by the Applicant. I would also
be inclined to think that it does not lie at the lower end of the spectrum
either, considering the seriousness of the potential impact caused by fish
farming on the Aboriginal fishing right claimed by the Applicant. At the end
of the day, however, it does not matter where this case falls on the spectrum,
as I find that the Government of Canada has done what was required in the
circumstances, to maintain the honour of the Crown and to effect reconciliation
with respect to the interests at stake.
3) Were DFO’s
efforts at consultation reasonable under the circumstances?
[117] The KAFN
submit that DFO never consulted them in the decision to replace the aquaculture
licences. In fact, DFO demonstrated a genuine unwillingness to consult with
the KAFN on this matter. The limited consultations DFO undertook with the KAFN,
dealt with the general regulatory framework. These do not fulfill the Crown’s
duty to consult on the licences – which are the operations that cause the negative
impacts on KAFN’s Aboriginal fishing rights.
[118] Alternatively,
the KAFN argues that if DFO is found to have consulted on the decision to issue
the licences, this consultation was inadequate and meaningless. First, DFO
neither assessed the strength of the KAFN’s Aboriginal right nor the potential
impacts of the issuance of the licences. Second, there is no evidence that DFO
considered the KAFN’s concerns regarding the Regulations, the issuance
of the licences and the licensing conditions. DFO did not respond to the
KAFN’s concerns as presented in various correspondences, and did not conduct an
environmental assessment or indicate the importance of doing so. Moreover, DFO
merely informed the KAFN of the issuance of the licences almost a month after the
facts, and did not provide reasons for its decision.
[119] Having
carefully reviewed the record and considered the arguments made by the parties,
I find that the KAFN’s assertions are not borne out by the evidence that is
before the Court. First of all, it must be acknowledged that DFO was put in a
very difficult position as a result of the Morton decision. Since it
was obviously not a viable option to let the 680 licences lapse without
renewing them, DFO had to simultaneously put in place an entire regulatory and
licensing regime for a very complex industry in a very short time frame. The
KAFN is correct in stating that the Crown cannot sacrifice its constitutional
obligation to consult, in the name of efficiency. The evidence shows, however,
that DFO consulted extensively over the course of the 22 months between the
release of Morton and the deadline set by the Court to allow the federal
government time to consider and put in place its own regulatory regime. During
that period, DFO (1) provided more than $2 million of capacity funding
collectively to the Fisheries Council and the Aboriginal Aquaculture
Association over 2009 and 2010 to facilitate consultation with a large number
of First Nations; (2) provided information regarding the change in regulatory
regime and DFO’s approach to its regulation of aquaculture throughout 2009 and
2010; (3) hosted bilateral meetings or participated in bilateral workshops on
June 16-17, December 10, 11, and 14, 2009 and on March 30, 2010; (4)
provided the draft Regulations for review and comment; (5) provided a
draft DFO licence for review and comment; (6) met directly, either in person or
by phone, with the KAFN and MTTC on September 2, October 21, November 17 and
December 10, 2010; and (7) provided information regarding how DFO intended to
address consultation within its new regulatory regime in the future, including
the use of IMAPs, to provide for area-based management.
[120] DFO
ultimately decided to issue licences for the 22 salmon farms in the Broughton
region, effective December 19, 2010, on a transitional basis. While it is true
that provincial licences were typically issued annually as well, salmon are
raised at the facilities for 16 to 22 months, meaning that one year licences
are of limited utility. DFO intends to eventually issue longer term licences,
but decided to issue one year licences in order to allow for further review of
licence conditions and an opportunity for further consultations prior to
decisions on renewal. DFO also maintained existing provincial restrictions on
maximum production and permissible species.
[121] In arriving
at its decision to issue the licences, DFO considered the information contained
in the provincial licences, the information provided by First Nations during
the course of DFO’s consultations, the information from the licence
applicants/proponents as put forward in their applications, and the scientific
information pertaining to aquaculture environmental impacts. As part of the
context for this decision, heed was also paid to the improvements of the
federal regulatory regime over the provincial one, including the new federal
requirements and measures to address fish health and environmental concerns
relating to the farms (see Thomson Affidavit, paras 87 and 135).
[122] I agree with
the Attorney General that the proposal put forward by the MTTC/KAFN in their
letter of December 17, 2010, and in particular their request that no licences
be issued to six key farms in MTTC territory (including Burdwood) amounts, in
essence, to a fallowing strategy for the entire Broughton region. Such a
position is unreasonable, as a fallowing strategy for the Broughton Archipelago
region, if necessary, would have to come out of a broad multilateral
consultation involving all First Nations potentially impacted by salmon farms
in the region, as well as other interested parties.
[123] Moreover, and
contrary to the Applicant’s assertion, the MTTC/KAFN raised these interim
accommodation measures for the first time one day before the expiry of the
provincial licences, in that letter of their counsel dated December 17, 2010.
In her letter dated September 8, 2010, counsel for the MTTC/KAFN merely stated
the need for direct consultation in respect of “any proposed licences, or
licence replacements, in their territory”. Then, in a November 19, 2010
letter, the MTTC/KAFN asserted for the first time that system-wide matters in
regard to all of the salmon farms in the Broughton Archipelago had to be
addressed prior to issuance of federal licences. Then again, the MTTC/KAFN
altered its position at the meeting held on December 10, 2010, as previously
mentioned in paragraphs 47 to 49 of these reasons. It is at that meeting that
the KAFN apparently communicated to DFO its concerns with specific sites and
requested the closing, or at the very least the phasing out, of six farms in
their territory. Not only did this request come only a week before the expiry
of the provincial licence, but more importantly, it would have been impractical
and unwarranted to take a decision on these farms in isolation, without
consultation on an area management plan. DFO’s intention to continue the
consultation in respect of area management in the Broughton Archipelago
ecosystem as well as in regard to non-regional, site specific matters was also
a factor taken into account in deciding to issue transitional, one year
licences.
[124] When viewed
as a whole, DFO’s consultation regarding the regulatory framework and the
issuance of licences was reasonable and was certainly not meaningless. Inherent
in the concept of the honour of the Crown in consultation cases is the issue of
balance and compromise. As the Supreme Court stated in Haida, above at
para 45:
…Pending settlement, the Crown is bound
by its honour to balance societal and Aboriginal interests in making decisions
that may affect Aboriginal claims. The Crown may be required to make decisions
in the face of disagreement as to the adequacy of its response to Aboriginal
concerns. Balance and compromise will then be necessary.
[125] In short, I
have not been convinced that the consultations were not genuine and were only
meant to give Aboriginal groups the opportunity to blow off steam. Quite to
the contrary, the evidence demonstrates that the Crown, through DFO, approached
the consultations with an open mind. Extensive consultation took place both on
the regulatory and on the licensing regime, despite the very short time frame
within which the transfer of jurisdiction from the provincial to the federal
government had to take place. The consultations were not meaningless, and Mr.
Thomson testified in his affidavit that the comments and recommendations
received on the draft Regulations assisted in the refinement of a number
of their provisions. That DFO did not agree with the last minute interim
measures proposed by the KAFN is no indication that the consultation was not
genuine, for all the reasons already given.
[126] In light of
all the above, I am therefore of the view that this application for judicial
review ought to be dismissed, with costs to all three Respondents.
JUDGMENT
THIS COURT’S
JUDGMENT is that this application for judicial
review is dismissed, with costs to all three Respondents.
"Yves
de Montigny"