Date: 20101108
Docket: DES-1-10
Citation: 2010 FC 1106
Vancouver, British
Columbia, November 8, 2010
PRESENT: The Honourable Mr. Justice Mosley
BETWEEN:
THE ATTORNEY GENERAL
OF CANADA
Applicant
and
ABDULLAH ALMALKI
KHUZAIMAH KALIFAH
ABDULRAHMAN ALMALKI, by his Litigation
Guardian Khuzaimah Kalifah
SAJEDA ALMALKI by her Litigation Guardian
Khuzaimah Kalifah
MUAZ ALMALKI, by his Litigation Guardian
Khuzaimah Kalifah
ZAKARIYY A ALMALKI, by his Litigation
Guardian Khuzaimah Kalifah
NADIM ALMALKI, FATIMA ALMALKI, AHMAD
ABOU-ELMAATI
BADR ABOU-ELMAATI, SAMIRA AL-SHALLASH,
RASHA ABOU-ELMAATI
MUAYYED NUREDDIN, ABDUL JABBAR NUREDDIN,
FADILA SIDDIQU
MOFAK NUREDDIN, AYDIN NUREDDIN, YASHAR
NUREDDIN
AHMED NUREDDIN, SARAB
NUREDDIN, BYDA NUREDDIN
Respondents
PUBLIC REASONS FOR JUDGMENT AND JUDGMENT
[1]
The
Attorney General of Canada has applied for an order with respect to the
disclosure of information that is the subject of discovery proceedings in
actions filed by the respondents in the Superior Court of Justice of Ontario. The application is
brought in the Federal Court under section 38.04 of the Canada Evidence
Act, R.S.C. 1985, c. C-5 (“the Act”).
[2]
The
information in question is being withheld from the respondents pursuant to a
statutory prohibition on disclosure set out in paragraph 38.02(1)(a) of the
Act. The Attorney General seeks to have the prohibition confirmed by the
Court. Alternatively, the Attorney General requests that the Court exercise its
discretion under subsection 38.06(2) of the Act to disclose the information in
a form and subject to such conditions as are most likely to limit any injury to
national security, national defence or international relations.
[3]
The
respondents request an order authorizing the disclosure of all of the
information that the applicant seeks to withhold. Where grounds sufficient to
warrant a lesser remedy are established, the respondents ask that the Court use
the available alternative options in the manner that best meets the public
interest including their interests in obtaining disclosure to the fullest
degree possible in each case.
[4]
In
these reasons I outline the background to the application, describe the
applicable legal framework, and discuss the legal issues raised by the parties
and the principles that I have applied in determining whether the
information should or should not be disclosed. A Private Order has
been signed and filed in the Federal Court’s Designated Proceedings
Registry setting out the specific findings I have made regarding the
information in question. The order authorizes the disclosure of certain of the
withheld information, either in full text or summary form, and confirms the
non-disclosure of the remainder. This order has been provided to the Attorney
General in accordance with subsection 38.02 (2) (b) to allow the applicant the
time specified in section 38.09 of the Act to determine whether to appeal.
[5]
For
convenience, reference in these reasons to s. 38 encompasses sections 38 to
38.16 of the Act.
BACKGROUND
[6]
In
the actions filed in the Superior Court of Justice, Abdullah Almalki, Ahmad
Abou-Elmaati and Muayyed Nureddin, (the “principal respondents”), joined by
members of their families, seek compensatory damages from the Government of
Canada for, among other things, alleged complicity in their detention and
torture in Syria (and Egypt, in the case of Mr. Elmaati) and breach of their
rights under the Canadian Charter of Rights and Freedoms, Part I of the Constitution
Act, 1982 being Schedule B to the Canada Act, 1982 (U.K.),
1982, c.11 (“Charter”). The Attorney General of Canada is the
representative defendant on behalf of the public servants and government
departments and agencies alleged to be responsible for the harms suffered by
the respondents pursuant to the Crown Liability and Proceedings Act,
R.S.C., 1985, c. C-50, s. 23.
[7]
The
respondents’ claims were initiated following the Commission of Inquiry into
the Actions of Canadian Officials in Relation to Maher Arar (the
“O’Connor Commission”), and the consequent report (the “O’Connor Report”).
In his report, Mr. Justice Dennis O’Connor recommended that the cases of the
three principal respondents be reviewed, but in a manner more appropriate than
a full-scale public inquiry because of the national security issues involved.
[8]
As a
result, the Honourable Frank Iacobucci, Q.C. was appointed to conduct the Internal
Inquiry into the Actions of Canadian Officials in Relation to Abdullah Almalki,
Ahmad Abou-Elmaati, and Muayyed Nureddin (the “Iacobucci Inquiry”). The
mandate of the Iacobucci Inquiry was to examine the actions of Canadian
officials relating to Mr. Almalki, Mr.Elmaati and Mr. Nureddin, who were
detained and mistreated in Syria and also, in the case of Mr. Elmaati, in Egypt
during the period 2001 to 2004 to determine (1) whether the detention and any
mistreatment of the three men resulted, directly or indirectly, from the
actions of Canadian officials (particularly in relation to the sharing of
information with foreign countries), (2) whether, if so, those actions were
deficient in the circumstances, and (3) whether there were any deficiencies in
the provision by Canadian officials of consular services to the three men while
they were in detention.
[9]
Commissioner
Iacobucci’s report was released in October 2008 (the “Iacobucci
Report”). A supplementary report was released on February 23, 2010 in
which Commissioner Iacobucci provided additional information that could not be
disclosed at the time the public report was released because of government
concerns that disclosure of the information in the manner then proposed would
be injurious to national defence, national security or international relations
(the “Supplementary Report”).
[10]
Commissioner
Iacobucci’s Terms of Reference directed him, among other things, to submit a confidential
report setting out his determinations and a separate report suitable for public
release. He was directed to not disclose information in the public report that
would be injurious to international relations, national defence, national
security or the conduct of any investigation or proceeding. As Commissioner
Iacobucci noted, this language is similar to that used in s. 38.
In determining what information could be released publicly, Commissioner
Iacobucci was guided by the approach taken in the O’Connor Inquiry Report and
the factors identified by Justice Simon Noël in Canada (Attorney General) v.
Canada (Commission of Inquiry into the Actions of Canadian Officials in
Relation to Maher Arar), 2007 FC 766, [2008] 3 F.C.R. 248 (“Arar”).
If Commissioner Iacobucci disagreed with the position taken by the government,
under the terms of reference he could notify the Attorney General, in which
case the notice could lead to a proceeding in the Federal Court under s. 38 of
the Canada Evidence Act to resolve the matter.
[11]
With
one exception, Commissioner Iacobucci was satisfied that the confidential
information omitted from the public version of his report was properly subject
to national security confidentiality. Commissioner Iacobucci gave notice to the
Attorney General with respect to the exception. The issue was ultimately
resolved following extensive further discussions resulting in
the disclosure of additional information in the form of a summary. This
was addressed in the Supplementary Report released in February 2010.
[12]
In
response to requests for production of documents by Commission counsel, the
Attorney General of Canada produced some 40,000 documents to the Inquiry. These
were provided without redactions, with the exception of certain documents
subject to privilege or immunity and information that might disclose the name
of a foreign human source.
[13]
Proceedings
with respect to the respondents’ claims in the Superior Court of Justice were
held in abeyance pending the outcome of the Iacobucci Inquiry and resumed
following the issuance of the Report. In April 2009, the parties agreed to
conduct mediations in the fall of 2009. To that end, in July 2009, counsel to
the Attorney General disclosed approximately 486 documents to respondents’
counsel, of which 290 contained redactions. The 486 documents had been
specifically requested by respondents’ counsel because of references in the
Iacobucci Report to information which the documents contain.
[14]
In
the 290 documents, information subject to a claim of potential injury to
national security, national defence, and international relations is redacted by
being blacked out. In addition, there are white redactions blocking the
disclosure of information which the applicant considers irrelevant to the
litigation or subject to claims of privilege under sections 37 and 39 of the
Act or solicitor-client privilege. Those issues will be dealt with by the
Superior Court of Justice. In these reasons, references to “redacted content”
mean only the information subject to s.38 claims.
[15]
When
the documents were produced in July 2009, no formal notice had been provided
under the Act regarding the redacted information and no determination had been
made by the Attorney General as to whether the information could be disclosed.
Departmental and agency officials worked with the litigation team acting on
behalf of the Attorney General to review the documents assembled for production
and to identify information which could be considered “potentially injurious”
or “sensitive” and thus possibly subject to claims of public interest privilege
under s.38.
[16]
One
document, which is now found at tab 171 in the series before the Court, was
produced to the respondents without any redactions. It is a report prepared by
the Canadian Security Intelligence Service (“CSIS” or “the Service”). On August
18, 2009, a CSIS lawyer advised a senior Department of Justice official that
document 171 had been released inadvertently and that notice was being given to
the Attorney General pursuant to s. 38.01 that the document contained sensitive
information. By letter of the same date, counsel for the Attorney General wrote
to counsel for the Elmaati respondents demanding the return of the document.
The document was not returned. The Attorney General subsequently authorized
disclosure of a redacted version of document 171 which was produced to the
respondents on September 9, 2009. Further revisions “lifting” portions of the
redactions were authorized by the Attorney General in the version filed with
the Court on March 19, 2010 and provided to the respondents.
[17]
The
applicant refers to document 171 as an inadvertently disclosed document.
The respondents say it should properly be described as a “disclosed
document”. I will refer to it as document 171. The content of this
document is related to the subject matter of Commissioner Iacobucci’s February
2010 Supplementary Report. The evidence is that document 171 had been collected
by the litigation team in the process of responding to the request for
production and that it was not reviewed by CSIS officials prior to its
disclosure on July 19, 2009.
[18]
For
reasons which are unknown to this Court and are not, presumably, material to
these proceedings, the mediation did not proceed as planned in November 2009
and the litigation resumed. On January 15, 2010, the Elmaati respondents
brought a motion in the Superior Court of Justice for an order requiring the
production of documents without redactions and in the alternative to strike out
the Attorney General’s statement of defence. It was understood that the outcome
would apply to the three actions. Document 171 was filed as an exhibit on the
motion in a sealed envelope: Exhibit “B” to the January 15, 2010 Mudryk
Affidavit.
[19]
On
January 18, 2010, a second notice was given to the Attorney General pursuant to
s. 38.01(1) that 289 documents of which full discovery was sought in the
Superior Court of Justice actions contained sensitive or potentially injurious
information the disclosure of which could harm international relations and/or
national security. In a decision made in March 2010, the number
of documents for which protection was sought was reduced to 268 as the
Attorney General authorized additional disclosures. Such decisions are not made
personally by the Attorney General. The evidence is that the Attorney
General’s authority to act in s. 38 matters is delegated to two senior
officials in the Department of Justice.
[20]
A
confidential Notice of Application pursuant to s. 38.04 was filed on February
2, 2010 together with a Notice of Motion and Motion Record seeking direction
from the Court. Counsel for the parties appeared by conference call before
Chief Justice Allan Lutfy on February 4, 2010 and on several subsequent
dates for case management purposes.
[21]
As
directed by the Chief Justice, a public Notice of Application was filed on
February 9, 2010 and these proceedings have been treated as presumptively
public since then, save for the portion of the proceedings which has taken
place ex parte and in camera, in keeping with the ruling in Toronto
Star Newspapers Ltd., et al. v. Canada (Attorney General), 2007 FC 128, [2007] 4 F.C.R.
434 (“Toronto Star”) which I have adopted and applied.
[22]
Pursuant
to s. 38.05 of the Act, notice of the application was given to Regional Senior
Justice Charles Hackland, case management judge for the Almalki action before
the Superior Court of Justice in Ottawa, and to Mr. Justice Paul Perell, case
management judge for the Elmaati and Nureddin actions in Toronto.
[23]
In
response to the Elmaati motion for production, the Attorney General raised a
preliminary objection that the Superior Court of Justice lacked the
jurisdiction to grant the relief sought, given the grant of jurisdiction to the
Federal Court in s.38. In response, Mr. Elmaati filed a motion on March 12,
2010, challenging the constitutionality of s. 38. The two motions were heard by
Mr. Justice Perell on March 25, 2010. His decision allowing the
constitutional challenge but dismissing the motion for production was issued on
April 8, 2010: Abou-Elmaati v. Canada (Attorney General) 2010 ONSC 2055, 318
D.L.R. (4th) 459 (“Abou-Elmaati”).
[24]
Mr.
Justice Perell held that where a claim is made to enforce the Constitution
Act, including the Charter in a civil proceeding, s. 38 of the Canada
Evidence Act does not preclude a judge of the Superior Court of Justice
from judicially reviewing a claim of Crown privilege at the trial of an action
or the hearing of an application on the grounds of national security, national
defence, and international relations. He concluded, however, that during the
interlocutory stages of a proceeding it is within the constitutional authority
of the Federal Parliament to oust any jurisdiction that the Superior Court may
have to review the Federal Government's claims of Crown privilege and to place
it with the Federal Court: Abou-Elmaati, above, at paras. 109 - 112.
[25]
An
appeal and cross-appeal have been filed by the parties from Justice Perell's
decision. The respondents take the position that this court should defer
its review of the documents and privilege claims in issue to the Superior Court
of Justice if that court is found on the appeal and cross-appeal to also have
inherent and constitutionally protected jurisdiction to conduct a s. 38 review.
[26]
In
these proceedings, evidence was filed by the Attorney General in support of the
application in the form of public and private ex parte affidavits. The
affidavits were made by officials representing the several departments and
agencies from which the documents originated. The affiants, for the most part,
do not have personal knowledge of the events or facts described in the
documents or familiarity with the O’Connor and Iacobucci Reports. With certain
exceptions, the public affiants did not review the redacted content of the
documents prior to making their affidavits. Their evidence referred in general
terms to the type of information relating to national security, national
defence and international relations for which protection was sought. The
private affiants had knowledge of the redacted content and described the risks
of injury claimed by the Attorney General with reference to that content.
[27]
The
respondents filed an affidavit with extensive exhibit evidence (the “Mudryk
Affidavit”) in opposition to the application. This evidence related primarily
to the claims filed in the Ontario Superior Court of Justice, the Inquiry
Reports and the document redactions.
[28]
A
motion for the appointment of an amicus curiae was filed by the
respondents on March 19, 2010. Having considered the written and oral
representations of the parties as to the necessity for such an appointment and
choice of suitable candidates, on March 26, 2010 the Court appointed Me Bernard
Grenier and Me François Dadour as amici curiae to assist the Court in
considering the evidence tendered and the issues raised in the ex parte
hearings.
[29]
Written
opening submissions were filed on behalf of the parties. On April 6, 2010 a
public hearing was held in Toronto to receive counsel’s oral submissions. Ex parte
hearings to receive the applicant’s in camera and ex parte evidence
were conducted at the Court’s secure facilities in Ottawa for six days beginning
April 19, 2010. Witnesses were examined in chief by counsel for the Attorney
General and cross-examined by the amici curiae.
[30]
The
testimony of the witnesses heard in camera and ex parte
elaborated upon the concerns set out in the affidavit evidence. Each witness
provided an overview of the nature of the interest of their department or
agency in the material before the court, such as relationships with foreign
agencies, and discussed the injuries to the protected national interests that,
in their view, would result from disclosure of the information. These witnesses
were representative in the sense that they did not have personal knowledge
of the events or individuals to which the documents refer but testified
based on their work experience and information gleaned from departmental files
or received from other officials.
[31]
On
May 13, 2010 the respondents filed a motion for a confidentiality order with
respect to the content of an affidavit filed by the Attorney General in the
Court’s public Registry. As a result, the Court directed that the copies of the
documents filed as exhibits to the affidavit of Pamela Dawson be withheld from
public access pending a ruling. Having considered the written representations
filed by the parties, the motion was adjourned sine die without
prejudice to it being brought back before the Court with evidence of the harm
that disclosure of the information would cause: Canada (Attorney General) v.
Almalki, 2010 FC 733.
[32]
In
submissions to the Court respecting the scheduling of the remaining steps in
the proceedings, the respondents proposed to make written ex parte and
private submissions regarding the content of the document in their possession
which the applicant claimed to have been inadvertently disclosed. The applicant
opposed this on the ground that the making of such submissions would
constitute, in itself, a further disclosure of the information which the
applicant seeks to protect before the Court made its determination of the
issue. In an Order dated May 21, 2010, and without deciding the issue, I stated
that the respondents could make submissions regarding the application of the s.
38 tests to this document without referring to its content.
[33]
The
respondents conducted cross-examinations of the applicant’s public deponents in
May and June which the amici attended as observers.
[34]
The
Court received public closing written submissions from counsel for the parties
and private written submissions from counsel for the Attorney General and the amici
curiae. A public hearing was conducted on June 23, 2010 to receive the
parties’ closing oral submissions. To assist the Court, the respondents
provided an annotated list of the documents under review. Final in camera
submissions were received from counsel for the Attorney General and the amici
curiae on June 24. In response to questions and requests from the
Court during that hearing, counsel for the Attorney General and the amici
submitted additional written representations and information to the Court
through the month of July.
[35]
In
the course of these proceedings, the Attorney General has revised his position
and determined that certain information that had been redacted in the documents
filed in the Court would not cause an injury to the protected national
interests if disclosed. Revised versions of those documents with redactions
removed or “lifted” were produced to the respondents and filed with the Court.
Further information in 92 documents was authorized to be disclosed by the
Attorney General.
[36]
Prior
to making closing oral submissions, the amici provided the Court and
counsel for the Attorney General with detailed written comments on the
information which the Attorney General sought to protect. With respect to
certain redactions, the amici challenged the Attorney General’s claims
that injury would result from disclosure of the information or argued that, if
the Court was satisfied that injury would be caused, the information should be
disclosed in the public interest. In other cases, the amici
proposed alternative forms of disclosure in the form of summaries to provide
the gist of the redacted information to the respondents.
[37]
Counsel
for the Attorney General provided the Court with a series of tables in which
they identified the redactions the applicant agreed to and those which the
applicant sought to maintain. In a number of instances, they agreed with
the summaries proposed by the amici. In others, they either maintained
the applicant’s position that the risk of injury was contrary to the public
interest or proposed alternative language for disclosure of the
information in a summary form. Revised versions of these tables were provided
to the Court following the closing in camera hearing in response to the amici’s
submissions and the Court’s questions.
[38]
In
the course of the in camera proceedings, the Court was informed that the
Royal Canadian Mounted Police (“the RCMP”) had sent requests for permission to
disclose information that originated with intelligence and law enforcement
agencies in all of the relevant foreign countries. In several countries,
more than one agency was contacted. On October 13, 2010 the Court was informed
that, as of that date, more than half of the agencies had responded and none of
them agreed to the disclosure of their information.
LEGAL FRAMEWORK
[39]
As
the Supreme Court of Canada has observed, the principle that court proceedings
are open is fundamental to our system of justice and closely linked to the core
values protected by s.2 (b) of the Charter. Those values are not,
however, absolute and must yield on occasion where there are other important
interests to protect, such as informant privilege, or to protect the right of
an individual to a fair hearing: Named Person v. Vancouver Sun, 2007 SCC
43, [2007] 3 S.C.R. 253) Charkaoui (Re), 2008 FC 61, [2009] 1 F.C.R.
507. The open court principle is also subject to limitation where disclosure
would subvert the ends of justice or unduly impair its proper administration: Toronto
Star Newspapers Ltd. v. Ontario, 2005 SCC 41, [2005] 2 S.C.R. 188
at para.4.
[40]
The
limitations on the disclosure of information set out in s.38 of the Act are on
their face inconsistent with the open court principle: Ottawa Citizen Group
Inc. v. Canada (Attorney General), 2004 FC 1052, 255
F.T.R. 173, at para.44. In any case in which information is sought by the
parties in support of their position in litigation, application of the s. 38
restrictions can only be justified if necessary to protect the identified
national interests of security, defence and international relations.
[41]
The
disclosure obligations of the Federal Crown in a civil action are expressly
made subject to section 38: Crown Liability and Proceedings Act (R.S.C.,
1985, c. C.-50), ss. 27, 34; Crown Liability and Proceedings (Provincial Court) Regulations, SOR/91-604, ss. 2, 7,
8. The following provisions of section 38, 38.01, 38.02, 38.04 and 38.06 of the
Act are of particular relevance to the present application:
38. Definitions
“potentially
injurious information” means information of a type that, if it were disclosed
to the public, could injure international relations or national defence or
national security.
“sensitive
information” means information relating to international relations or
national defence or national security that is in the possession of the
Government of Canada, whether originating from inside or outside Canada, and is of a type that the
Government of Canada is taking measures to safeguard.
|
38. Définitions
<< renseignements potentiellement préjudiciables >>
Les renseignements qui, s’ils sont divulgués, sont susceptibles de porter
préjudice aux relations internationales ou à la défense ou à la sécurité
nationales.
<< renseignements sensibles >> Les renseignements,
en provenance du Canada ou de l’étranger, qui concernent les affaires
internationales ou la défense ou la sécurité nationale, qui se trouvent en la
possession du gouvernement du Canada et qui sont du type des renseignements à
l’égard desquels celui-ci prend des mesures de protection.
|
Notice to Attorney General of Canada
38.01 (1) Every participant who, in connection with a
proceeding, is required to disclose, or expects to disclose or cause the
disclosure of, information that the participant believes is sensitive
information or potentially injurious information shall, as soon as possible,
notify the Attorney General of Canada in writing of the possibility of the
disclosure, and of the nature, date and place of the proceeding.
|
Avis au procureur général
du Canada
38.01 (1) Tout participant
qui, dans le cadre d'une instance, est tenu de divulguer ou prévoit de
divulguer ou de faire divulguer des renseignements dont il croit qu'il s'agit
de renseignements sensibles ou de renseignements potentiellement
préjudiciables est tenu d'aviser par écrit, dès que possible, le procureur
général du Canada de la possibilité de divulgation et de préciser dans l'avis
la nature, la date et le lieu de l'instance.
|
Disclosure prohibited
38.02 (1) Subject to subsection 38.01(6), no person shall
disclose in connection with a proceeding
(a) information about which notice is given under any of
subsections 38.01(1) to (4);
|
Interdiction de divulgation
38.02 (1) Sous réserve du
paragraphe 38.01(6), nul ne peut divulguer, dans le cadre d'une instance:
a) les renseignements qui font l'objet d'un avis donné au titre
de l'un des paragraphes 38.01(1) à (4);
|
Application to Federal Court - Attorney General of Canada
38.04 (1) The Attorney General of Canada may, at any time and in
any circumstances, apply to the Federal Court for an order with respect to
the disclosure of information about which notice was given under any of
subsections 38.01(1) to (4).
Application to Federal Court – general
(2) If, with respect to information about which notice was given
under any of subsections 38.01(1) to (4), the Attorney General of Canada does
not provide notice of a decision in accordance with subsection 38.03(3) or,
other than by an agreement under section 38.031, authorizes the disclosure of
only part of the information or disclosure subject to any conditions,
(a) the Attorney General of Canada shall apply to the Federal
Court for an order with respect to disclosure of the information if a person
who gave notice under subsection 38.01(1) or (2) is a witness;
(b) a person, other than a witness, who is required to disclose
information in connection with a proceeding shall apply to the Federal Court
for an order with respect to disclosure of the information; and
(c) a person who is not required to disclose information in
connection with a proceeding but who wishes to disclose it or to cause its
disclosure may apply to the Federal Court for an order with respect to
disclosure of the information.
Notice to Attorney General of Canada
(3) A person who applies to the Federal Court under paragraph
(2)(b) or (c) shall provide notice of the application to the Attorney General
of Canada.
Court records
(4) An application under this section is confidential. Subject
to section 38.12, the Chief Administrator of the Courts Administration Service
may take any measure that he or she considers appropriate to protect the
confidentiality of the application and the information to which it relates.
Procedure
(5) As soon as the Federal Court is seized of an application
under this section, the judge
(a) shall hear the representations of the Attorney General of
Canada and, in the case of a proceeding under Part III of the National
Defence Act, the Minister of National Defence, concerning the identity of all
parties or witnesses whose interests may be affected by either the
prohibition of disclosure or the conditions to which disclosure is subject,
and concerning the persons who should be given notice of any hearing of the
matter;
(b) shall decide whether it is necessary to hold any hearing of
the matter;
(c) if he or she decides that a hearing should be held, shall
(i) determine who should be given notice of the hearing,
(ii) order the Attorney General of Canada to notify those
persons, and
(iii) determine the content and form of the notice; and
(d) if he or she considers it appropriate in the circumstances,
may give any person the opportunity to make representations.
…
Termination of Court consideration, hearing, review or appeal
(7) Subject to subsection (6), after the Federal Court is seized
of an application made under this section or, in the case of an appeal from,
or a review of, an order of the judge made under any of subsections 38.06(1)
to (3), before the appeal or review is disposed of, if the Attorney General
of Canada authorizes the disclosure of all or part of the information or
withdraws conditions to which the disclosure is subject, the Court's
consideration of the application or any hearing, appeal or review shall be
terminated in relation to that information, to the extent of the authorization
or the withdrawal.
|
Demande à la Cour fédérale:
procureur général du Canada
38.04 (1) Le procureur
général du Canada peut, à tout moment et en toutes circonstances, demander à
la Cour fédérale de rendre une ordonnance portant sur la divulgation de renseignements
à l'égard desquels il a reçu un avis au titre de l'un des paragraphes
38.01(1) à (4).
Demande à la Cour fédérale:
dispositions générales
(2) Si, en ce qui concerne
des renseignements à l'égard desquels il a reçu un avis au titre de l'un des
paragraphes 38.01(1) à (4), le procureur général du Canada n'a pas notifié sa
décision à l'auteur de l'avis en conformité avec le paragraphe 38.03(3) ou,
sauf par un accord conclu au titre de l'article 38.031, il a autorisé la
divulgation d'une partie des renseignements ou a assorti de conditions son
autorisation de divulgation:
a) il est tenu de demander
à la Cour fédérale de rendre une ordonnance concernant la divulgation des
renseignements si la personne qui l'a avisé au titre des paragraphes 38.01(1)
ou (2) est un témoin;
b) la personne - à
l'exclusion d'un témoin - qui a l'obligation de divulguer des renseignements
dans le cadre d'une instance est tenue de demander à la Cour fédérale de
rendre une ordonnance concernant la divulgation des renseignements;
c) la personne qui n'a pas
l'obligation de divulguer des renseignements dans le cadre d'une instance,
mais qui veut en divulguer ou en faire divulguer, peut demander à la Cour
fédérale de rendre une ordonnance concernant la divulgation des
renseignements.
Notification du procureur
général
(3) La personne qui
présente une demande à la Cour fédérale au titre des alinéas (2)b) ou c) en
notifie le procureur général du Canada.
Dossier du tribunal
(4) Toute demande présentée
en application du présent article est confidentielle. Sous réserve de
l'article 38.12, l'administrateur en chef du Service administratif des
tribunaux peut prendre les mesures qu'il estime indiquées en vue d'assurer la
confidentialité de la demande et des renseignements sur lesquels elle porte.
Procédure
(5) Dès que la Cour
fédérale est saisie d'une demande présentée au titre du présent article, le
juge:
a) entend les observations
du procureur général du Canada - et du ministre de la Défense nationale dans
le cas d'une instance engagée sous le régime de la partie III de la Loi sur
la défense nationale - sur l'identité des parties ou des témoins dont les
intérêts sont touchés par l'interdiction de divulgation ou les conditions
dont l'autorisation de divulgation est assortie et sur les personnes qui
devraient être avisées de la tenue d'une audience;
b) décide s'il est
nécessaire de tenir une audience;
c) s'il estime qu'une
audience est nécessaire:
(i) spécifie les personnes
qui devraient en être avisées,
(ii) ordonne au procureur
général du Canada de les aviser,
(iii) détermine le contenu
et les modalités de l'avis;
d) s'il l'estime indiqué en
l'espèce, peut donner à quiconque la possibilité de présenter des
observations.
…
Fin de l'examen judiciaire
(7) Sous réserve du
paragraphe (6), si le procureur général du Canada autorise la divulgation de
tout ou partie des renseignements ou supprime les conditions dont la
divulgation est assortie après la saisine de la Cour fédérale aux termes du
présent article et, en cas d'appel ou d'examen d'une ordonnance du juge
rendue en vertu de l'un des paragraphes 38.06(1) à (3), avant qu'il en soit
disposé, le tribunal n'est plus saisi de la demande et il est mis fin à
l'audience, à l'appel ou à l'examen à l'égard de tels des renseignements dont
la divulgation est autorisée ou n'est plus assortie de conditions.
|
Disclosure order
38.06 (1) Unless the judge concludes that the disclosure of the
information would be injurious to international relations or national defence
or national security, the judge may, by order, authorize the disclosure of
the information.
(2) If the judge concludes that the disclosure of the
information would be injurious to international relations or national defence
or national security but that the public interest in disclosure outweighs in
importance the public interest in non-disclosure, the judge may by order,
after considering both the public interest in disclosure and the form of and
conditions to disclosure that are most likely to limit any injury to
international relations or national defence or national security resulting
from disclosure, authorize the disclosure, subject to any conditions that the
judge considers appropriate, of all of the information, a part or summary of
the information, or a written admission of facts relating to the information.
Order confirming prohibition
(3) If the judge does not authorize disclosure under subsection
(1) or (2), the judge shall, by order, confirm the prohibition of disclosure.
Evidence
(3.1) The judge may receive into evidence anything that, in the
opinion of the judge, is reliable and appropriate, even if it would not
otherwise be admissible under Canadian law, and may base his or her decision
on that evidence.
Introduction into evidence
(4) A person who wishes to introduce into evidence material the
disclosure of which is authorized under subsection (2) but who may not be
able to do so in a proceeding by reason of the rules of admissibility that
apply in the proceeding may request from a judge an order permitting the
introduction into evidence of the material in a form or subject to any
conditions fixed by that judge, as long as that form and those conditions
comply with the order made under subsection (2).
Relevant
factors
(5) For the purpose of subsection (4), the judge shall consider all
the factors that would be relevant for a determination of admissibility in
the proceeding.
|
Ordonnance de divulgation
38.06 (1) Le juge peut
rendre une ordonnance autorisant la divulgation des renseignements, sauf s'il
conclut qu'elle porterait préjudice aux relations internationales ou à la
défense ou à la sécurité nationales.
(2) Si le juge conclut que
la divulgation des renseignements porterait préjudice aux relations
internationales ou à la défense ou à la sécurité nationales, mais que les
raisons d'intérêt public qui justifient la divulgation l'emportent sur les
raisons d'intérêt public qui justifient la non-divulgation, il peut par
ordonnance, compte tenu des raisons d'intérêt public qui justifient la
divulgation ainsi que de la forme et des conditions de divulgation les plus
susceptibles de limiter le préjudice porté aux relations internationales ou à
la défense ou à la sécurité nationales, autoriser, sous réserve des
conditions qu'il estime indiquées, la divulgation de tout ou partie des renseignements,
d'un résumé de ceux-ci ou d'un aveu écrit des faits qui y sont liés.
Confirmation de
l'interdiction
(3) Dans le cas où le juge
n'autorise pas la divulgation au titre des paragraphes (1) ou (2), il rend
une ordonnance confirmant l'interdiction de divulgation.
Preuve
(3.1) Le juge peut recevoir
et admettre en preuve tout élément qu'il estime digne de foi et approprié -
même si le droit canadien ne prévoit pas par ailleurs son admissibilité - et
peut fonder sa décision sur cet élément.
Admissibilité en preuve
(4) La personne qui veut
faire admettre en preuve ce qui a fait l'objet d'une autorisation de
divulgation prévue au paragraphe (2), mais qui ne pourra peut-être pas le
faire à cause des règles d'admissibilité applicables à l'instance, peut demander
à un juge de rendre une ordonnance autorisant la production en preuve des
renseignements, du résumé ou de l'aveu dans la forme ou aux conditions que
celui-ci détermine, dans la mesure où telle forme ou telles conditions sont
conformes à l'ordonnance rendue au titre du paragraphe (2).
Facteurs pertinents
(5) Pour l'application du
paragraphe (4), le juge prend en compte tous les facteurs qui seraient
pertinents pour statuer sur l'admissibilité en preuve au cours de l'instance.
|
[42]
In
assessing whether to make an order pursuant to section 38.06 of the Act, the
Court must engage in a three step process as held in Ribic
v. Canada (Attorney General), 2003 FCT 10, (2003) F.T.R. 161, affirmed in
2003 FCA 246, [2005] 1 F.C.R. 33 (“Ribic”). In considering the
information at issue, the Court must determine: (1) its relevance to the
underlying proceeding; (2) whether its disclosure would be injurious to
national security, international relations or national defence; and
(3) whether the public interest in disclosure is outweighed by the public
interest in non-disclosure.
[43]
Ribic has been applied in a number of decisions of this Court: Canada
(Attorney General) v. Khawaja, 2007 FC 490, [2008] 1 F.C.R. 547 (“Khawaja”),
rev’d in part, Canada (Attorney General) v. Khawaja, 2007 FCA 342, 228
C.C.C. (3d) 1 ; Arar, above ; Khadr
v. Canada (Attorney General), 2008 FC 807, 331 F.T.R. 1 (“Khadr June
2008”); Khadr v. Canada (Attorney General), 2008 FC 549, 329 F.T.R. 80
(“Khadr April 2008”).
ISSUES
[44]
A
threshold issue to be addressed is whether this court should defer its review
of the documents and the privilege claims in issue to the Ontario Superior
Court of Justice?
[45]
Barring
a decision to defer to the Superior Court of Justice, the question before me is
whether the statutory bar to disclosure of the information as set out in
s.38.02 (1) (a) should be confirmed as provided for in s. 38.06 (3) of the Act.
Specific issues to be determined are as follows:
1) How is
the Ribic test to be applied to the information in question?
2) What, if
any, effect should the disclosure of document 171 have on the claim
for protection of its redacted content?
DISCUSSION
Should
this Court defer to the Ontario Superior Court of Justice?
[46]
This
issue arises because the respondents wish to have the issues related to the
disclosure of information for which claims of privilege are made by the
applicant on the grounds of injury to national security, national defence and
international relations determined by the court that will hear and decide their
actions against the federal government. The respondents do not dispute that
s.38 confers jurisdiction on this court to determine privilege claims under
these three heads of public interest. They maintain that, generally, civil
proceedings before the provincial superior courts are governed by the common
law and the respective Evidence Acts of the provinces and contend that
Parliament could not constitutionally divest the provincial superior courts of
that jurisdiction through the enactment of the relevant provisions of the Canada
Evidence Act. They submit that this jurisdiction is part of the irreducible
core that is reserved to provincial superior courts by s.96 of the Constitution
Act, 1867 (U.K.), 30 & 31 Vict., c. 3, reprinted in R.S.C. 1985, App.
II, No. 5.
[47]
The
respondents maintain, therefore, that this court should defer any review of
information subject to discovery proceedings in the Superior Court of Justice
to that court, if it is found on the appeal and cross-appeal from Mr. Justice
Perell’s decision to have inherent and constitutionally protected jurisdiction
to conduct a review of the national security, national defence and
international relations privilege claims at all stages of the civil litigation
process.
[48]
The
respondents do not question that this Court has statutory jurisdiction under
section 38 to conduct the review, but submit that Mr. Justice Perell’s
decision confirms the jurisdiction of the Superior Court to conduct its own
review of the privilege claims, at least at trial. They take issue with his
conclusion that practical considerations militate in favour of not exercising
jurisdiction at the interlocutory stage of the proceedings, one of the issues
under appeal. The respondents submit that the "practical
considerations" argument does not answer the principled reasons which
support privilege review in the trial courts as set out in the report of the
Commission of Inquiry into the Investigation of the Bombing of Air India Flight
182 (the “Major Inquiry”): vol. III, pp 156 to 165.
[49]
I
agree with the applicant that the respondents’ preference to have the s.38
issues adjudicated by the court that will try the merits of their claims
against the federal government is legally irrelevant in the present
proceedings, given Parliament’s deliberate choice to assign that jurisdiction
exclusively to this court and absent a binding decision that the legislation is
constitutionally invalid. The question of the constitutionality of that choice
is not before me.
[50]
The
issue is currently before the Supreme Court of Canada, at least in respect of
criminal proceedings, in an appeal from the decision of the Ontario Superior
Court of Justice in R. v. Ahmad, [2009] O.J. No. 6166 (QL), 2009 Can LII
84788 (Ont. Sup. Ct.) (“Ahmad”).
Should the Supreme Court uphold the Ahmad decision or the Ontario Court
of Appeal support the respondents’ position on the appeal of Abou-Elmaati,
above, questions of jurisdiction or judicial comity will likely arise. But as
either event has not occurred, I do not consider it necessary to address the
question of deferral to the Superior Court of Justice, at this time.
[51]
I
think it appropriate to state, however, that I also agree with the applicant
that the assignment of the responsibility to adjudicate s. 38 issues to the
Federal Court was an important element of Parliament’s decision to implement
the recommendations of the McDonald Commission regarding the adjudication of
public privilege issues in relation to national security: Canada, Commission
of Inquiry Concerning the Activities of the Royal Canadian Mounted Police,
(Chairman, Mr. Justice D.C. McDonald) First Report, Security and Information,
October 9, 1979. The physical security of such information was one of the
reasons Parliament chose to centralize adjudication of the disclosure of
potentially injurious information in the Federal Court. Concerns about
expertise, uniformity, and security of information continue to underlie section
38’s grant of exclusive jurisdiction to the Federal Court.
[52]
The
parties dispute whether the effect of the enactment of the McDonald Commission
recommendations was to adopt a more liberal approach to disclosure of protected
information than that which was available to litigants under the common law.
The respondents cite Carey v. Ontario, [1986] 2 S.C.R. 637, 35 D.L.R. (4th)
161, at para. 22, for the proposition that the treatment of public interest
privilege at common law had evolved to the point that the Courts recognized
that a different balance may be struck between the competing interests, over
time and on the facts: at times giving the interests in government secrecy
“virtually absolute priority”, while at other times “a more even balance was
struck”.
[53]
The
respondents are correct to say that the common law had evolved, notably with
the 1968 decision of the House of Lords in Conway v. Rimmer, [1968] UKHL
2, [1968] A.C. 910 (H.L.), which introduced the concept of a balancing between
the interests of the public in ensuring the proper administration of justice
and the public interest in the withholding of documents whose disclosure would
be contrary to the national interest.
[54]
In
the United
Kingdom,
the courts have continued to wrestle with the difficult question of where to
find the balance without the benefit of statutory guidance: Al Rawi and
others v. Security Service and others, [2010] EWCA Civ 482, [2010] 3 W.L.R.
1069 at paras. 23-26 (“Al Rawi”); Al-Sweady & Ors, R (on the
application of) v. Secretary of State for Defence [2009] EWHC 1687 (Admin)
(“Al Sweady”); R (on the application of Mohamed) v. Secretary of
State for Foreign and Commonwealth Affairs, [2010] EWCA Civ 65, [2010] 4
All E.R. 91 (“Mohamed”). Australia has adopted a comprehensive statutory scheme
for handling national security information, similar to that in the Canada
Evidence Act: the National Security Information (Criminal and Civil
Proceedings) Act, 2004 (Cth.).
[55]
The United States has adopted comparable
legislation in the Classified Information Procedures Act, 18 U.S.C. App.
III, § 1-16 (1980) for criminal proceedings. In applying the state secrets privilege
in civil matters, however, US courts grant exceptional deference to the
executive’s injury assessment even to the extent of barring actions at the
pleadings stage: see for example, Arar v. Ashcroft, 585 F.3d 559 (2nd
Cir. 2009), certiorari denied 130 S. Ct. 3409 (2010);
Mohamed et al. v. Jeppesen Dataplan Inc., 614 F 3d. 1070 (9th
Cir. 2010).
[56]
It
is clear from the Canadian jurisprudence that at common law “virtually absolute
priority” was given to claims of national security, national defence and international
relations privilege as opposed to other public interests. The issue before the
Supreme Court in Carey was a claim to protect provincial cabinet
documents relating to investments in a tourist lodge. National security,
international relations and national defence considerations did not arise. At
paragraph 81 of his reasons for the Court, Justice LaForest stressed that such
matters were entirely different and may well justify the withholding of the
information even without inspection. He went on to say:
For
on such issues, it is often unwise even for members of the judiciary to be
aware of their contents, and the period in which they should remain secret may
be very long.
[57]
This
statement reflects the approach taken by the courts to national security claims
prior to the enactment of the predecessor to s. 38. Certificates asserting such
claims were treated as conclusive. Judges were reluctant to look behind them.
The enactment of s. 36.2 in 1982 was a substantial departure from the common
law approach: R.S.C. 1980-81-82-83, c.111, s.4; Goguen v. Gibson,
[1983] 2 F.C. 463 (C.A.), (1984)10 C.C.C. (3d) 492 at p. 504; R.v. Kevork,
[1984] 2 F.C. 753 (T.D.), (1984) 17 C.C.C. (3d) 426 at p.431; Henrie v.
Canada,[1989] 2 F.C. 229, at para. 10, 53 D.L.R. (4th) 568
(“Henrie”).
[58]
The
amendments enacted by Parliament in 2001, (Anti-terrorism Act, S.C. 2001
c. 41) and the subsequent jurisprudence of the Federal Court reflect a
continuing evolution of the s. 38 process towards greater disclosure of
sensitive information under judicial supervision. The Court now closely
examines the content of the information which the Attorney General seeks to
protect, unlike in the past, and makes an independent and impartial assessment
of the claims. The legislation explicitly provides for a balancing of the
public interests involved and, even where injury has been established,
authorizes release of the information or a suitable alternative where the judge
finds that the public interest in disclosure outweighs the interests in security,
defence or international relations.
[59]
Turning
to the application of the three steps of the Ribic test to the
information at issue in these proceedings, the starting point is the question
of relevance.
Should the statutory bar
to disclosure of the information be confirmed?
1. Is the information at issue relevant to the
underlying actions?
[60]
The threshold for determining relevance is low. The Court must
consider the relevance of the information at issue to the underlying
proceeding. Where the underlying matter is a criminal case or a proceeding
analogous to a criminal case in which the liberty of the subject is at risk,
such as an extradition request, and subject to any applicable legislation, the
Court should apply the standard for disclosure of evidence set out by the
Supreme Court of Canada in R. v. Stinchcombe, [1991] 3 S.C.R. 326, 130
N.R. 277: Ribic, above at para. 17. That standard is that there is a
reasonable possibility of the information being useful to the accused in making
full answer and defence: R. v. Chaplin, [1995] 1 S.C.R. 727 at para. 30.
[61]
As the underlying matters in this case are civil actions, I think
it appropriate to apply the standard of relevance as it relates to the
discovery process in civil litigation. In the Federal Court, information is
relevant for discovery purposes if it may reasonably be useful to the party
seeking production
to advance its case or undermine that of the opposing party or may fairly lead
to a “train of inquiry” that may have either of these two consequences:
Rule 222(2) Federal Court Rules, SOR/98-106; Apotex Inc. v. Canada,
2005 FCA 217, 337 N.R. 225 at paras. 15-16. The Apotex approach to
relevance has been applied in Ontario, under the former rules: see for example Benatta
v. Canada (Attorney General), [2009] O.J. No. 5392 at
para. 20. This conception of relevance applies not only to information that is
direct evidence supporting the respondents’ allegations but also to information
that will permit inferences of fact to be drawn from the circumstances.
[62]
Under
the revised Ontario Rules of Civil Procedure, the test is whether the
information is “relevant to any matter in issue in an action” (Rules
of Civil Procedure, R.R.O. 1990, Reg. 194, ss. 30.02(1), 31.06(1),
emphasis added). The old rule used the phrase “related to any matter in
issue in an action” (emphasis added). The new “relevance” test is more onerous
than the “semblance of relevance test” applicable under the old rule: Nobel
v. York University Foundation, 2010 ONSC 399, [2010] O.J. No. 794 at para.
19).
[63]
In
the context of this case, the respondents should also have the opportunity to
refute any suggestions of wrongdoing that may be found in the redacted content
of the impugned documents. I note that Justice Perell alluded to the
possibility that the information being withheld is exculpatory of government
misconduct: Abou-Elmaati, above, at paragraph 81. Thus information will
also be relevant if it may be used by the government to support its defence of
the actions.
[64]
This
is not to assume that such information will be admissible at trial if not
disclosed to the respondents. The United Kingdom Court of Appeal recently dealt
with that issue in Al Rawi, above. In the context of an action for
damages similar to the underlying actions in this matter, the Court of Appeal
held that the trial court could not order a closed hearing to allow the Crown
to defend the claims using secret evidence that was not disclosed to the
plaintiffs.
[65]
Clearly
irrelevant information is not subject to disclosure. This would include information,
for example, concerning other persons or events where there are no links to the
parties or events in question. In this case, the parties have submitted that
the redacted information in the documents before the Court should be treated as
presumptively relevant. For the most part, I had little difficulty with that
proposition as I reviewed the documents. Some of the redacted information, such
as administrative details, file and telephone numbers did not appear to be
relevant in the absence of some showing of how the information could possibly
assist the plaintiffs.
[66]
Information
that I considered to be highly relevant to the underlying proceedings included,
for example, documents that relate to the early interest of CSIS in Mr. Elmaati
and contain information that the Service shared with other agencies, both
domestic and foreign. The language used by the Service in sharing this
information was found by Commissioner Iacobucci to be deficient. The
respondents characterize it as inflammatory, inaccurate and unsupported.
Without expressing any views as to the merits of the dispute between the
parties, it is clear that these documents relate to the core of Mr. Elmaati’s
case against the government.
[67]
Upon
finding that the information at issue is relevant to the underlying
proceedings, the Court must turn to whether disclosure of the information would
result in injury to the protected national interests.
2. Would
injury to Canada’s national security, national defence or international
relations result from disclosure?
[68]
The
second step of the Ribic test is the determination of whether disclosure
of the information at issue would be injurious to international relations,
national defence or national security, the three grounds listed in section
38.06 of the Act.
[69]
For
this purpose the Judge may receive into evidence anything that, in the opinion
of the judge is reliable and appropriate (“digne de foi et utile”) even if it
would not otherwise be admissible under Canadian law: s.38.06 (3.1) of the Act.
[70]
The judge presiding over a s.38 review must give considerable
weight to the Attorney General’s submissions on the injury that would be caused
by disclosure given the access that office has to special information and
expertise. Mere assertions of injury are insufficient: Khadr
April 2008, above at paras. 31-32. The judge must be satisfied that
executive opinions as to potential injury have a factual basis which has been
established by evidence: Ribic, above at para. 18, citing Home
Secretary v. Rehman, [2001] H.L.J. No. 47, [2001] 3 WLR 877, at page 895
(HL(E)).The burden of persuasion rests with the Attorney General and probable
injury is assessed on a reasonableness standard: Ribic, para.19. While
the authority to order disclosure is expressed in the statute in discretionary
terms, the Federal Court of Appeal has held that an authorization to disclose will
issue if no injury would result to the protected interests: Ribic,
above, at paragraph 20; see also Khadr June 2008, above at paragraph 52.
[71]
The
respondents argue that the Court should take into account that the information
in question in these proceedings is dated. No charges have been laid or other
action taken against them for almost a decade notwithstanding that the security
agencies had resort to extraordinary investigative techniques with the
cooperation of foreign agencies. This is a valid consideration. The need
to protect information may lose its significance with the passage of time and
changed circumstances: Khadr April 2008, above at para. 84.
[72]
The
respondents assert that the international community requires a state to bear
the onus of showing that the “information at issue poses a serious threat
to a legitimate national security interest” in order to limit public access to
government information. A national security interest will not be legitimate
“unless its genuine purpose and demonstrable effect is to protect a country’s
existence or its territorial integrity against the use or threat of force, or
its capacity to respond to the use or threat of force.” In my view, this
overstates the burden on the state to justify the restriction.
[73]
The
words quoted in the preceding paragraph are taken from a United Nations
document, The Johannesburg Principles on National
Security, Freedom of Expression and Access to Information U.N.Doc. E/CN.4/1996/39
(the “Johannesburg Principles”). This
statement of principle resulted from a 1996 meeting of legal experts convened
by an anti-censorship organization at Johannesburg. The statement is frequently used as a
tool for interpreting Article 19 of the United Nations’ International
Covenant on Civil and Political Rights December 19, 1966, [1976] Can. T.S.
No. 47, but has no formal status in international or domestic law.
[74]
This
court has positively cited Principle 2(b) of the Johannesburg Principles as
support for the proposition that governments may not withhold information for
oblique purposes: Arar, above, at para. 60. Principle 2(b) states that a
restriction on freedom of expression or information cannot be justified if
its only purpose is to protect interests unrelated to national security,
including, for example, to protect a government from embarrassment or exposure
of wrongdoing or to conceal information about the functioning of its public
institutions. However, in citing this principle, the Court has not endorsed the
narrow conception of legitimate national security interests set out in other
portions of the statement.
[75]
The
experts’ view of what constitutes a legitimate national security interest was
expressly rejected by Justice Danièle Tremblay-Lamer in Charkaoui (Re),
2009 FC 342, 353 F.T.R. 165 at para. 78. I agree with her comments that the
Johannesburg definition is too restrictive and does not take into account other
grounds for maintaining the confidentiality of information that have been found
to be privileged under Canadian law.
[76]
In
interpreting the meaning of the phrase “danger to the security of Canada”, Justice Arbour stated
for the majority in Suresh v. Canada (Minister of Citizenship and Immigration), 2002 SCC 1, [2002] 1
S.C.R. 3 at paragraphs 88-90 (“Suresh”), that the phrase must be
interpreted flexibly. To insist on direct proof of a specific threat to Canada as the test sets the
bar too high. The threat must be serious in the sense that it must be grounded
on objectively reasonable suspicion based on evidence and in the sense that the
threatened harm must be substantial rather than negligible.
[77]
Parliament’s
reference to both security and defence as national interests to be protected
must be taken to mean that they are not synonymous. In Arar, above, at
paragraph 62, Justice Noël cited the 7th edition of Black’s Law
Dictionary definition of national defence as including “[a]ll measures taken by
a nation to protect itself against its enemies” including protection of the nation’s
collective ideals and values. The latter aspect of that definition may fall
more accurately within the scope of the meaning of “national security” than
national defence, but it captures the broad sense of the term.
[78]
National
security is a broad and inherently vague concept that defies precise
definition. I have no doubt, however, that it includes a wider range of
interests than territorial integrity or the capacity to respond to the use or
threat of force. Among other things, in Canada it has been said to encompass
“the preservation of a way of life acceptable to the Canadian people” and the
protection of our values and key institutions: see the discussion in Craig
Forcese, “Canada’s National Security
‘Complex’: Assessing the Secrecy Rules” (2009) 15:1 IRPP Choices 1 at 7; see
also Arar, above, at paras 63-68. Justice Noël concluded at
paragraph 68 of Arar that national security means at minimum the
preservation of the Canadian way of life including the safeguarding of the
security of persons, institutions and freedoms in Canada. I agree with that
conclusion.
[79]
The
third national interest to be considered is the risk of injury to Canada’s international
relations. Again, this cannot be read as synonymous with either national
defence or national security. Parliament deemed it necessary to protect
sensitive information that would harm Canada’s relations abroad if it were to be publicly
disclosed, in keeping with the accepted conventions on diplomatic
confidentiality.
[80]
This
protection extends to the free and frank exchanges of information and opinions
between Canada’s diplomats and other
public officials and their foreign counterparts, without which Canada could not effectively
participate in international affairs. Similar protection is contained in
mandatory and discretionary terms in the Access to Information Act,
R.S.C., 1985, c. A-1, ss.13, 15. Absent consent, the head of a government
institution shall refuse to disclose any record that contains information that
was obtained in confidence from the government of a foreign state or
an institution thereof (s.13). The head of a government institution may
also refuse to disclose any information which may reasonably be expected to be
injurious to the conduct of international affairs (s.15).
[81]
Generally, information already in the public domain cannot be
protected from disclosure as it will be presumed, subject to evidence to the
contrary, that there will be no injury from its further disclosure. This
applies in particular where the Crown has deliberately disclosed documents in
the course of litigation: Babcock v. Canada (Attorney
General), 2002 SCC 57, [2002] 3 S. C. R. 3 at paragraph 26. But there may be other
situations in which the information has been publicly released and the harm of
disclosure, if any, has already occurred. In Mohamed, above, for
example, related information had already been released in US court proceedings and
the substance of the redacted paragraphs at issue could be read or discerned
from the public portion of the trial court judgment. The Court of Appeal
ordered the release of the paragraphs for that reason and because it was not
convinced that injury would result.
[82]
The
presumption that the disclosure of information already in the public domain
will not cause further injury is not irrebuttable. As
Justice Noel observed in Arar above, at paragraph 56:
There
are many circumstances which would justify protecting information available in
the public domain, for instance: where only a limited part of the
information was disclosed to the public; information is not widely known or
accessible; the authenticity of the information is neither confirmed nor
denied; and where the information was inadvertently disclosed.
[83]
In
the context of this case, the respondents submit that several documents
produced in heavily redacted form state that the information they contain was
provided by, among others, CSIS, to the Courts or to other agencies of the
Government on the basis that it was anticipated that the information may be
used in judicial proceedings. It is submitted that this is a waiver of any
public interest privilege that might attach to the information. Similarly, the
respondents submit that the Statements of Defence in the underlying actions
cite and rely on some of the withheld information. I agree with the respondents
that these are relevant considerations in determining whether the injury claims
can be sustained.
[84]
Each of the public affiants identified categories of information
which they considered posed a risk of injury to Canada's national
security, national defence or international relations. Similar but more
specific evidence was received in camera. The public affidavit of the
CSIS affiant, Bradley Evans, listed the categories of concern to CSIS as
information that would:
a.
identify or tend to
identify the Service's interest in individuals, groups or issues, including the
existence or nonexistence of past or present files, the intensity of
investigations, or the degree or lack of success of investigations;
b.
identify or tend to
identify methods of operation and investigative techniques utilized by the
Service;
c.
identify or tend to
identify relationships that the Service maintains with other police
and security and intelligence agencies and would disclose information
exchanged in confidence with such agencies;
d.
identify or tend to
identify employees, internal procedures and administrative methodologies of the
Service, such as names and file members;
e.
identify or tend to
identify human sources of information for the Service or the content of
information provided by human sources which, if disclosed, could lead
to the identification of human sources.
[85]
The
RCMP public deponent cited concerns about information received from foreign
agencies, information about RCMP members and that received from human sources. A
manager in the Department of Foreign Affairs and International Trade
("DFAIT") deposed that the department wished to have certain
sensitive information protected on the ground that disclosure would be
injurious to Canada's international
relations. Affidavit evidence was received from a representative of the Canada
Border Services Agency (CBSA) regarding certain operational information they
wished to protect.
[86]
An
officer of the Canadian Forces ("CF") deposed that the Forces and the
Department of National Defence ("DND") were concerned about certain
information that could identify military capabilities and operations in Afghanistan or compromise the
safety of individuals engaged in those operations. As I understand the
respondents’ submissions, they have not questioned the need to protect any
information respecting military capabilities and operations or that identifies
military personnel that may be in the redacted documents. I am satisfied that
the information is entirely peripheral to the issues in the underlying civil
claims and is of no evidentiary value, the risk of injury has been
established and there is no outweighing public interest in disclosure.
[87]
In
the context of a security certificate proceeding, Harkat (Re), 2005 FC
393, 261 F.T.R. 52 at paragraph 89, Justice Eleanor
Dawson provided examples of the type of information which she considered must
be kept confidential as follows:
1. Information
obtained from human sources, where disclosure of the information would identify
the source and put the source's life in danger... As well, jeopardizing the
safety of one human source will make other human sources or potential human
sources hesitant to provide information if they are not assured that their
identity will be protected.
2. Information
obtained from agents of the Service, where the disclosure of the information
would identify the agent and put the agent's life in danger.
3. Information
about ongoing investigations where disclosure of the information would alert
those working against Canada's interest and allow them to take
evasive action.
4. Secrets
obtained from foreign countries or foreign intelligence agencies where
unauthorized disclosure would cause other countries or agencies to decline to
entrust their own secret information to an insecure or untrustworthy recipient.
5. Information
about the technical means and capacities of surveillance and about certain
methods or techniques of investigation of the Service where disclosure would
assist persons of interest to the Service to avoid or evade detection or
surveillance or the interception of information. [Parenthetical comments
omitted]
[88]
These
factors are frequently cited in proceedings where the confidentiality of
government information is in question. At first impression, they are similar to
the categories of risk identified by Mr. Evans and the other government
witnesses in their evidence. The Harkat factors call for a definite
conclusion to be drawn that harm would result from disclosure of the
information. That is also the finding that the Court must make in the
application of the second stage of the Ribic test. It is not sufficient
that the potential for risk is identified, although that standard may be used
by public officials in making public interest privilege claims.
[89]
The
respondents have raised a number of issues with respect to the applicant’s
claims that injury would result from disclosure of information falling within
the categories identified by the witnesses in the public evidence. I will deal
with those issues I think it necessary to address, to the extent that I can in
these public reasons.
a) Quality
of the Evidence
[90]
The
respondents submit that the applicant’s public affidavit evidence is of a
deliberately low evidentiary quality and fails to meet the standards required
by Rule 81 of the Federal Courts Rules. They rely on the fact that the
three affiants representing CSIS, the RCMP and DFAIT had no personal
involvement in or knowledge of the matters at issue. None of them participated
in the events concerning the detention of the three principal claimants, nor
played a role in either the O'Connor Commission or the Iacobucci Inquiry. They
were not directly involved in responding to the recommendations in those
inquiry reports. With the exception of the RCMP affiant, they had not read the
collection of documents produced for disclosure. The CSIS affiant had read
document 171. He and the DFAIT affiant relied on information provided by others
to support their statements as to the categories which they sought to protect.
[91]
The
court was urged to give this evidence no weight or to strike it out entirely,
as the deponents lacked independence, qualifications and the necessary relevant
factual foundation to give proper expert opinion testimony on matters before
the Court. The respondents say that the public affidavits consist of advocacy,
not evidence, and are therefore worthless except to the extent that they may
serve as an aid to argument by the Attorney General as to the categories of
protectable interests.
[92]
Rule
81(1) provides that affidavits shall be confined to facts within the deponent's
personal knowledge, save for in motions, in which statements as to the
deponent’s belief with the grounds therefore may be included. Where an
affidavit is made on belief, Rule 81(2) provides that an adverse inference may
be drawn from the failure of a party to provide evidence of persons having
personal knowledge of material facts. As interpreted in the jurisprudence, the
requirement that affidavits be confined to personal knowledge does not exclude
hearsay evidence: Éthier v. Canada (RCMP Commissioner), [1993] 2 F.C. 659
(C.A). Moreover, it may be apparent from the context why the best evidence is
not available: Lumonics Research Ltd. v. Gould, [1983] 2 F.C. 360
(C.A.).
[93]
In
the particular context of s. 38 applications, I think it is apparent that the
applicant is unable to put forward public affiants for cross-examination who
may have first hand knowledge of the facts or events at issue or the
redacted content of the documents in question. This is because they may
inadvertently disclose the very information which the applicant is seeking to
protect. The practice of the court in these matters is not to treat these
affiants as experts, but as representative witnesses to give evidence as to the
nature, in general, of the grounds for which the claims of privilege are
asserted. In that sense, their evidence is helpful to the court and to the
respondents, but does not carry a great deal of weight with respect to the
specific privilege claims.
[94]
It
should be recalled that it is only a relatively short period of time since
these proceedings were heard entirely in private. Chief Justice Lutfy's
decision to read down the statutory provisions which required that the
proceedings be concealed has had the salutary effect of making the process much
more transparent and open: Toronto Star, above. But these proceedings are not a trial
or a judicial review in which the normal standards for the reception of
evidence apply. Section 38 is, in effect, a self contained code for the determination
of questions of public interest privilege. That code necessarily includes
private hearings in which the Court may hear the evidence of witnesses familiar
with the contents of the documents and closely scrutinize the information at
issue. This is where the Court must determine whether the quality of the
applicant’s evidence is sufficient to uphold the claims.
b)
Deference
[95]
In
determining whether injury to national security,
national defence or international relations would result from disclosure, the
jurisprudence holds that the Court must give considerable weight to the
Attorney General’s submissions given the access that officeholder has to
special information and expertise: Suresh, above, at paragraph 31; see
also Mohamed, above, at paragraph 174. The Attorney
General assumes a protective role vis-à-vis the security and safety of the
public: Ribic, para.19. That being said, questions naturally arise. How
much deference is appropriate? How does deference apply in a practical sense to
a particular item of information? Does the nature of the underlying proceeding
make a difference?
[96]
The
respondents submit that there are flaws in the process used by the Attorney
General to determine and submit his claims to withhold information from
disclosure, and that these flaws should reduce, or entirely eliminate, any
deference that this Court could or should otherwise apply to the applicant’s
assessment of risk.
[97]
The
principal flaw which the respondents submit should limit deference is that the
assessment of whether injury would result from disclosure is delegated to
officials in the Department of Justice and other departments. As noted above,
the authority to act in the Attorney General’s name is expressly delegated to
senior litigation officials in his department. They act on the advice and
instructions of officials in other departments and agencies who have
responsibility for the subject-matter in question. These officials review the
documents to identify “potentially injurious” and “sensitive information” which,
in their view, should be redacted. This is an institutional function performed
for the most part by staff and managers up to the Director level. Ministers and
Deputy Ministers are not directly involved.
[98]
The
respondents submit that, based on the cross-examination of the applicant’s
public affiants, in reviewing the documents being produced for discovery, these
officials do not consider whether disclosure of a particular item of
information would be harmful. Rather they determine whether the information
falls into one or more of the pre-identified categories described above. These
determinations, it is suggested, are then accepted at face value by the Justice
officials who act on behalf of the Attorney General. The respondents argue that
the Attorney General has abdicated his responsibility to assess whether
disclosure would cause injury to the protected national interests. In the
result, they contend, little or no deference is owed to the decisions made in
his name.
[99]
It
is correct, as the respondents submit, that at common law, public interest
privilege claims required the issuance of a certificate by the responsible
Minister that disclosure of the information in question would be injurious
to an important government interest. This is still the practice in the United
Kingdom and the United
States.
The contention is that the effect of taking the claims up the “Ministerial
briefing ladder” resulted in only credible and important claims being advanced
for which the Minister would be ultimately accountable in the political
process. This avoided systemic over-claiming which, the respondents argue,
results from the current practice.
[100] It is trite law that a
Minister of the Crown is not expected to perform all of the many and varied
powers conferred on him or her unless it is expressly required by the statute
conferring the powers: Carltona Ltd. v. Commissioners of Works, [1943] 2
All E.R. 560 (C.A.); R. v. Harrison, [1977] 1 S.C.R. 238; Comeau’s
Sea Foods Ltd. v. Canada (Minister of Fisheries and Oceans), [1997] 1
S.C.R. 12. The Carltona principle is enshrined in the Interpretation
Act, R.S.C. 1985, c. I-21, s. 24(2).
[101] I think it is clear from
the jurisprudence that at common law, Ministers exercised the discretion to
issue a certificate by identifying a broad class of documents for which the
privilege was claimed rather than, as is the practice now, portions of the
content of the documents. In Carey, above, for example, the government
sought to protect all documents dealing with the transaction in question.
Claims were not advanced on the basis of the type of detailed assessment of
each item of information that is done now but rather by reference to a class of
documents. To-day, to facilitate the process, those doing the assessment rely
on the categorization of types of information that has been previously found to
risk injury to the protected interests.
[102] I think it doubtful that
the personal involvement of Ministers in the process would eliminate or reduce
systemic over-claiming, as the respondents suggest. This concern arises most
often in the context of third party information, where claims are made that
sensitive information subject to express or implied caveats would no longer be
provided by intelligence partners if disclosed. Governments rely on the flow of
information provided by intelligence sharing arrangements: see, for example,
the controversy which arose in the United Kingdom over the disclosure of
information provided by the US in the Mohamed case: "Hillary
Clinton made security help 'threat' to David Miliband over Binyam Mohamed
case", The Daily Telegraph (29 July 2009); “U.K. Move Could Hinder
U.S. Intelligence Sharing”, The Wall Street Journal (11 February 2010).
Even with a change of government, the effects of the Mohamed decision
continue to be a matter of concern to UK ministers: see “Handing Foreign Intelligence to
British Courts to be Made Illegal”, The Daily Telegraph (7 July 2010).
[103] The fact that the
assessment of probable injury is not carried out personally by the Attorney
General but rather by a departmental official has no bearing, in my view, on
the question of whether deference is due that assessment. Ministers take advice
from their officials on questions such as this and the access to special
information and expertise referred to by the Court of Appeal in Ribic,
above, is institutional rather than personal. Ministers and Deputy Ministers
come and go and are unlikely to personally gain sufficient knowledge and
familiarity with intelligence matters so as to assess whether a claim of injury
from disclosure is likely or not. They have to rely on the officials who do
this work on a day to day basis, and who gain an appreciation for what will or
will not result in the flow of valuable intelligence from foreign partners
being cut off, or is otherwise problematic from a security or international
relations perspective.
[104] I do not agree with the
respondents' submission that "the process followed makes nonsense of the
relevant notice and authorization provisions." In my view, the provisions
of section 38.01 are deliberately broad to permit notice to be given that
sensitive information or potentially injurious information may be disclosed in
connection with a proceeding by either a "participant" or an
"official". The respondents assume that “official” in the context of
s.38.01 refers solely to an employee of one of the departments or agencies who
are legal services clients of the Department of Justice. That is incorrect. The
legislation does not establish a process in which a claim to sensitivity or
potential injury may be raised only by notice from an official who is an
employee of a department other than Justice.
[105] A member of the
litigation team is a “participant” who may give notice but that does not
preclude notice being given by an official who is not a participant in the
litigation but is, otherwise, an employee of the Department of Justice. While
the exception in paragraph 38.01(6)(c) provides for disclosure to be authorized
by the government institution in which, or for which, the information was produced,
or where it was first received, that provision operates in addition to the
general scheme under which the Attorney General may authorize disclosure.
[106] The respondents have
raised concerns about the timing of the notices provided in this case,
particularly with regard to document 171. Notice in respect of that document
was given a month after it had been disclosed. The respondents submit that ss.
38.01(3) does not provide for notices regarding information that “was”
disclosed but rather is limited to information that “may be” disclosed, in the
future. In the context of their request to provide closing ex parte
written submissions on the content of document 171, the respondents also
characterize the applicant’s concern that this would result in a further unauthorized
disclosure as “utterly without merit”. I am not convinced that is the case. It
seems to me that the legislative scheme contemplates the use of the notice
procedure in order to prevent the disclosure of potentially injurious or
sensitive information whether or not that information has been disclosed in the
past. It is then up to the Court to determine whether the past disclosure
vitiates or undermines the injury claim or, if satisfied that injury would
still result, whether, on balance, the public interest favours further
disclosure.
[107] In the particular
context of this case, I believe that there was nothing improper in having
members of the litigation team organize the process under which the documents
would be reviewed by departmental officials. They had the responsibility of
meeting the Attorney General’s obligation to produce documents for discovery,
and the advantage of having participated in the Iacobucci Inquiry where all of
these documents had been produced for the commission's review. It was also
proper for them to make the initial identification of documents in which there
might be sensitive or potentially injurious information. The ultimate
responsibility to make those claims rests with the Attorney General, as
delegated to his officials.
[108] It is clear that
unnecessarily broad claims were advanced at the outset of this process as they
have been in other proceedings. This is evidenced in this case by the fact that
the Attorney General has now “lifted” or removed redactions in 92 documents,
having made a determination that no injury would result from disclosure of the
redacted information. Thus I continue to have the concern I have expressed in
other cases about over-claiming. I attribute this in most instances to the
exercise of excessive caution on the part of the officials who initially
conduct the reviews and their legal advisors. This requires decisions to
authorize disclosure or not to be continually revisited, which unnecessarily
delays applications before this Court and the underlying proceedings. Much of
that could be avoided by closer examination of the claims and supporting
grounds at an earlier stage by senior officials. This is an important
government responsibility that must be adequately resourced.
[109]
To
illustrate systemic over-claiming, as the respondents have pointed out, Mr.
Evans in his cross-examination conceded that CSIS does not consider the
following matters when they conduct their review of the documents:
·
The
age of the investigation;
·
the
fact that the information or operating method in question is already publicly
known;
·
the
fact that the information concerns operating methods that are no longer used
and policies that are no longer in effect because of identified deficiencies
and flaws; and
·
whether
the use of an appropriate alias would provide sufficient protection to a covert
source.
[110] I agree with the
respondents that these are all matters which are relevant to a determination of
whether injury would result to the protected interests. Mr. Evans also
confirmed that in his agency at least, the review process is done primarily by
applying the categories he identified in his affidavit to the information
contained in the documents. This inevitably will result in an overbroad
assessment of risk until these decisions are reviewed. However, contrary to the
respondents’ submissions, I see no incompatibility between a review conducted
on the basis that disclosure "could" result in injury and the test
which the Court must employ under section 38.06(1), that disclosure "would"
be injurious. Officials must employ the "could injure" standard
because that is what is used in the definition of "potentially injurious
information" in section 38 for which they are authorized to give notice
under subsection 38.01(1).
[111] It is ultimately the
responsibility of the Attorney General to decide whether to authorize
disclosure of the information and, if not, to seek confirmation of that
decision from the Court. I am satisfied that the senior officials to
whom this responsibility has been delegated take the Attorney General’s task
seriously, and do not simply rely on the categorizations employed by the other
departments and agencies to impose a blanket claim of privilege. I have seen
the process work effectively in several cases, resulting in disclosure decisions
made by the Attorney General that are independent of the views expressed by
departmental officials. That said, the process takes far too long, resulting in
the frustrations expressed by the respondents and by the courts and public
inquiries that must deal with these questions.
[112] There is no evidence in
the record before me to support the respondents’ suggestion that the Attorney
General has attempted to prevent disclosure of embarrassing information, or
information unfavourable to the government’s defence in the underlying civil
action, through unwarranted national security claims. But, as discussed above,
even where the disclosure of information would expose a government to
embarrassment, it may still be the subject of a valid s. 38 claim, provided that
avoiding embarrassment is not the “sole or genuine reason” for seeking to
prevent disclosure: Khadr April 2008, above, at para. 89. I have found
no reason to apply that principle in this case.
[113] In the
particular context of this matter, the question also arises as to how much
deference should be given to the decisions respecting disclosure made by
Commissioner Iacobucci. This issue was addressed by Justice Noël in Arar,
above, at paragraphs 29-36 with respect to the findings of the O’Connor
Commission. His conclusion, which I adopt, was that the Court owed no deference
to the Commissioner’s findings given the Court’s obligations under the
statutory framework, the fact that different evidence was heard in public and in
camera and that the s.38 application process was not a judicial review of
the O’Connor Report. That is not to say that Commissioner Iacobucci’s findings
may not inform the work of the Court, particularly where, as here, information
which the government seeks to protect is now in the public domain with the
publication of his report and supplement.
[114] The
respondents cite a majority report of the House of Commons Standing Committee
on Public Safety and National Security, “Review of the Findings and
Recommendations Arising from the Iacobucci and O’Connor Inquiries” (June 2009),
which recommended that the Government of Canada officially apologize to the
three principal respondents and pay them compensation for the suffering they
endured. While the report is evidence of parliamentary support, albeit divided,
for Commissioner Iacobucci’s findings, it does not assist the Court with the
issues it must address in these proceedings. At best, it reflects a statement
of political and, perhaps, popular opinion that is not relevant to my task.
The
“Mosaic Effect”
[115] As is common in these
applications, the applicant’s public deponents state that in forming an opinion
on the likelihood of damage to national security which could result from
disclosure of the information at issue they had taken the "mosaic effect"
into account. As described by Craig Forcese in his text National Security
Law, (Toronto, Ont: Irwin Law, 2008) at pp. 419-420, this
concept, when invoked by the government, posits that the release of even
innocuous information can jeopardize national security if it can be pieced
together with other data by a knowledgeable reader. The result is a “mosaic of
little pieces of benign information that cumulatively discloses matters of true
national security significance” (National Security Law, p. 420).
[116] The mosaic effect was
described in Mr. Evans’ affidavit as follows:
Assessing
the damage caused by disclosure of information cannot be done in the
abstract or in isolation. It must be assumed that information will reach the
hands of persons with knowledge of Service targets and the activities of this
and other investigations. In the hands of an informed reader, seemingly
unrelated pieces of information, which may not in and of themselves be or
appear to be particularly sensitive, can be used to develop a more comprehensive
picture when juxtaposed, compared or added to information already known by the
recipient or available from another source.
[117] The respondents submit
that the Court should be cautious in relying on the so-called “mosaic effect”
to find injury or withhold information. The Major Inquiry report, above, notes
at vol. III, pp. 175-76, that there is increasing judicial scepticism
about this theory, citing my comments in Khawaja, above, at para. 136
and those of Justice Noël in Arar, above, at para. 84. The Commission
was also skeptical about the validity of the effect in the absence of any
evidence to demonstrate that it has occurred.
[118] The mosaic effect may be
one of those statements of the obvious that are difficult to prove or disprove.
The problem arises in its application. How does the Court discern whether
disclosure of a particular item of information will fill a gap in the
knowledge of another person? Apart from reciting the principle, the witnesses
heard in this and other cases have generally been unable to assist the Court to
resolve that conundrum. In Khawaja, above at paragraph 136, I said that
“…by itself the mosaic effect will usually not provide sufficient reason to
prevent the disclosure of what would otherwise appear to be an innocuous piece
of information. Something further must be asserted as to why that particular
piece of information should not be disclosed.” That continues to be my view.
[119] Mr. Evans acknowledged
on cross-examination that the mosaic effect may also work in reverse when
information is taken away, for example, by redaction. Thus, as the respondents
suggest, the Court must be alert to the possibility that information which
might be clear and relevant if the full context were to be disclosed may become
obscure, equivocal, and even misleading when a piece of the context is removed.
In one instance, for example, I concluded that an unredacted phrase would
mislead the reader about the meaning of the rest of the paragraph that remained
redacted. Accordingly, I ordered the disclosure of additional information.
Targets and
Status of Investigations
[120] CSIS takes measures to
protect information about the targets, subjects and status of investigations it
conducts. In the present matter, they did not seek to protect the fact of the
Service’s investigational interest in the respondents, but claim protection
from the disclosure of information that would reveal their investigations of
other individuals and the assessments and analyses which are derived from the
intelligence they collect. In general, I had little difficulty agreeing with
the applicant’s position that this information should be protected.
[121] Even where the fact that
the Service has conducted an investigation of an individual is publicly known,
the Service will seek to have the nature and extent of the investigation
protected under s.38, according to the evidence of Mr. Evans, the CSIS affiant.
The Service is not entirely consistent about this, as he acknowledged in
cross-examination, as such information has been disclosed in some cases but not
in others.
[122] The respondents submit
that the applicant and CSIS cannot be allowed to make claims to s. 38
privilege or not, as it may suit them. This is said to be a self-interested,
tactical and selective use of s. 38 inconsistent with a bona fide claim
under the statute. In particular, they point to the public disclosure of the
name of a person associated with one of the principal respondents without, it
is said, regard to the potential impact such disclosure may have on that person
and others.
[123] The rationale for
protecting such information, as set out in Mr. Evans evidence, is essentially
that a security agency cannot operate effectively if the subjects of its
investigations are able to ascertain that they are persons of interest or the
state of the agency's operational knowledge about them at a particular point in
time. This would allow them to take steps to avoid the Service’s investigative
efforts. Disclosure of reports and assessments would reveal how the Service
analyzes the intelligence it gathers as well as the extent of the Service's
knowledge of the network of contacts of the respondents or of its knowledge in
relation to other investigations.
[124] The public interest in
protecting such information is, I believe, self-evident. The question for the Court
to determine is whether the evidence in relation to a specific item of
information supports a finding that disclosure would cause an injury to the
protected national interests and, if so, whether the public interest favours
disclosure nonetheless. The fact that CSIS may have disclosed this type of
information for its own purposes is a relevant consideration but is not
determinative of either an injury finding or the balancing of interests. There
may be other factors that weigh heavily in favour of maintaining the
prohibition.
Methods
of Operations and Investigation
[125] Claims for the
protection of information under this rubric are asserted on behalf of CSIS,
CBSA and the CF. As discussed above, I do not believe that the CF claims are at
issue in these proceedings. The CBSA claims are also incidental. The main
issues arise from the CSIS claims. The service seeks to protect
information that would reveal the capabilities as well as the limitations of
its methods and the degree of its operational expertise. It is apparent that
this could assist current and future subjects of investigation to counter the
Service’s investigative efforts, as stated by Mr. Evans in his affidavit.
[126] The respondents submit
that the cross-examination of Mr. Evans supports findings that the claims
to protect information falling within this category are overbroad. They are
asserted notwithstanding that the existence of the investigations in question
may be in the public domain or may have been completed; the techniques
used are standard and publicly known investigative methods, and they may reveal
flaws and deficiencies in the actions of Canadian officials, which have been
remedied by changes in operation or policy.
[127] The respondents argue
that this approach attempts to “bootstrap” the common law privileges preserved
by s. 37 of the CEA, which are outside the proper scope of this application. On
this, I agree with the applicant that the fact that claims of privilege under
this heading are adjudicated by other courts in other types of proceedings
under the common law or under section 37 of the Act does not detract from the
legitimacy of the Federal Court’s consideration and adjudication of such
questions in proceedings before it: Henrie, above, at paragraph 29. Nor
am I persuaded that the decision of the Supreme Court of Canada in R. v.
Mentuck, 2001 SCC 76, [2001] 3 S.C.R. 442 alters the landscape in this
context, as argued by the respondents. It remains open to the applicant
to adduce evidence in public or private that disclosure of the information
would have the harmful effects that Parliament was concerned about in enacting
s.38.
[128] The respondents are
correct, however, to caution that accepting such claims may deny access to
information which goes to the essence of the respondents’ Charter claims
against the government in the underlying proceedings. That is, I believe, a
valid consideration to take into account in the balancing phase, if the court
is satisfied that an injury to national security would result from disclosure
of this type of information.
Relationships and Third Party Information
[129] The disclosure of
information obtained in confidence from other governments is of concern to
DFAIT, the RCMP, CBSA and CSIS. The DFAIT public affiant deposed that it would
have an adverse effect on the ability of Canada's diplomats to receive confidential information
from their counterparts in other countries, the department's ability to serve
Canadians abroad, to influence global security objectives and to constructively
engage with countries on human rights and other sensitive issues. The RCMP,
CBSA and CSIS affiants asserted that disclosure of the information they have
received from other law enforcement and intelligence agencies would jeopardize
their information sharing arrangements with those agencies and diminish the
capacities of their respective agencies to investigate threats to the security
of Canada.
[130] This concern is not
without a substantial foundation. The maintenance of Canada's effectiveness in
international relations and security investigations are public interests of
considerable importance. The importance of this "pressing and substantial
concern" has been recognized by the Supreme Court: see for example Ruby
v. Canada (Solicitor General) 2002 SCC 75, [2002] 4
S.C.R. 3, at paragraphs 43 and 54 (“Ruby 2002”).
[131] As has been said in
other cases, Canada is a net importer of
intelligence information. The capacity of its law enforcement and
intelligence agencies to defend our collective security is largely dependent
upon intelligence sharing arrangements with foreign partners. The respondents
submit, however, that this category of potential injury to the national
interest also goes to the heart of the claims in the underlying actions which
allege complicity with foreign governments and agencies with regard to the
arbitrary detention and mistreatment of the principal respondents in Syria and Egypt. They say, with
considerable justification, that they require the information being withheld on
this ground as evidence in support of those claims.
[132] The applicant’s evidence
and submissions cite what is commonly known as the “third party rule” or
“control principle”. This principle is considered to apply when there is a
sharing or exchange of information between police forces or intelligence
agencies, particularly between those in different countries. By agreement
between the agencies, express or implied, the agency receiving information is
neither to attribute the source nor to disclose its content without the
permission of the originating agency: Ottawa Citizen Group v. Canada (Attorney General), 2006 FC 1552 at para.
25, 306 F.T.R. 222.
[133] The third party rule is
not a principle of law and it is not absolute. It cannot be used as
a categorical ground of public interest immunity. Its application in each
case must be scrutinized, and actual risk of harm to the national interest
established: Mohamed, above at paras. 44 and 46.
[134] The respondents observe
that in the aftermath of 9/11, there was agreement between Canadian and US
investigators that “caveats were down” and information was exchanged expressly
without any requirement for consent of the originator before it was used. They
submit that it is not now open to the applicant to contend that an implicit
requirement for such consent must now be applied retroactively after the
information was used to their detriment. I do not accept the proposition that
the control principle was not applicable during the events in question. It is
clear from the evidence as a whole that whatever agreement there may have been
at the operational level between Canadian and American investigators, it did
not alter the general principle of confidentiality applicable to intelligence
sharing and diplomatic exchanges between the two countries, nor those which Canada had with other
jurisdictions.
[135] The respondents submit
that this Court should keep in mind the acknowledgement of the DFAIT witness
that Canada’s intelligence partners are well aware of Canada’s legislation regarding
disclosure. Even knowing that this Court has the power to authorize disclosure
of information notwithstanding that it has been found to be injurious to
international relations, Canada’s intelligence partners still maintain
information sharing relationships. Accordingly, the respondents argue that this
Court should not give undue weight to speculation that foreign sources will, as
a result, no longer communicate information to Canada.
[136] This is not idle
speculation. Relationships will continue where the partners consider it in
their mutual interest to maintain them, but the nature and extent of the
information provided may be affected for some time. Examples of this may be
found in the history of the intelligence sharing arrangements in which Canada
has participated with its principal allies since World War II: see for example,
Richard J. Aldrich, GCHQ: The Uncensored Story of Britain’s Most Secret
Intelligence Agency, (London: Harper Press, 2010); Richard Aldrich, “Allied
code-breakers Co-operate – but not always” The Guardian (24 June 2010).
The respondents are correct to suggest that these arrangements work to the
benefit of all of the countries involved but Canada is, unquestionably, a junior partner
in contributing and receiving intelligence.
[137] The respondents note
that under Rule 30.02 of the Ontario Rules of Civil Procedure, the applicant’s
obligation to produce documents includes a positive obligation to obtain them,
or to obtain consent to release them, by request from third parties. This is
said to be consistent with the jurisprudence of the Federal Courts on the third
party rule. The respondents argue that there is no public evidence that the
Attorney General has yet fulfilled this obligation, or made efforts to ensure
that the third parties in question are not consenting to disclosure. It is
correct that there is no public evidence of such efforts but, as noted above,
the Court has received such evidence in private.
[138] In Ruby v. Canada (Solicitor General), [2000] 3 F.C. 589, at
paras. 101-111, (reversed on other grounds, Ruby, 2002, above), in the
context of an application arising under the Privacy Act, R.S.C., 1985, c. P-21, the Federal Court of Appeal
stated that “the reviewing Judge ought to ensure that
CSIS has made reasonable efforts to seek the consent of the third party who
provided the requested information”. Ruby did not turn on the
question of consent to disclosure, but rather the constitutionality of the ex
parte provisions of the Privacy Act. In Arar, above, at para.
73, Justice Noël held that Ruby stood for the proposition that "law
enforcement and intelligence agencies have a duty to prove that they have made
reasonable efforts to obtain consent to disclosure or they must provide
evidence that such a request would be refused if consent to disclosure was
sought.”
[139] In Khawaja,
above, at paras. 145-46 I stated the following:
Clearly,
the purpose of the third party rule is to protect and promote the exchange of
sensitive information between Canada and foreign states or agencies, protecting
both the source and content of the information exchanged to achieve that end,
the only exception being that Canada is at liberty to release the
information and\or acknowledge its source if the consent of the original
provider is obtained.
In
applying this concept to a particular piece of evidence, however, the court
must be wary that this concept is not all-encompassing. First there is the
question of whether or not Canada has attempted to obtain consent to have
the information released. I would agree with the respondent that it is not open
to the Attorney General to merely claim that information cannot be disclosed
pursuant to the third party rule, if a request for disclosure in some form is
not in fact made to the original foreign source.
[140] Khawaja related to the
investigation of a conspiracy to commit terrorist acts abroad. The information
in question had been provided by foreign law enforcement and intelligence
agencies and formed part of the Crown’s case in a criminal prosecution in Canada. The Crown
was bound by the strict disclosure obligations set out in R. v. Stinchcombe,
above. In those circumstances, I considered that there was a positive
obligation on the Attorney General to seek consent.
[141] Similarly, in Charkaoui
(Re), 2009 FC 476, 179 A.C.W.S. (3d) 301 at paragraphs 28-29,
a security certificate case, Justice Tremblay-Lamer held that the
Ministers were obliged to demonstrate that reasonable efforts had been made to
obtain consent to disclosure. Factors which she took into consideration in
deciding that she should hold the Ministers to this standard included the fact
that the Ministers had used information in the past that came from the same
foreign agencies in support of the confidential security intelligence report at
issue; the fact that information or intelligence exists that was provided by
foreign agencies had been known publicly since the public release of the
summary of the intelligence report; the fact that it is public knowledge that
the foreign authorities were involved in the case; and the fact that some of
the information was dated and it was therefore unlikely that the secret and
confidential nature of the information was still of particular interest to the
originating country.
[142] In both Khawaja
and Charkaoui, section 7 security of the person interests were engaged
by on-going government efforts to prosecute Mr. Khawaja and to remove Mr.
Charkaoui. Such considerations do not arise in the underlying proceedings
in this application.
[143] Justice Noël was
somewhat less categorical about whether there is an obligation to seek consent
in Arar, above. At paragraphs 75 and 94 of his ex parte reasons
issued in a redacted form subsequent to the release of his public reasons (2009
FC 1317), Justice Noël held that the fact that Canada, through its officials,
had not sought consent to release certain information covered by the third
party rule was to be taken into consideration. However, he declined to draw a
negative inference from the decision made by the Attorney General not to make
such a request, stating that the evidence to show that such a request would be
useless was on the record.
[144] In Khadr April
2008, above, at paragraphs 93 and 94, I expressed the view that a failure to
make inquiries of foreign source countries regarding disclosure of their
information may undermine a privilege claim. However, in the circumstances of
that case, I agreed with the Attorney General that it would be futile to make a
request of certain countries for consent to disclose their information.
[145] As noted above, in the
course of the present proceedings, I received evidence in camera in relation
to the question of whether requests had been made to foreign countries for
consent to disclose information which originated with their agencies or
officials. Given the evidence I have heard, the responses to the requests for
consent, the experience of the Iacobucci Inquiry and the nature of the
underlying proceedings, I did not consider that the failure to seek consent in
the other instances weighed heavily in the balance in this case.
[146] The third party
information of greatest interest to the respondents in this matter emanated
from Syria, Egypt and the United States. I note that at an
early stage in the Iacobucci Inquiry, counsel to the inquiry sent letters to
the appropriate authorities in these three countries (and to Malaysia)
requesting that they provide relevant documentation and information. The
authorities in these countries did not respond to the Commission’s initial or
follow-up requests to provide information.
[147] Because of the legal
obligations assumed by Syria and Egypt pursuant to the Convention Against Torture and other Cruel, Inhuman or
Degrading Treatment or Punishment, Can.
T.S. 1987 No. 36 (the “Convention Against Torture”), the
respondents submit that no damage to Canada’s relations with either nation
should result from disclosure of all relevant documents in its possession that
originated with either country, or which concern Canada’s dealings with them,
that relate to the principal respondents’ complaints of torture in the
underlying proceedings. It is clear from the evidence I have heard in camera
that neither country shares that perspective.
[148] I accept, in general,
the proposition that disclosure of information that countries have provided in
confidence would have an adverse effect on diplomatic relations and
intelligence sharing arrangements with those countries. However offensive this
may be to our principles when it arises in relation to certain countries,
it is a factor to be taken into consideration in balancing the public
interests. Canada needs to call on other
countries that do not share our values or legal traditions for consular or
other assistance to protect its citizens or to advance its global interests.
The Court cannot simply disregard that factor in considering whether
injury would result from disclosure and, if so, whether the public interest
favours disclosure and in what form.
[149] The respondents also
argue that it is important to consider the effect on Canada’s international
relations of court-sanctioned withholding of evidence of a violation of the Convention
Against Torture, including evidence of engagement in or complicity in
torture. I agree with that proposition. It is consistent with Canada's obligations under the
Convention Against Torture. Recognizing the importance of those
obligations does not exclude consideration by the Court of whether there may be
alternative means to disclose information in a form, such as a summary, that
would minimize any injury that would otherwise result.
[150] I would also note that
all countries and agencies are not equally important to Canada in terms of
intelligence sharing. It is obvious that the consequences of a breach of an
arrangement with Canada's major allies such as
the United States and the United Kingdom would be far greater than those which may
result from disclosure of information received from a country or agency not so
closely linked to our national interests. As stated by Justice Noel in Arar,
above, at paragraphs 80-81:
When
determining whether disclosure would cause harm, it is also important to
consider the nature of Canada's relationship with law enforcement or
intelligence agencies from which the information was received. It is
recognized that certain agencies are of greater importance to Canada and thus that more must be done to protect
our relationship with them. Consequently, care must be taken when
considering whether to circumvent the third party rule in what concerns
information obtained from our most important allies.
This
being said, the severity of the harm that may be caused by a breach of the
third party rule can be assessed under the third part of the section 38.06 test
when the reviewing judge balances the public interest in disclosure against the
public interest in nondisclosure.
[151] One approach to the
disclosure of third party information that has been used in other proceedings
is to minimize the risk and scope of injury. As described by Justice
Tremblay-Lamer in Charkoui (Re), 2009 FC 476, above, at paragraph
35, the information “can be neutralized by purging the parts that could be
sensitive to the originating country”. As far as I considered it was possible,
I have adopted that approach in deciding whether injury would result or whether
the public interest favoured disclosure in some form.
[152] In the Iacobucci Report,
for example, the Commissioner systematically refers to a “U.S. Agency”,
or, in the French version, “une organization américaine” rather than to the
actual names of the organizations in question, one of which goes to
extraordinary lengths to avoid being identified as the originator or recipient
of information. The Report is not entirely consistent in that respect as there
are variations between the two language versions and in some instances the
acronyms of the U.S. agencies concerned are
disclosed, possibly inadvertently. Nonetheless, references to U.S. agencies as the
originator or recipient of information that is highly relevant
to the underlying actions are now in the public domain. There does
not appear to have been any serious consequences from those disclosures, nor
were they the subject of objections to the Report by Ministers that were
brought to the attention of this Court.
[153] In these proceedings,
the applicant has consistently sought to protect information that would
disclose U.S. involvement in the
events that are the subject of the underlying actions. As discussed above, that
involvement is now in the public domain as a result of the publication of the
Iacobucci Report. I was not persuaded that disclosure of references to U.S. agencies in the
documents that were under review in this application would cause injury to the
protected interests or, if injury resulted, that the public interest in
non-disclosure outweighed the public interest in disclosure. The approach
adopted by Commissioner Iacobucci to refer to the U.S. institutions
generically as “U.S. agencies” will minimize
any impact such disclosure would have.
[154] In this case, the amici
made a number of valuable suggestions as to how certain third party information
might be neutralized, several but not all of which were endorsed by the
applicant. The applicant also put forward similar proposals in relation to
other redacted information. While I found these efforts to have been
of great assistance, I have made my own decisions as to what would
cause injury to the protected interests and what should be disclosed.
Employee
Information
[155] The applicant seeks to
protect from disclosure information that would tend to identify CSIS employees
including names, position titles, work location, telephone numbers or Internet
addresses. Mr. Evans's affidavit evidence is that the identification of CSIS
employees, particularly those engaged in or who may become engaged in covert
activities, would impair the ability of the employee and the Service to
investigate threats to the security of Canada. In addition, there are concerns that
disclosure of identifying information would lead to harassment or threats to
Service personnel.
[156] The identities of
certain CSIS employees involved in the events which are the subject
of the underlying actions have been publicly disclosed. The applicant
relies on s. 18 (1)(b) of the Canadian Security Intelligence Service Act,
R.S.C., 1985, c. C-23 (the “CSIS Act”), which prohibits the disclosure of the
identity of service employees who have been or are engaged in covert
activities. I agree with the respondents that this does not, in itself,
preclude the identification of an employee who could in the future be asked to
take on a covert role. But the Court must be cognizant of the fact that CSIS
employees may be called upon to perform a covert role whether they have done so
in the past or not. This is not speculative but a reality of their employment.
[157] If the evidence is
capable of supporting a claim that the person concerned has committed
a civil wrong or a Charter violation against the respondents, or caused
or contributed to their damages resulting from such wrongs, I agree with the
respondents that the Court must also consider their rights to name the
employees as individual defendants and to seek discovery from them.
This was previously agreed to by the Attorney General under the terms of
the case management process.
[158] The RCMP have similar
concerns, although to a lesser extent, about disclosure of the identity of some
members. As was acknowledged in cross-examination of the RCMP witness,
the identity of several members that were involved in the investigations
at issue in the underlying actions has already been publicly disclosed. As a
result, I considered whether there was any need to further protect such
information in these proceedings and whether there was evidence to support such
a finding.
[159] The concern for DND and
the CF is in relation to identifying military personnel engaged in sensitive
operations in Afghanistan. As indicated above, I
am satisfied that this information should be protected.
Administrative
Information
[160] The evidence of the CSIS
witness was that disclosure of information pertaining to the Service’s internal
procedures and administrative methods could reveal how the Service manages
its investigations, how messages are generated and to whom they are sent,
how file numbers are utilized to distinguish between targets, sources of
information, investigations and what types of investigations are conducted
in a specific area. They are also concerned about disclosure of information
that could identify the secure telecommunication systems used by the Service.
[161] CSIS collects
information outside of Canada and for that purpose
maintains a number of foreign offices. With the exception of offices in
Washington, London and Paris, the location of these posts
is classified. The evidence is that the identification of such locations would
jeopardize the Service’s foreign relationships and potentially put their
employees posted abroad at risk.
[162] In other proceedings, it
has generally been conceded that this type of information is not relevant. In
the present case the respondents have not made that concession, preferring that
the question remain open should some significance to the information later
arise. Proceeding on the dubious assumption that the information is relevant, I
have accepted the applicant’s submission that injury would result from its
disclosure.
Human Source Information
[163] As noted above, the
applicant seeks to protect information that would identify or tend to identify
human sources of information or the content of information provided by human
sources which, if disclosed, could lead to the identification of human sources.
Having reviewed the unredacted content of the documents at issue, I can say
that this is not a significant issue in these proceedings. However, I think it
necessary to express my view of the matter given the likelihood of further
proceedings involving other documents that may be produced on discovery to the
respondents.
[164] The respondents
characterize the evidence of the CSIS witness, Mr. Evans, as claiming
a categorical protection for human sources that is broader than the police
informant privilege recognized by the Supreme Court in R.v. Leipert [1997]
1 S.C.R. 281, 143 D.L.R. (4th). They submit that CSIS’ practice of
encouraging its human sources to provide information as the norm, rather than
the exception, serves no public interest. It is argued that the offence in
section 18 of the CSIS Act that makes it is crime to disclose the identity of a
person who is or was a confidential source of information or assistance to
the Service merely incorporates the common law principle. Unless, they submit,
the information covered by this category also engages some other legitimate
national security or international relations interest it should not fall within
the scope of section 38.
[165] The respondents request
that this Court order the disclosure of all information related to or received
from human sources, including their identity or identifying information,
subject however, to a right of the Attorney General, if so advised, to apply to
the Superior Court of Justice for a protective order based upon the common law
informant principle.
[166] The existence of a
covert intelligence source privilege was discussed by Justice Noël in Harkat
(Re) 2009 FC 204, [2009] 4 F.C.R. 370. Justice Noël found, at paragraph 18,
that the police informant privilege and the innocence at stake exception to
that privilege did not apply, per se, to confidential intelligence
sources. However, he considered that the criteria for recognizing or extending
a privilege, as set out by the learned author of the text Wigmore on
Evidence, were met in the case of covert human sources who were assured
confidentiality by CSIS in return for providing intelligence information
relating to national security. Justice Noël’s analysis is, I believe,
consistent with the common law framework for recognizing whether a privilege
may be claimed on a case by case basis as recently approved by the Supreme
Court of Canada in Globe and Mail v. Canada (Attorney General) 2010 SCC
41.
[167] At paragraph 28 of his
reasons, Justice Noël stated the following:
If
the Service is unable to protect the identity of its sources or is required to
produce them in the context of a Court proceeding (even one that is closed
to the public), the number of individuals willing to come forward with
information would be reduced. Indeed, there is evidence before this Court
that the recruitment of human sources would be harmed if the guarantees of
confidentiality given by the Service were not upheld by this Court.
[168] I agree with Justice
Noël and, in general, adopt his reasoning in this regard. As a general
proposition, I accept that the identity of covert human sources and information
provided by such sources that would tend to identify them will be subject to a
public interest privilege. I accept also that the Court should be
conscious of the effect that a decision to order disclosure of such information
may have on the recruitment of human sources. CSIS is a relatively small agency
in comparison to its international partners and relies heavily on its capacity
to recruit and develop human sources. Its ability to do so is a public interest
of considerable importance.
[169] However, I do not accept
that the privilege should apply in every instance to persons who provide
information to CSIS. The Service tends to treat virtually everyone who provides
information as a confidential source whether there is any real expectation of
confidentiality on the part of the source, a risk of harm to the source or
likelihood that they would not be forthcoming without such assurances. This
extends to employees of law enforcement agencies, public utilities and business
corporations who provide information that may be publicly available. In
reviewing documents for disclosure, Service officials routinely redact the
names of such persons and related identifying information. In my view, the
Service approach is overbroad.
[170] I recognize that the
redacted information may be of little or no relevance to the underlying proceedings.
However, if relevant, as discussed above, the Court has to consider whether
injury would result from disclosure and whether the privilege is justified on a
case by case basis. In some instances, this will not be difficult as the
circumstances relating to the recruitment and development of the source will
make it clear that the information should be treated as privileged. However,
the public interest in nondisclosure of the information will not in every case
outweigh the public interest in disclosure. That assessment has to be made in
the third and final stage of the inquiry.
3. The
balancing test
[171] In carrying out the
third part of the analysis under s. 38.06, the Court must determine whether the
public interest in disclosure outweighs in importance the public interest in
non-disclosure. If the Court is satisfied that the public interest favours
disclosure, subsection 38.06(2) provides for the authorization of disclosure of
information in the form and under the conditions that are most likely to limit any
injury to international relations or national defence or national security.
[172] The party seeking
disclosure bears the burden at this stage of proving that the public interest
scale is tipped in its favour: Ribic, above at para. 21. The Act does
not specify the standard to be employed in determining whether the balance
favours disclosure. The respondents submit that no higher standard should be
employed than the minimal threshold of a “serious question to be tried” used in
applications to obtain interim relief and assert that it is clearly met in this
case: RJR-MacDonald Inc. v. Canada (Attorney General), [1994] 1 S.C.R. 311,
111 D.L.R. (4th) 385.
[173] As the respondents are
not facing criminal charges and are not involved in an immigration proceeding
in which their liberty and security of the person interests are engaged, I
consider that the standard for determining whether the balance favours
disclosure is that developed in the civil case of Jose Pereira E Hijos, S.A.
v. Canada (Attorney General), 2002 FCA 470, 299 N.R. 154
(“Hijos”) and confirmed in Ribic, at para. 22, namely whether the
information sought would establish a fact crucial to the case of the party
seeking it. As discussed above, this may include a fact that would undermine an
opposing party’s case. I also think it necessary to take into account that the
information may provide the missing pieces of the overall mosaic or picture of
the case necessary for a full adjudication of the issues between the parties.
[174] Factors identified in
the jurisprudence that the Court may take into account in weighing the
competing interests include: the nature of the interest sought to be protected;
the admissibility and usefulness of the information; its probative value to an
issue at trial; whether the party seeking disclosure has established that there
are no other reasonable ways of obtaining the information; whether the
disclosures sought amount to a fishing expedition; the seriousness of the
issues involved: Ribic v. Canada (Attorney General), 2003 FCT 10, above
at paragraph 23; Khan v. Canada (T.D.), [1996] 2 F.C. 316 at para. 26,
110 F.T.R. 81; Hijos, above, at paragraphs 16 and 17; Canada (Attorney General) v.
Kempo,
2004 FC 1678 at para. 102, 294 F.T.R. 1 (“Kempo”).
[175]
Justice
Noël identified a non-exhaustive list of the factors to be considered in the
context of an underlying public inquiry in Arar, above, at
paragraph 98. The list is useful in the present matter as it applies to an
analogous context in which accountability was being sought for past acts and
omissions of Canadian officials in relation to the detention of a Canadian
citizen in Syria. The factors
identified by Noël J. to be assessed and weighed in determining where the
public interest lies are:
(a) The extent of the
injury;
(b) The relevancy of the redacted
information to the procedure in which it would be used, or the objectives
of the body wanting to disclose the information;
(c) Whether the redacted
information is already known to the public, and if so, the manner by which
the information made its way into the public domain;
(d) The importance of the
open court principle;
(e) The importance of the
redacted information in the context of the underlying proceeding;
(f) Whether there are
higher interests at stake, such as human rights issues, the right to make a
full answer and defence in the criminal context, etc;
(g) Whether the redacted
information relates to the recommendations of a commission, and if so whether
the information is important for a comprehensive understanding of the said
recommendation.
[176] The applicant submits
that the respondents already have sufficient information to make
their cases in the underlying applications. He asserts that the
respondents’ detailed submissions and their references to the Iacobucci
Report show that as plaintiffs, they already have considerable knowledge of the
facts. As part of establishing an interest for further disclosure, the
respondents must persuade the Court that they need the disclosure of injurious
information to prove civil liability. That information may support a claim
against the Government in itself is not grounds for the information to be
disclosed, according to the applicant. If a plaintiff already has sufficient
information to make its case, and/or can be expected to obtain more through
discovery and examination, there will be no compelling reason to cause national
injury through disclosure, the applicant submits.
[177] It is perhaps trite to
observe that knowledge of the facts does not equate to admissible evidence to
prove those facts. Absent production of unredacted information in the
government’s possession, the respondents may not be able to prove the facts
that Commissioner Iaccobucci relied on to make findings of deficiencies in the
actions and omissions of government officials based on his examination of the
information in an unredacted form. As stated by the Supreme Court in Globe
and Mail v. Canada, above, at paragraph 62 “[a] crucial consideration in
any court’s determination of whether [the] privilege has been made out will be
whether the facts, information or testimony are available by any other means.”
[178] The primary public
interest in disclosure is to ensure that the trial court has the fullest
possible access to all relevant material. But that is not, in itself, an
overriding consideration that will compel a decision to disclose when national
security interests are at stake. As was stated in Parkin v. O’Sullivan
[2009] FCA 1096, 260 A.L.R. 503 at para. 32, a decision of the Federal Court of
Australia, the fact that a plaintiff may not be able to make out their claim
without disclosure does not generally amount to exceptional circumstances that
will outweigh the public interest in keeping information secret, given that it
will often be the case that public interest immunity will exclude the
information a plaintiff hopes to rely on.
[179]
The
issues raised in the underlying actions, including the alleged Charter
breaches, are very serious. At paragraph 181 of their opening written
submissions, the respondents have framed this aspect of the public interest in
the following terms:
There
can be no greater public interest than ensuring that participation in egregious
human rights breaches are brought into the open and assessed by a court with
the view to ensuring that just and appropriate reparation is ordered. The
underpinning of a just and democratic society is lost if impunity is permitted.
In the absence of criminal prosecutions, a civil remedy which is premised
on accountability is the only effective domestic remedy whereby accountability
and reparation may be achieved.
[180] I note that Mr. Justice
Perell recognized that the decision of the Supreme Court in Canada (Prime
Minister) v. Khadr 2010 SCC 3, [2010] 1 S.C.R. 44, “establishes a precedent
that demonstrates that Mr. Elmaati has at least pleaded a viable claim
that his Charter rights were violated”: Abou-Elmaati, above at
para.77.
[181] The respondents submit
that the underlying civil actions are the only means that they
have available to obtain answers concerning the events that led to their
arbitrary detention and mistreatment, which are part of the redress to which
they are entitled under international law: Convention Against Torture,
above Art. 14(1) and Canada’s international human
rights obligations. Any evidence of complicity in the infliction of torture or
mistreatment of the principal respondents on the part of Canadian officials
would bring them within the scope of the Convention Against Torture and
invokes Canada’s obligations.
Moreover, the actions of the CSIS, RCMP and DFAIT officials in question are
reviewable for compliance with the Charter: R.v. Hape, 2007 SCC
26, [2007] 2 S.C.R. 292 at para 106; Canada (Justice) v. Khadr, 2008 SCC
28, [2008] 2 S.C.R. 125 at para 19; Abdelrazik v. Canada (Foreign
Affairs), 2009 FC 580, [2010] 1 F.C.R. 267. Evidence of the participation
of Canadian officials in the respondents’ mistreatment will engage their s.7
rights: Khadr 2010 SCC 3, above.
[182] The public interest in
holding government accountable for the alleged actions and omissions of its
servants is an important consideration in this case. Mr. Justice La Forest stated the following in
Carey, above, at page 673:
There
is a further matter that militates in favour of disclosure
of the documents in the present case. The appellant here alleges
unconscionable behaviour on the part of the government. As I see it, it is
important that this question be aired not only in the interests of the
administration of justice but also for the purpose for which it is sought to
withhold the documents, namely the proper functioning of the executive branch
of government. For if there has been harsh or improper conduct in the dealings
of the executive with the citizen, it ought to be revealed.
[183] The right to obtain an
appropriate and just remedy for Charter breaches is part of our
constitutional framework: Mills v. The Queen, [1986] 1 S.C.R. 863. As
was recognized by Noël J. in Arar, above, at para. 98 the Court
must take higher interests such as this into account in the balancing exercise.
[184] In the particular
context of this case, the Court must also take into consideration that the
respondents’ present liberty interests do not depend on the outcome of their
civil actions against the government: Kempo, above, at paragraph 115.
Unlike other cases in which s.38 privilege claims have been raised in which the
liberty interests of a party have been directly engaged such as Khawaja
and all of the Khadr cases cited above, the underlying actions in this
matter are civil proceedings seeking remedies in damages. While the respondents
claim damages for past alleged breaches of their Charter rights, the
alleged harm has been done and those rights are not presently at stake in
the underlying proceedings. While maintaining access to the courts to achieve
redress for civil wrongs is an important public interest, the Court must be
cognizant of the risk of present and future damage to Canada’s national interests if
injurious information is ordered to be disclosed.
[185] The respondents argue
that s.24(1) of the Charter provides this Court with a broad jurisdiction,
apart from s.38 itself, to ensure that an appropriate and just remedy for the
breach of their Charter rights is available in the trial court.
They base that submission on the argument that the findings in the Iacobucci
Report and the Supplementary Report already have established that the
respondents Charter rights were likely breached by Canadian officials
through their involvement in the principle respondents’ detention and torture
in Syria and Egypt. But this Court is not
in a position to make findings of fact sufficient to craft a s.24 (1) remedy,
nor can it rely on Commissioner Iacobucci’s findings, for the reasons discussed
above, to make such a determination.
Whether document 171 is subject to the s. 38
process?
[186] The respondents submit
that the bar to disclosure in s.38.02(1) following the giving of notice to
the Attorney General does not apply to a document that has already been
disclosed in an unredacted form to opposing parties and their counsel. The
statute prohibits disclosure of information that has not yet been disclosed and
about which a notice to prevent the possibility of disclosure has been validly
given. Where disclosure has already taken place, they submit, the statute no
longer applies. Moreover, they contend, there is nothing in the statute that
empowers this Court to order that such information be returned to the Attorney
General.
[187] The respondents maintain
that the Supreme Court’s decision in Babcock, above, with respect to the
effect of disclosure in respect of cabinet confidences which fall within the
scope of s. 39 of the Act, is equally pertinent to s. 38: Arar,
above, at para. 54. They submit that in Babcock, the Supreme Court
recognized that where a deliberate disclosure of a cabinet confidence has
occurred there may be other bases upon which the government may seek protection
against further disclosure at common law separate and apart from the Canada
Evidence Act procedures: Babcock, above, at para. 26. The same
reasoning should apply to documents for which claims of public interest
privilege under s. 38 are raised, they contend.
[188] The applicant’s position
is that the Babcock rationale does not apply where the document was
inadvertently disclosed. They note that Perell J. has already rejected the same
argument from the respondents: Abou-Elmaati, above, at para. 45.
Inadvertence should be inferred in this case because disclosure of the content
of the document was inconsistent with the position taken with respect to other
information of a similar nature and the error was recognized within a month of
the production of the document. The error ought not to prevent the issuance of
an order that the redacted information not be further disclosed if the Court is
satisfied that the test under s. 38.06(3) of the Act is otherwise met.
[189] Should the Court hold
that it has jurisdiction to deal with disclosed documents, the respondents ask
the Court to find that there is no evidence of “inadvertence”, in the
disclosure of document 171. They argue that the document was released
without redactions by one or more of the people designated by the Attorney
General to make final decisions regarding disclosure under s.38, following the
process designed for that purpose. It is argued that if that process and the
criteria for review were flawed, they were flawed by design, not inadvertence -
there is no evidence of the alleged inadvertence, which this Court has said is
“of the essence when determining whether inadvertently disclosed information
can be protected by the Court”: Arar, above, at para. 57. If the Court
determines that the disclosure was inadvertent, the respondents submit that the
Court must still go on to consider whether the information sought to be
protected meets the test under s. 38.
[190] This Court has
previously held that inadvertent release of information for which a claim of
privilege is advanced under s.38 information is not a waiver: Khawaja,
above, at para. 111, Khadr, April 2008, above, at paras. 40-42 and
114-118; Arar at paras. 56-57. The respondents seek to distinguish those
cases on the basis that none of them concerned a situation where the disclosure
occurred in proceedings before a provincial superior court and no challenge had
been made to the jurisdiction of the Federal Court. In Arar, the Court
was dealing with proceedings before a federal commission of inquiry. However,
both Khawaja and Khadr related to underlying cases in the
Superior Court of Justice. Khawaja is more on point, as it concerned
inadvertent production to the defence pursuant to the Crown’s disclosure
obligations. In Khadr, the document in question had been released to a
newspaper, giving rise to Charter freedom of the press considerations.
[191] I accept the applicant’s
submission that the evidence points to a series of errors in the internal
government review and redaction process, and in the final preparation of the
electronic version of the documents sent to the respondents. The steps taken by
counsel for the applicant to notify counsel for the respondents, and to give
formal notice to the Attorney General, when the mistake was discovered, are
also inconsistent with advertent disclosure. I find, therefore, that the
disclosure was not deliberate and the circumstances of its release do not
constitute a waiver of the claimed privilege. The information in question in
document 171 is, therefore, subject to the same three-step analysis as the other
information at issue: Khadr, 2008 SCC 28 above, at para. 40.
[192] There is no dispute as
to the relevancy of the redacted information in the document, aside from some
file numbers and other minor administrative details. The redactions,
notwithstanding the most recent “lifts”, continue to withhold information that
Commissioner Iacobucci believed should be disclosed to the public. The
Supplementary Report discloses much but not all of the substance of the
redacted information. And the Report does not constitute admissible evidence.
The content that is still redacted was thoroughly parsed in the testimony and
submissions heard in camera. As a result, I am not persuaded that the
disclosure of certain of the redacted parts of the document would result in
injury. With regard to other portions, I am satisfied that the respondents have
demonstrated that the public interest favours disclosure.
CONCLUSION
[193] In reviewing the
information which the Attorney General seeks to protect, I have considered
whether: a) the information is relevant to the underlying proceedings; b) the
applicant has met his onus of demonstrating that disclosure of the information
would cause injury with factual evidence and on a reasonableness standard; and
c) where I have found that injury has been established, that the respondents
have met their onus of showing the public interest in disclosure outweighs the
public interest in non-disclosure.
[194] For the most part, I am
satisfied that the redacted information is relevant to the underlying civil
actions. That which I consider not relevant is primarily administrative detail.
With regard to certain of the redacted information, I am satisfied that the
applicant has not met his onus of demonstrating injury and an order to disclose
the information will follow, subject to any other claims of privilege which the
applicant may assert before the trial court. Where injury has been established,
I have considered whether the respondents have shown that the public interest
favours disclosure. Where I have concluded that there should be further
production in such cases, I have considered whether the injury may be
neutralized by disclosing the information in the form of a summary that does
not reveal particularly sensitive information such as the names of foreign
officials or agencies.
[195] The results of these
decisions are set out in a table attached as “Annex A” to the Order that has
been released to the applicant pursuant to paragraph 38.02 (2) (b) of the Act.
The information which is ordered to be disclosed will be provided to the
respondents on the expiry of the periods for appeal accorded the applicant in
section 38.09 and, if any application for leave to appeal is made to the
Supreme Court of Canada, in 38.1 of the Act. I have also indicated in the
Order, as the Act is not clear in this regard, that the period for any appeal
by the respondents should run from the date on which the further disclosures
are made to them. That is, of course, subject to any further time for appeal
that the Federal Court of Appeal may consider appropriate under s.38.09 of the
Act.
[196] I am grateful to the amici
and counsel for the Attorney General for their diligent efforts to assist
the Court in dealing with the ex parte and in camera aspects of
this application. I also appreciate the efforts of counsel for the respondents
to provide meaningful opening and closing submissions notwithstanding the
difficulties they faced in addressing issues obscured by their inability to
have full disclosure of the information in the government’s possession.
“Richard G.
Mosley”