Date: 20091014
Docket: IMM-646-09
Citation: 2009 FC 1029
Ottawa, Ontario, October 14, 2009
PRESENT: The Honourable Mr. Justice Kelen
BETWEEN:
HENRY SOTERO RODRIGUEZ PEREZ;
MARVIN ROLANDAO RODRIGUEZ PEREZ
Applicants
and
THE MINISTER OF
CITIZENSHIP AND IMMIGRATION
Respondent
REASONS FOR JUDGMENT AND JUDGMENT
[1]
This
is an application for judicial review of a decision of the Refugee Protection
Division of the Immigration and Refugee Board (the Board) dated January 7, 2009
concluding that the applicant, a Guatemalan citizen, is not a Convention
refugee or a person in need of protection pursuant to sections 96 and 97 of the
Immigration and Refugee Protection Act, S.C. 2001, c. 27 (the IRPA).
FACTS
[2]
The
applicants are twenty-six and thirty year old brothers respectively. The applicants
arrived in Canada on November 2,
2006 seeking refugee protection because of an alleged fear of persecution or
death at the hands of a Guatemalan mara or gang.
[3]
The
applicants opened a grocery store in Guatemala City in September 2005. In
April 2006 the store was robbed by five gang members while one of the
applicants was present. The applicants decided not to report the robbery to the
police.
[4]
In
May 2006 the same gang returned and proceeded to extort the applicants in return
for keeping the store open. The applicants were warned not to report the gang
under pain of death. The applicants decided not to report the extortion to the
police out of fear for their lives and dutifully paid the weekly extortion fee
for about a month.
[5]
In
the beginning of June 2006 the applicants decided to stop paying the gang since
the payments were consuming almost half their revenues. The store was closed
and the applicants returned to their home town of El Camalote, Gualan,
Zapaca, which is about four hours by bus from Guatemala City.
[6]
A
week after moving to their home town one of the applicants received a phone
call from an unidentified caller who told them that the gang knows where the
applicants live and is expecting the applicants to continue paying gang’s
extortion fees.
[7]
The
applicants contacted the chief of police in Gualan who promised to contact the
police in Guatemala
City,
but he warned the applicants that if the complaint involved a mara gang,
not much will be done.
[8]
Fearing
their safety, the applicants left Guatemala and travelled through the United
States
to Canada where they
made a claim for refugee status on November 2, 2006.
Decision under review
[9]
On
January 7, 2009, the Board concluded that the applicants were not Convention refugees
or persons in need of protection.
[10]
The
Board did not address the issue of the applicants’ credibility. Thus it is
presumed to be true.
[11]
The
Board determined that the applicants are not Convention refugees because the
fear alleged by the applicants had no nexus to any of the grounds in the
Convention refugee definition.
[12]
The
Board held that the applicants are not persons in need of protection because
the risk that they feared was a generalized one, which is excluded from
protection under subsection 97(1)(b)(ii) of IRPA, or alternatively that the
applicants failed to show that the state of Guatemala was unable or unwilling
to provide them with adequate state protection.
[13]
The
Board found that Guatemala was facing an epidemic of gang violence
perpetrated by maras, which target business owners and bus operators on
a daily basis. Being a victim of crime and violence at the hands of the maras
in Guatemala was a daily
risk for small business owners who faced extortion demands or the prospects of
criminal violence.
[14]
The
Board referred to the submissions of the applicants’ counsel that the risk
faced by the claimants “is a risk that is faced by small business owners and is
not an individualized risk”. The Board held that the risk the applicants
experienced was generalized, rather then individualized or personalized, and
therefore excluded the applicants from protection under subsection 97(1)(b) of
IRPA.
[15]
The
Board held that even if the applicants were not excluded by subsection 97(1)(b)
of IRPA, a determinative issue in this case is the adequacy of state
protection.
[16]
The Board reviewed the law governing the presumption of state
protection. It stated that local failures to provide effective policing do not amount to inadequate
protection. Relying upon the decision of the Federal Court of Appeal in Kadenko v. Canada (Solicitor General) (1996), 143 D.L.R. (4th) 532, the Board stated that "the more democratic the
state's institutions, the more the claimant must have done to exhaust all the
courses of action open to him or her". The Board held that the
applicants failed to rebut the presumption of adequate state protection with
“clear and convincing” evidence.
[17]
A
review of the documentary evidence led the Board to place a heavy burden on the
applicants to show that they took reasonable steps to obtain state protection.
The documentary evidence indicated that Guatemala is a
democratic state with functioning political and judicial systems, democratic
institutions, and an official apparatus that provides a measure of protection
to its citizens including a criminal justice system. The Board noted that
Guatemala has been at the forefront of criminal reform efforts in South
America
and has been making strong efforts to combat the maras.
[18]
The
Board held that since the applicants only sought the help of the local police
detachment, and not the assistance of any other law enforcement authority or
government assistance agency, they could not show that they had reasonably taken
steps to seek internal state protection.
[19]
The
Board held that since adequate state protection is available to the claimants
in Guatemala the applicants do not, on the balance of probabilities, face the
risk to life or a risk to cruel and unusual treatment or punishment, were they
to return. The applicants claim for protection was therefore dismissed.
LEGISLATION
[20]
I
reproduce s. 97 of IRPA for convenience:
97. (1) A
person in need of protection is a person in Canada whose
removal to their country or countries of nationality or, if they do not
have a country of
nationality, their country of former habitual residence, would subject them
personally
(a) to a
danger, believed on substantial grounds to exist, of torture within the
meaning
of Article 1 of the
Convention Against Torture; or
(b) to a risk
to their life or to a risk of cruel and unusual treatment or punishment if
(i) the person is
unable or, because of that risk, unwilling to avail themself of the
protection of that
country,
(ii) the risk would
be faced by the person in every part of that country and is not faced
generally by other individuals in or from that country,
(iii) the risk is
not inherent or incidental to lawful sanctions, unless imposed in disregard
of accepted
international standards, and
(iv) the risk is not
caused by the inability of that country to provide adequate health or medical
care.
|
97. (1) A
qualité de personne à protéger la personne qui se trouve au Canada et serait
personnellement, par son renvoi vers tout pays dont elle a la nationalité ou,
si elle n’a pas de nationalité, dans lequel elle avait sa résidence
habituelle, exposée :
a) soit au
risque, s’il y a des motifs sérieux de le croire, d’être soumise à la torture
au
sens de l’article
premier de la Convention contre la torture;
b) soit à une
menace à sa vie ou au risque de traitements ou peines cruels et inusités dans
le cas suivant :
(i) elle ne peut ou,
de ce fait, ne veut se réclamer de la protection de ce pays,
(ii) elle y est
exposée en tout lieu de ce pays alors que d’autres personnes originaires
de ce pays ou qui
s’y trouvent ne le sont généralement pas,
(iii) la menace ou
le risque ne résulte pas de sanctions légitimes — sauf celles infligées au
mépris des normes internationales — et inhérents à celles-ci ou occasionnés
par elles,
(iv) la menace ou le
risque ne résulte pas de l’incapacité du pays de fournir des soins médicaux
ou de santé adéquats.
|
ISSUES
[21]
The
applicants raise two issues:
1.
Did the
Board err in law in that it misconstrued the evidence before it and/or
misinterpreted s. 97(1) (b) of IRPA?
2.
Was the
Board’s determination of the issue of state protection unreasonable?
STANDARD OF REVIEW
[22]
As
a result of the Supreme Court of Canada’s decision in Dunsmuir v. New
Brunswick,
2008 SCC 9, [2008] S.C.J. No. 9 (QL), it is clear that reviewing courts must
confine their analysis to two standards of review, those of reasonableness and
correctness. Accordingly, the deference to be accorded to the Board’s factual
findings mandates that the issues in question be reviewed on a standard of
reasonableness.
[23]
In
Dunsmuir v. New Brunswick, 2008 SCC 9, 372 N.R. 1, the Supreme Court of
Canada held at paragraph 62 that the first step in conducting a standard of
review analysis is to “ascertain whether the jurisprudence has already
determined in a satisfactory manner the degree of (deference) to be accorded
with regard to a particular category of question” (see also Khosa v. Canada
(MCI), 2009 SCC 12, per Justice Binnie at para. 53).
[24]
The
first issue touches upon issues of fact, and mixed law and fact. In Acosta v. Canada (MCI), 2009 FC 213, [2009] F.C.J.
No. 270 (QL), Justice Gauthier held at para. 11 that interpreting the exclusion
of generalized risks of violence under subsection 97(1)(b) of
IRPA was an issue of application of law to the particular facts
of a case and therefore reviewable on a standard of reasonableness following
the Federal Court of Appeal decision in Prophète v. Canada (MCI), 2009 FCA
31, para. 7. The first issue is therefore reviewable on a standard of
reasonableness.
[25]
The
second issue relates to a determination of the adequacy of state protection.
This is a question of mixed law and fact. Post-Dunsmuir jurisprudence
has held that adequacy of state protection decisions are reviewable under a
standard of reasonableness (Eler v. Canada (Minister
of Citizenship and Immigration), 2008 FC 334, per Justice Dawson at para.
6; Pacasum v. Canada (Minister of Citizenship and
Immigration), 2008 FC 822, per Justice de Montigny at para. 18; Velasquez v. Canada (MCI), 2009
FC 109, per Justice de Montigny at para. 13). The second issue is
therefore reviewable on a standard of reasonableness.
[26]
In
reviewing the Board’s decision on a reasonableness standard, the Court will
consider "the existence of justification,
transparency and intelligibility within the decision-making process” and
“whether the decision falls within a range of possible, acceptable outcomes
which are defensible in respect of the facts and law” (Dunsmuir, supra,
at para. 47, Khosa, supra, at para. 59). The Court will only
intervene if the decision falls outside the "range of possible, acceptable
outcomes which are defensible in respect of the facts and law” (Dunsmuir,
supra, at para. 47, Khosa, supra, at para. 59).
ANALYSIS
Issue No. 1: Did the Board
err in law in that it misconstrued the evidence before it and/or misinterpreted
s. 97(1) (b) of IRPA?
[27]
This
issue I would restate as “Did the Board unreasonably find that the applicants
faced a “generalized risk” of injury not “personalized” to only small business
owners in Guatemala?”
[28]
The
applicants submit that the Board erred in finding that the risk faced by the
applicants from the maras was a generalized risk in Guatemala.
[29]
The
applicants argue that subsection 97(1)(b)(ii) of IRPA requires that the risk be
“personalized”, but not necessarily “individualized”. Since small business
owners are one of the groups primarily targeted by maras, the applicants
are at more risk than the general population, and therefore the risk to them is
personalized.
[30]
The
applicants seek to distinguish Vickram v. Canada (MCI), 2007 FC 457, per
Justice de Montigny, on the basis that the Board in that case made the express
determination that the applicant faced a generalized risk of criminal activity.
In this case, the applicants argue that the Board expressly determined that the
applicants were at greater risk by virtue of being business owners.
[31]
There
is no basis for distinguishing Vickram. In my view the fact that the
applicants are more at risk because they are small business owners does not
transform a generalized risk of criminal violence to a personalized risk. There
is no inconsistency in the Board’s reasons in that regard. Vickram is
consistent with the general principle that wealth, or perceived wealth, on its
own, is not sufficient to ground a claim under subsection 97(1)(b) on the basis
that criminals tend to target all those who they perceive as relatively wealthy
(see also my decision in Hardat Ramotar et al. v. Canada (MCI), 2009 FC
362, at para. 31 and Louis-Jacques Michaud v. Canada (MCI), 2009 FC 886,
at para. 38 to 41).
[32]
Justice
Gauthier recently dealt with the same argument in Acosta, supra,
in the context of bus operators, and held at para. 16 of her reasons that being
a member of a particular economic sector does not transform generalized risk of
criminal violence against the applicant to personal risk:
¶16 The applicant referred to a passage of the documentary
evidence which confirms that bus fare collectors are frequently subject to
extortion by the Gang. However, the Board examined this country documentation and
found it to clearly indicate the prevalence of gang related violence in a
variety of sectors. It is no more unreasonable to find that a particular
group that is targeted, be it bus fare collectors or other victims of extortion
and who do not pay, faces generalized violence than to reach the same
conclusion in respect of well known wealthy business men in Haiti who were
clearly found to be at a heightened risk of facing the violence prevalent in
that country [emphasis added].
[33]
I
agree with Justice Gauthier’s view in Acosta.
[34]
In
this case the applicants were targeted because they owned a small business. The
telephone harassment and threats after they shut down their business were a
continuation of the extortion. There is no evidence that the maras personally
targeted the applicants or that they face a greater risk then other small
business owners or persons perceived to be relatively wealthy (Pineda v.
Canada (MCI), 2007 FC 365, per Justice de Montigny).
[35]
I
am of the view that if the risk to violence or injury or crime is a generalized
risk faced by all citizens of the country who are seen as relatively wealthy by
the criminals, the fact that a specific number of individuals may be targeted
more frequently because of their wealth, does not mean that they are not
subject to a “generalized risk” of violence. The fact that the persons at risk
are those perceived to be relatively wealthy, and can be seen as a subset of
the general population, means that they are exposed to a “generalized risk”.
The fact that they share the same risk as other persons similarly situated does
not make their risk a “personalized risk” subject to protection under section
97. A finding otherwise would “open the floodgates” in that all Guatemalans who
are relatively wealthy, or perceived as being relatively wealthy, could seek
protection under section 97 of IRPA.
[36]
In
my view the decision of the Board in this regard was reasonably open to it
based on the evidence.
Issue No. 2: Was the
Board’s determination of the issue of state protection unreasonable?
[37]
The
applicants submit in the alternative that the Board’s determination on the
issue of state protection was unreasonable in that it contradicted other
factual findings made by the Board and the objective evidence on the record.
[38]
The
applicant states that the documentary evidence is inconsistent with the Board’s
finding that “Guatemala has a
functioning political and judicial system” and “an official apparatus that
provides a measure of protection to its citizens including a criminal justice
system and a functioning police force”. The applicant contends that Guatemala is simply
unable to protect its population from the maras, and that placing too
heavy a burden on the applicants to rebut the presumption of state protection
is inappropriate.
[39]
In Canada
(Attorney General) v. Ward,
[1993] 2
S.C.R. 689, the Supreme Court of Canada held that refugee protection is a form of "surrogate
protection" intended only in cases where protections from the home state
are unavailable.
[40]
Further, the Court
held that except in situations where there has been a complete breakdown of the
state apparatus, there exists a general presumption that a state is capable of
protecting its citizens. While the presumption of state
protection may be
rebutted, this can only occur where the refugee claimant provides "clear
and convincing" evidence confirming the state's inability to provide
protection. Such evidence can include testimony of similarly situated
individuals let down by the state protection arrangement, or the refugee claimant's
own testimony of past incidents in which state
protection was not
provided (see Ward, supra,
at 724-725).
[41]
In
Kadenko, supra,
the Federal Court of Appeal held that in order to rebut the
presumption of state protection, refugee claimants
must make "reasonable efforts" at seeking out state protection, and that the burden on the claimant
increases where the state in question is democratic (see also L.G.S. v.
Canada (MCI). 2004 FC 731, per Justice Mactavish where she held at para. 22
that a claimant need not show that they exhausted absolutely all avenues of
protection).
[42]
The
Federal Court of Appeal recently clarified the presumption of state protection in
Carillo v. Canada (MCI), 2008 FCA 94, 69
Imm. L.R. (3d) 309, per Justice Létourneau. The Court engaged in a detailed discussion
at paras. 16-30 on the distinctions between “burden of
proof, standard of proof and quality of evidence". The
Court held that the “heavy burden” to rebut the presumption of
adequate state protection in democratic societies, as referred to in Hinzman
v. Canada (MCI), 2007 FCA 171, per Justice Sexton, at paragraph 57, was
simply an acknowledgement of the difficulty of furnishing sufficient evidence
in such circumstances:
¶26 I think our colleague,
as was La Forest J. in the Ward case, referred to the quality of the
evidence that needs to be adduced to convince the trier of fact of the
inadequate state protection. In other words, it is more difficult in some cases
than others to rebut the presumption. But this in no way alters the standard of
proof. In this respect, I fully agree with the finding of the judge that La
Forest J. in Ward was referring to the quality of the evidence necessary
to rebut the presumption and not to a higher standard of proof.
[43]
Consequently,
the applicants had to adduce relevant and reliable evidence with sufficient
probative value that satisfies the trier of fact on a balance of probabilities
that the state protection is inadequate (Carillo, supra, at para.
30).
[44]
In
the case at bar the only steps taken by the applicants to seek state protection
was contacting the Gualan local police who in turn contacted the Guatemala
City
police. It is trite law that the refusal of local police to offer protection
does not constitute inadequate state protection, unless the refusal of the
local police can be linked to a larger pattern of inability to offer protection
in the particular circumstances (Zhuravlvev v. Canada (MCI), [2000] 4
F.C. 3, per Justice Pelletier at para. 31).
[45]
The
Board found the steps taken by the applicant to be insufficient in light of Guatemala’s progress
against gang violence and democratic character. It found that while the
protection offered by Guatemala was not perfect, it was
nevertheless adequate. (The Board cited as authorities this Court’s decisions
in Zalazali v. Canada (MEI), [1991] 3 F.C. 605 (F.C.A.),
per Justice Décary at para. 21; and Canada (MEI) v. Villafranca (2009), 18
Imm. L.R. (2d) 130 (F.C.A.), per Justice Hugessen.)
[46]
The
Board’s analysis in regard to state protection is rather general. I am troubled
by the staleness of some of the documentary evidence that the Board cites. This
is highlighted by the more recent documentary evidence produced by the
applicant which describes the inability of the Guatemalan authorities to tackle
gang violence because of systemic corruption and lack of resources. The
applicants also adduced evidence that shows public frustration with police
protection.
[47]
While
the Board’s reasons leave much to be desired in terms of analysis, its ultimate
conclusion cannot be held to be unreasonable. The Board pointed to several
avenues of redress which the applicants could have pursued besides the local
police. The viva voce evidence by the applicants indicates that the efficacy
of Guatemalan police is at worst mixed:
PRESIDING MEMBER: Are you saying that the
police in Guatemala are successful in catching
the maras?
CLAIMANT: They are on the news you can see
it every day and you can see that they catch the occasional one but as well as
seeing them catch several of them you also see murders happening all over the
place by these people.
[48]
The
documentary evidence is that state protection in Guatemala is lacking.
The Board’s National Documentation Package for Guatemala provided a Response
to Information Request dated March 2, 2007 with respect to “Measures for
protecting the population from criminal gangs”. The document stated:
Corruption within the police force and a
lack of resources complicate the battle against criminal gangs. President
Berger himself has acknowledged the failure of Guatemala’s 22,000 national police officers to
control the criminal gangs, which reportedly have as many as 60,000 members.
While this evidence suggests that state
protection in Guatemala is inadequate, other evidence on the record that the
police are taking measures to protect the population from criminal gangs
including the deployment of the soldiers on the streets to re-establish
security from criminal gangs, the arrest of gang members, surveillance
measures, and the creation of a special hotline for reporting extortion.
Accordingly, it was reasonably open to the Board to find either that there is,
or there is not, adequate state protection in Guatemala.
[49]
The
evidence on the record allows for a determination either way. In my view, the
decision of the Board lies in the range of acceptable outcomes.
[50]
For
these reasons the application for judicial review is dismissed.
CERTIFIED QUESTION
[51] Both parties
advised the Court that this case does not raise a serious question of general
importance which ought to be certified for an appeal. The Court agrees.
JUDGMENT
THIS COURT
ORDERS AND ADJUDGES that:
The
application for judicial review is dismissed.
“Michael
A. Kelen”