Date: 20110907
Docket: T-494-08
Citation: 2011
FC 1054
Ottawa, Ontario, September 7, 2011
PRESENT: The Honourable Mr. Justice Near
BETWEEN:
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TPG TECHNOLOGY CONSULTING
LTD.
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Plaintiff
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and
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HER MAJESTY THE QUEEN
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Defendant
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REASONS FOR ORDER AND ORDER
[1]
The
Plaintiff/Respondent, TPG Technology Consulting Ltd. (TPG) has brought an
action in the Federal Court alleging breach of contract and other tortious
conduct on the part of the Defendant/Moving Party, Her Majesty the Queen (the
Crown). The alleged conduct arises from a solicitation process undertaken by
the Department of Public Works and Government Services Canada (PWGSC) to
acquire engineering and technical support (ETS) services for the Information
Technology Services Branch (ITSB).
[2]
TPG was
the incumbent contractor, providing ETS to the Crown from1999 until
December 2007. TPG was unsuccessful in bidding for the subsequent
contract, which was awarded to CGI Information Systems and Management Consultants
(CGI) on October 31, 2007.
[3]
TPG seeks
to recover damages in excess of $251,000,000 for negligence, breach of
contract, inducing breach of contract and intentional interference with
economic interests by unlawful means.
[4]
The
present matter is a motion for summary judgement dismissing the action as
pleaded in the Amended Amended Statement of Claim in whole or in part, brought
by the Crown. The Crown claims that the action is an abuse of process and that
TPG has failed to establish any genuine issue for which a trial is warranted.
I. Background
A. Facts
[5]
TPG is a
Canadian corporation that supplies specialized information technology (IT)
services. TPG primarily provides these services to the Crown.
[6]
TPG held
the ETS contract, the subject of this action, from 1999 until December 21,
2007, at which time the contract expired. TPG supplied ETS services to the
ITSB through the deployment of approximately 200 subcontractors. The
subsequent contract was awarded to CGI. CGI is a direct competitor of the TPG.
[7]
TPG
alleges that the procurement process conducted by PWGSC in order to award the
ETS contract was improper.
[8]
In
anticipation of the expiration of the ETS contract, PWGSC published a request
for proposals for a new ETS contract (the ETS RFP) on May 30, 2006. The
estimated value of the new ETS contract was $428 million. The procurement
was subject to international trade agreements including WTO-AGP, NAFTA and AIT.
PWGSC retained Mr. Robert Tibbo of PPI Consulting Ltd., through a
public tendering process to assist in drafting the ETS RFP and to facilitate
the technical evaluation of the proposals.
[9]
PGWSC
received three proposals, including one from TPG and one from CGI. All three
solicitation responses were determined to be compliant with the requirements of
the ETS RFP. The Crown submits that the proposals were assessed as per the
evaluation process set out in the ETS RFP. This process was reviewed and
approved by the Office of the Chief Risk Officer. CGI was awarded the new ETS contract on October
31, 2007 and TPG was formally advised of this on November 5, 2007.
[10]
In 2007,
TPG made four complaints to the Canadian International Trade Tribunal (CITT)
regarding the ETS solicitation, alleging that the process was unfair. The CITT
rejected two of the complaints, refused to conduct an inquiry into one of the
complaints, and found that another complaint was time-barred.
[11]
In June
2006, TPG had its subcontractors sign teaming agreements restricting them from
offering their services to any entity competing with TPG on the ETS
solicitation. In June 2007, prior to contract award, TPG had its
subcontractors sign amendments to these agreements which would restrict the
subcontractors from working for a winning bidder other than itself until four
months after the completion of the transition of the new ETS contract.
[12]
The Crown
submits that CGI met all the contractual requirements for the transition phase
to the new contract. TPG disputes this.
[13]
TPG
commenced the action for damages on March 27, 2008. TPG alleges that the Crown
implemented a plan from the evaluation process all the way to and through
contract award, to award the ETS contact to CGI and induce breaches of contract
by TPG’s subcontractors. TPG argues that this issue could not have been, and
was not before the CITT.
[14]
A ten week
trial is to be scheduled by the Judicial Administrator, starting sometime after
April 15, 2012.
II. Issues
[15]
The issues
to be decided by this Court on this Motion are:
(a) Whether
this Court has jurisdiction to hear actions in procurement cases in light of
the CITT’s existence, or whether the Canadian International Trade Tribunal
Act, RSC, 1985, c 47 (4th Supp) (CITT Act) grants exclusive
jurisdiction to the CITT to hear and determine complaints regarding the
fairness of the evaluation process;
(b) Whether
TPG’s action is res judicata as a result of TPG’s previous CITT
complaints and is otherwise an abuse of process;
(c) Whether
there are genuine issues for trial relating to TPG’s allegations of breach of
contract and tortious conduct.
Summary Judgement – the
Applicable Legal Principles
[16]
The
availability of summary judgment is governed by rules 213 to 219 of the Federal
Courts Rules, SOR/98-106. These rules were amended effective December 10,
2009 as the result of a consultation process that concluded that the interests
of justice would be better served by the adoption of a summary trial procedure.
[17]
The
purpose of summary judgement rules is to prevent claims or defences that have
no chance of success from proceeding to trial (Canada (Attorney General) v Lameman, 2008 SCC 14, [2008] 1 SCR
372). Summary trial rules promote efficiency by enabling courts to dispose of
actions efficiently.
[18]
Rule 213
provides that a defendant may bring a motion for summary judgment dismissing
all or some of the issues set out in the Statement of Claim at any time before
the time and place for trial have been fixed. The response to such a motion
cannot be based on conjecture as to what the evidence might be at a later stage
in the proceedings. Rule 214 requires the response to set out specific facts
and adduce the evidence showing that there is a genuine issue for trial. Both
sides are required to file such evidence as is reasonably available to them.
[19]
If, on a
motion for summary judgement, the Court is satisfied that there is no genuine
issue for trial, according to Rule 215, the Court shall grant summary
judgement. If the Court finds that there is a genuine issue of fact or law, it
may determine that issue by way of summary trial, or dismiss the motion in
whole or in part and order that the issues not disposed of proceed to trial
(Rule 215(3)).
[20]
The
Federal Court of Appeal adopted the basic principles governing summary
judgements as set out by Justice Daniele Tremblay-Lamer in Granville
Shipping Co. v Pegasus Lines Ltd SA, [1996] 2 FC 853, [1996] FCJ No 481
(QL) (FTD) at para 8:
1. the
purpose of the provisions is to allow the Court to summarily dispense with
cases which ought not proceed to trial because there is no genuine issue to be
tried (Old Fish Market Restaurants v. 1000357 Ontario Inc. et al);
2. there is no
determinative test (Feoso Oil Limited v. Sarla) but Stone J. A. seems to have
adopted the reasons of Henry J. in Pizza Pizza Ltd. v. Gillespie (Pizza Pizza).
It is not whether a party cannot possibly succeed at trial, it is whether the
case is so doubtful that it does not deserve consideration by the trier of fact
at a future trial;
3. each case should be
interpreted in reference to its own contextual framework (Blyth and Feoso);
4. provincial practice
rules (especially Rule 20 of the Ontario Rules) can aid in interpretation
(Feoso and Collie);
5. this Court may
determine questions of fact and law on the motion for summary judgment if this
can be done on the material before the Court (this is broader than Rule 20 of
the Ontario Rules of Civil Procedure) (Patrick);
6. on the whole of the
evidence, summary judgment cannot be granted if the necessary facts cannot be
found or if it would be unjust to do so (Pallman and Sears);
7. in the case of a
serious issue with respect to credibility, the case should go to trial because
the parties should be cross-examined before the trial judge (Forde and Sears).
The mere existence of apparent conflict in the evidence does not preclude
summary judgment; the court should take a "hard look" at the merits
and decide if there are issues of credibility to be resolved (Stokes).
[21]
More
recently, Justice Paul Crampton of this Court summarized the evidentiary burden
of the parties when considering motions for summary judgement in Trevor
Nicholas Construction Co. v Canada (Minister for Public Works), 2011 FC 70 at para 44:
[44] In short, under the current and
former Rules: (i) to succeed in its motion for summary judgment dismissing the
plaintiff's statement of claim, the defendant has the burden of establishing
that all the relevant issues can properly be decided on the evidence before the
Court; and (ii) the plaintiff must show that there is a genuine issue for
trial. In this regard, the plaintiff is not required to prove all the facts in
its case, but also cannot simply rely on bare "allegations or denials of
the pleadings." Each party is required to "put its best foot
forward," to enable the Court to determine whether there is an issue that
should go to trial (Canada (Attorney General) v. Lameman, [2008] 1
S.C.R. 372, at para. 11; F. Von Langsdorff Licensing Ltd. v. S.F. Concrete
Technology Inc. (1999), 165 F.T.R. 74, at paras. 9-12; AMR Technology, Inc.
v. Novopharm Ltd., 2008 FC 970, at paras. 6-8; MacNeil Estate v. Canada
(Department of Indian and Northern Affairs), 2004 FCA 50, at para. 25).
However, "the test is not whether the plaintiff cannot succeed at trial;
rather, it is whether the court reaches the conclusion that the case is so
doubtful that it does not deserve consideration by the trier of fact at a
future trial. Claims clearly without foundation should not take up the time and
incur the costs of a trial" (AMR Technology, above, at para. 7). In
addition, "each case must be interpreted in its own context and if the
necessary facts cannot be found, or if there are serious issues of credibility,
the matter should go to trial" (Suntec Environmental Inc. v. Trojan
Technologies Inc., 2004 FCA 140, at para. 4; Emu Polishes Inc. v. Spenco
Medical Corp., 2005 FCA 130, at para. 2). Finally, "a motions judge
must subject the evidence to a 'hard look' in order to determine whether there
are factual issues that really do require the kind of assessment and weighing
of evidence that should properly be done by the trier of fact" (Von
Langsdorff, above, at para. 13).
[22]
It remains
important for the motions judge to consider a motion for summary judgement with
great care. As stated by Justice Anne Mactavish in Canada (Minister of Citizenship and
Immigration) v Laroche,
2008 FC 528, 169 ACWS (3d) 866 at para 18:
[18] […] the effect of
the granting of summary judgment will be to preclude a party from presenting
any evidence at trial with respect to the issue in dispute. In other words, the
unsuccessful responding party will lose its "day in court": see Apotex
Inc. v. Merck & Co., 248 F.T.R. 82, at para. 12, aff'd [2004] F.C.J.
No. 1495, 2004 FCA 298.
[23]
In the
present matter, the Crown bears the legal onus of establishing the facts
necessary to obtain summary judgement, while TPG has the evidentiary burden of
showing that there is a genuine issue for trial. Both parties submit that the
other party has failed to carry out his required task in order to succeed.
Preliminary Issue: Are TPG’s Affidavits
in Compliance with Rule 81?
[24]
The Crown
submits, as preliminary matter, that all five of TPG’s affidavits filed in
response to this motion are seriously flawed and in violation of Rule 81(1) of
the Rules. The Crown argues that these affidavits are replete with
speculation, hearsay, opinion, legal argument and conclusion, and contain
statements that are either irrelevant or lacking any foundation or are clearly
beyond the personal knowledge of the deponent. The Crown further argues that
TPG is attempting to subvert the Court’s Rule on the maximum length of a
party’s Memorandum of Fact and Law by attaching the 150 page affidavit of Mr.
Powell which largely contains argument and speculation. The Crown asks the
Court to strike out each of the Affidavits in their entirety.
[25]
TPG
counters the Crown’s submission with the assertion that the affidavits of Mr.
Powell, Mr. Estabrooks, Mr. Watts, Ms. Bright and Mr. Fleming are all confined
to facts within each deponent’s personal knowledge. TPG further submits that
the Crown should have brought a motion to strike parts of these affidavits
before proceeding with the cross-examinations of TPG’s affiants. TPG argues
that the Crown has not even referenced which specific portions of the various
affidavits it finds objectionable, and that a bald assertion that all five
affidavits are seriously flawed is not sufficient to strike parts of an
affidavit.
[26]
Rule 81(1)
requires that affidavits be confined to facts within the deponent’s personal
knowledge. Affidavits are meant to adduce facts relevant to the dispute
“without gloss or explanation” (Canada (Attorney General) v Quadrini, 2010 FCA 47, 399 NR 33 at para 18). As
the Crown submits, this Court will strike out parts of affidavits that are
abusive, argumentative or opinionated and contain legal conclusions (McNabb
v Canada Post Corp, 2006 FC 1130, 300 FTR 57 at para 52, Quadrini,
above). The Crown suggests that in the present matter it is impossible to
separate the admissible from the inadmissible, and thus the affidavits in their
entirety ought to be rejected (Foodcorp Limited v Hardee's Food Systems Inc,
[1982] 1 FC 821 (FCA); Van Duyvenbode v Canada (Attorney General),
2009 FCA 120 at para 3).
[27]
The
affidavit of Mr. Powell is indeed suspiciously lengthy and replete with
speculation. However, as TPG submits, the Crown has not properly brought
forward a motion to strike the affidavits, a failure which has in the past lead
this Court to deny the motion to strike. In Burns Lake Native Development
Corp v Canada (Commissioner of Competition), 2005 FCA 256, 141 ACWS (3d)
697 the Court held at para 13:
[13] It is unusual for a party
answering a motion to determine the content of the appeal book to seek, in that
answer, the striking out of parts of the affidavit given in support of the
motion. The normal procedure for striking out an affidavit or parts of it is to
bring a motion to that effect. Thus, the party who produced the affidavit can
adequately respond by serving and filing a respondent record. It would not be
fair to the appellants to rule on the Commissioner's request that part of the
affidavit in support of their motion be struck. I am, therefore, denying the
Commissioner's request to strike parts of Ms. Wood's affidavit.
[28]
Another of
TPG’s submissions, which is indeed supported by the jurisprudence of this
Court, is that in order to succeed in striking affidavits or portions thereof,
the Crown is required to show prejudice. TPG submits that the Crown has failed
to do so.
[29]
The
caselaw of this Court emphasizes that the discretion to strike out affidavits ought
to be exercised sparingly and only where it is in the interests to do so, for
example where a party would be materially prejudiced or where not striking
would impair the orderly hearing of the application (Armstrong v Canada
(Attorney General), 2005 FC 1013, 141 ACWS (3d) 5 at para 4). Justice James
Hugessen dealt with this issue in Sawridge Band v Canada, 95 ACWS (3d) 20, [2000] FCJ
No 192 (QL), a case cited with approval by Justice François Lemieux in Armstrong,
above and by TPG. At paras 5 and 6 Justice Hugessen wrote:
[5] Dealing first with the motion
brought by the interveners that the affidavit of Clara Midbo should be struck
out as it is an improper affidavit within the meaning of the Rules, I may say
that upon examination of that affidavit, I have no doubt whatever that it is
improper. It is replete with conclusory and argumentative allegations, almost
all of them being on matters of law as to which the deponent is not apparently
qualified. I set out below, simply by way of example, paragraphs 3 and 4 of the
affidavit in which the deponent attempts to interpret the pleadings, the Rules
and various orders that have been made in this case, something which she is
eminently unqualified to do and something which is clearly not a matter for
evidence in any event:
[…]
[6] That said, I have not been
persuaded that the affidavit should be struck. In my view, in a sane modern
procedure, irregularities in proceedings should not be made the subject of
motions and should not require the Court to give orders striking out or
correcting such irregularities unless the party attacking the irregularity can
show that it suffer some sort of prejudice as a result thereof. I put that
point squarely to counsel for the interveners and the only prejudice he was
able to suggest to me that his clients might suffer was that the Court, when it
hears the main motion, might be induced to believe that these highly
tendentious allegations in the affidavit were uncontested matters of fact. I
think that counsel is ascribing to the Court a degree of gullibility which I
hope he is not justified in doing. Accordingly, absent any showing of prejudice
and notwithstanding that almost all of the affidavit is irregular and should
not be before the Court, I have no grounds that would justify me in striking it
out. Counsel for the interveners admits readily that virtually every paragraph
of the affidavit is proper argument and can properly be made by counsel for
plaintiffs and indeed has been made by counsel for plaintiffs in his written
submissions in support of the main motion. I am therefore going to dismiss the
motion to strike the affidavit.
[30]
I take the
view that at this late stage, and on a motion for summary judgement it would be
inappropriate to strike all of TPG’s affidavits. Indeed, this was not
seriously pursued by the Crown at the hearing. I reiterate Justice Hugessen’s
words in Sawridge, above- the Crown need not worry that the Court is so
gullible as to uncritically accept the evidence contained in the affidavits.
The Crown has not properly brought a motion to strike the affidavits, and at
this time, absent a showing of genuine prejudice on the part of the Crown, I am
not inclined to acquiesce to the Crown’s request.
A. Does
the Federal Court have Jurisdiction to Hear this Claim?
[31]
The Crown
submits that the Federal Court lacks the jurisdiction to consider the fairness
of the tender evaluation due to the existence of the CITT. The Crown takes the
position that the CITT Act and its associated regulations, the Canadian
International Trade Tribunal Procurement Inquiry Regulations bestow exclusive
jurisdiction on the CITT to resolve complaints and disputes regarding allegedly
unfair or improper procurement processes.
[32]
TPG
disputes that Parliament has ousted the jurisdiction of this Court to hear
causes of action against the Crown arising from public tendering processes
through the enaction of subparagraph 30.11 of the CITT Act. TPG asserts that
the CITT only has a narrow jurisdiction to hear complaints relating to breaches
of trade agreements, not to adjudicate actions alleging tortuous conduct,
breaches of contract, or other legal obligations rooted in common law.
[33]
Sections
30.1 – 30.19 of the CITT Act lays out a complete code of procedure for
addressing procurement complaints. Potential suppliers may advance a complaint
with respect to any aspect of a procurement process that is governed by an
applicable trade agreement. In response to a complaint the CITT can conduct an
inquiry. Section 30.15 of the CITT Act gives the CITT broad discretion to
recommend a remedy it considers appropriate. Judicial review from decisions of
the CITT is available in the Federal Court of Appeal. The Federal Court
of Appeal described the process leading up to an inquiry, and the conduct of
the inquiry itself in Canada (Attorney General) v Almon Equipment Ltd,
2010 FCA 193, 405 NR 91 starting at para 11:
[11] The Tribunal has oversight
jurisdiction under this regulatory regime. In response to a complaint, it can
conduct an inquiry and recommend remedies. The process leading up to an
inquiry, and the conduct of the inquiry itself, is as follows:
(a) Complaints (sections 30.11 and
30.12 of the Act). A potential supplier may file a compliant with the Tribunal.
The complaint must be regarding "any aspect of the procurement
process" that relates to "a contract for the supply of goods or
services that has been or is proposed to be awarded by a government
institution" or a contract designated in the regulations. "Interested
parties" are notified of the complaint.
(b) Screening (subsection 30.13(5)
of the Act). The Tribunal may decide not to conduct an inquiry into the
complaint.
(c) Inquiry (subsections 30.13(1),
30.13(2) and 30.14(1) of the Act). If the Tribunal decides to conduct an
inquiry, it gives notice to the complainant, the relevant government
institution and interested parties. They have an opportunity to make
representations. The Act does not require the Tribunal to hold a hearing as
part of its inquiry, but can do so. The Tribunal's inquiry is limited to the subject-matter
of the complaint.
[12] At the end of the inquiry,
under subsection 30.14(2) of the Act, the Tribunal must determine whether the
complaint is valid, based on particular grounds:
30.14. (2) At the conclusion of an inquiry,
the Tribunal shall determine whether the complaint is valid on the basis of
whether the procedures and other requirements prescribed in respect of the
designated contract, or the class of contracts to which it belongs, have been
or are being observed.
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30.14. (2) Le Tribunal détermine la validité
de la plainte en fonction des critères et procédures établis par règlement
pour le contrat spécifique ou la catégorie dont il fait partie.
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[13] Section 11 of the Regulations
empowers the Tribunal to assess the complaint based on other grounds:
11.
If the Tribunal conducts an inquiry into a complaint, it shall determine
whether the procurement was conducted in accordance with the requirements set
out in whichever of NAFTA, the Agreement on Internal Trade, the Agreement on
Government Procurement, the CCFTA or the CPFTA applies.
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11. Lorsque le Tribunal enquête sur une
plainte, il décide si la procédure du marché public a été suivie conformément
aux exigences de l’ALÉNA, de l’Accord sur le commerce intérieur, de l’Accord
sur les marchés publics, de l’ALÉCC ou de l’ALÉCP, selon le cas.
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[…]
[16] Where the Tribunal finds the
complaint to be valid, it may recommend remedies. Subsections 30.15(2) and
30.15(3) govern these remedies.
[17] Subsection 30.15(2) of the Act
is a list of remedies that the Tribunal may award:
30.15. (2) Subject to the regulations, where
the Tribunal determines that a complaint is valid, it may recommend such
remedy as it considers appropriate, including any one or more of the
following remedies:
(a) that a new solicitation for the
designated contract be issued;
(b) that the bids be re-evaluated;
(c) that the designated contract be
terminated;
(d) that the designated contract be
awarded to the complainant; or
(e) that the complainant be compensated
by an amount specified by the Tribunal.
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30.15. (2) Sous réserve des règlements, le
Tribunal peut, lorsqu’il donne gain de cause au plaignant, recommander que
soient prises des mesures correctives, notamment les suivantes :
a) un nouvel appel d’offres;
b) la réévaluation des soumissions
présentées;
c) la résiliation du contrat
spécifique;
d) l’attribution du contrat spécifique
au plaignant;
e) le versement d’une indemnité, dont
il précise le montant, au plaignant.
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[18] Subsection 30.15(3) is a mandatory
recipe that the Tribunal must follow when considering its recommendation on
remedies:
30.15. (3) The Tribunal shall, in
recommending an appropriate remedy under subsection (2), consider all the
circumstances relevant to the procurement of the goods or services to which
the designated contract relates, including
(a) the seriousness of any deficiency
in the procurement process found by the Tribunal;
(b) the degree to which the complainant
and all other interested parties were prejudiced;
(c) the degree to which the integrity
and efficiency of the competitive procurement system was prejudiced;
(d) whether the parties acted in good
faith; and
(e) the extent to which the contract
was performed.
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30.15. (3) Dans sa décision, le Tribunal
tient compte de tous les facteurs qui interviennent dans le marché de
fournitures ou services visé par le contrat spécifique, notamment des
suivants:
a) la gravité des irrégularités qu'il a
constatées dans la procédure des marchés publics;
b) l'ampleur du préjudice causé au
plaignant ou à tout autre intéressé;
c) l'ampleur du préjudice causé à
l'intégrité ou à l'efficacité du mécanisme d'adjudication;
d) la bonne foi des parties;
e) le degré d'exécution du contrat.
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[19] In addition to the above
remedies, the Tribunal also may provide "comments and observations on any
matter...in connection with the procurement process" to a government
institution: section 30.19 of the Act.
[20] After receiving the Tribunal's
recommendation under subsection 30.15(3) of the Act, the affected government
institution shall, subject to the Regulations, "implement the
recommendations to the greatest extent possible" and report on its
progress. If it "does not intend to implement them fully," it must
set out "the reasons for not doing so": section 30.18 of the Act.
[34]
The Crown
maintains that the purpose of this statutory scheme is to ensure that
allegations related to improper procurements are wholly dealt with by the CITT
since it is an administrative tribunal with recognized expertise in dealing
with procurement disputes. The Crown provides examples of courts recognizing
that where Parliament has created a complete statutory code for dealing with a
specific subject matter, the jurisdiction of the Court to hear complaints
related to that subject matter is ousted (Neles Controls Ltd v Canada,
2002 FCA 107, 288 NR 260 at para 15; CB Powell Ltd v Canada (Border
Services Agency), 2010 FCA 61, 400 NR 367 at paras 30 and 31).
[35]
On this
point, I accept the submission of TPG that the CITT Act cannot have been
intended to completely insulate the Crown from common law actions relating to
public procurements. While the Crown is correct that the CITT has been tasked
by Parliament to investigate complaints regarding procurement processes related
to “designated” contracts, this scheme does not, as in the cases cited by the
Crown, provide relief that “occup[ies] the whole field in terms of the relief
available” (Neles, above, at para 15), nor does it duplicate relief that
could be offered by a Court.
[36]
In essence,
the parties disagree as to whether the doctrine of “adequate alternate remedy”
applies in the present matter. This doctrine provides, as submitted by the
Crown, that the Federal Court should not exercise its jurisdiction if there is
an adequate alternate remedy provided by Parliament. Typically, this applies
in the context of the Court declining to exercise judicial review. As per the
Federal Court of Appeal in CB Powell, above, at para 31:
[31] […] absent exceptional
circumstances, parties cannot proceed to the court system until the
administrative process has run its course. This means that, absent exceptional
circumstances, those who are dissatisfied with some matter arising in the
ongoing administrative process must pursue all effective remedies that are
available within that process; only when the administrative process has
finished or when the administrative process affords no effective remedy can
they proceed to court. Put another way, absent exceptional circumstances,
courts should not interfere with ongoing administrative processes until after
they are completed, or until the available, effective remedies are exhausted.
[37]
Justice
Michael Kelen listed the factors to be considered under the adequate alternate
remedy test at para 44 of Agustawestland International Ltd. v Canada (Minister of Public Works and
Government Services),
2004 FC 1545, 263 FTR 54 [Agusta 2004]:
1. the powers and nature of
the alternate body;
2. the nature of the error;
3. the convenience of the alternate
remedy;
4. the legal framework out of which the
matter arises;
5. the burden of a previous finding;
6. expeditiousness; and
7. costs.
[38]
TPG argues
that, in accordance with the test, the remedies that the CITT can issue are not
adequate alternatives to an enforceable court judgement, because firstly, it is
not clear that a CITT remedy is enforceable and secondly, the government
institution seems to have some degree of discretion over whether and how much
to comply with the CITT’s recommendations. Although the CITT procedure may be
more expeditious, it is at the cost of dispensing with procedural steps that
would be available to the complainant in a court action.
[39]
In Agusta
2004, above, Justice Kelen disagreed with the applicant’s submission that
the CITT procurement process would not be an adequate alternative remedy to an
application for judicial review in the Federal Court. At issue in that case
was whether the applicant was a “Canadian supplier” for the purpose of
accessing the jurisdiction of the CITT. However, the applicant also argued
that the CITT was not an adequate alternate remedy because the procurement
review process conducted by the CITT would not apply to the common law duty of
fairness in the federal procurement contract process or to the law of bias.
However, Justice Kelen refuted this argument, citing Cougar Aviation Ltd. v
Canada (Minister of Public Works and Government Services), (2000) 264 NR
49, 26 Admin LR (3d) 30, in which the Federal Court of Appeal held that the
CITT’s procurement review jurisdiction included the duty of fairness,
impartiality and the right of an unsuccessful bidder to raise an allegation of
a reasonable apprehension on bias. Indeed, TPG’s four complaints before the
CITT raised exactly these issues. In Cougar Aviation, above, Justice John
Maxwell Evans stated at paras 23 and 24:
[23] In my opinion, the various
obligations imposed on the parties by the relevant Articles of the Agreement
should be interpreted, to the extent that their language permits, in a manner
consistent with the common law duty of fairness as it applies to the federal
procurement contract process. In the context of administrative procedure,
"impartiality" normally includes the appearance of impartiality.
[24] Furthermore, it would unduly
fragment a challenge to an award of a contract if an unsuccessful bidder were
required to raise an allegation of a reasonable apprehension of bias, not in
the Tribunal which might be the appropriate forum for other aspects of a
complaint, but on an application for judicial review in the Federal Court,
Trial Division. Given the technical nature of the tendering process, and the
legislative regime within which it is conducted, it would seem inconsistent
with the statutory scheme to interpret the Tribunal's jurisdiction this narrowly.
[40]
Broadly,
the present matter does require the Court to examine allegations of unfairness
and impartiality in the tender process. This would normally fall under the
jurisdiction of the CITT, which would represent an adequate alternative
remedy. However, it is a distinct situation, in my view, that the present
matter is an action and not an application for judicial review. TPG allege
specific common law causes of action - specific torts and breach of contract,
not the violation of a trade agreement. These causes of action are not provided
for under the CITT Act.
[41]
TPG cites Agustawestland
International Ltd. v Canada (Minister of Public Works and
Government Services),
2006 FC 767, 307 FTR 62 [Agustawestland 2006] for the proposition that
the doctrine of adequate alternate remedy does not apply to actions for breach
of contract and tort arising from public tendering processes. Justice Kelen
explained at para 46 of Agustawestland 2006:
[46] This action, in
addition to judicial review, sues the defendants for breach of contract and for
tort. These causes of action are not restricted by the doctrine that the Court
should not assume jurisdiction if there is an adequate alternate remedy
provided by statute.
[42]
Justice
Kelen went on to note that while administrative decisions are generally subject
to judicial review, acts by the Crown are subject to legal actions for breach
of contract or tort.
[43]
Furthermore,
as argued by TPG, the CITT Act does not expressly state that no civil
proceedings lie against the Crown as in other statutes that state this
intention explicitly and clearly. Additionally, the CITT has itself held that
issues of contract administration or contract performance do not fall within
its jurisdiction (Airsolid Inc. v Canada (Public Works and Government Services), 2010 CanLII 15681 (CITT) at
para 16). I take these two facts to indicate that the CITT Act has not
completely precluded Crown liability for tort and breach of contract in the
context of public tendering.
[44]
I am also
persuaded by TPG’s submissions that the CITT Act and the procedure followed by
the CITT suggest that its primary function is to determine whether Canada has breached obligations
under specified international and domestic trade agreements. The CITT is not a
court for the resolution of common law claims against the Crown.
[45]
I am
sensitive to the Crown’s argument that Parliament intended the CITT to provide
an expeditious venue for the resolution of complaints regarding the procurement
process and I am mindful of the danger of chipping away at the jurisdiction
bestowed by Parliament onto the CITT by allowing actions largely dealing with
allegations properly under the umbrella of the CITT entry into the Courtroom.
However, given the nature and scope of the allegations in the present action, I
am not satisfied that the CITT’s mandate has replaced the Court as the proper
forum in which to try breach of contract and tort allegations that fall outside
the scope of trade agreements.
B. Res
Judicata
[46]
The Crown
submits that TPG is precluded from bringing this action on the basis of the
doctrine of res judicata. TPG previously filed four complaints with the
CITT. The Crown characterizes these complaints as a challenge to the fairness
of the evaluation and decision to award the contract to CGI in broad terms, the
same elements founding TPG’s cause of action.
[47]
TPG
submits that there is no merit to this argument because the issues in this
action have not been previously decided.
[48]
Res
judicata has
been defined as “something that has clearly been decided” (R. v Duhamel,
[1984] 2 S.C.R. 555, 14 DLR (4th) 92). The doctrine of res judicata
springs from the idea that no one should be twice vexed by the same cause and
the recognized need for judicial finality. The courts refuse to tolerate
needless litigation. Res judicata takes two forms: cause of action
estoppel and issue estoppel. Issue estoppel applies when a particular question
has been decided in a previous proceeding, whereas cause of action estoppel
applies when the question could have been decided.
(1) Issue Estoppel
[49]
The
essential elements of issue estoppel are:
(a) the same question must have
been decided;
(b) the judicial
decision which is said to create the estoppel was final; and
(c)
the
parties to the judicial decision must be the same.
(Danyluk v Ainsworth
Technologies Inc., 2001 SCC 44, [2001] 2 S.C.R. 460 at para 25)
[50]
Both
parties agree that the fundamental aspect of issue estoppel is an analysis of
whether the question in the subsequent litigation can be said to be the
“same”. The Crown submits that a different characterization of the question
and a different process or different relief requested does not mean a different
question. On the other hand, TPG asserts that there is no issue estoppel if
the question arose collaterally or incidentally in the first proceeding or if
the question must be inferred by argument from the decision (Danyluk, above,
at para 24).
[51]
Both
parties admit that issue estoppel applies only to issues that were fundamental
to the decision arrived at in earlier proceedings. However, the parties differ
on their characterization of TPG’s earlier CITT complaints.
[52]
With
respect to TPG’s allegations of breach of contract, the Crown insists that the
issues raised relate to the fairness and transparency of the procurement
process, and these issues have already been before the CITT. In the Crown’s
eyes, TPG brought four complaints in respect of the ETS evaluation, alleging
variously that the Crown did not evaluate the bids fairly, impartially and in
accordance with the RFP, that there was a reasonable apprehension of bias in
the evaluation process, that the evaluation methodology had been altered after
bid closing, all so as to favour one bidder over others.
[53]
TPG
submits that the CITT only ruled on very narrow questions based on provisions
of the applicable trade agreements. TPG argues that two of the CITT complaints
were never decided on the merits, and of the other two, one complaint dealt
with the narrow issue of whether evaluators could give scores besides 0, 1 and
2 for one small subset of the RFP requirements, and the other whether PWGSC
verified project references provided in each of the proposals. TPG insists
that none of the narrow issues dealt with by the CITT are being re-litigated in
this action.
[54]
TPG
brought four complaints to the CITT between the completion of the evaluation
and the ultimate award of the contract to CGI. The complaints are as follows:
1) Complaint
PR-2006-050 was initiated on March 23, 2007. TPG alleged that PWGSC did not
evaluate the bids fairly, impartially and in accordance with the RFP, and that
there was a reasonable apprehension of bias in the evaluation process. The
CITT found that both grounds of complaint were time barred and consequently did
not accept the complaint for inquiry. The Federal Court of Appeal allowed
TPG’s application for judicial review, finding that the Tribunal had no factual
grounds on which it could determine the starting point of the limitation period
and that the CITT was patently unreasonable in its characterization of the
second ground. Nonetheless, the complaint was premature given that there had
been no formal communication of the results at the time the complaint was
brought.
2) Complaint
PR-2007-025 was initiated on June 27, 2007. TPG alleged that the evaluation methodology
set out in the RFP was modified after bid closing and for some criterion scores
of 0, 1 or 2 were given, instead of scores of 0 or 2. TPG argued this allowed
evaluators to favour weak bidders. While the CITT found that the complaint was
valid for 7 criteria out of 237 items in the evaluation matrix, the tribunal
found no pattern indicating that one bidder was favoured over another.
Further, the CITT concluded that the results would have been the same
notwithstanding the irregularity, hence TPG suffered no prejudice, and there
was no evidence that PWGSC had acted in bad faith. TPG sought, but then
discontinued, an application for judicial review.
3) Complaint
PR-2007-033 was initiated on August 29, 2007. TPG alleged the following: (1)
PWGSC failed to fairly evaluate TPG's proposal; (2) there was a reasonable
apprehension of bias and/or an appearance of conflict of interest in the
evaluation of bids and in the contract award; and (3) the procurement
procedures were not fair, open, transparent and impartial. The tribunal found
that it had already dealt with allegations 1 and 3 in its consideration
PR-2006-050 and had therefore exhausted its legal authority to deal with those
grounds. With respect to the second ground, TPG failed to provide sufficient
supporting evidence to indicate non-compliance with the trade agreement beyond
bare accusations. The CITT declined to conduct an inquiry. TPG did not seek
judicial review of this decision.
4) Complaint
PR-2007-060 was initiated on October 5, 2007. TPG alleged that the evaluation
methodology had been modified to potentially favour some bidders as references
were not contacted in accordance with the RFP. TPG asked for the point-rated
portion of the evaluation to be set aside and for the CITT to direct that the
contract be awarded to the bidder that submitted the lowest-priced compliant
proposal. The tribunal found that PWGSC was not unreasonable in the manner in
which it conducted reference checks as part of its evaluation process. TPG did
not seek judicial review of this decision.
[55]
In my
view, there is some merit to the Crown’s position that a review of these
decisions in light of the issue estoppel test shows that TPG ought to be
estopped from bringing forth the action in so far as it relates to allegations
of the Crown breaching its duty of fairness. The Crown argues that all three
preconditions of the issue estoppel test are met. While I agree that the
second and third conditions of the test are met, and if inclined to give a
broad strokes reading of the CITT decisions, it is arguable that the “same
questions” test is met, I am of the opinion that this might be unfair to TPG,
especially given the procedural limitations of the CITT process.
[56]
In any
case, TPG submits that should the Court find that all the preconditions of the
issue estoppel test are met, the Court should nonetheless use its discretion
and decide not to apply issue estoppel. The doctrine should not be applied
where its application would result in an injustice. TPG cites Justice Ian
Binnie in Danyluk, above, wherein he stated at para 33:
[33] The rules governing issue
estoppel should not be mechanically applied. The underlying purpose is to
balance the public interest in the finality of litigation with the public
interest in ensuring that justice is done on the facts of a particular case.
[57]
Justice
Binnie went on to list seven factors that ought to be considered when
determining whether, as a matter of discretion, issue estoppel ought to be
applied where the finding relied on to support issue estoppel was made by a
tribunal:
(a) the wording of the
statute from which the power to issue the administrative order derives;
(b) the purpose of the
legislation;
(c) the availability of an appeal;
(d) the safeguards
available to the parties in the administrative procedure;
(e) the expertise of the
administrative decision maker;
(f) the circumstances
giving rise to the prior administrative proceeding; and
(g) the potential injustice.
[58]
TPG submits,
inter alia, that the CITT plays a regulatory role and is not merely an
adjudicator of complaints, the CITT cannot award damages on the same common law
basis as the Court, the Crown did not disclose relevant and important
information that was exclusively in its possession in the course of the CITT
proceedings, and as a result applying issue estoppel in this case would
constitute an injustice.
[59]
In my
view, the questions of jurisdiction and issue estoppel are somewhat murky. It
is clear Parliament intended most complaints relating to procurement to be dealt
with through the CITT. However, having found that the Court retains
jurisdiction to entertain common law actions against the Crown, it would seem
inconsistent to then decide that issue estoppel applies to complaints that were
clearly considered in a very specific context, not related to common law duties
and theories. Certainly, the findings of the CITT might be relevant in
determining whether TPG is able to demonstrate at this stage that there is a
genuine issue for trial, but, I am not comfortable granting a summary judgement
to the Crown on the basis of issue estoppel without examining the submitted
evidence.
(2) Cause of Action
Estoppel
[60]
The Crown
also argues that the doctrine of cause of action estoppel applies to bar TPG’s
action. Cause of action estoppel is governed by four factors:
1. There must be a final
decision of a court of competent jurisdiction in the prior action;
2. The parties to the
subsequent litigation must have been parties to or in privy with the parties to
the prior action [mutuality];
3. The cause of action in
the prior action must not be separate and distinct; and
4.
The basis
of the cause of action and the subsequent action was argued or could have been
argued in the prior action if the parties had exercised reasonable diligence.
(Bjarnarson v Manitoba (Government of), 38 DLR (4th)
32, 48 Man R (2d) 149 (Man QB) citing Doering v Grandview (Town),
[1976] 2 S.C.R. 621, 61 DLR (3d) 455)
[61]
The
purpose of cause of action estoppel is to prevent a party from attempting to
re-litigate a case by advancing a new legal theory in support of a claim based
on essentially the same facts or a combination of facts (Britannia Airways
Ltd. v Royal Bank of Canada, 5 CPC (6th) 262, 136 ACWS (3d) 56 at para
14). The Crown submits that this is exactly what TPG is attempting to do. It
is the Crown’s position that TPG has already argued before the CITT that the
conduct of the bid evaluations was unfair and breached an obligation of
fairness and that all other matters raised by this litigation with respect to
the tender evaluation could have been raised at that time in any of the four
complaints.
[62]
The Nova
Scotia Court of Appeal reviewed the cause of action estoppel jurisprudence in Hoque
v Montreal Trust Co of Canada (1997), 162 NSR (2d) 321, 75
ACWS (3d) 541, summarizing at para 37:
[37] Although many of these
authorities cite with approval the broad language of Henderson v. Henderson,
supra, to the effect that any matter which the parties had the opportunity to
raise will be barred, I think, however, that this language is somewhat too
wide. The better principle is that those issues which the parties had the
opportunity to raise and, in all the circumstances, should have raised, will be
barred. In determining whether the matter should have been raised, a court will
consider whether the proceeding constitutes a collateral attack on the earlier
findings, whether it simply asserts a new legal conception of facts previously
litigated, whether it relies on "new" evidence that could have been
discovered in the earlier proceeding with reasonable diligence, whether the two
proceedings relate to separate and distinct causes of action and whether, in
all the circumstances, the second proceeding constitutes an abuse of process.
[63]
On this
point, I am inclined to accept the submissions of TPG that TPG could not have,
and it cannot be said that TPG should have, raised all of the causes of action
that constitute the present litigation before the CITT. TPG’s present action
is based on breach of contract (for which I would be more likely to accept the res
judicata argument) and tort, including the tort of inducing breach of
contract, unlawful interference with economic interests, and negligence. The
tort claims could not have been raised before the CITT, for the CITT clearly does
not have the jurisdiction to deal with them. TPG’s position with respect to
the breach of contract claim is much weaker since the obligations of the
contract that TPG argues existed between itself and the Crown consist almost
entirely of the duty to deal fairly. This issue was essentially before the
CITT. However, TPG submits that all of the facts relating to the evaluation of
bids were solely in the possession of the Crown, and were not obtained by TPG
until 2008, after the complaints to the CITT. I accept TPG’s submission that
in this respect, TPG relies on “fresh” evidence that was not capable of being
discovered at an earlier stage.
C. Genuine Issue for
Trial
[64]
TPG claims
that PWGSC set out to award the contract to CGI even though TPG had successfully
provided ETS services to the federal government for 7 years. TPG claims: 1)
that PWGSC did not evaluate the bids fairly and impartially; 2) that the
participation of Mr. Danek in the process resulted in a reasonable apprehension
of bias; 3) that the transition from TPG to CGI as ETS provider was not carried
out in accordance with the RFP and 4) that PWGSC pressured TPG subcontractors
to breach teaming agreements that they had signed with TPG. TPG roots its
action in breach of contract, and various torts.
[65]
TPG claims
that PPI, the third party facilitator “had a manifest bias against awarding the
contract to TPG and disparaged TPG as a “body shop”” (see Powell affidavit para
15). The evaluation consisted of a consensus score model whereby the five evaluators
would meet to discuss their individual scores and then arrive at a consensus
score. TPG alleges that these consensus scores were arbitrarily applied to
unjustifiably reduce TPG’s scores. Additionally, PPI maintained control over
the evaluation record and at some point changes were made to the evaluation
record that resulted in lower scores for TPG.
[66]
After a
two-and-a-half day hearing and a review of the record, I have come to the
conclusion that there is no genuine issue for trial. TPG has been unable to
convince me that there is any factual basis for their claims – that there is
either evidence already in existence or that will be adduced at the trial that
will support their theory of the case. The evidence is speculative at best,
and proceeding to trial will only allow TPG to engage in a further fishing
expedition at PWGSC’s expense. As argued by the Crown, TPG’s action seems to
stem from the belief that as the incumbent contractor, no one else was more
capable of delivering the services required, and that the consensus scoring
model should have produced the average or median score of the five evaluators’
individual scores – any mathematical aberration has been taken as a sign of
wrong-doing, albeit non-specified wrong-doing.
(1) Breach of Contract
[67]
TPG
submits that in accordance with the law of tendering, a legally enforceable
contract was formed between itself and the Crown when it submitted a compliant
response to the RFP. TPG takes the position that some provisions of this
contract (Contract A) survived the award of the ETS contract to CGI. TPG’s
action seeks damages arising from the breach of Contract A, in so far as the
Crown failed to treat all bidders fairly and equally.
[68]
TPG
alleges that the Crown had a bias in favour of CGI and against TPG as evidenced
through the application of scoring metrics not disclosed in the RFP, and
applied inconsistently by the evaluation team. TPG argues that the evaluation
of the bids was conducted in an unfair manner and that CGI’s proposal was
accepted even though it was non-compliant with the RFP and therefore not
eligible for acceptance. Additionally, TPG argues that in accordance with the
ETS RFP, the Crown would have been required to terminate the new ETS contract
with CGI when it became clear that CGI was unable to deliver the required
resources in time. The Crown did not terminate the new ETS contract, and so
breached its duty of good faith to TPG.
[69]
Ultimately,
on this motion TPG submits that the interpretation of Contract A, coupled with
an assessment of the intentions of the contracting parties, and the course of
conduct over time are genuine issues for trial best left to the trier of fact.
[70]
The Crown
takes the position that the procurement process was conducted fairly and
transparently. The Crown argues that TPG has provided no evidence to support
the allegations of wrongdoing that TPG has levied against employees of PWGSC.
The Crown cites jurisprudence holding that relying on such bald allegations
without any supporting evidence is reprehensible and an abuse of process (Grinshpun
v Canada, 2001 FCT 1252, 110 ACWS (3d)
260 at para 21). The Crown submits that TPG has failed to put its best foot
forward with regards to a theory of the case.
[71]
The Crown
also argues that the Crown’s obligations to TPG under Contract A did not
survive the creation of Contract B with CGI. As TPG is not privy to Contract
B, it cannot ground a claim for damages in the Crown’s failure to enforce
certain RFP requirements following the award of a contract to which it was not a
party. The Crown submits that in any case, CGI did adhere to the terms of
Contract B, and as a result, TPG has failed to raise a genuine issue that
requires a trial.
[72]
At this
point it is helpful to give a more thorough description of the evaluation process.
The technical evaluation was undertaken by five evaluators, Jim Bezanson,
Don Bartlett, Louis Boudreault, Paul Swimmings and Vikas Verma and
transpired in two distinct phases. First each evaluator individually evaluated
and scored each item. In the second phase, they then came together at a
consensus meeting, led by Mr. Tibbo, to discuss their individual scores and agree
on a final consensus score.
[73]
Mr. Tibbo
explains in his affidavit that he was retained to help draft the RFP and
facilitate the technical evaluation, and was directed in this respect by Mr.
Mark Henderson and Mr. Pierre Demers of PWGSC. Mr. Tibbo had no involvement in
the financial evaluation or the combined technical and financial scoring.
[74]
When the
consensus phase was completed, the pre-set weights were applied to the scores
and the results were added to reach the final score for each bidder. The
consensus phase took place between September 22 and September 27, 2006. During
the meetings, Mr. Tibbo was assisted by Ms. Mairi Curran, who entered
individual scores into the PPI computer. The computer was connected to a
projector which displayed the monitor on a screen for all of the evaluators to
see. If all five evaluators entered the same score, that would be recorded as
the consensus score. When the scores were different, a moderated discussion
ensued. Mr. Tibbo recorded the consensus scores in a paper back-up referred to
as the Master Evaluation Binder. The evaluators would then record the
consensus score in their individual binders.
[75]
Although
PPI would normally print out a copy of the report on site for the evaluators
sign-off, Mr. Tibbo explained that they did not have access to a printer at
that facility where the technical evaluation took place. Consequently,
Mr. Tibbo printed off copies of the report on October 2, 2006 and provided them
to Mr. Hamid Mohammad, Contracting Authority for PWGSC. On
October 3, 2006 Mr. Tibbo e-mailed Mr. Mohammad a summary
spreadsheet. The data had been manually entered into the spreadsheet. On
October 12, 2006 the final results spreadsheet was provided – this was
extracted directly from the ERGOV software onto the spreadsheet.
[76]
Mr. Tibbo
admits that there was an error in the spreadsheet that he manually compiled on
October 2, 2006. What he initially thought was a rounding error turned out to
be a transposition error. This error, however, had no effect on the final
technical result. Additionally, the final October 12 spreadsheet did not
contain any human errors.
[77]
A meeting
was held on October 27, 2006 to address the concerns of Mr. Mohammad.
Substantiating comments were provided for some consensus scores as a result,
but no scores were changed. The evaluators then signed off on each bid. Mr.
Tibbo swears in his affidavit that at no time prior during or after was he
approached by or influenced by anyone seeking to secure a particular outcome,
nor did he witness any such activity. Similarly, Mr. Bartlett provided an
affidavit testifying to the fairness and transparency of the evaluation process.
[78]
In my
view, TPG has failed to provide any evidence that supports their theory that
there was some kind of wrong-doing on the part of the PWGSC either during the
evaluation process or following contract award. TPG’s theory seems to largely
rest on the claim that PWGSC was biased against TPG and that the technical
evaluation scores were changed at some point. TPG cannot explain where the
alleged bias came from or how it was manifested, nor can TPG explain who
changed the marks, or when and how they were changed. The theory that they
were indeed changed is based on the fact that the “official” technical scores
differed from allegedly rumoured and expected scores.
[79]
During his
examination for discovery, Mr. Powell admitted that he had no concerns with the
honesty and integrity of any of the five evaluators, but was concerned that
there was some kind of re-evaluation after the evaluators submitted their
scores, resulting in arbitrarily lowered scores for TPG. Mr. Powell surmises
that Mr. Tibbo changed the scores since he controlled the scores at the time
they must have been changed (see tab 3 of the Relevant Portions of the
Examination of Donald Powell) and that he was likely directed to change
the scores by PWGSC officials. Mr. Powell was unable to elaborate on who
might have directed Mr. Tibbo to change the scores, answering question 419 on
examination for discovery, “I imagine he was directed, but I don’t know who
directed him, I don’t know, you know, I’m not the FBI, I can’t find out who
told him to do it.” (Applicant’s Motion Record, pg 2107). The questioning
continued:
Q: And how do you know, sir, what
basis do you allege that, in fact, the scores were changed by anybody?
A: Because the scores are simply
impossible to believe, for starters. And they don’t make sense on certain wise
and the bias against our score was obvious.
Q: Is it not possible, sir, that
the original five evaluators came to what you’ve described as the impossible
results and that Mr. Tibeault [sic] had nothing to do with it?
A: No, it’s not possible. Jim
Bezanson told us what the scores were like, and he was really in charge of the
evaluation team. He had no idea what the new scores were like, not a clue. He
knew what the old scores were like, the real scores.
[80]
Mr. Powell
and Mr. Stanley Estabrooks, Infrastructure Manager at TPG, refer to Jim Bezanson
as the ETS RFP Evaluation team leader throughout their affidavits. The Crown
clarified at the hearing that Jim Bezanson was in fact, just a member of the
five-person evaluation team. Mr. Bezanson left PWGCS after receiving a job
offer at Canada Post in mid-November 2006, after the evaluation had been
completed. The above exchange refers to a telephone conversation that Mr.
Estabrooks initiated with Mr. Bezanson in March 2007, during which Mr. Bezanson
allegedly expressed surprise that CGI was rumoured to have received a much
higher technical score, as he was under the impression that the results of the
technical evaluation were, “very close” (see Estabrooks affidavit at para
22). Mr. Estabrooks conceded on cross-examination that he did not know what
Mr. Bezanson meant by “very close” (Applicant’s Motion Record, Vol 7, pg
1975). Mr. Estabrooks nonetheless relayed the contents of this
conversation to Mr. Powell who concluded as a result, that the technical scores
had been changed without Mr. Bezanson’s knowledge or participation and that
litigation was necessary to determine exactly how the “official” technical
scores had been derived, and how they had been changed without Mr. Bezanson’s
knowledge.
[81]
I am not
satisfied that TPG is able to provide any evidence beyond mere speculation and
conjecture to suggest that a trial is warranted to further flesh out this
allegation. The theory that the scores changed is based on vague, second-hand
information extracted in the course of a personal phone call interpreted with
the most conspiratorial gloss. I am sure that TPG was disappointed with the
results, and this disappointment has largely fuelled this litigation.
[82]
Mr. Powell
was asked in several iterations during discovery if he had any evidence to
support the allegation that the consensus scores were changed after the
consensus meetings. Reading the discovery transcript presents nothing beyond
the bald accusation that Mr. Tibbo must have changed the scores sometime after
September 27, 2006, because in Mr. Powell’s opinion they are not “close” as
described by Mr. Bezanson in passing to Mr. Estabrooks, (see Relevant Portions
of the Discovery of Donald Powell Tab 11), they are “absurd”, “inherently
wrong” and “unreasonably low” when compared with the individual evaluators’
scores, and Mr. Tibbo had the time and opportunity.
[83]
However,
in the record, there is nothing to lead to the conclusion that the marks were
changed. On the cross-examination of Mr. Powell’s affidavit, Mr. Powell admits
that he can’t prove what happened at the moment, but he will require witness
testimony to establish the mechanics of the score change at trial (see Applicants
Motion Record, Vol 7, Tab 15, Q’s 90-92). Mr. Powell similarly responds to
several queries, stating that he needs a trial to establish what happened (see
Q’s 101, 128, 142, 149, 151). A typical exchange is found starting at question
169 (Applicant’s Motion Record, Vol 7, tab 15, pg 1894):
Q: You have sworn in your
Affidavit – what I am entitled to know, sir, then is this: You have sworn
already in your previous discovery that the Plaintiff allegations are as
against what Mr. Tibbo allegedly did when the evaluation was completed, and you
swore to that back in March 2009. Now that was an accurate statement, wasn’t
it?
A: It is certainly my belief that
that is what happened. I think when we get to trial, we will get more details,
but yes.
Q: At this point then you have no
information or no knowledge of anything else that may have occurred that caused
the scores to allegedly change?
A: I didn’t understand the
question I would have to say. Are you asking about mechanics again or the
results.
Q: Both
A: Well, the results are very
strange what Mr. Bezanson told us, and if you analyze individual scores
compared to these consensus scores they are extremely inconsistent, but the
mechanics of all the details of what was done to produce these documents we
don’t know. We will find out when we go to trial
[84]
The Crown
later calls Mr. Powell on the quality of his allegations saying, at question
182 (pg 1899):
Q: All of the factors appear to
have the same quality to them, which is just a broad allegation with no basis
whatsoever.
To which Mr. Powell replies,
A: Why don’t we go to trial to
find out
[85]
Mr. Powell
also takes the position that the Master Evaluation Record may not be, in fact,
the actual Master Evaluation Record, because the Evaluators only signed off on
the cover pages for each bid after the October 27, 2007 meeting. Because they
did not initial each page, he doubts the veracity of the contents of the
Record. Moreover, TPG argued at the hearing that one of the evaluators, Don
Bartlett, who swore in an affidavit that the evaluation was fair and uninfluenced,
could not recall signing the Master Evaluation Record. Absent other supporting
evidence, it is not reasonable to infer that signatures on the cover-sheet
only, mean that the attached documents were changed. And although Mr. Bartlett
did not recall reviewing the attachment, he did, “remember being together with
the team to sign these off but it is four years ago and I can’t say much more
than that” (See Applicant’s Motion Record, pg 1698).
[86]
Mr.
Powell’s allegations are not only limited to the evaluation and transition
process. During his cross-examination Mr. Powell questions the authenticity of
the scores that were identified by the Crown as Mr. Bezanson’s. This
score-sheet allegedly calls into question the fairness of the process as it
appears that Mr. Bezanson only evaluated the first 100 metrics submitted by TPG
in relation to item 3.3.3, while evaluating more than 100 metrics for CGI
(see Powell affidavit at para 125). It was later clarified at a consensus
meeting that the evaluators should have considered all proposed metrics, and a
consensus score was accordingly agreed upon (see cross-examination of Mr.
Bartlett, Applicant’s Motion Record, Vol 7, pg 1684). When cross-examined on
his affidavit, Mr. Powell’s nascent theory begins to spin out of control when
he begins to question whether Mr. Bezanson’s score sheet is actually Mr.
Bezanson’s score sheet in response to questions concerning the allegation he
makes in his affidavit, starting at question 217 (Applicant’s Motion Record,
Vol 7, pg1907):
Q: Okay, then how do you know that
the documents you are referring to, which are the documents that show an unfair
evaluation, can be connected to Mr. Bezanson?
A: Well the Crown provided them
as Mr. Bezanson’s documents.
Q: So are you suggesting that the
numbers that may be written on a piece of paper provided by the Crown, and the
Crown said that Mr. Bezanson’s numbers are in fact not Mr. Bezanson’s numbers?
[…]
A: No, I just said this is what
the documents show. I don’t know who created them. The Crown gave them to us
as Mr. Bezanson’s scores.
Q: And you are doubting that those
are in fact Mr. Bezanson’s scores.
A: I would want to see proof by
questioning all these people. That’s all we are asking for. Let’s go to trial
and find out.
Q: Say it again.
A: Let’s go to trial and find out
what happened.
[87]
The
appropriateness and effectiveness of consensus method itself, specifically
chosen by PWGSC in an effort to produce the fairest result by ensuring that
evaluators are using a consistent understanding of the requirements, is
questioned by TPG. During the hearing, counsel for TPG advanced the argument
that PWGSC intentionally selected the consensus model, the most subjective
model in their view, as a way to allow personal bias and preferences to infiltrate
the process. The bias was one against “body shops” – TPG maintaining that Mr.
Tibbo might have had a prejudice against small companies and “body shops” as
Mr. Howard Grant, president of PPI was quoted in an industry publication in
2009, as speaking disparagingly of “body shops.”
[88]
However,
on cross-examination Mr. Tibbo could not recall ever having heard the term
“body shop” used in the context of the ETS evaluation, but instead maintained
that there were discussions regarding PWGSC decision to move from a per diem to
a managed services model contract (For instance, see cross-examination of Mr.
Tibbo, Applicant’s Motion Record, pg 1748, Q 185. When asked if PWGSC
thought that TPG promoted a “body shop” approach, Mr. Tibbo answered, “I
remember our discussion was talking about what they were trying to accomplish
moving from per diem to service management based contract. I know other people
have used the word “body shop”. That is a colloquial term and I would not use
that as part of my answer. I know the objective of the project was to move
from a per diem based contract to a managed services contract.) As such, I can
find no evidentiary support for Mr. Powell’s claim at para 52 of his affidavit:
PWGSC arbitrarily, and without
justification, held the view that only CGI was capable of providing ETS
services as a “managed service”, and that neither TPG nor IBM was capable of
providing ETC services on the basis of a managed service.
[89]
Mr. Powell
has provided the expert reports of Mr. Jim Over and Mr. Tom McIlwham, which
both state that, in their opinion, a number of low scores awarded to TPG do not
have a legitimate technical basis. I understand that the Crown has already
been unsuccessful in seeking to have these expert reports struck. However,
they do not go very far to provide TPG with a necessary evidentiary foundation
to support TPG’s claims. These reports are of low probative value on this
motion, as they do not support TPG’s theory of the case.
[90]
The report
of Mr. Over, an evaluator of the 1999 ETS contract, suggests that the
evaluators changed the test for relevancy at the consensus stage. Mr. Over’s
conclusion is that the results of the technical evaluation are unfair. The
Crown tried to clarify the connection between Mr. Over’s report and Mr. Powell’s
allegation during the cross-examination of Mr. Powell’s affidavit. Beginning
at Q 138 (see Applicant’s Motion Record, pg 1886)
Q: What I will put to your, sir,
is, based upon your evidence, the Affidavit, and the expert’s report of Mr.
Over, has no connection to what your evidence is –
A: Of course, it does.
Q: -- which is that marks were
changed after the evaluation process, including the consensus evaluation, was
concluded?
A: What? I don’t know what you
are talking about honestly. Jim was asked to look was the result fair or not,
and he said it wasn’t. We didn’t ask him how did they make it unfair. We
didn’t ask him that at all. He wouldn’t know who Bob Tibbo was. We didn’t ask
him to look at any of that stuff and he didn’t.
Q: You did not ask how they made
it unfair?
A: No.
Q: How can you say that? We have
just pointed out on page 16 of Mr. Over’s report that how they made it unfair,
allegedly, according to Mr. Over, was that they changed the test for how
relevancy is applied?
A: Who is they? We don’t know
who they is. Mr. Over certainly doesn’t know who they is. We didn’t know who
they is. We didn’t ask him who they was.
Q: They would be the technical
evaluators, isn’t that correct?
A: How do we know that? That’s
why we need a trial to find out.
[91]
The
details of TPG’s allegations are confusing and inconsistent. TPG insistently
and repeatedly alleges that an elaborate plan was carried out to oust TPG and
enter CGI, but provides no workable details to explain why there was a plan,
the details of the plan, and how it was carried out beyond bold assertions that
are just not reasonably supported by any available evidence.
[92]
TPG has
also alleged that the Crown breached Contract A by changing the transition
terms of the RFP. Mr. Powell claims that CGI requested amendments to the ETS
contract immediately after contract award, the first amendment being issued on
December 12, 2007. Based on Mr. Powell’s experience, he does not believe
that there is a legitimate technical reason for issuing a contract
amendment so soon after contract award. However, once again, on examination
Mr. Powell admits that he has no direct knowledge regarding the transition
plan and his allegations were originally based on a document that may or may
not have been the approved transition plan (Relevant Portions of the
examination of Donald Powell, Tab 27, Q 1610). Mr. Powell essentially admits
that he does not know what is in the approved transition plan, so, as argued by
the Crown, the allegation that PWGSC has violated the transition plan become
baseless. Mr. Pierre Demers, Manager of Contracts Management and
Administrative Services for PWGSC at the material time, has sworn a very
detailed affidavit describing what CGI did and how CGI complied with the
transition plan.
[93]
According
to Mr. Demers, CGI submitted a proposed transition plan as required, on
November 14, 2007 within 10 working days of contract award. PWGSC determined
that revisions were needed. CGI had questions about the proposed changes, and
discussions ensued. On November 28, 2007 CGI submitted a further revised
transition plan. This plan was accepted by the Project Authority on November
28, 2007 in accordance with the timeline set out in the RFP. The transition
plan provided CGI with 60 working days within which to have all functions
ready. The contract allowed for up to three 15 day extensions. CGI requested
and received two 15 day extensions. According to Mr. Demers, CGI successfully
completed the transition phase on March 26, 2008 as required under the
contract.
[94]
Although
it appears that TPG may have wished to frustrate the transition by
contractually inhibiting its resources from being available to CGI, as a
question of fact, there is no evidence to support TPG’s theory that the Crown
breached its duty of good faith. As a question of law, I agree with the Crown,
that the Supreme Court has definitively stated that obligations under Contract
A do not outlive the award of Contract B. At para 71 of Double N
Earthmovers Ltd v Edmonton (City), 2007 SCC 3, [2007] 1 SCR
116, the Supreme Court concluded:
[71] […] Where an owner undertakes a
fair evaluation and enters into Contract B on the terms set out in the tender
documents, Contract A is fully performed. Thus, any obligations on the part of
the owner to unsuccessful bidders have been fully discharged. […]
[95]
I agree
with the Crown, that Mr. Powell has made wide-sweeping allegations that he is
unable to reasonably support. A court trial is not the appropriate forum for
working out a theory based purely on speculation, conjecture and bald
accusations. It is equally inappropriate to argue that the court’s time is not
wasted because evidence may appear after others are forced to participate in
this exercise via subpoena. TPG has not put its best foot forward in
formulating a theory of the case and simply relies on bare allegations. I find
that TPG’s claim that PWGSC breached Contract A to be so doubtful that it does
not deserve consideration at a future trial.
(2) Claims in Tort
[96]
TPG
advances several claims in tort, including, inducement to breach of contract,
interference with economic interests and negligence. The Crown submits as a
preliminary point that all of these torts require TPG to establish that it
suffered economic loss, and that TPG has failed to do so. TPG has not provided
any evidence that it was unable to bid on other requests for proposals, or that
it failed to win other contracts as a result of some of the contractors
choosing not to abide by the teaming agreements and accepting employment with
CGI. The Crown argues that in addition to this failure, TPG has also not
provided credible evidence as to the remaining elements of the tort claims.
(a) Inducing Breach
of Contract
[97]
In order
to establish a claim for the tort of inducing breach of contract, TPG must
show:
1) There
existed a valid and enforceable contract between TPG and its various
subcontractors;
2) The Crown was aware
of the existence of these contracts;
3) The
Crown wrongfully and without justification interfered with these contracts
procuring a breach; and
4) TPG suffered
damages.
[98]
The Crown
takes the position that TPG meets none of these criteria, while TPG argues that
the evidence establishes each element of the tort.
[99]
The Crown
firstly takes issues with the teaming agreements characterizing them as prima
facie unenforceable as a restraint of trade and employment, contrary to
public policy. In the Crown’s view, the agreements were designed and intended
to make it difficult if not impossible for the employees who signed them to
continue to work in the ETS contract if another bidder was successful. The
Supreme Court has held that contracts which, due to an imbalance in bargaining
power, “may lead to oppression and a denial of the right of the employee to
exploit, following termination of employment, in the public interest and in his
own interest, knowledge and skills obtained during employment,” are
unenforceable (J.G. Collins Insurance Agencies Ltd v Elsley Estate,
[1978] 2 S.C.R. 916, 83 DLR (3d) 1).
[100]
Furthermore,
the Crown denies that the Crown interfered with these contracts. The issue of
staffing the ETS contract with persons who formerly worked for TPG was between
TPG, CGI and the individual subcontractors. The Crown maintains that it had no
legal obligation to prevent CGI from recruiting resources from TPG.
[101]
TPG
disputes the Crown’s characterization of the teaming agreements and asserts
that the agreements were limited to a specific contract and to a specific
relevant time period, and that they were therefore reasonable and necessary.
TPG adds that there is no evidence that the parties to the agreements felt they
were oppressive or unreasonable.
[102]
Without
feeling the need to comment on the enforceability of the teaming agreements, I
find that, once again, TPG has failed to establish that there is a genuine
issue for trial. TPG claims that the Crown provided CGI with lists of TPG’s
incumbent resources they wished CGI to retain, and although the Crown was aware
of the teaming agreements, it made no effort to ensure that CGI did not hire
TPG subcontractors. TPG argues that a trial is needed to assess the Crown’s
knowledge and intent. I disagree. Although TPG submits that a Court needs to
weigh and assess the evidence of both parties, I find that TPG has failed to
produce any evidence beyond bald allegations that the Crown interfered with
TPG’s teaming agreements.
[103]
PWGSC was
aware of the teaming agreements, but ITSB managers were specifically instructed
not to discuss details regarding TPG subcontractors. When PWGSC became aware
that CGI was contacting TPG resources, they were advised not to contact
incumbent resources using the government electronic directory or during working
hours (Demers affidavit at para 42). On November 23, 2007 TPG sent a letter to
PWGSC attaching a list of resources that were not eligible to work on the new
ETS contract. According to Mr. Demers, only six of the 133 proposed resources
submitted by CGI as part of their transition plan matched names on TPG’s list.
Of the six, four had not signed teaming agreements, one had an agreement
which expired on December 31, 2007 and only one had an agreement that
extended to February 28, 2008 (see Demers affidavit para 49).
[104]
There is
no basis for Mr. Powell’s assertion that, “the Defendant contacted, and facilitated
CGI’s contacting, the various individuals under contract with TPG to enter into
an arrangement with CGI resulting in the existing resources continuing to do
work while removing TPG as a contractor.” (Powell affidavit at para 603).
Based on the record, it seems that several TPG sub-contractors attempted to
abide by their teaming agreements, or asked Mr. Powell to waive the terms of
the agreement before eventually “capitulating” and going to work with CGI (see
cross-examination of Mr. Powell, Applicant’s Record, pg 2530). Mr. Powell
wanted CGI to negotiate directly with TPG for the use of TPG’s incumbent
resources. CGI refused, so Mr. Powell refused to waive the non-compete
agreements since CGI was “behaving in such an outrageous way,” (Examination of
Mr. Powell, Applicant’s Motion Record, pg 2529). But Mr. Powell provides
no evidence of the Crown persuading TPG subcontractors to breach their
contracts.
[105]
Two TPG
subcontractors, privy to teaming agreements, swore affidavits on TPG’s behalf
for this motion. Valerie Bright met with PWGSC employees on the last day of
her TPG contract. They “pointed out that I no longer had a job and asked what
I was going to do. I took this as an effort on their part to encourage me to
contact CGI.” (Bright affidavit at para 9). Ms. Bright later became employed
by CGI when they created a position that had not previously existed under the
former ETS contract. She believed that this would allow her to work for CGI
without breaching the terms of the teaming agreement.
[106]
The other
affidavit was provided by Brian Fleming. He found out in November 2007 that
his resume had been submitted by CGI as a resource when his PWGSC manager asked
if he had consented to its use. He expressed to his manager his feeling that
this was extremely inappropriate as it was without his consent. His manager
indicated that he would mention this issue to Ms. Rita Jain, the
PWGSC Transition Manager. Mr. Fleming was later informed by his manager that
Ms. Jain told him that the submission of his resume had been in error.
[107]
I do not
find that this is evidence of any kind of unlawful interference on behalf of
PWGSC, such that they encouraged TPG subcontractors to breach their teaming
agreements. On cross-examination, both Ms. Bright and Mr. Fleming asserted
that they would not breach agreements with TPG notwithstanding encouragement
from PWGSC or CGI.
[108]
At this
point in time, Mr. Powell is unable to provide a list of TPG subcontractors who
breached their teaming agreements, nor can he provide names of Crown employees
who persuaded the unidentified TPG incumbents to breach their teaming
agreements. Mr. Powell claims that once he has a list of employees he will ask
them who cajoled them (see Examination of Mr. Powell, Applicant’s Motion Record,
pg 2536). I do not find that there is a sufficient evidentiary basis for TPG’s
claims such to warrant a full trial.
(b) Unlawful
Interference with Economic Relations
[109] The tort of unlawful
interference requires that a plaintiff prove:
[…]
1) An intention to
injure the plaintiff;
2) Interference with
another’s method of gaining his or her living or business by illegal or
unlawful means; and
3) A resulting
economic loss.
(Drouillard v Cogeco Cable Inc,
2007 ONCA 322, 86 OR (3d) 431 at para 14)
[110]
The Crown
submits that there is no evidence on the record as to any of the three elements
of this tort and consequently, this issue does not merit a full trial.
[111]
TPG,
however, maintains that the Crown decided in advance of issuing the RFP that
CGI was the most suitable candidate and set out to ensure that CGI was awarded
the contract. Moreover, the Crown, in TPG’s telling of events, set about to
ensure that it kept TPG’s incumbent resources, by having those resources
contract with CGI. TPG argues that this establishes intent. The interference
element is shown by the evidence that the Crown encouraged TPG incumbents to
contact CGI and provided them with CGI business cards. As a result, TPG lost
the contract which represented 70% of TPG’s revenue, which TPG describes as a
significant and devastating economic loss to TPG.
[112]
The
question that needs to be answered in the context of this motion for summary
judgment is whether TPG will be able to prove at trial, the elements of this
tort. TPG’s evidence in this regard is purely speculative and theoretical.
More importantly, it is squarely contradicted by the Crown. There is no
genuine issue for trial.
(c) Conflict of
Interest
[113]
TPG
asserts that there was a conflict of interest or the appearance of a conflict
of interest with respect to Mr. Jirka Danek, who was the Director General of
Products and Services with ITSB at the time of bid evaluation and contract
award. Prior to being hired at PWGSC, Mr. Danek was the Chief Executive
Officer of Avalon Works, a competitor of TPG. TPG claims that PWGSC’s
preference for CGI may have emanated from Mr. Danek, as he had a longstanding
relationship with CGI.
[114]
The Crown
takes the position that TPG has failed to provide any evidence that Mr. Danek
was in any way involved with the evaluation of ETS tenders, or that he ever
communicated with any of the persons involved in the ETS evaluation.
[115]
I find
that this allegation, that there was an appearance of a conflict of interest,
does not warrant a trial as there is no evidence in the record to support it.
During the examination of Mr. Powell, he conceded that Mr. Danek left CGI
in 1991. Furthermore, Avalon Works was a subcontractor to TPG on the first ETS
contractor, so not a direct competitor. More importantly, Mr. Danek swore
an affidavit in 2007, as part of the judicial review of the CITT decision, that
his sector had no involvement in the procurement process, and that he had no
interest in what was going to happen to Avalon Works (see cross-examination of
Mr. Danek, Respondent’s Motion Record Vol 8, pg 2647). Mr. Powell
conceded on examination that Mr. Danek was not directly involved, and he did
not know what his involvement was (examination of Mr. Powell, Applicant’s
Motion Record, pg 2235).
[116]
There is
no corroboration for TPG’s allegations, and as such, no genuine issue for
trial.
(d) Negligence
[117]
To
establish a claim for negligence, the plaintiff must prove that:
1) the defendant owed
him a duty of care;
2) the defendant
breached the applicable standard of care; and
3) the plaintiff must
have suffered some compensable injury as a result of this breach.
[118]
Like with
the other tort claims, the Crown takes the position that TPG has failed to
establish the elements of this tort. The Crown argues that TPG cannot show
that any breaches of the teaming agreements would not have happened but for the
actions of the Crown, or that any damages arose because of the actions of the
Crown. Further, the Crown submits, if any damages were suffered, they would be
too remote to be compensated.
[119]
TPG
maintains that the Crown is under a prima facie duty to treat all
bidders fairly, and that the Crown breached this duty by unfairly evaluating,
awarding and improperly allowing the transition of the ETS contract to CGI.
TPG again claims the loss of the contract and the consequent loss of income as
the damage.
[120]
In my
opinion, TPG has failed to show any evidence of wrong-doing on the part of the
Crown. Mr. Powell’s allegations are speculative, and he is unable to posit a
workable case theory.
III. Conclusion
[121]
Although I
find that the Court would have jurisdiction to hear this action, I am not
convinced that there is a genuine issue for trial. TPG has failed to provide
credible evidence such that the elements for any of the claims of actions it
seeks to try would be established. The Crown quite rightly cited Havana
House Cigar & Tobacco Merchants Ltd v Naeini (c.o.b. Pacific Tobacco, Pacific
Region), 147 FTR 189, 80 CPR (3d) 132 at para 16 where this Court has held
that:
[16] […] an action is not a
speculative exercise, to be launched, in whole or in part, where it is clear
that the onus of proof rests upon the plaintiff and yet the plaintiff has no
evidence or foundations of fact on which to support its claims. […]
[122]
Although
TPG has ably attempted to argue that the evidence filed presents discrepancies,
conflicting testimony and issues of credibility that are best left for a trier
of fact, I cannot agree with this characterization. TPG has essentially
reversed the onus of proof and asks the Crown to come to court to disprove Mr.
Powell’s claims and allegations which are largely baseless. Having given the
evidence a hard look, I do not think it requires or deserves assessment and
weighing by a trier of fact. I am satisfied that the ten-week trial TPG claims
is necessary to discover what actually happened in the fall of 2007 should not
take up the time of the Court or incur the costs of a trial. Accordingly, I
will grant this motion for summary judgment in its entirety and costs are
awarded to the Crown.
[123]
The
Crown’s request to have the Court find some of TPG’s allegations to be an abuse
of process has been considered, but given the outcome, I find it unnecessary to
further address this issue.
ORDER
THIS COURT ORDERS that this motion for summary
judgment is granted and costs are awarded to the Crown.
“ D.
G. Near ”