Docket: IMM-2621-13
Citation:
2014 FC 596
Ottawa, Ontario, June 23, 2014
PRESENT: The
Honourable Madam Justice Gleason
BETWEEN:
|
BAOXIAN JIA
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Applicant
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and
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THE MINISTER OF CITIZENSHIP AND IMMIGRATION
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Respondent
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REASONS FOR JUDGMENT AND JUDGMENT
[1]
Mr. Jia is from China and wants to immigrate to Canada. In December of 2009, he made an application to the Canadian visa post in Hong Kong,
seeking admission to Canada as a member of the investor class, a class of
economic immigrants provided for in section 90 of the Immigration and
Refugee Protection Regulations, SOR/2002-227 [the Regulations]. His
application has not been processed due to the large number of similar
applications from other would-be investor class immigrants and also, possibly,
as a result of certain changes to the way in which Citizenship and Immigration
Canada [CIC] processed applications under the federal immigrant investor
program [IIP]. These changes resulted in applications like that of Mr. Jia
being slowed down in the processing queue because the respondent, the Minister
of Citizenship and Immigration [the Minister or the respondent], adopted
amended processing criteria, which provided for the concurrent processing of
older applications – like Mr. Jia’s – at the same time as newer applications
filed under amended and more demanding criteria.
[2]
Mr. Jia argues that if the Minister had not
changed the processing priorities or had not set the quota for applications at
artificially low levels, his application would have been granted by now and he
would have been landed as a member of the investor class. He therefore
commenced this Application for Judicial Review, seeking an order in the nature
of mandamus to direct the respondent to process his IIP application.
[3]
Mr. Jia’s visa application, and those of
thousands of others who have applied under the IIP, were just abolished by the
newly enacted section 87.5 of the Immigration and Refugee Protection Act,
SC 2001, c 27 [the Act or IRPA], which came into force late last week, and which
operates to terminate all visa applications by foreign nationals under the
investor or entrepreneur classes that had not met certain requirements as of
February 11, 2014.
[4]
In this Application for Leave and Judicial
Review, Mr. Jia originally sought an order in the nature of mandamus,
requiring the Minister to process his application under the IIP within the
following twelve months. He maintains his request for mandamus, but now,
in light of section 87.5 of the IRPA, seeks a mandamus order to require
the Minister to process his visa application irrespective of the enactment of that
section.
[5]
At the time Mr. Jia was granted leave to
commence this Application for Judicial Review, there were 94 other virtually
identical Applications filed by Mr. Leahy on behalf of other similarly-situated
applicants who had made applications under the IIP. In their Applications for
Leave and Judicial Review to this Court, these 94 other applicants also sought
orders in the nature of mandamus to compel the processing of their visa
applications. By the Order dated March 7, 2014, my colleague, Justice
Mactavish, granted leave in all 95 Applications and consolidated them for
hearing with Mr. Jia’s Application. A list of the other 94 files which were so
consolidated, and to which these Reasons apply, is attached as Appendix “A” to
these Reasons.
[6]
The vast majority of the 95 applicants in these
files, like Mr. Jia, made their IIP applications to the visa post in Hong Kong. They made these applications on various dates between August 27, 2008 and June
28, 2010, and their applications have not been processed for the same reasons
as in Mr. Jia’s case.
[7]
In addition to the Hong Kong applicants, the
consolidated Applications also include seven Applications made by individuals
whose IIP applications were sent from Damascus to the Ankara visa post for
processing, a single application made at the visa post in New Delhi, another
made in Pretoria, South Africa and a final application from Islamabad that was
sent to the visa post in London, U.K. for processing. These applications were
made over the period from October 29, 2007 to June 27, 2010 and have likewise not
been finally ruled upon.
[8]
In addition to these 95 files, the Court now has
pending before it over a thousand other Applications for Leave and Judicial
Review filed by Mr. Leahy on behalf of other IIP applicants in which they also
seek orders in the nature of mandamus to require the Minister to process
their visa applications in spite of the section 87.5 of the IRPA. By Order of
Justice Mactavish dated April 30, 2014, these Reasons apply mutatis mutandis
(that is, with the necessary modifications) to each of these additional
Applications.
[9]
During pre-hearing procedures, the parties
agreed that these 95 consolidated files would be determined based on the
evidence filed in five lead files, one from each of the implicated visa posts,
as there is no meaningful difference between the files from each post. The lead
files agreed to are:
- Jia v Canada (Minister of Citizenship and Immigration), IMM-2621-13 for Hong Kong;
- Bansal v Canada (Minister of Citizenship and Immigration), IMM-2503-13 for New Delhi;
- Gholampour v Canada (Minister of Citizenship and Immigration), IMM-2508-13 for London;
- Nasseri
Karimi Vand v Canada (Minister of Citizenship and Immigration), IMM-2510-13 for Ankara; and
- Stopforth v Canada (Minister of Citizenship and Immigration), IMM-3892-13 for Pretoria.
[10]
After all the evidence was filed and only two
weeks before the scheduled hearing date, the applicants served a Notice of
Constitutional Question, in which they gave notice that they intended to argue
that the Minister’s alleged delay in processing their applications violated
their rights under sections 7 and 15 of the Canadian Charter of
Rights and Freedoms, Part I of the Constitution Act, 1982, being
Schedule B to the Canada Act 1982 (UK), 1982, c 11 [the Charter]
(or other more broadly cast claims to equality) and that the alleged “disproportionate favouring of Quebec applications”
violated what the applicants term “the federalism principle”.
[11]
Although the respondent objected to the late
service of the Notice, it made relatively detailed representations on the
constitutional issues in both its Further Memorandum of Argument and during
oral submissions. I have decided that it is appropriate to rule on the
constitutional issues, despite the late-service of the Notice, to bring closure
to these matters. Thus, the issues that require determination are as follows:
- Should an order in the nature of mandamus be granted in
any of the files;
- Have the applicants’ Charter rights been breached;
- Has the respondent otherwise breached the Constitution in its
handling of these applications; and
- Should any question be certified under section 74 of the IRPA
to provide for the possibility of appeal to the Court of Appeal in these
files?
[12]
For the reasons set out below, I have determined
that the applicants are not entitled to an order in the nature of mandamus
as they have not established that the Minister has breached any duty owed to
them because there has not been an unreasonable delay in processing their
applications in the circumstances. Moreover, even if this were not so, it
nonetheless would be inappropriate to grant them the remedy they seek because
it would be inequitable to do so. Nor has the respondent breached any
legitimate expectations the applicants might have had regarding how or when
their visa applications would be processed. Thus, the applicants are not
entitled to relief in the nature of mandamus.
[13]
I have also concluded that, even if the
applicants possess rights under the Charter (which they may well not),
no rights under either sections 7 or 15 of the Charter have been
violated by the respondent in these matters. I have further determined that the
amorphous claims advanced as part of the alleged requirements of federalism or
as part of the rule of law are without merit. I have thus concluded that these
applications will be dismissed.
[14]
Finally, in light of the high degree of
agreement between the parties on the issue of certification, and the fact that
comparable questions to those suggested by the parties have recently been
certified by two of my colleagues in very similar matters, I have decided it
appropriate to certify two questions under section 74 of the IRPA.
[15]
Prior to analysing these issues, it is necessary
to review the factual background to these applications and to also review the
legislation that applies to them, as it is different from that which was in
place when the key authorities relied on by the applicants were decided.
I.
Background
[16]
The evidence before me reveals that the federal
investor program has been in existence for several years. At the point at which
each of the applicants in the 95 consolidated files applied under the IIP, an
individual needed to have business experience, a net worth of $800,000.00 and
the capacity to invest $400,000.00 in order to qualify as an investor. For
those who applied under the IIP prior to December 1, 2010 (as all these
applicants did), if and when their applications were accepted, there was a
requirement to extend a five-year $400,000.00, interest-free loan to the
Government of Canada, which would then distribute funds to participating
provinces and territories to fund economic development and growth. None of the
applicants was called upon to put forward funds as an investor because none of
their files had been progressed to the point where investment was required.
[17]
The evidence also indicates that each year,
under the authority delegated to him under the IRPA, the Minister set a quota
or target for the number of IIP immigrants that Canada would accept. This quota
was established on a world-wide basis, and the total number so set was then
allocated among various visa posts based on factors such as the number of
pending applications at the post.
[18]
In 2006, the global target for the IIP was set
at 1015 investors. From 2007 to 2010, the target ranged between 2,000 and
3,015, and in 2011 and 2012 the world-wide target was set at 1,500 investors.
The evidence further demonstrates that for 2006 to 2012 (with the exception of
2007), the respondent met or exceeded its global target and processed the
projected number (or more) of IIP applications.
[19]
Immigrants under the IIP were accepted for
settlement outside of Quebec. A separate program – regulating a separate class
of immigrants – applies to investors who wish to settle in Quebec, the Quebec
Investor Program [QIP] (see Regulation Respecting the Selection of Foreign
Nationals, CQLR c I-0.2, r 4, in contrast to sections 102-04, 107-09 of the
Regulations). Separate targets are set by the province of Quebec (in
consultation with federal representatives) for the QIP, which, generally
speaking, appear to have been higher than 23% of the IIP targets (or the rough
percentage of the Canadian population that resides in Quebec).
[20]
The investor program became exceedingly popular,
and by 2010 (if not earlier) thousands of applications were received under the
IIP, creating large backlogs of unprocessed applications at many visa posts. As
a result, over the years from 2008 to date, a number of legislative amendments
were made and a number of administrative measures taken with a view to reducing
and eliminating the backlog.
II.
Relevant legislation
[21]
Dealing first with the pertinent legislation,
copies of all relevant provisions are annexed in full in Appendix “B” to these
Reasons. Thus, I review below only the most salient provisions.
[22]
The first of them is section 3 of the IRPA,
which sets out the objectives of the Act. At all times material to these
Applications, these included permitting “Canada to
pursue the maximum social, cultural and economic benefits of immigration”
(paragraph 3(1)(a)); enriching and strengthening “the
social and cultural fabric of Canadian society, while respecting the federal,
bilingual and multicultural character of Canada” (paragraph 3(1)(b));
supporting “the development of a strong and prosperous
Canadian economy, in which the benefits of immigration are shared across all
regions of Canada” (paragraph 3(1)(c)); and supporting “by means of consistent standards and prompt processing, the
attainment of immigration goals established by the Government of Canada in
consultation with the provinces” (paragraph 3(1)(f)).
[23]
Subsection 11(1) of the IRPA, which has been
unchanged since the date these 95 applicants applied under the IIP, provides
the statutory authority for the issuance of visas. It provides that a foreign
national must, before entering Canada, “apply to an
officer for a visa or for any other document required by the regulations”.
The subsection then goes on to state that a visa may be issued if a visa
officer is satisfied that the applicant is not inadmissible and meets the
requirements of the Act.
[24]
Section 12 of the IRPA, which has likewise been
unchanged since the date these 95 applicants applied under the IIP, provides
for classes of immigrants who may be selected as permanent residents,
establishing the family, economic and refugee classes. With respect to the
economic class (of which the investor class is a sub-class), subsection 12(2)
of the IRPA states that “a foreign national may be
selected as a member of the economic class on the basis of their ability to
become economically established in Canada”.
[25]
Subsection 94(2) of the IRPA, provides the
Minister the authority – and responsibility – to report the number of foreign
nationals who became permanent residents in the preceding year, and the number
projected to become permanent residents in the following year.
[26]
On June 18, 2008, Parliament enacted the Budget
Implementation Act, 2008, SC 2008, c 28 [the BIA], which added
section 87.3 to the IRPA. The then-new section 87.3, which applied to numerous
types of visa applications including applications for the various economic
classes, provided in part as follows:
Attainment of immigration goals
(2) The
processing of applications and requests is to be conducted in a manner that,
in the opinion of the Minister, will best support the attainment of the
immigration goals established by the Government of Canada.
Instructions
(3) For the
purposes of subsection (2), the Minister may give instructions with respect
to the processing of applications and requests, including instructions
(a)
establishing categories of applications or requests to which the instructions
apply;
(b) establishing an order, by category or otherwise, for the
processing of applications or requests;
(c) setting
the number of applications or requests, by category or otherwise, to be
processed in any year; and
(d) providing for the disposition of applications and requests,
including those made subsequent to the first application or request.
Compliance
with instructions
(4) Officers and
persons authorized to exercise the powers of the Minister under section 25
shall comply with any instructions before processing an application or
request or when processing one. If an application or request is not
processed, it may be retained, returned or otherwise disposed of in
accordance with the instructions of the Minister.
[…]
Clarification
(7) Nothing in
this section in any way limits the power of the Minister to otherwise
determine the most efficient manner in which to administer this Act.
|
Atteinte des objectifs d’immigration
(2) Le traitement
des demandes se fait de la manière qui, selon le ministre, est la plus
susceptible d’aider l’atteinte des objectifs fixés pour l’immigration par le
gouvernement fédéral.
Instructions
(3) Pour
l’application du paragraphe (2), le ministre peut donner des instructions sur
le traitement des demandes, notamment en précisant l’un ou l’autre des points
suivants :
a) les catégories
de demandes à l’égard desquelles s’appliquent les instructions;
b) l’ordre de traitement des demandes, notamment par catégorie;
c) le nombre
de demandes à traiter par an, notamment par catégorie;
d) la disposition des
demandes. dont celles faites de nouveau
Respect des
instructions
(4) L’agent — ou la
personne habilitée à exercer les pouvoirs du ministre prévus à l’article 25 —
est tenu de se conformer aux instructions avant et pendant le traitement de
la demande; s’il ne procède pas au traitement de la demande, il peut,
conformément aux instructions du ministre, la retenir, la retourner ou en
disposer.
[…]
Précision
(7) Le présent
article n’a pas pour effet de porter atteinte au pouvoir du ministre de
déterminer de toute autre façon la manière la plus efficace d’assurer
l’application de la loi.
|
[27]
Importantly, section 120 of the BIA stated:
Application
120. Section 87.3
of the Immigration and Refugee Protection Act applies only to applications
and requests made on or after February 27, 2008.
|
Demandes
120. L’article
87.3 de la Loi sur l’immigration et la protection des réfugiés ne s’applique
qu’à l’égard des demandes faites à compter du 27 février 2008.
|
[28]
Thus, prior to being further amended in the
manner detailed below, section 87.3 of the IRPA did not apply to visa
applications filed prior to February 27, 2008.
[29]
On June 29, 2012, the Jobs, Growth and
Long-term Prosperity Act, SC 2012, c 19 was granted royal assent. This
omnibus bill amended section 87.3 of the IRPA to specifically provide the
Minister authority to give Ministerial Instructions with respect to the
processing of applications by “establishing conditions,
by category or otherwise, that must be met before or during the processing of
an application or request” (paragraph 87.3(3)(a.1)) and providing that a
Ministerial Instruction may, “if it so provides, apply
in respect of pending applications or requests that are made before the day on
which the instruction takes effect” (subsection 87.3(3.1)). These
provisions came into force upon royal assent, that is, on June 29, 2012. Thus,
unlike the first iteration of section 87.3 in force prior to June 29, 2012, the
amended section 87.3 specifically foresaw that Ministerial Instructions could
apply retrospectively to pending applications.
[30]
In addition, this legislation added subsection
3.2 to section 87.3 of the IRPA. Subsection 3.2 provides that Instructions
given under paragraph 87.3(3)(c) “may provide that the
number of applications or requests, by category or otherwise, to be processed
in any year may be set at zero”. Finally, section 709 of the Jobs,
Growth and Long-term Prosperity Act repealed section 120 of the BIA,
removing any doubt as to the potential for Ministerial Instructions to apply to
visa applications that were filed prior to February 27, 2008.
[31]
Section 87.3 has been modified a few more times
by subsequent budget legislation, but those changes were minor and are not
material to this case. As section 87.3 of the IRPA is critical to these
Applications, it is reproduced, in full. As currently constituted, it provides:
Application
87.3 (1) This
section applies to applications for visas or other documents made under
subsections 11(1) and (1.01), other than those made by persons referred to in
subsection 99(2), to sponsorship applications made under subsection 13(1), to
applications for permanent resident status under subsection 21(1) or
temporary resident status under subsection 22(1) made by foreign nationals in
Canada, to applications for work or study permits and to requests under
subsection 25(1) made by foreign nationals outside Canada.
Attainment
of immigration goals
(2) The
processing of applications and requests is to be conducted in a manner that,
in the opinion of the Minister, will best support the attainment of the
immigration goals established by the Government of Canada.
Instructions
(3) For the purposes of subsection (2), the Minister may give
instructions with respect to the processing of applications and requests,
including instructions
(a) establishing
categories of applications or requests to which the instructions apply;
(a.1) establishing
conditions, by category or otherwise, that must be met before or during the
processing of an application or request;
(b) establishing
an order, by category or otherwise, for the processing of applications or
requests;
(c) setting the
number of applications or requests, by category or otherwise, to be processed
in any year; and
(d) providing for
the disposition of applications and requests, including those made subsequent
to the first application or request.
Application
(3.1) An instruction may, if it so provides, apply in respect of
pending applications or requests that are made before the day on which the
instruction takes effect.
Clarification
(3.2) For greater certainty, an instruction given under paragraph
(3)(c) may provide that the number of applications
or requests, by
category or otherwise, to be processed in any year be set at zero.
Compliance
with instructions
(4) Officers and
persons authorized to exercise the powers of the Minister under section 25
shall comply with any instructions before processing an application or
request or when processing one. If an application or request is not
processed, it may be retained, returned or otherwise disposed of in
accordance with the instructions of the Minister.
Clarification
(5) The fact that
an application or request is retained, returned or otherwise disposed of does
not constitute a decision not to issue the visa or other document, or grant
the status or exemption, in relation to which the application or request is
made.
Publication
(6) Instructions
shall be published in the Canada Gazette.
Clarification
(7) Nothing in
this section in any way limits the power of the Minister to otherwise
determine the most efficient manner in which to administer this Act.
|
Application
87.3 (1) Le
présent article s’applique aux demandes de visa et autres documents visées
aux paragraphes 11(1) et (1.01) — sauf à celle faite par la personne visée au
paragraphe 99(2) —, aux demandes de parrainage faites au titre du paragraphe
13(1), aux demandes de statut de résident permanent visées au paragraphe
21(1) ou de résident temporaire visées au paragraphe 22(1) faites par un
étranger se trouvant au Canada, aux demandes de permis de travail ou d’études
ainsi qu’aux demandes prévues au paragraphe 25(1) faites par un étranger se
trouvant hors du Canada.
Atteinte des
objectifs d’immigration
(2) Le traitement
des demandes se fait de la manière qui, selon le ministre, est la plus
susceptible d’aider l’atteinte des objectifs fixés pour l’immigration par le
gouvernement fédéral.
Instructions
(3) Pour l’application du paragraphe (2), le ministre peut donner
des instructions sur le traitement des demandes, notamment des instructions :
a) prévoyant
les groupes de demandes à l’égard desquels s’appliquent les instructions;
a.1) prévoyant des conditions, notamment par groupe, à remplir en
vue du traitement des demandes ou lors de celui-ci;
b) prévoyant l’ordre de traitement des demandes, notamment par
groupe;
c) précisant
le nombre de demandes à traiter par an, notamment par groupe;
d) régissant la disposition des demandes dont celles faites de
nouveau.
Application
(3.1) Les instructions peuvent, lorsqu’elles le prévoient,
s’appliquer à l’égard des demandes pendantes faites avant la date où elles
prennent effet.
Précision
(3.2) Il est
entendu que les instructions données en vertu de l’alinéa (3)c) peuvent
préciser que le nombre de demandes à traiter par an, notamment par groupe,
est de zéro.
Respect des
instructions
(4) L’agent — ou
la personne habilitée à exercer les pouvoirs du ministre prévus à l’article
25 — est tenu de se conformer aux instructions avant et pendant le traitement
de la demande; s’il ne procède pas au traitement de la demande, il peut,
conformément aux instructions du ministre, la retenir, la retourner ou en
disposer.
Précision
(5) Le fait de
retenir ou de retourner une demande ou d’en disposer ne constitue pas un
refus de délivrer les visa ou autres documents, d’octroyer le statut ou de
lever tout ou partie des critères et obligations applicables.
Publication
(6) Les
instructions sont publiées dans la Gazette du Canada.
Précision
(7) Le présent
article n’a pas pour effet de porter atteinte au pouvoir du ministre de
déterminer de toute autre façon la manière la plus efficace d’assurer
l’application de la loi.
|
III.
Relevant Regulations and Ministerial
Instructions
[32]
As noted, prior to December 1, 2010, section
88(1) of the Regulations required investor class applicants to demonstrate
business experience, possess a net worth of $800,000.00 and provide a five-year
interest-free loan to the government in the amount of $400,000.00. Effective
December 1, 2010, the net worth requirement was increased to $1.6 million and
the interest-free loan to $800,000.00. The increased monetary requirements set
out in subsection 88(1) of the Regulations applied only to IIP applications
filed on or after December 1, 2010 and thus do not impact any of the applicants
in these Applications, who all made their IIP applications prior to that date.
[33]
The Ministerial Instructions issued under
section 87.3 of the IRPA, however, did apply to the applicants’ visa
applications. The first [MI1], in force from November 29, 2008 to June 25,
2010, pertained largely to federal skilled worker applications. With respect to
investor class applications, MI1 merely provided that they would be “placed into processing according to existing priorities”.
[34]
MI1 was replaced with a second Ministerial
Instruction [MI2] on June 26, 2010. It provided for an administrative pause in
the intake of new IIP applications, extending until the coming into force of
the regulatory amendments to the definition of “Investor” and “Investment”,
which were promulgated on December 1, 2010. MI2 also foresaw that once the
administrative pause was lifted, IIP applications filed under the “old” and
“new” regulatory requirements would be processed concurrently. MI2 provides in
this regard that “federal Immigrant Investor
applications received on or after the coming into force of the proposed
regulatory amendments […] shall, as a category, be processed concurrently with
those federal applications received prior to the administrative pause in a
ratio consistent with operational requirements”.
[35]
The next Ministerial Instruction, in force as of
July 1, 2011, set a cap of 700 new federal immigrant investor applications that
would be processed each year. For purposes of calculating the cap, this
Instruction provided that the “year” ran from July 1 to June 30.
[36]
The next relevant Ministerial Instruction, which
the respondent has termed MI3 in its materials, came into force as of July 1,
2012 and established a second administrative pause on the acceptance of IIP
applications, providing that none would be accepted on or subsequent to July 1,
2012. This pause has not been lifted, and, indeed, was confirmed in the
subsequent Ministerial Instructions, issued in January 2013, which provide that
the pause on acceptance of new IIP applications remains in force “until further
notice”.
[37]
The impact of these various Instructions is as
follows.
[38]
First, no new investor class applications have
been accepted as of July 2012. This fact did not impact the applicants in these
matters as the administrative pause merely forestalled new would-be immigrants
from making applications under the IIP as of July 2012.
[39]
Second, from December 2010 forward, applications
filed prior to that date were processed concurrently with new applications
filed between December 2010 and July 2012 under the enhanced regulatory
criteria. This change in processing priorities impacted the applicants as the
respondent ceased its former “first-in, first-out” processing of IIP
applications in favour of concurrent processing of “old” applications (like the
applicants’) and “new” applications filed between December 2010 and July 2012.
IV.
Operational Instructions and Bulletins
[40]
CIC has issued various Operational Instructions
or Bulletins over the years, providing further guidance as to the manner in
which investor class applications are to be processed. It is common ground
between the parties that these Operational Instructions and Bulletins are
available on-line and are frequently consulted by applicants, immigration
consultants and lawyers.
[41]
The first relevant Operational Instruction,
dated June 8, 2006, was drafted before the large influx of IIP applications. It
introduced the Simplified Application Process for IIP applications and provided
as follows regarding the processing of such applications:
The Processing Stage: Visa offices must put
into place bring forward systems so as to identify needed Federal Economic
cases 4-6 months before the visa office will assess the case. At that time, the
applicant is to be sent a standard request for all supporting documentation,
that is, a list similar to that sent with the Simplified Application Acknowledge
of Receipt, plus, if necessary, an updated IMM8 and any needed schedules. The
applicant should be provided with 4 months to submit the supporting
documentation, and the file marked to be brought forward in 4-5 months. Because
visa offices will therefore be able to manage the volume of incoming
“completed” applications, it is reasonable for applicants to expect assessment
to begin immediately. It is expected that visa offices will normally approve
(pending any needed verifications), refuse, or convoke to interview within
several weeks of the end of the 4-month document request period and/or of
receiving the supporting documentation. If the office finds it is unable to do
so, they should reduce the volume of cases being asked to provide supporting documents,
until the correct flow is established.
[42]
On December 2, 2010, another Operational
Bulletin was issued, Operational Bulletin 252. After detailing the requirement
to process IIP applications filed prior to December 2010 concurrently with
those filed after that date, this Bulletin stated that:
As a general rule, visa offices should
process applications under the federal IIP in a 2:1 case processing ratio of
old inventory applications to new applications received on or after December 1,
2010. The concurrent case processing ratio of 2:1 is provided as a guideline
only; this ratio may change over time in accordance with operational
requirements and may not apply equally to all visa offices depending on the
volume of investor class applications processed by a given visa office.
[43]
Finally, in February 2014, CIC issued
Operational Bulletin 566, which indicated that processing of IIP applications “should proceed according to routine office procedures”
until section 87.5 of the IRPA comes into force.
V.
Facts pertaining to each of the five lead files
A.
Hong Kong
[44]
Turning, now, to the facts pertaining to each of
the five lead cases, as noted, Mr. Jia filed his application in December 2009
at the Hong Kong visa post. His application, like that of all the other 94
applicants in these matters, was made on a summary basis and did not require
provision of detailed information. (Applications filed after December 2010
required much more information.)
[45]
Following receipt of his application, CIC sent
Mr. Jia an acknowledgment of receipt letter and placed his application into the
queue for processing. The standard form letter stated that the Hong Kong visa post was “…currently processing applications
received 18-24 months ago; however circumstances may change. Please consult the
website of Citizenship and Immigration Canada (CIC) for up-to-date information
on processing times at our office”. The letter then gave the URL for the
page on CIC’s website where updated processing times were available.
[46]
CIC periodically updated these times on its
website, showing increasingly longer average processing times for IIP
applications in Hong Kong. More specifically, a 37-month wait was posted as the
processing time in October 2010. By April of 2012, this had lengthened to 44
months and by October of that year to 47 months. In 2013, the processing time
for IIP applications in Hong Kong increased to 51 months in April and then to
56 months in October. By March 2014, the processing time for IIP applications
posted for Hong Kong stood at 57 months. These processing times are summarised
in the table below:
Hong Kong visa post
Date
|
Processing time
(months)
|
October 22, 2010
|
37
|
April 23, 2012
|
44
|
October 24, 2012
|
47
|
April 24, 2013
|
51
|
October 30, 2013
|
56
|
March 10, 2014
|
57
|
[47]
With the exception of 2007, the Hong Kong visa post met or exceeded its quota of IIP applications that it was targeted to
process each year. Increasing wait times were thus generated by the proportion
by which the volume of applications exceeded the quota or target allocated to
the office. The inventory of unprocessed IIP applications in Hong Kong stood as
follows from 2006 to 2013:
Hong Kong visa post
Year
|
Inventory
|
2006
|
1,645
|
2007
|
2,181
|
2008
|
2,368
|
2009
|
8,322
|
2010
|
15,875
|
2011
|
17,283
|
2012
|
16,340
|
2013
|
15,388
|
[48]
As of June 2013, there were 5500 cases ahead of
Mr. Jia’s in the queue for processing at the Hong Kong visa post. Thousands of
cases were still ahead of his file in the processing queue on the date section
87.5 of the IRPA came into force.
[49]
Counsel for Mr. Jia argues that if the Minister
had done two things differently, Mr. Jia’s IIP application would have been
processed by now. More specifically, he alleges that if the Minister had not
instituted concurrent processing for the “old” and “new” IIP applications, or
if the Minister had set a higher quota, proportionally equivalent to that set
under the QIP, Mr. Jia would now be in Canada. By proportionally equivalent, he
means if the Minister had set quotas for the IIP based on QIP quotas, increased
by the proportion by which the population of Canada, outside Quebec, exceeds
the population of Quebec. In other words, the applicant argues that he (and the
other applicants) should have had their IIP applications processed on a
“first-in, first-out” basis and that the number of IIP applications Canada accepted each year should have been substantially increased.
[50]
I am far from convinced that counsel for the
applicants has demonstrated that if either or both of these two things had
occurred, Mr. Jia’s application (or the applications of any of the other
applicants) would have been processed by now. Be that as it may, I am prepared
to accept that counsel’s re-working of the IIP and QIP numbers does make such a
demonstration for purposes of disposing of these applications, as I prefer to
dispose of them on a principled as opposed to an evidentiary basis.
B.
New Delhi
[51]
The facts in the other four lead cases are not
materially different from those in Mr. Jia’s case. Mr. Bansal made his
application to the Canadian High Commission in New Delhi, India in November 2008. The standard form acknowledgement of receipt letter he was sent stated as
follows:
You will hear from us regarding the results
of the evaluation of your application in twelve months. Please do not contact
us before twelve months have passed since you received this letter. Due to the
high volume of inquiries received in this office, we will not be able to
respond to inquiries sent within twelve months.
[52]
The Computer Assisted Immigration Processing
System (or CAIPS) notes, which have been filed as part of the Certified
Tribunal Record in these matters, indicate that Mr. Bansal or his son followed
up on the application with the High Commission in New Delhi and were directed
to CIC’s website for updated processing times. Those times, like the ones
posted for Hong Kong, were substantial and increased over time. More
specifically, the website provided the following estimates for the average
processing time for IIP applications in New Delhi:
New Delhi visa post
Date
|
Processing time
(months)
|
October 22, 2010
|
28
|
April 27, 2011
|
34
|
October 27, 2011
|
38
|
April 23, 2012
|
40
|
October 24, 2012
|
47
|
April 24, 2013
|
49
|
October 30, 2013
|
55
|
March 10, 2014
|
60
|
[53]
The queue of IIP applications in New Delhi was shorter than that in Hong Kong. The following numbers of applications were
in queue at the end of each of the years between 2006 and 2013:
New Dehli visa post
Year
|
Inventory
|
2006
|
11
|
2007
|
32
|
2008
|
369
|
2009
|
877
|
2010
|
1,065
|
2011
|
1,016
|
2012
|
949
|
2013
|
845
|
[54]
Mr. Bansal’s application moved up in the queue,
and in mid-2013 he was asked to provide additional documentation in support of
his application. The First Secretary of Immigration at the Canadian High
Commission in New Delhi deposed in her affidavit, sworn on May 30, 2013, that
she anticipated that a final decision in Mr. Bansal’s application might be made
sometime in mid-2014. No such decision had yet been made as of the date these
applications were argued.
C.
London
[55]
At the time of his application, Mr. Gholampour
resided in Pakistan. His IIP application was sent to the Canadian High
Commission office in London, U.K. in early 2010 for processing. The standard
form acknowledgment of receipt letter for London stated as follows:
At the present time our estimated processing
period is 12 - 18 months. Please note this is based on our current inventory of
applications and processing times may vary as a result of changes to the
inventory.
[56]
As with the other visa posts, London posted its
average anticipated wait times for processing of visa applications on CIC’s
website. They were as follows for IIP applications:
London visa post
Date
|
Processing time
(months)
|
October 22, 2010
|
25
|
April 27, 2011
|
26
|
October 27, 2011
|
32
|
April 23, 2012
|
46
|
October 24, 2012
|
55
|
April 24, 2013
|
55
|
October 30, 2013
|
57
|
March 10, 2014
|
65
|
[57]
Here, as well, the queue was shorter than in Hong Kong. At the end of each year from 2006 to 2013, the following numbers of IIP
applications were waiting to be processed in London (or Islamabad):
London and Islamabad visa posts
Year
|
Inventory (London)
|
Inventory (Islamabad)
|
2006
|
137
|
99
|
2007
|
293
|
121
|
2008
|
555
|
211
|
2009
|
735
|
250
|
2010
|
972
|
224
|
2011
|
1,082
|
12
|
2012
|
939
|
9
|
2013
|
779
|
10
|
[58]
CIC processed the following number of “old” and
“new” applications from Islamabad in London between 2010 to 2013:
Islamabad cases
finalized in London
Year
|
Total cases
(“old” and “new”
combined)
|
2010
|
N/A
|
2011
|
5
|
2012
|
29
|
2013
|
64
|
[59]
It appears that, when all years are viewed
together, CIC exceeded its target for both Islamabad and for London over the
period from 2006 to 2012, but in a few years fell slightly below target in the
numbers of applications it processed.
[60]
CIC has requested that Mr. Gholampour furnish
additional documents to support his application, but as of the date of hearing,
no decision had yet been made in respect of it. The First Secretary,
Immigration Section, at the Canadian High Commission in London deposed in her
affidavit, sworn June 7, 2013, that it would take at least 18 months from that
date to finalize Mr. Gholampour’s case.
D.
Ankara
[61]
Mr. Nasseri Karimi Vand made his application to
the Canadian Embassy in Ankara, Turkey in October 2007. He did not receive a
letter setting out an estimated processing time but, rather, merely a form
acknowledging receipt of his application. However, as in other cases, estimated
processing times for IIP applications were available on CIC’s website. It
provided as follows with respect to estimated average processing times for IIP
applications considered at the Ankara visa post:
Ankara visa post
Date
|
Processing time
(months)
|
October 22, 2010
|
34
|
April 27, 2011
|
33
|
October 27, 2011
|
32
|
April 23, 2012
|
33
|
October 24, 2012
|
54
|
April 24, 2013
|
63
|
October 30, 2013
|
74
|
March 10, 2014
|
78
|
[62]
With the exception of 2009, CIC met its targets
for the processing of IIP applications in Ankara from 2006 to 2011. In 2012,
however, the visa post was flooded with applications from Syria, as the Canadian government closed its embassy in Damascus, and thousands of files were
transferred from Damascus to Ankara. The Ankara visa post also had to deal with
a large influx of claims from Tehran. This slowed processing, although
according to the affidavit of the First Secretary of the Canadian Embassy in Ankara, sworn July 19, 2013, the office still managed to meet 95% of its overall target for
all business applications in 2012.
[63]
The following numbers of pending applications
were in the queue of IIP applicants waiting for processing in Ankara at the end
of each year from 2006 to 2013:
Ankara visa post
Year
|
Inventory
|
2006
|
9
|
2007
|
12
|
2008
|
32
|
2009
|
81
|
2010
|
102
|
2011
|
72
|
2012
|
1,634
|
2013
|
1,553
|
E.
Pretoria
[64]
Mr. Stopforth submitted his IIP application at
the Canadian High Commission in Pretoria, South Africa, in 2010. The standard
form acknowledgment of receipt letter sent to him on August 5, 2010 stated as
follows: “Business applicants – we are currently
assessing cases received in April 2005”. The estimated processing times
for Pretoria from 2006 to 2012 were not posted on CIC’s website as that office
did not finalize at least ten cases in any of those years.
[65]
The evidence reveals that no target was
allocated to the Pretoria visa post for any of 2007 through to 2012. However,
the total number of applications pending in inventory there was limited; at the
end of each of 2006 to 2013, the total number of IIP applications pending in Pretoria were as follows:
Pretoria visa post
Year
|
Inventory
|
2006
|
6
|
2007
|
8
|
2008
|
23
|
2009
|
32
|
2010
|
36
|
2011
|
38
|
2012
|
36
|
2013
|
32
|
[66]
In addition, despite having no quota, the Pretoria visa post processed a small number of applications in each of 2006 to 2010, in
2012 and during 2013. The Counsellor (Immigration) at the Canadian High
Commission in Pretoria deposed in his affidavit, sworn September 23, 2013, that
Mr. Stopforth’s application was one of the next in queue and that he
anticipated it would be processed sometime in 2014. As of the hearing date, it
was not yet processed.
VI.
Are the applicants entitled to an order in the
nature of mandamus?
[67]
I turn now to consideration of the applicants’
request for relief in the nature of mandamus, a remedy which may be awarded
against an administrative actor to require it to carry out a public legal duty
when it has failed to do so. The test applicable to determine when an award of mandamus
is appropriate is well-settled and involves the following factors, as
enunciated by the Federal Court of Appeal in Apotex Inc v Canada (Attorney
General) (1993), [1994] 1 FC 742 [Apotex]:
1.
there must be a public legal duty to act;
2.
the duty must be owed to the applicant;
3.
there must be a clear right to performance of
that duty;
4.
no other adequate remedy is available to the
applicant;
5.
the order sought will be of some practical value
or effect;
6.
the court in the exercise of its discretion
finds no equitable bar to the relief sought; and
7.
the balance of convenience favours granting mandamus.
[68]
Where the duty sought to be enforced is
discretionary, additional considerations apply, namely that:
1.
in exercising discretion, the decision-maker
must not act in a manner which can be characterized as unfair or oppressive or
which demonstrates flagrant impropriety or bad faith;
2.
mandamus is
unavailable if the decision-maker’s discretion is characterized as being
unqualified, absolute, permissive or unfettered;
3.
in exercise of unfettered discretion, the
decision-maker must act upon relevant as opposed to irrelevant considerations;
4.
mandamus is
unavailable to compel the exercise of fettered discretion in a particular way;
and
5.
mandamus is only
available when the decision-maker’s discretion is spent such that the applicant
has a vested right to the performance of the duty.
[69]
This test has been applied in immigration
matters like the present (see e.g. Conille v Canada (Minister of Citizenship
and Immigration), [1999] 2 FC 33 [Conille]; Dragan v Canada
(Minister of Citizenship and Immigration), [2003] 4 FC 189 [Dragan];
Vaziri v Canada (Minister of Citizenship and Immigration), 2006 FC 1159
[Vaziri]; Liang v Canada (Minister of Citizenship and Immigration),
2012 FC 758 [Liang]; Agama v Canada (Minister of Citizenship and
Immigration), 2013 FC 135 [Agama]; He v Canada (Minister of
Citizenship and Immigration), 2014 FC 92 [He]; Zhang v Canada
(Minister of Citizenship and Immigration), 2014 FC 93 [Zhang]; Fang
v Canada (Minister of Citizenship and Immigration), 2014 FC 94 [Fang];
Jiang v Canada (Minister of Citizenship and Immigration), 2014 FC 95 [Jiang];
Kearney v Canada (Minister of Citizenship and Immigration), 2014 FC 96 [Kearney];
Wurm v Canada (Minister of Citizenship and Immigration), 2014 FC 97 [Wurm];
Mazarei v Canada (Minister of Citizenship and Immigration), 2014 FC 322
[Mazarei]; Mobasher v Canada (Minister of Citizenship and
Immigration), 2014 FC 399 [Mobasher]).
[70]
In applying the test to the present case, the
Minister concedes that he owed a duty to IIP applicants, for so long as the
program continued to exist, to process their IIP applications in accordance
with the requirements of the IRPA, the Regulations and Ministerial
Instructions. The content of that duty, however, is in dispute.
[71]
On one hand, the applicants suggest that the
Minister owed them a duty to process their applications under the processing
criteria in force when the applications were made, and, moreover, owed them a
duty to set quota targets for the IIP in respect of regions of Canada outside
Quebec in an equivalent proportion (based on population) to those established
for Quebec under the QIP. The Minister, on the other hand, disputes that any
such duties existed, arguing in this regard that the IRPA afforded him broad,
if not unfettered, discretion to set the quota or target for the number of IIP
applications to be accepted each year and that the Ministerial Instructions
specifically contemplate the change in processing priorities to provide for the
concurrent processing that the applicants impugn. The Minister thus asserts
that his only duty in respect of these applications was to process the IIP
applications within a reasonable period of time. The respondent argues that
this has been done and that the delays experienced by the applicants are not
unreasonable when one considers all the facts and the relevant provisions in
the IRPA, the Regulations and Instructions.
[72]
In my view, the respondent is correct on all
points.
[73]
In this regard, the IRPA and the Regulations did
not cast any obligation on the Minister to set any particular quota or target
for the number of IIP applications that may be accepted in a year or to adhere
to any particular processing priority. Likewise, there was no requirement to
tie the IIP quota to the numbers that might be set under the QIP, an entirely
separate immigration program. Nor can any such duties be inferred from the
general purpose clauses set out in section 3 of the IRPA, as the applicants
would argue. It would take much clearer language than that set out in section 3
to limit the discretion Parliament afforded the Minister under the IRPA to set
the number and type of immigrants Canada will accept. In short, in matters of
immigration, the IRPA affords the Minister the right – and duty – to assess Canada’s immigration needs and to set the number of immigrants to be accepted as members of
the various economic classes each year. This is made clear by the entire scheme
of the Act and, in particular, by sections 11, 12, 87.3 and subsection 94(2).
[74]
In this regard, it is noteworthy that sections
11 and 12 of the IRPA, the provisions establishing the possibility of
immigration as a member of an economic class, are cast in permissive terms such
that there is no absolute right to the issuance of a visa following the mere
fact of having made an application. That there is no need for the Minister to
afford all qualified applicants a visa is confirmed in section 94(2), under
which the Minister must report the number of immigrants received, and section
87.3, which affords the Minister the ability to promulgate the sorts of
Instructions that have been issued in this case.
[75]
Thus, would-be immigrants have no right to force
the Minister to set any particular quota for any economic class.
[76]
This determination is in keeping with
long-established principles, which hold that no one possesses a right to immigrate.
The Supreme Court of Canada has indeed held that “the
most fundamental principle of immigration law is that non-citizens do not have
an unqualified right to enter or remain in Canada” (Medovarski v
Canada (Minister of Citizenship and Immigration), 2005 SCC 51 at para 46 [Medovarski];
Chiarelli v Canada (Minister of Employment and Immigration), [1992] 1
SCR 711 at 733 [Chiarelli]).
[77]
The right of the Minister to set quotas per
immigrant class and to change processing priorities for pending immigration
applications has been recognised by this Court. In Vaziri, which was
decided before section 87.3 was added to the IRPA, Justice Snider confirmed, at
para 36, that even without such a provision in the legislation the Minister had
the right to set the number and type of immigrants to be accepted and could
provide for concurrent processing of applications filed under differing
criteria, in a similar fashion to what occurred in these cases. An identical
conclusion regarding the ability of the Minister to set quotas, change
processing priorities and to move away from a “first-in, first-out” system was
likewise confirmed in Liang at para 53.
[78]
Thus, the extent of the duty owed by the
Minister in this case was to process the applicants’ IIP applications within a
reasonable period of time.
[79]
In evaluating whether the Minister has done so,
my colleague, Justice Tremblay-Lamer, set out the applicable test in Conille
at para 23, holding that for a delay to be considered unreasonable, it must
meet three requirements:
1. the delay must have been longer than the nature of the process prima
facie requires;
2. the applicant must not be responsible for the delay; and
3.
the authority responsible for the delay has not
provided satisfactory justification.
[80]
This test has been applied in the subsequent
jurisprudence (see e.g. Vaziri at para 51; Dragan at para 54; Mobasher
at para 18; Liang at para 26).
[81]
The applicants argue that the delay in their
cases is unreasonable as it is as long or longer than those found unreasonable
in other cases, including, notably, Dragan and Liang, which they
assert are on all fours with this case. I disagree and believe both these cases
involved situations that are markedly different from the present for several
reasons.
[82]
In the first place, the applicable legislation
considered in both cases was fundamentally different.
[83]
In Dragan, Parliament had delayed the
coming into force of new requirements for immigrants applying as members of the
federal skilled worker [FSW] class so as to allow those with pending
applications time to have them considered under the old criteria. The
Parliamentary Committee which studied the issue made recommendations to extend
the effective date for the new requirements so as to allow pending applications
to be processed under the old criteria. These recommendations were enacted into
law. At the same time as the Committee studied the issue of the effective date
for the new criteria, it also made several suggestions for measures to be
adopted by the Department to ensure that the pending applications were
processed in a timely fashion. The Minister failed to adopt any of these
suggestions, which resulted in a large number of pending applications not
having been processed by the cut-off date. It was in light of these facts that
Justice Kelen determined it appropriate to grant relief in the nature of mandamus
in Dragan. No such recommendations were made and ignored in this case.
[84]
In Liang, the legislation was also
different from how it stood at the material times in this case. When my
colleague, Justice Rennie, decided Liang, section 120 of the BIA
expressly prevented the retrospective application of Ministerial Instructions
issued under section 87.3 of the IRPA to a portion of the FSW applications
before him, namely, those filed prior to June 27, 2008. As noted, section 120
of the BIA was repealed, effective a few weeks after the date of the decision
in Liang. Thus, since June 29, 2012, subsection 87.3(3.1) of the IRPA
has specifically contemplated that Ministerial Instructions may have a
retrospective effect on pending applications. Such effect is moreover foreseen
by MI2, which provided for concurrent processing of old and new IIP
applications. These facts therefore distinguish the applicants’ situation here
from that in Liang (as Justice Boivin noted in He at para 28; Zhang
at para 28; Fang at para 28; Jiang at para 28; Kearney at
para 27; and Wurm at para 26).
[85]
In the second place, in Liang the
Minister made statements in his report to Parliament regarding processing times
for FSW applications that were not made in these cases. In Liang, the
Minister indicated that, as of 2010, processing times for FSW applications
would range from 6 to 12 months as caps were being set on the numbers of
applications that CIC would accept. As it turned out, these predictions were
inaccurate and much longer processing times were experienced. Justice Rennie
found the Minister’s predictions in his report to Parliament (and in a media
release) on processing times to be conclusive for the group of the applications
to which the estimates applied, stating as follows at paras 40 and 41 of Liang:
Canadian jurisprudence has long recognized
that Ministers have an obligation to perform their legal duties in a reasonably
timely manner. This legal duty has long coexisted with the understanding that
Ministers are accountable for the management and direction of their ministries
and have the authority to make policy choices and to set priorities. These two
seemingly conflicting propositions have been reconciled by according the
Minister considerable leeway in determining how long any kind of application
will take to process, based on his policy choices. Thus, if the Minister has
determined that Canada’s immigration goals are best attained by processing
spousal sponsorships in 4 years on average, it is not for the Court to say that
it believes the Minister could, or should, process those applications in 2
years. It is for the Minister, and not the Court, to run the department.
It is for this reason that projected
processing times emanating from the Minister and the department are accorded so
much weight. The Minister is not only best placed to know how long an
application will likely take to process, but he has also been granted the
authority by Parliament to set those processing times in a way that balances
the various objectives of the IRPA. However, once an application has been
delayed past those processing times, without a satisfactory justification, the
Court is authorized to intervene and compel the Minister to perform his duty.
This approach is consistent with the principle that the Minister is accountable
to Parliament for his policy choices, and those choices are not to be gainsaid
by the courts [citation omitted]. Thus, deference is accorded to the Minister
in setting policies, but the limit of that deference is his legal duty under
the IRPA.
[86]
In addition, in Liang, the respondent
appears to have virtually conceded that the delays experienced by the FSW
applicants with older pending applications were unreasonable. In this regard,
Justice Rennie noted at para 28 of his decision that:
The pre-C-50
applications were all submitted before February 27, 2008. The most recent
applications in that group have been outstanding for at least 4.5 years, and
some of them have been awaiting processing for as long as 9 years. The Minister
did not argue very forcefully before the Court that this delay does not
amount prima facie to a longer delay than the nature of the process
requires.
[87]
No similar concession was made in this case.
[88]
Thus, Liang and Dragan both
involved situations very different from the present. On the other hand, the
present 95 cases are very similar to the situations in He, Zhang,
Fang, Jiang, Kearney, Wurm, and Mobasher,
and are also comparable to the situation in Mazarei, all of which were
cases where mandamus applications were refused.
[89]
As was either expressly noted or implicit in He,
Zhang, Fang, Jiang, Kearney, Wurm, Mobasher,
and Mazarei, when evaluating whether a delay in processing a visa
application has been unreasonable, the Court must have regard to all pertinent
circumstances. These include the volume of applications received and the
priorities and targets set by the Minister under the IRPA. As Justice Snider
noted at para 55 of Vaziri, prior cases cannot be applied mechanically
to settle the acceptable length for visa processing by CIC. Rather, the
reasonableness of the delay “must be informed by a full
understanding of where the [a]pplicants’ applications fit within the
immigration scheme”, which may legitimately provide for the slower
processing of certain types of applications.
[90]
When viewed in this light, the delays faced by
the applicants in these matters are not unreasonable. Simply put, there is no
evidence that any of their applications has been taken out of its proper place
in the queue or otherwise ignored by the respondent. Rather, as in He, Zhang,
Fang, Jiang, Kearney, Wurm, and Mobasher,
the delay in processing has simply been a function of the huge numbers of
applications received and the quotas and processing priorities that the
Minister legitimately set under the authority afforded him under the Act and
Regulations. The fact that CIC fell slightly short of meeting its targets in a
couple of years at a couple of visa posts does not change this conclusion as so
doing has not materially contributed to the length of the queues. In addition,
the situation in Ankara, caused by the unrest in the Middle East, provides a
full explanation for that post’s not meeting its targets for 2012.
[91]
The applicants argue that there has been unreasonable
delay in the processing of their files because they claim that CIC made
representations to them that their applications would be processed much more
quickly than they have been, which the Court should find binding. While no
evidence from any of the applicants in the five lead cases has been filed to
substantiate this claim, I am prepared to accept that many of the applicants
initially believed and trusted that their applications would have been
considered much more quickly. I am also prepared to accept that many applicants
may well have made choices based on these beliefs, such as maintaining the
required investment funds in liquid investments (which may have led them to
sell valuable assets) and choosing to send their children to Canadian schools or
universities. Indeed, counsel for the applicants referred to the affidavit of
Jun Du, one of the applicants in one of the subsequently filed mandamus
applications to which these Reasons will apply. That affidavit indicates that
this applicant had made precisely these sorts of choices. I therefore recognise
that many of the applicants are disappointed by the length of time it has taken
to process their applications and may well have experienced hardship due to the
time their applications have been pending. However, these very real concerns do
not translate into an entitlement to an order in the nature of mandamus.
[92]
In addition to having no entitlement to have
their applications processed in the way they wish by reason of the relevant
statutory criteria, discussed above, the statements made to them in form
letters, manuals or websites simply do not give rise to any representation that
would bind the respondent in respect of how long IIP applications would be in
process or as to the priority within which they would be considered, for
several reasons.
[93]
In the first place, a visa applicant could have
had no basis to assume that quotas or processing priorities would remain
unchanged. As the Supreme Court of Canada held at para 47 of Medovarski,
another immigration case, “[t]here can be no
expectation that the law will not change from time to time”. Indeed, it
is well-settled that legislation may have a retrospective effect if it so
provides and may remove or change settled expectations (see, e.g., British
Columbia v Imperial Tobacco Canada Ltd, 2005 SCC 49 at paras 69-72).
[94]
Secondly, there is no basis to conclude that any
representations that should be viewed as binding were made to the applicants.
The applicants argue that the June 8, 2006 Operational Instruction and the form
letters should be viewed as creating such representations and should be given
the same binding effect as the Minister’s statements were given in Liang.
[95]
I disagree because there are several important
differences between the statements that Justice Rennie found to be binding in Liang
and the documents the applicants rely on here.
[96]
Most importantly, the statements in Liang
were made by the Minister, himself, in a report he laid before Parliament in
discharge of his duties under the IRPA. Such a commitment cannot be likened to
general statements made in departmental form letters or general comments on
processing made in an Operational Instruction that was overtaken by legislative
amendments and further Bulletins.
[97]
Moreover, the statements made in the form
letters and the 2006 Operational Instruction are much more equivocal than the
statements considered in Liang. Here, in most instances, the
acknowledgement of receipt letters indicated that the processing estimates were
subject to change. In addition, applicants were directed to the CIC website, a
review of which would have indicated that processing times were steadily
increasing, which the applicants should have taken to mean that their
applications would be processed much more slowly as time progressed. As for the
2006 Operational Instruction, it does not promise any processing time
whatsoever, but, rather, merely indicates that as of 2006, it would typically
take 4 to 6 months to finalize an application after CIC requested the applicant
to provide additional documents. These statements cannot be taken as creating
any promises as to how long processing at this stage might take in 2013 after
such a request is made, given the number of changes that took place in the
intervening years, including the flood of applications and the numerous
amendments to legislation, Instructions and Bulletins, promulgated since 2008.
Thus, I do not find there to have been any representation made to the
applicants that they are entitled to rely upon as to when their applications
would be processed and certainly no representation that their applications
would be processed more quickly than they have been or in any particular
priority.
[98]
The applicants suggest that, at the very least,
the respondent’s treatment of Mr. Stopforth’s application should be viewed as
unreasonable, as for several years the target assigned to the Pretoria office
was zero, which they claim cannot be reasonable. I disagree because there is
nothing in the Act, Regulations or Instructions that requires that a target be
allocated to every visa post every year. Rather, the evidence establishes that
quotas are set on a global basis by the Minister and that the total number of
applications to be accepted per year is then allocated to offices based in
large part on how many applications are pending at the office. When viewed in
this light, the allocation of a zero target for Pretoria for several years was
a reasonable decision, given the small size of the backlog at that office as
compared to the volume of pending applications at other offices. Moreover,
despite not being officially delegated a target, the Pretoria office did
nonetheless process IIP applications in every year but one after the date Mr.
Stopforth filed his application. Thus, even in Pretoria, there was not a
moratorium on processing.
[99]
In light of the foregoing, I find that there
has not been an unreasonable delay in the processing of the applicants’ IIP
applications.
[100] The respondents make an alternative argument in support of their
claims for mandamus and assert that the remedy should be granted under
the doctrine of legitimate expectations. While there is some support in the
case law for the notion that an administrative actor may be required to follow
a procedure it has promised to follow (see e.g. Canada (Attorney General) v
Mavi, 2011 SCC 30 at para 42 and Baker v Canada (Minister of Citizenship
and Immigration), [1999] 2 S.C.R. 817 at paras 26-27), the party seeking to
enforce the promise must show it to have been clearly made. In the words of
Justice Binnie in Mavi at para 69:
…Generally speaking, government
representations will be considered sufficiently precise for purposes of the
doctrine of legitimate expectations if, had they been made in the context of a
private law contract, they would be sufficiently certain to be capable of
enforcement.
[101] For the reasons noted, the statements made by CIC in these matters
fall well short of being clear enough to found a contractual entitlement. Thus,
these statements do not give rise to any claim for breach of legitimate
expectations.
[102] Thus, the applicants have not established the presence of the
requisite criteria to entitle them to an order in the nature of mandamus.
[103] Finally, I note that even if this were not the case, mandamus
is an equitable remedy; the Court must therefore be satisfied that it is
equitable in the circumstances to make the requested order as the Court of
Appeal held in the Apotex case. Here, it would not be equitable to grant
the requested relief – even if there had been a basis for doing so – as such
relief would leap-frog the applicants over other IIP applicants, who have not
made applications to the Court. Just as my colleagues, Justices Phelan,
Tremblay-Lamer and Annis held in Agama at paras 20-21, Mobasher
at para 23, and Mazarei at para 33, I also believe that this concern
represents an additional reason why an award of mandamus is not
appropriate in these present cases.
[104] Thus, there is no administrative law basis for granting the relief
sought in these Applications.
VII.
Are the applicants entitled to a remedy under
the Charter?
[105] I turn next to the alternate constitutional arguments advanced by
the applicants, starting with their claims under the Charter. The first
issue that arises in respect of these claims concerns whether or not the
applicants possess Charter rights.
A.
Right to invoke the Charter
[106] The respondent argues that, as non-citizens situated outside Canada, the applicants possess no rights under the Charter and that their claims
should accordingly be dismissed on a preliminary basis for this reason. In
support of this position, the respondents rely on R v Hape, 2007 SCC 26
[Hape]; Canada (Justice) v Khadr, 2008 SCC 28 [Khadr]; Tabingo
v Canada (Citizenship and Immigration), 2013 FC 377 [Tabingo]; Zeng
v Canada (Attorney General), 2013 FC 104; Kinsel v Canada (Citizenship
and Immigration), 2012 FC 1515 [Kinsel]; Toronto Coalition to
Stop the War v Canada (Public Safety and Emergency Preparedness), 2010 FC
957; Slahi v Canada (Justice), 2009 FC 160; and Amnesty International
Canada v Canada (Chief of the Defence Staff), 2008 FC 336.
[107] The applicants, on the other hand, assert that this objection should
be dismissed as they possess standing to make the Charter arguments
within the context of these Applications, relying principally on Winner v
SMT (Eastern) Ltd, [1951] S.C.R. 887 and Singh v Minister of Employment and
Immigration, [1985] 1 S.C.R. 177 [Singh]. In the alternative, the
applicants argue that the case law of the Supreme Court of Canada does not
support the conclusion that the applicants possess no Charter rights as
their cases are distinguishable from the situations in which the Supreme Court
held that Charter rights do not extend to non-citizens outside of Canada. In this regard, the applicants argue that the Supreme Court’s decisions in Hape
and Khadr involved concerns that do not arise in this case, namely
comity principles under international law, because those cases sought to apply
the Charter to actions taken by Canadian actors on foreign soil. Here,
on the other hand, the applicants assert that they are merely seeking to have
the Charter bind the Minister and his delegates in respect of their
actions under the IRPA in circumstances where the actions were taken at various
embassies and Canadian visa posts around the world. They therefore assert that
the holdings in Hape and Khadr do not apply. They also note that
in Singh the Supreme Court left open the question of whether section 7 Charter
rights could be invoked by a would-be immigrant or refugee claimant from
outside Canada.
[108] While the applicants may well provide a defensible basis for
distinguishing these cases, they neglect to deal with the significant
jurisprudence of this Court and of the Federal Court of Appeal that holds that
foreign citizens outside Canada have no rights under the Charter in
respect of activities that occur outside of Canada. Several of these cases
involve situations that are analogous to the ones involved here (see e.g.
Canadian Counsel of Churches v Canada (Minister of Employment and Immigration),
[1990] 2 FC 534 (CA); Ruparel v Canada (Minister of Employment and
Immigration), [1990] 3 FC 615 (TD); Lee v Canada (Minister
of Citizenship and Immigration) (1997), 126 FTR 229; Deol v Canada
(Minister of Employment and Immigration), 2001 FCT 694; Kinsel).
[109] In addition, as Justice Rennie noted in Tabingo at para 62,
the applicants conflate their right to raise an argument with a determination
of the scope of their rights. While they may well be free to commence an
application and to raise a Charter issue, this does not mean they have Charter
rights.
[110] I need not decide in this case whether the Charter does
extend rights to the applicants as, even if they possess such rights, none have
been violated in the treatment of their visa applications in these matters.
B.
Section 7
[111] Turning, first, to the assessment of their claims under section 7 of
the Charter, the applicants’ argument centres on the following claim:
they assert that section 7 guarantees them procedural fairness, which would
include holding the Minister to the applicants’ legitimate expectations. As I
have found that they have no such expectations that have been violated, it
follows that this argument must fail.
[112] There is, however, an additional reason why their section 7 argument
fails, namely, because the applicants have no interest in these cases that
falls within the scope of protection under section 7 of the Charter.
This section provides:
Life, liberty and security of person
7. Everyone has
the right to life, liberty and security of the person and the right not to be
deprived thereof except in accordance with the principles of fundamental
justice.
|
Vie, liberté et sécurité
7. Chacun a droit à
la vie, à la liberté et à la sécurité de sa personne; il ne peut être porté
atteinte à ce droit qu’en conformité avec les principes de justice
fondamentale.
|
[113] In assessing whether an individual’s rights have been violated under
section 7, it is open to the Court to first address the threshold issue of
whether the interest at play falls within the ambit of “life,
liberty or security of the person” that is protected under the Charter.
This issue has been addressed at the outset in other cases (see e.g. Canada (Attorney General) v Bedford, 2013 SCC 72 at para 58; Blencoe v British Columbia (Human Rights Commission), 2000 SCC 44 at para 47).
[114] Here, for the same reasons as Justice Rennie set out in Tabingo,
I find there to be no section 7 interest engaged. The applicants’ decision to
seek to immigrate to Canada was a voluntary one. Their cases are therefore
distinguishable from R v Morgentaler, [1988] 1 S.C.R. 30, Rodriguez v
British Columbia (Attorney General), [1993] 3 S.C.R. 519, and Chaoulli v
Quebec (Attorney General), 2005 SCC 35 [Chaoulli], the principal
Supreme Court cases relied upon by the applicants in support of this portion of
their argument. In those cases, psychological distress that was found to give
rise to a protected interest under section 7 of the Charter was
accompanied and caused by physical consequences imposed by legislation. In
addition, the interests at play in those cases were much more significant. In
this regard, I endorse completely and adopt the conclusion reached by Justice
Rennie on this point at para 99 of Tabingo:
I accept that
the applicants [may well have] experienced stress and hardship … [and] that the
circumstances of some of the applicants [may well be] compelling. However,
immigration is not of such an intimate, profound and fundamental nature as to
be comparable with the woman’s right of reproductive choice, or the freedom of
parents to care for their children. The ability to immigrate, particularly as a
member of an economic class, is not among the fundamental choices relating to
personal autonomy which would engage section 7. While it may have life-altering
consequences, the possibility of immigrating to Canada as a successful [IIP]
applicant does not engage life or liberty interests.
[115] I do not find the decision in Wilson v British Columbia
(Medical Services Commission), [1989] 2 WWR 1 (BCCA) [Wilson],
relied upon by the applicants, to require a different result for several
reasons. In the first place, it has not been followed by the Supreme Court of
Canada in its jurisprudence, defining the breadth of rights protected under
section 7 of the Charter, and, indeed, is out of step with that
jurisprudence. The fact that the Supreme Court refused leave in Wilson
(even with a panel of five) does not elevate this case to the level of a
decision of the Supreme Court, as a refusal of leave cannot be viewed as an
endorsement of the reasoning in the decision of the court below.
[116] In the second place, the decision of the British Columbia Court of
Appeal in Wilson turned on both sections 6 and 7 of the Charter.
Section 6 – the mobility rights provision – applied as the appellants there
were Canadian citizens and thus entitled to mobility rights and the right to
earn a livelihood within a province. This fact heavily influenced the Court’s
interpretation of section 7. The applicants here, on the other hand, as
non-citizens and non-permanent residents, possess no rights under section 6 of
the Charter. Indeed, as mentioned above, the Supreme Court has expressly
recognised in Medovarski and Chiarelli, as a basic principle of
immigration law, that non-citizens and non-permanent residents have no right to
enter Canada. The claimed extension of section 7 of the Charter to the
applicants’ circumstances would run counter to the rulings in these cases.
[117] Finally, the Wilson decision is not binding on me. As I do
not find it persuasive, I decline to follow it and instead adopt the reasoning
of Justice Rennie on this issue in Tabingo, which I believe is correct.
[118] Thus, there has been no violation of section 7 of the Charter
in these cases.
C.
Section 15
[119] As concerns the claims under section 15 of the Charter,
counsel for the applicants conceded during argument that there was no
evidentiary basis for a section 15 claim premised on the applicants’ country of
residence. I concur that such is lacking in the record before me as there is no
evidence to substantiate that any differential treatment occurred based on the
applicants’ countries of origin or place where they made their IIP
applications.
[120] Thus, the sole argument advanced under section 15 of the Charter
is that the applicants have suffered differential – and adverse – treatment
based on their intended destinations in Canada because they have been subject
to longer queues and less favourable treatment than investor immigrants who
chose to settle in Quebec. Even assuming that such is the case, this
differential treatment does not give rise to a violation of section 15 of the Charter
because it is not based on a ground which is protected under section 15.
[121] In this regard, section 15 does not extend to all distinctions
imposed by legislation. Rather, only those distinctions which are based on
grounds that are either enumerated in section 15 or that are analogous to them
qualify for Charter protection. In addition, to constitute a violation
of section 15, the impugned distinction must be discriminatory, which typically
will be the case if adverse treatment perpetuates a negative stereotype or
furthers the disadvantage experienced by the individuals to whom the adverse
treatment applies (see e.g. Andrews v Law Society of British Columbia,
[1989] 1 S.C.R. 143 at paras 37, 46; Law v Canada (Minister of Employment and
Immigration), [1999] 1 S.C.R. 497 at para 23; Gosselin v Quebec (Attorney
General), 2002 SCC 84 at para 17; R v Kapp, 2008 SCC 41 at paras
17-18; Alberta v Hutterian
Brethren of Wilson Colony,
2009 SCC 37 at para 106; Ermineskin Indian Band and Nation v Canada, 2009
SCC 9 at para 188; Withler v Canada (Attorney General), 2011 SCC
12 at paras 29-30).
[122] The applicants can point to no previous case in which the location
where an immigrant seeks to settle has been held to be an analogous ground
within the meaning of section 15 of the Charter. Nor has an individual’s
place of residence, per se, been found to constitute an analogous
ground, within the meaning of section 15 of the Charter.
[123] In determining what constitutes an analogous ground, regard should
be given to the grounds listed in section 15, which include race, national or
ethnic origin, colour, religion, sex, age and mental or physical disability. In
Corbiere v Canada (Minister of Indian and Northern Affairs),
[1999] 2 S.C.R. 203 [Corbiere], the Supreme Court provided guidance as to
the characteristics of a ground of distinction that may constitute an analogous
ground within the meaning of section 15 of the Charter. At para 60,
Justices McLachlin (as she then was) and Bastarache, writing for the majority,
stated:
… An analogous ground may be shown by the
fundamental nature of the characteristic: whether from the perspective of a
reasonable person in the position of the claimant, it is important to their
identity, personhood or belonging. The fact that a characteristic is immutable,
difficult to change or changeable only at unacceptable personal cost may also
lead to its recognition as an analogous ground [citation omitted]. It is also
central to the analysis if those defined by the characteristic are lacking in political
power, disadvantaged, or vulnerable to becoming disadvantaged or having their
interests overlooked [citation omitted]. Another indicator is whether the
ground is included in federal and provincial human rights codes …
[124] In Corbiere, the Supreme Court found that off-reserve
status of Indian band members constituted an analogous ground, within the
meaning of section 15, based on the above test. In so holding, however, the
Court was careful to note that the residency of Indians is sui generis and
thus the holding in that case does not establish that residency or potential
residency is a characteristic deserving of protection under section 15 in other
circumstances. The majority stated in this regard, at para 15, that “the ordinary ‘residence’ decisions faced by the average
Canadians should not be confused with the profound decisions Aboriginal band
members make to live on or off their reserves, assuming choice is possible. The
reality of their situation is unique and complex”.
[125] Moreover, contrary to what the applicants claim, in R v Turpin,
[1989] 1 S.C.R. 1296, the Supreme Court did not establish that place of
residence constitutes an analogous ground under section 15 of the Charter.
Justice Wilson merely did not foreclose the possibility that “a person’s province of residence or place of trial could in
some circumstances be a personal characteristic of the individual or group
capable of constituting a ground of discrimination” (at para 48). In
that case, she found it not to be so.
[126] Once again, the issue has been squarely addressed against the
applicants by Justice Rennie, in Tabingo. There, he held that even on
the stronger ground of country of residence (which might be closer to an
enumerated ground than the destination an immigrant wishes to reach), section
15 was not engaged. He stated at para 114:
It is doubtful that country of residence
could be an analogous ground. Country of residence is not an immutable
characteristic, nor is it vital to identity, given the applicants’ willingness
to immigrate. Nor are the applicants a discrete and insular minority, and
certainly not such a group within Canadian society. Country of residence, in
contrast to race and religion, does not have the same historical antecedence of
being a basis for discrimination, nor is there sufficient evidence that would
establish that residence is an illegitimate or demeaning proxy for merits-based
decision making. Accordingly, I find that country of residence is not an
analogous ground of discrimination under section 15 of the Charter…
[127] This reasoning applies with full force and effect in the present
cases. Thus, no rights under section 15 of the Charter have been
violated in these cases. The applicant’s Charter-based claims will
accordingly be dismissed
D.
Other constitutional claims
[128] The applicants finally advance vague assertions that the treatment
they have been afforded violates their right to equality under the rule of law
and that the preference afforded to those who applied under the QIP violates
the principles of federalism. Neither of these claims has any merit.
[129] With respect to the former, in Tabingo, Justice Rennie gave
short shrift to a similar rule of law argument, noting that the only basis for
an equality claim that seeks to set aside legislation rests in section 15 of
the Charter. His reasoning applies equally to attempts to set aside
ministerial decisions made pursuant to legislative authority such as those made
in this case. He stated at paras 52-53:
… the applicants have argued for an
understanding of unwritten constitutional principles that would expand on the
rights specifically provided for in the written Constitution. In particular,
the applicants have argued that, embedded in the rule of law, there is a
broader equality right than that provided for in section 15 of the Charter.
Acceptance of this argument would render the written constitutional rights
redundant. The recognition of unwritten constitutional principles is not an
invitation to dispense with the written text of the Constitution [citation
omitted], and, while the parameters of the unwritten principles of the
Constitution remain undefined, they must be balanced against the concept of
Parliamentary sovereignty which is also a component of the rule of law
[citation omitted].
The argument predicated on the rule of law
and unwritten principles of the Constitution is therefore dismissed.
[130] I endorse and adopt these comments and accordingly, for the same
reasons, dismiss this argument.
[131] As for the federalism argument, the applicants argued that the
Constitution prevents different benefits accruing to Quebec than the rest of
the country. They allege this has occurred under the QIP, as Quebec has
received a greater proportion of investor funds than other provinces. This
argument is likewise without merit, and, indeed, the applicants have cited no
authority in support of it. This argument has no basis as it is axiomatic that
different benefits may well accrue under federal legislation to different areas
of the country. Indeed, much federal legislation is designed to specifically effect
just such a result, such as equalization payments, which are expressly
permitted under subsection 36(2) of the Constitution Act, 1982. Thus,
there has been no violation of the so-called “federalism principle” by the
respondent in this case.
[132] The applicants have therefore failed to demonstrate any other breach
of the Constitution in these matters.
[133] Their Applications will accordingly be dismissed.
VIII.
Certified Questions
[134] I turn, finally, to the requests of both parties to certify
questions under subsection 74(d) of the IRPA.
[135] The applicants propose the following questions for certification:
1. Does a foreign
national, with a statutory right to apply for a visa pursuant to s. 12 of the IRPA
and ss. 88-89 of the IRPA Regulations, and a right of judicial review pursuant
to s. 72 of the IRPA, and ss. 18-18.1 of the Federal Courts Act,
have standing to argue Charter, and/or other constitutional issues,
either pursuant to:
a)
s. 3(3)(d) of the IRPA; and/or
b)
ss. 24(1) and s. 52 of the Constitution Act, 1982?
2. Does the
Minister’s choosing and/or failing to process the Applicants’ Immigrant
Investor Applications amount to a violation of the Applicants’:
a)
rights under the IRPA; and/or
b)
their right to “legitimate expectations”
i.
under common law; and/or
ii.
under s. 7 of the Charter?
3. Does the
Minister’s choosing and/or failing to process the Applicants’ Immigrant
Investor Applications amount to a violation of the Applicants’:
a) right to equality of treatment under the unwritten constitutional
imperatives; and/or
b) under s. 15 of the Charter?
4. Are the
applicants entitled relief by way of
a)
mandamus, nunc pro tunc, and/or
b)
declaratory relief and mandamus;
to
have their Applications processed in accordance with the Regulations and
the criteria in effect at the time of the filing of their applications,
regardless of whether s. 87.5 of the IRPA is proclaimed?
[136]
The respondent does not object to questions 1 to
3 suggested by the applicants but does object to question 4 as being purely
hypothetical since, at the point the case was argued, section 87.5 had not yet
been enacted. It proposes its own question for certification:
1. Are individuals
who will be subject to a lengthy waiting period, prior to the assessment of
their immigration applications under the Investor class, due to the effect of
annual targets and Ministerial Instructions made under s. 87.3 of the IRPA,
entitled to an order of mandamus to compel immediate processing?
[137] The applicants consent to the question posed by the respondent
provided the word “immediate” is deleted from it.
[138] Paragraph 74(d) of the IRPA provides that “an
appeal to the Federal Court of Appeal may be made only if, in rendering
judgment, the judge certifies that a serious question of general importance is
involved and states the question”. The case law establishes two criteria
for such a question, namely, that it must concern issues of broad significance
or general application (that is, it must transcend the interest of the parties)
and it must be determinative of the appeal by having been determinative for the
trial judge (Kanthasamy v Canada (Minister of Citizenship and Immigration),
2014 FCA 113 at para 23; Boni c Canada (Ministre de la Citoyenneté & de
l'Immigration), 2006 FCA 68 at para 10; Zazai v Canada (Minister of
Citizenship and Immigration), 2004 FCA 89 at para 11; Liyanagamage v
Canada (Minister of Citizenship and Immigration) (1994), 176 NR 4 at para
4; Di Bianca v Canada (Minister of Citizenship & Immigration) 2002
FCT 935 at para 22).
[139] Justice Boivin certified the question posed by the respondent in He,
Zhang, Fang, Jiang, Kearney, and Wurm, and
Justice Rennie certified the following questions in Tabingo:
1.
Does subsection 87.4(1) of the IRPA terminate by operation of law the
applications described in that subsection upon its coming into force, and if
not, are the applicants entitled to mandamus?
2. Does the Canadian
Bill of Rights mandate notice and an opportunity to make submissions prior
to termination of an application under subsection 87.4(1) of the IRPA?
3. Is section 87.4
of the IRPA unconstitutional, being contrary to the rule of law or
sections 7 and 15 [of] the Canadian Charter of Rights and Freedoms?
[140] In the interest of comity and in light of the number of applicants
directly affected by this decision, I have determined it appropriate to certify
the following questions:
1. Are individuals who have been subject to a lengthy waiting period
prior to the assessment of their immigration applications under the investor
class, due to the annual targets and Ministerial Instructions made under s.
87.3 of the IRPA, entitled to an order in the nature of mandamus to
compel their processing?
2.
Does such a delay violate the applicants’ rights
under either sections 7 or 15 of the Charter or the rule of law?
[141] I believe these questions arise from my reasons and reflect the
issues that I have found to be dispositive. I decline to certify the fourth
question posed by the applicants as it is hypothetical in light of the
dismissal of their Applications for Judicial Review.