Dockets: IMM-3700-13
IMM-5940-14
Citation:
2015 FC 892
Ottawa, Ontario, July 23, 2015
PRESENT: The
Honourable Mr. Justice Boswell
Docket: IMM-3700-13
|
BETWEEN:
|
Y.Z. AND THE
CANADIAN ASSOCIATION OF REFUGEE LAWYERS
|
Applicants
|
and
|
THE MINISTER OF
CITIZENSHIP AND IMMIGRATION AND THE MINISTER OF PUBLIC SAFETY AND EMERGENCY
PREPAREDNESS
|
Respondents
|
Docket: IMM-5940-14
|
AND BETWEEN:
|
G.S. AND C.S.
|
Applicants
|
and
|
THE MINISTER OF
CITIZENSHIP AND IMMIGRATION
|
Respondent
|
JUDGMENT AND REASONS
TABLE OF CONTENTS
I.
Introduction
[1]
As part of the reforms enacted by the Protecting
Canada's Immigration System Act, SC 2012, c 17, Parliament added paragraph
110(2)(d.1) to the Immigration and Refugee Protection Act, SC 2001, c 27
[IRPA]. This new paragraph became effective on December 10, 2012, the
same date as when the Refugee Appeal Division [RAD] of the Immigration and
Refugee Board [IRB] became operational under section 110 of the IRPA. (Order
Fixing December 15, 2012 as the Day on which Certain Sections of the Act Come
into Force, SI/2012-94, (2012) C Gaz II, 2980; IRPA s 275).
Paragraph 110(2)(d.1) denies access to the RAD for all refugee claimants from
any country designated by the Minister of Citizenship and Immigration pursuant
to section 109.1 of the IRPA.
[2]
The present applications for judicial review
challenge the constitutionality of paragraph 110(2)(d.1) and the mechanism
for selecting which countries to designate. The Applicants allege that denying
refugee claimants from designated countries of origin an appeal to the Refugee
Appeal Division [RAD] violates sections 7 and 15(1) 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 [Charter].
[3]
The primary Applicants are three refugee
claimants from designated countries of origin [DCOs]. Y.Z. is a citizen of Croatia who fears persecution as a Serb and a gay man. G.S. and C.S. are a gay couple from Hungary whose fear is based on their sexual orientation; C.S. is also a national of Romania.
[4]
The Refugee Protection Division [RPD] of the IRB
found each of these three Applicants credible, but ultimately rejected their
claims on the basis that there was adequate state protection in Croatia for
Y.Z. and in Hungary for G.S. and C.S. They each obtained leave to apply for
judicial review of those RPD decisions, and this Court determined that the
RPD's conclusion about state protection was unreasonable in Y.Z.'s case and
allowed his application for judicial review. That determination, however, does
not impact Y.Z.'s status as a party to this matter. Unless and until the RPD
determines him to be a refugee, there is still a live issue as to whether he is
entitled to appeal to the RAD. The decision in G.S. and C.S.’s application for
judicial review remains pending.
[5]
Concurrently, the Applicants tried to challenge
the constitutionality of the DCO regime by appealing to the RAD. On May 2,
2013, Y.Z.'s appeal to the RAD was dismissed before he even had time to perfect
it, with the RAD simply stating that it did not have jurisdiction by virtue of
paragraph 110(2)(d.1) of the IRPA. Y.Z. eventually withdrew an
application to reopen his appeal. G.S. and C.S. did perfect their appeal, but
it too was dismissed by the RAD on July 11, 2014. The RAD decided that it did
not have jurisdiction to assess the constitutionality of any provisions in subsection
110(2) of the IRPA, and that it could only determine whether the
conditions listed in this subsection were factually met (citing Nova Scotia
(Workers' Compensation Board) v Martin, 2003 SCC 54 at paragraphs 42 and
48, [2003] 2 S.C.R. 504; Kroon v Canada (Minister of Citizenship and
Immigration), 2004 FC 697 at paragraphs 9, 32-33 and 40, 252 FTR 257; and
others).
[6]
The Applicants now seek judicial review of the
RAD's decisions pursuant to subsection 72(1) of the IRPA. The
Canadian Association of Refugee Lawyers [CARL] also applied with Y.Z. as a
public interest litigant. The Respondents' motion opposing CARL's standing was
not filed until December 16, 2014, more than 18 months after Y.Z and CARL filed
their application for leave and for judicial review; that motion was dismissed
by an order of the Court dated January 15, 2015, because it had not been
brought in a diligent manner. Nonetheless, the Court's order dismissing the
motion was made without prejudice to the Respondents raising the same arguments
at the hearing of this matter, and they did so. The Respondents also moved to
strike out many of the affidavits filed by the Applicants. That motion, which
was filed on November 19, 2014, was deferred to the hearing of these
consolidated applications.
II.
Overview of the Designated Countries of Origin
Regime
[7]
Teny Dikranian, one of the Respondents'
witnesses, states in her affidavit that one of the principal goals of the DCO
regime “is to deter abuse of [Canada's] refugee system
by people who come from countries generally considered safe and 'non-refugee
producing', while preserving the right of every eligible refugee claimant to
have a fair hearing before the IRB.” To achieve that goal, Parliament
created a separate procedure for refugee claims made by nationals of a DCO.
They still have a full hearing before the RPD, but their claims are treated
differently under the IRPA and the Immigration and Refugee Protection
Regulations, SOR/2002-227 [Regulations]. The relevant legislative
provisions are reproduced in Annex A to these reasons. They contemplate several
unique consequences for claimants from DCOs. I will shortly review these
consequences in more detail below; but for the moment the most significant consequences
are summarized in the following chart:
[BLANK]
|
DCO Claimants
|
Non-DCO
Claimants
|
IRPA and Regulations
|
Eligible for work
permit under R206?
|
180
days after claim referred to RPD
|
Immediately
after claim referred to RPD
|
A30(1.1); A32(d); R206(1); R206(2)
|
Time to RPD hearing?
|
Within 45 days (port of entry)
Within
30 days (inland)
|
Within
60 days
|
A100(4.1); A111.1(1)(b); A111.1(2);
R159.9(1)
|
Eligible for RAD
appeal?
|
No
|
Yes,
unless otherwise precluded by A110(2)
|
A110(2)(d.1)
|
Removal order comes
into force?
|
15
days after receiving written RPD decision
|
If appealed to RAD, 15 days after notice that RAD appeal rejected
Otherwise,
15 days after receiving written RPD decision
|
A49(2)(c); A110(2.1); R159.91(1)(a)
|
Automatic stay of removal until judicial review decided and any
appeals exhausted?
|
No
|
Yes,
if applying for judicial review of RAD decision
|
R231(1); R231(2)
|
Pre-Removal Risk Application
bar?
|
36
months
|
12
months
|
A112(2)(b.1); A112(2)(c)
|
[8]
The differential procedures faced by DCO claimants
vis-à-vis non-DCO claimants under the IRPA are as follows:
1.
Subsection 206(1) of the Regulations
normally allows foreign nationals whose claims are referred to the RPD to get a
work permit if they cannot support themselves without working and are subject
to an unenforceable removal order. However, subsection 206(2) of the Regulations
provides that a foreign national from a DCO cannot be issued a work permit
unless 180 days have passed since his or her claim was first referred to the
RPD.
2.
Subsection 111.1(2) of the IRPA
authorizes the creation of regulations that “provide
for time limits [for claimants from DCOs] that are different from the time
limits for other claimants” when scheduling a hearing pursuant to
subsection 100(4.1) of the IRPA. This has been done by paragraph 159.9(1)(a)
of the Regulations, which provides that a hearing for a DCO claimant
must be scheduled within 45 days if he or she asks for protection at a port of
entry, or within 30 days if he or she asks for protection inland. For
claimants from non-DCOs, hearings are expected to be scheduled within 60 days
no matter where they make their claim (Regulations, s 159.9(1)(b)).
Subject to the availability of counsel, a hearing will be scheduled on “the date closest to the last day of the applicable time
limit set out in the Regulations, unless the claimant agrees to an earlier
date” (Refugee Protection Division Rules, SOR/2012-256, ss 3(2),
3(3)(b), 54(5) [RPD Rules]). All claimants can apply to change the date
of the hearing in exceptional circumstances (RPD Rules, s 54(1), 54(4)).
3.
Subsection 161(1.1) of the IRPA permits the
Chairperson of the IRB to differentiate between DCO and non-DCO claimants when
making rules about “the information that may be
required and the manner in which, and the time within which, it must be
provided with respect to a proceeding before the Board” (Act, s
161(1)(c), 161(1.1)). To date, it appears that no rules which make such
distinctions have yet been enacted. Claimants from any country must submit
their basis of claim forms and other relevant documents as soon as their claims
are referred to the RPD if their claims are made inland, or within 15 days if
their claims are made at a port of entry (IRPA, ss 99(3.1), 100(4),
111.1(1)(a); Regulations, s 159.8; RPD Rules, s 7). All claimants
can also ask for extensions of time (Regulations, s 159.8(3); RPD
Rules, s 8).
4.
DCO claimants cannot appeal a negative RPD
decision to the RAD because of paragraph 110(2)(d.1):
110. … (2) No appeal [to the RAD] may
be made in respect of any of the following:
|
110. … (2) Ne sont pas susceptibles d’appel [à
la Section d’appel des réfugiés] :
|
…
|
…
|
(d.1) a decision of the Refugee
Protection Division allowing or rejecting a claim for refugee protection made
by a foreign national who is a national of a country that was, on the day on
which the decision was made, a country designated under subsection 109.1(1);
|
(d.1) la décision de la Section de la
protection des réfugiés accordant ou rejetant la demande d’asile du
ressortissant d’un pays qui faisait l’objet de la désignation visée au
paragraphe 109.1(1) à la date de la décision;
|
The
same is not true of claimants from other non-DCO countries; they will only lose
access to the RAD if one of the other conditions in subsection 110(2) is met
(e.g., if a decision of the RPD “states that the claim
has no credible basis or is manifestly unfounded” (Act, s
110(2)(c))).
5.
Removal orders will typically come into force
sooner for claimants from DCOs. Paragraph 49(2)(c) of the IRPA prevents
a removal order for refugee claimants from coming into force until 15 days
after any appeal to the RAD is rejected, which is something DCO claimants can
never benefit from since they are denied an appeal to the RAD. Instead, their
departure orders will come into force 15 days after they receive the RPD's
written reasons for rejecting their claims, and their departure orders will
become deportation orders 30 days after that unless they leave Canada before
then (IRPA, ss 49(2)(c), 110(2.1); Regulations,
ss 159.91(1)(a), 224(2), 240(1)(a-c); Affidavit of Christopher Raymond
(20 November 2014) at paragraphs 3-5).
6.
Subsection 231(1) of the Regulations
grants an automatic stay of removal to refugee claimants who seek judicial
review of a RAD decision, but not to those who seek judicial review of a RPD
decision. Thus, DCO claimants cannot benefit from that subsection. Even if they
had an appeal to the RAD because their country was only designated after the
RPD had rejected their claim, subsection 231(2) ensures that these claimants
will not get an automatic stay of removal if they subsequently apply for
judicial review. Consequently, unless they can obtain a judicial stay of
removal from this Court, DCO claimants may be removed from Canada before their
applications for leave and for judicial review are even considered by this
Court.
7.
Unless certain exemptions are granted,
paragraphs 112(2)(b.1) and (c) of the IRPA bar all refugee claimants
from seeking a pre-removal risk assessment until 12 months have passed since
their claim for protection was last rejected. DCO claimants, however, have to
wait 36 months in the same circumstances.
[9]
Designation as a DCO also affected the level of
government-funded health care that claimants from DCOs received until the Order
Respecting the Interim Federal Health Program, 2012, SI/2012-26,
(2012) C Gaz II, 1135, was invalidated by Madam Justice Anne Mactavish in Canadian
Doctors for Refugee Care v Canada (AG), 2014 FC 651, 28 Imm LR (4th) 1 [Canadian
Doctors].
[10]
As for how a country is designated, this is
governed by section 109.1 of the IRPA:
109.1 (1) The Minister may, by order,
designate a country, for the purposes of subsection 110(2) and section 111.1.
|
109.1 (1) Le ministre peut, par arrêté,
désigner un pays pour l’application du paragraphe 110(2) et de l’article
111.1.
|
(2) The Minister may only make a designation
|
(2) Il ne peut procéder à la désignation que dans les cas suivants
:
|
(a) in the case where the number of
claims for refugee protection made in Canada by nationals of the country in
question in respect of which the Refugee Protection Division has made a final
determination is equal to or greater than the number provided for by order of
the Minister,
|
a) s’agissant d’un pays dont les
ressortissants ont présenté des demandes d’asile au Canada sur lesquelles la
Section de la protection des réfugiés a statué en dernier ressort en nombre
égal ou supérieur au nombre prévu par arrêté, si l’une ou l’autre des
conditions ci-après est remplie :
|
(i) if the rate,
expressed as a percentage, that is obtained by dividing the total number of
claims made by nationals of the country in question that, in a final
determination by the Division during the period provided for in the order,
are rejected or determined to be withdrawn or abandoned by the total number
of claims made by nationals of the country in question in respect of which
the Division has, during the same period, made a final determination is equal
to or greater than the percentage provided for in the order, or
|
(i) le taux,
exprimé en pourcentage, obtenu par la division du nombre total des demandes
présentées par des ressortissants du pays en cause qui ont été rejetées par
la Section de la protection des réfugiés en dernier ressort et de celles dont
elle a prononcé le désistement ou le retrait en dernier ressort — durant la
période prévue par arrêté — par le nombre total des demandes d’asile
présentées par des ressortissants du pays en cause et sur lesquelles la
Section a statué en dernier ressort durant la même période est égal ou
supérieur au pourcentage prévu par arrêté,
|
(ii) if the
rate, expressed as a percentage, that is obtained by dividing the total
number of claims made by nationals of the country in question that, in a
final determination by the Division, during the period provided for in the
order, are determined to be withdrawn or abandoned by the total number of
claims made by nationals of the country in question in respect of which the
Division has, during the same period, made a final determination is equal to
or greater than the percentage provided for in the order; or
|
(ii) le taux,
exprimé en pourcentage, obtenu par la division du nombre total des demandes
présentées par des ressortissants du pays en cause dont la Section de la
protection des réfugiés a prononcé le désistement ou le retrait en dernier
ressort — durant la période prévue par arrêté — par le nombre total des demandes
d’asile présentées par des ressortissants du pays en cause et sur lesquelles
la Section a statué en dernier ressort durant la même période est égal ou
supérieur au pourcentage prévu par arrêté;
|
(b) in the case where the number of
claims for refugee protection made in Canada by nationals of the country in
question in respect of which the Refugee Protection Division has made a final
determination is less than the number provided for by order of the Minister,
if the Minister is of the opinion that in the country in question
|
b) s’agissant d’un pays dont les
ressortissants ont présenté des demandes d’asile au Canada sur lesquelles la
Section de la protection des réfugiés a statué en dernier ressort en nombre
inférieur au nombre prévu par arrêté, si le ministre est d’avis que le pays
en question répond aux critères suivants :
|
(i) there is an
independent judicial system,
|
(i) il y existe
des institutions judiciaires indépendantes,
|
(ii) basic
democratic rights and freedoms are recognized and mechanisms for redress are
available if those rights or freedoms are infringed, and
|
(ii) les droits
et libertés démocratiques fondamentales y sont reconnus et il y est possible
de recourir à des mécanismes de réparation pour leur violation,
|
(iii) civil
society organizations exist.
|
(iii) il y
existe des organisations de la société civile.
|
(3) The Minister may, by order, provide for the number, period or
percentages referred to in subsection (2).
|
(3) Le ministre
peut, par arrêté, prévoir le nombre, la période et les pourcentages visés au
paragraphe (2).
|
(4) An order made under subsection (1) or (3) is not a statutory
instrument for the purposes of the Statutory Instruments Act. However,
it must be published in the Canada Gazette.
|
(4) Les arrêtés
ne sont pas des textes réglementaires au sens de la Loi sur les textes
réglementaires, mais sont publiés dans la Gazette du Canada.
|
[11]
Pursuant to subsection 109.1(3), the Minister of
Citizenship and Immigration [MCI] has issued an Order Establishing
Quantitative Thresholds for the Designation of Countries of Origin, (2012)
C Gaz I, 3378 [Thresholds Order], which prescribes the numbers used in
subsection 109.1(2) as follows:
2. For the purposes of paragraphs
109.1(2)(a) and (b) of the Act, the number provided is 30
during any period of 12 consecutive months in the three years preceding the
date of the designation.
|
2. Pour l’application des alinéas 109.1(2)a)
et b) de la Loi, le nombre est de trente durant toute période de douze
mois consécutifs au cours des trois années antérieures à la date de la
désignation.
|
3. For the purposes of subparagraph
109.1(2)(a)(i) of the Act, the period provided is the same 12 months
used in section 2, and the percentage is 75%.
|
3. Pour l’application du sous-alinéa
109.1(2)a)(i) de la Loi, la période est la même période de douze mois
retenue aux termes de l’article 2 et le pourcentage est de 75 %.
|
4. For the purposes of subparagraph
109.1(2)(a)(ii) of the Act, the period provided is the same 12 months
used in section 2, and the percentage is 60%.
|
4. Pour l’application du sous-alinéa
109.1(2)a)(ii) de la Loi, la période est la même période de douze mois
retenue aux termes de l’article 2 et le pourcentage est de 60 %.
|
[12]
One of the Respondents' witnesses, Eva Lazar,
testifies that when a country meets the quantitative criteria set out in
paragraph 109.1(2)(a) or the qualitative criteria set out in paragraph
109.1(2)(b), the Monitoring, Analysis and Country Assessment Division [MACAD]
of the Refugee Affairs Branch at Citizenship and Immigration Canada [CIC] will
conduct an in-depth review of the conditions in that country. This process
requires a careful examination of publicly available and objective evidence
from a range of credible sources such as the United States Department of State,
the United Nations Human Rights Committee, Amnesty International, and local
non-governmental organizations. The MACAD then prepares a report assessing nine
human rights and state protection factors: (1) democratic governance; (2) protection
of right to liberty and security of the person; (3) freedom of opinion and
expression; (4) freedom of religion and association; (5) freedom from
discrimination and protection of rights for groups at risk; (6) protection from
non-state actors; (7) access to impartial investigations; (8) access to an independent
judiciary system; and (9) access to redress [collectively, the Designation
Factors]. This report is finalized through consultation with the Directors
General Interdepartmental Committee on DCO, which includes representatives from:
CIC; the Canada Border Services Agency [CBSA]; the Department of Foreign
Affairs, Trade, and Development; Public Safety; the Department of Justice; the
Canadian Security Intelligence Service; and the Royal Canadian Mounted Police. If
designation is recommended, then that recommendation and the final DCO country
review are sent to the MCI, who will then decide whether to designate the
country.
[13]
When this matter was heard, 42 countries had
been designated by the MCI as DCOs. Croatia, Hungary and Romania have been
designated on a quantitative basis under paragraph 109.1(2)(a). Other
countries such as Andorra, Estonia and Slovenia have been designated on a
qualitative basis under paragraph 109.1(2)(b). Of the 42 DCOs, country reviews were
triggered on a quantitative basis under paragraph 109.1(2)(a) for 19 countries,
and on a qualitative basis under paragraph 109.1(2)(b) for 23 countries.
[14]
There is no express authority set out in the IRPA
for removing a country’s designation, but Ms. Lazar testifies that the MCI
approved a process for doing so on or about October 14, 2014. This process
requires that all DCOs are regularly monitored for significant changes in
country conditions and also reassessed annually against the Designation Factors.
A review may be recommended if conditions appear to be deteriorating
significantly in any five of the nine Designation Factors, or in any one of the
three key criteria: democratic governance; protection of the rights to liberty
and security of the person; and an independent judiciary. If there is a review,
then a full country report will again be prepared and the MCI will decide
whether the country should remain designated. At the time of the hearing of
this matter, no DCO has been removed from the list of DCOs.
III.
Is section 109.1 directly in issue?
[15]
The Applicants frame the issues arising from
these applications more broadly than the Respondents. They say that the primary
question to resolve is whether the combined effect of section 109.1, paragraph
110(2)(d.1) of the IRPA and the Thresholds Order violate section
7 or subsection 15(1) of the Charter. At the hearing of this matter, the
Applicants challenged the entire DCO regime insofar as they argued that the
designation process itself is not Charter-compliant.
[16]
In contrast, the Respondents contend that the
Applicants are seeking remedies which are not properly part of these
applications, noting in particular that their applications for judicial review
do not ask that the Thresholds Order be declared void and of no force
and effect. According to the Respondents, if the declaratory relief sought with
respect to paragraph 110(2)(d.1) is granted, declaring section 109.1 of the IRPA
and the associated Thresholds Order to be void and of no force and
effect would be superfluous because the individual Applicants would obtain the
remedy they seek; that is, an appeal to the RAD.
[17]
I agree with the Respondents that the relief
sought by the Applicants has evolved over time. The application in Court file
IMM-3700-13, dated May 27, 2013, requests only that the RAD's decision in
Y.Z.'s case be set aside and that paragraph 110(2)(d.1) of the IRPA be
declared to have no force and effect pursuant to subsection 52(1) of the Constitution
Act, 1982, being Schedule B to the Canada Act 1982 (UK), 1982, c 11
[Constitution Act, 1982]. The application in Court file IMM-5940-14,
dated August 5, 2014, requests that the RAD's decision in the case of G.S. and
C.S. be set aside and that both section 109.1 and paragraph 110(2)(d.1) of the IRPA
be declared to have no force and effect pursuant to section 52 of the Constitution
Act, 1982. Most recently, the Notice of Constitutional Question, dated
February 11, 2015, states the Applicants' intention to question the
constitutional validity of “the effect of”
section 109.1, paragraph 110(2)(d.1), and the Thresholds Order.
[18]
I further agree with the Respondents that it
would be inappropriate to assess whether the DCO regime as a whole, or any
aspect of the regime other than paragraph 110(2)(d.1), is not compliant with
the Charter. It is not appropriate in this case to directly assess the
constitutionality of section 109.1 and the associated Thresholds Order for
several reasons.
[19]
First, a finding that paragraph 110(2)(d.1) is
unconstitutional would be sufficient to grant the individual Applicants the substantive
relief they seek in these applications; that is, an appeal to the RAD in
respect of their claims which were rejected by the RPD. To go beyond this
constitutional issue and also assess the constitutionality of other aspects of
the DCO regime would be an unwarranted exercise because unnecessary
constitutional pronouncements should generally be avoided (Phillips v Nova
Scotia (Commission of Inquiry into the Westray Mine Tragedy), [1995] 2 SCR
97 at paragraphs 6-11, 124 DLR (4th) 129; Ishaq v Canada (Citizenship and
Immigration), 2015 FC 156 at paragraph 66, 381 DLR (4th) 541).
[20]
Second, there is insufficient evidence in the
record to fully assess all of the consequences of a country being designated under
section 109.1. As the Supreme Court stated in Mackay v Manitoba, [1989]
2 SCR 357 at 361-362, 61 DLR (4th) 385:
Charter
decisions should not and must not be made in a factual vacuum. To attempt to
do so would trivialize the Charter and inevitably result in
ill-considered opinions. The presentation of facts is not, as stated by the
respondent, a mere technicality; rather, it is essential to a proper
consideration of Charter issues. … Charter decisions cannot be
based upon the unsupported hypotheses of enthusiastic counsel.
For instance, there is
not enough evidence to assess the potential disadvantages for DCO-claimants who
are ineligible for a work permit until 180 days after their claim is referred
to the RPD. G.S. states in his affidavit that he is upset that he cannot get a
work permit and that, since social assistance is insufficient, he and C.S. needed
to take unsafe jobs and work harder than their Canadian colleagues for the same
amount of pay. However, this evidence alone is not sufficient to prove that either
section 7 or subsection 15(1) of the Charter is violated by subsection
206(2) of the Regulations. Furthermore, G.S.’s affidavit was only filed
on October 21, 2014, and this was the first indication that subsection 206(1)
of the Regulations could be in peril. The Respondents were required to
serve their own further affidavits one month later on November 21, 2014, and
they did not have a reasonable opportunity to mount a section 1 Charter defence
to this potential challenge prior to the hearing of this matter.
[21]
Third, I am not convinced that this is a suitable
case to decide whether the abbreviated timelines for DCO claimants are
necessarily invalid or unconstitutional. Despite the Applicants' arguments to
the contrary, the abbreviated timelines do not appear to be insurmountable. The
difference between the hearing dates for DCO claimants and non-DCO claimants is
not inordinate, and the RPD decisions in respect of the individual Applicants
in this case show that they, as DCO claimants, were able to meet the deadlines.
C.S. mentioned during his re-examination that he would have liked more time so
that some evidence from Hungary could arrive, but that never formed a basis for
his application. The individual Applicants did not ask to adjourn their
hearings before the RPD; they were able to file substantial documentation
(including medical reports); they presented their cases fully; and they did not
allege in their applications for leave and for judicial review in this Court
that they had insufficient time to prepare for the hearings before the RPD. The
Applicants have presented evidence that some types of claimants may have a
harder time than others meeting short deadlines; yet, a speedier process could
also be considered a benefit to those claimants who are ultimately successful,
since it could be stressful for genuine refugees to wait for years before their
status is finally settled. These issues would be better decided in a case where
the abbreviated timelines have actually made a difference to the applicants and
the mechanisms for extending deadlines and re-opening cases have actually been
tested.
[22]
Fourth, none of the individual Applicants are
yet affected by the 36-month ban on making a pre-removal risk assessment [PRRA]
application under paragraphs 112(2)(b.1) and 112(2)(c) of the IRPA. The
constitutionality of that ban should be decided in a factual matrix where the
issue is directly and squarely raised. This is not the case here. The Court's
decision in Peter v Canada (Public Safety and Emergency Preparedness),
2014 FC 1073, 13 Imm LR (4th) 169 [Peter], did not directly assess that
ban; the decision in Peter was concerned with only the 12 month PRRA ban
vis-à-vis section 7 of the Charter. Furthermore, the constitutionality
of the ban against bringing a PRRA application until 36 months have passed, at
least vis-à-vis section 7 of the Charter, will be considered by
the Court of Appeal on the appeal of Al Atawnah v Minister of Citizenship
and Immigration, 2015 FC 774.
[23]
In short, therefore, it is not appropriate in
this case to assess the constitutionality of the DCO regime as a whole or, in
particular, section 109.1, since any declaration that it is invalid would have
effects that exceed the scope of the present applications and the evidentiary
record.
IV.
Issues
[24]
Since section 109.1 of the IRPA is not
directly in issue on these applications, the issues to be addressed are as
follows:
1.
Does CARL have standing as a public interest
litigant?
2.
Should the impugned affidavits be struck out?
3.
Does paragraph 110(2)(d.1) of the IRPA
infringe subsection 15(1) of the Charter?
4.
Does paragraph 110(2)(d.1) of the IRPA
infringe section 7 of the Charter?
5.
If Charter rights are infringed, is paragraph
110(2)(d.1) of the IRPA justified by section 1 of the Charter?
6.
If paragraph 110(2)(d.1) of the IRPA is
unconstitutional, what is an appropriate remedy?
7.
What questions, if any, should be certified?
V.
Does CARL have standing as a public interest
litigant?
[25]
The parties acknowledge that the Court must consider
three factors when deciding whether to grant public interest standing: “(1) whether there is a serious justiciable issue raised; (2)
whether the plaintiff has a real stake or a genuine interest in it; and (3)
whether, in all the circumstances, the proposed suit is a reasonable and
effective way to bring the issue before the courts” (Canada (AG) v
Downtown Eastside Sex Workers United Against Violence Society, 2012 SCC 45
at paragraph 37, [2012] 2 S.C.R. 524 [Downtown]).
A.
CARL’s Arguments
[26]
CARL argues that all of the principles of public
interest standing are in its favour: there is no risk to scarce judicial resources
because its application has already been consolidated with that of Y.Z., G.S.
and C.S.; its involvement in the case has sharpened the arguments and ensured
that they would be thoroughly presented; and it would be beneficial for the rule
of law for it to be granted standing since constitutional cases are complex and
CARL could carry on with the case if for any reason the individual Applicants
cannot.
[27]
In addition, CARL says that all of the factors
set out in Downtown support a grant of public interest standing. The
Respondents concede that there is a serious justiciable issue, and CARL
contends that it has a real stake in the litigation. Relying on the affidavit
of Mitchell Goldberg, CARL submits that it is an association of lawyers and
academics with an interest in legal issues relating to refugees, asylum
seekers, and the rights of immigrants, and one of its key mandates is to ensure
that the human rights of refugees and vulnerable migrants are protected.
Indeed, they raised their concerns about the DCO regime with Parliament while
it was debating Bill C-31, which became the Protecting Canada's Immigration
System Act, SC 2012, c 17 [PCISA]. These interests are broader than
those held by the individual Applicants, and by having standing CARL says it
has been able to raise the prejudicial consequences of the DCO regime that go beyond
those that have affected the individual Applicants. Furthermore, it has
participated in the matter from the outset, thus demonstrating its concern, and
its standing has not altered the timelines in any way.
[28]
CARL contends that granting it standing
alongside three individual Applicants is a reasonable and effective means of
bringing the issues in this case before the Court. CARL says the Court has
already recognized that these issues are better litigated in one robust
proceeding by consolidating Court File Nos. IMM-3700-13 and IMM-5940-14. Giving
CARL standing promotes the continuity and viability of the present litigation
while allowing it to present the full spectrum of issues raised by the DCO
regime. Indeed, CARL points out that there is no guarantee that any of the
individual Applicants would be able or willing to pursue an appeal if their
applications are not successful. The matter could very well become moot if their
applications for judicial review of their respective RPD decisions succeed.
Furthermore, the stays of removal the individual Applicants have obtained only
apply until the end of the present proceeding, and there is no guarantee that
the Federal Court of Appeal would continue them.
[29]
Applying the considerations set out in Downtown
at paragraph 51, CARL submits that it clearly has the resources and expertise
to bring this matter forward, and its members have already volunteered hundreds
of hours to this litigation. It will not cost any additional judicial resources
by affording CARL standing and it would forestall duplicative litigation and
minimize the risk of inconsistent results. Furthermore, the DCO provisions
affect significant numbers of refugee claimants; many of them lack the
resources to challenge the legislation themselves and their interests could not
be adequately advanced by the individual Applicants alone.
[30]
CARL disputes the Respondents' argument that
many other applicants, including G.S. and C.S., came forward without CARL’s assistance.
G.S. and C.S. relied wholly on the record prepared by CARL and Y.Z, so it is
misleading to say that they brought their application “without
CARL.” As for other potential litigants, the Applicants note the Respondents
have been promptly deporting them and challenging their arguments on technical
grounds, trying to impose a complex and onerous procedure for bringing the
issues to this Court that would exhaust the resources of many litigants and
expose them to a greater risk of deportation. There is also no conflict between
CARL's interests and those of the individual Applicants, so CARL submits it
should be granted standing.
B.
Respondents’ Arguments
[31]
The Respondents argue that CARL has no direct
interest in this matter and should be denied public interest standing. Although
the Respondents concede that there is a serious justiciable issue, they say
CARL can offer no useful or distinct perspective on that issue because its
arguments are identical to those put forward by the individual Applicants and
it seeks the same relief. The Respondents say CARL's assertion that it raises
distinct issues is nothing but a smokescreen to justify its participation.
[32]
Indeed, the Respondents argue that litigation by
individual litigants is an entirely effective means of raising the issues
proposed by CARL. Even CARL acknowledges that there are potentially hundreds of
such litigants, and there are already three of them in this matter alone, all
of whom have received stays of removal ensuring that their applications will
not become moot. In the Respondents' view, adding another useless party to the
matter only increases cost and inconvenience. Although CARL says it helped
prepare the record, the Respondents argue that it did not need party status to
do that and there is no evidence about the degree to which it helped. The
Respondents submit that, all other things being equal, the parties with
standing as of right should be preferred to CARL.
[33]
Furthermore, the Respondents submit there is no evidence
that other applicants do not have the resources to bring their own challenges,
nor does CARL's participation preclude those who would from making parallel
applications which could create conflicting jurisprudence. The Respondents also
contend that CARL has mischaracterized the Respondents' position in other
cases. The Respondents did not argue that applicants must pursue a futile
appeal to the RAD but, instead, disputed only an attempt to challenge the
absence of an appeal right through a judicial review of a RPD decision. Had
those applicants commenced a separate application raising the constitutional
issues alone, the Respondents would have had no objection.
[34]
The Respondents also point out that CARL has
participated in most of its cases only as an intervener. Although CARL did have
party status in Canadian Doctors, the Respondents say that case is
distinguishable since: (1) the impugned provisions only refer to nationals of
DCO countries, and there is no other affected category of persons who are not
before the Court; (2) there is no evidence that CARL made concerted
efforts to recruit other litigants; (3) persons affected by the impugned
provisions have already had their claims denied, so they need not fear
vindictiveness from the government if they challenge the constitutionality of
the DCO regime; and (4) the evidentiary record compiled in Canadian Doctors
exceeded what an individual refugee claimant could be expected to assemble, but
in this case G.S. and C.S. were able to compile a virtually identical record
without CARL's help.
[35]
The Respondents also complain that it was
improper for CARL to file its notice of application along with Y.Z. because the
onus was on CARL to prove that it should get standing. The Respondents ask the
Court to discourage this conduct since it unfairly put the burden upon the
Respondents to bring a motion to deny public interest standing. Although that
motion was ultimately dismissed for delay, the Respondents were nonetheless permitted
to raise the same arguments at the hearing. They submit that it would be unfair
to have their motion deferred to the application judge only to have it
dismissed for mootness, and ask for a ruling on the merits.
C.
Analysis
[36]
The Respondents argue that CARL circumvented the
Federal Court’s procedural rules by including itself as a named party when Y.Z.
brought his application. This argument has no merit. Subsection 18.1(1) of the Federal
Courts Act, RSC 1985, c F-7 [Federal Courts Act], permits an
application for judicial review by “anyone directly affected
by the matter in respect of which relief is sought,” and the Court of
Appeal has said that this wording “is broad enough to
encompass applicants who are not directly affected when they meet the test for
public interest standing” (Canada (Royal Canadian Mounted Police) v
Canada (AG), 2005 FCA 213 at paragraph 56, [2006] 1 FCR 53). Standing is
asserted whenever a party applies for judicial review, and the Federal
Courts Rules, SOR/98-106, do not require any party to prove its standing by
a preliminary motion.
[37]
There is also no reason why they should be
required to do so. CARL bears the onus to show that it has standing, but this
is true of all litigants whether they assert private or public interests (Downtown
at paragraph 18). That does not mean they must also prove that they have
standing on a preliminary basis. Such a rule would be contrary to the guidance
in Finlay v Canada (Minister of Finance), [1986] 2 S.C.R. 607 at 616-617,
33 DLR (4th) 321 [Finlay], where the Supreme Court opined that there may
be occasions where standing cannot be determined without a full hearing; it “depends on the nature of the issues raised and whether the
court has sufficient material before it, in the way of allegations of fact,
considerations of law, and argument, for a proper understanding at a
preliminary stage of the nature of the interest asserted” (Finlay
at 617). Those issues are even more pronounced for judicial review applications
in this Court; such applications are meant to be summary procedures that focus “on moving the application along to the hearing stage as
quickly as possible” (David Bull Laboratories (Canada) Inc v
Pharmacia Inc (1994), [1994] FCJ No 1629 (QL) at paragraphs 10-11, [1995] 1
FCR 588 (CA); IRPA, s 74(c); Federal Courts Act, s 18.4(1)).
Preliminary determinations are generally discouraged, not only on questions of standing
but also on any other question (Apotex Inc v Canada (Governor in Council),
2007 FCA 374 at paragraph 13, 370 NR 336; Canada (National Revenue) v JP
Morgan Asset Management (Canada) Inc, 2013 FCA 250 at paragraphs 47-48,
[2014] 2 FCR 557).
[38]
There is therefore nothing improper about the
way that CARL has asserted standing, nor is it unfair to recognize that
granting CARL standing at this stage would not cause any prejudice to the Respondents.
All the issues presently before the Court would need to be considered even if Y.Z.,
G.S., and C.S. were the only applicants. In similar circumstances in Canada
(AG) v Bedford, 2012 ONCA 186 at paragraph 50, 109 OR (3d) 1, var’d on
other grounds 2013 SCC 72, the Ontario Court of Appeal declined to even address
standing since it was irrelevant.
[39]
The Respondents have requested a ruling on the
merits of their motion though, and I have concluded that public interest
standing should be afforded to CARL in this case since this will permit
reasonable and effective litigation of the issues raised by these applications.
[40]
The Respondents concede that there is a serious
justiciable issue, and I agree. The constitutionality of paragraph 110(2)(d.1)
of the IRPA is certainly “a 'substantial
constitutional issue' and an 'important one' that is 'far from frivolous' ”
(Downtown at paragraph 54).
[41]
As to whether CARL has a real stake or a genuine
interest in this matter, “this factor reflects the
concern for conserving scarce judicial resources and the need to screen out the
mere busybody… [and] is concerned with whether the plaintiff has a real stake
in the proceedings or is engaged with the issues they raise” (Downtown
at paragraph 43). CARL is not a mere busybody. CARL is an organization which
includes many experienced immigration and refugee lawyers, and one of its mandates
is to “advocate with respect to legal issues related to
refugees, asylum seekers, and immigrants” (Affidavit of Mitchell
Goldberg (15 September 2014) at paragraph 4 [Goldberg Affidavit]). CARL raised
concerns about the DCO regime before Parliament when the PCISA was being
debated. Moreover, CARL has fully participated in this matter from the outset,
thus demonstrating its interest.
[42]
Granting public interest standing to CARL is also
a reasonable and effective way by which the constitutional concerns about
paragraph 110(2)(d.1) of the IRPA can be brought before the Court. CARL's
resources and expertise are such that the constitutional issues have been
presented in a concrete factual setting. Although the existence of other
potential DCO claimants is a relevant consideration, CARL has joined its
application with three private litigants and thus ensured that judicial
resources will not be wasted (Downtown at paragraph 50). Also, the
practical prospects of other claimants bringing the matter to Court at all or
by equally reasonable and effective means needs to be considered in light of
the fact that many potential claimants could be deported before they even try
to challenge the legislation (see IRPA, s 48(2); Affidavit of James
Gildiner (30 September 2014)). Most refugee claimants arrive with little money
and lack the financial means to litigate complex constitutional issues; whereas
CARL has secured test case funding from Legal Aid Ontario (Goldberg Affidavit
at paragraphs 15 and 20; Affidavit of Dolores De Rico (23 June 2013) at
paragraph 3). CARL will be in a good position to continue this litigation in
the event that Y.Z., G.S., or C.S. should be unable or unwilling to do so.
[43]
In addition, CARL and two other organizations
were granted public interest standing by this Court in Canadian Doctors,
where my colleague Madam Justice Anne Mactavish remarked as follows with
respect to CARL as one of the three organizations which sought standing in that
case:
[347] The three applicant organizations
seeking public interest standing in this case are credible organizations with
demonstrated expertise in the issues raised by these applications. They are
represented by experienced counsel, and have the capacity, resources, and
ability to present these issues concretely in a well-developed factual setting:
Downtown Eastside, above at para. 51. This suggests that this litigation
constitutes an effective means of bringing the issues raised by the application
to court in a context suitable for adversarial determination.
[348] CARL’s membership has extensive
experience in refugee law, and the organization is an active advocate for
refugees. Although a relatively new organization, it has already been granted
intervener status in at least three cases before the Supreme Court of Canada: Downtown
Eastside, Agraira v. Canada (Public Safety and Emergency Preparedness),
2013 SCC 36, [2013] S.C.J. No. 36 and Ezokola v. Canada (Citizenship and
Immigration), 2013 SCC 40, [2013] S.C.J. No. 40.
VI.
The Affidavit Evidence
[44]
The parties have filed more than two dozen
affidavits which contain written testimony and many exhibits. The Respondents
seek to strike out some of the affidavits, or portions thereof, filed by the
Applicants.
[45]
Before addressing the merits of the Respondents'
motion, it is useful to summarize some of the evidence presented by the parties.
A.
The Applicants’ Affidavit Evidence
[46]
Y.Z. is one of the Applicants in IMM-3700-13. He
testifies that he fears persecution in Croatia because he is a Serb and because
he is gay. His refugee claim was rejected by the RPD, but he maintains that he may
be attacked or killed if he lived openly as a gay man in Croatia and that he
would either kill himself or die a “slow death”
if he has to hide his orientation. He has started having relationships in Canada and is fearful and anxious whenever he thinks he might be sent back to Croatia. He presents some recent evidence about conditions in Croatia by way of an exhibit.
[47]
G.S. is one of the Applicants in Court File No.
IMM-5940-14. He is a gay man from Hungary whose refugee claim was refused by
the RPD on the basis that the Hungarian state could protect him and his
partner, C.S. He testified in his original affidavit, dated September 3, 2014,
that his family has since discovered he is gay and his brothers-in-law say they
will kill him for shaming them. In his further affidavit, dated October 21,
2014, G.S. states he is upset that he has less procedural rights than other
refugee claimants just because he is from Hungary. Although the removal order
against G.S. and C.S. was eventually stayed by this Court, G.S. says it was the
worst thing to happen to them since coming to Canada. He was acutely afraid of
being returned to Hungary, and he and his partner could not sleep for days. The
refugee process overall has been very frustrating for them, and G.S. states the
CBSA officials “smirked” when they learned that
he and his partner were from Hungary. G.S. also claims that two of his friends
who lived in the same building as him in Hungary had the same counsel and
obtained refugee protection on essentially the same evidence. In addition, G.S.
is upset that he cannot get a work permit, since social assistance is
insufficient. He and his partner both had comfortable careers in Hungary, but
without work permits they have been forced to take unsafe jobs and work up to three
times harder than their Canadian colleagues for the same amount of pay. G.S.
also says that he and C.S. want the opportunity to contribute to Canadian
society. Living in Canada has brought him and his partner a sense of dignity he
never thought possible, and he says having that taken away would be torture.
[48]
C.S. is the other Applicant in Court File No.
IMM-5940-14. He is a gay man who is originally from Romania; he is also a
citizen of Hungary. He testifies that he could not live openly with G.S. in
either Romania or Hungary because they would both be in danger of violent
persecution. Being able to live together as a family in Canada has been an incredibly positive experience for them. He says that he is frustrated
and dismayed with the refugee process in Canada, and enduring the CBSA's
attempts to deport him was one of the most stressful experiences of his life.
[49]
Mitchell Goldberg is the vice-president of CARL.
He says CARL's membership is composed of many experienced refugee lawyers and
academics, and it has been granted status as a party or an intervener in many
cases. He notes that Canada's immigration and refugee system has been
undergoing significant reforms, and CARL made submissions to the standing
committee on immigration as Parliament debated what would become the PCISA.
DCOs have always been a central concern, creating a regime which CARL fears has
created a real risk to the lives, liberty and security of its membership's
clients. He also testifies that it is difficult for claimants themselves to
challenge the constitutionality of this legislation, since they lack sufficient
resources and face deportation as soon as their claims are denied. Indeed, only
Y.Z. had been willing to challenge the legislation at the time the application
was initiated. While Y.Z. may be able to raise the ground of discrimination
based on sexual orientation or ethnicity, Mr. Goldberg says that only CARL can
represent some of the other interests at stake, such as those of women fleeing
gender-based persecution. CARL is also well-positioned to lead evidence and
could pursue an appeal if the case becomes moot for Y.Z.
[50]
Dolores De Rico is the co-director and
co-founder of the FCJ Refugee Centre, which provides shelter and assistance to
refugee women and their children. She is also the president of the Canadian
Council for Refugees, and has worked a lot with refugees. She testifies that refugees
often arrive with very little money and cannot hire lawyers without the
assistance of legal aid.
[51]
Christopher Anderson is an assistant professor
in the Department of Political Science at Wilfrid Laurier University, and he
says that he has spent a lot of time researching Canadian immigration and
refugee policy. His affidavit, dated June 17, 2013, focuses on identifying
historical trends animating Canada's immigration and refugee policy. In his
view, Canada's desire to attract some immigrants has always been accompanied by
a determination to exclude others, and negative stereotypes often inform which
groups are excluded (including refugees and asylum-seekers). At times, this was
based on explicit racial discrimination, such as the head tax on Chinese immigrants.
Canada has discriminated against other groups as well, such as Japanese and
East Indian immigrants. This was not always done through legislation, and Professor
Anderson says that the trend has been to assign extensive regulatory powers to
the executive, thus making immigration law less subject to parliamentary and
public scrutiny. This, he says, is exemplified by the restrictive measures used
by Canada to exclude Armenians fleeing genocide around the time of World War I,
and to exclude Jewish people in the years leading up to World War II.
[52]
After the Holocaust, it became harder for Canada
to defend explicitly racist policies, but Professor Anderson states that Canada
simply masked the debate over race within discourse that rarely mentioned which
groups would be restricted yet ensured some would be. Canada kept discriminating by vesting wide discretions in officials to establish
geographical tiers of preferred immigrants. Mr. Anderson says the last vestiges
of formal discrimination were only removed in 1967 and Canada eventually made a formal commitment to equality when it enacted the Immigration
Act, 1976, SC 1976-77, c 52, s 3(f). As explicit racial discrimination
diminished though, Professor Anderson claims that security and abuse concerns
arising from the Cold War created barriers for refugees fleeing political
oppression. Indeed, he opines that part of the reason Canada did not initially
sign the Convention Relating to the Status of Refugees, 28 July 1951,
189 UNTS 150, Can TS 1969 No 6 [Convention] was because it did not want
to create rights which undesirable non-citizens like communists could claim
against the state to avoid deportation. Refugee claims were dealt with
informally, but a formal process was eventually established because there were fears
the system could otherwise be abused. Fear of abuse is also the reason
claimants were not entitled to an oral hearing until the Supreme Court
intervened in Singh v Canada (Minister of Employment and Immigration),
[1985] 1 S.C.R. 177, 17 DLR (4th) 422. Professor Anderson says that the
security/abuse dynamic continues to inform refugee policy today, from the
imposition of visa requirements to the way that the government handles
irregular arrivals.
[53]
Cathryn Costello is a law professor at the University of Oxford who has worked in the area of refugee law since the 1990s. She
purports to be an expert in international and European refugee law, and her
affidavit assesses the DCO regime in light of her knowledge about the safe
country of origin [SCO] provisions in European Union [EU] asylum law. While the
original EU directive on SCOs seemed procedurally weak, Professor Costello says
that it cannot be read literally because: EU directives require national
implementation; parts of the directive and implementing domestic legislation
have been struck down; and the consequences of designating a country as safe
can never be such that they deprive an applicant of domestically-required fair
procedures and an effective judicial remedy. In 2013, Professor Costello notes
that the EU adopted a recast directive on SCOs which now reflects the basic
entitlement to an appeal with suspensive effect, and the exceptions are
accompanied by important safeguards such as a right to request suspensive
effect. The recast directive also ensures that the SCO concept is primarily a
basis only for accelerated procedures, and cannot be used to consider an
application unfounded without an individual assessment. In determining whether
a country is a SCO, reference must be had to a range of sources, and the
application of the SCO concept remains rebuttable in the circumstances of an
individual case. Nonetheless, she says that the SCO mechanism is flawed and likely
to lead to poor decisions and refoulement.
[54]
Professor Costello also assesses the DCO regime,
and concludes that it is even worse than the SCO regime in the EU. She says
that the quantitative criteria for designating a country are dubious,
especially insofar as they include abandoned and withdrawn claims within their calculations;
and it is problematic that they are based on past refugee determinations
and not on present or anticipated country conditions. As for the
qualitative criteria, Professor Costello states that they are general and do
not focus enough on whether a country is likely to produce refugees. The
procedure for designating a country is problematically secret, and Professor
Costello opines that it should be open to challenge in a court of law and
reviewable in light of changing country conditions. She also says that the
procedural consequences are too adverse, especially insofar as claimants are
deprived of an appeal with suspensive effect; that, Professor Costello says, is
a basic requirement of a fair asylum procedure. She concludes that the DCO
regime will have a significant deleterious effect on the assessment of asylum
claims.
[55]
Sean Rehaag is an associate professor at Osgoode Hall Law School who specializes in immigration and refugee law and its
intersection with gender and sexuality. In an affidavit dated June 12, 2013, he
attacks the use of the quantitative trigger permitting designation of a
country. He says that statistics on outcomes in refugee determinations from a
given country can vary substantially over time, due to changing country
condition evidence and random factors. He points out that some countries which
meet the quantitative criteria for designating a country in one year can have
high recognition rates in subsequent years. North Korea, for instance, met the
quantitative criteria in 2008, despite the fact that in most years the vast
majority of claims from that country which were decided on their merits were
allowed. He says these problems are further compounded by including abandoned
and withdrawn claims when calculating the rejection rate; this can give the
impression that claimants from a country are often being rejected when it may
just be that the IRB has not scheduled many claims to be heard on their merits.
Another problem is that a country may be safe for many claimants but unsafe for
particular subsets of claimants. He specifically points to claims based on
gender and sexual orientation; those claims, he says, are generally more likely
to succeed than other types of claims from the same country of origin, and such
claimants can often come from countries which typically do not produce many
refugees. Lastly, Professor Rehaag says that the IRB data used to make the
calculations cannot be counted on to reliably record demographic information
because that is not its purpose. He says it may not properly account for claimants
who are nationals of multiple countries, or who are determined by the RPD to be
from countries other than the one they claimed.
[56]
Professor Rehaag swore another affidavit on May
20, 2014, which took into account the IRB's Country Report for all decisions
rendered in 2013. He opined that it did not affect his analysis. He swore a
supplementary affidavit on December 8, 2014, to disclose that he is a member of
CARL and is on its litigation committee. When he was cross-examined though, he
clarified that he was not involved in CARL’s decision to join the present
applications.
[57]
Julianna Beaudoin has a PhD in anthropology and
completed her dissertation on Roma in Canada and the various issues they face. In
her first affidavit, dated June 13, 2013, she says that Roma people are often
portrayed and treated negatively, and that Canadians lack accurate information
about people with this ethnicity. Because there is so little exposure to Roma,
she opines that it is problematic when government officials say Roma people
make “bogus” claims or are undeserving of
refugee protection. She also opines that the DCO regime should not count
abandoned and withdrawn claims as failures, since this ignores the rate at
which claims are accepted by RPD members. In particular, she says there may be
many reasons why a claim might be withdrawn or abandoned which are unrelated to
whether a person would face persecution in their country of origin. She points
out that some Roma are illiterate even in their native language and it can be
hard to correct misinformation that spreads through their communities. She says
she interviewed many Romani immigrants for her dissertation, and some of the
reasons claims have been abandoned include: their representatives either
defrauded them or were incompetent; some claimants did not understand that they
cannot return home for any reason or mistakenly believe they can restart their
claim later; some claimants need to change addresses frequently and do not
realize how important it is to inform the IRB, causing them to miss deadlines;
some claimants suffer from mental disabilities that make it difficult; and some
grew discouraged when they heard a former MCI say that their claims were “bogus.” She also says not all unfounded claims are
fraudulent. She concludes by saying that even if some Roma attempt to commit
immigration fraud, it is racist to attribute the actions of those individuals
to all Roma claimants.
[58]
In her further affidavit, dated September 18, 2014,
Ms. Beaudoin explains her methodology. She said that she conducted well over a
hundred interviews, though not with the aim of collecting a statistically
significant sample. She also conducted quantitative and archival research as
part of her fieldwork. Finally, she says that she has engaged in “applied anthropology,” since it would be unethical to
study a marginalized population without also advocating for their better
treatment.
[59]
Nicole LaViolette is a law professor at the University of Ottawa who has worked in the area of refugee law since the early 1990s. She
presents herself as an expert in refugee claims based on sexual orientation and
gender identity. In an affidavit dated September 16, 2014, she opines that
shortened timelines and the inability to present new evidence after a refugee
claim is rejected particularly impede the fair adjudication of claims based on
sexual orientation and gender identity. She says that accelerated timelines
affect such claimants more than normal for two main reasons: first,
psycho-social issues common among Lesbian, Gay, Bisexual, Trans-identified, and
Queer [LGBTQ] claimants - including internalized sexual stigma, mental health
conditions, and social isolation – can prevent timely and full disclosure of
the facts of their case and their narrative of self-identity; and second,
special evidentiary challenges arise because: they may need more time to build
trust before they can fully disclose their stories; it is harder to collect
corroborating evidence since they are often estranged from the people who knew
them in their country of origin, and the persecution they are fleeing sometimes
happens in private; they may require reports from mental health experts; and
they need to be more resourceful when proving that country conditions are bad
for them since available country documentation is often deficient or
non-existent when it comes to persecution of sexual minorities.
[60]
Brian Brenie is the Coordinator of Refugee
Programs at the Metropolitan Community Church of Toronto. He has been working
with LGBTQ claimants for over seven years. In his affidavit dated June 14,
2013, he says that the new timelines are too short for many LGBTQ claimants.
They have often lived their entire lives in secret, and Mr. Brenie says they
need time to adapt to Canada and find support before they can fully share their
stories; and it is not possible for them to do so within 30 or 60 days. He also
believes there are many countries which do not normally produce refugees but
nevertheless persecute LGBTQ people.
[61]
Woo Jin Edward Lee is involved with Action LGBTQ
with Immigrants and Refugees [AGIR], and his affidavit supplies statistics
regarding AGIR's involvement with LGBTQ claimants. He too says that 30 or 45
days is not enough time for LGBTQ claimants to access necessary support and
service organizations like AGIR, in part because other pressing needs like
securing shelter and food take priority. He thus says that the timeline is too
short and will prevent fair and complete adjudication of their claims; their
inability to access any forum where they can supply new evidence is a problem.
He also says that Mexico, despite being a designated country, is not safe for
all of its LGBTQ citizens, and notes that if the DCO regime were in place in
2009, only two of the eight accepted refugee claimants that AGIR had helped
would have contacted AGIR prior to their hearing.
[62]
Michael Battista has been a lawyer in Ontario since 1992, and has represented thousands of refugee claimants during that time,
about 80% of whom were LGBTQ. He testifies that a number of factors combine to
make such claims more challenging than most, and that the truncated procedure
for claimants from DCOs will exacerbate these challenges. Specifically, he
identifies the following problems: (1) safe countries for most people are not
safe for the LGBTQ community; (2) the best evidence of sexual orientation is a
relationship with the LGBTQ community, but such a community may have been
driven underground in the country of origin and the claimants need time to
establish themselves in the LGBTQ community in Canada; (3) LGBTQ claimants
often require the assistance of mental health professionals, assistance which
they may not have had time to secure under the restricted timelines; (4)
claimants may lack an awareness of their ability to claim refugee protection on
the basis of sexual orientation since it is not expressly mentioned in the Convention,
and it is difficult for them to learn about this possibility because their
ethnic community may harbour prejudices against LGBTQ individuals; and (5)
there is a dearth of country documents reporting the risks to the LGBTQ
community.
[63]
Sharalyn Jordan is an assistant professor of
Counselling Psychology at Simon Fraser University. Since 2004, she has been a
volunteer with the Rainbow Refugee Committee, which is a community group that
supports and advocates for LGBTQ refugee claimants. In that position, she has
helped over 300 LGBTQ refugees. In her experience, many claimants did not trust
the state and feared that seeking protection would make them targets. It can
also be challenging to prove a claim, especially for countries which otherwise
appear safe, since persecution for LGBTQ refugee claimants is often hidden and
highly stigmatized. She states that many claimants fleeing from persecution on
grounds of sexual orientation or gender identity have hidden these aspects of
themselves for years, and this makes it difficult to gather evidence. She also
says it usually takes a lot of time before LGBTQ claimants will trust their
lawyers enough to disclose important information and to mentally prepare to
testify; such claimants also often have histories of complex trauma which may
affect their memories.
[64]
Patricia Durish has been a clinical social
worker for over 15 years and has conducted more than 250 trauma assessments, a
majority of which have been in support of refugee claimants. In her affidavit
dated June 25, 2013, she addresses three limitations with the DCO process in
how it deals with claims by trauma survivors: (1) designation of democratic
countries does not guarantee a culture that acknowledges and responds to
gender-based violence or violence based on racial and sexual identity, and she
gives examples of many traumatized clients she has had from DCOs for whom there
was no protection in their countries of origin; (2) the short time frames do
not allow for the way which trauma is processed and it is unrealistic to assume
that trauma survivors can consciously recount traumatic experiences and
symptoms in a consistent and spontaneous narrative; and (3) the acceptance rate
of previous claims is unreliably skewed because the system emphasizes cognition
and autonomy and thereby militates against the acceptance of individuals who
have experienced traumatic stress.
[65]
Amanda Dale has been the executive director of
the Barbra Schlifer Commemorative Clinic since May, 2010. For 25 years, the
Clinic has been opposing violence against women and being a front-line service
provider for women who have experienced violence; it also provides legal
representation and advocacy services in many areas, including refugee and
immigration law. In her affidavit, dated July 4, 2014, she testifies that women
are often vulnerable to violence and cannot escape it without overcoming a
number of barriers. Some common situations in the refugee context include women
fleeing from abuse, women arriving in Canada with an abusive partner who
maintains carriage over the refugee claim, and women leaving an abusive partner
during the sponsorship process, thus resulting in a breakdown of the
sponsorship. Ms. Dale says that the recent changes to refugee law
disproportionately affect such women. She testifies that many women often
experience systemic discrimination and violence even in seemingly “safe” countries, and that the DCO regime fails to
recognize this. She also says the reduced timelines for claimants from
designated countries means that they will not be able to properly substantiate
their claims, since domestic violence occurs in secret and the women may not
trust their lawyer in time to disclose it. Also, if a woman arrived with a
controlling, abusive partner who was the principal applicant in a claim, the
RPD may never hear the true basis of her claim as she may be deported before
she can apply to reopen her application or even while she is waiting for a
decision on such an application. Since the DCO regime was adopted, Ms. Dale
states that other shelters have reported that women from DCOs were being
deported despite histories of violence, and that they were suffering heightened
levels of fear and demoralization.
[66]
Aisling Bondy is an Ontario lawyer who practices
immigration and refugee law and has represented about 25 claimants who have
experienced some form of domestic or gender-based violence. She testifies that
in some of those cases, most commonly when an abused woman originally filed her
claim jointly with her partner, the allegations only arose several months or
years after the process had been started. Under the DCO regime, Ms. Bondy says
that the accelerated timelines make it unlikely that an abused woman will disclose
her fear before the RPD hearing, and it is hard to raise a claim afterwards for
various reasons. For example: there is no appeal to the RAD; it can be
difficult to reopen an RPD hearing after a claim is refused; a PRRA is not
available for 36 months; and even if a woman falls into one of the narrow
exceptions allowing her to make an application under section 25(1) of the Act
[H&C application] without having to wait 12 months, there is no statutory
stay of removal and she will likely be deported before a decision is made. There
are also unique evidentiary burdens since domestic abuse happens in private. Ms.
Bondy has also represented about 10 claimants with serious mental health
issues, and she says they too are prejudiced by the DCO regime. She says these
claimants are often reluctant to tell counsel about their impairment, and the
accelerated timelines make it more likely that mental disorders will be
undetected and thus negatively affect their claims if they present as being not
credible because of memory problems or other defects.
[67]
Catherine Bruce is an Ontario lawyer who
specializes in immigration and refugee law and has represented over 1,000
refugee claimants from around the world over the past 15 years. She says that
she has represented about 80 South Korean women and their children who have
been victims of intimate partner violence and child abuse. They are among the
most traumatized of any clients she has ever had and face the greatest risk. In
her experience, such claimants often have difficulty articulating their claims,
but are nevertheless recognized as refugees far more often than other claimants
from South Korea. She states in her affidavit that 70% of the South Korean
women and children she represented from 2009-2012 were recognized as refugees
even though the average acceptance rate for all claims from South Korea was
only 13.5% over the same period (though she adjusted her success rate to 60% at
her cross-examination in order to match the way that the 13.5% figure was
calculated). She also says these types of cases can be very complex. South Korea is a patriarchal culture in which women are socialized to accept abuse without
complaint. As for children, physical punishment is widely accepted in South Korea, and this presents procedural problems since children often do not speak for
themselves at RPD hearings. Nevertheless, South Korea is a DCO, with no
distinction made for historically marginalized communities like women facing
domestic violence. Ms. Bruce says the DCO regime exacerbates the risks that
these historically marginalized groups will be denied the protection they need.
She says that the timelines are too short to build the necessary trust between
these types of clients and their lawyers. Ms. Bruce also says that, to rebut
the presumption of state protection in similar cases, she has had to collect
many affidavits from similarly-situated persons. The accelerated timelines
would make the collection of such evidence much more difficult. Judicial review
is also inferior to a RAD appeal since, even if it is successful, the case will
need to be re-litigated which may lead to further trauma.
[68]
The other affidavits filed by the Applicants do
not need to be summarized in any detail. Geraldine MacDonald, James Gildiner,
and Tibor Tiboz all testified about specific cases in which the CBSA sought to
remove DCO claimants from Canada before the Federal Court could hear their
applications for judicial review. The remainder of the affidavits introduced
documentary evidence or reported on the status of various access to information
requests.
B.
The Respondents’ Affidavit Evidence
[69]
Kay Hailbronner is proposed as an expert in the
study and practice of German, European and international immigration and
refugee law, and of related public international law governing migration and
refugee protection. He has provided two affidavits, each dated November 19,
2014. His first affidavit explains how the basic SCO concept arose and
describes how it operates within the EU legal framework. Each EU member state
generates its own list of safe countries. Claimants from a SCO cannot secure
asylum unless they rebut the presumption of safety and there are typically
procedural consequences as well, such as accelerated timelines. Under the
newest directive, article 39 ensures that asylum claimants must have reasonable
access to an effective remedy if their claim is refused, but EU member states
have considerable discretion when deciding whether claimants are allowed to
stay in the country pending its outcome. Typically, accelerated timelines have
been accepted, so long as claimants practically have enough time to prepare and
bring an effective action to court. He also discusses the Aznar Protocol which,
essentially, provides that EU countries are safe vis-à-vis each other with some
exceptions. He then describes in detail the national regimes in Germany, the
United Kingdom, France, Belgium, and Austria, and he also makes a few comments
about other nations. He concludes that, in general, the SCO regimes in the EU
reflect the central concept of a rebuttable presumption of safety. There is
generally a tendency among EU countries to shorten time limits, but a right to
appeal is typically recognized. Whether that appeal has suspensive effect,
however, has often been restricted or refused and can be withheld so long as a
claimant has an opportunity to ask for suspensive effect.
[70]
Professor Hailbronner's second affidavit
responds to the evidence of Professor Costello. He says that her description of
the SCO concept is largely correct, but he does not find her comparison with
the Canadian DCO regime to be convincing. He does not agree that either the EU
model or the Canadian model infringes international refugee law, and he says
the emergence of some basic principles of fairness in accelerated asylum
procedures do not constitute a firm and unalterable canon of procedural rules.
Although Professor Costello criticizes the absence of defined qualitative
criteria for designating a country as safe, Professor Hailbronner says this
ignores the fact that the criteria eventually assessed are very similar. He
also points out that, unlike the European regime, the Canadian DCO designation
does not create a presumption of safety and is not more likely to produce false
negative decisions for that reason. He sees no problem with quantitative
criteria triggering a qualitative review process in these circumstances, although
he admits it is unusual from a European perspective. He acknowledges that the
right to effective judicial protection is a recognized principle of EU law, and
that a stay of execution in administrative practice likely would not pass
muster under article 13 of the Convention for the Protection of Human Rights
and Fundamental Freedoms, 4 November 1950, 213 UNTS 221, Eur TS 5. However,
he says that is not the yardstick for measuring Canada's compliance with
international human treaties or the Charter. In his view, the relevant
question is whether the DCO regime ensures effective protection of the human
rights of asylum seekers and a fair asylum procedure, and he concludes that it
does. He says that he “cannot identify a greater
likelihood of false negative IRB determinations and a higher risk of
irreparable harm for serious human rights violations in the Canadian law and
practice than in the European law and practice on SCO asylum procedures.”
He adds that the established removal procedures and a right to ask for a
judicial stay of removal are adequate precautions against irreparable harm in
asylum applications originating from DCOs.
[71]
Teny Dikranian is employed by CIC, and from May
2009 until July 2013, she was the Manager of Asylum Policy in the Asylum Policy
and Programs Division of the Refugee Affairs Branch. She helped reform the
refugee determination system and provides four reasons for why the system was
changed: (1) it was too slow and it could take 20 months to get a hearing
at the RPD, which was unfair to genuine claimants and made the system
vulnerable to abuse; (2) the IRB's resources were strained and it had a backlog
of some 61,000 cases by the time the Balanced Refugee Reform Act, SC
2010, c 8 [BRRA] was introduced; (3) there were too many layers of
recourse and no limits on the number of H&C applications or PRRAs, so
failed refugee claimants could often say they were waiting on any number of
decisions; and (4) it would take an average of 4.5 years from the time a claim
was made to remove a failed refugee claimant, during which time those claimants
were drawing on most of the same social services which refugee claimants who
were awaiting an RPD decision could access. She also testifies that the DCO
regime was one of the most significant changes introduced to respond to those
needs, and it was modeled on similar systems in the United Kingdom, Ireland,
France, Germany, the Netherlands, Norway, Switzerland, and Finland. Simply put,
she says that some countries do not normally produce refugees, but significant
resources were being spent assessing the unfounded claims from nationals of
such countries. She explains that one of the principal reasons the DCO regime
was introduced was to “deter abuse of our refugee
system by people who come from countries generally considered safe and
'non-refugee producing', while preserving the right of every eligible refugee
claimant to have a fair hearing before the IRB.” She then goes on to
explain the consequences of designation that have been summarized above.
[72]
Jennifer Irish was the Director of Asylum Policy
and Program at CIC from August 2008 to August 2012. She describes many of the
same problems noted by Ms. Dikranian, specifically with respect to the backlog
at the IRB and the fact that it would take an average of 4.5 years to remove
failed refugee claimants. CIC thus needed to create a speedier process, and she
says the base assumption was that all asylum seekers would continue to receive
a full and fair determination of their claims by the IRB. They explored the SCO
concept from Europe, and they knew that the United Nations High Commission for
Refugees [UNHCR] had confirmed that procedural consequences from this type of
designation complied with the Convention. Many of those countries relied
on volume alone to trigger a designation assessment, but Ms. Irish says that
CIC decided the Canadian model should take into account objective rates of
rejection, abandonment and withdrawal, and so created the quantitative
triggers. The intent of allowing the MCI to prescribe the numbers used, Ms.
Irish says, was to provide the MCI with a flexible tool to respond quickly to
spikes in refugee claims from countries which had a high degree of rejected,
abandoned or withdrawn claims. As for the qualitative triggers, they were
designed to align with sections 96 and 97 of the IRPA as well as
relevant international instruments. Those rates were just intended to trigger a
review of the country conditions though, and the Designation Factors to then be
considered were also defined in relation to many international human rights
instruments. Instead of assigning the process to an independent panel, it was
determined that it would be better to have a new division within CIC assess the
country conditions as this would be more flexible and could accommodate
classified material about human rights reporting from Canadian missions abroad.
She concludes by saying that all claimants still get a full hearing, and there
are safeguards against refoulement, such as the provision that allows access to a PRRA where the
country circumstances change in such a way as to put all of its residents at
risk. Also, while it would be expected to be rare, the MCI could intervene on
his own initiative to grant someone access to a PRRA.
[73]
Eva Lazar is the Director of the MACAD of CIC.
In her first affidavit, dated July 25, 2013, she describes the process summarized
above for designating a country. She also states that the Applicants use
misleading statistics. In particular, she criticizes them for not counting
abandoned and withdrawn claims in the divisor when calculating acceptance rates
and then comparing them side-by-side to rejection rates which include them.
According to Ms. Lazar, one also cannot compare the number of claims referred
to the IRB in a year to the number of claims finalized by the IRB in the same
year, as substantial delays may mean that many or most of the claims referred
were not finalized in the same year. She also criticizes the Applicants for
using data from the IRB to suggest that designation of a country as a DCO has a
disproportionate impact on people who make certain types of claims. The IRB
does not keep exhaustive statistical records of claims by type and such data
cannot be accurately relied upon for statistical analysis.
[74]
Ms. Lazar updated her evidence in an affidavit
dated November 20, 2014, where she testifies that the Designation Factors align
with sections 96 and 97 of the IRPA as well as various international
human rights instruments. In developing the methodology for assessing country
conditions, CIC had regard to the practice of other countries and general
country of origin research approaches. As of November 20, 2014, she says that
the MCI has designated 42 countries. Ms. Lazar also describes how CIC collects
data about pre-PCISA and post-PCISA asylum claimants. She notes
that overall intake of asylum claims from the 37 DCOs designated before
September, 2014, has decreased by 83%. Intake from Hungary has decreased by 94%
and intake from Croatia has decreased by 78%. The statistics also show that
acceptance rates for claims from Hungary increased from 9% pre-PCISA to
44% post-PCISA, while withdrawal rates dropped from 44% to 15%. She also
provides data on Croatia. These statistics, she says, are better than those
provided by Professor Rehaag since his data from 2013 includes legacy cases which
predate the PCISA and does not properly distinguish between pre-reform
and post-reform data. Ms. Lazar says that PRRA acceptance rates remain low. She
also testifies that the average number of days from the latest negative RPD
decision to removal has been reduced by 100 days since implementing the PCISA,
yet it is substantially the same for both DCO and non-DCO claimants.
[75]
In her supplementary affidavit, dated December
15, 2014, Ms. Lazar adds some data on the so-called legacy cases from Croatia
and Hungary – those cases which are governed by the old system since they were
referred to the RPD before December 15, 2012, but which were only finalized
afterwards. In particular, she notes that the acceptance rate for those claims
from Hungary was 22%.
[76]
Christopher Raymond is a Senior Program Advisor
for the CBSA in the Removals Program. His affidavit, dated November 20, 2014, focuses
on the procedure for removing someone from Canada. Most refugee claimants are
issued a conditional departure order which only comes into force 15 days after
their refugee claim has failed. They then have an additional 30 days to voluntarily
leave Canada, after which their departure order becomes a deportation order
which the CBSA will enforce. If they leave before the departure order becomes a
deportation order, they will not need to seek CBSA authorization to return to Canada in the future. If they stay though, the CBSA will call them in for a pre-removal
interview and deal with any outstanding issues such as scheduling a removal
date. At this time, they can request a deferral of removal and an inland
enforcement officer can postpone the removal. If it is determined that there is
new evidence of a risk of death, extreme sanction, or inhumane treatment, the
officer can refer the matter to CIC for a determination under section 25.1 of
the IRPA. If the deferral is denied, the individual can then seek
judicial review and possibly obtain a judicial stay of removal. He says that
this process is sufficient to constitutionally justify the PRRA bar. Mr.
Raymond also describes the assisted voluntary returns and re-integration
program, in which 3,721 failed refugee claimants participated from June 29,
2012, to September 30, 2014. Of those who participated, 1,738 were from Hungary and 217 were from Croatia. He also says that the CBSA is responsible for temporary
suspensions of removals when circumstances in a country pose a generalized risk
to the entire civilian population and for administrative deferrals of removals
when immediate action is necessary to temporarily stay removals in situations
of humanitarian crisis. Finally, Mr. Raymond testifies that from January 2013
to June 2014, 213 failed refugee claimants sought stays of removal from this
Court; 21 of them were from DCOs. He says that the Federal Court granted stays
to seven of the claimants from DCOs and to 58 of the claimants who were not
from DCOs.
C.
Should the impugned affidavits be struck out?
1.
Respondents’ Arguments
[77]
The Respondents contend that many of the
affidavits filed by the Applicants should be struck, and they submit that the
Court must properly exercise its gatekeeper role. They point out that in R v
Mohan, [1994] 2 S.C.R. 9 at 20, 114 DLR (4th) 419 [Mohan], the Supreme
Court set out four criteria for expert witnesses: (1) relevance; (2) necessity
in assisting the trier of fact; (3) the absence of any exclusionary rule;
and (4) a properly qualified expert. The Respondents say that these criteria
are not met by four of the expert witnesses proposed by the Applicants: namely,
Christopher Anderson; Sean Rehaag; Nicole LaViolette; and Patricia Durish.
[78]
The Respondents argue that Professor Anderson's
affidavit is a selective summary of notorious immigration policies from
Canada's past, and it provides no historical context relevant to the
Applicants' claims. Even if it did, the Respondents say its probative value is
vastly outweighed by its prejudicial effect, in that it broadens the scope of
the litigation to attack every Canadian immigration policy since Confederation.
Requiring the Respondents to refute this affidavit would be a waste of time and
money. The Respondents also say it is unnecessary because the policies about
which Professor Anderson testifies are widely known and could just as easily be
described with reference to a textbook in the Applicants' submissions.
[79]
As for Professor Rehaag's affidavits, the
Respondents say that paragraphs 7 through 18 and Exhibit B of his further
affidavit should be struck. It is not disputed that some refugee claims from
DCOs are accepted, and the Respondents argue that breaking the data down by
which RPD members decided those claims is irrelevant. Furthermore, they argue
that Professor Rehaag is partial; he has been an advocate against the DCO
regime and, specifically, against the lack of an appeal right for DCO claimants
to the RAD, telling Parliament's Standing Committee on Citizenship and
Immigration that it was unconstitutional. That is the very issue in contention,
and the Respondents submit his affidavits should be granted little weight.
[80]
The Respondents argue that Professor
LaViolette's affidavit is irrelevant. She testified about the effect of
accelerated timelines on LGBTQ claimants, but the effect of those timelines are
not in issue and they never prejudiced any of the individual Applicants in this
case.
[81]
Similarly, they also argue that Ms. Durish's
affidavit simply criticizes how the entire refugee determination system deals
with trauma victims, both pre-reform and post-reform. She gives no examples,
and the Respondents say her broad attack is well outside the scope of this
litigation, which is just about the inability of DCO claimants to access the RAD.
The Respondents further argue that her opinion is not necessary since it
requires no expertise to acknowledge that some refugee claimants suffer from
trauma. Thus, the Respondents submit that both her affidavits should be struck.
[82]
The expert affidavits are not the only ones
which the Respondents argue should be struck. They contend that the affidavits
from Amanda Dale, Aisling Bondy, and Catherine Bruce are irrelevant because
they discuss female victims of domestic abuse, give no examples of any such
victims who have been affected by the DCO regime, and do not limit themselves
to facts within their personal knowledge. The Respondents argue those affiants
and many others give inadmissible opinion evidence and are veiled attempts to
add expert witnesses without seeking leave. Many affiants even attached their
curriculum vitae. Specifically, the Respondents argue that the following
affidavits should be struck because the listed paragraphs include
qualifications and opinion evidence:
Affidavit
|
Paragraphs
|
Exhibit
|
Amanda Dale (4 July 2014)
|
5-10, 35-48
|
A, B
|
Sharalyn Jordan (10 October 2014)
|
3-9, 11-21
|
-
|
Julianna Beaudoin (13 June 2013)
|
2-4, 5, 6, 9-33
|
A
|
Julianna Beaudoin (18 September 2014)
|
All
|
-
|
Michael Battista (9 October 2014)
|
3-41, 46-49
|
-
|
Aisling Bondy (15 October 2014)
|
3-4, 6-25, 30-73
|
-
|
Audrey Macklin (21 June 2013)
|
1
|
A
|
Catherine Bruce (20
June 2013)
|
1-15, 17-81
|
-
|
[83]
The Respondents also say that the listed
portions of the following affidavits should be ignored for the same reason, but
do not ask that the rest of the affidavits also be struck:
Affidavit
|
Paragraphs
|
Woo Jin Edward Lee (17 October 2014)
|
18-28
|
Edson Emilio Alvarez Garcia (20 June 2013)
|
10-14, 19-22
|
Brian Brenie (14 June
2013)
|
2-7
|
2.
Applicants’ Arguments
[84]
The Applicants no longer rely on the affidavits
of Audrey Macklin or Edson Emilio Alvarez Garcia. They also do not rely on paragraphs
20 and 21 of Professor Jordan's affidavit.
[85]
They do, however, submit that constitutional
litigation requires a full record and argue that the other affidavits should
remain intact. The Applicants argue that the Respondents have relied on an
unduly narrow vision of the scope of this litigation. In their view, these
applications are not just about paragraph 110(2)(d.1) but, rather, are also
about whether the system for designating DCOs is itself unconstitutional. All
the effects that flow from designation are therefore in issue.
[86]
With respect to the expert evidence, the
Applicants submit that the Court's gatekeeper role is most important for trials
(R v Abbey, 2009 ONCA 624 at paragraphs 77-95, 97 OR (3d) 330 [Abbey]),
and is significantly attenuated for applications for judicial review where
there is neither viva voce evidence nor a jury. There is no cost to
admitting the evidence in this case because it causes no prejudice and wastes
no time.
[87]
The Applicants advance the following reasons for
why their experts' affidavits should be admitted: (1) Professor Anderson's
affidavit is relevant and necessary since it shows that immigrants and refugees
are an historically disadvantaged group, which is an element of their section
15 Charter claim; (2) the impugned paragraphs of Professor Rehaag's further
affidavit show the actual numbers of DCO claimants whose claims are accepted
and demonstrate a broad consensus among RPD members that these countries do
produce refugees; (3) Professor Rehaag did not appear before the Standing
Committee on Citizenship and Immigration as an advocate but, instead, as an
expert whose opinion was that there is an unavoidable risk of false negatives
at the RPD which requires a right of appeal; (4) Professor LaViolette
specifically testifies about the effect of the DCO regime on LGBTQ claimants, which
is relevant to section 15 and the Applicants’ arguments about overbreadth; and
(5) Patricia Durish's affidavits explain that reduced timelines worsen the
refugee system for victims of trauma, and her opinion that the former system
was also not attuned to the needs of such victims does not negate her view of
the DCO regime. Thus, the Applicants say that none of their experts' affidavits
should be struck.
[88]
With respect to the affidavits of Amanda Dale,
Aisling Bondy, and Catherine Bruce, the Applicants argue that, when assessing Charter
violations, anecdotal evidence and “reasonable
hypotheticals” can and should be considered (citing e.g. R v Goltz,
[1991] 3 S.C.R. 485 at 515-516, 131 NR 1; Canada (Attorney General) v Bedford,
2013 SCC 72 at paragraphs 154 and 155, [2013] 3 S.C.R. 1101 [Bedford]). In
their view, it is therefore irrelevant that the examples these witnesses
provide pre-date the DCO regime.
[89]
As for the rest of the impugned evidence, the
Applicants say it is improper for the Respondents to seek to strike entire
affidavits on the basis that a few paragraphs might contain opinion evidence
(citing e.g. Armstrong v Canada (AG), 2005 FC 1013 at paragraphs 40-42 [Armstrong]).
Thus, while they acknowledge that the following witnesses did stray into
opinion evidence at times, the Applicants say that is no reason to strike their
affidavits:
Affidavit
|
Paragraphs
|
Julianna Beaudoin (13 June 2013)
|
10, 12-18, 24-25, 32-33
|
Michael Battista (9 October 2014)
|
13, 26, 38, 48-49
|
Catherine Bruce (20 June 2013)
|
unspecified
|
Brian Brenie (14 June 2013)
|
unspecified
|
[90]
Otherwise, the Applicants say that the witnesses
testify to information within their personal knowledge or give background to
their experiences. If they supplied their curriculum vitae, it was because they
obtained that knowledge or experience through their professional activities.
They may have made a few common sense inferences from that personal knowledge,
but the Applicants argue the weight of those inferences should be assessed with
the merits.
3.
Analysis
[91]
It is well established that motions to strike
all or part of an affidavit should not be routinely made (Gravel v Telus
Communications Inc, 2011 FCA 14 at paragraph 5), especially where the
question is one of relevancy. Only in exceptional cases where prejudice is
demonstrated and the evidence is obviously irrelevant will such motions be
justified (Mayne Pharma (Canada) Inc v Aventis Pharma Inc., 2005 FCA 50
at paragraph 13, 331 NR 337; Armstrong at paragraph 40).
[92]
These applications for judicial review were case
managed. Prothonotary Milczynski was familiar with the file and could have
heard the motion if she thought it was clearly warranted (Association of
Universities and Colleges of Canada v Canadian Copyright Licensing Agency
(Access Copyright), 2012 FCA 22 at paragraphs 11-12, 428 NR 297). She did
not. If the Respondents were concerned that the complexity of this application
warranted more procedural safeguards, they could have tried to convert it into
an action pursuant to subsection 18.4(2) of the Federal Courts Act (Meggeson
v Canada (AG), 2012 FCA 175 at paragraphs 31-32, 349 DLR (4th) 416; Canada
(Citizenship and Immigration) v Hinton, 2008 FCA 215 at paragraph 44, [2009]
1 FCR 476), but they did not do so. This being the case, the motion must be
addressed as it stands, and I find no prejudice to the Respondents at this
point by denying their motion.
[93]
The Respondents cross-examined almost all of the
affiants whose affidavits they impugn, and the transcripts of these
examinations are part of the record before the Court. I am not convinced the
Respondents have suffered any material prejudice by virtue of the admittedly
voluminous record compiled by the Applicants.
[94]
Furthermore, the affidavits or portions thereof
which the Respondents challenge are not so clearly irrelevant to the
constitutional issues raised by these applications that they should be struck
from the record. This is not a case where striking the impugned affidavits or
portions thereof would improve the orderly hearing of these applications for
judicial review. It is unnecessary to go through each affidavit line-by-line
and state which portions are relevant and which are irrelevant. In this regard,
I agree with the Applicants that my role as a gatekeeper is reduced when there
is no prejudice to either party.
[95]
Nevertheless, the Respondents do object to some
of the Applicants’ expert witnesses on other grounds and these should be
considered. The Supreme Court of Canada recently restated the test for expert
opinion evidence in White Burgess Langille Inman v Abbott and Haliburton Co,
2015 SCC 23, 383 DLR (4th) 429 [White], and it essentially corresponds to
the parties’ submissions about Mohan and Abbey (White at
paragraphs 19-24).
[96]
The Respondents say that the affidavit of Professor
Anderson is not necessary. This criterion of the test asks “whether the expert will provide information which is likely
to be outside the ordinary experience and knowledge of the trier of fact”
(R v DD, 2000 SCC 43 at paragraph 21, [2000] 2 S.C.R. 275; White at
paragraph 21). Some of the particular instances of discrimination described in
Professor Anderson’s affidavit are notorious, but the overall history of
immigration he describes is more detailed than that which would be within the “ordinary experience and knowledge” of the reasonably
informed Canadian. I am not convinced that I could take judicial notice of
everything he states or of his opinion about historical trends. This affidavit
will not be struck.
[97]
The Respondents also argue that Patricia
Durish’s testimony was unnecessary. Her criticisms of the refugee determination
system extend beyond the DCO regime, but that provides context to her more
specific concerns. Her affidavits will not be struck.
[98]
As for the Respondents’ objection to Professor
Rehaag’s impartiality, they limited those concerns to weight. To address
admissibility briefly though, I agree with the Applicants’ arguments. I am not
convinced that Professor Rehaag “is unable or unwilling
to provide the court with fair, objective and non-partisan evidence” (White
at paragraph 49).
[99]
The Respondents also submit that some of the
Applicants’ other witnesses give opinions they are not qualified to give. As
the Respondents correctly point out, a party needs leave of the Court to
produce more than five expert witnesses (Federal Courts Rules, s
52.4(1); Federal Courts Citizenship, Immigration and Refugee Protection
Rules, SOR/93-22, s 4(1)). Generally, lay witnesses can only give opinions
in the circumstances set out in Graat v The Queen, [1982] 2 S.C.R. 819 at
837, 144 DLR (3d) 267 [Graat], citing Cross on Evidence, 5th ed
(London: Butterworths, 1979) at 451:
When, in the words of an American judge,
“the facts from which a witness received an impression were too evanescent in
their nature to be recollected, or too complicated to be separately and
distinctly narrated”, a witness may state his opinion or impression. He was
better equipped than the jury to form it, and it is impossible for him to
convey an adequate idea of the premises on which he acted to the jury.
[100] I agree that some of the affidavits presented by the Applicants
contain opinions that would not satisfy the criteria in Graat. However,
this does not mean that whole affidavits should be struck, and many of those
opinions are accompanied by properly admissible factual observations. Suffice
it to say that I am cognizant of the Respondents’ objections and have neither
assigned any weight to the opinions of the Applicants’ lay witnesses nor deferred
to any inferences drawn by them.
[101] Accordingly, the Respondents' motion to strike the affidavits, or
portions thereof, as stated in their written submissions filed November 19,
2014, is denied.
VII.
Does paragraph 110(2)(d.1) of the Act infringe
subsection 15(1)of the Charter?
[102]
Section 15 of the Charter provides as
follows:
15. (1) Every individual is equal
before and under the law and has the right to the equal protection and equal
benefit of the law without discrimination and, in particular, without
discrimination based on race, national or ethnic origin, colour, religion,
sex, age or mental or physical disability.
|
15. (1)
La loi ne fait acception de personne et s’applique également à tous, et tous
ont droit à la même protection et au même bénéfice de la loi, indépendamment
de toute discrimination, notamment des discriminations fondées sur la race,
l’origine nationale ou ethnique, la couleur, la religion, le sexe, l’âge ou
les déficiences mentales ou physiques.
|
(2) Subsection (1) does not preclude any law, program or activity
that has as its object the amelioration of conditions of disadvantaged
individuals or groups including those that are disadvantaged because of race,
national or ethnic origin, colour, religion, sex, age or mental or physical
disability.
|
(2) Le paragraphe
(1) n’a pas pour effet d’interdire les lois, programmes ou activités destinés
à améliorer la situation d’individus ou de groupes défavorisés, notamment du
fait de leur race, de leur origine nationale ou ethnique, de leur couleur, de
leur religion, de leur sexe, de leur âge ou de leurs déficiences mentales ou
physiques.
|
A.
Applicants’ Arguments
[103] The Applicants argue that subsection 15(1) should be interpreted in
a manner that gives effect to Canada's international human rights obligations
(citing e.g. R v Hape, 2007 SCC 26 at paragraphs 53-56, [2007] 2 S.C.R. 292
[Hape]). They point out that the Convention does not recognize
the concept of a SCO, and article 3 says that “Contracting
States shall apply the provisions of this Convention to refugees without
discrimination as to race, religion or country of origin.” Although the
UNHCR has said the concept of a SCO can be used as a tool to accelerate
procedures to determine refugee claims, the Applicants note that it has
condemned Canada's DCO regime for falling short of the UNHCR's standards.
[104] In Withler v Canada (AG), 2011 SCC 12 at paragraph 61, [2011]
1 SCR 396 [Withler], the Supreme Court set out a two-part test for
establishing a violation of subsection 15(1) of the Charter: “(1) Does the law create a distinction based on an enumerated
or analogous ground? and (2) Does the distinction create a disadvantage by
perpetuating prejudice or stereotyping?” The Applicants contend that
both conditions are satisfied in this case.
[105] With respect to the first part of the test, the Applicants point out
that national origin is an enumerated ground in subsection 15(1) of the Charter,
and they argue the purpose of section 109.1 is to subject some claimants
to an inferior refugee determination process based on that ground. At the
hearing, the Applicants disputed the Respondents’ proposition that nationality
was just a proxy for safety. The legislation does not mention safety, and
nothing about designation of a country guarantees that a country is safe for persons
who are actually asking for protection. According to the Applicants, DCO
claimants are just trapped in an inferior process from which nothing about
their personal circumstances can free them.
[106] As for the second component of the test, the Applicants argue that
discrimination is “a distinction, whether intentional
or not but based on grounds relating to personal characteristics of the
individual or group, which has the effect of imposing burdens, obligations, or
disadvantages on such individual or group not imposed upon others, or which
withholds or limits access to opportunities, benefits, and advantages available
to other members of society” (Andrews v Law Society of British
Columbia, [1989] 1 S.C.R. 143 at 174, 56 DLR (4th) 1, McIntyre J, dissenting
but in the majority on this point [Andrews]). They say expressly
imposing disadvantages on the basis of national origin alone constitutes
discrimination, since the distinction perpetuates the historical disadvantage
of non-citizens and refugee claimants. They further say that branding their
claims as “bogus” by the government and the use
of statistics to trigger designation exposes them to the stereotype that their
fears are less worthy of attention because they are undesirable (citing Canadian
Doctors at paragraphs 835 and 837-838).
[107] The Applicants also argue that the DCO regime has adverse effects on
LGBTQ claimants, ethnic minority claimants, women seeking protection from
gender-based persecution, and claimants with particular cognitive impairments.
Such claimants, they say, are often traumatized and more vulnerable than other
refugee claimants, and may find it harder to fully and immediately disclose the
basis of their claims. The Applicants say that exposing persons who have been
discriminated against in their own countries to further differential treatment
exacerbates those issues and makes the DCO regime disproportionately severe for
such claimants.
B.
Respondents’ Arguments
[108] The Respondents accept that the test for a violation of subsection
15(1) is set out in Withler, but contend that the DCO regime does not
draw distinctions among refugee claimants based on their national origin.
Rather, according to the Respondents, claimants are subject to the DCO regime
only because they come from parts of the world that are generally safe. Nationality
is simply a proxy for the relative safety of the countries they are from
(citing Pawar v Canada (1999), 247 NR 271 at paragraphs 3-4, 67 CRR (2d)
284 [Pawar]). As the list of DCOs changes over time, the Respondents say
that membership in a DCO is not an immutable characteristic.
[109] Alternatively, the Respondents argue that it is not a discriminatory
distinction, and they say four factors are relevant to this analysis: (1) pre-existing
disadvantage, if any, of the claimant group; (2) the degree of correspondence
between the differential treatment and the claimant group's reality; (3)
whether the law or program has an ameliorative purpose or effect; and (4) the
nature of the interest affected (citing Quebec (AG) v A, 2013 SCC 5 at
paragraphs 325-330 and 417-418, [2013] 1 S.C.R. 61).
[110] In the Respondents' view, the DCO regime is not based on
stereotypes; it is based on informed statistical generalizations followed by
thorough reviews of the country conditions. Expedited processing based on the
relative safety of a country is legitimate and conforms to Canada's international obligations. Furthermore, nationals of safe countries do not suffer from any
historical disadvantage the DCO regime could perpetuate. The Respondents say
the Applicants mischaracterize the effect of designation when they allege that
the DCO regime creates some kind of presumption that refugee claims from DCOs
are unfounded, as it does not.
[111] The Respondents further argue that the DCO regime corresponds to the
needs of those affected by it. It limits access to an appeal to the RAD on the
basis of a thorough and accurate assessment of the country conditions, while
maintaining an individualized assessment before the RPD for every refugee
claimant from DCO countries. As for the Applicants' argument that it negatively
affects refugees as a vulnerable group, the Respondents reply that this argument
incorrectly assumes all refugee claimants are genuine refugees.
[112] The Respondents also say none of the interests affected by the DCO
regime suggest discrimination for the following reasons: (1) there is no Charter
right to an appeal from a quasi-judicial tribunal such as the RAD; (2) the
Applicants have not established that the accelerated timelines adversely affect
any group of DCO refugee claimants more than any other, and their arguments
ignore the fact that there are already procedures in place to alleviate strict
deadlines when necessary and to address the needs of groups like LGBTQ persons,
claimants making gender-based claims, and those with mental issues; and (3) a
time-limited statutory bar to a PRRA has already been found to be
constitutional, and the MCI always has discretion to exempt a person from the
bar when circumstances warrant.
[113] The Respondents contend that the Applicants have supplied no
reliable evidence that the DCO regime has an adverse impact on particular
minority subgroups of DCO claimants. Rather, the Respondents argue: (1)
minority subgroups faced challenges before the DCO regime was introduced; (2)
other claimants face similar challenges; (3) the Applicants did not give any
examples of DCO claimants adversely affected by the DCO regime; (4) the
individual Applicants in this case have not been negatively affected; (5) no
studies or statistical analysis support the allegations of adverse impact, and
the Applicants have supplied instead only speculative assertions by non-expert
witnesses with vested interests; and (6) RPD data is unreliable, so nothing
supports the allegation that issues involving gender or sexual orientation may
be more likely to arise for claimants from DCO countries.
[114] Furthermore, the Respondents assert that the broader legal context
shows there is no discrimination. There are many ways in which the refugee
system could be reformed with no guarantees as to which would be most
effective, and the Respondents say legislatures are better situated than courts
to make difficult policy judgments like this (citing e.g. Barbra Schlifer
Commemorative Clinic v Canada, 2014 ONSC 5140 at paragraphs 116-119, 121 OR
(3d) 733). In the Respondents’ view, no reasonable person would conclude that
the DCO regime is an affront to human dignity (citing Law v Canada (Minister of Employment and Immigration), [1999] 1 S.C.R. 497 at paragraphs 60-61,
170 DLR (4th) 1).
C.
Analysis
[115] The parties agree that the test for a violation of section 15(1) of
the Charter is set out in Withler, where the Supreme Court of
Canada stated as follows:
[61] The substantive equality analysis
under s. 15(1)…proceeds in two stages: (1) Does the law create a distinction
based on an enumerated or analogous ground? and (2) Does the distinction create
a disadvantage by perpetuating prejudice or stereotyping?… Comparison plays a
role throughout the analysis.
[62] The role of comparison at the
first step is to establish a “distinction”. Inherent in the word “distinction”
is the idea that the claimant is treated differently than others. Comparison
is thus engaged, in that the claimant asserts that he or she is denied a
benefit that others are granted or carries a burden that others do not, by
reason of a personal characteristic that falls within the enumerated or
analogous grounds of s. 15(1).
…
[65] The analysis at the second step is
an inquiry into whether the law works substantive inequality, by perpetuating
disadvantage or prejudice, or by stereotyping in a way that does not correspond
to actual characteristics or circumstances. At this step, comparison may
bolster the contextual understanding of a claimant’s place within a legislative
scheme and society at large, and thus help to determine whether the impugned
law or decision perpetuates disadvantage or stereotyping. The probative value
of comparative evidence, viewed in this contextual sense, will depend on the
circumstances. … [citations omitted]
[66] The particular contextual factors
relevant to the substantive equality inquiry at the second step will vary with
the nature of the case. A rigid template risks consideration of irrelevant
matters on the one hand, or overlooking relevant considerations on the other …
Factors such as … pre-existing disadvantage, correspondence with actual
characteristics, impact on other groups and the nature of the interest affected
— may be helpful. However, they need not be expressly canvassed in every case
in order to fully and properly determine whether a particular distinction is
discriminatory …At the end of the day, all factors that are relevant to the
analysis should be considered. As Wilson J. said in Turpin,
In determining whether there is
discrimination on grounds relating to the personal characteristics of the
individual or group, it is important to look not only at the impugned
legislation which has created a distinction that violates the right to equality
but also to the larger social, political and legal context. [p. 1331]
[116] More recently, in Kahkewistahaw First Nation v Taypotat,
2015 SCC 30, the Supreme Court summarized its jurisprudence on section 15 of
the Charter as follows:
[16] The approach to s. 15 …set out in Quebec
(Attorney General) v. A, [2013] 1 S.C.R. 61, at paras. 319-47…requires a
“flexible and contextual inquiry into whether a distinction has the effect of
perpetuating arbitrary disadvantage on the claimant because of his or her
membership in an enumerated or analogous group”: para. 331 (emphasis
added).
[17] This Court has repeatedly
confirmed that s. 15 protects substantive equality: Quebec v. A, at
para. 325; Withler v. Canada (Attorney General), [2011] 1
S.C.R. 396, at para. 2; R v. Kapp, [2008] 2 S.C.R. 483, at
para. 16; Andrews v. Law Society of British Columbia, [1989] 1 S.C.R.
143. It is an approach which recognizes that persistent systemic disadvantages
have operated to limit the opportunities available to members of certain groups
in society and seeks to prevent conduct that perpetuates those disadvantages. ...
[18] The focus of s. 15 is therefore on
laws that draw discriminatory distinctions — that is, distinctions that
have the effect of perpetuating arbitrary disadvantage based on an individual’s
membership in an enumerated or analogous group: Andrews, at pp.
174-75; Quebec v. A, at para. 331. The s. 15(1) analysis is accordingly
concerned with the social and economic context in which a claim of inequality
arises, and with the effects of the challenged law or action on the claimant
group: Quebec v. A, at para. 331.
[19] The first part of the s. 15
analysis therefore asks whether, on its face or in its impact, a law creates a
distinction on the basis of an enumerated or analogous ground. Limiting
claims to enumerated or analogous grounds, which “stand as constant markers of
suspect decision making or potential discrimination”, screens out those claims
“having nothing to do with substantive equality and helps keep the focus on
equality for groups that are disadvantaged in the larger social and economic
context”: Corbiere v. Canada (Minister of Indian and Northern Affairs),
[1999] 2 S.C.R. 203, at para. 8; Lynn Smith and William Black, “The
Equality Rights” (2013), 62 S.C.L.R. (2d) 301, at p. 336….
[20] The second part of the analysis
focuses on arbitrary — or discriminatory — disadvantage, that is, whether the
impugned law fails to respond to the actual capacities and needs of the members
of the group and instead imposes burdens or denies a benefit in a manner that
has the effect of reinforcing, perpetuating or exacerbating their disadvantage…
[21] To establish a prima facie
violation of s. 15(1), the claimant must therefore demonstrate that the law at
issue has a disproportionate effect on the claimant based on his or her
membership in an enumerated or analogous group. At the second stage of the
analysis, the specific evidence required will vary depending on the context of
the claim, but “evidence that goes to establishing a claimant’s historical position
of disadvantage” will be relevant: Withler, at para. 38; Quebec
v. A, at para. 327.
[Emphasis in original]
[117] In view of the foregoing, I turn now to consider whether the
Applicants have established that paragraph 110(2)(d.1) of the IRPA
violates subsection 15(1) of the Charter.
[118] The first question is whether the denial of an appeal to the RAD by
DCO claimants creates a distinction based on an enumerated or analogous ground
of discrimination. The Supreme Court has stated that “inherent
in the word 'distinction' is the idea that the claimant is treated differently
than others” (Withler at paragraph 62).
[119] In this case, the Applicants argue that the distinction is based on
national origin, and I agree with the interpretation of the words “national origin” adopted by this Court in Canadian
Doctors. Madam Justice Mactavish stated (at paragraph 768) that the
reference to “national origin” in subsection
15(1) encompasses “a prohibition on discrimination
between classes of non-citizens based upon their country of origin … consistent
with the provisions of the Refugee Convention, article 3 of which
prohibits discrimination against refugees based upon their country of origin”
(see also Hape at paragraphs 55-56).
[120] The differential treatment in paragraph 110(2)(d.1) of the IRPA
is clearly a distinction on the basis of the national origin of a refugee
claimant (Canadian Doctors at paragraphs 751-773). If the claimant comes
from one of the countries designated under subsection 109.1(1) of the IRPA,
his or her claim will be assessed without the potential benefit of or access to
an appeal to the RAD, unlike claimants from non-DCO countries.
[121] The Respondents’ reliance on Pawar is misguided. Justice
Mactavish distinguished that case in Canadian Doctors (at paragraphs
753-755), and her reasons are persuasive. Whatever qualities the MCI might
conclude that any particular country has, the reason a DCO claimant is treated
differently is because of the country from which such claimant originates. This
distinction is made without regard to claimants’ personal characteristics or
whether that country is actually safe for them. Moreover, the fact that
a country could conceivably be removed from the list of designated countries in
the future does not make a claimant’s national origin mutable. All it means is
that the MCI could stop drawing distinctions on the basis of their national
origin in the future and claimants have no control over when that might be.
That is no comfort to claimants affected by that distinction now.
[122] Thus, the first aspect of the test is satisfied by the very
provisions of paragraph 110(2)(d.1) itself inasmuch as it creates two classes
of refugee claimants based on national origin: those foreign nationals from a
DCO and those who are not from a DCO.
[123] As to whether the distinction between DCO and non-DCO claimants
under paragraph 110(2)(d.1) of the IRPA creates a disadvantage by
perpetuating prejudice or stereotyping, the Respondents contend that the DCO
regime is not based on stereotypes but, rather, is based on informed statistical
generalizations followed by thorough reviews of the country conditions.
Furthermore, according to the Respondents, nationals of DCO countries do not
suffer from any historical disadvantage that the DCO regime could perpetuate.
[124] I disagree with the Respondents' arguments. One of the principal
reasons the DCO regime as a whole was introduced, according to Ms. Dikranian,
was to “deter abuse of our refugee system by people who
come from countries generally considered safe and 'non-refugee producing', while
preserving the right of every eligible refugee claimant to have a fair hearing
before the IRB.” The distinction drawn between the procedural advantage
now accorded to non-DCO refugee claimants and the disadvantage suffered by DCO
refugee claimants under paragraph 110(2)(d.1) of the IRPA is
discriminatory on its face. It also serves to further marginalize, prejudice,
and stereotype refugee claimants from DCO countries which are generally
considered safe and “non-refugee producing.” Moreover,
it perpetuates a stereotype that refugee claimants from DCO countries are
somehow queue-jumpers or “bogus” claimants who
only come here to take advantage of Canada's refugee system and its generosity
(Canadian Doctors at paragraphs 814-815, 829 and 835-848; also see e.g. House
of Commons Debates, 40th Parl, 3rd Sess, No 33 (26 April 2010) at
1944-1945; House of Commons Debates, 40th Parl, 3rd Sess, No 36 (29
April 2010) at 2126; House of Commons Debates, 41st Parl, 1st Sess, No
220 (6 March 2012) at 5886; Affidavit of Julianna Beaudoin (13 June 2013),
Exhibit B: various articles).
[125] The persons directly affected by paragraph 110(2)(d.1) of the IRPA
include many claimants who are not abusing the system. For instance, Ms. Lazar
presented statistics showing that, since Hungary was designated, the
abandonment/withdrawal rate is down to 19%, and acceptance rates have climbed
to 44% (which is slightly more than the overall acceptance rate in 2013, which
was about 38% (Affidavit of Sean Rehaag (20 May 2014), Exhibit A)). Those rates
are almost five times higher than they had been before PCISA was
enacted, and about two times higher than for so-called legacy cases which
pre-date PCISA. The Respondents stated at the hearing this is what one
would expect of DCO countries (although Croatia does not appear to have seen
the same results), and explained that it showed that the DCO regime was working;
the proportion of accepted claims was increasing because people looking to
abuse the system were deterred from coming to Canada while those genuinely
seeking protection were not. This makes sense, but it also implies that claimants
who are actually denied an appeal by virtue of paragraph 110(2)(d.1)
are those who are genuinely seeking protection. Most of the abusive claimants
either stayed at home or went elsewhere. Any fraudulent claims which were
made here could be declared to have no credible basis or to be manifestly
unfounded by the RPD, something which it is required to do in appropriate cases
(IRPA, ss 107(2), 107.1). Those claimants are already denied an appeal (IRPA,
s 110(2)(c)), as are any claimants who abandon or withdraw their claims (IRPA,
s 110(2)(b)).
[126] Paragraph 110(2)(d.1) only affects the other unsuccessful
claimants from DCOs – those claims which the RPD has determined had a credible
basis and were not manifestly unfounded. Denying an appeal to all DCO claimants,
regardless of the RPD’s determination, effectively means that the stereotypical
“bogus” DCO claimant is being preferred to the
RPD’s individual assessment of a claimant’s story. There is no reason to expect
that the RPD is any less likely to make a mistake when it rejects genuinely-advanced
claims from DCOs than it is when it rejects claims from non-DCOs with similar
rates of acceptance; and in this regard it is noteworthy that the RAD allowed
about 17% of the appeals that it heard from January 2013 to May 2014 (Affidavit
of Ivonilde Da Silva (16 October 2014), Exhibit B). Denying an appeal to
claimants from DCOs thus does not correspond to whether those claimants are actually
abusing the refugee system, nor does it correspond to whether they actually need
an appeal less than claimants from non-DCOs.
[127] In Withler, the Supreme Court stated (at paragraph 2) that: “The central s. 15(1) concern is substantive, not formal,
equality. … At the end of the day there is only one question: Does the
challenged law violate the norm of substantive equality in s. 15(1) of the Charter?”
[emphasis added]
[128] The introduction of paragraph 110(2)(d.1) of the IRPA has
deprived refugee claimants from DCO countries of substantive equality vis-à-vis
those from non-DCO countries. Expressly imposing a disadvantage on the basis of
national origin alone constitutes discrimination (Andrews at 174; Withler
at paragraph 29), and this distinction perpetuates the historical disadvantage
of undesirable refugee claimants and the stereotype that their fears of
persecution or discrimination are less worthy of attention.
[129] Thus, I reject the Respondents' contention that paragraph
110(2)(d.1) can legitimately limit access to an appeal to the RAD for DCO
refugee claimants because there is still an individualized assessment before
the RPD for every refugee claimant from those countries. This is akin to saying
that all refugee claimants in Canada are equal, but some - i.e. those from
non-DCO countries - are more equal than others. As proficient as the RPD may be,
there is no question that access to the RAD is a substantial benefit which is
being denied to claimants from DCOs.
[130] Consequently, I find that paragraph 110(2)(d.1) of the IRPA
violates subsection 15(1) of the Charter. This paragraph draws a clear
and discriminatory distinction between refugee claimants from DCO-countries and
those from non-DCO countries, by denying the former a right to appeal a
decision of the RPD and allowing the latter to make such an appeal. This is a
denial of substantive equality to claimants from DCO countries based upon the
national origin of such claimants. In view of this conclusion, therefore, it is
unnecessary to consider whether paragraph 110(2)(d.1) has a
disproportionate impact on any particular subgroups of claimants.
[131] Lastly, it should be noted before leaving this issue, that no party
has argued that the distinction between DCO and non-DCO claimants under
paragraph 110(2)(d.1) of the IRPA is ameliorative. Accordingly, this
aspect of subsection 15(2) is not directly at issue in these applications.
VIII.
Does paragraph 110(2)(d.1) of the IRPA
infringe section 7 of the Charter?
[132] Section 7 of the Charter states that:
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.
|
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.
|
A.
Applicants’ Arguments
[133] The Applicants argue that section 7 is engaged because weakening the
procedural and substantive safeguards for refugee claimants from DCOs increases
the risk of refoulement,
and there will be no other statutorily guaranteed risk assessment prior to
deportation.
[134] Therefore, according to the Applicants, the DCO regime can only
survive if it is consistent with the principles of fundamental justice, and
they argue that it is not, since it is both overbroad and produces results that
are grossly disproportionate to its objectives. In this regard, they submit
that section 7 must be interpreted through the lens of the equality guarantee
provided by s. 15, and thus applied so as to ensure that prohibited
distinctions cannot serve as the basis for weakened protections against threats
to life, liberty and security of the person.
[135] The Applicants assert that the DCO regime is overbroad because,
although its objective is to “deter abuse of the
refugee system by people who come from countries generally considered safe,”
the criteria used to select countries has led to the designation of countries
that do produce genuine refugees and where persecution persists. Indeed, the
Applicants contend that the thresholds used to define those criteria can be
selected and changed by the MCI at whim, thus allowing the designation of
virtually any country. Even the minimal stipulations set out in the IRPA
are infirm, say the Applicants; the qualitative criteria use faulty indicia of
state protection that this Court has often condemned (citing e.g. Lakatos v
Canada (Citizenship and Immigration), 2014 FC 785 at paragraph 30); and the
quantitative criteria are deficient because: (1) the formula is based on past
rejection rates and ignores the future likelihood of persecution; (2) including
abandoned and withdrawn claims in the calculation leads to significant
distortions; (3) a high rejection rate does not imply a lack of persecution
because some types of claim may be well-founded even when the overall
acceptance rate is low; and (4) there is no legislated mandate to remove a
country’s designation. Regardless of how the MCI exercises the unfettered
discretion under section 109.1 of the IRPA, the Applicants say the law
itself is overbroad because it allows for the designation of unsafe countries.
[136] Alternatively, the Applicants say that the Thresholds Order
is overbroad. Setting the numerical threshold for using the quantitative
criteria at 30 claims in a 12-month period is far too small a sample size
to reflect actual country conditions and is easily distorted. Furthermore, the
percentages allow for designation of countries where claims are accepted
between 25% and 40% of the time, thus falsifying the premise that the country
is non-refugee producing. These problems are only amplified by permitting the
MCI to arbitrarily choose any 12-month period from the past three years in
which to apply those thresholds, especially as that ensures the MCI is relying
on old statistics that fail to reflect current country conditions.
[137] These problems are not cured by the secret and entirely
discretionary process the MCI uses to assess country condition. According to
the Applicants, safety is not a determinative factor in the assessment, and the
process has in fact led to the designation of unsafe countries like Hungary,
Croatia, Mexico, and South Korea. As for the process to remove a country’s
designation, it has no basis in law and fails to account for errors in the
initial designation or even for some changes in country conditions which may
put particular groups at risk. Thus, the Applicants conclude that the DCO
regime is overbroad insofar as it captures unsafe countries.
[138] In addition, the Applicants say the DCO regime is a grossly
disproportionate means of deterring abuse. In their view, it puts genuine
refugees at great risk of refoulement by stripping away all safeguards that could
correct any error made by the RPD. Since the other reforms introduced by the
government were already correcting all the problems plaguing the refugee
determination system, the Applicants say the DCO regime has grossly
disproportionate effects if even one person would be exposed to persecution
because of it (citing Bedford at paragraph 122).
B.
Respondents’ Arguments
[139]
The Respondents concede that refugee
determinations engage section 7 interests, but argue that any deprivation of
those interests accords with the principles of fundamental justice. DCO
claimants have access to the same system that all refugee claimants had before
the enactment of the BRRA. That system complied with the Charter
then, and it still does now. The RPD provides a full hearing with many
safeguards, including the ability to extend deadlines and to reopen refugee
claims. If those safeguards are not enough, the Respondents point out that an
applicant can apply for judicial review, move for a stay of removal, request a
deferral of removal, or even seek status by other means if they come within the
exceptions.
[140] The Respondents argue that the principles of fundamental justice do
not include access to an appeal (citing e.g. R v Meltzer, [1989] 1 SCR
1764 at 1773-1775, 96 NR 391; Kourtessis v MNR, [1993] 2 S.C.R. 53 at
69-70, 102 DLR (4th) 456). Furthermore, the DCO regime is not overbroad; the
legislated triggers and the discretionary review process ensure that the
limitations are directed only to countries for which there is a reasonable
basis to expedite the refugee determination system. Neither is it grossly
disproportionate because that principle “only applies
in extreme cases where the seriousness of the deprivation is totally out of
sync with the objective of the measure” (Bedford at paragraph
120).
[141] Finally, the Respondents submit that the Court should defer to
Parliament's choice to limit access to the RAD because it was necessary in
order to implement a more efficient and effective refugee determination system.
While a refugee determination must be forward-looking, the DCO regime could not
work without referring to past statistical trends. The Respondents say there is
no evidence that this system has been producing disproportionate or incorrect
results. On the contrary, the RPD is granting protection to a greater
proportion of DCO claimants, which indicates that well-founded claims are not
negatively impacted by a country's designation.
C.
Analysis
[142] The Applicants’ arguments with respect to section 7 of the Charter
are primarily related to the selection mechanism under section 109.1 and
whether the DCO regime as a whole is a grossly disproportionate way of
deterring abusive refugee claims. For the reasons given above, this issue need
not be addressed in the present applications.
[143] In any event, I agree with the Respondents' arguments as to section
7 of the Charter. As the Supreme Court stated in Charkaoui v Canada (Citizenship
and Immigration), 2007 SCC 9, [2007] 1 S.C.R. 350 at paragraph 136: “there is no constitutional right to an appeal … nor can such
a right be said to flow from the rule of law” (citations omitted).
IX.
If Charter rights are infringed, is paragraph
110(2)(d.1) of the IRPA justified by section 1 of the Charter?
[144] Section 1 of the Charter provides that:
1. The Canadian Charter of Rights and Freedoms guarantees the
rights and freedoms set out in it subject only to such reasonable limits
prescribed by law as can be demonstrably justified in a free and democratic
society.
|
1. La Charte canadienne des droits et
libertés garantit les droits et libertés qui y sont énoncés. Ils ne
peuvent être restreints que par une règle de droit, dans des limites qui
soient raisonnables et dont la justification puisse se démontrer dans le
cadre d’une société libre et démocratique.
|
A.
Respondents’ Arguments
[145] If there is any violation of Charter rights, the Respondents
argue that such violation is justified by section 1 of the Charter. The
Respondents say the MCI's discretion to designate countries is prescribed by
section 109.1 and should be presumed to be Charter-compliant. That
discretion is also circumscribed by the qualitative and quantitative triggers
set out in subsection 109.1(2) and the Thresholds Order, and is
controlled in practice by the policies governing country review and removal of
a designation. The Respondents thus argue that any limits on Charter
rights are prescribed by law and so can engage section 1 of the Charter
(citing Little Sisters Book and Art Emporium v Canada (Minister of Justice),
2000 SCC 69 at paragraph 82, [2000] 2 S.C.R. 1120; Greater Vancouver
Transportation Authority v Canadian Federation of Students - British Columbia
Component, 2009 SCC 31 at paragraphs 51-55, [2009] 2 S.C.R. 295 [GVTA]).
[146] The Respondents also contend that section 1 of the Charter
can justify even a violation of section 7 when the infringing statute has a
pressing and substantial objective and the means used to achieve it are proportional
to that objective (Bedford at paragraphs 126-129). The requirement of
proportionality is satisfied if the state demonstrates that the measures
chosen: (1) are rationally connected to the objective; (2) minimally impair Charter
rights; and (3) are not such that their deleterious effects outweigh the public
good they were adopted to advance (citing R v Oakes, [1986] 1 S.C.R. 103 at
138-139, 26 DLR (4th) 200 [Oakes]).
[147] In this case, the Respondents say Canada has a pressing and
substantial objective; it needs to offer refuge to asylum seekers and, at the
same time, maintain the integrity of its borders. Under the previous system, it
took approximately 20 months before a refugee claim could be heard and it took
an average of 4.5 years to deport failed refugee claimants, a situation which
the Auditor General reported was leading to abuse. The system was also often
duplicative, with officers considering PRRA and H&C applications assessing
the same risks as the RPD. Added to those challenges, the number of refugee
claims kept increasing, many of which were from EU countries, and a lot of
claims were being abandoned or withdrawn. Since the DCO regime was put into
place though, the overall intake from DCO countries has reduced by 83%, and the
average number of days between the latest negative decision and the removal
date has dropped dramatically. The number of claims granted by the RPD has also
increased in the same time periods. The Respondents say that the government has
thus accomplished its pressing and substantial objective.
[148] According to the Respondents, it is “reasonable
to suppose” that the DCO regime may have furthered that objective, in
that accelerated timelines, lack of an appeal to the RAD for some claimants,
and faster removals all free resources for more refugee claims to be determined
within the same period of time (citing Alberta v Hutterian Brethren of
Wilson Colony, 2009 SCC 37 at paragraph 48, [2009] 2 S.C.R. 567 [Hutterian
Brethren]).
[149] The Respondents also contend that the DCO regime is minimally impairing,
and submit that the Court should defer to Parliament's choice when it mediates
between competing social interests. In this case, Parliament ensured that every
refugee claimant still receives a full hearing from the RPD, and there are
mechanisms to seek adjournments or extend filing deadlines if the expedited timelines
cannot be met and to reopen an application if there was a breach of natural
justice. Furthermore, any risk from the lack of a RAD appeal is mitigated by
the availability of judicial review and the ability to seek a stay of removal
from the Court or ask for an administrative deferral of removal. The MCI can
also intervene to exempt any foreign national from the requirements of the IRPA
on his own initiative, and a PRRA can be accessed in exceptional circumstances.
As for the inability to ask for a PRRA more generally, the Respondents say that
the effect is minimal since most PRRAs are rejected anyway.
[150] The Respondents submit that the Applicants have not proposed any
alternative which fulfills all of the government's objectives. Contrary to the
Applicants’ submissions, the BRRA did not provide any additional
safeguards, since the current method still includes an assessment of country
conditions; and relying on the RPD to say when a claim is manifestly unfounded
would not streamline the process or allow for expedited timelines. Furthermore,
the Respondents note the DCO regime was modelled after similar concepts already
in place in free and democratic countries in the EU and, thus, argue that it is
appropriate to look to those countries when assessing whether a measure is
minimally impairing (Canada (AG) v JTI-Macdonald Corp, 2007 SCC 30 at
paragraphs 10 and 138, [2007] 2 S.C.R. 610 [JTI]).
[151] Finally, the Respondents state that the DCO regime is proportional
in its effects. It makes the asylum system sustainable while ensuring all
refugee claimants have their claims fairly and thoroughly assessed. As well,
the timelines make the system faster and more efficient, which is itself a
salutary effect.
B.
Applicants’ Arguments
[152] The Applicants argue that section 1 cannot justify the Charter
violations since the review process for designation of designated countries is
not “prescribed by law” (citing e.g. R v
Therens, [1985] 1 S.C.R. 613 at 644-645, 18 DLR (4th) 655; GVTA at
paragraphs 53-55 and 65). According to the Applicants, the designation process
just gives the MCI unfettered discretion to do anything the MCI likes, and
section 109.1 is “incapable of being interpreted so as
to constitute any restraint on governmental power” (citing Osborne v
Canada (Treasury Board), [1991] 2 S.C.R. 69 at 94-97, 82 DLR (4th) 321).
[153] The Applicants further argue that the Respondents have not
demonstrated any special or unusual circumstances which could justify limiting
a section 7 right (citing e.g. Re BC Motor Vehicle Act, [1985] 2 S.C.R. 486
at 518, 24 DLR (4th) 536). As for section 15, the Applicants argue that the DCO
regime is not minimally impairing for three reasons: (1) the RPD could just as
easily deter unfounded claims by declaring them manifestly unfounded or without
a credible basis, which has the same consequences as being from a DCO (IRPA,
ss 107(2), 107.1, 110(2)(c)); (2) the BRRA contained a less intrusive
DCO regime; and (3) the other measures introduced in 2012 addressed all the
problems the DCO regime was intended to resolve, and there is no evidence that
it was required in addition to those other measures. The Applicants argue that
the DCO regime also fails the proportionality test since it is both overbroad
and grossly disproportionate.
C.
Analysis
[154]
Since I have not found that paragraph
110(2)(d.1) of the IRPA violates section 7 of the Charter, it is
not necessary to consider that section vis-à-vis section 1 of the Charter.
Furthermore, since only the constitutionality of paragraph 110(2)(d.1) should
be addressed for the reasons stated above, it is also not necessary to consider
the Applicants' arguments that the review process for designation is not “prescribed by law.”
[155] It is necessary, however, to address whether the denial of an appeal
to the RAD for a DCO claimant is a reasonable limit prescribed by law that can
be demonstrably justified in a free and democratic society.
[156] The test to determine this issue is set out in Oakes, where
the Supreme Court stated (at 138-139) as follows:
To establish that a limit is reasonable and
demonstrably justified in a free and democratic society, two central criteria
must be satisfied. First, the objective, which the measures responsible for a
limit on a Charter right or freedom are designed to serve, must be
"of sufficient importance to warrant overriding a constitutionally
protected right or freedom": R. v. Big M Drug Mart Ltd., supra,
at p. 352. The standard must be high in order to ensure that objectives which
are trivial or discordant with the principles integral to a free and democratic
society do not gain s. 1 protection. It is necessary, at a minimum, that an
objective relate to concerns which are pressing and substantial in a free and
democratic society before it can be characterized as sufficiently important.
Second, once a sufficiently significant
objective is recognized, then the party invoking s. 1 must show that the means
chosen are reasonable and demonstrably justified. This involves "a form of
proportionality test": R. v. Big M Drug Mart Ltd., supra, at
p. 352. Although the nature of the proportionality test will vary depending on
the circumstances, in each case courts will be required to balance the
interests of society with those of individuals and groups. There are, in my view,
three important components of a proportionality test. First, the measures
adopted must be carefully designed to achieve the objective in question. They
must not be arbitrary, unfair or based on irrational considerations. In short,
they must be rationally connected to the objective. Second, the means, even if
rationally connected to the objective in this first sense, should impair
"as little as possible" the right or freedom in question: R. v.
Big M Drug Mart Ltd., supra, at p. 352. Third, there must be a
proportionality between the effects of the measures which are
responsible for limiting the Charter right or freedom, and the objective which
has been identified as of "sufficient importance". [Emphasis in
original]
[157] More recently, in Bedford, the Supreme Court stated the
following:
[125] …The question under … s. 1 …is …
whether the negative impact of a law on the rights of individuals is
proportionate to the pressing and substantial goal of the law in furthering the
public interest. The question of justification on the basis of an overarching
public goal is at the heart of s. 1…
[126] …Under s. 1, the government bears
the burden of showing that a law that breaches an individual’s rights can be
justified having regard to the government’s goal. Because the question is
whether the broader public interest justifies the infringement of individual
rights, the law’s goal must be pressing and substantial. The “rational
connection” branch of the s. 1 analysis asks whether the law was a rational
means for the legislature to pursue its objective. “Minimal impairment” asks
whether the legislature could have designed a law that infringes rights to a
lesser extent; it considers the legislature’s reasonable alternatives. At the
final stage of the s. 1 analysis, the court is required to weigh the negative
impact of the law on people’s rights against the beneficial impact of the law
in terms of achieving its goal for the greater public good. The impacts are
judged both qualitatively and quantitatively. Unlike individual claimants, the
Crown is well placed to call the social science and expert evidence required to
justify the law’s impact in terms of society as a whole.
[158] Thus, the central question is whether the negative impact of
paragraph 110(2)(d.1) on the rights of DCO claimants vis-à-vis other refugee
claimants is proportionate to the pressing and substantial goal of paragraph
110(2)(d.1) in furthering the public interest.
[159] I agree with the Respondents that the denial of an appeal to the RAD
by DCO refugee claimants in paragraph 110(2)(d.1) of the IRPA is “prescribed by law” and, therefore, section 1 of the Charter
is engaged.
[160] I also agree with the Respondents that Canada had a pressing and
substantial objective in effecting the reforms in the BRRA and the PCISA.
Prior to such reforms, it took approximately 20 months before a refugee claim
could be heard and failed claimants took an average of 4.5 years to
deport. In 2009, the Auditor General reported that in order to prevent abuse of
Canada’s immigration system, “it is important that a
refugee claim not be perceived as providing an automatic stay in Canada for a
significant period of time” (Office of the Auditor General of Canada, Status
Report of the Auditor General of Canada to the House of Commons (2009) at
paragraph 2.108). Moreover, the number of refugee claims kept increasing, many
of which were from EU countries, and a lot of such claims were being abandoned
or withdrawn. Since the DCO regime was put into place though, the overall
number of claims from DCO countries has reduced by 83%, claims are heard
faster, and the average number of days between the denial of a refugee
claimant’s claim and the removal date for a failed refugee claimant has been cut
almost in half.
[161] That said, the “objective relevant to the s.
1 analysis is the objective of the infringing measure, since it is the
infringing measure and nothing else which is sought to be justified” (RJR-MacDonald
Inc v Canada (AG), [1995] 3 S.C.R. 199 at paragraph 143, 127 DLR (4th) 1,
McLachlin J; Mounted Police Association of Ontario v Canada (AG), 2015
SCC 1 at paragraph 142, 380 DLR (4th) 1). The objective of paragraph
110(2)(d.1) specifically is to reduce the layers of recourse and ensure that
failed claimants from DCOs can be removed faster; a shorter expected stay could
act as a disincentive for those claimants who might otherwise come to Canada
and make a fraudulent refugee claim. In this respect, Eva Lazar testified that
it takes an average of 122 days from the date a claim was last rejected by the
RPD to remove a non-DCO claimant, and an average of 116 days from the same date
to remove a DCO claimant (Affidavit of Eva Lazar (20 November 2014) at para 24).
[162] However, even if it may have been reasonable to suppose that denying
an appeal to the RAD might further such objectives (see Hutterian Brethren
at paragraph 48), it cannot be said that paragraph 110(2)(d.1) is minimally
impairing. Just because every refugee claimant still gets a full hearing before
the RPD, and even though there may be provisions in the IRPA, the Regulations
and the RPD Rules to seek adjournments, or to extend filing
deadlines if the expedited timelines cannot be obeyed, or to reopen an
application, these factors cannot justify the fact that some claimants can and
others cannot make an appeal to the RAD.
[163] As noted in Bedford (at paragraph 126), assessing whether an
impugned law minimally impairs a Charter right requires the Court to ask
whether Parliament could have designed a law that infringes rights to a lesser
extent and consider if there are reasonable alternatives. The Supreme Court has
noted that, in making this assessment, “the courts
accord the legislature a measure of deference, particularly on complex social
issues where the legislature may be better positioned than the courts to choose
among a range of alternatives” (Hutterian Brethren at paragraph
60).
[164] The Respondents have not proven that an absolute bar preventing
appeals to the RAD for all claims from DCOs is the least drastic means by which
it could satisfy its objectives. Inasmuch as one of the goals of the reforms
effected by the BRRA and the PCISA was to deter abusive or
unfounded claims, this can be achieved by the RPD either declaring a claim
manifestly unfounded under section 107.1 of the IRPA or finding that
there is no credible basis for the claim under subsection 107(2). In both cases,
an appeal to the RAD is precluded by virtue of paragraph 110(2)(c). Claimants
who abandon or withdraw their claims are also denied an appeal to the RAD (IRPA,
s 110(2)(b)).
[165] The Respondents have supplied no evidence to prove that paragraph
110(2)(d.1) has any additional deterrent effect, and their only argument is
that declaring a claim not credible or manifestly unfounded would not
streamline the refugee process because the RPD would
still need to determine all claims on the same timelines. That argument could
possibly justify the expedited timelines, but not the lack of an appeal. By the
time an appeal would be necessary, the RPD has already assessed the claim on the
expedited timelines and is required by law to declare whether it was manifestly
unfounded or lacked a credible basis. The Respondents have led no evidence to
suggest RPD members cannot competently detect non-credible or fraudulent claims.
It was not necessary for Parliament to differentiate between DCO and non-DCO
claimants to preclude appeals to the RAD since the stated goal of deterring
abusive or unfounded claims could be achieved by the combined effect of section
107.1, subsection 107(2) and paragraphs 110(2)(b) and (c) of the IRPA.
[166] An appeal to the RAD is a significant benefit for claimants, and
denying this appeal to some claimants based on their country of origin is a
serious impairment of their right to equality. It is appropriate that DCO
claimants still get a full hearing before the RPD, can seek adjournments, and
can reopen an application in some circumstances, but everyone else gets that and
more. These factors cannot justify the fact that some claimants can and others
cannot appeal to the RAD.
[167] Furthermore, unlike non-DCO claimants who cannot be removed from
Canada until after the Federal Court has dismissed any applications for
judicial review of their RAD appeals, DCO claimants do not benefit from an
automatic stay of removal while seeking judicial review of a negative RPD decision.
They are left to seek a stay from this Court (a discretionary and uncertain process
to say the least), to request an administrative deferral of removal or, in
certain circumstances, request a PRRA. I disagree with the Respondents that any
risk of refoulement from
the lack of a RAD appeal is entirely mitigated by these avenues open to DCO
claimants.
[168] Moreover, although the Respondents rely on the existence of the SCO
concept in the EU to justify the DCO regime as a whole, even Professor
Hailbronner says that “a stay of execution in
administrative practice would not be considered as sufficient” to pass
muster in the EU (Second Affidavit of Kay Hailbronner (19 November 2014) at
paragraph 40). While Professor Hailbronner also testified that he believes the
Canadian procedure is ultimately sufficient, it is relevant to look at what
other countries are doing when deciding whether a practice is justified in a
free and democratic society (JTI at paragraph 138).
[169] Even putting aside the risk of refoulement though, an automatic stay of removal would at least save DCO
claimants from prematurely experiencing the stress of removal that would be
caused if their claims were erroneously rejected (see, for example, the
Affidavit of G.S. (21 October 2014) at paragraphs 13-19; Affidavit of C.S. (20
October 2014) at paragraph 8; Affidavit of Tibor Toboz (28 August 2014) at
paragraph 16). In view of paragraph 110(2)(d.1), it cannot be said, as the
Respondents argue, that all refugee claimants still have their claims fairly
and thoroughly assessed under the DCO regime. This is just not so, because now some
claimants are unfairly and inequitably denied the obvious benefit of an appeal
to the RAD in respect of a negative decision by the RPD.
[170] Denying an appeal to all claimants from DCOs is not proportional to
the government’s objectives; it is an inequality that is disproportionate and
overbroad and cannot be saved by section 1 of the Charter.
X.
If paragraph 110(2)(d.1) of the IRPA is
unconstitutional, what is an appropriate remedy?
[171] The Applicants request, amongst other things, the following relief
in their further memorandum of argument:
• A
declaration that section 109.1 and paragraph 110(2)(d.1) of the IRPA,
the Thresholds Order, and all designation orders made thereunder are
void and of no force and effect pursuant to section 52 of the Constitution
Act, 1982; and
• An
order that the RAD hear the appeals of Y.Z., G.S., and C.S.
[172] As mentioned above, the Respondents contested the scope of the
requested relief, and I have determined that the constitutionality of only
paragraph 110(2)(d.1) of the IRPA should be considered in these
applications. The Respondents also ask the Court to suspend any declaration of
invalidity for 12 months.
[173] In view of the foregoing reasons, I am prepared to grant the
Applicants some of the relief they have requested. In particular:
1.
The Court declares that paragraph 110(2)(d.1) of
the IRPA is inconsistent with subsection 15(1) of the Charter and
has no force and effect pursuant to subsection 52(1) of the Constitution Act,
1982, being Schedule B to the Canada Act 1982 (UK), 1982, c 11; and
2.
The decisions of the RAD in RAD File Nos.
TB3-02838, TB4-00950 and TB4-00951 are set aside, and G.S.’s and C.S.’s appeals
are returned to the RAD for re‑determination.
[174] I will not order that Y.Z.’s appeal be re-determined by the RAD
since the RPD decision in question has already been set aside by this Court and
his claim will be re-determined by the RPD. If his claim should again be
rejected by the RPD, the foregoing declaration of invalidity should grant him
access to the RAD without any specific order of this Court.
[175] I will also not suspend the declaration of invalidity as requested
by the Respondents. In Schachter v Canada, [1992] 2 S.C.R. 679 at 719, 93
DLR (4th) 1 [Schachter], the Supreme Court suggested that suspending a
declaration of invalidity is appropriate when an immediate declaration would
pose a danger to the public, threaten the rule of law, or deprive deserving
individuals of benefits without actually helping the people whose rights were
violated. None of those criteria apply in the present case.
[176] Occasionally though, the Supreme Court has suspended a declaration
of invalidity where the Schachter conditions were arguably not present
in order to give the legislature time to design an appropriate remedy (see,
e.g., Corbiere v Canada (Minister of Indian and Northern Affairs),
[1999] 2 S.C.R. 203 at paragraphs 116-121, 173 DLR (4th) 1, L’Heureux-Dubé J,
concurring; Peter W Hogg, Constitutional Law of Canada, 5th ed, vol 2
(Toronto: Thomson Reuters, 2007) (loose-leaf updated to 2014), ch 40 at 40.1(d)).
That rationale is most persuasive, however, when there are many ways the
legislature could conceivably fix the problem. That is not the case here. An
immediate declaration of invalidity may put some increased pressure on the
resources of the RAD and may delay some removals, but every day that paragraph
110(2)(d.1) is in force is a day that claimants from DCOs are not “equal before and under the law” and will be deprived
of their rights “to the equal protection and equal
benefit of the law without discrimination.” Anyone deported in the
meantime may be returned to a persecutory situation because they could not
appeal an erroneous RPD decision to the RAD. Rectifying that inequality as soon
as possible outweighs any administrative burdens to the government.
[177] For the same reason, releasing this decision simultaneously in both
official languages would “occasion a delay prejudicial
to the public interest” (Official Languages Act, RSC 1985,
c 31 (4th Supp), s 20(2)(b) [OLA]). I recognize, however, that insofar
as this decision “determines a question of law of
general public interest or importance” (OLA, s 20(1)(a)), it will
be translated at the earliest possible time.
XI.
What questions should be certified?
[178] At the hearing of this matter, the parties proposed questions to be
certified pursuant to paragraph 74(d) of the IRPA.
[179] The Applicants suggested that questions along the lines of the
issues as stated in their further memorandum of argument could be certified;
they would therefore request that the following questions be certified:
1.
Does the combined effect of section 109.1,
paragraph 110(2)(d.1) of the IRPA and the Thresholds Order
violate section 15(1) of the Charter?
2.
If so, have the Respondents established that
such a violation is justified under section 1 of the Charter?
3.
Does the combined effect of section 109.1,
paragraph 110(2)(d.1) of the IRPA and the Thresholds Order
violate section 7 of the Charter in so far as those provisions are
either overly broad and/or grossly disproportionate?
4.
If so, have the Respondents established that
such a violation is justified under section 1 of the Charter?
[180] The Respondents take a narrower approach to what question should be
certified, suggesting the following:
1.
Does paragraph 110(2)(d.1) of the IRPA comply
with the Charter, and if not is it saved by section 1 of the Charter?
[181] In Zhang v Canada (Citizenship and Immigration), 2013 FCA
168, [2014] 4 FCR 290, the Federal Court of Appeal stated as follows:
[9] It is trite law that to be
certified, a question must (i) be dispositive of the appeal and (ii) transcend
the interests of the immediate parties to the litigation, as well as
contemplate issues of broad significance or general importance. As a corollary,
the question must also have been raised and dealt with by the court below and
it must arise from the case, not from the Judge’s reasons… [citations omitted]
[182] I agree with the parties that this is an appropriate case to state a
certified question pursuant to paragraph 74(d) of the IRPA.
[183] The following questions are dispositive of this case in view of the
finding and declaration above that paragraph 110(2)(d.1) of the IRPA violates
subsection 15(1) of the Charter. They also transcend the interests of
the immediate parties and raise issues of broad significance or general
importance:
1.
Does paragraph 110(2)(d.1) of the IRPA
comply with subsection 15(1) of the Charter?
2.
If not, is paragraph 110(2)(d.1) of the IRPA
a reasonable limit on Charter rights that is prescribed by law and can
be demonstrably justified under section 1 of the Charter?
XII.
Conclusion
[184] In the result, the Applicants' applications for judicial review are
granted, in part, the decisions of the RAD in RAD File Nos. TB3-02838,
TB4-00950 and TB4-00951 are set aside, and the matters in TB4-00950 and TB4-00951
are returned to the RAD for re-determination.
[185] The questions stated above are certified pursuant to paragraph 74(d)
of the IRPA.