Supreme Court
of Canada
Canadian Fishing
Company Limited v. Smith, [1962] S.C.R. 294
Date: 1962-03-26
The Canadian Fishing
Company Limited, Ernest Frederick Piper, Roger Thompson Hager, Donovan Francis
Miller and George Bean McKay, British Columbia Packers Limited, Edmunds &
Walker Limited, J. H. Todd & Sons Ltd., John Murdoch Buchanan, Edward Loy
Harrison and Donald Robert Russell, The Anglo-British Columbia Packing Company
Limited, Richard Bell-Irving, Peter Traill and Ian M. Bell-Irving, Queen
Charlotte Fisheries Limited and Anderson & Miskin Limited, Nelson Bros.
Fisheries Limited, Angus C. Findlay, Richard Nelson and William Lorne Whittaker
(Plaintiffs) Appellants;
and
C. Rhodes Smith, A.
S. Whitely and Pierre Carignan (Defendants) Respondents.
1961: November 28, 29; 1961: March 26.
Present: Kerwin C.J. and Taschereau,
Locke, Cartwright, Fauteux, Abbott, Martland, Judson and Ritchie JJ.
ON APPEAL FROM THE COURT OF APPEAL FOR
BRITISH COLUMBIA
Combines—Restrictive
Trade Practices Commission—Inquiries by Director of Investigation
and Research—Allegations of breaches of Combines
Investigation Act included in statement of evidence—Application for full disclosure of all evidence and
documents—Power of Commission to furnish
material—Combines Investigation Act, R.S.C.
1952, c. 314, s. 18.
The Director of Investigation and Research under the Combines
Investigation Act, R.S.C. 1952, c. 314, as amended, conducted inquiries into
the operations of certain companies and individuals in relation to the
production, purchase and sale of raw fish in British Columbia. After obtaining
oral and documentary evidence, as authorized by the Act, the director prepared
a statement of evidence of the nature referred to in s. 18(1). Included in this
statement were a series of allegations based upon the evidence considered alleging
various breaches of the Act by the appellants and by certain other individuals
and organizations. Different portions of the allegations referred to different
parties. One of the parties who had been investigated, and who, as required by
the Act, had been supplied with a copy of the director's statement of evidence,
applied to the Restrictive Trade Practices Commission for
[Page 295]
a full disclosure of all the evidence and documents that had
been examined by the director. In response to this request the Commission gave
a direction to make all the material available.
The appellant companies brought actions in the Supreme Court
of British Columbia in each of which an injunction was asked restraining the
defendants (the chairman and members of the Commission) from making this
material available to any person except to members of or employees of the
Commission or to the Minister of Justice or any person acting in an official
capacity under his direction. In addition, the appellant companies asked a
declaration that publication of the material to any member of the public or to
any of the persons named in the allegations was unlawful. The British Columbia
Courts held that the Commission had power to direct that the material be
supplied. In a similarly constituted case in Ontario the trial judge came to
the opposite conclusion; there was an appeal pending from that decision to the
Court of Appeal. Appeals from the decision of the Court of Appeal for British
Columbia were brought to this Court.
Held (Taschereau, Fauteux, Abbott and Judson JJ.
dissenting): The appeals should be allowed in part.
Per Kerwin C.J. and Locke, Martland and Ritchie JJ.:
While the chairman of the Commission had informed the appellants of his
intention to make available the transcript of the evidence and all of the
documents to the party who had requested this material, after an injunction was
granted in the Ontario proceedings he informed them that he proposed to hold a
hearing to hear argument as to whether this should be done. The matter was thus
reopened and in the circumstances the appellants were not entitled to an
injunction.
The appellants were, however, entitled to a declaration that upon the true
construction of s. 18 of the Act the director, and in this case, the Commission
are required to furnish to each person against whom an allegation is made in
the statement of evidence a copy of the evidence taken at the instance of the
director, only in so far as such evidence relates to the allegations made
against such person, and copies of only such of the documents taken from the
possession of the appellant companies as are relevant to the allegations made
against him.
Per Cartwright, Martland and Ritchie JJ.: The duty
imposed on the Commission by s. 19(1) of the Act to make a report to the
Minister in which it must review the evidence, appraise the effect on the
public interest of arrangements disclosed in the evidence, and contain
recommendations as to the application of remedies provided in the Act or other
remedies is not limited to a review of the statement of evidence alone. It
contemplates a consideration of the evidence and material on which the
statement of evidence is based, together with such further or other evidence or
material as the Commission has deemed it advisable to consider pursuant to s.
18(3).
The Commission, interposed as an impartial tribunal between
the director and those against whom he makes allegations, and charged with the
duty of giving full opportunity to be heard, has by necessary implication the
power to furnish to one against whom an allegation is made the relevant
evidence and documents on which the allegation is based, but it has no further
power of disclosure.
[Page 296]
The decision as to what further information, if any, in
addition to that contained in the statement of evidence was necessary in this
case was committed to the Commission subject to the limitations set out in the
declaration directed to be made.
Per Taschereau, Fauteux, Abbott and Judson JJ., dissenting
in part: There was no express statutory power authorizing disclosure of all
the evidence and documents. Nothing in the Act gave the Commission any express
power over documents except in the event of a further inquiry under s. 22.
Neither could the power of disclosure be found by implication in the duty to
afford the applicant a full opportunity to be heard under s. 18. Whether full
opportunity to be heard involves a right to this sort of production had been
decided, adversely to the applicant, in Advance Glass & Mirror Co. Ltd.
v. Attorney-General of Canada & McGregor, [1949] O.W.N. 451, and Re
The Imperial Tobacco Co. and McGregor, [1939] O.R. 627. Nor could the power
to order disclosure of documents be read into s. 18(3).
This was not a preliminary inquiry in a criminal prosecution
nor anything in the nature of a preliminary inquiry. It was merely a hearing
for the purpose of determining what kind of report was to be made to a Minister
of the Crown. A full opportunity to be heard in these circumstances did not
require and did not justify all this elaboration of procedure and discovery.
There was no statutory authorization for it and there was risk of frustration
of the whole purpose of the Act, which is directed solely to investigation and
research. The right to be heard should be applied in this context.
APPEALS from a
judgment of the Court of Appeal for British Columbia,
dismissing appeals from the judgment of Sullivan J. Appeals allowed in part.
J. J. Robinette, Q.C., and J. G.
Alley, for the plaintiffs, appellants.
D. S. Maxwell, Q.C., and G. W.
Ainslie, for the defendants, respondents.
The judgment of
Kerwin C.J. and of Locke, Martland and Ritchie JJ. was delivered by
LOCKE J.:—These are appeals from a judgment of the Court of Appeal
for British Columbia
brought pursuant to leave granted by this Court. The judgment appealed from
dismissed appeals of the present appellants from the judgment of Sullivan J. at
the trial.
The respondents,
the defendants in the action, are the members of the Restrictive Trade
Practices Commission appointed under the provisions of s. 16 of the Combines
Investigation Act, R.S.C. 1952, c. 314.
[Page 297]
The facts
necessary to be considered are, in my opinion, as follows:
In consequence of
an application made to the Director of Investigation and Research, Mr. T. D.
McDonald, appointed under the provisions of s. 5 of the said Act, the director
conducted inquiries into the operations of the appellant companies, the United
Fishermen and Allied Workers' Union and certain other associations and
organizations, to be hereinafter referred to in relation to the production,
purchase and sale of raw fish on the West Coast of British Columbia.
During the months
of July and August 1956, representatives of the director, after obtaining a
certificate of the nature referred to in subs. (3) of s. 10 of the Act, took
from the premises of the appellant corporations, of the union and certain of
such associations certain letters, copies of letters, reports, memoranda and
other documents, as authorized by subs. (1) of s. 10. During the months of
October and November 1957 some officers and employees of the appellant companies,
including all of the individual appellants, were examined on oath before a
member of the Board in private by the director or his authorized
representatives pursuant to subs. (1) of s. 17.
Thereafter the
director prepared a statement of the evidence of the nature referred to in s.
18(1) of the Act. This statement contains a summary of the oral evidence taken
and of the contents of some of the documents seized and concluded with a series
of allegations based upon the evidence considered, alleging various breaches of
the Combines Investigation Act by the parties appellant, certain
individuals and certain organizations, some of which are not parties to these
proceedings.
This statement of
evidence forms part of the Case in these matters and is some 565 pages in
length. As required by s. 18(1) copies of this document were submitted to the
Commission. On the assumption that this section required that it be done,
copies of the entire statement were supplied to each of the persons against
whom an allegation was made. The statement contains copious extracts from the
evidence taken on the hearings which, in each case, were held in private and
includes a large number
[Page 298]
of references to
some of the documents seized as aforesaid. With these exceptions, none of the
evidence which, as the record indicates, is some 3,000 pages in extent, and
none of the documents were disclosed to any of the parties concerned.
The statement of
the evidence and the allegations signed by the director bears the date May 27,
1959. Following the delivery of this document to the parties, Mr. Homer
Stevens, the secretary-treasurer of the United Fishermen and Allied Workers'
Union (hereinafter referred to as the Union) wrote to the respondent Smith on
June 11, 1959; saying, inter alia:
Your
"Statement of Evidence" is only a partial summary of evidence
submitted by other organizations and individuals connected with the fishing
industry. We naturally want to know everything that was said or submitted, in
order to prepare our defense against what appears to be a onesided and
extremely illogical set of allegations. Will you therefore send us a copy of
the full transcript of evidence submitted by the persons listed in Appendix A,
pages 583 to 592 inclusive, excepting of course the transcript of evidence by
the writer which we already have received? Will you also send us copies of all
the documents listed in Appendix B and Appendix C, pages 593 to 595 inclusive,
except those obtained from Union files which we have in our possession.
The pages of the
transcript referred to included the evidence of a considerable number of
witnesses who were officials or employees of the appellant companies and the
documents referred to included a large number taken from the files of the
Fisheries Association of B.C., of which the appellant companies were members,
and seven of the packing companies who are parties appellant.
On September 14,
1959, the union wrote to the chairman repeating the request of Stevens for the
material referred to in the letter of June 11 above mentioned. To this the
respondent Smith replied on September 21, 1959, saying that copies of the
transcript of the evidence of the witnesses and of all the documents listed in
Appendices B and C of the statement of evidence, other than those taken from
the union files, were being prepared and would be forwarded shortly. On the
same date the chairman wrote the appellant Canadian Fishing Co. Ltd. informing
that company of the proposed action, and similar notices were given to the
other appellant companies.
[Page 299]
The appellant
Canadian Fishing Co. Ltd., by letter dated October 2, 1959, informed the
chairman that it objected to the delivery of the transcript or any of the
documents, and similar objections were made on behalf of the other companies.
Mr. Smith considered these objections and rejected them, setting out the
Commission's reasons in a letter addressed to the solicitors for the appellant
B.C. Packers Ltd. dated October 9, 1959, and wrote similar letters to the other
appellant companies or their solicitors.
The appellant
companies thereupon commenced an action in the Supreme Court of Ontario against
the respondent Smith, the director, and the Attorney General of Canada, for an
order restraining the delivery of the evidence or of the documents, and
obtained an interim injunction from the local judge of that Court in Ottawa on
October 22, 1959. The injunction was continued by an order of Aylen J. until
the trial. That action came on for trial before the late Mr. Justice Danis on
March 26, 1960, and judgment was reserved. At the trial the restraining order
made by Aylen J. was amended so that it restrained the delivery of the
transcript and of the documents:
except to the
extent that the said Restrictive Trade Practices Commission after the
commencement of its public hearing to be heard pursuant to s. 18(2) of the said
Act with respect to the said statement of evidence orders or directs the
disclosure of the said material in whole or in part.
Danis J. died
before delivering judgment and the case was then heard and decided by Parker J.
whose judgment
granting the plaintiffs the relief asked was delivered on May 30, 1961, after
the institution of the present proceedings. The defendants appealed to the
Court of Appeal and that appeal is now pending in that Court.
No further steps
had been taken by the respondents in British Columbia following the institution
of the action in Ontario but on May 24, 1960, after the terms of the interim
injunction granted in those proceedings had been altered in the manner above
stated, the respondent Smith wrote to the appellant companies, referring to the
Ontario proceedings and saying in part:
In order to
comply with the terms of the injunction the Commission has fixed 10 a.m. on the
morning of Monday, the 25th day of July, 1960, in the City of Vancouver,
British Columbia, as the time and place at which the hearing before the
Commission will be held.
[Page 300]
It is
anticipated that the only matter that will be dealt with at that time is the
request of certain parties to the proceedings for a copy of the transcript and
of the documents upon which the Director has relied in the preparation of the
Statement of Evidence, and that the hearing will then be adjourned to a
subsequent date.
The
Commission proposes that the subsequent date for resuming the hearing will be
Monday, November 7th 1960. Argument may be presented on this point at the
hearing in July.
This appears to
have been a clear intimation that the decision of the Commission referred to in
the letter of October 9, 1959, was to be reconsidered.
At the request of
counsel for the appellant corporations, the date of the preliminary hearing
referred to was changed to September 29, 1960.
On September 28,
1960, the writs were issued in the present actions and interim orders of
injunction restraining the respondents from delivering the transcript or the
documents until the trial of the actions obtained by the various plaintiffs.
No order for
consolidation had been made but, by consent, the five actions were tried
together. The case of the appellant Canadian Fishing Co. Ltd. was first
presented, the evidence consisting of the matters disclosed in an agreed
statement of facts, various documents and portions of the examination for
discovery of the respondents Whiteley and Smith. No oral evidence was given.
Certain of the other plaintiffs tendered further evidence relating to their own
cases and all adopted that given on behalf of the Canadian Fishing Co. Ltd.
Notwithstanding the fact that paragraph 8 of the statement of claim of that
company alleged that the director or his representatives:
entered into
the premises of the Plaintiff company and took away, inspected and copied
statements, documents and letters, many of a confidential nature, disclosing
the plaintiff company's methods of business and operation, some of which were
written by the individual plaintiffs acting as officers of the Plaintiff
company.
and
notwithstanding that the allegation that the documents taken were of a
confidential nature disclosing the plaintiff company's method of business and
operation had been put in issue by paragraph 2 of the statement of defence, no
evidence was given on the issue so raised and the only information as to the
nature of the documents in this record is such as is given in the statement of
evidence prepared by the director.
[Page 301]
The expression
"combine" is defined in s. 2 of the Combines Investigation Act.
Section 32 declares that any person who is a party or privy to or knowingly
assists in the formation or operation of a combine is guilty of an indictable
offence.
When an
application is made to the director in the manner required by s. 7 as amended,
the director is required to conduct an inquiry whenever he has reason to
believe that s. 32 or 34 of the Act or s. 411 or 412 of the Criminal Code
has been or is about to be violated, or whenever directed so to do by the
Minister of Justice. Section 18 of the Act as amended reads:
18. (1) At
any stage of an inquiry,
(a)
the Director may, if he is of the opinion that the evidence obtained discloses
a situation contrary to section 32 or 34 of this Act, or section 411 or 412 of
the Criminal Code, and
(b)
the Director shall, if so required by the Minister, prepare a statement of the
evidence obtained in the inquiry, which shall be submitted to the Commission
and to each person against whom an allegation is made therein.
(2) Upon
receipt of the statement referred to in subsection (1), the Commission shall
fix a place, time and date at which argument in support of such statement may
be submitted by or on behalf of the Director, and at which such persons against
whom an allegation has been made in such statement shall be allowed full
opportunity to be heard in person or by counsel.
(3) The
Commission shall, in accordance with this Act, consider the statement submitted
by the Director under subsection (1) together with such further or other
evidence or material as the Commission considers advisable.
(4) No report
shall be made by the Commission under section 19 or 22 against any person
unless such person has been allowed full opportunity to be heard as provided in
subsection (2).
Section 19(1)
reads:
The
Commission shall as soon as possible after the conclusion of proceedings taken
under section 18, make a report in writing and without delay transmit it to the
Minister; such report shall review the evidence and material, appraise the
effect on the public interest of arrangements and practices disclosed in the
evidence and contain recommendations as to the application of remedies provided
in this Act or other remedies.
This section
further provides that, following the transmission of this report to the
Minister, the director shall deliver all documents taken by him to those from
whom they were taken, unless required to retain them by the Attorney General of
Canada.
[Page 302]
The inquiry
conducted by the director was directed to the activities of the appellants, the
Fisheries Association of B.C., the following organizations: United Fishermen
and Allied Workers' Union, Native Brotherhood of British Columbia, Fishing
Vessel Owners' Association of British Columbia, B.C. Fishermen's Independent
Co-Operative Association, Prince Rupert Fishermen's Co-Operative Association,
Prince Rupert Fishing Vessel Owners' Association; the Deep Sea Fishermen's
Union, and of Stevens and other persons who were officers of certain of these
organizations. The inquiry was directed to these activities in connection with
the production, purchase and sale of raw fish in the four principal fisheries
of British Columbia, namely, the salmon, herring, halibut and trawl fisheries.
Of these various
organizations other than the appellant companies and the Fisheries Association
of B.C. those most actively engaged in the operations which were considered
were the two Co-Operative associations and the Native Brotherhood. Of the
individuals named, the secretary-treasurer of the union appears to have taken
the leading part.
With minor
exceptions, the fishermen are not employees either of the packing companies by
whom the larger part of the catch is purchased, or of the Fisheries Association
which represented them in some of the negotiations. The arrangements under
which the fishermen are generally remunerated in the salmon industry is by the
division of the proceeds of the catch between the vessel owners, the crew and
the fishermen. While the union represented the majority of the shore workers of
the members of the Fisheries Association and, presumably, as their bargaining
agent negotiated wage agreements on their behalf since the relationship of
employer and employee did not exist between the fishermen and the companies,
they being joint venturers with the vessel owners, the status of the union as
regards the fishermen was not that of a trade union to which the Labour
Relations Act, 1954 (B.C.), c. 17, or the Trade-unions Act, R.S.B.C.
1948, c. 342, applied. It was apparently as a voluntary association
representing the fishermen that written agreements were signed by this union
which determined the prices to be paid for the various types of salmon and
regulated in various respects the
[Page 303]
manner in which
the vessels were to be operated. The director's report on this branch of the
industry covers the period from 1945 to 1958.
The facts elicited
in this branch of the inquiry are summarized by the director at p. 575 of the
statement of evidence, the director alleging that during the period 1947 to
1958 the appellants: the Anglo-British Columbia Packing Company, British
Columbia Packers Ltd., the Canadian Fishing Co. Ltd. and Nelson Brothers
Fisheries Ltd. were parties or privies to or knowingly assisted in arrangements
designed to have the effect of fixing prices and otherwise preventing or
lessening competition in the production, purchase, sale or supply of raw salmon
in British Columbia unduly or to the detriment or against the interests of the
public. It was further alleged that during the said period Alexander L. Gordon,
William Rigby, Homer J. Stevens, shown to have been officers of the union, the
Native Brotherhood of British Columbia and the Fishing Vessel Owners'
Association, respectively, were parties to arrangements of the same nature. In
addition, it was alleged that during the period 1949 to 1958 Gordon, Rigby,
Stevens and the Native Brotherhood were parties or privies to such
arrangements.
The director
asserted in this portion of his statement that the fish packing or canning
companies in effect operated as one unit through the Fisheries Association in
fixing prices or minimum prices to be paid for fish.
In the herring
fishery the director found that the fishermen were joint venturers in the
fishing and not employees and that the stoppages of work in this and in the
other fisheries referred to as strikes were not labour disputes within the
meaning of the provincial legislation. The agreement between the union
representing the fishermen and the Fisheries Association representing the
companies fixed prices and provided for the limitation of the number of vessels
fishing and the director asserted that the result of the agreement was to
prevent or lessen competition unduly, within the meaning of the statute.
Between the years 1953 to 1957, both inclusive, he alleged that the Anglo-British
Columbia Packing Co. Ltd., British Columbia Packers Ltd., the Canadian Fishing
Co. Ltd., Nelson Brothers Ltd., Gordon, Rigby and Stevens were parties or
privies to these
[Page 304]
arrangements. He
further asserted that in the years 1952 and 1953 and 1957 and 1958 Rigby and
Stevens were parties or privies or knowingly assisted in arrangements having
this effect in the herring industry.
In the halibut
fishery the director said that the large majority of the longline vessels are
owned by the companies who are members of the Fisheries Association and
individuals who are members of the Fishing Vessel Owners' Association and the
members of the Prince Rupert Fishing Vessel Owners' Association. There are no
price agreements, minimum or otherwise. There are agreements as to the
distribution of the proceeds of the catch between the union representing the
fishermen and the Fishing Vessel Owners' Association and the Prince Rupert Fishing
Vessel Owners' Association and the Deep Sea Fishermen's Union. The object of
the agreements between the unions and the vessel owners is alleged to be to
prevent non-union or non-association members from engaging in the longline
halibut fishery, and thus restricting the facilities for producing, supplying
or dealing in raw halibut. It is further asserted that rules designed to
curtail the catch of halibut in the years 1956 and 1957 were adopted by the
union, the Native Brotherhood and the Fishing Vessel Owners' Association and
others. This portion of the report deals also with certain of the operations of
the Vancouver Fishing Exchange where part of the catch of halibut is sold. Of
the appellant companies, the Canadian Fishing Co. Ltd. and Edmunds and Walker
Ltd. are members, the latter a subsidiary of the B.C. Packers, and it is said
that the exchange was so operated as to substantially prevent and lessen
competition.
In this fishery
the director alleged that the Fishing Vessel Owners' Association and Wm. H.
Brett, the secretary-treasurer of the Deep Sea Fishermen's Union, Stevens and
Matthew H. Waters, the secretary of the Fishing Vessel Owners' Association,
were between the years 1951 and 1957 parties to arrangement designed to have the
effect of limiting facilities for producing, supplying and dealing in raw
halibut unduly or to the detriment or against the interests of the public.
Similar allegations are made against the Fishing Vessel Owners' Association and
Gordon, Rigby and Stevens during the years 1956 and 1957 and against
[Page 305]
the Canadian
Fishing Company and Edmunds and Walker Ltd. during the period 1955 to 1957,
regarding the operations of the Vancouver and New Westminster halibut exchange.
In the trawl
fishery the majority of the vessels are owned by individuals, only a very few
being owned by the companies. About one-third of the vessels are owned by
members of the Fishing Vessel Owners' Association and a somewhat smaller
proportion by the members of the B.C. Co-Operative. There is no
employer-employee relationship between the companies, the vessel owners and the
fishermen, and the only formal agreement is that made by the union with the
Fishing Vessel Owners' Association referred to in connection with the halibut
fishery. There are no minimum or specific price agreements. In 1947 and 1952
the fishermen refused to work during periods of varying length, these stoppages
being described as strikes, and it is the steps taken on behalf of the union at
these times which were the basis for the allegations made by the director.
As to this the
director alleged that Rigby and Stevens were in the year 1947 parties or
privies or knowingly assisted in arrangements having or designed to have the
effect of preventing, limiting or lessening production of trawl or bottom fish
unduly or to the detriment or against the interests of the public. Similar
allegations are made against Gordon, T. Parkin and Stevens as to the stoppage
in 1952.
No allegations
were made against the appellants J. H. Todd and Sons, Queen Charlotte Fisheries
Ltd. and Anderson and Miskin Ltd. and it is admitted that the director removed
from the premises of these companies certain of their documents of the nature
referred to in paragraph 9 of the statement of claim of the first mentioned of
these companies, though their confidential nature was denied.
Sullivan J.
considered that the statement of the evidence referred to in s. 18 included the
documents referred to in it. That learned judge said in part:
The
difficulty of this case arises out of the unusual circumstance that the basis
of the Director's allegations against sundry competing firms and the employees of
some of them is contained in his one Statement of Evidence, some portions of
which affect one of them and other portions of which refer only to others.
[Page 306]
Considering that
the Commission had a discretionary power to decide as to the material to be
given to the various parties, he dismissed the action.
The appeals in the
five actions were consolidated in the Court of Appeal. Desbrisay C.J.B.C. considered
they should be dismissed and gave no written reasons. O'Halloran J.A. agreed
that the statement of evidence referred to included all the evidence taken and
documents referred to in it. He considered that while the duty to supply this
material was imposed upon the director by s. 18 of the Combines
Investigation Act it rested also on the Commission by necessary implication
and that the Commission should direct that this be done.
Sheppard J.A.
agreed that the Commission was vested with the power to supply the documents
and held that it was for that body to determine what documents are fairly
required in the case of such person against whom an allegation is made in the
exercise of its powers under s. 18(3).
The disposition to
be made of this matter depends, in my opinion, upon the interpretation which
should be placed upon the language of subs. (1) (b) of s. 18, in
so far as it relates to a person against whom an allegation is made by the
director. The statement of evidence to be submitted to the Commission must, of
necessity, be the evidence and the documents relating to all of the allegations
made. But where, as in this case, there are allegations of conduct contrary to
the statute against four of the companies, in respect of arrangements said to
have been made inter se in relation to the salmon fishery with which
Stevens and the other union officials are not concerned, and allegations of
such conduct against Rigby, Stevens, Gordon and Parkin in relation to the trawl
fishery with which none of the appellants are concerned, is it intended that
nonetheless all the evidence taken on all the inquiries made and the relevant
documents are to be supplied to persons other than those against whom the
allegations are made?
The cardinal rule
for the construction of Acts of Parliament is that they should be construed
according to the intention of the Parliament which passed them. Section 15 of
the Interpretation Act, R.S.C. 1952, c. 158, which applies to this Act
declares that every Act shall be deemed remedial and shall accordingly receive
such fair, large and
[Page 307]
liberal
construction and interpretation as will best ensure the attainment of the
object of the Act, according to its true intent, meaning and spirit.
Subsection (1) (b)
is to be read together with subss. (2) and (4) of s. 18 which makes the purpose
of the requirement perfectly clear, that being to enable such person to advance
before the Commission, at the hearing to be held, such arguments as he may be
advised against the allegations made against him.
As pointed out by
Mr. Justice Sullivan, the difficulty has arisen by reason of the fact that the
director prepared but one statement of evidence obtained by him in the course
of several inquiries. Had a separate statement been prepared in respect of the
alleged activities of the companies inter se and of those of the Trade
union officials against whom the allegations are made in respect of the trawl
fishery, no such question could have arisen. In my opinion, the construction to
be placed upon the subsection should not be affected by the fact that the
summary of the evidence taken during all of the inquiries was included in the
one document.
Where the usual
meaning of the language falls short of the whole object of the legislature, a
more extended meaning may be attributed to the words if they are fairly
susceptible of it (Maxwell, 10th ed. p. 68). It was this principle that
was applied in the House of Lords in construing the Workmen's Compensation
Act in Lysons v. Andrew Knowles & Sons Limited.
As it was said by Lindley L.J. in The Duke of Buccleuch,
you are not to attribute to general language used by the legislature a meaning
that would not only not carry out its object but produce consequences which, to
the ordinary intelligence, are absurd. It was said in the Court of Appeal in Holmes
v. Bradfield Rural District Council:
the mere fact
that the results of applying a statute may be unjust or even absurd does not
entitle this court to refuse to put it into operation. It is, however, common
practice that if there are two reasonable interpretations, so far as the
grammar is concerned, of the words in an Act, the courts adopt that which is
just, reasonable and sensible rather than one which is, or appears to them to
be, none of those things.
[Page 308]
It would, in my
opinion, be manifestly unjust in this matter to require that the evidence and
the documents relating to the allegations against the four companies in respect
of the agreements inter se should be delivered to parties entirely
unconcerned with the allegations made against them or, on the other hand, to
supply to the appellant companies the evidence and the union or associations'
documents seized which may be relevant to the allegations made against the four
individuals.
In my view, it is
not to be assumed that Parliament required this unless the language employed
will not bear any other interpretation. In the present case it appears to me
clear that what was intended was that the person referred to in subs. (1) (b)
should receive only copies of the evidence taken and the documents referred to
in the statement, so far as they are relevant to the allegations made by the
director against such person.
The prayer for
relief in the various actions asks an injunction restraining the defendants
from furnishing or making available to any person a transcript of the evidence
given by the officers or employees of the various appellant companies in the
course of the inquiry, or any of the documents seized at the instance of the
director, the property of the plaintiff company, except to members of or
employees of the Commission or to the Minister of Justice or any person acting
in an official capacity under his direction. In addition, the appellant
companies ask a declaration that the furnishing or making available at any time
by the defendants or any of them of all or any part of the said transcript or
the said documents to any member of the public or to any of the persons named
in the allegations made in the statement of evidence is unlawful. A claim of
this nature is permitted by Marginal Rule 285 of the Rules of the Supreme Court
of British Columbia.
As I have pointed
out, while the chairman of the Commission had informed the appellants of his
intention to make the transcript of the evidence and all of the documents
available to Stevens in response to his request, after the judgment in the
Ontario action he informed them that he proposed to hold a hearing to hear
argument upon the question as to whether this should be done. The matter was
thus reopened and in the circumstances the appellants are not, in my opinion,
entitled to an injunction.
[Page 309]
The appellants
are, however, in my opinion, entitled to a declaration that upon the true
construction of s. 18 of the Combines Investigation Act the director,
and in this case, the Commission are required to furnish to each person against
whom an allegation is made in the statement of evidence a copy of the evidence
taken at the instance of the director, only in so far as such evidence relates
to the allegations made against such person, and copies of only such of the
documents taken from the possession of the appellant companies as are relevant
to the allegations made against him. To this extent, I would allow the appeals.
In view of the
fact that success is divided on these appeals there should, in my opinion, be
no order as to costs in this Court or in the Courts below and the judgments at
the trial and in the Court of Appeal should be amended accordingly.
The judgment of
Taschereau, Fauteux, Abbott and Judson JJ. was delivered by
JUDSON J. (dissenting
in part):—The Combines Investigation Act
as it now stands contemplates a division of responsibility between the Director
of Investigation and Research, whose office is constituted by s. 5, and the
Restrictive Trade Practices Commission, which is set up by s. 16(1). It is the
director's duty to conduct an inquiry by examination of witnesses and
investigation of documents, and he is given broad powers of compulsion and
seizure. The purpose of his inquiry is to prepare a statement of evidence for
submission to the Commission, and upon receipt of this statement the Commission
conducts a hearing at which any person against whom an allegation has been made
in the director's report must be allowed "full opportunity to be heard in
person or by counsel".
After conducting
this hearing the Commission must make a report in writing to the Minister. The
report must review the evidence, appraise the effect on the public interest of
the arrangements disclosed in the evidence, and contain recommendations as to
the application of remedies provided in the Act or other remedies.
It is at once
apparent that the functions which were once combined in one person, who was
called the Commissioner under prior legislation, are now divided between the
director and the Commission. They were vested in the Commissioner when Proprietary
Articles Trade Association v.
[Page 310]
Attorney
General for Canada;
O'Connor v. Waldron,;
and Re The Imperial Tobacco Co. Ltd. et al. and McGregor
were decided, but there has been no change in the sum total of the function,
and its characterization in these cases is still applicable. The combination of
exercise of powers under this Act even today results in no more than a
recommendation by the Commission to the Minister. The analysis made in O'Connor
v. Waldron, at p. 82, is still accurate when applied to the present Act.
Speaking of the commissioner under the old Act, the judgment says:
His
conclusion is expressed in a report; it determines no rights, nor the guilt or
innocence of any one. It does not even initiate any proceedings, which have to
be left to the ordinary criminal procedure.
This action is
brought by certain companies and individuals whose activities have been
investigated by the director, who has delivered to the Commission a statement
of evidence containing 640 pages. One of the parties who has been investigated,
The Allied Fishermen & Workers' Union, has applied to the Commission for a
full disclosure of all the evidence and documents that have been examined by
the director. There are, I understand, more than 9,000 documents as well as the
transcripts of the oral hearings. The applicant union has been supplied with a
copy of the director's statement of evidence. The Act requires this. But the
applicant goes further and says that it must have all the material. The
Commission has given a direction to make all this material available. The
British Columbia Courts have held that the Commission has power to direct that
this material be supplied. In a similarly constituted action in Ontario,
Parker J. has come to the opposite conclusion.
The question is
whether the Commission has power to furnish anyone with this material. These
plaintiffs object to the transcripts of the examinations of their officers and
their documents being placed in the hands of the applicant and they seek an
injunction to restrain such disclosure. All the inquiries made by the director,
as required by s. 28 of the Act, have been conducted in private. The hearing
under s. 18, pursuant to a ruling already given by the Commission, is to be
held in public.
[Page 311]
There is, in my
opinion, no express statutory power authorizing this disclosure. Part I of the
Act deals with the director's powers of investigation and research and I will
deal with these only to the extent that they deal with the gathering of
information. Section 9 requires any person to give information under oath or
affirmation, as called for by a notice in writing from the director. Section 10
authorizes him to enter any premises for the purpose of obtaining evidence. He
may examine and take away any documents and make copies. If he takes away
documents for copying, provision is made for the return of the originals within
a certain time. Section 11(1) provides that "All books, papers, records or
other documents obtained or received by the Director may be inspected by him
and also by such persons as he directs." What the precise scope of this
section is, I do not know. It is enough to say that it does not authorize the disclosure
which the Commission proposes to make in this case. Section 12 requires any
person, pursuant to notice in writing, to give evidence upon affidavit or
written affirmation. This section seems to overlap s. 9 referred to above but
this does not affect the question in this litigation.
In Part II, s. 16
sets up the Commission. Section 17 provides for oral examination. A member of
the Commission may order this on his own motion or on the ex parte
application of the director. It also provides for compelling the attendance of
witnesses and the production of documents. The director has custody of these
documents and must return them within 60 days. Up to this point in the Act, all
documents, whether originals or copies, are in the hands of the director.
Then follows s.
18, which I set out in full:
18. (1) At
any stage of an inquiry,
(a)
the Director may, if he is of the opinion that the evidence obtained discloses
a situation contrary to section 32 or 34 of this Act, or section 498 or 498A of
the Criminal Code, and
(b)
the Director shall, if so required by the Minister, prepare a statement of the
evidence obtained in the inquiry, which shall be submitted to the Commission
and to each person against whom an allegation is made therein.
(2) Upon
receipt of the statement referred to in subsection (1), the Commission shall
fix a place, time and date at which argument in support of such statement may
be submitted by or on behalf of the Director, and at which such persons against
whom an allegation has been made in such statement shall be allowed full
opportunity to be heard in person or by counsel.
[Page 312]
(3) The
Commission shall, in accordance with this Act, consider the statement submitted
by the Director under subsection (1) together with such further or other
evidence or material as the Commission considers advisable.
(4) No report
shall be made by the Commission under section 19 or 22 against any person
unless such person has been allowed full opportunity to be heard as provided in
subsection (2).
This section
authorizes the director to submit only a statement of evidence. He has done
this in the two volumes above referred to and comprising 640 pages. The
director may submit argument in support of his statement of evidence and other
interested parties must be given a full opportunity to be heard. But it is the
director who has possession of the documents and there is nothing in the Act,
until proceedings for a further inquiry under s. 22 are taken, which gives the
Commission any power over any documents. The hearing under s. 18 is preparatory
to the report of the Commission under s. 19. It is this report which is to
"review the evidence and material, appraise the effect on the public
interest of the arrangements and practices disclosed in the evidence and
contain recommendations as to the application of remedies provided in this Act
or other remedies."
If the Commission,
after the hearing provided for in s. 18 is unable effectively to appraise the
effect on the public interest, it makes an interim report giving its reasons.
It then has power to require the director to make a further inquiry and only at
this stage does it obtain any power over documents. By s. 22(2) (c) it may
require the director to submit to the Commission copies of any books, papers,
records or other documents obtained in such further inquiry. This gives only a
very limited power over documents, restricted to those obtained in such further
inquiry. Even if proceedings were going on under s. 22—and they are not—there would be no authority for the
wide disclosure directed in this case. This case has not yet reached the stage
provided for in s. 18, which is the hearing before the Commission. If a report
is made under s. 19(1), it is significant that s. 19(2) imposes a duty on the
director to return all documents, not already returned unless the Attorney
General of Canada certifies that they are to be retained by the director for
purposes of prosecution. My
[Page 313]
conclusion,
therefore, is that there is nothing in the Act which gives the Commission any
express power over documents except in the event of a further inquiry under s.
22.
The next question
is whether the power may be found by implication in the duty to afford a full
opportunity to be heard under s. 18. I am satisfied that the applicant could
not compel the disclosure, on the ground that, without it, it would be deprived
of its statutory right. The applicant can come to this hearing with full
knowledge of the allegations made against it and with full knowledge of the
evidence against it as contained in the depositions (if any) of its own
officers and the documents taken from its possession by the director. It is in
a position to say that nothing coming from it justifies the director's
statement of evidence, or that the statement should be modified in a certain
way, or that the allegations made against it are unwarranted. It should be
ready to say that the report to be made by the Commission to the Minister
should or should not contain any criticism of the union. It should also be
prepared to argue what, as far as it is concerned, should be contained in the
report. There is no need of all the other material. What other people may have
said, either under oral examination or in documents, is at this stage of no
concern to the applicant. It is not bound by these statements, if there are
any, and at this stage there is no question of the application of s. 41 of the
Act. This only applies when there is a prosecution under the Act or the Criminal
Code.
Whether full
opportunity to be heard involves a right to this sort of production has been
decided, adversely to the applicant, in Advance Glass and Mirror Company
Ltd. et al. v. Attorney-General of Canada and McGregor
and Re The Imperial Tobacco Company et al. and McGregor.
I respectfully agree with these decisions and would apply them here. If there
is no right on the part of the applicant, I can find no discretion on the part
of the Commission, in the absence of statutory authorization.
Nor do I think
that the power can be found in subs. (3) of s. 18, which directs the Commission
to consider the statement submitted by the director together with "such
[Page 314]
further or other
evidence or material as the Commission considers advisable." There is
plenty of scope for this subsection without reading into it the power to order
disclosure of documents. Any interested person has the right to submit anything
that is relevant to his case but this does not enable the Commission to get the
documents from the director and give them to any party.
I am therefore of
the opinion that the Commission in this case has misconceived its function.
This is not a preliminary inquiry in a criminal prosecution nor anything in the
nature of a preliminary inquiry. It is merely a hearing for the purpose of
determining what kind of report shall be made to a Minister of the Crown. A
full opportunity to be heard in these circumstances does not require and does
not justify all this elaboration of procedure and discovery. There is no
statutory authorization for it and there is a serious risk of frustration of
the whole purpose of the Act, which is directed solely to investigation and
report. The right to be heard must be applied in this context.
I would allow
these appeals with costs both here and in the courts below and order that the
injunctions issue in the terms sought by the appellants.
The judgment of
Cartwright, Martland and Ritchie JJ. was delivered by
CARTWRIGHT J.:—The relevant facts and the terms of the Combines
Investigation Act, hereinafter referred to as "the Act", are set
out in the reasons of my brother Locke and those of my brother Judson, both of
which I have had the advantage of reading. I find myself in substantial
agreement with the reasons of my brother Locke and would dispose of the appeals
as he proposes; I wish to add only a few observations.
In view of the
fact that the director has already delivered a copy of the two-volume
"Statement of Evidence" to each person against whom an allegation is
made therein, nothing would be gained by considering whether each of those
persons was entitled to receive the whole of the statement or only those
portions thereof having relevance to the allegation made against him; but the
circumstance that a person has in fact received the whole statement cannot
[Page 315]
entitle him to
receive copies of those portions of the evidence or of the documents therein
referred to which are not relevant to the allegation made against him.
The powers given
by the Act to the Commission and to the director are very wide, including as
they do the power to compel persons to testify on oath and the power to take
possession of documents which are private property. I think it clear that if it
is asserted that the Commission or the director has power to give copies of the
transcript of testimony given or copies of documents seized to business
competitors or other persons who may have interests adverse to those of the
person giving testimony or to whom the seized documents belong, the power
asserted must be found in the terms of the Act.
The power is not
given expressly and the question is whether it arises by necessary implication
from the provisions of subs. (2) of s. 18, which require that at the hearing
contemplated by the section "persons against whom an allegation has been
made in such statement shall be allowed full opportunity to be heard in person
or by counsel", and from the provisions of subs. (4) of s. 18 which forbid
the Commission to make a report under ss. 19 or 22 "against any person
unless such person has been allowed full opportunity to be heard as provided by
subs. (2)."
The duty which
lies on any body to which the maxim, audi alteram partem, applies has
been stated in many cases. In University of Ceylon v. Fernando,
Lord Jenkins says:
From the many
other citations which might be made, their Lordships would select the following
succinct statement from the judgment of this Board in DeVerteuil v. Knaggs
[1918] A.C. 557 at p. 560:
Their
Lordships are of the opinion that in making such an inquiry there is, apart
from special circumstances, a duty of giving to any person against whom the
complaint is made a fair opportunity to make any relevant statement which he
may desire to bring forward and a fair opportunity to correct or controvert any
relevant statement brought forward to his prejudice.
I find myself
unable to agree with the view of my brother Judson that unless the director
chooses to produce them at the hearing provided for by s. 18 the Commission has
no power over the documents seized by the director. By subs. (3) of s. 18 the
duty laid upon the Commission is to consider not only the statement submitted
by the
[Page 316]
director but also
"such further or other evidence or material as the Commission considers
advisable". In my opinion, the Commission, should it consider it advisable
to do so, could require the director to produce at the hearing under s. 18 any
or all of the documents in his possession and the complete transcript of the
evidence taken before him. By s. 19(1) a statutory duty is imposed on the
Commission to make a report to the Minister in which it "shall review the
evidence and material, appraise the effect on the public interest of arrangements
and practices disclosed in the evidence and contain recommendations as to the
application of remedies provided in this Act or other remedies". The duty
imposed by this subsection is not limited to a review of the "Statement of
Evidence" alone; it contemplates a consideration of the evidence and
material on which the "Statement of Evidence" is based, together with
such further or other evidence or material as the Commission has deemed it
advisable to consider pursuant to s. 18(3).
An essential part
of the duty to give a full opportunity to be heard is to inform the person
against whom an allegation is made of the substance of the relevant evidence,
oral or documentary, on which the allegation is based; the imposition of the
duty to give this information by necessary implication confers the power to
give it. Nowhere in the Act can I find any other implied power to make the
disclosure which the plaintiffs seek to prevent.
It is true that
when the cases of Re The Imperial Tobacco Company et al. and McGregor,
and Advance Glass and Mirror Company Ltd. et al. v. Attorney-General
of Canada and McGregor,
were decided, the commissioner was under the duty imposed by s. 13 of the Inquiries
Act, R.S.C. 1927, c. 99, which read:
13. No report
shall be made against any person until reasonable notice shall have been given
to him of the charge of misconduct alleged against him and he shall have been
allowed full opportunity to be heard in person or by counsel.
But, as was
pointed out by Mr. Maxwell, there has been a substantial change in the scheme
of the applicable legislation since the decisions referred to, in that the
present
[Page 317]
Act has interposed
an impartial tribunal between the director and those against whom he makes
allegations. I cannot think that the tribunal so interposed and charged with
the duty of giving full opportunity to be heard is without the power to furnish
to one against whom an allegation is made the relevant evidence and documents
on which that allegation is based. I have already indicated my opinion that the
Commission has no further power of disclosure.
We are not, in the
case at bar, called upon to consider how a person against whom an allegation is
made should proceed to obtain the information if it were denied to him. The
question before us is as to the relief to which the plaintiffs are entitled
when they have been advised by the Commission that it proposes to give
information the disclosure of which is beyond the implied power referred to
above.
In my opinion the
plaintiffs have claimed the appropriate relief. For the reasons given by my
brother Locke I agree with his conclusion that injunctions are not now
necessary in view of the fact that the Commission has reopened the question as
to what information it will disclose and will no doubt decide that question in
accordance with the declaration proposed by my brother Locke and which I agree
should be made.
It may well be, as
my brother Judson suggests, that the information contained in the
"Statement of Evidence" already delivered will, in the case at bar,
prove sufficient to give to each person against whom an allegation is made a
fair opportunity "to correct or controvert any relevant statement brought
forward to his prejudice" and that there will be no necessity of supplying
any further information; but, in my respectful opinion, the decision as to what
further information, if any, is necessary is committed to the Commission
subject to the limitations set out in the declaration which our judgment
directs to be made.
I would dispose of
these appeals as proposed by my brother Locke.
Appeals
allowed in part, Taschereau, Fauteux, Abbott and Judson JJ. dissenting.
[Page 318]
Solicitors for the plaintiffs,
appellants: Davis, Hossie, Campbell, Brazier & McLorg, Vancouver.
Solicitors for the defendants,
respondents: Harper, Gilmour, Grey, De Vooght & Levis, Vancouver.
(1961-62), 36 W.W.R.
456, 30 D.L.R. (2d) 581.
(1961-62), 36 W.W.R.
456, 30 D.L.R. (2d) 581.
[1961] O.R. 596, 28
D.L.R. (2d) 711.
[1901] A.C. 79, 70
L.J.K.B. 170.
(1889), 15 P.D. 86 at
p. 96.
[1949] 2 K.B. 1, 1
All E.R. 381.
[1939] O.R. 213,
affirmed [1939] O.R. 627.
[1961] O.R. 596, 28
D.L.R. (2d) 711.
[1939] O.R. 213 (Hogg
J.), affirmed [1939] O.R. 627, Per Gillanders J.A. at p. 646.
[1960] 1 All E.R. 631
at p. 638.
[1939] O.R. 213,
affirmed [1939] O.R. 627.