SUPREME
COURT OF CANADA
Citation: Canada (Attorney General) v. Downtown Eastside Sex Workers
United Against Violence Society, 2012
SCC 45, [2012] 2 S.C.R. 524
|
Date: 20120921
Docket: 33981
|
Between:
Attorney
General of Canada
Appellant
and
Downtown
Eastside Sex Workers United Against Violence Society and Sheryl Kiselbach
Respondents
-
and -
Attorney
General of Ontario, Community Legal Assistance Society, British Columbia Civil
Liberties Association, Ecojustice Canada, Coalition of West Coast Women’s Legal
Education and Action Fund (West Coast LEAF), Justice for Children and Youth,
ARCH
Disability Law Centre, Conseil scolaire francophone de la Colombie-Britannique,
David Asper Centre for Constitutional Rights, Canadian Civil Liberties
Association, Canadian Association of Refugee Lawyers, Canadian Council for
Refugees, Canadian HIV/AIDS Legal Network, HIV & AIDS Legal Clinic Ontario
and
Positive
Living Society of British Columbia
Interveners
Coram: McLachlin C.J. and LeBel, Deschamps, Fish, Abella, Rothstein,
Cromwell, Moldaver and Karakatsanis JJ.
Reasons
for Judgment:
(paras. 1 to 78):
|
Cromwell J. (McLachlin C.J. and LeBel,
Deschamps, Fish, Abella, Rothstein, Moldaver and Karakatsanis JJ. concurring)
|
Canada (Attorney General) v. Downtown Eastside Sex Workers
United Against Violence Society, 2012 SCC
45, [2012] 2 S.C.R. 524
Attorney
General of Canada Appellant
v.
Downtown Eastside Sex Workers United
Against
Violence
Society and Sheryl Kiselbach Respondents
and
Attorney General of Ontario,
Community Legal Assistance Society,
British Columbia Civil Liberties
Association, Ecojustice Canada,
Coalition of West Coast Women’s Legal
Education and
Action Fund (West Coast LEAF), Justice
for Children and
Youth, ARCH Disability Law Centre,
Conseil scolaire francophone de la
Colombie-Britannique,
David Asper Centre for Constitutional
Rights,
Canadian Civil Liberties Association,
Canadian Association of Refugee Lawyers,
Canadian Council for Refugees,
Canadian HIV/AIDS Legal Network,
HIV & AIDS Legal Clinic Ontario and
Positive Living
Society of British Columbia Interveners
Indexed as: Canada (Attorney General) v. Downtown Eastside
Sex Workers United Against Violence Society
2012 SCC 45
File No.: 33981.
2012: January 19; 2012: September 21.
Present: McLachlin C.J. and LeBel, Deschamps, Fish, Abella,
Rothstein, Cromwell, Moldaver and Karakatsanis JJ.
on appeal from the court of appeal for british columbia
Civil procedure — Parties
— Standing — Public interest standing — Public interest group and individual working
on behalf of sex workers initiating constitutional challenge to prostitution
provisions of Criminal Code — Whether constitutional challenge
constituting a reasonable and effective means to bring case to court — Whether public
interest group and individual should be granted public interest standing.
A Society whose
objects include improving conditions for female sex workers in the Downtown
Eastside of Vancouver and K, who worked as such for 30 years, launched a Charter
challenge to the prostitution provisions of the Criminal Code . The
chambers judge found that they should not be granted either public or private interest
standing to pursue their challenge; the British Columbia Court of Appeal,
however, granted them both public interest standing.
Held:
The appeal should be dismissed.
In determining whether to grant
standing in a public law case, courts must consider three
factors: whether the case raises a serious justiciable issue; whether the
party bringing the case has a real stake in the proceedings or is engaged with
the issues that it raises; and whether the proposed suit is, in all of the circumstances and in light
of a number of considerations, a reasonable and
effective means to bring the case to court. A party seeking public interest standing must persuade
the court that these factors, applied purposively and flexibly, favor granting
standing. All of the other relevant considerations being equal, a party with
standing as of right will generally be preferred.
In this case, the issue that
separates the parties relates to the formulation and application of the third
factor. This factor has often been expressed as a strict requirement that a party
seeking standing persuade the court that there is no other reasonable
and effective manner in which the issue may be brought before the court. While
this factor has often been expressed as a strict requirement, this Court has
not done so consistently and in fact has rarely applied the factor restrictively.
Thus, it would be better expressed as requiring that the proposed suit be, in
all of the circumstances and in light of a number of considerations, a
reasonable and effective means to bring the case to court.
By
taking a purposive approach to the issue, courts should consider whether the
proposed action is an economical use of judicial resources, whether the issues
are presented in a context suitable for judicial determination in an
adversarial setting and whether permitting the proposed action to go forward
will serve the purpose of upholding the principle of legality. A flexible,
discretionary approach is called for in assessing the effect of these
considerations on the ultimate decision to grant or to refuse standing. There
is no binary, yes or no, analysis possible. Whether a means of proceeding is
reasonable, whether it is effective and whether it will serve to reinforce the
principle of legality are matters of degree and must be considered in light of
realistic alternatives in all of the circumstances.
In
this case, all three factors, applied purposively and flexibly, favour granting
public interest standing to the respondents. In fact, there is no dispute that
the first and second factors are met: the respondents’ action raises serious
justiciable issues and the respondents have an interest in the outcome of the
action and are fully engaged with the issues that they seek to raise. Indeed,
the constitutionality of the prostitution provisions of the Criminal Code
constitutes a serious justiciable issue and the respondents, given their work,
have a strong engagement with the issue.
In
this case, the third factor is also met. The existence of a civil case in
another province is certainly a highly relevant consideration that will often
support denying standing. However, the existence of parallel litigation
― even litigation that raises many of the same issues ― is not
necessarily a sufficient basis for denying standing. Given the provincial
organization of our superior courts, decisions of the courts in one province
are not binding on courts in the others. Thus, litigation in one province is
not necessarily a full response to a plaintiff wishing to litigate similar
issues in another. Further, the issues raised are not the same as those in the
other case. The court must also examine not only the precise legal issue, but
the perspective from which it is made. In the other case, the perspective is
very different. The claimants in that case were not primarily involved in
street-level sex work, whereas the main focus in this case is on those
individuals. Finally, there may be other litigation management strategies,
short of the blunt instrument of a denial of standing, to ensure the efficient
and effective use of judicial resources. A stay of proceedings pending
resolution of other litigation is one possibility that should be taken into
account in exercising the discretion as to standing.
Taking
these points into account here, the existence of other litigation, in the
circumstances of this case, does not seem to weigh very heavily against the
respondents in considering whether their suit is a reasonable and effective
means of bringing the pleaded claims forward.
Moreover,
the existence of other potential plaintiffs, while relevant, should be
considered in light of practical realities, which are such that it is very
unlikely that persons charged under the prostitution provisions would bring a
claim similar to the respondents’. Further, the inherent unpredictability of
criminal trials makes it more difficult for a party raising the type of
challenge raised in this instance.
In this case, also, the record
shows that there were no sex workers in the Downtown Eastside willing to bring
a challenge forward. The willingness of many of these same persons to swear
affidavits or to appear to testify does not undercut their evidence to the
effect that they would not be willing or able to bring a challenge in their own
names.
Other
considerations should be taken
into account in considering the reasonable and effective means factor. This
case constitutes public interest litigation: the respondents have raised issues
of public importance that transcend their immediate interests. Their challenge
is comprehensive, relating as it does to nearly the entire legislative scheme.
It provides an opportunity to assess through the constitutional lens the
overall effect of this scheme on those most directly affected by it. A
challenge of this nature may prevent a multiplicity of individual challenges in
the context of criminal prosecutions. There is no risk of the rights of others
with a more personal or direct stake in the issue being adversely affected by a
diffuse or badly advanced claim. It is obvious that the claim is being pursued
with thoroughness and skill. There is no suggestion that others who are more
directly or personally affected have deliberately chosen not to challenge these
provisions. The presence of K, as well as the Society,
will ensure that there is both an individual and collective dimension to the
litigation.
Having found that the respondents
have public interest standing to pursue their action, it is not necessary to
address the issue of whether K has private interest standing.
Cases Cited
Applied:
Odhavji Estate v. Woodhouse, 2003 SCC 69, [2003] 3 S.C.R. 263; discussed:
Finlay v. Canada (Minister of Finance), [1986] 2 S.C.R. 607; Canadian
Council of Churches v. Canada (Minister of Employment and Immigration),
[1992] 1 S.C.R. 236; Minister of Justice of Canada v. Borowski, [1981] 2
S.C.R. 575; Hy and Zel’s Inc. v. Ontario (Attorney General), [1993] 3
S.C.R. 675; Thorson v. Attorney General of Canada, [1975] 1 S.C.R. 138; Nova
Scotia Board of Censors v. McNeil, [1976] 2 S.C.R. 265; referred to: Bedford
v. Canada (Attorney General), 2010 ONSC 4264, 327 D.L.R. (4th) 52, rev’d in
part 2012 ONCA 186, 109 O.R. (3d) 1; Chaoulli v. Quebec (Attorney General),
2005 SCC 35, [2005] 1 S.C.R. 791; Smith v. Attorney General of Ontario,
[1924] S.C.R. 331; Baker v. Carr, 369 U.S. 186 (1962); Canada
(Auditor General) v. Canada (Minister of Energy, Mines and Resources),
[1989] 2 S.C.R. 49; Operation Dismantle Inc. v. The Queen, [1985] 1
S.C.R. 441; R. v. Edwards Books and Art Ltd., [1986] 2 S.C.R. 713; Danson
v. Ontario (Attorney General), [1990] 2 S.C.R. 1086; Reference re ss. 193
and 195.1(1)(c) of the Criminal Code (Man.), [1990] 1 S.C.R. 1123; R. v.
Skinner, [1990] 1 S.C.R. 1235; R. v. Stagnitta, [1990] 1 S.C.R.
1226; R. v. Smith (1988), 44 C.C.C. (3d) 385; R. v. Gagne, [1988]
O.J. No. 2518 (QL); R. v. Jahelka (1987), 43 D.L.R. (4th) 111; R.
v. Kazelman, [1987] O.J. No. 1931 (QL); R. v. Bavington, [1987]
O.J. No. 2728 (QL); R. v. Cunningham (1986), 31 C.C.C. (3d) 223; R.
v. Bear (1986), 47 Alta. L.R. (2d) 255; R. v. McLean (1986), 2
B.C.L.R. (2d) 232; R. v. Bailey, [1986] O.J. No. 2795 (QL); R.
v. Cheeseman, Sask. Prov. Ct., June 19, 1986; R. v. Blais, 2008 BCCA
389, 301 D.L.R. (4th) 464; R. v. Downey, [1992] 2 S.C.R. 10; R. v.
Boston, [1988] B.C.J. No. 1185 (QL); R. v. DiGiuseppe (2002), 161 C.C.C. (3d) 424.
Statutes and Regulations Cited
Canadian Charter of Rights and Freedoms,
ss. 2 (b), (d), 7 , 15 .
Constitution Act, 1982 .
Criminal Code, R.S.C. 1985, c. C‑46,
ss. 210 to 213 .
Supreme Court Rules, B.C. Reg. 221/90
[rep. 168/2009], r. 19(24).
Authors Cited
Fiss, Owen M. “The Social and Political Foundations of
Adjudication” (1982), 6 Law & Hum. Behav. 121.
Roach, Kent. Constitutional Remedies in Canada. Aurora,
Ont.: Canada Law Book, 1994 (loose‑leaf updated December 2011, release
17).
Scott, Kenneth E. “Standing in the Supreme Court — A
Functional Analysis” (1973), 86 Harv. L. Rev. 645.
Sossin, Lorne. “The Justice of Access: Who Should Have Standing to
Challenge the Constitutional Adequacy of Legal Aid?” (2007), 40 U.B.C. L.
Rev. 727.
Sossin, Lorne M. Boundaries of Judicial Review: The Law of
Justiciability in Canada, 2nd ed. Toronto: Carswell, 2012.
APPEAL
from a judgment of the British Columbia Court of Appeal (Saunders, Neilson and
Groberman JJ.A.), 2010 BCCA 439, 10 B.C.L.R. (5th) 33, 294 B.C.A.C. 70, 498
W.A.C. 70, 324 D.L.R. (4th) 1, 260 C.C.C. (3d) 95, 219 C.R.R. (2d) 171, [2011]
1 W.W.R. 628, [2010] B.C.J. No. 1983 (QL), 2010 CarswellBC 2729, setting
aside in part a decision of Ehrcke J., 2008 BCSC 1726, 90 B.C.L.R. (4th)
177, 305 D.L.R. (4th) 713, 182 C.R.R. (2d) 262, [2009] 5 W.W.R. 696, [2008]
B.C.J. No. 2447 (QL), 2008 CarswellBC 2709. Appeal dismissed.
Cheryl J. Tobias, Q.C., and Donnaree Nygard, for the appellant.
Joseph J. Arvay,
Q.C., Elin R. S. Sigurdson and Katrina Pacey, for
the respondents.
Janet E. Minor
and Courtney J. Harris, for the intervener the Attorney General of
Ontario.
David W. Mossop,
Q.C., and Diane Nielsen, for the intervener the Community Legal
Assistance Society.
Jason B. Gratl
and Megan Vis‑Dunbar, for the intervener the British Columbia
Civil Liberties Association.
Justin Duncan and Kaitlyn
Mitchell, for the intervener Ecojustice Canada.
C. Tess Sheldon,
Niamh Harraher and Kasari Govender, for the interveners the Coalition
of West Coast Women’s Legal Education and Action Fund (West Coast LEAF),
Justice for Children and Youth and the ARCH Disability Law Centre.
Written submissions
only by Mark C. Power and Jean‑Pierre Hachey, for the
intervener Conseil scolaire francophone de la Colombie‑Britannique.
Kent Roach and Cheryl
Milne, for the intervener the David Asper Centre for Constitutional Rights.
Written submissions
only by Cara Faith Zwibel, for the intervener the Canadian Civil
Liberties Association.
Lorne Waldman, Clare
Crummey and Tamara Morgenthau, for the interveners the Canadian
Association of Refugee Lawyers and the Canadian Council for Refugees.
Written submissions
only by Michael A. Feder, Alexandra E. Cocks and Jordanna
Cytrynbaum, for the interveners the Canadian HIV/AIDS Legal Network, the HIV
& AIDS Legal Clinic Ontario and the Positive Living Society of British
Columbia.
The judgment of the Court was
delivered by
Cromwell J. —
I.
Introduction
[1]
This appeal is concerned with the law of public interest standing in
constitutional cases. The law of standing answers the question of who is
entitled to bring a case to court for a decision. Of course it would be
intolerable if everyone had standing to sue for everything, no matter how
limited a personal stake they had in the matter. Limitations on standing are
necessary in order to ensure that courts do not become hopelessly overburdened
with marginal or redundant cases, to screen out the mere “busybody” litigant,
to ensure that courts have the benefit of contending points of view of those
most directly affected and to ensure that courts play their proper role within
our democratic system of government: Finlay v. Canada (Minister of Finance),
[1986] 2 S.C.R. 607, at p. 631. The traditional approach was to limit standing
to persons whose private rights were at stake or who were specially affected by
the issue. In public law cases, however, Canadian courts have relaxed these
limitations on standing and have taken a flexible, discretionary approach to
public interest standing, guided by the purposes which underlie the traditional
limitations.
[2]
In exercising their discretion with respect to standing, the courts
weigh three factors in light of these underlying purposes and of the particular
circumstances. The courts consider whether the case raises a serious
justiciable issue, whether the party bringing the action has a real stake or a
genuine interest in its outcome and whether, having regard to a number of factors,
the proposed suit is a reasonable and effective means to bring the case to
court: Canadian Council of Churches v. Canada (Minister of Employment and
Immigration), [1992] 1 S.C.R. 236, at p. 253. The courts exercise this
discretion to grant or refuse standing in a “liberal and generous manner” (p.
253).
[3]
In this case, the respondents the Downtown Eastside Sex Workers United
Against Violence Society, whose objects include improving working conditions
for female sex workers, and Ms. Kiselbach, have launched a broad constitutional
challenge to the prostitution provisions of the Criminal Code, R.S.C.
1985, c. C-46 . The British Columbia Court of Appeal found that they
should be granted public interest standing to pursue this challenge; the
Attorney General of Canada appeals. The appeal raises one main question:
whether the three factors which courts are to consider in deciding the standing
issue are to be treated as a rigid checklist or as considerations to be taken
into account and weighed in exercising judicial discretion in a way that serves
the underlying purposes of the law of standing. In my view, the latter
approach is the right one. Applying it here, my view is that the Society and
Ms. Kiselbach should be granted public interest standing. I would therefore
dismiss the appeal.
II.
Issues
[4]
The issues as framed by the parties are whether the respondents
should be granted public interest standing and whether Ms. Kiselbach should be
granted private interest standing. In my view, this case is best resolved by
considering the discretion to grant public interest standing and standing
should be granted to the respondents on that basis.
III. Overview of Facts and Proceedings
A. Facts
[5]
The respondent Society is a
registered British Columbia society whose objects include improving working
conditions for female sex workers. It is run “by and for” current and former
sex workers living in the Vancouver Downtown Eastside. The Society’s members
are women, the majority of whom are Aboriginal, living with addiction issues,
health challenges, disabilities, and poverty; almost all have been victims of
physical and/or sexual violence.
[6]
Sheryl Kiselbach is a former sex
worker currently working as a violence prevention coordinator in the Downtown
Eastside. For approximately 30 years, Ms. Kiselbach engaged in a number
of forms of sex work, including exotic dancing, live sex shows, work in massage
parlours and street-level free-lance prostitution. During the course of this
time, she was convicted of several prostitution-related offences. Ms.
Kiselbach left the sex industry in 2001. She claims to have been unable to
participate in a court challenge to prostitution laws when working as a sex
worker because of risk of public exposure, fear for her personal safety, and
the potential loss of social services, income assistance, clientele and
employment opportunities (chambers judge’s reasons, 2008 BCSC 1726, 90 B.C.L.R.
(4th) 177, at paras. 29 and 44).
[7]
The respondents commenced an
action challenging the constitutional validity of sections of the Criminal
Code that deal with different aspects of prostitution. They seek a
declaration that these provisions violate the rights of free expression and
association, to equality before the law and to life, liberty and security of
the person guaranteed by ss. 2 (b), 2 (d), 7 and 15 of the Canadian
Charter of Rights and Freedoms . The challenged provisions are what I
will refer to as the “prostitution provisions”, the “bawdy house provisions”,
the “procurement provision” and the “communication provision”. Prostitution
provisions is the generic term to refer to the provisions in the Criminal
Code relating to the criminalization of activities related to prostitution
(ss. 210 to 213 ). Within these provisions can be found the bawdy house
provisions, which include those relating to keeping and being within a common
bawdy house (s. 210 ), and transporting a person to a common bawdy house (s.
211 ). The procurement provision refers to the act of procuring and living on
the avails of prostitution (s. 212 , except for s. 212(1) (g) and (i)),
while the communication provision refers to the act of soliciting in a public
place (s. 213(1) (c)). Neither respondent is currently charged with any
of the offences challenged.
[8]
The respondents’ position is that
the prostitution provisions (ss. 210 to 213 ) infringe s. 2 (d) freedom of
association rights because these provisions prevent prostitutes from joining
together to increase their personal safety; s. 7 security of the person rights
due to the possibility of arrest and imprisonment and because the provisions
prevent prostitutes from taking steps to improve the health and safety
conditions of their work; s. 15 equality rights because the provisions
discriminate against members of a disadvantaged group; and s. 2 (b)
freedom of expression rights by making illegal communication which could serve
to increase safety and security.
B. Proceedings
(1) British Columbia Supreme Court (Ehrcke J.),
2008 BCSC 1726, 90 B.C.L.R. (4th) 177
[9]
The Attorney General of Canada
applied in British Columbia Supreme Court Chambers to dismiss the respondents’
action on the ground that they lacked standing to bring it. In the
alternative, he applied under Rule 19(24) of the Supreme Court Rules,
B.C. Reg. 221/90 (replaced by Supreme Court Civil Rules, B.C. Reg.
168/2009, effective July 1, 2010), to have portions of the statement of claim
struck out and part of the action stayed on the basis that the pleadings
disclosed no reasonable claim. In the further alternative, he applied for
particulars which he said were necessary in order to know the case to be met (chambers
judge’s reasons, at para. 2). The chambers judge dismissed the action, holding
that neither respondent had private interest standing and that discretionary
public interest standing should not be granted to them. In light of this
conclusion, the chambers judge found it unnecessary to consider the Attorney
General’s applications under Rule 19(24) and for particulars (para. 88).
[10]
The chambers judge reasoned that
neither the Society nor Ms. Kiselbach was charged with any of the impugned
provisions or was a defendant in an action brought by a government agency
relying upon the legislation. Further, the Society is a separate entity with
rights distinct from those of its members. Ms. Kiselbach, he determined, was
not entitled to private interest standing because she was not currently engaged
in sex work and the continued stigma associated with her past convictions could
not give rise to private interest standing because that would amount to a collateral
attack on her previous convictions.
[11]
The chambers judge turned to
public interest standing and found that he should not exercise his discretion
to grant standing to either respondent. He reviewed what he described as the
three “requirements” for public interest standing as set out in Canadian
Council of Churches and concluded that the respondents’ action raised
serious constitutional issues and they had a genuine interest in the validity
of the provisions. Thus, the judge held that the first and second
“requirements” for public interest standing were established. He then turned to the third part of the test,
“whether, if standing is denied, there exists another reasonable and effective
way to bring the issue before the court” (para. 70). This, in the judge’s view,
was where the respondents’ claim for standing faltered.
[12]
He agreed with the Attorney
General’s argument that the provisions could be challenged by litigants charged
under them. The fact that members of the Society were “particularly vulnerable”
and allegedly unable to come forward could not give rise to public interest
standing (para. 76). Members of the Society would likely have to come forward
as witnesses should the matter proceed to trial and if they were willing to
testify as witnesses, they were able to come forward as plaintiffs. The
chambers judge noted that there was litigation underway in Ontario raising many
of the same issues: Bedford v. Canada (Attorney General), 2010 ONSC 4264,
327 D.L.R. (4th) 52, rev’d in part 2012 ONCA 186, 109 O.R. (3d) 1. He reasoned
that, while the existence of this litigation was not necessarily a sufficient
reason for denying standing, it tended to show that there “may nevertheless be
potential plaintiffs with personal interest standing who could, if they chose
to do so, bring all of these issues before the court” (para. 75). He also
referred to the fact that there had been a number of cases in British Columbia
and elsewhere where the impugned legislation had been challenged and that there
are hundreds of criminal prosecutions every year in British Columbia in each of
which the accused “would be entitled, as of right, to raise the constitutional
issues that the plaintiffs seek to raise in the case at bar” (para. 77).
[13]
The judge concluded that he was
bound to apply the test of whether there is no other reasonable and effective
way to bring the issue before the court and that the respondents did not meet
that test (para. 85).
(2) British Columbia Court of Appeal, 2010 BCCA 439, 10 B.C.L.R. (5th) 33
[14]
The respondents appealed,
submitting that the chambers judge had erred by rejecting private interest
standing for Ms. Kiselbach and public interest standing for both respondents.
The chambers judge’s finding that the Society did not have private interest standing
was not appealed (para. 3). The majority of the Court of Appeal upheld the
chambers judge’s decision to deny Ms. Kiselbach’s private interest standing,
but concluded that both respondents ought to have been granted public interest
standing. The only issue on which the Court of Appeal divided was with respect
to the third factor, that is, whether standing should be denied because there
were other ways the issues raised in the respondents’ proceedings could be
brought before the courts.
[15]
Saunders J.A. (Neilson J.A. concurring), writing for the majority,
found no reason for denying public interest standing. She held that this Court
has made it clear that the discretion to grant standing must not be exercised
mechanistically but rather in a broad and liberal manner to achieve the
objective of ensuring that impugned laws are not immunized from review. The
majority read the dissenting reasons for judgment of Binnie and LeBel JJ. in
Chaoulli v. Quebec (Attorney General), 2005 SCC 35, [2005] 1 S.C.R. 791, as
characterizing the Charter challenge in that case as a “systemic”
challenge, which differs in scope from an individual’s challenge addressing a
discrete issue. To the majority, Chaoulli recognized that any problems
arising from the difference in scope of the challenge may be resolved by taking
“a more relaxed view of standing in the right case” (para. 59).
[16]
Applying this approach, the
majority considered this case to fall closer on the spectrum to Chaoulli than
to Canadian Council of Churches. Saunders J.A. took the view that the
chambers judge had stripped the action of its central thesis by likening it to
cases in which prostitution-related charges were laid. Saunders J.A. focused
on the multi-faceted nature of the proposed challenge and felt that the respondents
were seeking to challenge the Criminal Code provisions with reference to
their cumulative effect on sex trade workers. In the majority judges’ view,
public interest standing ought to be granted in this case because the essence
of the complaint was that the law impermissibly renders individuals vulnerable
while they go about otherwise lawful activities and exacerbates their
vulnerability.
[17]
In dissent, Groberman J.A. agreed
with the chambers judge’s reasoning. In his view, this case did not raise any
challenges that could not be advanced by persons with private interest
standing. He accepted the respondents’ position that it was unlikely that a
case would arise in which a multi-pronged attack on all of the impugned
provisions could take place. However, he did not consider that the lack of
such an opportunity established a valid basis for public interest standing.
He took the view that a very broad-ranging challenge such as the one in this
case required extensive evidence on a multitude of issues and he did not find
it clear that the litigation process would deal fairly and effectively with
such a challenge in a reasonable amount of time. Interpreting the judgment in Chaoulli,
Groberman J.A. held that the Court had not broadened the basis for public interest
standing. In his view, Chaoulli did not establish that public interest
standing should be granted preferentially for wide and sweeping attacks on
legislation.
IV. Analysis
A. Public Interest Standing
(1) The Central Issue
[18]
In Minister of Justice of
Canada v. Borowski, [1981] 2 S.C.R. 575, the majority of the Court summed
up the law of standing to seek a declaration that legislation is invalid as
follows: if there is a serious justiciable issue as to the law’s invalidity,
“a person need only to show that he is affected by it directly or that he has a
genuine interest as a citizen in the validity of the legislation and that there
is no other reasonable and effective manner in which the issue may be brought
before the Court” (p. 598). At the root of this appeal is how this approach to
standing should be applied.
[19]
The chambers judge, supported by
quotations from the leading cases, was of the view that the law sets out three
requirements ― something in the nature of a checklist ― which a
person seeking discretionary public interest standing must establish in order
to succeed. The respondents, on the other hand, contend for a more flexible
approach, emphasizing the discretionary nature of the standing decision. The
debate focuses on the third factor as it was expressed in Borowski ― that
there is no other reasonable and effective manner in which the issue may be
brought to the court ― and concerns how strictly this factor should be
defined and how it should be applied.
[20]
My view is that the three elements
identified in Borowski are interrelated factors that must be weighed in
exercising judicial discretion to grant or deny standing. These factors, and
especially the third one, should not be treated as hard and fast requirements
or free-standing, independently operating tests. Rather, they should be
assessed and weighed cumulatively, in light of the underlying purposes of
limiting standing and applied in a flexible and generous manner that best
serves those underlying purposes.
[21]
I do not propose to lead a forced
march through all of the Court’s case law on public interest standing. However,
I will highlight some key aspects of the Court’s standing jurisprudence: its
purposive approach, its underlying concern with the principle of legality and
its emphasis on the wise application of judicial discretion. I will then
explain that, in my view, the proper consideration of these factors supports
the Court of Appeal’s conclusion that the respondents ought to be granted
public interest standing.
(2) The Purposes of Standing Law
[22]
The courts have long recognized
that limitations on standing are necessary; not everyone who may want to
litigate an issue, regardless of whether it affects them or not, should be
entitled to do so: Canadian Council of Churches, at p. 252. On the
other hand, the increase in governmental regulation and the coming into force
of the Charter have led the courts to move away from a purely private
law conception of their role. This has been reflected in some relaxation of the
traditional private law rules relating to standing to sue: Canadian Council
of Churches, at p. 249, and see generally, O. M. Fiss,
“The Social and Political Foundations of Adjudication” (1982), 6 Law &
Hum. Behav. 121. The Court has recognized that, in a constitutional
democracy like Canada with a Charter of Rights and Freedoms, there are
occasions when public interest litigation is an appropriate vehicle to bring
matters of public interest and importance before the courts.
[23]
This Court has taken a purposive
approach to the development of the law of standing in public law cases. In
determining whether to grant standing, courts should exercise their discretion
and balance the underlying rationale for restricting standing with the
important role of the courts in assessing the legality of government action. At
the root of the law of standing is the need to strike a balance “between
ensuring access to the courts and preserving judicial resources”: Canadian
Council of Churches, at p. 252.
[24]
It will be helpful to trace, briefly,
the underlying purposes of standing law which the Court has identified and how
they are considered.
[25]
The most comprehensive discussion
of the reasons underlying limitations on standing may be found in Finlay,
at pp. 631-34. The following traditional concerns, which are seen as
justifying limitations on standing, were identified: properly allocating scarce
judicial resources and screening out the mere busybody; ensuring that courts
have the benefit of contending points of view of those most directly affected
by the determination of the issues; and preserving the proper role of courts
and their constitutional relationship to the other branches of government. A
brief word about each of these traditional concerns is in order.
(a) Scarce Judicial Resources and
“Busybodies”
[26]
The concern about the need to carefully allocate scarce judicial
resources is in part based on the well-known “floodgates” argument. Relaxing
standing rules may result in many persons having the right to bring similar
claims and “grave inconvenience” could be the result: see, e.g., Smith v.
Attorney General of Ontario, [1924] S.C.R. 331, at p. 337. Cory J. put the
point cogently on behalf of the Court in Canadian Council of Churches,
at p. 252: “It would be disastrous if the courts were allowed to become
hopelessly overburdened as a result of the unnecessary proliferation of
marginal or redundant suits brought by well-meaning organizations pursuing
their own particular cases certain in the knowledge that their cause is all
important.” This factor is not concerned with the convenience or workload of
judges, but with the effective operation of the court system as a whole.
[27]
The concern about screening out
“mere busybodies” relates not only to the issue of a possible multiplicity of
actions but, in addition, to the consideration that plaintiffs with a personal
stake in the outcome of a case should get priority in the allocation of
judicial resources. The court must also consider the possible effect of
granting public interest standing on others. For example, granting standing
may undermine the decision not to sue by those with a personal stake in the
case. In addition, granting standing for a challenge that ultimately fails may
prejudice other challenges by parties with “specific and factually established
complaints”: Hy and Zel’s Inc. v. Ontario (Attorney General), [1993]
3 S.C.R. 675, at p. 694.
[28]
These concerns about a
multiplicity of suits and litigation by “busybodies” have long been acknowledged.
But it has also been recognized that they may be overstated. Few people, after
all, bring cases to court in which they have no interest and which serve no
proper purpose. As Professor K. E. Scott
once put it, “[t]he idle and whimsical plaintiff, a dilettante who litigates
for a lark, is a specter which haunts the legal literature, not the courtroom”:
“Standing in the Supreme Court — A Functional
Analysis” (1973), 86 Harv. L. Rev. 645, at p. 674. Moreover, the blunt
instrument of a denial of standing is not the only, or necessarily the most
appropriate means of guarding against these dangers. Courts can screen claims
for merit at an early stage, can intervene to prevent abuse and have the power
to award costs, all of which may provide more appropriate means to address the
dangers of a multiplicity of suits or litigation brought by mere busybodies:
see, e.g., Thorson v. Attorney General of Canada, [1975] 1 S.C.R. 138,
at p. 145.
(b) Ensuring Contending Points of
View
[29]
The second underlying purpose of
limiting standing relates to the need for courts to have the benefit of
contending points of view of the persons most directly affected by the issue.
Courts function as impartial arbiters within an adversary system. They depend
on the parties to present the evidence and relevant arguments fully and
skillfully. “[C]oncrete adverseness” sharpens the debate of the issues and the
parties’ personal stake in the outcome helps ensure that the arguments are
presented thoroughly and diligently: see, e.g., Baker v. Carr, 369 U.S.
186 (1962), at p. 204.
(c) The Proper Judicial Role
[30]
The third concern relates to the
proper role of the courts and their constitutional relationship to the other
branches of government. The premise of our discretionary approach to public
interest standing is that the proceedings raise a justiciable question, that
is, a question that is appropriate for judicial determination: Finlay, at
p. 632; Canada (Auditor General) v. Canada (Minister of Energy, Mines and
Resources), [1989] 2 S.C.R. 49, at
pp. 90-91; see also L. M. Sossin, Boundaries of Judicial Review: The Law of
Justiciability in Canada (2nd ed. 2012), at pp. 6-10. This concern engages consideration of the nature of
the issue and the institutional capacity of the courts to address it.
(3) The Principle of Legality
[31]
The principle of legality refers
to two ideas: that state action should conform to the Constitution and
statutory authority and that there must be practical and effective ways to
challenge the legality of state action. This principle was central to the
development of public interest standing in Canada. For example, in the seminal
case of Thorson, Laskin J. wrote that the “right of the citizenry to
constitutional behaviour by Parliament” (p. 163) supports granting standing and
that a question of constitutionality should not be “immunized from judicial
review by denying standing to anyone to challenge the impugned statute” (p.
145). He concluded that “it would be strange and, indeed, alarming, if
there was no way in which a question of alleged excess of legislative power, a
matter traditionally within the scope of the judicial process, could be made
the subject of adjudication” (p. 145 (emphasis added)).
[32]
The legality
principle was further discussed in Finlay. The Court noted the “repeated insistence in Thorson on the
importance in a federal state that there be some access to the courts to
challenge the constitutionality of legislation” (p. 627). To Le Dain J.,
this was “the dominant consideration of policy in Thorson” (Finlay,
at p. 627). After reviewing the case law on public interest standing, the
Court in Finlay extended the scope of discretionary public interest
standing to challenges to the statutory authority for administrative action.
This was done, in part because these types of challenges were supported by the
concern to maintain respect for the “limits of statutory authority” (p. 631).
[33]
The importance of the principle of
legality was reinforced in Canadian Council of Churches. The Court
acknowledged both aspects of this principle: that no law should be immune from
challenge and that unconstitutional laws should be struck down. To Cory J., the
Constitution Act, 1982 “entrench[ed] the fundamental right of the public to government in
accordance with the law” (p. 250). The use of “discretion” in granting standing
was “necessary to ensure that legislation conforms to the Constitution and the
Charter ” (p. 251). Cory J. noted that the passage of the Charter and
the courts’ new concomitant constitutional role called for a “generous and
liberal” approach to standing (p. 250). He
stressed that there should be no “mechanistic application of a technical
requirement. Rather it must be remembered that the basic purpose for allowing
public interest standing is to ensure that legislation is not immunized from
challenge” (p. 256).
[34]
In Hy and Zel’s, Major J.
commented on the underlying rationale for restricting standing and the balance
that needs to be struck between limiting standing and giving due effect to the
principle of legality:
If
there are other means to bring the matter before the court, scarce judicial
resources may be put to better use. Yet the same test prevents the
immunization of legislation from review as would have occurred in the Thorson
and Borowski situations. [p. 692]
(4) Discretion
[35]
From the beginning of our modern
public interest standing jurisprudence, the question of standing has been
viewed as one to be resolved through the wise exercise of judicial discretion.
As Laskin J. put it in Thorson, public interest standing “is a
matter particularly appropriate for the exercise of judicial discretion,
relating as it does to the effectiveness of process” (p. 161); see also pp. 147 and 163; Nova Scotia Board of Censors v. McNeil,
[1976] 2 S.C.R. 265, at pp. 269 and 271; Borowski, at p. 593; Finlay,
at pp. 631-32 and 635. The decision to grant or refuse standing involves
the careful exercise of judicial discretion through the weighing of the three
factors (serious justiciable issue, the nature of the plaintiff’s interest, and
other reasonable and effective means). Cory J. emphasized this point in Canadian
Council of Churches where he noted that the factors to be considered in
exercising this discretion should not be treated as technical requirements and
that the principles governing the exercise of this discretion should be
interpreted in a liberal and generous manner (pp. 256 and 253).
[36]
It follows from this that the three factors should not be viewed
as items on a checklist or as technical requirements. Instead, the factors
should be seen as interrelated considerations to be weighed cumulatively, not
individually, and in light of their purposes.
(5) A Purposive and Flexible Approach
to Applying the Three Factors
[37]
In exercising the discretion to
grant public interest standing, the court must consider three factors: (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: Borowski, at p. 598; Finlay, at p. 626; Canadian
Council of Churches, at p. 253; Hy and Zel’s, at p. 690; Chaoulli,
at paras. 35 and 188. The plaintiff seeking public interest standing must
persuade the court that these factors, applied purposively and flexibly, favour
granting standing. All of the other relevant considerations being equal, a
plaintiff with standing as of right will generally be preferred.
[38]
The main issue that separates the
parties relates to the formulation and application of the third of these
factors. However, as the factors are interrelated and there is some
disagreement between the parties with respect to at least one other factor, I
will briefly review some of the considerations relevant to each and then turn
to my analysis of how the factors play out here.
(a) Serious Justiciable Issue
[39]
This factor relates to two of the
concerns underlying the traditional restrictions on standing. In Finlay,
Le Dain J. linked the justiciability of an issue to the “concern about
the proper role of the courts and their constitutional relationship to the
other branches of government” and the seriousness of the issue to the concern
about allocation of scarce judicial resources (p. 631); see also L’Heureux-Dubé
J., in dissent, in Hy and Zel’s, at pp. 702-3.
[40]
By insisting on the existence of a
justiciable issue, courts ensure that their exercise of discretion with respect
to standing is consistent with the court staying within the bounds of its
proper constitutional role (Finlay, at p. 632). Le Dain J. in Finlay
referred to Operation Dismantle Inc. v. The Queen, [1985] 1 S.C.R. 441,
and wrote that “where there is an issue which is appropriate for judicial
determination the courts should not decline to determine it on the ground that
because of its policy context or implications it is better left for review and
determination by the legislative or executive branches of government”: pp.
632-33; see also L. Sossin, “The Justice of Access: Who Should Have Standing to
Challenge the Constitutional Adequacy of Legal Aid?” (2007), 40 U.B.C. L.
Rev. 727, at pp. 733-34; Sossin, Boundaries
of Judicial Review: The Law of Justiciability in Canada, at p. 27.
[41]
This factor also reflects the
concern about overburdening the courts with the “unnecessary proliferation of
marginal or redundant suits” and the need to screen out the mere busybody: Canadian
Council of Churches, at p. 252; Finlay, at pp. 631-33. As discussed
earlier, these concerns can be overplayed and must be assessed practically in
light of the particular circumstances rather than abstractly and
hypothetically. Other possible means of guarding against these dangers should
also be considered.
[42]
To constitute a “serious issue”,
the question raised must be a “substantial constitutional issue” (McNeil,
at p. 268) or an “important one” (Borowski, at p. 589). The claim must
be “far from frivolous” (Finlay, at p. 633), although courts should not
examine the merits of the case in other than a preliminary manner. For example,
in Hy and Zel’s, Major J. applied the standard of whether the claim was
so unlikely to succeed that its result would be seen as a “foregone conclusion”
(p. 690). He reached this position in spite of the fact that the Court had
seven years earlier decided that the same Act was constitutional: R. v.
Edwards Books and Art Ltd., [1986] 2
S.C.R. 713. Major J. held that he was
“prepared to assume that the numerous amendments have sufficiently altered the
Act in the seven years since Edwards Books so that the Act’s validity is
no longer a foregone conclusion” (Hy and Zel’s, at p. 690). In Canadian
Council of Churches, the Court had many reservations about the nature of
the proposed action, but in the end accepted that “some aspects of the
statement of claim could be said to raise a serious issue as to the validity of
the legislation” (p. 254). Once it becomes clear that the statement of claim
reveals at least one serious issue, it will usually not be necessary to
minutely examine every pleaded claim for the purpose of the standing question.
(b) The Nature of the Plaintiff’s Interest
[43]
In Finlay, the Court wrote that this factor reflects the concern
for conserving scarce judicial resources and the need to screen out the mere
busybody (p. 633). In my view, this factor is concerned with whether the
plaintiff has a real stake in the proceedings or is engaged with the issues
they raise. The Court’s case law illustrates this point. In Finlay, for
example, although the plaintiff did not in the Court’s view have standing as of
right, he nonetheless had a direct, personal interest in the issues he sought
to raise. In Borowski, the Court found that the plaintiff had a genuine
interest in challenging the exculpatory provisions regarding abortion. He was a
concerned citizen and taxpayer and he had sought unsuccessfully to have the
issue determined by other means (p. 597). The Court thus assessed Mr. Borowski’s
engagement with the issue in assessing whether he had a genuine interest in the
issue he advanced. Further, in Canadian Council of Churches, the Court
held it was clear that the applicant had a “genuine interest”, as it enjoyed
“the highest possible reputation and has demonstrated a real and continuing
interest in the problems of the refugees and immigrants” (p. 254). In
examining the plaintiff’s reputation, continuing interest, and link with the
claim, the Court thus assessed its “engagement”, so as to ensure an economical
use of scarce judicial resources (see K. Roach, Constitutional Remedies in
Canada (loose-leaf), at ¶5.120).
(c) Reasonable and Effective Means of Bringing the
Issue Before the Court
[44]
This factor has often been
expressed as a strict requirement. For example, in Borowski, the
majority of the Court stated that the person seeking discretionary standing has
“to show . . . that there is no other reasonable and effective
manner in which the issue may be brought before the Court”: p. 598 (emphasis added);
see also Finlay, at p. 626; Hy and Zel’s, at p. 690. However,
this consideration has not always been expressed and rarely applied so
restrictively. My view is that we should now make clear that it is one of the
three factors which must be assessed and weighed in the exercise of judicial
discretion. It would be better, in my respectful view, to refer to this third
factor as requiring consideration of whether the proposed suit is, in all of the
circumstances, and in light of a number of considerations I will address
shortly, a reasonable and effective means to bring the challenge to court.
This approach to the third factor better reflects the flexible, discretionary
and purposive approach to public interest standing that underpins all of the
Court’s decisions in this area.
(i) The Court Has Not Always Expressed and Rarely
Applied This Factor Rigidly
[45]
A fair reading of the authorities
from this Court demonstrates, in my view, that while this factor has often been
expressed as a strict requirement, the Court has not done so consistently and
in fact has not approached its application in a rigid fashion.
[46]
The strict formulation of the third
factor as it appeared in Borowski was not used in the two major cases on
public interest standing: see Thorson,
at p. 161; McNeil, at p. 271. Moreover, in Canadian Council of Churches, the third factor was expressed as
whether “there [was] another
reasonable and effective way to bring the issue before the court” (p. 253 (emphasis
added)).
[47]
A number of decisions show that
this third factor, however formulated, has not been applied rigidly. For
example, in McNeil, at issue was the constitutionality of the
legislative scheme empowering a provincial board to permit or prohibit the
showing of films to the public. It was clear that there were persons who were
more directly affected by this regulatory scheme than was the plaintiff,
notably the theatre owners and others who were the subject of that scheme.
Nonetheless, the Court upheld granting discretionary public interest standing
on the basis that the plaintiff, as a member of the public, had a different
interest than the theatre owners and that there was no other way “practically
speaking” to get a challenge of that nature before the court (pp. 270-71).
Similarly in Borowski, although there were many people who were more
directly affected by the legislation in question, they were unlikely in
practical terms to bring the type of challenge brought by the plaintiff (pp.
597-98). In both cases, the consideration of whether there were no other
reasonable and effective means to bring the matter before the court was
addressed from a practical and pragmatic point of view and in light of the
particular nature of the challenge which the plaintiffs proposed to bring.
[48]
Even when standing was denied
because of this factor, the Court emphasized the need to approach discretionary
standing generously and not by applying the factors mechanically. The best
example is Canadian Council of Churches. On one hand, the Court
stated that granting discretionary public interest standing “is not required
when, on a balance of probabilities, it can be shown that the measure will be
subject to attack by a private litigant” (p. 252). However, on the other hand,
the Court emphasized that public interest standing is discretionary, that the
applicable principles should be interpreted “in a liberal and generous manner”
and that the other reasonable and effective means aspect must not be
interpreted mechanically as a “technical requirement” (pp. 253 and 256).
(ii) This Factor Must Be Applied Purposively
[49]
This third factor should be
applied in light of the need to ensure full and complete adversarial
presentation and to conserve judicial resources. In Finlay, the
Court linked this factor to the concern that the “court should have the benefit
of the contending views of the persons most directly affected by the issue” (p.
633); see also Roach, at ¶5.120. In Hy and Zel’s, Major J. linked this
factor to the concern about needlessly overburdening the courts, noting that “[i]f
there are other means to bring the matter before the court, scarce judicial
resources may be put to better use” (p. 692). The factor is also closely
linked to the principle of legality, since courts should consider whether
granting standing is desirable from the point of view of ensuring lawful action
by government actors. Applying this factor purposively thus requires the court
to consider these underlying concerns.
(iii) A Flexible Approach Is Required to Consider
the “Reasonable and Effective” Means Factor
[50]
The Court’s jurisprudence to date does not have much to say about
how to assess whether a particular means of bringing a matter to court is
“reasonable and effective”. However, by taking a purposive approach to the
issue, courts should consider whether the proposed action is an economical use
of judicial resources, whether the issues are presented in a context suitable
for judicial determination in an adversarial setting and whether permitting the
proposed action to go forward will serve the purpose of upholding the principle
of legality. A flexible, discretionary approach is called for in assessing the
effect of these considerations on the ultimate decision to grant or to refuse
standing. There is no binary, yes or no, analysis possible: whether a means
of proceeding is reasonable, whether it is effective and whether it will serve
to reinforce the principle of legality are matters of degree and must be
considered in light of realistic alternatives in all of the circumstances.
[51]
It may be helpful to give some examples of the types of interrelated
matters that courts may find useful to take into account when assessing the
third discretionary factor. This list, of course, is not exhaustive but
illustrative.
•
The court should consider the plaintiff’s capacity to bring
forward a claim. In doing so, it should examine amongst other things, the plaintiff’s
resources, expertise and whether the issue will be presented in a sufficiently
concrete and well-developed factual setting.
•
The court should consider whether
the case is of public interest in the sense that it transcends the interests of
those most directly affected by the challenged law or action. Courts should
take into account that one of the ideas which animates public interest
litigation is that it may provide access to justice for disadvantaged persons
in society whose legal rights are affected. Of course, this should not
be equated with a licence to grant standing to whoever decides to set
themselves up as the representative of the poor or marginalized.
•
The court should turn its mind to whether
there are realistic alternative means which would favour a more efficient and
effective use of judicial resources and would present a context more
suitable for adversarial determination. Courts
should take a practical and pragmatic approach. The existence of other
potential plaintiffs, particularly those who would have standing as of right,
is relevant, but the practical prospects of their bringing the matter to court
at all or by equally or more reasonable and effective means should be
considered in light of the practical realities, not theoretical possibilities.
Where there are other actual plaintiffs in the sense that other proceedings in
relation to the matter are under way, the court should assess from a practical
perspective what, if anything, is to be gained by having parallel proceedings
and whether the other proceedings will resolve the issues in an equally or more
reasonable and effective manner. In doing so, the court should consider
not only the particular legal issues or issues raised, but whether the
plaintiff brings any particularly useful or distinctive perspective to the
resolution of those issues. As, for example, in McNeil, even where there
may be persons with a more direct interest in the issue, the plaintiff may have
a distinctive and important interest different from them and this may support
granting discretionary standing.
•
The potential impact of the
proceedings on the rights of others who are equally or more directly affected
should be taken into account. Indeed, courts should pay special attention where
private and public interests may come into conflict. As was noted in Danson
v. Ontario (Attorney General), [1990] 2 S.C.R. 1086, at p. 1093, the court
should consider, for example, whether “the failure of a diffuse challenge could
prejudice subsequent challenges to the impugned rules by parties with specific
and factually established complaints”. The converse is also true. If those
with a more direct and personal stake in the matter have deliberately refrained
from suing, this may argue against exercising discretion in favour of standing.
(iv) Conclusion
[52]
I conclude that the third factor in the public interest standing
analysis should be expressed as: whether the proposed suit is, in all of the
circumstances, a reasonable and effective means of bringing the matter before
the court. This factor, like the other two, must be assessed in a flexible and
purposive manner and weighed in light of the other factors.
(6) Weighing the Three Factors
[53]
I return to the circumstances of this case in light of the three factors
which must be considered: whether the case raises a serious justiciable issue,
whether the respondents have a real stake
or a genuine interest in the issue(s) and the suit is a reasonable and
effective means of bringing the issues before the courts in all of the
circumstances. Although there is little dispute that the first two factors
favour granting standing, I will review all three as in my view they must be
weighed cumulatively rather than individually. I conclude that when all three
factors are considered in a purposive, flexible and generous manner, the Court
of Appeal was right to grant public interest standing to the Society and Ms.
Kiselbach.
(a) Serious
Justiciable Issue
[54]
As noted, with one exception, there is no dispute that the respondents’
action raises serious and justiciable issues. The constitutionality of the
prostitution laws certainly constitutes a “substantial constitutional issue”
and an “important one” that is “far from frivolous”: see McNeil, at
p. 268; Borowski, at p. 589; Finlay, at p. 633.
Indeed, the respondents argue that the impugned Criminal Code provisions,
by criminalizing many of the activities surrounding prostitution, adversely
affect a great number of women. These issues are also clearly justiciable ones,
as they concern the constitutionality of the challenged provisions.
Consideration of this factor unequivocally supports exercising discretion in
favour of standing.
[55]
The appellant submits, however, that the respondents’ action does not
disclose a serious issue with respect to the constitutionality of s. 213(1)(c)
(formerly s. 195.1(1)(c)) because this Court has upheld that provision
in Reference re ss. 193 and 195.1(1)(c) of the Criminal Code (Man.),
[1990] 1 S.C.R. 1123, and R. v. Skinner, [1990] 1 S.C.R. 1235.
[56]
On this point, I completely agree with the learned chambers judge. He
held that, in the circumstances of this broad and multi-faceted challenge, it
is not necessary for the purposes of deciding the standing issue to resolve
whether the principles of stare decisis permit the respondents to raise this particular aspect of
their much broader claim. A more pragmatic approach is to say, as did Cory J.
in Canadian Council of Churches and the chambers judge in this case,
that some aspects of the statement of claim raise serious issues as to the
invalidity of the legislation. Where there are aspects of the claim that
clearly raise serious justiciable issues, it is better for the purposes of the
standing analysis not to get into a detailed screening of the merits of
discrete and particular aspects of the claim. They can be assessed using other
appropriate procedural vehicles.
(b) The
Proposed Plaintiff’s Interest
[57]
Applying the purposive approach
outlined earlier, there is no doubt, as the appellant accepts that this factor
favours granting public interest standing. The Society has a genuine interest
in the current claim. It is fully engaged with the issues it seeks to raise.
[58]
As the respondents point out, the Society
is no busybody and has proven to have a strong engagement with the issue. It
has considerable experience with the sex workers in the Downtown Eastside of
Vancouver and it is familiar with their interests. It is a registered
non-profit organization that is run “by and for” current and former sex workers
who live and/or work in this neighbourhood of Vancouver. Its mandate is based
upon the vision and the needs of street-based sex workers and its objects
include working toward better health and safety for sex workers, working
against all forms of violence against sex workers and lobbying for policy and
legal changes that will improve the lives and working conditions of the sex
workers (R.F., at para. 8).
[59]
From Sheryl Kiselbach’s affidavit, it is clear that she is deeply
engaged with the issues raised. Not only does she claim that the prostitution
laws have directly and significantly affected her for 30 years (A.R., vol. IV, at
pp. 15-17), but also she notes that she is now employed as a violence prevention coordinator.
(c) Reasonable
and Effective Means of Bringing the Issue Before the Court
[60]
Understandably, the chambers judge
treated the traditional formulation of this factor as a requirement of a strict
test. He rejected the respondents’ submission that they ought to have standing
because their action was “[t]he most reasonable and effective way” to bring
this challenge to court. The judge noted that this submission misstated the
test set down by this Court and that he was “bound to apply” the test requiring
the respondents to show that “there is no other reasonable and effective way to
bring the issue before the court” (paras. 84-85). However, for the reasons I
set out earlier, approaching the third factor in this way should be considered
an error in principle. We must therefore reassess the weight to be given to
this consideration when it is applied in a purposive and flexible manner.
[61]
The learned chambers judge had three
related concerns which he thought militated strongly against granting public
interest standing. First, he thought that the existence of the Bedford
litigation in Ontario showed that there could be other potential plaintiffs to
raise many of the same issues. Second, he noted that there were many criminal
prosecutions under the challenged provisions and that the accused in each one
of them could raise constitutional issues as of right. Finally, he was not
persuaded that individual sex workers could not bring the challenge forward as
private litigants. I will discuss each of these concerns in turn.
[62]
The judge was first concerned by the
related Bedford litigation underway in Ontario. The judge noted that
the fact that there is another civil case in another province which raises many
of the same issues “would not necessarily be sufficient reason for concluding
that the present case . . . should not proceed”, it nonetheless “illustrates
that if public interest standing is not granted . . . there may nevertheless be
potential plaintiffs with personal interest standing who could, if they chose
to do so, bring all of these issues before the court” (para. 75).
[63]
The existence of parallel litigation is certainly a highly relevant
consideration that will often support denying standing. However, I agree with
the chambers judge that the existence of a civil case in another province ―
even one that raises many of the same issues ― is not necessarily a
sufficient basis for denying standing. There are several reasons for this.
[64]
One is that, given the provincial organization of our superior courts,
decisions of the courts in one province are not binding on courts in the
others. Thus, litigation in one province is not necessarily a full response to
a plaintiff wishing to litigate similar issues in another. What is needed is a
practical and pragmatic assessment of whether having parallel proceedings in
different provinces is a reasonable and effective approach in the particular
circumstances of the case. Another point is that the issues raised in the Bedford
case are not identical to those raised in this one. Unlike in the present case,
the Bedford litigation does not challenge ss. 211, 212(1)(a), (b),
(c), (d), (e), (f), (h) or (3) of the Code
and does not challenge any provisions on the basis of ss. 2 (d) or 15 of
the Charter . A further point is that, as discussed earlier, the court
must examine not only the precise legal issue, but the perspective from which
it is raised. The perspectives from which the challenges in Bedford and
in this case come are very different. The claimants in Bedford were not
primarily involved in street-level sex work, whereas the main focus in this
case is on those individuals. As the claim of unconstitutionality of the
prostitution laws revolves mainly around the effects it has on street-level sex
workers, the respondents in this action
ground their challenges in a distinctive context. Finally, there may be other
litigation management strategies, short of the blunt instrument of a denial of
standing, to ensure the efficient and effective use of judicial resources. We
were told, for example, that the respondents
proposed that their appeal to this Court should be stayed awaiting the results
of the Bedford litigation. A stay of proceedings pending resolution of
other litigation is one possibility that should be taken into account in
exercising the discretion as to standing.
[65]
Taking these points into account, the existence of the Bedford
litigation in Ontario, in the circumstances of this case, does not seem to me
to weigh very heavily against the respondents
in considering whether their suit is a reasonable and effective means of
bringing the pleaded claims forward. The Bedford litigation, in my
view, has not been shown to be a more reasonable and effective means of doing
so.
[66]
The second concern identified by the chambers judge was that there are
hundreds of prosecutions under the impugned provisions every year in British
Columbia. In light of this, he reasoned that “the accused in each one of those
cases would be entitled, as of right, to raise the constitutional issues that
the plaintiffs seek to raise in the case at bar” (para. 77). He noted, in
addition, that such challenges have been mounted by accused persons in numerous
prostitution-related criminal trials (paras. 78-79). In my view, however,
there are a number of points in the circumstances of this case that
considerably reduce the weight that should properly be given this concern here.
[67]
To begin, the importance of a purposive approach to standing makes clear
that the existence of a parallel claim, either potential or actual, is not
conclusive. Moreover, the existence of potential plaintiffs, while of course
relevant, should be considered in light of practical realities. As I will
explain, the practical realities of this case are such that it is very unlikely
that persons charged under these provisions would bring a claim similar to the
respondents’. Finally, the fact that some challenges have been advanced by
accused persons in numerous prostitution-related criminal trials is not very
telling either.
[68]
The cases to which we have been referred did not challenge nearly the entire legislative scheme as the
respondents do. As the respondents point out, almost all the cases
referred to were challenges to the communication law alone: R. v. Stagnitta,
[1990] 1 S.C.R. 1226; Skinner; R. v. Smith (1988), 44 C.C.C.
(3d) 385 (Ont. H.C.J.); R. v. Gagne, [1988] O.J. No. 2518 (QL) (Prov.
Ct.); R. v. Jahelka (1987), 43 D.L.R. (4th) 111 (Alta. C.A.); R. v.
Kazelman, [1987] O.J. No. 1931 (QL) (Prov. Ct.); R. v. Bavington,
[1987] O.J. No. 2728 (QL) (Prov. Ct.); R. v. Cunningham (1986), 31
C.C.C. (3d) 223 (Man. Prov. Ct.); R. v. Bear (1986), 47 Alta. L.R. (2d)
255 (Prov. Ct.); R. v. McLean (1986), 2 B.C.L.R. (2d) 232 (S.C.); R.
v. Bailey, [1986] O.J. No. 2795 (QL) (Prov. Ct.); R. v. Cheeseman,
Sask. Prov. Ct., June 19, 1986; R. v. Blais, 2008 BCCA 389,
301 D.L.R. (4th) 464. Most of the other cases challenged one provision only,
either the procurement provision (R. v. Downey, [1992] 2 S.C.R. 10; R.
v. Boston, [1988] B.C.J. No. 1185 (QL) (C.A.)), or the bawdy house
provision (R. v. DiGiuseppe (2002), 161 C.C.C. (3d) 424 (Ont. C.A.)).
From the record, the only criminal cases that challenge more than one section of
the prostitution provisions were commenced after this case (Affidavit of
Karen Howden, June 24, 2011, at para. 10 (R. v. Mangat) (A.R., vol. V, at
p. 102; vol. IX, at pp. 31-36); paras. 4-5 (R. v. Cho) (A.R., vol. V, at
p. 102; vol. VIII, at p. 163); paras. 2 and 11 (R. v. To) (A.R., vol. V,
at pp. 101-3 and 104-12)). At the time of writing these reasons, one case had
been dismissed, the other held in abeyance pending the outcome of this case and
the last one was set for a preliminary inquiry.
[69]
Of course, an accused in a criminal case will always be able to raise a
constitutional challenge to the provisions under which he or she is charged.
But that does not mean that this will necessarily constitute a more reasonable
and effective alternative way to bring the issue to court. The case of Blais
illustrates this point. In that case, the accused, a client, raised a
constitutional challenge to the communication provision without any evidentiary
support. The result was that the Provincial Court of British Columbia dismissed
the constitutional claim, without examining it in detail. Further, the inherent
unpredictability of criminal trials makes it more difficult for a party raising
the type of challenge raised in this instance. For instance, in R. v.
Hamilton (Affidavit of Elizabeth Campbell, September 17, 2008, at para. 6 (A.R.,
vol. II, at pp. 34-35)), the Crown, for unrelated reasons, entered a stay of
proceedings after the accused filed a constitutional challenge to a bawdy house
provision. Thus, the challenge could not proceed.
[70]
Moreover, the fact that many challenges could be or have been brought in
the context of criminal prosecutions may in fact support the view that a
comprehensive declaratory action is a more reasonable and effective means of
obtaining final resolution of the issues raised. There could be a multitude of
similar challenges in the context of a host of criminal prosecutions.
Encouraging that approach does not serve the goal of preserving scarce judicial
resources. Moreover, a summary conviction proceeding may not necessarily be a
more appropriate setting for a complex constitutional challenge.
[71]
The third concern identified by
the chambers judge was that he could not understand how the vulnerability of
the Society’s constituency made it impossible for them to come forward as
plaintiffs, given that they were prepared to testify as witnesses (para. 76). However, being a witness and a party are
two very different things. In this case,
the record shows that there were no sex workers in the Downtown Eastside
neighbourhood of Vancouver willing to bring a comprehensive challenge forward.
They feared loss of privacy and safety and increased violence by clients. Also,
their spouses, friends, family members and/or members of their community may
not know that they are or were involved in sex work or that they are or were
drug users. They have children that they fear will be removed by child
protection authorities. Finally, bringing such challenge, they fear, may limit
their current or future education or employment opportunities (Affidavit of
Jill Chettiar, September 26, 2008, at paras. 16-18 (A.R., vol. IV, at pp.
184-85)). As I see it, the willingness of many of these same persons to swear
affidavits or to appear to testify does not undercut their evidence to the
effect that they would not be willing or able to bring a challenge of this
nature in their own names. There are also the practical aspects of running a
major constitutional law suit. Counsel needs to be able to communicate with
his or her clients and the clients must be able to provide timely and
appropriate instructions. Many difficulties might arise in the context of
individual challenges given the evidence about the circumstances of many of the
individuals most directly affected by the challenged provisions.
[72]
I conclude, therefore, that these
three concerns identified by the chambers judge were not entitled to the
decisive weight which he gave them.
[73]
I turn now to other considerations
that should be taken into account in considering the reasonable and effective
means factor. This case constitutes public interest litigation: the respondents
have raised issues of public importance that transcend their immediate
interests. Their challenge is comprehensive, relating as it does to nearly the
entire legislative scheme. It provides an opportunity to assess through the
constitutional lens the overall effect of this scheme on those most directly
affected by it. A challenge of this nature may prevent a multiplicity of
individual challenges in the context of criminal prosecutions. There is no risk
of the rights of others with a more personal or direct stake in the issue being
adversely affected by a diffuse or badly advanced claim. It is obvious that
the claim is being pursued with thoroughness and skill. There is no suggestion
that others who are more directly or personally affected have deliberately
chosen not to challenge these provisions. The presence of the
individual respondent, as well as the
Society, will ensure that there is both an individual and collective dimension
to the litigation.
[74]
The record supports the respondents’ position that they have the
capacity to undertake this litigation. The Society is a well-organized
association with considerable expertise with respect to sex workers in the
Downtown Eastside, and Ms. Kiselbach, a former sex worker in this
neighbourhood, is supported by the resources of the Society. They provide a concrete factual background and
represent those most directly affected by the legislation. For instance, the
respondents’ evidence includes affidavits from more than 90 current or past sex
workers from the Downtown Eastside neighbourhood of Vancouver (R.F., at para.
20). Further, the Society is represented by experienced human rights lawyers,
as well as by the Pivot Legal Society, a non-profit legal advocacy group
working in Vancouver’s Downtown Eastside and focusing predominantly on the
legal issues that affect this community (Affidavit of Peter Wrinch, January 30,
2011, at para. 3 (A.R., vol. V, at p. 137)). It has conducted research on the
subject, generated various reports and presented the evidence it has gathered
before government officials and committees (see Wrinch Affidavit, at paras.
6-21 (A.R., vol. V, at pp. 137-44)). This in turn, suggests that the
present litigation constitutes an effective means of bringing the issue to
court in that it will be presented in a context suitable for adversarial
determination.
[75]
Finally, other litigation management tools and strategies may be
alternatives to a complete denial of standing, and may be used to ensure that
the proposed litigation is a reasonable and effective way of getting the issues
before the court.
(7) Conclusion
With Respect to Public Interest Standing
[76]
All three factors, applied purposively, favour exercising discretion to
grant public interest standing to the respondents to bring their claim.
Granting standing will not only serve to enhance the principle of legality with
respect to serious issues of direct concern to some of the most marginalized
members of society, but it will also promote the economical use of scarce
judicial resources: Canadian Council of Churches, at p. 252.
B. Private Interest Standing
[77]
Having found that the respondents
have public interest standing to pursue their claims, it is not necessary to
address the issue of whether Ms. Kiselbach has private interest standing.
V. Disposition
[78]
I would dismiss the appeal with
costs. However, I would not grant special costs to the respondents. The Court
of Appeal declined to do so (2011 BCCA 515, 314 B.C.A.C. 137) and we ought not
to interfere with that exercise of discretion unless there are clear and
compelling reasons to do so which in my view do not exist here: Odhavji
Estate v. Woodhouse, 2003 SCC 69, [2003]
3 S.C.R. 263, at para. 77.
Appeal
dismissed with costs.
Solicitor
for the appellant: Attorney General of Canada, Vancouver.
Solicitors
for the respondents: Arvay Finlay, Vancouver; Pivot Legal,
Vancouver.
Solicitor
for the intervener the Attorney General of Ontario: Attorney General
of Ontario, Toronto.
Solicitor
for the intervener the Community Legal Assistance Society: Community
Legal Assistance Society, Vancouver.
Solicitors
for the intervener the British Columbia Civil Liberties
Association: Gratl & Company, Vancouver; Megan Vis‑Dunbar,
Vancouver.
Solicitor
for the intervener Ecojustice Canada: Ecojustice Canada, Toronto.
Solicitors
for the interveners the Coalition of West Coast Women’s Legal Education and
Action Fund (West Coast LEAF), Justice for Children and Youth and the ARCH
Disability Law Centre: West Coast Women’s Legal Education and Action
Fund (West Coast LEAF), Vancouver; Justice for Children and Youth, Toronto; ARCH
Disability Law Centre, Toronto.
Solicitors for the intervener Conseil scolaire francophone de la
Colombie‑Britannique: Heenan Blaikie, Ottawa.
Solicitor for the intervener the David Asper Centre for
Constitutional Rights: University of Toronto, Toronto.
Solicitor
for the intervener the Canadian Civil Liberties Association: Canadian
Civil Liberties Association, Toronto.
Solicitors
for the interveners the Canadian Association of Refugee Lawyers and the Canadian
Council for Refugees: Waldman & Associates, Toronto.
Solicitors for the
interveners the Canadian HIV/AIDS Legal Network, the HIV & AIDS Legal
Clinic Ontario and the Positive Living Society of British Columbia: McCarthy
Tétrault, Vancouver.