R. v. Hape, [2007] 2 S.C.R. 292, 2007 SCC 26
Lawrence Richard Hape Appellant
v.
Her Majesty The Queen Respondent
and
Attorney General of Ontario Intervener
Indexed as: R. v. Hape
Neutral citation: 2007 SCC 26.
File No.: 31125.
2006: October 12; 2007: June 7.
Present: McLachlin C.J. and Bastarache, Binnie,
LeBel, Deschamps, Fish, Abella, Charron and Rothstein JJ.
on appeal from the court of appeal for ontario
RCMP officers commenced an investigation of the
accused, a Canadian businessman, for suspected money laundering activities.
They sought permission from the Turks and Caicos Islands authorities to conduct
parts of their investigation on the Islands where the accused’s investment
company is located. Detective Superintendent L of the Turks and Caicos
Police Force, who was in charge of criminal investigations on the Islands,
agreed to allow the RCMP to continue the investigation on Turks and Caicos
territory, but warned the officers that he would be in charge and that the RCMP
would be working under his authority. During a one‑year period, the
RCMP officers conducted searches of the accused’s office on the Islands
and on each occasion L was with them. At trial, the Crown adduced documentary
evidence that the police had gathered from the records of the accused’s
office. The RCMP officers testified that they were aware there were no
warrants authorizing the perimeter searches of the accused’s office but that
they had relied on L’s expertise and advice regarding the legalities of
investigations conducted on the Islands. They also testified that they had
understood warrants to be in place for the covert entries and had read a
document they understood to be a warrant authorizing the overt entries.
However, no warrant was entered into evidence at trial. The accused sought to
have the documentary evidence excluded, pursuant to s. 24(2) of the Canadian
Charter of Rights and Freedoms , on the basis that the evidence was obtained
in violation of his right under s. 8 of the Charter to be secure
against unreasonable search and seizure. He submitted that the Charter
applies to the actions of the RCMP officers in the course of their searches
and seizures at his office, notwithstanding that those actions took place
outside Canada. The trial judge held that the Charter did not apply,
dismissed the application and convicted the accused of two counts of money
laundering. The Court of Appeal upheld the convictions.
Held: The
appeal should be dismissed.
Per McLachlin C.J.
and LeBel, Deschamps, Fish and Charron JJ.: The Charter does not
generally apply to searches and seizures in other countries. Rather, the only
reasonable approach is to apply the law of the state in which the activities
occur, subject to the Charter ’s fair trial safeguards and to the limits
on comity that may prevent Canadian officers from participating in activities
that, though authorized by the laws of another state, would cause Canada to be
in violation of its international obligations in respect of human rights. [88]
[90]
While Parliament has clear constitutional authority to
pass legislation governing conduct by Canadians or non‑Canadians outside
Canada, its ability to pass extraterritorial legislation is informed by the
binding customary principles of territorial sovereign equality and non‑intervention,
by the comity of nations, and by the limits of international law to the extent
that they are not incompatible with domestic law. By virtue of parliamentary
sovereignty, it is open to Parliament to enact legislation that is inconsistent
with those principles, but in so doing it would violate international law and
offend the comity of nations. Since it is a well‑established principle
of statutory interpretation that legislation will be presumed to conform to
international law, in interpreting the scope of application of the Charter ,
a court should seek to ensure compliance with Canada’s binding obligations
under international law where the express words are capable of supporting such
a construction. [53] [56] [68]
Canadian law, including the Charter , cannot be
enforced in another state’s territory without the other state’s consent. This
conclusion is consistent with international law and is also dictated by the
words of the Charter itself. Section 32(1) puts the burden of
complying with the Charter on Parliament, the government of Canada, the
provincial legislatures and the provincial governments. The provision defines
not only to whom the Charter applies, but also in what circumstances it
applies to those actors. The fact that a state actor is involved is not in
itself sufficient. The activity in question must also fall within the “matters
within the authority of” Parliament or the legislature of each province. A
criminal investigation in the territory of another state cannot be a matter
within the authority of Parliament or the provincial legislatures because they
have no jurisdiction to authorize enforcement abroad. Under international law,
each state’s exercise of sovereignty within its territory is dependent on the
right to be free from intrusion by other states in its affairs and the duty of
every other state to refrain from interference. In some cases, the evidence
may establish that the foreign state consented to the exercise of Canadian
enforcement jurisdiction within its territory. Where the host state consents,
the Charter can apply to the activities of Canadian officers in foreign
investigations. In such a case, the investigation would be a matter within the
authority of Parliament and would fall within the scope of s. 32(1) . [45]
[69] [94] [106]
While Charter standards cannot be applied to an
investigation in another country involving Canadian officers, there is no
impediment to extraterritorial adjudicative jurisdiction pursuant to which
evidence gathered abroad may be excluded from a Canadian trial, as this
jurisdiction simply attaches domestic consequences to foreign events.
Individuals in Canada who choose to engage in criminal activities that cross
Canada’s territorial limits should expect to be governed by the laws of the
state in which they find themselves and in which they conduct financial
affairs, but individual rights cannot be completely disregarded in the
interests of transborder co-operation. Where the Crown seeks at trial to
adduce evidence gathered abroad, the Charter provisions governing trial
processes in Canada ensure that the appropriate balance is struck and that due
consideration is shown for the rights of an accused being investigated abroad.
Moreover, in an era characterized by transnational criminal activity, the
principle of comity cannot be invoked to allow Canadian authorities to
participate in investigative activities sanctioned by foreign law that would
place Canada in violation of its international obligations in respect of human
rights. Deference to the foreign law ends where clear violations of
international law and fundamental human rights begin. [52] [96] [99‑101]
The methodology for determining whether the Charter
applies to a foreign investigation can be summarized as follows. The
first stage is to determine whether the activity in question falls under
s. 32(1) such that the Charter applies to it. At this stage,
two questions reflecting the two components of s. 32(1) must be
asked. First, is the conduct at issue that of a Canadian state actor? Second,
if the answer is yes, it may be necessary, depending on the facts of the case,
to determine whether there is an exception to the principle of sovereignty that
would justify the application of the Charter to the extraterritorial
activities of the state actor. In most cases, there will be no such exception
and the Charter will not apply. The inquiry would then move to the
second stage, at which the court must determine whether evidence obtained
through the foreign investigation ought to be excluded at trial because its
admission would render the trial unfair. [113]
In the instant case, the police officers were clearly
government actors to whom, prima facie, the Charter would apply,
but the searches carried out in Turks and Caicos were not a matter within the
authority of Parliament. It is not reasonable to suggest that Turks and Caicos
consented to Canadian extraterritorial enforcement jurisdiction. The trial
judge’s findings clearly indicate that Turks and Caicos controlled the
investigation at all times, repeatedly making it known to the
RCMP officers that, at each step, the activities were being carried out
pursuant to their authority alone. [103] [115‑116]
The circumstances do not demonstrate that this is a
case where admission of the evidence would violate the accused’s right to a
fair trial. The documents obtained from the accused’s office were not
conscriptive evidence, and the actions of the RCMP officers were not
unreasonable or unfair as they were acting under the authority of the Turks and
Caicos police and they had a genuine and reasonable belief that they were
complying with Turks and Caicos law. The RCMP officers acted in good
faith at all times and their actions were not improper. The way in which the
evidence was obtained in no way undermines its reliability. Moreover, since
the accused had chosen to conduct business in Turks and Caicos, his reasonable
expectation should have been that Turks and Caicos law would apply to the
investigation. Although no search warrants were admitted at trial, no evidence
was adduced indicating that the searches and seizures were conducted in a
manner inconsistent with the requirements of Turks and Caicos law. There is no
basis for concluding that the procedural requirements for a lawful search and
seizure under Turks and Caicos law fail to meet basic standards commonly
accepted by free and democratic societies. [120‑121]
Per Bastarache, Abella
and Rothstein JJ.: While the terms of s. 32(1) do not extend the
application of the Charter to the actions of foreign officials, they do
not imply that the Charter cannot apply to Canadian police officials
acting abroad. Section 32(1) defines who acts, not where they act. Since
s. 32(1) does not distinguish between actions taken on Canadian soil and
actions taken abroad, it includes all actions of Canadian police officers.
Canadian officers conducting an investigation in another country must abide by
standards set for actions taken in Canada where the foreign state takes no part
in the action and does not subject the action to its laws. Where the host
state takes part in the action by subjecting Canadian authorities to its laws,
the Charter still applies to Canadian officers and there will be no Charter
violation where the Canadian officers abide by the laws of the host state if
those laws and procedures are consistent with the fundamental principles
emanating from the Charter . The Charter thus applies
extraterritorially, but the obligations it creates in the circumstances will
depend on the nature of the right at risk, the nature of the action of the
police, the involvement of foreign authorities and the application of foreign
laws. Since there is obviously consent by a foreign authority to the
participation of Canadian officers in all cases where they operate in another
country, consent is not a useful criterion to determine Charter
application. [159‑161] [176] [178]
In any challenge to the conduct of Canadian officials
investigating abroad, the onus will be on the claimant to demonstrate that the
difference between fundamental human rights protection given by the local law
and that afforded under the Charter is inconsistent with basic Canadian
values; the onus will then shift to the government to justify its involvement
in the activity. In many cases, differences between protections guaranteed by Charter
principles and the protections offered by foreign procedures will simply be
justified by the need for Canada to be involved in fighting transnational crime
and the need to respect the sovereign authority of foreign states. On account
of this, courts are permitted to apply a rebuttable presumption of Charter
compliance where the Canadian officials were acting pursuant to valid foreign
laws and procedures. Unless it is shown that those laws or procedures are
substantially inconsistent with the fundamental principles emanating from the Charter ,
they will not give rise to a breach of a Charter right. This is the
most principled and practical way to strike an appropriate balance between
effective participation by Canadian officers in fighting transnational crime
and respect for fundamental human rights. [174]
In this case, the Charter applied to the search
and seizures conducted by the RCMP in the Turks and Caicos Islands, but the
accused has not established a breach of s. 8 of the Charter . The
Canadian authorities were operating under L’s authority and the local laws applied
to the investigation. The accused led no evidence to suggest there were any
differences between the fundamental human rights protections available under
Turks and Caicos search and seizure laws and the Charter protections
guaranteed under Canadian law that would raise serious concerns. The seizure
of documents was thus reasonable in the context. [126] [179]
Per Binnie J.:
This appeal must fail because the accused cannot bring his case within the
requirements from Cook, namely (1) that the impugned act falls within
s. 32(1) of the Charter and (2) that the application of the Charter
to the actions of the Canadian police in the Turks and Caicos Islands does not,
in this particular case, interfere with the sovereign authority of the foreign
state and thereby generate an objectionable extraterritorial effect. The
searches and seizures of the accused’s bank records in the Islands were carried
out under the authority of the local police in conformity with local powers of
search and seizure. No prejudice to the accused’s right to a fair trial in
Canada has been demonstrated. The accused, having chosen to do his banking in
the Islands, can be taken to have accepted the degree of privacy afforded by
the law of that jurisdiction. It is clear from the record that superimposing
the Canadian law of search and seizure on top of that of Turks and Caicos would
be unworkable. [181]
To hold that any extraterritorial effect of the Charter
is objectionable would effectively overrule Cook and would further limit
the potential extraterritorial application of the Charter . Premature
pronouncements that restrict the application of the Charter to Canadian
officials operating abroad in relation to Canadian citizens should be avoided.
Cook’s “objectionable extraterritorial effect” principle should be
retained, while leaving the door open to future developments in assessing the
extraterritorial application of the Charter . [182‑183] [189]
Cases Cited
By LeBel J.
Distinguished: R.
v. Cook, [1998] 2 S.C.R. 597; considered: R. v. Harrer,
[1995] 3 S.C.R. 562; R. v. Terry, [1996] 2 S.C.R. 207; Schreiber v.
Canada (Attorney General), [1998] 1 S.C.R. 841; referred to: Trendtex
Trading Corp. v. Central Bank of Nigeria, [1977] 1 Q.B. 529; The Ship
“North” v. The King (1906), 37 S.C.R. 385; Reference as to Whether
Members of the Military or Naval Forces of the United States of America are
Exempt from Criminal Proceedings in Canadian Criminal Courts, [1943] S.C.R.
483; Reference as to Powers to Levy Rates on Foreign Legations and High
Commissioners’ Residences, [1943] S.C.R. 208; Saint John (Municipality
of) v. Fraser‑Brace Overseas Corp., [1958] S.C.R. 263; Bouzari v.
Islamic Republic of Iran (2004), 71 O.R. (3d) 675, leave to appeal refused,
[2005] 1 S.C.R. vi; Mack v. Canada (Attorney General) (2002), 60 O.R.
(3d) 737, leave to appeal refused, [2003] 1 S.C.R. xiii; Gouvernement de la
République démocratique du Congo v. Venne, [1971] S.C.R. 997; Reference
re Newfoundland Continental Shelf, [1984] 1 S.C.R. 86; Reference re
Secession of Quebec, [1998] 2 S.C.R. 217; Suresh v. Canada (Minister of
Citizenship and Immigration), [2002] 1 S.C.R. 3, 2002 SCC 1; Customs
Régime between Germany and Austria (1931), P.C.I.J. Ser. A/B, No. 41; Island
of Palmas Case (Netherlands v. United States) (1928), 2 R.I.A.A. 829; Case
concerning Military and Paramilitary Activities In and Against Nicaragua
(Nicaragua v. United States of America), [1986] I.C.J. Rep. 14; Morguard
Investments Ltd. v. De Savoye, [1990] 3 S.C.R. 1077; The Parlement Belge
(1880), 5 P.D. 197; Kindler v. Canada (Minister of Justice), [1991] 2
S.C.R. 779; United States of America v. Dynar, [1997] 2 S.C.R. 462; Zingre
v. The Queen, [1981] 2 S.C.R. 392; Singh v. Minister of Employment and
Immigration, [1985] 1 S.C.R. 177; Libman v. The Queen, [1985] 2
S.C.R. 178; Abbasi v. Secretary of State for Foreign and Commonwealth
Affairs, [2002] E.W.J. No. 4947 (QL), [2002] EWCA Civ. 1598; Daniels
v. White, [1968] S.C.R. 517; Ordon Estate v. Grail, [1998] 3 S.C.R.
437; Schreiber v. Canada (Attorney General), [2002] 3 S.C.R. 269, 2002
SCC 62; Slaight Communications Inc. v. Davidson, [1989] 1 S.C.R. 1038; Reference
re Public Service Employee Relations Act (Alta.), [1987] 1 S.C.R. 313; Re
B.C. Motor Vehicle Act, [1985] 2 S.C.R. 486; United States v. Burns,
[2001] 1 S.C.R. 283, 2001 SCC 7; Canadian Foundation for Children, Youth and
the Law v. Canada (Attorney General), [2004] 1 S.C.R. 76, 2004 SCC 4; The
Case of the S.S. “Lotus” (1927), P.C.I.J. Ser. A, No. 10; United
States of America v. Cotroni, [1989] 1 S.C.R. 1469; R. v. Seaboyer,
[1991] 2 S.C.R. 577.
By Bastarache J.
Considered: R. v.
Cook, [1998] 2 S.C.R. 597; referred to: R. v. Terry, [1996]
2 S.C.R. 207; Schreiber v. Canada (Attorney General), [1998] 1 S.C.R.
841; R. v. Harrer, [1995] 3 S.C.R. 562; Libman v. The Queen,
[1985] 2 S.C.R. 178; R. v. Godoy, [1999] 1 S.C.R. 311; R. v. Mann,
[2004] 3 S.C.R. 59, 2004 SCC 52; Dedman v. The Queen, [1985] 2 S.C.R. 2;
Hunter v. Southam Inc., [1984] 2 S.C.R. 145; R. v. Evans, [1996]
1 S.C.R. 8; R. v. Caslake, [1998] 1 S.C.R. 51; R. v. Kokesch,
[1990] 3 S.C.R. 3; United States of America v. Dynar, [1997] 2 S.C.R.
462; United States v. Burns, [2001] 1 S.C.R. 283, 2001 SCC 7.
By Binnie J.
Applied: R. v. Cook,
[1998] 2 S.C.R. 597; referred to: R. v. Harrer, [1995] 3 S.C.R.
562; R. v. Terry, [1996] 2 S.C.R. 207; Schreiber v. Canada (Attorney
General), [1998] 1 S.C.R. 841.
Statutes and Regulations Cited
Canadian
Charter of Rights and Freedoms, ss. 1 , 7 to
14 , 8 , 9 , 10 (a), (b), 11 (d), 24 , 32 .
Controlled Drugs and Substances
Act, S.C. 1996, c. 19, s. 9 .
Crimes Against Humanity and War
Crimes Act, S.C. 2000, c. 24, ss. 6(1) ,
8 .
Criminal Code, R.S.C. 1985, c. C‑46, ss. 6(2) , 7 , 7(3.7) to
7(3.75) , (4.1) , 117.02(1) , (2) , 199(2) , 254(2) to (4) , 269.1(1) , 462 , 487 to
489 , 495(1) , (2) .
Statute of Westminster, 1931 (U.K.), 22 Geo. 5, c. 4 [reprinted in R.S.C. 1985, App. II,
No. 27], s. 3.
Treaties and Other International Instruments
Charter of the United Nations, Can. T.S. 1945 No. 7, art. 2(1).
United Nations. General
Assembly. Declaration on Principles of International Law concerning
Friendly Relations and Co‑operation among States in accordance with the
Charter of the United Nations, GA Res. 2625 (XXV), 24 October
1970.
Authors Cited
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Brownlie, Ian. Principles of
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Canada. Royal Canadian Mounted
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Coughlan, Stephen, et al. “Global
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APPEAL from a judgment of the Ontario Court of Appeal
(Doherty, Feldman and LaForme JJ.A.) (2005), 201 O.A.C. 126, [2005] O.J.
No. 3188 (QL), upholding the accused’s convictions entered by
Juriansz J., [2002] O.J. No. 5044 (QL). Appeal dismissed.
Alan D. Gold and Vanessa
Arsenault, for the appellant.
John North and Robert W.
Hubbard, for the respondent.
Michal Fairburn, for
the intervener.
The judgment of McLachlin C.J. and LeBel, Deschamps,
Fish and Charron JJ. was delivered by
LeBel J. —
I. Introduction
A. Overview
1
At issue in this appeal is whether the Canadian Charter of Rights and
Freedoms applies to extraterritorial searches and seizures by Canadian
police officers. The appellant, Lawrence Richard Hape, is a Canadian
businessman. He was convicted of two counts of money laundering contrary to s.
9 of the Controlled Drugs and Substances Act, S.C. 1996, c. 19 . At his
trial, the Crown adduced documentary evidence that the police had gathered from
the records of the appellant’s investment company while searching its premises
in the Turks and Caicos Islands. The appellant sought to have that evidence
excluded, pursuant to s. 24(2) of the Charter , on the basis that
the Charter applies to the actions of the Canadian police officers who
conducted the searches and seizures and that the evidence was obtained in
violation of his right under s. 8 of the Charter to be secure against
unreasonable search and seizure. For the reasons that follow, I would affirm
the convictions and dismiss the appeal.
B. Background
2
In the spring of 1996, the RCMP commenced an investigation of the
appellant for suspected money laundering activities. Sergeant Nicholson, an
undercover operative, contacted the appellant in October 1996 posing as someone
interested in laundering proceeds of narcotics trafficking. On February 2,
1998, Sergeant Nicholson provided C$252,000 of “sting money” to the appellant
on the understanding that the funds would be laundered through the appellant’s
investment company, the British West Indies Trust Company (“BWIT”), located in
the Turks and Caicos Islands, and transferred to an account in the
Netherlands. Unbeknownst to the appellant, the RCMP had set up the account.
Sergeant Nicholson gave the appellant a further US$80,000 on November 11, 1998,
instructing him to send the funds to the same account in the Netherlands. The
RCMP hoped to obtain documentation confirming the transfers and determine
whether the BWIT was involved in other money laundering activities.
3
RCMP officers sought permission to conduct parts of their investigation
in Turks and Caicos. Detective Superintendent Lessemun of the Turks and Caicos
Police Force was in charge of criminal investigations on the Islands. In
November 1997, he met with the two Canadian officers in charge of the RCMP’s
investigation, Detective Sergeant Boyle and Corporal Flynn. He agreed to allow
the RCMP to continue the investigation on Turks and Caicos territory, but
warned the officers that he would be in charge and that the RCMP would be
working under his authority. Because the appellant was well known on the
Islands and Detective Superintendent Lessemun was concerned that he could not
trust all Turks and Caicos police officers, the Canadian officers dealt
exclusively with him while planning and preparing their operations.
4
The investigators planned a covert entry into the BWIT’s office for
March 1998. RCMP technical experts assisted with the planning, which began in
Canada using technical information provided by Detective Superintendent Lessemun.
The experts traveled to the Turks and Caicos Islands in February 1998 to obtain
information about the office’s door locks and burglar alarm systems.
5
Late in the nights of February 7 and 8, 1998, the RCMP officers and
Detective Superintendent Lessemun surreptitiously entered the BWIT’s premises.
The technical experts examined the office’s locks and alarm systems from
outside the building. They recorded what they observed, using a video camera.
Throughout this perimeter search, Detective Superintendent Lessemun was with
the RCMP investigators as a lookout.
6
During the day on February 9, 1998, two RCMP technical experts entered
the reception area of the BWIT’s office to observe what they could of the
interior locks and alarm system. They entered the office under a ruse and
spent a few minutes speaking with the receptionist.
7
There were no warrants authorizing the RCMP to enter the BWIT’s premises
in February 1998. The RCMP investigators were aware of this, but they
testified that they had relied on Detective Superintendent Lessemun’s expertise
and advice regarding the legalities of investigations conducted on the Islands.
8
After the RCMP technical experts returned to Canada, they received
further technical information from Detective Superintendent Lessemun to assist
with the planning of the March 1998 covert entry. A briefing was held in the
Bahamas on March 11, 1998, in preparation for the covert search. Present
at the meeting were seven RCMP officers involved in the investigation and three
American police officers. No Turks and Caicos officers were in attendance.
9
The investigators covertly entered the BWIT’s office twice on
March 14, 1998, once in the early hours of the morning and once shortly
before midnight. The RCMP technical experts opened the locked doors of the
office to enable the investigators to enter it. Detective Superintendent
Lessemun entered the office with what the RCMP officers understood to be a
warrant. He then took up a position outside the building to provide security
around the perimeter and stop any Turks and Caicos police officers who might
come by from jeopardizing the operation. Inside the office, the RCMP
investigators downloaded information contained in the company’s computer
systems onto portable hard drives and electronically scanned documents from
numerous client files, as well as company records and banking documents.
10
The RCMP officers testified at trial that they had understood separate
warrants to be in place for each of the two covert entries of March 14, 1998.
Officer Boyle said he saw a warrant for the first entry. Sergeant McDonagh,
one of the technical experts, stated that after the first entry, but before the
second, Detective Superintendent Lessemun had shown him a document that
Sergeant McDonagh understood to be the warrant for the first entry. Sergeant
McDonagh noted down the document’s terms. Both Officer Boyle and Sergeant
McDonagh understood from Detective Superintendent Lessemun that a warrant had
been obtained for the second entry, but neither had any notes on this point or
remembered having seen it. No warrants were introduced into evidence at trial.
The Crown sought to introduce copies of two Turks and Caicos warrants, one
dated March 13 and the other March 14, 1998. The purported warrants, issued to
Robert Conway Lessemun, authorized entry into the BWIT’s office to search for
computer and office records linking Richard Hape to the laundering of proceeds
of drug trafficking. The copies of the warrants had not been authenticated,
and counsel for the appellant objected to their admission at trial.
11
RCMP officers returned to the Turks and Caicos Islands in February
1999. Beginning on February 16 and continuing over the next three days, six
RCMP officers, along with Detective Superintendent Lessemun and three other
Turks and Caicos police officers, entered the BWIT’s office and seized over one
hundred banker’s boxes of records. Officer Boyle testified that he had read a
document he understood to be a warrant authorizing the entry and seizure, and
had passed it to the other officers to read. Again, no warrant was entered
into evidence at trial.
12
When the search was complete, the RCMP officers began loading the seized
records onto their airplane with the intention of bringing them back to
Canada. Detective Superintendent Lessemun informed the officers that they
could not remove the records from the Islands. The boxes were unloaded. At
trial, there was some suggestion that a Turks and Caicos court order had
prevented the officers from removing the evidence from the jurisdiction, but no
such order was admitted as evidence.
13
The RCMP returned to the Turks and Caicos Islands in March and
October 1999. In the presence of Turks and Caicos police officers, the
RCMP officers scanned thousands of the seized documents in order to bring
electronic copies of them back to Canada. Ultimately, a number of the documents
seized during the search became exhibits at the appellant’s trial.
14
Money laundering charges were laid for the two transactions involving
the funds Sergeant Nicholson had provided to the appellant. The appellant was
also charged, along with a co-accused, Ross Beatty, with conspiring to launder
funds. A lengthy and complex trial took place before Juriansz J. (as he then
was) of the Ontario Superior Court of Justice, sitting without a jury. Before
the trial started, the appellant brought a Charter application to
exclude the documentary evidence obtained from the BWIT’s office on the basis
of a violation of the s. 8 guarantee against unreasonable search and seizure.
The application was denied and the documents were admitted into evidence.
C. Judicial History
(1) Ontario Superior Court of Justice
15
The appellant called evidence on the s. 8 application. The Crown,
taking the position that the Charter does not apply to searches and
seizures conducted outside Canada and that the appellant had not established
that he had standing to bring the application, sought a ruling on these two
issues in advance of its decision on introducing evidence. Juriansz J. ruled
on this application on January 17, 2002 ([2002] O.J. No. 3714 (QL)).
16
The application judge considered three decisions of this Court on the
extraterritorial application of the Charter : R. v. Harrer, [1995]
3 S.C.R. 562, R. v. Terry, [1996] 2 S.C.R. 207, and R. v. Cook,
[1998] 2 S.C.R. 597. He noted that all those cases concerned the application
of the s. 10 (b) right to counsel and that the question of the potential
extraterritorial application of s. 8 might raise different issues. Relying on
the majority decision in Cook, the application judge held that his task
was to determine whether applying the Charter to the activities of the
RCMP officers in Turks and Caicos would “interfere with the sovereign authority
of the foreign state and thereby generate an objectionable extra-territorial
effect” (para. 20).
17
In his argument before the application judge, the appellant resisted the
characterization of the RCMP’s actions in the instant case as part of a
“co-operative investigation”, within the meaning of Terry, with Turks
and Caicos authorities, because the searches and seizures were carried out by
the RCMP officers with little or no involvement of the Turks and Caicos
police. The application judge rejected the argument that a “co-operative
investigation” must involve relatively equal contributions from the
participants (para. 24).
18
Juriansz J. made several key findings of fact that were relevant to his Charter
ruling. He noted that Detective Superintendent Lessemun, who was with the Canadian
police at all times, had played a role in the investigation by acting as a
lookout, providing information, and obtaining warrants. The Turks and Caicos
contributed police authority. The RCMP was required to seek and receive
permission from Turks and Caicos authorities to conduct the investigation in
that jurisdiction. The RCMP officers were operating under the authority of
Detective Superintendent Lessemun. The fact that they were not permitted to
remove the seized physical records from Turks and Caicos was a significant
factor in the application judge’s conclusion that they were subject to Turks
and Caicos authority. The application judge found that all the RCMP’s actions
on the Turks and Caicos Islands were part of a “co-operative investigation” (para.
26).
19
As the next step in his analysis, Juriansz J. considered whether the
application of the Charter to the “co-operative investigation” would
result in an objectionable extraterritorial effect. The application judge
found that the propriety and legality of the entries into the BWIT’s office
were governed by Turks and Caicos criminal law and procedure and the
supervisory authority of the Turks and Caicos courts. In light of that fact,
he concluded that there was a potential conflict between the concurrent
exercise of jurisdiction by Canada on the basis of nationality and by Turks and
Caicos on the basis of territoriality. Juriansz J. held, as a result, that the
Charter did not apply. He therefore dismissed the application without discussing
whether the appellant had standing to bring the Charter application or
whether the searches and seizures were conducted in accordance with the
requirements of s. 8 .
20
The appellant had also applied under ss. 7 and 24(1) of the Charter
for a stay of proceedings on the basis that the police conduct had contravened
fundamental notions of justice and that the ensuing trial would undermine the
integrity of the justice system. In the alternative, the appellant requested
an order excluding from evidence 26 documents seized from the BWIT. In his
ruling on this application dated January 18, 2002, Juriansz J. relied on the
findings of fact he had made on the s. 8 application. He noted that the RCMP
officers had believed there were warrants for the entries that took place in
March 1998 and February 1999 and had believed their actions to be lawful under
Turks and Caicos law. No evidence to the contrary had been called. The burden
of proving that the operations of the Canadian officers had violated Turks and
Caicos law rested on the appellant. In refusing to grant the stay, Juriansz J.
gave the following explanation:
Considering
that the applicant in this case has not established that the police conduct
infringed a Charter right or was otherwise unlawful, and considering the
police conduct as a whole, I have concluded that this is not one of those
clearest of cases in which a stay ought to be granted.
Relying on Harrer and
Terry, Juriansz J. stated that the overriding consideration was whether
the admission of the evidence would result in an unfair trial. He reasoned
that since the documents constituted real, non-conscriptive evidence, their
reliability as evidence was not affected by the manner in which they were
obtained. As the admission of the evidence would not therefore render the
trial unfair, he refused to grant the exclusionary order.
21
On June 10, 2002, Juriansz J. found the appellant guilty beyond a
reasonable doubt on both counts of money laundering ([2002] O.J. No. 5044
(QL)). The appellant was acquitted of the charge of conspiracy to launder
funds.
(2) Ontario Court of Appeal
22
The appellant appealed his conviction to the Court of Appeal for Ontario
on numerous grounds, one of which was that Juriansz J. had erred in his rulings
on ss. 7 and 8 of the Charter . The appeal from the ruling on s. 7 was
not pursued at the oral hearing before the Court of Appeal, and the issue of
trial fairness is not before this Court. The appellant also contested his
sentence of 30 months’ imprisonment. The Crown cross-appealed on the trial
judge’s refusal to make a forfeiture order.
23
The Court of Appeal dismissed the appeal: (2005), 201 O.A.C. 126. It
held that the trial judge had made a finding of fact that the investigation was
under the control of the Turks and Caicos authorities and that his finding was
supported by the evidence. Referring to the decisions in Terry and Cook,
the court concluded that the trial judge had correctly applied the law to his
findings of fact. The Crown’s cross-appeal was also dismissed. The appellant
obtained leave to appeal from that judgment.
II. Analysis
A. Issues
24
The sole issue in this appeal is whether s. 8 of the Charter
applies to searches and seizures conducted by RCMP officers outside Canada.
This issue requires the Court to consider the question of the extraterritorial
application of the Charter . This in turn requires the Court to consider
the more general question of the relationship between Canadian criminal and
constitutional law, on the one hand, and public international law, on the
other. In addition, although the issue is not before this Court, I feel that
it will be helpful to comment on the use of ss. 7 and 11 (d) of the Charter
to exclude evidence gathered outside Canada.
B. Positions of the Parties
(1) The Appellant
25
The appellant argues that the Charter applies to the actions of
the RCMP officers in the course of their searches and seizures at the BWIT’s
office, notwithstanding that those actions took place outside Canada. He
submits that Canadian authorities are subject to the Charter even when
operating outside the territorial boundaries of Canada and that it can be seen
from the evidence in the case at bar that the searches and seizures were the
product of and were integral to an investigation that was completely planned by
the RCMP. In the appellant’s submission, Detective Superintendent Lessemun
merely served as a host for the Canadian officials. He made no decisions, even
if he provided ultimate control and legal authority. The actual searches and
seizures were conducted by the RCMP, and they are the actions that are subject
to Charter scrutiny. Given the almost non-existent role of the Turks
and Caicos authorities, the application of the Charter does not in any
way interfere with that state’s sovereign authority. The appellant argues that
the courts below erred in concluding, on the basis of a finding that the RCMP’s
actions constituted a “co-operative investigation”, that the Charter did
not apply.
26
At the hearing, counsel for the appellant argued that, in Cook,
this Court had specified two situations in which the application of the Charter
would have an objectionable extraterritorial effect. The first would be if the
Charter were applied to foreign officers, and the second would be if it
were applied to foreign criminal proceedings. Aside from those two
circumstances, extraterritorial application of the Charter would not, in
the appellant’s opinion, interfere with the sovereign authority of a foreign
state. If it were physically impracticable to comply with the Charter ,
then Canadian officials acting abroad could either request that foreign
officials undertake the activities that are inconsistent with the Charter or
carry out the activities themselves and try to establish that the evidence
obtained should not be excluded under s. 24(2) of the Charter .
(2) The Crown
27
The Crown responds that the Charter does not apply because
the searches and seizures in this case were conducted under the authority of
the Turks and Caicos police. To impose Canada’s Charter standards on
the actions of the RCMP officers while they were operating in Turks and Caicos
would produce an objectionable extraterritorial effect. The trial judge made a
factual finding that the investigation in Turks and Caicos was under the
control of the Turks and Caicos police force. The appellant has not demonstrated
that this finding resulted from a palpable and overriding error; he is asking
this Court to reweigh the evidence and substitute its view for that of the
trial judge.
28
In the Crown’s view, the fact that Canadian police officers participated
in an international investigation does not, on its own, mean that the Charter
is engaged. The Charter does not apply to conduct outside Canada
unless the impugned action falls within the exception established in Cook,
namely, where no conflict arises from the concurrent exercise of jurisdiction
by Canada on the basis of nationality and by a foreign state on the basis of
territoriality. The authority for all the RCMP’s actions in Turks and Caicos
was derived from Turks and Caicos law. It is clear from the evidence that the
RCMP exercised no control over the Turks and Caicos police. Further, the
appellant has not established that the RCMP’s conduct violated Turks and Caicos
law.
29
The Crown adds that it would be untenable to require that searches
carried out in Turks and Caicos in accordance with the laws of that
jurisdiction be consistent with the Charter or to subsequently
scrutinize such searches for consistency with the Charter . In Cook,
the Charter was applied on facts very different from those in the case
at bar. In that case, it would have been easy for the Canadian police
officers, in interviewing the accused, to comply with Charter standards
in a way that did not interfere with the host state’s procedures. Here, to
apply the Charter to the investigation in Turks and Caicos would of
necessity compel compliance by the foreign authorities, thus impinging on their
sovereign authority.
30
According to the Crown, to hold that s. 8 of the Charter does not
apply to foreign searches is not to suggest that there are no controls over the
actions of Canadian law enforcement officers involved in investigations in
other countries. Where the admission of evidence would lead to an unfair
trial, a court has the discretion to exclude evidence under s. 7 of the Charter .
(3) The Intervener
31
The Attorney General of Ontario intervened in this appeal. His
submissions focused on the complexities and difficulties of applying s. 8 of
the Charter to searches and seizures outside Canada. The intervener
emphasized the need to consider the nature and scope of s. 8 rights in the host
jurisdiction. He also drew the Court’s attention to the need for international
co-operation in criminal investigations as a practical matter, and to the
importance of not hampering such investigations unduly by imposing Canadian
standards on foreign jurisdictions.
C. Scope of the Charter
32
This case centres around the proper scope of application of the Charter ,
and in particular its territorial reach and limits. The analysis must begin
with the wording of s. 32(1) of the Charter , which reads as follows:
32. (1) This Charter applies
(a) to the Parliament and government of Canada in respect
of all matters within the authority of Parliament including all matters
relating to the Yukon Territory and Northwest Territories; and
(b) to the legislature and government of each province in
respect of all matters within the authority of the legislature of each
province.
Pursuant to s.
32(1) , the Charter serves to limit the legislative and executive powers
of Canada and each of the provinces. The problem involved in establishing the Charter ’s
scope has two aspects. First, s. 32(1) determines who is bound by the Charter :
Parliament and the federal government, and the provincial legislatures and
governments, bear the burden of complying with the requirements of the Charter .
Second, s. 32(1) specifies what powers, functions or activities of those bodies
and their agents are subject to the Charter : constitutional limitations
are imposed “in respect of all matters within the authority of” Parliament or
the provincial legislatures. Any action by the relevant body or its agents in
relation to any matter within its legislative authority must be consistent with
the Charter .
33
Section 32 does not expressly impose any territorial limits on the
application of the Charter . By virtue of state sovereignty, it was open
to the framers to establish the jurisdictional scope of the Charter .
Had they done so, the courts of this country would have had to give effect to a
clear expression of that scope. However, the framers chose to make no such
statement. Consequently, as with the substantive provisions of the Charter ,
it falls upon the courts to interpret the jurisdictional reach and limits of
the Charter . Where the question of application involves issues of
extraterritoriality, and thereby necessarily implicates interstate relations,
the tools that assist in the interpretation exercise include Canada’s
obligations under international law and the principle of the comity of
nations. As I will explain, the issue of applying the Charter to
activities that take place abroad implicates the extraterritorial enforcement
of Canadian law. The principles of state jurisdiction are carefully spelled
out under international law and must guide the inquiry in this appeal.
D. Relationship Between Domestic Law and
International Law
34
In order to understand how international law assists in the
interpretation of s. 32(1), it is necessary to consider the relationship
between Canadian domestic law and international law, as well as the principles
of international law pertaining to territorial sovereignty, non-intervention
and extraterritorial assertions of jurisdiction.
(1) Relationship Between Customary
International Law and the Common Law
35
As I will explain, certain fundamental rules of customary international
law govern what actions a state may legitimately take outside its territory.
Those rules are important interpretive aids for determining the jurisdictional
scope of s. 32(1) of the Charter . The use of customary international
law to assist in the interpretation of the Charter requires an
examination of the Canadian approach to the domestic reception of international
law.
36
The English tradition follows an adoptionist approach to the reception
of customary international law. Prohibitive rules of international custom may
be incorporated directly into domestic law through the common law, without the
need for legislative action. According to the doctrine of adoption, the courts
may adopt rules of customary international law as common law rules in order to
base their decisions upon them, provided there is no valid legislation that
clearly conflicts with the customary rule: I. Brownlie, Principles of Public
International Law (6th ed. 2003), at p. 41. Although it has long been
recognized in English common law, the doctrine received its strongest
endorsement in the landmark case of Trendtex Trading Corp. v. Central Bank
of Nigeria, [1977] 1 Q.B. 529 (C.A.). Lord Denning considered both the
doctrine of adoption and the doctrine of transformation, according to which
international law rules must be implemented by Parliament before they can be
applied by domestic courts. In his opinion, the doctrine of adoption
represents the correct approach in English law. Rules of international law are
incorporated automatically, as they evolve, unless they conflict with
legislation. He wrote, at p. 554:
It is certain that international law does change. I would use of
international law the words which Galileo used of the earth: “But it does
move.” International law does change: and the courts have applied the changes
without the aid of any Act of Parliament. . . .
. . . Seeing that the rules of international law have changed — and do
change — and that the courts have given effect to the changes without any Act
of Parliament, it follows to my mind inexorably that the rules of international
law, as existing from time to time, do form part of our English law. It
follows, too, that a decision of this court — as to what was the ruling of
international law 50 or 60 years ago — is not binding on this court today.
International law knows no rule of stare decisis. If this court today is
satisfied that the rule of international law on a subject has changed from what
it was 50 or 60 years ago, it can give effect to that change — and apply the
change in our English law — without waiting for the House of Lords to do it.
37
In Canada, this Court has implicitly or explicitly applied the doctrine
of adoption in several cases. In The Ship “North” v. The King (1906),
37 S.C.R. 385, at p. 394, Davies J. wrote: “[T]he Admiralty Court when
exercising its jurisdiction is bound to take notice of the law of nations . .
. . The right of hot pursuit . . . being part of the law of nations was
properly judicially taken notice of and acted upon by the learned judge in this
prosecution.” In Reference as to Whether Members of the Military or Naval
Forces of the United States of America are Exempt from Criminal Proceedings in
Canadian Criminal Courts, [1943] S.C.R. 483, at p. 502, Kerwin J. stated
that the exemptions from territorial jurisdiction based on sovereign immunity
“are grounded on reason and are recognized by civilized countries as being
rules of international law which will be followed in the absence of any
domestic law to the contrary”. See also Reference as to Powers to Levy
Rates on Foreign Legations and High Commissioners’ Residences, [1943]
S.C.R. 208 (“Re Foreign Legations”). In Saint John (Municipality of)
v. Fraser-Brace Overseas Corp., [1958] S.C.R. 263, Rand J. accepted the
doctrine of adoption, applying international law principles to exempt foreign
sovereigns and their property from municipal taxation in Canada. He wrote, at
pp. 268-69:
If in 1767 Lord Mansfield, as in Heathfield v. Chilton [(1767),
4 Burr. 2015, 98 E.R. 50], could say, “The law of nations will be carried as
far in England, as any where”, in this country, in the 20th century, in the
presence of the United Nations and the multiplicity of impacts with which
technical developments have entwined the entire globe, we cannot say any thing
less.
The Court of
Appeal for Ontario recently cited the doctrine of adoption in Bouzari v.
Islamic Republic of Iran (2004), 71 O.R. (3d) 675, stating at para. 65 that
“customary rules of international law are directly incorporated into Canadian
domestic law unless explicitly ousted by contrary legislation” (leave to appeal
refused, [2005] 1 S.C.R. vi). See also Mack v. Canada (Attorney General)
(2002), 60 O.R. (3d) 737 (C.A.), at para. 32 (leave to appeal refused,
[2003] 1 S.C.R. xiii).
38
In other decisions, however, the Court has not applied or discussed the
doctrine of adoption of customary international law when it had the opportunity
to do so: see, for example, Gouvernement de la République démocratique du
Congo v. Venne, [1971] S.C.R. 997; Reference re Newfoundland Continental
Shelf, [1984] 1 S.C.R. 86; Reference re Secession of Quebec, [1998]
2 S.C.R. 217; Suresh v. Canada (Minister of Citizenship and Immigration),
[2002] 1 S.C.R. 3, 2002 SCC 1.
39
Despite the Court’s silence in some recent cases, the doctrine of
adoption has never been rejected in Canada. Indeed, there is a long line of
cases in which the Court has either formally accepted it or at least applied
it. In my view, following the common law tradition, it appears that the
doctrine of adoption operates in Canada such that prohibitive rules of
customary international law should be incorporated into domestic law in the
absence of conflicting legislation. The automatic incorporation of such rules
is justified on the basis that international custom, as the law of nations, is
also the law of Canada unless, in a valid exercise of its sovereignty, Canada
declares that its law is to the contrary. Parliamentary sovereignty dictates
that a legislature may violate international law, but that it must do so
expressly. Absent an express derogation, the courts may look to prohibitive
rules of customary international law to aid in the interpretation of Canadian
law and the development of the common law.
(2) Principle of Respect for Sovereignty of
Foreign States as a Part of Customary International Law and of Canadian Common
Law
40
One of the key customary principles of international law, and one that
is central to the legitimacy of claims to extraterritorial jurisdiction, is
respect for the sovereignty of foreign states. That respect is dictated by the
maxim, lying at the heart of the international legal structure, that all states
are sovereign and equal. Article 2(1) of the Charter of the United Nations,
Can. T.S. 1945 No. 7, recognizes as one of that organization’s principles
the “sovereign equality of all its Members”. The importance and centrality of
the principle of sovereign equality was reaffirmed by the General Assembly in
the 1970 Declaration on Principles of International Law concerning Friendly
Relations and Co-operation among States in accordance with the Charter of the
United Nations, GA Res. 2625 (XXV), 24 October 1970, which expanded the
scope of application of the principle to include non-U.N. member states. A
renowned international law jurist, Antonio Cassese, writes that of the various
principles recognized in the U.N. Charter and the 1970 Declaration
this is
unquestionably the only one on which there is unqualified agreement and which
has the support of all groups of States, regardless of ideologies, political
leanings, and circumstances. It is safe to conclude that sovereign equality
constitutes the linchpin of the whole body of international legal standards,
the fundamental premise on which all international relations rest.
See A.
Cassese, International Law (2nd ed. 2005), at p. 48.
41
The principle of sovereign equality comprises two distinct but complementary
concepts: sovereignty and equality. “Sovereignty” refers to the various
powers, rights and duties that accompany statehood under international law.
Jurisdiction — the power to exercise authority over persons, conduct and events
— is one aspect of state sovereignty. Although the two are not coterminous,
jurisdiction may be seen as the quintessential feature of sovereignty. Other
powers and rights that fall under the umbrella of sovereignty include the power
to use and dispose of the state’s territory, the right to state immunity from
the jurisdiction of foreign courts and the right to diplomatic immunity. In
his individual opinion in Customs Régime between Germany and Austria (1931),
P.C.I.J. Ser. A/B, No. 41, at p. 57, Judge Anzilotti defined sovereignty as
follows: “Independence . . . is really no more than the normal condition of
States according to international law; it may also be described as sovereignty
(suprema potestas), or external sovereignty, by which is meant
that the State has over it no other authority than that of international law”
(emphasis in original).
42
Sovereignty also has an internal dimension, which can be defined as “the
power of each state freely and autonomously to determine its tasks, to organize
itself and to exercise within its territory a ‘monopoly of legitimate physical
coercion’”: L. Wildhaber, “Sovereignty and International Law”, in R. St.J.
Macdonald and D. M. Johnston, eds., The Structure and Process of
International Law: Essays in Legal Philosophy, Doctrine and Theory (1983),
425, at p. 436.
43
While sovereignty is not absolute, the only limits on state sovereignty
are those to which the state consents or that flow from customary or
conventional international law. Some such limits have arisen from recent
developments in international humanitarian law, international human rights law
and international criminal law relating, in particular, to crimes against
humanity (R. Jennings and A. Watts, eds., Oppenheim’s International Law
(9th ed. 1996), vol. 1, at p. 125; K. Kittichaisaree, International
Criminal Law (2001), at pp. 6 and 56; H. M. Kindred and P. M. Saunders, International
Law, Chiefly as Interpreted and Applied in Canada (7th ed. 2006), at
p. 836; Cassese, at p. 59). Nevertheless, despite the rise of
competing values in international law, the sovereignty principle remains one of
the organizing principles of the relationships between independent states.
44
Equality is a legal doctrine according to which all states are, in
principle, equal members of the international community: Cassese, at p. 52. It
is both a necessary consequence and a counterpart of the principle of
sovereignty. If all states were not regarded as equal, economically and
politically weaker states might be impeded from exercising their rights of
sovereignty. One commentator suggests the following rationales for the
affirmation of the equality of states in their mutual relations: “to forestall
factual inequities from leading to injustice, to ensure that one state should
not be disadvantaged in relation to another state, and to preclude the
possibility of powerful states dictating their will to weaker nations” (V.
Pechota, “Equality: Political Justice in an Unequal World”, in Macdonald and
Johnston, 453, at p. 454). Although all states are not in fact equal in all
respects, equality is, as a matter of principle, an axiom of the modern
international legal system.
45
In order to preserve sovereignty and equality, the rights and powers of
all states carry correlative duties, at the apex of which sits the principle of
non-intervention. Each state’s exercise of sovereignty within its territory is
dependent on the right to be free from intrusion by other states in its affairs
and the duty of every other state to refrain from interference. This principle
of non-intervention is inseparable from the concept of sovereign equality and
from the right of each state to operate in its territory with no restrictions
other than those existing under international law. (For a discussion of these
principles, see the comments of Arbitrator Huber in the Island of Palmas
Case (Netherlands v. United States) (1928), 2 R.I.A.A. 829, at pp. 838-39.)
46
Sovereign equality remains a cornerstone of the international legal
system. Its foundational principles — including non-intervention and respect
for the territorial sovereignty of foreign states — cannot be regarded as
anything less than firmly established rules of customary international law, as
the International Court of Justice held when it recognized non-intervention as
a customary principle in the Case concerning Military and Paramilitary
Activities In and Against Nicaragua (Nicaragua v. United States of America),
[1986] I.C.J. Rep. 14, at p. 106. As the International Court of Justice noted
on that occasion, the status of these principles as international customs is
supported by both state practice and opinio juris, the two necessary
elements of customary international law. Every principle of customary
international law is binding on all states unless superseded by another custom
or by a rule set out in an international treaty. As a result, the principles
of non-intervention and territorial sovereignty may be adopted into the common
law of Canada in the absence of conflicting legislation. These principles must
also be drawn upon in determining the scope of extraterritorial application of
the Charter .
(3) Comity as an Interpretive Principle
47
Related to the principle of sovereign equality is the concept of comity
of nations. Comity refers to informal acts performed and rules observed by
states in their mutual relations out of politeness, convenience and goodwill,
rather than strict legal obligation: Oppenheim’s International Law, at
pp. 50-51. When cited by the courts, comity is more a principle of
interpretation than a rule of law, because it does not arise from formal
obligations. Speaking in the private international law context in Morguard
Investments Ltd. v. De Savoye, [1990] 3 S.C.R. 1077, at p. 1095,
La Forest J. defined comity as “the deference and respect due by other
states to the actions of a state legitimately taken within its territory”. In Re
Foreign Legations, both Duff C.J. and Hudson J. referred in their reasons
to The Parlement Belge (1880), 5 P.D. 197 (C.A.), in which Brett L.J.
commented, at pp. 214-15, that the principle of international comity “induces
every sovereign state to respect the independence and dignity of every other
sovereign state”.
48
Where our laws — statutory and constitutional — could have an impact on
the sovereignty of other states, the principle of comity will bear on their
interpretation. One example is in the area of extradition. As this Court
noted in Kindler v. Canada (Minister of Justice), [1991] 2 S.C.R. 779,
at p. 844: “Extradition procedure, unlike the criminal procedure, is founded on
the concepts of reciprocity, comity and respect for differences in other
jurisdictions.” In United States of America v. Dynar, [1997] 2 S.C.R.
462, another extradition case, Cory and Iacobucci JJ., writing for the
majority, stated, at para. 123:
There is no doubt that the Charter applies
to extradition proceedings. Yet s. 32 of the Charter provides that
it is applicable only to Canadian state actors. Pursuant to principles of
international comity as well, the Charter generally cannot apply
extraterritorially . . . .
In stating that the Charter cannot apply extraterritorially,
Cory and Iacobucci JJ. were speaking specifically of applying it to foreign
authorities.
49
In other contexts as well, this Court has noted the importance of comity
as a tool in the interpretation of Canadian law in situations where it affects
other sovereign states. In Zingre v. The Queen, [1981] 2 S.C.R. 392,
Dickson J. (as he then was), writing for the Court, stated, at pp. 400-401:
As that great jurist, U.S. Chief Justice Marshall,
observed in The Schooner Exchange v. M’Faddon & Others [(1812), 7
Cranch’s Reports 116], at pp. 136‑37, the jurisdiction of a nation
within its own territory is necessarily exclusive and absolute, susceptible of
no limitation not imposed by itself, but common interest impels sovereigns to
mutual intercourse and an interchange of good offices with each other.
It is upon this comity of nations that
international legal assistance rests.
Further, McLachlin J. (as she then was) noted in Terry, at para.
16, that this Court “has repeatedly affirmed the territorial limitations
imposed on Canadian law by the principles of state sovereignty and
international comity”. See also Singh v. Minister of Employment and
Immigration, [1985] 1 S.C.R. 177; Libman v. The Queen, [1985]
2 S.C.R. 178, at p. 183.
50
The nature and limitations of comity need to be clearly understood.
International law is a positive legal order, whereas comity, which is of the
nature of a principle of interpretation, is based on a desire for states to act
courteously towards one another. Nonetheless, many rules of international law
promote mutual respect and, conversely, courtesy among states requires that
certain legal rules be followed. In this way, “courtesy and international law
lend reciprocal support to one another”: M. Akehurst, “Jurisdiction in
International Law” (1972-1973), 46 Brit. Y.B. Int’l L. 145, at p. 215.
The principle of comity reinforces sovereign equality and contributes to the
functioning of the international legal system. Acts of comity are justified on
the basis that they facilitate interstate relations and global co-operation;
however, comity ceases to be appropriate where it would undermine peaceable
interstate relations and the international order.
51
The principle of comity does not offer a rationale for condoning another
state’s breach of international law. Indeed, the need to uphold international
law may trump the principle of comity (see for example the English Court of
Appeal’s decision in Abbasi v. Secretary of State for Foreign and
Commonwealth Affairs, [2002] E.W.J. No. 4947 (QL), [2002] EWCA Civ. 1598,
in respect of a British national captured by U.S. forces in Afghanistan who was
transferred to Guantanamo Bay and detained for several months without access to
a lawyer or a court).
52
In an era characterized by transnational criminal activity and by the
ease and speed with which people and goods now cross borders, the principle of
comity encourages states to co-operate with one another in the investigation of
transborder crimes even where no treaty legally compels them to do so. At the
same time, states seeking assistance must approach such requests with comity
and respect for sovereignty. Mutuality of legal assistance stands on these two
pillars. Comity means that when one state looks to another for help in
criminal matters, it must respect the way in which the other state chooses to
provide the assistance within its borders. That deference ends where clear
violations of international law and fundamental human rights begin. If no such
violations are in issue, courts in Canada should interpret Canadian law, and
approach assertions of foreign law, in a manner respectful of the spirit of
international co-operation and the comity of nations.
(4) Conformity With International Law as an
Interpretive Principle of Domestic Law
53
One final general principle bears on the resolution of the legal issues
in this appeal. It is a well-established principle of statutory interpretation
that legislation will be presumed to conform to international law. The
presumption of conformity is based on the rule of judicial policy that, as a
matter of law, courts will strive to avoid constructions of domestic law
pursuant to which the state would be in violation of its international
obligations, unless the wording of the statute clearly compels that result.
R. Sullivan, Sullivan and Driedger on the Construction of Statutes
(4th ed. 2002), at p. 422, explains that the presumption has two aspects.
First, the legislature is presumed to act in compliance with Canada’s obligations
as a signatory of international treaties and as a member of the international
community. In deciding between possible interpretations, courts will avoid a
construction that would place Canada in breach of those obligations. The
second aspect is that the legislature is presumed to comply with the values and
principles of customary and conventional international law. Those values and
principles form part of the context in which statutes are enacted, and courts
will therefore prefer a construction that reflects them. The presumption is
rebuttable, however. Parliamentary sovereignty requires courts to give effect
to a statute that demonstrates an unequivocal legislative intent to default on
an international obligation. See also P.-A. Côté, The Interpretation of
Legislation in Canada (3rd ed. 2000), at pp. 367-68.
54
The presumption of conformity has been accepted and applied by this
Court on numerous occasions. In Daniels v. White, [1968] S.C.R. 517, at
p. 541, Pigeon J. stated:
[T]his is a case for the application of the rule of construction that Parliament
is not presumed to legislate in breach of a treaty or in any manner
inconsistent with the comity of nations and the established rules of
international law. . . . [I]f a statute is unambiguous, its provisions must
be followed even if they are contrary to international law .
. . . [Emphasis added.]
See also Zingre,
at pp. 409-10; Ordon Estate v. Grail, [1998] 3 S.C.R. 437, at para. 137;
Schreiber v. Canada (Attorney General), [2002] 3 S.C.R. 269, 2002 SCC
62, at para. 50. The presumption applies equally to customary international
law and treaty obligations.
55
This Court has also looked to international law to assist it in
interpreting the Charter . Whenever possible, it has sought to ensure
consistency between its interpretation of the Charter , on the one hand,
and Canada’s international obligations and the relevant principles of
international law, on the other. For example, in Slaight Communications
Inc. v. Davidson, [1989] 1 S.C.R. 1038, at p. 1056, Dickson C.J., writing
for the majority, quoted the following passage from his dissenting reasons in
Reference re Public Service Employee Relations Act (Alta.), [1987] 1 S.C.R.
313, at p. 349:
The content of Canada’s international human rights obligations is, in
my view, an important indicia of the meaning of the “full benefit of the Charter ’s
protection”. I believe that the Charter should generally be
presumed to provide protection at least as great as that afforded by similar
provisions in international human rights documents which Canada has ratified.
Dickson C.J.
then stated that Canada’s international obligations should also inform the
interpretation of pressing and substantial objectives under s. 1 of the Charter .
(See also Re B.C. Motor Vehicle Act, [1985] 2 S.C.R. 486, at p. 503; Suresh;
United States v. Burns, [2001] 1 S.C.R. 283, 2001 SCC 7; Canadian
Foundation for Children, Youth and the Law v. Canada (Attorney General),
[2004] 1 S.C.R. 76, 2004 SCC 4.)
56
In interpreting the scope of application of the Charter , the
courts should seek to ensure compliance with Canada’s binding obligations under
international law where the express words are capable of supporting such a construction.
In light of the foregoing principles — the direct application of international
custom, territorial sovereignty and non-intervention as customary rules, and
comity and the presumption of conformity as tools of construction — I will now
turn to the point that is directly in issue in this appeal: the interpretation
of s. 32 of the Charter and the application of the Charter to
searches and seizures outside Canada.
E. Constitutional Authority of Parliament
to Make Laws With Extraterritorial Effects
(1) International Law Principles of
Jurisdiction
57
In order to resolve the question of extraterritorial application of the Charter ,
the international law principles of jurisdiction and Parliament’s authority to
make laws with extraterritorial effects must be examined. As has already been
mentioned, jurisdiction is distinct from, but integral to, the principle of
state sovereignty. The principles relating to jurisdiction arise from
sovereign equality and the corollary duty of non-intervention. Broadly
speaking, jurisdiction refers to a state’s power to exercise authority over
individuals, conduct and events, and to discharge public functions that affect
them: Cassese, at p. 49.
58
Jurisdiction takes various forms, and the distinctions between them are
germane to the issue raised in this appeal. Prescriptive jurisdiction (also
called legislative or substantive jurisdiction) is the power to make rules,
issue commands or grant authorizations that are binding upon persons and
entities. The legislature exercises prescriptive jurisdiction in enacting
legislation. Enforcement jurisdiction is the power to use coercive means to
ensure that rules are followed, commands are executed or entitlements are upheld.
As stated by S. Coughlan et al. in “Global Reach, Local Grasp:
Constructing Extraterritorial Jurisdiction in the Age of Globalization” (2007),
6 C.J.L.T. 29, at p. 32, “enforcement or executive jurisdiction
refers to the state’s ability to act in such a manner as to give effect to its
laws (including the ability of police or other government actors to investigate
a matter, which might be referred to as investigative jurisdiction)”
(emphasis in original). Adjudicative jurisdiction is the power of a state’s
courts to resolve disputes or interpret the law through decisions that carry
binding force. See Cassese, at p. 49; Brownlie, at p. 297.
59
International law — and in particular the overarching customary
principle of sovereign equality — sets the limits of state jurisdiction, while
domestic law determines how and to what extent a state will assert its
jurisdiction within those limits. Under international law, states may assert
jurisdiction in its various forms on several recognized grounds. The primary
basis for jurisdiction is territoriality: Libman, at p. 183. It is as a
result of its territorial sovereignty that a state has plenary authority to
exercise prescriptive, enforcement and adjudicative jurisdiction over matters
arising and people residing within its borders, and this authority is limited
only by the dictates of customary and conventional international law. The
principle of territoriality extends to two related bases for jurisdiction, the
objective territorial principle and the subjective territorial principle.
According to the objective territorial principle, a state may claim
jurisdiction over a criminal act that commences or occurs outside the state if
it is completed, or if a constituent element takes place, within the state,
thus connecting the event to the territory of the state through a sufficiently
strong link: Brownlie, at p. 299. See also Libman, at pp. 212-13.
Subjective territoriality refers to the exercise of jurisdiction over an act
that occurs or has begun within a state’s territory even though it has
consequences in another state.
60
Territoriality is not the only legitimate basis for jurisdiction,
however. In The Case of the S.S. “Lotus” (1927), P.C.I.J. Ser. A, No.
10, at p. 20, the Permanent Court of International Justice noted:
Though
it is true that in all systems of law the principle of the territorial
character of criminal law is fundamental, it is equally true that all or nearly
all these systems of law extend their action to offences committed outside the
territory of the State which adopts them, and they do so in ways which vary
from State to State. The territoriality of criminal law, therefore, is not an
absolute principle of international law and by no means coincides with
territorial sovereignty.
Where a
dispute is wholly contained within the territory of one state, jurisdiction is
not an issue. However, disputes and events commonly have implications for more
than one state, and competing claims for jurisdiction can arise on grounds
other than territoriality, which are, of course, extraterritorial in nature.
Of those bases for jurisdiction, the most common is the nationality principle.
States may assert jurisdiction over acts occurring within the territory of a
foreign state on the basis that their nationals are involved. For example, a
state may seek to try and punish one of its nationals for a crime committed in
another state. The nationality principle is not necessarily problematic as a
justification for asserting prescriptive or adjudicative jurisdiction in order
to attach domestic consequences to events that occurred abroad, but it does
give rise to difficulties in respect of the extraterritorial exercise of
enforcement jurisdiction. Under international law, a state may regulate and
adjudicate regarding actions committed by its nationals in other countries,
provided enforcement of the rules takes place when those nationals are within
the state’s own borders. When a state’s nationals are physically located in
the territory of another state, its authority over them is strictly limited. I
will discuss this below.
61
There are other bases of extraterritorial jurisdiction that, although
less widely recognized, are nonetheless cited from time to time as
justifications for a state’s assertion of jurisdiction. One example is the
principle of universal jurisdiction, pursuant to which jurisdiction may be
asserted over acts committed, in other countries, by foreigners against other
foreigners. Assertions of universal jurisdiction are not based on any link of
territoriality or nationality between the crime or the perpetrator and the
state: L. Reydams, Universal Jurisdiction: International and Municipal
Legal Perspectives (2003), at p. 5. For that reason, universal
jurisdiction is confined to the most serious crimes and includes crimes under
international law. Any state that obtains custody of accused persons may try
and punish those who have committed crimes under international law: Brownlie,
at p. 303.
62
The interplay between the various forms and bases of jurisdiction is
central to the issue of whether an extraterritorial exercise of jurisdiction is
permissible. At the outset, it must be borne in mind, first, that the exercise
of jurisdiction by one state cannot infringe on the sovereignty of other states
and, second, that states may have valid concurrent claims to jurisdiction.
Even if a state can legally exercise extraterritorial jurisdiction, whether the
exercise of such jurisdiction is proper and desirable is another question: Coughlan
et al., at p. 31. Where two or more states have a legal claim to jurisdiction,
comity dictates that a state ought to assume jurisdiction only if it has a real
and substantial link to the event. As La Forest J. noted in Libman, at
p. 213, what constitutes a “real and substantial link” justifying jurisdiction
may be “coterminous with the requirements of international comity”.
63
In the classic example, Parliament might pass legislation making it a
criminal offence for Canadian nationals to smoke in the streets of Paris,
thereby exercising extraterritorial prescriptive jurisdiction on the basis of
nationality. If France chooses to contest this, it may have a legitimate claim
of interference with its territorial sovereignty, since Canada’s link to smoking
on the Champs-Élysées is less real and substantial than that of France.
France’s territorial jurisdiction collides with Canada’s concurrent claim of
nationality jurisdiction. The mere presence of the prohibition in the Criminal
Code of Canada might be relatively benign from France’s perspective.
However, France’s outrage might be greater if Canadian courts tried a Canadian
national in Canada for violating the prohibition while on vacation in Paris.
It would be greater still if Canadian police officers marched into Paris and
began arresting Canadian smokers or if Canadian judges established a court in
Paris to try offenders.
64
This example demonstrates the nuances of extraterritorial jurisdiction.
It is not uncommon for states to pass legislation with extraterritorial effects
or, in other words, to exercise extraterritorial prescriptive jurisdiction.
This is usually done only where a real and substantial link with the state is
evident. Similarly, comity is not necessarily offended where a state’s courts
assume jurisdiction over a dispute that occurred abroad (extraterritorial
adjudicative jurisdiction), provided that the enforcement measures are carried
out within the state’s own territory. The most contentious claims for jurisdiction
are those involving extraterritorial enforcement of a state’s laws, even
where they are being enforced only against the state’s own nationals, but in
another country. The fact that a state has exercised extraterritorial
prescriptive jurisdiction by enacting legislation in respect of a foreign event
is necessary, but not in itself sufficient, to justify the state’s exercise of
enforcement jurisdiction outside its borders: F. A. Mann, “The Doctrine of
International Jurisdiction Revisited After Twenty Years”, in
W. M. Reisman, ed., Jurisdiction in International Law (1999),
139, at p. 154.
65
The Permanent Court of International Justice stated in the Lotus
case, at pp. 18-19, that jurisdiction “cannot be exercised by a State
outside its territory except by virtue of a permissive rule derived from
international custom or from a convention”. See also Cook, at para.
131. According to the decision in the Lotus case, extraterritorial
jurisdiction is governed by international law rather than being at the absolute
discretion of individual states. While extraterritorial jurisdiction —
prescriptive, enforcement or adjudicative — exists under international law, it
is subject to strict limits under international law that are based on sovereign
equality, non-intervention and the territoriality principle. According to the
principle of non-intervention, states must refrain from exercising
extraterritorial enforcement jurisdiction over matters in respect of which
another state has, by virtue of territorial sovereignty, the authority to
decide freely and autonomously (see the opinion of the International Court of
Justice in the Case concerning Military and Paramilitary Activities In and
Against Nicaragua, at p. 108). Consequently, it is a well-established principle
that a state cannot act to enforce its laws within the territory of another
state absent either the consent of the other state or, in exceptional cases,
some other basis under international law. See Brownlie, at p. 306; Oppenheim’s
International Law, at p. 463. This principle of consent is central to
assertions of extraterritorial enforcement jurisdiction.
(2) Extraterritoriality in Canadian Law
66
This Court recognized the foregoing principles in Terry. At
para. 15, McLachlin J. wrote the following on behalf of the Court:
The
principle that a state’s law applies only within its boundaries is not
absolute: The Case of the S.S. “Lotus” (1927), P.C.I.J. Ser. A, No. 10,
at p. 20. States may invoke a jurisdiction to prescribe offences
committed elsewhere to deal with special problems, such as those provisions of
the Criminal Code, R.S.C. 1985, c. C-46 , pertaining to offences on
aircraft (s. 7(1) , (2) ) and war crimes and other crimes against humanity
(s. 7(3.71) ). A state may likewise formally consent to permit Canada and
other states to enforce their laws within its territory for limited purposes.
The Statute
of Westminster, 1931 (U.K.), 22 Geo. 5, c. 4, s. 3, conferred on Canada the
authority to make laws having extraterritorial operation and Canada has enacted
legislation with extraterritorial effects on several occasions. Some examples
can be found in criminal legislation, including the Crimes Against Humanity
and War Crimes Act, S.C. 2000, c. 24 , which addresses crimes of
universal jurisdiction. Section 6(1) of that statute provides that every
person who commits genocide, a crime against humanity or a war crime outside
Canada is guilty of an indictable offence. Pursuant to s. 8 , such a person may
be prosecuted in Canada: (a) if at the time of the offence the person was a
Canadian citizen or a citizen of a state engaged in armed conflict against
Canada, or the victim was a Canadian citizen or a citizen of a state allied
with Canada in an armed conflict; or (b) if, after the time of the offence was
committed, the person is present in Canada. These provisions exemplify valid
extraterritorial prescriptive jurisdiction, and any trial for such offences
would constitute a legitimate exercise of extraterritorial adjudicative
jurisdiction. But, importantly, they do not authorize Canada to enforce the
prohibitions in a foreign state’s territory by arresting the offenders there.
Section 7 of the Criminal Code, R.S.C. 1985, c. C-46 , contains a
number of provisions that deem certain acts — including attacks on
internationally protected persons or U.N. personnel, torture or hostage taking
— to have been committed in Canada even though they took place in other
countries. Although committed outside Canada, such an act will be deemed to
have been committed in Canada if, inter alia, the person who committed
it is a Canadian citizen or normally resides in Canada, it was committed on an
aircraft registered in Canada or it was committed against a Canadian citizen.
67
On the other hand, it is recognized that there are limits to the extraterritorial
application of Canadian law. Section 6(2) of the Criminal Code
provides: “Subject to this Act or any other Act of Parliament, no person shall
be convicted or discharged under section 730 of an offence committed outside
Canada.” As a general rule, then, Canadian criminal legislation is territorial
unless specifically declared to be otherwise. Further, as noted by McLachlin
J. in Terry, at para. 18, bilateral treaties negotiated pursuant to
the Mutual Legal Assistance in Criminal Matters Act, R.S.C. 1985, c. 30
(4th Supp .), provide that the actions requested of the assisting state are
governed by that state’s own laws, not by the laws of the requesting state.
68
Parliament has clear constitutional authority to pass legislation
governing conduct by non-Canadians outside Canada. Its ability to pass
extraterritorial legislation is informed by the binding customary principles of
territorial sovereign equality and non-intervention, by the comity of nations,
and by the limits of international law to the extent that they are not
incompatible with domestic law. By virtue of parliamentary sovereignty, it is
open to Parliament to enact legislation that is inconsistent with those
principles, but in so doing it would violate international law and offend the
comity of nations. However, in light of the foregoing discussion of the
jurisdictional principles of customary international law, the prohibition on
interference with the sovereignty and domestic affairs of other states, and
this Court’s jurisprudence, Canadian law can be enforced in another
country only with the consent of the host state.
69
As the supreme law of Canada, the Charter is subject to the same
jurisdictional limits as the country’s other laws or rules. Simply put,
Canadian law, whether statutory or constitutional, cannot be enforced in
another state’s territory without the other state’s consent. This conclusion,
which is consistent with the principles of international law, is also dictated
by the words of the Charter itself. The Charter ’s territorial
limitations are provided for in s. 32 , which states that the Charter
applies only to matters that are within the authority of Parliament or the
provincial legislatures. In the absence of consent, Canada cannot exercise its
enforcement jurisdiction over a matter situated outside Canadian territory.
Since effect cannot be given to Canadian law in the circumstances, the matter
falls outside the authority of Parliament and the provincial legislatures.
F. External Reach of the Charter
70
In light of the context and interpretive assistance set out in the
foregoing discussion, I will now turn to the specific issue raised in this
appeal — the application of the Charter to investigations conducted by
Canadian officers outside Canada.
(1) Review of the Supreme Court of Canada
Jurisprudence: Harrer, Terry, Cook and Schreiber
71
This Court has already considered the question of extraterritorial
application of the Charter to evidence gathering abroad in a series of
cases, beginning with Harrer. The accused in Harrer was
questioned by United States marshals about possible criminal involvement in her
boyfriend’s escape from custody in Canada. The accused was tried in Canada on
the basis of statements she had made to the marshals. During the
interrogation, she had not been given a second right-to-counsel warning, which
would have been required by the Charter but not by U.S. law. At trial,
the Crown sought to introduce statements that the accused had made to the
marshals. The trial judge excluded the statement made after the second warning
ought to have been given and this Court held that she erred in doing so. La
Forest J. noted that pursuant to s. 32(1) , the application of the Charter
is confined to the governments of Canada, the provinces and the territories.
The U.S. marshals were not acting on behalf of those bodies, and the Charter consequently
had no direct application to the interrogation. He wrote, at para. 15:
[I]t is obvious that
Canada cannot impose its procedural requirements in proceedings undertaken by
other states in their own territories. And I see no reason why evidence
obtained in other countries in a manner that does not conform to our procedures
should be rejected if, in the particular context, its admission would not make
the trial unfair. For us to insist that foreign authorities have followed our
internal procedures in obtaining evidence as a condition of its admission in
evidence in Canada would frustrate the necessary cooperation between the police
and prosecutorial authorities among the various states of the world.
McLachlin J.,
in concurring reasons, agreed that pursuant to s. 32 , the Charter does
not apply to foreign authorities. Both La Forest J. and McLachlin J. mentioned
that evidence obtained abroad can be excluded from a trial in Canada if its
admission would jeopardize trial fairness. I will return to this point.
72
The next case in the series was Terry, which also involved
interrogation by U.S. authorities of an accused who was later tried in Canada.
The accused was arrested in the U.S. on an extradition warrant. Canadian
police asked the U.S. authorities to advise him of his American rights.
Although the U.S. police gave the “Miranda warning” required under
American law, the accused was not advised forthwith upon his detention of his
right to counsel as required by the Charter . He made a statement to the
U.S. police, and it was admitted at trial in Canada. The accused was convicted
of second degree murder. McLachlin J., writing for the Court, found that the
statement was admissible and upheld the conviction. She noted that despite the
co-operation between Canadian and U.S. police, the latter could not be governed
by the requirements of Canadian law. Charter standards cannot be
imposed on U.S. authorities operating in their jurisdiction as that would
undermine the principles of state sovereignty and international comity. In a
passage that is particularly relevant to the facts of the case at bar,
McLachlin J. wrote, at para. 19:
Still
less can the Charter govern the conduct of foreign police cooperating
with Canadian police on an informal basis. The personal decision of a foreign
officer or agency to assist the Canadian police cannot dilute the exclusivity
of the foreign state’s sovereignty within its territory, where its law alone
governs the process of enforcement. The gathering of evidence by these foreign
officers or agency is subject to the rules of that country and none other.
Consequently, any cooperative investigation involving law enforcement agencies
of Canada and the United States will be governed by the laws of the
jurisdiction in which the activity is undertaken . . . .
McLachlin J.
reaffirmed the position taken in Harrer that evidence gathered abroad
may be excluded from a Canadian trial if it was gathered in a way that would
undermine trial fairness as guaranteed by s. 11 (d) of the Charter
or that violates the principles of fundamental justice.
73
The issue of extraterritorial application of the Charter arose
once more in Schreiber v. Canada (Attorney General), [1998] 1 S.C.R.
841. Mr. Schreiber, a Canadian citizen, had an interest in Swiss bank
accounts. The federal Department of Justice sent a request to Swiss
authorities seeking assistance in a Canadian criminal investigation.
Switzerland accepted the request and ordered the seizure of documents and
records relating to Mr. Schreiber’s accounts. Prior to the request, no search
warrant or other judicial authorization had been issued in Canada. The
question before this Court was whether Canadian standards for the issuance of a
search warrant had to be complied with before the request was made. The
majority answered the question in the negative.
74
L’Heureux-Dubé J. wrote the majority decision. She concluded that the
sending of a letter of request to a foreign state does not attract scrutiny
under s. 8 of the Charter . Section 32 limits the application of the Charter
to actions taken by Parliament, the government of Canada, a provincial
legislature or a provincial government. As the sending of the letter of request
was the only action authorized and undertaken by the government, it was the
only one that could be assessed for Charter compliance. The sending of
the letter did not engage s. 8 of the Charter , and “[a]ll of those
actions which rely on state compulsion in order to interfere with the
respondent’s privacy interests were undertaken in Switzerland by Swiss
authorities. Neither the actions of the Swiss authorities, nor the laws which
authorized their actions, are subject to Charter scrutiny” (para. 31).
75
Lamer C.J., in separate concurring reasons, found that the Charter
applied to the actions of the Canadian officials who had prepared and sent the
letter of request. He considered whether the searches and seizures carried out
in Switzerland were consistent with s. 8 of the Charter but found that
there had been no violation, because Mr. Schreiber had not had a reasonable
expectation of privacy. He reasoned as follows, at paras. 22-23:
Of critical
importance to this case is the fact that the records were located in
Switzerland, and obtained in a manner consistent with Swiss law.
. . . a Canadian
residing in a foreign country should expect his or her privacy to be governed
by the laws of that country and, as such, a reasonable expectation of privacy
will generally correspond to the degree of protection those laws provide. This,
if anything, is more true for the person who decides to conduct financial
affairs and keep records in a foreign state. It may be fairly assumed that
such a person has made an informed choice about where to conduct business, and
thereby to create corresponding records, particularly banking records.
76
Iacobucci J., in dissent, found that Mr. Schreiber had had a reasonable
expectation of privacy regarding the accounts and stated, in respect of the
actions of the Canadian authorities in requesting the search and seizure, that
“s. 8 consequently applies in full force with all of its attendant guarantees
and preventative measures” (para. 48).
77
This Court’s most recent decision on the issue of extraterritorial Charter
application was Cook. The accused in that case was an American arrested
in the U.S. by U.S. authorities on a warrant issued in connection with a
Canadian extradition request. While he was detained in the U.S., Vancouver
police officers interrogated the accused. He was not properly advised of his
right to counsel as required by s. 10 (b) of the Charter . At
his trial in Canada, a statement he had made to the Canadian officers was
admitted for the limited purpose of impeaching his credibility on
cross-examination. A majority of this Court held that the Charter
applied to the actions of the Canadian detectives and that there had been a
violation of s. 10 (b). The evidence should have been excluded under s.
24(2) . A new trial was ordered.
78
Cory and Iacobucci JJ. wrote the majority decision. They noted that the
circumstances in which the Charter may apply to actions taken outside
Canada will be rare. At para. 25, they suggested the following two factors to
assist in identifying those circumstances: “(1) the impugned act falls within
s. 32(1) of the Charter ; and (2) the application of the Charter
to the actions of the Canadian detectives in the United States does not . . .
interfere with the sovereign authority of the foreign state and thereby
generate an objectionable extraterritorial effect”. On the facts of the case,
they found no interference with the sovereign authority of the U.S.
79
The majority considered jurisdiction under international law. Cory and
Iacobucci JJ. noted, at para. 26, that sovereign equality “generally prohibits
extraterritorial application of domestic law since, in most instances, the
exercise of jurisdiction beyond a state’s territorial limits would constitute
an interference under international law with the exclusive territorial
jurisdiction of another state”. However, the nationality of the person subject
to the domestic law may also be invoked as a valid basis for jurisdiction, and
nationality jurisdiction may operate concurrently with the territorial
jurisdiction of the foreign state. The majority affirmed that the Charter
cannot apply to the actions of foreign authorities but distinguished the facts
of the case before them from those in Harrer and Terry on
the basis that the interrogation had been conducted by Canadian officers rather
than by foreign authorities. Since the officers who questioned the accused
were Canadian nationals, s. 32(1) extended the application of the Charter to
their actions abroad pursuant to the nationality principle, provided there was
no interference with the sovereign authority of the U.S. The majority
concluded as follows, at para. 48: “[T]he Charter applies on foreign
territory in circumstances where the impugned act falls within the scope of s.
32(1) of the Charter on the jurisdictional basis of the nationality of
the state law enforcement authorities engaged in governmental action, and where
the application of Charter standards will not conflict with the
concurrent territorial jurisdiction of the foreign state.” The majority took
care to confine its holding to the facts before it, expressly acknowledging at
para. 54 that the case might be different where “Canadian authorities
participate, on foreign territory, in an investigative action undertaken by
foreign authorities in accordance with foreign procedures”.
80
Bastarache J. wrote concurring reasons in which he reached the same
result by means of a different analysis. To begin, he found that the wording
of s. 32(1) applies to the actions of Canadian police officers, since the
police are constituted as part of the government and act under statutory
authority. That statutory authority to exercise coercion will come into
conflict with the jurisdiction of a foreign state when Canadian officers travel
into the territory of that state; however, s. 32(1) continues to apply to the
Canadian officers regardless of whether they exercise governmental powers of
coercion. At para. 126, Bastarache J. stated that where an investigation
abroad involves co-operation between Canadian officials and foreign officials,
“the key issue . . . is determining who was in control of the specific feature
of the investigation which is alleged to constitute the Charter
breach”. If the foreign authority was in control of the circumstances leading
to the Charter breach in obtaining the evidence, the activities in
question are not subject to the Charter . If the Canadian authorities
were primarily responsible for the breach, the Charter will apply to
them and to the evidence. Bastarache J. considered principles of jurisdiction
under international law, including territoriality, the objective territorial
principle and the importance of a real and substantial link where competing
claims of jurisdiction are made. He determined that, in the circumstances of
that case, there was a real and substantial connection between the criminal
prosecution in Canada and the investigation outside Canada in which Canadian
officers had taken part. He then discussed whether the application of the Charter
would interfere with the jurisdictional integrity of the foreign state. At
para. 143, he reasoned as follows:
[T]he nature of the
rights contained in the relevant sections of the Charter are not
mandatory, but rather conditional upon the occurrence of specified
investigatory activities. Thus, if there is a rule of investigation in the
foreign jurisdiction that directly contradicts a Charter provision,
there is still no conflict. The reason for this is that the Charter does
not impose any obligation to investigate; it simply requires that if an investigation
is made by the officer, it must be conducted in accordance with certain
conditions. It follows from this, moreover, that the application of the Charter
to the Canadian official has no impact on the foreign legal system. At worst,
the Canadian official may be obliged to cease taking a directing or primary
role in the investigation in order to comply with the Charter .
81
L’Heureux-Dubé J. dissented in Cook, and McLachlin J. concurred
in her reasons. According to L’Heureux-Dubé J.’s approach, before considering
whether a case involves state action that may have infringed a Charter
right, it must be asked whether the person claiming the Charter right in
fact holds that right. If the claimant does hold a Charter right, the
inquiry then moves to the question of state action. After reviewing the
decisions in Harrer, Terry and Schreiber, L’Heureux-Dubé
J. identified two fundamental principles relating to the extraterritorial
application of the Charter . First, the action allegedly in breach of
the Charter must have been carried out by one of the state actors
identified in s. 32(1) . Second, even an action by one of those state actors
will fall outside the scope of the Charter if it is performed in
co-operation with foreign officials on foreign soil. The key question to ask
in order to determine whether the investigation is co-operative is whether
Canadian officials have legal authority in the place where the actions
occurred. Where the conduct of state actors falls under the authority of a
foreign government, s. 32 does not apply, since it is confined to matters
“within the authority” of Parliament or a provincial legislature. At paras.
93-94, L’Heureux-Dubé J. wrote the following:
In my opinion, the Charter
does not apply to any investigation where Canadian officials no longer have the
legal attributes of “government”; this occurs whenever an investigation takes
place under the sovereignty of another government.
When
Canadian officials work under the sovereignty of a foreign legal system, the
investigation is necessarily cooperative. Foreign officials who permit
Canadians to work with them, or to work on soil that is under their
government’s legal authority, are bound to follow that country’s laws, and work
within the procedural requirements of that system. So are the Canadian
officials who work with them.
82
The dissent concluded that the Charter did not apply to the
interrogation, and, consequently, that the statement was properly admitted at
trial.
(2) Concerns in Respect of the Jurisprudence
83
The jurisprudence on the issue of extraterritorial application of the Charter
as it stands after Cook is subject to a number of difficulties and
criticisms, both practical and theoretical. The essence of the majority’s
holding in Cook is that the Charter will apply to acts of
Canadian law enforcement authorities engaged in governmental action where the
application of Charter standards will not conflict with the
concurrent territorial jurisdiction of the foreign state. When that holding is
applied to facts such as those in the present case, problems arise. For one,
the majority in Cook failed to distinguish prescriptive from enforcement
jurisdiction. Second, practical and theoretical difficulties arise when its
approach is applied to different facts (such as a search and seizure). Third,
it failed to give due consideration to the wording of s. 32(1) .
84
Beginning with the first of these criticisms, the majority in Cook
disregarded the important distinction between the powers of prescription and
enforcement. It also failed to discuss the principle that Canadian law cannot
be enforced in another state’s territory without the other state’s consent,
regardless of the extent or degree of difference between the laws of Canada and
the foreign state, or of whether there is any conflict at all. Criminal
investigations in foreign countries by definition implicate foreign law and
procedures. The choice of legal system inherently lies within the authority of
each state as an exercise of its territorial sovereignty. Were Charter standards
to be applied in another state’s territory without its consent, there would by
that very fact always be interference with the other state’s
sovereignty. Cook is also inconsistent with this Court’s approval of
the principle of consent in Terry.
85
The Cook approach therefore puts the focus in the wrong place, as
it involves looking for a conflict between concurrent jurisdictional claims,
whereas the question should instead be viewed as one of extraterritorial
enforcement of Canadian law. The issue in these cases is the
applicability of the Charter to the activities of Canadian officers
conducting investigations abroad. The powers of prescription and enforcement
are both necessary to application of the Charter . The Charter is
prescriptive in that it sets out what the state and its agents may and may not
do in exercising the state’s powers. Prescription is not in issue in the case
at bar, but even so, the Charter cannot be applied if compliance with
its legal requirements cannot be enforced. Enforcement of compliance with the Charter
means that when state agents act, they must do so in accordance with the
requirements of the Charter so as to give effect to Canadian law as it
applies to the exercise of the state power at issue. However, as has already
been discussed, Canadian law cannot be enforced in another state’s territory
without that state’s consent. Since extraterritorial enforcement is not
possible, and enforcement is necessary for the Charter to apply,
extraterritorial application of the Charter is impossible.
86
As for the second criticism, the circumstances of the instant case
exemplify the theoretical and practical difficulties arising out of an attempt
to apply Charter standards outside Canada in fact situations other than
the one in Cook. In Turks and Caicos, judicial authorization does not
appear to be necessary for a perimeter search of private premises, such as the
one that took place on the nights of February 7 and 8, 1998. Under Canadian
law, in most circumstances a warrant would be required to conduct such a
search. To comply with the Charter , the RCMP officers would have had to
obtain a warrant that is unavailable under Turks and Caicos law. It would
constitute blatant interference with Turks and Caicos sovereignty to require
that country’s legal system to develop a procedure for issuing a warrant in the
circumstances simply to comply with the dictates of the Charter .
87
The theoretical and practical impediments to extraterritorial
application of the Charter can thus be seen more clearly where the s. 8
guarantee against unreasonable search and seizure is in issue than where the
issue relates, as in the cases discussed above, to the right to counsel.
Searches and seizures, because of their coerciveness and intrusiveness, are by
nature vastly different from police interrogations. The power to invade the
private sphere of persons and property, and seize personal items and
information, is paradigmatic of state sovereignty. These actions can be
authorized only by the territorial state. From a theoretical standpoint, the Charter
cannot be applied, because its application would necessarily entail an exercise
of the enforcement jurisdiction that lies at the heart of territoriality. As a
result of the principles of sovereign equality, non-intervention and comity,
Canadian law and standards cannot apply to searches and seizures conducted in
another state’s territory.
88
It is also evident from a practical standpoint that the Charter
cannot apply to searches and seizures in other countries. How exactly would Charter
standards operate in such circumstances? Lamer C.J. suggested in Schreiber
that it would be sufficient for Charter purposes for those conducting a
search and seizure to comply with the domestic law of the foreign state, since
an individual’s reasonable expectation of privacy would be commensurate to the
degree of protection provided by the law of the country in which she or he is
located. If the only requirement were that the Canadian officers and their
foreign counterparts comply with the foreign law, it is unclear what purpose
would be served by applying the Charter , as it would carry no added
protection in respect of a search and seizure. Moreover, in some cases,
compliance with the foreign law would be directly contrary to the express
wording of the Charter provisions guaranteeing the rights in question.
89
Conversely, it is in practice impossible to apply the full force of the Charter
to searches and seizures in foreign territory. One example of this, as I
mentioned earlier, is where the Charter would require a warrant but the
foreign law provides no procedure for obtaining or issuing such a warrant. The
judicial authorities of a foreign state cannot be required under Canadian law
to invent ad hoc procedures for the purposes of a co-operative
investigation. Should that be a reason for prohibiting a search and seizure
from taking place even though it is authorized by the law of the jurisdiction
where it would occur? Further, it would be unrealistic, in a co-operative
investigation, to require the various officers involved to follow different
procedural and legal requirements. Searches and seizures require careful and
detailed planning; where the investigation is a joint effort, it is bound to be
unsuccessful if the participants are following two different sets of rules.
This would be the result if the Charter applied to the Canadian officers
only, and it clearly cannot apply to the foreign authorities: Harrer and
Terry.
90
It is no more helpful to suggest that some third option other than the
law of the host state or the full application of Charter standards
might govern foreign investigations. Where would the standards to be applied
come from? How would Canadian officials know what is required of them at the
outset of an investigation? The only reasonable approach is to apply the law
of the state in which the activities occur, subject to the Charter ’s
fair trial safeguards and to the limits on comity that may prevent Canadian
officers from participating in activities that, though authorized by the laws
of another state, would cause Canada to be in violation of its international
obligations in respect of human rights.
91
One possible response to the problem of enforcement outside Canada is
that ex post facto scrutiny of the investigation by a Canadian court in
a Canadian trial that might result in the exclusion of evidence gathered in
breach of the Charter would not interfere with the sovereignty of the
foreign state, since this would merely constitute an exercise of
extraterritorial adjudicative jurisdiction. However, while it is true that
foreign sovereignty is not engaged by a criminal process in Canada that
excludes evidence by scrutinizing the manner in which it was obtained for
compliance with the Charter , the purpose of the Charter is not
simply to serve as a basis for an ex post facto review of government
action. The Charter ’s primary role is to limit the exercise of
government and legislative authority in advance, so that breaches are stopped
before they occur. Canadian officers need to know what they are required to do
as the investigation unfolds, so as to ensure that the evidence gathered will
be admitted at trial. When a trial judge is considering a possible breach of
the Charter by state actors, the ability of the state actors to comply
with their Charter obligations must be relevant. The fact that the Charter
could not be complied with during the investigation because the relevant state
action was being carried out in a foreign jurisdiction strongly intimates that
the Charter does not apply in the circumstances. In any event, if the
concern is really about the ex post facto review of investigations, that
function is performed by ss. 7 and 11 (d) of the Charter , pursuant
to which evidence may be excluded to preserve trial fairness. The inquiry
under those provisions relates to the court’s responsibility to control its own
process and is fundamentally different from asking at trial whether the
Canadian officer’s conduct amounted to the violation of a particular Charter
right.
92
The importance of considering the possibility of compliance with the Charter
in advance is highlighted by the legal problems attendant upon the conduct of
an interrogation abroad. Certain provisions setting out Charter rights
require no more than that the accused be advised of something, such as the
reasons for his or her arrest or detention (under s. 10 (a)). Other Charter
rights provisions in the investigation context require more. For example, s.
10 (b) guarantees to everyone the right on arrest or detention to be
informed of the right to retain and instruct counsel without delay;
however, it also includes the right to retain and instruct counsel
without delay. Consequently, while imposing an obligation on Canadian officers
conducting an interrogation abroad to inform the accused of a right would not
significantly interfere with the territorial sovereignty of the foreign state,
interference would occur if the accused were to claim that right. At that
point, Canadian officers would no longer be able to comply with their Charter
obligations independently. As L’Heureux-Dubé J. wrote in Cook, at para.
94: “In an investigation that takes place under foreign sovereignty, it is the
foreign government that has legal authority over the mechanics of the
investigation.” For Charter rights to be effective, it must be possible
to assert them.
93
Finally, the third criticism of the current jurisprudence is that proper
regard has not been given to the wording of s. 32(1) of the Charter . In
setting out the two factors that were central to the conclusion that the Charter
applied, the majority in Cook noted first that “the impugned act falls
within s. 32(1) of the Charter ” (para. 25). In doing so, it made the
error of assuming precisely what had to be decided. The purpose of the inquiry
into the application of the Charter to investigations in other countries
is to determine whether the act in fact falls under s. 32(1) . The words of s. 32(1)
— interpreted with reference to binding principles of customary international
law — must ultimately guide the inquiry. In my view, there is little logic in
an approach that first determines that the activity falls under s. 32(1) and
then questions at a second stage whether the Charter nonetheless ought
not to apply because of some “objectionable extraterritorial effect”. Rather,
the extraterritorial implications of applying the Charter are, in my
view, central to the question whether the activity in question falls under
s. 32(1) in the first place. The inquiry begins and ends with s. 32(1) of
the Charter .
94
Section 32(1) puts the burden of complying with the Charter on
Parliament, the government of Canada, the provincial legislatures and the
provincial governments. While my colleague is correct in stating, at para.
161, that s. 32(1) defines to whom the Charter applies and not where
it applies, s. 32(1) does more than that. It also defines in what
circumstances the Charter applies to those actors. The fact that a
state actor is involved is not in itself sufficient, as Bastarache J.
suggests. The activity in question must also fall within the “matters within
the authority of” Parliament or the legislature of each province. A criminal
investigation in the territory of another state cannot be a matter within the
authority of Parliament or the provincial legislatures, because they have no
jurisdiction to authorize enforcement abroad. Criminal investigations, like
political structures or judicial systems, are intrinsically linked to the
organs of the state, and to its territorial integrity and internal affairs.
Such matters are clearly within the authority of Parliament and the provincial
legislatures when they are in Canadian territory; it is just as clear that they
lie outside the authority of those bodies when they are outside Canadian
territory.
95
My colleague, Binnie J., recognizes that there are practical and
theoretical difficulties with the application of the approach followed in Cook
(para. 183). Nonetheless, in his view that approach should be preserved because
of possible issues that may eventually end up before this Court in respect of
international law and of its relationship with Canadian law. He refers to
matters such as the “war on terror”, the deployment of Canadian police officers
in states with troubled histories and the Maher Arar inquiry. With
respect, I do not think such matters belong to the issue put before our Court
in this appeal, nor form part of the record in this case. We cannot always
know what new issues might arise before the courts in the future, but we can
trust that the law will grow and evolve as necessary and when necessary in
response. But until those new issues are presented in live cases we ought not
to abdicate our duty to rethink and refine today the law when confronted by
jurisprudence that has demonstrated practical and theoretical weaknesses.
(3) The Globalization of Criminal Activities
and the Need for International Co-Operation
96
The principles of international law and comity that I have discussed
demonstrate why Charter standards cannot be applied to an investigation
in another country involving Canadian officers so as to require that the
investigation conform to Canadian law. At the same time, there is no
impediment to extraterritorial adjudicative jurisdiction pursuant to which
evidence gathered abroad may be excluded from a Canadian trial, as this
jurisdiction simply attaches domestic consequences to foreign events. The
question flowing from those two propositions is whether the Charter can
restrain Canadian officers from participating in a foreign investigation that
does not meet Charter standards.
97
When it applies, the Charter imposes limits on the state’s
coercive power. It requires that state power be exercised only in accordance
with certain restrictions. As a corollary, where those restrictions cannot be
observed, the Charter prohibits the state from exercising its coercive
power. Since the Charter does not authorize state action, but simply
operates as a limit on such action, could it not be said that the Charter
“applies” to extraterritorial investigations by prohibiting Canadian officers
from participating in investigations abroad that do not conform to Canadian
law? International law provides only part of the answer to this question. To
prohibit Canadian officers from participating would indeed ensure conformity
with both international law and the Charter ; however, it would also mean
that the investigation could not be conducted. This is a serious concern. The
complete answer therefore lies both in international law and in the need to
address the challenges of investigating and prosecuting transborder criminal
activity.
98
Transnational crime is a growing problem in the modern world, as people,
property and funds move fluidly across national borders. Some of the most
costly, exploitative or dangerous crimes are committed on a worldwide scale,
unconfined by state boundaries. The investigation and policing of such
criminal activities requires co-operation between states. In a co-operative
investigation, Canada cannot simply walk away when another country insists on
following its own investigation and enforcement procedures rather than ours.
That would fall short not only of Canada’s commitment to other states and the
international community to provide assistance in combatting transnational
crime, but also of Canada’s obligation to Canadians to ensure that crimes
having a connection with Canada are investigated and prosecuted. As McLachlin
J. wrote in Harrer, at para. 55:
It is not reasonable to expect [police forces abroad] to comply with
details of Canadian law. To insist on conformity to Canadian law would be to
insist on external application of the Charter in preference to the local
law. It would render prosecution of offences with international aspects difficult
if not impossible. And it would undermine the ethic of reciprocity which
underlies international efforts to control trans-border crime: Argentina v.
Mellino, [1987] 1 S.C.R. 536, at p. 551, per La Forest J. We
live in an era when people, goods and information pass from country to country
with great rapidity. Law enforcement authorities, if they are to do their job,
must apprehend people and intercept goods and communications wherever they may
be found. Often they find themselves working with officers in foreign
jurisdictions; often they are merely the recipients of information gathered
independently elsewhere. . . . We need to accommodate the reality that
different countries apply different rules to evidence gathering, rules which
must be respected in some measure if we are to retain the ability to prosecute
those whose crime and travel take them beyond our borders.
99
When individuals choose to engage in criminal activities that cross
Canada’s territorial limits, they can have no guarantee that they carry Charter
rights with them out of the country. As this Court has noted in the past,
individuals should expect to be governed by the laws of the state in which they
find themselves and in which they conduct financial affairs — it is the
individual’s decision to go to or operate in another country that triggers the
application of the foreign law: Terry, at paras. 24 and 26; Schreiber,
at para. 23. Co-operation between states is imperative if transnational crimes
are not to be committed with impunity because they fall through jurisdictional
cracks along national borders. In United States of America v. Cotroni,
[1989] 1 S.C.R. 1469, in the context of drug trafficking, La Forest J. stated
the following, at p. 1485:
The only respect paid
by the international criminal community to national boundaries is when these
can serve as a means to frustrate the efforts of law enforcement and judicial
authorities. The trafficking in drugs, with which we are here concerned, is an
international enterprise and requires effective tools of international
cooperation for its investigation, prosecution and suppression.
In order to
foster such co-operation, and in the spirit of comity, Canada cannot either
insist that the Charter be applied in other countries or refuse to
participate. When Canadian authorities are guests of another state whose
assistance they seek in a criminal investigation, the rules of that state
govern.
100
It is clear that a balance must be struck “to achieve a just
accommodation between the interests of the individual and those of the state in
providing a fair and workable system of justice”: Harrer, at para. 14.
Individual rights cannot be completely disregarded in the interests of
transborder co-operation. Sections 7 and 11 (d) provide that everyone
tried in Canada enjoys the same rights to a fair trial and not to be deprived
of life, liberty or security of the person except in accordance with the
principles of fundamental justice. Where the Crown seeks at trial to adduce
evidence gathered abroad, the Charter provisions governing trial
processes in Canada ensure that the appropriate balance is struck and that due
consideration is shown for the rights of an accused being investigated abroad.
101
Moreover, there is an argument that comity cannot be invoked to allow
Canadian authorities to participate in activities that violate Canada’s
international obligations. As a general rule, Canadian officers can
participate in investigations abroad, but must do so under the laws of the
foreign state. The permissive rule that allows Canadian officers to
participate even when there is no obligation to do so derives from the
principle of comity; the rule that foreign law governs derives from the
principles of sovereign equality and non-intervention. But the principle of
comity may give way where the participation of Canadian officers in
investigative activities sanctioned by foreign law would place Canada in
violation of its international obligations in respect of human rights. In such
circumstances, the permissive rule might no longer apply and Canadian officers
might be prohibited from participating. I would leave open the possibility
that, in a future case, participation by Canadian officers in activities in
another country that would violate Canada’s international human rights
obligations might justify a remedy under s. 24(1) of the Charter because
of the impact of those activities on Charter rights in Canada.
(4) A Balancing Methodology
102
In light of the foregoing considerations, several issues arise with
respect to the question of the application of the Charter to
investigations. It will be necessary to consider each of them carefully in
order to develop a principled approach to determining whether the Charter applies
and avoid the uncertainties that now plague the question.
103
The court must first turn to s. 32 in order to determine whether the
actors are agents of government and then determine whether the activities fall
within the scope of the legislative authority of Parliament or the provincial
legislatures. It must begin by considering the wording of s. 32(1) of the
Charter , bearing in mind that provision’s two distinct components. As a
threshold question, it must be asked whether there is a state actor in the
sense of a government agent or official possessing statutory authority or
exercising a public function (see P. W. Hogg, Constitutional Law of Canada
(loose-leaf ed.), vol. 2, at pp. 34-13 to 34-15 and 34-16 to 34-18).
Police officers are clearly government actors to whom, prima facie, the Charter
would apply: “By its terms, s. 32(1) dictates that the Charter applies
to the Canadian police by virtue of their identity as part of the Canadian
government” (Cook, at para. 124). However, the inquiry does not end
there. It is clear that s. 32(1) applies to state actors “in respect of all
matters” within the authority of Parliament or the provincial
legislatures. The second part of the s. 32(1) inquiry is essential in such
cases.
104
Although, on the basis of nationality, Canada has some jurisdiction over
Canadian agents acting abroad, that jurisdiction is subject to the caveat that
the matter must be within the authority of Parliament or the provincial
legislatures. Consequently, Canada’s jurisdiction is circumscribed by the
territorial jurisdiction of the state in which its agents are operating. For
example, Canadian consular officials operating abroad have some immunity from
local laws on the basis of nationality jurisdiction, but that does not mean
they have the power to abide by Canadian laws and only Canadian laws when in
the host state. Bastarache J. correctly noted in Cook that a Canadian
police officer is not stripped of his or her status as such on crossing the
border into the U.S., but the officer’s authority to exercise state powers is
necessarily curtailed. Canada does not have authority over all matters
respecting what the officer may or may not do in the foreign state. Where
Canada’s authority is limited, so too is the application of the Charter .
105
Neither Parliament nor the provincial legislatures have the power to
authorize the enforcement of Canada’s laws over matters in the exclusive
territorial jurisdiction of another state. Canada can no more dictate what
procedures are followed in a criminal investigation abroad than it can impose a
taxation scheme in another state’s territory. Criminal investigations
implicate enforcement jurisdiction, which, pursuant to the principles of
international law discussed above, cannot be exercised in another country
absent the consent of the foreign state or the application of another rule of
international law under which it can so be exercised. While concurrent
jurisdiction over prosecutions of crimes linked with more than one country is
recognized under international law, the same is not true of investigations,
which are governed by and carried out pursuant to territorial jurisdiction as a
matter inherent in state sovereignty. Any attempt to dictate how those
activities are to be performed in a foreign state’s territory without that
state’s consent would infringe the principle of non-intervention. And, as
mentioned above, without enforcement, the Charter cannot apply.
106
In some cases, the evidence may establish that the foreign state
consented to the exercise of Canadian enforcement jurisdiction within its
territory. The Charter can apply to the activities of Canadian officers
in foreign investigations where the host state consents. In such a case, the
investigation would be a matter within the authority of Parliament and would
fall within the scope of s. 32(1) . Consent clearly is neither demonstrated nor
argued on the facts of the instant appeal, so it is unnecessary to consider
when and how it might be established. Suffice it to say that cases in which
consent to the application of Canadian law in a foreign investigation is
demonstrated may be rare.
107
If the court is not satisfied that the foreign state consented to the
enforcement of Canadian law in its territory, it must turn to the final stage
of the inquiry and consider how to ensure the fairness of a trial held in
Canada. What is in issue at this stage is no longer whether the actions of
state agents outside Canada were consistent with the Charter , but
whether they affect the fairness of a trial inside Canada.
108
Any individual tried in Canada for an offence under Canadian law has,
pursuant to s. 11 (d) and to centuries of common law, the right to a fair
trial. In addition, everyone has the right to liberty and the right not to be
deprived thereof except in accordance with the principles of fundamental
justice (s. 7 ). This Court has in fact held that the right to a fair trial is
a principle of fundamental justice: R. v. Seaboyer, [1991] 2 S.C.R. 577,
at p. 603. If evidence is gathered in a way that fails to meet certain minimum
standards, its admission at trial in Canada may — regardless of where it was
gathered — amount to a violation of either or both of those sections of the Charter .
Judges have the discretion to exclude evidence that would result in an unfair
trial. That discretion, long established at common law, has attained
constitutional status by being entrenched in s. 11 (d) of the Charter .
However, it does not automatically follow that a trial will be unfair or that
the principles of fundamental justice will be infringed if evidence obtained in
circumstances that do not meet Charter standards is admitted: Harrer,
at para. 14.
109
The circumstances in which the evidence was gathered must be considered
in their entirety to determine whether admission of the evidence would render a
Canadian trial unfair. The way in which the evidence was obtained may make it
unreliable, as would be true of conscriptive evidence, for example. The
evidence may have been gathered through means, such as torture, that are
contrary to fundamental Charter values. Such abusive conduct would
taint the fairness of any trial in which the evidence was admitted: Harrer,
at para. 46. La Forest J. offered the following additional guidance in Harrer,
at paras. 16-18:
The fact that the evidence
was obtained in another country in accordance with the law of that country may
be a factor in assessing fairness. Its legality at the place in question will
necessarily affect all participants, including the police and the individual
accused. More specifically, conformity with the law of a country with a legal
system similar to our own has even more weight, for we know that a number of
different balances between conflicting principles can be fair . . . .
But
the foreign law is not governing in trials in this country. For example, it may
happen that the evidence was obtained in a manner that conformed with the law
of the country where it was obtained, but which a court in this country would
find in the circumstances of the case would result in unfairness if admitted at
trial. On the other hand, the procedural requirements for obtaining evidence
imposed in one country may be more onerous than ours. Or they may simply have
rules that are different from ours but are not unfair. Or again we may not find
in the particular circumstances that the manner in which the evidence was
obtained was sufficiently objectionable as to require its rejection. In coming
to a decision, the court is bound to consider the whole context.
At
the end of the day, a court is left with a principled but fact‑driven
decision.
110
La Forest J. and McLachlin J. both found that admission of the evidence
would not render the trial unfair in the circumstances of that case. McLachlin
J. noted in particular that the relevant circumstances included the
expectations of the accused in the place where the evidence was taken, and that
the police conduct was neither unfair nor abusive. She made the following
comment, at para. 49: “The unfairness arises in large part from the accused’s
expectation that the police in Canada will comply with Canadian law. Where the
[evidence] is [gathered] abroad, the expectation is otherwise.”
111
Individuals can reasonably expect that certain basic standards will be
adhered to in all free and democratic societies; where those standards are
deviated from in gathering evidence, a Canadian trial that relies on that
evidence may be unfair. In such instances, “[i]t may be that . . .
notwithstanding the suspect’s submission to the law of the foreign
jurisdiction, to admit the evidence would be so grossly unfair as to repudiate
the values underlying our trial system and condone procedures which are
anathema to the Canadian conscience” (Harrer, at para. 51). Whether the
evidence was obtained in compliance with or in violation of the law of the
foreign state may also be relevant. However, where commonly accepted laws are
complied with, no unfairness results from variances in particular procedural
requirements or from the fact that another country chooses to do things in a
somewhat different way than Canada. Further, the failure to comply with a
particular rule in a given case does not necessarily amount to an injustice.
As La Forest J. noted in Harrer, at para. 15, “we must be mindful
that a constitutional rule may be adopted to ensure that our system of
obtaining evidence is so devised as to ensure that a guaranteed right is
respected as a matter of course”. The rule is directed not at the individual
case alone, but rather at systemic fairness — a concern that does not arise in
foreign investigations under foreign systems. Instead, the concern is to
preserve the fundamental values of the Canadian trial process.
112
Despite the fact that the right to a fair trial is available only at the
domestic level, after the investigation, it does provide an incentive for
Canadian police officers to encourage foreign police to maintain high standards
in the course of a co-operative investigation so as to avoid having the
evidence excluded or a stay entered: Terry, at para. 26. In a
similar vein, L’Heureux-Dubé J. commented in Cook, at para. 103, that to
the extent that it is possible to do so in the circumstances, Canadian police
should strive to conduct investigations outside Canada in accordance with the
letter and spirit of the Charter , even when its guarantees do not apply
directly.
G. Summary of the Approach
113
The methodology for determining whether the Charter applies to a
foreign investigation can be summarized as follows. The first stage is to
determine whether the activity in question falls under s. 32(1) such that the Charter
applies to it. At this stage, two questions reflecting the two components of
s. 32(1) must be asked. First, is the conduct at issue that of a Canadian
state actor? Second, if the answer is yes, it may be necessary, depending on
the facts of the case, to determine whether there is an exception to the
principle of sovereignty that would justify the application of the Charter
to the extraterritorial activities of the state actor. In most cases, there
will be no such exception and the Charter will not apply. The inquiry
would then move to the second stage, at which the court must determine whether
evidence obtained through the foreign investigation ought to be excluded at
trial because its admission would render the trial unfair.
H. Application to the Facts
114
I will now apply the foregoing methodology to the facts of the instant
case.
115
At the first stage, there is no question in the case at bar that the
RCMP officers involved in the searches and seizures are state actors for the
purposes of s. 32(1) . However, since the search was carried out in Turks and
Caicos, it is not a matter within the authority of Parliament. Without evidence
of consent, that is enough to conclude that the Charter does not apply.
It is not reasonable to suggest that Turks and Caicos consented to Canadian
extraterritorial enforcement jurisdiction in the instant case. Nonetheless, I
will say a few words on the factual circumstances of the investigation.
116
The trial judge made several significant findings of fact, and the
appellant has not attempted to argue that they were based on a palpable and
overriding error. Those findings are that:
· Detective Superintendent Lessemun “agreed
to allow the RCMP to continue its investigation on the Islands, but was adamant
he was going to be in charge, and that the RCMP would be working under his
authority” (para. 4);
· “the RCMP officers were, and understood
that they were, operating under the authority of Detective Superintendent
Lessemun” (para. 25);
· the RCMP officers “were subject to Turks
& Caicos authority” (para. 25);
· “the Canadian police, in this case, were
operating under and subject to the authority of Detective Superintendent
Lessemun” (para. 29); and
· “the propriety and legality of the entries
into the private premises in the Turks & Caicos Islands . . . are subject
to Turks & Caicos criminal law and procedures and the superintending
scrutiny of the Turks & Caicos courts” (para. 29).
As those
findings demonstrate, Turks and Caicos clearly and consistently asserted its
territorial jurisdiction in the conduct of the investigation within its
borders. It controlled the investigation at all times, repeatedly making it
known to the RCMP officers that, at each step, the activities were being
carried out pursuant to Turks and Caicos authority alone. As found by the
trial judge, the RCMP officers were well aware that, when operating in Turks
and Caicos, they were working under the authority and direction of Detective
Superintendent Lessemun. Although much of the planning took place in Canada,
and Canada contributed much of the human and technological resources, Turks and
Caicos law and procedure applied to all the searches: it applied to the
perimeter searches in February 1998, to the covert entries in March 1998, and
to the overt entries in February 1999. In his trial testimony, Officer
Boyle explained this as follows:
I – I don’t think there would have been any way, and certainly we would
– I wasn’t of the – I wasn’t of the opinion that we would make [Detective
Superintendent Lessemun] answerable to us in any way. We were – we were at his
– it was at his discretion as to what we were allowed to do on that island. We
were asking for his assistance as a Turks and Caicos police officer.
.
. .
. . . I had no authority. None of our officers, myself or the RCMP
officers, had any authority to conduct any investigations or searches on the
island.
Finally,
warrants were sought in Turks and Caicos courts, and that country’s authorities
prevented the seized documents from being removed to Canada.
117
The appellant took issue in this appeal with the trial judge’s finding
that the RCMP and Turks and Caicos officers were engaged in a “co-operative
investigation”. There is no magic in the words “co-operative investigation”,
because the issue relates not to who participated in the investigation but to
the fact that it occurred on foreign soil and that consent was not given for
the exercise of extraterritorial jurisdiction by Canada. When investigations
are carried out within another country’s borders, that country’s law will
apply. A co-operative effort involving police from different countries “does
not make the law of one country applicable in the other country”: Terry,
at para. 18.
118
In short, although Canadian state actors were involved, the searches and
seizures took place in Turks and Caicos and so were not matters within the
authority of Parliament. The Charter does not apply.
119
The final recourse available to the appellant would be to demonstrate
that the trial judge erred in admitting the evidence because doing so rendered
the trial unfair. The trial judge determined that to admit the evidence would
not result in an unfair trial and that it need not therefore be excluded, and
the appellant did not argue trial fairness in this appeal. Nonetheless, I will
consider this issue briefly.
120
There was some discussion at trial about the existence of warrants
authorizing the March 14, 1998 entries. No warrants were admitted into
evidence, and I must proceed on the basis that the searches were warrantless.
However, considering all the circumstances, I cannot conclude that the
admission of the documents obtained through the searches rendered the trial
unfair. The evidence at issue consists of documents obtained from the BWIT’s
office. As Juriansz J. found in his ruling on the application to exclude, it
is not conscriptive evidence. The actions of the RCMP officers were not
unreasonable or unfair, as they were acting under Detective Superintendent
Lessemun’s direction and had a genuine and reasonable belief that they were
complying with Turks and Caicos law. They thought that search warrants had
been obtained and that the investigation was lawful under Turks and Caicos
law. The RCMP officers acted in good faith at all times. Their actions were
not improper. The way in which the evidence was obtained in no way undermines
its reliability. Moreover, since he had chosen to conduct business in Turks
and Caicos, the appellant’s reasonable expectation should have been that Turks and
Caicos law would apply to the investigation. Although no warrants were
admitted at trial, I can find no evidence that the searches and seizures were
conducted in a manner inconsistent with the requirements of Turks and Caicos
law. Little evidence was presented on Turks and Caicos law. Foreign law must
be proved. I see no basis for concluding that the procedural requirements for
a lawful search and seizure under Turks and Caicos law fail to meet basic
standards commonly accepted by free and democratic societies.
121
I do not think the circumstances demonstrate that this is a case where
admission of the evidence would violate the appellant’s right to a fair trial.
III. Disposition
122
For the foregoing reasons, I would dismiss the appeal and affirm the
convictions.
The reasons of Bastarache, Abella and Rothstein were delivered by
123
Bastarache J. — This
appeal is concerned with only one situation, investigatory actions undertaken
by Canadian law enforcement officials in the Turks and Caicos Islands. It is
argued that this Court’s decision in R. v. Cook, [1998] 2 S.C.R. 597,
left unclear whether the Canadian Charter of Rights and Freedoms will
apply in such a case and that some clarification of the issue is required.
124
I have read the reasons of LeBel J. and believe we agree on many
points. We agree that Canadian officers must respect fundamental human rights
when investigating abroad. We also see the need for Canadian officers to
participate effectively in the fight against transnational crime and recognize
that this will often require Canadian officials to follow foreign laws and procedures.
We both recognize that, on one hand, comity demands respect for a foreign
state’s choice of criminal procedure, while on the other hand, there is the
possibility that some foreign procedures may violate fundamental human rights.
In essence, we both see the need to strike a balance between effective
participation by Canadian officers in fighting transnational crime and the
protection of fundamental human rights.
125
Where we disagree is on the Charter ’s role in this process. My
colleague sees international law as the proper vehicle for achieving this
balance. I prefer to continue to rely on the Charter , as this Court
attempted to do in Cook, though I recognize there are problems with the
position of the majority in that case that must be dealt with. Constitutions
operate to define the sphere of legitimate governmental action; the Charter
imposes restraints on all conduct of Canadian government officials with respect
to fundamental human rights. It is a flexible document, amenable to contextual
interpretation and permitting reasonable justifications of limitations to
fundamental rights. I am of the view that it can apply to Canadian officers
operating in another country without jeopardizing the need for comity.
126
I would resolve this case by ruling that the Charter did apply to
the search and seizures conducted by the RCMP in the Turks and Caicos Islands.
I would however dismiss the appeal by finding that Hape has not established a
breach of s. 8 of the Charter .
I. Background
127
I generally agree with the summary of facts and judicial history of the
case as set out by my colleague. However, I find it useful for the analysis
that is to follow to set out the trial judge’s ruling on the Charter and
s. 8 in greater detail.
128
The trial judge resolved Hape’s Charter motion by reference to Cook.
He first noted that the majority found the Charter did apply to the
actions of Canadian law enforcement in foreign territory and then cited an
excerpt from my concurring reasons as imposing a qualification based on the
extent of control an officer exercises over the investigation ([2002] O.J. No.
3714 (QL)).
129
He then stated that both the majority and concurring reasons require
more than just s. 32 compliance, citing the majority's statement that the Charter
will not apply where it “interfere[s] with the sovereign authority of the
foreign state and thereby generate[s] an objectionable extra‑territorial
effect” (para. 20).
130
The trial judge went on to discuss alternative language used by the
majority to express this requirement, specifically that “Charter standards
could ‘not conflict with the concurrent territorial jurisdiction of the foreign
state’” (para. 21). He then quoted all of para. 54 of Cook where he
found that the majority again stressed this limitation.
131
The trial judge then pointed out the majority's emphasis on the words
“co‑operative investigation” in para. 54, quoting Justice McLachlin’s (as
she then was) observation in R. v. Terry, [1996] 2 S.C.R. 207, that “any
co‑operative investigation involving law enforcement agencies of Canada
and the United States will be governed by the laws of the jurisdiction in which
the activity is undertaken”.
132
Following this, the trial judge rejected the defence’s argument that a
“co‑operative investigation” is one where the participants make
relatively equal contributions. He found that the term did not connote the
extent of participation of the parties except that they “wor[k] together to the
same end” (para. 24).
133
He then proceeded to find that the RCMP officers in question were
involved in a “co‑operative investigation”:
In any event, Detective Superintendent Lessemun was
with the Canadian police at all times and did play a role in what they did by
acting as a look‑out, by providing information, and, the Canadian police
believed, by obtaining warrants. While the Canadians may have made a larger
contribution of officers, expertise and equipment, the Turks & Caicos
contributed police authority in the jurisdiction. The RCMP sought and was
granted permission from the Turks & Caicos authorities to conduct
investigation on the Island. I accept Officer Boyle’s testimony that the RCMP
officers were, and understood that they were, operating under the authority of
Detective Superintendent Lessemun. The fact that the RCMP could not remove the
seized records from the Island, as they had planned, makes apparent that they
were subject to Turks & Caicos authority.
I find that all the actions of the RCMP on the
Turks and Caicos Islands were part of a “co-operative investigation.” [paras.
25-26]
134
Following this conclusion, the trial judge determined that it was for
him to determine whether the application of the Charter to this “co‑operative
investigation” would result in an objectionable extraterritorial effect. He
concluded that it would:
Cory J. and Iacobucci J., in the majority judgment
in Cook, indicated, at paragraphs 15 and 54, that there is an objectionable
extra‑territorial effect when Canadian criminal law standards are imposed
on foreign officials and procedures. In Cook, the words which the Canadian
police spoke to the accused were at their complete discretion. The
conversation between the Canadian police and Cook, while it took place in a
U.S. jail, was not subject to American law and procedure. In that
conversation, the Canadian police could have instructed the accused about his
right to counsel in accordance with Canadian standards without implicating
American criminal law or procedures.
This is a different case, because the Canadian
police, in this case, were operating under and subject to the authority of
Detective Superintendent Lessemun. Moreover, the propriety and legality of the
entries into the private premises in the Turks & Caicos Islands, whether
pursuant to warrants or not, are subject to Turks & Caicos criminal law and
procedures and the superintending scrutiny of the Turks & Caicos courts.
[paras. 28-29]
On this basis,
the trial judge held that the Charter did not apply.
135
The Court of Appeal essentially endorsed the trial judge’s ruling on s.
8 , finding that he considered the binding authorities (Terry and Cook)
and correctly concluded on the basis of these authorities that the Charter
did not apply ((2005), 201 O.A.C. 126).
II. Submissions of the Parties
136
The appellant’s argument is that the conduct of the Canadian police
falls within the factual confines of Cook. He further argues that the
courts below erred in not applying the Charter on the basis that the
RCMP officer’s actions were part of a “co‑operative investigation”. He
submits that the passage in Terry that employs this term only emphasizes
that the Charter will not apply to foreign authorities, not that the Charter
cannot apply to Canadian authorities. The appellant asks that the conviction
be quashed as a result of a violation of s. 8 (though I note that he submits no
argument on the alleged s. 8 breach or s. 24(2) ).
137
The respondent takes the position that the trial judge correctly applied
a “co-operation” test to determine the application of the Charter , and
that the appellant is really only challenging his factual finding that the RCMP
officers were co-operating with and under the control of Turks and Caicos
officials. It argues that the decision of the trial judge is entitled to
deference absent a palpable and overriding error and notes that no such error
has been demonstrated. The respondent further argues that applying the Charter
in this case would result in imposing the Charter to the laws and
procedures of a foreign country, which Cook determined would constitute
an interference with the sovereign authority of that country.
138
The intervener, Attorney General of Ontario, argues that co-operation per
se precludes the application of the Charter in this case and
supports the rulings of the courts below. The intervener does, however, make
an alternative argument assuming Charter application. It argues that
before determining whether Charter compliance will constitute an
“objectionable extraterritorial effect”, it is first necessary to determine the
nature and scope of the s. 8 Charter right in the location and
jurisdiction searched. Essentially, the intervener cautions this Court against
endorsing an approach that would permit wholesale application of s. 8 to the
activities of Canadian officials investigating abroad. It argues that
protection consistent with the law of the foreign country is merited here and
that this can be realized by adopting the approach of Lamer C.J. in Schreiber
v. Canada (Attorney General), [1998] 1 S.C.R. 841, or by relying on
comments made by this Court in previous judgments that provide that the scope
of s. 8 is determined by a contextual approach. The intervener also emphasizes
that a wholesale approach to applying s. 8 abroad would hamper international
co-operation in fighting transnational crime.
III. Analysis
139
It is clear from this Court’s jurisprudence (notably Cook, but
also comments made by La Forest J. in R. v. Harrer, [1995] 3 S.C.R. 562,
at paras. 11 and 12, and by Lamer C.J. in Schreiber, at para. 16)
that the Charter ’s reach does not end at the “water’s edge”. It
is less clear, however, when and how the Charter applies abroad.
A. Solution(s) Presented by the Majority
Judgment in Cook
140
At para. 25 of Cook, the majority set out two factors it
identified as critical to its conclusion that the Charter applied to the
activities of the Canadian police in that case on the basis of nationality: (1)
the impugned act falls within s. 32(1) of the Charter ; and (2) the
application of the Charter does not interfere with the sovereign
authority of the foreign state and thereby generate an objectionable
extraterritorial effect. These two factors have since been seen by many as the
test for the application of the Charter abroad.
141
Applying this test to the facts in Cook, the majority held that
s. 10 (b) of the Charter applied to the conduct of two Vancouver
police officers in the United States. As to the first stage, the Court found
that the officers involved were Canadians and thus the impugned act (failure to
provide a proper counsel warning) fell within the scope of s. 32(1) . I would
similarly find that the first branch of the test in Cook applies to the
RCMP officers’ actions in this case.
142
What remains unclear about the majority’s decision in Cook is
when the second branch of its test has been met. In my view, the majority
decision in Cook does not provide a definitive answer. Rather, several
possible approaches to the question, “When is there an interference with the
sovereign authority of foreign state?” appear possible on the basis of Cook.
I review each of these below.
(1) “Co-Operation”
143
The reference to Justice McLachlin’s comments in Terry and the
emphasis placed on “co‑operation” at para. 54 of Cook suggest that
co‑operation is tantamount to interference with foreign jurisdiction if
it involves the application of Canadian laws or procedures and that the
determinative test for Charter application is therefore whether there is
“co-operation” between Canadian and foreign officials or not. This also
suggests that there was no co‑operation in Cook. However, in my
view, there clearly had to have been “co‑operation”, at least in the form
of consent, between the U.S. and the Canadian law enforcement officers in order
for the interrogation to take place. (See R. A. Harvie and H. Foster, “Let the
Yanks Do It? The Charter , The Criminal Law and Evidence on a ‘Silver
Platter’” (2001), 59 Advocate 71, at pp. 75-76.)
144
The majority in Cook suggests, at para. 54, by citing the
comments of McLachlin J. in Terry, that once there is any co‑operation,
the door to the application of the Charter closes entirely. In the
present appeal, the trial judge did not dispose of the Charter issue by
simply finding that there was co‑operation between the RCMP and Turks and
Caicos police. He went on to find that applying the Charter to this
particular “co‑operative investigation” would result in imposing Canadian
standards on foreign authorities, and therefore constitute an interference with
foreign jurisdiction. This Court must now decide whether Cook actually
created a test based on “co‑operation” to determine Charter
application.
145
In my opinion, using “co‑operative investigation” language to
determine whether there is an objectionable extraterritorial effect of Canadian
law is not helpful. The first problem with this approach relates to the fact
that co‑operation with foreign officials in the context of Canadian
investigations abroad will be inevitable in most, if not all cases. All
Canadian officers investigating in a foreign territory, in order to fulfill
their mandate, will have to co-operate with foreign officials and comply with
foreign law. This principle of international law is stated in I. Brownlie, Principles
of Public International Law (6th ed. 2003), at p. 306:
The governing principle is that a state cannot take measures on the
territory of another state by way of enforcement of national laws without the
consent of the latter. Persons may not be arrested, a summons may not be
served, police or tax investigations may not be mounted, orders for production
of documents may not be executed, on the territory of another state, except
under the terms of a treaty or other consent given.
It is repeated
in S. Coughlan et al., “Global Reach, Local Grasp: Constructing
Extraterritorial Jurisdiction in the Age of Globalization” (2007), 6 C.J.L.T.
29, at p. 32: “[S]tate officials such as police cannot exercise their executive
powers on the territory of another state without that state’s permission”.
146
As well, in a paper on the extraterritorial application of the Fourth
Amendment outside the United States, E. Bentley, writes:
[S]earches and seizures in foreign states are of necessity a
cooperative endeavor, with United States agents routinely cast in the
supporting role. In the “typical case,” of which Verdugo provides an
example, “the foreign officials are the ones who decide the scope and
reasonableness of any proposed search,” and United States agents “must comply
with the demands of their hosts.” The reasons for this are both legal and
practical.
It is a settled principle of international law that
law enforcement operations are exclusively entrusted to each state within its
own jurisdiction, and that when one state sends police to another state to
conduct a search, it may conduct the search only with the permission, and
conforming to the laws, of the host state. . . .
It is not only international law, but practical
realities as well, that prevent the United States from conducting unilateral
law enforcement operations in foreign states. United States law enforcement
agents operating in a foreign state must try to accomplish their objectives
while stripped of most of the powers of search and arrest that they wield in
the United States. To accomplish anything, they generally must engage the
cooperation of local authorities at one level or another. In attempting to do
so, they face additional hurdles, in the form of alien legal and political systems,
divergent law enforcement cultures, and diplomatic frictions.
As a result, United States extraterritorial law
enforcement now takes place within an elaborate framework of international
cooperation, at all levels of formality.
(“Toward an International Fourth Amendment: Rethinking Searches and
Seizures Abroad After Verdugo-Urquidez” (1994), 27 Vand. J.
Transnat’l L. 329, at pp. 365-66 and 368)
147
Adopting a “co‑operation” approach as the limit to Charter
application will result in very few situations where the Charter can
apply. This can be seen in the American experience. Bentley describes, at pp.
400‑402, how the U.S. “joint venture standard” used to determine
constitutional protection abroad (which operates somewhat like a co‑operation
test in that it seeks to identify sufficient participation of U.S. officials in
foreign investigation to activate Fourth Amendment protection) has failed to be
applied in a coherent fashion by U.S. courts and has resulted in little
constitutional protection:
To date, as noted above, courts have found United
States participation in foreign searches sufficient to trigger the Fourth
Amendment in only a handful of cases. Among the activities which have been
held not to rise to the requisite level of participation are: requesting, but
not participating in, a foreign search, or otherwise “triggering the interest”
of foreign authorities who subsequently conduct a search and pass the evidence
on to United States authorities; passing on tips which prompt foreign police to
initiate an investigation; passing on information requested by foreign
governments; joining foreign police in a foreign‑initiated search;
participating in foreign wiretaps, as long as United States agents do not
“initiate, supervise, control or direct” them; using information from an
illegal foreign wiretap to support a United States search warrant; and even, in
a few cases, triggering and then participating in a foreign search.
If these decisions embody a coherent standard on
joint participation, it is difficult to perceive. While most courts have
followed the test set out in Stonehill v. United States — that “Federal
agents so substantially participated in the raids so as to convert them into
joint ventures” — or language essentially to that effect; they have failed to
articulate what this test entails in any coherent fashion, instead applying the
test in an ad hoc, apparently result‑oriented manner to the facts of the
case at hand. . . . Whatever factors courts have focused on, the result has been
the same: courts have found insufficient United States participation in all but
the most indisputable circumstances. If one had to judge by the few cases in
which joint participation has been found, one would have to conclude that the
Fourth Amendment does not apply abroad unless United States officials both
initiate the search and then continue to participate actively as it unfolds.
This near‑elimination of Fourth Amendment
liability cannot have been intended by the Supreme Court when it formulated the
doctrine on which the joint venture standard was based. [Emphasis deleted.]
148
A second problem with the “co‑operation” approach, at least in my view,
is the fact that co‑operation as such which occurs between Canadian
officials and foreign authorities tells us nothing about whether impermissible
extraterritorial effects will occur. An objectionable territorial effect does
not necessarily result from the mere fact of co‑operation. On this
basis, I think Justice McLachlin’s comments in Terry are better
characterized as a recognition of a state of affairs rather than a prescription
of when there will be objectionable extraterritorial effects.
(2) The “Factors” Approach to Determining When
There Is Interference With the Sovereign Authority of a Foreign State
149
At para. 50, the majority in Cook enumerates a number of factual
elements that demonstrate why there is no interference with U.S. territorial
jurisdiction on the facts in that case. These are: (1) the arrest and
interrogation were initiated by a Canadian extradition request; (2) the offence
was committed exclusively in Canada and was to be prosecuted in Canada; (3) the
U.S. authorities did not become involved in the investigation; and (4) the
interrogation was conducted solely by Canadian police officers. Harvie and
Foster, at pp. 75-76, suggest that this is in fact the test
advanced by the majority and criticize it as “a difficult and complex
analysis”, not straightforward enough, and difficult for lower courts to apply.
150
I have difficulty seeing how these factors establish a “test”. Rather,
this approach is based on a determination that seems as vague as “We will know
what an interference is when we see one”. Nevertheless, this is the type of
“test” the appellant seems to suggest Cook stands for by arguing that
his situation falls within the factual confines of Cook. There is
clearly a need to define a more principled articulation of the rule governing
the application of the Charter abroad.
(3) Who Initiates the Investigation as
Determinative of When There Is Interference With the Sovereign Authority of a
Foreign State
151
It has been suggested that the principle that can be distilled from the
factors raised by the majority in Cook is that the Charter will
apply when the Canadian investigation abroad occurs absent an independent
foreign investigation (see Harvie and Foster, at p. 76). R. J. Currie, in “Charter
Without Borders? The Supreme Court of Canada, Transnational Crime and
Constitutional Rights and Freedoms” (2004), 27 Dal. L.J. 235, at p. 242,
states that the majority of the Court in Cook permitted Charter
application to the interrogation in that case because “even though it occurred
on U.S. territory, [it] did not interfere with American sovereignty since it
was directed at the activities of Canadian officers acting within the context
of a Canadian investigation, aimed at the ultimate result of a criminal trial
in Canada”. Coughlan et al., at p. 57, footnote 58, identifies the basis for
applying the Charter in Cook as follows: “The application of the Charter
in this kind of case appears to turn on whether the Canadian police are
conducting their own investigative activities with the consent of the foreign
authorities to do so, or whether they are engaged in policing activities under
the direction of the foreign police authority.”
152
The statement in Cook, at para. 54, that “It may well be a
different case where, for example, Canadian authorities participate, on foreign
territory, in an investigative action undertaken by foreign authorities
in accordance with foreign procedures” supports this view (emphasis added).
“Undertaken” can be seen to refer to an investigation initiated by
foreign authorities. Therefore, as long as the investigation is initiated by
Canadians and the evidence is sought to be used in Canada, compliance with the
test in Cook will be achieved. The facts of this case do tend to
support the view that this was indeed an investigation initiated by Canadians
and that the role played by Turks and Caicos authorities was merely one of
facilitating the RCMP’s investigation.
153
I see no principled basis why the Charter would not apply to
Canadian officials who are actively involved in an investigation just because
they did not initiate the investigation.
(4) Foreign “Control” Over the Investigation
as the Limit on the Extraterritorial Application of the Charter
154
The approach I suggested in my concurring reasons in Cook offered
a solution to the indeterminacy presented by the majority’s “factors” or
“co-operation” approaches. It would appear that the trial judge in this case
interpreted my reasons to call for such a “control” test and found this test to
be easily reconcilable with the majority reasons in Cook. This view of
the “control” test has been summarized as follows: “On the one hand, no Charter
breach occurs if the evidence is obtained by the host officers or under their
supervision. On the other hand, the Charter does apply if the Canadian
authorities are primarily responsible for obtaining the evidence” (Harvie and
Foster, at p. 74). A “control” test would thus be seen as a precision on the
“co-operation” test discussed above, but this overlooks the fact that in most
foreign investigations foreign officers will be in “control” since Canadian
officials must operate in the foreign territory under their consent and
guidance, usually relying on their procedures.
(5) Imposing Canadian Standards as
Determinative of When There Is an Interference With the Sovereign Authority of
a Foreign State
155
The majority reasons in Cook also suggest that the Charter will
not apply where Canadian criminal law standards are imposed on foreign
officials or where they would supplant foreign procedures (para. 54). I
believe that this is what the trial judge in the case at bar concluded in his
analysis. Above any other determination, in my view, his analysis emphasized
the fact that the RCMP officers were subject to Turks and Caicos authority.
This can be seen at para. 30, where, analysing the s. 8 arguments of the
defence, he notes a tacit recognition by the defence of “the inescapable
conclusion that foreign criminal law and procedures are engaged”.
156
Adopting this approach will no doubt help resolve the issue where
Canadian officers act independently; they will have to satisfy their normal Charter
obligations. The test rests on two assumptions: (1) that whenever the Charter
does apply, Canadian standards are applied wholesale; and (2) that some
investigations occurring in a foreign state will be regulated by Canadian law.
When the Canadian officers can meet their Charter obligation independently
(and not by consent, as argued by LeBel J.), as was the case in Cook,
there will be no interference. But when the assistance or authorization of
foreign authorities is required, fulfilling Canadian standards for some Charter
rights will always result in an interference if they are, as said earlier,
applied wholesale, as if the investigation was being held in Canada.
For example, meeting Canadian s. 8 standards abroad will then mean imposing
warrant requirements and standards on Turks and Caicos and requiring a certain
conduct of Turks and Caicos officials. This generates objectionable
extraterritorial effects.
157
But this approach produces inconsistent application of the Charter ’s
protection of legal rights because some rights, such as s. 10 (b), could
apply, as in Cook, but s. 8 and maybe s. 9 never will. This sort of
“patchwork” approach to the Charter seems quite unprincipled. I
recognize that the majority in Cook having said that the Charter
would only apply in “rare circumstances” (see para. 25) supports the opposite
inference; but I prefer the contrary view of Lamer C.J. in Schreiber,
at para. 16, that “[Canadian] officials are clearly subject to Canadian law,
including the Charter , within Canada, and in most cases, outside it”
(cited in Cook, at para. 46).
B. An Alternative to the Majority Approach
in Cook
158
It thus appears that the various approaches to determining when there is
an interference with the sovereign authority of a foreign state presented by
this Court’s decision in Cook are problematic. One solution is to
revert to the dissenting position of L’Heureux-Dubé J. in Cook and cut
off the Charter ’s reach at the “water’s edge” on the basis that comity
requires it. But there is an alternative to this displacement of the Charter .
159
Section 32(1) provides as follows:
32. (1) This Charter applies
(a) to the Parliament and government of Canada in respect
of all matters within the authority of Parliament including all matters
relating to the Yukon Territory and Northwest Territories; and
(b) to the legislature and government of each province in
respect of all matters within the authority of the legislature of each
province.
These terms do
not extend the application of the Charter to the actions of foreign
officials. But they do not imply that the Charter cannot apply to
Canadian police officials acting abroad. There can be no suggestion,
therefore, that the Charter creates any legal consequences whatsoever
for a foreign agent or for the application of foreign law.
160
I would disagree with LeBel J. that if one cannot enforce Canadian law
outside Canada the matter falls outside the authority of Parliament and the
provincial legislatures under s. 32(1) (para. 69). I think s. 32(1)
includes all actions of Canadian police officers precisely because s. 32 does
not distinguish between actions taken on Canadian soil and actions taken
abroad. It would also be unprincipled, in my view, to draw a distinction the
moment a Canadian police officer’s foot touches foreign soil. As I noted in Cook,
at para. 120: “the status of a police officer as an officer of the state is not
altered by crossing a jurisdictional border, even if he or she is deprived of
all the coercive powers conferred by the home state. . . . From the perspective
of the home legal system, . . . police officers are still representatives of
their home government.” The fact that Canadian law is not enforced in a
foreign country does not mean that it cannot apply to a Canadian government
official. I would note in particular that some Canadian laws apply on the
basis of nationality wherever the crime is committed: see s. 7(4.1) of the Criminal
Code, R.S.C. 1985, c. C-46 , on sex crimes committed outside Canada and ss.
7(3.7) to 7(3.75) on crimes against humanity.
161
I do not think a restrictive interpretation of the words “matters that
are within the authority of Parliament or the provincial legislatures”, adopted
at para. 69 of my colleague’s reasons, is warranted in discussing the
obligations of Canadian police officers operating in another country. I am
uncomfortable with such a “reading down” of s. 32(1) of the Charter .
Section 32(1) of the Charter defines who acts, not where
they act. In the instant case, the matter is a Canadian criminal investigation
involving Canadian police acting abroad, which clearly makes it a matter within
the authority of Parliament or the provincial legislatures. It appears strange
to me that my colleague could see an investigation as falling under s. 32(1) of
the Charter in one case (in Canada) and not the other (outside Canada).
If the investigative activities of Canadian police officers abroad do not fall
under “matters that are within the authority of Parliament or the provincial
legislatures”, then the officers would have no jurisdiction whatsoever to be
conducting investigations abroad. Clearly, they do, as found in Libman v.
The Queen, [1985] 2 S.C.R. 178.
162
The second thing that must be recognized is that the application of the Charter
as such to the actions of Canadian officials does not automatically result in
an interference with the sovereign authority of foreign states. In Cook,
where I had adopted the “control” test, I found that there was no
interference or “conflict” with sovereign authority when Canadian officials are
subject to the Charter because the Charter does not mandate
specific conduct, but rather imposes certain limits on the conduct of
government officials:
[T]he nature of the rights contained in the relevant sections of the Charter
are not mandatory, but rather conditional upon the occurrence of specified
investigatory activities. Thus, if there is a rule of investigation in the
foreign jurisdiction that directly contradicts a Charter provision,
there is still no conflict. The reason for this is that the Charter
does not impose any obligation to investigate; it simply requires that if an
investigation is made by the officer, it must be conducted in accordance with
certain conditions. It follows from this, moreover, that the application of the
Charter to the Canadian official has no impact on the foreign legal
system.
.
. .
As is clear from the discussion above, there is no question of a
“conflict” between foreign procedures and Canadian procedures. If the
compulsory foreign procedure adopted falls below the standard required by the Charter ,
then the Canadian officials may not take a directing or primary role in
the part of the investigation involving those techniques. In essence, they may
not exercise, even when invited to do so by the foreign authority, the powers
purportedly conferred on them by the foreign investigatory procedures. This is
no more complex than the obligation imposed by the Charter within
Canada. [Emphasis added; paras. 143 and 150.]
By putting the
onus squarely on Canadian authorities to not exercise control if the
investigatory action is not Charter compliant, we never have to ask
whether the application of the Charter results in an interference with
sovereign authority of a foreign state. If the “control” test is not adopted,
as prescribed by Cook, we must consider in what circumstances there will
be interference in cases where Canadian officers simply co-operate with foreign
authorities.
163
At para. 97 of his reasons, LeBel J. concedes that international law
does not prohibit Canada from imposing restraints on its own conduct and that
of its officials. He admits that it is the policy consideration of Canadian
participation in the fight against transnational crime that ultimately informs
his conclusion:
Since the Charter does not authorize state action, but simply
operates as a limit on such action, could it not be said that the Charter
“applies” to extraterritorial investigations by prohibiting Canadian officers
from participating in investigations abroad that do not conform to Canadian
law? International law provides only part of the answer to this question. To
prohibit Canadian officers from participating would indeed ensure conformity
with both international law and the Charter ; however, it would also mean
that the investigation could not be conducted. This is a serious concern. The
complete answer therefore lies both in international law and in the need to
address the challenges of investigating and prosecuting transborder criminal
activity.
I do not
question the importance of this policy consideration and the need for Canada to
participate in the fight against transnational crime. However, I fail to see
how the Charter prevents us from taking into account this important
societal need while holding Canadian officers to their obligation to respect
fundamental Canadian values. Let me then examine more closely what Charter
compliance demands of Canadian officials. For present purposes I will limit my
examination to the Legal Rights set out in ss. 7 -14 of the Charter .
164
The Legal Rights provisions of the Charter are very different
from the provisions one can find in the Criminal Code , although there
are provisions of the Criminal Code that prohibit specific conduct by
Canadian officials based on the recognition of fundamental human rights. Take,
for example, s. 269.1(1) which makes “[e]very official, or every person acting
at the instigation of or with the consent or acquiescence of an official, who
inflicts torture on any other person” liable of an indictable offence.
165
The Legal Rights provisions of the Charter are also very
different from the provisions in the Criminal Code , or other statutes,
that stipulate specific criminal procedures that must be followed in a given
case. For example, the Criminal Code specifies the circumstances in
which search or arrest warrants are necessary (see for example ss. 487 to 489
and 495(2) of the Criminal Code ), as well as those when they are not
(see for example ss. 117.02(1) , (2) , 199(2) , 254(2) to (4) , 462 and 495(1) ).
Police also have powers to search and detain without a warrant in certain
circumstances at common law under the Waterfield test (R. v. Godoy,
[1999] 1 S.C.R. 311, R. v. Mann, [2004] 3 S.C.R. 59, 2004 SCC 52, and Dedman
v. The Queen, [1985] 2 S.C.R. 2).
166
The Legal Rights provisions of the Charter neither mandate nor
prohibit specific conduct by Canadian officials. Rather they lay down a number
of fundamental principles — framed as general propositions regarding the
treatment of individuals — that are used to scrutinize the legitimacy of the
specific criminal procedures and conduct of Canadian officials. The principles
embodied within these provisions are broadly worded and from these courts draw
out further guiding principles. Consider s. 8 of the Charter , which
puts forth the principle that “[e]veryone has the right to be secure against
unreasonable search or seizure.” This general principle has engendered a
number of further principles determining what constitutes a “reasonable”
search. This Court has stated in previous cases that: (1) the purpose behind
s. 8 is to protect the privacy of individuals from unjustified state intrusion
(Hunter v. Southam Inc., [1984] 2 S.C.R. 145); (2) this interest in
privacy is, however, limited to a “reasonable expectation of privacy” (R. v.
Evans, [1996] 1 S.C.R. 8); (3) wherever feasible, prior authorization must
be obtained in order for a search and seizure to be reasonable (Hunter);
(4) prior authorization must be given by someone who is neutral and impartial
and who is capable of acting judicially (Hunter); (5) the person
granting the authorization must be satisfied by objective evidence on oath that
there are reasonable and probable grounds for believing that an offence has
been committed and that a search of the place for which the warrant is sought
will find evidence related to that offence (Hunter); (6) a search is
reasonable if it is authorized by law, if the law itself is reasonable and if
the manner of the search is reasonable (R. v. Caslake, [1998] 1 S.C.R.
51).
167
It is the role of courts to interpret the general principles set out in
the provisions of the Charter , draw out further principles, and apply
these to the facts of a given case. That exercise is an ongoing process which
has produced, up to now, a body of rules applicable within the Canadian legal
system. The specific application of these principles to factual circumstances
and the rules they create, however, should not be confused with the more
abstract principles for which the Charter stands.
168
For example s. 10 (b), in the context of officers operating in
Canada, has been interpreted to require that officers tell individuals upon
detention, without delay, of their right to counsel and to provide reasonable
access to counsel if the right is exercised. In the context of officers
operating in a foreign country, unless it is a situation like that in Cook
where the officers were acting independently, the officer will have to rely on
the foreign authorities and their procedures. When the foreign officials are
detaining and interrogating the individual, and where there is Canadian
participation, the participating Canadian officer is not required to give a s.
10 (b) warning; detention and interrogation are governed by the local
laws. Nor is the Canadian officer required to provide “a crash course” to
foreign officials on how to give the accused his s. 10 (b) warning on the
Canadian government’s behalf. The Charter is not meant to be applied as
if it were merely a code of criminal procedure.
169
In my view, adhering to fundamental principles that emanate from the Charter
would simply require the Canadian officers to inform themselves of the rights
and protections that exist under foreign law when dealing with the individual’s
legal rights on detention, and compare them to those guaranteed under the Charter
in order to determine if they are consistent with fundamental human rights
norms. It is not the case that the protections have to be identical. When the
foreign procedure differs from the plain language of s. 10 (b) (the right
to retain and instruct counsel is not provided without delay upon arrest or
detention for example), there will be a prima facie breach of this
provision. However, differences resulting from different legal regimes and
different approaches adopted in other democratic societies will usually be
justified given the international context, the need to fight transnational
crime and the need to respect the sovereign authority of other states, coupled
with the fact that it is impossible for Canadian officials to follow their own
procedures in those circumstances. Flexibility in this case is permitted by s.
1 of the Charter . Trivial and technical differences will easily be
discarded, more substantial differences between the protections that would be
available in Canada and those available in the foreign state will require more
in order to be justified.
170
Consider a further example that is closer to the facts at hand. In R.
v. Kokesch, [1990] 3 S.C.R. 3, while investigating an illegal marijuana
growing operation in British Columbia, police conducted a perimeter search of a
dwelling, acting without reasonable grounds to justify a warrantless search
under s. 10(1)(a) of the Narcotic Control Act., R.S.C. 1970, c.
N-1. The search not being authorized by statute, the Court found that the
police had no common law power to conduct the perimeter search because the
common law rights of property holders to be free of police intrusion can be
restricted only by clear statutory language. The search was therefore deemed
illegal, and hence in violation of s. 8 of the Charter . But the case
does not stand for the general rule that the Charter always prohibits
warrantless perimeter searches. The case also does not mean that Canadian
officers conducting such a search under the laws of a foreign state would have
to obtain a warrant issued in Canada to be executed, for example, in the Turks
and Caicos (this would be contrary to norms of international law, as earlier
stated), or require Turks and Caicos officials to obtain an authorization that
is not required under local law.
171
Under s. 8 Charter principles, a warrantless perimeter search may
be Charter compliant if authorized by law. On the facts of this case,
we know that a warrantless perimeter occurred and that such searches are
permitted under Turks and Caicos law. Charter principles also require
that a search permitted by law must be reasonable. The reasonableness test to
be applied here is one that has regard to comity and the determination that the
foreign law is not inconsistent with fundamental human rights. The ultimate
question becomes, in reality: Was it reasonable for Canadian officers to
participate in the search authorized by Turks and Caicos law?
172
I believe the Charter is flexible enough to permit a reasonable
margin of appreciation for different procedures. Even between free and
democratic societies, investigative procedures can vary and it is necessary,
in order to foster continued co-operation between nations in the fight against
transnational crime, to respect certain differences. As was noted by McLachlin
J. in Harrer, at para. 55:
We live in an era when people, goods and information pass from country
to country with great rapidity. Law enforcement authorities, if they are to do
their job, must apprehend people and intercept goods and communications
wherever they may be found. Often they find themselves working with officers
in foreign jurisdictions; often they are merely the recipients of information
gathered independently elsewhere. The result is evidence gathered by rules
which may differ from Canadian rules. We need to accommodate the reality that
different countries apply different rules to evidence gathering, rules which
must be respected in some measure if we are to retain the ability to prosecute
those whose crime and travel take them beyond our borders. To insist on exact
compliance with Canadian rules would be to insist universally on Canadian
standards of procedures which, in the real world, may seldom be attained — an
insistence which would make prosecution of many offences difficult, if not
impossible.
173
The Charter permits the incorporation of legitimate
justifications, sometimes within the right itself, as with s. 8 , or pursuant to
ss. 1 and 24(2) . Both my colleague and I are prepared to accept that the need
for Canadian officers to fight transnational crime, abide by foreign procedures
and respect the sovereign authority of foreign states justifies Canada’s
participation in investigation procedures that are not identical to Canada’s, to
a point. For LeBel J., this point seems to be when Canadian authorities
violate their international law obligations (para. 101). It may be that this
proposition sounds appealing in theory, but I have difficulty in seeing how, in
practice, Canadian officials will know when this point has been reached. Is
the expectation that Canadian officers become knowledgeable in international
customary law — an area of law whose content is uncertain and disputed?
Practically speaking, I believe it is preferable to frame the fundamental
rights obligations of Canadian officials working abroad in a context that
officers are already expected to be familiar with — their obligations under the
Charter . LeBel J.’s proposal of applying international law standards to
the actions of Canadian officials working abroad introduces another new set of
standards to the mix, which my colleague himself appears to recognize is
difficult, at para. 90:
It is no more helpful to suggest that some third
option other than the law of the host state or the full application of Charter
standards might govern foreign investigations. Where would the standards to be
applied come from? How would Canadian officials know what is required of them
at the outset of an investigation?
The approach I
am advocating is in my view far more practical. It is also consistent with
this Court’s approach in extradition and deportation cases: see for instance United
States of America v. Dynar, [1997] 2 S.C.R. 462, and United States v.
Burns, [2001] 1 S.C.R. 283, 2001 SCC 7. What I advocate is that Canadian
officers assess the fundamental human rights protection offered by the foreign
procedures against the principles guaranteed by the Charter ; they may
consider Charter compliance for guidance. Minor differences in
protection can be justified on the basis for the need for Canadian officials to
participate in fighting transnational crime, and comity. Substantial
differences require greater justifications, but there will still be a
favourable presumption for laws and procedures of democratic countries.
174
To summarize, in any challenge to the conduct of Canadian officials
investigating abroad, the onus will be on the claimant to demonstrate that the
difference between fundamental human rights protection given by the local law
and that afforded under the Charter is inconsistent with basic Canadian
values; the onus will then shift to the government to justify its involvement
in the activity. In many cases, differences between protections guaranteed by Charter
principles and the protections offered by foreign procedures will simply be
justified by the need for Canada to be involved in fighting transnational crime
and the need to respect the sovereign authority of foreign states. On account
of this, courts are permitted to apply a rebuttable presumption of Charter
compliance where the Canadian officials were acting pursuant to valid foreign
laws and procedures. Unless it is shown that those laws or procedures are
substantially inconsistent with the fundamental principles emanating from the Charter ,
they will not give rise to the breach of a Charter right. In my view,
this is the most principled and practical way to strike an appropriate balance
between effective participation by Canadian officers in fighting transnational
crime and respect for fundamental human rights.
175
It can be argued that applying the Charter abroad in this
fashion, at the end of the day, essentially achieves the same result as
applying the Charter “ex post facto”; under that approach, the Charter
never applies abroad, but evidence at a Canadian trial could be excluded on the
basis of ss. 7 and 11 (d) of the Charter . The first problem I see
with that approach is that it can only address situations where a s. 24(2)
remedy may be sought (i.e., the exclusion of evidence), and not situations
where s. 24(1) remedies may be sought. Though no such case has yet come before
the Court, it is possible that at some future date an applicant may seek a
declaration or some other remedy resulting from a Charter violation by
Canadian officials acting abroad. It would be premature, in my view, to
preclude this from occurring, without such a case being properly before the
Court. The second problem with the ss. 7 and 11 (d) approach is that it
curtails the use of the fundamental principles set out under the other
provisions of the Charter . From an analytical standpoint, it is
preferable to use the principles emanating from s. 8 of the Charter to
assess whether evidence gathered from a search and seizure ought to be excluded
from a trial in Canada than to refer to principles developed under s. 7 to deal
with the same issue.
C. Conclusion on the Proper Approach to
Extraterritorial Charter Application
176
The main question here is to determine what are the Charter
obligations of Canadian officers investigating in another country. In my view,
Cook at least established that Canadian authorities must abide by
standards set for actions taken in Canada when they act independently, i.e.,
where the foreign state takes absolutely no part in the action and does not
subject the action to its laws. Where the host state takes part in the action
by subjecting Canadian authorities to its laws, the Charter still
applies to Canadian officers but there will be no Charter violation
where the Canadian officers abide by the laws of the host state, subject to the
exception discussed above. I believe this is the outcome contemplated in Harrer
and Terry. This is also consistent with the approach taken by Lamer
C.J. in Schreiber, who found a person’s expectation of privacy to be
commensurate with legal protections provided in the host country; his approach
was based on a contextual application of the Charter and also showed
some deference to the laws of the foreign country where the search took place.
177
I cannot agree with LeBel J. that the Charter is inapplicable or
cannot be complied with outside Canadian territory. If s. 8 of the Charter
was inapplicable to a s. 32(1) matter, as LeBel J. argues, I fail to see why he
would apply s. 7 of the Charter as a control mechanism ex post
facto (see para. 91) to the same matter, i.e. a Canadian investigation.
There is, in my view, no meaningful distinction between ex post facto
and ex ante application of the Charter to Canadian officials.
178
The Charter applies extraterritorially, but the obligations it
creates in the circumstances will depend on the nature of the right at risk,
the nature of the action of the police, the involvement of foreign authorities
and the application of foreign laws. In the context of actions taken outside
Canada, the search had to be conducted in conformity with the local laws.
There is obviously consent to the participation of Canadian officers in all
cases where they operate in another country. Thus, in my view, consent is not
a useful criterion to determine Charter application. The main question
is rather whether the foreign law applies. Cook was a rare instance
where it did not. But even where the foreign law applies, there are potential Charter
protections. As LeBel J. recognizes himself at para. 109, flagrant breaches of
fundamental human rights, such as torture, would not be accepted even if
authorized by local laws.
179
On the facts of this case, it is clear that the Canadian authorities
were operating under the authority of Detective Superintendent Lessemun, that
the local laws applied to the investigation and that there was no evidence that
the local laws had been breached or did not meet fundamental human rights
standards. Hape led no evidence to suggest there were any differences between
the fundamental human rights protections available under Turks and Caicos
search and seizure laws and what the protections the Charter guarantees
under Canadian law that would raise serious concerns. The seizure of documents
was thus reasonable in the context and the evidence should not be excluded.
IV. Conclusion
180
I would dismiss the appeal and affirm the convictions.
The following are the reasons delivered by
181
Binnie J. — This appeal raises relatively straightforward issues arising out of
a money laundering investigation. It should be dismissed. As my colleagues
note, the searches and seizures of the appellant’s bank records in the Turks
and Caicos Islands were carried out under the authority of the local police in
conformity with local powers of search and seizure. No prejudice to the
appellant’s right to a fair trial in Canada has been demonstrated. The
appellant, having chosen to do his banking in the Turks and Caicos Islands, can
be taken to have accepted the degree of privacy which the law of that
jurisdiction affords. The record demonstrates that superimposing the Canadian
law of search and seizure on top of that of the Turks and Caicos Islands would
be unworkable. The appeal fails because the appellant cannot bring his case
within the requirements adopted by the majority of this Court in R. v. Cook,
[1998] 2 S.C.R. 597, at para. 25, namely that:
. . . (1) the impugned act falls within s. 32(1) of
the Charter ; and (2) the application of the Charter to the
actions of the Canadian [police in the Turks and Caicos Islands do] not, in
this particular case, interfere with the sovereign authority of the foreign
state and thereby generate an objectionable extraterritorial effect.
[Emphasis added.]
182
My colleague LeBel J. holds, in essence, that any
extraterritorial effect is objectionable (para. 85). This effectively
overrules Cook and would further limit the potential extraterritorial
application of the Canadian Charter of Rights and Freedoms . With
respect, I do not believe that this case, or the narrowly focussed argument of
the very experienced counsel for the appellant (a 12-page factum of which three
pages were devoted to legal argument citing only four authorities) affords a
proper springboard for such sweeping conclusions.
183
While the application of Cook is not without practical and
theoretical difficulties, as my colleagues Bastarache and LeBel JJ. show, there
is sufficient flexibility in the notion of objectionable extraterritorial
effect for such difficulties to be resolved over time in circumstances more
challenging than those of the routine police investigations at issue here and
in the four cases cited by the appellant, namely, R. v. Harrer, [1995] 3
S.C.R. 562; R. v. Terry, [1996] 2 S.C.R. 207; Schreiber v. Canada
(Attorney General), [1998] 1 S.C.R. 841, and Cook itself. Routine
Canadian police investigations in the United States (Harrer, Terry
and Cook), Switzerland (Schreiber) and in the Turks and Caicos
Islands (this case) are of course significant, but issues of more far-reaching
importance will soon confront Canadian courts, especially in the context of the
“war on terror” and its progeny. We should, in my view, avoid premature
pronouncements that restrict the application of the Charter to Canadian
officials operating abroad in relation to Canadian citizens.
184
In the 12 years since Harrer, serious questions of the utmost
importance have arisen respecting the extent to which, if at all, a
constitutional bill of rights follows the flag when state security and police
authorities operate outside their home territory. In the United States, the
issues are being debated in the context of “special renditions” of suspects by
non-military U.S. authorities to and between foreign countries and the rights
of individuals held in camps said to be operated under the control of
non-military U.S. personnel outside the United States (quite apart from
military installations such as Guantanamo Bay). It has been widely contended
in that country that different standards apply to civilian as distinguished
from military personnel and to citizens as distinguished from non-citizens.
Canadian police and security officials have also been active recently in
foreign “hot spots” as diverse as Haiti, Iraq and Afghanistan. In fact, since
1989, the RCMP has managed the deployment of over 2,000 Canadian police
officers in at least 12 countries with troubled histories including Kosovo,
East Timor, Guinea, Sierra Leone, Bosnia and Herzegovina, Ethiopia, Haiti,
Jordan, Iraq, the Democratic Republic of Congo, Côte d’Ivoire and Afghanistan
(Royal Canadian Mounted Police, RCMP International Peacekeeping Branch
Review, 2004/2005 (2006)). In addition, RCMP “International Operations
Branch” Officers work in 25 locations around the world (Royal Canadian Mounted
Police, RCMP Fact Sheet — International Operations Branch (2005)) in
circumstances that could give rise to Charter challenges. Recently,
claims have been launched in Canadian courts by human rights activists
(including Amnesty International Canada and British Columbia Civil Liberties
Association) against the federal government asking the courts to extend Charter
protections (as well as international human rights and humanitarian law) to
individuals detained by the Canadian Forces operating in Afghanistan. It is
not known to what extent Canadian citizens were among the detainees in
question, although there is some evidence that there are Canadians among the
Taliban. The allegation against the Minister of National Defence and the
Attorney General of Canada (both civilian authorities) is that detainees were
given into the custody of the security personnel of the government of
Afghanistan without adequate safeguards (see Federal Court File Number
T-324-07). We have no idea if there is any merit in any of these claims, but
at some point we are likely to be called upon to address them. The Maher Arar
Inquiry disclosed serious issues about Canadian police conduct in relation to
the extraterritorial apprehension of a Canadian citizen in the United States
which led to his incarceration and torture in Syria. The work of Canadian
security personnel other than the RCMP may give rise to other issues, some of
which may relate to the extraterritorial treatment of Canadian citizens. I
mention these matters simply to illustrate the sort of issues that may
eventually wind up before us and on which we can expect to hear extensive and
scholarly argument in relation to the extraterritorial application of the Charter .
Traditionally, common law courts have declined to make far-reaching
pronouncements before being required by the facts before them to do so, heeding
the cautionary words of the poet:
There are more things in heaven and earth, Horatio, Than are dreamt of
in your philosophy.
(Hamlet, Act I, Scene v, 11. 166-67)
185
Justice LeBel places great emphasis on the remedial potential of s.
24(2) of the Charter under which evidence may, in certain circumstances,
be excluded from a Canadian trial, but the allegations now coming before our
courts may not result in a trial in Canada. Indeed even the right to an
ordinary trial may become an issue here as it has in the United States. Such
serious Charter issues should be resolved only after full argument and
debate in this Court, which we did not receive (and had no reason to expect) in
this case.
186
My colleague LeBel J. draws a number of very broad propositions from his
analysis of certain aspects of international law and takes a more attenuated
view of s. 32(1) of the Charter than was adopted by the majority in Cook.
LeBel J. concludes that:
Since extraterritorial enforcement [of Canadian law] is not possible,
and enforcement is necessary for the Charter to apply, extraterritorial
application of the Charter is impossible. [Emphasis added; para.
85.]
I accept, of
course, that enforcement is a central issue, but at this stage I would not
treat difficulties in that regard as conclusive. My colleague adds at para.
100 that “[i]ndividual rights cannot be completely disregarded in the
interests of transborder co-operation” (emphasis added). In an effort to fill
the gap created by his rejection of Charter applicability, LeBel J.
would substitute Canada’s “international human rights obligations”, as a source
of limitation on state power. The content of such obligations is weaker and
their scope is more debatable than Charter guarantees. Specifically,
LeBel J. writes, at para. 101, that relief may be available “where the
participation of Canadian officers in investigative activities sanctioned by
foreign law would place Canada in violation of its international obligations in
respect of human rights”. The proposal is that international human rights
obligations should become the applicable “extraterritorial” standard in
substitution for Charter guarantees even as between the Canadian
government and Canadian citizens.
187
This is not the case, in my respectful view, for the Court to determine
whether Canadian citizens harmed by the extraterritorial conduct of Canadian
authorities should be denied Charter relief (except if faced with a
criminal trial in Canada) and be left to arguments about Canada’s international
law obligations. The Crown and the intervener, the Attorney General of
Ontario, sought no such limitation. Neither the parties nor the intervener
asked that Cook be revisited, much less overruled. Counsel were not at
all dismissive of the relevance of the Charter in holding to account
“extraterritorial” conduct of Canadian officials in relation to Canadian
citizens, accepting (in my view correctly) that in Charter terms the
denial of “objectionable extraterritorial effect” is a very different
thing from the denial of any extraterritorial effect.
188
So too my colleague LeBel J. writes, at para. 101:
I would leave open the possibility that, in a future case,
participation by Canadian officers in activities in another country that would
violate Canada’s international human rights obligations might justify a remedy
under s. 24(1) of the Charter because of the impact of those activities
on Charter rights in Canada.
However, the
scope of this possible exception is unclear, given the fact that the conduct at
issue would necessarily be outside Canada and, according to my colleague, ought
not to be judged by the Charter standards because “extraterritorial
application of the Charter is impossible” (para. 85).
189
I would therefore resolve this appeal on the basis of Harrer, Terry,
Schreiber and Cook. I would retain for the present Cook’s
“objectionable extraterritorial effect” principle while leaving the door
open to future developments in assessing the extraterritorial application of
the Charter . Our grasp of the potential ramifications of different
approaches would be sharpened by the challenging fact situations and fresh
perspectives presented in cases now working their way through the system.
Constitutional pronouncements of such far-reaching implications as are laid
down by my colleague (“extraterritorial application of the Charter is
impossible”) were not even on the radar screen of the parties and intervener
to this appeal, all of whom were represented by able and experienced counsel.
The Court should decline to resolve such important questions before they are
ripe for decision.
190
Since writing the above, my colleague LeBel J. has joined issue with
this lone protest with the following comment:
We cannot always know what new issues might arise before the courts in
the future, but we can trust that the law will grow and evolve as necessary and
when necessary in response. [para. 95]
191
The law of the Constitution can only “grow and evolve” if the Court
leaves it the flexibility to do so. It is precisely because of the uncertainty
about future developments, some of which are now in the litigation pipeline,
that I believe the Court should not in this case substitute rigidity for
flexibility and, prematurely (and unnecessarily), foreclose Charter
options that are now open to it under the flexible principles enunciated in Cook.
192
I would dismiss the appeal and affirm the convictions.
Appeal dismissed.
Solicitors for the appellant: Gold & Associates,
Toronto.
Solicitor for the respondent: Attorney General of Canada,
Toronto.
Solicitor for the intervener: Attorney General of
Ontario, Toronto.