SUPREME
COURT OF CANADA
Between:
Simon Kwok Cheng Chow
Appellant
v.
Her Majesty the
Queen
Respondent
Coram:
McLachlin C.J. and Bastarache, Binnie, LeBel, Fish, Abella and Charron JJ.
Reasons for
Judgment:
(paras. 1 to 53):
|
Fish J. (McLachlin C.J. and
Bastarache, Binnie, LeBel, Charron and Abella JJ. concurring)
|
______________________________
R. v. Chow, [2005] 1 S.C.R. 384, 2005 SCC 24
Simon Kwok Cheng Chow Appellant
v.
Her Majesty The Queen Respondent
Indexed as: R. v. Chow
Neutral citation: 2005 SCC 24.
File No.: 29919.
2004: December 16; 2005: April 27.
Present: McLachlin C.J. and Bastarache, Binnie, LeBel, Fish,
Abella and Charron JJ.
on appeal from the court of appeal for british columbia
Constitutional law — Charter of Rights — Search and
seizure — Interception of communications — Accused and three co‑accused
charged with murder — Crown’s case against accused based largely on intercepted
telephone conversations — Accused’s name not mentioned in affidavit
accompanying first two applications for authorization — Accused alleging that subsequent
authorizations rested on information unlawfully obtained from first two
authorizations — Whether accused’s right to be secure against unreasonable
search or seizure violated — Canadian Charter of Rights and Freedoms,
s. 8 .
Criminal law — Interception of communications —
Successive authorizations — Accused and three co‑accused charged with
murder — Crown’s case against accused based largely on intercepted telephone
conversations — Accused’s name not mentioned in affidavit accompanying first
two applications for authorization — Accused alleging that subsequent
authorizations rested on information unlawfully obtained from first two
authorizations — Whether accused “known” person within meaning of Criminal Code
when first two authorizations sought and obtained — _Criminal
Code, R.S.C. 1985, c. C‑46, s. 185(1) (e).
Criminal law — Procedure — Separate trials —
Accused and three co‑accused charged with murder — Whether accused
entitled to severance in order to compel one of co‑accused to testify —
Whether denial of severance deprived him of right to make full answer and
defence.
The accused was convicted by jury of murder in the
first degree for a killing planned and carried out with co‑conspirators.
The victim was shot by a co‑accused. The Crown’s case against the
accused was that he was privy to the murder and knowingly remitted the payment
for the contract killing to the getaway driver. The accused’s defence was that
the payment had nothing to do with the murder but was related to a marijuana
project. The Crown had mounted a compelling circumstantial case, based largely
on intercepted telephone conversations. The calls had been intercepted
pursuant to eleven successive authorizations, of which the sixth and seventh
yielded evidence crucial to the case against the accused. He applied for
exclusion of the wiretap evidence pursuant to ss. 8 and 24 of the Canadian
Charter of Rights and Freedoms , arguing that he was a “known” person whose
name was not disclosed when the first and second wiretap authorizations were
sought and obtained and that the third and subsequent authorizations rested on
the foundation of information unlawfully obtained from the second. He also
applied for severance in order to compel one of his co‑accused to
testify. Both applications were dismissed. The Court of Appeal dismissed the
accused’s appeal against his conviction as well as his application to re‑open
the hearing on the issue of severance.
Held: The
appeal should be dismissed.
The accused’s constitutionally protected right to
privacy was not violated by the interception of his private communications
pursuant to the sixth and seventh authorizations. First, he was not a “known”
person within the meaning of s. 185(1) of the Criminal Code when
the first and second wiretap authorizations were sought and obtained, because
the officers concerned did not yet then have reasonable grounds to believe that
he was connected to the offence they were investigating. Second, even if it
were assumed that the accused was then a “known” person, evidence unaffected by
the alleged breach of his Charter rights amply supported the subsequent
authorizations. [8] [39] [41]
The accused was not entitled in this case to severance
in order to compel a co‑accused to testify. The only evidence that was
not before the trial judge when he denied the accused’s severance application
was a reference by the co‑accused who shot the victim to the getaway
driver’s statement that he was to attend a meeting about “some old weed
business” on the day of the payment. However, this co‑accused’s proposed
testimony that he had not received any payment for the shooting was considered
by the trial judge and was in fact put to the jury. It is well established
that separate trials for alleged co‑conspirators are the exception, and
not the rule. The relevance and admissibility of a co‑accused’s evidence
do not alone entitle a jointly charged accused to a separate trial. In
principle, severance will be granted only where a joint trial would work an
injustice to the accused. Here, the accused’s inability to compel his co‑accused
to testify did not result in a miscarriage of justice. The co‑accused’s
proposed evidence could hardly have changed the jury’s verdict. Though
relevant, it was of slight probative value in the context of the case as a
whole. [10] [45] [47] [51]
Cases Cited
Applied: R.
v. Crawford, [1995] 1 S.C.R. 858; R. v. Torbiak and Gillis
(1978), 40 C.C.C. (2d) 193; referred to: R. v.
Chesson, [1988] 2 S.C.R. 148; R. v. Commisso, [1983]
2 S.C.R. 121.
Statutes and Regulations Cited
Canadian
Charter of Rights and Freedoms, ss. 8 , 24 .
Criminal Code, R.S.C. 1985, c. C‑46, ss. 185(1) (e),
675(1) (a)(ii).
APPEAL from a judgment of the British Columbia Court
of Appeal (Donald, Saunders and Low JJ.A.) (2003),
179 B.C.A.C. 92, 295 W.A.C. 92, 180 C.C.C.
(3d) 184, [2003] B.C.J. No. 452 (QL), 2003 BCCA 131 (sub
nom. R. v. Mapara; R. v. Chow), upholding the accused’s
conviction for first degree murder. Appeal dismissed.
Peter Leask, Q.C.,
and Jeremy Gellis, for the appellant.
Henry J. R. Reiner, Q.C., for the respondent.
The judgment of the Court was delivered by
Fish J. —
I
Overview
1
Simon Kwok Cheng Chow was convicted by a jury of murder in the first
degree. He and three co-accused — Sameer Mapara, George Wasfi, and Shane Kelly
Shoemaker — were alleged by the Crown to have planned and carried out the
murder of Vikash Chand.
2
The Crown had mounted against them what the Court of Appeal
characterized as a “compelling circumstantial case”, based largely on
intercepted telephone conversations. The Crown relied as well on the testimony
of the getaway driver, Haddi Binahmad, who had been granted immunity in
exchange for his evidence.
3
At trial, Chow applied for severance in order to compel Shoemaker to
testify. He also applied for exclusion of the wiretap evidence, pursuant to
ss. 8 and 24 of the Canadian Charter of Rights and Freedoms . Both
applications were dismissed.
4
Chow was convicted and his conviction was affirmed by the British
Columbia Court of Appeal ((2003), 179 B.C.A.C. 92, 2003 BCCA 131).
5
In this Court, Chow attacks his conviction on two main grounds: first,
that the intercepted communications should have been declared inadmissible
against him; second, that the denial of severance deprived him of his right to
make full answer and defence.
6
Neither ground succeeds.
7
On the first ground, Chow argues that he was known to the police but not
named, as required by law, when the first wiretap authorization was sought and
obtained. His private communications intercepted under its authority, he says,
were therefore obtained in violation of his right, under s. 8 of the Charter ,
“to be secure against unreasonable search or seizure”. Chow submits that the
subsequent authorizations rested on the foundation of those intercepted communications.
The wiretap evidence relevant to the murder of Chand was obtained pursuant to
these subsequent authorizations and should therefore have been excluded under
s. 24(2) of the Charter .
8
This ground fails, for two reasons. First, because Chow was not a
“known” person, in the relevant sense, when the first and second wiretap
authorizations were sought and obtained. The officers concerned did not yet
then have reasonable grounds to believe that Chow was connected to the offence
they were investigating. Second, evidence unaffected by the alleged breach of
Chow’s Charter rights amply supported the subsequent authorizations,
under which the communications relevant to the present matter were intercepted.
9
On the second ground, Chow argues that the trial judge’s denial of
severance resulted in a miscarriage of justice because it prevented him from
leading evidence that might have raised a reasonable doubt as to his guilt.
More specifically, he contends that Shoemaker’s testimony, partly unavailable
to the trial judge when severance was denied, would have undermined the Crown’s
theory of the case and supported his own.
10
Shoemaker’s proposed evidence was doubtless relevant and, without so
deciding, I am prepared to assume — as did the Court of Appeal — that it was
admissible. In the absence of severance, Chow was deprived of its benefit
since Shoemaker, co-accused with Chow, was not a compellable witness. But the
relevance and admissibility of a co-accused’s evidence do not alone entitle a
jointly charged accused to a separate trial. Separate trials for those who are
alleged to have conspired or to have committed a crime in concert remain the
exception and not the rule. In principle, severance will only be granted where
a joint trial will work an injustice to the accused: R. v. Crawford,
[1995] 1 S.C.R. 858.
11
Here, Shoemaker’s proposed evidence was found both by the trial judge
and by the Court of Appeal to have “marginal” probative weight. Both courts
concluded, after careful consideration, that it could hardly have changed the
jury’s verdict. They applied the governing principles judicially and, in
concluding as they did, committed no error warranting the intervention of this
Court.
12
Both grounds thus fail, and the appeal should be dismissed.
II
Facts and
Proceedings
13
Chow, Mapara, Wasfi and Shoemaker were jointly charged with the first
degree murder of Chand. Chand, while changing a licence plate on Chow’s car in
Mapara’s car lot, was shot seven times by Shoemaker.
14
The Crown’s theory of the case was that Chow was privy to Chand’s murder
and knowingly remitted to the getaway driver, Binahmad, payment for the
contract killing.
15
Binahmad, a Crown witness who had been granted immunity from
prosecution, testified that Mapara had hired Wasfi to murder Chand and that
Wasfi, in turn, recruited Shoemaker to do the killing. He stated that Chow
gave him $7,000 as a “down payment” on the contract, that he remitted the
$7,000 to Shoemaker, and that Chow, at Wasfi’s request, gave him an additional
$2,000 after the killing to enable him to leave town.
16
Chow’s defence was that his payment to Binahmad had nothing to do with
the murder and was not intended for Shoemaker. It related, he said, to a
“marijuana project” that he had undertaken with Wasfi.
17
Shoemaker did not testify.
18
The Crown entered into evidence telephone conversations involving Chow,
Wasfi and Mapara. The calls had been intercepted pursuant to eleven successive
authorizations, of which the sixth and seventh yielded evidence crucial to the
prosecution’s case against Chow. Chow sought unsuccessfully to exclude this
evidence under ss. 8 and 24(2) of the Charter .
19
Oppal J. rejected Chow’s application. He noted that the use of
electronic means to intercept private communications constitutes a search and
seizure that will be deemed unreasonable under s. 8 of the Charter
unless judicially authorized in accordance with the relevant statutory
requirements. Section 185(1) (e) of the Criminal Code, R.S.C.
1985, c. C-46 , stipulates that the affidavit accompanying an application must
disclose the existence of known persons (“knowns”) whose conversations are
targeted. Failure to do so will render unlawful any ensuing interception of a
“known’s” communications.
20
Oppal J. thought there was “much evidence to indicate that [the police]
ought to have known about the existence or identity of Chow” (Ruling on voir
dire, [2001] B.C.J. No. 2959 (QL), 2001 BCSC 1815, at para. 32). He found
it unnecessary, however, to determine whether Chow was a “known” when the first
and second authorizations were sought and granted, since the Crown did not rely
on any intercepts obtained as a result of any authorizations in which Chow was
not named as a target. Moreover, Oppal J. concluded that the validity of the
first and second authorizations had no inherent bearing on the admissibility of
the subsequent intercepts: since each authorization represented a separate
order, its legality was to be independently determined.
21
At the conclusion of the Crown’s case, Chow and Wasfi both applied for
severance. Oppal J. allowed Wasfi’s application, but not Chow’s. Applying R.
v. Torbiak and Gillis (1978), 40 C.C.C. (2d) 193 (Ont. C.A.), he held that
the “issue to be ultimately determined by the court is whether the refusal to
order a separate trial [would result] in a miscarriage of justice”. Oppal J.
found that Chow’s application failed on that test since Shoemaker’s anticipated
testimony was of “marginal” import.
22
Chow and Mapara both testified. Shoemaker did not, but in a statement
to the police admitted at the trial, he denied having received any payment at
all for the killing. Chow testified that the intercepted telephone calls
referred to a marijuana deal and that, in two calls, he realized that Wasfi was
referring to a contract killing but said he was not interested. He said that
he thought the money he paid to Binahmad was for the “marijuana project”.
23
Chow, Shoemaker and Mapara were all convicted by the jury of first
degree murder.
24
Chow and Mapara appealed. Chow’s main grounds were that Oppal J. erred
in refusing to grant him a separate trial and in admitting the wiretap
evidence. He submitted as well that the verdict was unreasonable and sought to
adduce “fresh evidence” in the form of an affidavit (a “will say” statement) by
Shoemaker. The essence of the affidavit was that Shoemaker, if compelled to
testify, would state that he had not received the $7,000 from Binahmad.
25
Shoemaker was cross-examined by the Crown on his affidavit. On
re-examination by Chow’s counsel, he stated that Binahmad had told him, on the
day Binahmad received the $7,000 from Chow, that he (Binahmad) had to attend a
meeting about “some old weed business”.
26
Speaking for the Court of Appeal, Donald J.A. agreed with the trial
judge that « Shoemaker’s evidence was too marginal to justify a severance »
(para. 22). He found that the wiretaps had been properly admitted and that the
verdict was reasonable and supported by the evidence.
27
After the appeal was heard, but before judgment was entered, Chow sought
to re-open the hearing so as to take into account, on the issue of severance,
Shoemaker’s reference to the “old weed business”. Chow’s counsel stated that
this aspect of Shoemaker’s examination was not raised at the hearing of the
appeal because of his instructions and because of the pressures of time.
Neither explanation is compelling.
28
Chow’s application for a re-opening of the appeal was dismissed ((2003),
182 B.C.A.C. 88, 2003 BCCA 248).
III
Discussion
29
The appellant advanced four arguments in his factum: (1) that the Court
of Appeal erred in holding that he was not entitled to severance; (2) that the
trial judge erred in admitting the intercepted communications; (3) that the
Court of Appeal erred in attaching no significance to the trial judge’s
issuance of a certificate pursuant to s. 675(1) (a)(ii) of the Criminal
Code ; and (4) that the jury’s verdict was unreasonable. Counsel chose,
wisely, not to press grounds (3) and (4) in oral argument: the first is devoid
of any basis in law; the second was thoroughly examined and properly disposed
of by the Court of Appeal.
30
I turn, then, to the two remaining issues: the admissibility of the
wiretaps and the denial of severance.
IV
The Wiretap
Issue
31
The prosecution of Chow, Mapara, Wasfi and Shoemaker was based in large
part on private communications intercepted pursuant to eleven consecutive
authorizations obtained by the Vancouver Island District Drug Section, a unit
of the RCMP, between October 1997 and May 1999. The targets of the
authorizations changed over time, and Chow was first named in the application
for the third authorization. The calls relating to Chand’s murder were
intercepted pursuant to the sixth and seventh authorizations.
32
Chow submits that his existence and relevance to the investigation were
known to the RCMP at the outset of Project E-Page. He should therefore have
been named in the affidavits supporting the first and second applications.
Since he was not, his communications were intercepted unlawfully during the
life of the second authorization: R. v. Chesson, [1988] 2 S.C.R. 148.
Finally, according to Chow, the third and subsequent authorizations rested on
the foundation of information obtained from the second, and they, too, must for
that reason be set aside.
33
Section 185(1) (e) of the Criminal Code states, in part:
185. (1) An application for an
authorization to be given under section 186 [that is, a wiretap authorization]
shall be made ex parte and in writing to a judge . . . .
. . .
and shall be accompanied by an affidavit, which may be sworn on the
information and belief of a peace officer or public officer deposing to the
following matters:
. . .
(e) the names, addresses and occupations, if known, of all
persons, the interception of whose private communications there are reasonable
grounds to believe may assist the investigation of the offence
. . . .
34
Some police officers knew of Chow’s existence and suspected his
involvement in criminal activity when the applications for the first and second
authorizations were made. The RCMP unit conducting Project E-Page, however,
was unaware of his connection to the specific investigation for which those
authorizations were sought. It was not known, nor were there reasonable
grounds to believe, that Chow was a person whose private communications would,
if intercepted, assist in that investigation.
35
The RCMP unit had earlier obtained the name “Simon Chow” from the
“Coordinated Law Enforcement Unit”. Chow was said to be involved with “David
Jai” in the trafficking of marijuana. Project E-Page related, initially, to
illegal trafficking in cocaine and heroin, and later focussed exclusively on
heroin. “David Jai” was then suspected to be (and later determined to be)
David Au, who was a “known” in the first E-Page authorization and a target in
the second.
36
It appears from the record, however, that Jai and Au were not then known
to be one and the same. Nor was it known that Chow was involved in heroin
trafficking. The RCMP had also learned from an informant that a certain “Simon
LNU (last name unknown)” was associated with Au, but did not have reasonable
grounds to believe that he was the appellant, Simon Chow. It only had what has
been described in the Crown’s factum as an “unconfirmed suspicion” that this
was the case.
37
It was only during the period covered by the second authorization, when
David Au became a target of Project E-Page, that investigators intercepted
calls between Au and a person called “Ah-Sei”, who was later determined to be
Chow. They also intercepted conversations between Au and others referring to
“Simon” and “Ah-Sei” in connection with heroin trafficking.
38
It was in this context that the RCMP unit became aware that “Simon LNU”
and “Ah-Sei” were both references to Chow. In the view of the Court of Appeal,
the “critical link” in this determination was the unit’s observation of Au
meeting Chow at the airport while Au was under physical surveillance. Simon
Chow was then, appropriately enough, named as a target in the materials
supporting the third authorization.
39
The evidence thus supports the Crown’s contention that Chow was not a
“known” within the meaning of the Criminal Code , and Chesson,
when the first and second authorizations were sought and obtained. In any
event, I agree with the Court of Appeal that, even if it were assumed
that Chow was then a “known”, there was enough evidence independent of any
prior Charter breach to justify the third and subsequent authorizations.
40
The Court of Appeal reviewed that evidence thoroughly. Essentially,
Au’s phone conversations to which Chow was not a party were also
intercepted pursuant to the second authorization. In two of those phone calls,
“Simon” and “Ah-Sei” were said, respectively, to be travelling to Hong Kong,
and dealing internationally in heroin. These phone calls alone would have
aroused the RCMP’s interest in discovering who “Simon” and “Ah-Sei” were, and resulted
inevitably in the physical surveillance of Au. As mentioned earlier, it was
this surveillance that led to the inclusion of Chow as a target in the
investigation and the interception of his calls pursuant to the sixth and
seventh authorizations.
41
In these circumstances, Chow’s constitutionally protected right to
privacy was not violated by the interception of his private communications
pursuant to the sixth and seventh authorizations.
42
Finally on this branch of the matter, Chow urged us in his factum to
reconsider R. v. Commisso, [1983] 2 S.C.R. 121, where it was held that
intercepted communications are admissible to prove an offence that is unrelated
to the purpose for which a wiretap authorization was sought and obtained.
Counsel did not press this point in oral argument: no reason has been advanced
for revisiting Commisso at this time.
V
The
Severance Issue
43
Oppal J. rejected Chow’s application for a severance and the Court of
Appeal, after considering Shoemaker’s affidavit and examination, found that
Oppal J. had exercised his discretion judicially.
44
The appellant now argues that “a miscarriage of justice has come to
pass, in that the [a]ppellant has been denied the right to call evidence that
might reasonably have had an effect on the jury’s verdict” (appellant’s factum,
at para. 42). He does not take issue with Oppal J.’s denial of severance;
rather, he stakes his claim to a new and separate trial on Shoemaker’s
examination in the Court of Appeal. Since this evidence was not available to
the trial judge, it is argued, no deference is owed to Oppal J.: this Court
must consider the issue of severance afresh.
45
The only evidence that was not before Oppal J. when he denied Chow’s
application was Shoemaker’s reference to Binahmad’s statement that he was to
attend a meeting about “some old weed business” on the day of the payment.
Shoemaker’s proposed testimony that he had not received any payment for the
shooting of Chand was considered by Oppal J. when he declined to grant
severance. And this evidence, albeit in another form, was in fact put to
the jury: Shoemaker’s statement to the police included his allegation that
he had never “collected” on the contract killing.
46
The question, then, is whether Chow’s inability to compel Shoemaker to
testify resulted in a miscarriage of justice, in the sense that the accused was
denied his right to make full answer and defence.
47
It is well established that separate trials for alleged co-conspirators
are the exception, not the rule. In Crawford, which I mentioned
earlier, Sopinka J. referred to the “uniform stream of authority in this
country in favour of joint trials” (para. 19). Speaking for eight members of
the Court, he set out compelling policy reasons for joint trials for
co-conspirators despite the inevitable “double bind” that results:
There exist . . . strong policy reasons
for accused persons charged with offences arising out of the same event or
series of events to be tried jointly. The policy reasons apply with equal or
greater force when each accused blames the other or others, a situation which
is graphically labelled a “cut-throat defence”. Separate trials in these
situations create a risk of inconsistent verdicts. The policy against
separate trials is summarized by Elliott, supra, at p. 17, as follows:
There is a dilemma here which could only be avoided
by separate trials. But separate trials will not be countenanced because, quite
apart from the extra cost and delay involved, it is undeniable that the full
truth about an incident is much more likely to emerge if every alleged
participant gives his account on one occasion. If each alleged participant
is tried separately, there are obvious and severe difficulties in arranging for
this to happen without granting one of them immunity. In view of this, in
all but exceptional cases, joint trials will be resorted to, despite the double
bind inevitably involved.
Although the trial judge has a discretion to order
separate trials, that discretion must be exercised on the basis of principles
of law which include the instruction that severance is not to be ordered
unless it is established that a joint trial will work an injustice to the
accused. [Emphasis added; paras. 30-31.]
48
In Torbiak and Gillis, the Ontario Court of Appeal likewise
noted, at p. 199, the “well established [rule] that . . . where
the essence of the case is that the accused were acting in concert, they should
be jointly indicted and tried, and an appellate Court will not interfere with
the discretion of the trial Judge unless he has failed to exercise it
judicially or his decision has caused a miscarriage of justice”.
49
Chow argues that a “miscarriage of justice” has occurred in this case
not because the trial judge erred in denying severance, but because evidence
unavailable at trial now establishes that severance ought to have been
granted. Torbiak and Gillis is helpful in this regard as well. The
Court of Appeal in that case aptly set out the circumstances in which,
exceptionally, severance may be granted in order to allow the applicant to
compel a co-accused to testify:
If the evidence of a co‑accused sought to be elicited on behalf
of another co‑accused is such that, when considered in the light of the
other evidence, it might reasonably affect the verdict of the jury by creating
a reasonable doubt as to the guilt of the latter, then precluding him from
having the benefit of that evidence may require a separate trial,
notwithstanding the evidence sought to be adduced from the co‑accused is
merely corroborative of the evidence of the accused who wishes to elicit
it. . . . [p. 199]
50
The Crown’s case against Chow, it will be remembered, was that he had
knowingly remitted $7,000 to Binahmad as payment for the killing of Chand by
Shoemaker. In this regard, the Crown relied on Binahmad’s evidence and on a
body of intercepted conversations in which the participants spoke of their
admittedly criminal activities in “code”. Chow testified that critical conversations
concerned a “marijuana project”, and not the murder of Chand.
51
The Court of Appeal was not persuaded that Shoemaker’s evidence might
reasonably have affected the jury’s verdict. Nor am I. Shoemaker’s proposed
evidence, though relevant, is of slight probative value in the context of the
case as a whole. The trial judge instructed the jury impeccably on the
respective positions of the Crown and the defence, and carefully drew to the
jury’s attention the evidence relevant to both. Shoemaker’s hearsay statement
about “some old weed business” would merely have added a small drop in the
bucket of the defence without piercing a hole in that of the Crown.
52
I note in this context that Chow’s able and experienced counsel, though
this assertion attributed by Shoemaker to Binahmad was then fresh in the mind,
did not see fit to even mention it when he argued the case on its merits in the
Court of Appeal. I would attribute no more importance to Shoemaker’s proffered
evidence now than counsel himself did then.
VI
Conclusion
53
For the reasons given, the appeal should be dismissed.
Appeal dismissed.
Solicitors for the appellant: Leask Bahen, Vancouver.
Solicitor for the respondent: Ministry of the Attorney
General of British Columbia, Vancouver.