R. v. Mentuck, [2001] 3 S.C.R. 442, 2001 SCC 76
Her Majesty The Queen Appellant
v.
Clayton George Mentuck Respondent
and
The Attorney General of Canada,
the Attorney General for Ontario,
the Attorney General of British Columbia,
the Winnipeg Free Press,
the Brandon Sun, and
the Canadian Newspaper Association Interveners
Indexed as: R. v. Mentuck
Neutral citation: 2001 SCC
76.
File No.: 27738.
2001: June 18; 2001: November 15.
Present: McLachlin C.J. and L’Heureux‑Dubé,
Gonthier, Iacobucci, Major, Bastarache, Binnie, Arbour and LeBel JJ.
on appeal from the manitoba court of queen’s bench
Courts – Supreme Court of Canada – Jurisdiction –
Publication bans – Criminal proceedings – Trial judge granting one-year ban as
to identity of undercover police officers and refusing ban as to operational
methods used in investigating accused – Whether Supreme Court of Canada has
jurisdiction to hear Crown appeal from trial judge’s order – Supreme Court Act,
R.S.C. 1985, c. S-26, s. 40(1) , (3) .
Criminal law – Publication bans – Appropriate scope
of publication ban – Undercover police investigation – Crown seeking
publication ban protecting identity of police officers and operational methods
used in investigating accused – Trial judge granting one-year ban as to
identity of officers and refusing ban as to operational methods – Whether trial
judge erred in ordering ban.
The accused was charged with second degree murder. At
his first trial, a stay of proceedings was entered after crucial evidence was
ruled inadmissible. The accused was then targeted by the RCMP in an undercover
operation. The undercover operation followed a pattern commonly employed by
Canadian police. As a result of evidence gathered during this operation, the
indictment was reinstated. In the course of opening statements at the second
trial, the Crown referred to much of the information now sought to be
suppressed. Newspapers reported most of the information. During the trial the
Crown moved for a publication ban to protect the identity of the officers and
the operational methods employed by those officers in the investigation. The
accused and two intervening newspapers opposed the motion. The trial judge
granted a one-year ban as to the identity of undercover police officers, but
refused a ban as to operational methods used in investigating the accused.
Pending the resolution of this appeal, that order was stayed and orders
granting the requested publication ban in full and sealing the affidavits filed
with the trial judge were granted. Meanwhile, a mistrial was declared in the
second trial due to a hung jury. At the accused’s third trial, he was
acquitted.
Held: The appeal
should be dismissed. The order granting a one-year ban as to the identity of
the undercover police officers is restored, but the one-year period commences
at the date of this judgment.
As Parliament has not seen fit to amend the Criminal
Code to provide for clear avenues of appeal in publication ban cases, the
reasoning in Dagenais and Adams governs the appeal process. This
Court has jurisdiction under s. 40(1) of the Supreme Court Act to
hear a direct appeal from the trial judge’s order for a publication ban. This
order is ancillary to any issues relating to the guilt or innocence of the
accused, and thus the appeal is not barred by s. 40(3) of the Act. No
other route of appeal is open to the parties in the case, and the appeal is not
explicitly barred by statute.
The ban ordered by the trial judge was properly issued
and was of the appropriate scope in light of the requirements of the Charter.
A publication ban should only be ordered when such an order is necessary to prevent
a serious risk to the proper administration of justice, because reasonable
alternative measures will not prevent the risk, and when the salutary effects
of the publication ban outweigh the deleterious effects on the rights and
interests of the parties and the public, including the effects on the right to
free expression, the right of the accused to a fair and public trial, and the
efficacy of the administration of justice. The party bringing the application
has the burden of displacing the presumption of openness. That party must also
establish a sufficient evidentiary basis to allow the judge to make an informed
application of the test, and to allow for review.
The first branch of the analysis requires
consideration of the necessity of the ban in relation to its object of
protecting the proper administration of justice. The concept of “necessity”
has several elements: (1) the risk in question must be well‑grounded in
the evidence and must pose a serious threat to the proper administration of
justice; (2) “the proper administration of justice” should not be interpreted
so widely as to keep secret a vast amount of enforcement information the
disclosure of which would be compatible with the public interest; and(3) in
order to reflect the minimal impairment branch of the Oakes test, the
judge must consider whether reasonable alternatives are available, but he must
also restrict the order as far as possible without sacrificing the prevention
of the risk. Under the second branch of the analysis, the effect of the ban on
the efficacy of police operations, the right of the public to freedom of
expression, and the right of the accused to a public trial must be weighed.
A publication ban as to operational methods is
unnecessary. Although police operations will be compromised if suspects learn
that they are targets, media publication will not seriously increase the rate
of compromise. Republication of this information does not constitute a serious
risk to the efficacy of police operations, and thus to that aspect of the
proper administration of justice. This ground by itself is sufficient to
dispose of the ban as to operational methods. However, in this case,
publication of the names and identities of the officers in question would
create a serious risk to the efficacy of current, similar operations. The ban
as to identity is necessary and there is no reasonable alternative. The ban
was properly restricted to a period of one year but, as the circumstances of
the case may change, that order will be made subject to further order of the
issuing court.
Even if a serious risk had been demonstrated, the
deleterious effects of the ban as to operational methods on the right of the
press to freedom of expression and the accused’s right to a public trial would
substantially outweigh the benefits to the administration of justice. The
benefits this ban promises are, at best, speculative and marginal improvements
in the efficacy of undercover operations and the safety of officers in the field,
but the deleterious effects are substantial. Such a ban would seriously
curtail the freedom of the press in respect of an issue that may merit
widespread public debate. It would also have a deleterious effect on the right
of the accused to a fair and public trial, which includes the right to have the
media access the courtroom and report on the proceedings. Allowing public
scrutiny of the trial process is to the advantage of the accused because it
ensures that the trial is conducted fairly, and because it can vindicate an
accused person who is acquitted, particularly when the acquittal is surprising
and perhaps shocking to the public. However, the salutary effects of the ban
as to identity are significant. It will reduce the potential harm to the officers
currently in the field and assist in ensuring the efficacy of ongoing
operations. Moreover, its deleterious effects are not as substantial.
Although, in general, the names of police officers who testify against accused
persons need not, and should not, be the subject of publication bans, the
detrimental aspects of a time-limited ban in these circumstances is outweighed
by the salutary effects of the ban.
Cases Cited
Explained: Dagenais
v. Canadian Broadcasting Corp., [1994] 3 S.C.R. 835,
rev’g (1992), 12 O.R. (3d) 239; R. v. Adams,
[1995] 4 S.C.R. 707; referred to: R. v. O.N.E., [2001] 3 S.C.R.
478, 2001 SCC 77; Canadian Broadcasting Corp. v. New Brunswick (Attorney
General), [1996] 3 S.C.R. 480; R. v. Hinse, [1995] 4 S.C.R. 597; Michaud
v. Quebec (Attorney General), [1996] 3 S.C.R. 3; Irwin Toy Ltd. v.
Quebec (Attorney General), [1989] 1 S.C.R. 927; Switzman v. Elbling,
[1957] S.C.R. 285; R. v. Keegstra, [1990] 3 S.C.R. 697; Thomson
Newspapers Co. v. Canada (Attorney General), [1998] 1 S.C.R. 877; R. v.
Big M Drug Mart Ltd., [1985] 1 S.C.R. 295; Re B.C. Motor Vehicle Act,
[1985] 2 S.C.R. 486; Eldridge v. British Columbia (Attorney General),
[1997] 3 S.C.R. 624; Edmonton Journal v. Alberta (Attorney-General),
[1989] 2 S.C.R. 1326.
Statutes and Regulations Cited
Canadian
Charter of Rights and Freedoms, ss. 1 , 2 (b),
11 (d).
Criminal Code, R.S.C. 1985, c. C-46, s. 676(1) [am. c. 27 (1st
Supp.) , s. 139(1) ].
Supreme Court Act, R.S.C. 1985, c. S-26, s. 40(1) [rep. & sub. 1990,
c. 8, s. 37], (3).
APPEAL from a judgment of the Manitoba Court of
Queen’s Bench (2000), 143 Man. R. (2d) 275, 73 C.R.R. (2d) 52, [2000] M.J. No.
69 (QL). Appeal dismissed.
Heather Leonoff, Q.C.,
and Darrin R. Davis, for the appellant.
Timothy J. Killeen
and Wendy A. Stewart, for the respondent.
Cheryl J. Tobias
and Malcolm G. Palmer, for the intervener the Attorney General of
Canada.
Written submissions only by Christopher Webb,
for the intervener the Attorney General for Ontario.
John M. Gordon,
for the intervener the Attorney General of British Columbia.
Jonathan B. Kroft
and Brent C. Ross, for the interveners the Winnipeg Free Press and
the Brandon Sun.
Paul B. Schabas
and Tony S. K. Wong, for the intervener the Canadian Newspaper
Association.
The judgment of the Court was delivered by
Iacobucci J. --
I. Introduction
1
This appeal raises two questions. First, we must decide in what
circumstances this Court has jurisdiction under s. 40(1) of the Supreme
Court Act, R.S.C. 1985, c. S-26 , to hear an appeal of an order for a
publication ban directly from the court making the order. Second, we must
decide whether an order prohibiting publication of the details of the police
practices used in this case ought to have been issued. Along with the appeal
in R. v. O.N.E., [2001] 3 S.C.R. 478, 2001 SCC 77, which was heard at
the same time, this case raises important questions about publicity rights in
trials. It requires us to balance the interests of the public in ensuring
effective policing and society’s fundamental interest in allowing the public to
monitor the police, as well as the right of the accused to a “fair and public
hearing”.
2
I conclude that this Court does have jurisdiction to hear this appeal
and other direct appeals from orders for publication bans, but only in a
limited set of circumstances where no other route of appeal lies. I also find
that the full publication ban in this case should not have been issued. A ban
that conceals the nature of police practices was rightly not ordered by the
trial judge. The improved efficacy of police undercover operations would not
be substantial, and in any event, is outweighed by the deleterious effects on
the rights protected by ss. 2 (b) and 11 (d) of the Canadian
Charter of Rights and Freedoms . However, the more limited ban on the
publication of the involved officers’ names and identities for a one-year
period, was properly ordered. Accordingly, the order of the Manitoba
Court of Queen’s Bench is affirmed and this appeal is dismissed.
II. Background
3
On July 13, 1996, 14-year-old Amanda Cook disappeared from the Rossburn
Harvest Fair. Her body was discovered on July 17, 1996, in the bush near the
fairground. The body was partially clothed and an examination disclosed that
she had been killed by a series of blows to her head with a rock. On March 11,
1997, the respondent was charged with second degree murder for the death of
Amanda Cook. At his first trial in March 1998, a stay of proceedings was
entered after crucial evidence was ruled inadmissible.
4
Following the first trial, the respondent was targeted by the Royal
Canadian Mounted Police in an undercover operation code-named Operation
Decisive. The undercover operation followed a pattern commonly employed by
Canadian police. The respondent was invited by undercover officers to join a
fictitious criminal organization. He was then asked to undertake certain
tasks, the claimed importance of which was increased over time. The tasks
included counting large sums of money and delivering parcels. The respondent
was then told to be honest about his involvement in the murder of Amanda Cook.
When he denied involvement, he was told that the “Boss” of the organization was
angry with the person who had recruited the respondent as the respondent was a
liar. The respondent was again encouraged to discuss the murder honestly. He
was told that the criminal organization would arrange for a person dying of
cancer to confess to the crime, and thereafter would provide assistance to the
respondent in suing the government for wrongful imprisonment.
5
As a result of evidence gathered during this undercover operation, the
indictment was reinstated on January 28, 1999. The second trial commenced on
January 24, 2000, before a judge and jury. In the course of opening
statements, Crown counsel referred to much of the information now sought to be
suppressed, and the interveners the Winnipeg Free Press and the Brandon Sun
reported most of it.
6
During the trial the Crown brought a motion before the trial judge to
prohibit the publication of certain facts that were to be tendered in
evidence. The motion sought a ban on the publication of:
(a) the names and identities of the undercover
police officers [involved] in the investigation of the accused, including any
likeness of the officers, appearance of their attire and physical descriptions;
(b) the conversations of the undercover
operators in the investigation of the accused to the extent that they disclose
the matters in paragraphs (a) and (c);
(c) the specific undercover operation scenarios
used in investigation. . . .
In these
reasons, the ban set out in paragraph (a) will be referred to as “the ban as to
identity”; the ban set out in paragraphs (b) and (c) will be referred to as
“the ban as to operational methods”.
7
The respondent opposed the application for a publication ban. The
interveners, the Winnipeg Free Press and the Brandon Sun, were granted leave to
intervene in the original motion. On February 2, 2000, the trial judge refused
to order the ban as to operational methods. He did grant a ban as to identity
limited to a period of one year. Pending the resolution of this appeal, I
ordered a stay of the trial judge’s decision on February 7, 2000, and made an
order granting the requested publication ban in full, and an order sealing the
affidavits filed with the trial judge. I also ordered that the application for
leave to appeal be expedited, and leave was granted on May 25, 2000. On
February 18, 2000, the trial judge ordered a mistrial as a result of a hung
jury. On September 11, 2000, a third trial was commenced before a judge
alone. On September 29, 2000 the respondent was acquitted of the murder of
Amanda Cook.
III. Relevant
Statutory and Constitutional Provisions
8
Criminal Code, R.S.C. 1985, c. C-46
676. (1) The Attorney General or counsel
instructed by him for the purpose may appeal to the court of appeal
(a) against a judgment or verdict of acquittal of a trial court
in proceedings by indictment on any ground of appeal that involves a question
of law alone;
(b) against an order of a superior court of criminal
jurisdiction that quashes an indictment or in any manner refuses or fails to
exercise jurisdiction on an indictment;
(c) against an order of a trial court that stays proceedings on
an indictment or quashes an indictment; or
(d) with leave of the court of appeal or a judge thereof, against
the sentence passed by a trial court in proceedings by indictment, unless that
sentence is one fixed by law.
Supreme
Court Act, R.S.C. 1985, c. S-26
40. (1) Subject to subsection (3), an appeal
lies to the Supreme Court from any final or other judgment of the Federal Court
of Appeal or of the highest court of final resort in a province, or a judge
thereof, in which judgment can be had in the particular case sought to be
appealed to the Supreme Court, whether or not leave to appeal to the Supreme
Court has been refused by any other court, where, with respect to the
particular case sought to be appealed, the Supreme Court is of the opinion that
any question involved therein is, by reason of its public importance or the
importance of any issue of law or any issue of mixed law and fact involved in
that question, one that ought to be decided by the Supreme Court or is, for any
other reason, of such a nature or significance as to warrant decision by it,
and leave to appeal from that judgment is accordingly granted by the Supreme
Court.
. .
.
(3) No appeal to the Court lies under this section
from the judgment of any court acquitting or convicting or setting aside or
affirming a conviction or acquittal of an indictable offence or, except in
respect of a question of law or jurisdiction, of an offence other than an
indictable offence.
Canadian
Charter of Rights and Freedoms
2. Everyone has the following fundamental freedoms:
. . .
(b) freedom of thought, belief, opinion and expression,
including freedom of the press and other media of communication;
11. Any person charged with an offence has the right
. . .
(d) to be presumed innocent until proven guilty according to law
in a fair and public hearing by an independent and impartial tribunal;
IV. Judgment
Below
Manitoba
Court of Queen’s Bench (2000), 143 Man. R. (2d) 275
9
Menzies J. refused the greater part of the Crown’s application for a
publication ban. He reviewed the decision in Dagenais v. Canadian
Broadcasting Corp., [1994] 3 S.C.R. 835, and rejected the Crown’s argument
that the test for a publication ban set out in Dagenais was only
applicable to motions by the accused to protect his or her right to a fair trial
(p. 277). Instead, he concluded that the right to freedom of expression and to
a fair trial must both be considered in applying Dagenais.
10
Menzies J. noted that the burden was on the Crown, as the party seeking
the publication ban, to lay an evidentiary foundation for the necessity of such
a ban, relying on Canadian Broadcasting Corp. v. New Brunswick (Attorney
General), [1996] 3 S.C.R. 480, at para. 72. The Crown adduced evidence that
the officers involved in this operation continued to be involved in undercover
operations, that the identity of officers in the field would be compromised if
their undercover techniques were to become known to the public, and that the
overall efficacy of these types of undercover operations would also be
jeopardized (pp. 278-79). Menzies J. discounted these concerns, finding that
the right of the accused to a fair trial and the right to freedom of the press
are both protected by the Charter , while “[t]he right of the police to
maintain investigative techniques in the name of the proper administration of
justice does not bring a constitutional guarantee” (p. 279).
11
He therefore declined to issue the requested ban as to operational
methods employed by the police, favouring instead the subjection of police
techniques to the “penetrating light of public scrutiny” (p. 279). However,
Menzies J. did issue the ban as to identity for a period of one year (p. 280).
V. Issues
12
1. Does this Court have jurisdiction under s. 40 of the Supreme
Court Act to hear this appeal?
2. What is the appropriate scope of the publication ban in this case?
VI. Analysis
A. Jurisdiction
13
This Court has considered questions of its jurisdiction in respect of
appeals of publication bans from the court of first instance in two recent
decisions, namely Dagenais, supra, and R. v. Adams,
[1995] 4 S.C.R. 707. In Adams, the trial judge granted a ban on
publication of the name of the complainant in a sexual assault case. Upon
acquitting the accused, he also ordered that the ban on publication be lifted.
The Crown argued that the ban should not have been lifted. At a subsequent
hearing, the trial judge upheld his own ruling revoking the ban. The Crown was
not permitted to appeal the decision to the Court of Appeal because of the
strictures of s. 676(1) of the Criminal Code , which allows Crown appeals
only in limited circumstances. Since the order in issue had been made after
the acquittal of the accused, and since no point of law alone was raised, the
Crown appeal was barred by s. 676(1) .
14
Sopinka J. found that this Court had jurisdiction under s. 40(1) of the Supreme
Court Act to hear a direct appeal. Section 40(1) allows this Court to hear
appeals by leave from “any . . . judgment . . . of the
highest court of final resort in a province, or a judge thereof”. Since the
Crown was unable to appeal the order to any other court, the trial court became
the “highest court of final resort” with respect to the question at issue.
Sopinka J. then considered s. 40(3) of the Supreme Court Act , which
removes from this Court’s s. 40(1) jurisdiction appeals from the judgment of
any court acquitting, convicting, setting aside or affirming a conviction, or
setting aside or affirming an acquittal. He found that the order revoking the
ban was not an order “integrally related” to any of the prohibited forms of
appeal. Rather, it was “an order . . . ancillary to
the underlying judgment rendered by the court”, and thus not barred by s.
40(3) : R. v. Hinse, [1995] 4 S.C.R. 597, at para. 28 (emphasis in
original). As such, the Court had jurisdiction to hear the appeal pursuant to
s. 40(1) .
15
Dagenais, supra, raised a similar issue. The appellant
Canadian Broadcasting Corporation (“C.B.C.”) was enjoined by order of the
Ontario Court (General Division) from broadcasting a fictional mini-series
about physical and sexual abuse of children in a Catholic institution. The
applicants in the case were members of a Catholic religious order, all of whom
were charged with physical and sexual abuse of young boys in their care at a
Catholic training school. The applicants sought and obtained the order on the
basis that their right to a fair trial would be compromised by influencing the
jurors both in ongoing cases and in cases in which the juries had not yet been
selected. The order was appealed to the Ontario Court of Appeal where the ban
on publishing the facts of the proceedings and the sealing of the record were
lifted. The broadcast was restrained in Ontario and Montreal until completion
of the four criminal trials: Canadian Broadcasting Corp. v. Dagenais
(1992), 12 O.R. (3d) 239. The remaining order was appealed to this Court.
16
Lamer C.J., writing for a majority of the Court, found that there was
jurisdiction under s. 40 of the Supreme Court Act to hear the appeal.
After canvassing all of the options for appeal of publication bans by third
parties, he found that such orders when made by provincial court judges should
be reviewed by way of certiorari, and such orders when made by superior
court judges should be appealed to the Supreme Court under s. 40 of the Act.
Because the intention of the jurisdiction-limiting provisions of the Criminal
Code was to establish a comprehensive system of appeals that would replace
the former system of writs of error, and not to minimize or reduce this Court’s
jurisdiction, he found that the Supreme Court Act governed our
jurisdiction over appeals not explicitly excluded by the Criminal Code .
The Court of Appeal did not have jurisdiction to hear the appeal, so the C.B.C.
should have appealed directly to the Supreme Court. Because the trial judge
issuing the ban in that case was the “court of final resort” in the matter, the
Court had jurisdiction under s. 40 to hear the appeal by leave.
17
It remains the case that Parliament has not seen fit to amend the Criminal
Code to provide for clear avenues of appeal in publication bans, for the
Crown, the accused, or interested third parties such as the media. Faced with
this continuing “jurisdictional lacuna”, as Lamer C.J. put it in Dagenais,
the reasoning in Dagenais and in Adams governs the appeal process
to be followed in publication ban cases. I would here reiterate Lamer C.J.’s
observation that the current situation, which fails to provide satisfactory
routes of appeal despite the fundamental rights at stake, is “deplorable”, and
again express the hope that Parliament will soon fill this unnecessary and
troublesome gap in the law. In that respect, I should like to emphasize that
our Court and our judicial system generally greatly benefit from the role of
the courts of appeal, and to eliminate their input on these important questions
is most regrettable.
18
The reasoning in Dagenais and Adams should be read
together in order to define this Court’s jurisdiction under s. 40(1) in cases
such as the instant one where no statutory appeal lies. It remains true that
the Crown and the accused have, in most cases, “established avenues to follow
when seeking or challenging a ban”. Dagenais, supra, at p. 857.
But since Dagenais dealt only with the process to be followed by
appellants who are third parties to the criminal process giving rise to such a
ban, it should not be taken as foreclosing this Court’s jurisdiction where s.
40 of the Act can be read to allow it. The direction that the Crown and
accused follow the ordinary routes of appeal available in the Criminal Code
is obviously restricted to cases where there is an available avenue of
appeal.
19
In Adams, Sopinka J. applied the reasoning in Dagenais.
Having found that a publication ban order had no statutory appeal process under
the Criminal Code , he concluded that such an order by a superior court
judge was an order by the “court of final resort”. He also concluded that s.
40(3) of the Act precluded appeals to this Court of both those matters set out
in the Criminal Code and those matters that are an integral part of any
judgment convicting or acquitting the accused. The section thereby prevents a
multiplicity of appeals from the “vast array of interlocutory orders and
rulings made at trial with respect to the conduct of the proceedings”. Adams,
supra, at para. 17. However, the section does not preclude appeals from
orders that are ancillary, or not integrally related, to the process of
conviction or acquittal of the accused. Adams, supra, at para.
18; Hinse, supra, at para. 28.
20
The Supreme Court Act was passed to allow this Court to serve as
a “general court of appeal for Canada”, and s. 40 must be read in light of the
purpose of the Court’s enabling legislation. Unless the Court is specifically
prohibited from entertaining appeals by s. 40(3) of the Act, it may grant leave
to hear any appeal from the decision of any “court of final resort” in Canada.
Parliament has seen fit to provide generally for rational routes of appeal in
criminal cases. In these cases, we cannot take jurisdiction, nor would we wish
to. But a purposive approach to s. 40 requires the Court to take jurisdiction
where no other appellate court can do so, unless an explicit provision bars all
appeals. Section 40(1) ensures that even though specific legislative
provisions on jurisdiction are lacking, this Court may fill the void until
Parliament devises a satisfactory solution. Concomitantly, s. 40(3) ensures
that this Court is not overrun by a large volume of appeals on interim and
interlocutory orders made in the context of a criminal proceeding, where
Parliament has decided it best that such appeals be conducted in an orderly
fashion at the conclusion of the trial and in accordance with the procedures
provided in the Criminal Code .
21
The situations in which this Court has jurisdiction under s. 40 of the Supreme
Court Act over direct appeals from the court of first instance are,
therefore, appeals where (a) an order deals with issues ancillary, or not
integrally related, to the guilt or innocence of the accused; and (b) where
there is no other available right of appeal or any explicit bar to appeal. In
this case, the publication ban was not integrally related to the guilt or
innocence of the accused. It was neither intended to preserve the fair trial
rights of the accused, nor to secure evidence that might lose its value in the
context of the trial if widely known. Rather, it was sought in order to
maintain the secrecy of police operations in other investigations, where
breach of such secrecy was alleged to endanger the efficacy of these
investigations. In addition, there was no other possible route of appeal in
this case. The publication ban was issued by a superior court judge, not a
provincial court judge. An order by a provincial court judge could be reviewed
by way of the exceptional remedy of certiorari: Dagenais, supra,
at p. 865. The harm caused by the issue or refusal of the ban could not be
cured by the outcome of the trial, making this interlocutory order “final”. No
appeal was available under s. 676(1) of the Criminal Code , and neither
the Code nor s. 40(3) of the Supreme Court Act bars the appeal.
I therefore conclude that this Court has jurisdiction to hear the appeal under
s. 40 of the Supreme Court Act .
B. The
Publication Ban
(1) The Relevant Legal Principles
22
In considering whether this publication ban ought to have been issued,
the starting point is once again this Court’s decision in Dagenais, supra.
In Dagenais, as I discussed above, an order was sought by four accused
persons prohibiting the broadcast of a fictional television mini-series
depicting factual circumstances extremely similar to the facts in issue at each
of their trials, namely, physical and sexual abuse of young boys at religious
training institutions. There, as here, the ban was sought on the basis of the
court’s common law jurisdiction to order publication bans. However, the
specific rationale for the publication ban in that case was, unlike in the
instant case, the need to guard the fair trial interests of accused persons.
23
Lamer C.J. found that the “pre-Charter common law rule governing
publication bans emphasized the right to a fair trial over the free expression
interests of those affected by the ban”. (Dagenais, supra, at p.
877). Given the courts’ obligation to develop the common law in a manner
consistent with Charter values, however, he found that it was
inappropriate to continue assigning this priority to the right of the accused
to a fair trial, when s. 2 (b) of the Charter recognized an
equally important right to freedom of expression. Instead, he adopted a new
approach to assessing whether a common law publication ban should be ordered.
This new approach aimed to balance both the right to a fair trial and the right
to freedom of expression rather than enshrining one at the expense of the
other. The approach adopted was intended to reflect the substance of the Oakes
test and its valuable function in determining what reasonable limits on the
rights to be balanced might be. Accordingly, in Dagenais, supra,
Lamer C.J. found at p. 878, that:
A publication ban should only be ordered when:
(a) Such a ban is necessary in order to prevent a real and
substantial risk to the fairness of the trial, because reasonably available
alternative measures will not prevent the risk; and
(b) The salutary effects of the publication ban outweigh the
deleterious effects to the free expression of those affected by the ban.
[Emphasis in original.]
24
This Court considered a similar issue – the power to exclude media and
the public from a trial – in New Brunswick, supra. In that case,
the Crown moved to exclude the public and the media from the portion of a
sentencing proceeding for sexual assault and sexual interference dealing with
the specific acts committed by the accused (who had pled guilty). The trial
judge, acting pursuant to s. 486(1) of the Criminal Code , granted the
order. At the request of the C.B.C., the trial judge gave reasons, which set
out that he had granted the order in the interests of “the proper
administration of justice”, and specifically on the basis that the order would
avoid “undue hardship on the persons involved, both the victims and the
accused” (para. 79). The C.B.C. then brought a Charter challenge to s.
486(1) . The Court of Queen’s Bench concluded that s. 486(1) offended the right
of freedom of expression in s. 2 (b) of the Charter but was
justifiable under s. 1 . The Court of Appeal affirmed this judgment.
25
La Forest J., writing for a unanimous Court in New Brunswick, supra,
found that the exclusion of the public and media from the courtroom under
s. 486(1) was a violation of the freedom of the press under s. 2 (b).
Section 486(1) restricted expressive activity on its face by providing a
“discretionary bar on public and media access to the courts”: New Brunswick,
supra, at para. 33. However, La Forest J. also found that the violation
was a reasonable limit demonstrably justified under s. 1 of the Charter ,
provided that the discretion was exercised in accordance with the Charter ’s
demands in each individual case. He then found, building on the Court’s
decision in Dagenais, that the trial judge must conduct a similar
exercise in applying s. 486(1) as in applying the common law rule. That is, a
judge, in exercising the discretion provided by s. 486(1) , must:
(a) . . . consider the available options and consider whether
there are any other reasonable and effective alternatives available;
(b) . . . consider whether the order is limited as much as
possible; and
(c) . . . weigh the importance of the . . .
particular order and its probable effects against the importance of openness
and the particular expression that will be limited in order to ensure that the
positive and negative effects of the order are proportionate.
(New Brunswick, supra, at para. 69)
26
La Forest J. also noted that the burden of displacing the presumption of
openness rested on the party applying for the exclusion of the media and
public. Furthermore, he found that there must be a sufficient evidentiary
basis on the record from which a trial judge could properly assess the
application (which may be presented in a voir dire), and which would
allow a higher court to review the exercise of discretion: New Brunswick, at
para. 69. In considering the various factors, La Forest J. found that the
order granted to protect the complainants was improperly granted. The evidence
of potential undue hardship to the complainants, which primarily rested on the
Crown’s submission that the evidence to be brought was of a “‘delicate’ nature”,
did not displace the presumption in favour of an open court.
27
Both Dagenais and New Brunswick set out a similar approach
to be used in deciding whether to order publication bans, in view of the rights
to freedom of expression and freedom of the press protected by s. 2 (b)
of the Charter . This approach, in ensuring that the judicial discretion
to order publication bans is subject to no lower a standard of compliance with
the Charter than legislative enactment, incorporates the essence of s. 1
of the Charter and the Oakes test. In my view, the same
principles are to be applied in cases such as the instant case.
28
Dagenais involved the proper application of a common law
rule allowing publication bans. The ban in this case was also sought pursuant
to the common law jurisdiction of the Queen’s Bench as a Superior Court.
However, the facts of this case invoke a different purpose and different
interests from those raised by the facts of Dagenais. While the Court
in Dagenais was required to reconcile the accused’s interest in a fair
trial with society’s interest in freedom of expression, the accused’s right to
a fair trial in this case is not, and was never, in issue. Indeed, the accused
wishes to have the information disclosed, and views the publication of certain
of the details of his arrest and trial as essential to the fulfilment of his
fair trial interest. Instead, it is the Crown that seeks a publication ban in
order to protect the safety of police officers and preserve the efficacy of
undercover police operations. Thus, a literal application of the test as set
out in Dagenais will not properly account for the interests to be
balanced.
29
The form of the test set out in Dagenais must, therefore, be
reconfigured to account for the different purpose for which the order is sought
and the different effects it will have. Lamer C.J. recognized in Dagenais
that publication bans have a variety of purposes and effects. Significantly,
he noted, at p. 882, that:
. . . it is not the case that freedom of expression and the
accused’s right to a fair trial are always in conflict. Sometimes publicity
serves important interests in the fair trial process. For example, in the
context of publication bans connected to criminal proceedings, these interests
include the accused’s interest in public scrutiny of the court process, and all
the participants in the court process.
30
This appeal implicates precisely that interest. The accused has a Charter
right to a “fair and public hearing”, guaranteed by s. 11 (d), which he
has invoked in opposition to the publication ban. The right to freedom of
expression, argued by the interveners the Winnipeg Free Press and the Brandon
Sun, also falls to the side opposing the publication ban. Were we to simply
weigh, as in Dagenais, the accused’s right to a fair trial and the
public interest in freedom of expression, this would be an open and shut
inquiry, since both of the competing interests recognized in the factual
context of Dagenais are aligned in opposition to granting the ban.
31
However, the common law rule under which the trial judge considered the
publication ban in this case is broader than its specific application in Dagenais.
The rule can accommodate orders that must occasionally be made in the interests
of the administration of justice, which encompass more than fair trial rights.
As the test is intended to “reflec[t] the substance of the Oakes test”,
we cannot require that Charter rights be the only legitimate objective
of such orders any more than we require that government action or legislation
in violation of the Charter be justified exclusively by the pursuit of
another Charter right. Dagenais, supra, at p. 878. Dagenais
envisioned situations where the right to a fair trial and the right to free
expression directly conflicted, and the specific terms Lamer C.J. used in that
case were tailored to apply in that situation. Accordingly, the test we must
apply in order to determine whether the common law rule allowing trial judges
to issue publication bans in the interest of the proper administration of
justice will differ in specific content from the test used in Dagenais,
though not in basic principle.
32
The Dagenais test requires findings of (a) necessity of the
publication ban, and (b) proportionality between the ban’s salutary and
deleterious effects. However, while Dagenais framed the test in the
specific terms of the case, it is now necessary to frame it more broadly so as
to allow explicitly for consideration of the interests involved in the instant
case and other cases where such orders are sought in order to protect other
crucial aspects of the administration of justice. In assessing whether to
issue common law publication bans, therefore, in my opinion, a better way of
stating the proper analytical approach for cases of the kind involved herein
would be:
A publication ban should only be ordered when:
(a) such an order is necessary in order to prevent a serious risk to
the proper administration of justice because reasonably alternative measures
will not prevent the risk; and
(b) the salutary effects of the publication ban outweigh the
deleterious effects on the rights and interests of the parties and the public,
including the effects on the right to free expression, the right of the accused
to a fair and public trial, and the efficacy of the administration of justice.
33
This reformulation of the Dagenais test aims not to disturb the
essence of that test, but to restate it in terms that more plainly recognize,
as Lamer C.J. himself did in that case, that publication bans may invoke more
interests and rights than the rights to trial fairness and freedom of
expression. This version encompasses the analysis conducted in Dagenais,
and Lamer C.J.’s discussion of the relative merits of publication bans remains
relevant. Indeed, in those common law publication ban cases where only freedom
of expression and trial fairness issues are raised, the test should be applied
precisely as it was in Dagenais. For cases where concerns about the
proper administration of justice other than those two Charter rights are
raised, the present, broader approach, will allow these concerns to be weighed
as well. There may also be other cases which raise interests other than the
administration of justice, for which a similar approach would be used,
depending of course on the particular danger at issue and rights and interests
at stake.
34
I would add some general comments that should be kept in mind in
applying the test. The first branch of the test contains several important
elements that can be collapsed in the concept of “necessity”, but that are
worth pausing to enumerate. One required element is that the risk in question
be a serious one, or, as Lamer C.J. put it at p. 878 in Dagenais, a
“real and substantial” risk. That is, it must be a risk the reality of which
is well-grounded in the evidence. It must also be a risk that poses a serious
threat to the proper administration of justice. In other words, it is a
serious danger sought to be avoided that is required, not a substantial benefit
or advantage to the administration of justice sought to be obtained.
35
A second element is the meaning of “the proper administration of
justice”. I do not wish to restrict unduly the kind of dangers which may make
a ban necessary, as discretion is an essential aspect of the common law rule in
question. However, judges should be cautious in deciding what can be regarded
as part of the administration of justice. Obviously the use of police
operatives and informers is part of the administration of justice, as are such
practices as witness protection programs.
However,
courts should not interpret that term so widely as to keep secret a vast amount
of enforcement information the disclosure of which would be compatible with the
public interest.
36
The third element I wish to mention was recognized by La Forest J. in New
Brunswick, supra, at para. 69, when he formulated the three part
test discussed above. La Forest J.’s second step is clearly intended to
reflect the minimal impairment branch of the Oakes test, and the same
component is present in the requirement at common law that lesser alternative
measures not be able to prevent the risk. This aspect of the test for common
law publication bans requires the judge not only to consider whether reasonable
alternatives are available, but also to restrict the order as far as possible
without sacrificing the prevention of the risk.
37
It also bears repeating that the relevant rights and interests will be
aligned differently in different cases, and the purposes and effects invoked by
the parties must be taken into account in a case-specific manner. Where the
accused is seeking the publication ban on the basis that his trial will be
compromised, a judge would improperly apply the test if he relied on the right to
a public trial to the disadvantage of the accused. This test exists to ground
the exercise of discretion in a constitutionally sound manner, not to command
the same result in every case. Trial judges must, at the outset, use their
best judgment to determine which rights and interests are in conflict. In most
cases this will not be overly onerous. The parties will frame their arguments
in terms that make clear the interests they feel are threatened by the issuance
or refusal of a publication ban and those they are ready to sacrifice in the
face of the threat.
38
In some cases, however, most notably when there is no party or
intervener present to argue the interests of the press and the public to free
expression, the trial judge must take account of these interests without the
benefit of argument. The consideration of unrepresented interests must not be
taken lightly, especially where Charter -protected rights such as freedom
of expression are at stake. It is just as true in the case of common law as it
is of statutory discretion that, as La Forest J. noted, “[t]he burden of
displacing the general rule of openness lies on the party making the
application”: New Brunswick, supra, at para. 71; Dagenais,
supra, at p. 875. Likewise, to again quote La Forest J. (at paras.
72-73):
There must be a sufficient evidentiary basis from
which the trial judge may assess the application and upon which he or she may
exercise his or her discretion judicially. . . .
A sufficient evidentiary basis permits a reviewing
court to determine whether the evidence is capable of supporting the decision.
In cases where
the right of the public to free expression is at stake, however, and no party
comes forward to press for that right, the judge must consider not only the
evidence before him, but also the demands of that fundamental right. The
absence of evidence opposed to the granting of a ban, that is, should
not be taken as mitigating the importance of the right to free expression in
applying the test.
39
It is precisely because the presumption that courts should be open and
reporting of their proceedings should be uncensored is so strong and so highly
valued in our society that the judge must have a convincing evidentiary basis
for issuing a ban. Effective investigation and evidence gathering, while
important in its own right, should not be regarded as weakening the strong
presumptive public interest, which may go unargued by counsel more frequently
as the number of applications for publication bans increases, in a transparent
court system and in generally unrestricted speech on matters of such public
importance as the administration of justice.
(2) Application to the Present Appeal
(a) Necessity
40
The test set out above requires an initial consideration of what the
rights and interests at issue are, and whether they militate for or against the
issue of a ban, before proceeding to evaluate the purpose and effects of the
ban. In this case, the interest put forward by the Crown, seeking the
publication ban, was the interest of proper administration of justice.
Therefore we must assess whether the ban was necessary in order to protect the
proper administration of justice, not specifically in order to protect the
right of the accused to a fair trial. Although the right to a fair trial is
certainly a part of the proper administration of justice, the accused opposed
the ban on the strength of his other s. 11 right, the right to a public trial.
In addition, the trial is now long over and the right to a fair trial no longer
has an immediate relevance for this accused. Thus, it would be inappropriate
to consider the accused’s fair trial rights under the first branch of the
analysis. The second stage is the appropriate place to weigh the effects of
the ban – once it has been shown to be necessary in light of its objective – on
other rights and interests. Under the second branch, in this appeal, we must
weigh the effects of the ban on (a) the right of the accused to a public trial;
(b) the right of the public and the press to freedom of expression; and (c) the
efficacy of the administration of justice.
(i) Ban as to Operational Methods
41
In considering the first step of the analysis, it is helpful to review
what is sought to be concealed in this case. The Crown contends that
undercover police operations such as the one employed against the respondent
may be compromised if the details of such operations are publicized in the mass
media. The level of detail claimed to constitute a danger to ongoing and
future operations, if disclosed, is relatively general. In the Crown’s
submission, the following ten facts, the “hallmarks of the operation”, must be
kept from wide dissemination:
- that Mentuck was given the opportunity to
join a criminal organization that would provide him with the potential to earn
large sums of money so long as he showed his loyalty by confessing any past
criminal activity;
- that he was told that the undercover
operator was in trouble with the “Crime Boss” because it was believed that he
had recruited a liar;
- that he was asked to pick up a parcel from
a bus depot locker and turn the key over to the operator;
- that he was asked to pick up and deliver a
vehicle on the instructions of the operator;
- that he was asked to stand guard and report
any strange happenings while the undercover operator attended a meeting;
- that he was asked to help count large sums
of money;
- that he was paid substantial sums of money
for completing these tasks;
- that he met with the “Crime Boss” in a
hotel room;
- that he was told he needed to provide
details of his involvement in the death of Amanda Cook so that arrangements
could be made for a person dying of cancer to confess to the crime;
- that he was told he would be assisted in
suing the government for wrongful imprisonment and would be allowed to keep a
minimum of $85,000 or 10% of the settlement, which ever was larger.
42
The Crown submits that these “hallmarks of the operation” need not be
kept entirely secret by the publication ban, but that they must be kept out of
the mass media, since the type of persons targeted by these operations are much
more likely to have access to recent copies of newspapers and to television
news reports than to, for instance, legal journals and law reports. Assuming
that these publications can be properly identified, this would mean that
lawyers, law professors and law students would be aware of the police
practices, but not the general public. I find that result disquieting to say
the least. But leaving that aside, if persons who are currently, or who may be
prospectively, the targets of such operations read accounts of the respondent’s
investigation, the appellant argues, they may recognize similar experiences
that have been orchestrated in the investigations of which they are the
target. If this occurs, the operation will be compromised. The suspect will
be unlikely to confess once he or she realizes that the criminal organization
he or she has joined is a construct of the police. Indeed, the Crown suggests
that there may be danger to the persons of the involved officers once the
suspect becomes aware that he or she has been “duped”.
43
It is my view that, on balance, the appellant does not, at this first
stage of the test, make out a case that the ban as to operational methods
should have issued. The serious risk at issue here is that the efficacy of
present and future police operations will be reduced by publication of these
details. I find it difficult to accept that the publication of information
regarding the techniques employed by police will seriously compromise the
efficacy of this type of operation. There are a limited number of ways in
which undercover operations can be run. Criminals who are able to extrapolate
from a newspaper story about one suspect that their own criminal involvement
might well be a police operation are likely able to suspect police involvement
based on their common sense perceptions or on similar situations depicted in
popular films and books. While I accept that operations will be compromised if
suspects learn that they are targets, I do not believe that media publication
will seriously increase the rate of compromise. The media have reported the
details of similar operations several times in the past, including this one.
In spite of this publicity, Sgt. German, in his affidavit, was only able to
positively identify one instance in which media reports arguably resulted in
the compromise of an operation.
44
The appellant submitted that this Court’s decision in Michaud v.
Quebec (Attorney General), [1996] 3 S.C.R. 3, recognized the legitimacy of
weighing the state’s interest in protecting investigative techniques and the
individual’s right to privacy. That much is true. However, that case, in
upholding the prior existing judicial interpretation of s. 187 of the Criminal
Code (a section which authorizes telephone surveillance by police), invoked
different dangers from those in this appeal. Specifically, Michaud recognized
the real dangers to which police informants are subject in providing the
information necessary to persuade a judge that a wiretap is necessary. Real,
not pretextual, criminal organizations and individuals are involved and
informants will often be at serious and substantial risk of bodily harm. The
concerns which drove the Court’s decision in Michaud are also properly
considered in this case, but do not rise to the level of danger shown in the
earlier appeal.
45
I do not doubt that undercover operations can be risky, and that
discovery by the targets may result in the resources and efforts of the police
being wasted. There is a personal risk, as well, to the officers involved,
which we must take seriously, although this risk is much less serious in this
type of targeting operation (in which many officers are engaged with a single
suspect) than in lone infiltrations of existing, actual criminal
organizations. But, the danger to the efficacy of the operation is not
significantly increased by republication of the details of similar operations
that have already been well-publicized in the past. It is the incremental
effect of the proposed ban, viewed in light of what has already been published
before, that must be evaluated in this appeal. That is, in terms of the
framework adopted above, republication of this information does not constitute
a serious risk to the efficacy of police operations, and thus to that
aspect of the proper administration of justice. Accordingly, in the final
analysis and looking at all the circumstances, in my view this ground by itself
is sufficient to dispose of the widest part of the ban as to operational
methods.
(ii) The Ban as to Identity
46
However, I accept that the publication of the names and identities of
the officers in question would create a serious risk to the efficacy of
current, similar operations. Given that the officers involved appear to go by
their real names in the course of this undercover work, publishing their names
could very easily alert targets that their apparent criminal associates are in
fact police officers. Furthermore, since the operations in question have
already been commenced, it would obviously be unreasonable for officers to
adopt pseudonyms now. The targets already know their real names. Accordingly,
I agree with Menzies J. that a ban on the publication of officers’ names is
necessary and that there is no reasonable alternative.
47
I also agree that the ban should be restricted to a period of one year.
After ongoing operations have been completed, reasonable alternative measures
such as the regular use of pseudonyms, the use of different officers, and the
use of different scenarios will become available to the police. Should the
circumstances of a particular case change, of course, the ban may need to be
shortened or extended. For that reason it will be prudent for such orders of
publication bans to be made subject to further order of the court.
(b) Proportionality
(i) Ban as to Operational Methods
48
Although, strictly speaking, it is unnecessary to continue the analysis
upon a finding that the ban as to operational methods is not necessary, it will
often be useful to bolster that conclusion by nevertheless conducting the
second part of the analysis. In this case, even if there were a serious risk
demonstrated, I believe that the ban as to operational methods does not meet
the proportionality component of the approach set forth in these reasons.
49
The ban as to operational methods would have the salutary effect on the
administration of justice of protecting officers in the field and ensuring that
the targets of the operation continue to provide useful information. In so far
as these effects are real and substantial they will constitute a salutary effect.
However, as I noted above, I do not regard the proposed ban as substantially
increasing the safety of officers. Since I also found above that the requested
publication ban was unlikely to have significant effects on the likelihood that
suspects will realize that they are being targeted in undercover operations, I
do not regard the salutary effects that would be produced by the requested
publication ban as significant, compelling benefits. At most this ban would
produce speculative and marginal improvements in the efficacy of undercover
operations and the safety of officers in the field.
50
The deleterious effects, however, would be quite substantial. In the
first place, the freedom of the press would be seriously curtailed in respect
of an issue that may merit widespread public debate. A fundamental belief
pervades our political and legal system that the police should remain under
civilian control and supervision by our democratically elected officials; our
country is not a police state. The tactics used by police, along with other
aspects of their operations, is a matter that is presumptively of public
concern. Restricting the freedom of the press to report on the details of
undercover operations that utilize deception, and that encourage the suspect to
confess to specific crimes with the prospect of financial and other rewards,
prevents the public from being informed critics of what may be controversial
police actions.
51
As this Court recognized in Irwin Toy Ltd. v. Quebec (Attorney General),
[1989] 1 S.C.R. 927, at p. 976, “participation in social and political
decision-making is to be fostered and encouraged”, a principle fundamental to a
free and democratic society. See Switzman v. Elbling, [1957] S.C.R.
285; R. v. Keegstra, [1990] 3 S.C.R. 697; Thomson Newspapers Co. v.
Canada (Attorney General), [1998] 1 S.C.R. 877. Such participation is an
empty exercise without the information the press can provide about the
practices of government, including the police. In my view, a publication ban
that restricts the public’s access to information about the one government body
that publicly wields instruments of force and gathers evidence for the purpose
of imprisoning suspected offenders would have a serious deleterious effect.
There is no doubt as to how crucial the role of the police is to the maintenance
of law and order and the security of Canadian society. But there has always
been and will continue to be a concern about the limits of acceptable police
action. The improper use of bans regarding police conduct, so as to insulate
that conduct from public scrutiny, seriously deprives the Canadian public of
its ability to know of and be able to respond to police practices that, left
unchecked, could erode the fabric of Canadian society and democracy.
52
Secondly, the right of the accused to a “fair and public hearing” would
be deleteriously affected by the requested publication ban. This Court has not
previously had occasion to elaborate at length on the content of the right to a
“public hearing” protected by s. 11 (d) of the Charter . As it is not
squarely before us, I do not wish to be in any way conclusive on the issue
either. It is clear, however, that s. 11 (d) guarantees not only an open
courtroom, but the right to have the media access that courtroom and report on
the proceedings. This Court has consistently adopted a purposive approach to
interpreting the text of the Charter . See, e.g., R. v. Big M Drug
Mart Ltd., [1985] 1 S.C.R. 295; Re B.C. Motor Vehicle Act, [1985] 2
S.C.R. 486; Eldridge v. British Columbia (Attorney General), [1997] 3
S.C.R. 624. The right to a public trial is meant to allow public scrutiny of
the trial process. In light of that purpose, the observations of Cory J. in
discussing the right to freedom of expression are also apt when applied to the
right to a public trial:
It is exceedingly difficult for many, if not most, people to attend a
court trial. Neither working couples nor mothers and fathers house-bound with
young children, would find it possible to attend court. Those who cannot
attend rely in large measure upon the press to inform them about court
proceedings – the nature of the evidence that was called, the arguments
presented, the comments made by the trial judge – in order to know not only
what rights they may have, but how their problems might be dealt with in
court. . . . Discussion of court cases and constructive criticism of
court proceedings is dependent upon the receipt by the public of information as
to what transpired in court. Practically speaking, this information can only
be obtained from the newspapers or other media.
(Edmonton Journal v. Alberta (Attorney General), [1989] 2 S.C.R.
1326, at pp. 1339-40)
Given the
realities of modern life and the inconvenience of the open courtroom to members
of the public, the right to a public trial must include the right to have media
access and report on the trial as well.
53
This public scrutiny is to the advantage of the accused in two senses.
First, it ensures that the judicial system remains in the business of
conducting fair trials, not mere show trials or proceedings in which
conviction is a foregone conclusion. The supervision of the public ensures
that the state does not abuse the public’s right to be presumed innocent, and
does not institute unfair procedures. See Dagenais, supra, at p.
883.
54
Second, it can vindicate an accused person who is acquitted,
particularly when the acquittal is surprising and perhaps shocking to the
public. In many cases, it is not clear to the public, without the advantage of
a full explanation, why an accused person is acquitted despite what a
reasonable person might consider compelling evidence. Where a publication ban
is in place, the accused has little public answer. In the present appeal, the
public was aware that a confession was in evidence. One might expect public
confusion and even anger at such a seemingly nonsensical verdict, as in fact
occurred in response to the acquittal underlying the companion to this appeal, O.N.E.,
supra. If the facts of the police operation were available to the
public, the public could make an informed judgment about the reasonableness of
the accused’s acquittal. The accused could feel vindicated to some extent. On
this basis, the publication ban sought would have a deleterious effect on the
accused’s right to a public trial.
55
It is clear, then, that on balance, even if the requested ban as to
operational methods was necessary to prevent a serious risk to the
administration of justice, it could not have been granted. The deleterious
effects of the proposed ban on the right of the press to freedom of expression
and the accused’s right to a public trial substantially outweigh the benefits
to the administration of justice.
(ii) The Ban as to Identity
56
The situation is, again, different in the case of the requested ban as
to identity. The ban will reduce the potential harm to these officers
currently in the field. I readily acknowledge that these officers face some
degree of risk from their current targets, although the officers will usually
outnumber the suspects in these cases. More importantly, the ban will assist
in ensuring the efficacy of ongoing operations, since it will prevent the names
and descriptions of the officers from reaching the attention of their current
targets. I find that the salutary effects of the ban as to identity are
significant.
57
The deleterious effects of this ban are, on the other hand, not as
substantial. The informed public debate about the propriety of the police
tactics used in this and similar cases can proceed unhindered without the need
for knowledge of which police officers, precisely, were involved. It is
largely irrelevant to the accused’s desire for public vindication whether the
names of the officers are immediately known. It is true that, in general, the
names of police officers who testify against accused persons need not, and
should not, be the subject of publication bans in a free and democratic
society. However, given the time-limited nature of the ban issued by Menzies
J., and given the unusual nature of the work performed by these officers in
this case, I am satisfied that this concern is outweighed by the salutary
effects of the ban.
58
I disagree, however, with the appellant’s request that the ban be made
indefinite. As a general matter, it is not desirable for this, or any, Court
to enter the business of permanently concealing information in the absence of a
compelling reason to do so. The appellant suggests that the officers would be
in physical danger if their identities were ever revealed. This is not a
substantial enough risk to justify permanent concealment. All police officers
are subject to the possibility of retributive violence from criminals they have
apprehended and other persons who bear them grudges or ill-will. In rare cases
this may result in tragic events, and while all efforts must be deployed to
prevent such consequences, a free and democratic society does not react by
creating a force of anonymous and unaccountable police. I do not find that
these officers are at a substantially greater risk than other police officers.
Given a showing on the record of a future case that a specific group of
officers indeed suffers a grave and long-term risk to life and limb, a permanent
or extended ban would be considered.
59
I do not, however, wish to be taken as creating a bright-line rule
restricting publication bans to a year. Different cases will involve different
considerations, and there may well be times when the danger to officers or to
the importance of the administration of justice of police operations rises to a
level of seriousness sufficient to justify the deleterious effects inherent in
publication bans of a longer duration. Furthermore, these different
considerations may authorize a different approach in some cases to the process
of tailoring. There may be cases where a longer ban might be tailored to
reduce its impact by prohibiting only the publication of the likeness or
photograph of an officer, not his name. Should the police choose to adopt the
practice of using pseudonyms in undercover operations, this would clearly be a
sensible option that would mitigate some of the dangers of long-term secrecy.
VII. Conclusion
60
With the foregoing in mind, I would find that the ban ordered by Menzies
J. was properly issued and was of the appropriate scope in light of the
requirements of the Charter . It was properly tailored to meet the real
concerns about the safety of officers currently in the field, and about the efficacy
of operations that are still underway. The ban, and similar bans issued in
accordance with the considerations set out above and in Dagenais, supra,
is to be supervised by the issuing court, in this case by the Manitoba Court of
Queen’s Bench. Publication bans designed to protect the identity of officers
should be tailored, as was done in this case, to ensure the security and
anonymity of the officers while involved in undercover operations. However,
such bans should not be indefinite. They should be lifted when the undercover
operation comes to an end, or when it may be reasonably expected to end. It
would be unwise for this Court to countenance the establishment of a
permanently anonymous section of the police force in the absence of more evidence
of serious and long-term danger to the security of particular officers.
61
The appeal is dismissed and the order of Menzies J. affirmed. As a
result, I would quash the previous order granting the requested publication ban
in full pending this appeal and restore the order of Menzies J. dated February
2, 2000 subject to further order of the Court of Queen’s Bench. However, I
substitute proprio motu, in calculating the one-year duration of the
allowed ban, the date that this judgment is released for the date Menzies J.’s
order was released to comply with the spirit of that order. The respondent
should have his costs in this Court and the court below.
Appeal dismissed with costs.
Solicitor for the appellant: The Attorney General of
Manitoba, Winnipeg.
Solicitors for the respondent: Killeen Chapman Garreck,
Winnipeg.
Solicitor for the intervener the Attorney General of
Canada: The Attorney General of Canada, Vancouver.
Solicitor for the intervener the Attorney General for
Ontario: The Attorney General for Ontario, Toronto.
Solicitor for the intervener the Attorney General of British
Columbia: The Attorney General of British Columbia, Vancouver.
Solicitors for the interveners the Winnipeg Free Press and the
Brandon Sun: Aikins, MacAuley & Thorvaldson, Winnipeg.
Solicitors for the intervener the Canadian Newspaper Association:
Blake, Cassels & Graydon, Toronto.