R. v. Khan, [2001] 3 S.C.R. 823, 2001
SCC 86
Mohamed Ameerulla Khan Appellant
v.
Her Majesty The Queen Respondent
Indexed as: R. v. Khan
Neutral citation: 2001 SCC 86.
File No.: 27395.
2000: December 12; 2001: December 7.
Present: McLachlin C.J. and L’Heureux‑Dubé,
Gonthier, Major, Binnie, Arbour and LeBel JJ.
on appeal from the court of appeal for manitoba
Criminal law -- Appeals -- Powers of court of
appeal -- Error of law -- Miscarriage of justice -- Curative proviso --
Whether trial judge erred in refusing to order mistrial where jury was provided
with transcripts containing submissions made in absence of jury -- Criminal
Code, R.S.C. 1985, c. C‑46, s. 686(1) .
After a trial before a judge and jury, the accused was
convicted of the first degree murder of his wife. During the course of its
deliberations, the jury requested transcripts of the pathologist’s testimony.
Approximately six and a half hours after the transcripts were delivered to the
jury, defence counsel discovered that the copy of the transcript given to the
jury inadvertently contained the record of matters discussed in the absence of
the jury during a voir dire. As such matters should have been expunged,
defence counsel moved for a mistrial on the basis that the proceedings had
become tainted and the trial was unfair. The defence argued that the jury had
learned that the accused had made comments that were ruled inadmissible. In
the defence’s view, the jury would speculate as to those comments and would
draw an adverse inference against the accused. The trial judge denied the
request for a mistrial. The offending transcripts were retrieved and the jury
was provided with clean copies. The trial judge cautioned the jury that they
were to rely solely on the evidence that was put before them. Once the jury
returned a guilty verdict of first degree murder, the trial judge requested
further submissions regarding the possibility of granting a mistrial. After
submissions by both counsel, the trial judge again declined to declare a
mistrial. The accused’s appeal to the Court of Appeal was dismissed.
Held: The appeal
should be dismissed.
Per McLachlin C.J.
and L’Heureux‑Dubé, Gonthier, Major, Binnie and Arbour JJ.: The question
in this case is not whether the giving of the unedited transcripts to the jury
was a miscarriage of justice or a procedural irregularity, but whether the
trial judge made an error of law in refusing to declare a mistrial.
Apart from unreasonable verdict cases, most appeals
against conviction are based on errors of law within the meaning of
s. 686(1) (a)(ii) of the Criminal Code . In some cases, when
the court has concluded that the error alleged was at most an error of mixed
fact and law, it has characterized the issue as falling under s. 686(1) (a)(iii),
that is, a miscarriage of justice. In such a case, further use of the proviso
in s. 686(1) (b)(iii) is obviously precluded and the appeal must be
allowed. The appeal in this case is entirely governed by the provisions of
ss. 686(1) (a)(ii) and 686(1) (b)(iii). There are essentially
two classes of errors that have led to a proper application of the curative
proviso: “harmless errors”, or errors of a minor nature having no impact on the
verdict; and serious errors that would justify a new trial but for the fact
that the evidence was so overwhelming that no substantial wrong or miscarriage
of justice occurred despite the error. In every case, if the reviewing court concludes
that the error led to a denial of a fair trial, the court may properly
characterize the matter as one where there was a miscarriage of justice, in
which case no remedial provision is available and the appeal must be allowed.
This case does not require an assessment of the
overall strength of the Crown’s case at trial. When asked to declare a
mistrial, the trial judge was essentially asked whether it was likely that the
exposure by the jury to the tainted transcripts could have affected the jury to
the point that the entire trial was compromised and that no remedy other than a
new trial was available. Read in full, the offending passage in the
transcripts handed to the jury refers to several matters that were not in
evidence when the argument took place in the absence of the jury. A fair
assessment of the impact that the transcript could have had on the jury must be
made on the assumption that the jury read the transcript and understood that
counsel for the accused was concerned that the jury should not find out that
his client had made statements that the court had ruled inadmissible. This is
how the trial judge approached the issue, and that is why she cautioned the
jury as she did. She did not identify specifically the impugned passages, so
as not to aggravate the damage, if any, but she clearly instructed the jury to
disregard any references to matters that were not properly in evidence before
them. The trial judge was obviously concerned with the effect and
consequences of what had transpired and she took seriously the application for
a mistrial. However, she made no error when she exercised her discretion to
deny the motion for a mistrial, nor did she err in declining to enter a
mistrial after the jury had returned its verdict. The trial judge was in a
privileged position to assess the possible impact of the mishap on the jury,
and the effectiveness of the sharp warning that she issued. There is no basis
upon which it could be said that she was wrong in that judgment call. The
information before the jury was at most an innuendo. Taking the case at its
highest from the accused’s point of view, the admonition issued by the trial
judge to the jury was sufficient to remedy any ill effect that the unedited
transcripts might have had on the jury. As the trial judge did not err in
rejecting the motion for a mistrial, there is no need to turn to the proviso.
Per LeBel J.: The
question before this Court is whether the conviction should be reversed because
either an “error of law” or a “miscarriage of justice” has occurred and, if so,
whether the curative proviso should be applied. In order for a verdict to be
reversed under s. 686(1)(a)(ii) of the Code, it is not
sufficient to demonstrate that a legal mistake has occurred. The judgment must
have been based or possibly based on that mistake, so as to prejudice the
accused. The other situations that may justify the intervention of a court of
appeal fall into a residual category. Section 686(1)(a)(iii)
refers to miscarriages of justice, which cover irregularities other than the
errors of law mentioned in s. 686(1)(a)(ii) and which may have
rendered the trial unfair or created the appearance of unfairness for the
accused. Although ss. 686(1)(a)(ii) and 686(1)(a)(iii) are
distinct, they are nevertheless closely related. Both involve situations where
an irregularity has occurred during the course of the trial. Whether the
defect at trial appears to have been an error of law or an irregularity falling
within the residual category of miscarriage of justice, the circumstances must
be considered to see if the error was merely peripheral or could have played a
significant role in the legal validity of the verdict or rendered the trial
unfair, in reality or in appearance. If the error of law could not have
prejudiced the accused, the conviction will be upheld. Reaching a conclusion
in that respect will require a balancing taking into account the circumstances
of the case and, more particularly, the nature and impact of the error of law.
In that regard, the analysis under s. 686(1)(a)(ii) may call upon
similar considerations as under s. 686(1)(a)(iii).
An irregularity can be said to constitute a
miscarriage of justice when the irregularity was severe enough to render the
trial unfair or create the appearance of unfairness. Contrary to the analysis
under the proviso, the emphasis is not so much on the final verdict and the
overall strength of the evidence against the accused, but rather on the gravity
of the irregularity and the effect it may have had on the fairness, or
appearance of fairness, of the trial. The gravity of irregularities which may
occur must inevitably be evaluated by courts on a case‑by‑case
basis. This being said, certain elements can provide reference points in
determining whether a miscarriage of justice has occurred. First, one should
ask whether the irregularity pertained to a question that was central to the
case against the accused. An irregularity that is related to a central point of
the case is more likely to be fatal than one concerning a mere peripheral
point. Second, the court of appeal should consider the relative gravity of the
irregularity: how much influence it could have had on the verdict; the chances
that the apprehended detrimental effect of the irregularity did in fact occur;
and the likely severity of these detrimental effects on the accused’s case.
When the court considers the gravity of the error, it should also consider the
possible cumulative effect of several irregularities during the trial. Third,
one should be mindful of whether the trial was by jury or by a judge sitting
alone. Sometimes, irregularities can have a more severe impact on the fairness
of the trial when they occur during a trial before a judge and a jury. Fourth,
one should ask whether the irregularity may have been remedied, in full or in
part, at the trial. Fifth, the effect of the irregularity on the fairness of
the trial and the appearance of fairness should be considered. Sixth, the
attitude of defence counsel if and when he was confronted with the irregularity
may have an impact. If defence counsel had an opportunity to object to the
irregularity and failed to do so, this militates in favour of finding that the
trial was not unfair.
The second stage of the analysis is the applicability
of the curative proviso. In order to invoke s. 686(1)(b)(iii)
successfully, the Crown must demonstrate that any reasonable judge or jury
would have rendered the same verdict. Even though an important error of law
could have influenced the decision, it would not be appropriate to reverse the
conviction when the evidence is so overwhelming against the accused that it
would inevitably lead to the same result. Similarly, when the court of appeal
finds that the evidence against the accused would inevitably have led to the
same result, it can uphold a conviction despite having found that a procedural
irregularity not amounting to a miscarriage of justice had occurred.
Regardless of whether the proviso is used to cure an error of law or a
procedural irregularity not amounting to a miscarriage of justice, it may be
used only when the conviction was inevitable.
The leak of the tainted transcript to the jury was
certainly an error or an irregularity. This mistake does not seem to be in the
nature of an error of law. The judge did not make a decision on a question of
law that was among the bases of a conviction. The error was more akin to a
procedural irregularity that happened by accident. Thus, as this case does not
seem to fall squarely within the error of law category, this becomes a matter
to be examined under the residual category of procedural irregularity. The
irregularity did not amount to a miscarriage of justice. First, it did not relate
to a point that was particularly central in law or in fact to the case against
the accused. Second, the irregularity was not of significant importance. The
fact that the trial was held before a judge and jury militates in favour of a
finding of unfairness. However, all doubts concerning the unfairness or
appearance of unfairness of the trial are put to rest when the remedy chosen by
the judge when she realized that the tainted transcripts had been leaked to the
jury is considered.
Since no miscarriage of justice occurred, it is
unnecessary to examine whether the conviction could be saved under the curative
proviso.
Cases Cited
By Arbour J.
Referred to: Rizzo
& Rizzo Shoes Ltd. (Re), [1998] 1 S.C.R. 27; R. v. Cloutier
(1988), 43 C.C.C. (3d) 35; R. v. Bain, [1992] 1 S.C.R. 91; R. v.
Fenton (1984), 11 C.C.C. (3d) 109; R. v. Karpinski, [1957] S.C.R.
343; R. v. Simons (1976), 30 C.C.C. (2d) 162; R. v. Sarazin
(1978), 39 C.C.C. (2d) 131; R. v. Dwyer, [1980] 1 S.C.R. 481, rev’g
(1978), 42 C.C.C. (2d) 83; Brodie v. The King, [1936] S.C.R. 188; R.
v. Vallee, [1969] 3 C.C.C. 293; R. v. Major, [1977] 1 S.C.R. 826; R.
v. Côté, [1978] 1 S.C.R. 8; Elliott v. The Queen, [1978] 2 S.C.R.
393; Kipp v. Attorney‑General for Ontario, [1965] S.C.R. 57; R.
v. Sheets, [1971] S.C.R. 614; R. v. Meunier, [1966] S.C.R. 399; R.
v. Barrow, [1987] 2 S.C.R. 694; R. v. Rowbotham (1988), 41 C.C.C.
(3d) 1; Korponay v. Attorney General of Canada, [1982] 1 S.C.R. 41; Trenholm
v. Attorney‑General of Ontario, [1940] S.C.R. 301; Doyle v. The
Queen, [1977] 1 S.C.R. 597; R. v. Krannenburg, [1980] 1 S.C.R. 1053;
R. v. Joinson (1986), 32 C.C.C. (3d) 542; Bell (Re), [1988]
B.C.J. No. 1897 (QL); Fanjoy v. The Queen, [1985] 2 S.C.R. 233; R. v.
B. (L.C.) (1996), 104 C.C.C. (3d) 353; R. v. Silvini (1991), 68
C.C.C. (3d) 251; R. v. Cameron (1991), 64 C.C.C. (3d) 96; Colpitts v.
The Queen, [1965] S.C.R. 739; Wildman v. The Queen, [1984] 2 S.C.R.
311; R. v. B. (F.F.), [1993] 1 S.C.R. 697; R. v. Bevan, [1993] 2
S.C.R. 599; Chibok v. The Queen (1956), 24 C.R. 354; R. v. Tran,
[1994] 2 S.C.R. 951; R. v. Jolivet, [2000] 1 S.C.R. 751, 2000 SCC 29; R.
v. Stone, [1999] 2 S.C.R. 290; R. v. Ménard, [1998] 2 S.C.R. 109; R.
v. Jacquard, [1997] 1 S.C.R. 314; R. v. Rockey, [1996] 3 S.C.R. 829;
R. v. MacGillivray, [1995] 1 S.C.R. 890; R. v. Haughton, [1994] 3
S.C.R. 516; United Nurses of Alberta v. Alberta (Attorney General),
[1992] 1 S.C.R. 901; Gunn v. The Queen, [1974] S.C.R. 273; R. v.
Klatt (1994), 94 C.C.C. (3d) 147; R. v. Wong (1992), 12 B.C.A.C.
211; R. v. S. (P.L.), [1991] 1 S.C.R. 909; R. v. Nijjar, [1998] 1
S.C.R. 320; Alward v. The Queen, [1978] 1 S.C.R. 559; Ambrose v. The
Queen, [1977] 2 S.C.R. 717; Dufresne v. La Reine, [1988] R.J.Q. 38; R.
v. Welch (1980), 5 Sask. R. 175.
By LeBel J.
Referred to: R. v.
Duke (1985), 22 C.C.C. (3d) 217; R. v. Watson
(1991), 4 B.C.A.C. 253; R. v. Armstrong, [1970] 1 C.C.C. 136; R. v.
R. (R.) (1994), 91 C.C.C. (3d) 193; Emkeit v. The Queen, [1974]
S.C.R. 133; R. v. Paterson (1998), 102 B.C.A.C. 200; R. v. Cameron
(1991), 64 C.C.C. (3d) 96; Fanjoy v. The Queen, [1985] 2 S.C.R. 233; R.
v. Joanisse (1995), 102 C.C.C. (3d) 35; R. v. Curragh Inc., [1997] 1
S.C.R. 537; R. v. Find, [2001] 1 S.C.R. 863, 2001 SCC 32; R. v.
Carosella, [1997] 1 S.C.R. 80; R. v. G. (S.G.), [1997] 2 S.C.R. 716;
R. v. Harrer, [1995] 3 S.C.R. 562; R. v. Hertrich (1982), 67
C.C.C. (2d) 510; Olbey v. The Queen, [1980] 1 S.C.R. 1008; Cathro v.
The Queen, [1956] S.C.R. 101; R. v. Ferguson (2000), 142 C.C.C. (3d)
353, rev’d [2001] 1 S.C.R. 281, 2001 SCC 6; R. v. Martineau (1986), 33
C.C.C. (3d) 573; R. v. Lessard (1992), 74 C.C.C. (3d) 552, [1992] R.J.Q.
1205; R. v. Taillefer (1995), 100 C.C.C. (3d) 1, 40 C.R. (4th) 287; R.
v. Siu (1998), 124 C.C.C. (3d) 301; Canada (Minister of Citizenship and
Immigration) v. Tobiass, [1997] 3 S.C.R. 391; R. v. O’Connor, [1995]
4 S.C.R. 411; R. v. Corbett, [1988] 1 S.C.R. 670; Imrich v. The Queen,
[1978] 1 S.C.R. 622; Lewis v. The Queen, [1979] 2 S.C.R. 821; R. v.
Jacquard, [1997] 1 S.C.R. 314; R. v. Arcangioli, [1994] 1 S.C.R.
129; R. v. G.D.B., [2000] 1 S.C.R. 520, 2000 SCC 22; R. v. Terceira
(1998), 123 C.C.C. (3d) 1, aff’d [1999] 3 S.C.R. 866; R. v. P. (G.)
(1996), 112 C.C.C. (3d) 263; R. v. Chambers, [1990] 2 S.C.R. 1293; R.
v. Brooks, [2000] 1 S.C.R. 237, 2000 SCC 11; R. v. Cleghorn, [1995]
3 S.C.R. 175; R. v. Bevan, [1993] 2 S.C.R. 599; R. v. S. (P.L.),
[1991] 1 S.C.R. 909; Meunier v. The Queen (1965), 48 C.R. 14, aff’d
[1966] S.C.R. 399; R. v. Cloutier (1988), 43 C.C.C. (3d) 35; R. v.
Simard (1989), 36 Q.A.C. 74; R. v. Fabre (1990), 46 Q.A.C. 133; R.
v. Deyardin (1997), 119 C.C.C. (3d) 365, [1997] R.J.Q. 2367; Primeau v.
La Reine, [2000] R.J.Q. 696; Taillefer v. La Reine, [1989] R.J.Q.
2023.
Statutes and Regulations Cited
Criminal
Code, R.S.C. 1970, c. C‑34,
s. 440.1 [now s. 485].
Criminal Code, R.S.C. 1985, c. C‑46, s. 686(1) [am. c. 27
(1st Supp.), s. 145; am. 1991, c. 43, s. 9 (Sch., item 8)].
Criminal Law Amendment Act,
1985, R.S.C. 1985, c. 27 (1st Supp.),
s. 145.
Authors Cited
Béliveau, Pierre, et Martin
Vauclair. Traité général de preuve et de procédure pénales, 8e
éd. Montréal: Thémis, 2001.
Cohen, Stanley A.
“Controlling the Trial Process: The Judge and the Conduct of Trial” (1977), 36
C.R.N.S. 15.
Ewaschuk, E. G. Criminal
Pleadings & Practice in Canada, vol. 2, 2nd ed. Aurora, Ont.: Canada
Law Book, 1987 (loose‑leaf updated August 2001, release 49).
McKinnon, Gil D. The
Criminal Lawyers’ Guide to Appellate Court Practice. Aurora, Ont.: Canada
Law Book, 1997.
Mewett, Alan W. “No
Substantial Miscarriage of Justice”. In Anthony N. Doob and
Edward L. Greenspan, eds., Perspectives in Criminal Law. Aurora,
Ont.: Canada Law Book, 1985, 81.
Price, Ronald R., and Paula
W. Mallea. “‘Not by Words Alone’: Criminal Appeals and the No Substantial
Wrong or Miscarriage of Justice Rule”. In Vincent M. Del Buono, ed.,
Criminal Procedure in Canada. Toronto: Butterworths, 1982, 453.
APPEAL from a judgment of the Manitoba Court of Appeal
(1999), 138 Man. R. (2d) 23, 202 W.A.C. 23, [1999] 10 W.W.R. 207, 136 C.C.C.
(3d) 391, [1999] M.J. No. 278 (QL), dismissing the accused’s appeal from
his conviction for first degree murder. Appeal dismissed.
Martin D. Glazer,
for the appellant.
Richard A. Saull,
for the respondent.
The judgment of McLachlin C.J. and L’Heureux-Dubé,
Gonthier, Major, Binnie and Arbour JJ. was delivered by
Arbour J. --
I. Introduction
1
My colleague Justice LeBel has reviewed the relevant facts in his
reasons. I only find it necessary to expand slightly on the facts surrounding
the central issue before us in this appeal.
2
A few hours after the jury began its deliberations in this murder case,
it requested transcripts of proceedings to review the evidence of certain
witnesses. Neither counsel nor the trial judge realized at that time that the
transcripts in question had not been edited to delete submissions that had been
made in the absence of the jury. The jury was in possession of these unedited
transcripts for approximately six and a half hours until defence counsel became
aware of the content of the transcripts and informed the court of the problem.
3
The jury was provided with a total of approximately 350 pages containing
the evidence of four different witnesses. In an early portion of the
transcripts, in the course of the direct examination of Dr. MacDonald, defence
counsel indicated that he had certain objections to make and that it should be
dealt with in the absence of the jury. The record then indicates that the jury
was asked to retire. Immediately after that entry, the transcript reveals as
follows:
THE COURT: Yes. Was that your concern?
MR. GLAZER: No. My concern -- I might as well
deal with it now -- is that I hope my friend isn’t going to ask this witness to
reveal hearsay that he relied on that has not been tendered as evidence in
court because that would be inadmissible. For example, if certain photographs
are not filed and the witness says he’s basing his opinion on photographs that
haven’t been filed, that is inadmissible. If he says that he’s basing his
opinion based on temperature he believes was taken, but that temperature was
not filed as an exhibit or tendered as evidence in the trial, then, the jury
has to be told to disregard that.
THE COURT: That ultimately -- I mean I don’t know
what is coming from the Crown, but certainly the doctor is entitled to say what
it was that he used to form his opinion and if the underpinnings are not
subsequently proven to support his opinion, that that’s --
MR. GLAZER: I beg to disagree, My Lady. The law
as I understand it is -- for example, My Lady had ruled that certain
comments by the accused are inadmissible. If the witness during the course of
his testimony refers to those comments as forming the basis of some of his
opinion, it would be grounds for a mistrial. He can only refer to what is
before the jury; he can’t refer to evidence that is not before the jury.
[Emphasis added.]
4
Immediately after the transcripts were retrieved from the jury, defence
counsel moved for a mistrial. On that occasion, he did not object in
particular to the portion of the transcript quoted above. Rather, he referred
to information on the voir dire that made reference to a prior
trial. Having heard the submissions, the trial judge ruled as follows:
Well, at this stage of the proceedings, what I
propose to do, and I appreciate your comments and I share the concern that you
have expressed, but at the same time, we’ve gone to this stage, and what I
propose to do is to bring the jury in and to indicate and not to red flag whose
transcript and not to indicate what areas but simply to say that there were
some matters in the transcripts that were not properly before them and ought
not to form part of their consideration and to caution them on that and to
indicate, again, that only evidence that was properly before them is to be
considered; and, in addition, to indicate that we will keep all of the
transcripts here until we’re in a position to provide them with clean copies of
exactly what was before them.
5
After the jury returned a verdict of guilty the trial judge asked the
jury to retire so she could talk to counsel alone. After the jury left, the
judge indicated that before formally recording the verdict, she wanted to raise
the matter of the transcripts that were sent inadvertently to the jury during
their deliberations. She said that she was still entertaining the possibility
of declaring a mistrial at this stage and would like to hear the submissions of
counsel on that issue. In the course of these submissions, defence counsel
referred to the passage quoted above as an indication that the jury could only
have assumed that his client had made a confession “or something of that
nature”. Having heard the submissions, the trial judge concluded that she was
not certain that she had jurisdiction to declare a mistrial after a verdict had
been rendered by the jury. Then, she indicated “with some reluctance” that she
would bring the jury back. At the request of the defence, the jury was polled
and confirmed the verdict.
6
The issue before us is to characterize properly this ground of appeal,
within the meaning of s. 686 of the Criminal Code, R.S.C. 1985, c. C-46 ,
and to decide how it should affect the ultimate disposition of the appeal.
7
In my view, if the unedited transcript mistake had not been detected
until after the trial, it might have been possible to view this ground of
appeal as falling under s. 686(1) (a)(iii). However, this matter was
raised at trial, and the possibility of a mistrial was considered by the trial
judge on two occasions. A proper characterization of the issue before us, in
my opinion, is whether or not the trial judge made an error of law in refusing
to declare a mistrial either when it was first requested of her, or after the
verdict. If we find that an error of law was committed, we must then turn to
the remedial proviso in s. 686(1) (b)(iii) and determine whether,
notwithstanding the error, the appeal should be dismissed on the basis that no
substantial wrong or miscarriage of justice has occurred.
8
This method of analysis has been consistently followed by appellate
courts and by this Court in determining the nature of errors that are alleged
to have occurred at trial, and the proper remedial response mandated by the Criminal
Code . This is also the approach that was followed by the Manitoba Court of
Appeal in the present case.
9
In my view, the question in this case is not whether the giving of the
unedited transcripts to the jury was a “miscarriage of justice” or a
“procedural irregularity”. The question is whether or not the trial judge
erred in law by not declaring a mistrial as a result of that occurrence. As a
preliminary matter, I will therefore set out in more detail why, in my view, s.
686(1) (b)(iv) has no application here. I will then review the guiding
principles in s. 686(1) (a)(ii) and 686(1) (b)(iii).
II. Relevant
Statutory Provisions
10
Criminal Code, R.S.C. 1985, c. C-46
686. (1) On the hearing of an appeal
against a conviction or against a verdict that the appellant is unfit to stand
trial or not criminally responsible on account of mental disorder, the court of
appeal
(a) may allow the appeal where it is of the opinion that
(i) the verdict should be set aside on the ground that it is
unreasonable or cannot be supported by the evidence,
(ii) the judgment of the trial court should be set aside on the ground
of a wrong decision on a question of law, or
(iii) on any ground there was a miscarriage of justice;
(b) may dismiss the appeal where
(i) the court is of the opinion that the appellant, although he was not
properly convicted on a count or part of the indictment, was properly convicted
on another count or part of the indictment,
(ii) the appeal is not decided in favour of the appellant on any ground
mentioned in paragraph (a),
(iii) notwithstanding that the court is of the opinion that on any
ground mentioned in subparagraph (a)(ii) the appeal might be decided in
favour of the appellant, it is of the opinion that no substantial wrong or
miscarriage of justice has occurred; or
(iv) notwithstanding any procedural irregularity at trial, the trial
court had jurisdiction over the class of offence of which the appellant was
convicted and the court of appeal is of the opinion that the appellant suffered
no prejudice thereby;
III. Analysis
A. Section
686(1)(b)(iv) of the Criminal Code
11
Properly interpreted in accordance with the principles set out in Rizzo
& Rizzo Shoes Ltd. (Re), [1998] 1 S.C.R. 27, this subsection expands
the remedial powers of courts of appeal by permitting the dismissal of appeals
in case of any procedural irregularity previously perceived as having caused a
loss of jurisdiction at trial, as long as the accused suffers no prejudice and
as long as the trial court maintained its jurisdiction “over the class of
offence[s]”. I agree with the analysis of the scope of the section provided by
Goodman J.A. in R. v. Cloutier (1988), 43 C.C.C. (3d) 35
(Ont. C.A.), and adopted by Gonthier J. in R. v. Bain, [1992] 1
S.C.R. 91 (in dissent, with Iacobucci J. and McLachlin J., as she then was,
concurring). In Cloutier, Goodman J.A. reviewed the legislative history
of the provision and noted that it was first initiated in the House of Commons
on February 7, 1984, to be eventually enacted and proclaimed into force on
December 4, 1985. The section was first introduced in the House seven days
after a January 31, 1984 judgment of the British Columbia Court of Appeal in R.
v. Fenton (1984), 11 C.C.C. (3d) 109, which deplored the unavailability of
curative provisions in the Code in the case of jurisdictional errors
such as those caused by the accused having been even inadvertently excluded
from small and sometimes uneventful portions of his trial.
12
Although Goodman J.A. suggested that the section might have been enacted
in response to the line of cases leading to Fenton, supra, it is
not clear to me that the section targeted exclusively the procedural
irregularity caused by the absence of the accused during his trial. There were
numerous other procedural irregularities in the criminal process which caused
loss of jurisdiction over the person, if not over the offence with which the
accused was charged. The real focus of the enactment of s. 686(1)(b)(iv)
in 1985 seems to have been to put an end to the jurisprudence holding that
procedural errors having caused a loss of jurisdiction in the trial courts
could not be cured, even on appeal.
13
Indeed, prior to the enactment of the Canadian Charter of Rights and
Freedoms , criminal procedure was replete with complex decisions
distinguishing between the various jurisdictional consequences of procedural
errors, pre-trial, at trial and post-conviction. Such issues included: whether
the expiration of a time limitation within which to prosecute an offence
summarily provided a defence or caused a loss of jurisdiction (R. v.
Karpinski, [1957] S.C.R. 343); issues of territorial jurisdiction (R. v.
Simons (1976), 30 C.C.C. (2d) 162 (Ont. C.A.); R. v. Sarazin (1978),
39 C.C.C. (2d) 131 (P.E.I.S.C.)); jurisdictional challenges to the preliminary
inquiry through prerogative writs, as well as challenges to the form of the
information or indictment (R. v. Dwyer, [1980] 1 S.C.R. 481,
rev’g (1978), 42 C.C.C. (2d) 83 (Ont. C.A.)); whether defective indictments
could not or would not be cured on appeal (Brodie v. The King, [1936]
S.C.R. 188); whether informations or indictments “disclos[ing] no offence known
to the law” were curable on appeal (R. v. Vallee, [1969] 3
C.C.C. 293 (B.C.C.A.), at p. 295; R. v. Major, [1977] 1 S.C.R. 826; R. v. Côté,
[1978] 1 S.C.R. 8, and Elliott v. The Queen, [1978] 2 S.C.R. 393); and,
whether remedies such as prerogative writs and appeals were available to review
rulings on the alleged improper form of the charge (Kipp v. Attorney-General
for Ontario, [1965] S.C.R. 57. See also R. v. Sheets, [1971] S.C.R.
614.)
14
In addition to the cases dealing with the jurisdictional consequences of
violating s. 650 of the Criminal Code , mandating the presence of the
accused at trial (see R. v. Meunier, [1966] S.C.R. 399, and R. v.
Barrow, [1987] 2 S.C.R. 694), there were many other procedural
irregularities which were said to be of a jurisdictional nature -- rather than
mere “errors of law” -- and as such raised the question of whether they could
be remedied on appeal by the use of the proviso contained in s. 686(1) (b)(iii).
(See for instance irregularities in jury selection, R. v. Rowbotham
(1988), 41 C.C.C. (3d) 1 (Ont. C.A.), or the discussion of the effects of
errors in the procedure by which the accused elected his mode of trial in Korponay
v. Attorney General of Canada, [1982] 1 S.C.R. 41.) The matter was further
complicated by the distinction drawn by the courts between loss of jurisdiction
over the person of the accused, which could be subsequently remedied, and loss
of jurisdiction over the offence, which could not (see Trenholm v.
Attorney-General of Ontario, [1940] S.C.R. 301; Doyle v. The Queen,
[1977] 1 S.C.R. 597; R. v. Krannenburg, [1980] 1 S.C.R. 1053).
15
This question of incurable loss of jurisdiction was first addressed by
Parliament in 1976 by the enactment of s. 440.1 of the Criminal Code,
R.S.C. 1970, c. C-34, which eventually, after further amendment, became the
present s. 485 . The original section cured only failures to comply with the Code’s
provisions on adjournments and remands, which were already a great source of
“loss of jurisdiction”. Indeed, prior to the enactment of that provision,
jurisdiction could be lost by remands for more than eight days without the
accused’s consent. Yet this Court in Krannenburg, supra, at p.
1056, held that the new section still could not cure a “[l]oss of jurisdiction
over the offence”. In 1985, in the same Bill enacting s. 686(1) (b)(iv),
s. 440.1 was further amended to its present form. The parallels between s.
686(1) (b)(iv) and s. 485 of the Criminal Code were highlighted by
Macfarlane J.A. in R. v. Joinson (1986), 32 C.C.C. (3d) 542 (B.C.C.A.),
at p. 548, and by Shaw J. in Bell (Re), [1988] B.C.J. No.1897 (QL)
(S.C.). Section 485 now provides that jurisdiction over an offence is not lost
by reason of the failure of the trial court to “act in the exercise of that
jurisdiction at any particular time, or by reason of a failure to comply with
any of the provisions of this Act respecting adjournments or remands”.
16
In short, s. 686(1)(b)(iv) of the Code was enacted in the
face of a body of case law that was becoming increasingly technical and complex
and which had restricted considerably the possibility for appellate courts to
conclude that an error at trial was not such that it required a setting aside of
the verdict. This provision is rarely invoked, because procedural
irregularities that result from an error of law, which is most of them, are
properly dealt with under s. 686(1)(b)(iii) of the Code. Prior
to the enactment of s. 686(1) (b)(iv) in 1985, some procedural
irregularities, although they amounted to errors of law, had been ruled
“jurisdictional” and courts had decided that they could therefore not be cured
by the proviso since jurisdiction had been lost. In that context, it is clear
that the new provision was not meant to deal with trivial procedural
irregularities which in any event would have been curable under the proviso as
long as they constituted errors of law. I agree with Goodman J.A. in Cloutier
that s. 686(1) (b)(iv) was enacted to cure serious procedural
irregularities, otherwise amounting to errors of law, in cases where under the
then existing case law, jurisdiction over the person, but not over the offence,
had been lost. I also agree with Goodman J.A. that under this new
subparagraph, since the procedural irregularities in issue would have been
serious ones, it is appropriate to infer prejudice without requiring in every
case that the accused demonstrate prejudice. The inference may of course be
rebutted and the test of prejudice under that subsection should be the same as
the no substantial wrong or miscarriage of justice, under s. 686(1) (b)(iii),
which has been the subject of extensive pronouncement by this Court.
17
Finally, in my view, if an issue is raised on appeal that cannot be said
to constitute an error of law, there is no access to the remedial provisions of
s. 686(1) (b). In such a case, the court must determine whether the
appeal should be allowed “on any ground [that] there was a miscarriage of
justice” under s. 686(1) (a)(iii). If the error alleged is one of mixed
fact and law, it may have to be dealt with under s. 686(1) (a)(iii)
(see Fanjoy v. The Queen, [1985] 2 S.C.R. 233). If an accused
were to complain on appeal of having been deprived of the effective assistance
of counsel, when the issue had not been raised at trial and therefore the trial
judge had made no ruling on it, it could be said that no error of law is
alleged, but that the appeal should be allowed on the ground that there was a
miscarriage of justice (R. v. B. (L.C.) (1996), 104 C.C.C. (3d) 353
(Ont. C.A.); R. v. Silvini (1991), 68 C.C.C. (3d) 251 (Ont.
C.A.)). In the same way, if the complaint on appeal was of improper
contact between a juror and the accused discovered after the verdict (see R.
v. Cameron (1991), 64 C.C.C. (3d) 96 (Ont. C.A.)), the ground of appeal
would be based on s. 686(1) (a)(iii). In such cases, a finding of
miscarriage of justice under s. 686(1) (a)(iii) cannot in my view be
cured under any of the remedial provisions contained in s. 686(1) (b) and
the appeal must be allowed.
18
In summary, when an error or irregularity of a procedural nature has
occurred at trial, s. 686 provides that:
- If the procedural irregularity amounts to
or is based on an error of law, it falls under ss. 686(1) (a)(ii) and
686(1) (b)(iii).
- If the procedural irregularity was
previously (before 1985) classified as an irregularity causing a loss of
jurisdiction: s. 686(1) (b)(iv) provides that this is no longer fatal to
the conviction, and an analysis of prejudice must be undertaken, in accordance
with the principles set out in s. 686(1) (b)(iii).
- If the procedural error did not amount to,
or originate in an error of law, which is rare, s. 686(1) (a)(iii)
applies and the reviewing court must determine whether a miscarriage of justice
occurred. If so, there are no remedial provisions in s. 686(1) (b) that
can cure such a defect, and the appeal must be allowed and either an acquittal
entered or a new trial ordered.
19
There is no suggestion in this case that the handing of the unedited
transcripts to the jury was an irregularity that triggered a loss of
jurisdiction over the person of the accused. Therefore, in my opinion s.
686(1) (b)(iv) has no application. Rather, what the appellant alleges is
that the trial judge erred in law in refusing to declare a mistrial. We must
analyse this argument under the more common route of determining whether that
refusal was an error, and if so, whether it is curable under the proviso in s. 686(1) (b)(iii).
B. Sections
686(1) (a)(ii) and 686(1) (b)(iii)
20
I must say at the outset that I disagree, with the greatest respect,
with the interpretation that my colleague LeBel J. gives to s. 686(1)(a)(ii)
which would restrict the concept of error of law to an error on which the
judgment was or could have been based so as to prejudice the accused. I am not
aware of any authority which has restricted the concept of error of law in that
fashion, and I am not persuaded that it is mandated by the textual reading of
the section either in French or in English. In fact, in both languages, s.
686(1)(a) distinguishes between “verdict” and “judgment”. In s. 686(1)(a)(i),
the Code provides that the appeal may been allowed if “the verdict
should be set aside on the ground that it is unreasonable or cannot be
supported by the evidence” (emphasis added). In French, the word “verdict”
is used in that subparagraph.
21
In contrast, in s. 686(1)(a)(ii) the Code provides that
the appeal may be allowed if “the judgment of the trial court should be
set aside on the ground of a wrong decision on a question of law” (emphasis
added). In French the word “jugement” is also used in that section.
22
In my opinion, even a textual interpretation supports the view that the
judgment based on an error of law need not be linked to the final verdict but
can be any decision, obviously having contributed to the ultimate verdict as
they all do, that was an erroneous interpretation or application of the law.
23
I see no authority to support the notion that only errors of law
containing an element of unfairness or prejudice would constitute errors of law
in that context. The determination of whether the error of law was prejudicial
to the accused, and if so to what extent, is an analysis traditionally reserved
for, and rightly so, the remedial proviso in s. 686(1)(b)(iii), with the
burden then appropriately placed on the Crown to satisfy the reviewing court
that despite the error no substantial wrong or miscarriage of justice has
occurred.
24
I will only refer briefly to some of the abundant jurisprudence under s.
686 of the Code in order to establish the parameters of the application
both of paras. (a) and (b) of s. 686(1). Nothing needs to be
said in this case about s. 686(1)(a)(i), which outlines the power of the
court of appeal to allow an appeal on the basis that the verdict is
unreasonable or cannot be supported by the evidence.
25
Apart from unreasonable verdict cases, it is fair to say that most
matters that are brought as grounds of appeal against conviction in criminal
cases are characterized as errors of law within the meaning of s. 686(1) (a)(ii).
In some cases, when the court has concluded that the error alleged was not
strictly speaking an error of law, but at most an error of mixed fact and law,
it has characterized the issue as falling under s. 686(1) (a)(iii), that
is, whether it was a miscarriage of justice. In such a case, further use of the
proviso is obviously precluded and the appeal must be allowed. (See Fanjoy,
supra.) As indicated earlier, I believe that the appeal in this case is
entirely governed by the provisions of ss. 686(1) (a)(ii) and 686(1) (b)(iii)
of the Criminal Code , and that ss. 686(1) (a)(iii) and 686(1) (b)(iv)
are not engaged.
26
Most of the case law dealing with the nature of the error of law
contemplated by s. 686(1) (a)(ii) arises in the context of the curative
proviso which brings about an assessment of the nature and the seriousness of
the error. There are essentially two classes of errors which have been
identified by reviewing courts and which have led to a proper application of
the proviso. The first category is that of so- called “harmless errors”, or
errors of a minor nature having no impact on the verdict. The second category
encompasses serious errors which would justify a new trial, but for the fact
that the evidence adduced was seen as so overwhelming that the reviewing court
concludes that there was no substantial wrong or miscarriage of justice.
27
In every case, if the reviewing court concludes that the error, whether
procedural or substantive, led to a denial of a fair trial, the court may
properly characterize the matter as one where there was a miscarriage of
justice. In that case, no remedial provision is available and the appeal must
be allowed. I will now examine these propositions in more detail.
28
This Court has enunciated on numerous occasions the proper test for the
application of the curative proviso (see Colpitts v. The Queen, [1965]
S.C.R. 739; Wildman v. The Queen, [1984] 2 S.C.R. 311; R. v. B.
(F.F.), [1993] 1 S.C.R. 697; R. v. Bevan, [1993] 2 S.C.R. 599). It
can only be applied where there is no “reasonable possibility that the verdict
would have been different had the error . . . not been made” (Bevan, supra,
at p. 617).
29
The jurisprudence reveals that the proviso will generally be applied, in
accordance with the above principles, in two types of situations. A. W. Mewett
has described the two possible approaches in “No Substantial Miscarriage of
Justice”, in A. N. Doob and E. L. Greenspan, eds., Perspectives in Criminal
Law (1985), 81, at p. 94:
What we see are again two fundamentally different
views of the application of the proviso. One view proceeds on the basis of
asking whether, absent the error or wrongly admitted evidence, the rest of the
evidence is so overwhelming as to make the outcome of a retrial a virtual certainty;
the other of asking whether, ignoring the rest of the evidence, the jury might
have been influenced by the error or the wrongly admitted evidence.
On the one
hand, appellate courts will maintain a conviction in spite of the errors of law
where such errors were either minor in themselves or had no effect on the
verdict and caused no prejudice to the accused. This accords with the original
purpose of the section, as described early on by Taschereau J., writing for the
majority of this Court, in Chibok v. The Queen (1956), 24 C.R. 354, at
p. 359:
It would indeed be a shocking impediment to the
proper administration of criminal justice, if criminals were allowed to go free
because of a trivial error in law or of an oversight of no material consequence.
[Emphasis added.]
As stated by
Lamer C.J., for the Court, in R. v. Tran, [1994] 2 S.C.R. 951, at p.
1008, “[s]ection 686(1)(b)(iii) is designed to avoid the necessity of
setting aside a conviction for minor or ‘harmless’ errors of law where the
Crown can establish that no substantial wrong or miscarriage of justice has
occurred.”
30
The case law is replete with examples of situations where either the
triviality of the error itself, or the lack of prejudice caused by a more
serious error of law, justified the application of the curative proviso (see R.
v. Jolivet, [2000] 1 S.C.R. 751, 2000 SCC 29; R. v. Stone, [1999] 2
S.C.R. 290; R. v. Ménard, [1998] 2 S.C.R. 109; R. v. Jacquard,
[1997] 1 S.C.R. 314; R. v. Rockey, [1996] 3 S.C.R. 829; R. v. MacGillivray,
[1995] 1 S.C.R. 890; R. v. Haughton, [1994] 3 S.C.R. 516; United
Nurses of Alberta v. Alberta (Attorney General), [1992] 1 S.C.R. 901; Gunn
v. The Queen, [1974] S.C.R. 273; Chibok, supra; R. v.
Klatt (1994), 94 C.C.C. (3d) 147 (Alta. C.A.); R. v. Wong (1992), 12
B.C.A.C. 211). In all those cases, the appellate courts were convinced that
the error could have had no effect on the verdict. Because of the nature of
the errors and of the issues with respect to which they were made, it was
possible to trace their effect on the verdict and ensure that they made no
difference. Generally, the errors concerned evidence that was insignificant to
the determination of guilt or innocence (Gunn, supra; Wong,
supra; United Nurses, supra; Klatt, supra)
or benefited the accused by imposing a more onerous standard on the Crown (MacGillivray,
supra; Haughton, supra). Errors in the charge to the jury
respecting a very minor aspect of the case that could not have had any effect
on the outcome or concerning issues that the jury was otherwise necessarily
aware of were also cured by the application of the proviso (Jacquard, supra;
Jolivet, supra; Ménard, supra; Chibok, supra).
Similarly, in some cases the errors concerned preliminary findings that would
nevertheless, as a matter of law, inevitably have resulted in the same finding
made by the trial judge (Rockey, supra; Stone, supra).
31
In addition to cases where only a minor error or an error with minor
effects is committed, there is another class of situations in which s. 686(1) (b)(iii)
may be applied. This was described in the case of R. v. S. (P.L.),
[1991] 1 S.C.R. 909, at p. 916, where, after stating the rule that an accused
is entitled to a new trial or an acquittal if errors of law are made, Sopinka
J. wrote:
There is, however, an exception to this rule in a case in which the
evidence is so overwhelming that a trier of fact would inevitably convict. In
such circumstances, depriving the accused of a proper trial is justified on the
ground that the deprivation is minimal when the invariable result would be
another conviction.
Therefore, it
is possible to apply the curative proviso even in cases where errors are not
minor and cannot be said to have had only a minor effect on the trial, but only
if it is clear that the evidence pointing to the guilt of the accused is so
overwhelming that any other verdict but a conviction would be impossible (see R.
v. Nijjar, [1998] 1 S.C.R. 320; Alward v. The Queen, [1978] 1 S.C.R.
559; Ambrose v. The Queen, [1977] 2 S.C.R. 717; Dufresne v. La Reine,
[1988] R.J.Q. 38 (C.A.); R. v. Welch (1980), 5 Sask. R. 175 (C.A.)).
C. Application
to this Case
32
This case in my view does not require an assessment of the overall
strength of the Crown’s case at trial. Here, when asked to declare a mistrial,
the trial judge was essentially asked the same question as the one before us,
that is, whether it was likely that the exposure by the jury to the tainted
transcripts could have affected the jury to the point that the entire trial was
compromised and that no remedy other than a new trial was available.
33
I think that for the purpose of this appeal, we must assume that the
jury read the transcript that it had in its possession, including the impugned
passage. It would of course be easy to dismiss the appeal on the assumption
that the jury probably never read the portion that it should not have received.
Such an approach would, in my opinion, be totally unfounded. The jury asked for
some materials, and it received them. They had the transcripts for several
hours. It would be bizarre in my view to assume that having asked for the
transcripts, they did not read them. Moreover, the part that should not have
been given to them stood out in the transcript with the heading: “JURY OUT AT
11:38 A.M.” That might have attracted their attention. In any event, as a
matter of law, I cannot see how speculation helps either way. We must assume
that there was at least a real possibility that the jury was exposed to these
materials and at this stage we cannot probe further as to the consequences.
The appellant is entitled to advance his case on the basis of the real
possibility of the worst case scenario.
34
Contrary to my colleague LeBel J., I also think that we cannot speculate
that if the jury read the impugned passage it must have assumed that defence
counsel was merely raising a hypothesis, rather than asserting that his client
had made statements that had been ruled inadmissible. Although I understand
the interpretation given by my colleague, which emphasises the hypothetical
turn of phrase in the passage in question, I think that read in context it more
likely lends itself to the interpretation that defence counsel was referring to
excluded statements actually made by his client. I would not go as far as
suggesting, as counsel for the appellant does, that the passage inevitably
implies that the appellant made a confession which was excluded. Read in full,
the passage refers to several matters that were not in evidence when the
argument took place in the absence of the jury. In my view, a fair assessment
of the impact that the transcript could have had on the jury must be made on
the assumption that they read it and understood that counsel for the appellant
was concerned that the jury should not find out that his client had made
statements that the court had ruled inadmissible; no more, no less.
35
I also think that this is what the trial judge understood, and that is
why she cautioned the jury exactly as she did. She did not identify
specifically the passages at issue, so as not to aggravate the damage, if any,
but she clearly instructed the jury to disregard references to all matters that
were not properly in evidence before them.
36
The trial judge was obviously concerned with the effect and
consequences of what had transpired and she took seriously the application for
a mistrial. I share that concern. However, in my view, she made no error when
she exercised her discretion to deny the motion for a mistrial, nor did she err
in declining to enter a mistrial after the jury had returned its verdict. The
trial judge was in a privileged position to assess the possible impact of the
mishap on the jury and the effectiveness of the sharp warning that she issued.
There is no basis upon which I could say that she was wrong in that fine
judgment call. The information before the jury was at most an innuendo. At the
very end of a murder trial, the jury would have come to appreciate the
existence of rules of evidence that govern the relevant materials upon which
they are called to make a decision. Taking the case at its highest from the
appellant’s point of view, I believe that the admonition issued by the trial
judge to the jury was sufficient to remedy any ill effect that the unedited
transcripts might have had on the jury.
37
Therefore, the trial judge did not err in rejecting the motion for a
mistrial, and there is no need to turn to the proviso. I must add that if I
had concluded that a mistrial should have been declared, I cannot see how such
an error could have been cured by the proviso. For the same reasons, I do not
think it can be said in this case that there was a miscarriage of justice
within the meaning of s. 686(1) (a)(iii).
38
I agree with LeBel J. on the ground of appeal dealing with the jury
selection process. For these reasons, I would dismiss the appeal.
The following are the reasons delivered by
39
LeBel J. -- In this
appeal, we are asked to determine whether a conviction should be reversed on
the grounds that a transcript revealing conversations which occurred during a voir
dire was inadvertently given to the jury during its deliberations. This
calls upon the interpretation and application of s. 686(1) of the Criminal
Code, R.S.C. 1985, c. C-46 , governing the powers of a court of appeal. The
main issue in this appeal is to determine whether the remedial provision of s.
686(1) (b) should apply.
I. Facts
and Trial Judgment
40
On February 13, 1998, after a trial before Madam Justice Keyser and a
jury, the appellant, Mohamed Ameerulla Khan, was convicted of the first degree
murder of his wife, Sureta Khan. This was his third trial. Previous
convictions had been set aside by the Manitoba Court of Appeal.
41
The appellant claimed to have discovered his deceased wife in the
bathtub of their home at 6:55 p.m. on January 4, 1994 and to have then
telephoned 911. The appellant’s call was transferred to a first responder who
instructed him to leave his wife in the bathtub and drain the water, and that
help would arrive very shortly. Resuscitation attempts were unsuccessful.
42
The Crown asserted that the appellant had killed his wife. Its evidence
was mainly circumstantial. A pathologist, Dr. John Kelly Martin MacDonald, who
was recognized as an expert in forensic pathology, testified for the Crown as
to the possible circumstances of the death. The Court of Appeal summarized Dr.
MacDonald’s evidence in the following manner ((1999), 138 Man. R. (2d) 23, at
para. 9):
Dr. MacDonald testified positively that the
deceased did not die in the bathtub either by wet or dry drowning. In his
opinion, she died from asphyxiation, but in an unknown manner. He estimated
the time of death to be between two and four hours before the first responders
observed her, which would fix the time of death to be between 3:00 p.m. and 5:00
p.m.
43
Dr. MacDonald's opinion as to the time of death was based on the extent
of rigor mortis found in the deceased's body by the first responders and on her
core body temperature recorded at the hospital shortly after she was
transported there at approximately 8:30 p.m.
44
Dr. MacDonald’s opinion that the deceased did not die in the bathtub was
based on the absence of “washerwoman changes or syndrome” on her body.
“Washerwoman syndrome” may be described as changes in the skin condition that
result from being immersed in water. According to Dr. MacDonald, if the
deceased was in cool water, which would reduce the extent of washerwoman
changes, he would not have expected the extent of rigor which was observed by
the first responders.
45
Dr. MacDonald further testified that in his opinion asphyxia or oxygen
starvation was the cause of death. Although the mode of asphyxiation was
unclear, Dr. MacDonald was of the opinion that the death could not be
classified as being of undetermined origin. Dr. MacDonald testified as follows:
I think her mode of asphyxia is undetermined. If she was not
discovered in the bathtub, I think the -- it may very well be an undetermined
death, but given the fact that she was in the bathtub when the information that
would argue that she has been dead at least a couple of hours and she does not
have the washerwoman's changes, that she did not die in the bathtub, so I have
great reluctance having the idea that natural deaths walk, let alone
undetermined deaths walk. I do not think I could classify this or not argue
with someone who wished to classify this cause of death as undetermined.
46
The appellant relied on a defence of alibi. However, he did not testify
during the trial. Rather, evidence as to the appellant’s whereabouts on the
day in question was provided by an acquaintance, Mr. Marshall Ross, and through
the filing of two exhibits. Mr. Ross indicated that the appellant arrived at
his home at 3:40 p.m. in order to do some work on his daughter’s car. He added
that, at 4:01 p.m., the deceased called to speak to the appellant. Finally,
Mr. Ross stated that the appellant left his home at 5:00 p.m. His recollection
of the time of departure was an estimate based on the time he sat down for
dinner and the time it would have taken his wife to prepare the meal from the
time the appellant left. Although Mr. Ross was a witness called by the Crown,
counsel for the Crown, in his closing arguments, suggested that Mr. Ross’
recollection as to the time of departure was incorrect and that, in fact, the
appellant left his residence earlier. After the appellant left the Ross home,
Mr. Ross heard from him a few minutes prior to 7:00 p.m., when the appellant
called to tell him that his wife was lying in the bathtub and appeared not to
be breathing. The appellant then requested that Mr. Ross come over.
47
Also presented into evidence was a receipt from an automated teller
machine that confirms that the appellant received $60 from a machine at 5:33
p.m. on the relevant date. The machine was located five minutes away from the
appellant’s residence. Moreover, the appellant produced a receipt from a
pharmacy indicating that a prescription order was received at 5:44 p.m. and
paid for at 6:35 p.m.
48
The evidence also established that the deceased was heavily insured and
that the appellant was the beneficiary. The Crown’s theory was that the
appellant was the only person with access to the house, with a motive and with
the opportunity to kill the deceased. The theory of the defence was that the
death was unexplained, that the autopsy was inconclusive and that there was
insufficient evidence of foul play.
49
During the course of its deliberations, the jury requested transcripts
of Dr. MacDonald’s testimony. Approximately six and a half hours after the
transcripts were delivered to the jury, it was discovered that the copy of the
transcript given to the jury inadvertently contained the record of matters
discussed by counsel and the Court in the absence of the jury during a voir
dire. As such matters should have been expunged, defence counsel moved for
a mistrial on the basis that the proceedings had become tainted and the trial
was unfair. The main objectionable passage reads as follows:
MR. GLAZER [Defence counsel]: I beg to disagree,
My Lady. The law as I understand it is -- for example, My Lady had ruled that
certain comments by the accused are inadmissible. If the witness during the
course of his testimony refers to those comments as forming the basis of some
of his opinion, it would be grounds for a mistrial. He can only refer to what
is before the jury; he can't refer to evidence that is not before the jury.
50
The defence argued that the jury had learned that the appellant had made
comments that were ruled inadmissible. In the defence’s view, the jury would
speculate as to the nature of those comments and would draw an adverse
inference against the appellant. The trial judge denied the request for a
mistrial. She ordered, however, that the offending transcripts be retrieved
and that the jury be provided with clean copies. The trial judge further
cautioned the jury that they were to rely solely on the evidence that was put
before them through witnesses and through the evidence filed. Once the jury
returned a guilty verdict of first degree murder, the trial judge requested
further submissions regarding the possibility of granting a mistrial. After
submissions by both counsel, the trial judge again declined to declare a
mistrial.
II. Manitoba
Court of Appeal (1999), 138 Man. R. (2d) 23
51
By unanimous judgment rendered per curiam, the Court of Appeal
dismissed the appellant’s appeal from his conviction. The Court of Appeal
addressed the issue of whether the jury’s exposure to the tainted transcript
resulted in an unfair trial. In so doing, it took for granted that the
appropriate provision under which to resolve this question was the curative
proviso contained in s. 686(1) (b)(iii) of the Criminal Code .
52
The Court of Appeal reviewed several appellate court decisions in cases
where evidence had inadvertently made its way into the jury room (see: R. v.
Duke (1985), 22 C.C.C. (3d) 217 (Alta. C.A.); R. v. Watson
(1991), 4 B.C.A.C. 253). The appellant argued that, in accordance with R.
v. Armstrong, [1970] 1 C.C.C. 136 (N.S.C.A.), once mischief was done
in the trial process, it was no longer possible to correct it. Relying on R.
v. R. (R.) (1994), 91 C.C.C. (3d) 193 (Ont. C.A.), the Court of
Appeal indicated that perhaps such a principle was incorrect and that strong
and repeated instructions to the jury could overcome possible prejudice to an
accused. The Court of Appeal also held that trial judges have wide discretion
in deciding whether to declare a mistrial. As a result, appellate courts
should exercise great caution when reviewing the exercise of such discretion
(see Emkeit v. The Queen, [1974] S.C.R. 133, and R. v. Paterson
(1998), 102 B.C.A.C. 200).
53
In the Court of Appeal’s view, the words which inadvertently found their
way into the jury room did not have a great potential for harm or mischief.
Even if some prejudice had been caused to the appellant, this was amply
remedied by the cautionary instructions provided by the trial judge. The court
also added its opinion on the strength of the evidence against the appellant,
in particular in relation to the evidence given by the pathologist, Dr.
MacDonald. The court stated that it constituted “overwhelming evidence as to
the manner, time and place of death of the deceased” (para. 47). The court
concluded that, considering the circumstances as a whole “[t]his is an
appropriate case in which the proviso is to be applied” (para. 48). The conviction
was therefore upheld. It was appealed to this Court on the question of the
application of the curative provisions of s. 686(1) (b). An issue
concerning jury selection was also raised.
III. Relevant
Statutory Provisions
54
Criminal Code, R.S.C. 1985, c. C-46
686. (1) On the hearing of an appeal against
a conviction or against a verdict that the appellant is unfit to stand trial or
not criminally responsible on account of mental disorder, the court of appeal
(a) may allow the appeal where it is of the opinion that
(i) the verdict should be set aside on the ground that it is
unreasonable or cannot be supported by the evidence,
(ii) the judgment of the trial court should be set aside on the ground
of a wrong decision on a question of law, or
(iii) on any ground there was a miscarriage of justice;
(b) may dismiss the appeal where
(i) the court is of the opinion that the appellant, although he was not
properly convicted on a count or part of the indictment, was properly convicted
on another count or part of the indictment,
(ii) the appeal is not decided in favour of the appellant on any ground
mentioned in paragraph (a),
(iii) notwithstanding that the court is of the opinion that on any
ground mentioned in subparagraph (a)(ii) the appeal might be decided in
favour of the appellant, it is of the opinion that no substantial wrong or
miscarriage of justice has occurred; or
(iv) notwithstanding any procedural irregularity at trial, the trial
court had jurisdiction over the class of offence of which the appellant was
convicted and the court of appeal is of the opinion that the appellant suffered
no prejudice thereby;
IV. Analysis
55
In the case law, the proper meaning of paras. (a) and (b)
of s. 686(1) of the Code has sometimes been misunderstood. My analysis
will first review their interpretation, before turning to the irregularities
alleged in the case at bar and the application of s. 686 of the Code to
them.
56
Sections 686(1) (a) and 686(1) (b) have distinct functions.
On the one hand, the object of para. (a) is to spell out the conditions
pursuant to which an appellate court has the power to reverse a conviction.
The court of appeal’s intervention is warranted whenever (i) the verdict is
unreasonable or cannot be supported by the evidence; (ii) the judgment is based
on a wrong decision on a question of law; or (iii) a “miscarriage of justice”
has occurred.
57
On the other hand, para. (b), and in particular subparas. (iii)
and (iv), grant a remedial power to a court of appeal to uphold a conviction
despite having found earlier that its intervention could have been justified
under para. (a)(ii) or (iii), if the evidence is so overwhelming against
the accused that any other reasonable judge or jury would have rendered the
same guilty verdict. Paragraph (b) is thus referred to as the “curative
proviso”. Of course, needless to say a verdict which is defective under para.
(a)(i) because it is “unreasonable or cannot be supported by the
evidence” cannot be cured under s. 686(1) (b) on the grounds that any
reasonable judge or jury would have ruled the same way.
58
Section 686(1) (a)(i) is not at stake in the present appeal.
Although the appellant argued before the Court of Appeal that the verdict was
unreasonable, this issue was not raised before us. Therefore, the question
before this Court is whether the conviction should be reversed because either
an “error of law” or a “miscarriage of justice” has occurred, and if so, whether
s. 686(1) (b) should be applied.
59
My analysis will be divided into four parts. In the first part, I will
examine the notions of “error of law” and “miscarriage of justice”, and their
relationship to one another in the context of s. 686(1)(a)(ii) and (iii)
of the Code. Second, I will look more closely at what may constitute a
“miscarriage of justice” as understood by s. 686(1) (a)(iii).
Third, I will examine the proper role and application of the curative proviso
contained in s. 686(1) (b)(iii) and (iv). Finally, I will apply these
findings to the fact situation involved in the case at bar.
A. The Relationship Between “Errors of Law”
and “Miscarriages of Justice” Under Section 686(1)(a)(ii) and(iii) of the Code
60
Section 686(1)(a)(ii) of the Code states the possibility
that a conviction may be set aside “on the ground of a wrong decision on a
question of law”. In that regard, in order for a verdict to be reversed, the
judgment must have been based, or have possibly been based, on an erroneous
legal norm. It is not sufficient to demonstrate that a legal mistake has
occurred. It must be found that the judgment was based or could have been
based on that mistake, so as to prejudice the accused. The French version of
the s. 686(1) (a)(ii) is clearer on this. It states that the judgment
can be set aside “pour le motif qu’il constitue une décision erronée
sur une question de droit” (underlining added). Thus, it is not enough to
simply say that an error of law occurred. The error must have been, or must
possibly have been, significant in the conviction. It is then appropriate to
state that the judgment could constitute a wrong decision on a question
of law.
61
The other situations which may justify the intervention of a court of
appeal fall into a residual category. Section 686(1) (a)(iii) refers to
the notion of “miscarriage of justice”. This covers irregularities which the Code
attempts to distinguish from the errors of law mentioned in para. (a)(ii)
and which may have rendered the trial unfair for the accused, or have created
the appearance of unfairness. I must mention that most of them also find their
root in some “error of law”, in the sense that the irregularity would not have
occurred if the appropriate legal norms had been followed. These errors,
however, are more akin to procedural irregularities. I should add that it does
not matter whether the irregularity occurred intentionally or not, nor does it
matter whether the error is due to a mistake by the judge, a court official,
one of the parties in the case, or any other person. What matters most is the
effect of the irregularity on the fairness of the trial.
62
For instance, irregularities due to improper contact between a third
party and a juror (R. v. Cameron (1991), 64 C.C.C. (3d) 96
(Ont. C.A.)), the abusive exercise of discretion by the trial judge (Fanjoy
v. The Queen, [1985] 2 S.C.R. 233), or inadequate representation of the
accused by his counsel (R. v. Joanisse (1995), 102 C.C.C. (3d) 35
(Ont. C.A.)) may fall into that residual category. These types of
irregularities, like errors under s. 686(1) (a)(ii), may cause prejudice
to the accused. When confronted with such an irregularity, the court of
appeal must examine whether it may have had an influence on the verdict or
could be perceived as such. Such analysis must take into account the whole of
the circumstances.
63
Although paras. (a)(ii) and (a)(iii) are distinct, they
are nevertheless closely related. Both paragraphs address situations where
something irregular in law has occurred during the course of the trial. In
that sense, it can sometimes be difficult to determine whether a case falls
under para. (a)(ii) or (a)(iii). There may often be a fine line
between what can constitute “a wrong decision on a question of law” and a
“miscarriage of justice”.
64
For instance, issues pertaining to the law of evidence may often be at
the intersection between an “error of law” and the residual type of
irregularity called “miscarriage of justice”. When information which would
constitute inadmissible evidence is willingly admitted by the judge, it may be
seen more as an “error of law”, but when the same information is given to the
jury by mistake and the irregularity is discovered afterward, this may seem
more as falling into the residual category. Yet, the result is the same: the
jury has been exposed to inadmissible evidence.
65
All kinds of incidents may happen in the course of a trial, through the
interaction of the several different actors involved, and a degree of
uncertainty may arise as to their proper legal characterization. One example is
where an irregularity allegedly giving rise to a “miscarriage of justice”
occurs during a trial, and the judge makes a mistake when attempting to remedy
this irregularity. Would the end result be an “error of law” or a “miscarriage
of justice”? While it is not necessary to answer this question, or to
articulate a fine line between “errors of law” and errors leading to
“miscarriages of justice”, we may safely consider that the two concepts,
although they will often have different origins, may have a similar impact on
the validity of the verdict.
66
Since both target the same problem and, as we will see below, both may
be cured under s. 686(1) (b), this difficulty of classification is not
greatly problematic. Thus, whether the defect at trial appears to have been a
“wrong decision on a question of law”, or an irregularity allegedly falling
within the residual category of “miscarriage of justice”, the circumstances
must be considered to see if the error could have played a significant role in
the legal validity of the verdict or rendered the trial unfair, in reality or
in appearance, or was merely peripheral.
67
Often, it may be that decisions constituting “errors of law” warranting
the intervention of the court of appeal will be more easily identifiable than
“miscarriages of justice”. Indeed, once the court of appeal concludes that the
proper interpretation of the law has not been followed by the trial judge, the
conclusion may easily show that the accused has not benefited from a fair
trial, or a trial conducted according to the principles of criminal law, and
therefore that the decision constituted an “error of law” within the meaning of
s. 686(1) (a)(ii). On the other hand, other types of irregularities
which result in unfairness, or appearance of unfairness in the trial, may be
more difficult to classify. It will therefore be useful to explore in greater
detail the notion of “miscarriage of justice” in s. 686(1)(a)(iii) of
the Code.
68
I note that this analysis of the notion of “miscarriage of justice” can
also be useful in some cases to determine whether an “error of law” warrants
the intervention of the court of appeal under s. 686(1)(a)(ii) of the Code.
As I mentioned earlier, wrong decisions on a question of law do not always
involve a straightforward conclusion that s. 686(1) (a)(ii) is
implicated, as some errors of law can be trivial or incidental in the context
of particular cases. For instance, if inadmissible evidence is accepted during
the trial to prove the identification of the accused, but identification is
otherwise proven and is not at issue in the case, the error of law may be
merely incidental. If the error of law could not have prejudiced the accused,
the conviction will be upheld. Reaching a conclusion in that respect will
require a balancing taking into account the circumstances of the case and, more
particularly, the nature and impact of the error of law. In that regard, the
analysis under s. 686(1) (a)(ii) may call at times upon similar
considerations as under s. 686(1) (a)(iii). I will now turn to those
considerations.
B. The
Notion of “Miscarriage of Justice” Under Section 686(1)(a)(iii) of the Code
69
When should an irregularity which occurred during a trial be said to
constitute a “miscarriage of justice” as understood by s. 686(1) (a)(iii)?
The essential question in that regard is whether the irregularity was severe
enough to render the trial unfair or to create the appearance of unfairness.
Contrary to the analysis under s. 686(1) (b), the emphasis here is
not so much on the final verdict and the overall strength of the evidence
against the accused, but rather on the gravity of the irregularity and the
effect it may have had on the fairness of the trial.
70
I should mention that this analysis of “miscarriage of justice”
presupposes that the trial court is competent in relation to the infraction.
The court’s lack of initial jurisdiction and also its loss of jurisdiction
because of clear and serious violations of fundamental principles of natural
justice can create an automatic “miscarriage of justice”, without it being
necessary to examine whether the trial was unfair or appeared unfair. For
instance, in a case where there is a reasoned apprehension of bias on the part
of the trial judge, there is an automatic “miscarriage of justice” without
having to take the analysis any further to assess the impact of his bias (see R.
v. Curragh Inc., [1997] 1 S.C.R. 537, at paras. 5-7).
71
Such a jurisdictional miscarriage of justice cannot be cured under
s. 686(1)(b)(iv), even if the weight of the evidence is
overwhelming against the accused. As we will see below, s. 686(1)(b)(iv)
is the provision under which alleged “miscarriages of justice” as understood by
para. (a)(iii) may eventually be cured, if they are found to be mere
procedural irregularities not rising to the level of a failure of justice.
However, s. 686(1)(b)(iv) indicates that a conviction may be saved,
provided that the court “had jurisdiction over the class of offence of which
the appellant was convicted”. Therefore, the curing option would not apply to
the type of error which is so fundamental to trial fairness that it amounts to
or results in a lack of jurisdiction.
72
This being said, the other types of irregularities require that the
whole of the circumstances of each case be carefully weighed in determining
whether the trial has been rendered unfair in reality or in appearance. In so
doing, the court of appeal must bear in mind that the accused is not entitled
to a perfect trial. He is entitled to a fair trial, but it is inevitable that
minor irregularities will occur from time to time. The trial cannot be held to
a standard of perfection, provided it remains fair in reality and in
appearance. See R. v. Find, [2001] 1 S.C.R. 863, 2001 SCC
32, at para. 28; R. v. Carosella, [1997] 1 S.C.R. 80, at
para. 74; R. v. G. (S.G.), [1997] 2 S.C.R. 716, at para.
101; R. v. Harrer, [1995] 3 S.C.R. 562, at para. 45.
73
Whether a “miscarriage of justice” has occurred asks whether the trial
was unfair, or alternatively whether an appearance of unfairness was created.
See e.g. Cameron, supra, at pp. 101-2; R. v. Hertrich
(1982), 67 C.C.C. (2d) 510 (Ont. C.A.), at p. 543. This last element should be
evaluated in relation to a reasonable and objective observer, by asking if the
irregularity would be such as to taint the administration of justice in his or
her eyes. The fact that some member of the public may consider the trial to
have been unfair is not sufficient. We must look at whether a well-informed,
reasonable person considering the whole of the circumstances would have
perceived the trial as being unfair or as appearing to be so.
74
Courts should refrain from devising any strict formula in order to
determine whether a “miscarriage of justice” has taken place. Irregularities
which can occur during a trial may take many unpredictable forms. (See
generally G. D. McKinnon, The Criminal Lawyers’ Guide to Appellate
Court Practice (1997), at pp. 89 ff.; P. Béliveau and M. Vauclair,
Traité général de preuve et de procédure pénales (8th ed. 2001), at pp. 902
ff.; S. A. Cohen, “Controlling the Trial Process: The Judge and the Conduct of
Trial” (1977), 36 C.R.N.S. 15.) Some may impact the trial in a way which
deprives the accused of a fair defence, while others are less significant,
depending on the circumstances. The gravity of irregularities which may occur
must inevitably be evaluated by courts on a case-by-case basis. This being
said, certain elements can provide reference points in determining whether a
miscarriage of justice has occurred.
75
First, one should ask whether the irregularity pertained to a question
which was, in law or in fact, central to the case against the accused. Thus,
an irregularity which is related to a central point of the case is more likely
to be fatal than one concerning a mere peripheral point (see e.g. Olbey v.
The Queen, [1980] 1 S.C.R. 1008, at p. 1029). Of course, this issue
will not always be absolutely determinative, and it is possible that a serious
irregularity on a peripheral point can have rendered the trial unfair in
reality or in appearance. Moreover, it is important to realize that some
irregularities will not relate to a particular element in the case, but will
rather create a general apprehension of unfairness on the whole of the case.
This could occur, for instance, if jurors were led, through some irregularity,
to feel greater sympathy for the Crown’s case in general or greater antipathy
towards the accused.
76
Second, the court of appeal should consider the relative gravity of the
irregularity. How much influence could it have had on the verdict? What are
the chances that the apprehended detrimental effect of the irregularity did in
fact occur? How severe could these detrimental effects have been for the accused’s
case? This is important not only in relation to an actual finding of
unfairness, but also in relation to the appearance of unfairness. A single
irregularity which is unlikely to have had any significant impact would seem to
indicate to the reasonable observer that the trial appeared fair.
77
When the court considers the gravity of the error, it should also
consider the possible cumulative effect of several irregularities during the
trial. Sometimes, a trial in which more than one error has occurred can be
seen as unfair, even if these irregularities standing alone might not have been
fatal on their own. (In that regard, compare Cathro
v. The Queen, [1956] S.C.R. 101, with the dissenting judgment of Laskin J.A. of the Ontario Court
of Appeal in R. v. Ferguson (2000), 142 C.C.C. (3d) 353,
at pp. 376-77, which was affirmed by this Court, [2001] 1 S.C.R. 281, 2001 SCC
6.) Conversely, when, apart from one alleged irregularity, the trial was
otherwise error-free, the court may sometimes be justified in forgiving the
error more easily.
78
Third, one should be mindful of the type of trial during which the error
has occurred. Was it a trial by jury or by a judge sitting alone? Sometimes,
irregularities can have a more severe impact on the fairness of the trial when
they occur during a trial before a judge and a jury. This is especially true
considering that some irregularities can have a psychological effect, which we
presume judges are more apt to overcome than juries. However, this question is
not absolutely determinative, and some irregularities will render the trial
unfair even if they occurred before a judge sitting alone, while other mistakes
may not be fatal even if they took place before a jury. Thus, a
well-instructed jury may have the capacity to overcome irregularities.
79
Fourth, and related, is the possibility that the irregularity may have
been remedied, in full or in part, at the trial. When the trial judge realizes
that an irregularity has occurred, he or she may consider whether to declare a
mistrial, but when possible, he or she may also attempt to remedy the error.
The decision of whether or not to declare a mistrial falls within the
discretion of the judge, who must assess whether there is a real danger that
trial fairness has been compromised (see Emkeit, supra, at pp.
139-40; R. v. Martineau (1986), 33 C.C.C. (3d) 573 (Que. C.A.), at p.
576; R. v. Lessard (1992), 74 C.C.C. (3d) 552, [1992] R.J.Q.1205 (C.A.),
at pp. 559-63 C.C.C.; R. v. Taillefer (1995), 100 C.C.C.
(3d) 1, 40 C.R. (4th) 287 (Que. C.A.), at p. 54 C.C.C.). Although that
discretion is not absolute, its exercise must not be routinely second-guessed
by the court of appeal.
80
A decision on whether an incident has affected trial fairness in a way
which would warrant declaring a mistrial must take into account any corrective
measure which has been brought, or could be brought, by the judge to remedy the
irregularity (see e.g. Lessard, supra, at pp. 559-63
C.C.C.; R. (R.), supra, at p. 197; R. v. Siu
(1998), 124 C.C.C. (3d) 301 (B.C.C.A.), at p. 327). Similarly, it is
interesting to note that in decisions involving the possibility of granting a
“stay of proceedings”, an inquiry into the possible alternative solutions
available to remedy an apprehension of unfairness is also relevant (see Canada
(Minister of Citizenship and Immigration) v. Tobiass, [1997]
3 S.C.R. 391, at para. 90; R. v. O’Connor, [1995] 4 S.C.R.
411, at para. 75).
81
Thus, when a trial judge realizes that an error has occurred but decides
not to order a mistrial, the court should consider the remedy selected by the
judge, if any, as one of the elements in its assessment of whether the trial
has been or has appeared unfair. If the remedy chosen by the judge consisted
of a warning to the jury on what they should or should not consider in reaching
their verdict, the ability of a jury to follow instructions must be recognized,
although this reality is obviously subject to its own limits. In the case of R.
v. Corbett, [1988] 1 S.C.R. 670, at pp. 692-94, Dickson C.J.
stated:
In my view, it would be quite wrong to make too
much of the risk that the jury might use the evidence for an improper
purpose. This line of thinking could seriously undermine the entire jury system.
The very strength of the jury is that the ultimate issue of guilt or innocence
is determined by a group of ordinary citizens who are not legal specialists and
who bring to the legal process a healthy measure of common sense. The jury is,
of course, bound to follow the law as it is explained by the trial judge. Jury
directions are often long and difficult, but the experience of trial judges is
that juries do perform their duty according to the law. . . .
It is of course, entirely possible to construct an
argument disputing the theory of trial by jury. Juries are capable of egregious
mistakes and they may at times seem to be ill‑adapted to the exigencies
of an increasingly complicated and refined criminal law. But until the paradigm
is altered by Parliament, the Court should not be heard to call into question
the capacity of juries to do the job assigned to them. The ramifications of any
such statement could be enormous. Moreover, the fundamental right to a
jury trial has recently been underscored by s. 11 (f) of the Charter .
If that right is so important, it is logically incoherent to hold that juries
are incapable of following the explicit instructions of a
judge. . . .
We should maintain our strong faith in juries which
have, in the words of Sir William Holdsworth, “for some hundreds of years been
constantly bringing the rules of law to the touchstone of contemporary common
sense” (Holdsworth, A History of English Law (7th ed. 1956), vol. I, at
p. 349). [Emphasis in original.]
82
Thus, we should not presume that jurors are incapable of following
instructions given by the judge. On the contrary, when the judge issues a
clear and forceful warning about the use of some information, we are entitled
to presume that it diminishes the danger that the jury will misuse this
information when rendering its verdict.
83
The Quebec Court of Appeal case of Lessard, supra,
provides an interesting illustration. Four men were charged with several
murders in relation to alleged biker gang disputes. During the course of the
jury’s deliberations, one of the jurors revealed to the judge that he had been
bribed to vote in favour of an acquittal. He also told the judge that he had
revealed this matter to the other jurors. The judge declined to declare a
mistrial. He decided to discharge this particular juror, and to continue the
deliberations with eleven jurors, as allowed by s. 644(2) of the Code.
He took the precaution of warning the remaining jurors to take into
consideration only the evidence that was presented before them, and to not let
what they had learned about the attempted bribe influence their decision. The
Quebec Court of Appeal confirmed the decision of the trial judge to go on with
the trial and upheld the conviction. Baudouin J.A. emphasized at p. 563 C.C.C.
the privileged position of the trial judge when choosing the appropriate remedy
when such mistakes happen during a trial:
[translation]
The trial judge is the person, much more so than the Court of Appeal judges
several years later, in the best position to assess its true, concrete and
practical impact on the jury, in light of the general atmosphere in which the
trial took place, the specific circumstances of the case, of what he may have
observed during all the stages of the trial and the reaction of the members of
the jury at the time of his comments on the incident. He is also in the best
position to find a solution which would neutralize the poison distilled in the
minds of the jury. His decision must therefore be given the greatest respect
and it is only where the evidence shows that he was clearly mistaken and that
he did not properly exercise his discretion that, in my view, a Court of Appeal
can and must intervene.
84
Fifth, one must keep in mind that what matters most is the effect
of the irregularity on the fairness of the trial and the appearance of
fairness. Therefore, it will not be a mitigating factor that the irregularity
did not result from a deliberate act by the Crown, the judge, or one of the
court officials. In some cases, the intentional nature of the irregularity may
be a factor which will contribute to the appearance of unfairness. However,
one should not invoke the accidental nature of an irregularity to argue that it
is less likely to have triggered a “miscarriage of justice”.
85
Sixth, the attitude of defence counsel if and when he was confronted
with the irregularity may have an impact. Therefore, if defence counsel had an
opportunity to object to the irregularity and failed to do so, this militates
for a finding that the trial was not unfair (see Imrich v. The Queen,
[1978] 1 S.C.R. 622, at p. 631; Lewis v. The Queen, [1979] 2 S.C.R. 821,
at p. 840; R. v. Jacquard, [1997] 1 S.C.R. 314, at paras.
36-38). Of course, this is not absolutely determinative, as a trial can be
declared unfair even if defence counsel failed to object (see e.g. R. v.
Arcangioli, [1994] 1 S.C.R. 129).
86
If the accused’s counsel himself saw no unfairness resulting from a
certain irregularity at trial, this would tend to indicate that the trial was
not unfair, in reality or appearance. Even if an irregularity might seem
prejudicial to the accused, the failure to object may very well be a calculated
tactical decision by defence counsel. Hence, courts must be careful to avoid
second-guessing such tactical decisions (see e.g. R. v. G.D.B.,
[2000] 1 S.C.R. 520, 2000 SCC 22, at paras. 34-35; R. v. Terceira
(1998), 123 C.C.C. (3d) 1 (Ont. C.A.), at p. 32, aff’d [1999] 3 S.C.R. 866; R.
v. P. (G.) (1996), 112 C.C.C. (3d) 263 (Ont. C.A.), at p. 286).
The inference drawn from counsel’s failure to object may be even stronger when
he expressly gave his consent to the alleged irregularity. Finally, the more
counsel had time to reflect to bring an objection, the more this criterion will
be determinative, and the more it will be appropriate to infer that the trial
was not unfair (see R. v. Chambers, [1990] 2 S.C.R. 1293,
at p. 1306).
87
I note that none of these factors should be absolutely determinative on
its own. Rather, they should be considered together in light of the
circumstances of each case in order to assess whether the trial has been
unfair. Moreover, these criteria are not exhaustive. Other factors may be
articulated which will inform the analysis under s. 686(1)(a)(iii) of
the Code to determine whether a “miscarriage of justice” has occurred.
C. The
Curative Proviso in Section 686(1)(b)(iii) and (iv) of the Code
88
The second stage of the analysis is the applicability of s. 686(1)(b).
(For an account of the proviso’s legislative history, see R. R. Price and
P. W. Mallea, “‘Not by Words Alone’: Criminal Appeals and the No
Substantial Wrong or Miscarriage of Justice Rule”, in V. M.
Del Buono, ed., Criminal Procedure in Canada (1982), 453, at pp.
457-61.) Although it was adopted in several stages, it should now be viewed
and construed in its totality. It evinces a legislative intent to allow courts
of appeal to cure all kinds of procedural irregularities and errors in law,
provided the required conditions for its application are met. The structure of
these provisions acknowledges that, when an error of law or a procedural
irregularity is established, a presumption is created in favor of allowing the
appeal, unless it is shown that the error or irregularity is curable. At this
point in its legislative development, the scope of application of the proviso
appears now to have become a broad one. It calls upon appellate courts to
assess the relevance of legal issues, the fairness of the process and the
prejudice to the accused.
89
The proviso is currently governed by s. 686(1)(b)(iii) and (iv)
of the Code. Paragraph (b)(i) provides that the court of appeal
may dismiss an appeal by substituting a conviction for a lesser included
offence. This particular provision is of no interest to us in the present
analysis. Paragraph (b)(ii) instructs the appellate court to reject
the appeal if none of the defects presented in para. (a) have been
found. Thus, by necessary implication, this means that paras. (b)(iii)
and (b)(iv) inevitably address situations where the court of appeal has
first found that one of the grounds of para. (a) has been satisfied in
the first stage of the analysis, but may nevertheless dismiss the appeal at the
second stage.
90
Section 686(1)(b)(iii) allows an appellate court to uphold a
conviction despite the fact that it was based on an “error of law”, within the
meaning of para. (a)(ii), provided that “no substantial wrong or
miscarriage of justice has occurred”. In order to invoke this provision
successfully, the Crown must demonstrate that any reasonable judge or jury
would have rendered the same verdict (see R. v. Brooks,
[2000] 1 S.C.R. 237, 2000 SCC 11, at para. 104; R. v. Cleghorn,
[1995] 3 S.C.R. 175, at para. 39; R. v. Bevan, [1993] 2
S.C.R. 599, at pp. 616-17; R. v. S. (P.L.), [1991] 1
S.C.R. 909, at p. 919). Even though an important error of law could have
influenced the decision, it would not be appropriate to reverse the conviction
when the evidence is so overwhelming against the accused that it would
inevitably lead to the same result. Since a new trial before a reasonable
judge or jury would inevitably lead to a conviction, to order a new trial would
only result in a waste of time and resources. Similarly, when the court of
appeal finds that the evidence against the accused would inevitably have led to
the same result, it can uphold a conviction despite having found under
para. (a)(iii) that a procedural irregularity not amounting to a
miscarriage of justice had occurred.
91
It is true that this Court, in Fanjoy, supra, at pp.
239-40, refused to consider the application of the proviso in para. (b)(iii)
to cure a conviction which had been tainted by a failure to limit an improper
cross-examination of the accused. The Court underlined that para. (b)(iii)
was, by its express words, applicable to cure only errors of law under para. (a)(ii).
However, it is important to stress that para. (b) now contains a fourth
subparagraph which was not in force at the time the Fanjoy case was
heard. In fact, in July 1985, a few months after Fanjoy was heard by
this Court and shortly before the decision was released, Parliament amended the
Criminal Code and added s. 686(1) (b)(iv) (see the Criminal
Law Amendment Act, 1985, R.S.C. 1985, c. 27 (1st Supp.), s. 145). This
provision states that a court of appeal may uphold a conviction if
“notwithstanding any procedural irregularity at trial, the trial court had
jurisdiction over the class of offence of which the appellant was convicted and
the court of appeal is of the opinion that the appellant suffered no prejudice
thereby”.
92
Parliament seems to have attempted to answer a problem in the structure
of s. 686(1) of the Code through this amendment by conferring upon
courts of appeal the power to cure procedural irregularities not amounting to a
miscarriage of justice in the same way as “errors of law” may be cured. Thus,
it appears now that s. 686(1)(b)(iv) allows a court of appeal to
uphold a conviction despite a procedural irregularity which is alleged to be
miscarriage of justice as understood in para. (a)(iii).
93
This solution is the most logical. Indeed, why should it be possible
under s. 686(1)(b) to cure any important “error of law”, but not another
irregularity allegedly falling within the residual category of “miscarriage of
justice” without actually being such a failure of justice? The two types of
defects often share the common ground that they may render the trial unfair or
apparently so. There is no valid reason for allowing only one of the two types
of errors to be cured under para. (b), but not the other. In the end,
they may have a similar impact on the validity of the trial and the
conviction.
94
In Fanjoy, this Court had no other choice but to refuse to apply
the proviso since, at the time, para. (b)(iv) did not exist and para. (b)(iii)’s
wording made it only applicable to cure errors of law under para. (a)(ii),
as it did not view the failure to control abusive cross-examination as such an
error (p. 240, per McIntyre J.). However, since the legislative
amendment of 1985, it is now appropriate to allow for a procedural error not
amounting to a “miscarriage of justice” under para. (a)(iii) to be cured
under para. (b), when any reasonable judge or jury would inevitably have
reached the same verdict.
95
According to some interpretations given to s. 686(1)(b)(iv), the
addition of this provision had been a long-delayed response to a
jurisdictional problem raised in Meunier v. The Queen (1965), 48 C.R.
14, aff’d [1966] S.C.R. 399. In that case, the Quebec Queen’s Bench and this
Court held that the provision which is now s. 686(1)(b)(iii) did not
allow a court of appeal to cure a procedural irregularity resulting in the loss
of jurisdiction of the trial court. A few years after the addition of s.
686(1)(b)(iv), the Ontario Court of Appeal described this provision as a
solution to the Meunier problem in R. v. Cloutier (1988), 43
C.C.C. (3d) 35. It had been designed to catch procedural errors which caused a
loss of the initial jurisdiction over the matter. The Court of Appeal drew a
distinction between three different kinds of error. At page 48 of its reasons,
the Ontario Court of Appeal distinguished errors of substance, which arise when
the trial court has no jurisdiction over the class of offences and which are
not in the nature of procedural irregularities, errors of a relatively minor
nature which do not result in a loss of jurisdiction, and irregularities in
procedure which are so serious in nature that they are deemed to be matters of
substance which result in loss of jurisdiction.
96
According to the Ontario Court of Appeal in Cloutier, s. 686(1)(b)(iv)
will not cure an absence of jurisdiction. It will not apply to an irregularity
that could be cured under s. 686(1)(b)(iii). It will allow the Court
of Appeal to cure substantial procedural errors triggering a loss of
jurisdiction provided it was of the view that the error caused no prejudice to
the appellant.
97
To be sure, s. 686(1)(b)(iv) catches errors that are
jurisdictional in nature in the sense that they cause the loss of a jurisdiction
which already existed (see R. v. Simard (1989), 36 Q.A.C. 74, at para.
25). It allows a court of appeal to remedy errors that were committed when
there was jurisdiction over the matter but when it was lost by reason of a
substantial procedural error. With respect to the other views, its application
does not appear limited to procedural errors or irregularities which caused a
loss of jurisdiction. The addition of para. (b)(iv) does not appear
only as a late reaction to the Meunier judgment, but was also intended
to cover situations like the one which arose in Fanjoy, supra.
It is designed to address situations where even serious procedural errors
may be cured, provided it can be shown that they did not cause prejudice to the
accused. Case comments seem to indicate that the provision may find its
application in cases of substantial procedural error, where the error may or
may not cause a loss of jurisdiction but causes no prejudice. (See E. G.
Ewaschuk, Criminal Pleadings & Practice in Canada (2nd ed.
(loose-leaf)), vol. 2, at para. 23: 1080; see Béliveau and Vauclair, supra,
at pp. 833-34; R. v. Fabre (1990), 46 Q.A.C. 133; R. v. Deyardin
(1997), 119 C.C.C. (3d) 365, [1997] R.J.Q. 2367 (C.A.).)
98
Section 686(1)(b)(iv) takes its place in a set of provisions
which were gradually added to the Criminal Code . In the end, these
provisions attempt to prevent the annulment of criminal verdicts or mistrials
for reasons that relate essentially to technicalities of the law, which have no
real bearing on the fundamental legality or fairness of a trial.
99
Section 686(1)(b) demonstrates an intention to avoid useless
debates and litigation on the proper characterization of an error or
irregularity in the conduct of a criminal trial. Instead, it allows courts to
go straight to the problem of the existence and applicability of some remedy.
These curative provisions seek to avoid an unduly formalistic approach to
criminal procedure as Proulx J.A. of the Quebec Court of Appeal put it in Primeau
v. La Reine, [2000] R.J.Q. 696, at p. 705:
[translation]
Shortly after the decision in R. v. C.N., the Supreme Court of Canada
clearly set out, in R. v. Clunas, its approach to criminal procedure,
which deviates fundamentally from the traditional formalistic approach and is
consistent with the philosophy underlying the curative proviso (s. 686(1)(b)(iv)
Cr.C.). In the opinion of the Supreme Court, which adopted what had been said
by Kelly J. in R. v. Kennedy, a vital objective of criminal procedure is
to ensure that the accused may present a full answer and defence in a manner
that will not prejudice him; accordingly, any procedural deviation that does
not cause any prejudice should not result in the invalidity of the proceedings,
such as the information in this case, which moreover satisfied all of the
procedural requirements of an indictment. That is the conclusion I have
reached in this case, by refusing to have the appellant benefit from a
technical irregularity which he could have invoked at trial but which his
silence or ignorance cannot now revive to serve as an argument to invalidate a
trial whose fairness is not in issue.
(See also Taillefer
v. La Reine, [1989] R.J.Q. 2023 (C.A.), at p. 2041.)
100
Even though many procedural errors fall under s. 686(1)(b)(iii),
the flexible provision of s. 686(1)(b)(iv) may also cover situations
where a serious breach of a rule of procedure has occurred. In order to apply
s. 686(1)(b)(iv), the court of appeal does not have to inquire whether
or not it resulted in a loss of jurisdiction, or whether it will cause (within
the technical sense of the word) such a loss of jurisdiction or to extend the
meaning of the concept of a loss of jurisdiction in order to cure it. (See Deyardin,
supra, at pp. 371-72 C.C.C.) Even if the error is significant, the clause
allows the court of appeal to focus on the core issues of the trial, whether it
took place in conformity with the principles of the criminal law and justice
and in essential fairness to the accused. On the other hand, it will not
remedy a failure of justice or an error of law which may affect the verdict in
a significant manner or in the absence of jurisdiction.
101
Attempts at classifying errors arising out of the interplay of several
actors in the criminal trial as errors of law for the purpose of s. 686(1)(b)(iii)
fail to catch the complexity of such situations. Such an approach may try to
bring these cases under s. 686(1)(b)(iii), in a roundabout way by
focussing the analysis entirely on the decision or action the presiding judge
took or failed to take in respect of a particular problem. A broader and more
flexible application of s. 686(1)(b)(iv) will better reflect the nature
of those situations, as it acknowledges their often complex nature which may
require consideration of the behaviour of other actors in the criminal trial,
and not only of the judge. What is at stake in these cases is not only the
legal assessment of the validity of the legal decision of the court, but also
an evaluation of the conduct of all the actors in particular incidents during
the course of a criminal trial. Section 686(1)(b)(iv) is designed to
safeguard the essential requirements of substantive justice within the criminal
trial system, while at the same time protecting trials and verdicts against the
impact of technical mistakes in the conduct of a trial, such as procedural
irregularities or errors of law which do not result in a miscarriage of
justice, cause no prejudice to the accused or do not have any significant
impact on the legality of the verdict.
102
This interpretation would give a fuller meaning to s. 686(1)(b)(iv),
given that s. 686(1)(b)(ii) already states that the court of appeal may
reject the appeal when none of the grounds mentioned in para. (a) is
satisfied. Thus, para. (b)(iv) would necessarily have to apply to cure
the defects in either para. (a)(i), (a)(ii) or (a)(iii).
Yet it obviously is not designed to apply to “unreasonable verdicts” covered by
para. (a)(i). And as for “errors of law” in para. (a)(ii), they
are already covered by the traditional proviso in para. (b)(iii). Thus
the only option left is to apply para. (b)(iv) to cure serious
procedural irregularities falling under para. (a)(iii), which may or may
not cause a loss of jurisdiction. This is consistent with the reasoning behind
the existence of the proviso, which is to avoid ordering unnecessary new
trials.
103
In addition, as we have seen earlier, the fact that the proviso may be
applied to cure both “errors of law” as well as procedural irregularities
diminishes the problem associated with the distinction between the two concepts
and the classification of the two categories of errors. In many cases, it may
be difficult to decide whether a particular fact situation falls within an
“error of law” or a “procedural error”. As I indicated earlier, in some cases
the categorization may even appear quite artificial. However, since the
analysis remains similar, in respect of both categories, and also since s.
686(1)(b) may be applied in the same manner to both, the end result
remains equivalent.
104
It is important to realize, however, that whether s. 686(1)(b) is
used to cure an “error of law” or a procedural irregularity not amounting to
miscarriage of justice, the test should remain a very demanding one. Section
686(1)(b) may be used only when the conviction was “inevitable” (S.
(P.L.), supra, at p. 918). In Bevan, supra, Major J.,
writing for the majority, summarized the applicable test as follows (at pp.
616-17):
The question to be asked in determining whether
there has been no substantial wrong or miscarriage of justice as a result of a
trial judge's error is whether “the verdict would necessarily have been
the same if such error had not occurred”: see Colpitts v. The
Queen, [1965] S.C.R. 739, per Cartwright J. (as he then was), at p.
744; Wildman v. The Queen, [1984] 2 S.C.R. 311, at pp. 328‑29.
This test has also been expressed in terms of whether there is any
possibility that if the error had not been committed, a judge or properly
instructed jury would have acquitted the accused: see Colpitts, per
Spence J., at p. 756; R. v. S. (P.L.), [1991] 1 S.C.R.
909, per Sopinka J., at p. 919; R. v. Broyles,
[1991] 3 S.C.R. 595, at p. 620; R. v. B. (F.F.), [1993] 1
S.C.R. 697, per Iacobucci J. at pp. 736‑37. I do not interpret
these two approaches as being intended to convey different meanings. Under
either approach, the task of an appellate court is to determine whether there
is any reasonable possibility that the verdict would have been different
had the error at issue not been made. [Emphasis added.]
105
Thus, it is not sufficient for the court of appeal to agree with the
first verdict or to think that the same jury would have convicted. They must
be convinced that any other reasonable judge or jury would necessarily have
convicted. Courts of appeal must respect the primary role of trial judges and
juries in making factual determinations after having heard and seen the
evidence. Thus, a finding by a court of appeal that the conviction was
“inevitable” must be reserved only for the most obvious cases.
106
In other cases where, although the evidence appears clear, the written
record does not allow the court of appeal to conclude that any other judge or
jury would necessarily have rendered a guilty verdict, the appropriate avenue
is to order a new trial. This approach must be carefully followed, and courts
of appeal must resist the temptation of applying routinely s. 686(1)(b),
unless they are convinced that a new trial would result in the same verdict. A
too flexible and broad application of the provision might jeopardize the right
of the accused to the fairness and regularity of the trial process and would
not respect the distinction between the respective roles of trial courts and
appellate courts in that process. On the basis of these principles, I shall
now turn to the alleged irregularities invoked in the case at bar.
D. The
Alleged Irregularities in the Case at Bar
107
Under s. 686(1)(a) of the Code, which is the first step of
the analysis, we must first determine which subparagraph of s. 686(1)(a)
will apply. Before the Court of Appeal, the accused had argued that the
conviction should be quashed because the verdict was unreasonable, pursuant to
para. (a)(i). The Court of Appeal however rejected this argument and
this issue is not validly before us.
108
As indicated above, two issues were raised before this Court. The first
issue relates to the circumstances surrounding jury selection in this case.
The second issue relates to the tainted transcripts which were given to the jury
during their deliberations. In my view, the only truly debatable issue in this
case is the second one.
1. The Circumstances Surrounding Jury
Selection
109
I shall begin by discussing briefly the first issue, which the Court of
Appeal refused to consider, but was raised again before us. It relates to an
alleged defect in the jury selection process. The appellant had also been
charged with the murder of his sister, Bibi Khan. The appellant had originally
been charged and tried on the two counts together, and was convicted. After a
decision of the Manitoba Court of Appeal (R. v. Khan
(1996), 108 C.C.C. (3d) 108) raising concerns of similar fact evidence set the
convictions aside, the two counts were tried separately. When the case at bar
was tried, the appellant had already been convicted separately of the murder of
his sister, and his conviction was under appeal.
110
The alleged problem derives from the fact that prospective jurors waiting
to be selected in this case may have discussed the appellant’s other trial for
the murder of his sister. The appellant submitted that prospective jurors were
not instructed not to talk about the case or the appellant while awaiting jury
selection. Despite the fact that the appellant was to benefit from a separate
trial on this indictment, it was revealed by prospective jurors in front of
already-selected jurors during challenges for cause that the sister’s murder
case had been discussed in the jury array. The appellant argues that the
entire panel should have been rejected as the jurors which had already been
selected were tainted by these comments. It is further argued that this issue
should have been litigated before the trial judge but could not be because
another justice presided over jury selection.
111
There was no irregularity in the jury selection process. The challenge
for cause process is designed to deal with the very issue of juror bias.
Jurors are not required to be utterly ignorant of pre-trial publicity or media
comment. They are instead required to swear that they will try the case free
of bias and render a true verdict on the evidence. Some jurors were indeed
challenged upon the very basis about which the appellant now complains, and
were found to be unbiased.
112
The jury selection issue was argued before the presiding justice in the
selection process. In refusing a motion for a mistrial, the justice noted that
each trier had been found to be unbiased and had sworn to decide the case based
on the evidence. He warned the jury members to ignore extraneous information
and asked if they had heard anything “today or since you were sworn in which
has affected your ability to arrive at a true verdict based on [the evidence]”.
113
In my view, the confirmation solicited by the presiding justice that the
jury remained unaffected by anything they heard during the challenge for cause
process removed any appearance of, or actual, unfairness from the jury
selection process. Further, the hearing of the initial motion for a mistrial
by the presiding justice rather than the trial judge was the fair approach in
my view given that the presiding justice was the one who saw and heard what
occurred. As well, the trial judge reheard the motion. The appellant was
given full opportunity to subsequently argue this issue before her, although
without any success.
2. The Issue of the Tainted Transcripts
114
The only real question before us relates to the jury’s exposure to the
tainted transcripts which contained the voir dire information. The leak
of the tainted transcript to the jury was certainly an error or an
irregularity. Obviously, the reason the jury is excluded from the courtroom
when a voir dire is held is that they should not hear what is said in
that context. Thus, their being given access to the transcripts from the voir
dire during their deliberations defeats the purpose of the rule and has the
potential for rendering the trial unfair, depending on the circumstances.
115
This mistake does not seem to be in the nature of an “error of law” as
understood by s. 686(1)(a)(ii) of the Code. This is not really a
case where the judge made a “decision on a question of law” which was among the
bases of a conviction. The error was more akin to a procedural irregularity
which happened by accident. The only legal ruling which the judge issued in
relation to the tainted transcripts was her decision not to order a mistrial.
As mentioned earlier, this type of decision is discretionary. Of course, this
discretion cannot be exercised abusively, but an abuse of discretion by the
trial judge is not an “error of law” within the meaning of s. 686(1)(a)(ii)
of the Code (see Fanjoy, supra, at pp. 239-40). Thus, as
this case does not seem to fall squarely within the “error of law” category,
this becomes a matter to be examined under s. 686(1)(a)(iii), in the
residual category of procedural irregularity.
116
In the case at bar, did a “miscarriage of justice” occur? Was the
irregularity fatal in the context of s. 686(1)(a)(iii) of the Code?
In other words, did the fact that transcripts from the voir dire were
inadvertently given to the jury during their deliberations render the trial
unfair or create an appearance of unfairness? The question should be answered
in the negative.
117
First, the irregularity did not relate to a point which was particularly
central in law or in fact to the case against the accused. The main objects of
contention in the present case were the “washerwoman syndrome” and the
inference which should be drawn from it, as well as the alibi offered by the
appellant. The tainted transcripts did not contain any information which was
related to these points or to any other major element of the case against the
appellant. It was rather a general inference that the appellant might have
made some statements which were ruled inadmissible. Thus, while this can still
lead to an unfair trial depending on the circumstances, the fact that it did
not relate to a central issue militates against a finding of unfairness.
118
Second, was the irregularity in the case at bar of significant
importance? Although it is quite likely that the jury might not have read the
problematic passages, which were buried among 348 pages of testimony, I will
assume for the sake of the analysis that the jury had read them. But even if
the jurors read the problematic passage, what could they have understood from
it? I note that the passage did not contain the declarations of the appellant
themselves, but rather a discussion between defence counsel and the judge,
vaguely suggesting that the appellant might have made some statements which
were ruled inadmissible. This is not as serious as if the jury had been
exposed to the actual statements, or if it was clear from the passage that some
incriminating statement had been made by the appellant.
119
In addition, as the respondent has pointed out before this Court, the
main problematic extract is worded in hypothetical terms. This therefore would
indicate that no negative inference could be drawn against the appellant:
MR. GLAZER: I beg to disagree, My Lady. The law as
understand it is -- for example, My Lady had ruled that certain comments
by the accused are inadmissible. If the witness during the course of his
testimony refers to those comments as forming the basis of some of his opinion,
it would be grounds for a mistrial. He can only refer to what is before the
jury; he can’t refer to evidence that is not before the jury. [Emphasis
added.]
120
The hypothetical nature of this extract is reinforced by the fact that
other hypothetical references had been made before. Thus, prior to the above
quoted extract, the transcripts contain the following comment:
MR. GLAZER: No. My concern -- I might as well deal
with it now -- is that I hope my friend isn’t going to ask this witness to
reveal hearsay that he relied on that has not been tendered as evidence in
court because that would be inadmissible. For example, if certain
photographs are not filed and the witness says he’s basing his opinion on
photographs that haven’t been filed, that is inadmissible. If he says that
he’s basing his opinion based on temperature he believes was taken, but that
temperature was not filed as an exhibit or tendered as evidence in the trial,
then, the jury has to be told to disregard that. [Emphasis added.]
121
Thus, if a juror happened to lay his eyes on these passages, it is
reasonable to infer that he probably would have perceived them as expressing a
hypothesis. He or she would not have found in them a confirmation that actual
statements were ruled inadmissible.
122
The third factor, which is whether the trial was held before a judge sitting
alone or before a judge and jury, obviously militates for a finding of
unfairness. In fact, it is because the trial was before a jury that this
tainted transcript causes a problem. If the trial had been held before a judge
sitting alone, the fact that the judge would know that some evidence was
excluded would not be problematic, as the judge is allowed to have such
knowledge without creating an appearance of unfairness.
123
However, we must also consider in that regard the fourth factor, which
is the warnings given by the judge to the jury. All doubts concerning the
unfairness or appearance of unfairness of the trial are, in my view, put to
rest in the circumstances of this case when we consider the remedy chosen by
the judge when she realized that the tainted transcripts had been leaked to the
jury. The judge explained to the jury on several occasions that they should
only consider what they had seen or heard during the proceedings. The judge
even specified that, if they had read anything else in the transcripts which
were given to them, they should not consider it. After the tainted transcripts
were taken from the jury, the judge warned the jury in strong and clear terms:
Members of the jury, it's come to my attention that
among some of the transcripts that you were provided with today that they
contain some matters that took place while you were not in the courtroom and
they are matters that were not properly put before you in evidence.
As I indicated to you in my charge to you, the only
things that you are to base your decision on are the exhibits and the evidence
that you heard from the witness box when you were here and on no other
considerations. I can't strongly caution you enough that your decision is to
be based solely on what was put before you through the witnesses and through
the evidence that was filed.
What I have done is I have taken the transcripts
that were provided to you. We're in the process of preparing proper
transcripts and those will be given back to you when they're ready.
Again, please, bear in
mind when you're deliberating that only matters that were put before you in
your presence are to be considered by you and nothing else, and, please, if
there is anything in the transcripts that you have read that wasn’t before you,
I urge you to put it out of your mind completely.
The next day,
she warned them again in the following terms:
We’re now in a position to give you clean copies of
all of the transcripts. And before I do so, I again wish to urge you to
remember the oath you took to render a true verdict based only on the evidence
that was before you. I'm not certain whether you read anything that was in the
transcripts that wasn't before you properly, but if you did, please put it out
of your mind and look deep into yourself and make sure that you render a
verdict based only on what was properly before you, that is the witness
testimony and the exhibits that were filed in this case.
Finally, the
final charge to the jury contained the following remarks:
You will recall that during the course of my
preliminary remarks to you at the commencement of these proceedings, I advised
you that you are the sole judges of the facts in this case. You were sworn to
bring in a true verdict according to the evidence. That means that you should
only consider the testimony and the exhibits which have come before you at this
trial. You must put out of your minds all prejudice against the accused and
all sympathy for the deceased, which you may have, or anything which you may
have heard or read or seen apart from the actual evidence that was given by the
witnesses under oath in the witness box, exhibits admitted as evidence and
admissions of facts made by counsel.
124
The appellant before this Court attempted to downplay the importance of
these warnings by pointing out that the jurors were not warned specifically
what extracts they should ignore. Given the possibility that the jurors might
not have read them, telling them which extracts she was referring to would most
likely have done more harm than good. Thus, it was appropriate not to tell
them more than needed about the contents of these extracts. If one of the
jurors ever read the problematic passages, then the carefully worded warnings
given by the trial judge were sufficient to ensure that no prejudice was caused
to the appellant and that the trial did not appear unfair.
125
I am satisfied that no “miscarriage of justice” within the meaning of
s. 686(1)(a)(iii) of the Code has occurred. It is therefore
not necessary to examine whether the conviction could be saved under the
curative proviso in s. 686(1)(b)(iv) of the Code.
V. Order
126
I would dismiss the appeal and confirm the conviction of the appellant
for first degree murder.
Appeal dismissed.
Solicitors for the appellant: Martin Glazer Law Office,
Winnipeg.
Solicitor for the respondent: Manitoba Justice, Winnipeg.