R. v. Ruzic, [2001] 1 S.C.R. 687, 2001 SCC 24
Her Majesty The Queen Appellant
v.
Marijana Ruzic Respondent
and
The Attorney General for Ontario,
the Canadian Council of Churches and
the Canadian Council for
Refugees Interveners
Indexed as: R. v. Ruzic
Neutral citation: 2001 SCC 24.
File No.: 26930.
2000: June 13; 2001: April 20.
Present: McLachlin C.J. and L’Heureux‑Dubé,
Gonthier, Iacobucci, Major, Bastarache, Binnie, Arbour and LeBel JJ.
on appeal from the court of appeal for ontario
Constitutional law – Charter of Rights –
Fundamental justice – Criminal Code providing for defence of compulsion by
threats -- Provision requiring that threat be of immediate death or bodily
harm from a person who is present when offence is committed -- Whether
immediacy and presence requirements of provision infringe principles of
fundamental justice -- If so, whether infringement justifiable -- Canadian
Charter of Rights and Freedoms, ss. 1 , 7 – Criminal Code, R.S.C. 1985, c. C-46,
s. 17 .
Criminal law – Defences – Duress – Criminal Code
providing for defence of compulsion by threats -- Provision requiring that
threat must be of immediate death or bodily harm from a person who is present
when offence is committed -- Whether trial judge right in allowing common law
defence of duress to go to jury – Whether trial judge adequately instructed
jury on defence – Criminal Code, R.S.C. 1985, c. C-46, s. 17 .
The accused was tried before a judge and jury on
charges of unlawfully importing two kilograms of heroin into Canada, contrary
to s. 5(1) of the Narcotic Control Act, and of possession and use of a
false passport contrary to s. 368 of the Criminal Code . The accused
admitted having committed both offences but claimed that she was then acting
under duress and should thus be relieved from any criminal liability. She
testified that a man in Belgrade, where she lived in an apartment with her
mother, had threatened to harm her mother unless she brought the heroin to
Canada. She also said that she did not seek police protection because she
believed the police in Belgrade were corrupt and would do nothing to assist
her. The accused conceded that her claim of duress did not meet the immediacy
and presence requirements of s. 17 of the Code, which provides a defence
for a person “who commits an offence under compulsion by threats of immediate
death or bodily harm from a person who is present when the offence is
committed”. She successfully challenged the constitutionality of s. 17 under
s. 7 of the Canadian Charter of Rights and Freedoms , raised the common
law defence of duress and was acquitted. The Crown appealed the acquittal on
the charge of importing heroin, but the Court of Appeal dismissed the appeal.
Held: The appeal should
be dismissed.
Subject to constitutional review, Parliament retains
the power to restrict access to a criminal defence or to remove it altogether.
The question for the courts is whether restricting the defence accords with Charter
rights. Statutory defences are not owed special deference by reviewing
courts. Determining when to absolve a person for otherwise criminal behaviour
is a value-laden exercise, but statutory defences do not warrant more deference
simply because they are the product of difficult moral judgments.
Although moral involuntariness does not negate the actus
reus or mens rea of an offence, it is a principle which, like
physical involuntariness, deserves protection under s. 7 of the Charter .
It is a principle of fundamental justice that only voluntary conduct –
behaviour that is the product of a free will and controlled body, unhindered by
external constraints – should attract the penalty and stigma of criminal
liability. Depriving a person of liberty and branding him or her with the
stigma of criminal liability would infringe the principles of fundamental
justice if the person did not have any realistic choice.
Section 17 of the Code breaches s. 7 of the Charter
because it allows individuals who acted involuntarily to be declared criminally
liable. The section limits the defence of duress to a person who is compelled
to commit an offence under threats of immediate death or bodily harm from a
person who is present when the offence is committed. The plain meaning of s. 17
is quite restrictive in scope. The phrase “present when the offence is
committed”, coupled with the immediacy criterion, indicates that the person
issuing the threat must be either at the scene of the crime or at whatever
other location is necessary to make good on the threat without delay should the
accused resist. Practically speaking, a threat of harm will seldom qualify as
immediate if the threatener is not physically present at the scene of the
crime. The immediacy and presence requirements, taken together, clearly
preclude threats of future harm. While s. 17 may capture threats to third
parties, the immediacy and presence criteria continue to impose considerable
obstacles to relying on the defence in hostage or other third party
situations. The underinclusiveness of s. 17 infringes s. 7 of the Charter .
The Crown made no attempt before this Court to justify the immediacy and
presence criteria according to the s. 1 analysis and has therefore failed to
satisfy its onus under s. 1 . In any event, the criteria would likely not meet
the proportionality branch of the s. 1 analysis. In particular, these
requirements seemingly do not minimally impair the accused’s s. 7 rights.
The common law defence of duress was never completely
superseded by s. 17 of the Code, and remains available to parties to an
offence. The common law defence has freed itself from the constraints of
immediacy and presence and thus appears more consonant with the values of the Charter .
The common law of duress, as restated by this Court in Hibbert,
recognizes that an accused in a situation of duress not only enjoys rights, but
also has obligations towards others and society. As a fellow human being, the accused
remains subject to a basic duty to adjust his or her conduct to the importance
and nature of the threat. The law includes a requirement of proportionality
between the threat and the criminal act to be executed, measured on the
objective-subjective standard of the reasonable person similarly situated. The
accused should be expected to demonstrate some fortitude and to put up a normal
resistance to the threat. The threat must be to the personal integrity of the
person. In addition, it must deprive the accused of any safe avenue of escape
in the eyes of a reasonable person, similarly situated.
The Court of Appeal and the trial judge were right in
allowing the common law defence of duress to go to the jury, and the trial
judge adequately instructed the jury on the defence. In the future, when the
common law defence of duress is raised, the trial judge should instruct the
jury clearly on the components of this defence including the need for a close
temporal connection between the threat and the harm threatened. The jury’s
attention should also be drawn to the need for the application of an
objective-subjective assessment of the safe avenue of escape test.
Nevertheless, the trial judge’s charge, viewed in its entirety, contained all the
elements required by the common law rules on duress. The criterion of the safe
avenue of escape was well explained as was the objective component of this
test. The law does not require an accused to seek the official protection of
police in all cases. The requirement of objectivity must itself take into
consideration the special circumstances in which the accused found herself as
well as her perception of them. The trial judge drew the jury’s attention both
to that objective component and to the subjective elements of the defence. As
to the immediacy of the threat, the trial judge brought home to the jury the
fact that the threat had to be a real threat affecting the accused at the time
of the offence. This instruction at least implied that the jury had to
consider the temporal connection between the threat and the harm threatened,
although it would have been preferable to say so in so many express words.
There was no misdirection either on the burden of proof. The accused must
certainly raise the defence and introduce some evidence about it. Once this is
done, the burden of proof shifts to the Crown under the general rule of
criminal evidence. It must be shown, beyond a reasonable doubt, that the
accused did not act under duress.
Distinguished: R.
v. Finta, [1994] 1 S.C.R. 701; R. v. Penno, [1990] 2 S.C.R. 865; referred
to: R. v. Parris (1992), 11 C.R.R. (2d) 376; R. v. Langlois,
[1993] R.J.Q. 675; Re B.C. Motor Vehicle Act, [1985] 2 S.C.R. 486; Vriend
v. Alberta, [1998] 1 S.C.R. 493; R. v. Vaillancourt, [1987] 2 S.C.R.
636; R. v. Wholesale Travel Group Inc., [1991] 3 S.C.R. 154; Slaight
Communications Inc. v. Davidson, [1989] 1 S.C.R. 1038; R. v. Mills,
[1999] 3 S.C.R. 668; R. v. Nova Scotia Pharmaceutical Society, [1992] 2
S.C.R. 606; R. v. Seaboyer, [1991] 2 S.C.R. 577; Rodriguez v. British
Columbia (Attorney General), [1993] 3 S.C.R. 519; Perka v. The Queen,
[1984] 2 S.C.R. 232; R. v. Hibbert, [1995] 2 S.C.R. 973; Bergstrom v.
The Queen, [1981] 1 S.C.R. 539; R. v. Daviault, [1994] 3 S.C.R. 63; R.
v. City of Sault Ste. Marie, [1978] 2 S.C.R. 1299; R. v. Bernard,
[1988] 2 S.C.R. 833; R. v. Martineau, [1990] 2 S.C.R. 633; R. v.
DeSousa, [1992] 2 S.C.R. 944; R. v. Chaulk, [1990] 3 S.C.R. 1303; Rabey
v. The Queen, [1980] 2 S.C.R. 513; R. v. Parks, [1992] 2 S.C.R. 871;
R. v. Stone, [1999] 2 S.C.R. 290; R. v. Carker, [1967] S.C.R.
114; Paquette v. The Queen, [1977] 2 S.C.R. 189; R. v. Latimer,
[2001] 1 S.C.R. 3, 2001 SCC 1; R. v. Martin, [1989] 1 All E.R. 652; R.
v. Abdul-Hussain, [1998] E.W.J. No. 4183 (QL); Re A (Children) (Siamese
Twins Decision), [2000] E.W.J. No. 4875 (QL); R. v. Howe, [1987] 1
All E.R. 771; R. v. Gotts, [1992] 1 All E.R. 832; Lynch v. Director
of Public Prosecutions for Northern Ireland, [1975] 1 All E.R. 913; R.
v. Lewis (1992), 96 Cr. App. R. 412; R. v. Heath, [1999] E.W.J.
No. 5092 (QL); R. v. Graham, [1982] 1 All E.R. 801; R. v. Hudson,
[1971] 2 Q.B. 202; R. v. Hurley and Murray, [1967] V.R. 526; R. v.
McCafferty, [1974] 1 N.S.W.L.R. 89; R. v. Dawson, [1978] V.R. 536; R.
v. Abusafiah (1991), 24 N.S.W.L.R. 531; R. v. Palazoff (1986), 43
S.A.S.R. 99; R. v. Lawrence, [1980] 1 N.S.W.L.R. 122; R. v. Brown
(1986), 43 S.A.S.R. 33; R. v. Williamson, [1972] 2 N.S.W.L.R. 281; Osborne
v. Goddard (1978), 21 A.L.R. 189; United States v. Jennell, 749 F.2d
1302 (1984); United States v. Contento-Pachon, 723 F.2d 691 (1984); United
States v. Marenghi, 893 F. Supp. 85 (1995); Esquibel v. State, 576
P.2d 1129 (1978); People v. Harmon, 232 N.W.2d 187 (1975); State v.
Toscano, 378 A.2d 755 (1977); Rhode Island Recreation Center v. Aetna
Casualty & Surety Co., 177 F.2d 603 (1949); New Brunswick (Minister
of Health and Community Services) v. G. (J.), [1999] 3 S.C.R. 46; R. v.
Heywood, [1994] 3 S.C.R. 761.
Statutes and Regulations Cited
Canadian Charter of Rights and Freedoms,
ss. 1 , 7 , 24 .
Constitution Act, 1982, s. 52 .
Criminal Code, R.S.C. 1985, c. C-46, ss. 8(3) , 17 [am. c. 27 (1st Supp.), s.
40(2) (Sch. I, item 1)], 368.
Narcotic Control Act, R.S.C. 1985, c.
N-1 [rep. 1996, c. 19, s. 94], s. 5(1).
Authors Cited
Côté, Pierre-André. The
Interpretation of Legislation in Canada, 3rd ed. Scarborough, Ont.:
Carswell, 2000.
Côté-Harper, Gisèle, Pierre
Rainville et Jean Turgeon. Traité de droit pénal canadien, 4e
éd. Cowansville, Qué.: Yvon Blais, 1998.
Findlay, Mark, Stephen Odgers and
Stanley Yeo. Australian Criminal Justice, 2nd ed. Melbourne: Oxford
University Press, 1999.
Fletcher, George P. Rethinking Criminal Law. Boston:
Little, Brown, 1978.
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Klimchuk, Dennis. “Moral
Innocence, Normative Involuntariness, and Fundamental Justice” (1998), 18 C.R.
(5th) 96.
LaFave, Wayne R., and Austin W.
Scott, Jr. Substantive Criminal Law, vol. 1. St. Paul, Minn.: West
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O’Connor, Desmond, and Paul A.
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APPEAL from a judgment of the Ontario Court of Appeal
(1998), 41 O.R. (3d) 1, 164 D.L.R. (4th) 358, 112 O.A.C. 201, 128 C.C.C. (3d)
97, 18 C.R. (5th) 58, 55 C.R.R. (2d) 85, [1998] O.J. No. 3415 (QL),
addendum reported at 41 O.R. (3d) 39, 165 D.L.R. (4th) 574, 115 O.A.C. 361, 128
C.C.C. (3d) 481, [1998] O.J. No. 4732 (QL), dismissing the Crown’s appeal
from the accused’s acquittal on a charge of unlawful importation of heroin.
Appeal dismissed.
Croft Michaelson and Morris
Pistyner, for the appellant.
Frank Addario and Leslie
Pringle, for the respondent.
Gary T. Trotter and John
McInnes, for the intervener the Attorney General for Ontario.
Marlys Edwardh and Jill
Copeland, for the interveners the Canadian Council of Churches and the
Canadian Council for Refugees.
The judgment of the Court was delivered by
1
LeBel J. – On April 29,
1994 Marijana Ruzic, a Yugoslav citizen, landed at Pearson Airport in Toronto
carrying two kilograms of heroin strapped to her body and a false Austrian
passport. When the heroin was found on her, she was arrested, charged and
tried for possession and use of a false passport and unlawful importation of
narcotics. At trial, Ruzic successfully challenged the constitutionality of s.
17 of the Criminal Code, R.S.C. 1985, c. C-46 , raised the common law
defence of duress and was acquitted by a jury. The Crown appealed the
acquittal without success to the Ontario Court of Appeal. This appeal now
raises, as a core issue, the constitutional validity, under s. 7 of the Canadian
Charter of Rights and Freedom, of s. 17 of the Criminal Code and
more precisely of some of the conditions restricting the admissibility of the
defence of duress. For reasons differing in part from those of the Court of
Appeal, I will suggest that s. 17 of the Criminal Code be declared
unconstitutional in part, that the acquittal of the respondent Ruzic be upheld
and that the appeal be dismissed.
I. Facts
2
The respondent Marijana Ruzic was born in Belgrade in the former
Yugoslavia. She was 21 years old when she entered Canada. When heroin was
discovered on her, she was charged with three offences, two of which proceeded
to trial: possession and use of a false passport contrary to s. 368 of the Criminal
Code , and unlawful importation of a narcotic contrary to s. 5(1) of the Narcotic
Control Act, R.S.C. 1985, c. N-1.
3
Ms. Ruzic admitted having committed both offences but claimed that she
was then acting under duress and should thus be relieved from any criminal
liability. She testified that, two months before her arrival in Canada, a man
named Mirko Mirkovic approached her while she was walking her dog in the
streets of Belgrade, where she lived in an apartment with her mother. She
described him as a “warrior” and believed he was paid to kill people in the
war. An expert witness testified at trial that, in 1994, large paramilitary
groups roamed Belgrade and engaged in criminal and mafia-like activities. The
same expert maintained that people living in Belgrade during that period did
not feel safe. They believed the police could not be trusted. There was a
real sense that the rule of law had broken down.
4
From there began a series of encounters between Mirkovic and the
respondent while she was walking her dog. Each time he approached her, he knew
more about her, although she had shared no details of her life with him. He
phoned her at home. He told her he knew her every move. Ms. Ruzic alleged
that his behaviour became more and more intimidating, escalating to threats and
acts of physical violence. On one occasion, he burned her arm with a lighter.
On another, he stuck a syringe into her arm and injected her with a substance
that smelled like heroin and made her nauseous. She indicated that these
physical assaults were coupled with sexual harassment and finally threats
against her mother.
5
On April 25, 1994, Mirkovic phoned the respondent and instructed her to
pack a bag and meet him at a hotel in central Belgrade. Once there, he
allegedly strapped three packages of heroin to her body and indicated that she
was to take them to a restaurant in Toronto. He gave her the false passport, a
bus ticket from Belgrade to Budapest and some money. He told her to fly from
Budapest to Athens, and then from Athens to Toronto. When she protested, he
warned her that, if she failed to comply, he would harm her mother.
6
Ms. Ruzic arrived in Budapest on April 26. Late that evening, she
boarded a plane to Athens, where she arrived early the next day. She then
purchased a ticket to Toronto. She missed that flight, exchanged her ticket
for the next available flight, and left for Toronto two days later, on April
29.
7
During the two months prior to her journey to Canada, Ms. Ruzic
testified that she did not tell her mother or anyone else about Mirkovic. She
was afraid he would harm whoever she told. She did not seek police protection
because she believed the police in Belgrade were corrupt and would do nothing
to assist her. She maintained that she followed Mirkovic’s instructions out of
fear for her mother’s safety. She made no attempt while in Budapest or Athens
to seek the assistance of police or other government officials. Similarly, before
her arrest, she did not ask any Canadian authorities for help. She asserted
that she believed the only way she could protect her mother was to obey
Mirkovic’s orders.
II. Constitutional
and Statutory Provisions
8
Canadian Charter of Rights and Freedoms
1. The Canadian Charter of Rights and
Freedoms guarantees the rights and freedoms set out in it subject only to
such reasonable limits prescribed by law as can be demonstrably justified in a
free and democratic society.
7. Everyone has the right to life, liberty
and security of the person and the right not to be deprived thereof except in
accordance with the principles of fundamental justice.
Criminal
Code, R.S.C. 1985, c. C-46
8. . . .
(3) Every rule and principle of the common law that
renders any circumstance a justification or excuse for an act or a defence to a
charge continues in force and applies in respect of proceedings for an offence
under this Act or any other Act of Parliament except in so far as they are
altered by or are inconsistent with this Act or any other Act of Parliament.
17. A person who commits an offence under
compulsion by threats of immediate death or bodily harm from a person who is
present when the offence is committed is excused for committing the offence if
the person believes that the threats will be carried out and if the person is
not a party to a conspiracy or association whereby the person is subject to
compulsion, but this section does not apply where the offence that is committed
is high treason or treason, murder, piracy, attempted murder, sexual assault,
sexual assault with a weapon, threats to a third party or causing bodily harm,
aggravated sexual assault, forcible abduction, hostage taking, robbery, assault
with a weapon or causing bodily harm, aggravated assault, unlawfully causing
bodily harm, arson or an offence under sections 280 to 283 (abduction and
detention of young persons).
III. Judicial
History
A. Ontario Court (General Division)
9
Ms. Ruzic was tried before Herold J. and a jury. Her main line of
defence was that she acted under duress. She conceded that her claim of duress
did not meet the immediacy and presence requirements of s. 17 of the Criminal
Code . Mirkovic’s threats were not of “immediate” death or bodily harm and
he was not “present” when she committed the offence. Furthermore, the threats
were directed at her mother. She accordingly challenged the constitutionality
of s. 17 under s. 7 of the Charter , in order to raise the common law
defence of duress that, in her mind, did not incorporate the requirements of
immediacy and presence.
10
Herold J. accepted her submissions, holding that s. 17 of the Criminal
Code infringes s. 7 of the Charter and cannot be justified under s.
1 . Rather than setting out the grounds for his conclusion in any detail, he
adopted the reasoning of two previous judgments in which s. 17 was found
unconstitutional: R. v. Parris (1992), 11 C.R.R. (2d) 376 (Ont. Ct. (Gen.
Div.)), per Thomas J., and R. v. Langlois, [1993] R.J.Q. 675
(C.A.), per Fish J.A. He then instructed the jury on the common law
defence of duress, which is preserved by virtue of s. 8(3) of the Criminal
Code . The jury acquitted Ms. Ruzic on both charges. The Crown appealed
the acquittal on the charge of importing heroin to the Court of Appeal for
Ontario.
B. Ontario Court of Appeal (1998),
41 O.R. (3d) 1
11
Writing for the Court of Appeal, Laskin J.A. upheld the trial judge’s
finding that the immediacy and presence requirements in s. 17 infringe s. 7 of
the Charter . First, he maintained that it would violate the principles
of fundamental justice to convict a person whose actions are morally
involuntary. He held that this Court in Re B.C. Motor Vehicle Act,
[1985] 2 S.C.R. 486, and subsequent cases had recognized, as a principle of
fundamental justice, the requirement that the morally blameless should not be
punished. He likened moral voluntariness to moral blameworthiness. Those who
act in a morally involuntary fashion, he stated, are not morally blameworthy
for what they do. It follows that it would be contrary to s. 7 of the Charter
to attach criminal liability to their conduct. In the alternative, he found
such similarity between moral blamelessness and moral involuntariness that it
would be as unfair to punish morally involuntary conduct as it would be unjust
to punish morally blameless behavior.
12
Second, Laskin J.A. held that the immediacy and presence restrictions in
s. 17 are poor measures of moral voluntariness. They deny access to the
defence to an accused who is threatened with future injury. In addition, they
render the defence unavailable to persons whose family members are the target
of the threatened harm. As he explained at p. 32:
The underlying problem with the immediacy and
presence restrictions is that they do not adequately capture all morally
involuntary conduct. Perka and Hibbert hold that the
essence of involuntary conduct is the absence of a realistic choice or a safe
avenue of escape. The mother whose child is abducted, or Mr. Langlois whose
family is threatened, or Ms. Ruzic who lives where the police cannot help her
or her mother, or the battered spouse who cannot leave her abusive
relationship, do not have a realistic choice but to commit a criminal offence,
even though the threatened harm is not immediate and the threatener is not
present when the offence is committed.
He concluded
that the immediacy and presence requirements contravene s. 7 of the Charter
because they permit the conviction of persons whose conduct is morally
involuntary.
13
Laskin J.A. also endorsed an alternative basis for finding that s. 17
violates s. 7 . It is that the immediacy and presence restrictions risk
punishing persons contrary to the principle of fundamental justice that the
deprivation of a right must not be arbitrary or unfair. In his view, these
criteria conflict with Parliament’s purpose in providing the defence in the
first place, which is to excuse acts that are morally involuntary.
14
Third, Laskin J.A. held that the violation of s. 7 was not saved by s.
1 . He specified three reasons for so finding: the appellant made no
submissions regarding s. 1 , there are no decisions of this Court in which a
breach of s. 7 has been justified, and the immediacy and presence requirements
in s. 17 do not satisfy the proportionality component of the s. 1 analysis. He
declared s. 17 of no force or effect to the extent that it prevents an accused
from relying on the common law defence of duress. He then added that this
declaration applied only to those offences not listed in s. 17 as an excluded
offence.
15
Last, Laskin J.A. concluded that Herold J. did not misdirect the jury on
the elements of the common law defence of duress. The trial judge was not
required to use the word “immediate” or “imminent” in his explanation of that
defence. The operative test was whether the accused had a safe avenue of
escape, assessed on a reasonableness standard taking into account the personal
circumstances of the accused. While the trial judge might have described the
objective nature of the standard more clearly, Laskin J.A. surmised that his
instructions, on this question, did not amount to a reversible error.
IV. Issues
16
Lamer C.J. stated the following constitutional questions:
1. Do the requirements in s. 17 of the Criminal
Code, R.S.C. 1985, c. C-46 , that a threat must be of immediate death or
bodily harm and from a person who is present when the offence is committed infringe
the rights of an accused person as guaranteed by s. 7 of the Canadian
Charter of Rights and Freedoms ?
2. If the answer to Question 1 is yes, is
the said infringement of the s. 7 rights a reasonable limit that can be
demonstrably justified under s. 1 of the Canadian Charter of Rights and
Freedoms ?
3. Does s. 17 of the Criminal Code,
R.S.C. 1985, c. C-46 , infringe the rights of an accused person as guaranteed by
s. 7 of the Canadian Charter of Rights and Freedoms by precluding access
to the defence of duress where the threat is to a third party?
4. If the answer to Question 3 is yes, is
the said infringement of the s. 7 rights a reasonable limit that can be
demonstrably justified under s. 1 of the Canadian Charter of Rights and
Freedoms ?
17
The first and central question before us is thus framed in the same way
that it was in the courts below: do the immediacy and presence requirements in
s. 17 of the Criminal Code infringe s. 7 of the Charter , and, if
so, can they be justified under s. 1 ? This question raises several subsidiary
matters:
-- Are statutory defences owed special
deference by reviewing courts?
-- Is it a principle of fundamental justice
that only morally voluntary conduct can attract criminal liability?
-- Do the immediacy and presence
requirements in s. 17 infringe this principle? Is a broader interpretation of
s. 17 possible as argued by the appellant, in order to avoid a declaration of
unconstitutionality?
– What can the common law tell us on the
defence of duress?
– If there is a violation of s. 7 , can it
be justified under s. 1 ?
-- As an alternative question, do the
immediacy and presence requirements in s. 17 infringe the principle that
constitutional rights should not be restricted in a manner that is arbitrary or
unfair?
18
At issue also is whether s. 17 of the Criminal Code infringes s.
7 of the Charter by precluding access to the defence of duress where the
threatened harm is directed not at the accused, but at a third party. The
appellant puts forth a third issue, which is whether the trial judge’s
exposition of the common law defence of duress to the jury was defective.
19
Before examining each issue, it should be noted that s. 17 of the Criminal
Code places another restriction on the defence. It lists 22 offences,
ranging from murder and sexual assault to less serious crimes such as robbery
and arson, which are excluded from the scope of the defence. Importation of
narcotics, and possession and use of a false passport, do not appear on this
list. Thus, this appeal does not concern the constitutional validity of the
list of excluded offences.
V. Analysis
A. Are
Statutory Defences Owed Special Deference by Reviewing Courts?
20
The appellant argued in the Court below that statutory defences are not
subject to Charter scrutiny. Laskin J.A. rejected this submission. The
argument was recast somewhat before this Court. At the hearing, the appellant
now appeared to concede that the scope of s. 17 is susceptible to Charter
review, but maintained that the courts should assume a posture of deference
when undertaking such an assessment. The prosecution contends it belongs to
Parliament to decide when otherwise criminal conduct should be excused, because
determining who can rely on the statutory defence of duress and in what
circumstances is an inherently policy-driven exercise. The appellant asserts
that the legislature is best placed to determine what constitutes “morally
involuntary” conduct for the purpose of invoking s. 17 , given the difficult
value judgments involved in defining duress. The appellant submits that the
appropriate standard of review would restrict courts to consider simply whether
the restrictions on the defence are irrational or arbitrary. As a corollary of
its approach, the Crown did not seek to justify s. 17 under s. 1 of the Charter .
Before the Court, it argued rather that, if properly construed, s. 17 would not
even infringe the Charter .
21
It bears emphasizing that a statutory defence, like any other
legislative provision, is not immune from Charter scrutiny. Section 24
of the Charter and s. 52 of the Constitution Act, 1982 command
the judiciary to review the work of the legislature, according to the standards
enshrined in those documents. As Iacobucci J. stated in Vriend v. Alberta,
[1998] 1 S.C.R. 493, at pp. 566-67:
Democratic values and principles under the Charter
demand that legislators and the executive take these into account; and if
they fail to do so, courts should stand ready to intervene to protect these
democratic values as appropriate. As others have so forcefully stated, judges
are not acting undemocratically by intervening when there are indications that
a legislative or executive decision was not reached in accordance with the
democratic principles mandated by the Charter . . . .
22
Soon after the Charter came into force, Lamer J. (as he then was)
pointed out in Re B.C. Motor Vehicle Act, supra, at pp. 496-97,
that courts have not only the power but the duty to evaluate the substantive
content of legislation for Charter compliance. In the realm of criminal
law, the courts routinely review the definition of criminal offences to ensure
conformity with Charter rights. This has included the mens rea
element of an offence: e.g., R. v. Vaillancourt, [1987] 2 S.C.R. 636; R.
v. Wholesale Travel Group Inc., [1991] 3 S.C.R. 154. These powers and
responsibilities extend equally to statutory defences. Courts would be
abdicating their constitutional duty by abstaining from such a review. Defences
and excuses belong to the legislative corpus that the Charter submits to
constitutional review by the courts.
23
Subject to constitutional review, Parliament retains the power to
restrict access to a criminal defence or to remove it altogether. As Cory J.
indicated for the majority in R. v. Finta, [1994] 1 S.C.R. 701, a
withdrawal of a criminal defence will not automatically breach s. 7 of the Charter .
Among other things, Finta raised the question whether the removal of the
defence of obedience to or authority of de facto law for war crimes and
crimes against humanity infringed s. 7 . Cory J. observed, at p. 865, that
restricting the availability of a defence “will not generally violate s. 7 when
a defence is inconsistent with the offence proscribed, in that it would excuse
the very evil which the offence seeks to prohibit or punish”. Likewise, in R.
v. Penno, [1990] 2 S.C.R. 865, the removal of drunkenness as a defence to a
charge of impaired driving was deemed consistent with s. 7 .
24
The circumstances in this appeal are quite different from those in Finta
and Penno. There is no suggestion that the defence of duress is
inconsistent with the offences with which Ms. Ruzic was charged. Section 17
would not excuse the “very evil” that those offences seek to punish. In my
view, the relevance of Finta and Penno to the present appeal is
that limitations on a criminal defence may very well be consistent with s. 7 of
the Charter . Thus, the issue is not whether the legislature may
restrict or remove a criminal defence. It certainly can. The question for the
courts is whether restricting the defence of duress accords with Charter
rights.
25
The appellant urges the Court to take a significantly more restrained
approach to reviewing statutory defences. At this point, the appellant seems to
be asserting that an attitude of strong deference would be appropriate, even at
the first stage of the constitutional analysis, while assessing whether an
infringement of the Charter has taken place, prior to the justification
stage under s. 1 . The appellant has failed to make a convincing case for the
adoption of such a standard. Determining when to absolve a person for
otherwise criminal behaviour is a value-laden exercise. However, statutory
defences do not warrant more deference simply because they are the product of
difficult moral judgments. The entire body of criminal law expresses a myriad
of policy choices. Statutory offences are every bit as concerned with social
values as statutory defences.
26
The issue of deference to the legislature’s policy choices is ordinarily
considered at the s. 1 stage of a Charter analysis. Yet, even at
the infringement stage of the inquiry, the legislature is acknowledged some
latitude in its work. This is reflected, for example, in the interpretive
presumption of constitutionality. This principle is based on the notion that
Parliament intends to adopt legislation that is consistent with the Charter :
see R. Sullivan, Driedger on the Construction of Statutes (3rd ed.
1994), at pp. 322-27; P.-A. Côté, The Interpretation of Legislation in
Canada (3rd ed. 2000), at pp. 365-73. If a statutory provision is capable
of an interpretation that is constitutional and one that is not, then the
courts should choose the construction that conforms with the Charter : Slaight
Communications Inc. v. Davidson, [1989] 1 S.C.R. 1038, at p. 1078; R.
v. Mills, [1999] 3 S.C.R. 668, at paras. 22 and 56. (See also generally R.
v. Nova Scotia Pharmaceutical Society, [1992] 2 S.C.R. 606.) There is no
support in the case law, however, for the “irrational or arbitrary” threshold
advocated by the appellant. I would accordingly reject it.
B. Is it a Principle of Fundamental
Justice That Only Morally Voluntary Conduct Can Attract Criminal Liability?
27
Whether it is a principle of fundamental justice under s. 7 of the Charter
that morally involuntary conduct should not be punished is a novel question
before this Court. We are thus called upon to canvass once more the contents
of the “principles of fundamental justice”, this time in the context of the
defence of duress as framed by s. 17 of the Criminal Code .
28
The Court has on numerous occasions confirmed that the principles of
fundamental justice “are to be found in the basic tenets of our legal system”: Re
B.C. Motor Vehicle Act, supra, at pp. 503 and 512. McLachlin J. (as
she then was) added in R. v. Seaboyer, [1991] 2 S.C.R. 577, at p. 603,
that they may be distilled from “the legal principles which have historically
been reflected in the law of this and other similar states”. Whether a
principle qualifies as a principle of fundamental justice depends on an
analysis of its nature, sources, rationale and essential role within our
evolving legal system: Re B.C. Motor Vehicle Act, supra, at p.
513. In Rodriguez v. British Columbia (Attorney General), [1993] 3
S.C.R. 519, at pp. 590-91, Sopinka J. explained that the principles of
fundamental justice must be capable of being articulated with some precision;
they must be more than broad generalizations about our ethical or moral
beliefs. He stated that they are the “principles upon which there is some
consensus that they are vital or fundamental to our societal notion of justice”
(p. 590).
29
The notion of moral voluntariness was first introduced in Perka
v. The Queen, [1984] 2 S.C.R. 232, for the purpose of explaining the
defence of necessity and classifying it as an excuse. It was borrowed from the
American legal theorist George Fletcher’s discussion of excuses in Rethinking
Criminal Law (1978). A person acts in a morally
involuntary fashion when, faced with perilous circumstances, she is deprived of
a realistic choice whether to break the law. By way of illustration in Perka,
Dickson J. evoked the situation of a lost alpinist who, on the point of
freezing to death, breaks into a remote mountain cabin. The alpinist confronts
a painful dilemma: freeze to death or commit a criminal offence. Yet as
Dickson J. pointed out at p. 249, the alpinist’s choice to break the law “is no
true choice at all; it is remorselessly compelled by normal human instincts”,
here of self-preservation. The Court in Perka thus conceptualized the
defence of necessity as an excuse. An excuse, Dickson J. maintained, concedes
that the act was wrongful, but withholds criminal attribution to the actor
because of the dire circumstances surrounding its commission. He summarized the
rationale of necessity in this way, at p. 250:
At the heart of this defence is the
perceived injustice of punishing violations of the law in circumstances in
which the person had no other viable or reasonable choice available; the act
was wrong but it is excused because it was realistically unavoidable.
30
Extending its reasoning in Perka to the defence of duress, the
Court found in R. v. Hibbert, [1995] 2 S.C.R. 973, that it too
rests on the notion of moral voluntariness. In the case of the defences of
necessity and duress, the accused contends that he should avoid conviction
because he acted in response to a threat of impending harm. The Court also
confirmed in Hibbert that duress does not ordinarily negate the mens
rea element of an offence. Like the defence of necessity, the Court
classified the defence of duress as an excuse, like that of necessity. As
such, duress operates to relieve a person of criminal liability only after
he has been found to have committed the prohibited act with the relevant mens
rea: see also Bergstrom v. The Queen, [1981] 1 S.C.R. 539, at p. 544
(per McIntyre J.).
31
Thus duress, like necessity, involves the concern that morally
involuntary conduct not be subject to criminal liability. Can this notion of
“moral voluntariness” be recognized as a principle of fundamental justice under
s. 7 of the Charter ? Let us examine possible avenues which have been
put forward by the respondent towards such recognition.
1. Moral Voluntariness and Moral
Blameworthiness
32
As we will see below, this Court has recognized on a number of occasions
that “moral blameworthiness” is an essential component of criminal liability
which is protected under s. 7 as a “principle of fundamental justice”. The
respondent in the case as bar attempts to link the principles of “moral
blameworthiness” and “moral voluntariness” as a means of securing the
constitutional status of the defence of duress. Laskin J.A. in the Court below
has followed this line of reasoning. However, the appellant argues that “moral
blamelessness” only arises in the absence of either the actus reus or
the mens rea of an offence. One who acts under duress, he contends,
remains a morally responsible agent whose behaviour is not blame-free.
Further, the appellant submits that moral involuntariness is too vague and
amorphous a concept to constitute a principle of fundamental justice.
33
This controversy about the concepts of moral blamelessness and moral
involuntariness brings us back to the foundations of criminal responsibility.
In the analysis of duress and of its relationship with the tenets of the
criminal justice system, is it appropriate to equate moral blamelessness with
moral involuntariness?
34
Even before the advent of the Charter , it became a basic concern
of the criminal law that criminal responsibility be ascribed only to acts that
resulted from the choice of a conscious mind and an autonomous will. In other
words, only those persons acting in the knowledge of what they were doing, with
the freedom to choose, would bear the burden and stigma of criminal
responsibility. Although the element of voluntariness may sometimes overlap
both actus reus and mens rea (see R. v. Daviault, [1994] 3
S.C.R. 63, at pp. 73-75, per Cory J.), the importance of mens rea
and of the quality of voluntariness in it underscores the fact that criminal
liability is founded on the premise that it will be borne only by those persons
who knew what they were doing and willed it. In a recent essay, Professor H.
Parent summed up the nature of what has now become a guiding principle of
Canadian criminal law:
[translation]
What is meant by a so-called “moral” or “normative” voluntary act is nothing
more or less than a voluntary act taken in its accepted meaning of a free
and thought out action. At the semantic level, adding the attributes
“moral” and “normative” to the expression “voluntary act” has become necessary
in light of the state of confusion that currently arises from the coexistence
of the materialist and intellectualist approaches to the voluntary act in
English and Canadian criminal law. In short, the requirement of a free and
thought out act is still a fundamental axiom of our criminal law system.
Although the moral element attached to the individual is not, as a general
rule, formally expressed in the academic literature or in reported cases, its
presence can be deduced from the standard application of criminal
responsibility and the various causes of exoneration. [Emphasis added.]
(Responsabilité pénale et troubles mentaux:
Histoire de la folie en droit pénal français, anglais et canadien (1999), at p. 271.)
See also: H. Parent, “Histoire de l’acte volontaire en droit pénal
anglais et canadien” (2000), 45 McGill L.J. 975, at pp. 1013 ff.
On the notion of mens rea generally, see G. Côté-Harper, P. Rainville
and J. Turgeon, Traité de droit pénal canadien (4th ed. 1998), at pp.
357 ff.
35
An example of this approach may be found in the jurisprudence on the
application and interpretation of offences purporting to impose an absolute
responsibility on the accused. Even before the Charter came into force,
through the use of techniques of interpretation, the Supreme Court had sought
to restrict the application of the penal provisions of statutes that imposed
absolute liability. The judgment of this Court in R. v. City of Sault Ste.
Marie, [1978] 2 S.C.R. 1299, underscores this view that absolute
responsibility was inconsistent with the correct understanding of the
founding principles of criminal liability. Without requiring a full mens
rea, the Court decided that, generally speaking, absent very clear and
explicit language to the contrary, at least a defence of due diligence should
be available to the accused. This form of penal responsibility had to be
grounded on an element of voluntariness, the choice left to the accused being
at least that of acting with due diligence, to avoid convicting innocents (p.
1313). Dickson J. also wrote (at p. 1310):
In sharp contrast, “absolute liability” entails
conviction on proof merely that the defendant committed the prohibited act
constituting the actus reus of the offence. There is no relevant mental
element. It is no defence that the accused was entirely without fault. He may
be morally innocent in every sense, yet be branded as a malefactor and punished
as such.
36
It is clear from Dickson J.’s reasons in Sault Ste. Marie that
such a regime of absolute penal responsibility was deemed to breach the most
basic principle of criminal liability and criminal law, and that criminal
responsibility should be attributed only to an act that is the result of the
deliberation of a free and conscious mind. This principle was recognized as
one of the principles of fundamental justice within the meaning of s. 7 of the
Charter in Re B.C. Motor Vehicle Act, supra. In
that case, Lamer J. held the following, at p. 492:
A law that has the potential to convict a person who
has not really done anything wrong offends the principles of fundamental
justice and, if imprisonment is available as a penalty, such a law then
violates a person’s right to liberty under s. 7 of the Charter . . .
.
37
That decision and the Court’s subsequent judgment in Vaillancourt,
supra, were explained by McIntyre J. in R. v. Bernard, [1988] 2
S.C.R. 833, at p. 880:
In Re B.C. Motor Vehicle Act . . . and in R. v. Vaillancourt
. . . it was held that the requirement for a minimum mental state before the
attachment of criminal liability is a principle of fundamental justice.
Criminal offences, as a general rule, must have as one of their elements the
requirement of a blameworthy mental state. The morally innocent ought not to
be convicted.
See also
generally R. v. Martineau, [1990] 2 S.C.R. 633, and R. v. DeSousa,
[1992] 2 S.C.R. 944. This idea may also be found in the reasons of Dickson J.
in Perka, supra. With this background in mind,
I turn to consider the respondent’s first submission, which hinges on Laskin
J.A.’s assimilation of moral voluntariness to moral blameworthiness.
38
It should be emphasized that this Court, in cases like Sault Ste.
Marie and Re B.C. Motor Vehicle Act, has referred to moral
innocence in the context of the discussion of the mental element of an
offence. Hibbert, on the other hand, held that the defence of duress
does not normally negate mens rea. Rather, it operates to excuse a
wrongful act once the actus reus and mens rea components of the
offence have been made out. Laskin J.A. conceded this point, but countered
that moral blameworthiness is a broader concept, extending beyond the
traditional elements of an offence. Both Laskin J.A. and the respondent rely
heavily, in this respect, on Professor Martha Shaffer’s article “Scrutinizing
Duress: The Constitutional Validity of Section 17 of the Criminal Code ” (1998),
40 Crim. L.Q. 444, in making this argument.
39
Professor Shaffer acknowledges in her article, at pp. 453-54, that moral
blameworthiness is an ambiguous concept, the meaning of which this Court has
not had occasion to discuss in any significant way. I am reluctant to do so
here, particularly since, in my opinion, conduct that is morally involuntary is
not always intrinsically free of blame. (See also R. v. Chaulk, [1990]
3 S.C.R. 1303, at pp. 1396-98.) Moral involuntariness is also related to the
notion that the defence of duress is an excuse. Dickson J. maintained in Perka
that an excuse acknowledges the wrongfulness of the accused’s conduct.
Nevertheless, the law refuses to attach penal consequences to it because an
“excuse” has been made out. In using the expression “moral involuntariness”,
we mean that the accused had no “real” choice but to commit the offence. This
recognizes that there was indeed an alternative to breaking the law,
although in the case of duress that choice may be even more unpalatable – to
be killed or physically harmed.
40
Let us consider again the situation of the lost alpinist: can we really
say he is blameless for breaking into somebody else’s cabin? The State
refrains from punishing him not because his actions were innocent, but because
the circumstances did not leave him with any other realistic choice than to
commit the offence. As Fletcher, supra, puts it, at p. 798, excuses
absolve the accused of personal accountability by focussing, not on the
wrongful act, but on the circumstances of the act and the accused’s personal
capacity to avoid it. Necessity and duress are characterized as concessions to
human frailty in this sense. The law is designed for the common man, not for a
community of saints or heroes.
41
To equate moral involuntariness with moral innocence would amount to a
significant departure from the reasoning in Perka and Hibbert.
It would be contrary to the Court’s conceptualization of duress as an excuse.
Morally involuntary conduct is not always inherently blameless. Once the
elements of the offence have been established, the accused can no longer be
considered blameless. This Court has never taken the concept of blamelessness
any further than this initial finding of guilt, nor should it in this case.
The undefinable and potentially far-reaching nature of the concept of moral
blamelessness prevents us from recognizing its relevance beyond an initial
finding of guilt in the context of s. 7 of the Charter . Holding
otherwise would inject an unacceptable degree of uncertainty into the law. It
would not be consistent with our duty to consider as “principles of fundamental
justice” only those concepts which are constrained and capable of being defined
with reasonable precision. I would therefore reject this basis for finding
that it is a principle of fundamental justice that morally involuntary acts
should not be punished.
2. Moral Voluntariness and Voluntariness
in the Physical Sense
42
The respondent’s second approach, which relates moral voluntariness back
to voluntariness in the physical sense, rests on firmer ground. It draws upon
the fundamental principle of criminal law that, in order to attract criminal
liability, an act must be voluntary. Voluntariness in this sense has
ordinarily referred to the actus reus element of an offence. It queries
whether the actor had control over the movement of her body or whether the
wrongful act was the product of a conscious will. Although duress does not
negate ordinarily actus reus per se (just as it does not ordinarily
negate mens rea as we have just seen), the principle of voluntariness,
unlike that of “moral blamelessness”, can remain relevant in the context of s.
7 even after the basic elements of the offence have been established. Unlike
the concept of “moral blamelessness”, duress in its “voluntariness” perspective
can more easily be constrained and can therefore more justifiably fall within
the “principles of fundamental justice”, even after the basic elements of the
offence have been established.
43
Let us examine the notion of “voluntariness” and its interplay with
duress more closely. As Dickson J. stated in Rabey v. The Queen, [1980]
2 S.C.R. 513, at p. 522, “it is basic principle that absence of volition in
respect of the act involved is always a defence to a crime. A defence that the
act is involuntary entitles the accused to a complete and unqualified
acquittal.” Dickson J.’s pronouncement was endorsed by the Court in R. v.
Parks, [1992] 2 S.C.R. 871. The principle of voluntariness was given
constitutional status in Daviault, supra, at pp. 102-3, where
Cory J. held for the majority that it would infringe s. 7 of the Charter
to convict an accused who was not acting voluntarily, as a fundamental aspect
of the actus reus would be absent. More recently, in R. v. Stone,
[1999] 2 S.C.R. 290, the crucial role of voluntariness as a condition of the
attribution of criminal liability was again confirmed (at para. 1, per
Binnie J., and paras. 155-58, per Bastarache J.) in an appeal concerning
the defence of automatism.
44
In introducing the concept of moral voluntariness in Perka, the
Court specifically linked it to the more familiar notion of physical
voluntariness discussed above. Dickson J. acknowledged that the two concepts
are not identical. The lost alpinist, for instance, does not act in a
literally involuntary fashion; he is physically capable of avoiding the
criminal act. Fletcher, supra, at p. 803, puts forth another example,
more pertinent to the defence of duress. Suppose someone puts a knife in the
accused’s hand and forces it into the victim’s chest. The accused’s body is
literally overpowered, as is her will. Consider next the situation of someone
who gives the accused a knife and orders her to stab the victim or else be
killed herself. Unlike the first scenario, moral voluntariness is not a matter
of physical dimension. The accused here retains conscious control over her
bodily movements. Yet, like the first actor, her will is overborne, this time
by the threats of another. Her conduct is not, in a realistic way, freely
chosen.
45
What underpins both of these conceptions of voluntariness is the
critical importance of autonomy in the attribution of criminal liability: Perka,
supra, at pp. 250-51; Fletcher, supra, at p. 805. The treatment
of criminal offenders as rational, autonomous and choosing agents is a
fundamental organizing principle of our criminal law. Its importance is
reflected not only in the requirement that an act must be voluntary, but also
in the condition that a wrongful act must be intentional to ground a
conviction. Sault Ste. Marie, Re B.C. Motor Vehicle Act, and Vaillancourt
all stand for the proposition that a guilty verdict requires intentional
conduct or conduct equated to it like recklessness or gross negligence. Like
voluntariness, the requirement of a guilty mind is rooted in respect for
individual autonomy and free will and acknowledges the importance of those
values to a free and democratic society: Martineau, supra, at
pp. 645-46. Criminal liability also depends on the capacity to choose – the
ability to reason right from wrong. As McLachlin J. observed in Chaulk,
supra, at p. 1396, in the context of the insanity provisions of the Criminal
Code , this assumption of the rationality and autonomy of human
beings forms part of the essential premises of Canadian criminal law:
At the heart of our criminal law system is the
cardinal assumption that human beings are rational and autonomous: G. Ferguson,
“A Critique of Proposals to Reform the Insanity Defence” (1989), 14 Queen’s
L.J. 135, at p. 140. This is the fundamental condition upon which criminal
responsibility reposes. Individuals have the capacity to reason right from
wrong, and thus to choose between right and wrong. Ferguson continues (at p.
140):
It is these dual capacities – reason and choice – which give moral
justification to imposing criminal responsibility and punishment on offenders.
If a person can reason right from wrong and has the ability to choose right or
wrong, then attribution or responsibility and punishment is morally justified
or deserved when that person consciously chooses wrong.
46
Punishing a person whose actions are involuntary in the physical sense
is unjust because it conflicts with the assumption in criminal law that
individuals are autonomous and freely choosing agents: see Shaffer, supra,
at pp. 449-50. It is similarly unjust to penalize an individual who acted in a
morally involuntary fashion. This is so because his acts cannot realistically
be attributed to him, as his will was constrained by some external force. As
Dennis Klimchuk states in “Moral Innocence, Normative Involuntariness, and
Fundamental Justice” (1998), 18 C.R. (5th) 96, at p. 102, the accused’s agency
is not implicated in her doing. In the case of morally involuntary conduct,
criminal attribution points not to the accused but to the exigent circumstances
facing him, or to the threats of someone else. Klimchuk explains at p. 104:
In short, normatively involuntary actions share with actions that are
involuntary in the sense relevant to negating actus reus the
exculpatorily relevant feature that renders the latter immune from criminal
censure, namely, that involuntary actions resist imputation to the actor
putatively responsible for their commission.
47
Although moral involuntariness does not negate the actus reus or mens
rea of an offence, it is a principle which, similarly to physical
involuntariness, deserves protection under s. 7 of the Charter . It is a
principle of fundamental justice that only voluntary conduct – behaviour that
is the product of a free will and controlled body, unhindered by external
constraints – should attract the penalty and stigma of criminal liability.
Depriving a person of liberty and branding her with the stigma of criminal
liability would infringe the principles of fundamental justice if the accused
did not have any realistic choice. The ensuing deprivation of liberty and
stigma would have been imposed in violation of the tenets of fundamental
justice and would thus infringe s. 7 of the Charter .
C. Do the Immediacy and Presence
Requirements in Section 17 Infringe the Principle of Involuntariness in the
Attribution of Criminal Responsibility?
48
It remains to be seen whether s. 17 respects this guiding principle of
criminal justice that demands that society refrain from punishing morally
involuntary action. The respondent argues that s. 17 of the Criminal Code
does indeed infringe s. 7 of the Charter by reason of its
underinclusiveness. The strictness of the immediacy and presence requirements
in s. 17 means that individuals could be found guilty of involuntary actions.
49
Section 17 limits the defence of duress to a person who is compelled to
commit an offence under threats of immediate death or bodily harm from a person
who is present when the offence is committed. To counter the respondent’s
arguments, the appellant’s key submission was that s. 17 is capable of being
read down in a way that would make it less restrictive and more consistent with
the Charter . The appellant argues that the immediacy and presence
requirements do not dictate that the threatener be physically present at the
scene of the crime. Rather, they require a temporal connection between the
commission of the offence and the threatener’s presence, in the sense that the
threatener must be able to execute the threat immediately should the accused
fail to comply. The respondent replies that the appellant’s proposed
interpretation would stretch the language of s. 17 beyond recognition. As
counsel for one of the interveners put it during the hearing of this appeal, it
would amount to construing presence as absence and immediate as sometime
later.
50
The plain meaning of s. 17 is quite restrictive in scope. Indeed, the
section seems tailor-made for the situation in which a person is compelled to
commit an offence at gun point. The phrase “present when the offence is
committed”, coupled with the immediacy criterion, indicates that the person
issuing the threat must be either at the scene of the crime or at whatever
other location is necessary to make good on the threat without delay should the
accused resist. Practically speaking, a threat of harm will seldom qualify as
immediate if the threatener is not physically present at the scene of the
crime.
51
The Court has in the past construed s. 17 in a narrow fashion. R. v.
Carker, [1967] S.C.R. 114, and Paquette v. The Queen, [1977] 2
S.C.R. 189, are the two leading cases on the interpretation of s. 17 . The
accused in Carker was an inmate at a prison in British Columbia. He
damaged the plumbing fixtures in his cell during a prison riot and was charged
with public mischief. At trial, he conceded that he committed the offence, but
asserted that he was acting under the compulsion of threats by other prisoners
that he would be physically injured or killed if he did not participate in the
riot. Ritchie J. maintained that the defence of duress was not available to
Mr. Carker, as the other prisoners were not present in his cell when he
committed the offence but rather locked in their own cells. In addition,
Ritchie J. found the threat was of future harm, as the prisoners, who were
locked in separate cells, were unable to carry out their threat immediately,
had Mr. Carker resisted.
52
The Court’s reasons in Carker reveal that the words “immediate”
and “present” impose both temporal and spatial limitations on the defence.
They indicate that the threat of harm must be contemporaneous with the
commission of the offence, in the sense that it must be capable of immediate
execution if the accused refuses to comply. In addition, Carker clearly
implies that the threatener must be present at the scene of the crime. The
following passage from Martland J.’s reasons in Paquette, at p. 193,
appears to confirm this interpretation of s. 17 as requiring the threatener to
be present both when and where the offence is committed:
In my opinion the application of s. 17 is limited to
cases in which the person seeking to rely upon it has himself committed an
offence. If a person who actually commits the offence does so in the presence
of another party who has compelled him to do the act by threats of
immediate death or grievous bodily harm, then, if he believes the threats would
be carried out, and is not a party to a conspiracy whereby he is subject to
such compulsion, he is excused for committing the offence. [Emphasis added.]
Carker
and Paquette state clearly that s. 17 means the threatener must be
physically present at the scene of the offence, at the time it takes place,
otherwise the defence of duress is not available to the accused.
53
I agree with the respondent that a threat will seldom meet the immediacy
criterion if the threatener is not physically present at or near the scene of
the offence. The immediacy and presence requirements, taken together, clearly
preclude threats of future harm.
54
Neither the words of s. 17 nor the Court’s reasons in Carker and Paquette
dictate that the target of the threatened harm must be the accused. They
simply require that the threat must be made to the accused. Section 17
may thus include threats against third parties. However, as discussed above,
the language of s. 17 does not appear capable of supporting a more flexible
interpretation of the immediacy and presence requirements. Even if the threatened
person, for example, is a family member, and not the accused person, the
threatener or his accomplice must be at or near the scene of the crime in order
to effect the harm immediately if the accused resists. Thus, while s. 17 may
capture threats against third parties, the immediacy and presence criteria
continue to impose considerable obstacles to relying on the defence in hostage
or other third party situations.
55
Thus, by the strictness of its conditions, s. 17 breaches s. 7 of the Charter
because it allows individuals who acted involuntarily to be declared criminally
liable. Having said that, it will be interesting to see how the common law
addresses the problem of duress, especially with respect to the immediacy
component. In that regard, we will have the opportunity to see how the common
law on duress in Canada, Great Britain, Australia, and even in some U.S.
jurisdictions is often more liberal than what s. 17 provides and takes better
account of the principle of voluntariness. This will confirm the view that s.
17 is overly restrictive and therefore breaches s. 7 of the Charter . We
recall that the principles of fundamental justice may be distilled from the
“legal principles which have historically been reflected in the law of this and
other similar states” (Seaboyer, supra, at p. 603). Examining
the common law of other states like Great Britain and Australia to confirm our
interpretation of s. 7 will therefore be relevant. The analysis of duress in
common law will also be useful as it will shed some light on the appropriate
rules which had to be applied to the defence of the accused in the case at bar
and which will now be applied in all other cases, once s. 17 of the Criminal
Code is partially struck down.
D. The
Common Law of Duress
1. The Canadian Common Law of Duress
56
In Canada, the common law defence of duress has freed itself from the
constraints of immediacy and presence and thus appears more consonant with the
values of the Charter . It was never completely superseded by the
provision of the Criminal Code . The Court held in Paquette and Hibbert,
supra, that the common law defence remained available, notwithstanding
s. 17 , to parties to an offence (as opposed to persons who committed an offence
as principals).
57
In Hibbert, the Court reexamined and restated the rules governing
the common law defence of duress. Writing for a unanimous Court, Lamer C.J.
found that the problem of the defence of duress arises when a person is
subjected to an external danger, in this case, intentional threats of physical
harm or of death from a person, and commits a criminal act to avoid the
threatened harm. In Lamer C.J.’s view, the defence of duress constitutes an
excuse that does not ordinarily negate either criminal intent or actus reus.
When it is open to the accused, it relieves him of the penal consequences and
stigma of a finding of criminal liability.
58
After a thorough canvassing of the jurisprudence, Lamer C.J. identified
the elements of the defence of duress. But prior to that, he pointed out
that in Paquette, supra, the Court had already held that the
common law defence of duress remained a part of the criminal law of Canada.
The adoption of s. 17 had not abrogated it and it applied to participants to a
criminal act, who did not fall under s. 17 . Lamer C.J. acknowledged that the
law relating to duress has been plagued, nonetheless, with some uncertainties
and inconsistencies since the beginning of its development. This is
understandable. Duress involves the resolution of conflicts between individual
rights and duties to others or obligations as a citizen. The analysis and determination
of the rules governing duress should not take place in a vacuum where courts
would focus only on the position and rights of the threatened party. The
rights of third parties, more particularly the intended victims, may also be
involved. The interest of the State or society in the preservation of public
order and the proper application of laws will also be engaged.
59
The assessment of a defence of duress at common law may carry with it a
number of practical risks and problems relating to evidence. At times, as in
the case at bar, proof of the defence may rest on little more than the
accused’s own evidence. Verification of a spurious claim of duress may prove
difficult. Hence, courts should be alive to the need to apply reasonable, but
strict standards for the application of the defence. In the end, much will
depend on the evaluation of the evidence and on the soundness of the
instructions given to jurors during a jury trial. In Perka, supra,
and more recently in R. v. Latimer, [2001] 1 S.C.R. 3, 2001 SCC 1, this
Court outlined three essential elements which must be considered in assessing a
defence of necessity. It held that such a defence must meet three clear and
strict conditions in order to be left to a jury. These three conditions were
identified as follows in Latimer: clear and imminent danger (para. 29),
absence of any reasonable legal alternative to breaking the law (para. 30) and
proportionality between harm inflicted and harm avoided, in the sense that the
harm avoided must be either comparable to or clearly greater than the harm
inflicted (para. 31).
60
Like necessity, the common law rule of duress evolved from attempts at
striking a proper balance between those conflicting interests of the accused,
of the victims and of society. It also sought to establish a hierarchy between
them, as a full reconciliation appears problematic in this area of the law.
Operating so as to avoid imposing the burden of criminal responsibility on an
accused for an involuntary act, as discussed above, the defence of duress does
not negate either the mens rea or actus reus of the crime, and
will excuse the accused although Lamer C.J. left open, in the case of some
unspecified criminal offences, that it might also negate the criminal intent or
raise doubts about its existence (see Hibbert, supra, at para.
45).
61
This particular excuse focuses on the search for a safe avenue of escape
(see Hibbert, supra, at paras. 55 and 62), but rejects a purely
subjective standard, in the assessment of the threats. The courts have to use
an objective-subjective standard when appreciating the gravity of the threats
and the existence of an avenue of escape. The test requires that the situation
be examined from the point of view of a reasonable person, but similarly
situated. The courts will take into consideration the particular circumstances
where the accused found himself and his ability to perceive a reasonable
alternative to committing a crime, with an awareness of his background and
essential characteristics. The process involves a pragmatic assessment of the
position of the accused, tempered by the need to avoid negating criminal
liability on the basis of a purely subjective and unverifiable excuse. A
similar approach is also to be used in the application of the defence of
necessity (see Latimer, supra, at paras. 26 ff.).
62
The common law of duress, as restated by this Court in Hibbert
recognizes that an accused in a situation of duress does not only enjoy rights,
but also has obligations towards others and society. As a fellow human being,
the accused remains subject to a basic duty to adjust his or her conduct to the
importance and nature of the threat. The law includes a requirement of
proportionality between the threat and the criminal act to be executed,
measured on the objective-subjective standard of the reasonable person
similarly situated. The accused should be expected to demonstrate some
fortitude and to put up a normal resistance to the threat. The threat must be
to the personal integrity of the person. In addition, it must deprive the
accused of any safe avenue of escape in the eyes of a reasonable person,
similarly situated.
63
Lamer C.J.’s reasons in Hibbert followed closely the thrust of
the analysis of the defence of necessity by Dickson J. in Perka,
supra. Dickson J.’s comments remain particularly relevant. They emphasize
the seriousness of the threat to the integrity of the person that is necessary
to open the defence of necessity to an accused. In the assessment of the
nature of the circumstances that may trigger the defence of necessity, while
writing for the majority of the Court, Dickson J. held that in order to apply
the defence of necessity, evidence should be introduced of a clear and imminent
peril at the point in time where complying with the law becomes demonstrably
impossible (p. 251).
64
According to Lamer C.J. in Hibbert, the defences of
duress and necessity share the same juristic principles. Nevertheless, they
target two different situations. In the case of necessity, the accused is a
victim of circumstances. Duress finds its origin in man’s wrongful acts.
Moreover, Lamer C.J. drew some distinctions between the conditions of the
defences of duress and of necessity. More particularly, Lamer C.J.’s reasons
do not seem to have imported into the defence of duress an absolute immediacy
requirement that would entirely duplicate the contents of s. 17 of the Criminal
Code .
65
The analysis in Hibbert remains focused on the concept of a safe
avenue of escape. Although the common law defence traditionally covers
situations of threats susceptible of “immediate” execution by the person
present and uttering threats, this immediacy requirement has been interpreted
in a flexible manner by Canadian jurisprudence and also as appears from the
development of the common law in other Commonwealth countries, more
particularly Great Britain and Australia. In order to cover, for example,
threats to a third person, the immediacy test is interpreted as a requirement
of a close connection in time, between the threat and its execution in such a
manner that the accused loses the ability to act freely. A threat that would
not meet those conditions, because, for example, it is too far removed in time,
would cast doubt on the seriousness of the threat and, more particularly, on
claims of an absence of a safe avenue of escape.
66
A recent case on the problem of duress is Langlois, supra.
Writing for the Quebec Court of Appeal, Fish J.A. interpreted the defence of
duress at common law as excluding the strict requirements of immediacy and
presence which form an essential part of s. 17 (p. 689). Thus, in Langlois,
the Quebec Court of Appeal upheld an acquittal based on the defence of duress
in a drug trafficking case involving a prison guard. Fish J.A. held that the
common law defence was more flexible because it was not bound
by the strict conditions imposed by s. 17 of the Criminal Code on the
availability of the defence (at p. 689):
Notably, at common law, there is no
requirement that the threats be made by a person who is present at the scene of
the crime. It has been said that the threat must be “immediate” or “imminent”
and that persons threatened must resort to the protection of the law if they
can do so. While the defence is not available to those who have “an obvious
safe avenue of escape”, I agree with Martin J.A. that the operative test is “whether
the accused failed to avail himself or herself of some opportunity to escape or
render the threat ineffective.” [References omitted.]
67
Laskin J.A.’s reasons in the case at bar have adopted a similar
approach. Moreover, as we will see below, the judgments of the Quebec and
Ontario Courts of Appeal on the question seem to describe correctly the state
of the law in other Commonwealth countries. At the hearing, the appellant
asserted that, particularly in England, the law remains unsettled if not
conflicting in respect of the defence of duress. The law has evolved over
time. Questions were left open or revisited by courts. In the end, though, we
will see that the common law rules in England and Australia appear to accord
with the principles discussed in Hibbert by our Court, and by the
Canadian jurisprudence referred to above.
2. The English Common Law of Duress
68
The English common law formulation of the defence of duress now appears
generally similar to its Canadian counterpart. Since the 1980s, the English
Court of Appeal has recognized two species of duress: “duress by threats” and
“duress of circumstances” (J. C. Smith, Smith & Hogan: Criminal Law
(9th ed. 1999), at p. 242). Nevertheless, the jurisprudence views the
assessment of both forms of duress as being essentially the same (R. v.
Martin, [1989] 1 All E.R. 652 (C.A.)). Duress by threats is applicable
where an accused is threatened by someone to commit a crime or else risk being
physically injured or killed. Duress of circumstances, which is analogous to
our defence of necessity, is available where an accused commits a crime to
avert death or serious injury, but no person is demanding that he do so. The
Court of Appeal’s recent decision in R. v. Abdul-Hussain, [1998] E.W.J.
No. 4183 (QL), indicates that the same principles apply to both varieties of
duress (see also Re A (Children), also known as the Siamese Twins
Decision, [2000] E.W.J. No. 4875 (QL) (C.A.), at para. 203 (per Lord
Justice Ward)).
69
The defence is available in respect of all crimes except murder, whether
as a principal or as an aider/abettor (R. v. Howe, [1987] 1 All E.R. 771
(H.L.)), attempted murder (R. v. Gotts, [1992] 1 All E.R. 832 (H.L.)),
and most forms of treason (Lynch v. Director of Public Prosecutions for
Northern Ireland, [1975] 1 All E.R. 913 (H.L.), and Gotts). In
extreme circumstances, the defence may be available even to a charge of murder (see
the Siamese Twins Decision, supra, at para. 348-58, per
Lord Justice Brooke). The threat must be of death or serious physical harm to
the accused or to a family member (Martin, supra; Abdul-Hussain,
at para. 46). No modern case asserts that a threat of harm to an accused’s
property is enough to invoke the defence.
70
Like s. 17 of the Criminal Code , the English jurisprudence has
precluded resort to the defence where the threats are made by a criminal
organization which the accused voluntarily joined and knew might pressure him
to engage in criminal activity (R. v. Lewis (1992), 96 Cr. App. R. 412 ; R.
v. Heath, [1999] E.W.J. No. 5092 (QL)).
71
The House of Lords recently confirmed that the test for duress is an
objective one: did the accused reasonably believe that the threat would be
carried out if he did not commit the crime, and would a person of “reasonable
firmness sharing the [accused’s] characteristics” have succumbed to the threat?
(Howe, supra, per Lord Mackay, at p. 800, where he
endorses the English Court of Appeal’s decision in R. v. Graham, [1982]
1 All E.R. 801, at p. 806). This test is arguably more stringent than s. 17 of
the Criminal Code , which is entirely subjective and does not require
that the accused’s belief be reasonable. It is also arguably more stringent
than the common law formulation of the defence in Canada, which results in an
objective-subjective standard, as in the case of the defence of necessity. As
in Canada, the accused bears an evidential burden of laying a factual
foundation for the defence of duress (if no such foundation may be inferred
from the Crown’s case). Once the factual foundation is established, the Crown
has the onus of disproving duress (Smith & Hogan: Criminal Law, supra,
at p. 242).
72
The appellant and respondent voiced conflicting views about the
existence of any immediacy requirement in the English law of duress. English
courts seem to have opted for a flexible test that requires that there be a
close temporal connection between threat and harm. The threat need not operate
instantly, but must be a present one in the sense that it creates an immediate
pressure to act (see R. v. Hudson, [1971] 2 Q.B. 202 (C.A.), at
pp. 206-7). Until now, that flexible test has never been set aside. In Abdul-Hussain,
supra, and in the Siamese Twins Decision, supra, it was
reiterated that, although there must be an imminent peril of death or injury,
this requirement does not require that the threat be of immediate harm. The
common law accepts that there could be a lapse in time between the threat and
its execution, provided it neutralizes effectively the will of the accused.
73
Thus, threats of future harm, depending on the circumstances, may be
sufficient to raise the defence of duress. The English common law’s approach
to duress is somewhat different from its Canadian formulation in Hibbert.
The analysis is not confined to the criterion of the safe avenue of escape,
although it remains an important component of the defence. The crux of the
English defence is whether the threat overbore the accused’s will at the
time he or she committed the offence. Did the threat actually cause the
accused to act in the way he did, and would a reasonable person have acted
similarly? In addition, as cases like Abdul-Hussain indicate, there
must be a close temporal connection between the threat and the criminal act. However,
the threat need not be capable of immediate execution in order to qualify.
3. The Australian Common Law of Duress
74
There do not appear to be any Australian High Court decisions on the
issue of duress. Because competence over criminal law belongs to the states
and territories, some differences arise from jurisdiction to jurisdiction
regarding the formulation of the defence. (See M. Findlay, S. Odgers and S.
Yeo, Australian Criminal Justice (2nd ed. 1999), at pp. 7-8.) One
textbook writer notes that there are relatively few reported cases dealing with
the defence and that in some respects, the defence remains somewhat elusive in
Australian common law. (See P. Gillies, Criminal Law (4th ed. 1997), at
p. 341.)
75
Overall, the state courts appear to have followed quite closely the
English courts’ approach to the defence. (See R. v. Hurley and Murray,
[1967] V.R. 526 (S.C.), at p. 543, adopted by some other state courts –
e.g., R. v. McCafferty, [1974] 1 N.S.W.L.R. 89 (S.C.), at p. 90,
and R. v. Dawson, [1978] V.R. 536 (S.C.), at p. 537.)
76
The accused must have been compelled to commit the crime under a threat
of death or serious bodily harm. Also, the accused must have had no safe means
of preventing the execution of the threat. The case law suggests that a threat
to a third party also qualifies. (See R. v. Abusafiah (1991), 24
N.S.W.L.R. 531 (C.A.), at pp. 544-45; R. v. Palazoff (1986), 43
S.A.S.R. 99 (S.C.), at p. 106.) The accused must have “reasonably apprehended”
that the threat would be executed. The circumstances must be such that a
person of ordinary firmness would have succumbed to the threat. That
reasonable person shall be considered as sharing the personal characteristics
of the accused, such as age, sex and background. (See Palazoff,
supra, at p. 109.)
77
The defence of duress is not available to a charge of murder in any of
the Australian states. (See D. O’Connor and P. A. Fairall, Criminal
Defences (3rd ed. 1996), at pp. 154-55.) As in England, an accused who has
voluntarily joined a criminal enterprise or organization that she knows might
pressure her by violent means into participating in criminal activity may not
raise that defence. (See Hurley and Murray, supra, at p. 533; R.
v. Lawrence, [1980] 1 N.S.W.L.R. 122 (C.A.), at p. 130. See also O’Connor
and Fairall, supra, at p. 160.)
78
As in Canada and England, where the defence of duress does not arise
from the facts of the case the accused bears an evidentiary onus of introducing
facts to support the defence. The Crown must then establish that the accused
was not acting under duress. (See Gillies’ Criminal Law, supra,
at p. 356. See also O’Connor and Fairall, supra, at pp. 162-63.)
79
Much like in English jurisprudence, some controversy arose about the
relevancy, definition and function of the immediacy requirement in Australian
law. The Full Supreme Court of Victoria in Hurley and Murray asserted
that the threat of harm must be “present and continuing, imminent and
impending” (p. 543). Since then, however, three state appellate courts have
specifically endorsed the ruling in Hudson that threats of future harm
may suffice: the Full Supreme Court of South Australia in Palazoff, supra,
at p. 109, and R. v. Brown (1986), 43 S.A.S.R. 33; the Full Supreme
Court of Victoria in Dawson, supra; and the New South Wales
Court of Criminal Appeal in R. v. Williamson, [1972] 2 N.S.W.L.R. 281,
at pp. 283 and 300.
80
Akin to the English Court of Appeal’s decision in Abdul-Hussain,
at least one of the Australian cases suggests that proportionality is a
component of the defence of duress. In Osborne v. Goddard (1978), 21
A.L.R. 189, at p. 195, the full Supreme Court of South Australia intimated that
the severity of the crime is an important consideration in determining whether
the accused’s failure to pursue a safe avenue of escape was reasonable.
4. The American Common Law of Duress
81
The appellant referred to some American authorities on the nature
of the common law defence of duress, which according to him demonstrate that
this defence is subject to stricter constraints in the United States, and in
particular that a threat of future harm will not allow an accused to raise a
defence of duress. (See W. R. LaFave and A. W. Scott, Substantive Criminal
Law (1986), vol. 1, at pp. 618-19; United States v. Jennell, 749
F.2d 1302 (9th Cir. 1984), at p. 1305; United States v. Contento-Pachon,
723 F.2d 691 (9th Cir. 1984), at pp. 693-94; United States v. Marenghi,
893 F. Supp. 85 (D. Me. 1995), at p. 92; J. Hall, General Principles of
Criminal Law (2nd ed. 1960), at p. 447.)
82
It must be noted, however, that the situation is far from being as clear
as what the appellant suggests. In fact, several American cases have displayed
a flexible view of the temporal criterion in the context of duress. For
instance in the case of Esquibel v. State, 576 P.2d 1129
(N.M. 1978), it was held that a threat which had occurred 48 to 72 hours before
the commission of the offence was sufficient to trigger the application of the
defence in the particular circumstances of that case. The court underlined the
need to analyse closely the facts of each case when assessing duress, rather
than adopting a strict criterion of “immediacy”, in order to determine whether
the accused’s actions were dictated by the threat when he committed the crime
(see also People v. Harmon, 232 N.W.2d 187 (Mich. 1975); State
v. Toscano, 378 A.2d 755 (N.J. 1977)).
83
Even the cases which the appellant has cited do not all suggest a strict
criterion of immediacy in the context of duress. For instance, consider the
decision of the United States Court of Appeals for the Ninth Circuit in
Contento-Pachon, supra. The facts giving rise to that case were
similar to the facts in the case at bar. The accused had been coerced by an
individual in Colombia to smuggle cocaine into the United States. He was told
that if he did not comply, his wife and child in Colombia would be harmed.
The accused complied with the request and did not seek police assistance in
Colombia because he believed police there were corrupt. We realize that even
though the accused claimed he was being watched during the whole trip by his
threatener’s accomplice, the threat could not, as in the case at bar, be
considered immediate in the strict sense. Indeed, had the accused not complied
with the order, the accomplice would have had to take the time to contact the threatener
in Colombia. Then, the threatener would have had to get to the accused’s house
and eventually carry out the threat. There was therefore no more immediacy in Contento-Pachon
than in the case at bar, where Mirkovic would have had to be contacted by his
accomplice from the restaurant in Toronto if the heroin was not delivered by
the accused as expected. He would then have had to get to the accused’s mother
and eventually carry out the threat.
84
In Contento-Pachon, the trial judge found that since the alleged
threat was not immediate, the defence of duress could not be submitted to the
jury. The Court of Appeals reversed by stating a more flexible criterion (at
p. 694): [t]he element of immediacy requires that there be some evidence that
the threat of injury was present, immediate, or impending” (emphasis
added). Right after, the court adds, citing Rhode Island Recreation Center
v. Aetna Casualty & Surety Co., 177 F.2d 603 (1st Cir. 1949), at p.
605, that immediacy means that a “veiled threat of future unspecified
harm” (emphasis added) will not be sufficient to invoke duress. Finally,
holding that the criterion was satisfied, the court wrote (at p. 694):
Evidence presented on this issue indicated that the
defendant was dealing with a man who was deeply involved in the exportation of
illegal substances. Large sums of money were at stake and, consequently,
Contento-Pachon had reason to believe that Jorge would carry out his threats.
Jorge had gone to the trouble to discover that Contento-Pachon was married,
that he had a child, the names of his wife and child, and the location of his
residence. These were not vague threats of possible future harm. According to
the defendant, if he had refused to cooperate, the consequences would have been
immediate and harsh.
85
Although the court still uses the word “immediate”, the emphasis is more
on the seriousness of the threat and its capacity to dominate the will of the
accused when he committed the offence, rather than the strict immediacy of the
threatened harm. The standard applied therefore seems to be the more flexible
criterion which we described earlier requiring that there be a “close temporal
connection”, without requiring strictly speaking that the threat could be
carried out immediately.
5. Summary: Rejection of the Immediacy
Requirement at Common Law
86
This review of the common law defence of duress confirms that, although
the common law is not unanimous in the United States, a substantial consensus
has grown in Canada, England and Australia to the effect that the strict
criterion of immediacy is no longer a generally accepted component of the
defence. A requirement that the threat be “imminent” has been interpreted and
applied in a more flexible manner. The English Court of Appeal held in
Hudson that depending on the circumstances, threats of future harm are
sufficient to invoke the defence. Hudson remains good law in England
and has been adopted by the courts in three Australian states and one
territory. However, it is clear from the English cases that there must be a
close temporal link between the threat of harm and the commission of the
offence. The operative test in the English and Australian cases is whether the
threat was effective to overbear the accused’s will at the moment he committed
the crime. Moreover, the safe avenue of escape test and the proportionality
principle also appear to be key elements of the defence.
E. The Breach of Section 7 of the
Charter : Conclusion in the Case at Bar
87
At the heart of Laskin J.A.’s decision is a concern that the immediacy
and presence requirements are poor substitutes for the safe avenue of escape
test at common law. In his view, their focus on an instantaneous connection
between the threat and the commission of the offence misses the point in a
number of special cases. He highlights two situations in particular. The
first is the battered woman who is coerced by her abusive partner to break the
law. Even though her partner is not present when she commits the offence and
is therefore unable to execute it immediately, a battered woman may believe
nonetheless that she has no safe avenue of escape. Her behaviour is morally
involuntary, yet the immediacy and presence criteria, strictly construed, would
preclude her from resorting to s. 17 . There may also be other situations in
which a person is so psychologically traumatized by the threatener that he
complies with the threat, even though it was not immediate and to the objective
observer, there was a legal way out. The second scenario described by Laskin
J.A. is the case of a person like Ms. Ruzic, for whom effective police
protection was unavailable. Do the immediacy and presence requirements demand
that a person go to the authorities if he has the opportunity to do so, even
when he believes it would be useless or even dangerous to do so? It should be
noted that in this second scenario, a court might face a delicate task in
assessing the validity of a claim that, in a foreign land, no police protection
was available. It illustrates some of the difficulties in the practical
implementation of a defence of duress which involves a risk of abuse through
unverifiable assertions of danger and harm.
88
Nevertheless, s. 17's reliance on proximity as opposed to reasonable
options as the measure of moral choice is problematic. It would be contrary to
the principles of fundamental justice to punish an accused who is
psychologically tortured to the point of seeing no reasonable alternative, or
who cannot rely on the authorities for assistance. That individual is not
behaving as an autonomous agent acting out of his own free will when he commits
an offence under duress.
89
The appellant’s attempts at reading down s. 17, in order to save it,
would amount to amending it to bring it in line with the common law rules.
This interpretation badly strains the text of the provision and may become one
more argument against upholding its validity.
90
The underinclusiveness of s. 17 infringes s. 7 of the Charter ,
because the immediacy and presence requirements exclude threats of future harm
to the accused or to third parties. It risks jeopardizing the liberty and
security interests protected by the Charter , in violation of the basic
principles of fundamental justice. It has the potential of convicting persons
who have not acted voluntarily.
F. Can
the Infringement Be Justified Under Section 1?
91
Having found that the immediacy and presence requirements infringe s. 7
of the Charter , I turn now to consider whether the violation is a
demonstrably justifiable limit under s. 1 . The government, of course, bears
the burden of justifying a Charter infringement. Consistent with its
strategy in the courts below, the appellant made no attempt before this Court
to justify the immediacy and presence criteria according to the s. 1
analysis. I therefore conclude at the outset that the appellant has failed to
satisfy its onus under s. 1 .
92
Moreover, it is well established that violations of s. 7 are not easily
saved by s. 1: New Brunswick (Minister of Health and Community Services) v.
G. (J.), [1999] 3 S.C.R. 46, at para. 99. Indeed, the Court has indicated
that exceptional circumstances, such as the outbreak of war or a national
emergency, are necessary before such an infringement may be justified: R. v.
Heywood, [1994] 3 S.C.R. 761, at p. 802; Re B.C. Motor Vehicle Act,
supra. No such extraordinary conditions exist in this case.
Furthermore, I am inclined to agree with Laskin J.A. that the immediacy and
presence criteria would not meet the proportionality branch of the s. 1
analysis. In particular, it seems to me these requirements do not minimally
impair the respondent’s s. 7 rights. Given the appellant’s failure to make any
submissions on the issue, the higher standard of justification for a violation
of s. 7 , and my doubts concerning proportionality, I conclude that the
immediacy and presence conditions cannot be saved by s. 1.
G. Alternatively, Do the Immediacy and
Presence Requirements in Section 17 Infringe the Principle That Rights Should
Not Be Restricted in a Manner That Is Arbitrary or Unfair?
93
Laskin J.A. found, in the alternative, that s. 17 infringes s. 7 of the Charter
because the presence and immediacy requirements are arbitrary and inconsistent
with the government’s objective of excusing morally involuntary behaviour. On
the view I take of the interpretation of s. 17 , I need not address this
argument. I prefer to ground the partial striking down of s. 17 on the
fundamental principle that criminal liability should not be ascribed to
physically or morally involuntary behaviour.
H. The
Jury Charge
94
I turn last to consider the trial judge’s instructions to the jury on
the common law defence of duress. Herold J. repeated the elements of the common
law defence several times as follows:
There are four ingredients that must be met before the law will excuse
a crime because the accused was acting under duress.
.
. .
One: acts solely as a result of threats of death, or serious bodily
harm to herself or another person.
Two: the threats were of such gravity or seriousness that the accused
believed that the threats would be carried out.
Three: the threats were of such gravity that they might well have
caused a reasonable person placed in the same situation as the accused, to act
in the same manner as she did.
To put that another way, would a person of reasonable firmness, sharing
the characteristics of the accused, such as her age and her background, have
responded to the threats.
Finally, the accused must not have had an obvious safe avenue of
escape.
Later, the
judge told the jury that “the threats must be such that they are operating on
the mind of the accused at the time that she does what she has been charged
with doing.”
95
The appellant points to four deficiencies in the trial judge’s charge to
the jury, which, it must be said, were never raised by the Crown when Herold J.
gave his instructions at trial. First, the appellant argues that the trial
judge failed to instruct the jury on the imminence requirement of the defence.
Second, the appellant argues that he erred in his explanation of the safe
avenue of escape test. The appellant maintains that he should have directed
the jury to consider whether Ms. Ruzic had “any” legal way out of her
predicament, not just an “obvious” safe avenue of escape. Third, the appellant
maintains that the trial judge introduced unduly subjective elements into his
charge to the jury on the standard to assess duress. Last, the appellant
asserts that the trial judge misdirected the jury on the burden of proving
duress. In effect, the appellant is urging the Court to shift the legal onus
of proof from the Crown onto the shoulders of the accused, who would be
responsible for proving duress, on a balance of probabilities.
96
In the future, when the common law defence of duress is raised, the trial
judge should instruct the jury clearly on the components of this defence
including the need for a close temporal connection between the threat and the
harm threatened. The jury’s attention should also be drawn to the need for the
application of an objective-subjective assessment of the safe avenue of escape
test.
97
Nevertheless, the perusal of the charge reveals that the deficiencies
raised by the appellant were nowhere to be seen. Viewed in its entirety, the
trial judge’s charge explained adequately the elements of the defence of duress
at common law to the members of the jury.
98
The charge contained all the elements required by the common law rules
on duress. The criterion of the safe avenue of escape was well explained as
was the objective component of this test. Notwithstanding the argument of the
appellant, the law does not require an accused to seek the official protection
of police in all cases. The requirement of objectivity must itself take into
consideration the special circumstances where the accused found herself as well
as her perception of them. Herold J. drew the attention of the jury both to
that objective component and to the subjective elements of the defence. This
argument must thus fail.
99
As to the immediacy of the threat, as Laskin J.A.’s reasons point out,
Herold J. brought home to the jury the fact that the threat had to be a real
threat affecting the accused at the time of the offence. This instruction at
least implied that the jury had to consider the temporal connection between the
threat and the harm threatened, although it would have been preferable to say
so in so many express words.
100
There was no misdirection either on the burden of proof. The accused
must certainly raise the defence and introduce some evidence about it. Once
this is done, the burden of proof shifts to the Crown under the general rule of
criminal evidence. It must be shown, beyond a reasonable doubt, that the
accused did not act under duress. Similarly, in the case of the defence of necessity,
the Court refused to shift the burden of proof to the accused (see Perka,
supra, at pp. 257-59), although the defence must have an air of
reality, in order to be sent to the jury, as the Court held in Latimer, supra.
VI. Disposition
101
The appellant’s submissions cannot be accepted. The immediacy and
presence requirements of s. 17 of the Criminal Code infringe s. 7 of the
Charter . As the infringement has not been justified under s. 1 , the
requirements of immediacy and presence must be struck down as
unconstitutional. The Court of Appeal and the trial judge were right in
allowing the common law defence of duress go to the jury, and the trial judge
adequately instructed the jury on the defence.
Solicitor for the appellant: The
Attorney General of Canada, Ottawa.
Solicitors for the respondent: Sack
Goldblatt Mitchell, Toronto; Skurka & Pringle, Toronto.
Solicitor for the intervener the Attorney General
for Ontario: The Ministry of the Attorney General, Toronto.
Solicitors for the interveners the Canadian Council
of Churches and the Canadian Council for Refugees: Ruby & Edwardh,
Toronto.