Date:
20071129
Docket:
IMM-7818-05
Citation:
2007 FC 1262
Ottawa, Ontario, November 29, 2007
PRESENT: The Honourable Mr. Justice Phelan
BETWEEN:
CANADIAN COUNCIL FOR
REFUGEES,
CANADIAN COUNCIL OF CHURCHES,
AMNESTY
INTERNATIONAL, and JOHN DOE
Applicants
and
HER
MAJESTY THE QUEEN
Respondent
REASONS FOR JUDGMENT
INDEX
Page
I. Introduction....................................................................................................................
5
II. Background....................................................................................................................
7
A. Legislation
and Regulations....................................................................................
9
(1) Relevant
International Law............................................................................
9
(2) Safe
Third Country Designation.....................................................................
13
B. Governor-in-Council’s
Decision-Making Process................................................... 18
C. Application
of the Regulations/Operation of the STCA...........................................
19
III. Standing.........................................................................................................................
20
IV Principles
of Review/Standard of Review........................................................................
28
A. Vires.....................................................................................................................
30
B. The
Standard of Review........................................................................................
40
(1) The
Presence or Absence of a Privative Clause or Statutory
Right
of Appeal............................................................................................
41
(2) Expertise
of the Decision-Maker as compared to that of the Court................. 42
(3) Purpose
of the Legislation and the Provision in particular................................
43
(4) Nature
of the Question..................................................................................
44
(5) Conclusion
on Standard of Review..............................................................
44
V. The
Evidence: Does U.S. Refugee Law and Practice violate the Refugee
Convention
or CAT?......................................................................................................
45
A. The
Experts...........................................................................................................
45
(1) For
the Applicants........................................................................................
45
(2) For
the Respondent......................................................................................
48
B. U.K.
and E.U. Practice regarding Safe Third Country Agreements..........................
50
C. A
Brief Overview of the U.S. System.....................................................................
59
D. Analysis
of American Refugee Law........................................................................
62
(1) One-Year
Time Bar and Standard for Withholding........................................
62
(a) Is
the standard for withholding higher than asylum and
will
this result in refoulement?..............................................................
63
(b)
Is the
one-year bar a violation of the Convention Against
Torture
and Refugee Convention apart from the
withholding
issue?................................................................................
66
(c) One-year
bar: Impact on gender-based and other minority
group
claims........................................................................................
68
(2) Categorical
Exceptions for Criminality and Terrorism.....................................
69
(a) Exclusion
for Terrorism........................................................................
70
(b) Exclusion
for Serious Criminality..........................................................
78
(3) Interpretation
of the Term “Persecution” and Claims based on
Particular
Social Group and Gender Claims.................................................
80
(a) Gender
Claims..................................................................................
81
(b) “Persecution”....................................................................................
83
(4) Corroboration
and Credibility......................................................................
86
(5) Detention
and Access to Counsel................................................................
89
(6) Summary....................................................................................................
92
VI. Interpretation
and Application of CAT............................................................................
93
VII. Failure
to Review............................................................................................................ 100
VIII. Charter
of Rights and Freedoms.................................................................................. 103
A. Is
the Charter engaged in this situation, even if the substance of the
human
rights violations occur outside of Canada?.................................................. 103
(1) Section
7.................................................................................................... 105
(a) Is
a refugee claimant’s life, liberty or security of the
person
at stake?................................................................................ 105
(b) Principles
of fundamental justice......................................................... 107
(c) Arbitrariness/lack
of discretion........................................................... 108
(i) Canada................................................................................... 109
(ii) The
United States.................................................................... 111
(iii) The
United Kingdom............................................................... 113
(d) Does
the Charter require individualized consideration?...................... 113
(2) Section
15.................................................................................................. 116
(a) Does
the law impose differential treatment between
the
claimants and a comparator group?.............................................. 117
(b) Discrimination................................................................................... 119
(i) Pre-Existing
Disadvantage........................................................ 120
(ii) Correspondence
of the Law with the Individual’s
Circumstances......................................................................... 120
(iii) Ameliorative
Purpose............................................................... 121
(iv) Nature
and Scope of Interests Affected.................................... 121
(3) Can
the Breaches of Section 7 and Section 15 be justified
under
Section 1?......................................................................................... 121
IX. Conclusion..................................................................................................................... 123
PHELAN
J.
I. INTRODUCTION
[1]
The
Canadian Council for Refugees (CCR), the Canadian Council of Churches (CCC),
Amnesty International (AI) and John Doe, a Colombian refugee claimant in the
United States, filed a judicial review application challenging the Agreement
between the Government of Canada and the Government of the United States of
America for Cooperation in the Examination of Refugee Status Claims from
Nationals of Third Countries, also known as the Safe Third Country
Agreement (STCA). This agreement, which was enacted in its current form as part
of the Smart Border Declaration: Building a Smart Border for the 21st
Century on the Foundation of a North American Zone of Confidence (Smart
Border) and came into force in December 2004, deems (subject to limited
exceptions) a foreign national who attempts to enter Canada at a land border
from a “designated country” ineligible to make a refugee claim.
[2]
The
Applicants seek a declaration that the designation of the United States of
America as a “safe third country” for asylum seekers, and the resulting
ineligibility for refugee protection in Canada of certain asylum seekers, is
invalid and unlawful. The Applicants claim, amongst other grounds, that the
Regulation authorizing the STCA is invalid because the preconditions to
enacting the Regulation were not met because the U.S. does not comply with
certain international conventions protecting refugees and prohibiting returning
people to places of torture and in any event, the Regulations and STCA offend
the Charter of Rights and Freedoms. The Applicants are seeking a
declaration that the Respondent’s decision to declare the U.S. a designated
country is unlawful pursuant to administrative law principles, the Charter and
international law.
[3]
The
STCA operates in a manner whereby a person from a country other than the U.S. who
travels through the U.S. and arrives in Canada, by land (and only by land), to
claim refugee-protection status is immediately sent back to the U.S.. The net
effect is to deny such persons any substantive consideration of their refugee
claim by Canadian authorities.
[4]
The
decision to enter into the STCA was delegated by Parliament to the
Governor-in-Council (GIC) subject to certain conditions being met. These
conditions include that the other country -- in this case the U.S. -- complies
with Article 33 of the Convention Relating to the Status of Refugees
(Refugee Convention or RC) which generally prevents refoulement (sending
back to the persecuting home country), and Article 3 of the Convention
against Torture and other Cruel, Inhuman or Degrading Treatment or Punishment
(Convention Against Torture or CAT) which specifically prohibits sending someone
back to a country that engages in torture.
[5]
In
determining whether to enter into a STCA, the GIC is required to consider a
number of factors including the “policies and practices” of the other country,
not just its legislation.
[6]
In
addition, the STCA and its operation must comply with the provisions of the Charter.
[7]
For
the reasons outlined in this judgment, the United States’ policies and
practices do not meet the conditions set down for authorizing Canada to enter
into a STCA. The U.S. does not meet the Refugee Convention requirements nor the
Convention Against Torture prohibition (the Maher Arar case being one example).
Further, the STCA does not comply with the relevant provisions of the Charter.
Finally, the Canadian government has not conducted the on-going review mandated
by Parliament despite both the significant passage of time since the commencement
of the STCA and the evidence as to U.S. practices currently available.
II. BACKGROUND
[8]
A
safe third country clause first appeared in Canadian law in 1988 amendments to
the Immigration Act. There was a constitutional challenge to the
amendments; however the Federal Court of Appeal held in Canadian Council of
Churches v. Canada (Minister of Employment and Immigration), [1990] 2 FC
534 (C.A.), appeal dismissed [1992] 1 S.C.R. 236, that litigation on that
provision was premature as no country had been designated. (The Supreme Court
decision is discussed below in relation to the issue of standing.) The
Government of Canada continued to negotiate with the U.S. towards a mutual
designation. The Smart Border and its 30 Point Action Plan contained a new
commitment to a STCA. The final text of the STCA was signed on December 5,
2002 and entered into force December 29, 2004.
[9]
The
STCA is an agreement between Canada and the U.S. The operative provision of the
STCA is Article 4(1), which provides
that the country of last presence shall examine the refugee status claim of any
person arriving at a land border port of entry who makes a refugee claim.
Article 4
1. Subject to paragraphs 2 and 3, the Party of the
country of last presence shall examine, in accordance with its refugee status
determination system, the refugee status claim of any person who arrives at a
land border port of entry on or after the effective date of this Agreement
and makes a refugee status claim.
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Article 4
1. Sous réserve des paragraphes 2 et 3, la partie
du dernier pays de séjour examine, conformément aux règles de son régime de
détermination du statut de réfugié, la demande de ce statut de toute personne
arrivée à un point d’entrée d’une frontière terrestre à la date d’entrée en
vigueur du présent accord, ou par après, qui fait cette demande.
|
[10]
The
legislative structure that incorporates the principles of the STCA into
domestic law is contained in the Immigration and Refugee Protection Act
(IRPA) and in Regulations Amending
the Immigration and Refugee Protection Regulations, SOR/2004-217, October 12, 2004 (STCA Regulations),
more fully detailed in paragraphs 20 to 30.
[11]
The
U.S. is currently the only country designated as a “safe third country” under
the STCA Regulations.
[12]
The
Applicants include three public-interest based organizations, the CCR, the CCC,
and AI, all of which are recognized as organizations that assist and advocate
for the rights of refugees in Canada.
[13]
The
Applicant John Doe is an asylum-seeker from Colombia currently residing in the
U.S. He was initially refused protection because he failed to apply within one
year of arrival in the U.S. He then went into hiding in the U.S. and sought an
injunction, during the course of this judicial review, to prevent the Canadian
authorities from invoking the STCA if he should be able to arrive at a Canadian
port of entry. An interim injunction was granted but it developed that, against
the background of this judicial review, U.S. authorities agreed to have his
refugee claim reconsidered.
[14]
As
noted by Bruce Scoffield of the Refugees Branch of Citizenship and Immigration
Canada, one of the Respondent’s expert affiants, the Regulations constitute the
decision and reasons in this case. The Regulatory Impact and Analysis Statement
(RIAS) accompanying the Regulations also comprise part of the reasons for the
decision to enter into the STCA.
A. Legislation
and Regulations
(1) Relevant
International Law
[15]
As
noted earlier, there are conditions imposed upon the GIC before entering into a
STCA and passing the requisite regulations. The conditions of critical
importance to this case are U.S. compliance with the applicable provisions of
the Refugee Convention Article 33 and Article 3 of the Convention Against
Torture.
[16]
Article
33 of the Refugee Convention reads:
1. No Contracting State shall expel or return
("refouler") a refugee in any manner whatsoever to the frontiers of
territories where his life or freedom would be threatened on account of his
race, religion, nationality, membership of a particular social group or
political opinion.
2.
The benefit of the present provision may not, however, be claimed by a refugee
whom there are reasonable grounds for regarding as a danger to the security of
the country in which he is, or who, having been convicted by a final judgement
of a particularly serious crime, constitutes a danger to the community of that
country.
[17]
Article
3 of the Convention Against Torture reads:
1.
No State Party shall expel, return ("refouler") or extradite a person
to another State where there are substantial grounds for believing that he
would be in danger of being subjected to torture.
2.
For the purpose of determining whether there are such grounds, the competent
authorities shall take into account all relevant considerations including,
where applicable, the existence in the State concerned of a consistent pattern
of gross, flagrant or mass violations of human rights.
[18]
Those
two international agreements find their expression in domestic Canadian law, in
part, in the IRPA, more specifically sections 96 and 97:
96. A Convention
refugee is a person who, by reason of a well-founded fear of persecution for
reasons of race, religion, nationality, membership in a particular social
group or political opinion,
(a) is
outside each of their countries of nationality and is unable or, by reason of
that fear, unwilling to avail themself of the protection of each of those
countries; or
(b) not
having a country of nationality, is outside the country of their former
habitual residence and is unable or, by reason of that fear, unwilling to
return to that country.
97. (1) A person in need of protection is a person
in Canada whose removal to their country or countries of nationality or, if
they do not have a country of nationality, their country of former habitual
residence, would subject them personally
(a) to a
danger, believed on substantial grounds to exist, of torture within the
meaning of Article 1 of the Convention Against Torture; or
(b) to a
risk to their life or to a risk of cruel and unusual treatment or punishment
if
(i) the person is unable or,
because of that risk, unwilling to avail themself of the protection of that
country,
(ii) the risk would be faced by
the person in every part of that country and is not faced generally by other
individuals in or from that country,
(iii) the risk is not inherent
or incidental to lawful sanctions, unless imposed in disregard of accepted
international standards, and
(iv) the risk is not caused by
the inability of that country to provide adequate health or medical care.
(2) A person in Canada who is a
member of a class of persons prescribed by the regulations as being in need
of protection is also a person in need of protection.
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96.
A qualité de réfugié au sens de la Convention — le
réfugié — la personne qui, craignant avec raison d’être persécutée du fait de
sa race, de sa religion, de sa nationalité, de son appartenance à un groupe
social ou de ses opinions politiques :
a) soit se trouve hors de tout pays
dont elle a la nationalité et ne peut ou, du fait de cette crainte, ne veut
se réclamer de la protection de chacun de ces pays;
b) soit, si elle n’a pas de
nationalité et se trouve hors du pays dans lequel elle avait sa résidence
habituelle, ne peut ni, du fait de cette crainte, ne veut y retourner.
97.
(1) A qualité de personne à protéger la personne qui
se trouve au Canada et serait personnellement, par son renvoi vers tout pays
dont elle a la nationalité ou, si elle n’a pas de nationalité, dans lequel
elle avait sa résidence habituelle, exposée :
a) soit au risque, s’il y a des
motifs sérieux de le croire, d’être soumise à la torture au sens de l’article
premier de la Convention contre la torture;
b) soit à une menace à sa vie ou au
risque de traitements ou peines cruels et inusités dans le cas suivant :
(i) elle ne
peut ou, de ce fait, ne veut se réclamer de la protection de ce pays,
(ii) elle y
est exposée en tout lieu de ce pays alors que d’autres personnes originaires
de ce pays ou qui s’y trouvent ne le sont généralement pas,
(iii) la
menace ou le risque ne résulte pas de sanctions légitimes — sauf celles
infligées au mépris des normes internationales — et inhérents à celles-ci ou
occasionnés par elles,
(iv) la menace
ou le risque ne résulte pas de l’incapacité du pays de fournir des soins
médicaux ou de santé adéquats.
(2) A également qualité
de personne à protéger la personne qui se trouve au Canada et fait partie
d’une catégorie de personnes auxquelles est reconnu par règlement le besoin
de protection.
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[19]
Also
of relevance is the definition of torture in the Convention Against Torture,
which is provided in Article 1 (the Article referred to in section 97(1)(a) of
the IRPA):
1.
For the
purposes of this Convention, the term "torture" means any act by
which severe pain or suffering, whether physical or mental, is intentionally
inflicted on a person for such purposes as obtaining from him or a third person
information or a confession, punishing him for an act he or a third person has
committed or is suspected of having committed, or intimidating or coercing him
or a third person, or for any reason based on discrimination of any kind, when
such pain or suffering is inflicted by or at the instigation of or with the
consent or acquiescence of a public official or other person acting in an
official capacity. It does not include pain or suffering arising only from,
inherent in or incidental to lawful sanctions.
(2) Safe Third Country
Designation
[20]
Section
101(1)(e) of the IRPA provides that a person entering Canada from a
“designated country” is ineligible to have his or her claim for refugee
protection considered by the Immigration and Refugee Board.
101. (1) A claim is ineligible to be referred to
the Refugee Protection Division if
[…]
(e) the
claimant came directly or indirectly to Canada from a country designated by
the regulations, other than a country of their nationality or their former
habitual residence
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101.
(1) La demande est irrecevable dans les cas suivants
:
[…]
e) arrivée, directement ou
indirectement, d’un pays désigné par règlement autre que celui dont il a la
nationalité ou dans lequel il avait sa résidence habituelle
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[21]
Section
102(1)(a) provides that the Governor in Council (GIC) may designate a country
as being subject to section 101(1)(e).
102. (1) The
regulations may govern matters relating to the application of sections 100
and 101, may, for the purposes of this Act, define the terms used in those
sections and, for the purpose of sharing responsibility with governments of
foreign states for the consideration of refugee claims, may include
provisions
(a)
designating countries that comply with Article 33 of the Refugee Convention
and Article 3 of the Convention Against Torture;
(b)
making a list of those countries and amending it as necessary; and
(c)
respecting the circumstances and criteria for the application of paragraph
101(1)(e).
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102.
(1) Les règlements
régissent l’application des articles 100 et 101, définissent, pour
l’application de la présente loi, les termes qui y sont employés et, en vue
du partage avec d’autres pays de la responsabilité de l’examen des demandes
d’asile, prévoient notamment :
a) la désignation des pays qui se
conforment à l’article 33 de la Convention sur les réfugiés et à l’article 3
de la Convention contre la torture;
b) l’établissement de la liste de
ces pays, laquelle est renouvelée en tant que de besoin;
c) les cas et les critères
d’application de l’alinéa 101(1)e).
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[22]
The
legislation only allows the GIC to designate countries that comply with
Article 33 of the Refugee Convention, which prevents refoulement (subject
to very limited circumstances) and Article 3 of the Convention Against Torture,
which unequivocally prohibits refoulement to torture. In deciding to
designate a country, the GIC is required under section 102(2) to consider four
factors:
102 (2) The following factors are to be considered in
designating a country under paragraph (1)(a):
(a) whether the country is a party to the Refugee
Convention and to the Convention Against Torture;
(b) its policies and practices with respect to
claims under the Refugee Convention and with respect to obligations under the
Convention Against Torture;
(c) its human rights record; and
(d) whether it is party to an agreement with the
Government of Canada for the purpose of sharing responsibility with respect
to claims for refugee protection.
(emphasis
added)
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102 (2) Il
est tenu compte des facteurs suivants en vue de la désignation des pays :
a)
le fait que ces pays sont parties à la Convention sur les réfugiés et à la
Convention contre la torture;
b)
leurs politique et usages en ce qui touche la revendication du statut de
réfugié au sens de la Convention sur les réfugiés et les obligations
découlant de la Convention contre la torture;
c)
leurs antécédents en matière de respect des droits de la personne;
d)
le fait qu’ils sont ou non parties à un accord avec le Canada concernant le
partage de la responsabilité de l’examen des demandes d’asile.
(non souligné dans l’original)
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[23]
The
legislation also requires ongoing review by the GIC of any country it
designates as safe under section 102(1)(a). Section 102(3) provides as follows:
102 (3) The Governor in Council must
ensure the continuing review of factors set out in subsection (2) with
respect to each designated country.
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102 (3) Le gouverneur en conseil
assure le suivi de l’examen des facteurs à l’égard de chacun des pays
désignés.
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[24]
By
virtue of section 5(1) of IRPA, Parliament conferred on the GIC the power to
make regulations under the Act. Regulations must conform to section 3 of the
IRPA. Subsection 3(d) and (f) are relevant to the matter in issue:
(3) This Act is to be construed
and applied in a manner that
[…]
(d)
ensures that decisions taken under this Act are consistent with the Canadian
Charter of Rights and Freedoms, including its principles of equality and
freedom from discrimination and of the equality of English and French as the
official languages of Canada;
[…]
(f)
complies with international human rights instruments to which Canada is
signatory.
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(3) L’interprétation et
la mise en oeuvre de la présente loi doivent avoir pour effet :
[…]
d) d’assurer que les décisions
prises en vertu de la présente loi sont conformes à la Charte canadienne
des droits et libertés, notamment en ce qui touche les principes, d’une
part, d’égalité et de protection contre la discrimination et, d’autre part,
d’égalité du français et de l’anglais à titre de langues officielles du
Canada;
[…]
f) de se conformer aux instruments
internationaux portant sur les droits de l’homme dont le Canada est signataire.
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[25]
The
provisions of the Charter which have been raised in this judicial review
are:
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.
15. (1) Every individual is equal
before and under the law and has the right to the equal protection and equal
benefit of the law without discrimination and, in particular, without
discrimination based on race, national or ethnic origin, colour, religion,
sex, age or mental or physical disability.
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1. La Charte
canadienne des droits et libertés garantit les droits et libertés qui y
sont énoncés. Ils ne peuvent être restreints que par une règle de droit, dans
des limites qui soient raisonnables et dont la justification puisse se démontrer
dans le cadre d'une société libre et démocratique.
7. Chacun a droit à la
vie, à la liberté et à la sécurité de sa personne; il ne peut être porté
atteinte à ce droit qu'en conformité avec les principes de justice
fondamentale.
15. (1) La loi ne fait
acception de personne et s'applique également à tous, et tous ont droit à la
même protection et au même bénéfice de la loi, indépendamment de toute
discrimination, notamment des discriminations fondées sur la race, l'origine
nationale ou ethnique, la couleur, la religion, le sexe, l'âge ou les
déficiences mentales ou physiques.
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[26]
In
accordance with the regulation-making power under IRPA s. 102(1), the
Governor-in-Council enacted paragraph 159.3 of the STCA Regulations which designated
the U.S. as a country that complies with Article 33 of the Refugee Convention
and Article 3 of CAT on October 12, 2004. This
designation is the central point of contention in this judicial review.
[27]
Paragraph
159.5 outlines the exceptions to the general rule provided for in paragraph
101(1)(e) of IRPA that a claim is not to be referred to the Refugee Protection
Division. These exceptions cover generally the following classes of persons:
•
family
members of Canadian citizens, permanent residents, and protected persons;
•
unaccompanied
minors;
•
holders of
Canadian travel documents;
•
persons who
do not need visas to enter Canada, but need visas to enter the U.S.;
•
persons who
were refused entry to the U.S. without having their claim adjudicated or
permanent residents of Canada being removed from the U.S.;
•
persons who
are subject to the death penalty; and
•
persons who
are nationals of countries to which the relevant Minister has imposed a stay on
removal orders.
[28]
Once a
Canadian immigration officer determines that a claimant does not fall within
one of these stated exceptions, the officer retains no discretion to allow the
claimant into Canada. The person must be returned to the U.S.
[29]
A
feature of the STCA regime is that, in accordance with the Regulations, it only
operates at land ports of entry. The STCA regime does not apply to travellers
arriving in Canada by air or water from the U.S.
[30]
The
RIAS states that the STCA reflects a “widespread and growing international
consensus that no refugee receiving country can, on its own, solve the refugee
problems of the world. International obligations necessitate a sharing of
responsibility.”
B. Governor-in-Council’s
Decision-Making Process
[31]
The
RIAS states that consultations were undertaken with NGOs who oppose the STCA
both on principle, and because they do not feel the U.S. meets its
international refugee protection obligations. The RIAS notes that it considered
submissions from interested parties as to whether the U.S. is a safe country,
including information provided as to detention practices, expedited removal and
mandatory bars to asylum. The RIAS states that these concerns resulted mainly
in the expansion of the existing exceptions. The Government also engaged in a
gender-based analysis and found that the body of case law is broadly supportive
of gender-based claims in the U.S.
[32]
The
RIAS also states that after the Regulations were pre-published in 2002, the
Government continued to monitor developments in the U.S. It further notes that
a process for ongoing review, in accordance with subsection 102(3), was already
in the making. Furthermore, the RIAS claims that the Government would be in a
better position to determine impact after the implementation of the
Regulations.
[33]
According
to the Respondent, on May 29, 2006, in testimony before the House of Commons
Standing Committee on Citizenship and Immigration (Standing Committee), Mr.
Jahanshah Assadi, the UNHCR representative in Canada, stated that the UNHCR
considers the U.S. to be a safe country.
C. Application
of the Regulations/Operation of the STCA
[34]
The
UNCHR, Canada, and U.S. One-Year Review (contained at Exhibit TH2 to Tom
Heinz’s affidavit) (One-Year Review Report) provides an overview of the process
involved in applying the STCA. First, a person who makes a claim for refugee
protection must undergo admissibility and eligibility determinations. The Canadian
Border Services Agency (CBSA) is responsible for administering the port of
entry (POE) process. Upon making a claim for protection at the POE, an
individual appears before a CBSA Border Services Officer for an examination in
order to determine whether his or her claim is eligible to be referred to the
IRB. An eligibility decision must be made within three working days after
receipt of the claim or the claim will be deemed referred to the IRB. Pursuant
to the STCA, persons whose claims are found to be ineligible and who are issued
a removal order can be removed to the U.S. Removals are most often conducted on
the same day.
[35]
Upon
making a claim for refugee protection, the eligibility determination of the
claim by one officer is reviewed by a separate decision maker (Minister’s
Delegate). The appeal process of the delegate’s decision is by way of judicial
review, often from outside the country. There are thus two levels of review of
a determination of ineligibility under the STCA.
[36]
However,
the effect of the operation of the STCA is, upon determining that the person is
one who has come by land from the U.S., to return that person to the U.S.
without further regard to their personal situation including any consideration
of their refugee claim or their concerns about being returned to the U.S. The
effect is to deprive a person of the ability to claim refugee protection in
Canada.
III. STANDING
[37]
The
Respondent has challenged the standing of the three organizations to bring this
judicial review. In particular, the Respondent says that these organizations
fail to meet the third prong of the standing test – the absence of any other
reasonable and effective manner to have this matter brought before a court. The
argument is made in the face of the operation of the STCA in Canada, which has
as its purpose the immediate return of the putative claimant to the U.S. –
ideally on the same day as their arrival.
[38]
The
test for public interest standing was established in Thorson v. Canada
(Attorney General), [1974] 1 S.C.R. 138, where the Supreme Court
established three factors that must be met for standing to be granted. These
factors are also discussed, to the same effect, in Borowski v. Canada
(Attorney General) et. al., [1989] 1 S.C.R. 342, and Finlay v. Canada
(Minister of Finance), [1986] 2 S.C.R. 607. The questions to be
examined are whether:
1. there
is a serious issue to be tried (as to the invalidity of the legislation);
2. the
person has been affected directly or has a genuine interest as a citizen in the
validity of the legislation; and
3. there
is no other reasonable and effective manner in which the issue may be brought
before the Court.
[39]
The
Respondent submits that the Applicants CCR, CCC and AI failed to satisfy the
third criteria of the test for obtaining public interest standing, which
requires that there must be no other reasonable and effective manner in which
the issue may be brought before the Court. Individuals who are directly
affected by the designation of the U.S. as a safe third country are available
and would be in a better position to litigate this matter. Although John Doe
arguably has a personal interest in the litigation, the Respondent argues the
Applicants do not address the issues from his perspective. According to the
Respondent, allegations of a Charter breach should only be evaluated on
the basis of a proper factual record.
[40]
The
Supreme Court in Canadian Council of Churches v. Canada (Minister of
Employment and Immigration), [1992] 1 S.C.R. 236 at 253, applied the
standing test in a similar context as this case. The Supreme Court affirmed
that this test was the appropriate test for challenging legislation and did not
need to be adapted. The Supreme Court then reviewed the standing of Canadian
Council of Churches to bring an action challenging several provisions in the
then Immigration Act. The Court held that the CCC failed to satisfy the
third prong of the test. However, its reasons for doing so were that refugees from
within Canada were capable of bringing the full challenge on their own.
Justice Cory stated:
[…]
The challenged legislation is regulatory in nature and directly affects all
refugee claimants in this country. Each one of them has standing to initiate a
constitutional challenge to secure his or her own rights under the Charter.
The applicant Council recognizes the possibility that actions could be brought
but argues that the disadvantages which refugees face as a group preclude their
effective use of access to the court. I cannot accept that submission […]
From
the material presented, it is clear that individual claimants for refugee
status, who have every right to challenge the legislation, have in fact done
so. There are, therefore, other reasonable methods of bringing the matter
before the Court. On this ground, the applicant must fail. I would hasten to
add that this should not be interpreted as a mechanistic application of a
technical requirement. Rather it must be remembered that the basic purpose for
allowing public interest standing is to ensure that legislation is not
immunized from challenge. Thus the very rationale for the public interest
litigation party disappears. The Council must, therefore, be denied standing on
each of the counts of the statement of claims […]
[41]
Justice
Cory held that it is a matter of the courts’ discretion to grant public
interest standing when challenging administrative action. The balance must be
struck between access to the courts and preserving judicial resources. The
granting of public interest standing is not required when, on the balance of
probabilities, the measure will be subject to attack by a private litigant.
[42]
Justice
Cory also held at paragraph 36 that “when exercising the discretion [to grant
standing] the applicable principles should be interpreted in a liberal and
generous manner”.
[43]
In
this instance, no refugee from within Canada can bring the claim. Instead, a
challenge requires a refugee from outside of Canada to bring the challenge. The
Applicants provide some evidence indicating that most claimants in the U.S. who
might be caught by the STCA would be unwilling to undertake this litigation. Some
would be afraid that becoming involved in litigation might bring their presence
to the attention of U.S. authorities and put them at risk of being deported or
detained and put in the very position in the U.S. of refoulement which
forms the basis of this Court challenge.
[44]
Chaoulli
v. Quebec (Attorney General), [2005] 1 S.C.R. 791, addresses some of
the realities involved in public interest litigation by vulnerable persons. There,
a doctor and a patient challenged legislation that prohibited private health
insurance on the ground that the delays in the public system violated the Charter
and the Quebec Charter of Human Rights and Freedoms. Justice
Deschamps considered the issue and determined that the doctor and patient both
had standing. Her analysis is found at paragraph 35 of that judgment.
Clearly, a challenge based on a charter, whether it be the Canadian Charter or the Quebec Charter,
must have an actual basis in fact: Operation Dismantle Inc.
v. The Queen, [1985] 1 S.C.R. 441. However, the question is not whether
the appellants are able to show that they are personally affected by an
infringement. The issues in the instant case are of public interest and the
test from Minister of Justice of Canada v. Borowski,
[1981] 2 S.C.R. 575, applies. The issue must be serious, the claimants must be
directly affected or have a genuine interest as citizens and there must be no
other effective means available to them. These conditions have been met. The
issue of the validity of the prohibition is serious. Chaoulli is a physician
and Zeliotis is a patient who has suffered as a result of waiting lists. They
have a genuine interest in the legal proceedings. Finally, there is no
effective way to challenge the validity of the provisions other than by
recourse to the courts
[45]
Even
in dissenting opinions in that judgment, there was agreement on the issue of
standing. Justice Binnie and Justice LeBel, at paragraph 189, underscored the
practical difficulties in finding a person to initiate the litigation.
All three of these conditions [set out in Borowski] are met
in the present case…the appellants advance the broad claim that the Quebec
health plan is unconstitutional for systemic reasons. They do not limit
themselves to the circumstances of any particular patient. Their argument is
not limited to a case-by-case consideration. They make the generic argument
that Quebec's chronic waiting lists destroy Quebec's legislative authority to
draw the line against private health insurance. From a practical point
of view, while individual patients could be expected to bring their own cases
to court if they wished to do so, it would be unreasonable to expect a
seriously ailing person to bring a systemic challenge to the whole health plan,
as was done here. The material, physical and emotional resources of individuals
who are ill, and quite possibly dying, are likely to be focussed on their own
circumstances. In this sense, there is no other class of persons that is more
directly affected and that could be expected to undertake the lengthy and no
doubt costly systemic challenge to single-tier medicine. Consequently, we agree
that the appellants in this case were rightly granted public interest standing.
However, the corollary to this ruling is that failure by the appellants in
their systemic challenge would not foreclose constitutional relief to an
individual based on, and limited to, his or her particular circumstances.
[46]
While
not in the same grave physical condition referred to in Chaoulli, one
could not expect most potential refugee claimants, in a new country and
terrified of refoulement, to find the time and resources to mount this
challenge. Of equal importance is the speed with which Canadian authorities are
mandated to act in returning the person to the U.S.
[47]
It
is of no import that John Doe has not actually approached the Canadian border. There
is no doubt (nor was it seriously challenged) that if he did so, he would be
sent back to the U.S. Consistent with the finding in Vriend v. Alberta,
[1998] 1 S.C.R. 493, it would be wasteful, delaying and unfair to wait for acts
of discrimination and require a separate challenge to each provision.
[48]
In
this case, it would be pointless to force a claimant in the U.S. to approach
Canada, and then be sent back to U.S. custody in order to prove that this would
in fact happen. Given other findings by this Court as to the operation of the
U.S. system, that individual could be exposed to the very harm at issue before
the Court.
[49]
It
should be noted that the Federal Court of Appeal decision in the Canadian
Council of Churches case, which was subsequently upheld by the Supreme
Court, held that with respect to the safe third country provisions of the
legislation, CCC would have been an appropriate public interest litigant had a
country actually been designated at the time. Justice MacGuigan addressed
several arguments raised by the Applicants that provisions of the amended
legislation which exclude certain claimants from having their claims
considered, including the safe third country provision, contravened section 7
of the Charter. Justice MacGuigan held that:
Precisely
by reason of the fact that such claimants would have no access to the statutory
refugee process and might easily be removed from Canada without having any real
opportunity to challenge the legislation, it seems to me that there would be
“no other reasonable and effective manner” in which these issues might be
brought forward for judicial review than by allowing the respondent status to
challenge the relevant legislative provisions in this declaratory action.
However,
the allegations in paragraphs 6(b) and 6(c) are entirely speculative, as they
depend upon the promulgation of regulations under paragraph 114(1)(a) of the
Act which would limit refugee claims to those from certain countries.
The Supreme Court did not address
this point directly.
[50]
Justice
Evans (when he was on the Federal Court Trial Division) also analyzed the application
of the third prong of the test in Sierra Club of Canada v. Canada (Minister
of Finance), [1998] F.C.J. No. 1761. At paragraph 71, Justice Evans
distinguishes between the application of this principle to regulatory and
declaratory legislation. Generally, it is easier to secure public interest
standing when the administrative action in question is declaratory because it
does not impose any duties or liabilities upon defined individuals or groups. Challenges
to regulatory legislation or administrative action will normally only be
afforded to those who are subject to the legal duties or liabilities imposed by
it. Such persons are more directly affected. This increases the burden on the
public interest organizations in this judicial review to be granted standing. The
onus is on an applicant to satisfy the Court that they have public interest
standing, which requires that applicant to prove that there is no another
person more directly affected who can reasonably be expected to litigate.
[51]
Even
without a John Doe applicant, the status of the three organizations bears
recognition as legitimate applicants. They (and other organizations like them)
have been recognized as having an interest in this type of litigation; more
importantly, they bring resources and arguments which assist the Court in
identifying and considering the relevant issues. They also act or substitute
for the unidentified applicants who are unable, for both physical and
psychological reasons, to undertake the daunting task of challenging the government.
In those circumstances, I have concluded that it is unlikely that any
individual refugee could adequately bring this matter before the Court.
Therefore, I have exercised my discretion to maintain the Canadian Council for
Refugees, Canadian Council of Churches and Amnesty International as Applicants.
[52]
I
note that although John Doe came forward as a litigant, he was represented by
these organizations and did not seek separate representation. It is noteworthy
that John Doe was hiding in the United States, unable to secure a
reconsideration of his claim there, and feared exposure by arriving at the
Canadian border only to be returned to the United States for deportation to
Colombia.
[53]
A
motion for an injunction was brought during the middle of the hearing of
argument to prevent Canadian authorities from invoking the STCA if John Doe
should somehow arrive at the Canadian border. An interim order was issued. The
Court was advised that, despite lack of success previously on the part of John
Doe to secure reconsideration of his claim, following this Court’s order, U.S.
authorities agreed to reconsider his claim. The Court cannot help but draw an
inference that, but for this litigation, John Doe’s fate would have been
different and that he would have been treated in the manner which the
Applicants say is the general rule.
[54]
This
judicial review has been argued from two perspectives. The first is an attack
on the legitimacy of the Regulations -- an argument as to “vires”. The
second is an attack on the GIC decision which led to the Regulation -- an
argument involving the standard of review and its application.
IV. PRINCIPLES
OF REVIEW/STANDARD OF REVIEW
[55]
The
central issue in this case is whether the Regulation designating the U.S. as a
safe third country is ultra vires the power given by Parliament to make
such regulation. The language of s. 102(1) contains multiple uses of the
word “may”. Read disjointedly, s. 102 says that the regulations “may include
provisions … designating countries that comply with Article 33 of the Refugee
Convention and Article 3 of the Convention Against Torture.”
[56]
However,
read as a whole, s. 102 gives to the GIC the discretion to enter into a STCA only
upon specific conditions, a fundamental condition is compliance with the
specific articles of the Refugee Convention and Convention Against Torture. I
do not interpret the provision as giving the GIC the power to enter into a STCA
where the country does not comply with those preconditions. It simply gives the
GIC the discretion to set up a regulation to designate a country as “safe” if the
country meets the conditions of compliance.
[57]
To
interpret s. 102(1) as giving the GIC discretion to enter into such agreements
with countries that did not comply with the Refugee Convention and Convention Against
Torture would make a mockery of Canada’s international commitments, of the very
purpose of our domestic laws and even of the internal logic of s. 102(1). There
would be no need to consider whether the country is a party to the Refugee
Convention and Convention Against Torture (s. 102(2)(a)), nor that country’s
policies and practices with respect to claims under the Refugee Convention or
its obligations under the Convention Against Torture – both factors are
compulsory factors to be considered. Nor would there be any merit in requiring
an ongoing review of these factors (s. 102(3)) which is a requirement phrased
in directory terms “must ensure the continuing review”.
[58]
Except
in the limited review permitted of GIC decisions, as discussed in paragraph 61,
the Court is not generally to review the discretionary decision to make the
regulations. However, in this case the Court is required to review whether the
Regulations are intra vires the Act; most specifically, whether the
conditions to the designation of a third country under the Regulations have
been met.
[59]
I
cannot agree with the Respondent’s position that so long as the GIC has acted
in good faith and for no improper purpose, the Court has no role to play in
assessing whether the Regulation is valid.
[60]
In
my view, the issue is whether the conditions for passing the Regulation have
been met on an objective basis. The conditions are framed in terms of legal
criteria and address the matter in absolute terms of compliance with
international law; not in terms of the GIC’s opinion or reasonable
belief in such compliance. As outlined further, the designated country either
does or does not comply with international law, and if it does not, Parliament
has not given the GIC the power to enter into a STCA or to enact a regulation
doing so.
A. Vires
[61]
The
power to enact regulations is principally a legislative action and is generally
not subject to the administrative review regime. Regulations are generally
reviewed to determine whether they are intra vires their delegating
legislation. The jurisprudence establishes that this includes ensuring that any
conditions precedent to the regulation-making action have been met. The
effectiveness and wisdom of the action is irrelevant, as is the government’s
motive, unless it can be shown the action was taken pursuant to irrelevant
considerations or for an improper purpose. However, Court review is complicated
because with respect to the Charter challenge, the review by the Court
is quite different in that it requires a review on the basis of correctness. (Multani
v. Commission scolaire Marguerite-Bourgeoys, [2006] 1 S.C.R. 256)
[62]
The
leading authority in this regard is Attorney General of Canada v. Inuit
Tapirisat et al., [1980] 2 S.C.R. 735, which concerned whether procedural
fairness attached to actions taken by the GIC. In that decision, Justice
Estey noted, at paragraph 23, that:
It
is not helpful in my view to attempt to classify the action or function by the
Governor in Council (or indeed the Lieutenant-Governor in Council acting in
similar circumstances) into one of the traditional categories established in
the development of administrative law. The Privy Council in the Wilson
case, supra, described the function of the Lieutenant-Governor as
"judicial" as did the Judge of first instance in the Border Cities
Press proceedings, supra. However, in my view the essence of the principle of
law here operating is simply that in the exercise of a statutory power the
Governor in Council, like any other person or group of persons, must keep
within the law as laid down by Parliament or the Legislature. Failure to do so
will call into action the supervising function of the Superior Court whose
responsibility is to enforce the law, that is to ensure that such actions as
may be authorized by statute shall be carried out in accordance with its terms,
or that a public authority shall not fail to respond to a duty assigned to it
by statute.
[63]
In
Inuit Tapirisat, the GIC was not enacting a regulation but was acting
pursuant to statutorily-mandated powers. Justice Estey further noted that “such
a statutory power can be validly exercised only by complying with statutory
provisions which are, by law, conditions precedent to the exercise of such
power.” Thus, although the actions of the GIC are subject to limited review,
the jurisdictional review by the Courts includes the ability to determine
whether the GIC complied with any conditions precedent to the action.
[64]
In
setting out the manner of review for the GIC’s decision in this case, the Court
continued at paragraphs 29 and 30,
[…] I
realize, however, that the dividing line between legislative and administrative
functions is not always easy to draw: see Essex County Council v. Minister
of Housing [(1967), 66 L.R.G. 23].
The
answer is not to be found in continuing the search for words that will clearly
and invariably differentiate between judicial and administrative on the one
hand, or administrative and legislative on the other…Where, however, the
executive branch has been assigned a function performable in the past by the
Legislature itself and where the res or subject matter is not an individual
concern or a right unique to the petitioner or appellant, different
considerations may be thought to arise. The fact that the function has been
assigned as here to a tier of agencies (the CRTC in the first instance and the
Governor in Council in the second) does not, in my view, alter the political
science pathology of the case. In such a circumstance the Court must fall back
upon the basic jurisdictional supervisory role and in so doing construe the
statute to determine whether the Governor in Council has performed its
functions within the boundary of the parliamentary grant and in accordance with
the terms of the parliamentary mandate.
[65]
In
the subsequent decision of Thorne’s Hardware v. The Queen, [1983] 1
S.C.R. 106, the appellants alleged that an Order in Council extending the
limits of Saint John Harbour was passed for improper motives in order to
increase harbour revenues. The appellants argued further that s. 7 of the National
Harbours Board Act, which authorizes expansion of harbour limits, requires
it to be for the "administration, management and control" of the
harbour, and that expansion for increased revenues did not fall within this. Justice
Dickson referred to the Inuit Tapirisat case, concluding that the court
had jurisdiction to review legislative action of the Governor-in-Council “in
the event that statutorily prescribed conditions have not been met and where
there is therefore fatal jurisdictional defect”.
[66]
Justice
Dickson noted that governments do not publish the reasons for their decisions
and that it is therefore very difficult to establish that legislation was
passed in bad faith or for improper purposes. He referred to some evidence
presented by the appellants as to the improper purpose of the expansion and
concluded that
[…]
the issue of harbour expansion was one of economic policy and politics; and not
one of jurisdiction or jurisprudence. The Governor in Council quite obviously
believed that he had reasonable grounds for […] extending the boundaries of
Saint John Harbour and we cannot enquire into the validity of those beliefs in
order to determine the validity of the Order in Council.
The Court very easily concluded that the
purpose for the expansion fell within the objectives set out in the Act.
[67]
In
Spinney v. Canada (Minister of Fisheries and Oceans), [2000]
F.C.J. No. 266 (F.C.), Justice Blais considered an order made by the GIC which
increased the legal minimum carapace size of lobsters in a fishing area,
concluding at paragraph 60,
Given
that the variation order is a legislative act, authorized by the Regulations and adopted pursuant to
the Act, this Court's jurisdiction is
limited. It can intervene on the basis of unconstitutionality (i.e. contrary to
sections 91 or 92 of the British North America Act), a breach of
procedure, or the legislative act being ultra vires of the enabling
statute.
[68]
These
principles were considered in the context of regulations enacted by the GIC in De
Guzman v. Canada (Minister of Citizenship and Immigration) (2005), 262
D.L.R. (4th) 13 (F.C.A.). In that decision, at paragraph 25, Justice
Evans for the Federal Court of Appeal held:
Compared
to other kinds of administrative action, regulations have rarely been found to
be invalid by courts, partly, no doubt, because of the broad grants of
delegated power under which they are often made.
[69]
He
continues by noting at paragraph 26 that
[i]f
there is a conflict between the express language of an enabling clause and a
regulation purportedly made under it, the regulation may be found to be
invalid. Otherwise, courts approach with great caution the review of
regulations promulgated by the Governor (or Lieutenant-Governor) in Council.
[70]
Justice
Evans makes reference to Canadian Assn. of Regulated Importers v. Canada
(Attorney General), [1994] 2 F.C. 247 at 260 (F.C.A.), where Justice Linden
discussed another ground for review of a legislative decision and concluded
that it is not the role of the Court to judge whether decisions of this nature
are wise or unwise. The decision is only impeachable in those circumstances when
it is based entirely or predominantly on irrelevant factors.
[71]
The
scope of review of the Court is further constrained by a presumption that
regulations are intra vires. Moreover, not only are regulations deemed
to remain intra vires, there is also a presumption that they are
formally coherent with the enabling statute; the onus is on plaintiffs to rebut
the presumption: James Doyle (Sr.) & Sons Ltd. v. Canada (Minister of
Fisheries and Oceans) (1992), 92 D.L.R. (4th) 520 at 529
(F.C.T.D.); Saskatchewan Wheat Pool v. Canada (Attorney General), [1993]
S.J. No. 381 at paragraph 54 (Q.B.); Gulf Canada Resources Ltd. v. Alberta (2001),
285 A.R. 307 at paragraph 26 (Q.B.).
[72]
If
the GIC must comply with all conditions precedent in the legislation, the
question arises as to what extent the Court can assess whether the substantive
requirements of the condition precedent has been met. This issue is discussed
in Jafari v. Canada (Minister of Employment and Immigration), [1995] 2
F.C. 595 (C.A.). Justice Strayer states at paragraph 14 that the Court can
review the substance of the regulation to conclude whether it is made for a
completely irrelevant purpose. The regulation in question in that case required
the GIC to consider whether the admission of certain people would be in
accordance with Canada’s “humanitarian tradition”. Justice Strayer described
his approach to this issue at paragraph 14:
It
goes without saying that it is not for a court to determine the wisdom of
delegated legislation or to assess its validity on the basis of the court's
policy preferences. The essential question for the court always is:
does the statutory grant of authority permit this particular delegated
legislation? In looking at the statutory source of authority one must seek all
possible indicia as to the purpose and scope of permitted delegated
legislation. Any limitations, express or implied, on the exercise of that power
must be taken into account. One must then look to the regulation itself to see
whether it conforms and where it is argued that the regulation was not made for
the purposes authorized by the statute one must try to identify one or more of
those purposes for which the regulation was adopted. It is accepted that a
broad discretionary power including a regulation-making power may not be used
for a completely irrelevant purpose but it is up to the party attacking the
regulation to demonstrate what that illicit purpose might be.
[73]
With
respect to this point, Justice Strayer noted at paragraph 20 that
[a]ssuming
then that paragraph 3(2)(f) of the Regulations is prima facie authorized
by the statute, one must consider whether it is contrary to some condition
imposed on the exercise of the regulation-making power. All that subsection
6(2) requires is that regulations establishing classes of persons should be
consistent with Canada's "humanitarian tradition with respect to the
displaced and the persecuted. “ I can see nothing in these Regulations which
is inconsistent with that "tradition. […]” (emphasis added)
[74]
The
jurisprudence confirms that the Court can review whether a regulation complies
in substance with the condition precedent to the power to enact it. However, in
reviewing the regulations in Jafari, Justice Strayer granted the GIC
some deference in relation to whether the regulation was in accordance with
Canada’s humanitarian tradition. He states that although the reasons for
enacting the regulations were not all well conceived, “I do not think we can
say they were completely unrelated to the purposes of the statute.” Justice
Strayer appears to have been influenced by the fact that the result of the
legislation was that the claimant was entitled to the regular, fair, refugee
hearing, rather than a special, expedited hearing.
[75]
In
reviewing whether a regulation is intra vires its delegating statute, courts
have generally applied a standard of correctness. According to the Supreme
Court of Canada in United Taxi Drivers’ Fellowship of Southern Alberta v.
Calgary (City), [2004] 1 S.C.R. 485 at paragraph 5, the review of whether a
by-law is ultra vires is always reviewable on a standard of correctness.
Although that case dealt with delegated legislation enacted by a municipality
rather than the GIC or Lieutenant GIC, the Federal Court applied the same
principle to enacted regulations in Sunshine Village Corp v. Canada (Parks),
[2004] 3 F.C. 600 at paragraph 10.
[76]
That
said, other cases have decided differently. For instance in David Suzuki
Foundation v. British Columbia (Attorney General) (2004), 17 Admin L.R. (4th)
85 (B.C.S.C.), Justice Hood of the BC Supreme Court applied a pragmatic and
functional analysis (possibly in the alternative to his vires analysis)
to the decision of a Lieutenant GIC, concluding that much deference is required
and the decision is subject to a standard of patent unreasonableness. In that
case, the issue was whether the Lieutenant GIC was “satisfied” that certain
conditions were met, not whether they were in fact met. This is an example of
the more traditional powers of the executive by use of phrasing such as
“satisfied” or “in its opinion”.
[77]
In
Attorney General v. Jose Pereira E. Hijos S.A. et al., 2007 FCA 20 at
paragraph 78, Justice Nadon succinctly put the issue:
The
nature of the inquiry which a court must conduct with regard to the validity of
regulations is therefore not a determination of the Government's motivation,
but rather a determination of whether the regulations are authorized by the
enabling legislation.
[78]
With
respect to what is authorized in terms of regulation-making, there are several
conditions precedent that accompany the authority of the GIC to designate the U.S.
a safe third country. First, section 102(2) sets out several factors which must
be considered before designating a country. There are no strict standards
established for the consideration of the four factors but their consideration
is phrased in mandatory language. The wording of the RIAS establishes that the
GIC considered the application of the four factors. Furthermore, the Applicants
set out in detail the content of a memorandum to the GIC created on September
24, 2002, and signed by the relevant Minister at the time. This memorandum
appears to be the basis upon which the GIC entered into the STCA. In reviewing
the points the Applicants extract from that memorandum, it is clear that the
GIC, in reading and reviewing the Minister’s memorandum would have turned their
mind to the four factors in the legislation, including the U.S. human rights
record in general.
[79]
The
main condition at issue in this case is section 102(1)(a), which states that
the GIC is authorized to enact regulations that include provisions “designating
countries that comply with Article 33 of the Refugee Convention and
Article 3 of the Convention Against Torture.” The provision requires that
compliance with the non-refoulement provisions of the Refugee Convention
and the CAT is a necessary pre-condition to designation. It was my conclusion
earlier that if a country did not comply with the relevant articles of the two
Conventions, the GIC had no power to designate the country as “safe”. It is my
further conclusion that in reaching this determination, the GIC must base its
decision on the practices and policies of that government in respect of claims
under the Refugee Convention and the obligations under the Convention Against
Torture.
[80]
The
issue of whether the U.S. complies is, to some extent, a matter of opinion --
in this case expert legal opinion, not of the GIC or of the responsible
Minister, but of that presented to the GIC from government and other sources.
It is these opinions which are the focus of the Applicants’ attack and form the
basis of the GIC’s determination.
[81]
Nor
is the issue whether U.S. policies and practices are necessarily in accordance
with Canadian law or whether Canada complies with these international
agreements. Indeed there may be an issue of whether a Canadian law which
requires a person to make their refugee claim in a country, other than the one
of their choosing, is compliant with the Refugee Convention. However, in the
absence of other evidence, it is presumed that Canadian law is at least
compliant with the relevant Conventions.
[82]
Therefore,
the Court will only find that the GIC lacked jurisdiction to designate the U.S.
as a safe third country if the GIC erred in concluding that the preconditions
existed, and that any reasonable inspection of the evidence of U.S. law and
practice would lead to the conclusion that the U.S. is not in compliance with
Article 33 of the Refugee Convention and Article 3 of the Convention Against
Torture.
[83]
As
discussed further in respect of the Standard of Review and what degree of
deference is owed to the GIC in analyzing the factors to be considered in
designating a country, the basis for decision is objective – compliance or not.
The factors at issue are “legal facts” requiring a consideration of legal
norms. There is nothing to suggest that Parliament intended to circumscribe the
Court’s role or power to consider whether the conditions have been met.
[84]
It
is reasonable to postulate that this objective analysis by a court avoids the
diplomatic and other government-to-government consequences of a finding of
non-compliance, but it does not lessen the responsibility imposed on the Court.
[85]
While
the determination of whether to designate another state, or to revoke the
designation upon subsequent reviews, particularly one with whom Canada has a
close relationship, may be politically charged, the role of the Court is to
assess the regulation and compliance from a legal perspective.
[86]
For
the above reasons, it is my conclusion that in examining the Regulation, the
Court is required to engage in more than merely analysing whether the
Regulation is made in good faith and not for an improper purpose. What is
required is a consideration of the existence of the conditions upon which the
GIC may exercise its discretion to designate a country as “safe”.
[87]
Given
that the GIC is required to consider certain “factors” in determining whether
to designate a country, the GIC is entitled to some deference in regard to
those factors requiring the exercise of judgment, specifically the practices and
policies of the third country and its human rights record. The issue is what
level of deference is owed to the GIC.
B. The
Standard of Review
[88]
Unlike
many cases of review of the ultra vires of a regulation, the parties had
access to some of the material before the GIC in its consideration of the
relevant factors. Therefore, there is a record upon which the Court can apply a
standard of review to the GIC’s determination. Both parties made extensive
submissions as to the standard of review applicable in this case.
[89]
At
issue in this judicial review is the GIC’s determination that the U.S. meets
the conditions of compliance with Article 33 of the Refugee Convention and
Article 3 of the Convention Against Torture. The challenge to the Regulation is
not based upon a challenge to the GIC’s exercise of discretion to pass the
regulation per se, a matter over which the Court has much less
responsibility for review.
[90]
As
the issue in this case is a finding of the existence of a legal state of
affairs, and of a condition precedent, the Court is required to consider that
finding in accordance with the appropriate standard of review. There is no
serious challenge, nor could there be, to the issue of whether the GIC
considered the four factors in s. 102(2). The question is whether the
consideration of the U.S. practices and policies in respect of claims under the
Refugee Convention and the obligations under the Convention Against Torture can
lead to the conclusion of compliance.
[91]
This
consideration of the standard of review is also relevant to the issue of the
continuing review of the s. 102(2) factors mandated by the legislation,
particularly in view of the evidence which has come to light since the Regulation
was promulgated and the STCA was entered into.
[92]
The
analysis in Suresh v. Canada (Minister of Citizenship and Immigration), [2002]
1 S.C.R. 3, most closely approximates the contextual circumstances of
this case. It provides the analytical framework to determine the standard of
review in respect to the GIC’s conclusion that U.S. practices and policies
comply with Article 33 of the Refugee Convention and Article 3 of the Convention
Against Torture.
[93]
As
directed by the Supreme Court, it is necessary to engage in the pragmatic and
functional analysis in order to conclude as to the correct standard of review.
I have earlier indicated that, despite authority suggesting that examinations
of conditions precedent to regulations should be based on a purely objective
standard, “correctness” is not an appropriate standard because of the nature of
the decision. The conditions to be met are not those of an easily fixed nature
such as the passage of specific time or the occurrences of a specific event. The
issue is whether the standard is reasonableness simpliciter or patent
unreasonablenss. The analysis requires the Court to examine the following
elements.
(1) The Presence or Absence of a Privative
Clause or Statutory Right of Appeal
[94]
The
purpose of this aspect of the standard of review analysis is to glean whether
Parliament intended to limit judicial consideration or to fully engage it in
the review of government actions. The legislation, while giving the GIC broad
discretion to establish a STCA, uses mandatory language both as to the factors
to be considered and as to the continuing review of those factors. The
legislation requires the GIC to consider what can be more conveniently
described as “legal facts”, a matter engaging legal analysis.
[95]
The
absence of a privative clause or of a statutory right of appeal generally
suggests that this aspect is neutral in terms of deference. While in some
cases, such as Suresh at paragraph 31, the requirement to obtain leave,
as required in this case, indicates some deference, that consideration is
significantly offset by the mandatory language used as to how the GIC is to
consider whether to establish a STCA. The absence of the usual broad discretion
given to the GIC in determining the basis upon which to enact the Regulation
should also be noted. Therefore, I conclude that, at the very most, the factor
is neutral although, as discussed earlier, there may be good reason to expect
judicial scrutiny.
(2) Expertise of the Decision-Maker as
compared to that of the Court
[96]
There
are two aspects to this element. There is the pure factual aspect as to what is
the practice or policy and there is the more critical aspect of the
significance or result of the practice or policy which is akin to an assessment
of mixed law and fact. The assessment of pure facts according to the legal
norms and therefore the significance or result is a matter well within a
court’s area of expertise.
[97]
The
GIC has no particular expertise in respect of the practices and policies of the
U.S. nor with respect to the interpretation and application of international
conventions. The essential function engaged in dealing with the issues are
within the domain and expertise of a court. The function is more closely
equivalent to what courts are designed to do rather than the broad policy
considerations which are the preserve of the GIC. Therefore, considerably less
deference is called for.
(3) Purpose
of the Legislation and the Provision in particular
[98]
The
purpose of IRPA is broad policy based with a heavy emphasis on individual
rights. It is, however, generally poly-centric seeking to accomplish a number
of broad policy goals.
[99]
The
provisions in issue have, as the RIAS suggests, the goal of sharing of responsibility
for international refugee flow. Its effect is to restrict the entry of certain
types of refugees and to pass off the cost of dealing with those persons to the
country of last presence.
[100] Nevertheless,
the means by which this policy goal is achieved is a direct, legalistic
interpretation and application of legal norms which can, in the event of
failure by the other country to respect those norms, directly impact human
rights and individual safety.
[101] The
provision at issue and particularly the designation as a safe country is highly
legalistic in concept, set against legal rather than policy norms. Therefore,
the purpose of the provisions at issue suggests very limited deference.
(4) Nature of the Question
[102] The
exercise of the GIC’s power to make the regulation in question requires a
consideration of the facts of the U.S. practices and policies and the
application of those facts to the legal requirements for claims under the
Refugee Convention and the obligations under the Convention Against Torture.
The two components are integrally linked.
[103] International
law is traditionally proven as a matter of fact, as is other foreign law.
However, this international law, which is a cornerstone of Canadian domestic
law, is not as foreign to Canadian courts as would be the laws of many other
nations. To that extent, Canadian courts have greater familiarity with this
type of opinion evidence and its subject matter. However, since the inquiry is
one of fact, although it is of “legal facts”, some deference is owed.
(5) Conclusion on Standard of
Review
[104] In
the end, considering these factors and having particular regard for the nature
of the inquiry being based on legal norms and involving issues of mixed fact
and law, I conclude that the appropriate standard of review is reasonableness simpliciter.
[105] This
standard of review is applicable both in regard to the initial conclusions
leading to enactment of the regulation authorizing the STCA and to the
continuing review mandated by s. 102(3), if it
had been conducted.
V. THE EVIDENCE: DOES U.S.
REFUGEE LAW AND PRACTICE VIOLATE THE REFUGEE CONVENTION OR CAT?
A. The
Experts
[106] The Applicants
and the Respondent have provided the Court with numerous expert affidavits
concerning the U.S. refugee system. Below, I will list the key expert affiants
and summarize their qualifications. I have found each of them to be highly
qualified in their fields of expertise, but for reasons stated later, I have
generally accepted the evidence of the Applicants as being more compelling.
(1) For
the Applicants
(a) Eleanor
Acer is the Director of Human Rights First’s Asylum Legal Representation
Program in New York City. She oversees that organization’s pro bono program. She
describes the risk of detention faced by refugees in the U.S.
(b) Susan
M. Akram is an Associate Professor at Boston University, and a supervising
attorney of the immigration work in the civil litigation program. She is
involved in representing several Guantanamo Bay detainees. Her evidence is
directed towards the targeting of Arabs and Muslims.
(c) Deborah
E. Anker is a clinical professor of law and directs the Harvard Immigration and
Refugee Clinical Program. She both supervises students and represents asylum
seekers. She has many publications on the subject of U.S. immigration and
refugee law. She discusses corroboration, the U.S. interpretation of nexus and
persecution, and exclusions from asylum.
(d) James
Hathaway is a renowned academic specializing in international and comparative
refugee law. He has written many articles and three books on the subject. His
evidence is directed to international and comparative law on refugee
responsibility sharing agreements. He describes European safe third country
agreements.
(e) Karen
Musalo is a resident Scholar at the University of California, where she directs
the Centre for Gender and Refugee Studies and teaches refugee and international
human rights. Her expertise is the treatment of gender based asylum claims in
the U.S.
(f) Victoria
Neilson describes the difficulties faced by asylum-seekers in the U.S. whose
claims are based on sexual orientation, transgender identity, or HIV positive
status. She is the Legal Director of Immigration Equality, which focuses
exclusively on lesbian, gay, bisexual, transgender and HIV immigration issues.
(g) Hadat
Nazami is a lawyer with Jackman & Associates. This affidavit introduces
many academic articles concerning U.S. Refugee Law. The Respondent has argued quite
properly that these exhibits are inadmissible. I have not relied on this
affidavit or its attachments in my judgment, and thus do not need to address
its admissibility.
(h) Jaya
Ramji-Nogales, Andrew Schoenholtz and Philip G. Schrag all work on refugee law
at Georgetown University. I will refer to their evidence as the “Georgetown
affidavit”. They provide an overview of the asylum process in the United States
and describe the consequences of the one-year bar and the different standards
for withholding and asylum.
(i) Morton
Sklar describes how the U.S. applies CAT. He is the founding Executive Director
of the World Organization for Human Rights USA, an organization which focuses
on protecting refugees from deportation to torture.
(j) Steve
Macpherson Watt, a senior attorney with the Human Rights Working Group of the
American Civil Liberties Union, provides evidence on torture committed by the U.S.
and the practice of rendition.
(2) For
the Respondent
(a) Kay
Hailbronner is a professor at the University of Konstanz, Germany. He has a
great deal of expertise with international refugee law, and at one time served
as a judge at an appeal level dealing with immigration and asylum law. He has
written several books and many articles on refugee law. Professor Hailbronner
served as counsel in cases involving European safe third country agreements. Professor
Hailbronner’s affidavit is the counterpoint to Professor Hathaway’s evidence.
(b) David
Martin has worked in the U.S. government dealing with refugee issues for many
years. He has served as general counsel for the Immigration and Naturalization
Service and worked primarily on removal cases in immigration court and provided
advice to the INS and other top officials on the interpretation of U.S.
immigration laws. He currently serves as a professor at the University of
Virginia and works as an expert consultant to the government on refugee issues.
(c) Bruce
A. Scoffield was employed by the Government of Canada since 1989 and has dealt
extensively with refugee protection issues. He currently serves as Director,
Policy Development and International Protection. Mr. Scoffield was the lead CIC
official in the negotiation of the STCA and was involved in the designation of
the U.S. as a safe third country. He is engaged in the oversight and monitoring
of the Agreement.
[107] As I
indicated, each of the experts is well qualified and I believe gave evidence
honestly as to their perspectives. However, the Applicants’ experts were
generally more focused, both in their expertise and their opinion, as compared
particularly to the more general evidence of Bruce Scoffield. Many of the areas
relied upon by the Applicants to show non-compliance were alluded to by
Scoffield but just not expanded upon, either in this Court or before the GIC.
The Applicants’ experts have expanded upon some of those areas to show their importance
in practice and in terms of compliance with the relevant Conventions.
[108] I
find the Applicants’ experts to be more credible, both in terms of their
expertise and the sufficiency, directness and logic of their reports and their
cross-examination thereon. I also recognized and have given the appropriate
weight to the fact that some of the Applicants’ experts could be said to speak
for or have “constituencies” which means that their evidence may lean in a
direction more favourably to the constituency. The same can be said for the
Respondent’s experts who testify in support of either a process in which they
have been engaged from the beginning or in support of a system they have worked
in. Taking account of these subjective factors, I find the Applicants’ experts
to be more objective and dispassionate in their analysis and report.
[109] Therefore,
I have been persuaded that, where in conflict, the Applicants’ evidence is to
be preferred.
B. U.K.
and E.U. Practice regarding Safe Third Country Agreements
[110] Expert evidence
was introduced on these practices for comparative purposes and to establish
international norms. Parties relied on a number of cases emanating from these
circumstances to buttress their opinion evidence.
[111] The 1985 Schengen
Agreement brought the issue of third country agreements to a European community
level, with the intention to allow European states to address concerns of “asylum
shopping” and multiple claims. The 1990 Dublin Convention provided a
comprehensive mechanism for determining the responsible state for examining
asylum applications. All E.U. member states were designated as “safe”. With the
movement towards a more community-based as opposed to state-based approach to
asylum, the Dublin Convention was superseded in February 2003 by Dublin
II, an E.U. Council Regulation. All E.U. states are still designated as
safe for all other E.U. states.
[112] While both
parties through their submissions and in their expert affidavits submitted
evidence as to the status of safe third country agreements at international
law, there is no need to look at third country agreements in general because
the Applicants are not disputing the legal basis for the Canadian enactment of
third party agreements generally. Furthermore, the parties converge on most of
the issues relating to the international status of such agreements.
Specifically, both parties agree that in order to return someone to a third
country, that country must be in compliance with the non-refoulement provisions
in the Refugee Convention and CAT. Neither party disputes that indirect refoulement
constitutes a breach of the country of last presence’s obligations, as this
was formally recognized in the Suresh decision.
[113] There are a few
points in dispute that may raise refoulement issues. Firstly, Professor
Hathaway questions the legality of the generalized assessment attaching to any
safe third country agreement. He does not agree that an agreement can apply
uniformly to all refugees. Secondly, Professor Hailbronner maintains that
differences in interpretation of international refugee law standards are acceptable,
as long as minimum standards are met. Additionally, both the U.K. and the
European Court of Human Rights (ECtHR) cases were considered in order to
establish basic principles as to how other jurisdictions have approached the
question that is currently before the Court.
[114] Three experts
have provided a detailed examination of three cases that arose in the U.K. The
first, T.I. v. U.K, (App. No 43844/98) was decided by the
European Court of Human Rights (ECtHR) in 2000. The other two, Regina v.
Secretary of State, ex parte Adan, [2001] 2 A.C. 477 and Regina
(Yogathas) v. Secretary of State, [2003] 1 A.C. 920 were decisions of the
House of Lords. Another decision that was mentioned only in passing but considered
helpful was the U.K. case Regina v. Secretary of State, ex parte Salas
(unreported 19 July 2000, and referred to in the Greenwood affidavits) in
which the U.K. High Court specifically addressed whether the U.S. was a safe
third country.
[115] Professor Greenwood
reviews the development of the legislation in the U.K. Domestic legislation
contains provisions whereby the Secretary of State can certify that a person be
returned to a third country to have their asylum application considered if that
country is “safe”. Pursuant to the Dublin Convention and Dublin II, all
countries in the European Union are “safe countries”. The three cases in
question all involved the question of whether the U.K. could return an asylum
seeker to a state that did not consider non-state agents to be
persecutors under the Refugee Convention. In the U.K., a non-state agent can be
a persecutor for Refugee Convention purposes.
[116] The initial
difficulty with the three cases is that the ECtHR first decided in T.I. that
returning an asylum seeker to a country that operated under a different
(narrower) interpretation of the Refugee Convention was permissible. The House
of Lords decided the opposite in Adan. However, in Yogathas, the
House of Lords followed the decision in T.I. All cases involved very
similar factual circumstances.
[117] Upon reading the
cases and the analysis of the three experts, it is clear that the cases are
really not inconsistent and reinforce basically the same principles. A summary
of the principles that emerge reveals that the focus is on the likelihood that
return to a third country will result in refoulement to face persecution
rather than on requiring consistency in interpretation of the Refugee
Convention. The courts looked to the reality rather than the theoretical basis
upon which the originating countries operated.
[118] In T.I., the
ECtHR held that the U.K. could not rely automatically on arrangements made in
the Dublin Convention. The Court was reviewing U.K. compliance with
Article 3 of the European Convention for Human Rights (ECHR), which contains a
non-refoulement provision akin to that in CAT. The Court held that to
rely on a safe third country agreement automatically would be to absolve
responsibility under the Convention. The Court also held that the important
issue is not whether the interpretations of the Refugee Convention are the
same, but whether there is sufficient protection in the third country’s law to
protect against the risk of refoulement. This does not mandate that the
refugee be entitled to refugee status in the same manner in both countries. In
that case, Germany had sufficient safeguards against refoulement existing
independent of any claim to asylum that would be able to protect a person
persecuted by non-State agents.
[119] The other
principle arising from T.I. is that if there is a higher burden of proof
placed on asylum seekers in the third country than in the returning country, as
long as this burden does not prevent meritorious claims in practice, it is not
a bar to returning a refugee to the third country. This concept is relevant in
interpreting the “withholding/asylum” dichotomy discussed at length below.
[120] The principles
the House of Lords relied on in Adan were not that different from that
in T.I. The distinction between the decisions in the two cases arises
principally on an evidentiary basis. The Law Lords did not have before them the
decision in T.I., nor did they have evidence of the alternative
protections offered under German law.
[121] The House of
Lords in Adan did note that there is only one true interpretation of the
Refugee Convention and that the U.K.’s obligations must be interpreted in light
of its interpretation, on the assumption it is the correct one. The Law Lords
rejected all arguments that the treaty is subject to varied interpretations
(see the decisions of Lord Slynn of Hadley and Lord Steyn). It was on this
basis that the House of Lords concluded that a person could not be returned to
a country that did not recognize non-state agents as persecutors. In light of
these distinctions in interpreting the Convention, the House of Lords concluded
that there was not sufficient evidence to refute the risk of refoulement. As
a result of differences in interpretation, gaps in protection can arise and
make a receiving state unsafe.
[122] That said, even
the principle in Adan that there is only one interpretation of the
Refugee Convention cannot be taken too literally. Lord Slynn of Hadley noted at
paragraph 14 that
There
may be cases in which an interpretation adopted by the Secretary of State can
be carried out in different ways and in such a case it may well be that the
Secretary of State could accept that such other ways were in compliance with
the Convention. But the Secretary of State is neither bound nor entitled to
follow an interpretation which he does not accept as being the proper
interpretation of the Convention.
[123] It is clear,
however, that the case turned on the fact that the House of Lords considered an
interpretation of the Refugee Convention that excluded non-state agents as
persecutors to be incorrect. Lord Steyn held at paragraph 40 that the House of
Lords was not in a position to express opinion on alternative procedures for
the protection of asylum seekers in Germany and France. Since Germany and
France did not apply all the protections in the Refugee Convention, on the
evidence before the Court, refoulement was a definite possibility.
[124] In Yogathas,
Lord Bingham of Cornhill held that there were two guiding considerations. First,
a Court should not readily infer that a friendly sovereign state party to the Refugee
Conventions will not perform the obligations it has undertaken. However, the
Government is still obliged to inform itself of the facts and monitor the
decisions made by the third country. This is similar to the holding in T.I. He
concluded at paragraph 9 that
[…]
the humane objective of the Convention is to establish an orderly and
internationally-agreed regime for handling asylum applications and that
objective is liable to be defeated if anything other than significant
differences between the law and practice of different countries are allowed to
prevent the return of an applicant to the member state in which asylum was, or
could have been, first claimed.
[125] The second
principle Lord Bingham relied on was that the Convention is primarily directed
to preventing refoulement and it is inappropriate to compare other
issues between two states, such as the applicant’s living conditions in the
third country. As Lord Hope of Craighead noted at paragraph 43, the critical
question for the Court was whether the German authorities would apply its
alternative mechanism in such a way as to recognize the applicant’s fear of
persecution by non-state agents. The conclusion was that German law grants
discretion to suspend deportation in cases of substantial danger for life,
personal integrity or liberty of an alien. Lord Hope recognized that “the focus
[in the right to return to a third country] is on the end result rather than
the precise procedures by which the result was achieved”.
[126] Professor
Greenwood concludes that in the U.K. there is a high threshold for review of a
decision to certify a third country as safe provided that the Secretary of
State has had regard to all relevant considerations. Also, Professor Greenwood
appears to be correct that the law, as it now stands in the U.K., supports an
assertion that it is necessary to examine not only legal interpretation of the
applicable principles but also actual practice.
[127] In fact,
Professor Hathaway also seems to accept that returning a person to a state that
will not grant refugee status in the same way as the returning state will not
constitute a violation of the Article 33 of the Refugee Convention where the
destination state would not, in practice, subject the refugee to refoulement.
However, Professor Hathaway cautions that the inquiry into the partner state’s
laws and practices must not be formalistic, but must take primary account of
verifiable practical realities.
[128] Finally, as
Professor Hailbronner notes, Lord Scott of Foscote pointed out at paragraph 115
that the focus is on whether there is compliance with minimum standards, not
whether the procedures and laws are identical. This could also be interpreted
as being counter to the assertion that there is only one true interpretation
and appears to be a point of contention between the experts. Professor Hathaway
relies on the fact there is only one true interpretation and that as such, a
court will begin with the interpretation of the Convention provision arrived at
in its own jurisprudence in determining whether a party is safe, subject to
exception for detail or nuance. It does not appear, however, that the House of
Lords was denying there is only one true interpretation, but just that where U.K.
law adds additional elements, it is not necessary to expect the same of other
countries, as long as they meet all the necessary safeguards.
[129] A case of note
is Salas, supra, which involved the decision of the U.K.
government to return an Ecuadorian national to the U.S., on the basis that the
U.S. was a safe third country. The High Court held that, in reviewing whether
the U.S. was a safe country, consideration of its law alone is not enough. The
High Court concluded that it is also necessary to look at administrative
practice to see if the practice itself gives rise to a real risk of return in
breach of the Convention.
[130] The case was not
discussed in detail by either party although the High Court directly addressed
the dispute raised by both parties to this judicial review regarding the
distinction between the standards for asylum and withholding, detention
practice, and availability of legal counsel (albeit without providing an overly
detailed analysis).
[131] The High Court
held that the important consideration is whether there is a real risk that the U.S.
would send the asylum seeker to another country otherwise than in accordance
with the Convention. Although administrative practice may be so defective that
there is a real risk of return, even if the government adopts a position
counter to the “Convention’s true interpretation”, it does not follow that this
leads in practice to a real risk of return.
[132] All grounds of
challenge were denied and instead the U.K. court addressed in full the unique
aspect of American law that provides discretion to a decision-maker to grant
asylum status even where all the requisite elements of refugee status are not
met. The Court concluded that, in practice, there was little chance of the
discretion being exercised unfavourably.
[133] It should be
borne in mind that the facts before this Court seem to be significantly
different than those before the High Court in Salas and clearly relate
to a different time of practice and policies in the U.S.
[134] Finally, the
Respondent raises several Canadian cases in support of the approach in Yogathas
to third countries. In Canada (Minister of Employment and Immigration) v.
Satiacum (1989), 99 N.R. 171 (F.C.A.), the Federal Court of Appeal held
that in the absence of exceptional circumstances established by the claimant,
in a Convention refugee hearing, similar to the principles in an extradition
hearing, Canadian tribunals have to assume a fair and independent judicial
process in the foreign country, subject to contrary evidence. This principle
was affirmed in Canada (Attorney General) v. Ward, [1993] 2 S.C.R. 689
at 725, and in Kadenko v. Canada (Solicitor General) (1996), 143 D.L.R.
(4th) 532 (F.C.A.), leave to appeal refused.
[135] The cases
referred to above set some context and principles applicable to consideration
of safe third countries. The cases turn on the evidence before the particular courts
of actual practice and real risks of refoulement and refoulement
to torture.
[136] On the basis of
the expert evidence before this Court as to the international law principles at
issue, the principles established by these cases are as follows:
(a)
First,
a party cannot merely rely on the existence of the agreement but must be open
to reviewing compliance of the third country.
(b)
Second,
there is a presumption of compliance by the Third Country.
(c)
Third,
the focus of the Convention is on protection against refoulement and as
long as the third party protects in practice against refoulement, other
distinctions will not bar return.
(d)
Fourth,
the protection need not be refugee status so long as there is protection.
(e)
Fifth,
even if the other country applies different burdens of proof, as long as the
practical results are attainable in the same way, the distinction is
unimportant.
In summary, the key is actual protection
from refoulement under a minimum recognized standard. In my view, that
is the basic principle in s. 102(1)(a) of IRPA and is the reason for requiring
the consideration of the practices and policies of the third country.
[137] Further,
it is my view that interpretation of the relevant Conventions need not be
absolutely identical but where there is a difference, it is necessary to review
whether the difference in interpretation leads to a difference in treatment. It
should also be presumed that where there is a difference in interpretation,
there will be a difference in treatment. This is particularly germane in
respect of the U.S.’s view of its obligations under Article 3 of the Convention
Against Torture.
C. A
Brief Overview of the U.S. System
[138] The basis for
this judicial review application is that the American refugee determination
system contains deficiencies that render it unsafe according to the Refugee
Convention and CAT standards. For that reason, a basic understanding of the way
in which the American refugee system operates is necessary for placing the
submissions in their appropriate context. The Applicants in the Georgetown
affidavit and the Respondent in the affidavit of Mr. Martin provide an
extensive discussion of this system. A brief summation follows.
[139] The U.S. is a
party to the 1967 Protocol to the Refugee Convention, which places its
international obligations equivalent to other parties for all relevant
purposes. Protection decisions are currently made either by asylum officers
under the Department of Homeland Security (DHS) or experienced lawyers sitting
as immigration judges under the Department of Justice (DOJ). Which of the two
decision makers makes the decision depends on the stage of the proceedings. When
it is made before removal proceedings have been instituted against the
claimant, the process is an “affirmative claim” decided by the asylum officer. If
it is made after removal proceedings have begun, it is decided by an
immigration judge, and is referred to as a “defensive claim”. If the asylum
officer does not grant asylum in the affirmative claim, he or she refers the
case to an immigration court. The immigration judge considers the asylum
application de novo and also considers withholding claims or CAT claims.
A negative decision of the immigration judge can be appealed to the Board of
Immigration Appeals (BIA) which decides questions of law de novo and
defers to the immigration judge on facts. Judicial review to the Federal Court
of Appeals is also possible without leave. Further appeal to the U.S. Supreme
Court is available, although limited in a similar manner as in Canada.
[140] There are three
major forms of protection available in the United States. The first, asylum, is
the equivalent of recognition as a Convention refugee under section 96 of IRPA.
Asylum entitles the person to permanent residence in the U.S., with all the
associated rights attaching to that classification. The second, withholding of
removal based on Convention grounds and the third, withholding of
removal based on fear of torture under CAT (CAT protection), are basically the
American equivalent to the PRRA process in Canada, with several significant
distinctions that are discussed by the parties. Neither withholding process
entitles the individual to permanent residence, family reunification, travel
documents or insurance against release from detention. The claimant’s status
can be cancelled if home country conditions change.
[141] The most
significant distinction between the asylum and withholding process is that
asylum is granted if the applicant establishes a reasonable possibility of
persecution while withholding and CAT relief are granted only if an individual
establishes that persecution or risk of torture is more likely than not.
[142] U.S. legislation
bars asylum claims filed later than one year after arrival in the U.S., with
limited discretionary powers, subject to some exceptions. Those who are barred
are entitled to be considered for withholding of removal by an immigration
judge, but that is subject to the higher standard for withholding (i.e. whether
persecution/torture is more likely to occur than not).
D. Analysis
of American Refugee Law
[143] The following is
an analysis of the matters which the Applicants alleged constitute the basis
for concluding that the practices and policies of the U.S. do not comply with
Article 33 of the Refugee Convention and Article 3 of the Convention Against
Torture.
(1) One-Year
Time Bar and Standard for Withholding
[144] When a claim for
asylum is barred because of the one-year filing deadline, and is not subject to
one of the legislated exceptions to the bar, the only recourse to protect
against refoulement is an application for withholding of removal or CAT
protection. Asylum claimants must show that they have a “well-founded fear of
persecution” while withholding will only be awarded if the claimant shows that
persecution is “more likely than not.” The Applicants’ primary argument is that
the time bar combined with the higher withholding standard leads to refoulement
for refugees who could otherwise meet the asylum standard. The Applicants make
additional arguments that the bar has a disproportionate impact on gender and
HIV claims, and that rejecting an asylum claim purely on the basis of missing a
time limit is a breach of the Refugee Convention and Convention Against Torture.
[145] The one-year bar
will not apply where there are “changed circumstances” or “exceptional
circumstances,” which are applied generously in situations such as serious
illness, disability, trauma and ineffective counsel.
(a) Is
the standard for withholding higher than asylum and will this result in refoulement?
[146] Mr. Martin (the
former U.S. INS official), on behalf of the Respondent, admits that the
standard is different for withholding and asylum cases, but argues that in
practice, the standard is the same. At paragraph 76 of his affidavit, Martin admits:
It
cannot be denied that the U.S. standards for applying the non-refoulement
guarantee are unusual. I know of no other country that differentiates between
the standards for Article 1 and Article 33 of the Convention in this fashion. As
noted above, such a distinction was not argued for by any of the parties or amici
curiae in the Stevic case. The Court introduced the distinction on
its own, although it has now become a deeply ingrained part of U.S. practice. In
my view, it would have been a decidedly better interpretation to apply the
“reasonable possibility of persecution” test, which now governs asylum, to both
forms of protection.
[147] It is his view
that the Applicants believe that the courts are applying sharper quantitative
distinctions than actual practice can accomplish. Mr. Martin sets out
statistics that demonstrate that the rate of acceptance of refugee claims in
the U.S. is comparable to that in Canada. In 2005, the U.S. accepted 60% of
claims adjudicated while Canada accepted only 51%. Global protection grants
(asylum, withholding and CAT) were at 52%.
[148] The distinction
in law between withholding and asylum appears to have been firmly entrenched by
the U.S. Supreme Court. The BIA originally attempted to establish that the two
standards should be the same in practice, despite the distinction in the
phrasing of the legislation: see Matter of Acosta, 19 I&N Dec. 211
(BIA 1985). This was expressly overruled in INS v. Cardoza-Fonseca, 480
U.S. 421, 431 (1987), which states that the standard of “more likely than not”
for withholding is much higher than the standard of a “well-founded fear” of
persecution.
[149] At 431, the U.S.
Supreme Court held that “[o]ne can certainly have a well-founded fear of an
event happening when there is less than a 50% chance of the occurrence taking
place.” It stated that even a 10% probability of harm was sufficient for a
“well-founded fear.” Although the Court noted at page 448 that there are
practical difficulties interpreting the standards, what it really stated was
that there is some ambiguity in how the standard for asylum’s “well-founded
fear”, should be interpreted. It does not say that, practically speaking, the
two should be interpreted the same way.
The
narrow legal question whether the two standards are the same is, of course,
quite different from the question of interpretation that arises in each case in
which the agency is required to apply either or both standards to a particular
set of facts. There is obviously some ambiguity in a term like “well-founded
fear” which can only be given concrete meaning through a process of
case-by-case adjudication […] We do not attempt to set forth a detailed
description of how the “well-founded fear” test should be applied. Instead we
merely hold that the Immigration Judge and the BIA were incorrect in holding
that the two standards are identical.
[150] Furthermore, that
Court noted at footnote 31, that there are significant differences in the
meanings between the two standards.
How
‘meaningful’ the differences between the two standards may be is a question
that cannot be fully decided in the abstract, but the fact that Congress has
prescribed two different standards in the same Act certainly implies that it
intended them to have significantly different meanings.
[151] The Court found
that the Immigration Judge incorrectly applied the “more likely than not”
standard to an asylum claim. This decision was reversed and sent back to the
BIA for redetermination, as it had been decided on the wrong standard of proof.
The different standards were later recognized by the BIA in Matter of
Mogharrabi, 19 I&N Dec. 439 (BIA 1987). The opinion evidence is that Cardoza-Fonseca
represents the current state of the law. Thus, it was not the Applicants who
“quantified” the difference in standards between asylum and withholding; it was
the U.S. courts.
[152] Professor Anker
affirms that this type of analysis does translate into a real difference in how
withholding and asylum claims are adjudicated. For example, the grant rate for
withholding in the Immigration Courts is 13% -- much lower than for asylum, which
the Immigration Court grants at a rate of 38%. There is no indication that the
BIA or courts have continued to engage in a qualitative analysis after Cardoza-Fonseca
overruled this approach (as set out in Matter of Acosta, supra).
[153] The Applicants’
evidence is that there are two different standards, and that it is more
difficult to establish a claim for withholding. Mr. Martin states that some
judges may not make a distinction between the two – but this would appear to constitute
an error under U.S. law as it now stands.
[154] Thus, the weight
of the expert evidence is that the higher standard for withholding combined
with the one-year bar may put some refugees returned to the U.S. in danger of refoulement.
This creates a real risk. Although the Canadian system allows the decision
maker to consider delay as a factor in determining subjective fear, it cannot
alone result in a denial of status. If an adjudicator believed that the
claimant had a reasonable fear of persecution, there would be no legal basis
for the adjudicator to reject the claim in Canadian law. Canadian law is
consistent with the Refugee Convention; the U.S. law, practice and policies are
not.
(b) Is
the one-year bar a violation of the Convention Against Torture and Refugee
Convention, apart from the withholding issue?
[155] The Applicants
also challenge the legality of having a one-year time bar on other grounds. In
comparing the Canadian and American contexts, it is clear that the approach to
time delay is very different. Although the Respondent raises several cases for
the assertion that delay is an important factor in refugee determination
in Canada, the principle distinction is that delay is never determinative of an
asylum claim. The Respondent recognizes this fact. The Applicants also note
that although delay is not determinative in the Canadian context, it often is
an important factor. In Huerta v. Canada (Minister of Employment and
Immigration) (1993), 157 N.R. 225 (F.C.A.), Justice Letourneau stated:
The
delay in making a claim to refugee status is not a decisive factor in itself.
It is, however, a relevant element which the tribunal may take into account in
assessing both the statements and the actions and deeds of a claimant.
[156] Furthermore,
Canadian judges have discretion to look at the reasons for the delay in
determining whether it will be a factor or not. See for instance El Balazi
v. Canada (Minister of Citizenship and Immigration), 2006 FC 38.
[157] The case cited
in the European context Jabari v. Turkey, [2000] ECHR 369 (July 11,
2000), is a decision of the ECtHR. In that case, the European Court was
called to interpret Article 3 of the ECHR (non-refoulement to torture). The
Applicant had not had the merits of her claim assessed because Turkish law
required her to comply with a five-day registration requirement and she had not
done so. The European Court at paragraph 40 held that:
In
the Court’s opinion, the automatic and mechanical application of such a short
time-limit for submitting an asylum application must be considered at variance
with the protection of the fundamental values embodied in Article 3 of the
Convention.
[158] The Court also
held that the failure to consider her claim on the merits for this ground
violated Article 13 of the ECHR, requiring national governments to ensure that
an effective remedy and recourse existed where ECHR rights were in question. Notably,
however, this is a particularly onerous timeframe and the case does not
explicitly condemn all time-bars. The decision focuses on the unreasonableness
of the Turkish time bar.
[159] The Applicants
also argue that exceptions to the one-year bar are permissive rather than
mandatory, not sufficiently broad, and that those who do qualify for exceptions
may be barred if they did not file within a reasonable period after one year
(interpreted as six months). They point out that the UNHCR condemns filing
deadlines. In the UNHCR Comments on the Draft Agreement issued prior to the
release of the STCA, the UNHCR notes at page 2 that it is concerned with the filing
deadline. (Notably, in passing this comment, the UNHCR expresses its concern
with the time bar relationship to the higher standard for withholding.) The
UNHCR recommended that where one party would bar an applicant and the other
would not, the applicant should receive the procedure in the favourable country.
(This is also the specific recommendation of the UNHCR to Canada referred to in
the Scoffield affidavit.)
[160] While Mr. Martin
points to the asylum manual as support for his assertion that vulnerable groups
are protected by the exceptions, the portions of the manual excerpted into the
Respondent’s Memorandum of Fact and Law are not that helpful in supporting this
position as they are broad-based and not specifically focused to minority
issues.
[161] Given the
evidence, it would be unreasonable to conclude that the one-year bar, as it is
applied in the U.S., is consistent with the Convention Against Torture and the
Refugee Convention.
(c) One-year
bar: Impact on gender-based and other minority group claims
[162] The Applicants
have also presented evidence that the one-year bar has a disproportionate
impact on gender and sexual orientation claims. These claimants are more likely
to delay their claims because of a lack of information and because of the shame
these types of claimants often feel. The Applicants make solid theoretical
arguments about why this bar would have a disproportionate impact.
[163] The cases cited
by the Applicants in support of the finding that gender claims are particularly
vulnerable to the one-year bar is supported by the Canadian case of Williams
v. Canada (Secretary of State), [1995] F.C.J. 1025 at paragraph 7, where
Justice Reed recognized that many female applicants delay because they do not
know spousal abuse is a ground for a refugee claim. This decision was followed
in Elcock v. Minister of Citizenship and Immigration, [1999] F.C.J. No.
1438 at paragraph 17, and several other cases cited by the Applicants. A
similar problem arises where there are psychological factors which cause delay
in seeking refugee protection (see Diluna v. Minister of Employment and
Immigration, [1995] F.C.J. No. 399 at paragraph 8.
[164] Both the Anker
and Musalo affidavits appear to rely on anecdotal evidence from lawyers rather
than statistics or case law. The credible evidence is that this type of bar
would have a serious impact on gender-based claims, and it is not clear whether
the exceptions to the bar would assist these claimants. The regulations provide
exceptions for “extraordinary circumstances” such as physical or mental
disability, “including any effects of persecution or violent harm suffered in
the past.”
(2) Categorical Exceptions for
Criminality and Terrorism
[165] There are two
ways to be excluded from refugee protection under the Refugee Convention.
First, Article 1(F) contains a series of exclusion clauses, including exclusion
for persons who committed serious non-political crimes. Second, the principle
of non-refoulement enshrined in Article 33(1) is subject to the
exception for those who are a threat to security and a danger to the community.
Article 33(2) (referring to Articles 33(1)) provides that:
33(2)
The benefit of the present provision may not, however, be claimed by a refugee
whom there are reasonable grounds for regarding as a danger to the security of
the country in which he is, or who, having been convicted by a final judgement
of a particularly serious crime, constitutes a danger to the community of that
country.
[166] Therefore, under
the Refugee Convention, a person can only be refouled under these two
exceptions.
(a) Exclusion
for Terrorism
[167] There are two U.S.
provisions that contain exclusions from asylum for security reasons and there
appears to be no conflict on this description of the exclusion. First, INA
208(b)(2)(A)(iv) creates an exclusion for those who are a danger to the
security of the U.S. and INA 212(a)(3)(B) provides a terrorism exclusion. The
terrorist exclusion incorporates the general provision governing
inadmissibility for security and related grounds under INA 212. This provision
contains a definition of “terrorist activities” at INA 212(a)(3)(B) that
applies to the exclusion from asylum under INA 208. Further, INA
208(b)(2)(A)(iv) also excludes persons from protection falling under the
general inadmissibility under INA 237(a)(4)(B). INA 237(a)(4)(B) incorporates
the general terrorist activity principle under INA 212(a)(3)(B) and INA
212(a)(3)(F). INA 212(a)(3)(B) is the general provision discussed above and (F)
relates to association with terrorist organizations.
[168] Withholding has
similar exclusions under INA 241(b)(3)(B)(iv) except it only applies to being a
“danger to the United States”. Following the general inadmissibility provision,
there is also a statement that an alien who is described in INA 237(a)(4)(B)
shall be considered an alien with respect to whom there are reasonable grounds
for regarding as a danger to the security of the U.S.
[169] Engaging in a
terrorist activity is defined in INA paragraph 212(a)(3)(B)(iv) which includes:
212(a)(3)(B)(iv)(VI)
to commit an act that the actor knows, or reasonably should know, affords
material support, including a safe house, transportation, communications,
funds, transfer of funds or other material financial benefit, false
documentation or identification, weapons (including chemical, biological, or
radiological weapons), explosives, or training –
[…]
(bb)
to any individual who the actor knows, or reasonably should know, has committed
or plans to commit a terrorist activity;
[170] Thus, there are
two elements of subjectivity in the definition. First, the person contributing
must know, or reasonably should know, that the transfer of funds involves
material support. Second, the material support is to someone the person knows,
or reasonably should know, has committed or plans to commit a terrorist act.
[171] As Mr. Martin
points out, this provision is intended to bar ordinary applicants for a visa or
for admission from permission to enter the United States. However, he admits
that these provisions apply to refugee cases by a series of complicated
cross-references and may operate to exclude some claimants from asylum or
withholding. He states at paragraph 115 of his affidavit:
As
applied in the refugee setting, this is no doubt a severe provision, pressing
the outer boundaries of the leeway provided to States by the Convention in
applying the security-based exclusion provisions, but it reflects Congress’
deep concern about terrorism and the difficulty of establishing proof about a
supporter’s knowledge of the organization to which she has given money.
[172] A critical point
set out by Mr. Martin’s affidavit at paragraph 112 is that the exclusions for
terrorism applying to asylum and withholding do not apply to deferral of
removal under CAT. There are extra protections that are delineated in the
regulations provided by Mr. Martin at Exhibit H to his affidavit. Under
208.16(b)(4)(2), any person falling within INA 241(b)(3)(B) (which applies to
both security exclusions and exclusions for having committed a particularly
serious crime) cannot obtain regular withholding or CAT protection. However, if
a person has been found entitled to protection under CAT and is subject to the
mandatory denial of withholding in this manner, they shall be granted deferral
of removal to the country where he or she is “more likely than not” to be
tortured (208.17(a)).
[173] Thus, the
obligations under CAT are treated separately from the provisions affecting
refugees generally. While there is some acknowledgement of CAT obligations, the
practices and policies related thereto are discussed later.
[174] The exclusions
for terrorism set out above have been interpreted broadly in the decision Re
A.H., 23 I&N Dec. 774 (A.G. 2005). In that decision, it was clear a
person can be refouled if there is a potential belief that a person may
pose a danger. This is substantially different from the decision in Suresh
where there is a requirement for an actual threat substantiated on objectively
reasonable suspicion based on the evidence (paragraph 90 of Suresh). Mr.
Martin does not deny the broad interpretation given to the exclusion clauses,
essentially reading the “reasonable grounds” requirement to equate to “probable
cause” (Martin affidavit at paragraph 115). The BIA stated a broad
interpretation at pages 36-38:
[…] Where, under the circumstances, information about an alien
supports a reasonable belief that the alien poses a danger--that is, any
nontrivial degree of risk--to the national security, the statutory bar to
eligibility is applicable.
[…] The "reasonable grounds for regarding" standard is
satisfied if there is information that would permit a reasonable person to
believe that the alien may pose a danger to the national security.
[175] Therefore,
the standard of proof required in the U.S. for exclusion by reason of danger to
national security is far lower than in Canada (making the person more
susceptible to refoulement).
[176] The critical
concern raised by the Applicants is that the USA PATRIOT Act expanded the
definition of “terrorist activities”. According to Professor Anker, the Patriot
Act expanded the scope of the definition of “material support” that is under “terrorist
activities” to include transferring funds or other financial benefit and it
does not require the person to have knowledge of support of terrorism. The “material
support” test provides in its current form (as described by Mr. Martin) that
any non-citizen who has engaged in terrorist activity, the definition of which
includes providing material support to a terrorist organization or for
terrorist act, is inadmissible.
[177] This test is
further complicated by the fact that the provision has been interpreted to
preclude a defence of duress or coercion. Mr. Martin states at paragraphs 116-117
of his affidavit:
One
particular critique of the “material support” exclusion derives from
circumstances in which the person giving support knows the group’s or actor’s
terrorist or violent nature, and yet is constrained to go forward through
pressure or coercion. Such situations may include child soldiers forcibly
conscripted by a terrorist militia, revolutionary “taxes” or other provision of
food, lodging, or supplies extorted at gunpoint by guerrilla forces, and money
paid over to terrorist organizations to ransom a kidnapped relative.
The
administering authorities in the United States read the “material support” provision
in the inadmissibility section, INA paragraph 212(a)(3)(B), to admit no
exceptions for minor amounts of assistance or support provided under duress or
coercion. See Matter of S-K-, 23 I&N Dec. 936 (BIA 2006). If this
provision were applied inflexibly in that manner to refugee cases, it would, in
my view, be inconsistent with the Convention…
[178] The decision in Matter
of S-K-, 23 I&N Dec. 936 (BIA 2006) explicitly affirms the fact
that the intent to contribute to a terrorist organization is unnecessary.
[179] In S-K-
at pages 18-19, the BIA first stated that it does not matter if there was
intent to provide support:
Nor do we understand the decision in Singh-Kaur v. Ashcroft,
supra, to require a showing of an intent on the part of a provider of
material support to further a particular admission-barring or asylum-barring
goal of a terrorist organization. Rather, the statute is clearly drafted in
this respect to require only that the provider afford material support to a
terrorist organization, with the sole exception being a showing by clear and
convincing evidence that the actor did not know, and should not reasonably have
known, that the organization was of that character. Section
212(a)(3)(B)(iv)(VI)(dd) of the Act. We thus reject the respondent's assertion
that there must be a link between the provision of material support to a
terrorist organization and the intended use by that recipient organization of
the assistance to further a terrorist activity. Especially where assistance as
fungible as money is concerned, such a link would not be in keeping with the
purpose of the material support provision, as it would enable a terrorist
organization to solicit funds for an ostensibly benign purpose, and then
transfer other equivalent funds in its possession to promote its terrorist
activities.
[180] The Applicants
claim that the decision of the BIA in Arias v. Ashcoft, 143 Fed. Appx.
464 (Aug 2, 2005) also states that duress is not a defence. In this case,
however, the BIA found that the claimant had provided support voluntarily. The
Respondents simply note that the decision in Arias was not designated a
precedent decision and was upheld on other grounds, and that the U.S. system is
working in a manner to ensure the interpretation of the exclusion for material
support is done in such a way as to be consistent with international law.
[181] The Respondent
does not deny that there is a statutory exclusion pertaining to persons who
give minimal amounts of support or support as a result of coercion. There is
also no denial that if there is no defence for duress that American law would
not adhere to international standards.
[182] The weight of
the opinion evidence and viewed in the context of the Arias decision is
that there is no defence of duress in these circumstances. This is a
significant departure from both international law and Canadian law. The absence
of the defence of duress turns child soldiers, those forced (often at gunpoint)
to support terrorist groups, and those coerced to pay revolutionary taxes, into
terrorists in the U.S. system and subject to refoulement. If this
principle were applied to the Canadian immigration experience, persons coerced
by the LTTE Tigers of Sri Lanka would no longer be eligible for refugee
treatment and/or protection.
[183] Mr. Martin
points to the availability of the extraordinary, discretionary remedy of a
waiver of inadmissibility by the Secretary of State or of Homeland Security. This
was determined in S-K- – the DHS agreed it would apply. The Applicants
note that this is a very rare remedy which has only been used twice, to their
knowledge. The availability of the waiver is recognized in S-K- at page
35:
Accordingly, I concur in the majority's result. I note, however,
that the law provides for a limited waiver of the material support bar to be
exercised by the DHS in appropriate cases. Section 212(d)(3) of the Act. I
suggest that the DHS may wish to consider this respondent as someone to whom
the grant of such a waiver is appropriate.
[184] The waiver reads
as follows:
212(d)(3)(B)(i)
The Secretary of State, after consultation with the Attorney General and the
Secretary of Homeland Security, or the Secretary of Homeland Security, after
consultation with the Secretary of State and the Attorney General, may conclude
in such Secretary’s sole unreviewable discretion that subsection
(a)(3)(B)(i)(IV)(bb) or (a)(3)(B)(i)(VII) shall not apply to an alien, that
subsection (a)(3)(B)(iv)(VI) shall not apply with respect to any material
support an alien afforded to an organization or individual that has engaged in
a terrorist activity, or that subsection (a)(3)(B)(vi)(III) shall not apply to
a group solely by virtue of having a subgroup within the scope of that
subsection. The Secretary of State may not, however, exercise discretion under
this clause with respect to an alien once removal proceedings against the alien
are instituted under section 240.
[185] Mr. Martin
attests to the fact that the DHS is uncertain as to how this waiver will apply
in these circumstances:
According
to the latest information available to me, DHS is working to develop its final
guidance or policy on applying the waiver to asylum cases of this type.
[186] The
state of the law with respect to waivers is at best uncertain. There is
insufficient evidence that the waiver, either in principle or in practice,
ameliorates the unusually harsh provisions of U.S. law.
[187] Both parties
review Canadian jurisprudence relating to exclusion from the refugee definition
under Article 1(F). Neither mention any cases pertaining to Section 34 of the
IRPA, which relates to security exclusions from admissibility, but a plain
reading of the provision does not support the same kind of broad-based
exclusions as the American provisions.
[188] Canadian
jurisprudence recognizes that the exclusion under Article 1(F) does not apply
where there are involuntary acts. On the authority of Canada (Minister of
Citizenship and Immigration) v. Asghedom, [2001] F.C.J. No. 1350 at paragraph
22, it is necessary to consider duress when dealing with exclusion for war
crimes or crime against humanity (see also the leading case of Moreno v.
Canada (Minister of Employment and Immigration), [1994] 1 F.C. 298 and
obiter in Ramirez v. Canada (Minister of Employment and Immigration),
[1992] 2 F.C. 306). The Applicants, however, do not cite any cases
relating to duress and exclusion in the terrorist context.
[189] There is Canadian
jurisprudence relating to persons claiming refugee status on the basis of
extortion by terrorist groups; these persons are not barred under terrorist
exclusions. For instance, in Kathirgamu v. Canada (Minister of Citizenship
and Immigration), 2005 FC 300, a woman was forced to cook for the LTTE
because she could not afford to pay the extortion they demanded. There was no
dispute by any party in that case or by the Board (either IRB at the hearing or
before the Federal Court) that extortion was a legitimate ground to claim fear
of persecution.
[190] It is clear that
the Canadian jurisprudence is less restrictive, adding further support to the
proposition that the American provisions create a real risk of refoulement.
In the absence of evidence that Canadian law is more generous than or is not
consistent with the provisions of the Refugee Convention and CAT, I find that
Canadian law reflects the international obligations under both Conventions.
[191] Based on the
evidence, and where there is conflict between the experts I have preferred the
evidence of the Applicants’ experts, it would be unreasonable to conclude that
U.S. law in this area does not put genuine refugees in danger. It is
difficult to imagine how the GIC could have reasonably concluded that the U.S.
complies with the Refugee Convention when the law allows the exclusion of
claimants who involuntarily provided support to terrorist groups. The
terrorist exclusions are extremely harsh, and cast a wide net which will catch
many who never posed a threat. In returning claimants to the U.S. under these
circumstances, the weight of the evidence is that Canada is exposing refugees
to a serious risk of refoulement and torture which is contrary to the
applicable articles of the Refugee Convention and CAT.
(b) Exclusion
for Serious Criminality
[192] A person is
excluded from being granted asylum if, having been convicted of a particularly
serious crime, they constitute a danger to the community of the United States;
INA 208(b)(2)(A)(ii). For the purpose of that clause, an alien convicted of an
aggravated felony is deemed to be convicted of a particularly serious crime; INA
208(b)(2)(B)(i). An aggravated felony is defined in INA 101(a)(43). Sentences
for certain crimes under INA 101(a)(43) can range as low as one year, including
theft and burglary punishable by imprisonment of one year.
[193] A person
convicted of a particularly serious crime is also excluded from eligibility for
withholding of removal. Thus, INA 241(b)(3)(B)(ii) excludes a person who,
having been convicted of a particularly serious crime, is a danger to the
community of the United States, just like its asylum counterpart under INA 208.
However, in contrast to the asylum provision, after the withholding exclusion
provision there is a further interpretation applicable to INA 241(b)(3)(B)(ii) which
deems an alien convicted of an aggravated felony sentenced to five years as
having committed a particularly serious crime. Thus, the scope of the provision
is narrower. That said, the U.S. Attorney General can consider certain offences
to be particularly serious even if the aggregate sentence is less than five
years. Thus, while the likelihood of refoulement is higher than in
Canada, it is unclear as to whether the US interpretation is inconsistent with
generally-accepted principles on what constitutes a sufficiently serious crime.
[194] Although the
Refugee Convention contains an exception to the protection against refoulement,
Article 3 of CAT permits no such exception. However, the same exclusion
considerations do not appear to apply to persons who apply for CAT protection.
There are extra protections that are delineated in the regulations as stated by
Mr. Martin at Exhibit H to his affidavit. Under 208.16(b)(4)(2), any person
falling within INA 241(b)(3)(B) (which applies to both security exclusions and
exclusions for having committed a particularly serious crime) cannot obtain
regular withholding or CAT protection. However, if a person has been found
entitled to protection under CAT and is subject to the mandatory denial of
withholding in this manner, they shall be granted deferral of removal to the
country where he or she is more likely than not to be tortured (208.17(a))
Thus, the obligations under CAT appear to be protected because no one can be refouled
even if they are found excluded as a result of serious criminality.
[195]
While
Canada may be more liberal in respect to exclusion from asylum for serious
criminality, deportation to torture where serious criminality is involved in theory
is not the norm in the U.S. In Canada, there is no such legislative protection and
Suresh, some argue, suggests that deportation even where there is a risk
of torture may be legal in extraordinary circumstances.
[196] While the
likelihood of refoulement is higher than in Canada, it is unclear as to
whether the U.S. interpretation is inconsistent with generally-accepted
principles on what constitutes a sufficiently serious crime. Although the
impact of considering a five-year sentence serious enough to render a claimant
ineligible may be harsher than Canada, it is not so different from the Canadian
law and of the Refugee Convention as to show that the GIC was unreasonable to
accept that the U.S., at least in theory, is not violating the Refugee Convention.
(3) Interpretation
of the Term “Persecution” and Claims based on Particular Social Group and
Gender Claims
[197] The Applicants
raise numerous areas in which the U.S. interpretation of aspects of the
definition of refugee in the Refugee Convention diverges from Canadian and/or international
law. The submissions on the term “persecution” and claims based on particular
social group (PSG) and gender are somewhat interrelated, and are addressed in
this section of these Reasons.
(a) Gender
Claims
[198] Neither the
Applicants nor the Respondent dispute that the role gender plays in claims of
persecution in the U.S. is uncertain. What the parties dispute is the
significance of this state of flux on asylum seekers. In 1999, the BIA
determined in the Matter of R-A- (BIA 1999, vacated decision) that a
victim of domestic violence was not a member of a PSG, and even if she were,
her husband did not persecute her because of this membership.
[199] In 2000, the DOJ
issued proposed regulations affirming that only immutable/fundamental characteristics
are necessary to establish a PSG and that gender is clearly an immutable trait.
It also re-interpreted all of the components of a PSG to enable gender-related
claims, including the difficult area of domestic violence claims, to qualify.
[200] In 2001,
Attorney General Janet Reno vacated the BIA’s decision in R-A-. She
remanded the case to the BIA, directing them to reconsider it when the
regulations were final. John Ashcroft applied the same process. However, the
regulations have never been issued in final form and the law remains at best uncertain.
[201] The DHS filed a brief
in February 2004 that affirms many of the principles in the draft regulations.
The brief definitively states at page 25 that the standard from Matter of
Acosta, supra, in which the Board articulated the “immutable
characteristic” test, as recognized in the U.K. and Canada, should be followed.
But despite these positive movements, there is still no definitive law on the
issue.
[202] According to
Professor Musalo, the DHS filed another brief in February 22, 2005. She states
that it instructs DHS trial attorneys that the only gender-based claims
currently cognizable under the U.S. law are those involving female genital
cutting, until the Matter of R-A- is conclusively decided. She has not
produced sufficient documentation or citation to allow this to be verified.
[203] However, I accept
Professor Musalo’s evidence that Mr. Martin’s quantitative analysis of the
acceptance of these types of claims misses the point that the protection not being
solidified may lead to arbitrary decision-making. Even if the draft regulations
and the DHS Brief demonstrate a movement towards recognition of gender claims in
a manner consistent with Canada, this is not the current state of the law. Further,
although the DHS Brief recognizes that membership in a PSG should be defined as
immutable and innate characteristics, it goes on to state at pages 18-24 that
the court’s application of the law has been inconsistent.
[204] There is no
question that the Canadian standard accepts the “immutable and innate
characteristics” definition of particular social group (see Ward,
supra). The UNHCR also advocates for this type of approach. In the E.U.
context, Professor Hailbronner notes that the European countries have not
evolved a generally accepted standard of protection with regard to domestic
violence as persecution. However, Professor Hailbronner admitted during
cross-examination that most European states will grant some kind of protection
with respect to domestic violence, arising out of a sense of legal obligation.
[205] The question to
be determined is whether this state of flux in the U.S. law, which is really
not in dispute by any party, gives rise to a likelihood of refoulement. Interestingly,
the Standing Committee on Citizenship and Immigration recommended to the
Canadian government that women claiming protection from domestic violence be a
blanket excluded category under the STCA. Specifically it stated that:
The
Committee recommends that until such time as the American regulations regarding
gender-based persecution are consistent with Canadian practice, women claiming
refugee status on the basis that they are victims of domestic violence be
listed as an exempt category under section 156.9 of the proposed regulations.
[206] There is clearly
a serious concern that women with these claims are not being sufficiently
protected under American law and that concern is not refuted by the evidence
submitted by the Respondent. Obviously if these women are being denied asylum
protection, the secondary withholding of removal provision would not protect
them and the CAT protection may impose too high a threshold of danger to
protect women subject to domestic violence. This could result in a real risk of
refoulement, contrary to the Refugee Convention. Since the GIC has an
obligation to conclude positively that the U.S. is compliant, it would be
unreasonable to do so in the face of the uncertainty in U.S. law.
(b) “Persecution”
[207] The American
interpretation of persecution, although giving rise to some concerns, does not
appear to conclusively give rise to a risk of refoulement. The
Applicants have not provided sufficient evidence of U.S. practice in this
regard nor shown that the GIC’s conclusions on this aspect are unreasonable.
[208] The Applicants
argue that the U.S. is unsettled in its approach to non-state agents. A failure
to recognize non-state agents as persecutors is counter to Canadian and U.K.
interpretations and is also contrary to the UNHCR interpretation (which provides
guidance, rather than an expression of law). However, the evidence supports a
reasonable conclusion that the U.S. does recognize persecution by non-state
agents, as long as the state cannot protect a person from the action.
[209] The Applicants
further argue that neither the Courts nor the government have provided a clear
definition of persecution in the U.S. The Draft Regulations (attached as
Exhibit K to the Martin affidavit) indicate that Congress believes the
definition to be well-established by court decisions, specifically that in Matter
of Acosta, supra.
[210] Professor Anker
admits this is the definition the BIA often applies. However, Anker contends
that the lack of true definition can lead to confusion. For instance, the Court
of Appeals for the First Circuit in Bocova v. Gonzales, 412 F.3d 257
(2005), recognized that persecution is not defined and held that it had to look
to BIA decisions to determine its true meaning. It then held that the BIA has
eschewed rigid rules for determining persecution, preferring analysis on a
case-by-case basis. The Court did recognize that BIA decisions have provided
guidance as to the definition.
[211] On this issue, as
unsettled and as unsettling as the U.S. law may be, there does not appear to be
enough evidence provided to establish that the lack of definition would result
in refoulement. There is a reasonable basis for the GIC to conclude
otherwise.
[212] Finally, the
Applicants argue that the Respondent does not recognize persecution based on
mixed motives. Unlike in Canada, where the Refugee Convention definition is
directly incorporated into IRPA, the definition in the U.S. of refugee is expressed
in its legislation as requiring persecution “on account of” instead of in
accordance with the wording in the Convention “for reasons of”. This has
arguably created a problem for persecution arising from “mixed motives” cases.
[213] Both Professor
Anker and Mr. Martin agree that the leading case on persecution in the U.S. is Matter
of S-P-, 21 I&N Dec. 486 (BIA 1996). In that precedent case, it
was formally recognized that the evidence may suggest mixed motives of the
persecutor, at least one or more of which is related to a protected ground. Mr.
Martin notes this remains the law.
[214] However, it is
also true that the REAL ID Act, passed only in 2005, seems to make the requirement
stricter, in that although it recognizes that persecution for mixed motives can
exist, there must be a central focus on the enumerated grounds of
persecution. Although Mr. Martin argues that the most recent clarification of
this definition in the REAL ID Act will likely not result in any real changes,
this is purely speculative.
[215] The DHS Brief
notes the use of the term “central” but states that it still allows for mixed
motives; it just precludes the Convention ground from being incidental or
tangential. The U.S. Supreme Court emphasized that in order for persecution to
be “on account of” one of the Convention grounds, there must be evidence that
the persecutor seeks to harm the victim on account of the victim’s possession
of the characteristic at issue: see INS v. Elias Zacarias, 502 U.S. 478
(1992). However, that case did not say anything that would preclude mixed
motives. Both parties agree that the way in which the lower courts and the BIA
have interpreted mixed motives is inconsistent.
[216] Given the
wording of the Refugee Convention’s definition of persecution, and Canada’s
interpretation and application of that term which I take to be the proper
interpretation, the U.S. practice of inconsistency in application is sufficient
to show that it is unreasonable to conclude that the U.S. is in compliance.
(4) Corroboration
and Credibility
[217] The Applicants
maintain that amendments introduced in the REAL ID Act that allow for rejection
of a refugee claim on the basis of lack of credibility and lack of corroboration
elevate the standards for rejection to a level exceeding that in Canada.
[218] In Maldonado
v. Canada (Minister of Employment and Immigration), [1980] 2 F.C.
302 (C.A.) at paragraph 5, Justice Heald explicitly held that testimony of a
claimant in Canada is presumed credible. Also, it is the Canadian position that
a trier of fact must not deny a person asylum on credibility issues where the
credibility issues relate to peripheral issues of the claim. See for instance R.K.L.
v. Canada (Minister of Citizenship and Immigration), 2003 FCT 116 at paragraph
14.
[219] Under the REAL
ID Act, a presumption of credibility is explicitly denied. Furthermore,
although the grounds upon which credibility is assessed are the same as in
Canada (for instance, plausibility, consistency, and demeanour), the trier of
fact is entitled to base these findings of credibility “without regard to
whether an inconsistency, inaccuracy, or falsehood goes to the heart of the
applicant’s claim, or any other relevant factor”; see INA 101(a)(3)(B)(iii).
[220] With respect to
corroboration, the REAL ID Act provides that:
101(a)(3)(B)(ii)
The testimony of the applicant may be sufficient to sustain the applicant’s
burden without corroboration, but only if the applicant satisfies the trier of
fact that the applicant’s testimony is credible, is persuasive, and refers to
specific facts sufficient to demonstrate that the applicant is a refugee […]
Where the trier of fact determines that the applicant should provide evidence
that corroborates otherwise credible testimony such evidence must be provided
unless the applicant does not have the evidence and cannot reasonably obtain
the evidence.
[221] Unlike the
discrepancy between the Canadian and American standards relating to
credibility, the corroboration provision amended by the REAL ID Act does not
appear to drastically depart from Canadian and international norms.
[222] Canadian
jurisprudence establishes that the failure of an applicant to provide
documentation cannot be associated with a credibility finding, in the absence
of evidence to contradict the allegations; see Attakora v. Canada (Minister
of Employment and Immigration), [1989] F.C.J. No. 444 (F.C.A.); Ahortor
v. Canada (Minister of Employment and Immigration), [1993] F.C.J.
No. 705 (T.D.). The jurisprudence is clear that the IRB may not discredit an
Applicant’s testimony simply because of an absence of documentary evidence,
particularly in situations where it would not be reasonable to expect the
Applicant to have it at his or her disposal.
[223] However, the IRB
may reject a claim because of an absence of documentation if there was ample
opportunity to seek the documentation and if the Board does not accept an applicant’s
explanations for failing to produce the evidence: Singh v. Canada (Minister
of Citizenship and Immigration), 2003 FCT 556. This does not appear materially
different from the U.S. law, where there is provision made to exempt persons
who could not reasonably obtain that evidence.
[224] Furthermore,
according to Mr. Martin, the REAL ID provision was intended to solidify the
standard set by the BIA in Matter of S-M-J-, 21 I&N Dec. 722 (BIA
1997), which had been variously applied and not applied. Professor Anker, for
the Applicants, admits the standard as established in S‑M-J-, is
reasonable and appropriate doctrine but maintains that it is not followed in
practice. However, Anker also notes that the REAL ID Act does not codify all of
the principles in S‑M-J. In particular she claims it does not
codify the requirement in S-M-J that an applicant should be given an
opportunity to explain why the evidence is not presented. Notably, however, the
legislation also does not codify to the contrary.
[225] Professor Anker
also raises concern with the limited scope afforded to judicial review of
decisions involving corroboration. Paragraph 101(d)(e) of the REAL ID Act
provides that INA 242(b)(4) is amended by adding that the court shall not
reverse a determination made by a trier of fact with respect to the
availability of corroborating evidence unless the court finds that a reasonable
trier of fact is compelled to conclude that such corroborating evidence is
unavailable.
[226] However,
according to Mr. Martin, this is just a codification of the same “substantial
evidence” standard of review that applies to all other factual determination
(Martin affidavit at paragraph 180). On reading Mr. Martin’s overview of this
standard of review, although in wording it is different from the Canadian
standard of patent unreasonableness, in function it appears similar.
[227] It would appear
from a comparison of the two standards that the American standard is not
inconsistent with either the Canadian standard or the international norm.
(5) Detention
and Access to Counsel
[228] The Applicants
raise these matters as factors that aggravate the risk of refoulement.
There does not appear to be a solid evidentiary basis provided by the
Applicants in their materials to demonstrate that detention practices and lack
of access to counsel could result in the refoulement of refugees.
[229] Any assertions
that failure to provide legal counsel would result in a higher likelihood of refoulement
could apply equally in Canada as in the United States. Firstly, only six
provinces have an established legal aid process available for immigration claimants
(though these include the provinces with the highest number of refugee
claimants). The rest rely on pro bono representation and refugee advocacy
clinics. Secondly, the provision of legal aid is subject to similar limitations
as the pro bono system in the United States, including underfunding and
screening for merit. Furthermore, even the Applicants’ expert, Professor Anker,
notes that “international law does not specifically call for this measure as
part of the implementation of a fair adjudication system”. The U.K. High Court
also accepted that international law does not require the provision of legal
advice and assistance to asylum seekers.
[230] The Applicants
try to make a link between detention and lack of legal representation. The
statistics suggest that asylum seekers are six times more likely to succeed
when they are represented and that twice as many detainees are unrepresented as
asylum seekers who are not detained (Asylum Representation, Summary Statistics,
prepared by Dr. Andrew I” Schoenholz, Director of Law and Policy Studies,
Institute for the Study of International Migration, Georgetown University, May
2000). Furthermore, it is alleged that it is far more difficult to obtain
corroboration for claims from detention. Even accepting the Applicants’
argument that Americans detain people more readily than Canadians, there is
still insufficient evidence to support a finding that this has resulted in refoulement
to persecution (much less to torture).
[231] Likewise, there
is insufficient evidence to reasonably conclude that the U.S. process of expedited
removal, highly criticized by the UNHCR, as well as the Standing Committee on
Citizenship and Immigration, would itself lead to refoulement.
[232] However, the
problem with detention and expedited removal under the U.S. system and where it
runs afoul of international norms is that detention, according to the weight of
the evidence, is used as a penalty. The matter of detention is aggravated by
the fact that, unlike Canada’s legislated criteria, U.S. parole criteria is
inconsistent -- a matter which Mr. Martin agrees is an accurate description of
the U.S. system.
[233] Again, unlike
Canada, parole is not determined by an independent decision maker. There is no
appeal and very limited rights to habeas corpus. This absence of an
independent review is contrary to international law.
[234] Moreover, the
expert evidence is that detention and parole are inconsistently applied to
certain groups such as those of Arab descent and/or the Muslim faith.
[235] The effect of
this increased use of detention is, so it was argued, to make contesting
refugee cases more difficult. From that proposition, it is argued that the
inability or difficulty in fighting a case results in unjustified losses which
result in refoulement.
[236] With respect,
while there is some logic in the proposition that fighting a case from jail is
troublesome, it is difficult to establish with sufficient certitude that
systemically there are a significant number of cases lost which should not have
been. It cannot be said that this in itself is contrary to international conventions.
(6) Summary
[237] The Applicants
have raised a number of issues that they say show that the U.S. does not meet
the standards of Article 33 of the Refugee Convention. I have found some, such
as the matter of serious criminality and persecution, as forming no basis for
undermining the reasonableness of the GIC’s determination that the U.S. is a
safe country through its compliance with the international conventions.
.
[238] I have found that
some other issues raise concerns about compliance, such as the use of expedited
removals and use of detention, which absent more, are not sufficient in
themselves to undermine the reasonableness of the GIC’s designation. However,
these issues in combination with more clear contradictions with convention
provisions call the reasonableness of the GIC’s determination into question.
.
[239] Finally, there
are a series of issues, which individually, and more importantly, collectively,
undermine the reasonableness of the GIC’s conclusion of U.S. compliance. These
include: the rigid application of the one-year bar to refugee claims; the
provisions governing security issues and terrorism based on a lower standard, resulting
in a broader sweep of those caught up as alleged security threats/terrorists;
and the absence of the defence of duress and coercion. Lastly, there are the
vagaries of U.S. law which put women, particularly those subject to domestic
violence, at real risk of return to their home country.
.
[240] These instances
of non-compliance with Article 33 are sufficiently serious and fundamental to
refugee protection that it was unreasonable for the GIC to conclude that the
U.S. is a “safe country”. Further, in the light of this evidence it was even
more unreasonable for the GIC not to engage in the review of U.S. practices and
policies required by s. 102(2) of IRPA.
VI. INTERPRETATION
AND APPLICATION OF CAT
[241] When the United
States ratified the Convention against Torture (CAT) in 1994, it did so
subject to several reservations and understandings (which amount to
interpretative guidelines). The following reservations are at issue in this
case:
II.
The Senate's advice and consent is subject to the following understandings,
which shall apply to the obligations of the United States under this
Convention:
(1)
(a) That with reference to article 1, the United States understands that, in
order to constitute torture, an act must be specifically intended to inflict
severe physical or mental pain or suffering …
…
(d)
That with reference to article 1 of the Convention, the United States
understands that the term `acquiescence' requires that the public official,
prior to the activity constituting torture, have awareness of such activity and
thereafter breach his legal responsibility to intervene to prevent such
activity.
…
(2)
That the United States understands the phrase, `where there are substantial
grounds for believing that he would be in danger of being subjected to
torture,' as used in article 3 of the Convention, to mean `if it is more likely
than not that he would be tortured.'
[242] Mr. Martin includes
the regulations that discuss the incorporation of CAT and CAT protection at
Exhibit H (all subsequent references are to the Regulations 8 CFR. CH.1. The regulations
explicitly incorporate the actual definition of Article 1 of CAT, “subject to
the reservations, understandings, declarations, and provisos contained in the
United States Senate resolution of ratification of the Convention.” (paragraph
208.18(a)) . The application of Article 3 is subject to the same proviso (paragraph
208.16(c)).
[243] More specifically,
paragraph 208.16(c)(2) states that the burden of proof is a balance of
probabilities (“more likely than not”). This is the same standard as in Canada:
see Li v. Canada (Minister of Citizenship and Immigration), 2005
FCA 1. The Regulations also incorporate the specific intent requirement
at paragraph 208.18(5), which provides that to constitute torture, “an act must
be specifically intended to inflict severe physical or mental pain or
suffering.” Finally, at paragraph 208.18(7), “acquiescence of a public official
requires that the public official, prior to the activity constituting torture,
have awareness of such activity and thereafter breach his or her legal
responsibility to intervene to prevent such activity.”
[244] The Applicants
argue that the requirement for a specific intent to inflict torture may put
refugees at risk. The effect of this requirement is illustrated in the
following cases. In Re J-E-, 23 I&N Dec. 291 (BIA 2002), the BIA
considered whether the Haitian government’s indeterminate detention of
criminals prior to their hearing constituted torture. The claimant, who had
been convicted of selling cocaine, argued that he would be subject to torture
because of this indefinite period of detention in inhuman conditions.
[245] The BIA states
at 298,
[…]
the act must be specifically intended to inflict severe physical or
mental pain or suffering [..]. This specific intent requirement is taken
directly from the understanding contained in the Senate’s ratification
resolution […] Thus, an act that results in unanticipated or unintended
severity of pain or suffering does not constitute torture. In view of the
specific intent requirement, the Senate Foreign Relations Committee noted that
rough and deplorable treatment, such as police brutality, does not amount
to torture […]
[246] The BIA found at
300-301 that although the practice was deplorable,
there
is no evidence that Haitian authorities are detaining criminal deportees with
the specific intent to inflict severe physical or mental pain or
suffering…Although Haitian authorities are intentionally detaining criminal
detainees knowing that the detention facilities are substandard, there is no
evidence that they are intentionally and deliberately creating and maintaining
such prisons to inflict torture… The record establishes that the Haitian prison
conditions are the result of budgetary and management problems as well as the
country’s severe economic difficulties.
[247] Mr. Martin also
points to the decision in Zubeda v. Ashcroft, 333 F.3d 463 (2003), a
decision of the Court of Appeals for the Third Circuit as applying a less
exacting standard. The Court held at page 473 that,
Although
the regulations require that severe pain or suffering be "intentionally
inflicted," id., we do not interpret this as a "specific
intent" requirement. Rather, we conclude that the Convention simply
excludes severe pain or suffering that is the unintended consequence of an
intentional act…The intent requirement therefore distinguishes between
suffering that is the accidental result of an intended act, and suffering that
is purposefully inflicted or the foreseeable consequence of deliberate conduct.
However, this is not the same as requiring a specific intent to inflict
suffering.
[248] The Court later
stated at 474, “requiring an alien to establish the specific intent of his/her
persecutors could impose insurmountable obstacles to affording the very
protections the community of nations sought to guarantee under the Convention
Against Torture.”
[249] While J-E-
is the leading case in the United States, there remains a serious question as
to the difference between the U.S. view of Article 3 and the Canadian view.
[250] As to the matter
of the American interpretation of “state acquiescence”, in Y-L-, the BIA
held that acquiescence required a “wilful acceptance of the torturous
activity.” In that case, the BIA found no state acquiescence where the claimant
feared torture by gangs in Jamaica that he had associated with, accompanied by
the possible involvement of corrupt police, because a few rogue agents acting
against the country’s laws did not constitute state acquiescence.
[251] The evidence
establishes that the state of U.S. law in respect of “state acquiescence to
torture” is found in Khouzam v. Ashcroft, 361 F.3d 161 at 170 (2d Cir.
2004). The Court of Appeals rejected a BIA decision that held that state
acquiescence to torture required wilful acceptance of torturous activity. The
U.S. Court of Appeals was very clear that the fact that even if police torture
was not committed as part of their official duties, the threshold for state
acquiescence was met.
[252] In coming to
this conclusion, the Court of Appeals considered the language of CAT itself and
the U.S. conditions which accompanied their ratification of CAT. At 170, the
Court noted that the Senate voted in favour of a condition that “that both
actual knowledge and ‘willful blindness’ fall within the definition of the term
acquiescence.” The Senate voted in favour of this condition.
[253] There is some
dispute in the expert evidence that U.S. law holds that a state has not acquiesced
to torture by non-state agents where the state is powerless to control or stop
the torture.
[254] Although neither
party provided evidence on Canadian law on these issues, I would refer to the
following passage from Lorne Waldman’s text Immigration Law and Practice,
2nd ed., looseleaf (Toronto: Butterworths, 2006), vol. 1 at para
8.26, footnote 2:
It
is significant to note that the CAT does require state complicity so that in
circumstances where there is no acquiescence on the part of the state to the commission
of the acts, but the state is unable to provide protection, the acts will not
constitute torture as defined by Article 1 of CAT.
[255] It is in the
area of security and CAT protection where there is a significant departure
between Canadian and international principles and the approach and practices of
the U.S. It was the Applicants’ contention that refoulement to torture
is not prohibited in the U.S. or if prohibited, it is permitted in any event by
practice.
[256] The
expert evidence is that the U.S. takes a narrow interpretation of the
prohibition of refoulement to torture. This is consistent with the U.S.
action in putting in a reservation against torture when it ratified the CAT as
discussed in paragraph 241.
[257] In
respect of this aspect of the interpretation of the international conventions,
there is some guidance from the Supreme Court in Suresh. The Supreme
Court recognized that Article 3 of CAT is an absolute prohibition against
deportation to torture. Since CAT is not domestic law, the Supreme Court found
that the domestic prohibition was contained in s. 7 of the Charter.
Because courts are generally loath to make unequivocal statements beyond that
which is necessary to decide a case, the Supreme Court went on to speculate
that there might someday in some unforeseen circumstance be an “exceptional
circumstance” justifying departure from this norm. This is hardly an approval
of refoulement to torture.
[258] It is
evident that Article 3 of CAT is an absolute bar against removal to torture.
That prohibition is also part of Canadian law. Canada will not remove a person
who is likely to face death (United States of America v. Burns, [2001] 1
S.C.R. 283) or torture (Suresh).
[259] The
evidence of American law is equivocal. U.S. law authorizes the acceptance of
assurances from another country that it will not torture a deportee but neither
U.S. law, nor certainly its practice, considers that deportation to a country
where torture is a likely occurrence to be an absolute bar to deportation. The
CAT prohibits deportation to torture where it is reasonably likely. In other
words, a deporting country who knows or ought to know that torture would likely
occur cannot deport a person into those circumstances.
[260] While
this is not the Maher Arar case and this Court is not trying that case, the
Court can take judicial notice of the findings of the Report of Commission of
Inquiry into the Actions of Canadian Officials in Relation to Maher Arar (the
Arar Report). Although the U.S. did not participate in those proceedings, it
advised the Commission that it complied with Article 3 of CAT.
[261] The
facts in the Arar case give one serious cause to doubt that assurance. It may
be that the assurance is based on a narrow interpretation of Article 3 but it
would be an interpretation which is at odds with Canadian understanding of the
obligations under CAT (see IRPA s. 102(2)(b)).
[262] Specifically,
in this regard, the Applicant’s submissions and evidence that the U.S. does not
comply with Article 3 are credible. Those submissions and evidence are supported
by a real life example and therefore more credible than the Respondent’s
evidence. It was unreasonable, given the evidence, for the GIC to conclude that
the U.S. meets the standards of Article 3 of CAT.
[263] Further,
but standing as a distinct matter, the Arar Report and the circumstances
examined should have at the very least caused a thorough and comprehensive
review of U.S. practices and policies. It is difficult to understand how or why
the obligation to have a continuing review, mandated by s. 102(3), was not
immediately put into operation on an urgent basis. There is no evidence of any
such thing occurring.
VII. FAILURE
TO REVIEW
[264] In addition to
the matter of the preconditions to the Regulations, the Applicants allege that
the government has failed to conduct the required reviews of the STCA and the
conditions for refugee claimants in the U.S. It is necessary to examine the
nature of this duty to determine whether the GIC has complied with its
obligations.
[265] Subsection
102(3) of IRPA requires a continuing review of factors in subsection (2). The
legislation provides specifically that:
(3) The Governor in Council must ensure the
continuing review of factors set out in subsection (2) with respect to each
designated country
|
(3) Le gouverneur en
conseil assure le suivi de l’examen des facteurs à l’égard de chacun des pays
désignés.
|
[266] On October 12,
2004, the GIC adopted Directives for Ensuring a Continuing Review of Factors
set out in subsection 102(2) of the Immigration and Refugee Protection Act with
respect to Countries Designated under paragraph 102(1)(a) of that Act (Directives).
The Directives do not impose a particular timeline for review but state:
1. The Minister of
Citizenship and Immigration shall undertake a review, on a continuous basis, of
the factors set out in subsection 102(2) of the Immigration and Refugee
Protection Act with respect to the countries designated under paragraph
102(1)(a) of that Act.
2. The
Minister of Citizenship and Immigration shall report to the Governor in Council
on the review undertaken under section 1 on a regular basis, or more often
should the circumstances warrant.
[267] Neither the
legislation nor the Directives authorize a specific time frame for review. Nor
is there a legislated format for review. However, the use of the phrases
“continuous” and “regular” suggest that a failure to review in the more than
two years raises the issue of whether there has been compliance with the
expressed obligation.
.
[268] In the absence
of a specific time frame established in the legislation, such a review must be
ongoing consistent with the word “continuing”. This does not necessarily
require a minute-by-minute review but it does require a review on a reasonably
continuous basis consistent with the facts and circumstances as they develop
from time to time.
[269] There has still
been no review of the s. 102(2) factors. The Applicant points to the
cross-examination of Bruce Scoffield, the principal affiant for the Respondent,
to support its argument that the Respondent cannot provide evidence of a systematic,
continuing review of U.S. policies and practices under the Refuge Convention
and CAT. The Respondent has filed no evidence in its submissions to refute this
challenge. As the Applicants have pointed out throughout their submissions,
numerous changes in U.S. law have arisen since December 2004, not least of
which is the REAL ID Act upon which several allegations were founded.
[270] Mr. Scoffield
states that the Government has made public monthly statistical reports prepared
in accordance with UNHCR’s monitoring plan, held regular meetings with several
NGOs including CCR, and received extensive input that he testified was being
taken into account during the review of the Agreement’s first year of
implementation. However, he makes only a blanket statement that the Minister
will report formally to the GIC without specifying a projected timeline. The
Minister has not established a review process nor has it reported to the GIC.
[271] The Respondent
has complied with the requirement Article 8(3) of the STCA for a one-year
review by both parties in co-operation with UNHCR; the document was released in
November 2006. However, that is not the review mandated by Parliament nor is it
sufficient to meet the obligation of continuous review to ensure ongoing
compliance.
[272] Although
there is no specific instruction in the legislation as to what is to be done
following a review, it must be implied that, in the appropriate circumstances,
the GIC is required to take the actions outlined in paragraph 159.7 of the STCA
Regulations, namely suspension or termination of the STCA.
[273] Reading
s. 102 as a whole, I conclude that before the STCA Regulation is passed, the
GIC must conclude on a reasonable basis that the third country complies with
the specific Articles of the Refugee Convention and the Convention Against
Torture; when the Regulation is passed, that the third country continues to
comply; and when the third country ceases to comply or when evidence becomes
available to suggest that the initial conclusion of compliance can no longer stand,
the Government either suspends or terminates STCA.
[274] The
purpose of s. 102(3), at least in part, is to address the fact that new matters
may develop, practices and policies of a third country may shift depending on
the current administration, and that opinions formed initially are not
immutable and must be re-examined in the light of more current opinion and
other evidence of the third country’s actual, rather than, claimed compliance.
[275] On
this issue, I find that the GIC has failed to ensure the continuing review of
the s. 102(2) factors.
VIII. CHARTER
OF RIGHTS AND FREEDOMS
[276] The analysis for
the Applicants’ arguments on ss. 7 and 15 of the Charter is based on
both the U.S. law and practices and policies as well as the manner in which
Canada views the operation of the STCA. The standard of review in respect of
the Charter is correctness.
A. Is
the Charter engaged in this situation, even if the substance of
the human rights violations occur outside of Canada?
[277] A critical issue
raised is whether the Charter applies to refugees sent back to the U.S.
according to the STCA, since the Canadian government would no longer be
responsible for their refoulement.
[278] In Singh v.
Canada (Minister of Citizenship and Immigration), [1985] 1 S.C.R. 177 at
paragraph 35, Justice Wilson stated that section 7 can be asserted by “every
human being who is physically present in Canada and by virtue of such presence
amenable to Canadian law.” According to Singh, the word “everyone” in section
7 includes illegal immigrants who wish to make a refugee claim in Canada. This
decision provided that every illegal immigrant in Canada claiming to be a
refugee was entitled to a hearing.
[279] In Burns,
supra, the Supreme Court of Canada determined that extradition to the U.S.
without assurances that the government would not seek the death penalty was
contrary to the principles of fundamental justice. The Court stated, at paragraph
29, that although the Canadian government would not impose the death penalty
itself, “The Minister's decision [to extradite] is a prior and essential step
in a process that may lead to death by execution.” In that case, there was no
guarantee that the respondents would be convicted, let alone sentenced to the
death penalty. Nonetheless, the Supreme Court determined that sending the
accused to the U.S., where they faced a risk of this sentence, was sufficient
to engage the Charter.
[280] The situation of
a person charged with an offence punishable by death is somewhat analogous to
the situation of a refugee claimant who approaches the Canadian border, and
whom Canadian immigration officials return to the U.S., where the laws and
practice as set out above put him at risk of refoulement.
[281] It is therefore
clear that the Charter would apply to a refugee claimant at the Canadian
border and under the control of Canadian immigration officials. If Canadian
officials return the refugee claimant to the US, this action must be in
compliance with the Charter.
(1) Section
7
[282] Section 7
protects 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.
(a) Is
a refugee claimant’s life, liberty or security of the person at stake?
[283] Several aspects
of U.S. law put genuine refugees at risk of refoulement to persecution
and/or refoulement to torture. In Singh, the Supreme Court
considered whether the possibility of refoulement deprived a claimant of
life, liberty or security of the person. The Court stated in concluding that
section 7 was so engaged:
44 […] it will be recalled that a Convention refugee is by definition a
person who has a well-founded fear of persecution in the country from which he
is fleeing. In my view, to deprive him of the avenues open to him under the Act
to escape from that fear of persecution must, at the least, impair his
right to life, liberty and security of the person in the narrow sense advanced
by counsel for the Minister. The question, however, is whether such an
impairment constitutes a "deprivation" under s. 7.
45 It must be acknowledged, for example, that even if a Convention
refugee's fear of persecution is a well-founded one, it does not automatically
follow that he will be deprived of his life or his liberty if he is returned to
his homeland. Can it be said that Canadian officials have deprived a Convention
refugee of his right to life, liberty and security of the person if he is wrongfully
returned to a country where death, imprisonment or another form of persecution may
await him? There may be some merit in counsel’s submission that closing off the
avenues of escape provided by the Act does not per se deprive a
Convention refugee of the right to life or to liberty. It may result in his
being deprived of life or liberty by others, but it is not certain that this
will happen.
46 I cannot, however, accept the submission of counsel for the
Minister that the denial of the rights possessed by a Convention refugee under
the Act does not constitute a deprivation of his security of the person…
47 For purposes of the present appeal it is not necessary, in my
opinion, to consider whether such an expansive approach to "security of
the person" in s. 7 of the Charter should be taken. It seems to me
that even if one adopts the narrow approach advocated by counsel for the
Minister, "security of the person" must encompass freedom from the
threat of physical punishment or suffering as well as freedom from such
punishment itself. I note particularly that a Convention refugee has the right
under s. 55 of the Act not to "... be removed from Canada to a country
where his life or freedom would be threatened...". In my view, the denial
of such a right must amount to a deprivation of security of the person within
the meaning of s. 7.
[284] Section 7
applies to torture inflicted abroad if there is a sufficient causal connection
with Canadian government acts. At paragraph 54 of Suresh, the Supreme
Court remarks:
…the guarantee of fundamental justice applies even to deprivations
of life, liberty or security effected by actors other than our government, if
there is a sufficient causal connection between our government's participation
and the deprivation ultimately effected. We reaffirm that principle here. At
least where Canada's participation is a necessary precondition for the
deprivation and where the deprivation is an entirely foreseeable consequence of
Canada's participation, the government does not avoid the guarantee of
fundamental justice merely because the deprivation in question would be effected
by someone else's hand. (emphasis added)
[285] It is therefore
quite clear that the life, liberty and security of refugees is put at risk when
Canada returns them to the U.S. under the STCA if the U.S. is not in compliance
with CAT and the Refugee Convention. The law in the U.S. with respect to gender
claims and the material support bar, along with the other issues found to be
contrary to the Convention, make it “entirely foreseeable” that genuine
claimants would be refouled. The situation is potentially even more
egregious in respect of refoulement to torture. A refugee, by his/her
very nature, is fleeing a threat to his/her life, liberty or security, and a
risk of return to such conditions would surely engage section 7. There is
sufficient causal connection between Canada and the deprivation of those rights
by virtue of Canada’s participation in the STCA.
(b) Principles
of fundamental justice
[286] A further step
in a section 7 analysis is to determine whether the deprivation is in
accordance with the principles of fundamental justice. The Applicants assert
several principles of fundamental justice are applicable to this case. According
to the Applicants, non-refoulement itself is a principle of fundamental
justice. The Applicants also argue that the STCA violates the following
principles: arbitrariness/lack of discretion and overbreadth of legislation,
arbitrary detention, right to counsel and right to review.
[287] I will first
deal with the proposed principles of fundamental justice that are not
applicable in this situation. First, it is not necessary to determine whether
non-refoulement stands on its own as a principle as fundamental justice,
as the Charter arguments can be dealt with in another manner.
[288] Next, the CBSA
officer’s initial decision at the port of entry that a claimant does not fall
under one of the exceptions to the STCA will be reviewed by the Minister’s
delegate who makes the final decision. Judicial review is also available. I
disagree with the Applicants’ position that this is a highly complex
determination at which counsel must be present. I agree with the Respondent
that because this is not a final determination about the person’s status as a
refugee, but simply a determination of where the person can claim status, there
is no absolute right to counsel. In any case, it appears that counsel is
generally permitted.
[289] I could not
find, based on the evidence provided to me, that claimants returned to the U.S.
under the STCA will be subject to excessive or unfair detention in the U.S., so
this principle is irrelevant to the case.The fact that the claimant may
ultimately be unfairly detained in the home country or subject to persecution
or torture is dealt with earlier in these Reasons.
[290] It is in the
area of arbitrariness and lack of discretion where the principles of
fundamental justice collide with the operation of the STCA.
(c) Arbitrariness/lack
of discretion
[291] As noted
earlier, a Canadian immigration officer retains no discretion to allow a
claimant into Canada after determining that the claimant does not fit one of
the very narrow exceptions to the STCA. The Applicants argue that this leads to
arbitrary results which do not take the individual claimant’s circumstances
into account.
[292] For purposes of
analysis, it is appropriate to compare how safe third country agreements have
been applied in practice in Canada, the U.S. and the U.K. and determine whether
some discretion must remain with immigration officers to allow a claim to be
made in Canada in order to satisfy the requirements of fundamental justice.
(i) Canada
[293] The provision
under which individualized discretion could be afforded is Article 6 of the
STCA, which provides as follows:
Article
6
Notwithstanding
any provision of this Agreement, either Party may at its own discretion examine
any refugee status claim made to that Party where it determines that it is in
its public interest to do so.
[294] The One-Year
Review Report by the Canadian government describes how Canada interprets
Article 6 at pages 35 and 36. The Report states at page 35 that:
Canada
does not apply it on a case-by-case basis but rather as a means to achieve an
articulated public good or outcome.
[295] The government
opted for a regulatory mechanism to codify examples of when the public interest
exception should be exercised. According to the Report, the advantage of
defining categories in the Regulations rather than in the guidelines is that
regulations provide for maximum transparency and objective decision-making. It
is not possible to define all situations where the public interest exception
should be exercised. Thus, in order to respond to new or extraordinary
circumstances, including those relating to concerns for the safety of
individuals in the U.S. which engage the public interest, the guidelines could
be used as an interim measure, until the Regulations are amended. The current
Regulations codify public interest exceptions in two situations: 1) persons
subject to the death penalty, and 2) nationals of countries with stay of
removals under 230(1) IRPA. Thus, Canada interprets the public interest
exception as operating to allow for temporary categorical exceptions in the
interim until they can be incorporated formally in the Regulations.
Furthermore, the Report states at page 36 that:
Any
future regulatory amendments would need to be similarly based on policy
considerations generally relevant beyond individual cases, no matter how
compelling.
[296] The UNHCR
recommended broadening the interpretation to include, for example, vulnerable
persons who do not fall under any of the exceptions to the Agreement.
[297] In the June 2006
Monitoring Report, UNHCR noted at page 36 that “[t]he public interest provision
in Article 6 is interpreted in a way that leaves little room for discretion.” Thus,
UNHCR recommended at Recommendation 13.0:
There
are cases that fall outside the Agreement but that would otherwise warrant
exceptional consideration. The interpretation of Article 6 should permit
sufficient flexibility to allow for the consideration of certain cases based on
the public interest provision of the Agreement. For example, vulnerable
individuals who would not normally be eligible under an exception but who
nevertheless warrant special consideration because of their vulnerability (e.g.
victims of torture, disabled claimants, the elderly, etc.) should be deemed
eligible for consideration under Article 6.
[298] In sum, Canada’s
interpretation of Article 6 leaves no room for a case-by-case discretionary
analysis. The U.S. interprets Article 6 in an entirely different fashion.
(ii) The
United States
[299] The U.S.
position on Article 6 is that it retains discretion in its interpretation of
the STCA and its application on a case-by-case basis.
[300] Under INA
208(a)(2)(A), a person cannot apply for asylum where the alien is subject to
STCA, “unless the Attorney General [now deemed to be the Secretary of
Homeland Security for purposes of this provision…] finds that it is in the
public interest for the alien to receive asylum in the United States.”
(emphasis added)
[301] The process in
the U.S., as described in the One-Year Review Report, unfolds as follows. For
an offensive claim, an Asylum Officer conducts a threshold screening interview
to determine whether the applicant is eligible for credible fear screening or
is subject to removal to Canada under the STCA. Threshold screening
determinations are subject to review by both a Supervisory Asylum Officer and
Headquarters Asylum Division (HQASM). There are thus three layers of
independent consideration, and no other further review. Where there is a
defensive claim, Immigration Judges determine whether asylum seekers fall under
the STCA and whether they can establish an exception to the STCA.
[302] The One-Year
Review Report discusses the retention of discretion at page 68. During the
Threshold Screening interview, if the Asylum Officer determines that no other
exception applies, the Asylum Officer asks the applicant for any other reasons
why he or she wishes to pursue an asylum claim in the U.S. instead of Canada,
and considers whether a public interest exception applies to the individual
case. The Report notes that in the U.S., a determination of a public interest
exception is made on a case-by-case basis. The Report lists several categorical
areas in which a person might claim such an exception, including humanitarian
concern, the existence of minor anchor relatives, past torture, and health
needs, along with other relevant circumstances, on a case-by-case basis. If an
asylum officer believes a public interest exception applies, he or she makes a
recommendation to the Director of the Office of Refugee, Asylum and
International Operations. HQASM coordinates the final determination of the
exception.
[303] With respect to
the U.S. approach, the UNHCR stated at page 64 of the June 2006 Monitoring
Report that:
UNHCR
appreciates CIS’ policy of exploring asylum seekers’ eligibility for the public
interest exception in cases where they do not clearly establish eligibility
under the other exceptions to the Agreement. UNHCR also appreciates CIS’ stated
willingness to consider a variety of humanitarian factors when deciding
eligibility under the public interest exception.
[304] Thus, it appears
that the U.S. retains discretion to apply the provisions of the STCA where
Canada does not. It can be fairly argued that Canada has abdicated its
international and domestic responsibilities towards potential refugees in
favour of the administrative convenience of passing back to the U.S. the
responsibility for assessing those refugee claims. From a public policy
perspective, it may be advantageous to do so since the vast bulk of these
prospective refugees are inbound to Canada not vice versa. This
administrative convenience does not overshadow the individual rights and no s.
1 evidence has been adduced to justify the Canadian position under section 1 of
the Charter.
(iii) The
United Kingdom
[305] Professor
Greenwood provides a very thorough analysis of the evolution of the U.K.
legislation. His analysis suggests that there is no discretion retained by U.K.
officials in determining whether to certify that a person should be returned to
a safe country in situations similar to the situation under the Canada/U.S.
agreement. The only time the U.K. must make an individualized assessment is
when there is no pre-existing treaty or regulatory framework designating a
country as safe.
[306] The U.K. does
not enjoy the benefits and burdens of a Charter of Rights and Freedoms.
(d) Does
the Charter require individualized consideration?
[307] The Supreme
Court has held that a lack of discretion can render a provision arbitrary, and
has discussed the merits of allowing a front line decision-maker some
discretion in applying laws which deprive an individual of their life, liberty
or security of the person. In R. v. Lyons, [1987] 2 S.C.R. 309, the
accused argued that the fact that offenders could be treated differently
because of the prosecutor’s discretion about whether or not to make an
application to declare an accused a dangerous offender was unconstitutionally
arbitrary. At paragraph 64, the Court stated that the absence of this
discretion would render the law’s application arbitrary because the Crown would
be required to seek the declaration in every case, regardless of whether or not
it was warranted.
[308] The most
relevant pronouncement on this issue is R. v. Swain, [1991] 1 S.C.R.
933. The accused challenged sections of the Criminal Code which required
that a person found not guilty by reason of insanity be detained. No discretion
was given to the trial judge, so detention was mandatory in every case. The
accused argued that his rights were infringed because of automatic detention
without any consideration of the necessity for detention in each particular
case.
[309] Justice Lamer
found that automatic detention without any sort of hearing was not in
accordance with the principles of fundamental justice, and was therefore in
breach of the procedural aspect of section 7. He also concluded that the
impugned provision was arbitrary detention within the meaning of section 9
because it provided no rational standard for determining which acquittees
should be detained and which should not. The effect of the scheme was that
people who were not dangerous would be detained automatically. Justice Lamer
appears to have regarded the scheme as an infringement of section 7 as well,
since he notes that section 9, concerning arbitrary detention, is simply an
illustration of the general protection given in section 7.
[310] The facts of the
case at bar are analogous to Swain. The STCA, in its application to an
individual, may be “overbroad” or “arbitrary” because it applies to individuals
who may be placed at risk if sent back to the U.S. and grants no discretion to
the immigration officer to allow a person to make a claim in Canada where such
risk exists. The analysis of the state of U.S. law, practices and policies indicates
that it is not safe for all refugee claimants. Some discretion in the hands of the
front line immigration official would protect refugees who would otherwise be
exposed to risk of contravention of Articles 33 and 3 of the Conventions or who
for other individual circumstances should not be returned to the U.S.
[311] I need not
decide whether the Charter would be engaged in any event if the U.S. was
a safe country but one would be concerned about the lack of a case by case
process in that event as well.
[312] There is a
further aspect of arbitrariness which affects both section 7 and section 15; the
limitation of the STCA to those arriving by land. While there may be good
practical reasons for the distinction (it was suggested that traceability to
ensure that the person truly arrived from the U.S. is one), there is no section
1 justification advanced. Indeed, with respect to the traceability of a person
whose last stop before Canada was the United States, flights from U.S. points
would provide at least the same degree of assurance of origin as transportation
over land.
[313] Two people, in
the identical refugee situation, receive vastly different treatment and
protection. One transiting the U.S. from their home country makes the last part
of the journey by land to Canada, is immediately returned to the U.S. without the
benefit of being able to make a refugee claim. The other transits the U.S. and
makes the last part of the journey on a non-stop flight originating in the U.S.,
and receives the full panoply of Canadian protection.
[314] The situation
raises issues under section 7 and section 15 and is more fully discussed in the
analysis below.
(2) Section
15
[315] The Applicants
argue that the application of the STCA discriminates against refugees and
non-citizens, because other groups are given an opportunity to have a hearing
in Canada. The Applicants allege that women and minorities will be
disproportionately impacted because of the one-year bar and because of how
gender based claims are treated in the U.S. Colombians are also disproportionately
affected by the material support bar since Colombians are more likely to have
been extorted by a terrorist organization than other nationals.
[316] According
to the Supreme Court of Canada's section 15 jurisprudence, the equality
guarantees of section 15 are aimed at preventing the “violation of essential
human dignity and freedom through the imposition of disadvantage, stereotyping,
or political and social prejudices, and to promote a society in which all
persons enjoy equal recognition at law as human beings or as members of
Canadian society, equally capable and equally deserving of concern, respect and
consideration”; Law v. Canada (Minister of Employment and Immigration),
[1999] 1 S.C.R. 497 at paragraph 51.
[317] As first
outlined in Law, discrimination can be identified through a
three-step test.
1. Did the law, program,
or activity impose differential treatment between the claimant and a comparator
group? That is, was a distinction created between the groups in purpose or
effect?
2. If so, was the
differential treatment based on enumerated or analogous grounds?
3. If so, did the law in
question have a purpose or effect that is discriminatory within the meaning of
the equality guarantee?
(a) Does
the law impose differential treatment between the claimants and a comparator
group?
[318] The first
question in the Law framework is whether the impugned law draws a formal
distinction or fails to take into account the claimant’s already disadvantaged
position within society resulting in substantively differential treatment
between the claimant and others on the basis of one or more personal
characteristics.
[319] The Applicants
propose the following comparator group: persons seeking protection of their
fundamental human rights in the Canadian justice system, including citizens and
non citizens. The Respondents suggest that the appropriate comparator group is
refugee claimants arriving in Canada at a port of entry other than a land
border.
[320] An appropriate
comparator group shares all of the claimant’s characteristics except for the
enumerated or analogous personal characteristic which is the alleged ground of
discrimination; Hodge v. Canada, [2004] 3 S.C.R. 357. In Auton v.
British Columbia, [2004] 3 S.C.R. 657, the claimants argued that the
government discriminated against autistic people because it covered all
medically necessary services provided by physicians, and some services by
non-physicians, but not medically necessary autism therapy. The Supreme Court
selected a very narrow comparator group: those who were receiving comparable
novel therapies, as opposed to people receiving medically necessary therapy.
[321] In that case, as
in this one, the selection of the comparator group may be determinative. Auton
suggests a narrow approach to defining a comparator group. The Applicants argue
that Auton should be distinguished because it concerned a new benefit,
whereas this case concerns a well recognized obligation. I do not see how we
can distinguish a ruling about the appropriate approach to comparator groups on
that basis.
[322] I find the
Respondent’s choice of comparator group is more appropriate, but not ideal. Refugee
claimants entering Canada otherwise than at a land border share most of the
characteristics of the persons subject to the STCA, except that they are not
subject to the STCA. However, this comparator group does not touch on the real
issues at stake in this case in that it specifically ignores the very different
treatment of female claimants arriving at land borders compared to male
claimants. It also ignores differential treatment based on nationality.
[323] Women and
certain nationals are affected more harshly than other refugee claimants
covered by the STCA. I note that the Respondent’s statistics on the acceptance
rates for Colombians, for example, is not a clear indication that these
individuals would not suffer disproportionately under the STCA. There may be a
high acceptance rate because conditions in Colombia are especially harsh. Many
others may still be excluded under the material support bar or because they
cannot prove state acquiescence.
[324] I do not have
sufficient evidence before me concerning discriminatory practice in the U.S.
with respect to race or religion. However, there is evidence that people from
countries which are powerless to stop torture or from countries where terrorist
organizations routinely extort money will be disproportionately affected. It
will be especially hard for these individuals to prove genuine refugee claims
in the U.S. This is a burden which other claimants entering at the land border
do not bear.
(b) Discrimination
[325] In Andrews v.
Law Society of British Columbia, [1989] 1 S.C.R. 143, Justice McIntyre
stated that discrimination is “a distinction, whether intentional or not but
based on grounds relating to personal characteristics of the individual or
group, which has the effect of imposing burdens, obligations or disadvantages
on such individual or group not imposed upon others, or which withholds or
limits access to opportunities, benefits, and advantages available to other
members of society.”
[326] This indicates
that although the government’s objective was not to discriminate based on sex
or nationality (and in fact, on its face the STCA applies equally to everyone
approaching a land border), the fact that it has an especially adverse effect
for certain groups can mean that it is discriminatory. For example, in Eldridge
v. British Columbia, [1997] 3 S.C.R. 624, the Supreme Court found that it
was discriminatory that the government did not take the special circumstances
of deaf people into account and provide sign language interpretation services. The
failure to provide interpretation denied deaf people the full benefits of
healthcare which were provided to hearing people.
[327] To determine
whether a distinction is discriminatory, it is necessary to consider the four
contextual factors set out in Law.
(i) Pre-Existing
Disadvantage
[328] Women have been
traditionally disadvantaged. This is especially true of women from many refugee-producing
countries, where women are forced to flee their homes because of the severe
discrimination or more clearly the physical abuse they face and the inability
or unwillingness of their governments to protect them.
[329] Refugee claimants
from countries such as Colombia, where the government is powerless to prevent
torture by guerrilla groups, are also likely to have suffered pre-existing
disadvantage.
(ii) Correspondence
of the Law with the Individual’s Circumstances
[330] Here, the law
applies generally to those who approach the border from the U.S. It may meet
the needs of many such claimants, but in my opinion, may not meet the needs of
women and people from countries which are likely to produce the type of claim
which the U.S. may reject. It does not meet the needs of those persons who
would be caught by the U.S. laws, practices and policies which are not
compliant with Article 33 of the Refugee Convention and Article 3 of the
Convention Against Torture.
(iii) Ameliorative
Purpose
[331] This
is not a particularly relevant consideration in this context. The use of
limited exceptions to the STCA, as discussed earlier, does not address the
specific needs of individuals.
(iv) Nature
and Scope of Interests Affected
[332] The interest at
stake is highly important to an individual’s life, safety and dignity: the
right not to be refouled contrary to the Refugee Convention or CAT.
[333] I would
therefore conclude that the designation of the U.S. as a safe third country
leads to a discriminatory result in that it has a much more severe impact on persons
who fall into the areas where the U.S. is not compliant with the Refugee
Convention or CAT, and it discriminates against and exposes such people to risk
based solely on the method of arrival in Canada, a wholly irrelevant Charter
consideration.
(3) Can
the Breaches of Section 7 and Section 15 be justified under Section 1?
[334] In R. v. Oakes, [1986]
1 S.C.R. 103, Justice Dickson set out the following approach to s. 1 analysis
of whether the limitation on a Charter right is justified in a free and
democratic society:
1. There
must be a pressing and substantial objective.
2. The
means must be proportional.
(i)
The
means must be rationally connected to the objective.
(ii)
There
must be minimal impairment of rights.
(iii)
There
must be proportionality between the infringement and objective.
[335] It is
quite clear that the government’s objectives are important. Canada and the U.S.
formed the STCA in order to share their respective refugee obligations and to
create a more efficient refugee determination process. This may be an admirable
objective, which would be well served by the designation of the U.S. as a safe
third country. The STCA and the designation of the U.S. are clearly connected
to these goals.
[336] The
difficulty with the Respondent’s position is that there is insufficient
evidence of section 1 justification. There is no explanation of minimal
impairment or even that the objective is pressing and substantial. There has
been no evidence of the inadequacy of the Canadian refugee system to afford
proper protection.
[337] In my
view, the STCA, as it is currently structured and applied, contravenes section
7 and section 15 of the Charter for which justification under section 1
has not been made out.
IX. CONCLUSION
[338] For
the reasons outlined above, I find:
(a) that
the paragraphs 159.1 to 159.7 of the Immigration and Refugee Protection
Regulations and the Safe Third Country Agreement are ultra vires in
that the conditions to the enactment of the Regulations specified in IRPA s.
102(1) had not been met;
(b) that
the Governor-in-Council acted unreasonably in concluding that the United States
complied with Article 33 of the Refugee Convention and Article 3 of the
Convention Against Torture;
(c) that
the Governor-in-Council has failed to ensure the continuing review,
particularly of the practices and policies of the United States, as required by
IRPA s. 102(2); and
(d) that
the Regulations and the operation of the Safe Third Country Agreement are
contrary to the sections 7 and 15 of the Charter of Rights and Freedoms and
are not saved by section 1.
[339] Following
submissions by the parties as to any questions for certification and any other
terms of the Judgment, a judgment granting a declaration and ancillary relief in
accordance with these Reasons shall issue. The parties shall have until
December 17, 2007 to make submissions as to questions for certification and
form and content of the Judgment. Each party may then reply to the other’s
submissions by January 14, 2008.
[340] These
are special circumstances where a cost award is appropriate. The parties may
make submissions as to costs, in writing, within the time frames regarding
submissions as to a certified question.
“Michael
L. Phelan”
FEDERAL COURT
SOLICITORS OF RECORD
DOCKET: IMM-7818-05
STYLE OF CAUSE: CANADIAN
COUNCIL FOR REFUGEES,
CANADIAN COUNCIL OF
CHURCHES,
AMNESTY
INTERNATIONAL and JOHN DOE
and
HER
MAJESTY THE QUEEN
PLACE OF HEARING: Toronto, Ontario
DATE OF HEARING: February 5 and 6, 2007
REASONS FOR JUDGMENT: Phelan
J.
DATED: November 29, 2007
APPEARANCES:
Ms. Barbara Jackman
Mr. Andrew Brouwer
Ms. Leigh Salsberg
|
FOR THE APPLICANTS,
CANADIAN COUNCIL FOR
REFUGEES, CANADIAN COUNCIL OF CHURCHES and JOHN DOE
|
Mr. Lorne Waldman
|
FOR THE APPLICANT,
AMNESTY
INTERNATIONAL
|
Mr. David Lucas
Mr. François Joyal
Mr. Greg George
Ms. Matina Karvellas
|
FOR THE RESPONDENT
|
SOLICITORS OF RECORD:
JACKMAN & ASSOCIATES
Barristers & Solicitors
Toronto, Ontario
|
FOR THE APPLICANTS,
CANADIAN COUNCIL FOR
REFUGEES, CANADIAN COUNCIL OF CHURCHES and JOHN DOE
|
WALDMAN & ASSOCIATES
Barristers & Solicitors
Toronto, Ontario
|
FOR THE APPLICANT,
AMNESTY INTERNATIONAL
|
MR. JOHN H. SIMS, Q.C.
Deputy Attorney General of
Canada
Toronto, Ontario
|
FOR THE RESPONDENT
|