SUPREME
COURT OF CANADA
Citation:
Delta Air Lines Inc. v. Lukács, 2018 SCC 2
|
Appeal Heard:
October 4, 2017
Judgment
Rendered: January 19, 2018
Docket:
37276
|
Between:
Delta
Air Lines Inc.
Appellant
and
Gábor
Lukács
Respondent
-
and -
Attorney
General of Ontario, Canadian Transportation Agency, International Air Transport
Association and Council of Canadians with Disabilities
Interveners
Coram: McLachlin C.J. and Abella, Moldaver, Karakatsanis, Wagner,
Gascon, Côté, Brown and Rowe JJ.
Reasons for
Judgment:
(paras. 1 to 32)
|
McLachlin C.J. (Wagner, Gascon, Côté, Brown and Rowe JJ.
concurring)
|
Dissenting
Reasons:
(paras. 33 to 67)
|
Abella J. (Moldaver and Karakatsanis JJ. concurring)
|
Note: This document is subject to editorial revision before its
reproduction in final form in the Canada Supreme Court Reports.
delta air lines inc. v. lukács
Delta Air Lines Inc. Appellant
v.
Gábor Lukács Respondent
and
Attorney General of Ontario,
Canadian Transportation Agency,
International Air Transport Association and
Council of Canadians with
Disabilities Interveners
Indexed as: Delta Air Lines Inc.
v. Lukács
2018 SCC 2
File No.: 37276.
2017: October 4; 2018: January 19.
Present: McLachlin C.J. and Abella, Moldaver, Karakatsanis,
Wagner, Gascon, Côté, Brown and Rowe JJ.
on appeal from the federal court of appeal
Administrative
law — Boards and tribunals — Canadian Transportation Agency — Inquiry into
complaint — Standing — Public interest standing — Complainant alleging air
carrier’s practices regarding transportation of obese persons are
discriminatory — Agency dismissed complaint on basis that complainant lacked
standing — Whether Agency reasonably exercised its discretion to dismiss
complaint — Canada Transportation Act, S.C. 1996, c. 10, s. 37 .
L
filed a complaint with the Canadian Transportation Agency alleging that Delta
Air Lines’ practices in relation to the transportation of obese passengers are
discriminatory and contrary to s. 111(2) of the federal Air
Transportation Regulations. The Agency dismissed the complaint on the basis
that L failed to meet the tests for private interest standing and public
interest standing as developed by and for courts of civil jurisdiction. It
found L lacked private interest standing because he was not himself obese, and
so could not claim to be aggrieved or affected or to have some other sufficient
interest. It also determined that L lacked public interest standing because his
complaint did not challenge the constitutionality of legislation or the illegal
exercise of an administrative authority. The Federal Court of Appeal allowed
L’s appeal and held that a strict application of the law of standing as applied
in courts was inconsistent with the Agency’s enabling legislation. The court
directed that the matter be returned to the Agency to determine, otherwise than
on the basis of standing, whether it will inquire into, hear and decide L’s
complaint.
Held
(Abella, Moldaver and Karakatsanis JJ. dissenting): The appeal should
be allowed in part. The matter is remitted to the Agency to reconsider the
matter in whole, whether on the basis of standing or otherwise.
Per
McLachlin C.J. and Wagner, Gascon, Côté, Brown and Rowe JJ.: The
Canada Transportation Act bestows broad discretion on the Agency to hear
and determine complaints. In this case, the Agency did not reasonably exercise
its discretion to dismiss L’s complaint. A decision is reasonable if it is justifiable,
transparent and intelligible, and falls within a range of possible, acceptable
outcomes. The Agency’s decision that L lacked standing does not satisfy these
requirements for two reasons. First, the Agency presumed public interest
standing is available and then applied a test that can never be met. Any valid
complaint against an air carrier would impugn the terms and conditions established
by a private company. Such a complaint can never, by its very nature, be a
challenge to the constitutionality of legislation or the illegality of
administrative action. The imposition of a test that can never be met could not
be what Parliament intended when it conferred a broad discretion on this
administrative body to decide whether to hear complaints. The Agency’s
application of the test is also inconsistent with the rationale underlying
public interest standing, which is for the court to use its discretion, where
appropriate, to allow more plaintiffs through the door. The Agency did not
maintain a flexible approach to this question and in so doing unreasonably
fettered its discretion.
Second,
the total denial of public interest standing is inconsistent with a reasonable
interpretation of the Agency’s legislative scheme. Applying the tests for
private and public interest standing in the way the Agency did would preclude
any public interest group or representative group from ever having standing
before the Agency, regardless of the content of its complaint. In effect, only
a person who is herself targeted by the impugned policy could bring a
complaint. This is contrary to the scheme of the Act. Parliament has seen fit
to grant the Agency broad remedial authority and to allow the Agency to act to
correct discriminatory terms and conditions before passengers actually
experience harm. To refuse a complaint based solely on the identity of the
group bringing it prevents the Agency from hearing potentially highly relevant
complaints, and hinders its ability to fulfill the statutory scheme’s
objective.
While
a reviewing court may supplement the reasons given in support of an
administrative decision, it cannot ignore or replace the reasons actually
provided. This is not a case where merely supplementing the reasons can render
the decision reasonable. The Agency clearly stated a test for public interest
standing and applied that test. The Agency could have adapted the test so that
the complainants under its legislative scheme could actually meet it. It could
also have exercised its discretion without any reference to standing at all. But
it did neither of these things and the reviewing court must not do them in the
Agency’s place.
The
Court of Appeal should not have held that standing rules could not be
considered by the Agency in its reconsideration of the matter. The better
approach is to send the matter back to the Agency for reconsideration in its
entirety. Deference requires that the Agency determines for itself how to use
its discretion, provided it does so reasonably.
Per
Abella, Moldaver and Karakatsanis JJ. (dissenting): There is
nothing in the Agency’s mandate that circumscribes its ability to determine how
it will decide what cases to hear. Parliament has given the Agency wide
discretion to choose, according to its own institutional constraints and
demands, how it will promote its overall mandate to regulate and adjudicate national
transportation issues. The Agency’s power to process and resolve complaints is
framed in discretionary language, giving the Agency the authority to make its
own rules about how it carries on its work, as well as the manner of, and
procedures for, dealing with matters before the Agency. In this case, the
Agency developed its standing rules in full accordance with its legislative
mandate. There is no basis for interfering with them.
Standing
rules exist to enable a court or tribunal to economize and prioritize its
resources, and ensure that it benefits from contending points of view that are
advanced by those best placed to advance them. The Agency is entitled to apply
a gatekeeping or screening mechanism which enables it to balance, in a
transparent and effective manner, the Agency’s various competing interests and
demands, such as access and resources.
Tribunals
are not required to follow the same procedures courts use, but when a tribunal like
the Agency chooses to apply and exercise its broad legislative mandate by
borrowing an approach to standing long sanctioned by the courts as an effective
and principled way to determine which cases it will hear, reviewing courts
should not interfere merely because the court might have applied the mandate
differently. Where, as here, the adopted standing procedures flow from the same
concerns and rationales as those relied on by courts, there is no reason for a
tribunal to be immunized from access to a procedure courts have endorsed. Access
to justice demands that both courts and tribunals be encouraged to
develop screening methods to ensure that access to justice will be available to
those who need it most in a timely way. The fact that a tribunal’s governing
legislation has a public interest dimension does not preclude it from adopting
similar rules of standing to those used by the courts.
The
Agency’s decision to deny L’s complaint on the basis that he lacked standing was
reasonable in the circumstances. L brought a complaint with no underlying
facts, no representative claimants and no argument. His complaint is purely
theoretical, his interest in the issues is academic, and the proposed suit does
not constitute an effective and reasonable means of bringing the issue before
the Agency. It is therefore unnecessary to remit the matter back to the Agency.
Cases Cited
By McLachlin C.J.
Referred
to: Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1 S.C.R. 190; Alberta
(Information and Privacy Commissioner) v. Alberta Teachers’ Association,
2011 SCC 61, [2011] 3 S.C.R. 654; Edmonton (City) v. Edmonton East
(Capilano) Shopping Centres Ltd., 2016 SCC 47, [2016] 2 S.C.R. 293; Quebec
(Attorney General) v. Guérin, 2017 SCC 42; Canada (Attorney General) v.
Downtown Eastside Sex Workers United Against Violence Society, 2012 SCC 45,
[2012] 2 S.C.R. 524; Council of Canadians with Disabilities v. VIA Rail
Canada Inc., 2007 SCC 15, [2007] 1 S.C.R. 650; Newfoundland and Labrador
Nurses’ Union v. Newfoundland and Labrador (Treasury Board), 2011 SCC 62,
[2011] 3 S.C.R. 708; Lukács v. Porter Airlines Inc., Canadian
Transportation Agency, Decision No. 121‑C‑A‑2016, April
22, 2016; Pathmanathan v. Canada (Minister of Citizenship and Immigration),
2013 FC 353, 17 Imm. L.R. (4th) 154; Petro‑Canada v. Workers’
Compensation Board (B.C.), 2009 BCCA 396, 276 B.C.A.C. 135; Komolafe v.
Canada (Minister of Citizenship and Immigration), 2013 FC 431, 16 Imm. L.R.
(4th) 267.
By Abella J. (dissenting)
Fraser v. Canada
(Attorney General) (2005), 51 Imm. L.R. (3d) 101; Thorson
v. Attorney General of Canada, [1975] 1 S.C.R. 138; Nova Scotia Board of
Censors v. McNeil, [1976] 2 S.C.R. 265; Minister of Justice of Canada v.
Borowski, [1981] 2 S.C.R. 575; Finlay v. Canada (Minister of Finance),
[1986] 2 S.C.R. 607; Canadian Council of Churches v. Canada (Minister of
Employment and Immigration), [1992] 1 S.C.R. 236; Canada (Attorney
General) v. Downtown Eastside Sex Workers United Against Violence Society, 2012
SCC 45, [2012] 2 S.C.R. 524; Council of Canadians with Disabilities v. VIA
Rail Canada Inc., 2007 SCC 15, [2007] 1 S.C.R. 650; Lukács v. Porter
Airlines Inc., Canadian Transportation Agency, Decision No. 121‑C‑A‑2016,
April 22, 2016; Amalgamated Transit Union, Local 279 (Re), Canadian
Transportation Agency, Decision No. 431‑AT‑MV‑2008,
August 20, 2008; Lukács v. Canadian Transportation Agency, 2014 FCA
76, 456 N.R. 186; Maple Lodge Farms Ltd. v. Government of Canada, [1982]
2 S.C.R. 2; Hryniak v. Mauldin, 2014 SCC 7, [2014] 1 S.C.R. 87; Norman
Estate v. Air Canada, Canadian Transportation Agency, Decision No. 6‑AT‑A‑2008,
January 10, 2008.
Statutes and Regulations Cited
Air Transportation Regulations, SOR/88‑58,
ss. 111, 113, 113.1.
Canada Transportation Act, S.C.
1996, c. 10, ss. 5 , 17 , 25 , 37 , Part V.
Canadian Transportation Rules (Dispute Proceedings and Certain Rules
Applicable to All Proceedings), SOR/2014‑104,
s. 5(1).
Authors Cited
Dyzenhaus, David. “The Politics of Deference: Judicial Review and
Democracy”, in Michael Taggart, ed., The Province of Administrative Law.
Oxford: Hart, 1997, 279.
Jones, David Phillip, and Anne S. de Villars. Principles of
Administrative Law, 5th ed. Toronto: Carswell, 2009.
Sossin, Lorne. “Access to Administrative Justice and Other Worries”,
in Flood, Colleen M., and Lorne Sossin, eds., Administrative Law in
Context, 2nd ed. Toronto: Emond Montgomery, 2013, 211.
APPEAL
from a judgment of the Federal Court of Appeal (Webb, Scott and de Montigny
JJ.A.), 2016 FCA 220, 408 D.L.R. (4th) 760, [2016] F.C.J. No. 971 (QL),
2016 CarswellNat 4268 (WL Can.), setting aside a decision of the Canadian
Transportation Agency, No. 425‑C‑A‑2014, November 25,
2014, dismissing a complaint for discriminatory practices. Appeal allowed in
part, Abella, Moldaver and Karakatsanis JJ. dissenting.
Carlos P. Martins and Andrew W. MacDonald, for the appellant.
Gábor
Lukács, on his own behalf.
Heather Mackay and Edmund Huang, for the intervener the
Attorney General of Ontario.
Allan Matte and Mante Molepo, for the intervener the Canadian Transportation Agency.
David Neave and Derek Bell, for the intervener the International
Air Transport Association.
Byron Williams, Joëlle Pastora Sala and Alyssa Mariani, for the intervener the Council
of Canadians with Disabilities.
Benjamin Zarnett, as amicus curiae, and Jane Scholes.
The judgment of McLachlin C.J. and Wagner,
Gascon, Côté, Brown and Rowe JJ. was delivered by
The Chief Justice —
[1]
The respondent, Dr. Gábor Lukács, filed a complaint with the Canadian
Transportation Agency (“Agency”), alleging that the appellant, Delta Air Lines
Inc. (“Delta”), applied discriminatory practices governing the carriage of
obese persons. The Agency dismissed this complaint on the basis that Dr. Lukács failed to meet the tests for private
interest standing and public interest standing as developed by and for courts
of civil jurisdiction.
[2]
The question is whether the Agency’s decision
was reasonable. I conclude that it was not. I would remit the matter to the
Agency to reconsider whether to hear the complaint.
I.
Facts and Decisions Below
[3]
On August 24, 2014, Dr. Lukács submitted a
complaint to the Agency alleging that Delta’s practices in relation to the
transportation of obese passengers are discriminatory and contrary to s. 111(2)
of the Air Transportation Regulations, SOR/88-58 (“Regulations”). In
support of his complaint, he attached an email from Delta in response to a
passenger’s negative experience of sitting next to another passenger “who
required additional space”. In the email, Delta apologized and explained:
Sometimes, we ask the passenger to move
to a location in the plane where there’s more space. If the flight is full, we
may ask the passenger to take a later flight. We recommend that large
passengers purchase additional seats, so they can avoid being asked to rebook
and so we can guarantee comfort for all. [A.R., at p. 38]
[4]
On September 5, 2014, the Agency issued a letter
decision in response to this complaint. It stated: “It is not clear to the
Agency that, on the basis of his submission, Mr. Lukács has an interest in Delta’s practices governing
the carriage of obese persons. As such, his standing (or locus standi) in this matter is in question”:
(Decision No. LET-C-A-63-2014, September 5, 2014, reproduced in A.R., at p. 1).
The Agency called for submissions on the standing question.
[5]
In its ultimate decision, which is at issue in
this case, the Agency denied Dr. Lukács
standing and dismissed his complaint: Decision No. 425-C-A-2014, November 25,
2014. To do so, it applied the tests for private interest standing and public
interest standing as they have been developed by and for civil courts. It found
Dr. Lukács lacked private
interest standing because he was not himself obese, and so could not claim to
be “aggrieved” or “affected” or to have some other “sufficient interest” (para.
64). It then determined that he lacked public interest standing because his
complaint did not challenge the constitutionality of legislation or the illegal
exercise of an administrative authority (para. 74).
[6]
The
Federal Court of Appeal allowed Dr. Lukács’ appeal: 2016 FCA 220, 408 D.L.R. (4th) 760. The
Court of Appeal held that a strict application of the law of standing as
applied in courts was inconsistent with the Agency’s enabling legislation.
Moreover, it was contrary to the Agency’s objective to refuse to examine a
complaint based solely on whether a complainant had been directly affected or
had public interest standing (para. 27). The Court of Appeal held that in
refusing to examine Dr. Lukács’ complaint, the
Agency “unreasonably fettered its discretion” (para. 30). Ultimately, the Court
of Appeal directed that the matter be “returned to the Agency to determine,
otherwise than on the basis of standing, whether it will inquire into, hear and
decide [Dr. Lukács’] complaint” (para. 32).
II.
Analysis
A.
Standard of Review
[7]
The standard of review to be applied in this
case is reasonableness. This was the finding of the Court of Appeal (paras.
14-15) and is not disputed by the parties.
[8]
Where an administrative body interprets its own
statute and is required to exercise discretion under it, it is presumptively
entitled to deference: Dunsmuir v. New Brunswick, 2008 SCC 9, [2008] 1
S.C.R. 190, at paras. 53-54; Alberta (Information and Privacy Commissioner)
v. Alberta Teachers’ Association, 2011 SCC 61, [2011] 3 S.C.R. 654, at
para. 39; Edmonton (City) v. Edmonton East
(Capilano) Shopping Centres Ltd., 2016 SCC 47, [2016] 2 S.C.R. 293, at
para. 22; Quebec (Attorney General) v. Guérin, 2017 SCC 42, at paras.
33-35. There is no contention that the presumption of reasonableness is
rebutted in this case. As the Court of Appeal found, the issue “falls squarely
within the Agency’s expertise” (para. 15).
B.
The Legislative Scheme and the Agency’s
Discretion
[9]
The Agency is charged with implementing the Canada
Transportation Act, S.C. 1996, c. 10 (“Act ”) and the Regulations. This
legislative scheme requires the Agency to balance a range of interests in order
to ensure a competitive, safe, and accessible transportation network for all Canadians: s. 5 .
[10]
To meet these objectives, s. 37 of the Act
bestows broad discretion on the Agency to hear and determine complaints:
37 The Agency may inquire into, hear and determine a complaint concerning
any act, matter or thing prohibited, sanctioned or required to be done under
any Act of Parliament that is administered in whole or in part by the Agency.
[11]
With respect to international carriers,
including Delta, the Regulations prohibit any terms or conditions of carriage
which are unjustly discriminatory (s. 111(2)) and empower the Agency to take
action against any such term or condition (s. 113.1). The parties agree that s.
37 of the Act grants the Agency broad discretion to hear complaints regarding
international carriers, including Dr. Lukács’
complaint against Delta in this case.
C.
The Agency’s Decision
[12]
A decision is reasonable if it is justifiable,
transparent, and intelligible, and falls within “a range of possible,
acceptable outcomes”: Dunsmuir, at para. 47. Courts are required to pay
“respectful attention to the reasons offered or which could be offered in
support of a decision”: ibid., at para. 48, quoting D. Dyzenhaus, “The
Politics of Deference: Judicial Review and Democracy”, in M. Taggart ed., The
Province of Administrative Law (1997), 279, at p. 286. A reviewing court
must refer “both to the process of articulating the reasons and to outcomes”: ibid.,
at para. 47.
[13]
The question in this case is whether the Agency
reasonably exercised its discretion to dismiss Dr. Lukács’ complaint. On a
respectful reading of the Agency’s reasons, I conclude that it did not. The
decision does not satisfy the requirements of justification, transparency, and
intelligibility for two reasons. First, the Agency presumed public interest standing is available and
then applied a test that can never be met. This approach to standing
unreasonably fettered the Agency’s discretion. Second, the total denial of
public interest standing is inconsistent with a reasonable interpretation of
the Agency’s legislative scheme. I will address each of these points in turn.
[14]
In this case, the Agency had discretion
under s. 37 of the Act to determine whether to hear Dr. Lukács’ complaint. The Agency did not advert
to this discretion, however, and appeared to approach the standing question as
if bound by the tests for standing as applied in civil courts. As such, it
found that it would hear the complaint only if Dr.
Lukács could satisfy the test for either
private interest standing or public interest standing.
[15]
The Agency held that to establish private interest standing,
complainants must show that they are “aggrieved”, “affected”, or have some
other “sufficient interest” (para. 64). While the Agency appears to have
accepted that a complainant does not need to have suffered discrimination, it
held that the complainant does need to be a person to whom the impugned policy
applies. Dr. Lukács, who was not a
“‘large person’ for the purpose of Delta’s policy”, did not therefore have
private interest standing (ibid.).
[16]
Nor, the Agency held, could Dr. Lukács claim public interest standing. The Agency
stated the relevant test as follows, at para. 68:
1. Is there a serious issue as
to the validity of the legislation?
2. Is the party seeking public interest affected by the legislation
or does the party have a genuine interest as a citizen in the validity of the
legislation?
3. Is there another reasonable and effective manner in which the
issue may be brought to the court?
The Agency recognized this Court’s direction in Canada (Attorney General) v. Downtown Eastside
Sex Workers United Against Violence Society, 2012 SCC 45, [2012] 2 S.C.R. 524, at
para. 36, that these factors are not technical requirements and must be weighed
cumulatively. Nonetheless, the Agency proceeded to deny standing based on a
rigid application of the second factor of the test. It concluded that standing
must be denied because the complaint was “not related to the constitutionality
of legislation or to the non-constitutionality of administrative action” (para.
74).
[17]
This brings us to the first problem: the Agency applied a test for
public interest standing that could arguably never be satisfied. One of the
Agency’s functions is the regulation of air carriers, which are private,
non-governmental actors. Any valid complaint against an air carrier would
impugn the terms and conditions established by a private company. A complaint
regarding these terms and conditions can never, by its very nature, be a
challenge to the constitutionality of legislation or the illegality of
administrative action. In sum, the Agency suggests the availability of public interest standing to
bring a complaint of this type and then, in the same breath, precludes any
possibility of granting it. The imposition of a test that can never be met
could not be what Parliament intended when it conferred a broad discretion on
this administrative body to decide whether to hear complaints.
[18]
The Agency’s application of the test is also inconsistent with the
rationale underlying public interest standing. In determining whether to grant
public interest standing, courts must take a “flexible, discretionary
approach”: Downtown Eastside, at para. 1. This
requires balancing the preservation of judicial resources with access to
justice: ibid. at para. 23. The whole
point is for the court to use its discretion, where appropriate, to allow more
plaintiffs through the door. As the Agency
rightly put it, the objective is to hear from those plaintiffs or complainants
“with the most at stake” (para. 52). The Agency’s decision in this case, however, exhibits
no balancing; it does not allow those with most at stake to be heard. Rather, it uses public interest
standing simply to bar access. Downtown Eastside makes
clear that at least some plaintiffs will be granted public interest
standing. The Agency’s decision, in contrast, allows no complainants to
have public interest standing. The Agency did not maintain a flexible approach to
this question and in so doing unreasonably fettered its discretion. While the
public interest standing test was designed to protect courts’ discretion, the
Agency eliminated any of its own discretion under this test.
[19]
The second problem with the decision is that the impact of the tests
for private and public interest standing, applied as they were in this
decision, cannot be supported by a reasonable
interpretation of how the legislative scheme is intended to operate. Applying these tests in the way the Agency did would
preclude any public interest group or representative group from
ever having standing before the Agency, regardless of the content of its
complaint. A complaint by the Council of Canadians with
Disabilities, like the one brought in Council of Canadians with Disabilities
v. VIA Rail Canada Inc., 2007 SCC 15, [2007] 1 S.C.R. 650, would not be
heard. In effect,
only a person who is herself targeted by the impugned policy could bring a
complaint.
[20]
This is contrary to the scheme of the Act . Parliament has seen fit to
grant the Agency broad remedial authority. Section 5 (d) of the Act requires the
Agency to promote accessible transportation. And ss. 111 and 113 of the
Regulations allow the Agency to act to correct discriminatory terms and conditions
before passengers actually experience harm. Indeed, these provisions empower
the Agency to investigate based on a complaint or of its own motion. To refuse
a complaint based solely on the identity of the group bringing it prevents the
Agency from hearing potentially highly relevant complaints, and hinders its
ability to fulfill the statutory scheme’s objective. This does not
mean that every complaint from a public interest group must be heard. It is
unreasonable, however, for the Agency to apply a test that would prevent it
from hearing the complaint of any such group.
[21]
For these reasons, I conclude that the Agency’s decision fails to meet
the indicia of reasonableness enumerated in Dunsmuir.
[22]
Delta
acknowledges that the Agency’s reasons are deficient. It argues, however, that
the reviewing court is required to examine not only the reasons given, but the
reasons that could be given to support the
Agency’s decision: see Alberta Teachers, at para. 53; Newfoundland
and Labrador Nurses’ Union v. Newfoundland and Labrador (Treasury Board), 2011 SCC 62, [2011] 3 S.C.R. 708, at para. 12. Specifically, it
urges this Court to look to the justifications for denying standing enumerated
in Lukács v. Porter Airlines Inc., Canadian Transportation Agency,
Decision No. 121-C-A-2016, April 22, 2016.
[23]
Supplementing reasons may be appropriate in
cases where the reasons are either non-existent or insufficient. In Alberta
Teachers, no reasons were provided because the issue had not been raised
before the decision maker (para. 51). In Newfoundland Nurses, the
reasons were alleged to be insufficient (para. 8). These authorities are
distinguishable from this case, where the Agency provided detailed reasons that
enumerated and then strictly applied a test unsupported by the statutory
scheme.
[24]
The requirement that respectful attention be
paid to the reasons offered, or the reasons that could be offered, does not
empower a reviewing court to ignore the reasons altogether and substitute its
own: Newfoundland Nurses, at para. 12; Pathmanathan
v. Canada (Minister of Citizenship and Immigration),
2013 FC 353, 17 Imm. L.R. (4th) 154, at para. 28. I
agree with Justice Rothstein in Alberta Teachers when he cautioned:
The direction that courts are to give
respectful attention to the reasons “which could be offered in support of a
decision” is not a “carte blanche to reformulate a tribunal’s decision in a way
that casts aside an unreasonable chain of analysis in favour of the court’s own
rationale for the result” [para. 54, quoting Petro-Canada v. Workers’
Compensation Board (B.C.), 2009 BCCA 396, 276 B.C.A.C. 135, at paras. 53
and 56].
In other words, while a reviewing
court may supplement the reasons given in support of an administrative
decision, it cannot ignore or replace the reasons actually provided. Additional
reasons must supplement and not supplant the analysis of the administrative
body.
[25]
In my view, this is not a case where merely
supplementing the reasons can render the decision reasonable. The Agency
clearly stated a test for public interest standing and applied that test. The
Agency could have adapted the test so that the complainants under its
legislative scheme could actually meet it. Of course, it could also have
exercised its discretion without any reference to standing at all. But it did
neither of these things. The reviewing court must not do them in the Agency’s
place for three principal reasons.
[26]
First, to do so would require erasing the public
interest standing test and its application, as set out by the Agency, and
replacing them with reasons and justifications formulated by this Court. Delta
has not pointed to any administrative law authority that would justify this
approach.
[27]
Second, it would undermine, if not negate, the
vital role of reasons in administrative law. Dunsmuir still stands for
the proposition that reviewing courts must look at both the reasons and
the outcome. While this does not require “two discrete analyses” (Newfoundland
Nurses, at para. 14), it means that reasons still matter. If we allow
reviewing courts to replace the reasons of administrative bodies with their
own, the outcome of administrative decisions becomes the sole consideration.
With that approach, as long as the reviewing court could come up with some
possible justification — even if it contradicted the reasons given by the
administrative body — the decision would be reasonable. This goes too far. It
is important to maintain the requirement that where administrative bodies
provide reasons for their decisions, they do so in an intelligible, justified,
and transparent way.
[28]
Finally, this would amount to the reviewing
court assuming the role of the Agency by developing and applying a complaints
procedure under the Act . It would be ironic to allow the appeal in the name of
deference and then stipulate how the Agency should determine when to hear a
complaint: see Komolafe v. Canada (Minister of Citizenship and Immigration),
2013 FC 431, 16 Imm. L.R. (4th) 267, at para. 11.
[29]
With respect, I am of the view that this is the
approach taken by Abella J. in this case. Abella J. explains that the outcome
is reasonable because Dr. Lukács’ complaint is not “an effective and reasonable means of bringing the
issue before the Agency” (para. 64) and because he provides no explanation for
why an affected passenger could not have submitted his or her own complaint
(para. 65). These are not justifications that were provided by the Agency,
which set out that the public interest test requires a complaint that raises
the constitutionality of legislation or the illegal exercise of administrative
authority. The Agency then dismissed Dr. Lukács’ complaint on the sole basis that his complaint
did neither of these things. I do not see how my colleague’s justifications can be used to
supplement the Agency’s reasons, unless the Agency’s own formulation and
justification of the legal test is struck from the reasons and these
justifications are put in their place. This goes beyond paying respectful
attention to the reasons or appropriately supplementing them. It amounts
instead to replacing the Agency’s reasons with those of this Court and
effectively leaving the Agency with a standing test not of its own making.
[30]
I would agree with Abella J., however, that the
Court of Appeal should not have held that standing rules could not be
considered by the Agency in its reconsideration of the matter. The better
approach is to send this matter back to the Agency for reconsideration in its
entirety. In its order, the Court of Appeal stipulated that the Agency must
reconsider the matter “otherwise than on the basis of standing” (para. 32). I
would not structure the order so strictly so as to foreclose the possibility
that the Agency could reasonably adapt the standing tests of civil courts in
light of its statutory scheme. As my colleague observes, s. 25 of the Act
confers on the Agency “all the powers, rights and privileges that are vested in
a superior court” (para. 56) with respect to all matters within its
jurisdiction. This language indicates the legislator’s intention to give
deference to the Agency’s determination of its complaints process.
[31]
Of course, there are numerous other ways that
the Agency could exercise its discretion under s. 37 of the Act , including
examining whether the complaint is in good faith, timely, vexatious,
duplicative, or in line with the Agency’s workload and prioritization of cases.
The Agency may also wish to consider whether the claim raises a serious issue
to be tried or, as Abella J. has done, whether the complaint is based on
sufficient evidence. It is not for this Court to tell the Agency which of these
methods is preferable. Deference requires that we let the Agency determine for
itself how to use its discretion, provided it does so reasonably.
III.
Conclusion
[32]
I would allow the appeal in part to vary the
order of the Court of Appeal, with costs to the respondent. The matter should
be remitted to the Agency to reconsider the matter in whole, whether on the
basis of standing or otherwise.
The reasons of Abella, Moldaver and
Karakatsanis JJ. were delivered by
Abella J. —
Introduction
[33]
Gábor Lukács, a mathematician who describes
himself as an “air passenger rights advocate”, complained to the Canadian
Transportation Agency asserting that Delta Air Lines Inc.’s practices regarding
“large” persons were contrary to a tariff provision of the Air
Transportation Regulations, SOR/88-58.
[34]
Mr. Lukács’ complaint was based on an email
concerning a passenger who had told Delta that another passenger’s size made
him feel discomfort. Delta had apologized to that customer for the discomfort
and explained that under its guidelines, “large” passengers are either moved to
a part of the plane with more space or, if the plane is full, asked if they
wish to take a later flight. The
discomforted passenger did not file a complaint with the Agency. Mr. Lukács
did.
[35]
Mr. Lukács did not make a complaint about
disability.[1] He chose instead to bring a tariff complaint under s. 111(2) of the
Regulations, which states:
(2) No air carrier shall, in respect of tolls or the terms and
conditions of carriage,
(a) make any unjust discrimination
against any person or other air carrier;
(b) give any undue or unreasonable
preference or advantage to or in favour of any person or other air carrier in
any respect whatever; or
(c) subject any person or other air carrier or any description of
traffic to any undue or unreasonable prejudice or disadvantage in any respect
whatever.
His
complaint was not supported by any facts. Nor was there any suggestion that Mr.
Lukács spoke for, or represented, any “large” persons.
[36]
Mr. Lukács acknowledged that he was not raising
any disability-related issues and was not seeking better or special treatment
for “large” passengers, since he acknowledged that imposing such policies on
Delta “would be beyond the scope of the present complaint”. Instead, Mr. Lukács
was seeking to have Delta’s practices regarding “large” passengers stopped.
[37]
The Agency invited Mr.
Lukács and Delta to file submissions on whether Mr. Lukács had standing. The Agency concluded that Mr. Lukács lacked both private interest
and public interest standing. It held that private interest standing
prioritizes those who have a direct personal interest in the issue being
litigated, those whose interests are affected more than those of the general
public, and those who are seeking to gain something more than simply righting a
wrong. It is, as a result, only made out if a complainant is “aggrieved” or
“affected” or has some other “sufficient interest” (citing D. P. Jones and A.
S. de Villars, Principles of Administrative Law (5th ed. 2009), at pp.
646-47). Since Mr. Lukács brought forward no evidence that he fell within
Delta’s guidelines, Mr. Lukács was found not to be an “aggrieved” or “affected”
or a “sufficient[ly] interest[ed]” person able to get private interest
standing.
[38]
Mr. Lukács argued that the applicable test for
public interest standing should be the one he said was applied by the Ontario
Superior Court in Fraser v. Canada (Attorney General) (2005), 51
Imm. L.R. (3d) 101. He referred to the following three factors:
1. Is there a serious issue to
be tried?
2. Does the party seeking
public interest standing have a genuine interest in the matter?
3. Is the proceeding a
reasonable and effective means to bring the issue before the court (or
tribunal)?
(Canadian
Transportation Agency, Decision No. 425-C-A-2014, November 25, 2014, at para.
66)
[39]
The Agency, noting that the Ontario Superior
Court in Fraser actually framed the second factor differently — “Does
the UFCW have a genuine interest in the validity of the legislation?”
(emphasis added) — ultimately chose not to apply Mr. Lukács’ proposed test and
adopted instead the three-part framework developed by this Court in Thorson,
McNeil, Borowski, Finlay, Canadian Council of Churches,
and Downtown Eastside[2], which was in fact the test applied in Fraser. The framework
can be summarized as follows:
1. Is there a serious justiciable issue as to the validity of the
legislation (or the legality of the administrative acts)?
2. Is the party seeking public interest standing affected by the
legislation directly or does the party have a genuine interest as a citizen in
the validity of the legislation?
3. Is the proposed suit, in all the circumstances, a reasonable and
effective means of bringing the matter before the court?
Applying this
jurisprudence, and based on the nature of his complaint, the Agency concluded
that Mr. Lukács also lacked public interest standing.
[40]
At the Federal Court of Appeal, Mr. Lukács
acknowledged that he lacked a personal and direct interest in this case and
therefore no longer claimed private interest standing.
[41]
The Federal Court of Appeal found that the
Agency’s decision to dismiss the complaint based on the public interest
standing test developed by the courts was unreasonable. It concluded that since
tribunals are entitled to use less formal procedures, they should use
standing rules that are less formal than the ones used by courts. The issue was
returned to the Agency to determine whether it would inquire into Mr. Lukács’
complaint on a basis other than the rules of standing developed by the courts.
[42]
In my respectful view, based on the purposes and
provisions in its governing statute, while the Agency is not required to
apply the same standing rules used by courts, nothing in its governing statute
prevents it from doing so. Nor is its conclusion that Mr. Lukács lacked
standing unreasonable. I would therefore allow the appeal.
Analysis
[43]
The issue is whether the Agency can develop and
apply its own standing rules and, if so, whether they can be similar to those
applied by courts. All of the parties agree that reasonableness is the
applicable standard of review.
[44]
The intention of Parliament was for the Agency
to have the authority to interpret and apply its wide-ranging governing statute
dealing with national transportation issues, address policy, and balance the
multiple and competing interests before it (Council of Canadians with
Disabilities v. VIA Rail Canada Inc., [2007] 1 S.C.R. 650, at para. 107).
There is nothing in the Agency’s mandate that circumscribes its ability to
determine how it will decide what cases to hear.
[45]
Like the courts, the Agency is entitled to apply
a gatekeeping or screening mechanism that is principled and for the same
principled reason, namely, to avoid an arbitrary and undisciplined ad hoc
approach to standing. And, like the courts, a principled gatekeeping function
enables the Agency to balance, in a transparent and effective manner, the
various competing interests and demands before it, such as access and
resources.
[46]
The Agency’s approach to public interest
standing is based on this Court’s jurisprudence and reflects traditional
gatekeeping rationales:
. . . applying standing to
public law accomplishes three key objectives. First, it ensures that scarce
judicial resources are economized. Second, it ensures that the most urgent
cases (those that actually affect people, as opposed to theoretical cases) are
heard as quickly and efficiently as possible. Finally, it ensures that the best
evidence is before the decision maker: the evidence of someone actually
affected.
(Lukacs
v. Porter Airlines Inc., Canadian Transportation Agency, Decision No.
121-C-A-2016, April 22, 2016, at para. 19; see also Amalgamated Transit
Union, Local 279 (Re), Canadian Transportation Agency, Decision No. 431-AT-MV-2008,
August 20, 2008.)
[47]
Mr. Lukács argued, however, that the courts’ law
of standing is inappropriate in a tribunal context because, in his view, the
assumptions that justify the use of standing in the civil courts context are
absent. His argument, at its core, is for universal standing, namely that
everyone who brings a claim before the Agency is entitled to have it heard.
[48]
This claim for universal standing ignores why
standing rules exist. As Cromwell J. explained in Downtown Eastside, “it
would be intolerable if everyone had standing to sue for everything, no matter
how limited a personal stake they had in the matter” (para. 1). Standing rules
allow tribunals to preserve and properly allocate scarce judicial resources,
screen out “the mere busybody”, and ensure that contending points of view are
fully canvassed (Downtown Eastside, at para. 25).
[49]
Standing rules also ensure that tribunals have
the “benefit of contending points of view of the persons most directly affected
by the issue” (Downtown Eastside, at para. 29).
[50]
And, as in courts, standing enables a tribunal
to economize and prioritize its resources, and ensure that it benefits from
contending points of view that are advanced by those best placed to advance
them. And all this to ensure that the most timely and effective use can be made
of a tribunal’s ability to implement its mandate.
[51]
Requiring a tribunal to adjudicate even marginal
or inadequately substantiated complaints, on the other hand, grinds the
operation of a tribunal to a halt and can be “devastating” to private
litigants. As Cory J. warned in Canadian Council of Churches:
It would be disastrous if the courts
were allowed to become hopelessly overburdened as a result of the unnecessary
proliferation of marginal or redundant suits brought by well-meaning
organizations pursuing their own particular cases certain in the knowledge that
their cause is all important. It would be detrimental, if not devastating, to
our system of justice and unfair to private litigants. [p. 252]
[52]
The fact that a tribunal’s governing legislation
has a public interest dimension does not preclude it from adopting similar
rules of standing to those used by the courts. All tribunals have a
public interest mandate because all legislation does. This does not mean that
all litigants who want to bring a claim can automatically do so. The question
is what the tribunal’s enabling legislation mandates or precludes (L. Sossin,
“Access to Administrative Justice and Other Worries”, in C. M. Flood and L.
Sossin, eds., Administrative Law in Context (2nd ed. 2013), 211, at p.
214).
[53]
Parliament has given the Agency wide discretion
to choose, according to its own institutional constraints and demands, how it
will promote its overall mandate to regulate and adjudicate national
transportation issues. That discretion is found in ss. 17 , 25 and 37 of the Canada
Transportation Act, S.C. 1996, c. 10 . Under s. 37 of the Act , the Agency has the authority to determine which complaints it will
inquire into:
37 The
Agency may inquire into, hear and determine a complaint concerning any act,
matter or thing prohibited, sanctioned or required to be done under any Act of
Parliament that is administered in whole or in part by the Agency.
The Agency’s power to process and
resolve complaints is framed in discretionary language. The Agency may inquire into, hear and determine a complaint.
I agree with Mr. Lukács that anyone can bring a complaint, but his view
that there is no discretion to decide which complaints to hear reads out the
word “may” from s. 37.
[54]
Under s. 17 of the Act , the Agency may
make its own rules about how it carries on its work, as well as the manner of
and procedures for dealing with matters before the Agency. It states:
17 The Agency may make rules respecting
(a) the sittings of the Agency and the
carrying on of its work;
(b) the manner of and procedures for
dealing with matters and business before the Agency, including the
circumstances in which hearings may be held in private; and
(c) the number of members that are required to hear any matter or
perform any of the functions of the Agency under this Act or any other Act of
Parliament.
These rules are codified in the Canadian
Transportation Agency Rules (Dispute Proceedings and Certain Rules
Applicable to All Proceedings), SOR/2014-104 (“Rules”).
[55]
Under s. 5(1) of the Rules,[3] the Rules are to be interpreted so as to facilitate the
optimal use of Agency and party resources, and the promotion of justice.
Examining the Agency’s mandate through the lens of efficiency, Dawson J.A.
noted that “[e]fficient processes are the result of a number of factors, not
the least of which are rules of procedure that establish efficient procedures
and that are flexible and able to react to changing circumstances” (Lukács
v. Canadian Transportation Agency, 2014 FCA 76, 456 N.R. 186, at para. 54).
Formulating and applying screening or gatekeeping rules represents one way in
which the Agency can legitimately realize these goals.
[56]
And, under s. 25 of the Act , the Agency
has “all the powers, rights and privileges that are vested in a superior court”
to deal with “all matters necessary or proper for the exercise of its
jurisdiction”, including compelling the attendance and examination of
witnesses, ordering the production and inspection of documents, entering and
inspecting property and enforcing its orders. Like s. 17 of the Act, s.
25 reflects a choice on the part of Parliament to grant the Agency expansive,
discretionary authority to manage its own processes and procedures, including
judicial powers.
[57]
The Federal Court of Appeal in this case
acknowledged that the Agency has the discretion not to hear every case:
As recently stated by this
Court in Lukacs v. Canada (Transport Agency), 2016
FCA 202 (F.C.A.) at paragraphs 31-32,
the Act does not create a general obligation for the Agency to deal with
each and every complaint regarding compliance with the Act and its
various regulations. Section 37 of the Act , in particular, makes it
clear that the Agency “may” inquire into, hear
and determine a complaint. There is no question . . .
that the Agency retains a gatekeeping function and has been granted the
discretion to screen the complaints that it receives to ensure, among other
things, the best use of its limited resources.
(2016
FCA 220, 408 D.L.R. (4th) 760, at para. 16)
Yet after accepting that the Agency
has discretionary gatekeeping authority, the Federal Court of Appeal went on to
constrain that discretion by saying that the gatekeeping exercise could not be
based on the approach used by courts.
[58]
The legislature has given the Agency wide
discretionary authority over how to exercise its mandate. It is not a fettering
of discretion for a tribunal to exercise this discretionary authority
differently from how a reviewing court would exercise it. This, with respect,
results in the court unduly fettering the Agency’s discretion, not the Agency
fettering its own.
[59]
There is no doubt that one can envision other
tests for standing, but once we accept that gatekeeping is a legitimate
exercise of the Agency’s discretion in accordance with its mandate, what is the
court’s authority for replacing the Agency’s test with one it prefers? As McIntyre J. cautioned in Maple Lodge Farms Ltd. v. Government of
Canada, [1982] 2 S.C.R. 2, when he wrote: “. . . courts
should not interfere with the exercise of a discretion by a statutory authority
merely because the court might have exercised the discretion in a different
manner had it been charged with that responsibility” (para. 7).
[60]
A tribunal’s standing rules will not necessarily
survive scrutiny simply because the tribunal is authorized by statute to
develop its own procedures. But when a tribunal like the Agency chooses to
apply and exercise its broad legislative mandate by borrowing an approach long
sanctioned by the courts as an effective and principled way to determine which
cases it will hear, reviewing courts should not be overly eager to substitute
their own vision of how that tribunal’s procedural mandate should be applied.
To do so, in effect, undermines not only the legitimacy of the standing rules
developed and applied by the courts, it undermines public confidence in the
tribunal by suggesting it lacks the indicia of an adjudicative body with
sufficient institutional maturity to apply the same rules as a court. Put
colloquially, if it’s good enough for the courts, it’s good enough for
tribunals. I recognize that the application of court-like procedures to the
tribunal context may not, in certain circumstances, be appropriate, but where,
as here, the adopted procedures flow from the same concerns and rationales, I
see no reason for a tribunal to feel immunized from access to a procedure
courts have found helpful.
[61]
This does not mean that tribunals are required
to follow the same procedures courts use, but when they do, this should not be
a stand-alone basis for quashing them. Unless we are prepared to say that the
courts’ standing rules are inappropriate, I see no reason to conclude that
their propriety is diminished when applied by a tribunal. In this case, the
Agency developed its standing rules in full accordance with its legislative
mandate. There is no basis for interfering with them.
[62]
There is no doubt that the test for public
interest standing is a high threshold and results in some individuals or groups
being unable to raise issues they consider significant. Yet courts routinely
apply this threshold as a transparent way to determine the most effective use
of their time, resources and expertise. No less are tribunals entitled to apply
high thresholds in order to preserve their ability to manage resources and
expertise in accordance with their mandate. Access to justice demands that
courts and tribunals be encouraged to, not restrained from, developing
screening methods to ensure that access to justice will be available to those
who need it most in a timely way (Hryniak v. Mauldin, [2014] 1 S.C.R.
87). That is why courts developed standing rules in the first place.
[63]
The test applied by the Agency effectively
foreclosed Mr. Lukács’ ability to make out a case for public interest standing
in this case. But, in my respectful view, that does not end the matter. The
question to be determined is whether the outcome reached by the Agency was
reasonable. Mr. Lukács has brought a complaint with no underlying facts, no
representative claimants and no argument. He wants to engage the Agency in a
fishing expedition that will have the effect of distracting it from its ability
to exercise its mandate on behalf of those with a prima facie legitimate
claim.
[64]
Even if the Agency had applied the lower public
interest standing test proposed by Mr. Lukács, I do not see how he would have
been successful in having his complaint inquired into. It is therefore
unnecessary to remit the matter back to the Agency. His complaint regarding
Delta’s practices is purely theoretical, his interest in the issues is academic
and the proposed suit does not constitute an effective and reasonable means of
bringing the issue before the Agency. He submitted no evidence that any of
Delta’s passengers, including the passenger whose email he relied on, had
actually been affected by the issue he raised before the Agency. In fact, he
submitted no evidence at all even though the Agency has an open complaint
procedure whereby complainants are invited to make and substantiate their
complaints through an accessible online application.
[65]
Nor has he provided any explanation for why a
passenger affected by Delta’s practices could not have submitted his or her own
application to the Agency, “thereby provid[ing] the Agency with direct and
concrete evidence upon which to adjudicate” (Porter, at para.
65). Such direct and concrete evidence seems all the more necessary given the
Agency’s decision dealing with, and Mr. Lukács’ acknowledged familiarity with
the Agency’s best known disability case, setting out the “one-person -
one-fare” policy, which states that “the determination of whether a person is
disabled by reason of obesity is dependent on the facts and circumstances in
each individual case and must be assessed on a case-by-case basis” (Norman
Estate v. Air Canada, Decision No. 6-AT-A-2008, January 10, 2008, at para.
128).
[66]
The Agency’s decision to deny Mr. Lukács’
complaint on the basis that he lacked standing was therefore reasonable in all
the circumstances.
[67]
I would allow the appeal and restore the Agency’s
decision. Delta is not seeking costs.
Appeal
allowed in part with costs to the respondent, Abella, Moldaver and Karakatsanis JJ. dissenting.
Solicitors
for the appellant: Bersenas Jacobsen Chouest Thomson Blackburn, Toronto.
Solicitor
for the intervener the Attorney General of Ontario: Attorney General of
Ontario, Toronto.
Solicitor
for the intervener the Canadian Transportation Agency: Canadian
Transportation Agency, Gatineau.
Solicitors
for the intervener the International Air Transport Association: DLA Piper
(Canada), Vancouver.
Solicitor for the intervener
the Council of Canadians with Disabilities: Public Interest Law Centre,
Winnipeg.