Judgments

Decision Information

Decision Content

CSIS 66-85
Harjit Singh Atwal (Applicant)
v.
The Queen (Respondent) *
INDEXED AS: ATWAL v. CANADA
Heald J.-Ottawa, March 26, 27 and April 30, 1987.
Security Intelligence - Warrant issued after hearing under CSIS Act, s. 21 - Evidence obtained thereunder to be used in conspiracy to commit murder prosecution - Intercepted tele communications - Motion to rescind warrant for non-compli ance with s. 21, as contravening search and seizure standards of Charter s. 8 and as affidavit in support not justifying issuance - Non-applicability of Criminal Code case law to CSIS warrants since objectives of Code and CSIS Act different - Canadian Security Intelligence Service Act, S.C. 1984, c. 21, ss. 2, 7(1)(b), 21, 26, 27, 30-40 - Criminal Code, R.S.C. 1970, c. C-34, ss. 178.13 (as added by S.C. 1973-74, c. 50, s. 2; 1976-77, c. 53, s. 9), 423(1)(a) (as am. by S.C. 1985, c. 19, s. 62), 443(1)(b) (as am. idem, s. 69), 577(3) - Federal Court Rules, C.R.C., c. 663, R. 330 (as am. by SOR/79-58, s. 1).
Constitutional law - Charter of Rights - Criminal process - Search or seizure - Canadian Security Intelligence Service Act s. 21 wiretap and search warrant - No "unreasonable" search or seizure - No requirement Court be satisfied, before issuing warrant, offence committed or evidence thereof to be found at place of search - Provisions of CSIS Act not required to coincide with standards established by Southam case for Criminal Code matters - Canadian Security Intelli gence Service Act, S.C. 1984, c. 21, ss. 2, 7(1)(b), 21, 26, 27, 30-40 - Canadian Charter of Rights and Freedoms, being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.), ss. 1, 8 - Combines Investigation Act, R.S.C. 1970, c. C-23.
* Editor's note: This decision has now been reversed on appeal (Mahoney and MacGuigan JJ. with Hugessen J. dis senting in part). The majority held that "in the absence of an objection under section 36.1 of the Canada Evidence Act, the learned Judge should have ordered disclosure of the affidavit after deleting therefrom anything from which the identity of any person described in paragraph 18(1)(a) and/or (b) of the Act can be inferred". The reasons for judgment of the Federal Court of Appeal will be published in the Canada Federal Court Reports on a top priority basis.
Practice - Privilege - Solicitor-client privilege - Inter ception of solicitor-client communications under Canadian Security Intelligence Service Act s. 21 warrant - State secu rity versus solicitor-client confidentiality - Validity of war rant not affected where curtailment of privilege sufficiently limited in warrant - Canadian Security Intelligence Service Act, S.C. 1984, c. 21, ss. 2, 7(1)(b), 21, 26, 27, 30-40 Penitentiary Act, R.S.C. 1970, c. P-6.
Practice - Discovery - Production of documents - Na tional security - Secret affidavit sworn in support of applica tion for warrant under Canadian Security Intelligence Service Act s. 21 - Special circumstances permitting Court to depart from general rule of full disclosure of all Court documents to all parties - Canada Evidence Act, R.S.C. 1970, c. E-10, ss. 36.1 (as added by S.C. 1980-81-82-83, c. 111, s. 4), 36.2 (as added idem) - Canadian Security Intelligence Service Act, S.C. 1984, c. 21, ss. 2, 7(1)(b), 21, 26, 27, 30-40 - Criminal Code, R.S.C. 1970, c. C-34, ss. 178.13 (as added by S.C. 1973-74, c. 50, s. 2; 1976-77, c. 53, s. 9), 423(1)(a) (as am. by S.C. 1985, c. 19, s. 62), 443(1)(b) (as am. idem, s. 69), 577(3) - Federal Court Rules, C.R.C., c. 663, R. 330 (as am. by SOR/79-58, s. 1).
On July 26, 1985, a Federal Court judge issued a wiretap and search warrant directed against the applicant pursuant to section 21 of the Canadian Security Intelligence Service Act (CSIS Act) for the investigation of a threat to the security of Canada. In September 1986, the applicant was charged, along with eight other individuals, with conspiracy to commit murder. The prosecutor proposes to introduce into evidence at trial certain tapes and transcripts of telecommunication intercepted pursuant to the section 21 warrant. Two of the intercepted telephone calls involved a solicitor. They were both dealt with in accordance with the conditions of the warrant: an authorized member of the Service determined that they did not relate to the threat to the security of Canada specified in the warrant and ordered those conversations erased from the tape.
This is an application pursuant to Rule 330 for an order rescinding the warrant. The applicant submits: a) that the warrant is invalid on its face because it fails to comply with section 21 of the CSIS Act; b) that the warrant and its authorizing statute are invalid on their face because they violate the Charter guarantee against unreasonable search and seizure; c) that the warrant may be invalid because the affida vit filed in support thereof did not justify its issuance (which raises the issue of the disclosure of a secret affidavit dealing with national security).
Held, the application should be dismissed.
Because of the distinctly different legislative purposes, there is, necessarily, a different focus to be applied when interpreting "information-oriented" and "open-ended" domestic surveil lance legislation as opposed to the focus to be given to the application and interpretation of normal "result-oriented" and "closed" law enforcement legislation such as the Criminal Code of Canada. There was, therefore, no need for the issuing judge to specify in writing that he was satisfied as to the matters specified in paragraphs 21(2)(a) and (b). Nor was it necessary to specify the alleged threat to which the warrant relates or to limit more precisely the seizures of oral or written communica tions or things to those which relate to the alleged threat. The very nature of the investigation and the prevention of terrorism necessitate a broad authority to intercept.
Solicitor-client confidentiality is not to be interfered with lightly. Interference should be allowed only to the extent abso lutely necessary in order to achieve the ends sought by the enabling legislation. The detection and prevention of political terrorism represents a compelling public interest entitled to great weight when placed on the scale to be weighed against possible curtailment of solicitor-client confidentiality. The con ditions of the warrant in this regard represent a reasonable balancing of the competing interests.
The warrant does not violate the guarantee against unreason able search or seizure in section 8 of the Charter. The decision of the Supreme Court of Canada in Hunter et al. v. Southam Inc., setting out the principal requirements for a valid search or seizure, is relied upon by the applicant. That same case, however, adds that "where State security is involved ... the relevant standard might well be a different one". Thus, the requirements that the presiding judge be satisfied that there are reasonable and probable grounds to believe that an offence has been committed and that evidence of the offence will be found at the place of the search do not apply herein. Nothing in the CSIS Act requires evidence of the commission of an offence to be before the Court when a section 21 warrant is issued since the Act seeks not to react to events but rather advance warning of security threats. Furthermore, the safeguards and procedures set out in the Act satisfy the criteria of reasonableness required under section 8 of the Charter.
The Crown cannot rely on sections 36.1 and 36.2 of the Canada Evidence Act to oppose the disclosure of the supporting affidavit based on injury to national security because it has failed to raise the objection in the manner required by that Act. Although, as a general rule, the applicant in a proceeding such as this is entitled to disclosure of all documents in the Court record, that right is not absolute. The judge has a discretion to deny access to any Court document when, as in the present case, it is warranted by special circumstances such as preserv ing the Security Service's ability to investigate political terror ism and to discharge its mandate in the interests of national security.
CASES JUDICIALLY CONSIDERED
APPLIED:
The Eastman Photographic Materials Company Limited v. The Comptroller-General of Patents, Designs, and Trade Marks, [1898] A.C. 571 (H.L.); United States v. United States District Court for the Eastern District of Michigan, Southern Division et al., 32 L.Ed. (2d) 752 (U.S.S.C. 1972); Regina v. Finlay and Grellette (1985), 23 C.C.C. (3d) 48 (Ont. C.A.); Solosky v. The Queen, [1980] 1 S.C.R. 821; 50 C.C.C. (2d) 495; Gold v. The Queen, [1985] 1 F.C. 642; 4 C.P.C. (2d) 20 (T.D.), affirmed [1986] 2 F.C. 129; 25 D.L.R. (4th) 285 (C.A.); Kevork v. The Queen, [1984] 2 F.C. 753; 17 C.C.C. (3d) 426 (T.D.); R. v. Kevork, Balwin and Gharakhanian (1986), 27 C.C.C. (3d) 523 (Ont. H.C.J.); Goguen v. Gibson, [1983] 1 F.C. 872 (T.D.); affirmed [1983] 2 F.C. 463; (1984), 10 C.C.C. (3d) 492 (C.A.); Attorney Gener al of Nova Scotia et al. v. Maclntyre, [1982] 1 S.C.R. 175; 65 C.C.C. (2d) 129; Cadieux v. Director of Moun tain Institution, [1985] 1 F.C. 378; (1984), 9 Admin. L.R. 50 (T.D.); Rice v. National Parole Board (1986), 16 Admin. L.R. 157 (F.C.T.D.).
DISTINGUISHED:
Descôteaux et al. v. Mierzwinski, [1982] 1 S.C.R. 860; 70 C.C.C. (2d) 385; Hunter et al. v. Southam Inc., [1984] 2 S.C.R. 145; 14 C.C.C. (3d) 97; Volckmar v. Krupp, [1958] O.W.N. 303 (Ont. H.C.J.); Bunker Ramo Corp. v. TRW Inc., [1980] 2 F.C. 488; 47 C.P.R. (2d) 159 (T.D.).
CONSIDERED:
Regina v. Welsh and lanuzzi (No. 6) (1977), 32 C.C.C. (2d) 363 (Ont. C.A.); Lyons et al. v. The Queen, [1984] 2 S.C.R. 633; 15 C.C.C. (3d) 417.
REFERRED TO:
Grabowski v. The Queen, [1985] 2 S.C.R. 434; 22 C.C.C. (3d) 449; Wilson v. The Queen, [1983] 2 S.C.R. 594; 9 C.C.C. (3d) 97.
COUNSEL:
Michael Code and David Gibbons for applicant.
John H. Sims, Q.C. and Douglas R. Wyatt for respondent.
Alexander Budlovsky for Attorney General of British Columbia.
SOLICITORS:
Ruby & Edwardh, Toronto, for applicant.
Deputy Attorney General of Canada for respondent.
Attorney General of British Columbia for the Province of British Columbia.
The following are the reasons for judgment rendered in English by
HEALD J.: This is an application pursuant to Rule 330 of the Federal Court Rules [C.R.C., c. 663 (as am. by SOR/79-58, s. 1)] for an order rescinding a warrant dated July 26, 1985, and issued by me after an ex parte hearing in Federal Court File CSIS 66-85 pursuant to the provisions of section 21 of the Canadian Security Intelligence Service Act, S.C. 1984, c. 21 (CSIS Act). Rule 330 provides:
Rule 330. The Court may rescind
(a) any order that was made ex parte, or
(b) any order that was made in the absence of a party who had failed to appear through accident or mistake or by reason of insufficient notice of the application;
but no such rescission will affect the validity or character of anything done or not done before the rescinding order was made except to the extent that the Court, in its discretion, by rescission order expressly provides.
My jurisdiction to issue the impugned order is derived from section 2 of the CSIS Act wherein "judge" is defined as "a judge of the Federal Court of Canada designated by the Chief Justice thereof for the purposes of this Act;". On the date of the issuance of the impugned order, I was and continue to be, as of this date, a judge so desig nated by the Chief Justice of this Court.
For a proper understanding of the issues raised by this application, it will be helpful to recite section 21 of the CSIS Act in its entirety. The section reads:
21. (1) Where the Director or any employee designated by the Minister for the purpose believes, on reasonable grounds, that a warrant under this section is required to enable the Service to investigate a threat to the security of Canada or to perform its duties and functions under section 16, the Director or employee may, after having obtained the approval of the Minister, make an application in accordance with subsection (2) to a judge for a warrant under this section.
(2) An application to a judge under subsection (1) shall be made in writing and be accompanied by an affidavit of the applicant deposing to the following matters, namely,
(a) the facts relied on to justify the belief, on reasonable grounds, that a warrant under this section is required to enable the Service to investigate a threat to the security of Canada or to perform its duties and functions under section 16;
(b) that other investigative procedures have been tried and have failed or why it appears that they are unlikely to succeed, that the urgency of the matter is such that it would be impractical to carry out the investigation using only other investigative procedures or that without a warrant under this section it is likely that information of importance with respect to the threat to the security of Canada or the performance of the duties and functions under section 16 referred to in paragraph (a) would not be obtained;
(c) the type of communication proposed to be intercepted, the type of information, records, documents or things pro posed to be obtained and the powers referred to in para graphs (3)(a) to (c) proposed to be exercised for that purpose;
(d) the identity of the person, if known, whose communica tion is proposed to be intercepted or who has possession of the information, record, document or thing proposed to be obtained;
(e) the persons or classes of persons to whom the warrant is proposed to be directed;
(/) a general description of the place where the warrant is proposed to be executed, if a general description of that place can be given;
(g) the period, not exceeding sixty days or one year, as the case may be, for which the warrant is requested to be in force that is applicable by virtue of subsection (5); and
(h) any previous application made in relation to a person identified in the affidavit pursuant to paragraph (d), the date on which such application was made, the name of the judge to whom each such application was made and the decision of the judge thereon.
(3) Notwithstanding any other law but subject to the Statis tics Act, where the judge to whom an application under subsec tion (1) is made is satisfied of the matters referred to in paragraphs (2)(a) and (b) set out in the affidavit accompa nying the application, the judge may issue a warrant authoriz ing the persons to whom it is directed to intercept any com munication or obtain any information, record, document or thing and, for that purpose,
(a) to enter any place or open or obtain access to any thing;
(b) to search for, remove or return, or examine, take extracts from or make copies of or record in any other manner the information, record, document or thing; or
(c) to install, maintain or remove any thing.
(4) There shall be specified in a warrant issued under subsection (3)
(a) the type of communication authorized to be intercepted, the type of information, records, documents or things author ized to be obtained and the powers referred to in paragraphs (3)(a) to (c) authorized to be exercised for that purpose;
(b) the identity of the person, if known, whose communica tion is to be intercepted or who has possession of the informa tion, record, document or thing to be obtained;
(c) the persons or classes of persons to whom the warrant is directed;
(d) a general description of the place where the warrant may be executed, if a general description of that place can be given;
(e) the period for which the warrant is in force; and
(J) such terms and conditions as the judge considers advis
able in the public interest.
(5) A warrant shall not be issued under subsection (3) for a
period exceeding
(a) sixty days where the warrant is issued to enable the Service to investigate a threat to the security of Canada within the meaning of paragraph (d) of the definition of that expression in section 2; or
(b) one year in any other case.
It will be equally instructive, in my view, to set out, in full, the contents of the warrant under review. It reads as follows:
IN THE FEDERAL COURT OF CANADA
WARRANT PURSUANT TO SECTION 21 OF THE CANADIAN SECURITY INTELLIGENCE SERVICE ACT
ISSUED AGAINST
Court No. CSIS 66-85 Harjit Singh ATWAL
UPON the ex parte application in writing of Archie M. BARR, made pursuant to section 21 of the Canadian Security Intelli gence Service Act, S.C. 1983-84, c. 21 for a warrant thereunder;
WHEREAS the applicant is Archie M. BARR, an employee of the Canadian Security Intelligence Service, designated for this purpose by the Solicitor General of Canada pursuant to subsec tion 21(1) of the Act who has consulted with the Deputy Solicitor General and who has obtained the approval of the Solicitor General of Canada for this purpose;
AND WHEREAS I have read the affidavit of the applicant and considered all of the evidence submitted in support of said application;
AND WHEREAS I am satisfied that a warrant under section 21 of the Canadian Security Intelligence Act is required to enable the Canadian Security Intelligence Service to investigate a threat to the security of Canada, namely:
activities within or relating to Canada directed toward or in support of the threat or use of acts of serious violence against persons or property for the purpose of achieving a political objective within Canada or a foreign state,
which does not include lawful advocacy, protest or dissent, unless carried on in conjunction with any of the activities referred to above.
NOW THEREFORE I HEREBY AUTHORIZE THE DIRECTOR OF THE CANADIAN SECURITY INTELLIGENCE SERVICE AND THE EMPLOYEES ACTING UNDER HIS AUTHORITY OR ON HIS BEHALF:
A. to intercept communications as hereinafter mentioned namely:
the oral communications and telecommunications within Canada addressed or destined to, received by, or originat ing from Harjit Singh ATWAL, wherever he may be, or any person at 12471 — 79A Avenue, Surrey, British Columbia, or any other person at any other place in Canada which Harjit Singh ATWAL may be using as a temporary or permanent residence, whether stationary or mobile;
AND
for such purpose to enter:
a) the said premises at 12471 — 79A Avenue, Surrey, British Columbia, or any other place in Canada which Harjit Singh ATWAL may be using as a temporary or permanent residence, whether stationary or mobile;
b) any vehicle used by Harjit Singh ATWAL;
c) any other place in Canada where the Service has reason able grounds to believe Harjit Singh ATWAL will be present,
in order to install, maintain or remove any thing necessary to effect the said interceptions,
AND
for such purpose:
d) to install, maintain, or remove any thing necessary to effect, at the places described at A. above, the interception of oral communications and telecommunications.
B. to search for, remove or return, or examine, take extracts from or make copies of or record in any other manner:
recorded communications outside the course of post, within Canada, addressed or destined to, received by or originating from:
a) Harjit Singh ATWAL;
b) 12471 — 79A Avenue, Surrey, British Columbia,
AND
for such purpose to enter:
c) 12471 — 79A Avenue, Surrey, British Columbia, or any other place in Canada which Harjit Singh ATWAL may be using as a temporary or permanent residence, whether sta tionary or mobile;
d) any vehicle used by Harjit Singh ATWAL:
d) sic any other place where the said Harjit Singh ATWAL has been present and where the Service has reason able grounds to suspect that recorded communications of . Harjit Singh ATWAL may be found.
c. This warrant shall be valid for the period commencing on the 26th day of July 1985 A.D. and expiring on the 25th day of July 1986 A.D.
THE PRESENT WARRANT SHALL BE SUBJECT TO THE FOL LOWING CONDITIONS:
CONDITION 1: Except for the purpose of determining
whether the communication is addressed or destined to, received by, or originating from Harjit Singh ATWAL no cognizance will be taken of the contents of any oral communi cation or telecommunication intercepted at any place described in paragraph A.c) through any thing installed for the purpose
of such interception. Where the person charged with monitoring the intercepted communication determines that the com munication is not addressed or destined to, received by, or originating from Harjit Singh ATWAL, all recordings or transcrip tions of same shall be forthwith erased or destroyed, as the case may be, and the con tents of same shall never in any manner be further communicated to any person. If the person charged with monitoring the inter cepted communication determines that the intercepted oral communication or telecom munication is addressed or destined to, received by, or originating from Harjit Singh ATWAL, it shall be subject to intercep tion pursuant to the authority conferred by this warrant.
CONDITION 2: It is a condition of this warrant that no private oral communication, telecommunica tion or recorded communication may be intercepted pursuant hereto at the office or residence of a solicitor or any other place ordinarily used by a solicitor and by other solicitors for the purpose of consultation with clients.
CONDITION 3: It is a further condition of this warrant that an oral communication, telecommunication or recorded communication between Harjit Singh ATWAL and a solicitor or the solici tor's employee may be intercepted initially only to enable the Director or a Regional Director General of the Canadian Security Intelligence Service to determine whether that communication relates to the threat to the security of Canada as hereinbefore specified in this warrant. If the Director or the Regional Director General determines that the communication does not so relate, all records of the communication shall be destroyed and no further disclosure thereof shall be made. If the Director or the Region al Director General determines that the communication does so relate, it shall be subject to interception pursuant to the au thority conferred by this warrant. Where necesssary to the making of his determina tion, the Director or the Regional Director General may authorize the translation of the communication that is the subject of this condition. Where that occurs, the translator
shall disclose the contents of the communi cation only to the Director or the Regional Director General.
The applicant herein was, on September 10, 1986, charged along with eight other individuals with conspiracy to commit the murder of one Malkait Singh Sidhu, contrary to the provisions of subparagraph 423(1)(a) of the Criminal Code [R.S.C. 1970, c. C-34 (as am. by S.C. 1985, c. 19, s. 62)]. The time frame of the alleged conspiracy as set out in the preferred Indictment is said to be between May 14 and May 25, 1986. The applicant has been denied bail on this charge and is current ly awaiting trial which is expected to take place in May or June of 1987. Since the alleged conspiracy is said to have taken place at various places in the Province of British Columbia, the trial will take place in that province.
Crown counsel for the Attorney General of Brit- ish Columbia having carriage of the prosecution of the applicant and his eight alleged co-conspirators proposes to introduce into evidence at trial certain tapes and transcripts of telecommunications inter cepted pursuant to the warrant issued by me on July 26, 1985. These telecommunications were said to be originally intercepted by the Canadian Intelligence Security Service (the Service) in the period May 17, 1986 to May 26, 1986 inclusive. It is stated, on behalf of Crown counsel, that at the conspiracy trial, the Crown will rely on no other information or intelligence obtained pursuant to subject warrant. Specifically, it is said that the Crown will not tender any physical evidence authorized under paragraph B of the warrant herein impugned (paragraph B of the warrant authorizes the Service to search for, remove or return, or examine, take extracts from or make copies of or record in any other manner certain recorded communications pertaining to the appli cant) since the Service did not utilize the powers granted to it pursuant to paragraph B. The Crown advises further that all of the telecommunications proposed to be tendered in evidence at the conspir acy trial were intercepted by the Service on two telephone lines located at the applicant's residence
at 12471 — 79A Avenue in Surrey, British
Columbia. The wiretaps in question were effected at and on the property of B.C. Telephone Com pany and did not require entry into the residence of the applicant or into any other residence or place of business or any vehicle. It appears that the Service, during the period May 17, 1986 to May 26, 1986, intercepted only two telephone calls involving a solicitor. The evidence establishes that both of these calls were dealt with in accordance with Condition III of subject warrant. The Regional Director General of the Service for Brit- ish Columbia personally listened to each of these calls, only once. In each case, he determined that the communication in question did not relate to the threat to the security of Canada specified in the Atwal warrant. Accordingly, he ordered that the portion of the tape containing the communica tions with a solicitor be erased. This was done. No one other than the Regional Director General listened to the two solicitor conversations in ques tion. Furthermore, the content of those two tele phone calls was not disclosed either to the police or to Crown counsel.
On the motion to rescind, counsel attacked the validity of the warrant in issue on a threefold basis:
(a) subject warrant is invalid on its face because it fails to comply with, the statutory power that authorized its issuance, namely section 21 of the CSIS Act;
(b) in the alternative, assuming compliance with section 21, the impugned warrant and its authoriz ing statute are invalid on their face, in the sense that they fail to comply with the minimum consti tutional standards for a reasonable search and seizure pursuant to section 8 of the Charter [Canadian Charter of Rights and Freedoms, being
Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.)]; and
(c) in the further alternative, subject warrant may be invalid upon a sub-facial examination in the sense that the sworn affidavit filed in support of the application for the warrant did not justify its issuance. Counsel concedes that this ground of review cannot be argued without production of the CSIS officer's affidavit sworn in support of the warrant and, in this connection, seeks an order producing the said affidavit, subject to the "editing of any privileged contents in the affidavit."
(A) NON-COMPLIANCE WITH THE AUTHORIZING STATUTE
The applicant asserts non-compliance on a four fold basis:
(i) failure to meet the two statutory precondi tions said to be specified in subsection 21(3) of the CSIS Act;
(ii) failure to specify the alleged "threat" to which the warrant relates;
(iii) failure to relate the seizures to those things which relate to the alleged threat; and
(iv) the authorization in the warrant violates the solicitor-client privilege.
I propose now to deal with these submissions seriatim:
(A) (i) Subsection 21(3) of the CSIS Act
In the submission of counsel for the applicant, subsection 21(3) of the statute requires the issuing judge to be "satisfied" of the matters referred to in paragraphs (2)(a) and (2)(b) of section 21 before a warrant can issue. In his view, those paragraphs provide the only two statutory preconditions to the issuance of a section 21 warrant. After observing that the two statutory conditions in the impugned warrant resemble, but have important differences from the statutory preconditions for the issuance
of Criminal Code search warrants under para graph 443(1)(b) [as am. by S.C. 1985, c. 19, s. 69] and wiretap authorizations under section 178.13 [as added by S.C. 1973-74, c. 50, s. 2; 1976-77, c. 53, s. 9], counsel nevertheless relies on jurispru dence under those sections of the Criminal Code to support his proposition that the impugned warrant must show, on its face, that the issuing judge was satisfied as to the matters specified in both para graphs (2)(a) and (2)(b) of section 21. Put another way, the applicant submits that the war rant does not comply with section 21. It is invalid because the warrant fails to specify, in writing, that the issuing judge did, in fact, have a justified belief that reasonable grounds existed for the granting of the warrant and because the warrant fails to set out in writing that other investigative procedures had been tried and had failed or were unlikely to succeed.
I reject this submission for a number of reasons. First of all, it should be observed that subsection (4) of section 21 supra, lists the matters which must be specifically included in the warrant. Nowhere in that subsection is there any require ment for the inclusion in the warrant of a specific declaration by the issuing judge of his satisfaction that the paragraphs 21(2)(a) and (b) precondi tions have been met. Secondly, paragraph (4) of the recitals states that I, as issuing judge, was "satisfied that a warrant under section 21 ... is required to enable ... the Service ... to investigate a threat to the security of Canada." Since para graphs 21(2)(a) and (b) are an integral part of section 21 of the Act, surely it is unnecessary and redundant to require a specific averment with respect to those provisions. A judge issuing a war rant under the CSIS Act is required to be satisfied of many things before the warrant can be issued. For example, subsection (2) of section 21 has eight different paragraphs which detail the different requirements which must be contained in the affidavit filed in support of the warrant applica tion. In my view, the supporting affidavit, in this case, meets each and every one of those require ments. It also meets the other requirements of the
statute.' For facial validity, the issuing judge should not be required to specify with particulari ty, his satisfaction with a specific requirement or requirements of the statute. In my view, surely it can be presumed that when the issuing judge declares that he is issuing a warrant under the authorizing section of a statute, he is satisfied that there has been a full compliance with the appli cable provisions of that statute. In the case at bar, the supporting affidavit containing more than eleven typewritten pages, set out the basis for the application in considerable detail and satisfied me that the warrant asked for was necessary for the purposes specified therein and that it fully com plied with the relevant requirements of the statute. Finally, I do not find counsel's references to and reliance upon decisions relating to provisions in the Criminal Code particularly helpful or persuasive. In my view, criminal law jurisprudence is not the appropriate jurisprudence to be applied under the CSIS Act. The authorities establish that a Court is entitled to refer to particular species of extrinsic evidence when interpreting legislation for the sole purpose of determining the mischief or defect which the Act being construed was intended to remedy. 2 Included in such permitted species are Parliamentary Committee Reports, Royal Com mission or Public Inquiry Reports together with the legislative history of a particular statute.' As pointed out by counsel for the Attorney General of Canada, four Commissions of Inquiry had investi gated various aspects of hostile intelligence activi ties and other threats in Canada prior to the enactment of the CSIS Act: The Taschereau-Kel- lock Commission, the Wells Commission, the Mackenzie Commission and the McDonald Com mission. Furthermore, the Report of the Special Committee of the Senate on the Canadian Secu rity Intelligence Service (the Pitfield Report) examined carefully the provisions of Bill C-157,
' For example, and inter alia: the requirement in subsection 21(1) for prior approval by the Solicitor General and the requirement in paragraph 7(1)(b) for consultation with the Deputy Solicitor General in respect of every application for a warrant under section 21.
2 The Eastman Photographic Materials Company Limited v. The Comptroller-General of Patents, Designs, and Trade Marks, [ 1898] A.C. 571 (H.L.), at p. 573, per Halsbury L.C.
' See: Driedger (E.A.), Construction of Statutes, (2d) (1983), at pp. 153-154 and 159-161.
the forerunner to the CSIS Act. That Report is dated November of 1983 and articulates with clarity and precision the fundamental differences between a system established for enforcement of the law, and a system established for the protec tion of security. At pages 5 and 6, that Report states:
There are similarities between such systems, and a distinct area of overlap in which the interests of a police force in certain crimes against the state, or against particular individuals, are identical to the interests of a security intelligence agency.
14 But the differences are considerable. Law enforcement is essentially reactive. While there is an element of information- gathering and prevention in law enforcement, on the whole it takes place after the commission of a distinct criminal offence. The protection of security relies less on reaction to events; it seeks advance warning of security threats, and is not necessari ly concerned with breaches of the law. Considerable publicity accompanies and is an essential part of the enforcement of the law. Security intelligence work requires secrecy. Law enforce ment is "result-oriented", emphasizing apprehension and adjudication, and the players in the system—police, prosecu tors, defence counsel, and the judiciary—operate with a high degree of autonomy. Security intelligence is, in contrast, "infor- mation-oriented". Participants have a much less clearly defined role, and direction and control within a hierarchical structure are vital. Finally, law enforcement is a virtually "closed" system with finite limits—commission, detection, apprehension, adjudication. Security intelligence operations are much more open-ended. The emphasis is on investigation, analysis, and the formulation of intelligence.
Another concise statement of the fundamental dif ference between police investigations and intelli gence gathering is to be found in the Keith case, a decision of the U.S. Supreme Court. 4 Mr. Justice Powell, in delivering the opinion of the Court said:
We recognize that domestic security surveillance may involve different policy and practical considerations from the surveil lance of "ordinary crime". The gathering of security intelli gence is often long range and involves the interrelation of various sources and types of information. The exact targets of such surveillance may be more difficult to identify than in surveillance operations against many types of crime specified in
4 United States v. United States District Court for the East ern District of Michigan, Southern Division et al., 32 L.Ed. (2d) 752 (1972), at p. 769.
Title III. Often, too the emphasis of domestic intelligence gathering is on the prevention of unlawful activity or the enhancement of the unlawful activity or the enhancement of the government's preparedness for some possible future crisis or emergency. Thus, the focus of domestic surveillance may be less precise than that directed against the more conventional types of crime.
Because of the distinctly different legislative pur poses, there is, necessarily, a different focus to be applied when interpreting domestic surveillance legislation in contradistinction to the focus to be given to the application and interpretation of normal law enforcement legislation such as the Criminal Code of Canada. The McDonald Com mission which provided much of the impetus for the enactment of the CSIS Act comments exten sively on political violence and terrorism. 5 At pages 435 and 436, it is stated:
26. The democratic process in Canada requires that political objectives be pursued through public discussions, legislative debate and lawful representation of interests. The democratic process is jeopardized when groups or individuals attempt to gain their political objective by threatening to carry out acts of serious violence or actually carrying out such acts ... the protection of the democratic process should be the central purpose of Canada's security arrangements. Thus, we believe that Canada's security intelligence agency should be empow ered to provide intelligence about any activities of an individual or group which involve the threat or use of serious violence against persons or property for the purpose of accomplishing political objectives.
27. For more than a decade the most prominent form which this threat to security has taken is terrorism. The political fanaticism and frustration which engender terrorism are not, unfortunately, likely to disappear in the foreseeable future ... the kind of terrorist acts which should be of concern to the security intelligence agency are those which have political objectives ....
28. The security of Canada requires the detection of activities of persons who belong to or support terrorist groups before there is evidence which would support a criminal prosecution. Recent experience with terrorist groups has shown that their success has often depended on their ability to maintain their cover and security while operating in a modern community ....
30. The security agency's mandate should provide for the collection of intelligence about the activities of terrorists in Canada (including activities in preparation for and in support of terrorist acts) whether such activities are directed against Canadians or Canadian governments or against foreigners or
5 McDonald Commission [Commission of Inquiry Concern ing Certain Activities of the Royal Canadian Mounted Police], Second Report, August 1981, Vol. 1, at pp. 435 and 436.
foreign governments. In an era which has witnessed a startling expansion of international terrorism, Canada must not become a haven for those planning to use the methods of terrorism to gain their political ends in other countries.
Accordingly, I must respectfully decline the invitation of counsel for the applicant to apply the Criminal Code jurisprudence to a warrant issued under the CSIS Act. In my opinion, Parliament, in passing the CSIS Act, was enacting a comprehen sive code for dealing with the threats to the secu rity of Canada as therein defined. Accordingly I think that the validity of a section 21 warrant must be determined in the context of the requirements set out in the CSIS Act and not by analogy to any other legislation which has a completely different objective and raison d'être. Since, in my view, the requirements of the CSIS Act have been met, I do not find any merit in this submission.
(A) (ii) Failure to specify the alleged "threat" to which the warrant relates
In order for a proper appreciation of this sub mission, it is necessary, in my view, to set out the definition of "threats to the security of Canada" as enumerated in section 2 of the CSIS Act. That definition reads:
2....
"threats to the security of Canada" means
(a) espionage or sabotage that is against Canada or is detrimental to the interests of Canada or activities directed toward or in support of such espionage or sabotage,
(b) foreign influenced activities within or relating to Canada that are detrimental to the interests of Canada and are clandestine or deceptive or involve a threat to any person,
(c) activities within or relating to Canada directed toward or in support of the threat or use of acts of serious violence against persons or property for the purpose of achieving a political objective within Canada or a foreign state, and
(d) activities directed toward undermining by covert unlawful acts, or directed toward or intended ultimately to lead to the destruction or overthrow by violence of, the constitutionally established system of government in Canada,
but does not include lawful advocacy, protest or dissent, unless carried on in conjunction with any of the activities referred to in paragraphs (a) to (d).
Counsel for the applicant submits that the impugned warrant fails to specify the alleged threat to which the warrant relates and that this "defect" is fatal to the warrant's validity. Here again, in this submission, the applicant relies on the law of search and seizure under the Criminal Code which requires the offence to be specifically set out in the warrant. It is said that a warrant such as this which simply recites one of the section 2 definitions of "threats to the security of Cana- da," is so broad in its description of the alleged "threat", that, effectively, it confers upon the Ser vice carte blanche with no judicial control. In counsel's submission, the Courts have routinely struck down warrants phrased so broadly under the provisions of the Criminal Code.
I do not agree with this submission. For the reasons expressed earlier herein under A(i) supra, I have the view that the validity of a CSIS warrant should not be determined by criminal law stand ards. It is more appropriate, in my view, to look to the CSIS statute itself to ascertain whether this ground of attack can be sustained. There is no requirement therein that the "threat to the secu rity of Canada" be described with any more specificity than the subject warrant which identi fies paragraph (c) of section 2 as the "threat" being investigated. As noted supra, subsection 21(4) specifies the mandatory requirements of a warrant issued under subsection 21(3). Further specificity with respect to the "threat" is not included in that mandatory list. When it is remem bered that the Service is geared to detection and prevention as opposed to after the fact apprehen sion, it becomes apparent that it would be impos sible to be any more specific in description. I suppose the Service, at the point in time when it is applying for a warrant under section 21 might be able to describe the activity sought to be moni tored as "acts of terrorism" or "acts against Cana- da" but such descriptions are even less specific than the four definitions contained in section 2 of the CSIS Act. Bearing in mind that security intel ligence work is often a long range and continuous activity embracing various kinds and sources of information, it follows, in my view, that the focus of security intelligence activities is necessarily less precise than surveillance under the Criminal Code. It is for these reasons, in my opinion, that Parlia-
ment has deliberately left the definition of "threats" general and has not provided for more particularity in the mandatory requirements of the warrant.
Counsel for the Attorney General of Canada pointed out that notwithstanding the provisions of paragraph 178.13(2)(a) of the Criminal Code requiring the issuing judge to state the offence in respect of which private communications may be intercepted, the practice under that section has been similar to the description set out in the warrant here under review. Counsel referred to the case of Regina v. Welsh and Ianuzzi (No. 6) (1977), 32 C.C.C. (2d) 363 (Ont. C.A.), at page 366, where the description of the offence reads "(a) engaging in bookmaking, contrary to section 186(1)(e) of the Criminal Code of Canada;". Similary, in another case in the Ontario Court of Appeal Regina v. Finlay and Grellette ( 1985), 23 C.C.C. (3d) 48, at page 52, the first offence described was "(a) conspiracy to import narcotics contrary to Section 423(1)(d) of the Criminal Code;". In both of these cases, other offences were particularized in like manner. Counsel summarizes his submission as follows:
... in stating the offence in respect of which private communi cations may be intercepted, wiretap authorizations routinely track the language of the Code citing the applicable section of the Criminal Code, which is the very practice that the applicant condemns in the case at bar.
For all of these reasons, then, I would reject this submission.
(A) (iii) Failure to relate the seizures to those things which relate to the alleged threat
Counsel for the applicant attacks subject war rant on the basis that it fails to limit the seizures of oral or written communications or things to those which relate to the alleged threat. In his submission, the warrant is so broad that it com pletely ignores the regime of judicial control envisaged by section 21. More specifically he sub mits that the language of the warrant does not specify "the type of communication authorized to be intercepted" or "the type of information to be obtained" in any meaningful way. Accordingly, in
his view, subject warrant is so general as to be invalid.
To assess the validity of these submissions, it is necessary, in my opinion, to examine subject war rant in the light of the requirements of subsection 21(4) of the Act. Paragraph (a) of subsection 21(4) requires that the type of communication authorized to be intercepted be specified. Clause A of the warrant specifies that "the oral communica tions and telecommunications within Canada" of the target, the applicant herein, are authorized to be intercepted. As pointed out by counsel for the Attorney General of Canada, the language in the warrant at bar is almost identical to that used in the wiretap authorizations in the Courts. 6 Further more, Condition I of the warrant at bar provides additional protection to the privacy of uninvolved third parties. In my view, Condition I is not required pursuant to the provisions of the CSIS Act nor is it to be found in the Canadian jurispru dence referred to supra. Nevertheless, it was added as additional protection for innocent third parties.
When it is considered that the gathering of security intelligence is usually an activity of lengthy duration involving many different kinds and sources of information and that there is dif ficulty in identifying surveillance targets, the broad language used in subsection (4) of section 21 is •understandable and justifiable, in my view. For example, paragraph 21(4) (b) specifies the identity of the target, "if known". Paragraph 21(4)(d) requires a general description of the place where the warrant may be executed, "if a general description of that place can be given;". The threat with respect to which the subject war rant was issued relates to political violence and terrorism. The McDonald Commission found that for the last decade, the most prominent threat to security in Canada was terrorism. It also conclud ed that Canada's security required the detection of activities of persons who belong to or support terrorist groups which may be largely active prior to the commission of any criminal offence. On this
6 See for example: Regina v. Finlay and Grellette, supra, at p. 53; Regina v. Welsh and lanuzzi (No. 6), supra, at p. 366; Lyons et al. v. The Queen, [1984] 2 S.C.R. 633, at pp. 645-646; 15 C.C.C. (3d) 417, at p. 427, per Estey J.
basis, the interception of communications to and from a target must, of necessity, be devoid of much specificity. The very nature of the investiga tion and prevention of terrorism necessitates a broad authority to intercept. In my view, the lan guage used in clause A complies with all of the provisions of subsection 21(4) on a fair construc tion of the language used therein. The types of communication are identified as required by para graph (a). The identity of the target is disclosed as required by paragraph (b) and a general descrip tion of the places where the warrant may be executed are given as required by paragraph (d). The warrant also complies with the requirements of paragraphs (c),(e) and (f). Turning to clause B, I have concluded that, for the reasons expressed supra, with respect to clause A, it meets the requirements of subsection 21(4).
Counsel for the Attorney General of Canada, in his factum, submits that any attack on the validity of clause B of the warrant is moot and academic because none of the powers authorized under clause B were exercised in this case. I have dif ficulty with this submission because I doubt that the facial validity of the warrant will depend on the extent to which the powers granted therein are exercised. In any event, since, in my view, for the reasons expressed supra, both clauses A and B of subject warrant are valid, it is unnecessary to sever any portion of the warrant although this appears to be permissible pursuant to the recent decision of the Supreme Court of Canada in the Grabowski case.'
(A) (iv) Solicitor-Client Communications
Counsel for the applicant submits that the impugned warrant violates the solicitor-client privilege by allowing and authorizing the seizure of such privileged oral and written communica tions. In his view, there is no provision in the CSIS Act which permits an interception of a target's lawful consultation with his solicitor. Accordingly, it is said, the common law prevails and protects such conversations from intrusion. Counsel relies on the decision of the Supreme Court of Canada in
' Grabowski v. The Queen, [1985] 2 S.C.R. 434, at p. 453; 22 C.C.C. (3d) 449, at p. 463.
the case of Descôteaux. 8 That was a case involving a search warrant under section 443 of the Crimi nal Code. At pages 875 S.C.R.; 400 C.C.C., Mr. Justice Lamer enumerates four rules which deal with the issue of when and to what extent solicitor- client communications should be protected. Those rules read as follows:
1. The confidentiality of communications between solicitor and client may be raised in any circumstances where such com munications are likely to be disclosed without the client's consent.
2. Unless the law provides otherwise, when and to the extent that the legitimate exercise of a right would interfere with another person's right to have his communications with his lawyer kept confidential, the resulting conflict should be resolved in favour of protecting the confidentiality.
3. When the law gives someone the authority to do something which, in the circumstances of the case, might interfere with that confidentiality, the decision to do so and the choice of means exercising that authority should be determined with a view to not interfering with it except to the extent absolutely necessary in order to achieve the ends sought by the enabling legislation.
4. Acts providing otherwise in situations under paragraph 2 and enabling legislation referred to in paragraph 3 must be interpreted restrictively.
The applicant relies on rule No. 2 as set out by Lamer J. supra. However, in my view, rule No. 2 has no application to warrants under the CSIS Act because of the provisions of subsection 21(3) of that Act which commences with the words "Not- withstanding any other law but subject to the Statistics Act". In my opinion, it is clear from these words of paramountcy that Parliament intended that all other laws of Canada, be they statutory or common law, are to be read as being subject to the powers conferred upon a judge under that section to issue a warrant. Because of this paramountcy, therefore, it is doubtful that the provisions of the Criminal Code and decisions pursuant thereto would have any application in the
8 Descôteaux et al. v. Mierzwinski, [1982] 1 S.C.R. 860; 70 C.C.C. (2d) 385.
case at bar. 9 However, assuming the applicability of the Descôteaux tests, it seems to me that the relevant test for our purposes would be the third test which introduces the concept that where, as here, the Service is authorized to interfere with solicitor-client confidentiality, that interference should be allowed only "to the extent absolutely necessary in order to achieve the ends sought by the enabling legislation."
The issue then is whether the impugned warrant satisfies the test of proportionality. Conditions II and III relate to solicitor-client confidentiality. As noted by counsel for the Attorney General of Canada, Condition II herein has some similarities to the terminology employed by subsection 178.13 (1.1) of the Code. However, that subsection, as noted by counsel for the applicant, is more restrictive since the authority to intercept covers only situations where the applicant is satisfied, on reasonable grounds, that a solicitor, his employee, or member of the solicitor's household "has been or is about to become a party to an offence." Accordingly, therefore, Condition II when taken by itself, would represent a lower level of protec tion for solicitor-client confidentiality than the standard prescribed in the Criminal Code. How ever, Condition II does not stand alone. It is accompanied by Condition III. This Condition does not appear in any of the warrants in the decisions under the Criminal Code to which I was referred. Accordingly, I think that the addition of Condition III enhances considerably the protection of solicitor-client confidentiality. In this regard, I consider the decision of the Supreme Court of Canada in the case of Solosky v. The Queen 10 to be instructive. That case involved the interception of correspondence between an inmate of a federal penitentiary and his solicitor. The interception and opening of the inmate's mail was authorized under
9 When drawing analogies between the provisions of the Criminal Code and the CSIS Act relative to the interception of communications, the provisions of section 26 of the CSIS Act should also be kept in mind. That section reads: "Part IV.I of the Criminal Code does not apply in relation to any intercep tion of a communication under the authority of a warrant issued under section 21 or in relation to any communication so intercepted."
10 [1980] 1 S.C.R. 821; 50 C.C.C. (2d) 495.
certain Regulations made pursuant to the Peniten tiary Act [R.S.C. 1970, c. P-6]. The rationale of this action was said to be for "the reformation and rehabilitation of inmates or the security of the institution." Dickson J. (as he then was) in deliver ing the majority judgment of the Court said (at pages 837-838 S.C.R.; 509 C.C.C.):
The complication in this case flows from the unique position of the inmate. His mail is opened and read, not with a view to its use in a proceeding, but by reason of the exigencies of institutional security. All of this occurs within prison walls and far from a court or quasi-judicial tribunal. It is difficult to see how the privilege can be engaged, unless one wishes totally to transform the privilege into a rule of property, bereft of an evidentiary basis.
And at pages 840 S.C.R.; 511 C.C.C.:
The result, as I see it, is that the Court is placed in the position of having to balance the public interest in maintaining the safety and security of a penal institution, its staff and its inmates, with the interest represented by insulating the solici- tor-client relationship. Even giving full recognition to the right of an inmate to correspond freely with his legal adviser, and the need for minimum derogation therefrom, the scale must ulti mately come down in favour of the public interest. But the interference must be no greater than is essential to the mainte nance of security and the rehabilitation of the inmate.
The learned Justice then directed himself to a consideration of the kind of mechanism which would provide the kind of balance which is neces sary in the circumstances. At pages 841-842 S.C.R.; 512 C.C.C., he set out the following sug gested procedure:
(i) the contents of an envelope may be inspected for contra band; (ii) in limited circumstances, the communication may be read to ensure that it, in fact, contains a confidential communi cation between solicitor and client written for the purpose of seeking or giving legal advice; (iii) the letter should only be read if there are reasonable and probable grounds for believing the contrary, and then only to the extent necessary to determine the bona fides of the communication; (iv) the authorized penitentiary official who examines the envelope, upon ascer taining that the envelope, contains nothing in breach of secu rity, is under a duty at law to maintain the confidentiality of the communication.
Counsel for the Attorney General of British Columbia notes that Condition III in the warrant at bar is "remarkably similar" to the directions given by Dickson C.J. in Solosky, supra. This similarity is not coincidental. Condition III was an
attempt to comply with the mechanism suggested by the learned Chief Justice in the Solosky case.
In the case at bar, the competing interests are the public interest in, inter alia, the detection and prevention of political terrorism in Canada and the collection of intelligence concerning the activities of terrorists in Canada whether such activities are directed against Canadians, Canadian Govern ments, foreigners or foreign Governments on the one hand and the interest involved in protecting the solicitor-client relationship on the other hand.
The affidavit filed in support of the warrant issued satisfied me, when filed, and continues to satisfy me, that the deponent thereof believed, on reasonable grounds, which were expressed in con siderable detail, that a warrant under section 21 was required to enable the Service to investigate the threat to the security of Canada which is particularized in paragraph 2(c) of the CSIS Act. Condition III allows a senior official of CSIS to intercept, inter alia, an oral communication, for the sole purpose of determining whether that com munication relates to the threat to the security of Canada specified in the warrant. If it is deter mined that the communication does not so relate, all records of the communication must be destroyed and no further disclosure thereof shall be made. If it is determined that the intercepted communication does relate to the security threat being investigated, then it shall be subject to inter ception pursuant to the authority conferred by the warrant. As noted supra, of all the tapes and transcripts of telecommunications in issue, only two telephone calls involve a solicitor. The condi tions specified in Condition III were followed and in each case it was determined that neither com munication related to the security threat specified in the warrant in issue. Accordingly, and pursuant to Condition III, the portion of the tape containing the communications with a solicitor were erased. Only the authorized CSIS officer listened to the two solicitor conversations and the contents there of were not disclosed either to the police or to
Crown counsel (see affidavit of Daniel Patrick Murphy sworn March 24, 1987).
In my view, Conditions II and III represent a reasonable balancing of the competing interests which are present in this case. That Condition III was carried out as intended and resulted in a minimal abrogation of the solicitor-client privilege may be some indication that the compromise arrived at was a reasonable one. It follows closely upon the mechanism suggested by Chief Justice Dickson. The detection and prevention of political terrorism represents a compelling public interest entitled to great weight when placed on the scale to be weighed against possible curtailment of solicitor-client confidentiality.
Counsel for the applicant, in his reply, at the oral hearing before me, noted that both the Descôteaux case and the Solosky case were pre- Charter cases. However, I agree with counsel for the Attorney General of British Columbia that the decision of the Ontario Court of Appeal in R. v. Finlay and Grellette, supra, is persuasive author ity for the view that the Charter has not altered the law relating to solicitor-client communications. In that case, Part IV. I of the Code which contains subsection 178.13 (1.1) was held to be constitution al. While Condition II in the warrant at bar may afford less protection than subsection 178.13(1.1), Condition III, for the reasons expressed supra, affords considerably more protection for the solici- tor-client privilege. I thus conclude that the advent of the Charter has not affected the relevance of the jurisprudence relied upon in this case to support the validity of subject warrant from the perspec tive of solicitor-client confidentiality.
(s) UNREASONABLE SEARCH AND SEIZURE—SEC- TION 8 OF THE CHARTER
The applicant submits that the warrant at bar violates section 8 of the Charter." Section 21 of the CSIS Act is deficient and thus contrary to section 8 of the Charter because it does not require the presiding judge to be satisfied that:
" Section 8 reads: "Everyone has the right to be secure against unreasonable search or seizure."
(i) there are reasonable and probable grounds to believe that an offence has been committed; and
(ii) there are reasonable and probable grounds to believe that evidence of the offence will be found at the place of the search.
This submission is based, principally, on the deci sion of the Supreme Court of Canada in Hunter et al. v. Southam Inc. 12 In the view of applicant's counsel, that case sets out four principal require ments for a valid section 8 search or seizure:
(a) prior authorization for the search or seizure, where feasible;
(b) the determination as to whether or not to grant the prior authorization is to be made by a judge, or at the minimum, an individual capable of acting judicially;
(c) the determination must be based on sworn evidence; and
(d) "the objective standard on which the determination is to be based must include reasonable and probable grounds to believe that evidence of the offence is to be found at the place of the search." 13
Counsel for the applicant concedes that section 21 of the CSIS Act clearly complies with require ments (a), (b) and (c) supra. His submission relates exclusively to paragraph (d) supra.
Counsel for the Attorney General of Canada agrees that electronic surveillance authorized under the CSIS Act constitutes a "search or sei zure" within the meaning of section 8 of the Charter. However, it is his submission that section 21 of the CSIS Act is in conformity with section 8.
Counsel for the Attorney General of British Columbia, while not agreeing that section 8 of the Charter protects the right to privacy in respect of intercepted communications, submits that, never theless, Part II of the CSIS Act is still in compli ance with section 8. Additionally, he makes the following submission:
Without conceding, even for a moment, that the CSIS Act may, in any way offend any of the rights and freedoms protect ed by the Charter, it is submitted that in any event section 1 of the Charter would uphold it. One cannot help but to conclude that in the name of national security, the protection of which is so clearly in the interest of any free and democratic society, the object of the CSIS Act is such as to be of sufficient importance to warrant overriding a constitutionally protected right or
12 [1984] 2 S.C.R. 145; 14 C.C.C. (3d) 97.
13 See applicant's Factum—p. 20, para. 25(d).
freedom; also, it is submitted, the means chosen—that is via a judicially authorized warrant—are reasonable and demonstra bly justified. 14
The seminal decision by the Supreme Court of Canada in respect of section 8 is, of course, the Southam case supra. In that case the Director of Investigation and Research under the Combines Investigation Act [R.S.C. 1970, c. C-23] was investigating alleged offences by Southam under that Act. He had issued a certificate authorizing entry into premises occupied by Southam pursuant to authority given to him under the Act. The issue before the Court was whether the legislative provi sions upon which the certificate was based were invalid because they were contrary to section 8 of the Charter. However, for our purposes, the gener al principles enunciated by the Court relative to the scope to be given to the section 8 rights are more important than the specific disposition of the case itself. The reasons for judgment of the Court were given by Dickson J. (as he then was). At pages 159-160 S.C.R.; 108 C.C.C., he stated:
The guarantee of security from unreasonable search and sei zure only protects a reasonable expectation. This limitation on the right guaranteed by s. 8, whether it is expressed negatively as freedom from "unreasonable" search and seizure, or posi tively as an entitlement to a "reasonable" expectation of priva cy, indicates that an assessment must be made as to whether in a particular situation the public's interest in being left alone by government give way to the government's interest in intruding on the individual's privacy in order to advance its goals, notably those of law enforcement.
And then at pages 168 S.C.R.; 115 C.C.C., he said:
Where the state's interest is not simply law enforcement as, for instance, where state security is involved ... the relevant standard might well be a different one.
The case at bar and the statute herein being considered do involve state security. Hence, the above quoted dictum is particularly apposite in the present case.
14 See: Written Submissions of Counsel for the Attorney General of British Columbia, para. 53, p. 26.
As noted earlier herein, it is clear from the legislative history of the CSIS Act that Parlia ment, in enacting that Act, empowered the Service to investigate threats to Canada's security for the purpose of preserving its democratic institutions and processes and with the further objective of maintaining Canada's integrity abroad. As observed by counsel for the Attorney General of Canada, the Service is not charged with enforcing the laws of Canada. Its mandate is to gather information and intelligence relating to threats to the security of Canada and report it to the con cerned departments of the Government of Canada. In addition to the requirements for prior authori zation by a judge based on sworn evidence, the Service is also subjected, in its actions and activi ties, to oversight by the Inspector General (sec- tions 30 to 33 inclusive of the CSIS Act). The Inspector General is required to report the activi ties of the Service annually to the Solicitor Gener al. Additionally, the statute in sections 34-40 inclusive, creates a committee known as the Secu rity Intelligence Review Committee. Pursuant to section 34, this Committee, is appointed by the Governor in Council "from among members of the Queen's Privy Council for Canada who are not members of the Senate or House of Commons, after consultation by the Prime Minister of Canada with the Leader of the Opposition in the House of Commons and the leader in the House of Commons of each party, having at least twelve members in that House." Furthermore, the Review Committee has power "to review generally the performance by the Service of its duties" (section 38). In my view, it seems evident that Parliament, in enacting the CSIS Act, designed a detailed, well-considered, and prudent system of checks and balances which, while empowering the Service to fulfill its mandate on the one hand, has developed, simultaneously, adequate safeguards for the pro tection of individuals' rights and liberties as ensh rined in the Charter.
Having regard to the statements by the present Chief Justice of Canada in Southam, supra, and keeping in mind the elaborate scheme established by the CSIS Act, I think it possible to argue persuasively that, insofar as the CSIS Act is con cerned, a lower standard than that established in
Southam might satisfy the requirements of section 8 of the Charter. However, in my view of the matter, such an exercise need not be undertaken in the case at bar since I am satisfied that the Southam tests have been complied with. Neither of the two reasons cited by counsel for the appli cant supra, convince me that a section 8 violation has occurred in the case at bar or that the South- am tests have not been complied with. However, for completeness, I will deal specifically with the two defects alleged by counsel for the applicant:
(i) Section 21 is deficient because it does not require the presiding judge to be satisfied that there are reasonable and probable grounds to believe that an offence has been committed.
Initially, it should be noted that the relevant provi sion in the CSIS Act, paragraph 21(2)(a), requires the affiant to set out the facts relied on to justify the belief on reasonable grounds that a warrant is required to enable the Service to investigate a threat to the security of Canada. Thus, the requirement in subsection 21(3) that the judge be satisfied of the matters referred to in paragraph (2)(a) of section 21 refers to threats and not to offences. I can find nothing in the scheme of the statute which requires evidence of the commission of an offence to be before the Court when a section 21 warrant is issued. As noted earlier herein, state security does not focus on reaction to events. It seeks, rather, advance warning of security threats and is not necessarily concerned with breaches of the law. The security process is, by its very nature, usually a longer process. This accounts for the provisions in the CSIS Act which enable the Court to issue warrants for a period not exceeding one year except in the case of threats as defined in paragraph 2(d) where the maximum period is sixty days (see subsection 21(5)). While it is certainly possible that offences under the Criminal Code will occur while threat activities are taking place, it is equally possible to have threat activities taking place without breaches of the Criminal Code and, as discussed supra, it would be likely, in some factual situations that the threat activities would precede any Criminal Code infractions. Further more, the reference to "offence" in test (d) in the Southam case, was apt in that case but is not necessarily applicable here where the objectives of the statute are quite different. The tests enunciat-
ed in Southam do not necessarily apply mutatis mutandis when another completely different legis lative scheme is under review. Dickson C.J. made this quite clear in the passage quoted supra from page 108 of his reasons where he said that the "assessment" must be made "in a particular situation."
Since I was satisfied at the time the warrant at bar was issued and since I continue to be satisfied of the matters referred to in paragraph (2)(a) of section 21, this represents compliance with the provisions of the statute, which are not required to coincide with the standards established by the Southam case for Criminal Code matters.
(ii) Section 21 is deficient because it does not require the presiding judge to be satisfied that there are reasonable and probable grounds to believe that evidence of the offence will be found at the place of the search.
My conclusion in (i) supra, that the standard set in the CSIS statute of referring to threats to the security of Canada rather than to offences in the criminal law context, is equally applicable to the submission in (ii) supra. I therefore see no merit in this latter submission for the reasons expressed under (i) supra. Furthermore, I observe that the requirements in paragraph 21(2)(f) and in para graph 21(4)(f) relating to place of execution of the warrant were complied with in the supporting affidavit in this case and I consider them to be reasonable requirements in the context of national security. What is unreasonable in the context of law enforcement, is not necessarily unreasonable in the context of legislation relating to security of the state. The reverse is also true. By way of example, I refer to the requirement in subsection 21(3) that the judge, before issuing a warrant, must be satis fied of the matters, inter alia, referred to in para graph (2)(b) of section 21. Paragraph (2)(b) requires the affiant to depose to the fact that:
21. (2) ...
(b) ... other investigative procedures have been tried and have failed or why it appears that they are unlikely to succeed, that the urgency of the matter is such that it would be impractical to carry out the investigation using only other investigative procedures or that without a warrant under this section, it is likely that information of importance with respect to the threat to the security of Canada ... would not be obtained.
In my view this is a highly desirable and innova tive safeguard which has been fashioned by Parlia ment to meet the special nature of the activities envisioned and authorized by the CSIS Act. This paragraph is a recognition by Parliament that the powers granted by a CSIS warrant are sweeping and highly intrusive. Accordingly, it requires the affiant to justify the intrusive powers being sought in specific terms. The conditions enumerated in paragraph (2)(b) are: that other investigative procedures have been tried and failed or why they are unlikely to succeed; that because the matter is urgent, it would be impractical to employ only more conventional procedures or that unless a warrant is issued, it is likely that important infor mation with respect to the security threat specified in the affidavit would not be obtained. As is the case in respect of paragraph (2)(a) of section 21, I was satisfied at the time the warrant was issued and continue to be satisfied of the matters set out in paragraph (2)(b) of section 21. In my view, when considered from the perspective of section 8 of the Charter, the procedures set out (and fol lowed in the case at bar) in the CSIS Act satisfy the criteria of reasonableness required under sec tion 8 of the Charter.
Accordingly, and for all of the above reasons, I conclude that the provisions of section 8 of the Charter have not been infringed in this case.
(c) SUB-FACIAL VALIDITY OF THE EX PARTE ORDER BASED ON AN EXAMINATION OF THE AFFIDAVIT SWORN IN SUPPORT OF THE APPLICA TION FOR THE WARRANT
As pointed out by counsel for the applicant, this argument cannot be made without disclosure to the applicant of the affidavit filed in support of the
warrant issued herein. This raises, for the first time, the question of disclosure of the subsection 21(2) affidavit required to be filed by the Director or an employee designated by the Minister for this purpose. Section 27 of the Act requires the section 21 application "to be heard in private in accordance with regulations made under section 28." To this date, no such regulations have been promulgated. Heretofore, insofar as I am aware, the affidavits filed in support of applications for warrants under section 21 have not been disclosed.
In my view, this issue raises two basic questions:
(i) Has the Attorney General of Canada object ed in this Court to the disclosure of the support ing affidavit sworn by Archie M. Barr, an employee of the Service designated for this pur pose by the Solicitor General of Canada pursu ant to subsection 21(1) of the CSIS Act (the Barr affidavit) in this Rule 330 application either through an oral or written certification to the effect that such disclosure would be injuri ous to national security thereby invoking sec tions 36.1 and 36.2 of the Canada Evidence Act [R.S.C. 1970, c. E-10 (as added by S.C. 1980- 81-82-83, c. 111, s.4)]?
(ii) Is this Court obliged to order disclosure, or does it have the discretion to order that the affidavit not be disclosed?
I will deal with each of these questions in turn.
(i) Has the Attorney General of Canada objected to the disclosure of the Barr affidavit pursuant to sections 36.1 and 36.2 of the Canada Evidence Act?
Sections 36.1 and 36.2 read:
36.1 (1) A Minister of the Crown in right of Canada or other person interested may object to the disclosure of information before a court, person or body with jurisdiction to compel the production of information by certifying orally or in writing to the court, person or body that the information should not be disclosed on the grounds of a specified public interest. [Empha- sis added.]
(2) Subject to sections 36.2 and 36.3, where an objection to the disclosure of information is made under subsection (1) before a superior court, that court may examine or hear the information and order its disclosure, subject to such restrictions or conditions as it deems appropriate, if it concludes that, in the
circumstances of the case, the public interest in disclosure outweights in importance the specified public interest.
(3) Subject to sections 36.2 and 36.3, where an objection to the disclosure of information is made under subsection (1) before a court, person or body other than a superior court, the objection may be determined, on application, in accordance with subsection (2) by
(a) the Federal Court—Trial Division, in the case of a person or body vested with power to compel production by or pursuant to an Act of Parliament if the person or body is not a court established under a law of a province; or
(b) the trial division or trial court of the superior court of the province within which the court, person or body exercises its jurisdiction, in any other case.
(4) An application pursuant to subsection (3) shall be made within ten days after the objection is made or within such further or lesser time as the court having jurisdiction to hear the application considers appropriate in the circumstances.
(5) An appeal lies from a determination under subsection (2) or (3)
(a) to the Federal Court of Appeal from a determination of the Federal Court—Trial Division; or
(b) to the court of appeal of a province from a determination of a trial division or trial court of a superior court of a province.
(6) An appeal under subsection (5) shall be brought within ten days from the date of the determination appealed from or within such further time as the court having jurisdiction to hear the appeal considers appropriate in the circumstances.
(7) Notwithstanding any other Act of Parliament,
(a) an application for leave to appeal to the Supreme Court of Canada from a judgment made pursuant to subsection (5) shall be made within ten days from the date of the judgment appealed from or within such further time as the court having jurisdiction to grant leave to appeal considers appro priate in the circumstances; and
(b) where leave to appeal is granted, the appeal shall be brought in the manner set out in subsection 66(1) of the Supreme Court Act but within such time as the court that grants leave specifies.
36.2 (1) Where an objection to the disclosure of information is made under subsection 36.1(1) on grounds that the disclosure would be injurious to international relations or national defence or security, the objection may be determined, on application, in accordance with subsection 36.1(2) only by the Chief Justice of the Federal Court, or such other judge of that court as the Chief Justice may designate to hear such applications.
(2) An application under subsection (1) shall be made within ten days after the objection is made or within such further or lesser time as the Chief Justice of the Federal Court, or such other judge of that court as the Chief Justice may designate to hear such applications, considers appropriate.
(3) An appeal lies from a determination under subsection (1) to the Federal Court of Appeal.
(4) Subsection 36.1(6) applies in respect of appeals under subsection (3), and subsection 36.1(7) applies in respect of appeals from judgments made pursuant to subsection (3), with such modifications as the circumstances require.
(5) An application under subsection (1) or an appeal brought in respect of such application shall
(a) be heard in camera; and
(b) on the request of the person objecting to the disclosure of information, be heard and determined in the National Capi tal Region described in the schedule to the National Capital Act.
(6) During the hearing of an application under subsection (1) or an appeal brought in respect of such application, the person who made the objection in respect of which the application was made or the appeal was brought shall, on the request of that person, be given the opportunity to make representations ex parte.
Subsection 36.1(1) provides for an oral or written certification to the Court. The question to be answered, therefore, is whether, in this case, coun sel for the Attorney General of Canada, made such an objection to the Court, either orally or in writing. I can recall no such oral objection being made at the hearing and my rather fulsome notes taken at the hearing confirm that recollection. Insofar as a written certification is concerned, I have the view that, likewise, no written objection was provided to the Court. Counsel's written sub missions on this issue are contained in paragraph 67 of his Memorandum of Fact and Law where, in referring to the production of a secret affidavit he stated:
Parliament has decided, however, that where one of the com peting values to be weighed is national security, the decision as to production or protection shall only be made in accordance with sections 36.1 and 36.2 of the Canada Evidence Act. It would constitute an unacceptable circumvention of Parlia ment's legislative scheme for the protection of national security information to decide the applicant's argument on this branch of his case in the context of the present Rule 330 motion.
In my view, these submissions are simply that, and nothing more. They cannot, by themselves be used to trigger section 36.1. This conclusion is con sistent with the practice followed in all of the cases within my knowledge where section 36.1 objections have been raised based on disclosures that would
be injurious to national security. 15 A review of this jurisprudence leads me to conclude that the words used in section 36.1 of the Canada Evidence Act require a certain formality when the Crown is raising objections based on injury to national secu rity. The oral or written objection to disclosure must be clear and unequivocal, in my view. The objection, if it is an objection rather than a sub mission, set out in paragraph 67 supra, does not meet this test. Accordingly, I conclude that a section 36.1 objection has not been made in this proceeding. It follows, therefore, that the section 36.1 and section 36.2 process has not been triggered.
(ii) Disclosure of documents—applicant's right or judicial discretion?
This motion under Rule 330 to rescind an ex parte order is a civil proceeding. Accordingly, the normal rules of civil procedure could be expected to apply. The applicant herein submits that it is his right to have access to all documents necessary to make his rescission motion meaningful. He asserts his absolute right to such disclosure on a threefold basis:
(a) absent any express statutory prohibition against disclosure of the Barr affidavit on this motion, and given that disclosure is necessary to the proper functioning of the Rule 330 remedy, disclosure ought to be made;
(b) there is a presumption in favour of openness in judicial proceedings and since the Barr affidavit was filed in Court in support of the warrant application, it is, prima facie, a public document and should be disclosed; and
(c) there is a necessity of disclosure in order to give effect to the remedy of judicial review of the original ex parte order.
15 See: Gold v. The Queen, [1985] 1 F.C. 642; 4 C.P.C. (2d) 20 (T.D.); affirmed [1986] 2 F.C. 129; 25 D.L.R. (4th) 285 (C.A.); See also: Kevork v. The Queen, [1984] 2 F.C. 753; 17 C.C.C. (3d) 426 (T.D.); See also: R. v. Kevork, Balwin and Gharakhanian (1986), 27 C.C.C. (3d) 523 (Ont. H.C.J.); And finally see: Goguen v. Gibson, [1983] 1 F.C. 872 (T.D.); affirmed [1983] 2 F.C. 463; (1984), 10 C.C.C. (3d) 492 (C.A.).
In support of (b) and (c) supra, the applicant cites the case of Attorney-General of Nova Scotia et al. v. Maclntyre, [1982] 1 S.C.R. 175; 65 C.C.C. (2d) 129 and Wilson v. The Queen, [1983] 2 S.C.R. 594; 9 C.C.C. (3d) 97. I would agree that, as a general rule, the applicant in a proceeding such as this is entitled to disclosure of all documents in the Court record but I do not agree that he has an absolute right thereto. This general entitlement forms a cornerstone of the concept of fairness and openness in our judicial system. Dickson J. (as he then was) in Maclntyre, supra, when dealing with a member of the public's entitlement to access to expired search warrants said at pages 183-184 S.C.R.; 144-145 C.C.C.:
By reason of the relatively few judicial decisions it is dif ficult, and probably unwise, to attempt any comprehensive definition of the right of access to judicial records or delinea tion of the factors to be taken into account in determining whether access is to be permitted. The question before us is limited to search warrants and informations. The response to that question, it seems to me, should be guided by several broad policy considerations, namely, respect for the privacy of the individual, protection of the administration of justice, imple mentation of the will of Parliament that a search warrant be an effective aid in the investigation of crime, and finally, a strong public policy in favour of "openness" in respect of judicial acts. The rationale of this last-mentioned consideration has been eloquently expressed in Bentham in these terms:
`In the darkness of secrecy, sinister interest, and evil in every shape have full swing. Only in proportion as publicity has place can any of the checks applicable to judicial injustice operate. Where there is no publicity there is no justice.' `Publicity is the very soul of justice. It is the keenest spur to exertion and surest of all guards against improbity. It keeps the judge himself while trying under trial.'
The concern for accountability is not diminished by the fact that the search warrants might be issued by a justice in camera. On the contrary, this fact increases the policy argument in favour of accessibility. Initial secrecy surrounding the issuance of warrants may lead to abuse, and publicity is a strong deterrent to potential malversation.
In short, what should be sought is maximum accountability and accessibility but not to the extent of harming the innocent or of impairing the efficiency of the search warrant as a weapon in society's never-ending fight against crime.
I agree that where, as here, we have a party to a proceeding seeking disclosure, the party's right to
disclosure rests on a firmer basis than that of members of the general public. I also acknowledge that there is jurisprudence to the effect that, in proceedings akin to this Rule 330 application, the applicant should not only be given an opportunity to see the affidavit but to cross-examine the affiant thereon. 16 However, neither of the authorities cited have any factual resemblance to the case at bar. There was no question of a secret affidavit nor was there a national security basis for the issuance of the ex parte orders in those cases. The issue for determination on this branch of the within pro ceeding is whether or not there are special circum stances here which would permit the Court to depart from the general rule of full disclosure of all Court documents to all parties, absent a section 36.1 certificate? I state the issue in this way because of jurisprudence which, in my view, enti tles the Court to depart from the general rule, if, in its view, disclosure would be inimical to the best interests of the administration of justice.
Coming now to the relevant jurisprudence on this issue, I would refer, initially, to a clear and unequivocal statement by Dickson J. (as he then was) at pages 189 S.C.R.; 149 C.C.C. of the Macdntyre case supra:
Undoubtedly every Court has a supervisory and protecting power over its own records. Access can be denied when the ends of justice would be subverted by disclosure or the judicial documents might be used for an improper purpose. The pre sumption, however, is in favour of public access and the burden of contrary proof lies upon the person who would deny the exercise of the right. [Emphasis added.]
This passage makes it clear that a judge has a discretion to deny access to any Court document "when the ends of justice would be subverted by disclosure." The question of non-disclosure in a prison environment was canvassed by Reed J. in Cadieux v. Director of Mountain Institution, [1985] 1 F.C. 378, at pages 397-398; (1984), 9 Admin. L.R. 50 (TD.), at pages 78-79:
16 See Volckmar v. Krupp, [1958] O.W.N. 303 (Ont. H.C.J.) (ex parte order for service ex furls); Bunker Ramo Corp. v. TRW Inc., [1980] 2 F.C. 488; 47 C.P.R. (2d) 159 (T.D.) (ex parte order for service ex juris).
I think it will be rare that an inmate cannot be told at least the g of the reasons against him. This would especially be so if the alleged conduct took place outside the institution when the inmate was at large. I can, however, more easily envisage some situations when it might be necessary to refuse to disclose even the gist of the case against him when the information relates to conduct occurring within the institution. This might be necessary if the content of the information was such that its disclosure would automatically lead to the identity of the informer becoming known. (It is trite law that the identity of informers is protected from disclosure.) Refer: Solicitor Gener al of Canada et al. v. Royal Commission of Inquiry (Health Records in Ontario) et al., [1981] 2 S.C.R. 494 [23 C.P.C. 99; 23 C.R. (3d) 338; 62 C.C.C. (2d) 193; 128 D.L.R. (3d) 193; 38 N.R. 588] and Bisaillon v. Keable, [1983] 2 S.C.R. 60; 2 D.L.R. (4th) 193. In the context of the prison situation, safety and order within the prison may particularly require the non- disclosure of the identity of informers. Non-disclosure might also be necessary if such disclosure would automatically lead to the revealing of information collection methods and thus sub stantially undermine the future functioning of the Board. In circumstances such as these, I do not think the Board should be denied the right to rely on and use information which comes to its knowledge even though it does not pass the gist of that information on to the inmate. The public interests in preventing repeat offences while the inmate is at large, in maintaining security and order in the penal institution, and in preserving the Parole Board's ability to function effectively may outweigh the normal rule that a person is entitled to know the gist of the case against him. But, the occasions on which this is justified must be rare. There must be an element of necessity; mere conve nience for the functioning of the Board is not enough. [Empha- sis added.]
and at pages 401 F.C.; 81 Admin. L.R.:
The House of Lords decision in Science Research Council y Nassé, [1979] 3 All ER 673 is instructive. In that case an employee who felt she had been discriminated against sought access to the annual performance appraisals prepared by the employer on other employees with whom she had been in competition for promotion. Disclosure was resisted on the ground that such reports were confidential. The House of Lords held that under the relevant rules of court disclosure was a matter of discretion, to be exercised if it was in the interest of justice to do so. Factors to be considered in assessing this would be: whether disclosure was necessary for fairly disposing of the proceedings, or for saving costs; whether the documents had been prepared in confidence and the extent to which their disclosure would affect the interests of third parties. The Court held that in coming to a decision as to whether disclosure should be ordered, it was perfectly proper to consider whether justice could be done by special measures, such as covering up confidential but irrelevant parts of the documents or by sub stituting anonymous references for specific names.
Finally, I would refer to the judgment of Pinard J. in Rice v. National Parole Board (1986), 16 Admin. L.R. 157 (F.C.T.D.), at pages 167-168:
In the case at Bar it has been established that three members of the Board re-examined the possibility of providing the confidential information requested by the applicant and that they decided that this was impossible without the source of the said information being revealed; they also concluded that the lives of those who had provided this confidential information would be endangered if the said information was disclosed; they stated, finally, that if the identity of the source was revealed and the information disclosed, the National Parole Board's ability to obtain confidential information would be impaired and the institutional order of the Correctional Service of Canada also endangered. At the hearing of this case Serge Lavallée, a regional executive officer with the National Parole Board, reaffirmed under oath these reasons for the Board's decision not to disclose the confidential information requested by the applicant.
These reasons, supported by the oath of an officer of the Board having authority, in view of all the circumstances of this case, including the other information disclosed to the applicant, justify the non-disclosure of the confidential information requested. This is a serious and exceptional situation where the Court is satisfied that the Board duly considered the conse quences of disclosing the privileged information as regards the revelation of its source and the safety of the lives of the persons in question. In this context, the National Parole Board's ability to obtain confidential information and the Correctional Service of Canada's institutional order are relevant considerations. All these grounds of public interest invoked by the Board in the case at Bar take precedence. [Emphasis added.]
Since I have concluded, for the reasons enumer ated supra, that I have the discretion to depart from the general rule of full disclosure, based on the Court's supervisory and protecting power, are there special circumstances in this case which require such a departure? I have reached the conclusion that such special circumstances are present in this case. The first special circumstance is the fact that the secret Barr affidavit deals with national security, and, more specifically, "activi- ties within or relating to Canada directed toward or in support of the threat or use of acts of serious violence against persons or property for the pur pose of achieving a political objective within Canada or a foreign state." The competing public interest advanced by the applicant is the public interest in the due administration of criminal jus-
tice. However, as pointed out by counsel for the Attorney General of British Columbia, an impor tant distinction needs to be made between the rights of an accused in a criminal trial and the right of this applicant in proceedings under section 21 of the CSIS Act. There is no issue in this Court as to the guilt or innocence of the applicant. The impugned warrant was issued approximately ten months before the alleged occurence of the offence with which the applicant is charged. Thus it is evident that subject warrant was not issued to investigate that alleged offence. It was issued as an aid to the investigation of political terrorism, which is a matter of national security. The issu ance of the impugned warrant does not in any way influence or impair the presumption of innocence enjoyed by the applicant with respect to the crimi nal charge which he faces. The accused is in no way precluded from making full answer and defence pursuant to subsection 577(3) of the Criminal Code. I also agree with counsel for the Attorney General of British Columbia that section 21 warrants are issued under circumstances so different from those issued under Part IV.I of the Code that "it would be dangerous to seek analogy between disclosures." I also agree with him that "Section 26 of the CSIS Act which makes Part IV.I of the Code inapplicable to section 21 war rants clearly militates against such analogies".
In the Goguen case supra, (which was a case under. sections 36.1 and 36.2 of the Canada Evi dence Act), after referring to the competing public interests, (international relations, national defence or national security on the one hand and the due administration of criminal justice on the other hand), Chief Justice Thurlow stated at pages 883-884:
It is quite apparent from these authorities that the public interest in the due administration of criminal justice is one of great importance, an importance that is particularly weighty when disclosure is required in order to establish the innocence of a person accused of a crime. Even so, however, the impor tance will, I think, vary with the gravity of the charge and the severity of the punishment which could be expected to result from a conviction. In Rex v. Hardy, to which reference has been made, the charge was high treason, the punishment for which at that time was to be publicly hanged and quartered. The importance of the public interest in the due administration
of justice would hardly be as great if the information were required today for the defence of a traffic charge, though even in such a case the principle applies and the public interest in the due administration of justice can never be downgraded or regarded as light or weak.
Important as that public interest is, however, I think it is apparent from the nature of the subject-matter of international relations, national defence and national security that occasions when the importance of the public interested in maintaining immune from disclosure information the disclosure of which would be injurious to them is outweighed by the importance of the public interest in the due administration of justice, even in criminal matters, will be rare.
Because the threat to the security of Canada as quoted supra, relates to political terrorism and violence, I do not consider this to be one of the rare occasions mentioned by Chief Justice Thur- low. Furthermore, it is clear that Parliament has manifested its will in this regard with the passage of sections 36.1 and 36.2 supra. Those sections provide a definite mechanism and code of proce dure for determination of the priority to be given the competing public interests in a particular case. At the oral hearing before me, there was some discussion as to the means available to this appli cant to "trigger" the sections 36.1 and 36.2 proce dures. I understood counsel for the Attorney Gen eral of Canada to express the view that sections 36.1 and 36.2 would be "triggered" in the event the applicant was to serve CSIS with a subpoena for the production of the Barr affidavit. At that juncture, the Service or the Attorney General of Canada or the Solicitor General of Canada would be in a position to respond with a section 36.1 objection. There may well be other mechanisms for triggering the section 36.1 and section 36.2 procedures. In any event, it is unnecessary and perhaps improper for me to speculate on the ave nues open to the applicant insofar as the criminal prosecution against him in British Columbia is concerned. This is particularly so since I am not a judge designated by the Chief Justice to hear a subsection 36.2(1) application.
To summarize then, I decline to exercise the discretion vested in me to order disclosure to the applicant of the secret Barr affidavit. I do so for two reasons: firstly, that affidavit relates to politi-
cal terrorism which was in the course of being investigated in the interests of national security. Disclosure might well result in the revelation of security investigatory methodology which could lead to the significant impairment of the effective ness of this and future security investigations. The public interest in protecting and preserving the Security Service's ability to discharge the onerous and important mandate given to it under the CSIS Act in the interests of national security cannot be disregarded or ignored. Secondly, and in any event, and for the reasons expressed supra, I have the view that insofar as this applicant is concerned and relating to the criminal charge against him in British Columbia, other avenues of redress may well be open to him relating to disclosure of the Barr affidavit.
CONCLUSION
Since, in my view, no grounds of invalidity have been shown, it follows that the within application to rescind the warrant in issue must be dismissed.
Before concluding however, I would like to com ment briefly on section 1 of the Charter since it was relied on by counsel for the Attorney General of British Columbia (although not referred to or relied on by counsel for the Attorney General of Canada). In view of my conclusion supra, that section 8 of the Charter has not been infringed in this case, it is not necessary to consider the rela tionship between section 8 and section 1 of the Charter. As stated by Dickson J. (as he then was) in Hunter et al. y. Southam Inc., supra, pages 169-170 S.C.R.; 116 C.C.C.:
I leave to another day the difficult question of the relationship between those two sections and, more particularly, what further balancing of interests, if any, may be contemplated by s. I, beyond that envisaged by s. 8.
I find myself in a similar position in the case at bar. Accordingly, I adopt the approach of the learned Chief Justice of Canada and will say no more about section 1 of the Charter in these reasons, since it is unnecessary to do so.
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