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T-2853-84
C.E. Jamieson & Co. (Dominion) Ltd. (Plaintiff) v.
Attorney General of Canada, the Director and Assistant Deputy Minister, Health Protection Branch of the Department of National Health and Welfare (Defendants)
T-2968-84
C.E. Jamieson & Co. (Dominion) Ltd., Pharmet- ics Ltd. and Swiss Herbal Remedies Ltd. (Plaintiffs)
v.
Attorney General of Canada, the Director and Assistant Deputy Minister, Health Protection Branch of the Department of National Health and Welfare (Defendants)
INDEXED AS: C.E. JAMIESON & Co. (DOMINION) V. CANADA (ATTORNEY GENERAL)
Trial Division, Muldoon J.—Montréal, December 16, 17, 18, 1986; Ottawa, September 17, 1987.
Constitutional law — Distribution of powers — Food and Drugs Act and Regulations thereunder — New drugs and DIN — Trade and commerce power — Criminal law power includ ing jurisdiction to establish national scheme overseen by regulatory agency — Peace, order and good government — Regulation of dissemination of pharmaceutical products not dealt with in distribution of legislative powers — Matter of national concern — Not resolved by provincial co-operation by uniform legislation — Constitution Act, 1867, s. 121 providing for free trade among provinces.
Constitutional law — Charter of Rights — Criminal pro cess — Unreasonable search or seizure — Seizure of isolated amino acids and other products from manufacturer's premises under Food and Drugs Act — Defendant not knowing why other products seized — Distinction between criminal investi gations and regulatory inspections — Act providing breach of Regulations prosecuted by indictment — Search and seizure in context of criminal investigation — Obtaining warrant practi cable — Charter s. 8 contravened — Seizure quashed as unconstitutional.
Judicial review — Equitable remedies — Declarations — Regulations under Food and Drugs Act — Whether Governor in Council exceeding authority delegated — Regulations not unauthorized licensing scheme — Regulations by Governor in Council and municipal by-laws distinguished — Municipal council congressional, not parliamentary — Regulations not
too imprecise as aimed at manufacturers, not man in street — No illegal subdelegation'of authority by Governor in Council
— Presumption that Minister's discretionary powers exercised by departmental officials — Director's powers restricted.
Food and Drugs — Act and Regulations — New drugs and DIN - Whether ultra vires of Parliament or of Governor General in Council — Whether unauthorized licensing scheme
— Regulations concerning dissemination of drugs and claims made therefor — Not too imprecise in context — No illegal subdelegation by Governor in Council — Presumption that acts within Minister's discretionary powers performed by departmental officials — Search and seizure unreasonable, violating Charter s. 8 — Investigation criminal in nature — Obtaining warrant practicable — S. 22(1)(d) of Act of no force or effect.
This is an action for a declaration that subparagraph 25(1)(o)(ii) of the Food and Drugs Act is ultra vires of Parliament and that sections C.01.014 to C.01.014.4 and C.08.001 to C.08.011 inclusive of the Food and Drug Regula tions are ultra vires. Subparagraph 25(1)(o)(ii) provides that the Governor in Council may make regulations for carrying the purposes of the Act into effect. C.E. Jamieson & Co. (Domin- ion) Ltd. also asserts that the search and seizure by the Director's personnel were illegal as they contravened section 8 of the Charter. Finally Jamieson seeks mandamus commanding the Director to issue a drug identification number (DIN) for "Stress Ease with Vitamins and Minerals" on the basis that the Regulations have been applied unfairly to the point of creating an injustice.
For a statement of the issues see the Editor's Note.
Held, subparagraph 25(1)(o)(ii) and the impugned Regula tions are intra vires of Parliament. The warrantless seizure was illegal as it contravened section 8 of the Charter. Paragraph 22(1)(d) of the Act is declared to be of no force or effect. Jamieson is not, however, entitled to receive a DIN for its product.
The apparently broad scope of the trade and commerce power had been limited by judicial interpretation. Absent an emergency, Parliament does not have power, under head 2 of section 91 of the Constitution Act, 1867, to regulate the business of the pharmaceutical industry within Canada. The statutory delegation and regulations were not aimed directly at trade and commerce but at the regulation of a single industry. They did not regulate trade affecting the whole country.
Legislative competence was, however, to be found in the federal criminal law power. Head 27 of section 91 of the Constitution Act, 1867 gave Parliament jurisdiction over the criminal law including procedure in criminal law matters. The legislation was aimed at the dissemination of substances injuri ous to health and the deception of the public as to the value and
safety of drugs. There are penal consequences for breaches of the Act. The plaintiffs' argument, that these enactments regu late a business rather than prohibit conduct, could not be accepted. The constitutional validity of the Food and Drugs Act, under the criminal law power, had been affirmed in a number of reported cases. The exception was the Labatt Brew eries case in which the Supreme Court of Canada held that the regulation defining "light beer" had no criminal law purpose since the product was not a hazard to health and the regulation was not aimed at the prevention of deception through mislabelling.
While Parliament can enact that certain conduct is criminal, it can also, either specifically or by necessary implication, decree other, related conduct not to be criminal. An example of the latter was an abortion performed under a certificate issued by a therapeutic abortion committee. In the case of the Food and Drug Regulations, Parliament had established its own institution to administer a criminal law statute. Parliament had jurisdiction to establish a national regulatory scheme overseen by a regulatory agency. Supreme Court of Canada decisions reject the notion that criminal legislation can not go beyond prohibition to regulation. The scope of criminal law was not to be so restricted.
What constitutes the peace, order and good government of Canada was not a closed book. The regulation of what is just outside the profile of criminal law in regard to the dissemina tion of pharmaceutical products was dealt with neither in the Confederation debates nor in the specific distribution of legisla tive powers. Subparagraph 25(1)(o)(ii) of the Food and Drugs Act along with the DIN and new drug regulations made there- under were Mira vires of Parliament, as matters of national concern, under its authority to legislate for the peace, order and good government of Canada. The problem was one that could not be solved by provincial co-operation even if uniform laws were enacted. Uniform laws did not bespeak uniform regulato ry agencies. Provincial attempts to protect the public from unsafe or deceptively labelled drugs would be frustrated if even one province failed to co-operate. That was because, under section 121 of the Constitution Act, 1867, all goods manufac tured in a province shall be admitted free into each of the other provinces.
It having been concluded that the Act and Regulations were intra vires of Parliament, the next question was whether the Governor in Council had exceeded the authority delegated. The Regulations did not constitute an unauthorized licensing scheme. Re Imperial Oil Limited and The City of Kingston, [1955] O.W.N. 767, the case relied upon by the plaintiffs, related to municipal law and stood for the proposition that if a by-law provides for the approval of a designated official, the corporation cannot require the further approval of another official or of city council. Even if the Regulations in question had to conform with the principle in that case, they did not
offend it. The Regulations did not create a licensing scheme: they regulated the dissemination of drugs and the claims made therefor rather than licensing drug manufacturers and mer chants in their business existence, sales forces or price structures.
Although it was clear that a municipal by-law could be struck down for vagueness, it was another question whether the same could be said with respect to regulations made by the Governor in Council. The courts have drawn a distinction between statutory regulations and municipal by-laws. That is because by-laws are enacted by creatures of the legislature which are not directly responsible to it while regulations are made by the executive which is answerable to the legislature. If the executive branch of the federal or provincial legislature, a parliamentary body, loses the confidence of the elected legisla tors, it must resign. But a municipal council is congressional in nature. The executive has a fixed term of office even if it loses the confidence of the elected tribunes of the people. As to the allegation of vagueness, it had to be kept in mind that these Regulations were aimed not at the man in the street but at drug manufacturers and sellers who are expected to know their business. The Court would not strike down these Regulations as too imprecise given the context of the Act, the Regulations and the industry. Legislative clairvoyance would be required for the statute or regulations to identify all the new discoveries and all the reasonable apprehensions and questions which might occur to the Director. The DIN and new drug regulations were sufficiently precise to tell the applicant to make full disclosure whereupon the Director will decide whether the legislated criteria are met by the application.
Nor did the impugned regulations involve an illegal subdele- gation of authority by the Governor in Council. The maxim delegates non pot est delegare, being a presumption of statutory interpretation rather than a rule of law, operates subject to any contrary intention found in the legislation. The courts have been open to perceiving such an intention. It has been held that where the exercise of a discretionary power is entrusted to a Minister it may be presumed that the acts will be performed by responsible departmental officials, it being unreasonable to expect them to be performed by the Minister himself. The discretionary powers of the Minister and the Director were not left at large but were quite restricted.
It was admitted by the defendants that except "for the amino acids ... the Bureau of Non-Prescription Drugs does not know why the other products ... were seized". It was thus admitted that there was no reasonable belief of any violation in regard to the seized products subsequently released from seizure. The plaintiffs Jamieson and Swiss Herbal suffered an unreasonable seizure. As to whether Charter section 8 had been violated, it had to be noted that the courts have drawn a distinction between criminal investigations and regulatory inspections. A warrantless search or seizure is more likely to be found unrea sonable in the former case. Those who choose to enter a government-regulated business must not have a high expecta-
tion of privacy. What is reasonable in inspecting industrial or commercial premises differs from what is reasonable in the search and seizure of private papers in a dwelling house. But the search and seizure in question was in the context of a criminal investigation. The defendant could not be heard to deny this when the legislation was argued to be intra vires of Parliament as relating to criminal law. The Act provides that breach of the Regulations is an offence prosecuted by indict ment. Nor would it have been impracticable to have obtained a warrant. There was no emergency. Obtaining prior authoriza tion for the search and seizure would not have impeded effec tive law enforcement. The plaintiffs actions were in the open; there was no risk that its "new drugs" would be concealed or destroyed. Charter section 8 had been contravened. Paragraph 22(1)(d) of the Act is declared to have been of no force or effect. The seizure is quashed as unconstitutional. The plain tiffs' victory was a moral one only, since the products contain ing amino acids remain subject to the new drug regulations.
STATUTES AND REGULATIONS JUDICIALLY CONSIDERED
Canadian Charter of Rights and Freedoms, being Part I of the Constitution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.), s. 8.
Combines Investigation Act, R.S.C. 1970, c. C-23, s. 32(1)(c) (as am. by S.C. 1974-75-76, c. 76, s. 14(1)). Constitution Act, 1867, 30 & 31 Vict., c. 3 (U.K.) [R.S.C. 1970, Appendix II, No. 5] (as am. by Canada Act 1982, 1982, c. 11 (U.K.), Schedule to the Consti tution Act, 1982, Item 1), ss. 91(2),(27), 92(7),(13), 121.
Criminal Code, R.S.C. 1970, c. C-34, ss. 251(4), 443.1 (as added by S.C. 1985, c. 19, s. 70).
Employment Standards Act, R.S.O. 1980, c. 137, s. 45. Farm Products Marketing Act, R.S.O. 1980, c. 158.
Food and Drugs Act, R.S.C. 1970, c. F-27, ss. 2 (as am. by S.C. 1980-81-82-83, c. 47, s. 19), 3, 8, 9, 10, 11, 12, 13, 14, 15, 22 (as am. by S.C. 1985, c. 26, s. 12), 25(1)(b) (as am. by S.C. 1976-77, c. 28, s. 16), (e),(m),(o)(ii), 26, 27, 28, 29, 32, Schedules A, B, C, D, E, F.
Food and Drug Regulations, C.R.C., c. 870, ss. C.01.014 (as am. by SOR/81-248, s. 2), C.01.014.1 (as am. idem), C.01.014.2 (as am. idem), C.01.014.3 (as am. idem), C.01.014.4 (as am. idem), C.08.001, C.08.002, C.08.003, C.08.004, C.08.005 (as am. by SOR/79-236, s. 5), C.08.006, C.08.007, C.08.008, C.08.009, C.08.010, C.08.011.
Narcotic Control Act, R.S.C. 1970, c. N-1, s. 12.
Plant Quarantine Act, R.S.C. 1970, c. P-13, s. 6(1)(a).
CASES JUDICIALLY CONSIDERED
APPLIED:
Standard Sausage Co. v. Lee, Proctor v. Standard Sau sage Co., [1933] 4 D.L.R. 501 (B.C.C.A.); Labatt Brew eries of Canada Ltd. v. Attorney General of Canada, [1980] 1 S.C.R. 914; revg. [1980] 1 F.C. 241 (C.A.); revg. (1978), 84 D.L.R. (3d) 61 (F.C.T.D.); R. v. Wet- more et al., [1983] 2 S.C.R. 284; Re: Anti-Inflation Act, [1976] 2 S.C.R. 373; Carltona Ltd. v. Works Comrs., [1943] 2 All E.R. 560 (C.A.); R. v. Harrison, [1977] 1 S.C.R. 238; Hunter et al. v. Southam Inc., [1984] 2 S.C.R. 145; R. v. Rao (1984), 12 C.C.C. (3d) 97 (Ont. C.A.) (leave to appeal to Supreme Court of Canada refused, [1984] 2 S.C.R. ix); Re Belgoma Transportation Ltd. and Director of Employment Standards (1985), 51 O.R. (2d) 509 (C.A.); R. v. Quesnel (1985), 24 C.C.C. (3d) 78 (Ont. C.A.) (leave to appeal to Supreme Court of Canada refused, [1986] 1 S.C.R. xiii); Bertram S. Miller Ltd. v. R., [1986] 3 F.C. 291 (C.A.) (leave to appeal to Supreme Court of Canada refused, [1986] 2 S.C.R. v); R. v. Bichel (1986), 4 B.C.L.R. (2d) 132 (C.A.).
DISTINGUISHED:
Re Imperial Oil Limited and The City of Kingston, [1955] O.W.N. 767 (H.C.); Brant Dairy Co. Ltd. et al. v. Milk Commission of Ontario et al., [1973] S.C.R. 131; Voyageur Inc. c. Commission des transports du Québec, [1986] R.J.Q. 2577 (C.S.).
CONSIDERED:
Citizens Insurance Company of Canada v. Parsons (1881-82), 7 A.C. 96 (P.C.); Attorney General of Canada v. Canadian National Transportation, Ltd. et al., [1983] 2 S.C.R. 206; Canadian Federation of Agriculture v. Attorney-General for Quebec (Margarine Reference), [1951] A.C. 179 (P.C.); Berryland Canning Company Ltd. v. The Queen, [1974] F.C. 91 (T.D.); R. v. Kripps Pharmacy Ltd. and Kripps (1980), 114 D.L.R. (3d) 457 (B.C.Co.Ct.); Canadian Indemnity Co. et al. v. A.G. of British Columbia, [1977] 2 S.C.R. 504; R. v. Hauser, [1979] 1 S.C.R. 984; R. v. Aziz, [1981] 1 S.C.R. 188; Schneider v. The Queen in Right of British Columbia, [1982] 2 S.C.R. 112.
REFERRED TO:
In re "Insurance Act, 1910" (1913), 48 S.C.R. 260; In re Board of Commerce Act, 1919, and Combines and Fair Prices Act, 1919, [1922] 1 A.C. 191 (P.C.); MacDonald et al. v. Vapor Canada Ltd., [1977] 2 S.C.R. 134; Attorney General of Canada v. Québec Ready Mix Inc., [1985] 2 F.C. 40 (C.A.); Proprietary Articles Trade Association v. Attorney-General for Canada, [1931] A.C. 310 (P.C.); Combines Investigation Act Reference re Validity of The, [1929] S.C.R. 409; [1929] 2 D.L.R. 802; Morgentaler v. The Queen, [1976] 1 S.C.R. 616;
Asbjorn Horgard AIS v. Gibbs/Nortac Industries Ltd., [1987] 3 F.C. 544 (C.A.); James Richardson and Sons Limited v. Minister of National Revenue, [1983] 1 F.C. 3 (T.D.); Attorney-General of British Columbia v. Attorney-General of Canada (the Johnny Walker case), [1924] A.C. 222 (P.C.); Re: Exported Natural Gas Tax, [1982] 1 S.C.R. 1004; Johannesson v. Municipality of West St. Paul, [1952] 1 S.C.R. 292; Munro v. National Capital Commission, [1966] S.C.R. 663; Comité d'ad- ministration du régime de rentes c. La Régie des rentes, 500-05-024078-782, November 6, 1979, Que. S.C., unreported; Miron Ltée c. R., [1979] C.A. 36; R. v. Sandler (1971), 21 D.L.R. (3d) 286 (Ont. C.A.); Mon- treal Gazette Ltd. c. Ville de Montréal, [1975] C.S. 686 (appeal dismissed, unreported, 500-09-00910-752, C.A.M., February 27, 1981); Corporation municipale du village de Rimouski Est c. Corporation municipale de la cité de Rimouski et P.G. du Québec, [1976] C.S. 485; Re Campeau Corporation and City of Ottawa (1978), 22 O.R. (2d) 40 (Div. Ct.); City of Dartmouth v. S. S. Kresge Co. Ltd. (1966), 58 D.L.R. (2d) 229 (N.S.S.C.); Kruse v. Johnson, [1898] 2 Q.B. 91 (Div. Ct.); Aerlinte Eireann Teoranta v. Canada, [1987] 3 F.C. 383 (T.D.); Bacon v. Ont. Flue-Cured Tobacco Growers Marketing Bd., [1959] O.W.N. 256 (H.C.); Remis v. Fontaine, [1951] 2 D.L.R. 461 (Man. C.A.); Sparks v. Edward Ash, Ld., [1943] K.B. 223 (C.A.); Taylor v. Brighton Borough Council, [1947] K.B. 736 (C.A.).
AUTHORS CITED
Bennion, F.A.R. Statutory Interpretation, London: But- terworths, 1984.
Canada. Commission de réforme du droit. Notre droit pénal. Ottawa: Ministre des Approvisionnements et Services, 1976.
Canada. Law Reform Commission, Our Criminal Law. Ottawa: Minister of Supply and Services, 1976.
De Smith's Judicial Review of Administrative Action,
4th ed. by J. M. Evans London: Stevens & Sons, 1980. Driedger, Elmer A. Construction of Statutes, 2nd ed.
Toronto: Butterworths, 1983.
Driedger, Elmer A. "Subordinate Legislation" (1960), 38 Cdn. B. Rev. 1.
Dussault, René and Louis Borgeat. Administrative Law: A Treatise, (trans. by M. Rankin), Toronto: Carswell, 1985.
Garant, Patrice. Droit administratif, 2' éd. Montréal: Editions Yvon Blais Inc., 1985.
Gibson, R. Dale. "Measuring National Dimensions" (1976), 7 Man. L.J. 15.
Hogg, Peter W. Constitutional Law of Canada, 2nd ed. Toronto: Carswell, 1985.
Pigeon, Louis-Philippe. Rédaction et Interprétation des lois, Québec: Éditeur officiel du Québec, 1965.
COUNSEL:
P. Wilbrod Gauthier, Q.C. and Christine Carron for plaintiffs.
J. M. Mabbutt and Jean-Marc Aubry for defendants.
SOLICITORS:
Ogilvy, Renault, Montréal, for plaintiffs.
Deputy Attorney General of Canada for defendants.
EDITOR'S NOTE
The Executive Editor has decided to report, as abridged, His Lordship's 128-page reasons for judgment herein. The issues in this litigation were: (1) whether subparagraph 25(1)(o)(ii) of the Food and Drugs Act is ultra vires of Parliament; (2) whether the DIN regulations and/or the new drug regulations are ultra vires of the Governor Gener al in Council and (5) whether the search and seizure under the Food and Drugs Act, section 22 violated the plaintiffs' Charter section 8 rights. The decision with respect to those issues is pub lished in its entirety. Omitted from this report are the reasons for judgment with respect to the third and fourth issues. They were: (3) were the isolat ed amino acids and amino acid products truly "new drugs" within the meaning of the legislation and (4) were the new drug regulations applied in an unfair, unreasonable and discriminatory manner? The conclusions concerning the omitted issues are dealt with in an Editor's Note.
The following are the reasons for judgment rendered in English by
MULDOON J.: In this combined litigation the plaintiffs assert that subparagraph 25(1)(o)(ii) of the Food and Drugs Act, R.S.C. 1970, c. F-27, is ultra vires of Parliament and that regulations C.01.014 to C.01.014.4 inclusive, [Food and Drug Regulations] C.R.C., c. 870 as added by SOR/81- 248, s. 2 and regulations C.08.001 to C.08.011 inclusive, as amended by SOR/79-236 s. 5, are all also ultra vires if not of Parliament then of the Governor General in Council. The above-men tioned regulations are alleged, consequently, to be null and void in that:
a) they constitute a licensing scheme not authorized by the powers to make regulations under section 25 of the Food and Drugs Act (hereinafter, the Act);
b) they are not regulations at all since they contain no objec tive standards for the criteria for (i) the definition of a new drug, (ii) the issuance of notice of compliance by the Minister, (iii) the issuance of a "drug identification number" (herein- after, DIN);
c) they constitute [or are an expression of] an illegal delegation of authority;
d) they constitute an illegal delegation of discretion to the Director [the Assistant Deputy Minister of National Health and Welfare] which discretion has been exercised in an arbi trary and discriminatory manner by his employees ([sic] or subordinate personnel); and
e) they have the effect of constituting the Director a court by reason of the fact that they purport to give him the power to determine what constitutes a violation of the Act or its regulations.
In regard to the foregoing, the plaintiffs seek declaratory relief.
The plaintiff, C.E. Jamieson & Co. (Dominion) Ltd., hereinafter Jamieson, asserts also that the search on its premises for and seizure of all isolat ed amino acids and all amino acid products in its inventory on December 17, 1984, by the Director's personnel were and are illegal, null and void, in particular in that they were unreasonable and contravene section 8 of the Canadian Charter of Rights and Freedoms [being Part I of the Consti tution Act, 1982, Schedule B, Canada Act 1982, 1982, c. 11 (U.K.)]. The plaintiffs assert that, in any event, the said isolated amino acids and amino acid products are not "new drugs" within the meaning of the Act and Regulations.
Finally, and in the ultimate alternative the plaintiffs allege that even if the above-mentioned regulations be not ultra vires, the manner in which they have been applied vis-a-vis the plaintiffs is unfair, unreasonable and discriminatory to the point of creating a flagrant injustice, and that in particular Jamieson is entitled to receive a DIN for its product.
In this latter regard Jamieson seeks, in effect, an order in the nature of mandamus commanding the Director to issue a DIN for its product "Stress Ease with Vitamins and Minerals". In fact, the parties now agree that the Director and his staff withdrew their objection to Jamieson's proposed trade name
"Stress-Ease", after the institution of these present proceedings. While the Director did not withdraw his objection to the inclusion of L-tryptophan in the product, he did approve the issuance of a DIN for a product, without tryptophan, under the trade name, "Stress-Ease".
These two cases came to trial simultaneously on December 16, 17 and 18, 1986, in Montréal, Quebec. The exhibits are voluminous, most being entered in each action, and the parties' joint state ments of agreed facts, one entered in each action, are complex. Finally settled pleadings were intro duced and certified records amended by nunc pro tune order, with the consent of counsel on both sides, only at the opening of the simultaneous trials, and the requisite amended form of state ment of defence in action No. T-2853-84 was filed in January 1987. Written submissions were received also in that month. Transcripts of the proceedings were also obtained.
The parties' amended joint admissions of facts and their written additional admissions, including documents adopted therein by reference, are no doubt uppermost in the parties' minds in each action and in every detail and so it is unnecessary to repeat or recite them here. Needless to empha size in adversarial civil litigation such as this is, albeit concerned with important issues of public law, the Court will ordinarily accept and adopt the facts which the adversaries present by agreement.
In addition to the agreed written evidence, the plaintiffs called five witnesses to present viva voce testimony. They are: Eric Margolis, Chief Execu tive Officer of the plaintiff, Jamieson; James Allan Maranda, President of the plaintiff, Swiss Herbal Remedies; Barrie Carlson, President of Ouest Vitamin Supplies Limited; Errol Abramson, owner of BEA per Capita Corporation, a British Columbia based vitamin packager and retailer; and Hyman Busgang, President and owner of the plaintiff, Pharmetics. Counsel for the defendants cross-examined only Mr. Margolis, and he did not call any witnesses to testify viva voce at trial for the defence.
For the defence there was tendered, by defend ants' counsel, as exhibit 2 in both actions, the affidavit of Simon N. Young, Ph.D. an expert who, with the consent of both sides, was not called to testify at the trial. A transcript of the cross- examination of Professor Young by plaintiffs' counsel, held on December 11, 1986, is exhibit 3 in both actions. Various substances in tablets, sachets and capsules were identified during that cross- examination and they are received as exhibits 3(SY1) through 3(SY8) in both actions. Extracts from the transcripts of the examinations by plain tiffs' counsel for discovery of defendants' officials, Denys Cook and Robert Ferrier are together exhibit 4.
In all, twenty major exhibits are filed herein, three en liasse and several being documents of as many as six pages. The documentary evidence tendered is voluminous, highly detailed and rather technical in general.
On their part, the defendants rely on the state ment of admissions and the supplementary docu ments produced as and with exhibit 1, the affidavit of Professor Simon N. Young (ex. 2) and the transcript of his cross-examination thereon (ex. 3) and exhibit 10 (en liasse) the notice of compliance dated October 6, 1986, and product monograph ICN Canada Ltd. of September 2, 1986. (Tran- script 1, page 137.)
ISSUES
The facts and the pleadings raise a number of administrative law and constitutional law issues. These will be examined in the order of sine qua non, starting with the issue of legislative compe tence under the division of powers as to the vires of Parliament to legislate and to delegate legislative authority in the matter of food and drugs. The issues, then, are the following:
I. LEGISLATIVE COMPETENCE: Are subparagraph 25(1)(o)(ii) of the Food and Drugs Act and the regula tions regarding new drugs ultra vires or intra vires of Parliament?
II. SUBORDINATE LEGISLATIVE COMPETENCE: Are the DIN regulations and/or the new-drug regulations ultra vires of the Governor General in Council for any of the following asserted reasons:
A. They constitute a licensing scheme not authorized by section 25 of the Food and Drugs Act;
B. They establish no objective standards and are too vague; and/or
C. They constitute or are an expression of an illegal subdelegation of authority?
III. Were the isolated amino acids and amino acid products truly "new drugs" in contemplation of the Act and the Regulations?
IV. Were the regulations regarding new drugs applied in an
unfair, unreasonable and discriminatory manner?
V. CHARTER APPLICATION: Did the search and seizure pursuant to section 22 of the Food and Drugs Act, violate the plaintiffs' right guaranteed by section 8 of the Canadian Charter of Rights and Freedoms, and is that section 22 itself violative of such right?
The determination of the foregoing issues will provide the definitive outcome of this litigation.
I. PARLIAMENT'S LEGISLATIVE COMPETENCE: Are subparagraph 25(1)(o)(ii) of the Food and Drugs Act and the regulations regarding new drugs ultra vires or intra vires of Parliament?
This question demands a resolution of constitu tional division of powers and that resolution is the sine qua non of this litigation. It is such, because if the statutory enactment upon which the regula tions depend be beyond Parliament's constitutional powers, then the regulations will fall for lack of a legal base and the plaintiffs will be able—and will have been able—to pursue their activities free of regulatory constraint on the part of the Parliament and government of Canada. On the other hand, if the statutory enactment be valid, one must still consider whether the actual regulations be a proper exercise of the powers conferred on the Governor in Council and, if so, whether the state's functionaries have applied and enforced them law fully. If the regulations be invalidly formulated and promulgated then the enquiry will stop upon such a finding.
The plaintiffs submit that the statutory provi sion, subparagraph 25(1)(o)(ii) of the Act, cannot be supported by Parliament's exclusive power to
make laws in relation to all matters within the subjects of "trade and commerce" or "criminal law", nor yet by the general jurisdiction to make laws for the peace, order and good government (p.o. & g.g.) of Canada. The first-mentioned field of jurisdiction resides in Head 2 of section 91 of the Constitution Act, 1867 [30 & 31 Vict., c. 3 (U.K.) [R.S.C. 1970, Appendix II, No. 5] (as am. by Canada Act 1982, 1982, c. 11 (U.K.), Schedule to the Constitution Act, 1982, Item 1)], the second resides in Head 27 of section 91 and the general power, last-mentioned finds its origin in the Con stitution's basic grant of Parliament's power expressed in the opening words of section 91.
In addition to that panoramic assertion of lack of jurisdiction, the plaintiffs further assert that such an enactment must come within, because it infringes, the provincial jurisdiction to make laws exclusively in relation to matters within the class of subject which is "property and civil rights of the province" which might enact such laws or decline to do so. The provincial jurisdiction resides in Head 13 of section 92 of the Constitution Act, 1867. In this litigation the plaintiffs alone carry the burden of such persuasion, unaided by any provincial attorney general because none was represented in these proceedings.
In response, the defendants submit that the impugned provision of the Food and Drugs Act, with the supporting provisions generally of the Act itself, is validly enacted by Parliament pursuant to its powers under section 91 of the Constitution Act, 1867, particularly the power to make laws in relation to criminal law and/or p.o. & g.g.
Judicial review of legislation in the context of the constitutional division of powers is theoretical ly a two-step sequence: first, a determination of the pith and substance (that is, dominant subject- matter) of the legislation; and then the assignment of that subject-matter to one of the heads of power (that is, classes of subjects) listed in and distribut ed by sections 91 and 92 (inter alia) of the consti tutional statute. Those two steps frequently fuse
because determination of the pith and substance is often expressed as one or more of the heads of power to legislate.
There is more to the question of power to legis late than resides only in subparagraph 25(1)(o)(ii) of the principal enactment. The form and purpose or thrust of the Act and its Regulations are to be considered. Because the Act in form does not contain any preamble to state its legislative intent, the same must be inferred from its provisions. Certain of the interpretive definitions [section 2 (as am. by S.C. 1980-81-82-83, c. 47, s. 19)] are worth reciting, thus:
2....
"Department" means the Department of National Health and Welfare; [and "Minister" of course bears the correlative meaning];
"drug" includes any substance or mixture of substances manu factured, sold or represented for use in
(a) the diagnosis, treatment, mitigation or prevention of a disease, disorder, abnormal physical state, or the symp toms thereof, in man or animal,
(b) restoring, correcting or modifying organic functions in man or animal, or
(c) disinfection in premises in which food is manufac tured, prepared or kept;
"inspector" means any person designated as an inspector under section 21.1 or pursuant to the Department of Consumer and Corporate Affairs Act for the purpose of the enforcement of this Act;
"label" includes any legend, word or mark attached to, includ ed in, belonging to or accompanying any food, drug, cosmet ic, device or package;
"package" includes any thing in which any food, drug, cosmetic or device is wholly or partly contained, placed or packed;
"prescribed" means prescribed by the regulations;
"sell" includes sell, offer for sale, expose for sale, have in
possession for sale, and distribute;
Part I of the Food and Drugs Act bears the title FOODS, DRUGS, COSMETICS AND DEVICES. This Part commences with a general provision:
General
3. (1) No person shall advertise any food, drug, cosmetic or device to the general public as a treatment, preventative or cure for any of the diseases, disorders or abnormal physical states mentioned in Schedule A.
(2) No person shall sell any food, drug, cosmetic or device
(a) that is represented by label, or
(b) that he advertises to the general public
as a treatment, preventative or cure for any of the diseases, disorders or abnormal physical states mentioned in Schedule A.
(3) Except as authorized by regulation, no person shall advertise to the general public any contraceptive device or any drug manufactured, sold or represented for use in the preven tion of conception.
Under its next heading Food, there are four fur ther sections which, like section 3, having regard to section 26 under Penalties, create offences being the sale of poisonous or harmful substances, food unfit for human consumption, rotten, decomposed or adulterated food and the like. Labelling, pack aging, selling or advertising any food in a false, misleading or deceptive manner, or likely creating a false impression about its character, value, merit or safety and the like are all prohibited. Unsani tary conditions for food are likewise prohibited.
That division of Part I entitled Drugs is more elaborate than the foregoing but is largely modelled on the offences and prohibitions expressed under Food. In the circumstances, it is worth reciting in detail, so:
Drugs
8. No person shall sell any drug that
(a) was manufactured, prepared, preserved, packed or stored under unsanitary conditions; or
(b) is adulterated.
9. (1) No person shall label, package, treat, process, sell or advertise any drug in a manner that is false, misleading or deceptive or is likely to create an erroneous impression regard ing its character, value, quantity, composition, merit or safety.
(2) A drug that is not labelled or packaged as required by the regulations, or is labelled or packaged contrary to the regulations, shall be deemed to be labelled or packaged con trary to subsection (1).
10. (1) Where a standard has been prescribed for a drug, no person shall label, package, sell or advertise any substance in such a manner that it is likely to be mistaken for such drug, unless the substance complies with the prescribed standard.
(2) Where a standard has not been prescribed for a drug, but a standard for the drug is contained in any publication mentioned in Schedule B, no person shall label, package, sell or advertise any substance in such a manner that it is likely to be mistaken for such drug, unless the substance complies with such standard.
(3) Where a standard for a drug has not been prescribed and no standard for the drug is contained in any publication mentioned in Schedule B, no person shall sell such drug, unless
(a) it is in accordance with the professed standard under which it is sold, and
(b) it does not resemble, in a manner likely to deceive, any drug for which a standard has been prescribed or is contained in any publication mentioned in Schedule B.
11. No person shall manufacture, prepare, preserve, package or store for sale any drug under unsanitary conditions .
12. No person shall sell any drug described in Schedule C or D unless the Minister has, in prescribed form and manner, indicated that the premises in which the drug was manufac tured and the process and conditions of manufacture therein are suitable to ensure that the drug will not be unsafe for use.
13. No person shall sell any drug described in Schedule E unless the Minister has, in prescribed form and manner, indicated that the batch from which the drug was taken is not unsafe for use.
14. (1) No person shall distribute or cause to be distributed any drug as a sample.
(2) Subsection (1) does not apply to the distribution, under prescribed conditions, of samples of drugs to physicians, den tists, veterinary surgeons or pharmacists.
15. No person shall sell any drug described in Schedule F. [Schedule revoked July 18, 1984 (SOR/84-566, s. 1).]
Part II of the Act bearing the title, ADMINIS TRATION AND ENFORCEMENT deals with inspec tors, search and seizure, forfeiture, analysis of articles and substances, regulations (including the impugned provision), penalties and evidence. In terms of characterizing Parliament's legislative competence in regard to the enactment of the Food and Drugs Act from the point of view of international trade and commerce, Part II ends with a most telling section. It runs under the title, Exports, thus:
32. This Act does not apply to any packaged food, drug (other than a drug or other substance defined as a controlled drug by Part III or as a restricted drug by Part IV), cosmetic or device, not manufactured for consumption in Canada and not sold for consumption in Canada, if the package is marked in distinct overprinting with the word "Export", and a certificate that the package and its contents do not contravene any known requirement of the law of the country to which it is or is about to be consigned, has been issued in respect thereof in prescribed form and manner.
Schedule A is a list of some 46 conditions and diseases, mental and physical, alphabetically arranged, from alcoholism, through anxiety, depression, obesity and pleurisy, among others, to vaginitis and venereal disease. Schedule B is a list of seven well-known formularies and pharmaco- poeiae. Schedule C covers radiopharmaceuticals, and D is a list of natural and organic substances and secretions. Schedule E is blank, and F was revoked in July 1984.
By virtue of section 32, above cited, the compass of the Food and Drugs Act operates only in and throughout Canada, with an exception provided in regard to the labelling of drugs manufactured for consumption outside of Canada. The exception is not in issue here. Therefore it is within the sole optic of a statute enacted and promulgated by Parliament in and for Canada that the plaintiffs attack the vires of the impugned subparagraph:
25. (1) The Governor in Council may make regulations for carrying the purposes and provisions of this Act into effect, and, in particular, but not so as to restrict the generality of the foregoing, may make regulations
(o) respecting
(ii) the sale or the conditions of sale of any new drug,
and defining for the purposes of this Act the expression "new drug „ ...
Paragraph 25(1)(o) is enacted in the context of that section of the Act which declares at least one legislative intent of the statute, and expresses a purpose which is closely connected with the impugned provision. The other, closely connected part is paragraph 25(1)(b) [as am. by S.C. 1976- 77, c. 28, s. 16], among others. In context, then,
the impugned subparagraph is part of a legislative schema which runs, at least partially, thus:
25. (1) The Governor in Council may make regulations for carrying the purposes and provisions of this Act into effect, and, in particular, but not so as to restrict the generality of the foregoing, may make regulations
(b) respecting
(i) the labelling and packaging and the offering, exposing and advertising for sale of food, drugs, cosmetics and devices,
(ii) the size, dimensions, fill and other specifications of packages of food, drugs, cosmetics and devices,
(iii) the sale or the condition of sale of any food, drug, cosmetic or device, and
(iv) the use of any substance as an ingredient in any food, drug, cosmetic or device,
to prevent the consumer or purchaser thereof from being deceived or misled as to its design, construction, perform ance, intended use, quantity, character, value, composition, merit or safety, or to prevent injury to the health of the consumer or purchaser;
(e) respecting the method of preparation, manufacture, pre serving, packing, storing and testing of any food, drug, cosmetic or device in the interest of, or for the prevention of injury to, the health of the consumer or purchaser;
(m) adding anything to any of the schedules, in the interest of, or for the prevention of injury to, the health of the consumer or purchaser, or deleting anything therefrom;
(o) respecting
(i) the method of preparation, manufacture, preserving, packing, labelling, storing and testing of any new drug, and
(ii) the sale or the condition of sale of any new drug,
and defining for the purposes of this Act the expression "new drug"; .... [Emphasis not in original text.]
In order to understand the pith and substance of the impugned subparagraph 25(1)(o)(ii), it is essential to ascertain the legislative intent and purpose of the provision in its proper context. The context of this provision which confers on the Governor in Council the power to make regula tions for carrying the purposes of the Act into effect reveals a legislative intent which is manifest in sections 8, 9(1), 10(1) and (2), 11, 12, 13, 26,
27, 28, 29 and in paragraphs 25(1)(b), (e) and (m). The statutory authority to make regulations respecting drugs generally, and new drugs in par ticular, must stand or fall in this constitutional and legislative context.
Early on in the Regulations, there are the DIN provisions of which the plaintiffs complain and which they seek to have declared ultra vires of Parliament and of the Governor in Council in terms of the scope and reach of the Food and Drugs Act. They are regulations C.01.014 to C.01.014.4 which may conveniently be either quoted or paraphrased thus:
C.01.014. (1) No manufacturer shall sell a drug in dosage form unless a drug identification number has been assigned for that drug and the assignment of the number has not been cancelled pursuant to section C.01.014.6.
(2) Subsection (1) does not apply where the drug is a radiopharmaceutical, a sensitivity disc or a sensitivity tablet.
C.01.014.1. Any manufacturer or importer may apply for a DIN, which shall be made to the Director in writing and shall set out specified matters (a) to (n), such as: the pharmaceutical form in which the drug is to be sold; the recommended route of administration; quantitatively the medicinal ingredients by their proper, or at least common names; whether sold for human or veterinary use, or for disinfection of premises; name and quantity of each colouring which is not a medicinal ingredient; the use or purpose for which the drug is recom mended; recommended dosage; identification of the manufac turer or importer; and the text of all labels and package inserts and of any further prescribing information stated to be avail able on request. In the case of a new drug, a submission filed under C.08.002, or in the case of a proprietary medicine an application under C.10.003, is deemed to be an application for a DIN.
C.01.014.2. Where an applicant has provided all the infor mation required in respect of a drug, the Director shall issue "a document" setting out the DIN and recording the information referred to in C.01.014.1(2)(a) to (f), but where the Director believes on reasonable grounds that the product is not a drug, or, is a drug but its sale [sic] [ingestion, surely] would cause injury to the health of the consumer or purchaser or would violate the Act or Regulations, he may refuse to issue that "document". If so, the applicant may submit additional infor mation and ask the Director to reconsider, that which the latter shall do.
C.01.014.3. The applicant or a person authorized by the applicant shall, within 30 days after he commences sale of a drug, date and sign the document issued pursuant to section C.01.014.2 in respect of the drug and return the document
(a) with a confirmation that the information recorded there in is correct;
(b) indicating the date on which the drug was first sold in Canada; and
(c) accompanied by samples or facsimiles of all labels and package inserts and any further prescribing information stated to be available on request.
C.01.014.4. Where an application in respect of a drug is made under section C.01.014.1 and the information set out in the application is no longer correct due to a change in the subject matter of that information,
(a) in the case of a change in the subject matter of any of the information referred to in paragraphs C.01.014.1(2)(a) to (e)
(i) that occurs prior to the sale of the drug, a new application shall be made, or
(ii) that occurs after the sale of the drug, no further sale of the drug shall be made until a new application for a drug identification number in respect of that drug is made and a number is assigned; and
(b) in the case of a change in the subject matter of any of the information referred to in paragraphs C.01.014.1(2)(J) to (k)
(i) that occurs prior to the sale of the drug, the particulars of the change shall be submitted with the return of the document referred to in section C.01.014.3, or
(ii) that occurs after the sale of the drug, the person to whom the drug identification number in respect of that drug was issued shall, within 30 days of the change, inform the Director of the change.
The heart of the plaintiffs' complaint is the alleged vagueness of section C.01.014.2, paraphrased above.
The "new drug" regulations of which the plain tiffs complain are promulgated in Division 8 of the Regulations. It begins with a definition of New Drugs, thus:
C.08.001. For the purposes of the Act and this Division "New Drug" means
(a) a drug that contains or consists of a substance, whether as an active or inactive ingredient, carrier, coating, excipient, menstruum or other component, that has not been sold as a drug in Canada for sufficient time and in sufficient quantity to establish in Canada the safety and effectiveness of that substance for use as a drug;
(b) a drug that is a combination of two or more drugs, with or without other ingredients, and that has not been sold in that combination or in the proportion in which those drugs are combined in that drug, for sufficient time and in suffi cient quantity to establish in Canada the safety and effective ness of that combination and proportion for use as a drug; or
(c) a drug, with respect to which the manufacturer pre scribes, recommends, proposes or claims a use as a drug, or a condition of use as a drug, including dosage, route of administration, or duration of action and that has not been
sold for that use or condition of use in Canada, for sufficient time and in sufficient quantity to establish in Canada the safety and effectiveness of that use or condition of use of that drug.
The remainder of the impugned regulations in Division 8 are voluminous, and this exer cise of characterizing them—C.08.002 through C.08.011—in terms of constitutional vires, can be adequately served by a paraphrased brief sum mary.
C.08.002—provides that no person shall sell a new drug unless the manufacturer has filed with the Minister a new drug submission and obtained a notice of compliance; lists the information which a new drug submission must include.
C.08.003—in effect provides that if any of the information contained in the new drug submission differs from the actual selling practices of that new drug, the new drug shall not be sold unless the manufacturer files with the Minister a supple ment to the new drug submission containing such information and material as the Director may require.
C.08.004—requires the Minister to issue a notice of compli ance within 120 days where the new drug submission complies with C.08.002 or C.08.003.
C.08.005—lists the circumstances under which a manufac turer may sell a new drug to "qualified investigators" for the sole purpose of clinical testing to obtain evidence about its safety, dosage and effectiveness, notwithstanding section C.08.002 or C.08.003.
C.08.006—authorizes the Minister to suspend a notice of compliance where doing so is, in his or her opinion, in the interests of public health, where the effectiveness of the new drug is now questionable, or where the new drug submission has been found to have been based upon any untrue statement of material fact.
C.08.007—requires a manufacturer, who has obtained a notice of compliance, to maintain adequately organized records of current scientific research concerning the new drug, and of actual selling and consumption practices of the new drug.
C.08.008—prohibits manufacturers from selling new drugs unless they have complied with C.08.007.
C.08.009—sets out the procedure to be followed when the Minister suspends a notice of compliance.
C.08.010—provides for the sale, on the Director's authoriza tion, of a new drug to a medical practitioner for emergency treatment.
C.08.011—permits a manufacturer to make a C.08.010 type of sale, and exempts such a sale from the provisions of the Act and Regulations.
I (1): TRADE AND COMMERCE
The defendants' counsel rightly did not rely heavily upon this head of Parliament's power. It can be dealt with quite briefly.
Head 2 of section 91 of the Constitution Act, 1867, confers upon Parliament the exclusive legis lative authority to make laws in regard to that class of subject designated as the regulation of trade and commerce. The apparently broad scope of this power has been restrictively limited by judicial interpretation. The decision of the Judicial Committee of the Privy Council in Citizens Insur ance Company of Canada v. Parsons (1881-82), 7 A.C. 96, accepts that Parliament's regulatory power over trade and commerce includes political arrangements in regard to trade requiring the sanction of Parliament, regulation of interprovin- cial trade and perhaps regulation of trade affecting the whole country, but does not comprehend the regulation by legislation of the contracts of a particular business or trade in a single province. Here, Parliament purports to regulate the business of the pharmaceutical industry within Canada. However, it is not acceptable that it may lawfully do so, absent an emergency, even though the industry operates and the legislation applies throughout the country. Such a conclusion on the trade and commerce power may be taken, inter alia, from a selection of the decisions of the Supreme Court of Canada and the Judicial Com mittee of the Privy Council over a fair span of years in: In re `Insurance Act, 1910" (1913), 48 S.C.R. 260; In re Board of Commerce Act, 1919, and Combines and Fair Prices Act, 1919, [1922] 1 A.C. 191 (P.C.); and MacDonald et al. v. Vapor Canada Ltd., [1977] 2 S.C.R. 134.
Conceding that the Food and Drugs Act is regulatory legislation (transcript 3, pages 91 and 92), the defendants' counsel argued simply that it rests, in part, on the trade and commerce power, being "justifiable as regulation as a general matter of trade of interest to the Dominion", (transcript 3, page 123). He submitted nothing more on the subject of that power as a foundation for this legislation.
Some support for invocation of the trade and commerce power might be inferred from the minority judgments in Attorney General of Canada v. Canadian National Transportation, Ltd. et al., [1983] 2 S.C.R. 206. There Messrs. Justices Beetz and Lamer expressed themselves (page 282) to be in substantial agreement with Mr. Justice Dickson (now Chief Justice) to the effect that paragraph 32(1)(c) of the Combines Investigation Act [R.S.C. 1970, c. C-23 (as am. by S.C. 1974-75-76, c. 76, s. 14(1))] was validly enacted by Parliament under its authority to make laws in relation to trade and commerce pursuant to Head 2 of section 91 of the Constitution Act, 1867. Dickson J. is reported, at pages 267 and 268, to have made these observations, which may bear some relevance to the instant circumstances.
In approaching this difficult problem 'of characterization it is useful to note the remarks of the Chief Justice in MacDonald v. Vapor Canada Ltd., supra, at p. 165, in which he cites as possible indicia for a valid exercise of the general trade and commerce power the presence of a national regulatory scheme, the oversight of a regulatory agency and a concern with trade in general rather than with an aspect of a particular business. To this list I would add what to my mind would be even stronger indications of valid general regulation of trade and commerce, namely (i) that the provinces jointly or severally would be constitutionally incapable of passing such an enact ment and (ii) that failure to include one or more provinces or localities would jeopardize successful operation in other parts of the country.
The above does not purport to be an exhaustive list, nor is the presence of any or all of these indicia necessarily decisive. The proper approach to the characterization is still the one suggest ed in Parsons, a careful case by case assessment. Nevertheless, the presence of such factors does at least make it far more probable that what is being addressed in a federal enactment is genuinely a national economic concern and not just a collection of local ones. [Emphasis is not in original text.]
These thoughts do not, of course, contemplate the exact circumstances of the case at bar, but they do not overbear the defendants' concession about the regulatory character of the Food and Drugs Act. Of interest here are the comprehensive reasons of MacGuigan J. in Attorney General of Canada v. Québec Ready Mix Inc., [1985] 2 F.C. 40 (C.A.), in which his colleagues concurred.
Although they may have some incidental effect on international and interprovincial trade and commerce the statutory delegation and the conse quent regulations are not aimed directly at such trade and commerce. Thus, they are not sustain able on that branch of the power. Further, since the Act and Regulations are directed by Parlia ment toward the regulation of a single (albeit
multifarious) industry—pharmaceuticals—they reside outside the regulation of trade, in its mega- scopic sense, affecting the whole country. The Court therefore concludes that the delegation of regulation-making authority expressed in subpara- graph 25(1)(o)(ii) with its companion provisions, and the impugned regulations purportedly made pursuant thereto, cannot be sustained by Parlia ment's authority to legislate in regard to the regu lation of trade and commerce within the meaning of Head 2, section 91 of the Constitution Act, 1867.
I (2): CRIMINAL LAW
Head 27 of section 91 of the Constitution Act, 1867 accords to Parliament the jurisdiction to enact statutes in relation to "The Criminal Law ... including the Procedure in Criminal [law] Matters."
Criminal law's essence, as seen in 1976 by the Law Reform Commission of Canada in its Report 3: Our Criminal Law, was described thus [at page 5]:
Criminal law, then, primarily has to do with values. Natural ly, for crime itself is nothing more nor less than conduct seriously contrary to our values. Crimes are acts not only punishable by law but also meriting punishment. As Fitzjames Stephen said, the ordinary citizen views crime as an act "for- bidden by law and revolting to the moral sentiments of society". Crimes are not just forbidden, they are also wrong.
Jurisprudence offers this much, at least, in gen eral description of criminal law:
A statutory prohibition of defined conduct with penal conse quences, which prohibition safeguards the public interest by excluding substances injurious to health, by denouncing fraud, deception and other injurious exploitation and by promoting peace, order and security.
That concocted definition, general as it is, is drawn from various judicial pronouncements among
which not least are, Proprietary Articles Trade Association v. Attorney-General for Canada, [1931] A.C. 310 (P.C.), at page 324; and Canadi- an Federation of Agriculture v. Attorney-General for Quebec (Margarine Reference), [1951] A.C. 179 (P.C.), at pages 196 and 197. Indeed, in the last-mentioned case, it was specifically stated that the argument to the effect that Parliament's ban on margarine was an enactment of criminal law, "would have had more weight if it had been possible to contend that the object of the prohibi tion was to exclude from Canada substances injurious to health." (Emphasis added.) See, also, the judgment of Mr. Justice Duff, in the Supreme Court of Canada in Combines Investigation Act Reference re Validity of The, [1929] S.C.R. 409, at page 413; [1929] 2 D.L.R. 802, at page 805, in regard to the control of human conduct being a concern of the criminal law.
The pertinent passages of the Food and Drugs Act above quoted, demonstrate that the prohibited conducts at which they are aimed are the dissemi nation of substances injurious to health, and the misleading or deception of the public in regard to the character, value, quantity, composition, merit or safety of drugs, in particular. Penal conse quences for such conduct are provided by section 26 of the Act.
The defendants submit that the exclusion and prohibition of injurious substances, and the estab lishment of standards for permissible substances serve the purposes of criminal law, to the end of protecting public health and preventing the dan gers of deceiving or misleading the public about the potential risks associated even with the permis sible substances. Any effect on property and civil rights is merely incidental, say the defendants. The plaintiffs disagree. They argue that, in essence, these enactments do not prohibit conduct but, rather, regulate a business. Accordingly, the plain tiffs urge, this is colourable legislation which really bears on property and civil rights in a (if not every) province, not criminal law.
The constitutional validity of various provisions of the Food and Drugs Act has been challenged in litigation on at least four previous occasions.
In Standard Sausage Co. v. Lee, Proctor v. Standard Sausage Co., [1933] 4 D.L.R. 501 (B.C.C.A.), with the scholarly addendum of Martin J.A. reported in [ 1934] 1 D.L.R. 706, the validity of provisions prohibiting the adulteration of food with certain preservatives was under attack. The Court unanimously held that the sub ject resides squarely within Parliament's legislative jurisdiction over criminal law. The appeal lay from the judgment of Macdonald J. Macdonald J.A. wrote for himself and Macdonald C.J.B.C. thus [at page 506]:
So ... if the Federal Parliament, to protect the public health against actual or threatened danger, places restrictions on, and limits the number of preservatives that may be used, it may do so under s. 91 (27) of the B.N.A. Act. This is not in essence an interference with property and civil rights. That may follow as an incident but the real purpose (not colourable and not merely to aid what in substance is an encroachment) is to prevent actual, or threatened injury or the likelihood of injury of the most serious kind to all the inhabitants of the Dominion.
Continuing, on page 507, Macdonald J.A. is fur ther reported as holding:
The primary object of this legislation is the public safety— protecting it from threatened injury. If that is its main pur- pose—and not a mere pretence for the invasion of civil rights— it is none the less valid because it may be open to a criticism, from which few acts are free, that its purpose would be served equally well by accepting the opinion of others, viz., that sulphur dioxide might with safety be added to the list of usable preservatives. Tampering with food by the introduction of foreign matter, however good the intentions, should properly be regarded as a public evil and it may properly be regarded as highly dangerous to lower the bars, or to remove restrictions which, rightly or wrongly, Parliament in its wisdom thought fit to prescribe.
The immediately preceding pronouncement has stood unimpaired during more than half a century. It certainly buttresses the defendants' posture on the issues of the prescribing of standards, consider ations of danger, and "newness" in regard to the plaintiffs' substances. It also indicates that such factors do not adversely affect the issue of consti tutional validity.
Beyond the matter of public safety, Macdonald J.A. held that the Act's validity is sustainable on yet another ground, suppression of fraud in the distribution of food products, in that instance, where a dealer misrepresented the adulterated sau sages as being "fresh". Obviously, drugs and other substances cannot escape the force of such reasoning.
The reasoning and conclusions stated in the Standard Sausage case were adopted and applied by Mr. Justice Heald, then of the Trial Division of this Court in the case of Berryland Canning Com pany Ltd. v. The Queen, [1974] F.C. 91. Heald J. held that paragraph 4(d) of the Act, pursuant to which cyclamates were to be phased out and banned for use in canned foods, is infra vires of Parliament. He is reported, at page 95, as saying:
A comparison of the 1927 Act with the present Act clearly shows that, while some provisions have been added and others changed, the main purposes of the Act have not changed over the years. Thus, the rationale of the Standard Sausage case (supra) applies equally to the present case.
An apt description of the criminal law power of the Parlia ment of Canada is contained in the judgment of Mr. Justice Rand in The Reference as to the Validity of Section 5(a) of the Dairy Industry Act [1949] S.C.R. 1 at p. 50 where he said:
Is the prohibition then enacted with a view to a public purpose which can support it as being in relation to criminal law? Public peace, order, security, health, morality: these are the ordinary though not exclusive ends served by that law ... (Italics mine).
More recently, the Supreme Court of Canada has twice considered the constitutional validity of certain provisions in the Food and Drugs Act, which were invalidated in one instance and sus tained in the other. Both decisions are closely reasoned, although neither was unanimous.
In Labatt Breweries of Canada Ltd. v. Attorney General of Canada, [1980] 1 S.C.R. 914, the Court considered the impugned validity of a regu lation made pursuant to the Act, which regulation prescribed the compositional standards of "beer" and "light beer". The appellant had marketed a new brand of beer labelled "Labatt's Special Lite", which contained 4% alcohol by volume. The regulation in question exacted that "light beer" contain not more than 2.5% alcohol, whereas regu-
lar "beer" was required to have only between 2.6% and 5.5% alcohol by volume. The brewery's appeal was allowed by a majority of six of the nine judges. Of that majority, five judges speaking through the voice and words of Mr. Justice Estey, did set aside the judgment of the Court of Appeal [[1980] 1 F.C. 241] and the order of the Trial Division [(1978), 84 D.L.R. (3d) 61] and declared [at page 947]:
... that sections B.02.130 to B.02.135 inclusive of the Food and Drug Regulations are invalid and that sections 6 and 25(1)(c) of the Food and Drugs Act are ultra vires Parliament in so far as they relate to malt liquors.
Mr. Justice Pratte, the sixth judge of the majority joined in allowing the brewery's appeal, but would simply have restored the judgment of the Trial Judge.
In that Labatt Breweries case, Estey J. held that the regulation had no criminal law purpose. Health protection could not be its purpose since, adopting the appellant's submission, as Estey J. did, (at page 934): "any such beverage regardless of its name having an alcoholic content by volume of not less than 1.2% and not more than 8.5% [sic] and otherwise brewed in accordance with the pro cess common to all "Malt Liquors" is presump- tively not a hazard to health." Nor was the regula tion aimed at the prevention of deception through mislabelling because such, in the context of beer and "light" beer, would arise only after the defini tion and category of "light beer" had been created by statutory regulation. That is, but for the regula tion itself, there would have been no issue as to the label since the product did in fact have a volume of alcohol less than the maximum prescribed for regular beer.
In regard to Parliament's jurisdiction to make laws pursuant to section 91 of the Constitution Act, 1867, Estey J. for the majority in the Labatt Breweries case is reported at page 934 as express ing these thoughts:
The jurisdiction of Parliament in matters related to health similarly has no application here. Parliament may make laws in relation to health for the peace, order and good government of Canada: quarantine laws come to mind as one example. The
Privy Council hinted that legislation enacted by Parliament to deal with an "epidemic of pestilence" would be valid in Toronto Electric Commissioners v. Snider ([1925] A.C. 396). But we are not concerned with such matters here. Where health is an aspect of criminal law, as in the case of adulteration provisions in the statute, the answer is clear but here not helpful.
A few years later, the Supreme Court upheld other provisions of the Food and Drugs Act. It is pertinent here to note that those provisions are sections 8 and 9, for which penalties for their violation are provided in section 26. In that case, R. v. Wetmore et al. [hereinafter the Kripps Phar macy case], [1983] 2 S.C.R. 284, the majority (Mr. Justice Dickson, now Chief Justice, dissent ing), followed the Court's immediately preceding decision in Attorney General of Canada v. Canadian National Transportation, Ltd. et al., [1983] 2 S.C.R. 206. The Kripps Pharmacy case involved an appeal by the Crown in right of Canada from a judgment of the British Columbia Court of Appeal, which had dismissed an appeal from a judgment of Berger J., who in turn had dismissed an application for mandamus requiring County Court Judge Wetmore to proceed with the trial of indictments drawn pursuant to section 26 of the Act.
The first question posed for the Supreme Court's consideration in that Kripps Pharmacy case asked: "Does the constitutional validity of sections 8(a), 9(1) and 26 of the Food and Drugs Act depend upon subsection 91(27) of the [Consti- tution Act, 1867]?" Section 26 of the Act enacts that violation of its provisions is an offence triable either summarily or upon indictment, but no men tion is made of criminal law as such nor even of the Criminal Code [R.S.C. 1970, c. C-34). The late Chief Justice Laskin writing also for Messrs. Justices Ritchie, Estey and McIntyre is reported at pages 288 and 289, as holding that sections 8 and 9, if not the whole Act, are sustainable by the criminal law power. As well, he speculated that provisions such as section 9 reside also within Parliament's trade and commerce powers, although he stopped short of a definitive assertion to that effect. The late Chief Justice then wrote further [at pages 288-289]:
However, it is unnecessary to pursue this issue and it has been well understood over many years that protection of food and other products against adulteration and to enforce stand ards of purity are properly assigned to the criminal law. Standard Sausage Co. v. Lee, [1933] 4 D.L.R. 501, supple mented by addendum at [1934] 1 D.L.R. 706 is a long standing application of these principles.
Sections 8 and 9, as well as the offence creating and penalty provisions in section 26 were, again, found to be intra vires of Parliament's authority to enact criminal law—as well as to enforce it in the circumstances.
In asserting that the Act and Regulations in question here are merely a licensing scheme, the plaintiffs are adopting the words and reasoning of Wetmore Co.Ct.J., [R. v. Kripps Pharmacy Ltd. and Kripps] reported at (1980), 114 D.L.R. (3d) 457 (B.C.Co.Ct.) at pages 468 and 469. He assert ed, as do the plaintiffs, that the impugned regula tions' aim "is not a criminal purpose. In reality, it is a licensing scheme for new drugs and as such is a violation of s. 92(13) and (16) of the British North America Act, 1867. Therefore, the impugned Regulation is not a valid exercise of the federal criminal law power." Clearly, that view of the matter is not tenable as a result of the Supreme Court's adjudication of the Kripps Phar macy case.
It seems as clear as any notion can be, that given the constitutional authority to identify and denounce human conduct by enactment of crimi nal law, Parliament may specifically exempt other, related, conduct from the purview of criminal law by enacting that it is not criminal. It may do so specifically, of course, and by necessary implica tion. To put the matter in visual terms, it may be said that because Parliament can configure the profile of a crime, it can equally carve out an exception or indentation in that profile such that it does not cover certain defined or implied conduct from the outset or which it previously covered. Again to resort to a familiar element, albeit in a concocted expression, provision for an "offence nisi" may lawfully be enacted by Parliament. That is, to do a certain act intentionally is an offence, unless the feasor first, or concurrently or even subsequently complies with a prescribed statutory condition. To procure a miscarriage was long a
crime, and it still is—but now there is an exempt ing condition—the obtaining of a certificate from the therapeutic abortion committee at an accredit ed or approved hospital pursuant to subsection 251(4) of the Criminal Code, R.S.C. 1970, c. C-34. That provision has been held to be valid ([1976] 1 S.C.R. 616 [Morgentaler v. The Queen]) even though its exception requires the cooperation of institutions which, and professional persons who, operate wholly within provincial jurisdiction. (Head 7 for example, of section 92.)
In the present instance of the Food and Drug Regulations which do not mention, and are not mentioned in, the Criminal Code, Parliament has established its own institution and engaged its own professionals for the purpose of the administration of this particular criminal law statute. It is nothing adverse to Parliament's jurisdiction here in enact ing criminal law that it erects with it a national regulatory scheme overseen by a regulatory agency such as were mentioned not only in the Canadian National Transportation case, but also more recently, on March 16, 1987, by Mr. Justice Mac- Guigan for the Appeal Division of this Court in Asbjorn Horgard AIS v. Gibbs/Nortac Industries Ltd., [1987] 3 F.C. 544. The regulatory agencies here are the Directors, the various Food and Drug Directorates and Bureaux in the Health Protection Branch of the Department of National Health and Welfare mentioned in paragraphs 7 to 13 of the parties' "amended joint admission of facts". Another regulatory agency involved in this nation al regulatory scheme is the federal Department of Consumer and Corporate Affairs, mentioned in paragraph 14 of the joint admission. The parties agree that this Department has certain respon sibilities under the, Act in question. In particular, this Department's inspectors exercise the delegated responsibilities of inspectors under the Food and Drugs Act.
Now, the plaintiffs submit that when the attempt to enact criminal law goes beyond mere prohibition with penal consequences and into regu lation, it goes beyond Parliament's powers. Such a
contention cannot withstand the force of reasoning in the Standard Sausage judgment and the Kripps Pharmacy judgment, both carefully considered by the Supreme Court of Canada. The defendants submit that criminal law does not need to be, and has not been, interpreted in such a narrow sense as urged by the plaintiffs. This Court agrees with the defendants' submission (transcript 3, page 128) that where the "legitimate" purpose—that is, "the pith and substance"—of the legislation is the pro tection of the public health and safety, supple mented by the suppression of deception and fraud, and not an attempt to protect or to suppress a particular trade or business, it is open to Parlia ment to legislate on the footing of criminal law.
It is noteworthy, also, that Parliament does not attempt, in this regard, to regulate the prices or quantities of goods. The legislation, including the regulations, is not aimed at one sector or market for either promotion or derogation of another or others. Further, the regulation of product stand ards is exacted only in so far as the health and safety of the public are concerned. In his opus Constitutional Law of Canada, 2nd ed. Toronto: Carswell, 1985, at page 417, Professor Peter W. Hogg recites four examples in the Criminal Code whereby the appending of a regulatory or adminis trative agency with a power of dispensation does not dilute, or impugn the quality or vires of the respective criminal law provisions therein enacted. Indeed, there is no good reason why Parliament should not supplement prohibitions and their penal consequences with national regulatory schemes to ensure compliance. The "flagship offence", murder, needs moral and human family upbring ing of yesterday's children to aid today's compli ance with the prohibition, but that is not, an apt function of the State, even though such upbringing sometimes fails. When, however, it comes to the manufacturing, labelling and marketing through out Canada of ingestible substances which, depending on the dosages could be poisonous, cap able of altering moods or just plain lethal, it cannot be reasoned that regulation by the Health Protection Branch (HPB), in the protection of public health and safety including informed buying and ingestion, is too heavy a burden for valid criminal law to bear. See James Richardson
and Sons Limited v. Minister of National Reve nue, [1983] 1 F.C. 3 (T.D.) at pages 20 and 21, regarding legislative jurisdiction.
The Court finds that the Food and Drugs Act in its specific provision, paragraph 25(1)(o), delegat ing the power to make regulations, and the general tenor of the impugned regulations C.01.014 to C.01.014.4, as well as C.08.001 to C.08.011 are supportable pursuant to Head 27 of section 91 of the Constitution Act, 1867 as criminal law and as legislation necessarily incidental to that criminal law. The particular regulations must be examined further to consider their very particular relation ship to the purpose of the Act, but their general tenor is supportable for the regulatory scheme designed to generate compliance with this particu lar manifestation of valid criminal law.
I (3): PEACE, ORDER, AND GOOD GOVERNMENT
The general grant of legislative jurisdiction, expressed in the opening words of section 91 of the Constitution Act, 1867, runs as follows:
91. It shall be lawful for the Queen, by and with the Advice
and Consent of the Senate and House of Commons, to make Laws for the Peace, Order, and good Government of Canada, in relation to all Matters not coming within the Classes of Subjects by this Act assigned exclusively to the Legislatures of the Provinces;
and, so as not to restrict the generality of the above, but for greater certainty, there follows the list of most of Parliament's classes of subjects for its legislative authority, including, of course, the criminal law, which is discussed earlier herein.
It may be wondered why the Court would bother to examine the subject at hand through the optic of p.o. & g.g., once it had concluded that the Act and Regulations rest on Parliament's head of legislative authority to enact laws coming within that class of subject specifically enumerated as "the criminal law ... including the procedure in criminal [law] matters". Ordinarily, when a legis lative exercise can be so classified, further enquiry is discontinued. However, there is nothing contrary to good reason in enquiring whether the legislation
may not be supported by some further legislative authority accorded to the enacting legislature. Usually, of course, such an enquiry is next to, if not completely, irrelevant since the prime charac terization of the legislation's matter settles the question of the division of legislative authority.
In the instant case, the Court characterizes the prohibitions and penalties aspect of the Food and Drugs Act as criminal law, and the impugned regulations as criminal law, too, but because they are necessarily incidental to Parliament's schema of prohibitions and penalties in order to protect public health and safety and to deter or punish fraud and deception. It is conceivable, however, that the necessarily incidental regulations could have a federal basis of their own, to which the prohibitions and penal consequences could assume the role of being necessarily incidental.
The proposed approach is, after all, not unthink able. In Canadian Indemnity Co. et al. v. A.G. of British Columbia, [1977] 2 S.C.R. 504, the appel lant mounted two attacks on the provincial legisla tion, both based on separate matters of Parlia ment's legislative authority: trade and commerce, and federally incorporated companies. Both attacks failed but, in the provincial Court of Appeal, each attracted some support. More to the point of double attributions of legislative authority however are the cases of Attorney-General of British Columbia v. Attorney-General of Canada (the Johnny Walker case), [1924] A.C. 222 (P.C.); Re: Exported Natural Gas Tax, [1982] 1 S.C.R. 1004, at page 1074; and Attorney General of Canada v. Canadian National Transportation, Ltd. et al., earlier cited, at pages 279 and 280 [S.C.R.]. Plaintiffs' counsel accepted the legitima cy of such an approach. (Transcript 3, pages 16 to
19.) .
It may safely be assumed that neither amino acids in general (the "building blocks" of proteins per HPB Information Letter, ex. 1 (E-10) page 1) nor essential amino acids, for example, tryptophan in particular, (ex. 1 (E-10) page 2), were upper most in the minds of the Fathers of Confederation
when they were considering the division of powers. Had they turned their minds to the task of defin ing the term "drug" they might very well have formulated a definition closely similar to that which is expressed in section 2 of the Food and Drugs Act. However such was not their concern. What they wrought was the notion of legislating, not about substances or things, but rather in rela tion to classes of subject, with logical examples for greater certainty, or, in some instances, simply pragmatic allocations to accord with their expecta tions or tolerations of a federal state. There were to be no "cracks" and no legislative lacunae in the powers of what was to be a virtually, and has become a completely, sovereign federal state.
The broad scope suggested by p.o. & g.g. in section 91 has become somewhat limited over the years, and also more precisely defined. In Re: Anti-Inflation Act, [1976] 2 S.C.R. 373, Mr. Justice Beetz, despite being in dissent, articulated a view of p.o. & g.g. which was apparently accept ed by the majority. He opined that Parliament's authority to enact laws for p.o. & g.g. is confined to two types of legislation: (i) temporary measures dealing with a national emergency; and (ii) legisla tion dealing with "distinct subject matters which do not fall within any of the enumerated heads of s. 92 and which, by nature, are of national con cern" (page 457). In the Labatt Breweries case, above cited, at pages 944 and 945, Mr. Justice Estey perceived two groupings in that second branch: (a) areas where the federal competence arises because the subject-matter did not exist at the time of Confederation and it cannot be classi fied as a matter of a merely local or private nature; and (b) areas where the subject-matter "goes beyond local or provincial concern or interest and must, from its inherent nature be the concern of the Dominion as a whole". In effect, one can speak of three branches.
The first branch—temporary legislation dealing with a national emergency—does not apply here. The "new drug" regulations and the drug regula-
tions taken together are certainly not intended to be merely temporary in duration, and there is no evidence of a "new drugs" emergency.
The defendants submit that either the second or third branches of p.o. & g.g., or both of them, are capable of sustaining the impugned legislation, including the pertinent regulations.
To rest upon and within the second branch, the subject-matter of the legislation would have to be regarded as not existing at the time of Confed eration and as not being a matter of a merely local or private nature. However, subparagraph 25 (1) (o) (ii) of the Act and the new drug regula tions do not precisely meet the first criterion. It is, nevertheless, true that every new pharmaceutical product generated by the on-going process of scientific and chemical research, analysis and de velopment, must have been "new" at some point. To be sure, most in being today were generated since July 1, 1867. Furthermore, no evidence was presented to indicate that nowadays there is a problem about the safety, efficacy and proper labelling of new drugs which did not exist at the time of Confederation, although one could prob ably surmise that such is the case.
The subject-matter of the new drug regulations is to protect the people from the dissemination for the ingestion by themselves or their animals or other use or consumption of potentially deleterious or otherwise dangerous drugs and from deception in the dissemination for such ingestion, use or consumption of substances falsely or mistakenly advertised to have the properties of drugs or of other drugs. Now, it is apparent that there is no permanently closed book of drug substances and chemicals which bars scientific analysis, new understandings, modifications or recombinations thereof. Research and development, as the regula tions themselves clearly show, are the essentials of the living pharmaceutical industry, or if not, Par liament at least is prepared for them in defence of
the public interest by the avoidance of potential jeopardy thereto, through regulation.
Just as there is no closed book of criminal offences, so there is no closed book of what consti tutes the peace, order and good government of Canada, because the Constitution distributes in this federal state all of the legislative power inher ent in the notion of a sovereign state. It must be added that there is no closed book of "all matters of a merely local or private nature in the prov ince". The legislature is always capable of dealing with the exigencies of human ingenuity which include criminality and the creation of jeopardy. Where, in the free market which is Canada, those evils can be disseminated into two or more prov inces and the legislative jurisdiction is not specifi cally and exclusively assigned to provincial legisla tures, there is a subject-matter of national concern which resides within p.o. & g.g. It may arise because the subject-matter did not appear to exist at the time of Confederation.
The criminal law did surely exist at that time. But the necessary, complementary regulation of what is just "outside" of the profile of the criminal law in regard to the dissemination of pharmaceuti cal products cannot necessarily be seen either in the Confederation debates, nor in the specific dis tribution of exclusive heads of legislative power.
At this point the case of R. v. Hauser, [1979] 1 S.C.R. 984, ought to be mentioned. There, the Supreme Court concluded that it was not the criminal law, but rather p.o. & g.g. upon which the constitutional validity of the Narcotic Control Act [R.S.C. 1970, c. N-1] rests. Writing for the majority of the bench, Mr. Justice Pigeon held that the Narcotic Control Act was enacted to deal with a genuinely new problem—abuse of narcot- ics—which did not exist at the time of Confedera tion. The judgment was much criticized. It now appears to be generally accepted that the majority, for whom Pigeon J. spoke, erred in Hauser in holding that the very prohibition and penalty provisions of that Narcotic Control Act, whose prosecutions were directly under consideration, rested on p.o. & g.g.
There is nothing genuinely new about prohibi tions with penal consequences, for, unless they be invoked for colourably inappropriate ends, they constitute valid criminal law. But there is more to the statutory control of narcotics than that. There is, notably, section 12 of that Act, thus:
12. The Governor in Council may make regulations
(a) providing for the issue of licences
(i) for the importation, export, sale, manufacture, produc tion or distribution of narcotics, and
(b) prescribing the form, duration and terms and conditions of any [such] licence ... the fees payable therefor, and ... the cancellation and suspension [thereof] ...
(c) authorizing the sale or possession of or other dealing in narcotics and prescribing the circumstances and conditions under which and the persons by whom narcotics may be sold, had in possession or otherwise dealt in;
(d) requiring physicians, dentists, veterinarians, pharmacists and other persons who deal in narcotics as authorized by this Act or the regulations to keep records and make returns;
(e) authorizing the communication of any information obtained under this Act or the regulations to provincial professional licensing authorities;
(J) prescribing the punishment by a fine ... or imprisonment ... or both, to be imposed ... for breach of any regulation; and
(g) generally, for carrying out the purposes and provisions of this Act.
In truth, the Narcotic Control Act does appear to evince the criminal law power of Parliament, but the provisions of its section 12 with the necessarily incidental regulations thereunder do appear, as Pigeon J. said, to rest on p.o. & g.g. Someone might, of course, try to argue that they constitute a licensing scheme, or that they purport to regu late the medical, dental, veterinarian and phar maceutical professions in each province, or some such similar argument, but clearly such arguments could not prevail. Of course, under the Narcotic Control Act the prohibitions and regulations are a good deal more simple and less subtle than they are under the Food and Drugs Act because, under the former statute all drugs and substances are regarded by Parliament as being very powerful and highly dangerous. Since that is not always the case, in both respects under the Food and Drugs Act, the regulation on the edge of the profile of criminality there is more complex because Parlia-
ment is relenting somewhat from the firm and severe standards invoked in the narcotic control legislation.
In both instances, it is clear, the regulation of those drugs which are not absolutely prohibited, which may be utilized under regulatory conditions for moderating or obviating danger to public health and obviating fraud and deception, is a matter not of the specifically profiled criminal law, but rather of peace, order and good government. To such extent, surely, the majority of the Supreme Court for whom Pigeon J. wrote the opinion in Hauser must be accepted as stating authoritative constitutional law in regard to p.o. & g.g. Indeed, in R. v. Aziz, [1981] 1 S.C.R. 188, Mr. Justice Martland writing for the Supreme Court of Canada said at page 197, that "there is no sound reason for now reversing" the Court's judgment in Hauser. That Aziz judgment, accord ing to Chief Justice Laskin, "was cautious in its endorsement of Hauser as basing the Narcotic Control Act entirely on the peace, order and good government clause." He made this statement in Schneider v. The Queen in Right of British Columbia, [1982] 2 S.C.R. 112, at page 115, saying in his individual concurrence with the majority that Hauser was incorrectly decided and that he "would have supported the reasons of Spence J. who, in Hauser, saw the Narcotic Con trol Act as referable to both the criminal law power and to the trade and commerce power; see [1979] 1 S.C.R. 984, at pp. 1003-04".
In his Constitutional Law of Canada (above cited), Professor Hogg flatly concludes [at page 383] "that Hauser was wrongly decided, and should be overruled by the Court" going on to say that the Narcotic Control Act "is properly to be characterized as a criminal law. It cannot be placed within the national concern branch of p.o.g.g." It would be hard to disagree with Profes-
sor Hogg in regard only to the prohibitions and penalties provided in that Act. However his view seems to be not so sensitive as to notice the other aspect of that Act in section 12 and the Regula tions, which, quite apart from the principal prohi bitions with penal consequences, can surely be enacted by Parliament pursuant to p.o. & g.g. Given the harmful nature of the narcotic drugs regulated under the Regulations, Parliament might lawfully choose the paths of criminal law prohibition, or residual power regulation, or both aspects in the same statute, as it did in fact choose.
So it is with the regulatory aspects in the Food and Drugs Act's Regulations for identifying and labelling of drugs and new drugs. Parliament has chosen both aspects in the legislation and regula tions. These are not matters of a merely local and private nature, but rather of concern to the whole nation.
When does the subject-matter of such regula tions become of such concern? Professor Hogg, in his cited work, at page 379, asserts that the answer can be gleaned, if at all, from the dicta in Johannesson v. Municipality of West St. Paul, [1952] 1 S.C.R. 292 and in Munro v. National Capital Commission, [1966] S.C.R. 663. It is "a sense that it is the nation-wide importance of a subject of legislation" which "determines whether or not it has the requisite national concern." Yet, the author quickly notes, that criterion is too sub jective to serve as a justiciable test. Adding geo graphical extent and the notion of uniformity helps, but still does not perfect the justiciability of the test.
An appropriate test of national interest, endorsed by Professor Hogg, is that enunciated by Professor R. Dale Gibson in ["Measuring Nation al Dimensions"] (1976), 7 Man. L.J. 15, twice cited at page 379 of Hogg's work. It is the "provin- cial inability" test whereby, if a problem of wide import in Canada cannot realistically be solved by provincial co-operation, because it is beyond the
power of the provinces to deal with it, the subject- matter resides within the "national interest" scope of p.o. & g.g. It may be noted that Dickson J. in dissent applied just such a test to determine the content of the trade and commerce power which he considered in Attorney General of Canada v. Canadian National Transportation, Ltd., above cited.
Applying the provincial inability test here, it is clear that the dissemination for ingestion of poten tially harmful drugs and new drugs in and throughout Canada goes realistically beyond the control of individual provinces, even in the realm of uniform law. Uniform law does not bespeak uniform regulatory agencies. That is, provincial attempts to protect the public from potentially unsafe and deceptively labelled drugs and new drugs would be frustrated if even one province declined to enact like legislation or to create well- motivated regulatory agencies. Section 121 of the Constitution Act, 1867 exacts that "All Articles of the .. . Manufacture of any one of the Provinces shall ... be admitted free into each of the other Provinces." Thus, people of all provinces could buy such drugs in, or from, the unhelpful province or provinces.
The regulation which the plaintiffs so dislike, C.01.014.2, illustrates the point. If the applicant complies, a DIN is issued which serves to identify the product and its ingredients throughout Canada. If the Director, on reasonable grounds, believes from the application and his or her own knowledge that the product is either not a drug, or is an injurious or dangerous drug, he or she may properly refuse to issue the document which sets out a new DIN. Reasonable grounds require the expression and communication of the reasons. In such circumstances, the regulation invites the applicant to submit additional information so that the Director can reconsider the first decision. In such a manner the health of persons everywhere in Canada can be protected or, it must be admitted, not protected in the event of negligence on the Director's part. Further, in such a manner,
applications for DIN'S submitted from anywhere in Canada may be verified and approved or rejected according to standard criteria. This is not criminal law. However, the criminal law prohibitions need to be supplemented by the more sensitive and refined instrumentality of the regulations which, after all, help manufacturers from running afoul of the criminal law when they produce for sale and human ingestion a new product which, although not absolutely prohibited, remains potentially dan gerous. It is the danger or potential danger through ingestion of deleterious substances or being misled as to quantities and compositions which render this subject-matter one of national concern. Uniform provincial legislation including regulations could not serve the purpose even if perfectly uniform unless the provincial legislatures also agreed unanimously upon one regulatory administration paid for by all. Such complete and instantaneous uniformity is achieved by legislation on the part of Parliament. The two "federal-pur pose" aspects of the federal legislation here are necessarily incidental to each other on a reciprocal basis.
For all of the pertinent foregoing reasons, the Court holds that subparagraph 25(1)(o)(ii) of the Food and Drugs Act, with the DIN and new drug regulations made thereunder, are intra vires of Parliament, pursuant to its authority to make laws for the peace, order and good government of Canada. They are matters of national interest and concern.
II. SUBORDINATE LEGISLATIVE COMPETENCE: Are the DIN regulations and/or the new drug regulations ultra vires of the Governor General in Council for any of the following asserted reasons?
In regard to this issue, with its asserted reasons, which follow, one must now, in light of the earlier conclusions herein, accept that the Food and Drugs Act, with the kind or scope of regulations recited and reviewed above, is indeed intra vires of Parliament. Here the question is, given the forego ing, did Parliament accord to its delegate the authority to make the very regulations, or did the Governor in Council exceed the mandate accord-
ed? If the Governor in Council did exceed the mandate either in regard to the powers conferred by the Act, or in regard to Parliament's own powers, then, to such extent, the impugned regula tions must be held to be ultra vires of the Gover nor in Council.
Counsel for the plaintiffs is quite probably cor rect in saying (transcript 2, pages 2 to 4) that the issues articulated in II A., II C. and IV are subsumed as variations II B. that is, whether the impugned regulations are vague and contain no objective standards. All specified issues were, nevertheless resolutely argued by both sides. Each reason for which the regulations are impugned by the plaintiffs will be considered in turn.
II A.: Do those regulations constitute a licensing scheme not authorized by section 25 of the Food and Drugs Act?
The plaintiff Jamieson attacks the DIN regula tions and the new drug regulations, while the plaintiffs Pharmetics and Swiss Herbal attack only the new drug regulations. The DIN regulations were promulgated purportedly pursuant to sub- paragraphs 25(1)(b)(i), (iii) and (iv) of the Food and Drugs Act; and the new drug regulations were made purportedly pursuant to subparagraphs 25(1)(o)(i) and (ii). Regulations pursuant to sub- paragraph (i) are not in contention as noted in transcript 2, pages 11 to 13. These statutory provi sions are recited above, as are the impugned regu lations. They are too voluminous to repeat here. It is, however, worthwhile to repeat that the power conferred on the Governor in Council to make regulations in section 25 is "for carrying the pur poses and provisions of this Act into effect". As well, paragraph 25(1)(b) further delegates specific authority to make the kind of regulations therein designated regarding any food, drug, cosmetic or device in order to prevent deception and injury to health.
Counsel for the plaintiffs avers that if the DIN regulations went no further than the provisions of regulations C.01.014 and C.01.014.1, and in par ticular the items in C.01.014.1(2), "I don't think we would be here today." (Transcript 2, page 15.) Nor do the plaintiffs quarrel with regulation C.01.014.2(1).
In regard to regulation C.01.014.2(2) however, which authorizes the director of the HPB "on reasonable grounds ... [to] refuse to issue the document [the DIN] referred to in [subsection]" C.01.014.2(1), the plaintiffs express determined objection. This impugned subsection C.01.014.2(2) professes to operate where the Director believes on the stated grounds that product for which a DIN is sought
C.01.014.2. (2) ...
(a) is not a drug, or
(b) is a drug but that its sale would cause injury to the health of the consumer or purchaser or would be a violation of the Act or these Regulations ... .
Paragraph (b) is poorly expressed. The mere sale of the product could constitute a violation of the law, but surely only the ingestion (or proximity, if the product were noxiously volatile or radioactive) could injure the health of the consumer (or pur chaser). However, the Court would not invalidate that paragraph on that account, for the intent and meaning are hardly unclear. Rather, the plaintiffs complain that paragraph C.01.014.2(2)(b) is vague and imprecise because, they say, it pre scribes no standard for determining what consti tutes injury to the health of the consumer. (Tran- script 2, page 18.) They argue that even a product which is regarded to be as innocuous as aspirin could be impugned under that paragraph. (Exhibit 3, cross-examination of Simon Young, page 31.) It may well be that aspirin (acetylsalicylic acid, or ASA) ought to be more closely regulated, but that is another question not here in issue.
In regard to the new drug regulations, para graphs C.08.001 (a), (b) and (c) all include in their definitions the qualification that the drug or combination
has not been sold ... in Canada for sufficient time and in sufficient quantity to establish in Canada the safety and effec tiveness of that substance [or combination and proportion, or condition of use] for use as a drug.
Of this common qualifier the plaintiffs' counsel argues that "there is nothing in this regulation ... to guide the ordinary citizen in determining what quantities are sufficient, and what length of time is sufficient for the purposes of this drug". (Tran- script 2, page 23.)
Regulation C.08.002(1) (a) is also objectionable to the plaintiffs in that it requires the filing of a new-drug submission "in a form and having a content satisfactory to the Minister". Further regulation C.08.002(2) exacts that such a submis sion must "include such information and material as the Director may require and, without limiting the generality of the foregoing, shall include" the information and material specified in paragraphs (a) to (n). Not without significance to the outcome of this adjudication are two paragraphs to which counsel for the plaintiffs made special reference. They are:
C.08.002. (2) ...
(g) detailed reports of the tests made to establish the safety of the new drug for the purpose and under the conditions recommended [by the manufacturer];
(h) substantial evidence of the clinical effectiveness of the new drug for the purpose and under the conditions of use recommended [again, by the manufacturer];
Noteworthy in this regard is the exception in regulation C.08.005(1) whereby a manufacturer may sell a new drug to " `qualified investigators', for the sole purpose of clinical testing to obtain evidence with respect to the safety, dosage and effectiveness of the new drug" subject to enumer ated reasonable conditions. However, regulation C.08.005(3) empowers the Minister to prohibit such sales if, in his or her opinion, "it is in the interest of public health to do so". The plaintiffs concede that if the Act be intra vires of Parlia ment, as it has herein been found to be, "it would have been perfectly legitimate and competent for Parliament to legislate in these terms, but that is not what Parliament chose to do". (Transcript 2, pages 28 and 29.)
The plaintiffs complain that this kind of regula tion amounts to saying that the Minister and Director must be satisfied as to the safety and effectiveness of the drug or substance. They submit "that for the regulations to be valid .. . they must have the degree of specificity necessary for an ordinary citizen to know in advance, on a simple reading of the regulation, what is expected of him, what test he must meet in order to obtain a DIN or, in the case of a new drug, a notice of compliance".
Now, do these regulations constitute a licensing scheme not authorized by section 25 of the Food and Drugs Act? They do not.
The plaintiffs' counsel cited a considerable volume of learned doctrine and jurisprudence, in support of their contentions. It is important to note that such doctrine and jurisprudence virtually entirely relates to municipal by-laws and regula tions. These will be considered under the next enumerated issue herein, II B., relating to the questions of objective standards or vagueness.
What constitutes these regulations into an unau thorized licensing scheme say the plaintiffs (tran- script 2, pages 118 to 121 and following) is the authority of Minister and/or the Director to with hold a DIN or a notice of new drug compliance upon their opinion that the submissions do not comply with the Act or the Regulations and the authority to require further information or material.
The plaintiffs rely principally on the decision of the Ontario High Court in Re Imperial Oil Lim ited and The City of Kingston, [1955] O.W.N. 767 (H.C.), in which, they say "the matter is very succinctly put". (Transcript 2, page 119.) The text of that decision is very brief. (Plaintiffs' books of authorities, Part III, tab 1.) It bears an index reference to "Municipal Corporations—Regulato- ry Powers" the particular passage emphasized runs:
The cases that were referred to in argument by counsel for the applicant establish that while The Municipal Act, R.S.O. 1950, c. 234, gives authority to municipalities to regulate and prohibit the matters set out in s. 388, clause 16, that does not
carry with it the authority to annex to a regulation a proviso requiring a further permission. The cases referred to were City of Toronto v. Mandelbaum, [1932] O.R. 552, [1932] 3 D.L.R. 604, and Donald v. The Town of Whitby, [1949] O.R. 44, [1949] 1 D.L.R. 361. The reason for that rule is, I think, obvious, and it is salutary because if any municipality could establish regulations and then say an applicant required a further approval, it would permit discrimination.
This passage does not disclose the entire ratio of the decision. The subsequent paragraphs indicate that the city relied on the wrong clause for its purported denial of permission to store a sub stance, gasoline, which was governed by another clause. Although the text does refer to "the issu ance of any permit", it makes no reference to any licensing scheme.
What the Imperial Oil and Kingston decision stands for, in the context of municipal law, is that when the municipal by-law provides for the approval of a designated official (or even officials) the corporation cannot gratuitously require the further approval of another official, or even the city council. That case hardly goes against the impugned Food and Drug Regulations. For cer tain specific purposes expressed in those Regula tions approval is required on the part of the Minis ter or the Director, who are the officials designated in the Regulations. Apart from public service employees who are assigned to help them, under their direction, and responsibility it may be noted, there is no other official or no other body or council from whom one must seek a DIN or notice of compliance. If these Food and Drug Regula tions were required to conform with the cited decision, they would not fail in this regard.
Furthermore, these regulations purport to regu late the dissemination of drugs, substances, prod ucts and the claims made for their properties and uses. The regulations do not purport to license the manufacturers and merchants of drugs in their business existence or organizations, nor in their sales forces or price structures. They have nothing whatever to do with permission to carry on any such business. They simply do not constitute a licensing scheme. In this regard they simply do evince the regulation-making power of the Gover nor in Council pursuant to Parliament's enabling legislation, the Food and Drugs Act.
II B.: The regulations, do they establish no objec tive standards, and are they too vague?
The plaintiffs regard this question to be the principal matter of attack on the Regulations. They assert that both the DIN and new drug regulations are ultra vires on the ground of vague ness. Here they begin with the learned work of the late Honourable Louis-Philippe Pigeon, Rédaction et interprétation des Lois. Under the title DELEGA- TUS NON POTEST DELEGARE that renowned author wrote a lucid chapter, which could perhaps be encapsulated by these passages at pages 25 and 26:
[TRANSLATION] A public employee can certainly be made responsible for ensuring that standards are observed, but the power to set them cannotpe delegated to him.
The leading case on this point is ...: Vic Restaurant v. Montreal, (1959, S.C.R., 58). The case concerned a restaurant licensing by-law .... The permit was denied because the Chief of Police refused to give his recommendation. What did the Supreme Court say? It simply observed that the by-law pre scribed no standards. It said: "No standard, rule or condition is prescribed" ... It is he [the Chief of Police] who will make the by-law, since it says "the permit will not be granted if you do not give your recommendation and you may give or deny your recommendation as you see fit".... Municipalities have the power to regulate all kinds of things in this area, but the standards must be contained in the enactment adopted by the municipal council or in an appendix thereto .... What is not allowed is not to prescribe standards and so to make a public employee responsible for prescribing them in place of the council, by delegating to him the power to grant a permit or deny it as he sees fit. If there is not to be a delegation of power, the public employee must be responsible for ensuring that the standards prescribed are observed, not for ensuring that non existent or imprecise directives are observed. Clearly no one can say a priori to what extent a directive is so imprecise that it amounts to a delegation of power; the test is whether a reason able person can decide from looking at the wording whether he has met the standard.
The above-recited passages are found in the plain tiffs' book of authorities, Part II, tab 1.
It will be noted that the learned author, above quoted, refers to regulations, or by-laws enacted by a municipal council, and does so throughout the longer text from which the above-recited passages are drawn. The law on this issue is not entirely clear, or is largely misunderstood. The plaintiffs cited a number of judicial decisions in support of their contention that regulations must be precise in
defining requisite conditions for compliance and, if not, then the regulations may be struck down as ultra vires for vagueness. An incomplete list of such cases, for example, is: Comité d'administra- tion du régime de rentes c. La Régie des rentes, unreported, 500-05-024078-782, November 6, 1979 (Que. S.C.); Cie Miron Ltée c. R., [1979] C.A. 36; R. v. Sandler (1971), 21 D.L.R. (3d) 286 (Ont. C.A.); Montreal Gazette Ltd. c. Ville de Montréal, [1975] C.S. 686 (appeal dismissed, unreported, 500-09-00910-752, C.A.M., February 27 1981); Corporation municipale du village de Rimouski Est c. Corporation municipale de la cité de Rimouski et P. G. du Québec, [1976] C.S. 485; Re Campeau Corporation and City of Ottawa (1978), 22 O.R. (2d) 40 (Div. Ct.); and City of Dartmouth v. S. S. Kresge Co. Ltd. (1966), 58 D.L.R. (2d) 229 (N.S.S.C.). It must be noted that all of these cases involved municipal by-laws. There is no denying that by-laws may be invalidat ed for vagueness and uncertainty; indeed, such has been the law since Kruse v. Johnson, [1898] 2 Q.B. 91 (Div. Ct.). Whether the same can be said of regulations emanating from the Governor in Council is another question.
At tab 2 of Part II of their books of authorities the plaintiffs reproduce pages 319 and 320 from Patrice Garant Droit administratif, 2e éd. Mont- réal: Éditions Yvon Blais Inc., 1985. At page 319 that learned author writes:
[TRANSLATION] It certainly must be taken into account that this cause of invalidity has traditionally been regarded as "characteristic of by-laws adopted by non-central authorities such as municipal and professional corporations". 16 However, it has happened that some cases in the precedents on review of reasonableness have suggested that any by-law could be reviewed for lack of precision, even one issued by the govern mental authority. 147 The rule has been gradually applied by the Superior Court.' 48
*146 COTÉ and LORD, op. cit., note 145, p. 30; DE SMITH, Judicial Review of Administrative Action, 3d ed., London, Stevens and Sons, 1973, p. 312.
*147 McEldowney v. Forde, [1971] A.C. 632; P. G. du Québec c. Raymond Godbout, C.S. Québec, no. 200-05-004182- 729, June 13, 1977.
*148 Rimouski Est c. Cité de Rimouski, [1976] C.S. 485, Fontainhead Fun Centre c. Ville de Montréal, J.E. 78-393; Fontainhead Fun Center c. Ville St-Laurent, [1979] C.S. 132.
The citations mentioned in footnote 148 are, again, municipal cases.
In footnote 146, Professor Garant cites De Smith's third edition. That to which attention is drawn there, is mentioned again in the fourth edition: S. A. De Smith, Judicial Review of Administrative Action, 4th ed. by J. M. Evans, London: Stevens & Sons, 1980, at pages 354 and 355:
It has commonly been assumed that no criterion of reasonable ness governs the validity of statutory instruments made by Ministers or Her Majesty in Council. If a statutory instrument or other departmental regulation appears to a court to be outrageous it may be held to be ultra vires, but its invalidity will probably not be attributed to unreasonableness per se. But there is no reason of principle why a manifestly unreasonable statutory instrument should not be held to be ultra vires on that ground alone, provided that the subject-matter of the grant of power is not so pregnant with "policy" considerations as to render the application of such a standard inappropriate.
It certainly must be conceded that even a statutory instrument made by the Governor in Council is liable to be invalidated if it bear no perceivable relationship to the subject-matter of the statute, or the expressed purpose of the rule-making authority enacted therein; or if it run contrary to the Consti tution; or if it counsel or require the commission of an offence; or if it be simply incomprehensible or uncertain in its application.
A regulation made by the executive branch pur suant to a validly enacted statute, either federal or provincial, however, enjoys a greater security against judicial invalidation than does the by-law of a municipal corporation. This same consider ation arose in the case of Aerlinte Eireann Teo- ranta v. Canada, [1987] 3 F.C. 383 (T.D.). The public law being in the realm of common law, it is appropriate to note that common law courts tradi tionally have drawn the distinction between statu tory regulations and municipal by-laws. Professor Driedger noted such distinction: by-laws are enact ed by subordinate legislatures or other bodies such as universities or professional corporations which are all creatures of the legislature, but which are not directly responsible to the legislature or the executive branch, whereas regulations, by contrast, are enacted by the executive which is answerable to the legislature. ("Subordinate Legislation" by
Elmer A. Driedger (1960), 38 Cdn. B. Rev. 1, at page 2.)
Bennion, F.A.R. Statutory Interpretation, London: Butterworths, 1984, at page 144, calls the distinction "illogical" but explains and teaches it. René Dussault and Louis Borgeat Administrative Law: A Treatise, translated by M. Rankin, Toronto: Carswell, 1985, write at page 422 on the subject of imprecision. They speak of the principle of requiring "some degree of precision and detail" and go on to say that: "Today this principle is applied quite rigorously by courts, especially, but not exclusively in municipal matters." The exam ples given under this heading are all cases involv ing either municipalities or professional corpora tions. In any event such institutions are of a local, provincial character and their by-laws are perhaps not aptly compared and contrasted with statutory regulation in Parliament's domain.
Conspicuously absent here are cases where regu lations and other forms of subordinate legislation emanating from the executive were held not to be subject to challenge on the ground of uncertainty or unreasonableness. (Bacon v. Ont. Flue-Cured Tobacco Growers Marketing Bd., [1959] O.W.N. 256 (H.C.); Remis v. Fontaine, [1951] 2 D.L.R. 461 (Man. C.A.); Sparks v. Edward Ash, Ld., [1943] K.B. 223 (C.A.); Taylor v. Brighton Bor ough Council, [1947] K.B. 736 (C.A.).
If, however, as Bennion states, the distinction although real in law, is illogical, it is not utterly egregious and wanton. Municipal "legislatures" are after all congressional in nature in that the executive remains secure in its fixed term of office even if it loses the confidence of the elected tri bunes of the people. The federal and provincial legislatures are parliamentary in that the executive branches are responsible to, and must maintain the confidence of, the elected legislators, or they must
resign from office. Bennion, op. cit., at page 204, indicates:
[With regard to voidness for uncertainty] the interpreter is not permitted to declare an enactment containing a broad term or other ambiguous expression void for uncertainty. The uncer tainty is intended to be resolved by the interpreter.... A corresponding rule applies to uncertainty in statutory instru ments and most other delegated legislation .... The position is different with bylaws however. A bylaw may be declared void if uncertain in its terms.
The above passage is no doubt a correct statement of the law, excepting, of course, the kind of gross defects mentioned a few paragraphs above herein.
In regard to regulation, C.01-014.2(2), which authorizes the Director "on reasonable grounds ... [to] refuse to issue the" DIN where the product for which it is sought "would cause injury to the health of the consumer" or its sale "would be a violation of the Act or ... Regulations", these provisions are reasonable and in sweet accord with the purpose and intent of the legislation. They are clear enough for the plaintiffs and other manufac turers and merchants in the industry.
The plaintiffs' counsel seek to paint their clients with a pristine gloss of wide-eyed naïvety. This observation applies to their submissions in regard to all the impugned regulations. The plaintiffs and their ilk are not just plain, ordinary lay folk, a standard to which plaintiffs' counsel pitched their arguments in attacking the precision and clarity of the regulations. The Regulations are themselves not pitched to the ordinary, average—or even above average—person whom one might randomly meet in the street or on any other everyday occa sion. The Act and the Regulations are aimed at the regulation of drugs and other substances which are disseminated by manufacturers and sellers of the same. There is no licensing scheme to prevent or filter out the ordinary person from becoming such a manufacturer or seller, or entering into the business, to be sure, but those who do so are quite rightly expected to know their business.
In the like manner, the by-laws of a professional corporation which denounce professional miscon duct or which regulate the keeping of accounts (albeit part of true licensing schemes) are not
pitched to a random person whom one might encounter in a shopping mall, but are, rather, pitched to the appropriate professionals. Such professionals cannot credibly assume the mantle of an ordinary law person and claim that professional misconduct, for example, is a concept which is too general or too vague or too unclear for compliance by that ordinary lay person. Of course, the notion of any ward politics, local jealousies or municipal zeal is plainly out of the question in terms of the exercise of regulation-making authority in this case of federal statutory regulation.
The Court will simply not strike down such a statutory regulation on the ground of alleged vagueness. The "applicant" here, intending to market a drug or a new drug, must be deemed to know something of the properties of the product. If the applicant does not know enough about it, and if the Director harbours a reasonable apprehension of its causing injury to health, or if the Director perceives that marketing it would violate the Act or Regulations, he does not confound the applicant by refusing a DIN. Indeed, in such circumstances the applicant is not necessarily foreclosed from obtaining a drug identification number, for subsec tions C.01-014.2(3) and (4) invite dialogue be tween the Director and the applicant. In truth, the clear meaning of the regulation is a message to the applicant to provide to the Director all the infor mation which the applicant can possibly obtain about the properties of the drug and the product. The basic informational requirements are set out in C.01.014.1(2), to which the plaintiffs take no objection. The provisions of C.01-014.2(2) to the effect that the Director may refuse only where his belief is formed on reasonable grounds, require the Director to make such grounds known to the appli cant. The message is clear, and the invitation to clear up the Director's apprehensions is equally clear. In the result, the regulation is not unclear, not too imprecise for the "applicant" in the con text of this Act, these regulations and this industry.
The new drug regulations are also alleged to be without objective standards and therefore too
vague to be allowed to stand. The definitions of new drugs, expressed in regulation C.08.001(a), (b) and (c) all have that common qualifier about not having been sold in Canada for sufficient time and in sufficient quantity to establish in Canada their safety and effectiveness. From the evidence in this case, if not from well and commonly known facts, there is a positive inference to be drawn that manufacturers, through their research and de velopment programs, are virtually constantly pro pounding new drugs for dissemination in the market. The constitutionally legitimate purpose of this legislation is to regulate such products and their dissemination for the protection of the health and medicine-oriented expectations of the public. It is only common sense that new drugs be accept ed with a cautious prudence. No doubt that is why the definitions of "food" and "drug" say what they include, and not definitively what they, for all time, are. What must be established is the safety and efficacy of such drugs and their combinations. That is something of which the seller, and especial ly the manufacturer, must know something. That is something of which the seller and manufacturer must learn something, if they do know, and relate it to the Director.
These regulations, in sweet accord with the pur poses and intent of the legislation, are meant to discourage a slap-dash selling and advertising campaign without ascertaining the properties and effects of the new drugs which are to be sold and advertised. The touchstone here is safety and effectiveness. It is for the person, firm or corpora tion formulating a new drug submission to decide soberly when to make it in regard to the time and quantities of sale in Canada.
The safety and efficacy of a new drug or indeed any drug may be ascertained by clinical testing as mentioned in paragraphs C.08.002(2)(g) and (h). Now clinical testing is prima facie a matter of a local and private nature in any province, subject to provincial regulation and licensing of the health and other scientific professions. The regulations do not purport to trench upon such matters (although
there is some justification to do so in regard to p.o. & g.g.) but, rather, they ask for the results of such testing. In administering the Regulations, the HPB does not interfere with private consumption of drugs which, are not otherwise forbidden or restricted. Unless one be a latter-day Lucretia Borgia (a matter for the criminal law) one may otherwise have the substance in question here for personal use. Thus paragraph 1 of the Additional Admissions of the parties, included in the trial record, provides:
1. The Health Protection Branch does not object to importa tions of reasonable quantities of isolated amino acids by individuals for their own personal use.
Because the definitions of "food" and "drug" expressed in section 2 of the Act are not set in eternally finite terms, and are not even mutually exclusive, it can be noted that Parliament must have been quite aware of the well-known facts that food and drug research is actively performed in Canada and elsewhere. It is also well known that foods can contain substances which, when extract ed, evince the properties of drugs; and some foods and drugs are discovered, through refined clinical and pharmaceutical techniques, to have hitherto unsuspected effects on life and health. These facts are manifested also through the evidence herein and the inferences to be drawn from the entirety of it. Drug research and development are a field of new discovery and changed expectations.
It is obvious that, if the Regulations are to be consonant with the purposes of this intra vires legislation, and if the Minister, the Director, the HPB with the other branches and bureaux, and the inspectors are all to discharge the duties imposed by the legislation, this regulatory system must be responsive to the new discoveries in terms of safety and be capable of exacting that the public be adverted to all changed expectations of basic use and effectiveness.
Examined for discovery by plaintiffs' counsel (exhibit 4), Robert Ferrier, head of the defen dants' Bureau of Non-prescription Drugs made the following unexceptionable answers to questions posed to him (May 10, 1985, pages, 73, 76, 77, 81 and 82):
245. Q. When you came to the conclusion that you had to consider isolated amino acid products as new drugs, on whose recommendation did you come to that conclusion.
A. Well that conclusion was based on recommendations from our Dr. Armstrong and his staff primarily.
[Paras. 10 (T-2583-84) & 13 (T-2968-84)—Amended Joint Admission of Facts]—
Dr. Armstrong was, at all relevant times to the litigation, the Assistant Director and Chief of the Drug Evaluation Division of the Bureau of Non-prescription Drugs of the Drug Director ate and reports to Mr. Ferrier.
246. Okay, were there any incidents reported to your bureau that single amino acid products, whether those of Jamieson or of any other manufacturer, particularly those you referred to as having been allowed to release them under the emergency drug regulation—were any incidents reported that these products themselves had caused damage or harm to humans consuming them?
A. I'm not aware of any—of any reports of that nature.
L-tryptophan [an isolated amino acid according to the plead- ings and, paras. 2 and 6 of Amended Joint Admission of Facts] is widely recognized as having some type of sedative affect [sic]. It is these effects that have been recognized in reference texts such as Martindales, in several Canadian reference texts for that matter. It is reputed to have this sedative affect [sic], and has been used in psychiatric institutions for the treatment of certain psychotic diseases. The product was in a phar maceutical dosage form. It had directions for use, and because it was considered—because of this information, we consider this to be a drug, and on the basis of the fact that we did not have sufficient evidence in the Health Protection Branch regarding the safety and effectiveness, it was a new drug.
266. Q. Do you or your bureau consider that until you have all the information you require about a substance, article or prod uct that is being marketed, you must or will declare it to be a new drug or place it in new drug status?
A. Not necessarily so. If we have an application for a new drug—for a drug identification number, we—our first step is to if unless the information is readily available to us, if it's something that is unknown to us, we will routinely request the manufacturer to give us some further information on that particular ingredient.
267. Q. But if, as in the case here of most if not all except one products, the Plaintiffs did not apply for drug identification
numbers, would your bureau or you consider that the products they placed on the market were new drugs until you got the information you wanted, just because they placed them on the market?
A. Based on past action of other manufacturers, other appli cants, we would probably consider these products to be drugs just from a knowledge of the activities, the actions of these particular products.
From this testimony it can be seen that an applicant, manufacturer or seller of products in the synthetic or supplemented food, and especially the drug field, can appreciate exactly what the Regu lations require by invoking the experienced, quasi- professional judgment, of itself, of such an appli cant, manufacturer or seller: reveal all information known about the product, including clinical tests and reports of hitherto unsuspected side-effects. In effect, such an applicant, manufacturer or seller must not disseminate any such product among the general public without being prepared to reveal or ultimately revealing all the facts, effects, proper ties, clinical trials and reports known to him, her or the firm about the product proposed to be disseminated to and through the public. Given the knowledge which the applicant has, or reasonably ought to have, such an applicant (as distinct from John and Jane Doe) is not confronted by impre cise, vague regulations, at all. Full disclosure is the so-called "bottom line" or ultimate requirement imposed on knowledgeable applicants.
In light of the foregoing, and in light of the continuing stream of new discoveries and altered medicinal expectations produced by on-going research and development one is not surprised to note that the Regulations are administered in accordance with passages numbered 2 in the par ties' additional admissions:
2. That the Health Protection Branch considers that manufac turers have access to adequate warning of changes in policy concerning the acceptability of substances they manufacture through various mechanisms such as Branch Information Letters which are frequently used to announce proposed regulation changes or departmental positions on specific subjects.
Another such mechanism for HPB/Manufacturer dialogue is through the DIN application procedure. This is a first step to check compliance. The importer should determine the acceptability and degree of compliance before he imports the
drug product. Queries on such products should be directed to the Drug Inspection unit of HPB as a first step.
The Regulations, given the realities of the indus try, are more than adequately precise and unam biguous. After all, the criterion is not an unattain able, absolute perfection. Certainly, to identify in a statute or regulations all the new discoveries, all the possible reasonable apprehensions and ques tions which can legitimately occur to the Director, would require legislative clairvoyance and embark ing into statutory expression which would neces sarily be encyclopaedic in sheer volume. And one would still fail. The DIN and new drug regulations, however, do not fail. They are clear and precise enough to tell the applicant to make full disclo sure, whereupon the Director, within a limited time, will decide if the application complies with the legislated criteria.
II C.: The impugned regulations, do they consti tute, or are they, an expression of an illegal subdelegation of authority?
"Minister", according to section 2 of the Food and Drugs Act, means the Minister of National Health and Welfare, a member of the cabinet and government of the day. It is stated in paragraphs 8 and 9 of the amended joint admission of facts, that the Director under the Regulations is the Assistant Deputy Minister of the Department of National Health and Welfare, a federal government depart ment which includes the HPB, which is, itself com posed of various directorates. The Minister and the Director are, then, entirely appropriate delegates of the limited regulatory powers conferred by the Regulations. In view of the requirements imposed upon naturally knowledgeable, indeed, quasi- professional applicants, manufacturers and sellers in contemplation of the Regulations, taken to gether with the inherent mechanism for dialogue emplaced therein, it cannot be accepted that there is any illegal subdelegation of those powers.
But, the plaintiffs argue that the subdelegation of powers to the Minister and the Director, which Parliament conferred on the Governor in Council, is illegal. They contend that the Regulations, by conferring discretionary powers on the two offi cials are illegal subdelegations by the Governor in
Council. Only the statute, and not the Regulations, may confer any such discretionary powers, the plaintiffs say. This results, according to the plain tiffs, in the Minister and civil servants developing their own standards and policies and, in effect it is the latter, and not the Governor in Council, who are making the regulations.
Here the plaintiffs raise the maxim of delegatus non potest delegare. Since this principle is a pre sumption of statutory interpretation, and not a rule of law, it operates subject to any contrary intention found in the statute or in any other relevant statutes.
In the context of the administrative functions of modern government, the courts have not been markedly reluctant to perceive such an intention. In fact, they have developed a special rationale for finding an intention and a power to subdelegate in most legislative schemes empowering executive action. The seminal decision was made in Carltona Ltd. v. Works Comrs., [1943] 2 All E.R. 560 (C.A.). This case involved consideration of a war time regulation, but the Court did not hold that its view of subdelegation related especially to that factor. The judgment was written by Lord Greene M.R. and it has these passages at pages 563 and 564:
In the administration of government in this country the functions which are given to ministers (and constitutionally properly given to ministers because they are constitutionally responsible) are functions so multifarious that no minister could ever personally attend to them .... The duties imposed upon ministers and the powers given to ministers are normally exercised under the authority of the ministers by responsible officials of the department. Public business could not be carried on if that were not the case. Constitutionally, the decision of such an official is, of course, the decision of the minister. The minister is responsible ....
In the present case the assistant secretary, a high official of the Ministry, was the person entrusted with ... looking after this particular matter and the question, therefore, is ... did he direct his mind to the matters to which he was bound to direct it in order to act properly under this regulation?
Parliament, which authorises this regulation, commits to the executive the discretion to decide and with that discretion if bona fide exercised no court can interfere.
The Supreme Court of Canada expressly adopt ed from Carltona that line of reasoning. Writing for the unanimous bench, Dickson J. (now Chief Justice of Canada), in R. v. Harrison, [1977] 1 S.C.R. 238, is reported, at pages 245 and 246, as follows:
Thus, where the exercise of a discretionary power is entrusted to a Minister of the Crown it may be presumed that the acts will be performed, not by the Minister in person, but by responsible officials in his department: Carltona, Ltd. v. Com missioners of Works ([1943] 2 All E.R. 560 (C.A.)). The tasks of a Minister of the Crown in modern times are so many and varied that it is unreasonable to expect them to be performed personally. It is to be supposed that the Minister will select deputies and departmental officials of experience and compe tence, and that such appointees, for whose conduct the Minister is accountable to the Legislature, will act on behalf of the Minister, within the bounds of their respective grants of author ity, in the discharge of ministerial responsibilities. Any other approach would but lead to administrative chaos and inefficiency.
So, where Parliament entrusts the Governor in Council to make regulations for carrying out the purposes and provisions of the Food and Drugs Act, it may be presumed that some discretionary powers will be conferred in those Regulations, and it may further be presumed that the acts involved will be performed, not by the Governor in Council, but by the responsible Minister of the Crown, aided by designated deputies and departmental officials of experience and competence, and so forth, to paraphrase Mr. Justice Dickson.
Of course, it is clear that the Governor in Coun cil could not simply have conferred on the Minister or the Director the same power to make regula tions which Parliament conferred on the Governor in Council. That would indeed be an illegal sub- delegation, as was explained by Laskin J. (later C.J.C.) in Brant Dairy Co. Ltd. et al. v. Milk Commission of Ontario et al., [1973] S.C.R. 131, at page 147. Such a circumstance is far from those in the case at bar, and is quite distinguishable.
Also distinguishable is a decision of Mr. Justice Larue of the Superior Court of Quebec in Voya- geur Inc. c. Commission des transports du Québec, [1986] R.J.Q. 2577 (C.S.), cited by the
plaintiffs pursuant to undertakings expressed at trial. There, the impugned regulation exacts that in order to obtain a bus transportation permit, an applicant must demonstrate to the Commission that it is in the public interest that such permit be issued to him for the service which he proposes to provide. That regulation appeared to leave the matter entirely to the Commission and did not direct it to receive any particular means of demon strating the public interest, nor to make a decision, nor to invite dialogue by receiving supplementary submissions, as do the impugned Regulations in the case at bar. In leaving the discretionary powers of the Commission so much at large, the regula tion in that Voyageur case closely resembles the void regulation in the Brant Dairy case, above mentioned. The Court expresses no criticism of the Voyageur decision, but notes that it does not effec tively bear on the instant case.
According to the parties' amended joint admis sion of facts, (T-2853-84), the factual operation of the Regulations, at the material times was, in part, the following:
15. Authority to determine whether a product is a new drug was delegated to Dr. Cook by the Assistant Deputy Minister (who is the "Director" under the Food and Drugs Act), and that authority was further delegated to Mr. Ferrier by Dr. Cook.
14. Once a product has been determined to be a non-prescrip tion drug, an opinion that such product is a new drug is formed by Mr. Ferrier on advice from his staff. Decisions as to whether products constitute new drugs are made by Mr. Ferrier. On occasion, as well, requests for determination as to whether a given product constitutes a new drug are made by departmental employees during the course of drug investigations.
16. Only manufacturers that apply for a drug identification number (DIN) on a product, or manufacturers who request a decision on the status of a product, are normally advised that a product is a new drug.
17. The present DIN system came into existence in July 1981 and the Bureau of Non-Prescription Drugs was formed in 1980.
18. No application for a DIN was received by the Minister from the Plaintiffs with respect to any products listed in the State ment of Claim.
19. Defendants have used in the past several criteria for deter mining whether a product is a new drug within the meaning of s. C.08.001 of the Food and Drug Regulations. Some of these criteria are found in the following documents, produced here with as Exhibits in Schedule I hereto:
a) 1 (E-4)
b) 1 (E-9)
c) 1 (E-10)
These criteria are not exhaustive. The Defendants exercise a certain discretion in their application.
20. Under Defendants' present policy, DIN'S are issued for products, not substances. [Paragraphs 17 through 23— (T-2968-84)]
The explanations offered in the above-cited exhib its reveal not a despotic, arbitrary octopus of an organization but, rather, one which, as later con sideration of the evidence will reveal, did its pathetic best and still could not keep abreast of the numbers of new products being manufactured, labelled and marketed in Canada all the time. Such at least is one inference which can be drawn from Mr. Ferrier's evidence on discovery. Another strong inference is of confusion and inappropriate focus by the HPB, before the orienting interven tions of Dr. Armstrong.
In any event whatever discretion is accorded by these clear and detailed Regulations is quite restricted. It is provided in C.01.014.2(1) that where the applicant has provided all the informa tion described in C.01-014.1(2) or in C.08.002 or C.10.003, the Director shall issue a DIN. His sole grounds for declining, considered earlier herein, must be reasonable and specifically in accord with the Act and the other regulations. Under regula tion C.08.004 the Minister is bound either to issue a notice of compliance or to notify the manufac turer why the submission or supplement does not comply, within 120 days. The Minister is subject to the Court's supervising power to order man- damus in that regard. In both instances the appli cant is entitled to respond, which is referred to herein as the "dialogue mechanism". These dele gated powers do not permit the Minister or the Director to do as they please: they have no unfet tered discretions.
The Court finds no illegal subdelegation here, as alleged by the plaintiffs.
CONCLUSIONS TO PART II
In holding all of the impugned regulations to be valid in regard to the attacks levied against them by the plaintiffs, the Court is far from certifying that the Regulations are absolutely perfect in every respect. They could be improved. Volumi nous and detailed as they are, they could yet be more specific in some of the aspects of which the plaintiffs complain. However, upon analysis, and further, in view of Bennion's statement of the law (above), the jurisprudence cited, not least of which are the Brant Dairy dicta (above) and the decision in R. v. Harrison (above), the Regulations evince a degree of certainty and precision, and sufficient limitations on the Minister's and the Director's discretions, which are quite adequate to withstand the plaintiffs' complaints.
EDITOR'S NOTE
The reasons for judgment on the third issue (whether the isolated amino acids and amino acid products were "new drugs") occupied 20 pages in manuscript. The plaintiffs adduced evidence that the substances in question were food rather than drugs or, in the alternative, if drugs, they were not "new drugs". His Lordship found, how ever, that in view of the inadequacy of the data supplied by the plaintiff, its product had to be, in accordance with the regulations, regarded not only as a drug but as a "new drug". The people of Canada were not to serve the drug industry as guinea pigs. There was nothing improper in the plaintiff having been asked why Tryptophan was to be contained in its proposed product since it is a mood-altering substance. The presence of Tryptophan in the proposed new product, said to ease stress, meant that it could be found to require more information as to its safety and effectiveness. The denial of a drug identification number to permit the product's dissemination to consumers was accordingly justified and lawful. On the evidence, the following substances were found to be "new drugs": Tryptophan, Arginine, Phenylalanine, Methionine, Ornithine, Tyrosine, Lysine, Carnitine and Histidine. The Court cau-
tioned that this was not to be taken as a crystal lized list of "new drugs".
The Court decided the fourth issue by finding that the new drug regulations had not been applied unfairly. They had, however, been applied in an incompetent manner and that would be taken into consideration in awarding costs. It was almost a year after Jamieson first sought a DIN that the real reason for the denial was made known. The plaintiff had been enveloped in the shifting policies of the Health_ Protection Branch of the Department of National Health and Welfare. It was understandable that the plaintiffs would feel that they were being subjected to arbitrary treat ment in that other manufacturers had been grant ed, prior to July, 1981, DINS with respect to prod ucts containing isolated amino acids. But the regulations allow for policy changes. Although the defendants admitted that they did not themselves know why certain products, other than amino acids, were seized, this was to be explained by incompetence rather than malice and the seizure was insufficient to support a finding that the regu lations had been applied in an unfair or dis criminatory manner. The inference to be drawn from the evidence is that, at the relevant time, the Health Protection Branch was under-staffed, over worked and in a state of confusion. Nevertheless, the plaintiffs are seeking judicial review of a dis cretionary administrative action and the appli cable law is clear. The decision-maker must nei ther exceed nor abuse his discretionary authority. Such decision-makers are not bound by their former decisions or policies. But an unexplained departure from previous policy can raise an infer ence of bad faith. In the instant case, that the plaintiffs were told to cease selling these products before other manufacturers were, could be accounted for by the more complete familiarity of the Health Protection Branch with the plaintiffs' proposed products than with the others due to Jamieson's contemporaneous DIN application. It was not unreasonable that a large bureaucratic administration would need time to convert an initial response into industry-wide compliance. A
DIN had been approved for plaintiff's (Jamieson's) product "Stress-Ease" without Tryptophan; the claim for an order requiring the Director to grant a DIN for a product containing that substance had to be dismissed since the Director is justified in considering such product a "new drug".
V. CHARTER APPLICATION: Did the search and seizure pursuant to section 22 of the Food and Drugs Act violate the plaintiffs' right guaran teed by section 8 of the Canadian Charter of Rights and Freedoms, and is that section 22 itself violative of such right?
The plaintiffs, in action T-2968-84, pray for a declaration that the search of Jamieson's premises and the seizure of its isolated amino acid products by the defendants' inspectors violated section 8 of the Charter. Swiss Herbal's premises were visited on the same day as the inspectors seized Jamie- son's products. The inspectors advised Swiss Herbal to continue to keep from the market all isolated amino acids and such products until the plaintiff complied with regulation C.08.001 and following, regarding new drugs. (Amended Joint ... Facts in T-2968-84, paragraph 31.) For the purposes of this issue Swiss Herbal, although not a manufacturer, is considered to be in the same plight as is Jamieson.
The plaintiffs urge that section 22 of the Food and Drugs Act, pursuant to which the search and seizure were effected, contravened section 8 of the Charter at the material time. Section 22 was later amended [S.C. 1985, c. 26, s. 12], but at the material time it ran thus:
PART II
ADMINISTRATION AND ENFORCEMENT
Powers of Inspectors
22. (1) An inspector may at any reasonable time
(a) enter any place where on reasonable grounds he believes any article to which this Act or the regulations apply is manufactured, prepared, preserved, packaged or stored, examine any such article and take samples thereof, and examine anything that he reasonably believes is used or capable of being used for such manufacture, preparation, preservation, packaging or storing;
(b) open and examine any receptacle or package that on reasonable grounds he believes contains any article to which this Act or the regulations apply;
(c) examine any books, documents or other records found in any place mentioned in paragraph (a) that on reasonable grounds he believes contain any information relevant to the enforcement of this Act with respect to any article to which this Act or the regulations apply and make copies thereof or extracts therefrom; and
(d) seize and detain for such time as may be necessary any article by means of or in relation to which he reasonably believes any provision of this Act or the regulations has been violated.
(2) For the purposes of subsection (1), the expression "arti- cle to which this Act or the regulations apply" includes
(a) any food, drug, cosmetic or device,
(b) anything used for the manufacture, preparation, preser vation, packaging or storing thereof, and
(c) any labelling or advertising material.
(3) An inspector shall be furnished with a prescribed certifi cate of designation and on entering any place pursuant to subsection (1) shall if so required produce the certificate to the person in charge thereof.
(4) The owner or person in charge of a place entered by an inspector pursuant to subsection (1) and every person found therein shall give the inspector all reasonable assistance in his power and furnish him with such information as he may reasonably require.
(5) No person shall obstruct an inspector in the carrying out of his duties under this Act or the regulations.
(6) No person shall knowingly make any false or misleading statement either verbally or in writing to any inspector engaged in carrying out his duties under this Act or the regulations.
(7) No person shall remove, alter or interfere in any way with any article seized under this Act without the authority of an inspector.
(8) Any article seized under this Act may at the option of an inspector be kept or stored in the building or place where it was seized or may at the direction of an inspector be removed to any other proper place.
Section 8 of the Charter guarantees that:
8. Everyone has the right to be secure against unreasonable search and seizure.
The plaintiffs focus on the legislation. They do not allege any misconduct whatsoever on the part of the inspectors. Relating the provisions of section 22 back to the new drug regulations, the plaintiffs argue that no decision to search and seize, or conduct of a search and seizure could ever be reasonable, because the allegedly vague new drug regulations preclude any inspector from ever having "reasonable grounds to believe" that new drugs are being "manufactured, prepared, pre served, packaged or stored". Alleged vagueness aside, the regulations' complexity could present certain difficulties in this regard. Furthermore, the plaintiffs note, section 22 does not require that inspectors obtain prior authorization from an independent authority in order to search and seize.
The defendants acknowledge that section 22 purports to authorize warrantless searches and seizures, but their counsel submits that these are situations or conditions in which the requirement for prior authorization would itself be unreason able. The defendants aver that the statutory au thority is reasonable in itself and does not contra vene section 8 of the Charter.
The witness Eric Margolis, the Chief Executive Officer of the plaintiff Jamieson, recalled that "when this case started to develop and . .. all of a sudden one day the HPB inspectors marched into my office and informed us in the case of trypto- phan that this product was a new drug and not a food", (transcript 1, page 82). He did not testify about the impugned search and seizure of which Jamieson complains. The evidence concerning that event is found in paragraph 30 of the amended joint admission of facts in action T-2968-84, thus:
30. On December 17, 1984, Defendant Director's employees, on behalf of the Drug and Environmental Health Inspec tion Division, entered Plaintiff C.E. Jamieson & Co. (Dominion) Ltd.'s premises and seized the amino acid products listed in the documents of seizure produced here with in [exhibit 1 (E-29)].
The joint admission mentions only Jamieson's "premises": it does not indicate that anyone's pri vate office was searched for purposes of the sei zures. Exhibit 1 (E-29), rather, shows that multi ple cases (packing boxes?) and bottles of products, valued at several thousands of dollars, were seized: that is, quantities which, by inference, would not have been placed in Mr. Margolis' or anyone else's private office. That inference and the lack of contrary evidence induce the Court to find that no office was searched by the defendants' inspectors. This conclusion applies equally to Swiss Herbal whose "premises" alone are mentioned, from which no articles were physically taken.
The plaintiffs' counsel reiterated more than once during the trial that the plaintiffs make absolutely no complaint about the conduct of the defendants' inspectors during this search, if such there really was, and seizure of the products. Based on those acknowledgments by counsel, the Court finds that the inspectors went about their task in a manner which was adequately polite, pragmatic, profes sional and not offensive to anyone.
Section 22 of the Food and Drugs Act is to be considered in this light. Did the inspectors have reasonable grounds to believe that Jamieson's premises were a place where any article to which the Act or Regulations apply is manufactured, prepared, packaged or stored? No doubt they did. Paragraph 22(1)(a) of the Act accords them power of inspection. Did the inspectors reasonably believe that what they seized were the means or effect by which any provision of the Act or the Regulations had been violated? Possibly the inspectors or those who despatched them did so reasonably believe, but in the absence of a sworn information or like document to induce issuance of a warrant, it is not certain whether their beliefs could have been reasonable or not. This latter matter of violation of the Act or Regulations was surely a contentious question between the parties, because only 11 days before the inspectors' sei zure, Jamieson had filed its statement of claim to initiate action T-2853-84, on December 6, 1984. Paragraph 22(1) (d) of the Act accords the power of warrantless seizure and it exacts reasonable
belief that the Act or Regulations has been violated.
M. Ferrier examined for discovery, and speaking for the defendants, gave these binding answers:
Q. And before seizing in the hands of Jamieson, the amino acids which you did seize, you didn't attempt to find out from Jamieson for how long they had been selling and in what quantity they had been selling?
A. No that was not done. (August 16, 1985, afternoon, page 29.)
The violation, of which reasonable belief was required, was selling a new drug without having obtained from the Minister a notice of compliance pursuant to regulation C.08.002(b). The definition of new drug includes the factor of not having been sold for sufficient time or in sufficient quantity to establish safety and effectiveness in Canada. Did the inspectors, or those who despatched them, know that Jamieson had not provided some of the putative information by which to assess compli ance with the criteria of regulation C.08.001? "No", say the plaintiffs. But is it not probable that they knew of the letter, exhibit 1 (E-28)? Mr. Ferrier denied any involvement in that matter on the part of the defendants.
Q. Right? The decision was to declare them [the amino acid products herein] to be in new drug status?
A. The opinion that we provided was that they would be in new drug status, that's right.
A. Because the opinion, all that I, the authority that I have in terms of compliance actions is to provide opinions. I cannot go out and I do not have the authority to go out and seize products, or to take actions, even though I am an inspector, designated under the act, I am not given that responsibility by my superior to go out and make, take compliance actions. So that any type of compliance action that is taken, it has to be taken by an inspector that has been delegated with those responsibilities and he must, with due consideration, take that decision on behalf of the Department.
Q. But I am referring to the decision to place the amino acids in drug status. That's not the decision to go and seize.
A. Oh, but the decision that inspector makes is based on the fact that it is his opinion that it is a drug, a new drug and that it should not be sold, so that ....
Q. Are you now saying that the decision was taken by the inspector to place this type of isolated amino acids under drug status ...
A. The action that was taken by the inspector had to be taken by him alone, because he was the one who took this action. It is my, you know, it is my understanding that any action that is taken by an inspector, he must be quite clear in what he is doing, and if he feels that there is any doubt in what he is, action he is carrying out, that he must satisfy himself before he can take any type of, of action such as that, cause there is no kind of high official that can take that action by the inspector.
Q. Mr. Ferrier, are you saying then that no one, except the inspector, made the decision to place these amino acids under new drug status?
A. No, I am not saying that, I'm saying that the action that was taken by the inspector, had to be taken on the basis of his assessment as to the compliance of these products under the existing act and regulations.
Q. All right.
A. Well, he can, he could, he can obtain opinions from
whoever he feels like, really, so that in this ...
Q. Well, then, Mr. Ferrier, does this mean in fact that you made no decision as to whether these amino acids were new drugs or not?
A. We made a decision on the basis of the information we had at hand that these particular products should be new drugs, insofar as we were concerned, but in terms of any subsequent compliance action that was taken, that was, we had no involvement in that whatsoever. (August 16, 1985, p.m., pages 37 to 39.)
Finally, the defendants made this admission in the amended joint admission of facts:
Except for the amino acids listed in [exhibit 1(E-1), (Dr. Armstrong's memo dated November 7, 1984)] the Bureau of Non-Prescription Drugs does not know why the other products listed in the Statement[s] of Claim ... were seized. (T-2853- 84, paragraph 52; T-2968-84, paragraph 43.)
In the result the defendants admit that there was no reasonable belief of any violation in regard to the seized products about whose seizure they later relented and released from seizure. In so far as the continuing seizure of the seven amino acid products listed in Dr. Armstrong's letter of November 7, 1984 there is no evidence of the inspectors' belief being reasonable or not. The mere facts that the inspectors seized them, and the defendants asserted that they were and are new drugs (now found to be correct) do not establish the inspectors' reasonable belief that the legisla tion was being violated on December 17, 1984.
However, an inference may be drawn from Mr. Ferrier's answers (May 10, 1985, page 19, A. 60; August 16, 1985, a.m., page 38) that the inspec tors founded their beliefs about the seven products on Dr. Armstrong's memo which is addressed to an official of the "Operations and Compliance Division". Seven, because Carnitine was not then included. In conclusion, in regard to the seized products or substances which were not mentioned in that memo of November 7, 1984, included in exhibit 1 (E-1), plus Carnitine, the Court finds that the plaintiffs Jamieson and Swiss Herbal suffered an unreasonable seizure.
The pivotal word in section 8 of the Charter is "unreasonable". Reasonable searches and seizures, although not per se authorized by section 8, are constitutionally valid if otherwise lawful. This begs the question in regard to the products listed in the memo, exhibit 1 (E-1). Even assuming that the inspectors harboured the reasonable belief required by paragraph 22(1)(d) of the Act, does the warrantless-seizure feature of that Act contra vene the guarantee of security from unreasonable seizure enunciated in the Charter?
The leading case on this issue is Hunter et al. v. Southam Inc., [1984] 2 S.C.R. 145, cited for the plaintiffs. Mr. Justice Dickson (now Chief Jus tice), writing for the unanimous Supreme Court of Canada, stated that the Charter is a purposive document, and that the purpose of section 8 is to guarantee a reasonable expectation of privacy. This interest, however, must be assessed against the government's interest in intruding upon some one's privacy in order to advance its goals, notably law enforcement. Having stated that, Dickson J. explained that whatever powers of search and sei zure are given by law, they ought to carry with them the following three conditions:
(1) a requirement of a search warrant, or other authorization, to be obtained in advance of the search—prior authorization— in order to prevent unjustified state intrusions upon privacy from occurring. Indeed, Dickson J. indicated at page 161 that a
rebuttable presumption of unreasonableness arises in respect of warrantless searches or seizures;
(2) a requirement that the warrant be issued by a person who is "capable of acting judicially". This person needs not to be a judge, but must not be also involved in the investigation (i.e. must be neutral and impartial);
(3) a requirement that the issuance of a warrant be based upon an objective standard, and not merely the subjectivity of individual adjudicators. The purpose of this requirement is to provide a consistent standard for identifying the point at which the state's interests prevail over those of the individual. The mere "possibility of finding evidence" is too low a standard. Rather, "in cases like the present [anti-combines criminal investigations], reasonable and probable grounds, established upon oath, to believe that an offence has been committed and that there is evidence to be found at the place of the search, constitutes the minimum standard, consistent with section 8 of the Charter, for authorizing search and seizure" (p. 168).
If a search or seizure is not authorized by statute, or if the authorizing statute does not stipu late those three conditions, then the legislation is unreasonable and is inconsistent with section 8 of the Charter. However, Dickson J. recognized that prior authorization for a search is not always feasible, and that a warrantless search may be valid if the party seeking to uphold it can rebut the presumption of unreasonableness (page 161). The learned jurist did not need to pursue this point in Hunter, but subsequent decisions have discussed it.
With respect to statute-authorized warrantless searches and seizures, three Canadian appellate courts have drawn a distinction between the con text of criminal investigations and the context of inspections or audits under a regulatory process. (R. v. Rao (1984), 12 C.C.C. (3d) 97 (Ont. C.A.). Leave to appeal to Supreme Court of Canada refused, [1984] 2 S.C.R. ix; Re Belgoma Trans portation Ltd. and Director of Employment Standards (1985), 51 O.R. (2d) 509 (C.A.); R. v. Quesnel (1985), 24 C.C.C. (3d) 78 (Ont. C.A.). Leave to appeal to Supreme Court of Canada refused, [1986] 1 S.C.R. xiii; Bertram S. Miller Ltd. v. R., [1986] 3 F.C. 291 (C.A.). Leave to appeal to Supreme Court of Canada refused, [1986] 2 S.C.R. v; R. v. Bichel (1986), 4 B.C.L.R. (2d) 132 (C.A.).) These cases state generally that a warrantless search or seizure is more likely to be
unreasonable when exercised in respect of obtain ing contraband or evidence in the course of a criminal investigation, than when exercised by government inspectors in the course of inspections, related to public health and safety, in business activities subject to government regulation. The reason for this distinction appears to be that in government-regulated business activity, there is, and must be, a lower expectation of privacy on the part of those who choose to enter it.
In Rao (regarding a criminal investigation) the Ontario Court of Appeal acknowledged this dis tinction in unanimously holding inoperative that portion of paragraph 10(1)(a) of the Narcotic Control Act authorizing a peace officer to conduct a warrantless search of an office, in which he or she reasonably believed illicit narcotics were locat ed, where obtaining a warrant was not impracti cable. At page 123, Mr. Justice Martin said that a warrantless search of an office requires justifica tion in order to meet the constitutional standard of reasonableness. He noted that a warrantless search is justified where the circumstances make the obtaining of a warrant impracticable; but where the obtaining of a warrant would not impede effec tive law enforcement, a warrantless search of an office of fixed location (except as an incident of lawful arrest) cannot be justified and does not meet the constitutional standard of reasonableness prescribed by section 8 of the Charter. Martin J.A. observed that the Law Reform Commission of Canada had recommended the creation of telewar- rants for situations of emergency or inaccessibility of a justice of the peace. The recommendation has since been implemented by Parliament in section 443.1 of the Criminal Code [as added by S.C. 1985, c. 19, s. 70].
In Belgoma, the Ontario Court of Appeal upheld a search and seizure authorized by section 45 of the provincial Employment Standards Act, R.S.O. 1980, c. 137. Section 45 empowered an employment standards officer to enter business premises without a warrant and to require produc-
tion of business records, which can be removed for copying. After noting the distinction between criminal investigations and administrative regula tory inspections, the Court found this warrantless search or seizure not to be unreasonable because it was aimed not at criminal activity, but rather at ensuring and securing compliance with the regula tory provisions of the Act for the purpose of protecting the public interest (page 512).
In Quesnel, the Ontario Court of Appeal upheld the power to effect a warrantless search, pursuant to the provincial Farm Products Marketing Act, R.S.O. 1980, c. 158, the purpose of which activity was to determine the number of chickens in Ques- nel's building. The Court noted that "chicken" was a regulated product, and applied Rao and Bel- goma. In holding that the official was seeking to conduct only a regulatory inspection, the Court held that the legislation was not unreasonable within the meaning of the Charter.
In Bichel, the British Columbia Court of Appeal upheld a municipal zoning by-law authorizing a building inspector to enter without warrant at all reasonable times upon any property or premises to ascertain compliance with zoning regulations. The Court stated that a warrant procedure is appropri ate for searches in the course of a criminal investi gation, but agreed with Rao, Belgoma and Ques- nel that different considerations apply to regulatory inspections (pages 139-140 and 143). This was explained quite thoroughly by Macfar- lane J.A., at pages 143-144, as follows:
The standard proposed in Hunter v. Southam Inc. involves prior authorization by a judicial officer based upon proof of reasonable and probable ground justifying intrusion. It is reasonable that such a standard be applied in a criminal investigation, or when a search is being made of the type contemplated by the Combines Investigation Act. That type of search involves intrusion without notice, whether it be conven ient or inconvenient. It may involve a serious invasion of privacy, for instance a search through personal property. It may involve a deprivation of personal property. A police raid inevi tably involves personal stigma. The search warrant procedure is needed and applies well in that type of situation.
Different considerations apply to administrative inspections .... An inspection involves a minimal intrusion into the privacy of a person, if conducted at a reasonable time. It does not involve a search or seizure of personal property. It involves looking at construction, wiring, plumbing and heating, and at things which may affect health or safety. There is no stigma attached to the inspection. It is something that may be reason ably expected by all members of the community, in whose interest it is to maintain health and safety standards. Once it is recognized that such inspections must proceed on a routine basis, area by area, without proof in advance of an infraction by any particular householder, then it would be an empty and futile gesture, in my opinion, to have an independent official hear the reasons a search is to be made and give a prior authorization. The fact that an infraction may be discovered, and a penalty imposed, does not persuade me that a cumber some and ineffective procedure should be put in place. It would not protect the individual violator from being discovered. Nor is it in the public interest that he should be so protected.
Hunter v. Southam Inc. holds that prior authorization is a precondition for a valid search and seizure if it is feasible and reasonable to insist upon prior authorization. In my opinion, it would not be reasonable to insist upon prior authorization of administrative inspections, which could only be an expensive, routine measure incapable of providing any real protection to the householder.
I have concluded that the by-law is not inconsistent with s. 8, and would affirm the judgment of Mr. Justice Dohm.
I would dismiss the appeal. [Emphasis added.]
In Bertram Miller, the Appeal Division of this Court upheld a warrantless seizure, pursuant to paragraph 6(1)(a) of the Plant Quarantine Act [R.S.C. 1970, c. P-13] which authorized inspectors to conduct warrantless searches and seizures of any place where they reasonably believed there were pests injurious to plants. The plaintiff- respondent had imported from the United States trees and shrubs, which were found upon inspec tion to be infested with gypsy moth larvae. The inspectors formed the opinion that there was a reasonable danger that the whole shipment was or could soon become infested. They therefore confis cated the trees and ordered the plaintiff to destroy them. When said order was not obeyed, the inspec tors themselves destroyed the trees.
In separate but concurring reasons, Messrs. Jus tices Hugessen and Ryan both held that this war- rantless seizure was not unreasonable. Mr. Justice Heald, in dissent, did not discuss this issue; he would have dismissed the appeal on another non- constitutional ground.
Hugessen J. began by noting that in a section 8 review, regard must be had not only to the text of the statutory provision, but also to the context of the provision. That is, he explained, it is necessary to examine the purpose of the statutory scheme authorizing the search or seizure, the nature of the property seized, the character of the premises where the search or seizure may normally be expected to occur, and the legitimate interests of both the public at large and the person subjected to the search or seizure. Hugessen J. elaborated on this, at pages 341 and 342 as follows:
What is reasonable in terms of entry into and inspection of a restaurant kitchen or a commercial dairy, or a factory, or a mine will differ radically from what is reasonable for the search and seizure of private papers in a dwelling house. By the same token, there is a distinction between a statutory scheme which obviously envisages routine inspections and testing at reason able times in the normal course of business and one which is designed to permit, where necessary, armed and forcible intru sion at three o'clock in the morning. In short, there is a difference in kind between the tramp of jackboots and the sniff of the inspector of drains.
In my view, there is clearly a category of public health- and safety-related inspections carried out in commercial or industri al premises where a warrantless search and seizure is not only reasonable but essential for the protection of the public good.
After noting that the Ontario Court of Appeal in Rao and Belgoma drew this same distinction, Hugessen J. applied his reasoning to the legislation and facts at hand, as follows (page 343):
The evident purpose of the Plant Quarantine Act is the protection of our forests and our farms from infestation from parasites.
Once, as a result of the search, plant material is found to be infested and to constitute a hazard, the public interest in its seizure and destruction forthwith must surely outweigh any
interest whose protection is envisaged by section 8 of the Charter.
All these things being considered, it is my view that the quoted provisions of the statute do not authorize an unreason able search and seizure.
Ryan J. also approved the distinction made by Martin J. in Rao, and stated that "it would ... be undesirable to introduce into our administrative law system a relatively inflexible warrant require ment" (page 324). This seizure, Ryan J. said, was merely a step in an administrative process and had nothing to do with criminal law.
Ryan J. explained that section 8 protects at least two interests, a person's reasonable expectation of privacy, and a person's interest in being secure against unreasonable seizure of his or her prop erty, but found the opposing interests to be pre dominant in this case. First, there was a powerful public interest in safeguarding New Brunswick forests against potentially damaging infestations. Second, there was an "emergency situation". In addition, the Act's standard that the inspectors have reasonable belief that the plants are hazard ous was, in Mr. Justice Ryan's opinion, a reason able standard. The inspectors did in fact have reasonable grounds for their belief that a danger of infestation existed. As a result, Ryan J. concluded, a warrant or other prior authorization from an impartial arbiter was not a necessary precondition. The ratio of this Bertram S. Miller decision cen tres on the emergency created by an immediate hazard of infestation.
The cases just discussed yield the following guidelines for evaluating the impact of section 8 upon a statute-authorized warrantless search or seizure:
— Warrantless searches or seizures in the course of a criminal investigation are more likely to be held unreasonable than warrantless searches or seizures in the course of an adminis trative inspection process.
— Generally where obtaining a warrant is impracticable, the courts are more likely to uphold a warrantless search or seizure.
— Factors of impracticability include the degree to which effec tive law enforcement may be impeded, the degree to which
an emergency exists, and the importance of the public inter est (e.g. protection of health and safety).
The less the intrusion upon the individual's privacy, the more likely the warrantless search or seizure will be upheld (e.g. if it takes place at a convenient time, if there is no stigma attached, if it does not involve a search or seizure of personal property, etc.).
Applying these to the case at bar, it is apparent, on balance, that the defendants' seizure of the plaintiffs' stock violated section 8 of the Charter.
The search and seizure authorized by section 22 of the Food and Drugs Act does not meet the Hunter test because section 22 does not stipulate any of the three conditions, stated therein supra. As a result, a rebuttable presumption of unreason ableness, and thus invalidity, arises.
This presumption has not been rebutted. First, the defendants cannot rely upon the less strict test of reasonableness which the courts are applying in the context of administrative inspections because this search and seizure was in Ate-context of a criminal-. investigation:The plaintiffs' point is well taken: the defendants can hardly argue on the one hand that the legislation is intra vires of Parlia ment in regard to criminal law, and on the other hand argue that the searches and seizures are conducted, not in the course of a criminal investi gation, but rather in the course of regulating the manufacture, sale and labelling of drugs in Canada. (Transcript 3, pages 147 to 158.) The new drug regulations are assimilated largely to criminal law prohibiting the sale of new drugs for which no notice of compliance has been issued. Paragraph 26(b) of the Act provides that breach of the Regulations is an offence which is prosecut ed on indictment. Upon learning of the plaintiff's continuing intentions to ignore this prohibition, but to ascertain its rights and obligations in action T-2853-84, commenced on December 6, 1984, the defendants thereafter conducted the seizure of the contraband and evidence. That evinces more char acteristics of a criminal investigation than of an administrative process of inspection or regulation.
It is true that paragraphs 22(1)(a), (b) and (c) create powers which appear to provide for regula tory inspections, but paragraph 22(1) (d) which the inspectors invoked, provides that such official "may .. . seize and detain ... any article by means of or in relation to which he reasonably believes any provision of this Act or the regulations has been violated". (Emphasis added.) Those are the words in which section 26 is expressed. The legisla tive intent to make paragraph 22(1)(d) an enforce ment adjunct to the prosecution of offences pursu ant to section 26 is too clear to merit further discussion.
Moreover, obtaining a warrant for a seizure pursuant to paragraph 22(1)(d) of the Act is not necessarily unfeasible or impracticable, especially not in situations such as the case at bar, which appears to involve a typical invocation of the power to seize. Here, no emergency can be said to have existed, as indicated by the protracted lapse of time between the defendant's determination that the plaintiff's products were "new drugs" and the actual seizure. And, effective law enforcement would not have been impeded by the defendant's obtaining prior authorization for the search and seizure. The plethora of letters which passed be tween the two parties in this particular instance indicates that the plaintiff was not at all secretive; indeed the plaintiff was acting with the utmost candor. Thus, the lapse of, at most, one more day to obtain prior authorization would not have been likely to result in the plaintiff's selling or conceal ing or destroying its "new drugs". In the circum stances, the fact that it was not an office from which the articles were seized is of minor import.
Parliament itself, as distinct from the defend ants whom it charges to administer the law, appears to be in potential accord with the above observations. By subsequently enacting subsections 22(1.1), (1.2) and (1.3) of the Act, Parliament exacts that a warrant shall indeed be obtained, on ex parte application to a justice of the peace, where an inspector seeks to enter a "dwelling- house" and to search for and seize any article therein. By having enacted section 443.1 of the Criminal Code, Parliament has provided that in
the investigation of indictable offences if it "be impracticable to appear personally before a justice
. for a warrant" a peace officer (but not an inspector under the Act, unless the latter be also the former) may apply for a telewarrant. Thus the defendants' contentions on this score are, at least potentially, foreclosed both ways. Those recent enactments surely provide a potent criterion against which the alleged necessity of warrantless seizures under paragraph 22(1)(d) is found want ing in contemplation of section 8 of the Charter, as interpreted by the Supreme Court of Canada in the Hunter et al. v. Southam Inc. case, and by the Ontario Court of Appeal in the Rao case.
The importance of prior authorization for seiz ing anyone's property resides in fairness to that person. The process of obtaining a warrant, or telewarrant, creates a record, the enforcer's sworn information, by means of which the person may, on good grounds, if any, apply to have the warrant quashed in appropriate circumstances. Because Canadian jurisprudence has taken the path of according the Charter's essentially human rights to corporate artificial "persons", the recourse is open equally to individuals, and to corporations such as the plaintiffs.
If this case be regarded as being on the border line between regulatory inspections and criminal investigations, a contention which the Court rejects, it is therefore on the cutting edge of the articulation of rights guaranteed by the Charter. The defendants could hardly invoke section 1 thereof in this regard. So, if there were any doubt here, the preferable course is to accord the benefit of it to the plaintiffs and to cleave to the purposive constitutional imperative of guaranteed rights.
Clearly, then, prior authorization was feasible. Prior authorization would not have caused an imbalance in favour of the plaintiff's expectation of privacy and security of property over the State's valid objectives of law enforcement and safeguard ing public safety. Therefore, the warrantless sei zure was unreasonable, and in contravention of the
Charter, section 8. To that extent, paragraph 22(1)(d) of the Food and Drugs Act is declared to be, and to have been, of no force or effect.
The seizure is quashed as being unlawful. The seizure only is declared unconstitutional. The provisions of paragraphs 22(1)(a), (b) and (c) provide for the kind of administrative or regulato ry search or inspection which, according to the jurisprudence above cited, carries no constitutional requirement of prior authorization so long as it be not conducted in, or in relation to, a dwelling- house or private office. A general office, or vault or any place where the books, documents or records mentioned in paragraph 22(1)(c) can be found also escapes the requirement of prior authorization, for the searching for, and inspecting of, those items on business premises is an adminis trative or regulatory search or inspection. Jamie- son's articles are to be returned to it, and Swiss Herbal's articles are to be released from their "voluntary seizure". This is, to a large extent, a moral victory only for the plaintiffs, for their products which are, or contain, the eight listed amino acids remain firmly subjected to the entirely valid new drug regulations. Their moral victory, however, relieves them of any obligation to pay the defendants' costs of these proceedings. The defend ants' confusion and disarray in dealing with the plaintiffs, as well as the defendants' conduct after the institution of these actions gives them no jus tifiable claim for costs against the plaintiffs.
SUMMARY OF CONCLUSIONS
Jamieson's action T-2853-84 is dismissed without costs for or against any party. The Food and Drugs Act's impugned DIN regulations C.01.014 to C.01.014.4 inclusive are intra vires of Parliament. The manner in which they were applied to the plaintiff, although inept, was not unfair, unreason able nor discriminatory, nor did it create any flagrant injustice. The plaintiff Jamieson is not entitled to receive a DIN for the product "Stress Ease with Vitamins and Minerals" with L-trypto-
phan as an ingredient, since such a product would be a new drug pursuant to regulation C.08.001.
The three plaintiffs' action T-2968-84 is disposed of as follows: the plaintiffs' prayers for declara tions expressed in paragraphs a), b), d) and the alternative prayer for relief, in their re-amended statement of claim filed on December 16, 1986, are dismissed; subparagraph 25 (1) (o) (ii) of the Food and Drugs Act and regulations C.08.001 to C.08.011 are intra vires of Parliament and those regulations are intra vires of the Governor General in Council. The eight isolated amino acids, and the amino acid products comprehended in paragraph 10 of the statement of claim, but specified in paragraph 22 of the statement of defence, are "new drugs" within the meaning of the Food and Drugs Act and regulations thereunder. The manner in which they were applied to the plain tiffs, although inept, was not unfair, unreasonable nor discriminatory, nor did it create any flagrant injustice; and the plaintiffs' prayer for a declara tion expressed in paragraph c) of their said state ment of claim is granted in these terms:
... the seizure of articles conducted on December 17, 1984, by the defendant Director, and the inspectors, officials and any other public servants who were then members of his staff or otherwise authorized to effect such seizures, was and is illegal, null and void, in particular, in that said seizure was unreason able and contravened section 8 of the Canadian Charter of Rights and Freedoms.
There will be a consequent order that the defend ants, their inspectors, officials and subordinate staff shall return to the plaintiff Jamieson all the articles seized on and from its premises on Decem- ber 17, 1984, unless there be some extraneous lawful reason for not so doing, and they shall release from "voluntary seizure" all of Swiss Her- bal's articles so held on and from December 17, 1984, unless there be some extraneous lawful reason for not so doing.
The parties' having achieved mixed success in action T-2968-84, the defendants shall pay to the plaintiffs, and the latter are awarded, seventy per cent (70%) of the said plaintiffs' party-and-party costs of and incidental to this action, after taxa tion, or, as the parties may agree, should the defendants elect to waive taxation of costs. All
three plaintiffs having engaged the same firm of lawyers in this action (and Jamieson's other soli tary action), full counsel fees shall be calculated and taxed as for two primary counsel, (i.e. double counsel fee) but only once, and not times-three, of which one calculation, 70% as noted above, is included in the costs to be paid by the defendants to the plaintiffs.
Judgments will be separately formulated and entered respectively in each action, and a copy of these reasons for judgment shall be lodged in both files.
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