Judgments

Decision Information

Decision Content

T-2886-84
X (Applicant)
v.
Minister of National Defence and Secretary of State for External Affairs (Respondents)
INDEXED AS: X V. CANADA (MINISTER OF NATIONAL DEFENCE) (TD.)
Trial Division, Denault J.—Ottawa, March 28 and August 27, 1991
Access to information — Historian seeking access to records of Canadian code-breaking agency "Examination Unit" for 1941-1942 and wartime intercepted enemy communications — Ex parte representations and tendering of confidential infor mation and expert evidence by secret affidavits allowed by Act to protect confidential material — Right to cross-examine not provided for in Act and no weighty and exceptional circum stances to warrant cross-examination on affidavits — Nature of confidential relationships between governments and impor tance thereof in international affairs — Under Act, s. 13, head of government institution must refuse disclosure if document obtained in confidence; document remaining confidential unless other government or organization consents to disclosure or has made information public — Under Act, s. 19, personal information to be withheld — Act not providing for disclosure after 30 years or if applicant has good reason for requesting information — However, head of government institution should be able to state efforts made to determine if exceptions apply — Under s. 15, refusal to disclose on grounds of injury or probable injury to national interest must be reasonable — Refusal to disclose post-1942 personnel information on basis information not directly related to access request not justified as relevance not basis for exemption under Act.
The applicant seeks access to records pertaining to a code- breaking agency established in 1941, the "Examination Unit". As an historian, he is interested in information concerning the dismissal, allegedly as a result of diplomatic pressures from the United Kingdom and the United States, of Herbert Yardley, the head of the Unit in 1941, and records with respect to the Japa- nese, Vichy French and German codes and intercepts obtained when Yardley was associated with the Unit. The Minister of National Defence released 413 pages of records without any information therein being exempted, 132 pages with some information severed by virtue of sections 13, 15 and 19 of the Access to Information Act and 243 pages were completely exempted on the basis of these sections. This is an application
under section 41 of the Act for a review of that refusal. The respondents applied for an order that the application for review be heard in camera and that the respondents may make repre sentations ex parte and file supplementary affidavits in a sealed form, not subject to access or cross-examination by the appli cant.
Held, the applicant's application should be allowed in part only; the respondents' application should be allowed.
The respondents had exercised reasonable diligence in responding to the applicant's request and this section 41 review should not be expanded beyond the records exempted under sections 13, 15 and 19 of the Act.
In light of the specific provisions of the Act which allow for in camera hearings of review applications and in view of the accommodation that is specifically provided to protect confi dential material, the respondents' application should be allowed. The right to cross-examine has not been provided for in the Act. Nor were there "weighty and exceptional circum stances" to warrant cross-examination by the applicant on the confidential affidavits. Finally if the Act allows the head of a government institution to make representations ex parte, then clearly there can be no right to cross-examine on these repre sentations.
Section 48 of the Act provides that the burden of demon strating that records are subject to exemption is on the govern ment institution. The information exempted under sections 13 and 19 is reviewable pursuant to section 49 of the Act which provides that the Court may order disclosure or other appropri ate measures if it determines that the head of the institution is not authorized to refuse to disclose the record. The information exempted under section 15 is reviewable under section 50 which provides that the Court shall order disclosure or other appropriate measures if it determines that the head of the insti tution did not have reasonable grounds on which to refuse to disclose the record.
Section 13 Exemption
This section exempts from disclosure records containing information obtained in confidence from foreign governments or institutions. This reflects the importance of confidential relationships between governments in international affairs. Under subsection 13(1), the head of a government institution must simply determine whether the information was obtained in confidence and, if so, must refuse to disclose the record unless the exceptions apply. The mandatory nature of this exemption is set aside only if the other government or organi zation consents to disclosure or has itself made the information public. Since this was not the case herein, the exemption should stand.
Section 19 Exemption
Personal information shall be withheld where it clearly fits within and is not exempted by the relevant paragraphs of sec tion 3 of the Privacy Act or subsection 19(2) of the Access to Information Act. The Act does not provide for a discretion to release information on the basis of how long ago it was obtained. That Yardley died 35 years ago is not relevant to the question whether personal information as to persons other than Yardley should be disclosed unless such persons have been dead for more than twenty years or have consented to the release of the information. While it may be difficult to ascer tain whether these exceptions apply, the head of a government institution cannot simply state that he does not know whether the exceptions apply. He should be in a position to state what efforts were made in this regard.
Section 15 Exemption
This provision authorizes the head of a government institu tion to refuse access where dislosure could be injurious to the national interest. The Court must form its own opinion in determining whether the explanations provided for refusing to disclose are reasonable.
The Minister's refusal to disclose was justified in every instance, except with respect to two records containing the names, position, titles and date of hiring of individuals hired after 1942. It was severed on the basis that the information, which is post-1942, was not relevant to the applicant's request for information about the Examination Unit during the "Yar- dley period", 1941-1942. The fact that information is not directly related to an access request is not a basis for exemp tion under the Act and the respondents therefore did not have reasonable grounds to refuse to disclose that information.
STATUTES AND REGULATIONS JUDICIALLY CONSIDERED
Access to Information Act, S.C. 1980-81-82-83, c. 11l,
Schedule I, ss. 2, 4, 6, 8(1), 10(1)(G), 13, 15, 19,
20(1)(b), 30(1), 41, 47(1), 48, 49, 50, 52(1),(2),(3). Archives Act 1983 (Cth), s. 33(1)(a),(b).
Canada Evidence Act, R.S.C. 1970, c. E-10, ss. 36.1 (as enacted by S.C. 1980-81-82-83, c. 111, s. 4), 36.2 (as enacted idem).
National Security Act of 1947, 61 Stat. 498, 50 USC §403(d)(3)(1982), §102(d)(3).
Privacy Act, S.C. 1980-81-82-83, c. 111, Sch. II, s. 3.
CASES JUDICIALLY CONSIDERED
APPLIED:
Maislin Industries Limited v. Minister for Industry, Trade and Commerce, [1984] 1 F.C. 939; (1984), 10 D.L.R. (4th) 417; 8 Admin. L.R. 305; 27 B.L.R. 84 (T.D.); Kevork v. The Queen, [1984] 2 F.C. 753; (1984), 17 C.C.C. (3d) 426 (T.D.); Canada (Information Commis-
sioner) v. Canada (Secretary of State for External Affairs), [1990] 1 F.C. 395; (1989), 64 D.L.R. (4th) 413; 28 C.P.R. (3d) 301; 32 F.T.R. 161 (T.D.); Canada (Infor- mation Commissioner) v. Canada (Minister of National Defence), [1990] 3 F.C. 22; (1990), 67 D.L.R. (4th) 585; 33 F.T.R. 234 (T.D.); Goguen v. Gibson, [1983] 1 F.C. 872; affd [1983] 2 F.C. 463; (1984), 7 D.L.R. (4th) 144; 3 Admin. L.R. 225; 10 C.C.C. (3d) 492; 40 C.P.C. 295; 50 N.R. 286 (C.A.).
DISTINGUISHED:
Central Intelligence Agency v. Sims, 471 U.S. 159 (1985); 85 L Ed 2d 173; 105 S Ct. 1881.
CONSIDERED:
Re Throssell and Australian Archives (1986), 10 ALD 403 (Adm. App. Trib.).
REFERRED TO:
Re Maher and Attorney-General's Department (1985), 7 ALD 731 (Adm. App. Trib.).
COUNSEL:
X for applicant.
B. A. Mcisaac, Q. C., for respondents.
SOLICITORS:
X for applicant.
Deputy Attorney General of Canada for respon
dents.
The following are the reasons for order rendered in English by
DENAULT J.: This is an application by X (the "appli- cant") pursuant to section 41 of the Access to Infor mation Act, S.C. 1980-81-82-83, c. 111, [Schedule I] [now R.S.C. 1985, c. A-1] (the "Act"), for a review of the respondents' refusal to provide access to records or parts thereof relating to the applicant's Access to Information Request dated March 18, 1984. The respondent Minister of National Defence refused access on the basis of the exemptions set out in sections 13, 15 and 19 of the Act. By notice of motion dated March 20, 1991, the respondents applied, pursuant to subsections 47(1), 52(2) and 52(3) of the Act, for an order that the application for review be heard in camera and that the respondents may make representations ex parte and file supple mentary affidavits in a sealed form, not subject to access or cross-examination by the applicant. These matters came on for hearing at Ottawa, Ontario on March 28, 1991 at which time I granted the respon-
dents' application and reserved judgment on the application for review under section 41 of the Act.
FACTS
In an effort to obtain and examine records pertain ing to the "Examination Unit", a code-breaking agency established in 1941 by Lester B. Pearson, then Under-Secretary of External Affairs, the appli cant submitted an unsigned Access to Information Request (the "Request") dated March 8, 1984, to the Department of External Affairs. Specifically, he requested access to information relating to the years 1941-42 during which Herbert Osborne Yardley, a cryptologist, was the Head of the Examination Unit. Mr. Yardley had previously worked in the Cipher Bureau in the United States during World War I until it was disbanded in 1929 by President Hoover. In 1938 he was hired by Nationalist China to solve Japa- nese codes and ciphers and in May, 1941 he was hired by the Canadian Government to head up the Examination Unit. He was subsequently released as a result of alleged diplomatic pressure from the United Kingdom and the United States. The applicant is interested in information concerning Mr. Yardley's dismissal and records with respect to the Japanese, Vichy French and German codes and intercepts obtained when Yardley was associated with the Examination Unit. Therefore, in his Access to Infor mation Request dated March 8, 1984 the applicant requested records connected with:
1) Japanese codes and intercepts connected with the outbreak of war in the Pacific, (Pearl Harbour, Hong Kong, Singa- pore, Manila, etc.);
2) Vichy codes and intercepts connected with the islands of St. Pierre and Miquelon and their take-over by the Free French;
3) German codes and intercepts connected with the outbreak of war between Germany and the Soviet Union;
4) The decision for replacing Yardley and his dismissal from "Unit".
Pursuant to subsection 8(1) of the Act, the appli cant's Request was transferred to the Department of National Defence ("DND") which was identified as the government institution having the greatest inter est in the requested records. On April 13, 1984 DND denied the Request and, in accordance with para graph 10(1)(b), advised the applicant, without con firming or denying the existence of the requested records, that such records would be exempt from dis closure pursuant to section 15 of the Act. On May 2, 1984 the applicant registered a complaint with the Office of the Information Commissioner of Canada and an investigation was initiated. The Commission er's "Report on Results of Investigation" dated Nov- ember 2, 1984 indicated, however, that the Informa tion Commissioner was "satisfied that the Department of National Defence was justified in law in the course of action it followed" and that the appli cant's complaint against the Department was not con sidered to be well founded.
By notice of motion filed December 14, 1984 the applicant brought an application under section 41 of the Act to review the respondents' decision to refuse access. However, DND subsequently discovered and disclosed to the applicant records relating to the Examination Unit and on March 29, 1985 he was advised that further information would be forthcom ing. Consultations with agencies of foreign govern ments and a further review of the records in question were conducted. On April 19, 1985, DND provided to the applicant what it considered to be the balance
of the records, subject to severance where the mate
rial was exempted under the Act, relating to his request of March 8, 1984. On April 23, 1985, the applicant's application was "withdrawn, without
prejudice to a fresh application under the Access to Information Act".
Another unsigned Access to Information Request was submitted by the applicant on August 9, 1985 in which he sought the following records:
What I am seeking are any records of the Examination Unit from 1941 through January of 1942 (when Yardley departed); any intercepted communications from German, Japanese and Vichy sources; any personnel record regarding Yardley, (who has been deceased about 30 years); and, any photographic
records of the Examination Unit (at Montreal Road or 345 Laurier Avenue) and its personnel, (if possible).
By notice of motion filed October 29, 1985, the applicant brought another application for review under section 41 of the Act wherein he described the respondents' refusals to provide access as follows:
That the [respondents] refused access to records and parts thereof pertaining to Herbert Osborne Yardley and the Exami nation Unit claiming exemptions under Sections 13 and 15, as well as Section 19, of the Access to Information Act during their disclosures of records between January 30th and April 19th of this year when these records could have been dis closed; and, that after the later disclosure of additional records relating to the Applicant's original request the Minister of National Defence refused access to records and parts thereof claiming exemptions under Sections 15 and 19 ... when these records could have been disclosed.
In a letter to the Court dated November 28, 1985, counsel for the respondents noted, however, that the Information Commission had not conducted an investigation with respect to the information discov ered subsequent to the discontinuance of the earlier application for review. On November 19, 1987 a fur ther report of investigation by the Information Com missioner confirmed that DND had withdrawn the exemptions and released the records to the applicant. The Information Commissioner, therefore, recorded the complaint as having been "supportable-resolution negotiated" and the file was closed subject to the applicant's right to initiate a separate investigation in the event he was not satisfied with DND's response.
DND continued to provide the applicant with the requested records, subject to the appropriate exemp tions under the Act, as well as additional records related to but not specifically referred to in his request. The applicant also continued to make addi tional requests for access and filed additional com plaints with respect to the manner in which the records were being processed by the respondents and the refusal to provide photographic copies of photo graphs.
The respondents now advise that, despite the initial refusal to disclose records, information was subse quently released to the applicant on January 30, April 1 and 19, 1985 and on August 8 and September 16,
1988. In all 788 pages of records had been identified as being relevant to the request. However, only 413 pages of records were released to the applicant with out any information therein being exempted, 132 pages of records were released with some informa tion severed therefrom by virtue of sections 13, 15 and 19 of the Act, and 243 pages were completely exempted on the basis of these sections. In his Mem orandum of Fact and Law dated March 8, 1991 the applicant also states that the respondents have not provided him with access to many of the requested records including the German, Vichy French and Jap- anese codes and any of the records originating from the Communications Branch of the National Research Council. He also alleges that records per taining to the decision to replace Yardley have not been fully disclosed. Nevertheless, a further investi gation by the Information Commissioner subsequent to the November, 1987 report does not appear to have been initiated by the applicant.
ISSUES
1. What is the exact "refusal to provide access" that is subject to this section 41 review?
2. Should the Applicant be given an opportunity to cross-examine the deponents of the secret affida vits? and,
3. Were the records or portions thereof properly exempted pursuant to sections 13, 15 and 19 of the Access to Information Act?
ISSUE NO. 1: What is the exact "refusal to provide access" that is subject to this section 41 review?
The history of this application reveals that there have been a number of access to information requests, complaints and investigations initiated by the applicant and a number of attempts to provide access to records on the part of the respondents. Therefore, it is not readily apparent which refusals to provide access are at issue in this section 41 applica tion. The relevant provisions of the Act which deal with requests for access, complaints, investigations and review are as follows:
4. (1) Subject to this Act, but notwithstanding any other Act of Parliament, every person who is
(a) a Canadian citizen, or
(b) a permanent resident within the meaning of the Immigra tion Act, 1976,
has a right to and shall, on request, be given access to any record under the control of a government institution.
6. A request for access to a record under this Act shall be made in writing to the government institution that has control of the record and shall provide sufficient detail to enable an experienced employee of the institution with a reasonable effort to identify the record.
10. (1) Where the head of a government institution refuses to give access to a record requested under this Act of a part thereof, the head of the institution shall state in the notice given under paragraph 7(a)
(a) that the record does not exist, or
(b) the specific provision of the Act on which the refusal was based or, where the head of the institution does not indi cate whether a record exists, the provision on which a refusal could reasonably be expected to be based if the record existed,
and shall state in the notice that the person who made the request has a right to make a complaint to the Information Commissioner about the refusal.
30. (1) Subject to this Act, the Information Commissioner shall receive and investigate complaints
(a) from persons who have been refused access to a record requested under this Act or a part thereof;
41. Any person who has been refused access to a record requested under this Act or a part thereof may, if a complaint has been made to the Information Commissioner in respect of the refusal, apply to the Court for a review of the matter within forty-five days after the time the results of an investigation of the complaint by the Information Commissioner are reported to the complainant under subsection 37(2) or within such fur ther time as the Court may, either before or after the expiry of those forty-five days, fix or allow. [Emphasis added.]
Although the second application for review dated October 29, 1985 could be viewed as a continuance of the former proceeding, it appears that a further investigation by the Information Commissioner should have been conducted with respect to the
records for which the respondents have claimed an exemption and which have not been considered in the previous investigations. However, due to the time that has elapsed since the original request in 1984 and in the light of the efforts undertaken by both par ties since the withdrawal of the first application for review, to deal with the applicant's original request, it would not be appropriate that the applicant now be barred, on a purely technical basis, from proceeding with his review application. However, it would be appropriate, in my opinion to limit the review to a failure to disclose those records relating to the request of August 9, 1985 in so far as they relate to the initial request of March 8, 1984. Specifically, the review should be limited to a consideration of the records which have been completely withheld or sev ered on the basis of exemptions under the Act as out lined in the affidavit of Lesia Maruschak, Access to Information and Privacy Officer, DND Communica tions Security Establishment, dated October 20, 1988. In any event, the Court is not in a position to know whether additional records exist.
This appears to accord with the applicant's request at paragraph 20 of his affidavit dated October 28, 1985 for an impartial review of all the records or parts thereof exempted under sections 13, 15 and 19 of the Act. The applicant has nonetheless argued that the efforts of the respondents to disclose were inade quate. He observes that much of the requested infor mation was not discovered until after he commenced the application for review and he suggests that, with further efforts, additional documents that may have been forgotten or mislaid, such as the "French Bulle tin", could be located. He suspects that there has been an effort on the part of DND to conceal information, particularly in the light of the initial secrecy sur rounding the existence of the Examination Unit, and he questions whether the respondents have exercised reasonable diligence in responding to his request.
Counsel for the respondents admits that the rela tionship between the parties did not get off to a good start when the applicant's request was initially refused. She states, however, that after several boxes of documents were accidentally discovered and upon consultations with foreign governments and a further
review of the other documents in question, records were subsequently released to the applicant on Janu- ary 30, April 1 and 19, 1985 and on August 8 and September 15, 1988. Many of the documents pro vided to the applicant were not part of his original access request but were released in a spirit of co operation, despite the fact that the Department was not obliged to disclose these records to the applicant. She submits that a diligent effort has been made to respond to the applicant's access request and that no documents have been withheld of which the respon dents are aware. Unfortunately, as evidenced in a memorandum dated May, 1972 and attached as Exhibit "A" to the affidavit of Ronald Browne, DND Access to Information and Privacy Officer, sworn March 27, 1991, some of the material that the appli cant is searching for has either been destroyed in a general purging of the files that occurred in 1971 or it has been placed elsewhere.
Section 6 imposes an obligation on the applicant to state precisely what he is seeking and a correspond ing obligation is imposed on the Canadian institution to make all efforts to locate and identify documents relevant to the request. It is evident here that the applicant has received a great deal of information and records in response to his original request, including 2,000 pages of records in August, 1988, which appar ently go beyond the request. It certainly appears that substantial efforts have been undertaken on behalf of the respondents to respond to what in my opinion appears to be a very broad request. I am, therefore, unwilling to accept the applicant's submissions, which are based on mere suspicion and speculation, to expand this section 41 review beyond the records exempted under sections 13, 15 and 19 of the Act as listed in Ms. Maruschak's affidavit and as further referred to in the affidavit of Ronald Browne, DND Access to Information and Privacy Officer, sworn March 18, 1991.
ISSUE NO. 2: Applicant's objection to the introduction of secret affidavits not subject to cross- examination — Should the applicant be given an opportunity to cross-examine the deponents on the secret affidavits?
At the outset of the hearing, the applicant raised an objection to the tendering of the confidential docu ments and expert evidence in the form of secret affi davits because he did not have an opportunity to examine the witness' testimony and verify their expertise through cross-examination. The applicant also submitted that ex parte representations were inappropriate because he already knew the existence of some of the records in his request, he could iden tify several by name, and he was able to ascertain the identities of agents and code names and other names concealed in many of the records. He also submitted that this information was identified elsewhere in the disclosures and that, in any event, it was publicly available.
However, in the light of the specific provisions of the Act which allow for in camera hearings of review applications and in view of the accommodation that is specifically provided to protect confidential mate rial, the only suitable way to deal with this issue is in the manner proposed by counsel for the respondents. The following provisions of the Act illustrate that Parliament has to at least some extent anticipated and provided for the concerns raised by the applicant:
47. (1) In any proceedings before the Court arising from an application under section 41, 42 or 44, the Court shall take every reasonable precaution, including, when appropriate, receiving representations ex parte and conducting hearings in camera, to avoid the disclosure by the Court or any person of
(a) any information or other material on the basis of which the head of a government institution would be authorized to refuse to disclose a part of a record requested under this Act; or
(b) any information as to whether a record exists where the head of a government institution, in refusing to disclose the record under this Act, does not indicate whether it exists.
52. (1) Any application under section 41 or 42 relating to a record or a part of a record that the head of a government insti tution has refused to disclose by reason of paragraph 13(1)(a) or (b) or section 15 shall be heard and determined by the Asso ciate Chief Justice of the Federal Court or by such other judge of the Court as the Associate Chief Justice may designate to hear such applications.
(2) An application referred to in subsection (1) or an appeal brought in respect of such application shall
(a) be heard in camera; and
(b) on the request of the head of the government institution concerned, be heard and determined in the National Capital Region described in the schedule to the National Capital Act.
(3) During the hearing of an application referred to in sub section (1) or an appeal brought in respect of such an applica tion, the head of the government institution concerned shall, on the request of the head of the institution, be given the opportu nity to make representations ex parte.
In Maislin Industries Limited v. Minister for Indus try, Trade and Commerce, [1984] 1 F.C. 939 (T.D.), Jerome A.C.J. considered [at page 942] several pro cedural questions arising under the Act including the questions of whether an in camera hearing should be held and whether cross-examination on filed affida vits should be allowed:
On the subject of closed hearings, proceedings in our courts must take place in full public view and in the presence of all parties. Exceptions to this principle occur from time to time, but must be kept to the minimum of absolute necessity. Even then directions should be such as to safeguard the public inter est in the administration of justice, and the rights of any parties not permitted to participate. In applications under these access to information statutes, the issue is confidentiality, and obvi ously to conduct them in public view pre-empts the final deci sion. For the present, therefore, there does not seem to be any alternative but to restrict attendance to counsel for the parties.
A similar dilemma arises with the question of access to the disputed documents by counsel .... Obviously, counsel cannot be expected to argue intelligently on the nature of a document he has not seen, yet to provide unrestricted access could prede termine the central issue. This determination will vary with the circumstances of each case, but here, having examined the full text of the report, I considered it appropriate to accept coun sel's undertaking of non-disclosure, even to his client, and to allow him access to the disputed portion solely for the purpose of argument. Otherwise, it seemed necessary that it remain filed in a sealed envelope until final disposition of this motion. [Emphasis added.]
Furthermore, I find support for this position in the jurisprudence dealing with proceedings under section 36.2 [now section 38] of the Canada Evidence Act, R.S.C. 1970, c. E-10 (as enacted by S.C. 1980-81-82- 83, c. 111, s. 4) where a Minister or the Crown in
right of Canada has made an objection to disclosure on the basis that it would be injurious to international relations or national defence or security. In Kevork v. The Queen, [1984] 2 F.C. 753 (T.D.), Addy J. consid ered inter alia an application for permission to cross- examine the Director of the Canadian Security Intel ligence Service on an affidavit in support of a section 36.2 objection to disclosure by the respondent Minis ter on the basis of national security. The applicants were alleged Armenian terrorists charged with con spiring and attempting to murder a Turkish diplomat. During the preliminary inquiry they sought informa tion regarding surveillance and security service profiles of informants. In Schedule "A" to his deci sion, Addy J. considered whether there exists any absolute right to cross-examination in such a case. He observed that the common law itself has never recog nized any absolute right to cross-examine on affidavit evidence submitted in a proceeding and he com mented [at pages 770-771]:
The present application is made pursuant to section 36.2 of the Canada Evidence Act. There is no provision in the Act nor are there any rules which provide for a right of cross-examination. The rules of natural justice as well as the requirements of a fair hearing do not include any absolute right to cross-examine on affidavits. See the case of Armstrong v. The State of Wisconsin et al., [1973] F.C. 437 (C.A.) at pages 439 to 444, where Thur- low J., as he then was, dealt specifically and most comprehen sively with that very matter and stated quite categorically that neither paragraph 1(a) nor 2(e) of the Canadian Rill of Rights [R.S.C. 1970, Appendix Ill] changed the principle in any way. Leave to appeal to the Supreme Court of Canada from this decision was refused. Furthermore his statement of the law was approved and followed by the Supreme Court of Canada in the case of Vardy v. Scott, et al., [1977] 1 S.C.R. 293. The question in that case was whether there was a right to cross- examine on a deposition taken for the purpose of deportation of the applicant. The Supreme Court of Canada held that no such right existed.
The same result was arrived at by the Ontario Court of Appeal, since the enactment of the Charter ... See Re United States of America and Smith (1984), 44 O.R. (2d) 705 ....
He determined that the question of whether cross- examination should be allowed was a matter of dis cretion for the judge. He then considered the objec tion to disclosure and, noting [at page 772] that "[i]t is difficult to exaggerate the importance of any ques-
tion pertaining to national security", he discussed the difficulties that arise therefrom [at pages 772-7731:
What might appear to the uninitiated, untrained layman to be a rather innocent and revealing piece of information might very well, to a trained adversary or a rival intelligence service, prove to be extremely vital when viewed in the light of many other apparently unrelated pieces of information. Because of this and by reason of the extreme sensitivity surrounding security matters it would be a very risky task indeed for a judge to decide whether a certain question should or should not be answered on cross-examination. Furthermore the person being cross-examined might be put in the difficult position of in fact revealing the answer by objecting to disclosure. Finally it is easy to foresee that many of the questions in cross-exami nation would be objected to in the same manner as the original questions which form the basis of the present application. This would inevitably lead to further inquiries and further applica tions, thus prolonging the matter indefinitely, creating a real danger of an eventual breach of security.
He, therefore, concluded [at page 773] that "in an application of this nature, unless very weighty and exceptional circumstances are established, no cross- examination should be allowed."
Here, the right to cross-examine has not been pro vided for in the Act. In fact, Parliament has specifi cally directed the Court to take precautions against disclosure in this type of review application. I find that the "difficulties" noted above by Addy J. are just as relevant to the matter before me and I do not con sider that "weighty and exceptional circumstances" exist in these circumstances to warrant cross-exami nation by the applicant on the affidavits submitted in this proceeding. Finally, if according to subsection 52(3), the head of the government institution may make representations ex parte, then clearly there can be no right to cross-examine on these representations.
ISSUE NO. 3: Were the records or portions thereof properly exempted pursuant to sections 13, 15 and 19 of the Access to Informa tion Act?
Before considering the respective arguments of the parties and before embarking upon a review of each page of the records at issue, it would be appropriate
to consider the relevant provisions of the Access to Information Act and the criteria established by Parlia ment to determine whether a particular document or portion thereof is to be exempted under the Act. Sec tion 2 sets out the purpose of the Act, sections 13, 15 and 19 are the exemption provisions which are sub ject to review in this application, section 48 estab lishes the burden of proof on an application under section 41, and sections 49 and 50 outline the stan dard of review by the Court with respect to the sec tions 13 and 19 and the section 15 exemptions, respectively:
2. (1) The purpose of this Act is to extend the present laws of Canada to provide a right of access to information in records under the control of a government institution in accor dance with the principles that government information should be available to the public, that necessary exceptions to the right of access should be limited and specific and that decisions on the disclosure of government information should be reviewed independently of government.
(2) This Act is intended to complement and not replace existing procedures for access to government information and is not intended to limit in any way access to the type of gov ernment information that is normally available to the general public.
13. (1) Subject to subsection (2), the head of a government institution shall refuse to disclose any record requested under this Act that contains information that was obtained in confi dence from
(a) the government of a foreign state or an institution thereof;
(b) an international organization or states or an institution thereof;
(c) the government of a province or an institution thereof; or
(d) a municipal or regional government established by or pursuant to an Act of the legislature of a province or an institution of such a government.
(2) The head of a government institution may disclose any record requested under this Act that contains information described in subsection (1) if the government organization or institution from which the information was obtained
(a) consents to the disclosure; or
(b) makes the information public.
15. (1) The head of a government institution may refuse to disclose any record requested under this Act that contains information the disclosure of which could reasonably be expected to be injurious to the conduct of international affairs, the defence of Canada or any state allied or associated with
Canada or the detection, prevention or suppression of subver sive or hostile activities, including, without restricting the gen erality of the foregoing, any such information
(h) that constitutes diplomatic correspondence exchanged with foreign states or international organizations of states or official correspondence exchanged with Canadian diplo matic missions or consular posts abroad; or
(i) relating to the communications or cryptographic systems of Canada or foreign states used
(i) for the conduct of international affairs,
(ii) for the defence of Canada or any state allied or associ ated with Canada, or
(iii) in relation to the detection, prevention or suppression of subversive or hostile activities.
(2) In this section,
"subversive or hostile activities" means
(a) espionage against Canada or any state allied or associ ated with Canada,
(e) activities directed towards gathering information used for intelligence purposes that relates to Canada or any state allied or associated with Canada, and
19. (1) Subject to subsection (2), the head of a government institution shall refuse to disclose any record requested under this Act that contains personal information as defined in sec tion 3 of the Privacy Act.'
1 The definition of "personal information" found in section 3 of the Privacy Act, S.C. 1980-81-82-83, c. 111, Schedule II [now R.S.C. 1985, c. P-21] is reproduced in full below:
3....
"personal information" means information about an identi fiable individual that is recorded in any form including, without restricting the generality of the foregoing,
(a) information relating to the race, national or ethnic ori gin, colour, religion, age or marital status of the indivi dual,
(b) information relating to the education or the medical, criminal or employment history of the individual or infor mation relating to financial transactions in which the indi vidual has been involved,
(c) any identifying number, symbol or other particular assigned to the individual,
(d) the address, fingerprints or blood type of the indivi dual,
(Continued on next page)
(2) The head of a government institution may disclose any record requested under this Act that contains personal informa tion if
(a) the individual to whom it relates consents to the disclo sure;
(b) the information is publicly available; or
(c) the disclosure is in accordance with section 8 of the Pri vacy Act.
(Continued from previous page)
(e) the personal opinions or view of the individual except where they are about another individual or about a propo sal for a grant, an award or a prize to be made to another individual by a government institution or a part of a government institution specified in the regulations,
(f) correspondence sent to a government institution by the individual that is implicitly or explicitly of a private or confidential nature, and replies to such correspondence that would reveal the contents of the original correspon dence,
(g) the view or opinions of another individual about the individual,
(h) the views or opinions of another individual about a proposal for a grant, an award or a prize to be made to the individual by an institution or a part of an institution referred to in paragraph (e), but excluding the name of the other individual where it appears with the views or opi nions of the other individual, and
(i) the name of the individual where it appears with other personal information relating to the individual or where the disclosure of the name itself, would reveal informa tion about the individual,
but, for the purposes of sections 7, 8 and 26 and section 19 of the Access to Information Act, does not include
(j) information about an individual who is or was an offi cer or employee of a government institution that relates to
the position of functions of the individual including,
(i) the fact that the individual is or was an officer or employee of the government institution,
(ii) the title, business address and telephone number of the individual,
(iii) the classification, salary range and responsibilities of the position held by the individual,
(iv) the name of the individual on a document prepared by the individual in the course of employment, and
(v) the personal opinions or views of the individual given in the course of employment,
(k) information about an individual who is or was perfor ming services under contract for a government institution that relates to the services performed, including the terms
(Continued on next page)
48. In any proceeding before the Court arising from an application under section 41 or 42, the burden of establishing that the head of a government institution is authorized to refuse to disclose a record requested under this Act or a part thereof shall be on the government institution concerned.
49. Where the head of a government institution refuses to disclose a record requested under this Act or a part thereof on the basis of a provision of this Act not referred to in subsection 50, the Court shall, if it determines that the head of the institu tion is not authorized to refuse to disclose the record or part thereof, order the head of the institution to disclose the record or part thereof, subject to such conditions as the Court deems appropriate, to the person who requested access to the record, or shall make such order as the Court deems appropriate.
50. Where the head of a government institution refuses to disclose a record requested under this Act or a part thereof on the basis of section 14 or 15 or paragraph 16(1)(c) or (d) or 18(d), the Court shall, if it determines that the head of the insti tution did not have reasonable grounds on which to refuse to disclose the record or part thereof, order the head or the insti tution to disclose the record or part thereof, subject to such conditions as the Court deems appropriate, to the person who requested access to the record, or shall make such other order as the Court deems appropriate. [Emphasis added.]
In accordance with section 48 of the Act, the bur den of demonstrating that records are subject to exemption is on the government institution. Sections 13 and 19 may be called "class exemptions" and sec tion 15, an "injury exemption". The Court must apply two different standards of review depending on the exemption provision at issue. The information exempted under sections 13 and 19 is reviewable pur suant to section 49 of the Act which provides that the Court shall order the disclosure of the record or make such other appropriate order, if it determines that the head of the institution is not authorized to refuse to disclose the record or part thereof. The information exempted under section 15, on the other hand, is reviewable pursuant to section 50 which provides that the Court shall order disclosure subject to appropriate conditions or shall make such other appropriate order
(Continued from previous page) of the contract, the name of the individual and the opi
nions or views of the individual given in the course of the performance of such services,
(l) information relating to any discretionary benefit of a financial nature, including the granting of a licence or permit, conferred on an individual, including the name of the individual and the exact nature of the benefit, and
(m) information about an individual who has been dead for more than twenty years.
if it determines that the head of the institution did not have reasonable grounds on which to refuse to dis close the record or part thereof.
Applicant's submissions
The applicant submits that many of the exempted records and severed portions of documents could have been disclosed as they did not fit within the exemption provisions of the Act. He questions whether a serious review was conducted and whether the appropriate consultations had been made to deter mine if the foreign states were willing to have the material disclosed. He suggests that the respondents have simply consulted with their counterpart agencies in Britain and the United States and that they have not consulted with the originating agencies of the records that had been received in confidence. He feels that only a cursory review of more than twenty codes and more than 700 pages of records could have been made during the three-day consultation with the National Security Agency in February, 1985.
The applicant submits that the records at issue and the severed portions thereof were not received in con fidence or that they are no longer confidential. He suggests that an indiscriminate exemption has been applied to all codes of the belligerent nations during a time when neither British nor American intelligence services were providing Canada with confidential information on these codes and he submits that codes utilized by belligerent governments do not constitute "information received in confidence". Furthermore, with the dissolution of the belligerent governments at the conclusion of hostilities in 1945 and the fact that some of these codes have been disclosed to the public by the United States Federal Bureau of Investigation and State Department, the applicant states that any expectation of injury has been considerably reduced.
The applicant suggests that security and intelli gence records should not be indefinitely withheld from disclosure particularly when other government records stored in the National Archives are only withheld for a period of up to 30 years. He submits
that other historians have in the past been granted access to records on a discretionary basis and that since he, too, is an historian, the same form of access should be extended to him. The applicant notes that Yardley died more than 35 years ago and he states that the decision to replace Yardley as director of the Examination Unit was the result of a hostile attitude and vindictive attack against his character and cryp- tographic abilities by agents of the British and Amer- ican security organizations. He suggests that, with the passage of time and the death of Yardley and these agents, there is no longer a reasonable expectation of injury to "national defence" or "international rela tions". As well, according to the applicant, interests would be better served if the historical realities and the truth concerning Yardley's reputation and profes sional abilities were revealed.
Finally, in his affidavit dated December 13, 1984 the applicant submits that the exemptions claimed should be "specific" and not a mere "generality". Accordingly, the specific sub-paragraphs of section 15 that have been relied upon should have been indi cated. He also suggests, at paragraph 8 of his affida vit, that a section 15 exemption can only occur when all of the sub-paragraphs apply to all of the records as a whole.
Respondents' submissions
Counsel for the respondents states that it is self- evident that information obtained from allies with respect to military intelligence is exchanged in confi dence, especially during times of war. She submits that the supplementary secret affidavits of Ronald Browne and Patrick Griffith, DND Director General of Signals Intelligence, Communications and Secur ity Establishment, filed in accordance with sections 47 and 52, address the nature of the information at issue and the confidential relationship in question. The supplementary secret affidavit of Cleeve Francis Wilfred Hooper, a former Special Adviser in the Security Services Bureau of External Affairs, details why it is important to maintain this confidential rela tionship and to respect the request of a foreign gov-
ernment or government agency that information pro vided by it be maintained in confidence.
Counsel observes that a government institution is obliged to refuse to disclose personal information about individuals unless one of the exemptions in subsection 19(2) applies and she states that, to the best of the knowledge and information of those charged with the processing of this request, none of the exceptions apply to the personal information which has been exempted.
With respect to the section 15 exemptions, counsel states that the supplementary affidavit of Mr. Browne reviews the information and provides a detailed index of the application of section 15 and the reasons for that application to each piece of information exempted from disclosure. In addition, the supple mentary affidavits of Mr. Griffith and Mr. Hooper review the reasons for the application of section 15 and discuss those reasons with specific reference to the information in question. Counsel submits that the application of the provisions of section 15 requires an intimate and extensive knowledge of the "larger pic ture" in which the information was originally col lected or that exists today. The reasons for the view that the release of information might reasonably be expected to result in the injury contemplated by sec tion 15 are not always readily apparent to the layman and she suggests that Mr. Hooper and Mr. Griffith are individuals with extensive experience and expertise in the areas of international relations and intelligence and security and that their views ought to prevail over those of the applicant who is not a recognized expert in the area.
ANALYSIS
For ease of reference, the 788 pages of documents were numbered consecutively and for each page number, the exemption provision(s) was provided. As a preliminary matter, it is evident from paragraphs 8 and 11 of the affidavit of Ms. Maruschak that in many instances more than one exemption has been claimed with respect to the severance of information contained in a record or part thereof. It would appear that when either or both of sections 13 and 19 are invoked and the Court is satisfied that they indeed
apply, it is not necessary to address the issue of a sec tion 15 exemption if also raised with respect to the same severed information. However, if only section 15 is invoked, then the reasonableness of the head of the government institution's expectation of injury must be considered.
Section 13 Exemption
The nature of the confidential relationship between governments and the importance of this relationship in international affairs has been considered by the Australian Administrative Appeals Tribunal in Re Throssell and Australian Archives (1986), 10 ALD 403. In Re Throssell Davies J., President, reviewed a denial of the applicant's request for access to docu ments containing information relating to the appli cant and his mother which had emanated from an overseas security organization. Paragraphs 33(1)(a) and (b) of the Archives Act 1983 (Cth) had been invoked by the respondent to justify the denial:
33. (1) For the purposes of this Act, a Commonwealth record is an exempt record if it contains information or matter of any of the following kinds:
(a) information or matter the disclosure of which under this Act could reasonably be expected to cause damage to the security, defence or international relations of the Common wealth;
(b) information or matter communicated in confidence by or on behalf of a foreign government an authority of a foreign government, or an international organization to the Govern ment of the Commonwealth, to an authority of the Common wealth or to a person receiving the communication on behalf of the Commonwealth or of an authority of the Common wealth, being information or matter the disclosure of which under this Act would constitute a breach of that confidence. [Emphasis added.]
Upon examination of the documents at issue, Davies J. [at page 405] found that they contained informa tion supplied in confidence by an overseas security organization the release of which, against the wishes of the originator, would be regarded by the originator as a breach of confidence. However, he held that for there to be an actual breach of confidence under para graph 33(1)(b) there had to be a "continuing relation ship of confidence" and he concluded that because the documents at issue were of historical interest only
with no current confidentiality, paragraph 33(1)(b ) did not apply. He did find, however, that the disclo sure of documents communicated in confidence by an overseas security organization which had not con sented to disclosure, could reasonably be expected to cause damage to Australia's international relation ships under paragraph 33(1)(a). He referred to Re
Maher and Attorney-General's Department (1985), 7 ALD 731 (Adm. App. Trib.) wherein he had dealt
with the nature of damage under paragraph 33(1)(a) and found that "there must be cause and effect which can reasonably be anticipated" and he concluded [at pages 406-407]:
I there [Re Maher] referred to the need for co-operation between agencies of different governments, to the sensitive nature of the communications which must pass from the one to the other and to the relationships which develop therefrom. Security is a particularly sensitive area and particularly depen dent for its effectiveness upon an adequate flow of informa tion.
In the present case, the disclosure of the documents which were communicated in confidence from the overseas security organisation to the Australian security organization and to the release of which the overseas security organization has not consented is a matter which reasonably could be expected to cause damage to the relationships between the two security organizations and therefore to Australia's international rela tionships.
Here, unlike in Re Throssell, there is no discretion to read in a requirement that there be a continuing confidentiality about the material at issue. The head of a government institution must simply determine whether the information was obtained in confidence under subsection 13(1) and, if so, must refuse to dis close the record unless the exemptions apply. Excep tions are specifically provided in subsection 13(2) which, in essence, determine when the material is no longer "confidential" for the purposes of section 13. The mandatory nature of this exemption, therefore, is set aside only where the other government or organi zation consents to disclosure or has itself made the information public. As well, unlike paragraph
20(1)(b) of the Act 2 which specifically provides for a consideration of whether the information has main tained its confidential nature, section 13 simply requires a consideration of whether the information at issue, when it was received, was confidential.
Section 19 Exemption
Personal information under section 19 is defined with reference to section 3 of the Privacy Act. In Canada (Information Commissioner) v. Canada (Sec- retary of State for External Affairs), [1990] 1 F.C. 395 (T.D.), Dubé J. discussed the schemes, objects and interrelationship between the Privacy Act and the Access to Information Act. He commented [at page 401]:
It is therefore appropriate at this stage to review section 2 of the Access to Information Act which outlines the purpose of the Act, namely to extend the present laws of Canada to provide a right of access to information in government records in accor dance with the principles that government information should be available to the public and that necessary exceptions "should be limited and specific". The purpose of the Privacy Act is also outlined in its section 2, which provides that the purpose of the Act is to protect the privacy of individuals with respect to personal information about themselves held by gov ernment.
Reading both sections together, it is clear that the rule is to provide information to the public and the exception is personal information.
It appears clear to me that the object of the two acts, read together, is that information shall be provided to the public, except personal information relating to individuals.
With the above in mind, information must clearly fit within and not be exempted by the relevant paragraphs of section 3 of the Privacy Act or subsec tion 19(2) of the Act before it can be withheld. In
2 20. (1) Subject to this section, the head of a government institution shall refuse to disclose any record requested under this Act that contains
(b) financial, commercial, scientific or technical informa tion that is confidential information supplied to a government institution by a third party, and is treated con sistently in a confidential manner by the third party. [Emphasis added.]
fact, subsection 19(1) provides that in such circum stances, it "shall" be withheld. The Act does not pro vide for a discretion to release information on the basis of how long ago it was obtained. It does not say that a document ought to be revealed after 30 years or if the applicant has a good reason for requesting the information. The fact that Yardley has been dead now for 35 years and the circumstances of his dismissal almost 50 years ago are simply not relevant to the question of whether personal information concerning individuals other than Yardley should be disclosed unless that individual has been dead for more than twenty years or has consented to the release of the information. I recognize the difficulty that may be presented in attempting to ascertain whether these exceptions apply. However, in my opinion, it would not be sufficient for the head of a government institu tion to simply state that they are unaware or that they do not know if the exceptions apply. Rather, they should be in a position to state what activities and initiatives were undertaken in this regard.
Section 15 Exemption
The applicant's argument that the section 15 exemptions should have been more specific has no merit. In Canada (Information Commissioner) v. Canada (Minister of National Defence), [1990] 3 F.C. 22 (T.D.), Madam Justice Reed considered the content of the notice which must he given when a refusal to grant access to documents is issued. She
found that although subsection 10(1) requires the Minister to state the specific provisions of the Act on which his refusal was based, he is not required to state the specific category of documents listed in the paragraphs. She observed [at pages 29 - 30]:
The test is one of injury, or probable injury. The descriptive paragraphs which follow are illustrative only. They are a non- exhaustive description of the kinds of documents the disclosure of which might be found to be injurious to the specific interests listed.
In my view, what is required, in the context of section 15, is that the requester be given notice as to whether the reason for refusal is because a disclosure would be (1) injurious to the
conduct of international affairs, or (2) injurious to the defence of Canada or any state allied or associated with Canada, or (3) injurious to the detection, prevention or suppression of subver sive or hostile activities.
The respondents rely on the decision of the United States Supreme Court in Central Intelligence Agency v. Sims, 471 U.S. 159 (1985); 85 L Ed 2d 173; 105 S Ct. 1881, to suggest that the Court here should defer to the expertise of the deponents of the secret affida vits. In that case, the Central Intelligence Agency (the "CIA") withheld the names of MKULTRA research ers on the basis of §102(d)(3) of the National Secur ity Act of 1947, 61 Stat. 498, 50 USC §403(d)(3) [50 USCS §403(d)(3) (1982)] which provides that "the Director of Central Intelligence shall be responsible for protecting intelligence sources and methods from unauthorized disclosure." The Supreme Court reversed the lower courts' decision that the informa tion was subject to disclosure if the Agency did not offer sufficient proof that it needed to cloak its efforts in confidentiality in order to obtain the type of infor mation provided by the researcher. Chief Justice Bur ger, delivering the majority concurring opinion, stated [at page 187 L Ed 2d]:
The Court of Appeals underestimated the importance of pro viding intelligence sources with an assurance of confidentiality that is as absolute as possible. Under the court's approach, the Agency would be forced to disclose a source whenever a court determines, after the fact, that the Agency could have obtained the kind of information supplied without promising confidenti ality. This forced disclosure of the identities of its intelligence sources could well have a devastating impact on the Agency's ability to carry out its mission.
He considered the history of the legislation at issue and found that Congress had clearly intended to give the Director of the CIA broad power to protect the secrecy and integrity of the intelligence process. He also commented on the nature of the intelligence pro cess and the factors that must be considered in deter mining whether it is reasonable to disclose the infor mation [at page 184 L 2d]:
The reasons are too obvious to call for enlarged discussion; without such protections the Agency would be virtually impo tent.
Witnesses with broad experience in the intelligence field testi fied before Congress concerning the practical realities of intel ligence work. Fleet Admiral Nimitz, for example, explained that "intelligence is a composite of authenticated and evaluated information covering not only the armed forces establishment of a possible enemy, but also his industrial capacity, racial traits, religious beliefs, and other related aspects."
[at pages 187-188] We seriously doubt whether a potential intelligence source will rest assured knowing that judges, who have little or no background in the delicate business of intelli gence gathering, will order his identity revealed only after examining the facts of the case to determine whether the Agency actually needed to promise confidentiality in order to obtain the information.... Moreover, a court's decision whether an intelligence source will be harmed if his identity is revealed will often require complex political, historical, and psychological judgments.... There is no reason for a poten tial intelligence source, whose welfare and safety may be at stake, to have great confidence in the ability of judges to make those judgments correctly.
[At pages 189-191] Here the Director concluded that disclo sure of the institutional affiliations of the MKULTRA research ers could lead to identifying the researchers themselves and thus the disclosure posed an unacceptable risk of revealing protected "intelligence sources." The decisions of the Director, who must of course be familiar with "the whole picture," as judges are not, are worthy of great deference given the magni tude of the national security interests and potential risks at stake. It is conceivable that the mere explanation of why infor mation must be withheld can convey valuable information to a foreign intelligence agency.
The national interest sometimes makes it advisable, or even imperative, to disclose information that may lead to the iden tity of intelligence sources. And it is the responsibility of the Director of Central Intelligence, not that of the judiciary, to weigh the variety of complex and subtle factors in determining whether disclosure of information may lead to an unacceptable risk of compromising the Agency's intelligence-gathering pro cess.
Although not binding upon this Court, the decision in Sims is useful to illustrate the legitimate concerns raised by the respondents in the area of injury to international affairs. However, unlike the legislation in Sims, the statute here does not give the head of the government institution absolute discretion to with hold information although I do note that the United States Supreme Court ultimately embarked upon a
consideration of whether the Director had "reasona- bly concluded" that the information should be with held, albeit with deference to his opinion.
The question of injury has also been considered in Canada in the context of another statute. In Goguen v. Gibson, [ 1983] 1 F.C. 872, Thurlow C.J. considered an objection under subsection 36.1(1) [now section 37] of the Canada Evidence Act, R.S.C. 1970, c. E 10, as am. by S.C. 1980-81-82-83, c. 111, s. 4, to the disclosure of information on grounds of injury to national security and international relations. Section 36.1 provided:
36.1 (1) A Minister or the Crown in right of Canada or other person interested may object to the disclosure of information before a court, person or body with jurisdiction to compel the production of information by certifying orally or in writing to the court, person or body that the information should not be disclosed on the grounds of a specified public interest.
(2) Subject to sections 36.2 and 36.3, where an objection to the disclosure of information is made under subsection (1) before a superior court, that court may examine or hear the information and order its disclosure, subject to such restric tions or conditions as it deems appropriate, if it concludes that, in the circumstances of the case, the public interest in disclo sure outweighs in importance the specified public interest.
Thurlow C.J. specifically addressed the "Importance of Public Interest in National Security and Interna tional Relations", and factors such as the age of information, from whom it was obtained and in what circumstances. He commented (at page 905):
In national security matters and international relations, secrecy is essential. The price in time and effort put forth to assemble and sift information is high. The process is continu ous. It is carried out in the interests of public safety. What is purchased by the efforts expended is easily injured or lost by publication of information that should be kept secret.
Further, though the information to which this application applies is all at least ten years old, I do not think that its disclo sure can on that account be regarded as any the less likely to cause injury. As was pointed out in at least one of the cases referred to, secrets relating to national security may require to be preserved indefinitely. See Attorney-General v. Jonathan
Cape Ltd. and Others, [[1976] 1 Q.B. 752 at p. 770]. 1 should think that the same would apply to secrets relating to interna tional relations. The view expressed by Gibbs A.C.J. in Sankey v. Whitlam [(1978), 21 A.L.R. 505 (H.C.), at p. 528], is to that effect. In neither instance is a period of ten to twenty years of much significance in reducing the likelihood of injury result ing from disclosure.
Finally, I regard it as a circumstance to be taken into account that Canada is not presently at war. If a state of war existed I doubt that anyone would argue that the importance of the public interest in national security was not greater than the importance of the public interest in the administration of jus tice for in a war situation the lives of all citizens may be in jeopardy. That the country is not at war militates somewhat in favour of the applicants but, in the present day state of interna tional affair, political terrorism and subversion, not much. Eter nal vigilance is as necessary as it always has been to maintain the security of the nation. [Emphasis added.]
The reasoning of Thurlow C.J. was affirmed on appeal, [1983] 2 F.C. 463 (C.A.), and Marceau J.A., further added [at page 480]:
... I think with the learned Chief Justice that in assessing the validity and seriousness of the claim for public-interest immu nity, "the circumstance of who it is that asserts the objection and what his interest in and knowledge of the need for main taining immunity from disclosure may have its bearing" (at page 880). I will even add that, in my view, in matters of national security, that circumstance may even be the most forceful one, because of the expertise required to properly assess the situation—an expertise a judge normally does not have. [Emphasis added.]
My task here is to review the material, submissions and evidence to determine whether the decision to withhold under section 15 was reasonable. While the expert opinions are useful, I am ultimately required to form my own opinion to determine whether the explanations provided for refusing to disclose are reasonable. Furthermore, I am not mandated, as was the Court in Goguen, to further consider and balance the public interest in disclosure. The Act specifically gives the Court discretion to disclose information if the head of the government institution was not authorized to grant an exemption or, in other words, he did not have reasonable grounds upon which to refuse disclosure under section 15. This contemplates a substantive review.
CONCLUSION
After a thorough review of the 243 documents which were completely exempted, the 132 pages or records where information was severed, and several other documents among those revealed to the appli cant, I am satisfied that, other than as outlined below, the respondents' decision to withhold or sever the records should not be disturbed. Where section 13 has been invoked, the head has been authorized to refuse to disclose the information. The evidence before me indicates that appropriate consultations had indeed been made with the foreign states or insti tutions, that the information was received in confi dence, and that the foreign states or institutions have not consented to the disclosure of the information.
Likewise, where section 19 has been invoked, I am satisfied that the documents contained personal infor mation within the relevant paragraphs of section 3 of the Privacy Act, and that the exceptions listed in sub section 19(2) do not apply. Finally, where section 15 has been invoked, I am satisfied on the basis of the secret supplementary affidavits filed on behalf of the respondents, that the head of the government institu tion had reasonable grounds to refuse to disclose the records or parts thereof as the disclosure could rea sonably be expected to be injurious to the conduct of international affairs.
To respond to the remaining arguments raised by the applicant, there is simply insufficient evidence to conclude that preferential access has been granted to other historians. In any event, I find no basis upon which the head of the government institution could accord such treatment to other historians, other than the exemption provisions set out in the statute.
As indicated previously, the respondents have pro vided one or more exemption provisions with respect to each record or severed portion thereof and have, through secret affidavits, attempted to explain and justify the rationale behind each exemption. I have considered each record, together with the explanation provided and have, based on the information before
me, determined that the decision to withhold was properly made in all but one circumstance. Where I had doubt, I sought additional clarification from counsel for the respondents and I am satisfied that, but for records numbered 0616 and 0617, this appli cation for review must be dismissed.
On these documents, information concerning the names, position titles and date of hiring of individu als hired post-1942 was severed. The respondents have exempted this information on the basis of sec tion 15 but have indicated that it was severed because the information, which is post-1942, was not relevant to the applicant's request for information about the Examination Unit during the "Yardley period", 1941- 42. The fact that information is not directly related to an access request is not a basis for exemption under the Act and, in the light of the considerations outlined above with respect to a section 15 exemption, I am not satisfied that the respondents had reasonable grounds to refuse to disclose the names, position titles and date of hiring of individuals hired post 1942 although I do recognize that the other severed portions of these records were appropriately exempted under section 15.
Accordingly, the application is allowed in part without costs to either party.
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