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COURT OF APPEAL FOR ONTARIO
CITATION:
R. v. Barrett, 2022 ONCA 143
DATE: 20220216
DOCKET: C69516
Miller, Trotter and Zarnett
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Bismark Barrett
Appellant
Bismark Barrett, acting in person
Andrew Furgiuele, appearing as duty
counsel
David Morlog, for the respondent
Heard: February 8, 2022 by
video conference
On appeal from the sentence imposed on October
29, 2020 by Justice Joseph A. De Filippis of the Ontario Court of Justice.
REASONS FOR DECISION
[1]
The appellant pleaded guilty to possession of
cocaine for the purpose of trafficking and was ultimately sentenced to incarceration
for a period of 30 months.
[2]
After the sentencing judge prepared his initial
reasons for sentence, he agreed to receive supplementary submissions from the
defence. On the supplementary submissions, the defence revised its initial
position and sought a conditional sentence. The basis for seeking a conditional
sentence was (1) this courts judgment in
R. v. Sharma
, 2020 ONCA 48, (leave
to appeal to the SCC granted 2021-01-14), which greatly expanded the courts
ability to impose conditional sentences, and (2) worsening developments in the
Covid-19 pandemic, which the defence argued weighed heavily in favour of a
conditional sentence. The trial Crown argued that the risk of contracting
Covid-19 while incarcerated was not any higher than the risk of infection the
appellant faced by residing in Toronto, and in any event that a conditional
sentence was not appropriate.
[3]
The sentencing judge received the submissions
and issued his reasons for sentence. He provided his original reasons, prepared
prior to hearing the supplementary submissions, with the supplementary reasons
appended. The original reasons provided for a custodial sentence of 30 months. The
supplementary reasons explained that he was not persuaded by the supplementary
submissions to depart from the original sentence.
[4]
On appeal, Mr. Furgiuele (acting as duty
counsel), advanced the argument that although the sentencing judge did not
accept the trial Crowns questionable submissions on relative rates of risk, the
sentencing judge nevertheless took an unduly narrow view of the impact of Covid
on inmates. The sentencing judges focus, Mr. Furgiuele argued, ought not to
have been restricted to the risk of infection faced by the appellant, and should
have also included the negative impact of the measures that penal institutions
were imposing to reduce the risk of Covid spread particularly the widespread
use of lockdowns and suspension of programs.
[5]
Despite Mr.
Furgiuele
s able submissions, we do
not agree that the sentencing judge made any errors. The sentencing judge
considered the submissions about the appellants risk from Covid-19 in the
institutional setting and determined, that at that point in the pandemic, it
did not justify a reduction in sentence below what he originally contemplated. It
was within the discretion of the sentencing judge whether to reduce the
appellants sentence to compensate for the deprivations that could be expected
to result from the institutions response to Covid-19. He chose not to do so.
This was a discretionary decision, and we are not persuaded that there is any
basis to interfere with it.
DISPOSITION
[6]
The appeal is dismissed.
B.W.
Miller J.A.
Gary
Trotter J.A.
B.
Zarnett J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Fanshawe College of Applied Arts and Technology v.
Hitachi, Ltd., 2022 ONCA 144
DATE: 20220216
DOCKET:
M52987 (C70009)
Lauwers, Huscroft and Coroza
JJ.A.
BETWEEN
The Fanshawe College of Applied Arts and Technology
Plaintiff
(Respondent/Moving
Party)
and
Hitachi,
Ltd., Hitachi Asia, Ltd., Hitachi America, Ltd., Hitachi Displays
Ltd,
Hitachi Electronic Devices (USA), Shenzhen SEG Hitachi Color Display
Devices,
Ltd., Hitachi Canada, Ltd., Irico Group Corporation, Irico Group
Electronics
Co, Ltd., Irico Display Devices Co., Ltd., LG Electronics, Inc.,
LG Electronics
Taiwan Taipei Co. Ltd., LG Electronics USA, Inc., LG Electronics
Canada,
Panasonic Corporation F/K/A Matsushita Electric Industrial Co. Ltd.,
Panasonic
Corporation of North America, Panasonic Canada Inc.,
Koninklijke
Philips Electronics N.V., Philips Electronics Industries (Taiwan)
Ltd.,
Philips Da Amazonia Industria Electronica LTDA, Philips Electronics
North
America Corporation, Philips Electronics Ltd., Samsung Electronics
Co.
Ltd., Samsung Electronics America Inc., Samsung Electronics Canada Inc.,
Samsung
SDI Co., Ltd. (F/K/A Samsung Display Device Co.), Samsung SDI Brasil LTDA,
Samsung SDI America, Inc., Samsung SDI Mexico S.A. De C.V., Shenzhen Samsung
SDI Co. Ltd., Tianjin Samsung SDI Co., Ltd., Toshiba Corporation, Toshiba
America Electronic Components Inc., Toshiba America Information Systems Inc.,
Toshiba of Canada Limited, Beijing Matsushita Color CRT Company, Ltd., Samtel
Color, Ltd and MT Picture Display Co., Ltd
Defendants
Bridget Moran, Linda Visser and
Katherine Shapiro, for the moving party
Brett Harrison, Paola Ramirez and
Anthony Labib, for the responding party Class Action Capital Recovery LLC
Heard: January 25, 2022
by video conference
Lauwers J.A.:
I.
OVERVIEW
[1]
This is a motion to quash in the context of a class
action for price-fixing related to the sale of cathode ray tube (CRT) products
by various electronics manufacturers. The action is currently in the settlement
administration phase. A court-approved Distribution Protocol is in place, which
sets out a claims process for distributing settlement funds to class members.
The Protocol provides claimants with a right of appeal against the decisions of
the Claims Administrator to the Superior Court or its designate. However, the
Protocol purports to prevent any further appeals.
[2]
Class Action Capital Recovery LLC (CAC) acted
as a third-party filer for some claimants, but it is not itself a party to the
class action. CAC seeks to appeal a decision of the motion judge relating to the
claim reconsideration process.
[3]
Class Counsel move to quash the appeal on
several bases, focusing on the grounds that the limit on further appeals in the
Protocol binds this court to quash the appeal under s. 134(3) of the
Courts
of Justice Act
, R.S.O. 1990, c. C.43, and that CAC does not have standing
to bring an appeal.
[4]
I would dismiss the motion to quash. This court
has jurisdiction to hear the appeal from the motion judges order. CAC has
standing to appeal, and its appeal is not time-barred.
II.
The Background
[5]
After a succession of litigation battles, the
claims were settled and the settlements were approved by the Superior Court of
Justice under s. 27.1 of the
Class Proceedings Act,
1992
,
S.O. 1992, c. 6. RicePoint Administration Inc. was appointed as the Claims Administrator.
[6]
On April 20, 2018, the motion judge approved the
Distribution Protocol and Notice of Claims Process for the settlement funds. As
he described in his endorsement of January 6, 2021, the Protocol requires
claimants to submit Claims Forms detailing their CRT product purchases. They
were permitted to use a third-party filer for this purpose. A claimant was not
required to provide supporting documentation for a claim unless selected by the
Claims Administrator for audit.
[7]
The Claims Administrator was required, under
para. 43 of the Protocol, to identify deficiencies in a claim and give the
claimant a chance to address them. The Claims Administrator could then deny all
or part of the claim. The Protocol gave claimants, under paras. 48-55, a
limited right of appeal to the Superior Court or its designate for claims over
$100,000. Paragraph 55 of the Protocol provides that the decision on appeal is
final and binding and shall not be subject to any further appeal or review
whatsoever.
[8]
CAC filed claims on behalf of many large,
institutional claimants. The Claims Administrator decided to select all claims
filed by third parties for audit. Because of the time that had elapsed since
the claimants purchases of the CRT products, the operation of the
institutional claimants document retention policies meant that many were
unable to produce documentary proof of purchase. The Claims Administrator
denied the claims, using the same generic notice for each claimant whose claim
was rejected in its entirety: We are rejecting your claim because you failed
to provide adequate proof of purchase.
[9]
CAC and the other third-party filers whose
claims were denied on that basis appealed under the Protocol by way of a motion
for directions to the Superior Court. Acting in his capacity to hear appeals
under the Protocol, the motion judge allowed the appeals in part on January 6,
2021. He held that the Claims Administrator had interpreted documentary proof
too narrowly and had not given sufficient reasons for denying the claims. He
remitted to the Claims Administrator every claim in which a declaration
attesting to the purchase of CRT products and supporting documentation were
submitted, provided that these documents were submitted on time or that the
filers should have been given additional time to submit such documentation. The
other appeals were dismissed.
[10]
CAC and the Claims Administrator then argued about
the process to be followed for assessing the remitted claims. The Claims
Administrator took the position that it was only required to reconsider the
claims on the basis of the documentation in accordance with the motion judges
directions, and then send out revised decision notices. However, CAC maintained
that the January 6th order required the Claims Administrator to restart the
deficiency process as set out at para. 43 of the Protocol, that is, by
identifying deficiencies in the submitted materials and then giving the
claimants a chance to correct the deficiencies.
[11]
Both the Claims Administrator and CAC wrote to the
motion judge seeking guidance. The trial coordinator responded by email on May
11, 2021 stating:
Justice Grace believes his January 6, 2021
reasons are clear. Paragraph 75 provides that the allowed appeals are remitted for
reconsideration and decision in accordance with paras. 45 through 47 of the
Distribution Protocol
Para. 75 does not refer to para. 43. That should
resolve the dispute concerning deficiency notices.
[12]
On June 25, 2021, the Claims Administrator sent
reconsideration notices for 115 of the claims submitted by CAC that had
previously been denied in full. Of these, 55 claims were partially approved and
60 were rejected. CAC brought another motion for directions on the basis that the
Claims Administrator had failed to follow the deficiency process ordered by the
motion judge.
[13]
On September 21, 2021, the motion judge provided
a brief endorsement declining to revisit the issue. He found that there was no
evidence that the Claims Administrator had not acted in accordance with his January
6th instructions, which spoke for themselves.
[14]
CAC filed its notice of appeal to this court on
October 21, 2021. Class Counsel now seeks to quash CACs appeal.
III.
the Issues:
[15]
The issues raised on this motion to quash are:
1.
Does this court have jurisdiction to hear the
appeal?
2.
Does CAC have standing?
3.
Is the appeal out of time?
4.
Is the appeal a collateral attack on the January
6, 2021 order?
I address each issue in turn.
IV.
Analysis
(1)
Does this court have jurisdiction to hear the
appeal?
[16]
When he took up his responsibility under the
Protocol, the motion judge did not cease acting in his capacity as a Superior
Court judge. This is the plain ratio of this courts decision in
Fontaine
v. Duboff Edwards Haight & Schachter
, 2012 ONCA 471, 111
O.R. (3d) 461, which involved an appeal from a decision of Winkler
C.J.O. sitting in his capacity as an administrative judge under the
Court
Administration Protocol for the Indian Residential Schools Settlement
Agreement.
This court dismissed the respondents motion to quash the appeal because
the Settlement Agreement was incorporated into a series of court orders, and
the orders implementing the Settlement Agreement stated that the courts would
supervise its implementation. The administrative judges directions finally
determined the issue in question (i.e., whether legal fee review decisions of
the Chief Adjudicator were subject to any further appeal or review). His
directions were incorporated as a final order of a judge of the Superior Court
of Justice. Therefore, his decision was appealable to the Court of Appeal under
s. 6(1)(b) of the
Courts of Justice Act
.
[17]
The legislature knows how to oust or modify this courts
jurisdiction in cognate areas. I point to two examples. The first is the
Arbitration Act
,
1991
, S.O.
1991, c. 17, which permits rights of appeal to the courts to be limited by an
arbitration agreement under s. 45. The second is
the
International
Commercial Arbitration Act
,
2017
, S.O. 2017, c. 2, Sch. 5, s. 11
(ICAA) and arts. 16 and 34 of the
UNCITRAL Model Law on
International Commercial Arbitration
, adopted by the United Nations
Commission on International Trade Law on June 21, 1985, as amended on July 7,
2006, which has the force of law in Ontario under s. 5 of the ICAA, subject to
any modifications set out in the Act.
This courts usual jurisdiction to
hear appeals from orders of Superior Court judges can only be displaced by
virtue of an agreement if doing so is permitted by statute.
[18]
There is no language in the
Class
Proceedings Act
or in any other Ontario statute ousting this courts
jurisdiction. Paragraph 55 of the Protocol is not sufficient, on its own, to
oust the appellate jurisdiction this court would otherwise have under the
Courts
of Justice Act
. This fact might counsel caution in the future design of
class action distribution protocols.
[19]
The consequence is that the appeal rights under s.
6(1) of the
Courts of Justice Act
presumptively apply. Section 6(1)
provides:
An appeal lies to the Court of
Appeal from,
(b) a final order of a judge of the
Superior Court of Justice, except,
(i) an order referred to in
clause 19(1)(a) or (a.1), or
(ii) an order from which an
appeal lies to the Divisional Court under another Act;
[20]
Does s. 6(1) direct the appeal under the Protocol
to this court or, under s. 6(1)(b)(ii), to the Divisional Court by reason
of s. 30 of the
Class Proceedings Act
? The Protocol is a settlement
and is not a decision on the merits to which s. 24 (aggregate damages) or s.
25 (individual issues) would apply to lead to an appeal governed by s. 30. Section
30 is silent on the appellate route from an order made on a motion for
directions brought under the terms of a court-approved settlement agreement:
Parsons
v. Ontario
, 2015 ONCA 158, 125 O.R. (3d) 168, at para. 39, revd on other
grounds, 2016 SCC 42, [2016] 2 S.C.R. 162. This court has held that [w]here s.
30 does not specifically address the appeal route for a particular type of
order or judgment, s. 6(1)(b) of the
Courts of Justice Act
will govern
whether an appeal lies to this court or to Divisional Court:
Bancroft-Snell
v. Visa Canada Corporation
, 2019 ONCA 822, 148 O.R. (3d) 139, at para. 16,
leave to appeal refused, [2019] S.C.C.A. No. 500 (
Wal-Mart Canada Corp.
)
and [2019] S.C.C.A. No. 501 (
Home Depot of Canada Inc.
).
Because s. 30 does not specifically address the appeal route for
this type of order, appeals to this court are governed by s. 6(1) of the
Courts
of Justice Act
. Under s. 6(1)(b), CACs appeal lies to this court.
(2)
Does CAC have standing?
[21]
Class Counsel argue that because CAC is not a
party, this courts decisions in
Dabbs v. Sun Life Assurance Co. of Canada
(1998), 41 O.R. (3d) 97 (C.A.), leave to appeal refused, [1998] S.C.C.A. No.
372 and
Bancroft-Snell
deprive it of standing. In
Bancroft-Snell
,
this court affirmed
Dabbs
and held that class members appeal rights
under the
Class Proceedings Act
are not supplemented by the general
appeal rights under s. 6(1)(b) of the
Courts of Justice Act
.
[22]
In response, CAC submits that
Bancroft-Snell
is distinguishable. It argues that, unlike the situation in
Bancroft-Snell
,
it is not seeking to appeal an order approving a settlement agreement, but is
instead seeking to uphold the deficiency process in the Protocol. CAC notes
that class members did not object to the Protocol because it contained the
deficiency process. In addition, CAC emphasizes that class members have a
direct interest in the subject matter of the proceeding, and that the technical
distinction in the
Class Proceedings Act
between class members and
parties should not be used to part way with the rights of class members.
[23]
It is too late for Class Counsel to credibly
dispute CACs standing to advance the interests of its claimant clients, because
CAC represented them without objection before the motion judge. CAC must be
understood as having the status of an agent for its clients in this phase of
the class proceeding. A more formalistic approach would only undermine the
goals of class proceedings by, for example, requiring each claimant
inefficiently and expensively to advance its own appeal.
(3)
Is the appeal out of time?
[24]
Rule 61.04 of the
Rules of Civil Procedure
,
R.R.O. 1990, Reg. 194 requires an appellant to serve a notice of appeal within
30 days of the order appealed from and then to file it within an additional 10
days. However,
under r. 3.02,
t
he court can extend the time for serving and filing a notice of
appeal.
On a motion for an extension of time, the
overarching question is whether the justice of the case requires that an
extension be given. Relevant considerations include: (a) whether the moving
party formed a
bona fide
intention to appeal within the relevant time
period; (b) the length of, and explanation for, the delay; (c) any prejudice to
the responding parties; and (d) the merits of the proposed appeal:
Enbridge
Gas Distribution Inc. v. Froese
, 2013 ONCA 131, 114 O.R. (3d) 636, at
para. 15.
[25]
When does the appeal period start to run? In
Fontaine
v. Canada (Attorney General)
, 2012 ONCA 206, 289 O.A.C. 190, Watt J.A.
stated, at para. 57: As a general rule, the time period within which a notice
of appeal is to be delivered begins to run on the date the order under appeal
is pronounced by oral or written reasons. He added a caveat that where clarification
is required because the judgment is uncertain on an issue, the time runs from
entry, not pronouncement: at para. 59, citing
Byers (Litigation Guardian
of) v. Pentex Print Master Industries Inc.
(2003), 62 O.R. (3d) 647 (C.A.).
[26]
An appeal lies from a judgment or order, not
from the reasons for it:
Ross v. Canada Trust Company
, 2021
ONCA 161, 458 D.L.R. (4th) 39, at para. 53. But where the precise import
of the reasons is not clear until the judgment is settled, it is reasonable to
treat that date as the date from which the appeal period begins to run.
Further, in determining whether to quash an appeal on the basis that it is out
of time, a panel can consider the factors that inform a decision to extend time:
see
Gefen v. Gaertner
, 2021 ONCA 631, at para. 11.
[27]
In considering the application of these
principles, I observe that no formal order was ever entered from the January 6,
2021 decision. Perhaps that is because the parties could not agree on the
terms. The letters that the parties sent to the motion judge seeking to clarify
the meaning of the January 6th decision demonstrate their persistent
disagreement that was only resolved on September 21, 2021, when the
motion judges subsequent endorsement was released.
[28]
As noted above, after the Claims Administrator
adjusted the claims, CAC appealed again on the basis that the Claims
Administrator had failed to follow the deficiency process ordered by the motion
judge. That motion was heard on September 21, 2021. The motion judge determined
that his previous instructions in the January 6th reasons had been clear and
that the Claims Administrator had complied with them.
[29]
At one level, the determination of when time began
to run for appeal purposes depends on whether it was clear from para. 75 of the
January 6th reasons that the full deficiency process was not to be followed for
the remitted claims. That paragraph states: The allowed appeals are remitted
to RicePoint for reconsideration and decision in accordance with paras. 45
through 47 of the Distribution Protocol and these reasons. As noted above, the
clarifying email sent by the trial coordinator on behalf of the motion judge stated:
Para. 75 does not refer to para. 43. That should resolve the dispute
concerning deficiency notices.
[30]
Paragraph 43 of the Protocol, to which the motion
judge did not refer in his January 6th reasons, provides:
If the Claims Administrator finds that
deficiencies exist in a Claim Form or other required information, the Claims
Administrator shall notify the Settlement Class Member, by email or regular mail,
of the deficiencies. The Claims Administrator shall allow the Settlement Class
Member thirty (30) days from the date of such notice to correct the
deficiencies. If the deficiencies are not corrected within the thirty (30) day
period, the Claims Administrator may reject the Claim Form. The Online Claim
Portal shall be designed so as to minimize the possibility of deficient Claim
Forms.
[31]
The appeal will be argued so I am reluctant to
weigh in, but I am not surprised that CAC viewed the appeal judges trenchant
criticism of the Class Administrators process in the January 6th reasons at
paras. 55-57 and 68-75 as implying that the Claims Administrator would conduct
a broader reconsideration of the claims than the appeal judge stipulated in the
final endorsement.
[32]
Given the continued dispute about the meaning of
the January 6th decision, I view the date on which the judgment exhibited
sufficient certainty for appeal purposes as September 21, 2021, when the motion
judges subsequent endorsement was released. As a result, the appeal was
commenced in time.
[33]
Even if I am mistaken, the court has the
discretion to extend time based on the
Enbridge
factors. CAC was
obviously forceful in arguing its position throughout. The delay is fully explained.
There is no prejudice beyond a delay in disbursing the settlement funds. The
appeal is not frivolous and the justice of the case warrants it being argued.
(4)
Is the appeal a collateral attack on the January
6, 2021 order?
[34]
I agree with CAC that a collateral attack argument
is a defence,
not a reason to quash an appeal for want
of jurisdiction
:
Gratton-Masuy Environmental Technologies Inc. v.
Ontario
, 2010 ONCA 501, 101 O.R. (3d) 321, at para. 74, leave to appeal requested
but appeal discontinued, [2010] S.C.C.A. No. 397. This issue must be left to
the panel hearing the appeal.
V.
Disposition
[35]
I would dismiss the motion to quash with costs
payable to CAC. If the parties are unable to agree on costs, then CAC may file
a written submission no more than three pages in length within ten days of the
date of the release of these reasons; Class Counsel may file a written
submission no more than three pages in length within ten days of the date CACs
submission is due.
[36]
Class Counsel advised that this appeal is
preventing the disbursement of settlement funds because any remaining funds
will be distributed
pro rata
, so all entitlements must be finalized
before the distribution can occur. Accepting this submission, I would direct that
the appeal be heard on an expedited basis.
Released: February 16, 2022 P.L.
P.
Lauwers J.A.
I
agree. Grant Huscroft J.A.
I
agree. S. Coroza J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
White v. Upper Thames River Conservation Authority, 2022 ONCA
146
DATE: 20220216
DOCKET: C69475
Lauwers, Huscroft and Coroza
JJ.A.
BETWEEN
John White, Sarah White, Garth
Williams, Paul Stubbens, Elaine Stubbens, Linda Adams, Steve Ward, Kevin Prust,
Theresa Prust, James Osmar, Carol Tracy, Barry Nash, Judy Nash, Brent
Poley, Thane Ulrich, Brian Hanlon, Nancy Hanlon, John Conlon, Joan Conlon, Doug
Mellor, Norma Mellor, Susan Dawtrey, Claude Guitard, Jamie Mackay, Cindi
Davis, Rick Brydon, Roy Bissonnette, Dennis Froese, Dave Farnham, Mike Landry,
Pat Warren, George Clemens, Marilyn Greer, Patrick Kelly, Barb Kelly, Lynn Daly,
Frank Vandiepenbeek, Frank Sinasac, Gerald Trainor, David Bobier and
Leslie Putnam
Applicants
(Appellants)
and
Upper Thames River Conservation
Authority
Respondent
Vedran Simkic and Matthew Helfand, for
the appellants
Ian Wright, for the respondent
Eli Fellman and Katia Snukal, for the intervener
Landlord and Tenant Board
Karen Andrews, for the intervener
Advocacy Centre for Tenants Ontario
Heard: January 28, 2022 by video conference
On appeal from the order of the
Divisional Court (Justices Harriet E. Sachs, Brian W. Abrams and Michelle OBonsawin),
dated December 16, 2020, with reasons reported at 2020 ONSC 7822, 154 O.R. (3d)
133, allowing an appeal from the order of the Landlord and Tenant Board, dated
June 5, 2018.
Huscroft
J.A.:
OVERVIEW
[1]
The appellant tenants own homes that sit on land
leased from the respondent. The homes are the primary residences of many,
though not all of them.
[2]
The appellants have long-term leases with the
respondent, first entered in 1983. The leases limit occupancy to weekends
during the three-month winter period. In other words, for three months out of
the year, the appellants are not permitted to reside in their homes Monday
through Friday. The leases were amended in 2004 to permit tenants to choose the
winter dates when their occupancy limitation runs, but the substance of the
limitation remains: the appellants are not permitted to occupy their homes
year-round. Occupancy outside the permitted period is expressly stated to be a
violation of the terms of this lease and will result in delivery of Notice of
Lease Termination.
[3]
Despite the clear terms of the lease, the respondent
has never strictly enforced the occupancy limitation and as a result, many
tenants live in their homes year-round.
The parties were in the midst of
renegotiating their leases and the enforceability of the occupancy limitation
became the subject of a dispute. The appellants applied to the Landlord and
Tenant Board (the Board) for an order that the
Residential
Tenancies Act
, 2006
, S.O. 2006, c. 17 applies to their
tenancies, and an order requiring the respondent to allow them unfettered
access to and occupation of their homes, year-round.
[4]
The Board held that the Act applies to the parties lease and it
followed that the tenants ought to have unrestricted access to the rental
units. The Board added that restricting tenants access would amount to
substantial interference with their reasonable enjoyment of their rental units,
in violation of s. 22 of the
Act
. The Divisional Court
allowed the respondents appeal, holding that s. 22 does not render illegal
provisions landlords and tenants have agreed upon.
[5]
The application of the Act to the parties lease is no longer contested.
The sole issue on appeal is the legality of the occupancy limitation in the
lease.
[6]
In my view, the occupancy limitation is inconsistent with the Act and as
a result is void. I would allow the appeal for the reasons that follow.
BACKGROUND
The standard of review
[7]
This is an appeal from the decision of the Board
on a question of law pursuant to s. 210(1) of the Act. As such, the presumption
of reasonableness review is rebutted and the standard of review is correctness:
Canada (Minister of Citizenship and Immigration) v. Vavilov
, 2019 SCC
65, 441 D.L.R. (4th) 1, at para. 37. It follows that neither the decision
of the Board nor the decision of the Divisional Court is entitled to deference.
Whereas reasonableness review focuses on the decision made and the reasons
proffered for that decision, under correctness review this court must make the
decision for itself.
The
Residential Tenancies Act
[8]
The purpose of the Act, as set out in s. 1, is to
"provide protection for residential tenants from unlawful rent
increases and unlawful evictions, to establish a framework for the regulation
of residential rents, to balance the rights and responsibilities of residential
landlords and tenants and to provide for the adjudication of disputes and for
other processes to informally resolve disputes."
[9]
The Act governs more than the rental of
apartments in apartment buildings. It also governs situations in which tenants
own the homes in which they live but rent the land on which those homes sit
the situation in this case. The Act defines a land lease home as a dwelling
that is
a permanent structure where
the owner of the dwelling leases the land used or intended for use as the site
for the dwelling. The general terms of the Act apply to land lease homes along
with a number of specific provisions that cover land lease homes and
communities, none of which are germane to this appeal.
[10]
The Act is remedial legislation designed to redress the imbalance of
power between landlords and tenants. It removes leases from the ordinary
contract law principles that would otherwise govern and establishes extensive
statutory rights for tenants. The Act enjoys primacy over all other
legislation, save the
Ontario Human Rights Code
, and the parties
are prohibited from waiving or limiting the protection the Act provides.
The
key legislative provisions in this regard are ss. 3 and 4:
3
(1)
This Act, except Part V.1, applies with respect
to rental units in residential complexes, despite any other Act and despite any
agreement or waiver to the contrary.
(4) If a
provision of this Act conflicts with a provision of another Act, other than the
Human Rights Code
, the provision of this Act applies.
4
(1) Subject to
subsection
12.1(11) and section 194,
a provision in a tenancy agreement that is
inconsistent with this Act or the regulations is void.
The impugned lease provisions
[11]
The
occupancy limitation is set out in para. 3 of the lease, which provides:
The lease and license permits the Tenant,
the Tenant's family and guests to occupy the dwelling house and other
improvements constructed on the lot only at the following times:
(a)
From the first day of March to the 30th day of
November in each and every year during the term hereof;
(b)
During the months of January, February and
December, occupancy shall be weekends only commencing on Friday at 1:00 p.m.
and concluding on Sunday at 9:00 p.m. Where Friday or Monday is a public holiday,
such shall be included in the weekend with the times so enlarged.
Occupancy of the dwelling house other than
at the times as herein provided, shall be a violation of the terms of this
lease and licence and the lease and license shall at the option of the
Authority become forfeited and such option may be exercised by delivery of
notice of termination hereunder.
[12]
Appendix B, added in 2004, permits limited choice of the winter dates
in which the occupancy limitation runs.
During that period, tenants
may occupy their units only from Sunday night at 9:00 p.m. to
Monday
morning at 9:00 a.m. Violation of the occupancy limit is a serious matter. The appendix
states: Occupancy of the dwelling other than at the times provided, is a
violation of the terms of this lease and will result in delivery of Notice of
Lease Termination.
DISCUSSION
[13]
The
parties have a longstanding rental relationship that has always included occupancy
limitations. It is unclear why the limitations were established. The respondent
can suggest no purpose for them, nor does anything in the record indicate the
practice at other conservation authorities in the province. The respondent is
attempting to establish the legality of occupancy limitations it has chosen not
to enforce for decades.
[14]
Regardless
of the provenance or utility of the occupancy limitations, the operation of the
Act is clear: if the limitations are inconsistent with the Act they are
rendered void by operation of s. 4.
[15]
Plainly,
occupancy limitations are not specifically permitted by the Act, but nor are
they specifically prohibited. The Divisional Court considered that the absence
of a specific prohibition was determinative, given the parties agreement to
the limitations. In an apparent application of the
expressio
unius est exclusio alterius
maxim, the court reasoned that because
the Act includes some specific prohibitions for example, the Act prohibits
no pet provisions the absence of a specific prohibition of occupancy limitations
means that they must be permitted. The court reasoned that [i]f there was a
limitation regarding limiting access or occupation of a residential unit, the
court would expect there to be a specific section of the
Act
dealing with this issue. The court added: It can hardly be said that when a
party voluntarily agrees to a provision of the residential agreement that is
not specifically provided for by the
Act
, this
leads to a determination that the provision is inconsistent with the
Act
.
[16]
This
reasoning is untenable. It does not necessarily follow from the specific prohibition
of some things in an act that other things not specifically prohibited must be
permitted. Whether this sort of negative implication can be drawn depends on
context and common sense as Scalia and Garner note, whether the thing
specified can reasonably be thought to be an expression of
all
that shares in the grant or prohibition involved: see
Reading Law: The Interpretation of Legal Texts
(
St. Paul, MN: Thompson/West,
2012), at pp. 107-111. In
this case, there is no reason to suppose that the Legislatures decision to
prohibit no pet provisions has anything to do with tenants right to occupy
the units they rent.
[17]
The
Divisional Courts reasoning begs the question at issue. Voluntary agreement to
a provision is irrelevant if that provision is not otherwise permitted. In the
absence of specific authorization or prohibition, the legality of occupancy
limitations must be determined by consideration of the provisions of the Act as
a whole.
[18]
This is simply an application of the modern
approach to statutory interpretation. The purpose of statutory interpretation
is uncontroversial: it is to determine the intention of the legislature. The
Supreme Court summarized the modern approach recently in
Vavilov
, at
para. 117:
A court interpreting a statutory provision
does so by applying the modern principle of statutory interpretation, that
is, that the words of a statute must be read in their entire context and in
their grammatical and ordinary sense harmoniously with the scheme of the Act,
the object of the Act, and the intention of Parliament:
Rizzo & Rizzo
Shoes Ltd. (Re)
, [1998] 1 S.C.R. 27, at para. 21, and
Bell ExpressVu
Limited Partnership v. Rex
, 2002 SCC 42, [2002] 2 S.C.R. 559, at para. 26,
both quoting E. Driedger,
Construction of
Statutes
(2nd ed. 1983), at p. 87. Parliament and the provincial
legislatures have also provided guidance by way of statutory rules that
explicitly govern the interpretation of statutes and regulations: see, e.g.,
Interpretation Act
, R.S.C. 1985, c. I-21.
[19]
The
modern approach to statutory interpretation is now referred to as text,
context, and purpose: see the helpful discussion by Miller J.A. (dissenting)
in
R. v. Walsh
, 2021 ONCA 43, 154
O.R. (3d) 263, at paras. 133-150. In my view, the text, context, and purpose of
the Act confirm that it contemplates only non-temporary, non-conditional,
unlimited occupancy arrangements. In short, occupancy limitations in residential
leases are not permitted.
The security of tenure
[20]
The
intervener Advocacy Centre for Tenants Ontario and the Board made helpful
submissions highlighting the security of tenure provisions of the Act
provisions that the Divisional Court failed to consider. These provisions are
premised on the notion that the Act establishes ongoing tenancies that may be
renewed following completion of the initial fixed term. The circumstances in
which a landlord may take possession of a rental unit from a tenant are strictly
limited to lawful termination, abandonment, death, assignment, eviction, or a
Board order in other words, the end of a tenancy in accordance with the Act.
Nothing in the Act authorizes a landlord to take possession of a residential
unit during an ongoing tenancy or assists the landlord in doing so.
[21]
None
of this is surprising in the context of an Act that is designed to redress the
imbalance in bargaining power between landlords and tenants. Occupancy limitations
are at odds with the very scheme of the Act. This is confirmed by the core
concepts in the Act tenant and tenancy agreement both of which are defined
in s. 2(1) in terms of tenants
right to
occupy
the units they rent.
[22]
The
respondent sought to defend occupancy limitations by drawing a distinction
between tenants right to occupy their rental units, on one hand, and the right
of the landlord to take possession of those units on the other, asserting that
the landlord does not take possession of the rental units or occupy them itself
during the term in which occupation by the tenant is not permitted. This
purported distinction is illusory. The denial of a tenants right to occupy the
unit he or she has leased is the problem, and it is irrelevant whether the
landlord has in some sense taken possession of the unit or simply denied the
tenant access to it; in either case, the continuity of the tenancy has been
broken in a manner inconsistent with the Act.
[23]
The
Act specifically enumerates the forms of living accommodation that are exempt
from the Act on the basis of seasonal or temporary occupation, and it is common
ground that the land lease situation in this case is not included. Section 5(1)
provides:
5
This
Act does not apply with respect to,
(a) living accommodation intended
to be provided to the travelling or vacationing public or occupied for a
seasonal or temporary period in a hotel, motel or motor hotel, resort, lodge,
tourist camp, cottage or cabin establishment, inn, campground, trailer park,
tourist home, bed and breakfast vacation establishment or vacation home;
[24]
In
other words, rather than address seasonal or temporary accommodation
arrangements in the context of leases covered by the Act, the Legislature
exempted them all together.
[25]
Thus,
the Divisional Courts concern that the Boards order would preclude the owner
of a cottage and a tenant from including a term in a lease permitting the owner
to occupy the cottage during certain limited times of the year, such as at
Christmas, is misplaced. Cottage rentals are exempt from the Act by virtue of
s. 5. Put another way, there is no need to interpret the Act to protect
seasonal or temporary arrangements for living accommodations. The Legislature
has adverted to the matter and determined the sorts of seasonal and temporary
arrangements that are not covered by the Act.
[26]
In
summary, the Act establishes security of tenure. Occupancy limitations are
inconsistent with the Act and are rendered void by s. 4. The parties agreement
to such limitations is simply irrelevant: freedom of contract values cannot be
invoked to limit the protection the Act provides.
[27]
This
is sufficient to dispose of the appeal, but because of the way in which the
matter was argued, both before the Board and Divisional Court, I will discuss
briefly the concept of reasonable enjoyment under s. 22 of the Act.
The right to reasonable enjoyment
[28]
Section
22 of the Act provides as follows:
A landlord shall not at any time during a
tenants occupancy of a rental unit and before the day on which an order
evicting the tenant is executed substantially interfere with the reasonable
enjoyment of the rental unit or the residential complex in which it is located
for all usual purposes by a tenant or members of his or her household.
[29]
The
Act does not define either the concept of reasonable enjoyment or substantial
interference with it. These are vague terms that must be fleshed out by Board
decisions in particular contexts, and a large body of Board case law has
developed in this regard. In this case, the Board stated that the restriction
of tenants access to rental units would be a substantial interference with
the reasonable enjoyment of the rental units. The Divisional Court disagreed,
stating as follows:
A reading of the ordinary sense of s. 22 of the
Act
does
not lead to a determination that Upper Thames substantially interfered with the
reasonable enjoyment of the Tenants
rental
units when
these Tenants voluntarily agreed to the provision in the lease. To be clear, s.
22 of the
Act
cannot be read as to indicate that any limitation to
access to a rental unit during certain periods of time, agreed upon by both
landlord and tenant, equates to a substantial interference by the landlord with
the reasonable enjoyment of the rental units. To find otherwise would be to
unnecessarily limit the ability of landlords and tenants to enter into flexible
arrangements regarding the leasing of premises.
[30]
As
I have explained, it was unnecessary for the Board to rely on s. 22. For its
part, the Divisional Court erred by assuming occupancy limitations to be proper
by virtue of the absence of a specific prohibition in the Act and tenants agreement
to include them in their leases. This led the court to conclude that s. 22 was
at the heart of the appeal, and it had to be interpreted in accordance with the
parties freedom of contract.
[31]
The
outcome in this case does not depend on the tenants right of reasonable
enjoyment. The occupancy limitation in the leases is void because it is
inconsistent with the Act as a whole and the nature of the tenancies it
establishes and protects.
Disposition
[32]
I
would allow the appeal and set aside the order of the Divisional Court.
[33]
The
appellant is entitled to costs of the appeal in the agreed amount of $10,000,
all inclusive. The costs in the Divisional Court are reversed. The interveners
are not entitled to costs.
Released: February 16, 2022 P.L.
Grant
Huscroft J.A.
I
agree. P. Lauwers J.A.
I
agree. S. Coroza J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Trivedi v. Hudd, 2022 ONCA 147
DATE: 20220214
DOCKET: M53120 (C68672)
Thorburn
J.A. (Motions Judge)
BETWEEN
Jayesh
Kumar Trivedi
Plaintiff (Appellant/Moving Party)
and
Anthony
Hudd and Ash Payment Solution Inc.
Defendants (Respondents/Responding Parties)
Jayesh Kumar Trivedi, acting in person
William W. N. Fawcett, for the
responding parties
Heard: February 11, 2022 by video conference
ENDORSEMENT
[1]
The appellant and
moving
party, Jayesh Kumar
Trivedi, seeks to set aside the Registrars order dismissing the appeal for
delay and to extend the time to perfect his appeal.
[2]
On July 22, 2018, the appellant began an action
for claims arising out of a business dispute between the parties. The
respondents brought a motion for summary judgment to dismiss the action on multiple
grounds, including that it was statute-barred by virtue of s. 4 of the
Limitations
Act, 2002
, S.O. 2002, c. 24, Sched. B, which provides that no proceeding shall
be commenced after the second anniversary of the day the claim was discovered.
[3]
On August 5, 2020, summary judgment was granted,
dismissing the action on the grounds that the appellant had failed to commence
his proceeding within the two-year limitation period and the claim was
therefore statute barred.
[4]
The appellant filed his notice of appeal to this
court on time but failed to perfect his appeal within the required time. His
appeal was dismissed for delay on December 15, 2020. Prior to the dismissal of his
appeal, the Registrar of this court informed the appellant that the deadline
for perfecting his appeal had passed and that if he needed further time to
perfect his appeal, he could obtain consent of the opposing party or bring a
motion for an extension of time.
[5]
In January 2022, over a year after his appeal
was dismissed, the appellant filed a motion to set aside the dismissal and
extend the time to perfect his appeal.
[6]
The overarching principle for determining
whether an extension of time ought to be granted is whether the justice of the
case requires it. This includes consideration of: (i) whether the moving party
formed a
bona fide
intention to appeal within the relevant time; (ii)
the length of and explanation for the delay; (iii) prejudice to the responding
parties caused, perpetuated or exacerbated by the delay; and (iv) the merits of
the proposed appeal:
Enbridge Gas Distribution Inc v. Froese
, 2013 ONCA
131, 114 O.R. (3d) 636, at para. 15;
Reid v. College of Chiropractors of
Ontario
,
2016 ONCA 779, at para. 14. Lack of merit alone can be a
sufficient basis to deny an extension of time:
Enbridge
,
at
para. 16;
Reid
,
at para. 15.
[7]
It is agreed that the appellant intended to
appeal within the time for bringing an appeal.
[8]
The delay is lengthy. The appellant explains the
delay on the basis that due to COVID-19, he lost his job and was on benefits,
he was not able to seek the assistance of counsel because most of them were
not meeting the clients for consultations, and family members died overseas as
a result of the pandemic. The appellants mother, brother-in-law and cousin
died in 2021. He claims that Now I am again regaining my mental and financial
strength and therefore I want to pursue this appeal matter.
[9]
While the appellant has undoubtedly experienced hardship
during this period, there is no evidence of any attempts to contact counsel or
indeed any steps taken at all to pursue the appeal since December 2020 when the
appeal was dismissed.
[10]
More importantly, the appeal has little chance
of success. The motion judges conclusion that the limitation period expired
prior to the issuance of a statement of claim is a finding of mixed fact and
law for which the standard of review is palpable and overriding error:
Longo
v. MacLaren Art Centre
,
2014 ONCA 526, 323 O.A.C. 246, at para. 38.
[11]
The appellants statement of claim asserted that
when money went missing from the business for reasons unknown in July of 2015,
the appellant injected his own funds to get the business back up and running.
[12]
The appellant wrote the respondent an email on
January 28, 2016 stating that if the respondent had a lawyer draw up documents,
I dont have to take legal action. If not, he would prove that the respondent
committed negligence. He claimed that he had lost $56,000 and another $13,000
in residuals that had not been paid. The $56,000 is the subject of this claim
(while the $13,000 related to an earlier Small Claims Court action that was
dismissed). The respondent replied on the same day, Do what you have to do Jay
but remember every action has an equal or greater reaction. The motion judge
held that this exchange left no doubt about the time of discovery and that
the email exchange is the equivalent of a smoking gun for the purposes of the
Limitation
Act, 2002
.
[13]
At this point, the relationship had broken down
and the appellant knew the respondent would not accede to his demand.
[14]
In his oral submissions, the appellant advised
that in early 2016, his father passed away and he was suffering depression for
three months.
[15]
In his grounds of appeal, the appellant claims
he did not file a claim as he was seeking to settle the dispute through mutual
friends. He claims that the motion judge failed to consider that the wording in
his email to the respondent, stating I do not have to take legal action,
suggested he would try to settle the matter through friends. However, the
motion judge considered the appellants email to the respondent, including that
he told the respondent that if the respondent had a lawyer draw up documents then
he would not have to take legal action. The motion judge found that the
respondents response indicated as counsel paraphrased, Come get me.
Therefore, the motion judge found the claim was discovered in the legal sense
at the latest on the date of the email correspondence, on January 28, 2016.
[16]
I see no error in the motion judges conclusion
that the email correspondence made it clear that a legal remedy would be
appropriate. Given the email correspondence, trying to settle the matter through
friends or negotiation did not stop the limitation period from running. A party
cannot rely on his own tactical reasons for delaying the commencement of legal proceedings:
Markel Insurance Company of Canada v. ING Company of Canada
, 2012 ONCA
218, 109 O.R. (3d) 652, at para. 34;
Davies v. Davies Smith Developments
Partnership
,
2018 ONCA 550, at para. 13.
[17]
In sum, although the claim was discovered by
January 28, 2016, the appellant did not bring this claim until June 22, 2018, two
years and six months later, and after the two-year limitation period had
expired. I can see no palpable and overriding error in the motion judges
conclusion that would allow this court to interfere with the decision of the
motion judge, and therefore see no potential merit to this appeal: see
Sutherland
Lofts Inc. v. Peck
,
2017 ONCA 803, at para. 12.
[18]
Moreover, the justice of the case does not
require the granting of leave. The dispute began in 2016. When the appellant
did not perfect his appeal in compliance with the rules in December 2020, and
his appeal was dismissed for delay, he did not act promptly to file this notice
of motion: see
Monteith v. Monteith
,
2010 ONCA 78, at para. 21.
Instead, he filed the notice of motion over a year later. In these
circumstances, the appellant has not established that the balancing of the
factors and the justice of the case require an extension of time.
[19]
For these reasons, I find that the appellant has not satisfied the
test for an extension of time and established that the justice of the case
requires an extension of time. The motion to set aside the order dismissing the
appeal for delay and to extend the time to perfect this appeal is therefore
denied. The respondents seek $1,250 in partial indemnity costs. The moving
party suggests he is impecunious. Under the circumstances, I make no order as
to costs.
J.A.
Thorburn J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Graham v. Toronto (City), 2022 ONCA 149
DATE: 20220216
DOCKET: C69418
Simmons, Pardu and Brown JJ.A.
BETWEEN
Robyn
Graham and David Mitchell
Plaintiffs (Respondents)
and
City of Toronto
Defendant (Appellant)
Edona C. Vila, for the appellant
Joel P. McCoy and Alan C. Preyra, for
the respondents
Heard: February 10, 2022 by video conference
On
appeal from the order of Justice Eugenia Papageorgiou of the Superior Court of Justice,
dated April 6, 2021, with reasons reported at 2021 ONSC 2278, 15 M.P.L.R. (6th)
293.
REASONS FOR DECISION
Overview
[1]
On January 2, 2018 the respondent, Robyn Graham,
tripped on a pothole in a pedestrian crosswalk in mid-town Toronto. As a result
of the injuries she suffered, Ms. Graham and her husband, the respondent David
Mitchell, sued the appellant, the City of Toronto.
[2]
Section 42(6) of the
City of Toronto Act,
2006
, S.O. 2006, c. 11, Sched. A (the Act) provides that no action shall
be brought for the recovery of damages against the City for its failure to
maintain a highway in a reasonable state of repair unless the claimant provides
the City with written notice of the claim and the injury complained of within
10 days after the occurrence of the injury. Ms. Graham did not give the City
notice of her claim until March 22, 2018, just short of three months after her
trip and fall.
[3]
The City moved for summary judgment dismissing
the action by reason of Ms. Grahams failure to provide timely notice.
[4]
The motion judge dismissed the Citys motion,
holding that Ms. Grahams failure to provide the 10-day notice did not bar her action
as there was a reasonable excuse for the want or sufficiency of the notice and
the City was not prejudiced in its defence: s. 42(8) of the Act. As well,
notwithstanding the absence of a cross-motion by Ms. Graham and Mr. Mitchell,
the motion judge granted them summary judgment dismissing the Citys statutory
notice defence and declaring that the respondents action was not
statute-barred by s. 42(6) of the Act, a form of the so-called boomerang or
reverse summary judgment.
[5]
The City appeals. At the hearing, we dismissed
the appeal, with reasons to follow. These are those reasons.
[6]
The City advances two grounds of appeal.
First ground:
The summary judgment was the product of an unfair process
[7]
The City submits that the motion judge acted in
a procedurally unfair manner by granting the respondents reverse summary
judgment in the absence of a notice of cross-motion seeking such relief or
notice to the City of the motion judges intention to grant such a judgment.
[8]
We are not persuaded by this submission.
[9]
As this court observed in
Drummond v.
Cadillac Fairview Corporation Limited
, 2019 ONCA 447, at paras. 11-12,
summary judgment motions are intended, in part, to achieve fair and just
results. Consequently, where a responding party has not filed a notice of cross-motion
that seeks summary judgment against the moving party yet the motion judge
intends to grant judgment against the moving party, the court must give the
moving party some notice of that litigation risk so that the moving party can
address it. The lack of such notice may render any resulting reverse summary
judgment unfair.
[10]
There are numerous ways by which a court can
ensure that, in the absence of a formal cross-motion, a moving party has notice
of the litigation risk of a reverse summary judgment, including: (i) in those
judicial regions where scheduling a summary judgment motion must pass through
some form of triage or practice court, the motion scheduling request form can
inquire whether the responding party intends to ask for a reverse summary judgment;
(ii) at the start of a motion hearing, the judge can inquire whether a reverse
summary judgment will be sought; (iii) if, during the course of the hearing,
the judge forms the view that he or she might grant a reverse summary judgment,
the judge should so inform the parties to allow them to respond; or (iv) if,
during the course of preparing reasons disposing of the motion the presiding
judge forms the view that granting a reverse summary judgment might be
appropriate in the circumstances, the judge should so inform the parties and
afford them an opportunity to make further submissions.
[11]
In the present case, the motion judge adopted
the latter approach. While her decision was under reserve, the motion judge
emailed counsel to advise that she usually referred to some well-established
precedents in my summary judgment decisions. She identified four decisions,
providing pinpoint cites to specific paragraphs in each. The motion judge
requested that counsel inform her if they wished to make submissions on the
cases. Counsel advised that they did not wish to make submissions.
[12]
One of the four cases identified by the motion
judge was
Meridian Credit Union Limited v. Baig
, 2016 ONCA 150, 394
D.L.R. (4th) 601, leave to appeal refused, [2016] S.C.C.A. No. 173, with a
pinpoint citation to para. 17, where LaForme J.A. wrote:
[17] I pause to note that Meridian had not
brought a cross-motion asking for summary judgment in its favour. However, the
motion judge did not err by granting summary judgment. Counsel for the
appellant submitted that all of the relevant evidence was before the court and
explicitly invited the motion judge to render a decision in favour of either
party. Two recent decisions from this court make it clear that it is
permissible for a motion judge to grant judgment in favour of the responding
party, even in the absence of a cross-motion for such relief:
King Lofts
Toronto I Ltd. v. Emmons
, 2014 ONCA 215, 40 R.P.R. (5th) 26, at paras.
14-15; and
Kassburg v. Sun Life Assurance Company of Canada
, 2014 ONCA
922, 124 O.R. (3d) 171, at paras. 50-52.
[13]
The motion judge was communicating with counsel
for parties, not a self-represented litigant. Her reference to para. 17 of the
Meridian
Credit Union
case clearly put counsel on notice that she was considering granting
a reverse summary judgment; there was no other possible reason for the
reference. By so doing, the motion judge put the parties on notice of the
litigation risk of a reverse summary judgment and afforded them an opportunity
to make submissions, which they declined. In those circumstances, we see no
unfairness in the procedure followed by the motion judge.
Second ground: The motion judge erred in not
finding the respondents action barred by s. 42(6) of the Act
[14]
The City submits that the motion judge erred in
applying the twofold requirements of s. 42(8) of the Act: reasonable excuse and
no prejudice to the City.
Reasonable
excuse
[15]
As to the motion judges conclusion that Ms.
Graham had demonstrated a reasonable excuse for not providing earlier notice,
the City contends her analysis was tainted by several errors: misinterpreting s.
42(6); effectively changing the two-prong legal test contained in the Act; and
improperly considering Ms. Grahams subjective awareness of the significance of
her injury rather than merely the fact of her injury, thereby wrongfully
elongating the 10-day notice period.
[16]
We are not persuaded by these submissions.
[17]
As to the first alleged error, the motion
judges reasons disclose that she identified and applied the prevailing
jurisprudence of this court concerning ss. 42(6) and 42(8) of the Act. Her
references to the interpretative principle of reasonableness and the notion of
a modest excuse were both taken from recent jurisprudence of this court (
Azzeh
v. Legendre
, 2017 ONCA 385, 135 O.R. (3d) 721, at fn. 4 and para. 75,
leave to appeal refused, [2017] S.C.C.A. No. 289). In any event, the reasons
clearly indicate that the motion judge never lost sight of the statutory
obligation on Ms. Graham to demonstrate a reasonable excuse.
[18]
The other two errors alleged by the City essentially
amount to asking this court to reweigh the various factors and evidence that
led the motion judge to conclude Ms. Graham had demonstrated a reasonable
excuse. We see no basis for this court to do so. To determine whether a
plaintiff has demonstrated a reasonable excuse, a court must ascertain whether,
in all of the circumstances of the case, it was reasonable for the plaintiff
not to give notice until she did:
Seif v. Toronto (City)
, 2015 ONCA
321, 125 O.R. (3d) 481, at para. 26,
per
Hoy A.C.J.O. (dissenting in
part, but not on this point). The motion judges reasons disclose that she took
into account all the circumstances, did not fail to appreciate relevant
evidence, did not misapprehend the evidence, and did not draw any unreasonable
inferences. In those circumstances, we see no basis for appellate intervention
with her finding that Ms. Graham had demonstrated a reasonable excuse.
No prejudice
[19]
The City further submits that the motion judge erred
in concluding that no genuine issue requiring a trial exists on the issue of
whether the City would not be prejudiced in its defence by Ms. Grahams failure
to give the 10-day notice. We are not persuaded by this submission.
[20]
The motion judge noted that the Citys affiant
admitted that the alleged prejudice rested solely on the fact that the City did
not take measurements of the pothole before it was repaired. Such measurements
would be relevant to any defence by the City that it was not liable for keeping
the crosswalk in a reasonable state of repair because at the time of Ms.
Grahams fall it had met the minimum regulatory maintenance standards: Act, s.
42(3)(c). The motion judge identified a large body of evidence that led her to
conclude that the delay in giving notice would not prejudice the City in its
defence: (i) Ms. Graham took clear photos of the pothole within the 10-day
period; (ii) Mr. Mitchell gave evidence that he inspected the pothole on the
day of the incident and estimated its depth at six inches; (iii) the City took
photos of the pothole on January 19, 2018, seventeen days after Ms. Grahams
fall, in response to a complaint about the hole by another person; (iv) the
City field investigator who took the photos determined the pothole required
repair, which was quickly done; (v) the City did not adduce any evidence
explaining why the field investigator did not measure the dimensions of the
pothole, although it had the opportunity to do so; and (vi) the respondents
filed an expert report that opined on the dimensions of the pothole using the various
January 2018 photos, yet the City did not cross-examine the expert.
[21]
Accordingly, ample evidence supported the motion
judges conclusion that Ms. Graham had satisfied the no prejudice to the City
in its defence element of s. 42(8) of the Act. We see no reversible error in
that conclusion.
[22]
Finally, we do not accept the Citys argument
that the motion judges decision somehow gives rise to the spectre of an
inconsistent finding being made at trial. The motion judge did not make a
finding about the dimensions of the pothole. Her decision does not preclude the
City from advancing a defence that the crosswalk was in a state of proper
repair based on the minimum standards for pothole repair set out in s. 6 of
Minimum
Maintenance Standards
for Highways in the City of Toronto
, O.
Reg. 612/06. Nor does it preclude the trial judge from rejecting the
respondents experts evidence concerning the dimensions of the pothole.
DISPOSITION
[23]
For the reasons set out above, the appeal is
dismissed.
[24]
The City shall pay the respondents their costs
of the appeal fixed in the amount of $17,500, inclusive of disbursements and
applicable taxes.
Janet
Simmons J.A.
G. Pardu
J.A.
David
Brown J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Feltz Design Build Ltd. v. Larson,
2022 ONCA 150
DATE: 20220216
DOCKET: C69360
Strathy C.J.O., Roberts and
Sossin JJ.A.
BETWEEN
Feltz Design Build Ltd.
Plaintiff (Respondent)
and
Kevin Gary
Larson a.k.a. Kevin Larson, Larson Properties Partnership Group
, Bennington Financial Corp., Cosman Mortgage Capital Corporation
and Olympia Trust Company
Defendants (
Appellants
)
Eric Kerson, for the appellants
Martha Cook, for the respondent
Heard: February 14, 2022 by
video conference
On appeal from the judgment of Justice A. Duncan Grace of the
Superior Court of Justice, dated April 1, 2021, with reasons reported at 2021
ONSC 2469.
REASONS FOR DECISION
OVERVIEW
[1]
This appeal arises from a decision granting partial
summary judgment arising out of a construction lien dispute. The appellant
Larson Properties Partnership Group (LPPG) had retained the respondent Feltz
Design Build Limited (Feltz) to provide construction services in relation to
a property in Stratford, Ontario.
[2]
A dispute between the parties arose over alleged
deficiencies in the construction work undertaken by Feltz and LPPGs refusal to
provide payment for the work done.
[3]
In September 2019, Feltz registered a lien
against the property for the unpaid fees. In January 2020, Feltz brought an
action against the defendants for damages due to breach of contract and breach
of trust. In October 2020, Feltz moved for summary judgment against the
defendants LPPG and its principal, Mr. Larson under r. 20 of the
Rules
of Civil Procedure
, R.R.O. 1990, Reg. 194 but not as against the other
defendants.
[4]
The motion was heard in January 2021. In an
endorsement dated April 1, 2021, the motion judge granted summary judgment to
Feltz against LPPG and Mr. Larson and ordered,
inter alia
, LPPG
and Mr. Larson to pay Feltz $530,764.88 for breach of contract and breach of
trust.
[5]
Subsequent to the decision on the summary
judgment motion, in January 2022, on consent of the appellants, the remaining
aspects of the action against two of the other three defendants (Bennington
Financial Corp. and Cosman Mortgage Capital Corporation) were resolved by order
of Rady J., including the lien enforcement proceedings. The third defendant,
Olympia Trust Company, has been noted in default.
ANALYSIS
[6]
The appellants raise two grounds of appeal.
First, the appellants argue that the motion judge erred in failing to find a
genuine issue requiring a trial. Second, the appellants argue that the motion
judge erred in finding that this matter was appropriate for partial summary
judgment.
The motion judge did not err in finding no genuine issue
requiring a trial
[7]
We would not give effect to the first ground of
appeal.
[8]
The motion judge identified the proper standard
on a motion for summary judgment under r. 20 of the
Rules of Civil
Procedure
, citing
Hryniak v. Mauldin
, 2014 SCC 7, [2014] 1 S.C.R.
87 and stating, at para. 22, [i]f the record assembled by the parties allows
the motion judge to make necessary findings of fact, apply the law and reach a
fair and just determination on the merits, there will be no need for a trial.
[9]
The motion judge explained his finding that summary
judgment was appropriate by reference to the evidentiary record, at paras. 23-26:
[23] A substantial evidentiary record was
compiled by the parties for the purposes of this motion. The affidavits of
Hainsley Bailey, the project manager of Feltz and of Mr. Larson conflicted
in various respects. When faced with allegations of delay, substandard work and
unjustified billings, it is difficult to avoid an initial impression that the
matter is unlikely to be ripe for a summary determination.
[24] However, the record did not end with the
initial exchange of affidavit material. The plaintiff filed a supplementary
motion record that contained an affidavit of the Consultants representative,
Robert Ritz. That affidavit provided important context for the payment certificates
and the certificate of substantial completion.
[25] Cross-examinations were conducted. A
transcript of the lengthy cross-examination of Mr. Larson was filed. The
plaintiffs solicitor filed a helpful factum. That was the only one the court
received.
[26] Based on the totality of the record, I am
of the view this case can be decided justly at this interlocutory stage. [Footnote
omitted.]
[10]
On the record before him, the motion judge found
that the defendants accepted that they owed Feltz money for the work completed
under the contract but disputed the quantum.
[11]
The motion judge did not accept the defendants
basis for disputing the quantum. The motion judge stated that counsel for the
defendants had conceded the weakness of the defendants argument that Feltz had
offered an all in contract and then charged more than had been quoted. The
motion judge specifically rejected LPPCs submission that the agreement with
Feltz was a fixed price contract, noting that the contract provided for an
hourly rate for Feltz employees.
[12]
Having rejected LPPCs submission on that issue,
the motion judge found that the contract required payment to be made on the
certification of LPPCs consultant architect, who was to determine the amount
owing by LPPC and to issue certificates of payment. After the dispute arose
between the parties, the architect became involved and certified that Feltzs
work had been substantially performed and Feltz was entitled to payment of the
balance of the contract price.
[13]
The motion judge concluded his review of the
record on the breach of contract claim by finding that LPPC owes Feltz the
unpaid balance but is simply unwilling or unable to pay: at para. 39.
[14]
With respect to the breach of trust claim, the
motion judge found that LPPC received funds impressed with a trust for the
benefit of Feltz and failed to account for and remit those amounts
notwithstanding certificates of substantial completion of Feltzs work,
contrary to the trust obligation established under s. 7 of the
Construction
Act
, R.S.O. 1990, c. C.30.
[15]
The motion judge found LPPC liable for breach of
trust for the full amount of the outstanding debt, and that Mr. Larson was
jointly liable given his knowledge and control over LPPCs operations.
[16]
The motion judges findings are entitled to
deference and clearly were available on the record. We find no error in the
motion judges analysis or conclusion.
There is no basis for appellate intervention on the
partial summary judgment issue
[17]
With respect to the second ground of appeal, the
granting of summary judgment was not partial with respect to the appellants.
Rather, the judgment addressed the liability of the appellants and Feltzs
claims against them in their entirety. The partial nature of the summary
judgment, to the extent it can be characterized as such, related to the fact
that other parties had encumbrances against the property as well and were
included as defendants.
[18]
The appellants argue that in granting judgment
for Feltz against the appellants, the motion judge did not address the narrow
circumstances in which partial summary judgment will be warranted: see
Baywood
Homes Partnership v. Haditaghi
, 2014 ONCA 450, 120 O.R. (3d) 438, at para.
34;
Butera v. Chown, Cairns LLP
, 2017 ONCA 783, 137 O.R. (3d) 561, at
para. 34; and
Heliotrope Investment Corporation v. 1324789 Ontario Inc.
,
2021 ONCA 589, at para. 32. The factors to be considered in such a
determination include whether the matter to be resolved by summary judgment
could be bifurcated from the remaining litigation, dealt with in an expeditious
and cost-effective manner, and whether the possibility of inconsistent findings
by different courts could be avoided:
Butera
, at para. 34;
Malik
v. Attia
, 2020 ONCA 787, at para. 62.
[19]
In this case, however, the respondent argues
that the appropriateness of the partial summary judgment is no longer a live
issue.
[20]
As set out above, subsequent to the motion
judges decision, the parties have resolved the outstanding aspects of the
litigation, with the exception of Olympia Trust Company, which has been noted
in default. Consequently, the respondent takes the position that the partial
summary judgment is now a full summary judgment decision.
[21]
The respondent relies on
Maystar General
Contractors Inc. v. International Union of Painters and Allied Trades, Local
1819
, 2008 ONCA 265, 90 O.R. (3d) 451, where this court held an
appeal to be moot where the underlying basis for the appeal had fallen away as
a result of post-judgment developments: at para. 28.
[22]
The appellants accept that there remains no
concern regarding partial summary judgment with respect to the two defendants
where the action by Feltz has been dismissed, but contend that since the action
with respect to Olympia Trust Company remains alive, the partial summary
judgment ground of appeal remains live as well.
[23]
In the alternative, the respondent contends that
the motion judges granting of partial summary judgment was appropriate in the
circumstances under the standard set out in
Hryniak
.
[24]
In our view, there is no basis for appellate
intervention on this issue in this case. The concerns set out in
Baywood
Homes
,
Butera
and
Heliotrope
do not arise in this case. No
aspect of the liability toward Feltz remained in doubt following the judgment
granted by the motion judge. The issue of any remedies for or against the other
encumbrancers was a separate and discrete question, and one which for all
intents and purposes is no longer extant.
DISPOSITION
[25]
For these reasons, we dismiss the appeal.
[26]
Feltz is entitled to costs, which are set at $12,500
all inclusive.
G.R.
Strathy C.J.O.
L.B.
Roberts J.A.
L. Sossin
J.A.
|
WARNING
An order restricting publication in
this proceeding was made under s. 517 of the
Criminal Code
and
continues to be in effect. This section of the
Criminal Code
provides:
517(1) If the prosecutor or
the accused intends to show cause under section 515, he or she shall so state
to the justice and the justice may, and shall on application by the accused,
before or at any time during the course of the proceedings under that section,
make an order directing that the evidence taken, the information given or the
representations made and the reasons, if any, given or to be given by the
justice shall not be published in any document, or broadcast or transmitted in
any way before such time as
(a) if a preliminary inquiry
is held, the accused in respect of whom the proceedings are held is discharged;
or
(b) if the accused in respect of whom the
proceedings are held is tried or ordered to stand trial, the trial is ended.
Failure to comply
(2) Everyone who fails without
lawful excuse, the proof of which lies on him, to comply with an order made
under subsection (1) is guilty of an offence punishable on summary conviction.
(3) [Repealed, 2005, c. 32, s.
17]
R.S., 1985, c. C-46, s. 517; R.S.,
1985, c. 27 (1st Supp.), s. 101(E); 2005, c. 32, s. 17.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Wright, 2022 ONCA 151
DATE: 20220216
DOCKET: M53129
Fairburn
A.C.J.O. (Motion Judge)
BETWEEN
Her
Majesty the Queen
Respondent
and
Robert Steven Wright
Applicant
Michael Lacy and Bryan Badali, for the
applicant
Jeremy D. Tatum, for the respondent
Heard: February 11, 2022 by
video conference
[1]
A non-publication order under ss. 517 of the
Criminal
Code
, R.S.C. 1985, c. C-46,
was imposed in this matter at the bail hearing in the court below. That order
precludes the publication, broadcast, or transmission of any evidence taken,
information given, representations made, and reasons given.
[2]
The decision in
R. v. Wright
, 2022 ONCA 151
, contains information
covered by that order.
[3]
Accordingly, the decision will be available on
the Court of Appeal for Ontarios website once the non-publication order ceases
to be in effect.
[4]
In the interim, a copy of the full decision is
available at the Registry of the Court of Appeal for Ontario at 130 Queen
Street West, Toronto.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Young, 2022 ONCA 153
DATE: 20220217
DOCKET: C67437
Fairburn A.C.J.O., Doherty and
Paciocco JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Alexander Young
Appellant
Enje Daniels and Isaac Heo, for the
appellant
Erica Whitford, for the respondent
Heard: February 10, 2022 by
video conference
On appeal from the convictions entered
by Justice Lucy C. Glenn of the Ontario Court of Justice on January 8, 2019.
REASONS FOR DECISION
[1]
This is an appeal from three convictions for sexual assault with a
weapon.
[1]
The weapons were a belt, a cane, a
folded piece of plastic siding, and a broken coat hanger. The complainant was
the appellants wife.
[2]
[2]
The appeal rests solely on an ineffective assistance of counsel claim.
We dismissed the appeal with written reasons to follow. These are our reasons.
[3]
The appellant focused upon two issues during oral argument. Although the
factum referred to other issues, all ultimately turned on the credibility of
the affidavit filed by the appellant as fresh evidence. As will be explained
below, that affidavit is not credible. We see no need in these reasons to
address the arguments raised in the factum but not addressed in oral argument.
[4]
First, the appellant claims that the trial was unfair because counsel
failed to inform him about the available modes of trial and, more specifically,
about his right to a preliminary inquiry. Second, he claims that the verdict
was unreliable because counsel failed to lead evidence that the complainant had
a potential motive to fabricate.
[5]
To succeed on a claim of ineffective assistance of counsel, an appellant
holds the onus of establishing three things:
(1)
the facts upon which the claim rests (the factual
component);
(2)
that the facts reveal ineffective representation (the
performance component); and
(3)
that a miscarriage of justice has resulted from the
ineffective representation (the prejudice component).
See
R. v. Girn
, 2019 ONCA
202, 145 O.R. (3d) 420, at para. 91.
[6]
Turning to the first issue, whether the trial was
rendered unfair because trial counsel failed to adequately inform the appellant
about the different modes of trial, we are unpersuaded.
[7]
As is typical in appeals involving ineffective
assistance claims, the fresh evidence includes an affidavit from the appellant
and a transcript of his cross-examination. That transcript reveals that the
appellants complaint morphed between examination-in-chief and
cross-examination. He initially suggested that his counsel did not inform him
about the various modes of trial. That position changed during
cross-examination, where he acknowledged that he in fact knew that he could
have a trial in the Ontario Court of Justice or the Superior Court of Justice,
and that one of his options in the Superior Court of Justice was to be tried by
a judge and jury.
[8]
Having acknowledged that fact, the appellants
complaint seemed to become that he did not actually make a choice, but rather
wanted whatever [his] lawyer suggested would be
better. At the same time,
he acknowledged that his primary concern was to obtain an expeditious trial.
Trial counsels evidence demonstrates that he clearly understood the
appellants concern about a speedy trial and, therefore, recommended the matter
be tried in the Ontario Court of Justice.
[9]
We are satisfied that the appellant clearly understood
the various modes of trial and that he was prepared to accede to counsels
suggestion as to how to obtain the most expeditious trial.
[10]
As for the appellants suggestion that he was not
informed about his entitlement to a preliminary inquiry, he has failed to meet
his onus.
[11]
Trial counsel candidly admits that he has no specific
recollection of informing the appellant about the potential for a preliminary
inquiry. While it is trial counsels normal practice to explain this to his
clients, he acknowledges that he has no specific note or recollection of having
done so in this case. Therefore, he cannot definitively say that he followed
his usual practice.
[12]
What counsel does very clearly recall is that he told
his client about the various modes of trial and was given unequivocal
instructions about getting the matter to trial as quickly as possible. In his
view, that meant a trial in the Ontario Court of Justice.
[13]
Counsels lack of memory on this point does not tip the
scales toward proof that the claim has been made out. This is particularly true
in the face of a strong presumption of counsels competence: see
R. v.
G.D.B.
, 2000 SCC 22, [2000] 1 S.C.R. 520, at para. 27. Even assuming that
information about a potential preliminary inquiry properly falls under the
rubric of modes of trial, the onus remains squarely on the appellant to prove
that he was not given this information. In our view, the appellants evidence
falls well short of establishing this fact.
[14]
For a number of reasons, we do not accept his evidence
on this point because he lacks credibility. In our view, the appellants
commitment to the truth is undetectable. For instance, the appellant admitted
during cross-examination on his affidavit, which was filed in this court as
fresh evidence, that he lied under oath at trial. Those lies included having testified
at trial that he would never strike anyone with anything, explaining that he
had an aversion to doing so because he was hit with a belt as a child. Yet, in
the fresh evidence filed in this court, the appellant has admitted that he
struck his wife with objects, including a belt, because she asked him to do so,
and that he was afraid that he would get a good beating if he did not do as
she asked. There is no indication in the record that the appellant in any way
appreciates the fact that his sworn evidence on appeal belies his sworn
evidence at trial.
[15]
In addition, read as a whole, the appellants evidence
is entirely self-serving, internally inconsistent, and reflective of either
intentional lies or memory issues. In our view, his evidence simply cannot be
trusted.
[16]
In these circumstances, we decide this ground of appeal
on the basis that the appellant has failed to demonstrate his claim that he was
not told about the possibility of a preliminary inquiry. This conclusion should
not be taken as suggesting that a failure to tell a client about the
possibility for a preliminary inquiry would necessarily result in a miscarriage
of justice. We leave for another day whether imperfections in the manner that a
client is told about possible modes of trial are all necessarily equal and have
the same impact on the fairness of the subsequent trial.
[17]
In this case, though, we need not get into the legal
consequences arising from such a failure because we are not satisfied that the
appellant was not told about the preliminary inquiry.
[18]
As to the second issue, the appellant argues that the
verdict is unreliable because trial counsel failed to lead evidence that the
complainant had a potential motive to fabricate. That motive to fabricate is
said to arise from the fact that immediately prior to the police complaint
being made, the appellant advised the complainant that he would be seeking
custody of their children. The purported motive to fabricate, then, is said to
arise from the complainants desire to obtain an advantage in the custody
dispute.
[19]
We are unable to accept this submission. While there
was in fact an active custody dispute at the time that the complainant reported
this matter to the police, the fact is that she had previously made those
allegations to others long before the matter was reported to the police or the
custody dispute commenced. Among those she reported to was the appellants
mother, who confirmed that fact in her evidence at trial.
[20]
In these circumstances, raising motive would have had
no impact on the result of this case and, therefore, at a minimum, the
appellant falls short on proving the prejudice component of the test.
[21]
These are the reasons we dismissed the conviction
appeal.
[22]
The sentence appeal was abandoned.
Fairburn A.C.J.O.
Doherty J.A.
David M. Paciocco J.A.
[1]
While the
appellant originally sought leave to appeal his sentence, he has since served
his full sentence and therefore abandoned his sentence appeal.
[2]
While this matter was initially subject to a publication ban under
s. 486.4 of the
Criminal Code
, R.S.C., 1985, c. C-46, that ban was
removed at the request of the complainant on April 25, 2019. We have asked for
and received confirmation of this fact.
|
WARNING
The President of the panel
hearing this appeal directs that the following should be attached to the file:
An order restricting
publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or
(4) or 486.6(1) or (2) of the
Criminal Code
shall continue. These sections of the
Criminal Code
provide:
486.4(1) Subject
to subsection (2), the presiding judge or justice may make an order directing
that any information that could identify the victim or a witness shall not be
published in any document or broadcast or transmitted in any way, in
proceedings in respect of
(a) any of the
following offences;
(i) an offence
under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1,
172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02,
279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence
under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt
with in the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a) at the first
reasonable opportunity, inform any witness under the age of eighteen years and
the victim of the right to make an application for the order; and
(b) on application
made by the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to
subsection (2.2), in proceedings in respect of an offence other than an offence
referred to in subsection (1), if the victim is under the age of 18 years, the
presiding judge or justice may make an order directing that any information
that could identify the victim shall not be published in any document or
broadcast or transmitted in any way.
(2.2) In proceedings in
respect of an offence other than an offence referred to in subsection (1), if
the victim is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible,
inform the victim of their right to make an application for the order; and
(b) on application of
the victim or the prosecutor, make the order.
(3) In proceedings
in respect of an offence under section 163.1, a judge or justice shall make an
order directing that any information that could identify a witness who is under
the age of eighteen years, or any person who is the subject of a
representation, written material or a recording that constitutes child
pornography within the meaning of that section, shall not be published in any
document or broadcast or transmitted in any way.
(4) An order made
under this section does not apply in respect of the disclosure of information
in the course of the administration of justice when it is not the purpose of
the disclosure to make the information known in the community.
2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b);
2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s.
18..
486.6(1) Every
person who fails to comply with an order made under subsection 486.4(1), (2) or
(3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2) For greater
certainty, an order referred to in subsection (1) applies to prohibit, in
relation to proceedings taken against any person who fails to comply with the
order, the publication in any document or the broadcasting or transmission in
any way of information that could identify a victim, witness or justice system
participant whose identity is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. A.M., 2022 ONCA 154
DATE: 20220223
DOCKET: C69973
van Rensburg, Nordheimer and
George JJ.A.
BETWEEN
Her Majesty the Queen
Appellant
and
A.M.
Respondent
Andrew Hotke, for the appellant
Wayne Cunningham, for the respondent
Heard: February 4, 2022 by video
conference
On appeal from the judgment of Justice
Kathleen E. Cullin of the Superior Court of Justice, dated May 13, 2021, with
reasons reported at 2021 ONSC 3515, allowing an appeal from the conviction
entered by Justice Vanessa V. Christie of the Ontario Court of Justice, dated May
13, 2019.
Nordheimer J.A.:
[1]
The Crown appeals, with leave, from the judgment
of the summary conviction appeal judge, who allowed an appeal and set aside a conviction
on a single count of sexual assault. For the following reasons, I would allow
the appeal, set aside the judgment below and restore the conviction.
A.
Background
[2]
The complainant was 22 years old at the time of
the offence. She testified that the respondent, who was 54 years old at the time
of the offence, was a close friend of her family and like an uncle to her. He
attended her familys Christmas dinners and would speak to and visit her
parents regularly. She first met him when she was 15 or 16 years old.
[3]
The complainant explained that on December 19,
2017, she agreed to go to the respondents home to listen to music and help him
decorate his Christmas tree for an upcoming Christmas party. The respondent
picked her up around 1:30 p.m. They made a couple of stops on the way to his
home, including at the LCBO where the respondent purchased vodka and rum. They
arrived at the respondents home around 2:30 p.m. Soon after their arrival, the
respondent began mixing drinks for the two of them. The complainant had not
consumed any alcohol or drugs before arriving at the respondents home, save
for a painkiller she had taken earlier that afternoon for her back pain.
[4]
The respondent continued to mix drinks for them
throughout the evening. The complainant believed she had between six and eight
drinks in total. She was not aware of how much alcohol was put in her drinks.
She felt buzzed but
nothing out of the ordinary. Two visitors stopped in
for short visits but largely the respondent and the complainant were alone. The
complainant remembered these visitors stopping in, and remembered decorating
the tree, listening to music and having drinks, but at some point, her memory
of the evening stops. At trial, she could not say with precision when the gap
began. She believed it was likely around 10 p.m. What she could recall
distinctly, however, was her next memory, which was waking up from sleep around
1:00 or 1:30 a.m. to find herself face down on the respondents bed, her pants
and underwear removed, and the respondent touching her vagina with his mouth and
fingers. He said to her that she was beautiful. The complainant was shocked and
scared. She lay still for a moment, unsure what to do, then she moved his hand
away, told him to stop, and got up.
[5]
After she got up, the complainant gathered her
clothes from the floor and went to the bathroom to put them on. Then she went
to the kitchen and collected her jacket and bag. The respondent asked her if
she was mad at him, and she said that she was. He asked her to wait and said he
would call a taxi, but she refused and left. She immediately called a friend and
made her way to the friends house on foot. The friend convinced her to call
her mother to tell her what had happened. The police were contacted. After
attending the police station, the complainant was taken to Sudbury Hospital for
the administration of a sexual assault kit.
[6]
The Crown called a forensic scientist from the
Centre of Forensic Sciences to give expert opinion evidence about the presence
of alcohol and drugs found in the complainants blood and urine samples taken
the morning of December 20, 2017. With respect to alcohol, the expert testified
that alcohol was detected in the complainants blood at a concentration of 59
milligrams of alcohol in 100 millilitres of blood, and in her urine at a
concentration of 92 milligrams of alcohol in 100 millilitres of blood. The
expert was asked to calculate, based on these figures, what the estimated blood
alcohol concentration (BAC) would have been at the time of the offence, between
10 p.m. and 1:30 a.m. The expert testified that the complainants BAC would
have been between 119 and 249 milligrams of alcohol in 100 millilitres of
blood.
[7]
The expert provided a description of the
possible effects of a BAC of 59 milligrams of alcohol in 100 millilitres of
blood, and the possible effects of the projected BAC range at the time of the
offence of 119-249 milligrams of alcohol per 100 millilitres of blood. She said
that a BAC of 59 per 100 could have minimal effects, depending on tolerance. However,
a BAC of between 119 and 249 per 100 could have dramatic effects. Effects at
the lower end of the range could include slurred speech, motor incoordination,
increased sociability and talkativeness. Toward the higher end of the range,
effects would become more and more dramatic, including significant instability
in ones ability to walk, vomiting, nausea and even unconsciousness. Again, a
persons tolerance would have a bearing on the effects. A person with low
tolerance could experience such dramatic effects at a lower BAC.
[8]
The complainant testified that she was an
experienced drinker. While she said that she was not a heavy drinker, she also
said that it was not unusual for her to have eight to ten drinks. The
complainant also acknowledged that she had blacked out a handful of times since
she turned 19 years old, and that these black outs came over her abruptly.
[9]
The expert also provided an opinion on the three
substances that were detected in the complainants urine: codeine glucuronide,
morphine metabolite and acetaminophen. The expert described the effects of
these substances and offered the opinion that the effects of alcohol can be
increased by codeine and/or morphine, leading to increased sedation, increased
drowsiness, motor skill impairment and possible memory impairment.
[10]
The Crown also filed biology reports from the
Centre of Forensic Sciences. The reports established overwhelmingly that the
respondents DNA was found on the complainants genitals after the assault.
B.
The decisions below
(1)
The Trial
[11]
The trial judge acknowledged that the critical
issue was consent. Sexual contact was admitted, and the DNA evidence left [n]o
question that sexual activity occurred. On the issue of consent, the trial
judge concluded, based on the whole of the evidence, that the complainant was
both unable to consent to the sexual activity that occurred and did not in fact
consent to the sexual activity that occurred.
[12]
The trial judge referred to certain principles
that she drew from the decision of
R. v. J.R.
(2006), 40 C.R. (6th) 97
(Ont. S.C.), affd 2008 ONCA 200, 59 C.R. (6th) 158, leave to appeal refused, [2008]
S.C.C.A. No. 189 (
Daigle
), and [2008] S.C.C.A. No. 231 (
Roberts
).
The trial judge went on to address the concepts of blacking out and passing
out. The trial judge noted that while people often use the terms as being
synonymous, they are not. She said:
Passing out is a deep state of sleep or
unconsciousness, whereas a blackout is a conscious person, a somewhat conscious
person who may still be doing and saying things, but afterwards have no memory.
[13]
The trial judge concluded that the complainant was
unable to and did not consent to the sexual activity that occurred. The trial
judge gave a number of reasons for that conclusion which largely turned on her
review of the evidence. The trial judge also found that the complainant was an
extremely credible witness. The trial judge ultimately concluded that the
complainant was unconscious when the sexual activity occurred. She appeared to
find some additional support for this conclusion from the fact that the
respondent had asked the complainant, before she left his home, whether she was
mad at him. The trial judge found that this indicated that the respondent knew
that the complainant had not consented to the sexual activity.
(2)
The Summary Conviction Appeal
[14]
On appeal by the respondent, the summary
conviction appeal judge (SCAJ) set aside the conviction and ordered a new
trial. In reaching her conclusion, the SCAJ was critical of the trial judges
reasons. In particular, the SCAJ said that the trial judge had failed to
address, in her reasons, (i) when the complainant became unconscious and (ii)
whether the complainant consented to the sexual activity before she became
unconscious.
[15]
The SCAJ said that it was impossible to know with
certainty what happened on the night in question. She said that it was possible
that the respondent took liberties with the complainant while she was
unconscious, but it was also possible that the complainant had consented to the
sexual activity while she was blacked out and conscious. The SCAJ said that the
trial judge had failed to grapple with both possibilities.
[16]
The SCAJ further criticized the trial judge for
her failure to address the expert evidence of the toxicologist. The SCAJ said,
at para. 36:
In short, the record disclosed no reliable lay
witness evidence and no expert evidence establishing the complainants level of
alcohol consumption or level of intoxication at any point during the evening.
There was no foundation upon which to establish when or whether the complainant
was rendered unconscious. There was no foundation upon which to establish the
absence of consent or the [respondent]s knowledge of the absence of consent.
If the trial judge observed a pathway in the evidence to reach these
conclusions, she did not disclose it in her reasons.
[17]
The SCAJ then referred to this courts decision
in
R. v. Garciacruz
, 2015 ONCA 27, 320 C.C.C. (3d) 414, and said that
the trial judges reasons did not meet the functional needs of reasons for
decision.
[18]
The SCAJ returned to the trial judges failure
to mention the evidence of the toxicologist. She was especially critical of the
trial judges failure to address the experts evidence that an experienced
drinker may have demonstrated no visible effects of intoxication.
[19]
Having made that remark, the SCAJ then
criticized Crown counsel for failing to provide the toxicologist with information
that might have permitted the toxicologist to render a conclusive opinion. The
SCAJ said, at para. 44:
The Crowns failure to fully arm their expert
and the court with the facts suggests that those facts may not have supported
the Crowns theory regarding the complainants capacity to consent or the [respondent]s
knowledge of any lack of capacity.
[20]
The SCAJ continued on this point at para. 45:
Given the complainants memory lapse and the
absence of other witnesses, evidence of the complainants level and appearance
of intoxication between 10:00 p.m. and 1:30 a.m. was critical to understanding
her capacity to consent, the [respondent]s knowledge regarding her capacity to
consent, and the likelihood of her loss of consciousness due to alcohol
consumption.
[21]
Finally, the SCAJ dealt with the issue of
post-offence conduct, that is, the fact that the respondent had asked the
complainant whether she was mad at him. The SCAJ said, at para. 50:
The trial judges perfunctory conclusion that
the [respondent]s inquiry about whether the complainant was mad demonstrated
his knowledge of her lack of consent flies in the face of all appellate court
guidance about the treatment of post-effect conduct evidence.
[22]
The SCAJ found that this evidence was equivocal
and did not demonstrate actions inconsistent with that of an innocent person.
[23]
The SCAJ concluded that the trial judges
errors of law were fatal to her decision to convict. She allowed the appeal
and ordered a new trial.
C.
Analysis
[24]
The appellant raises four grounds of appeal:
1)
Did the SCAJ err in finding the trial judges
reasons insufficient?
2)
Did the SCAJ err in finding the trial judge had
erred by failing to address perceived deficiencies in the expert evidence?
3)
Did the SCAJ err in holding that there was a
basis for the trial judge to draw an adverse inference against the Crown for
failing to elicit certain evidence from the complainant that was deemed by the SCAJ
to be necessary to evaluate the expert evidence?
4)
Did the SCAJ err in finding that the trial judge
had erred by not giving a reasoned explanation for her use of the post-offence
conduct evidence?
[25]
In my view, there is merit to at least the first
three of these grounds of appeal. I will deal with each of them in turn.
(1)
Sufficiency
of reasons
[26]
In my view, the SCAJ was unduly critical of the
trial judges reasons. This was largely a fact driven case. The trial judge
reviewed the facts and reached certain conclusions regarding them. She also
explained the reasons for her conclusions. The trial judges reasons permitted
appellate review, as is evident from the review undertaken by the SCAJ. While
there may be opposing views on the conclusions reached by the trial judge, that
fact does not render the reasons insufficient. In approaching the trial judges
reasons as she did, the SCAJ committed the error in appellate review described
in
R. v G.F.
, 2021 SCC 20, 459 D.L.R. (4th) 375, at para. 76, that is,
a search for error arrived at by parsing imperfect or summary expression on the
part of the trial judge.
[27]
One of the particular criticisms of the trial
judges reasons offered by the SCAJ is her failure to mention the evidence of
the toxicologist. I make two points in response to that criticism. First, a
trial judge is not required to refer to every piece of evidence that is
presented. This basic principle applies equally to expert evidence as it does
to factual evidence. The evidence of the toxicologist was not definitive on the
issue of consent, nor could it have been. It was up to the trial judge to
decide whether it provided assistance to her. Because the expert evidence was
not definitive, I can understand why the trial judge did not mention it. Second,
I would note, on this point, that the trial judge said, at the outset of
her reasons, that she had considered the totality of the evidence in coming
to her conclusion. There is no reason, on the record, to conclude that she did
not do so.
(2)
Deficiencies in the expert evidence
[28]
The SCAJ appears to be critical of the expert
evidence, and Crown counsels presentation of it, on the basis that it did not
provide a definitive explanation. I reject that criticism. Experts are often
unable to provide definitive opinions or explanations because those definitive
opinions require established facts and, as is often the case in a criminal
prosecution, those facts are not established at the time when the expert
renders their opinion.
[29]
The SCAJ is also wrong to criticize the trial
judge for accepting the toxicologists most dire estimation of the
complainants state of mind at the time of the incident. The trial judge did
no such thing. I would also note that the SCAJs finding on this point is
entirely inconsistent with the SCAJs criticism that the trial judge failed to
refer to the evidence of the toxicologist.
[30]
The toxicologists evidence would have provided
some support for the complainants account, including the reliability of her
evidence that she lost consciousness and awoke to find the respondent
performing sexual acts on her. To the degree that the trial judge may have
found the toxicologists evidence of assistance to her in assessing the
complainants evidence, she was entitled to rely on it in reaching her conclusions.
However, as I have already mentioned, the trial judge was not required to rely
on this evidence nor, if she did, was she required to enunciate the details of
that reliance. The fact of the matter is that the expert evidence did not stand
in the way of the conclusions that the trial judge reached. In fact, it
provided some support for the complainants evidence that she had passed out as
a result of her consumption of alcohol provided at the hands of the respondent.
Had the expert evidence presented an obstacle to that conclusion, it would then
have been necessary for the trial judge to explain why that evidence did not
preclude her conclusions. That is not what occurred in this case, however.
[31]
I would add, on this point, that this case is
entirely different from what was dealt with in
Garciacruz
. In that
case, there were inconsistencies in the complainants evidence that the trial
judge had not addressed or explained. There were no such inconsistencies here.
Indeed, as I have noted, the trial judge found the complainant to be an
extremely credible witness. The trial judge was entitled to accept the
complainants evidence and to reach the conclusion that she did on the issue of
consent.
(3)
Availability of an adverse inference
[32]
The SCAJ found that Crown counsel had failed to arm
their expert and the court with certain facts. She went on to suggest that
those facts may not have supported the Crowns theory regarding the
complainants capacity to consent or the respondents knowledge of any lack of
capacity. The SCAJ then said it would have been appropriate for the trial judge
to draw an adverse inference against the Crown arising from its failure to
elicit those facts.
[33]
The SCAJs conclusion on this point is
unprecedented and it is wrong in law. It unnecessarily extends the principles
underlying the law on when it is appropriate to draw an adverse inference. That
extension, in this case, also treads heavily on prosecutorial discretion. Neither
side has produced a single case where an adverse inference was properly drawn
from the failure of a party to provide certain facts to an expert. Rather, the
failure of an expert to be provided with relevant facts, or the failure of an
expert to consider relevant facts, are normally matters that go to the
reliability of the expert opinion and the weight to be given to it: see, e.g.,
R. v.
Gibson
, 2021 ONCA 530, 157 O.R. (3d) 597, at para. 203. The failure of an
expert to advert to certain facts is very often fodder for effective
cross-examination of the experts opinion.
[34]
Two principles relating to adverse inferences
are important. First, the drawing of adverse inferences is to be approached
with great caution:
R. v. Zehr
(1980), 54 C.C.C. 2d 65 (Ont. C.A.), at
p. 68. Second, an adverse inference normally arises from either a failure to
call a material witness or a failure to produce material evidence:
R. v.
Ellis
, 2013 ONCA 9, 113 O.R. (3d) 641, at para. 45. The SCAJ does not
appear to have considered or applied either of these principles before rendering
her criticism of Crown counsel and of the trial judge.
[35]
I would also observe, on this point, that there
are problems with the three deficiencies that the SCAJ identified in the
information that she says was not given to the toxicologist. Those deficiencies
were identified by the SCAJ as: (i) when or whether the complainant consumed
any substances containing codeine or morphine in the 12 to 48 hours prior to
her urine sample; (ii) whether the complainant consumed any substances containing
codeine or morphine with a frequency that would have caused her to develop a
tolerance to them; and (iii) how often the complainant consumed alcohol and how
much she typically consumed.
[36]
The first two of these asserted deficiencies
deal with any consumption of codeine or morphine. That was not the central
issue in this case. The central issue was the consumption of alcohol. In any
event, Crown counsel did ask the complainant about her consumption of drugs,
both prescription and non‑prescription, during the complainants examination
in chief. That information was before the court and, indeed, the toxicologist
was asked about it. The third alleged deficiency dealt with alcohol but,
contrary to the findings of the SCAJ, that evidence was also before the court.
As noted in para. 8 above, the complainant gave evidence of her drinking habits
during the course of her cross-examination. If either party wished to put that
evidence to the expert, they could have. And, of course, if there was other
evidence that the respondent considered relevant to the evaluation of the
toxicologists evidence, he had full opportunity to elicit it.
[37]
A further concern with the SCAJs reasoning, on
this point, is that it unfairly criticizes Crown counsel for the manner in
which she decided to present her case. The Supreme Court has directed that courts
should be careful before they attempt to second-guess the prosecutors
motives when he or she makes a decision:
R. v. Power
, [1994] 1 S.C.R.
601, at p. 616. Indeed, in this case, the SCAJ goes so far as to suggest that what
she thought was missing evidence would, if it had been provided to the expert, have
led to a different opinion, one that would have been contrary to the Crowns
position and might have possibly undermined the complainants evidence.
[38]
There is no basis for such an assertion. While,
contrary to the SCAJs conclusion, there was evidence on each of these three
points, even if more evidence had been adduced and it is hard to see how much
more such evidence could have been adduced there is no basis for finding that
it would have impacted on the experts opinion. It must be kept in mind, in
considering this issue, that there were at least three hours (10:00 p.m. to
1:00 a.m.) during which there was no evidence of what had occurred. Only two
people could have provided that evidence directly. One was the complainant, who
had no memory of that time, and the other was the respondent, who did not give
evidence as he was fully entitled not to do.
[39]
Given that gap in the evidence, the expert was
never going to be in a position to provide a definitive opinion because the
expert could not know what had happened during those three hours. The SCAJs
finding that evidence of the complainants level, and appearance, of
intoxication during these three hours was critical to understanding her
capacity to consent ignores the reality that the evidence was unobtainable. It
is also decidedly unfair to use the absence of that evidence as a justification
for finding that there was a gaping hole in the trial judges reasons.
(4)
Post-offence conduct
[40]
As was observed by this court in
R. v. Hall
,
2010 ONCA 724, 263 C.C.C. (3d) 5, at para. 131, leave to appeal refused, [2010]
S.C.C.A. No. 499: the problem with post-offence conduct evidence is that it is
often at best equivocal. I accept that the question by the respondent to the
complainant as to whether she was mad at him is equivocal on the question of
consent. I do not accept the appellants position that the content of the question,
and the fact that the respondent asked this question in the context that he did,
can only reasonably support the inference that he knew that the complainant had
not consented to the sexual activity. It is equally possible that the
respondent was confused as to why the complainant had suddenly stopped what might
have been consensual sexual activity and he wanted to know the reason.
[41]
However, the trial judges use of this
post-offence conduct is not fatal in this case for at least two reasons. One is
that it forms a very small part of the trial judges analysis. Indeed, it
appears to be almost an
obiter
comment. It is addressed at the very
end of her reasons where she simply says that the respondents question demonstrates
to this court that he knew she was not conscious. The other reason is that
this was a judge-alone trial. The concerns about the potential misuse of
post-offence conduct evidence are greatly reduced from what they would be in a
jury case: see
R. v. S.B.1
,
2018 ONCA 807, 143 O.R. (3d) 81,
at paras. 118-120.
[42]
I would add that the trial judges handling of
this evidence did not warrant the degree of criticism that was levelled by the
SCAJ. In particular, it was unfair to say that the trial judges mentioning of
the evidence flies in the face of all appellate court guidance. It does not.
(5)
Summary
[43]
The SCAJ did not take the proper approach to
appellate review of the trial judges reasons. Rather, it is clear that the
SCAJ decided to retry the case and to substitute her view of the evidence, and
its cogency, for that of the trial judge. That is not the appellate role. Nor
is it the appellate role to go on a hunt for error:
R. v. G.F.
, at
para. 69.
[44]
The SCAJ herself fell into error in her analysis
by not considering the principles enunciated in
R. v. J.A.
, 2011 SCC
28, [2011] 2 S.C.R. 440. In considering the issue of consent in that case,
the court made the following point, at para. 66, which is particularly apt to
the facts of this case:
The definition of consent for sexual assault
requires the complainant to provide actual active consent throughout every
phase of the sexual activity.
It is not possible for an unconscious person
to satisfy this requirement, even if she expresses her consent in advance.
Any sexual activity with an individual who is incapable of consciously
evaluating whether she is consenting is therefore not consensual within the
meaning of the
Criminal Code
. [Emphasis added.]
[45]
The respondent acknowledges that there is a
period of at least three hours during which there is no evidence of what was
occurring between the complainant and the respondent, especially on the issue
of consent. Even if one was prepared to accept that the complainant initially
consented to the sexual activity, but does not remember because she had
blacked out, it is readily apparent that, at some later point, she became
unconscious. The fact that she woke up, as the trial judge accepted, leaves
no doubt about that fact.
[46]
The trial judge was entitled, on the evidence,
to conclude that the complainant awoke from her unconscious state to find the
respondent engaging in sexual activity with her. The trial judge was therefore
also entitled to conclude that the Crown had proved an absence of consent at
that time and in the time period immediately prior to that happening. On the
principle established by
J.A.
, there could not be consent, given that
the complainant was unconscious. The respondent must have known of that, as the
trial judge found. A finding of guilt properly followed from those findings.
[47]
The SCAJ erred in setting aside the conviction.
D.
Conclusion
[48]
I would allow
the appeal, set aside the judgment below, and reinstate the conviction and the
sentence imposed on the respondent. If appropriate arrangements cannot be made
for the surrender of the respondent, a warrant for his arrest may issue.
Released: February 23, 2022 K.M.v.R.
I.V.B.
Nordheimer J.A.
I agree. K. van
Rensburg J.A.
I agree. J.
George J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Doxtator, 2022 ONCA 155
DATE: 20220222
DOCKET: C66291 & C66431
MacPherson, Roberts and Miller JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Jasmine Doxtator
Appellant
and
AND BETWEEN
Her Majesty the Queen
Respondent
and
Richard Doxtator
Appellant
Richard Litkowski, for the appellant, Jasmine Doxtator
Jessica Zita, for the appellant, Richard Doxtator
Andreea Baiasu, for the respondent
Heard: September 27 and October 20, 2021 by
video conference
On appeal from the convictions entered by Justice James A.
Ramsay of the Superior Court of Justice, sitting with a jury, on September 21,
2017.
L.B. Roberts J.A.:
A.
Overview
[1]
The appellants appeal their respective convictions for the first degree
murder of Joseph Caputo, committed on June 19, 2015.
[2]
The appellants request a new trial. Their principal submission is that
the trial judge erred in failing to leave for the jurys consideration for
Jasmine Doxtator the included offences of second degree murder and
manslaughter. Since their cases are intertwined, the appellants argue, if a new
trial is ordered for Ms. Doxtator, Richard Doxtator should also have a new
trial.
[3]
For the reasons that follow, I agree that the
included offences of second degree murder and manslaughter should have been
left with the jury for Ms. Doxtator and would order a new trial. As a
result, I do not need to address Ms. Doxtators grounds of appeal
concerning the trial judges instructions on party liability. I would also
order a new trial for Mr. Doxtator.
B.
Factual Background
(a)
The death of Mr. Caputo
[4]
Except as otherwise indicated, the following is
a summary taken from Ms. Doxtators testimony and concessions at trial, as
well as the unchallenged forensic evidence. Mr. Doxtator did not testify at
trial but relied on Ms. Doxtators testimony. As I would order a new trial, I
make no findings regarding the ultimate credibility and reliability of this evidence.
I take it at its most favourable for the appellants for the purposes of
assessing whether, on the totality of the evidence, the jury could have had a
reasonable doubt with respect to whether Mr. Caputos murder was planned and
deliberate or whether Ms. Doxtator had murderous intent:
R. v.
Ronald
, 2019 ONCA 971, at paras. 46-48, 59;
R.
v. Tenthorey
, 2021 ONCA 324, at paras. 70-71, 75.
[5]
The appellants are cousins. They lived in
Hamilton, Ontario. Mr. Caputo was Ms. Doxtators former drug dealer and friend whom
she had known for many years before his death. She was familiar with Mr.
Caputos apartment in Niagara Falls, where his death occurred, because she had visited
him often. A day or two prior to Mr. Caputos death, Ms. Doxtator told Mr.
Doxtator that the last time she saw Mr. Caputo he had drugged and raped her and
that he was stalking her teenaged daughter. Up until that point, Ms. Doxtator
had kept this information from Mr. Doxtator because she was concerned it
would make him upset.
[6]
On June 18, 2015, the appellants borrowed Ms.
Doxtators cousins Jeep and attended a drive-in movie theatre. There, Ms.
Doxtator and Mr. Doxtator talked about the problems she was having with Mr.
Caputo. Ms. Doxtator became very upset. The appellants left the theatre without
seeing the movie. Ms. Doxtator called Mr. Caputo and arranged to meet him. The
appellants then drove to Niagara Falls, Ontario, to confront Mr. Caputo about
his behaviour and tell him to stay away from Ms. Doxtators daughter. Mr.
Doxtator was to lend support and protection. Ms. Doxtator was concerned about
going alone because of what had happened the last time she saw Mr. Caputo.
[7]
In cross-examination, the Crown suggested to Ms.
Doxtator that her description of events made it sound like the appellants were
going to threaten Mr. Caputo. Ms. Doxtator disagreed that it sounded like she
was going to threaten him.
[8]
Once in Niagara Falls, Ms. Doxtator met up with Mr.
Caputo at a McDonalds restaurant. They did not stay at the restaurant but went
to Mr. Caputos apartment. While Ms. Doxtator initially testified the
restaurant was closed, the parties later agreed it was open. Ms. Doxtators
evidence was that Mr. Caputo drove back in his car and Mr. Doxtator and Ms.
Doxtator drove in the borrowed Jeep. The Crown maintained Mr. Caputo drove Ms.
Doxtator back to his apartment and Mr. Doxtator followed them, without Mr.
Caputos knowledge, in the borrowed Jeep. The apartments security camera
showed only Mr. Caputo and Ms. Doxtator passing together through the lobby at
around 12:57 a.m. Mr. Caputos apartment was on the first floor and had a back
door to a patio. Mr. Doxtator waited outside by the back door. Mr. Doxtator ultimately
gained entrance into Mr. Caputos apartment through the back door. Ms. Doxtator
maintained that Mr. Caputo opened the door when Mr. Doxtator knocked; the Crown
contended that Mr. Doxtator hid on the patio and Ms. Doxtator unlocked the back
door so Mr. Doxtator could enter.
[9]
Ms. Doxtator and Mr. Caputo argued in his apartment.
A neighbour testified hearing what he thought sounded like a domestic dispute
between a husband and wife. Ms. Doxtator and Mr. Caputo became upset when she
confronted Mr. Caputo about his raping her and his harassment of her daughter. Mr.
Doxtator told Mr. Caputo to let her speak. Mr. Caputo became enraged. He
grabbed a kitchen knife, told them both to get the F out of his house, and started
moving toward Mr. Doxtator. Mr. Doxtator held Mr. Caputo off with his hand on Mr.
Caputos forehead but a struggle ensued. It was at this point that Ms. Doxtator
left through the back door, closing her eyes and putting her hands over her
ears. She did not see Mr. Doxtator stab Mr. Caputo but on re-entering the
apartment, she saw blood everywhere and Mr. Doxtator cleaning his hands. Ms. Doxtator
did not see or know if Mr. Doxtator brought a knife with him. The appellants
conceded at trial that Mr. Doxtator caused Mr. Caputos death.
[10]
The appellants left the apartment and locked the
front door with Mr. Caputos keys. At about 1:22 a.m., the apartments video
footage showed Ms. Doxtator leaving the apartment building with Mr. Doxtator.
The appellants began driving back to Hamilton. However, about an hour later
they returned to Mr. Caputos apartment to retrieve Ms. Doxtators cup that she
had left behind, as witnessed by a neighbour.
[11]
The Crown suggested Mr. Caputos apartment had
been ransacked and that some money had been taken. Mr. Doxtators bloodied
footprints were found throughout the apartment. Ms. Doxtator maintained they
did not take any money or drugs from the apartment, although she testified that
she knew where Mr. Caputo kept drugs. The police later found on the
Niagara bound side of the highway items belonging to Mr. Caputo that may
normally be kept in a wallet, including various pieces of Mr. Caputos
identification, insurance cards, and his vehicle ownership card. Mr. Caputos cell
phone was also found on the side of Valley Way Road in Niagara Falls.
[12]
On their return to Hamilton, the appellants threw
away the kitchen knife used in the stabbing and Ms. Doxtators bloodied shoes
into a grocery store garbage bin. The kitchen knife was never recovered. Video
footage at Mr. Doxtators fathers apartment shows the appellants putting items
into the dumpster at the rear of the building.
[13]
The appellants returned the Jeep to Ms.
Doxtators cousin the following day and then spent the next several days moving
around and living transiently until they were arrested by the police. One
witness testified that prior to the appellants arrest, Mr. Doxtator had asked
if he knew anyone who could forge documents and indicated that he was trying to
go to Awkesasne, which borders New York State. Mr. Doxtator sent text messages
that read, Im in a jam and I needed a place to recoup, gather my thoughts and
figure shit out; I fucked up; and [c]an we set up our tent in house your
backyard for a week til I figure out the next move. Me and my girl and her
daughter need to leave Canada soon. Ms. Doxtator texted a friend that she was
in big trouble and she was scared.
[14]
According to the forensic evidence, Mr. Caputos
blood was found in the inside back door area of his apartment, which continued
through the living room, along the corridor and into the hallway area where his
body was found. Mr. Caputo had sustained 18 individual sharp force injuries,
which were cutting and stabbing wounds, and had superficial defensive wounds on
his hands and the back of his arms. Three of the stab wounds to his upper back
area that punctured his lungs could have been fatal; one stab wound to the front
of his chest pierced his heart and killed him. According to the expert forensic
pathologist, Dr. John Fernandes, the stab wound to the heart required a good
deal of force, as it cut a bone entirely in two. The defensive injuries that he
found on Mr. Caputo were indicative of a struggle. He agreed that the injuries
were caused in rapid succession and that Mr. Caputo could have continued
to stagger for a very short period of time after the fatal wound was inflicted.
[15]
Traces of Mr. Caputos blood were found on and
near the borrowed Jeeps gear lever and on a bag seized from the place where
the appellants were staying on their arrest. The police seized from the
borrowed Jeep a hunting knife belonging to Mr. Doxtator. Mr. Doxtators DNA was
found on the knife. There was blood on Mr. Doxtators hunting knife that was in
too small a quantity to analyze. According to Dr. Fernandes, the knife that
killed Mr. Caputo would have had a cutting edge with no serrations. He opined
that the hunting knife could be of the type of knife responsible for Mr.
Caputos injuries or it could have been a larger knife, such as a chefs knife.
(b)
Trial proceedings
(i)
Parties Trial Positions
[16]
At trial, the Crowns primary theory was that
the appellants carried out the planned and deliberated murder of Mr. Caputo in
retaliation for his rape of Ms. Doxtator and to protect her daughter. The
Crown argued that Ms. Doxtator planned and facilitated the murder with Mr.
Doxtator who did not know Mr. Caputo or where he lived: she called Mr. Caputo
to arrange a meeting, lured him back to his apartment, and then opened the door
to Mr. Doxtator who immediately stabbed Mr. Caputo to death with the hunting
knife he had brought for that purpose. The Crown argued that following the murder,
the appellants stole Mr. Caputos wallet and ransacked the apartment for
anything of value.
[17]
While not part of the Crowns final submissions,
in his charge to the jury the trial judge also stated that another possible
motive derived from the evidence was that the appellants planned to carry out a
robbery of drugs and money that Ms. Doxtator knew Mr. Caputo kept at his apartment.
[18]
The appellants defence depended on Ms.
Doxtators evidence that although they intended to confront Mr. Caputo, the
appellants never intended or planned to kill or physically hurt him. The
appellants position was that Mr. Doxtator stabbed Mr. Caputo in self-defense in
response to Mr. Caputo attacking him with a kitchen knife. Alternatively, it
was argued that Mr. Doxtator acted instinctively and so lacked the intent for
murder and should therefore be found guilty of the lesser included offence of
manslaughter.
(ii)
Pre-charge conference and rulings
[19]
At the pre-charge conference, the trial judge
initially ruled that manslaughter would be left to the jury for Ms. Doxtator
but that there was no air of reality to self-defense for Mr. Doxtator. His
ruling was very brief:
I have decided that I do not think there is an
air of reality to self-defence. I
have
also decided
that I think there is an air of reality to manslaughter for Jasmine Doxtator. I
have given you the bare bones of what I plan to tell the jury in law about
these offences.
[20]
After hearing further submissions, defence
counsel persuaded the trial judge that only first degree murder or acquittal
would be the verdicts left with the jury for Ms. Doxtator, and that for Mr.
Doxator, self-defense, along with the potential verdicts of second degree murder
and manslaughter, would be left with the jury. He stated: Okay, it is all or
nothing for Jasmine and I will leave self-defence for Richard. But do not spend
too much time on that.
(iii)
Verdicts
[21]
The jury returned in under six hours, rendering
verdicts of first degree murder for both appellants. Both appellants were
sentenced to life imprisonment without eligibility of parole for 25 years.
C.
Issues and the Parties Positions on Appeal
[22]
The appellants submit that the trial judge erred
in his jury instructions by failing to leave with the jury the included
offences of second degree murder and manslaughter as potential verdicts for Ms.
Doxtator, notwithstanding the insistence of her trial counsel that only first
degree murder should be left with the jury. They assert that it was open to the
jury on the evidence to have a reasonable doubt as to whether Ms. Doxtator had
the requisite intent for murder or whether the murder was planned and
deliberate. As a result, they argue, the jury was pushed into the stark binary
choice between a first degree murder verdict or an acquittal for Ms. Doxtator
and, by extension, for Mr. Doxtator. According to the appellants, the failure
to leave second degree murder and manslaughter for Ms. Doxtator undermined Mr.
Doxtators defence and tainted the verdict of first degree murder: having
returned a first degree murder verdict for Ms. Doxtator, the jury would not have
come to a verdict of less than first degree murder for Mr. Doxtator who stabbed
Mr. Caputo.
[23]
The Crown submits that the trial judge did not
err in acceding to defence counsels adamant request that only first degree
murder should be left with the jury for Ms. Doxtator because there was no air
of reality to the included offences. There is no reasonable view of the
evidence, on the Crowns submission, on which a jury would have doubt of
planning and deliberation but convict Ms. Doxtator of second degree murder or
manslaughter. Moreover, the structure of the jury instructions ensured that the
jury would consider a separate verdict for each accused and reach a verdict for
Mr. Doxtator before turning to consider the charge against Ms. Doxtator. There
was no complaint about the charge that left first degree murder, second degree
murder and manslaughter for Mr. Doxtator. As a result, the Crown argues, the
appellants suffered no prejudice and received a fair trial. The Crown submits
that given the appellants plan to confront Mr. Caputo and the forensic
evidence of the ferocity of the stabbings from the moment Mr. Doxtator was let
into the apartment, a verdict of first degree murder was inevitable for both
appellants. The Crown contends that if there was an error in the jury
instructions, this court should apply the
curative proviso
.
D.
Analysis
(i)
General principles
[24]
There is no question that trial judges have a
broad discretion in fashioning jury charges. Their decision about how much
evidence to review, what structure to use and how to organize the charge falls
within that discretion and, absent reversible error, is owed deference on
appeal:
R. v. Newton
, 2017 ONCA 496, 349
C.C.C. (3d) 508, at para. 11.
[25]
However, a failure to leave with the jury a
possible verdict that arises on the evidence is an error of law to which no appellate
deference is owed. It is well established that a trial judge has a duty to
instruct the jury on all bases of liability that are available on the evidence:
R. v. Kostyk
, 2014 ONCA 447, 312 C.C.C. (3d)
101, at para. 40.
[26]
In first degree murder cases, where there is any
air of reality on the evidence, the included offences of manslaughter and
second degree murder should be left with the jury:
Ronald
, at para. 41;
R. v. Romano
, 2017
ONCA 837, 41 C.R. (7th) 305, at paras. 13-14;
R. v. Babinski
(2005), 193 C.C.C. (3d) 172 (Ont. C.A.), at para. 45, leave to
appeal refused, [2005] S.C.C.A. No. 201;
R. v. Aalders
, [1993] 2 S.C.R. 482, at p. 504; and
R. v. Luciano
, 2011 ONCA 89, 267 C.C.C. (3d) 16, at para. 75.
[27]
In some cases, like here, the trial judges
instructions will not accord with the position advanced by counsel for the
Crown or the defence; however, this is not dispositive of the issue because it
is the trial judges role to charge the jury on all relevant questions of law
that arise from the evidence:
R. v. Pickton
, 2010
SCC 32, [2010] 2 S.C.R. 198, at para. 27. As this court instructed in
R.
v. Polimac
, 2010 ONCA 346, 254 C.C.C. (3d) 359, at para.
97, leave to appeal refused, [2010] S.C.C.A. No. 263:
Counsels position at trial is of course not determinative when
misdirection or non-direction is raised as a ground of appeal. A legal error
remains a legal error even if counsel does not object or even supports the
erroneous instruction
. [Citations omitted.]
[28]
By the same token, the law is sensible: a
trial judge should not leave verdict options that a reasonable jury, properly
instructed, could not arrive at. This would create a breeding ground for
confusion and compromise and give the jury the option to make an unreasonable
decision:
Romano
, at paras. 14-16;
R.
v. Wong
(2006), 211 O.A.C. 201 (C.A.), at para. 12.
[29]
As this court stated in
Ronald
, at para. 43, the purpose of the air of reality test is to focus
the jurys attention on the live issues actually raised by the evidence. This
reduces the risks of unreasonable verdicts, juror confusion, or improper
compromise by jurors.
[30]
The overarching consideration for the trial
judge in determining whether to leave included offences as verdict options for
the jury is, as this court directed in
Ronald
,
at para. 46, whether, on the totality of the evidence, the jury could
reasonably be left in doubt with respect to an element of the main charge that
distinguishes that charge from an included offence. This court reiterated in
Ronald
, at para. 42:
There should be no instruction on potential
liability for an included offence
only when
, on a consideration of the totality
of the evidence and having due regard to the position of the parties and the
proper application of the burden of proof, there is no realistic possibility of
an acquittal on the main charge and a conviction on an included offence. [Citations
omitted; emphasis added.]
[31]
Importantly, unlike positive defences, there is
no evidentiary burden placed on the defence or Crown to put the possibility of
a conviction for the included offence
in play:
Ronald
, at para. 47. In other words, the appellants do not need point to
evidence that supports inferences inconsistent with first degree murder. Rather,
the trial judge must consider whether the jury could draw inferences, or not
draw inferences from certain evidence, that could open the door to a doubt on
an element such as planning and deliberation or murderous intent:
Ronald
, at para. 48.
(ii)
Did the trial judge err by not leaving the
included offences of second degree murder and manslaughter to the jury?
[32]
In assessing whether the included offence of
second degree murder should have been left to the jury, the question is whether
on the totality of the evidence, a reasonable jury could be left unconvinced,
beyond a reasonable doubt, that the murder was planned and deliberate:
Ronald
, at para. 47. Similarly, in assessing whether the included offence
of manslaughter should have been left to the jury, the question is if on all
of the evidence there is an air of reality to a finding that the Crown had not
proved beyond a reasonable doubt that the killer had either of the requisite
intents required for murder:
Babinski
, at
paras. 45.
[33]
In my view, on the totality of the evidence, a
reasonable jury could have been left in doubt on whether Mr. Caputos murder
was planned and deliberate or whether Ms. Doxtator had the requisite intent
required for murder.
[34]
In his charge to the jury, the trial judge set
out the possible verdicts for Ms. Doxtator: guilty of first degree murder
or not guilty of first degree murder. He reviewed the elements of the offence
of first degree murder that the Crown was obliged to establish beyond a
reasonable doubt. He related in detail circumstantial evidence that he
instructed the jury might be relevant to planning and deliberation, as follows:
·
Jasmine and Richard Doxtator were in Joe
Caputos apartment for twenty-five minutes, during which time blood was let
from one end of the apartment to the other.
·
Jasmine had Joe pick her up at McDonalds
instead of going straight to his apartment.
·
Jasmine wanted to speak to Joe at his apartment
instead of in a public place like McDonalds. She testified that McDonalds was
closed, but it was not.
·
Richard did not enter the apartment with
Jasmine.
·
Richard entered through the back door rather
than the front.
·
After Joe was dead or dying, Richard and Jasmine
stayed in the apartment for a few minutes to remove some items, and they locked
the front door behind them.
·
They took some items that one might find in a
wallet and returned for Jasmines cup and Joes cell phone.
·
They threw away the items from Joes apartment.
·
Richard Doxtator did not know Joe Caputo.
·
They drove from Hamilton, not staying to watch
the movie they told [Ms. Doxtators cousin] about, and drove to Niagara Falls
at a time when Jasmine had a beef with Joe Caputo, which Richard knew about.
Jasmine says that they left the movie because it turned out not to be the one
they expected.
·
Jasmine seems to be talking to Joe in a normal
manner as they enter the apartment, if that is what you think it looks like
it is up to you of course.
[35]
The trial judge further instructed that another
piece of circumstantial evidence related to planning and deliberation was the
knife found in the borrowed Jeep and stated that if Richard brought a knife
with him to Joes, that is a factor that could be used when deciding whether
planning and deliberation took place. He went on to compare the size of the
wound in Mr. Caputos heart to the width of the hunting knife found in the Jeep
with Mr. Doxtators DNA on the handle. He referenced Dr. Fernandess testimony
that it is not likely that a knife of this width would cause such an injury,
but he could not rule it out. The chest is compressible. He noted that while
the blood on the blade could not be profiled for DNA Joe Caputos blood was
not far away, in the same vehicle near the gearshift.
[36]
The trial judges summary of the evidence
contrary to planning and deliberation appears in the following short paragraph
of the charge:
The evidence contrary to planning and
deliberation is found in Jasmines testimony. She said that she and [Richard]
went to Joes so that she could tell Joe to stay away from her daughter. There
was no plan for [Richard] to come in and kill Joe. There was no plan for [Richard]
even to come in. He just knocked at the gate after she had been in the
apartment for 15 or 20 minutes and Joe let him in.
[37]
The jury was not obliged to accept the Crowns
theory or the trial judges suggestions about the use that they could make of
the circumstantial evidence to assess the elements of planning and deliberation.
However, the jury was not instructed that it could also reasonably take the
view that this evidence, considered with the rest of the evidence, in
particular, Ms. Doxtators evidence, did not support the assertion that the
murder was the product of a careful and considered scheme of the sort required
to establish planning and deliberation. As this court reiterated in
Ronald
, at para. 50, Not every act indicative of some preparation prior
to the murder, or some degree of planning, points only to a finding that the
murder was planned and deliberate, as that phrase is defined in the case law. And
there was the reasonable possibility that the jury would not draw any inference
from some of the evidence that the trial judge suggested may be relevant to
planning and deliberation:
Ronald
, at para.
46.
[38]
Similarly, with respect to the included offence
of manslaughter, a properly instructed jury could have reasonable doubt whether
Ms. Doxtator had the requisite intent for murder. A person may be convicted of
manslaughter who lacks the requisite
mens rea
for murder but aids and abets another person in the offence of murder, where a
reasonable person in all the circumstances would have appreciated that bodily
harm was the foreseeable consequence of the dangerous act which was being
undertaken:
R. v. Jackson
, [1993] 4 S.C.R.
573, at pp. 583. A reasonable view of the evidence could have led to the
inference that while the appellants may have planned a violent physical
encounter with Mr. Caputo, the appellants lacked murderous intent, and instead
planned to assault or rob him.
[39]
Ms. Doxtators evidence, together with the
forensic evidence, permitted the reasonable inferences that although the
appellants previously did not plan and deliberate on killing Mr. Caputo, once
in the apartment and embroiled in a conflict with him, Mr. Doxtator developed
the intent to kill Mr. Caputo, which was shared by Ms. Doxtator, or that the
planned physical confrontation escalated and led to his death.
[40]
Ms. Doxtators evidence was that she wanted to
confront Mr. Caputo and tell him to stop stalking her daughter and that their
friendship was over. She brought Mr. Doxtator along for security and support. A
witness testified hearing a man raise his voice and something that reminded him
of an argument between a husband and a wife. This is consistent with Ms.
Doxtators evidence that she and Mr. Caputo became involved in a heated
argument prior to the beginning of the physical altercation between Mr.
Doxtator and Mr. Caputo. Ms. Doxtator said she left the apartment once the physical
confrontation between Mr. Caputo and Mr. Doxtator began. There is no
suggestion that she stabbed Mr. Caputo or that she provided the murder weapon. She
testified she did not see Mr. Doxtator with the hunting knife. She said she ran
out of the apartment with her hands over her ears and shutting her eyes.
[41]
The jury was entitled to accept some, none, or
all of Ms. Doxtators evidence. The jury could have accepted Ms. Doxtators
testimony that the appellants did not plan or deliberate on the murder of Mr.
Caputo, while still rejecting Ms. Doxtators version of events of what happened
once the appellants were at Mr. Caputos apartment or her claims that they were
not planning to threaten him. As this court stated in
Tenthorey
, at para. 96: The air of reality test does not include
consideration of the reasonableness of a jurys choices about what evidence to
believe.
[42]
Furthermore, the following evidence, some of
which was referenced by the trial judge as supportive of planning and
deliberation, is equally consistent with a panicked and desperate reaction to
an unexpected killing:
i.
The
apparent ransacking and bloodied footsteps all over the apartment.
ii.
The appellants
leaving behind Ms. Doxtators cup and then returning to Mr. Caputos apartment.
iii.
The clumsy disposition
of clothing in dumpsters close to premises where the appellants had recently
stayed.
iv.
Mr. Doxtators
increasingly desperate text messages that suggested he was looking for places
to hide and to eventually leave the country. In particular, his text to Matt
that, I fucked up, and his text to Harvey, Im in a jam and I needed a place
to recoup, gather my thoughts and figure shit out
.. may be suggestive of
someone who unintentionally committed a killing and are not suggestive only of
someone who had committed a planned and deliberate killing.
[43]
The evidence related to the knife was also
equivocal. While Dr. Fernandes did agree that the hunting knife could not be
ruled out as the murder weapon, he recommended checking for other knives and
agreed that the murder weapon could have been a larger kitchen knife, like a
chefs knife. He only ruled out a serrated knife. I also note that the trial
judge appears to have misstated Dr. Fernandess evidence about the dimensions
of the murder weapon. The trial judge stated: According to Dr. Fernandes, it
is not likely that a knife of this width would cause such an injury, but he
could not rule it out. The chest is compressible. While the compression of the
chest was relevant to the length of the knife, such that Dr. Fernandes
could not rule out a knife of the length of the hunting knife, it was not
relevant to its width. As the trial judge correctly stated, Dr. Fernandes was
of the view that because of its width, it was unlikely the hunting knife caused
the fatal injury.
[44]
As in
Ronald
,
at para. 58, the nature, speed and ferocity of the attack on the victim could
equally suggest that the killer acted in a frenzied rage consistent with second
degree murder.
[45]
The evidence outlined above does not exclude the
reasonable inference that Mr. Caputos murder was planned and deliberate. That
inference was available on the evidence. However, the question is not whether
the evidence points more strongly to second degree murder or manslaughter than
planning and deliberation. As I have stated, the correct question is whether a
reasonable jury, properly instructed, could have a doubt as to whether Ms.
Doxtator had planned and deliberated the murder of Mr. Caputo or had the requisite
murderous intent:
Ronald
, at para. 59.
[46]
If the jury had a reasonable doubt about planning
and deliberation for Mr. Caputos murder and even the presence of a
murderous intent for Ms. Doxtator, but had no doubt about her
participation in an unlawful act assault or robbery they were faced with
only one option: an outright acquittal. This left the jury with a stark choice.
Given the defence concession that Mr. Doxtator stabbed Mr. Caputo, as the Nova
Scotia Court of Appeal suggested in
R. v. MacLeod
, 2014 NSCA 63, 346 N.S.R. (2d) 222, at para. 89, affd 2014 SCC 76,
[2014] 3 S.C.R. 619, the jury may have considered an outright acquittal not
only quite unpalatable in the circumstances, but contrary to a considerable
body of evidence suggesting that [the appellants knew they] had engaged in a
blameworthy act.
[47]
To be fair to the trial judge, his initial
instinct that there was an air of reality to manslaughter for Ms. Doxtator was
correct. Ms. Doxtators defence counsel was adamant that the evidence did not
support the verdicts of second degree murder or manslaughter. However, the insistence
of defence counsel was not determinative in the circumstances of this case
where the evidence gave rise to other reasonable inferences than planning and
deliberation or murderous intent. As this court reiterated in
R. v.
Chambers
, 2016 ONCA 684, 342 C.C.C. (3d) 285, at para. 70,
citing
Polimac
, at para. 97: A legal error
remains a legal error irrespective of trial counsels position. See also
Kostyk
, at paras. 40 and 42.
[48]
This is not to say that defence counsels
position at trial is irrelevant. As this court instructed in
R.
v. Chalmers
, 2009 ONCA 268, 243 C.C.C. (3d) 338, at para.
52, the question of whether included offences should have been left with the
jury must be assessed in light of both the strength of the evidence relied on
and the concessions made and position taken by the defence
at trial
(emphasis added). However, the present case is not like
Chalmers
(and other similar cases), where this court, at para. 66, found the
air of reality of the verdict of manslaughter to be marginal at best and did
not permit the appellant to paddle downstream on appeal when one has paddled
vigorously upstream at trial: at para. 51. In
Chalmers
, the position of the appellant, who was convicted of the second
degree murder of his wife, was that he did not cause his wifes death but it
was caused by accident or a third party. His counsel approved the charge that
if the jury found Mr. Chalmers had caused his wifes death, murderous
intent was conceded. In the present case, for the reasons stated above, there
was an air of reality to the potential verdicts of manslaughter and second
degree murder. Further, the appellants only conceded that Mr. Doxtator stabbed
Mr. Caputo, causing his death. Importantly, there was no concession that if Ms.
Doxtator was somehow involved in the killing of Mr. Caputo, it was a planned and
deliberate murder.
[49]
In my view, on the totality of this evidence, a reasonable
jury could have been left unconvinced, beyond a reasonable doubt, that the
murder was planned and deliberate or that Ms. Doxtator had the requisite intent
to kill Mr. Caputo. As a result of this potential uncertainty, in addition to
an acquittal, the jury could have returned a verdict of not guilty of first degree
murder, but guilty on the included offences of either manslaughter or second
degree murder.
(iii)
Does the
curative proviso
apply?
[50]
The Crown submits that the
curative
proviso
found in s. 686(1)(b)(iii) of the
Criminal
Code
, R.S.C., 1985, c. C-46, should be applied to correct
any errors the trial judge made. I do not agree.
[51]
This court in
Ronald
, at para. 65, recently explained the availability of the
proviso
in the context of an erroneous failure to leave with the jury a
possible verdict that arises on the evidence:
Section 686(1)(b)(iii) of the
Criminal
Code
provides that this court may dismiss an appeal
despite an error in law if satisfied that the error caused no substantial wrong
or miscarriage of justice. The burden is on the Crown to show either that the
legal error was so minor as to be harmless, or the evidence was so overwhelming
as to satisfy the court that the verdict would necessarily have been the same
had the error not been committed. [Citations omitted.]
[52]
The
curative proviso
will generally not be available in cases where included offences
(in this case, lesser offences) are not left with the jury and the jury
convicts of a more serious offence. This is because a failure to leave included
offences that have an air of reality can seldom be said to be harmless or to
have caused no substantial wrong or miscarriage of justice. As this court in
Ronald
explained, a determination that the included offences should have
been left with the jury because there was a realistic possibility of an
acquittal on the full offence is incompatible with a determination that the
evidence supporting the conviction on the full offence was overwhelming.
Further, the verdict may have been different if the jury had been presented
with the full menu of legally available verdicts:
Ronald
, at paras. 66-67. See also
R. v. Sarrazin
, 2011 SCC 54, [2011] 3 S.C.R. 505, at para. 31.
[53]
That is not to say that courts never apply the
curative
proviso
to the erroneous failure to leave a possible
verdict on an included offence. For example, in
Chalmers
, this court found there was no substantial wrong or miscarriage of
justice when the trial judge did not leave the included offence of manslaughter
with the jury and the jury convicted Mr. Chalmers of second degree murder.
However, as the court noted, the argument that the trial judge made a reversible
error is only as strong as the air of reality relating to the defence sought
to be raised: at para. 58. The omission in
Chalmers
was found to be harmless in the circumstances of that case because
the air of reality to manslaughter was marginal at best and the defence had
conceded the issue of intent: at paras. 64-66. Those are not the circumstances
of the present case.
[54]
I do not accept Crown counsels submission that
this is an appropriate case where the court can take into account findings of fact
implicit in the jurys verdict of first degree murder to cure any error to
leave with the jury the possible verdicts of the lesser and included offences.
Specifically, the Crown argues that the jurys verdict of first degree murder
for the appellants demonstrates that the jury rejected Ms. Doxtators evidence
that the appellants did not plan and deliberate to kill Mr. Caputo. As
this court noted in
Ronald
, at para. 68,
the court can account for findings of fact implicit in the verdict or verdicts
returned by the jury
as long as those verdicts are
not tainted by the legal error
, and those findings are unambiguously revealed by
the verdict
(emphasis added).The difficulty is
that in this case the jurys verdict
is
tainted by the erroneous omission of the included offences for Ms.
Doxtator. If the included offences had been left to the jury, the trial judge
would have provided appropriate instructions about the evidence that could have
given rise to reasonable doubt in the jurys minds about planning and deliberation.
[55]
Nor am I persuaded by Crown counsels submission
that the structure of the charge made any difference. While the trial judge
reviewed in his instructions the offences alleged against Mr. Doxtator first
before turning to those charged against Ms. Doxtator, and the jury was properly
instructed to consider and render separate verdicts for each appellant, the
evidence in relation to the charges was the same for both of them. It would be
artificial to suggest that the jury would not have reviewed the evidence as a
whole in considering the respective verdicts for each accused.
[56]
In my view, the Crown cannot satisfy its burden
in the circumstances of this case. The Crowns case on planning and
deliberation and murderous intent was not overwhelming and, as I earlier
explained, the supporting evidence was potentially equivocal. The failure to
leave the other verdicts could not be said to be harmless. The jury
instructions wrongly narrowed the proper scope of the jurys deliberations. Not
all verdicts reasonably available on the evidence were left with the jury for
its consideration.
[57]
There is a real likelihood that the jury, left
only with the choice of convicting Ms. Doxtator of first degree murder or
declaring her not guilty, would opt for the verdict that attributed some
responsibility to her for Mr. Caputos death. It cannot be said that, had the
jury been left with other possible verdicts that would have held her
accountable, either manslaughter or second degree murder, the jury would
necessarily have still convicted her of first degree murder:
Ronald
, at paras. 66-67;
R. v. Haughton
, [1994]
3 S.C.R. 516, at pp. 516-17;
Sarrazin
, at
para. 31.
[58]
As a result, I would not accede to Crowns
counsel request that we apply the
curative proviso
found in s. 686(1)(b)(iii) of the
Criminal Code
. The trial judges failure in this case to leave the potential
verdicts of second degree murder and manslaughter with the jury for Ms.
Doxtator led to a substantial wrong or miscarriage of justice.
[59]
I would therefore order a new trial for Ms.
Doxtator.
(iv)
Should Mr. Doxtator also be granted a new trial?
[60]
In my view, Mr. Doxtator should also have a new
trial.
[61]
That there were no objections to, or errors
identified in, the trial judges instructions to the jury with respect to the
offences against Mr. Doxtator is not dispositive of this issue. As Crown
counsel frankly acknowledged during oral argument, if the included offences of
second degree murder and manslaughter had been left to the jury for Ms.
Doxtator, the trial judges instructions would have been different with respect
to Mr. Doxtator.
[62]
The Crowns case against the appellants for
first degree murder was structured and presented to the jury as a package. There
was no theory put forward that Mr. Doxtator planned and deliberated on the
murder of Mr. Caputo without Ms. Doxtator or
vice versa
. Mr. Doxtators defence relied on Ms. Doxtators evidence and her
acquittal. If she were convicted of first degree murder, his conviction for
first degree murder would inevitably follow. The jury was not left with
instructions to consider the alternative possibility that Mr. Doxtator killed
Mr. Caputo in the heat of the moment rather than in self-defence. If the
jury rejected self-defence for Mr. Doxtator, given the way the charge was left
for Ms. Doxtator, there was only a straight line to first degree murder for him
and no other pathways to the lesser and included offences of second degree
murder and manslaughter.
[63]
If the trial judge had left to the jury the
included offences of manslaughter and second degree murder for Ms. Doxtator,
the charge for Mr. Doxtator would have been much broader than the focus on self-defence
in terms of the possible routes to manslaughter or second degree murder. The
charge could have included another view of the evidence that the appellants had
planned a violent encounter with the purpose of assaulting or robbing Mr.
Caputo that ended in his stabbing. With this broader instruction, at the very
least, the jury could have had a reasonable doubt of Mr. Doxtators planning
and deliberation of Mr. Caputos killing.
[64]
This situation is similar to that in
Ronald
, where this court found that the failure to leave second degree
murder with the jury for one appellant tainted the verdict of the other. In
that case, by not leaving second degree murder for the principal, the trial
judge effectively removed a basis upon which the appellant alleged of aiding
and abetting was asking the jury to find that the principal acted alone: at
paras. 73-74. While the present appeal deals with the inverse factual scenario
because all routes of liability were left with Mr. Doxtator, the person who
caused Mr. Caputos death, the effect of the error in Ms. Doxtators
instruction was similar. The failure to leave second degree murder and
manslaughter for Ms. Doxtator narrowed the instructions for Mr. Doxtator and
weakened his position that he was not guilty of first degree murder.
[65]
As a result, it cannot be said the verdict for
Mr. Doxtator would have been the same. At the very least, a properly instructed
jury could have reasonably returned a verdict of second degree murder for Mr.
Doxtator. The interests of justice therefore dictate that Mr. Doxtator have a
new trial.
Disposition
[66]
For
these reasons, I would allow the appeals and order a new trial for both
appellants.
L.B. Roberts J.A.
I agree. B.W. Miller
J.A.
MacPherson J.A. (dissenting):
[67]
I
have had the opportunity to review the reasons prepared by my colleague in this
appeal. She would allow the appeal and order a new trial for both Mr. Doxtator
and Ms. Doxtator on the basis that the trial judge erred by not putting second
degree murder and manslaughter to the jury for Ms. Doxtator and that this
failure affected Mr. Doxtators charge as well.
[68]
I
will consider Mr. Doxtators appeal first and then will consider Ms. Doxtators
appeal. I would dismiss Mr. Doxtators appeal and allow Ms. Doxtators
appeal.
Mr. Doxtators appeal
[69]
With
respect, I do not agree with my colleagues conclusion that the trial judges failure
to put second degree murder and manslaughter to the jury for Ms. Doxtator
negatively impacted Mr. Doxtators charge. My colleague states her conclusion
for Mr. Doxtator as follows:
The failure to leave second degree murder and manslaughter for
Ms. Doxtator narrowed the instructions for Mr. Doxtator and weakened his
position that he was not guilty of first degree murder.
[70]
For
two reasons, I do not agree with this conclusion.
[71]
First,
the trial judge instructed the jury that Ms. Doxtators culpability should be
considered separately from Ms. Doxtators and that the verdict for each need
not be the same. He instructed that what Ms. Doxtator said to the police is
evidence for and against her and is not evidence against Richard Doxtator. He
instructed that Ms. Doxtators statement was not to be considered when deciding
Mr. Doxtators case. He laid out the available verdicts for Mr. Doxtator
and then separately laid out the available verdicts for Ms. Doxtator.
[72]
Second,
and crucially, the charge in relation to Ms. Doxtator did not narrow the
instructions for Mr. Doxtator or weaken his position because the trial judge
instructed the jury to consider Mr. Doxtators charges of first degree murder,
second degree murder and manslaughter before considering Ms. Doxtators charge
of first degree murder.
[73]
The
trial judge in his charge told the jury that they must consider each accused
person separately and that in the charge he would deal with Richard and
Jasmine Doxtator separately, starting with Richard. The trial judge instructed
the jury on the available verdicts for Mr. Doxtator first, before saying that
[i]f Jasmine Doxtator agreed with Richard Doxtator to go to Niagara Falls and
kill Joe Caputo, and took time to deliberate on that plan and carried out her
role
she, too, is guilty of first degree murder.
[74]
This
language clearly indicates that Mr. Doxtators conviction was to be decided
before Ms. Doxtators. For Ms. Doxtator to be convicted of first degree murder,
the jury must have accepted that the Crown proved beyond a reasonable doubt
that Mr. Doxtator caused Mr. Caputos death and that the death was unlawful.
Only after making these determinations was the jury instructed to consider Ms.
Doxtators involvement.
[75]
The
factual scenario is similar to that in
R. v. Campbell
, 2020 ONCA 221,
where this court found that a new trial need not be ordered because of errors
in the jury charge because the jury would only have reached consideration of
whether the shooting was planned and deliberate after concluding that the appellants
caused [the] death and had the requisite intent for murder: at para. 52. In
the case at bar, the jury would have reached consideration of whether Ms. Doxtator
was guilty of first degree murder only after concluding that Mr. Doxtator
was guilty of first degree murder. We know this because that is what the jury
charge instructed.
[76]
Accordingly,
my colleagues conclusion that if Ms. Doxtator was convicted of first degree
murder, Mr. Doxtators conviction for first degree murder would inevitably
follow is, in a word, backwards. The fact that the instruction required the
jury to decide on Mr. Doxtators guilt before considering Ms. Doxtators means
that Mr. Doxtators conviction could not have been influenced by Ms. Doxtators
conviction.
[77]
The
structure of my colleagues reasons is antithetical to the way the jury charge
was structured at trial. Instead of considering Mr. Doxtators case first, as
the trial judge instructed the jury, my colleague devotes 59 paragraphs to
considering Ms. Doxtators case first. In very brief reasons (six paragraphs),
she then allows those reasons to influence her assessment of Mr. Doxtators
case. This is the inverse of how the trial judge instructed the jury.
[78]
My
colleague does not take issue with any wording in Mr. Doxtators jury charge.
While she says that Mr. Doxtators charge could have been broader and could
have included another view of the evidence, there is no error identified.
Indeed, there is no such error in Mr. Doxtators jury charge. Accused persons
are entitled to a proper jury charge, not a perfect one:
R. v. Jacquard
,
[1997] S.C.R. 134, at para. 2;
R. v. Alvarez
, 2021 ONCA 851, at para.
80. This court has also held that appellate courts are not forensic
pathologists dissecting the
corpus
of a charge in search of a
disease process
[o]ur task is to administer justice, to deal with valid
objections and to determine whether those claims have led to a miscarriage of
justice:
R. v. Luciano
, 2011 ONCA 89, at para. 71. In this case, there
was no miscarriage of justice. The jury was instructed to consider Mr. Doxtators
charges and Ms. Doxtators charges separately. Ms. Doxtators instructions were
not to play a role in Mr. Doxtators conviction. Mr. Doxtators conviction for
first degree murder would not inevitably follow Ms. Doxtators conviction and
would not follow her conviction at all because his conviction was to be
considered before Ms. Doxtators and because there was no error in his charge.
[79]
Given
the jury instruction was proper for Mr. Doxtator, it does not matter that Mr.
Doxtator and Ms. Doxtator were tried as co-accused, even if the Crown presented
the case against the appellants to the jury as a package. This court has held
that [a]n accuseds right to a fair trial does not
entitle that accused to exactly
the same trial when tried jointly as the accused would have had had he been
tried alone so long as each joint accused is afforded the constitutional
protections inherent in the right to a fair trial: see
R. v. Suzack
(2000), 128 O.A.C. 140 (C.A.), at para. 111. The Crown presenting the case as a
package did not affect the co-accuseds fair trial rights, even if the case may
have been presented differently were the co-accused tried separately. This is
because the trial judge properly instructed the jury and did not present the
co-accuseds case to the jury as a package in his instructions.
[80]
I
do not agree that this situation is similar to that in
R. v. Ronald
,
2019 ONCA 971. As my colleague notes, the present appeal deals with the inverse
factual scenario because all routes to liability were left with Mr. Doxtator.
In cases where a party to a crime has received a new trial, it is when there
was an error in the jury charge of the co-accused who caused the death (the
prime mover): see
Ronald
;
R. v. Nygaard
, [1989] 2 S.C.R.
1074. In this case, Mr. Doxtator was the prime mover because he caused Mr.
Caputos death. In
Ronald
and
Nygaard
, courts were
avoiding an incongruous result: that the non-moving party, absent a new trial,
would risk receiving a greater conviction than the moving party who was
entitled to a new trial. Here, there was no issue with the prime mover, Mr.
Doxtators, jury charge. There is no risk that Ms. Doxtator even if she were
to receive a new trial would receive a greater conviction than Mr. Doxtator.
Therefore, the principles in
Ronald
do not apply.
[81]
The
assumption must be that the jury correctly followed the proper instruction
absent evidence to the contrary. This court has instructed that courts must
proceed on the basis that juries accept and follow the instructions given to
them by the trial judge:
Suzack
, at para. 128. Given that the
instruction properly indicated to the jury that Mr. Doxtators charge was to be
considered before moving on to Ms. Doxtators charge, it must be assumed that
the jury correctly followed the instructions and considered Mr. Doxtators
charge first.
Ms. Doxtators appeal
[82]
I
agree with my colleague that Ms. Doxtator deserves a new trial. As my colleague
outlines, there is an air of reality that Ms. Doxtator committed second degree
murder or manslaughter. The trial judge erred by failing to put this charge to
the jury. I agree with my colleagues reasons on this issue.
Disposition
[83]
I
would dismiss Mr. Doxtators appeal and allow Ms. Doxtators appeal. I would
order a new trial for Ms. Doxtator.
Released: February 22, 2022 J.C.M.
J.C. MacPherson J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Isaac, 2022 ONCA 156
DATE: 20220217
DOCKET: M53203 (C68663)
Paciocco
J.A. (Motions Judge)
BETWEEN
Her
Majesty the Queen
Respondent
and
Joshua Isaac
Applicant/Appellant
Margaret Bojanowska, for the applicant/appellant
Jennifer Conroy, for the respondent
Heard: February 16, 2022 by video conference
REASONS FOR DECISION
[1]
On February 28, 2017, Mr. Joshua Isaac was arrested and
charged with offences arising from an investigation into narcotics trafficking.
He
was released pending trial and complied with the
terms of his release.
On January 20, 2020, Mr. Isaac was convicted of
two counts of possession of Schedule I narcotics for the purpose of
trafficking, and one count of possession of the proceeds of crime, arising from
the February 28, 2017 charges. The narcotics consisted of cocaine and a
heroin/fentanyl mix. On October 2, 2020, Mr. Isaac was sentenced to 6 years
imprisonment less three months pre-sentence custody for those offences, which
for ease of reference I will call the drug trafficking charges. The Crown
consented to Mr. Isaacs bail release pending his appeal of those convictions and
he was released that day.
[2]
On June 24, 2021, the police searched an apartment, locating two
firearms. On October 2, 2021, having been instructed by police to do so, Mr. Isaac
surrendered into custody and was charged with three firearms offences relating
to one of those firearms. He was also charged with possession of property
obtained by an indictable offence over $5,000 and failing to comply with his
bail release order described in paragraph 1. For ease of reference, I will
describe these charges against Mr. Isaac as the firearms charges.
[3]
Mr. Isaac has now secured bail release in connection with the firearms
charges. Due to the firearms charges, however, his bail release pending appeal
on the drug trafficking charges was not renewed after it expired. He now
applies for bail release pending appeal on the drug trafficking charges. He
bears the onus on this application.
[4]
The Crown strongly contests Mr. Isaacs release. The Crown does not rely
directly on the primary or secondary ground, but urges that lingering concerns
relating to whether Mr. Isaac would attend court as required, and whether he
would commit further offences if released, are relevant to the tertiary grounds
which is the focus of the Crowns concern. The Crown does not suggest that the
public safety leg of the tertiary ground requires his detention on its own, but
argues that, in all the circumstances, Mr. Isaacs detention is necessary to
maintain confidence in the administration of justice. It submits that the
grounds of appeal Mr. Isaac offers are not strong enough for the reviewability
interest to overcome the enforcement interest.
[5]
To assist in their submissions, both Mr. Isaac and the Crown have made
liberal mention of a decision I rendered denying bail pending appeal to Mr. Jamal
Daye. Mr. Daye was one of two men who was also convicted alongside Mr. Isaac of
drug trafficking charges arising from the investigation that led to Mr. Isaacs
drug trafficking convictions, which are the subject of the instant appeal:
R. v. Daye
, 2021 ONCA 671. There are parallels between
the two bail pending appeal applications because Mr. Daye was also arrested and
charged with firearms offences in connection with the June 24, 2021 search that
led to the firearms charges against Mr. Isaac. Mr. Dayes bail pending appeal,
which had also been initially granted on consent, was revoked as the result of
Mr. Dayes firearms charges. When he applied again to be released pending
appeal, I denied his application. The Crown argues that the decision in
Daye
resolves most of the issues raised by Mr. Isaac in
his application to be released pending appeal and therefore points the way. Mr. Isaac
submits that his case is materially different than Mr. Dayes case because his
appeal relating to the drug trafficking charges is stronger than Mr. Dayes
is, and the case against him on the firearms charges is weak, whereas the case
against Mr. Daye on the firearms charges is overwhelming.
[6]
I want to make clear that there is only limited utility that arises from
my decision in
Daye
. I will determine Mr.
Isaacs bail application on its own right in its own circumstances, based on
the legal considerations that apply.
[7]
With respect to the reviewability interest, Mr. Isaac raises grounds of
appeal relating to the drug trafficking charge that clearly surpass the not
frivolous criterion. His contention that the trial judge erred in failing to
conduct a s. 24(2) analysis after finding a s.10(b) breach is certainly a
credible ground of appeal, although Mr. Isaac does face the prospect that an
appeal panel, even if persuaded that there has been an error, could find that
the evidence was properly admitted. Mr. Isaac also presents credible grounds of
appeal relating to s. 11(b), which could, if successful, require the drug
trafficking charges against him to be stayed. His grounds of appeal relating to
sentence clearly surpass the minimal standard of not frivolous. Once again,
however, even if errors of law or principle or law are identified, the sentence
imposed could still be affirmed. Put simply, Mr. Isaacs grounds of appeal are
clearly not frivolous, but the success of those grounds of appeal is far from
certain.
[8]
The parties agree that this appeal can be perfected promptly and heard
without long delay. This reduces to some degree the risk that Mr. Isaac could
languish in custody pending what could be a successful and dispositive appeal,
but I must bear in mind that it is a matter of concern whenever any time is spent
in custody before potentially successful grounds of appeal can be reviewed.
[9]
In terms of the enforceability interest, the drug trafficking charges
are serious and generally carry a significant sentence. These factors can require
that a premium be placed on the enforceability interest, but not always. A more
subtle evaluation is required, lest bail pending appeal always be denied for
serious charges. In
R. v. Oland
, [2017], 2017
SCC 17, [2017] 1 S.C.R. 250, at para. 50, Moldaver J. noted that where crimes
are serious the public interest in enforceability will often outweigh the reviewability
interest, particularly where there are lingering public safety or flight
concerns and/or the grounds of appeal appear to be weak. However, he observed,
at para. 66, that where there are no public safety or flight concerns and the
grounds of appeal clearly surpass the not frivolous criterion, a court may
well conclude that the reviewability interest overshadows the enforceability interest
such that detention will not be necessary in the public interest.
[10]
I
have already made plain that Mr. Isaacs grounds of appeal are not weak, but
nor are they strong. The factors requiring closer examination relating to the public
confidence evaluation are concerned with whether there are lingering flight and
public safety concerns, and if so, how intense those concerns are.
[11]
The
Crown grounds its submissions about a lingering flight concern on Mr. Isaacs
2016 fail to attend court conviction, and the delay that occurred when he was
asked to surrender on the firearm charges. A fail to attend court conviction is
always concerning, but it is evident that Mr. Isaacs conviction did not
involve flight. He received one day in jail for the offence, consistent with a
failure to attend on a set date. The impact of the failure by Mr. Isaac to
surrender immediately on the firearms charges is blunted by the Crowns
appropriate concession in accepting Mr. Isaacs counsels assurance that she
was negotiating and arranging Mr. Isaacs terms of surrender during this period,
hence the delay in surrendering. Moreover, the fact that Mr. Isaac did surrender
materially reduces any concern I have that he might flee pending his appeal.
Therefore, flight concerns play only a minimal role in my ultimate
determination.
[12]
However,
there are lingering public safety concerns. There is evidence of Mr. Isaacs
readiness to engage in drug trafficking, based on his prior trafficking
conviction in 2016 and the fact that he is no longer presumed innocent of the
trafficking charges that are the subject of this appeal. Those public safety concerns
are aggravated by the firearms charges Mr. Isaac now faces, which are alleged
to have occurred in breach of this courts prior bail pending appeal order.
[13]
I
agree with Mr. Isaac that the firearms charges against Mr. Isaac are
circumstantial and not as strong as the firearms charges that Mr. Daye faces. But
I do not share Mr. Isaacs contention that the firearms charges are weak. It is
not my role to conduct a minitrial on those charges, but I must look
realistically and in a broad way at the strength of the charges. In this case,
there is real reason to be concerned that the alleged firearms offences may
well have occurred. The Crown has evidence that Mr. Isaac was connected to the
apartment where the firearm was found and that the firearm was discovered in a
satchel that can be circumstantially tied to Mr. Isaac. Although Mr. Isaac is
presumed to be innocent of the firearms charges, there is a rational and real
basis for concern that he may well have committed a serious firearms offence
while on bail pending appeal.
[14]
Moreover,
although Mr. Isaacs surety is suitable and prepared to pledge her entire
savings to assist Mr. Isaac, I have concerns about the position she will be put
in if Mr. Isaac breaches his terms of release. The surety is Mr. Isaacs
girlfriends mother. It is proposed that Mr. Isaac live in her residence, where
his girlfriend also resides. This is the same residence he was required to live
at under the terms of his previous bail pending appeal release order that he is
alleged to have breached. Moreover, Mr. Isaacs girlfriend was a surety for Mr.
Isaac on that previous bail pending appeal order, and there is evidence before
me that when the police were seeking Mr. Isaac in September 2021 at a time of
day when he was required to be at that residence, he was not there. This
information not only provides additional evidence that Mr. Isaac breached the
terms of his prior release pending appeal, it is also evidence that his
girlfriend, despite being a surety, refused to provide the police with contact information.
I appreciate that the girlfriends mother the proposed surety bore no legal
responsibility at the time for controlling Mr. Isaac, and I do not wish to be
taken as suggesting that she did anything wrong. I do have concerns, however,
that given the girlfriends demonstrated loyalty to Mr. Isaac and given her
presence in the residence where Mr. Isaac will be supervised, the dynamic may
not be conducive to effective supervision on the proposed suretys part.
[15]
I
have considered the strict bail release terms that have been proposed,
including the ankle monitoring plan, with both its strengths and limitations. However,
the ultimate focus in this application is on the impact of my decision on public
confidence in the administration of justice, in the eyes of a reasonable person
who is thoughtful, dispassionate, informed of the circumstances of the case and
respectful of societys fundamental values. In my view, the spectre of
disrepute looms large when an appellant who has already been released on bail
pending appeal and who is no longer presumed to be innocent of the charges
under appeal, seeks to be re-released after being arrested based on credible
evidence that he committed a serious offence despite being on conditions of
bail.
[16]
In
my view, a reasonable person would be seriously troubled by the re‑release
of Mr. Isaac, a prior drug trafficking offender, pending appeal from conviction
of a serious drug trafficking charge given the following circumstances: the
appeal, though credible, is not particularly strong; there is reason to believe
that Mr. Isaac violated the curfew condition of his prior terms of release; Mr.
Isaac has been rearrested while on bail release on credible firearms charges;
and Mr. Isaacs bail release plan depends on supervision by his
girlfriends mother in a residence where his girlfriend resides, and his
girlfriend has demonstrated greater loyalty to Mr. Isaac than she did to her oath
as a surety. In my view, a reasonable person would conclude that re-release pending
appeal in such circumstances is ill-advised. Mr. Isaac has not met his onus in
the circumstances of showing that his release pending appeal would not diminish
public confidence in the administration of justice.
[17]
Mr.
Isaacs application for bail pending appeal is denied.
David M. Paciocco J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Martin, 2022 ONCA 157
DATE: 20220218
DOCKET: C69776
Fairburn A.C.J.O., Miller and George JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Malcolm Martin
Appellant
Marianne Salih and Jeffery Couse, for the appellant
Stephanie A. Lewis, for the respondent
Heard: In writing
On appeal from the sentence imposed by Justice Kofi N. Barnes
of the Superior Court of Justice on June 30, 2021, with reasons reported at 2021
ONSC 4711.
REASONS FOR DECISION
[1]
The appellant and a co-accused were alleged to have committed a serious
aggravated assault. After a preliminary inquiry, the co-accused pleaded guilty
and received a 13-month custodial term. The appellant continued to trial. The
appellant was convicted after a three-day, judge-alone trial in the Superior
Court of Justice. He was then sentenced to a 21-month custodial term, which reflected
a three month reduction from an otherwise fit sentence to account for what the
sentencing judge described as onerous bail conditions.
[2]
This is an appeal from sentence predicated on a single issue: did the sentencing
judge err in his application of the parity principle?
[3]
As described by the sentencing judge, in an entirely unprovoked attack,
the appellant and his co-accused beat a defenceless man outside of a bar. That
attack included sucker punching the victim and stomping on him with their feet.
The victim suffered serious injuries, including a fractured orbital bone and
bleeding to the brain. Not only was he hospitalized for four days, but his
injuries were long lasting, with serious professional and personal implications.
[4]
At the sentencing proceeding, the court was informed through oral
submissions that the appellants co-accused, who apparently has a criminal
record, the content of which is unknown, received a 13-month sentence. The
co-accuseds guilty plea was entered after the preliminary inquiry.
[5]
The appellant argues that the sentencing judge erred by failing to give
effect to the parity principle when imposing the sentence. While the appellant
acknowledges that the sentencing judge properly adverted to and described the
parity principle, he contends that, on the face of the sentences imposed and
the purported gulf between them, there is a clear misapplication of that
principle. Given their almost identical roles in the crime, the appellant
maintains that his sentence should not have been almost twice that of his
co-accused, particularly since his co-accused has a criminal record and he does
not. Therefore, he asks this court to set aside his sentence and impose a
sentence of 15-months in duration. We decline to do so.
[6]
The sentencing judges reasons are lengthy. Those reasons demonstrate a
good grasp of the parity principle. They also demonstrate that the sentencing
judge was aware of the sentence imposed on the co-accused and alert to its
relevance in the context of his sentencing decision. The sentencing judges
reasons also demonstrate that he understood that the fact that the appellant
chose to have a trial, as was his right, could not be used as an aggravating
factor on sentence. The sentencing judge made clear that the absence of a
guilty plea simply meant that the appellant did not have access to an otherwise
mitigating factor that his co-accused could lay claim to.
[7]
Accordingly, the issue on this appeal comes down to whether the sentence
imposed, when compared with that of the co-accused, offends the principle of
parity. It does not.
[8]
The parity principle required the sentencing judge to consider both the
sentence imposed upon the co-accused, as well as sentences imposed on others in
like circumstances. He also had to take into account all other sentencing
factors operative in this case, including the predominant sentencing principles
of denunciation and deterrence.
[9]
In our view, after engaging in a lengthy discussion of all the operative
sentencing principles, the sentencing judge reached a conclusion that he was
entitled to arrive upon:
This attack was unprovoked, violent and vicious. The victim
continues to suffer from his injuries. [The appellants] excellent prospects
for rehabilitation and crime free record while on bail is not discounted;
however, the paramount sentencing principle in this case is denunciation and
deterrence.
Upon considering all of the circumstances of [the appellant]
and the offence, which of necessity includes the aggravating and mitigating
factors in this case,
including the sentence received by
his co principal after a guilty plea
, I conclude that the appropriate sentence
is one of two years in the penitentiary. Had the sentence qualified for
consideration as a conditional sentence, such an order would have been
inconsistent with the principles of denunciation and deterrence.
[The appellant] shall receive credit of three months for a
lengthy crime-free and emotionally onerous time spent on bail. In effect, he
shall serve an additional sentence of 21 months in custody. [Emphasis added.]
[10]
It
was open to the sentencing judge to reach this conclusion. We see no error in
principle and the sentence is not demonstrably unfit. Deference is operative.
[11]
Leave
to appeal sentence is granted, but the appeal is dismissed.
Fairburn A.C.J.O.
B.W. Miller J.A.
J. George J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Carvalho v. Amorim, 2022 ONCA 158
DATE: 20220218
DOCKET: C69476
Trotter, Coroza and Favreau JJ.A.
BETWEEN
Daniel Carvalho
Applicant (Respondent)
and
Maria Amorim
and
The Labourers Pension
Fund of Central and Eastern Canada
Respondents (
Appellant
/
Respondent
)
Patrick Di Monte, for the appellant
Eli Smolarcik, for the respondent Daniel Carvalho
Demetrios Yiokaris, for the respondent The
Labourers Pension Fund of Central and Eastern Canada
Heard: February 14, 2022 by video conference
On appeal from the judgment of Justice William S. Chalmers
of the Superior Court of Justice, dated April 16, 2021.
REASONS FOR DECISION
[1]
After hearing submissions on behalf of the appellant, Maria Amorim, we
advised the parties that the appeal would be dismissed with reasons to follow.
These are our reasons.
[2]
Ms. Amorim appeals a judgment declaring that she does not meet the
eligibility requirements of a spouse under s. 44 of the
Pension Benefits
Act
, R.S.O. 1990, c. P.8. The application judge based his decision on a
finding that Ms. Amorim and the respondent, Daniel Carvalho, were living separate
and apart at the time Mr. Carvalho started receiving disability benefits from
the respondent, The Labourers Pension Fund of Central and Eastern Canada (the
Pension Fund).
[1]
The effect of this finding is that Ms. Amorim is not entitled to survivor pension
benefits and that Mr. Carvalho is entitled to life-only benefits, which are
paid out at a higher rate than joint and survivor benefits.
[3]
We see no error in the application judges decision.
[4]
Mr. Carvalho and Ms. Amorim married in 1980. At the time, they were both
residents of Portugal. They had one child together. Mr. Carvalho moved to
Canada in 1985. Ms. Amorim joined Mr. Carvalho in Canada in 1990, but she
returned to Portugal two months later. Mr. Carvalho traveled to Portugal from
time to time, but he worked and lived in Canada while Ms. Amorim lived in
Portugal. The couple commenced divorce proceedings in Portugal during 2007-2008,
and they were formally divorced on July 14, 2009.
[5]
In August 2002, Mr. Carvalho applied to the Pension Fund for a
disability pension. At the time, he advised the Pension Fund that he was
legally married, but provided a waiver allegedly signed by Ms. Amorim waiving
her right to a spousal survivor pension.
[6]
In 2008, at the time of the divorce proceedings, Ms. Amorim appointed
her brother, Leonel Amorim, as her attorney for property in Canada. Mr. Amorim contacted
the Pension Fund to enquire about whether Mr. Carvalho had applied for a
pension. In the context of those communications, Mr. Amorim advised the Pension
Fund that Ms. Amorim had never signed a spousal waiver. The Pension Fund
subsequently reduced Mr. Carvalhos monthly payments to the joint and survivor
benefit rate and notified him that he would be required to repay the
overpayment unless he could prove that Ms. Amorim signed the waiver or that he
and Ms. Amorim were living separate and apart when his pension began.
[7]
Mr. Carvalho brought an application to the Superior Court. The two
issues to be decided on the application were 1) whether Mr. Carvalho and Ms.
Amorim had been living separate and apart at the time Mr. Carvalho started
receiving his pension and, alternatively, 2) whether Ms. Amorim signed the
spousal waiver.
[8]
On the first issue, the application judge found, based on the evidence
before him, that Mr. Carvalho and Ms. Amorim were living separate and apart at
the time Mr. Carvalho started receiving pension benefits. On the second issue,
the application judge found that Ms. Amorim did not sign the waiver. Nevertheless,
given his finding that Mr. Carvalho and Ms. Amorim were living separate and
apart at the relevant time, the application judge made declarations that Ms.
Amorim did not meet the eligibility requirements of a spouse under the
Pension
Benefits Act
and that Mr. Carvalho was entitled to pension benefits on a
life-only basis. On the issue of costs, the application judge found that this
was an appropriate case for an order of no costs, given that Mr. Carvalho
misrepresented to the Pension Fund that Ms. Amorim had signed the spousal
waiver.
[9]
In seeking to appeal the application judges decision, Ms. Amorim argues
that the application judge erred in finding that she and Mr. Carvalho were
living separate and apart in 2002.
[10]
On
appeal, errors of law are to be reviewed on a standard of correctness. Factual
findings and issues of mixed fact and law are owed deference and are only to be
overturned if the application judge made a palpable and overring error:
Housen
v. Nikolaisen
, 2002 SCC 33, at paras. 8, 10.
[11]
As
conceded by Ms. Amorim, the application judge started with the correct legal
test. Section 44(1) of the
Pension Benefits Act
provides that every
pension paid to a member who has a spouse is to be paid out on a joint and
survivor pension basis unless, pursuant to s. 44(4)(b), the member and his or
her spouse are living separate and apart on the date that the first pension
payment is due.
[2]
In determining whether Mr. Carvalho and Ms. Amorim were living separate and apart
at the relevant time, the application judge turned to the case law under s. 8
of the
Divorce Act
, R.S.C. 1985, c. 3 (2nd Supp.). He described the following
indicia, derived from
Greaves v. Greaves
(2004), 4 R.F.L. (6th) 1
(Ont. S.C.), at para. 34, as relevant to his determination of whether the
parties were living separate and apart:
a.
Physical
separation, however, this is not the deciding factor as spouses may remain
together for economic reasons;
b.
A withdrawal by
one or both spouses from the matrimonial obligation with the intent of
destroying the matrimonial consortium or of repudiating the marital
relationship;
c.
the absence of
sexual relations however this is not a conclusive factor;
d.
discussions of
family problems and communications between the spouses;
e.
presence or
absence of joint social activities; and
f.
the true
intent of a spouse as opposed to a spouses stated intent.
[12]
The
application judge went on to review the evidence from both parties about their
living arrangements at the relevant time. Ultimately, he summarized his factual
findings as follows:
I conclude that at the time Mr. Carvalho first began receiving
his disability pension he and Ms. Amorim were living separate and apart. They
were physically separated. From 1990, Mr. Carvalho lived in Canada and Ms.
Amorim lived in Portugal. After 1990, Ms. Amorim did not travel to Toronto.
There is also no evidence that they participated in each others lives in any
meaningful way.
I acknowledge that parties can be in a marital relationship
even if they live in separate locations:
Greaves v. Greaves
, at para.
34. It is my view, however, that there must be evidence of a common purpose,
involvement in each others lives, and communication either in-person or by
letters, texts, e-mails or phone. Here, there is no evidence of any sustained
or significant interaction between the parties at the time Mr. Carvalho began
receiving the disability pension in August 2002.
[13]
We
see no reviewable errors in the application judges findings of fact. They are
supported by the record and, as set out above, his factual findings are
entitled to deference.
[14]
Ms.
Amorim takes issue with some of the application judges factual findings. For
example, she argues that he did not consider the contradictions in Mr. Carvalhos
evidence regarding when the parties stopped having sexual relations. However,
it is evident from the application judges conclusions that he based his
decision on the overall circumstances of the relationship between the parties. He
considered the fact that the parties had not lived in the same location for
many years and that they had little regular ongoing contact. This
uncontradicted evidence supported his conclusion that the parties did not
participate in each others lives in any meaningful way.
[15]
Ms.
Amorim also argues that there was no change in the parties relationship from
the mid-1990s to 2007-2008, when Mr. Carvalho initiated divorce proceedings,
thereby suggesting that they were not living separate and apart in 2002.
However, the issue for the application judge was not whether there had been any
change in the relationship prior to 2002, but whether the parties were living
separate and apart at that time.
[16]
The
list of indicia for determining whether parties are living separate and apart
is not formulaic and no individual factor is determinative. In this case, the
application judge considered the totality of the evidence. He was aware that
there were contradictions between the parties evidence. However, looking at
all the circumstances, he found that they were living separate and apart in
2002. His conclusion is entitled to deference and is supported by the record.
[17]
The
appeal is therefore dismissed.
[18]
Despite
being unsuccessful on the appeal, Ms. Amorim asks that no costs be awarded
against her. She argues that she did not choose to become involved in the
litigation and that the only reason this matter went to court was because of
Mr. Carvalhos misrepresentation that she signed a spousal waiver. While the
application judges decision to award no costs was justified given Mr.
Carvalhos conduct, the same rationale does not apply to the costs of the appeal.
It was Ms. Amorim who chose to pursue the appeal. Therefore, in our view,
there is no reason for the court to depart from the usual principle that the
unsuccessful party is to pay costs to the successful party.
[19]
Ms.
Amorim is to pay costs of $7,500.00, all inclusive, to Mr. Carvalho. No costs
are awarded to or against the Pension Fund.
Gary Trotter J.A.
S.
Coroza J.A.
L.
Favreau J.A.
[1]
The Pension Fund took no position on the merits of the appeal.
[2]
The
Pension
Benefits Act
has since been amended and the living
separate and apart exception to the definition of spouse is now found in s.
44(1.1).
|
COURT OF APPEAL FOR ONTARIO
CITATION: Corvello v. Colucci, 2022 ONCA 159
DATE: 20220218
DOCKET: C68475
Strathy C.J.O., Roberts and Sossin JJ.A.
BETWEEN
Tony Corvello and Gino Colucci
Plaintiffs (Respondents)
and
Arthur Colucci
Defendant (Appellant)
Bradley Phillips, for the appellant
Fredrick R. Schumann, for the respondents
Heard: February 15, 2022 by videoconference
On appeal from
the judgment of Justice Tracey Nieckarz of the Superior Court of Justice, dated
June 11, 2020, with reasons reported at 2020 ONSC 3679.
REASONS FOR DECISION
[1]
The appellant, Arthur Colucci, appeals the judgment granting the motion
brought by the respondents, Tony Corvello and Gino Colucci, for a declaration
that the appellant holds a land use permit in trust for himself and the
respondents as beneficial owners.
[2]
At the conclusion of the appellants submissions, we dismissed the
appeal with reasons to follow. These are those reasons.
[3]
Arthur and Gino Colucci are brothers. Tony Corvello is Arthurs
brother-in-law. At issue is the ownership of a land use permit which was obtained
from the Ontario government in 1974 (the permit). The permit allows the
holders to build on and use the property for recreational purposes. The permit does
not confer any rights of ownership over the land or any interest in the land to
which it applies.
[4]
Since obtaining the permit, the parties and their families had
harmoniously enjoyed the use of a recreational property on Lac Seul in the
District of Kenora, Ontario (the property). As the trial judge noted, the
parties described the property as a place where their families gathered to
build, work, relax and enjoy each others company. Sadly, these happier
times came to an end in 2016 when Arthur took the position that the permit
belonged to him alone and he locked out the respondents and their families from
the property. Litigation ensued.
[5]
After a meticulous review of the evidence from the three-day trial of
this matter, the trial judge determined that Arthur held the permit in trust
for himself and the respondents as beneficial owners. She declined to award the
general damages sought by the respondents.
[6]
Arthur raises the following single issue on appeal: Did the trial judge
err in law and in fact in determining that an undocumented trust agreement
existed when the alleged settlor provided an alternate explanation as to what
his intention was?
[7]
It is well established that the creation of a valid trust requires
three essential characteristics or three certainties: certainty of intention
to create a trust; certainty of subject matter; and certainty of objects:
Byers
v. Foley
(1993), 16 O.R. (3d) 641 (Gen. Div.), at para. 13, citing D.M.W.
Waters,
Law of Trusts in Canada
, 2nd ed. (Toronto: Carswell, 1984), at
p. 107.
[8]
Arthur does not dispute that there was certainty of subject
matter and object, but he submits that there was no certainty of intention to
create a trust. He bases his submission on the argument that, in the absence of
documentation evidencing a trust agreement among the parties and the fact that
the permit was in his name alone, his evidence that he never intended to create
a trust and that he alone owned the permit should have been given primary
consideration and accepted by the trial judge. He argues that the trial judges
analysis was flawed because she determined Arthurs intention as settlor of the
trust through the lens of the other parties intentions and therefore
misapprehended the evidence supporting Arthurs intention not to create a
trust.
[9]
We do not agree.
[10]
It
was open to the trial judge to accept some, all, or none of any witnesss
evidence. Certainly, she was not obliged to accept all or any of Arthurs
evidence. Nor was the absence of a formal trust agreement or the fact that the
permit was in Arthurs name alone determinative. Rather, to ascertain certainty
of intention in the absence of a written trust agreement, the trial judge was
required to look at the surrounding circumstances and the evidence as to what
the parties intended, as to what was actually agreed, and as to how the parties
conducted themselves:
Byers
, at para. 15. She was also required to
make findings based on her assessment of the credibility and reliability of the
evidence presented at trial. Findings open to the judge based on the
evidentiary record and credibility findings attract deference from this court:
Chechui
v. Nieman
, 2017 ONCA 669, 136 O.R. (3d) 705, at para. 33.
[11]
We
disagree that the focus of the trial judges inquiry should have been on
Arthurs subjective intentions. Rather, she was required to apply an objective
standard to ascertain the certainty of intention not just from Arthurs own
acts, but also from the acts of the other parties:
Ontario (Training,
Colleges and Universities) v. Two Feathers Forest Products LP
, 2013 ONCA
598, 368 D.L.R. (4th) 714, at para. 24. Nor did she misapprehend the evidence.
The trial judge was not limited to considering Arthurs denials, but was
entitled to consider the evidence as a whole from which she could infer Arthurs
intention and the common intention of the parties to hold the permit in trust
for himself and the respondents:
Byers
, at para. 26.
[12]
This
is precisely what the trial judge did. The only three witnesses at trial were
Arthur, Gino and Tony. The trial judge reviewed the evidence of each at some
length. She gave detailed reasons for her acceptance of Gino and Tonys evidence
and her conclusion that from the beginning it was intended that they were
partners in and co-owners of the [permit]. She made comprehensive findings
based on a thorough review of all the evidence. The evidence supported her
conclusion that Arthur held the permit in trust for himself and the respondents
as beneficial owners. Deference is owed to her findings of fact.
[13]
The
trial judges findings support the existence of a trust. She found that the
permit was in Arthurs name because the government at the time of issuance
would not permit it to be put into more than one name. She also found that Arthur,
Gino and Tony had all contributed to the property, that all costs of the
property were shared three ways, and the three of them discussed and agreed on
any improvements to the property. Once it was permitted by the government to do
so, they agreed to put the permit in their three names and Arthur wrote to the
government asking for this change. All three referred to themselves as owners
of the property, are named insureds on the insurance for the property, and had
use of the property without asking Arthur for permission. Until 2016, Arthur
never asserted ownership of the property to the exclusion of Tony and Gino.
[14]
All
the trial judges findings were open to her. Her findings support her
conclusion that Arthur held the permit in trust for himself, Tony and Gino. Arthur
has not persuaded us that the trial judge made any error in her findings and
analysis. We see no basis to intervene.
DISPOSITION
[15]
For
these reasons, we dismissed the appeal.
[16]
The
respondents are entitled to their costs from the appellant in the agreed upon amount
of $6,000, inclusive of disbursements and applicable taxes.
G.R. Strathy C.J.O.
L.B. Roberts J.A.
L. Sossin J.A.
|
WARNING
The President of the panel hearing this appeal directs that the following should be attached to the file:
An order restricting publication in
this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1)
or (2) of the
Criminal Code
shall continue. These sections of
the
Criminal Code
provide:
486.4(1) Subject to
subsection (2), the presiding judge or justice may make an order directing that
any information that could identify the victim or a witness shall not be
published in any document or broadcast or transmitted in any way, in
proceedings in respect of
(a) any of the following
offences;
(i) an offence under
section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172,
172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02,
279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence under this
Act, as it read at any time before the day on which this subparagraph comes
into force, if the conduct alleged involves a violation of the complainants
sexual integrity and that conduct would be an offence referred to in
subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED: S.C. 2014,
c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or
more offences being dealt with in the same proceeding, at least one of which is
an offence referred to in paragraph (a).
(2) In proceedings in respect
of the offences referred to in paragraph (1)(a) or (b), the presiding judge or
justice shall
(a) at the first reasonable
opportunity, inform any witness under the age of eighteen years and the victim
of the right to make an application for the order; and
(b) on application made by
the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to subsection
(2.2), in proceedings in respect of an offence other than an offence referred
to in subsection (1), if the victim is under the age of 18 years, the presiding
judge or justice may make an order directing that any information that could
identify the victim shall not be published in any document or broadcast or
transmitted in any way.
(2.2) In proceedings in respect
of an offence other than an offence referred to in subsection (1), if the
victim is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible, inform
the victim of their right to make an application for the order; and
(b) on application of the victim
or the prosecutor, make the order.
(3) In proceedings in respect
of an offence under section 163.1, a judge or justice shall make an order
directing that any information that could identify a witness who is under the
age of eighteen years, or any person who is the subject of a representation,
written material or a recording that constitutes child pornography within the
meaning of that section, shall not be published in any document or broadcast or
transmitted in any way.
(4) An order made under this
section does not apply in respect of the disclosure of information in the
course of the administration of justice when it is not the purpose of the
disclosure to make the information known in the community.
2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c.
3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s. 18.
486.6(1) Every person who
fails to comply with an order made under subsection 486.4(1), (2) or (3) or
486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2) For greater certainty, an
order referred to in subsection (1) applies to prohibit, in relation to
proceedings taken against any person who fails to comply with the order, the
publication in any document or the broadcasting or transmission in any way of
information that could identify a victim, witness or justice system participant
whose identity is protected by the order. 2005, c. 32, s. 15.
WARNING
An order restricting publication in this proceeding was made under s. 517
of the
Criminal Code
and continues to be in effect. This section of the
Criminal Code
provides:
517(1) If the prosecutor or the
accused intends to show cause under section 515, he or she shall so state to
the justice and the justice may, and shall on application by the accused,
before or at any time during the course of the proceedings under that section,
make an order directing that the evidence taken, the information given or the representations
made and the reasons, if any, given or to be given by the justice shall not be
published in any document, or broadcast or transmitted in any way before such
time as
(a) if a preliminary inquiry is
held, the accused in respect of whom the proceedings are held is discharged; or
(b) if the accused
in respect of whom the proceedings are held is tried or ordered to stand trial,
the trial is ended.
Failure to comply
(2) Everyone who fails without
lawful excuse, the proof of which lies on him, to comply with an order made
under subsection (1) is guilty of an offence punishable on summary conviction.
(3) [Repealed, 2005, c. 32, s. 17]
R.S., 1985, c. C-46, s. 517; R.S., 1985,
c. 27 (1st Supp.), s. 101(E); 2005, c. 32, s. 17.
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v.
N.S., 2022 ONCA 160
DATE: 20220224
DOCKET: C69437
Hoy, Coroza and Sossin JJ.A.
BETWEEN
Her Majesty the Queen
Appellant
and
N.S.
Respondent
Deborah Krick, Michael Dunn and Jeremy Tatum, for the appellant
Marianne Salih and Carlos Rippell, for the respondent
Michael Rosenberg, Alana Robert and Holly Kallmeyer, for
the interveners The Canadian Alliance for Sex Work Law Reform, Monica
Forrester, Valerie Scott, Lanna Moon Perrin, Jane X and Alessa Mason
Tara Santini, for the intervener The Canadian Alliance
for Sex Work Law Reform
James Lockyer, for the intervener Tiffany Anwar
Matthew Gourlay and Brandon Chung, for the intervener
Deshon Boodhoo
Heard: November 19, 2021
On appeal from the acquittals entered by Justice Phillip
Sutherland of the Superior Court of Justice, on May 17, 2021.
Hoy J.A.:
I.
INTRODUCTION
[1]
In 2014, Parliament enacted Bill C-36,
An Act to amend the Criminal
Code in response to the Supreme Court of Canada decision in Attorney General of
Canada v. Bedford and to make consequential amendments to other Acts
, 2nd
Sess., 41st Parl., 2014 (assented to 6 November 2014), S.C. 2014, c. 25, in
response to the Supreme Courts decision in
Canada (Attorney General) v.
Bedford
, 2013 SCC 72, [2013] 3 S.C.R. 1101, declaring three
Criminal
Code
[1]
offences addressing prostitution-related conduct unconstitutional.
[2]
The respondent was charged with several offences relating to his sale of
the complainants sexual services. He successfully challenged the
constitutionality of three of the new provisions of the
Criminal Code
enacted by Bill C-36 s. 286.2 (material benefit), s. 286.3 (procuring), and
s. 286.4 (advertising) on the basis that they infringe the rights of a
hypothetical person to security of the person and, in some cases, to liberty under
s. 7 of the
Canadian Charter of Rights and Freedoms
:
R. v. N.S.
,
2021 ONSC 1628. The application judge found that the infringements were not a
justifiable limit under s. 1 and struck down the impugned provisions.
[3]
The Crown appeals.
[4]
For the following reasons, I would allow the appeal, set aside the
respondents acquittals, and order a new trial.
[5]
The Supreme Courts decision in
Bedford
provides important
context for the issues on this appeal. Below, I first review
Bedford
.
Next, I outline the scheme of Bill C-36 and set out the provisions relevant on
this appeal, and then provide a brief overview of the reasons of the judge
below. I then consider the purposes of Bill C-36 before addressing, in turn, each
of the impugned provisions. I consider the reasons of the application judge in
more detail in my analysis. Finally, I address the respondents arguments
renewed on appeal that the impugned provisions infringe the right to freedom
of expression under s. 2(b) and the right to freedom of association under s.
2(d) of the
Charter
and are not justifiable limits under s. 1.
II.
BEDFORD
[6]
In
Bedford
, the Supreme Court agreed with the application judge
that three provisions of the
Criminal Code
violated the security of
the person interests under s. 7 of the
Charter
and were
unconstitutional: to be an inmate of or found without lawful excuse in, or to
be the owner, landlord, lessor, tenant or occupier of a bawdy-house (s. 210);
living on the avails of anothers prostitution (s. 212(1)(j)); and
communicating in public with respect to a proposed act of prostitution (s. 213(1)(c)).
[7]
The applicants in
Bedford
were all current or former
prostitutes.
[2]
They filed an extensive record as part of a civil application. They did not
rely on hypotheticals. The application judge made extensive findings of fact,
including with respect to social and legislative facts, which the court held were
entitled to deference:
Bedford
, at para. 49.
[8]
The court explained that the first question is whether the impugned laws
negatively impact or limit the applicants security of the person, thus
bringing them within the ambit of, or engaging, s. 7 of the
Charter
. It
concluded that they did: they imposed dangerous conditions on prostitution:
they prevent people engaged in a risky but legal activity from taking steps
to protect themselves from the risks: at para. 60.
[9]
The practical effect of the bawdy-house provision was to confine lawful
prostitution to two categories: street prostitution and out-calls. The
application judge found that the safest form of prostitution was working
independently from a fixed indoor location. The bawdy-house prohibition
prevented prostitutes from doing so. Working from a fixed indoor location would
permit prostitutes to have a regular clientele and set up safeguards.
[10]
As
interpreted by the courts, the living on the avails provision prevented prostitutes
from hiring bodyguards, drivers and receptionists safeguards that could
increase the prostitutes safety.
[11]
The
prohibition on communicating in public prevented prostitutes from screening
clients and setting terms on the use of condoms or safe houses, thereby
significantly increasing the risks they faced.
[12]
The
court then considered whether the impugned provisions respected the principles
of fundamental justice: in particular, the basic values against arbitrariness,
overbreadth and gross disproportionality. I provide more detail later in these
reasons about what the court said about these principles and how compliance
with them is to be assessed.
[13]
It
found that the objective of the bawdy-house provision, which had been
essentially unchanged since the 1953-54 revision to the
Criminal Code
,
had long been identified as preventing community harms in the nature of
nuisance and that the harms identified by the application judge were grossly
disproportionate to that object.
[14]
The
court had previously determined that the purpose of the living on the avails
provision was to target pimps and the parasitic, exploitative conduct in which
they engage. It agreed with the courts below that the provision was overbroad,
at para. 142:
The law punishes everyone who lives on the avails of
prostitution without distinguishing between those who exploit prostitutes (for
example, controlling and abusive pimps) and those who could increase the safety
and security of prostitutes (for example, legitimate drivers, managers, or
bodyguards). It also includes anyone involved in business with a prostitute,
such as accountants or receptionists. In these ways, the law includes some
conduct that bears no relation to its purpose of preventing the exploitation of
prostitutes. The living on the avails provision is therefore overbroad.
[15]
The
object of the communicating provision had been explained in the
Reference
re ss. 193 and 195.1(1)(c) of the Criminal Code (Man.)
, [1990] 1 S.C.R. 1123
(the
Prostitution Reference
), at pp. 146-7: to take prostitution off
the streets and out of public view in order to prevent the associated nuisances.
The court agreed with the application judge that the negative impact on the
safety and lives of street prostitutes was grossly disproportionate to the
possibility of nuisance caused by street prostitution.
[16]
The
court noted that the Attorney General had not seriously argued that the laws,
if found to infringe s. 7, could be justified under s. 1 of the
Charter
.
Therefore, the court found that the impugned laws were not saved by s. 1.
[17]
While
it declared the impugned provisions unconstitutional, the court carefully added
this, at para. 165:
That does not mean that Parliament is precluded from imposing
limits on where and how prostitution may be conducted
The regulation of
prostitution is a complex and delicate matter. It will be for Parliament,
should it choose to do so, to devise a new approach, reflecting different
elements of the existing regime.
[18]
The
court suspended its declaration of invalidity for one year.
III.
THE PCEPA
[19]
Before
the one-year suspension elapsed, Parliament enacted Bill C-36
.
The
Acts short tile is the
Protection of Communities and Exploited Persons Act
(the PCEPA).
[20]
The
PCEPA amended or repealed the provisions which the Supreme Court had declared
unconstitutional in
Bedford
and enacted four new offences in Part VIII
of the
Criminal Code
Offences Against the Person and Reputation
under a new heading: Commodification of Sexual Activity.
[21]
At
the time of
Bedford
, it was not illegal to exchange sex for money. The
PCEPA changed that. While some advocated for the decriminalization and
regulation of the sex trade, Parliament adopted a variant of the so-called
Nordic Model, which had been adopted in several other countries. The Nordic
Model views the sex trade as a form of sexual exploitation. It targets those
who create the demand for prostitution and those who capitalize on it.
Parliament did not accept that persons who provide sexual services for consideration
should be viewed as workers and that prostitution should be legal sex work:
see the comments of Minister of Justice and Attorney General of Canada Peter
MacKay in House of Commons, Standing Committee on Justice and Human Rights,
Evidence
,
41st Parl., 2nd Sess., No. 32 (7 July 2014), at pp. 9-10. It was concerned that
prostitution was linked to human trafficking. As the Minister of Justice put it
in debate at second reading, [D]ecriminalization and legalization [of
prostitution] lead to increased human trafficking for the purpose of sexual
exploitation; see also comments of Mr. Royal Galipeau (Ottawa-Orléans), House
of Commons,
Debates (Hansard)
, 41st Parl., 2nd Sess., Vol. 147, No.
117 (26 September 2014), at p. 7885.
[22]
Section
286.1(1) now provides that everyone who obtains for consideration, or
communicates with anyone for the purpose of obtaining for consideration, the
sexual services of a person is guilty of an offence.
[3]
While buying sex is now a
criminal offence, the PCEPA does not criminalize the sale of sexual services. Further,
under s. 286.5, set out later in this part of these reasons, the PCEPA provides
immunity from prosecution to persons who aid or abet an offence under s. 286.1
in relation to the provision of their own sexual services. The PCEPA views
those who provide sexual services for consideration as exploited persons.
Whether Parliament could or should have criminalized obtaining sexual services
for consideration is not before this court. Section 286.1 is not challenged in
this case.
[4]
[23]
This
appeal concerns the other three offences created by Parliament.
[24]
The
PCEPA created a new material benefit offence in s. 286.2(1).
[5]
This provision modernizes the living on the avails of prostitution offence
which was found unconstitutional in
Bedford
. It provides that every
person who receives a financial or other material benefit, knowing that it is
obtained by or derived directly or indirectly from the commission of an offence
under s. 286.1(1), is guilty of an offence.
[25]
Section
286.2(4) creates exceptions to the general prohibition in s. 286.2(1). Two of those
exceptions permit a person who provides sexual services for consideration, on
certain terms, to hire bodyguards, drivers and receptionists. The provisions
found unconstitutional in
Bedford
did not permit such safeguards.
Section 286.2(5), meanwhile, provides exceptions to those exceptions.
Material benefit from sexual services
286.2 (1)
Every person who
receives a financial or other material benefit, knowing that it is obtained by
or derived directly or indirectly from the commission of an offence under
subsection 286.1(1), is guilty of
(a)
an indictable offence
and liable to imprisonment for a term of not more than 10 years; or
(b)
an offence punishable on
summary conviction.
Exception
(4)
Subject to subsection (5),
subsections (1) and (2) do not apply to a person who receives the benefit
(a)
in the context of a legitimate
living arrangement with the person from whose sexual services the benefit is
derived;
(b)
as a result of a legal
or moral obligation of the person from whose sexual services the benefit is
derived;
(c)
in consideration for a
service or good that they offer, on the same terms and conditions, to the
general public; or
(d)
in consideration for a
service or good that they do not offer to the general public but that they
offered or provided to the person from whose sexual services the benefit is
derived, if they did not counsel or encourage that person to provide sexual
services and the benefit is proportionate to the value of the service or good.
No exception
(5)
Subsection (4) does not
apply to a person who commits an offence under subsection (1) or (2) if that
person
(a)
used, threatened to use
or attempted to use violence, intimidation or coercion in relation to the
person from whose sexual services the benefit is derived;
(b)
abused a position of
trust, power or authority in relation to the person from whose sexual services
the benefit is derived;
(c)
provided a drug, alcohol
or any other intoxicating substance to the person from whose sexual services
the benefit is derived for the purpose of aiding or abetting that person to
offer or provide sexual services for consideration;
(d)
engaged in conduct, in
relation to any person, that would constitute an offence under
section 286.3; or
(e)
received the benefit in
the context of a commercial enterprise that offers sexual services for
consideration.
[26]
The
PCEPA also modernized and reformulated the prior procuring offence in s. 212(1)
by enacting s. 286.3(1)
[6]
:
Procuring
286.3
(1)
Everyone
who procures a person to offer or provide sexual services for consideration or,
for the purpose of facilitating an offence under subsection 286.1(1),
recruits, holds, conceals or harbours a person who offers or provides sexual
services for consideration, or exercises control, direction or influence over
the movements of that person, is guilty of an indictable offence and liable to
imprisonment for a term of not more than 14 years.
[27]
And,
in s. 286.4, Parliament created an entirely new offence prohibiting the
advertising of an offer to provide sexual services:
Advertising sexual services
286.4
Everyone who knowingly
advertises an offer to provide sexual services for consideration is guilty of
(a)
an indictable offence
and liable to imprisonment for a term of not more than five years; or
(b)
an offence punishable on
summary conviction.
[28]
In
addition to creating the four new offences, the PCEPA provides immunity from
prosecution for persons who provide their own sexual services for consideration
in s. 286.5:
Immunity material benefit and advertising
286.5
(1)
No
person shall be prosecuted for
(a)
an offence under
section 286.2 if the benefit is derived from the provision of their own sexual
services; or
(b)
an offence under
section 286.4 in relation to the advertisement of their own sexual
services.
Immunity aiding, abetting, etc.
(2)
No person shall be
prosecuted for aiding, abetting, conspiring or attempting to commit an offence
under any of sections 286.1 to 286.4 or being an accessory after the
fact or counselling a person to be a party to such an offence, if the offence
relates to the offering or provision of their own sexual services.
[29]
For
ease of reference, a copy of these provisions is set out in Appendix A to
these reasons.
[30]
In
response to
Bedford
, Parliament also replaced the communicating
offence in s. 213(1)(c) of the
Criminal Code
. Now, except for
communications in public places that impede traffic or take place in or next to
school grounds, playgrounds or day care centres, communications by a person
selling their own sexual services for consideration are no longer criminalized.
Section 213 is not at issue on this appeal.
[31]
With
this framework, I turn to the reasons of the application judge.
IV.
AN OVERVIEW OF THE REASONS OF THE APPLICATION JUDGE
[32]
The
respondent was charged with offences under ss. 286.1(1), 286.2(1),
286.3(1) and 286.4. He did not assert that s. 7 was engaged on the facts of his
case. Rather, he challenged the constitutionality of ss. 286.2(1), 286.3(1) and
286.4 based on four reasonable hypotheticals. The application judge found
that two of them would engage the impugned provisions in a manner that infringed
s. 7:
Hypothetical 2: Students Deciding to Do Sex Work
Two or more 21-year old students at the University of Western
Ontario are unable to afford their tuition and living expenses at university.
They decide to become sex workers, a profession with which they are entirely
unfamiliar.
They approach a known sex worker for assistance and advice. She
facilitates their plan by helping them set up, including helping them find
rental premises out of which to operate, helping them hire security and a
receptionist, and arranging for a professional photographer and website
designer to facilitate their advertising on the internet. The two or more
students then lease premises, hire security, a receptionist and a bookkeeper,
and commence to sell sexual services.
Hypothetical 4: Male Sex Worker in Rented Residence
The sex worker is male. He is a student is his final year. He
decides to lease premises, a room with the same students in hypothetical two.
He uses the premises to conduct his commercial sex work. He makes his own
money. He pays rent for the use of the premises for his living residence and
where he conducts his commercial sex work.
[33]
The
application judge directed himself that the first issue to be considered was
the purpose of the PCEPA and the impugned provisions.
[34]
He
found that the purpose of the PCEPA is to immunise from prosecution any
individual sex worker who performs sex work, and to allow the assistance of
third parties in limited circumstances, while making all other aspects of
commercial sex work illegal: at para. 52.
[35]
Next,
the application judge determined that the sex workers in the hypotheticals
would be caught by the material benefit and procuring provisions, triggering
their s. 7 right to liberty. The students, in working cooperatively, would
constitute a commercial enterprise and therefore could not benefit from the
exception to s. 286.2(1). Nor would they benefit from the immunity in s. 286.5.
By assisting each other in conducting commercial sex and advertising and in
providing accommodation, they would also be guilty of procuring, harbouring or
concealing for the purpose of facilitating commercial sex work and directing,
controlling, or influencing the movements of someone for the purpose of
facilitating commercial sex work. The experienced sex worker who gives the
students advice would also be guilty of procuring.
[36]
The
sex workers right to security of the person would also be engaged. Because
they would be caught by the material benefit and procuring provisions, they
would not be able to hire security or take other steps to protect themselves.
They could also not receive advice from the experienced sex worker, because she
would be guilty of procuring. Finally, the application judge concluded that
while the students would not be caught by the advertising prohibition because
of the immunity in s. 286.5, their security of the person was engaged because
they could not communicate frankly with their customers.
[37]
Assessed
against the objectives of the legislation, the application judge found all
three provisions to be overbroad. Parliament had indicated that one of the
objectives is to protect sex workers from violence, abuse and exploitation to
protect the health and safety of sex workers. The impugned provisions limit or
prevent some means of protection and safety for some, if not all, sex workers.
[38]
Further,
their impact is grossly disproportionate. The application judge held that [t]he
objective of eliminating or lessening commercial sex work through the banning
of advertising cannot be made at the safety and security of commercial sex
workers: at para. 177. Parliament cannot allow sex work to continue and then
grossly limit or prevent sex workers ability to protect their safety.
[39]
He
concluded that the infringements of s. 7 were not saved by s. 1. As in
Bedford
,
the Crown had not seriously addressed the s. 1 issue in its factum. In any
event, it would be very difficult to justify an infringement of s. 7 under s.
1.
[40]
Having
found that s. 7 had been infringed and was not a justifiable limit under s. 1,
the application judge declined to address the alleged infringement under s. 2(d)
of the
Charter
. He also found that he was bound by this courts
decision in
Bedford
[7]
with respect to the advertising provision (s. 286.4), and therefore was
compelled to find that it was not an unjustified infringement of s. 2(b) of the
Charter
.
[41]
He
declared the impugned provisions of no force and effect, with immediate effect:
R. v. N.S.
, 2021 ONSC 2920. This court granted the Crowns application
to stay the declaration, pending this appeal:
R. v. N.S.
, 2021 ONCA
694. With the consent of the parties, at the hearing of this appeal, the court
extended the stay pending the release of these reasons.
V.
SECTION 7 AND THE PURPOSE OF THE PCEPA
[42]
Section
7 provides:
Everyone has the right to life, liberty and security
of the person and the right not to be deprived thereof except in accordance
with the principles of fundamental justice.
[43]
As
explained in
Bedford
, a laws compliance with s. 7 of the
Charter
turns
on a proper assessment of the laws objective. When an impugned provision
engages s. 7, its purpose must be identified to determine whether the
impairment of the s. 7 right is in accordance with the principles of
fundamental justice. Does it respect the basic values against arbitrariness,
overbreadth and gross disproportionality?
[44]
The
Supreme Court explained in
Bedford
that the basic values against
arbitrariness and overbreadth target the absence of connection between the
impugned laws purpose and the s. 7 deprivation. A law is arbitrary if there is
no connection between the effect and object of the law. A provision suffers
from overbreadth when it is so broad in scope that it includes some conduct
that bears no connection to its objective: i.e., the law is rational in some
cases, but overreaches in its effect in others. The overbreadth analysis does
not evaluate the appropriateness of the objective:
R. v. Moriarity
,
2015 SCC 55, [2015] 3 S.C.R. 485, at paras. 30-31.
[45]
A
law offends the value against gross disproportionality when it deprives a
person of life, liberty or security of the person in a manner that is grossly
disproportionate to the laws objective. The rule against gross
disproportionality only applies in extreme cases, where the seriousness of the
deprivation is totally out of sync with the objective of the measure: e.g., a
law intended to keep streets clean that imposes life imprisonment for spitting
on the sidewalk; see
Bedford
, at para. 120.
[46]
It
is clear from
Bedford
that the s. 7 analysis turns on the purpose of
the
particular provision
that is impugned. In
Bedford
,
the purpose of each provision had previously been determined and the court
assessed overbreadth and gross disproportionality against those purposes. Here,
in the absence of binding authority, the application judge had to assess the
purpose of each provision.
[47]
The
purposes of the PCEPA are relevant in determining the purpose and scope of the
impugned provisions. I therefore address the purposes of the PCEPA as a whole before
turning to each of the impugned provisions.
[48]
A
laws purpose can be inferred from explicit legislative statements, the text of
the law read in its context, extrinsic evidence such as legislative history and
evolution, as well as prior judicial interpretations:
R. v. Safarzadeh-Markhali
, 2016 SCC 14, [2016] 1 S.C.R. 180, at para. 31; see also Hamish
Stewart,
Fundamental Justice: Section 7 of the Charter of Rights and
Freedoms
, 2nd ed. (Toronto: Irwin Law, 2019), at p. 157,
citing
R. v. Downey
, [1992] 2 S.C.R. 10, at
paras. 30-35. Although legislative debates cannot override specific text in
legislation, they may still inform the interpretation process:
MediaQMI
v. Kamel
, 2021 SCC 23, at para. 37.
[49]
The
then Minister of Justice, Peter MacKay, described the PCEPA as making prostitution
itself illegal and a fundamental paradigm shift in approach. He stated before
the House of Commons Standing Committee on Justice and Human Rights that the
goal of the PCEPA is to reduce the demand for prostitution with a view to discouraging
entry into it, deterring participation in it, and ultimately abolishing it to
the extent possible. He reiterated this, almost word for word, before the Standing
Senate Committee on Legal and Constitutional Affairs, describing prostitution
as an inherently degrading and dangerous activity:
Proceedings of the
Standing Senate Committee on Legal and Constitutional Affairs
, 41st Parl.,
2nd Sess., No. 15 (9 September 2014) at p. 12. At the Senate Committee, he explained
that the PCEPA would not only help reduce prostitution itself, but will create
the climate in which prostitutes can take
certain
specific measures
, steps to further protect themselves or insulate
themselves from violence (emphasis added): at p. 22. At the debates at
the second reading of the PCEPA, Minister MacKay stated that prostitution
disproportionately impacts on societys most marginalized and vulnerable and
that [a]n additional objective is to reduce the likelihood of third parties
facilitating exploitation through prostitution for their gain, and the key and
operative word here is exploitation: at p. 6653.
[50]
Typically, legislative history comes from parliamentary speeches and
debates or statements by ministers or members of Parliament. Other acceptable
documentary sources of legislative history include government policy papers
such as a white paper, green paper, budget paper and even reports or studies
produced outside government which existed at the time of the enactment and were
relied on by the government that introduced the legislation: P.W. Hogg and Wade
Wright,
Constitutional Law of Canada
,
loose-leaf (2021-Rel. 1) 5th ed. (Toronto: Carswell, 2007), at s. 60:1; see
also Ruth Sullivan,
Sullivan on the Construction of Statutes
, 6th ed. (Markham: LexisNexis, 2014), at
para.
9.48. For example, the Supreme Court referred to the Technical Paper
on the Federal Carbon Pricing Backstop in its review of legislative history to
discern the pith and substance of the
Greenhouse Gas Pollution Act
in
Reference re Greenhouse Gas Pollution Act
, 2021 SCC 11, 455 D.L.R. (4th) 1,
per
Wagner C.J.
[51]
In
this case, the legislative history includes the Technical Paper produced by the
Department of Justice on the new prostitution-related offences, which was
tabled before and adverted to at the parliamentary committees tasked with
reviewing the legislation. The Technical Paper describes the purpose of the
PCEPA as follows:
[The PCEPA] seeks to denounce and prohibit the demand for
prostitution and to continue to denounce and prohibit the exploitation of the
prostitution of others by third parties, the development of economic interests
in the exploitation of the prostitution of others and the institutionalization
of prostitution through commercial enterprises, such as strip clubs, massage
parlours and escort agencies in which prostitution takes place. It also seeks
to encourage those who sell their own sexual services to report incidents of
violence and leave prostitution.
[52]
The
Technical Paper goes on to describe the PCEPAs overall objective as reducing
the demand for prostitution with a view to discouraging entry into it,
deterring participation in it and ultimately abolishing it to the greatest
extent possible: Technical Paper, at p. 3.
[53]
The
Technical Paper, at p. 7, describes the PCEPA as seeking to ensure the safety
of
all
by reducing the demand for prostitution,
with a view to deterring it and ultimately abolishing it to the greatest extent
possible (emphasis added). It adds that the PCEPA recognizes that this
paradigm shift will take time and therefore does not prohibit individuals from
taking
certain
measures to protect themselves when
selling their own sexual services (emphasis added). It describes Parliament as
balancing the need to protect those subjected to prostitution from violence and
exploitation with the need to protect communities from prostitutions harmful
effects, including exposure of children; and, the need to protect society
itself from the normalization of a gendered and exploitative practice.
[54]
Available
intrinsic evidence of parliamentary intent includes the lengthy preamble to the
PCEPA:
Whereas the Parliament of Canada has grave concerns
about the exploitation that is inherent in prostitution and the risks of
violence posed to those who engage in it;
Whereas the Parliament of Canada recognizes the
social harm caused by the objectification of the human body and the
commodification of sexual activity;
Whereas it is important to protect human dignity and
the equality of all Canadians by discouraging prostitution, which has a
disproportionate impact on women and children;
Whereas it is important to denounce and prohibit the
purchase of sexual services because it creates a demand for prostitution;
Whereas it is important to continue to denounce and
prohibit the procurement of persons for the purpose of prostitution and the
development of economic interests in the exploitation of the prostitution of
others as well as the commercialization and institutionalization of
prostitution;
Whereas the Parliament of Canada wishes to encourage
those who engage in prostitution to report incidents of violence and to leave
prostitution;
And whereas the Parliament of Canada is committed to
protecting communities from the harms associated with prostitution;
[55]
The
preamble reflects that Parliament has fundamentally changed the lens through
which it views prostitution. Rather than viewing prostitution as a nuisance, it
views prostitution as inherently exploitative and something that must be
denounced and discouraged.
[56]
Available
intrinsic evidence also includes the short title of the PCEPA (the
Protection
of Communities and Exploited Persons Act)
, which indicates that, as stated
in the Technical Paper, Parliament considered the safety of all in enacting
the legislation. It also includes the heading which prefaces all these
offences: Commodification of Sexual Activity. The preamble describes the
commodification of sexual activity as causing social harm.
[57]
There
is some prior appellate judicial interpretation of the purpose of the PCEPA. In
R. v. Gallone
, 2019 ONCA 663, 147 O.R. (3d) 225, this court accepted
the statement in the Technical Paper that the overall objective of the PCEPA is
to reduce the demand for prostitution with a view to discouraging entry into
it, deterring participation in it and ultimately abolishing it to the greatest
extent possible:
Gallone
, at para. 92. And in the context of a Crown
appeal from a sentence for purchasing the sexual services of a child, the
Manitoba Court of Appeal described the purpose of the PCEPA as to discourage,
denounce and prohibit the demand for prostitution in order to protect
communities, human dignity and equality, and to encourage victims to report
violence and leave prostitution:
R. v. Alcorn
, 2021 MBCA 101, at
para. 14.
[58]
As
noted above, the application judge found that the purpose of the PCEPA is to
immunise from prosecution any individual sex worker who performs sex work, and
to allow the assistance of third parties in limited circumstances, while making
all other aspects of commercial sex work illegal: at para. 52. He found that a
second purpose was to protect sex workers from violence, abuse and exploitation
to protect the health and safety [of] sex workers, namely women and girls: at para. 165.
[59]
I
would describe the purposes of the PCEPA differently from the application
judge. In my view, the PCEPA has three purposes: first, to reduce the demand
for prostitution with a view to discouraging entry into it, deterring
participation in it and ultimately abolishing it to the greatest extent
possible, in order to protect communities, human dignity and equality; second, to
prohibit the promotion of the prostitution of others, the development of
economic interests in the exploitation of the prostitution of others, and the
institutionalization of prostitution through commercial enterprises in order to
protect communities, human dignity and equality; and, third, to mitigate some of
the dangers associated with the continued, unlawful provision of sexual
services for consideration. In particular, Parliaments latter objective is to
ensure that, as much as possible, persons who continue to provide their sexual
services for consideration, contrary to law, can avail themselves of the
safety-enhancing measures identified in
Bedford
and report incidents
of violence, without fear of prosecution.
[60]
The
main difference between the parties is how they would describe the PCEPAs
purpose in relation to protection or safety. The Crown argues that the PCEPA
permits
some
measures to enhance safety as an
ancillary objective. The respondent and the interveners argue that the
application judge correctly described one of the purposes of the PCEPA as to protect
sex workers from violence, abuse and exploitation to protect the health and
safety of sex workers. As is apparent from my articulation of the purposes of
the PCEPA, I disagree with that latter characterization.
[61]
There
is no doubt that Parliament was concerned about the safety of those who engage
in the provision of sexual services for consideration. There was express
discussion about this issue during the parliamentary debates. The short title
of the PCEPA (the
Protection of Communities and Exploited Persons Act
),
the recognition in the preamble of the risks of violence posed to those who
engage in [prostitution], the statements in the Technical Paper and the fact
that the PCEPA permits those who provide their sexual services for
consideration to employ the safety measures identified in
Bedford
further
indicate that the safety of those who provide sexual services for consideration
was a concern of Parliament.
[62]
The
PCEPA, however, was an explicit response to
Bedford
. While Parliament addressed
the specific safety issues which were the focus in
Bedford
working
from a fixed indoor location, hiring persons who may enhance safety, and the
ability to negotiate conditions for the sale of sexual services in a public
place it also chose to criminalize prostitution by prohibiting the demand and
reinforcing the prohibition on the exploitation of others by third parties. As
noted above, Minister MacKay was clear that Parliament sought to create the
climate in which prostitutes can take
certain specific
measures
, steps to further protect themselves or insulate themselves
from violence. He was also clear, however, that the best way to protect them
was to reduce prostitution itself. This is reflected in the scheme of the PCEPA
as a whole.
[63]
It
is for these reasons that I characterize the safety-related purpose of the
PCEPA (beyond the protection of communities, human dignity and equality, through
its first and second purposes) as being limited to ensuring that persons who
continue to provide their sexual services for consideration, contrary to law,
can avail themselves of the safety-enhancing measures identified in
Bedford
and report incidents of violence.
[64]
With
these purposes in mind, I turn to the first of the impugned provisions.
VI.
SECTION 286.2 (MATERIAL BENEFIT)
The application judges reasons
[65]
The
application judge found that the goal of s. 286.2 is to denounce and prohibit
economic interests and the commercialization of sexual services for
consideration: at para. 82. He then considered whether a sex worker who shares
space or expenses with other sex workers would be subject to prosecution under
s. 286.2.
[66]
Neither
benefit nor commercial enterprise is defined in the
Code
. He
concluded that, in the context of commodification of sexual activity, benefit
has an ordinary meaning of any profit, advantage or acquired right or privilege
and commercial enterprise means any enterprise or business entered into for
profit: at para. 105. He in turn concluded that, by sharing expenses, the
students in the two hypotheticals received a financial benefit from each other
which increases their respective profits, and that their respective sex work
enterprises were commercial enterprises and thus within the exception to the
exception in s. 286.2(5)(e). Further, each sex worker did not qualify for
immunity under s. 285.5(1)(a) and (2) because each sex worker would be
receiving a benefit which is not derived from the provisions of their own
sexual services: at para. 110. Because they do not qualify for immunity, their
respective rights to liberty are infringed.
[67]
Their
respective security of the person is also infringed because they would not be
able to hire third parties in a cooperative or cost sharing arrangement to
assist with their security. The application judge continued, at para. 113,
as the evidence indicated, not all sex workers make on their
own the amounts of money required to fund solely the expenses of third parties
to provide goods and services for their protection and health or accommodation
where they are not subject to being discharged. For these sex workers who
require benefits from a cooperative cost sharing arrangement, the legislative
schemes prevent them from doing so.
Analysis
[68]
The
application judges finding that s. 286.2 engages s. 7 is rooted in his
interpretation of commercial enterprise in s. 286.2(5)(e) and his conclusion
that the hypothetical sex workers would not enjoy immunity under s. 286.5(1).
[69]
The
governing modern principle of statutory interpretation is that the words of an
Act are to be read in their entire context and in their grammatical and
ordinary sense harmoniously with the scheme of the Act, the object of the Act,
and the intention of Parliament:
Rizzo & Rizzo Shoes Ltd. (Re)
,
[1998] 1 S.C.R. 27, at para. 21;
R. v. Hutchinson
, 2014 SCC 19, [2014]
1 S.C.R. 346, at para. 16.
[70]
Applying
those principles, I do not agree with the application judge that the
cooperative arrangement in the hypotheticals constitutes a commercial
enterprise within the meaning of s. 286.2(5).
[8]
[71]
In
the hypothetical cooperative arrangement, each person who provides sexual
services for consideration derives a benefit: she receives security services
that she may not have been able to afford on her own. Although the hypothetical
also describes the sharing of other services, I will focus on the sharing of
security both as most relevant to the security of the person interest in s. 7
and because this was the aspect that the application judge focused on.
[72]
Section
286.2(4) provides that, subject to s. 286.2(5), s. 286.2(1) does not apply to
certain persons who receive a benefit. The parties agree, and I accept, that
subject to s. 286.2(5), s. 286.2(4)(d) is applicable. The sex workers in the
hypothetical cooperative arrangement receive the benefit of the cooperative
arrangement in consideration for a service or good that they do not offer to
the general public but that they offered or provided to the person from whose
sexual services the benefit is derived and they did not counsel or encourage
that person to provide the sexual services and the benefit is proportionate to
the value of the service or good.
[73]
The
application judge turned to the
Oxford Canadian Dictionary
for
assistance, noting that it defines commercial as engaged in or concerned with
profit and enterprise as a business or businesses collectively. That is a
useful starting point, but it is not determinative.
[74]
The
hypothetical describes a cooperative: an arrangement where sex workers
cooperate to obtain premises and services related to their respective sales of
sexual services. The cost of the premises and services is shared; each sex
worker pays their share out of their earnings from the sale of their sexual
services. The cooperative is not engaged in or concerned with profit. It
operates on a shared cost basis. It is the opposite of an enterprise concerned
with profit. Each individual sex worker, not the cooperative, is concerned with
profit.
[75]
As
the application judge noted, the term commercial enterprise is not defined
in, or for the purposes of, s. 286.2: at paras. 102-3. As he also noted, the
Technical Paper comments on the meaning of commercial enterprise. It says
this, at p. 5:
Although commercial enterprise is not defined, the phrase has
been interpreted in sentencing cases under the
Controlled Drugs and
Substances Act
. Courts apply a contextual analysis to determine whether a
particular enterprise is commercial in nature which provides flexibility to the
courts to find different types of enterprises, including informal ones, to be
commercial.
In the context of [the PCEPA], a
commercial enterprise necessarily involves third party profiteering.
Courts would likely take into account considerations such as the number of
persons involved, the duration of the activities and the level of organization
surrounding the activities.
The only type of enterprise
that this phrase cannot capture is one involving individuals who sell their own
sexual services, whether independently or cooperatively
, from a
particular location or from different locations. [The PCEPA] does not allow for
prosecution in these circumstances
[Emphasis added.]
[76]
The
word profiteering used in the Technical Paper does not simply mean profits
from. It has a pejorative sense. The
Oxford Canadian Dictionary
, 2nd
ed. (Toronto: Oxford University Press, 2006)
defines profiteering as
make or seek to make excessive profits, esp. illegally or in black market
conditions. In this context, the word correctly captures that a commercial
enterprise in s. 286.2(5)(e) necessarily involves the making of a profit
derived from third party exploitation of the sex worker. In other words, it
involves the making of a profit from the commodification of sexual activity by
a third party.
[77]
This
interpretation finds support when the words commercial enterprise are
considered in the context of s. 286.2 as a whole. In enacting the PCEPA, Parliament
carefully crafted exceptions to the offences in ss. 286.2(1) and (2) to ensure
that criminal liability would not result where there was not an exploitative
relationship. As Minister MacKay said, Legislated exceptions clarify that the
[material benefit] offence does not apply to non-exploitative relationships: House
of Commons,
Debates (Hansard)
, 41st Parl., 2nd Sess., Vol. 147, No.
101 (11 June 2014), at p. 6654. The Technical Paper explains that the
exceptions in ss. 286.2(5)(a) through (d) remove the availability of the
exceptions in s. 286.2(4) if any exploitative circumstance develops. Section
286.2(5)(e) shares that purpose. It removes the availability of the exceptions
if a third party commodifies and commercializes anothers sexual activity,
e.g., as Minister MacKay explained at p. 6654, when the person received the
benefit in the context of a brothel. Similarly, Parliamentary Secretary Bob
Dechert said this in reference to s. 286.2(5)(e) in the course of the
parliamentary debates:
The bill would also criminalize where a person procures another
persons prostitution or if the benefit is received
in
the context of a commercial enterprise that offers sexual services for sale,
such as a strip club, a massage parlour, or an escort agency in which
prostitution takes place.
We know those types of
businesses are often run by criminal organizations, such as gangs and the
Mafia. That is the kind of behaviour we want to criminalize.
It is not
what the women who are exploited are doing, but the people who are actually
exploiting them. [Emphasis added.] (House of Commons,
Debates (Hansard)
,
41st Parl., 2nd Sess., Vol. 147, No. 102 (12 June 2014), at p. 6756).
[78]
This
interpretation is also consistent with the scheme of the PCEPA, the objects of
the PCEPA and the intention of Parliament.
[79]
The
cooperative sharing of security in the hypothetical does not involve third
party exploitation of the sex workers by the commodification of their sexual
services. The sex worker controls the sale of her own sexual services. The
third parties who receive a financial benefit from providing the security
services do not exploit the sex workers (assuming that they provide the
services in compliance with ss. 286.2(4)(c) or (d) and the exceptions in s.
286.2(5)(a) through (d) do not remove the availability of those exceptions.)
And, in the hypothetical, the sex workers do not exploit each other.
[80]
My
interpretation of commercial enterprise is dispositive of the respondents
constitutional challenge to s. 286.2. I conclude that the hypothetical sex
workers right to security of the person under s. 7 is not engaged because
contrary to the application judges conclusion she can obtain security
services on a shared, cooperative basis. The sex workers liberty interest is
not engaged because she has not committed an offence under s. 286.2.
[81]
I
will add this regarding the application judges interpretation of the immunity
provision in s. 286.5(1). Section 286.5(1) provides immunity if the benefit is
derived from the provision of a persons own sexual services. The application
judge concluded that each sex worker did not qualify for immunity under s.
285.5(1)(a) and (2) because each sex worker would be receiving a benefit which
is not derived from the provisions of their own sexual services: at para. 110.
[82]
I
do not agree. If the cooperative arrangement were a commercial enterprise
(and in my view it is not), properly construed, s. 286.5(1) would provide
immunity to the sex worker who receives security services through a cooperative
arrangement. To receive the benefit the shared security service the sex
worker must pay her share of the cost. Presumably, the funds to pay for the
shared security service are derived from the provision of the sex workers own
sexual services. Thus, the benefit is derived from the provision of the sex
workers own sexual services.
[83]
This
interpretation is consistent with the purpose of s. 286.5. As Minister MacKay
stated, the PCEPA recognizes the vulnerability of those who sell their own
sexual services by immunizing them from prosecution for any part they may play
in the purchasing, material benefit, procuring, or advertising offences
vis-à-vis their own sexual services: House of Commons,
Debates (Hansard)
,
41st Parl., 2nd Sess., Vol. 147, No. 101 (11 June 2014), at p. 6654. And as the
Technical Paper notes, the immunities provided for in s. 286.5 mean that
individuals cannot be prosecuted for selling their own sexual services, whether
independently
or cooperatively
, from fixed indoor
or other locations, as long as the only benefit received is derived from the
sale of their own sexual services (emphasis added).
[84]
Ms.
Nathalie Levman, Counsel in the Criminal Law Policy Section at the Department
of Justice, echoed this intention. Answering questions from opposition MPs at
the House Standing Committee on Justice and Human Rights, Ms. Levman responded
as follows:
You're talking about working cooperatively together whereby the
only benefit received results from the sale of one's own sexual services. The
answer is that Bill C-36 does not criminalize that scenario.
I think we have to be careful to read the bill with all of its
component parts. We have a legislative exception that would apply to a person
who offers, let's say, protective services. If people were working
cooperatively together and they all contributed a portion towards the
protective services that were provided, at a fair value, and that person wasn't
at all involved in the prostitution other than acting as a body guard, Bill
C-36 would not apply to that scenario.
(House of Commons, Standing Committee on Justice and Human
Rights,
Evidence
, 41st Parl., 2nd Sess., No. 32 (7 July 2014), at p.
16.)
[85]
I
turn next to the challenge under s. 7 to the procuring provision.
VII.
SECTION
286.3 (PROCURING)
The application judges reasons
[86]
The
application judge described the goal of s. 286.3
[9]
as to prohibit third parties who make money from commercial sex work from
being involved: at para. 159.
[87]
He
concluded that both the students and the experienced sex worker who provides
advice on how to set up, advertise and conduct oneself could be prosecuted
under s. 286.3(1). While the hypotheticals do not clearly indicate the
requisite
mens rea
, the application judge inferred that it had been
met. The liberty of the students was therefore infringed because they are
subject to prosecution for procuring. Their respective security of the person had
also been infringed for two reasons: first, because the inability to receive
advice from an experienced sex worker who is not acting in an exploitative
manner compromises their ability to protect themselves from danger, and;
second, because the joint use of an accommodation by multiple sex workers for
their own protection and safety is prohibited.
[88]
Further,
the provision infringed s. 7: it is overbroad and its impact grossly
disproportionate. It was overbroad because one of the objectives is to protect
sex workers from violence, abuse and exploitation and it limits or prevents
some means of protection and safety for some, if not all, sex workers. The
application judge concluded that this and the other impugned provisions were
disproportionate to the provisions objective because their effect of
preventing sex workers from taking measures that would increase their safety,
and possibly save their lives, outweigh[ed] the laws positive effect of
protecting sex workers from exploitative relationships and the objective of
Parliament to decrease or eliminate commercial sex work: at para. 71.
Mr. Boodhoos hypotheticals
[89]
Deshon Boodhoo was granted leave to intervene on
this appeal:
R. v. N.S.
(5 November 2021),
M52912. He was convicted under ss. 286.2(2) and 286.3(2). These are largely the
same as ss. 286.2(1) and 286.3(1), except that they pertain to persons under
the age of 18 years. He was also convicted under s. 286.4. Because of the
overlap in the constitutional issues raised, his appeal was to be heard
together with this appeal. This appeal was ordered expedited after a stay was
entered, however, and Mr. Boodhoos appeal could not be argued on that
expedited timetable.
[90]
One of the hypotheticals Mr. Boodhoo proposed involves
a person already providing sexual services for consideration reaching out to
a young friend who is homeless and surviving by panhandling and pick pocketing.
She proposes that her young, homeless friend engage in the provision of sexual
services for consideration, and that they rent an apartment, share expenses and
work together. She is having difficulty paying for her apartment on her own. If
she loses it, she will be forced to return to riskier forms of prostitution.
The hypothetical also posits that providing sexual services for consideration,
living in an apartment and working in a cooperative fashion, is a safer option
for the young, homeless friend. The young homeless friend accepts the offer and
begins selling her sexual services for consideration.
Whether s. 7 is engaged
[91]
I
agree with the Crown that the application judge interpreted the scope of the
procuring provision too broadly. As I will explain below, properly interpreted,
s. 286.3 does not prohibit the students from working cooperatively in the
manner described in Hypothetical 2 or leasing a room to the third student in Hypothetical
4. Nor does it prohibit the hypothetical sex worker who was sought out to
provide advice from providing advice, without compensation, to students who had
already decided to engage in the provision of sexual services for consideration
on how best to do so. Thus, the students liberty and security interests would
not be engaged.
[92]
I
do agree with counsel for Mr. Boodhoo, however, that the conduct in his
hypothetical would offend the procuring provision. The liberty interest of the
person who proposed that her young homeless friend engage in prostitution is
engaged: she is liable to imprisonment, if convicted of procuring.
[93]
On
this hypothetical, it is not clear that her security of the person interest is
also engaged. She cannot afford her apartment because she does not earn enough
income. It is not clear that the link between her inability to pay rent and the
impugned law prohibiting procuring constitutes a sufficient causal connection,
as required by
Bedford
, at para. 75. Nor is it clear how the provision
engages the security of the person interest of the young vulnerable person. As
noted above and as further explored below, there is nothing in the PCEPA that
prevents her from joining cooperatively with others selling their own sexual
services, or from approaching someone more experienced for advice. I doubt
whether the assertion in the hypothetical that she did not believe she had any
other options can meet the threshold set out in
Bedford
.
[94]
Assuming,
however, without determining, that their security of the person is engaged, I
reject Mr. Boodhoos argument, and the application judges conclusion, that the
procuring provision is contrary to the principles of fundamental justice
because it is overbroad and its impact grossly disproportionate.
[95]
Below,
I first address the scope of s. 286.3. Then I explain why the procuring
provision does not violate s. 7.
The scope of s. 286.3
[96]
As
this court explained in
Gallone
, at para. 59, there are two modes of
committing the
actus reus
of the procuring offence:
1.
The accused person procures a person to offer or provide sexual
services for consideration; or
2.
The accused recruits, holds, conceals or harbours a person who offers
or provides sexual services for consideration, or exercises control, direction
or influence over the movements of that person.
[97]
Procuring
means to cause, or to induce, or to have a persuasive effect on the conduct
that is alleged:
Gallone
, at para. 61.
[98]
To
prove
mens rea
for the first mode, the Crown must prove that the
accused intended to procure a person to offer or provide sexual services for
consideration.
[99]
For
the second mode, the Crown must prove that the accused intended to do anything
that satisfies the
actus reus
for this mode in relation to the person
who offers or provides sexual services for consideration,
and
that the accused acted with
the
purpose
of facilitating an offence under s. 286.1(1):
Gallone
,
at para. 63.
[100]
A purpose
requirement imposes a high specific intent
mens rea
:
R. v.
Khawaja
, 2012 SCC 69, [2012] 3 S.C.R. 555, at paras. 45-47;
R. v.
Legare
, 2009 SCC 56, [2009] 3 S.C.R. 551, at paras. 32-33;
R. v.
Joseph
, 2020 ONCA 733, 153 O.R. (3d) 145, at para. 88. More than knowing
facilitation is required: the accused must specifically intend his actions to
have the effect of facilitating the offence:
Khawaja
, at para. 46;
R.
v. Briscoe
, 2010 SCC 13, [2010] 1 S.C.R. 411, at paras. 16-18;
Joseph
,
at para. 88. The intention of the accused must be determined subjectively:
Legare
,
at paras. 32, 35.
[101]
Turning first to the
students in the hypotheticals before the application judge, the application
judge found that they committed the second mode of the
actus reus
of
the procuring offence: by assisting each other in conducting commercial sex, in
assisting in advertising, in obtaining clients and in providing accommodation
to conduct commercial sex work, each concealed, harboured and exercised
control, direction and influence. Further, each did so for the purpose of
facilitating commercial sex work.
[102]
The application judge
did not explain how the students conduct constituted concealing, harbouring or
exercising control, direction or influence, within the meaning of those terms
in s. 286.3. I do not understand how, on the hypotheticals before him, the students
concealed one another. On my reading of the hypotheticals, the students did
not hide one another.
[103]
Nor is it clear that
the students harboured each other, within the meaning of that term in s. 286.3.
In
R. v. Joseph
, at para. 86, this court clarified that harbour
includes the provision of shelter, whether secretly or not. In
Joseph
,
the accused arranged for the complainants to sell sexual services from his
apartment. The court did not consider whether two persons leasing premises
together that both will use to sell their sexual services (Hypothetical 2) or
leasing a room to a person who provides sexual services for consideration (Hypothetical
4) constitutes harbouring. Arguably, in Hypothetical 2, each student secured
her own shelter by joining in the lease for the apartment. And when, in Hypothetical
4, the third student leased a room in the apartment from them, he similarly
secured his own shelter. I note that in
R. v. Y.S.
, 2021 ONSC 4010, at
para. 188, LeMay J. held that the accused did not harbour the complainant when
he shared a hotel room with her for which she paid with her earnings from
selling her sexual services. Further, given that legitimate rental arrangements
are exempted from the material benefits offence, it would make little sense to
find that they violated the procuring offence, which provides for a longer maximum
term of imprisonment. This, however, is an issue for another day, with the
benefit of full argument.
[104]
Exercising influence
over a persons movements has been broadly defined and is less coercive than
exercising control or direction. For that reason, I will focus on it. Exercising
influence over a persons movements means doing anything to affect the
persons movements. It includes anything done to induce, alter, sway or affect
the will of the person. It is like proposing an idea and persuading the person
to adopt it:
Gallone
, at para. 47.
[105]
In determining whether
what each student did amounted to exercising influence over the movements of
another student or students, the application judge was required to consider the
nature of the relationship between them and the impact of the alleged
influencing students conduct on the allegedly influenced student:
R. v.
Ochrym
, 2021 ONCA 48, 69 C.R. (7th) 285, leave to appeal refd, [2021]
S.C.C.A. No. 106. He did not do so, and, on these hypotheticals, it is not
clear that what each student did amounted to exercising influence over the
movements of another student.
[106]
Further, as noted
above in para. 99, exercising influence is only an offence if the accused
intended to exercise influence over the movements of the person who offers or
provides sexual services for consideration. The hypotheticals are bereft of
facts that support the inference that each of the students intended to exercise
influence over the movements of the others.
[107]
The scope of all the
conduct captured in the second mode of the
actus reus
of the procuring
offence is significantly narrowed by their purpose requirement. As discussed
above, the conduct captured in the second mode is only an offence if it is done
for the purpose of facilitating an offence under s. 286.1. While earlier in his
reasons, the application judge correctly identified this as the relevant
mens
rea
, he later equated the purpose of facilitating commercial sex work
with that of facilitating an offence under s. 286.1. Even if the students
conduct constituted concealing, harbouring or exercising influence, and
the students intended that conduct, the application judge erred by equating the
purpose of facilitating commercial sex work with the purpose of facilitating
an offence under s. 286.1. Facilitating an offence under s. 286.1 is narrower
than facilitating commercial sex work.
[108]
The offence in s.
286.1 is
obtaining
for consideration or
communicating with anyone for the purpose of obtaining for consideration the
sexual services of a person. The offence is not
providing
sexual services for consideration. The purpose requirement in s. 286.3 is
therefore tied directly to the asymmetrical scheme of the PCEPA. The Crown must
prove that the accused intended to assist the principal in the commission of the
offence in s. 286.1:
Briscoe
, at para. 16.
[109]
If the students
concealed or harboured each other, or exercised influence, the hypotheticals do
not support a finding that they subjectively intended to assist a buyer in
obtaining for consideration or communicating with anyone for the purpose of obtaining
for consideration the sexual services of another of those students. Any
concealing, harbouring or exercising influence was for the purpose of
facilitating the sale by the student who was concealed, harboured or influenced
of their own sexual services for consideration and not for facilitating the obtaining
of their sexual services for consideration by others. This may seem like a fine
point of logic, but it flows directly from the wording of s. 286.3 and the
scheme of the PCEPA.
[110]
Turning to the
advising sex worker in Hypothetical 2, the application judge concluded that providing
advice on safety issues did not offend s. 286.3 because the purpose of the
advice was not to facilitate an offence. He concluded, however, that in providing
advice on how to set up, advertise and conduct oneself, the advising sex worker
exercised control, direction or influence over the movements of the students and
inferred that she did so for the purpose of facilitating commercial sex work.
[111]
Again, the application
judge did not explain why he found that the conduct amounted to the exercise of
control, direction or influence, taking into account the nature of the
relationship between the students and the advisor. And, again, the application
judge erred by equating facilitating commercial sex work with facilitating an
offence under s. 286.1.
[112]
Here, if the provision
of the advice amounted to the exercise of influence over the movements of the students,
and it can be inferred from the nature of the actions and the knowledge of the
advisor that she intended to exercise influence over their movements, it was not
for the purpose of facilitating an offence under s. 286.1.
[113]
The scenario cannot
support the inference that the advisor subjectively intended to assist the buyer
in obtaining for consideration or communicating with any person for the purpose
of obtaining for consideration the sexual services of a person. The advice was
provided to the students for the purpose of facilitating the
sale
by them of their own sexual services for
consideration in particular, in the safest manner possible and not to
facilitate the
obtaining
of their sexual services
for consideration by others.
[114]
The criminal law is
familiar with asymmetrical offences, and trial judges are adept at inferring
which side of the transaction an accused intended to facilitate:
R. v.
Greyeyes
, [1997] 2 S.C.R. 825, at para. 8. Depending on the facts in a
given case, a person may intend to assist the buyer, the seller or both. Each
case will turn on the specific facts from which such an intention could be
inferred. For example, consider someone who harbours another person who provides
sexual services for consideration. He rents a hotel room, arranges for both
buyer and seller to use it for the sale of sexual services, and expects to derive
a financial benefit from the sale of sexual services. While the harbouring
persons actions may incidentally benefit the seller, it is chiefly designed to
assist the buyer, who is the prospective source of the financial benefit, and
the harbouring person would be quite rightly subject to prosecution. The
hypotheticals before the application judge do not contain sufficient facts to
infer that intention.
[115]
Finally, turning to
the woman in Mr. Boodhoos hypothetical who recruits her friend, as indicated
above, I agree that she is guilty of procuring. She commits the first mode of
the actus reus: she causes, induces or has a persuasive effect on her friend
providing her sexual service for consideration. The mens rea for this first
mode is also made out. On the hypothetical, she intended to procure her friend
to offer or provide sexual services for consideration. Accordingly, I must go
on to assess whether the deprivation of her liberty and security of the person violates
s. 7.
Section 286.3 does not violate s. 7
[116]
As explained above,
whether an impugned provision violates s. 7 requires identifying the
provisions purpose.
[117]
The application judge
said this, at para. 159, regarding the purpose of s. 286.3(1):
[It] denounces and prohibits the procuring and facilitating by
third parties in commercial sex work. Its goal is to prohibit third parties
who make money from commercial sex work from being involved.
[118]
Having determined the
purpose of s. 286.3, however, he appears to have assessed overbreadth and gross
disproportionality against what he viewed as one of the purposes of the PCEPA
(to protect sex workers from violence, abuse and exploitation to protect the
health and safety of sex workers), rather than against the objective of s. 286.3,
as he was required to do. The application judge found that the procuring
provision was overbroad because it limits or prevents some means of protection
and safety for some, if not all sex workers, contrary to the goal of protecting
their health and safety. Counsel for Mr. Boodhoo also rests his argument that
the procuring provision is overbroad on his view that one of the objectives of
the PCEPA is to protect sex workers.
[119]
While the purposes of
the broader scheme can inform the purpose of an individual provision, a
provision need not conform to each and every purpose of the statute. For
example, in
R. v. Appulonappa
, 2015 SCC 59, [2015] 3 S.C.R. 754,
although the
Immigration and Refugee Protection Act
, S.C. 2001, c. 27,
had multiple purposes, the impugned provision was found to have only a single
purpose. Similarly, in
Canada (Attorney General) v. PHS Community Services
Society
, 2011 SCC 44, [2011] 3 S.C.R. 134, at para. 110, the Supreme Court
held the
Controlled Drugs and Substances Act
, S.C. 1996, c. 19,
had
two purposes: public health and public safety. In considering the individual
provisions of the Act, however, McLachlin C.J. found that some provisions supported
the public health objective, while others supported both public safety and
public health. See also
R. v. Meads
, 2018 ONCA 146, at para. 32,
in which Sharpe J.A. held that two provisions in the same section of the
Criminal
Code
could have different purposes. Moreover, as explained earlier in
these reasons, I would not characterize the safety-related objectives of the
PCEPA in the same manner as the application judge.
[120]
I do not agree with Mr.
Boodhoo that
R. v. Michaud
, 2015 ONCA 585, 127 O.R. (3d) 81, leave to
appeal refd, [2015] S.C.C.A. No. 450, is of assistance here. In
Michaud
,
Lauwers J.A. accepted the trial judges finding that one section of the
Highway
Traffic Act
, R.S.O. 1990, c. H.8, had three purposes: reducing greenhouse
gas emissions, reducing the severity of collisions, and preventing accidents.
The expert evidence in that case established that the section did not, in some instances,
prevent accidents, although it met the other two purposes. Lauwers J.A. held
that on the reasoning of
Bedford
, the provision was overbroad because
it did not fulfill one of its own three purposes. Here, in contrast, we are not
dealing with a provision with multiple purposes.
[121]
I
would characterize the purpose of s. 286.3 slightly differently from the
application judge. I would describe its purpose as to denounce and prohibit the
promotion of the prostitution of others in order to protect communities, human
dignity and equality. Promoting prostitution encourages an activity that
Parliament considers inherently exploitative. Section 286.3 gives effect to this
purpose by prohibiting a wide range of conduct intended to procure a person to
offer or provide sexual services for consideration and conduct engaged in for
the purpose of facilitating an offence under s. 286.1(1).
[122]
The purpose of the procuring
offence does not include giving effect to the safety-related objective of the
PCEPA with respect to those who continue to sell their sexual services for
consideration. This makes sense. The aim of s. 286.3 is to prohibit the
promotion of the prostitution of
others
. Section
286.3 is concerned with
their
safety by
discouraging entry into and deterring participation in an activity that
Parliament views as inherently exploitative and exposing risks of violence to
those who engage in it.
[123]
As discussed above, the
safety-related objective of the PCEPA with respect to those who continue to
sell their sexual services for consideration is given effect by other
provisions: in particular, the exceptions to the material benefit offence, the
exceptions to the exceptions, and the provision of immunity from prosecution
where the offence relates to the offering or provision of a persons own sexual
services. This, as the preamble notes, is to encourage those who engage in
prostitution to report incidents of violence and to leave prostitution. Section
286.3 contains no such exception because it does not target the provision of a
persons own sexual services, but targets those who promote the prostitution of
others.
[124]
The procuring offence
is not overbroad. The prohibited conduct a wide range of conduct intended to
procure a person to offer or provide sexual services for consideration or
engaged in for the purpose of facilitating an offence under s. 286.1 is
directly and rationally related to the purpose of the provision.
[125]
Nor is its impact on
Mr. Boodhoos hypothetical procuring sex worker grossly disproportionate. The
specific nature of the right interfered with, and the nature of that
interference, are relevant to the gross disproportionality analysis. As to the
hypothetical procuring sex workers liberty interest, as was the case in
R.
v. Malmo-Levine
, 2003 SCC 74, [2003] 3 S.C.R. 571, her potential
imprisonment falls within the broad latitude within which the Constitution
permits legislative action: at para. 175.
[126]
Meanwhile, the security
of the person interest advanced in Mr. Boodhoos hypothetical is that the
procuring sex worker continues to engage in an illegal activity, but in a
manner more dangerous to her. This harm is not grossly disproportionate to the
objective of denouncing and prohibiting the promotion of that illegal activity.
Recall that, as the preamble to the PCEPA illustrates, Parliament views prostitution
as inherently exploitative, entailing risks of violence to those who engage in
it, causing social harm by the objectification of the human body and
commodification of sexual activity and an affront to human dignity. Given this,
the alleged impact on the procured persons security of the person is even more
justified.
[127]
The application judge
found that s. 286.3 (and the other impugned provisions) were grossly
disproportionate because, Parliament cannot allow sex work to continue and
then grossly limit or prevent the sex workers ability to protect their
security: at para. 178. He rejected the Crowns argument that conduct in
relation to which a person enjoys immunity under s. 286.5 is unlawful and,
therefore, this case is different from
Bedford
. In concluding that in
Bedford
there was a sufficient causal connection between the impugned provisions and
the prejudice suffered to engage s. 7, McLachlin C.J. wrote, at para. 89, that,
[t]he impugned laws deprive people engaged in a risky, but legal, activity of
the means to protect themselves against those risks. The application judge
characterized conduct in respect of which a person is immune from prosecution
under s. 286.5 as statutorily allowed. He held, at para. 175, that the
impugned provisions cannot make an
allowed
activity
more dangerous (emphasis added). In so doing, he equated allowed activity to
the lawful activity in
Bedford
.
[128]
It is clear that
Parliament views prostitution in a fundamentally different way than it did
prior to the enactment of the PCEPA. As this court said in
Gallone
, at
para. 94, the immunity provision does not legalize the conduct in relation to
which a person enjoys immunity under s. 286.5. It simply exempts persons from
prosecution in relation to that conduct. Parliament could have, but did not,
provide that the conduct that enjoys immunity from prosecution does not
constitute an offence: see comments of Minister MacKay and Mr. Donald Piragoff
(Senior Assistant Deputy Minister, Policy Sector, Department of Justice),
Proceedings
of the Standing Senate Committee on Legal and Constitutional Affairs
, 41st
Parl., 2nd Sess., No. 15 (9 September 2014), at pp. 12, 15-16, 25-26, and 36-37.
[129]
I acknowledge that in
PHS
Community Services
, McLachlin C.J., writing for the court, stated at
para. 102 that [t]he morality of the activity the law regulates is irrelevant
at the initial stage of determining whether the law engages a s. 7 right. Yet
the application judge did not consider whether prostitution was illegal at the
initial stage of determining whether the s. 7 rights of the students were
engaged. He did so in his analysis of whether the impugned provisions were
grossly disproportionate. The fact that an activity is unlawful is relevant in
considering the weightiness of a provisions objective and whether an impugned
provision deprives a person of the rights protected by s. 7 in a manner that is
grossly disproportionate to that objective.
[130]
I will add this. The
application judge accepted that research indicates individuals who provide
sexual services for consideration are not necessarily exploited: while there
are situations where sex workers are exploited by third parties, many sex
workers reported a conscious decision to provide sexual services in the context
of the socio-economic realities of their lives (at paras. 30 and 89). The
evidence before the application judge stated that some sex workers cited
factors such as the need for money, independence, flexibility, and the nature
of the work.
[131]
Even accepting this
evidence, it is clear from the preamble to the PCEPA and Minister MacKays
description of prostitution as inherently degrading before the Senate
Committee on Legal and Constitutional Affairs (at p. 12), that Parliament views
prostitution as inherently exploitative, even where the person providing the
sexual services for consideration made a conscious decision to do so.
VIII.
SECTION 286.4 (ADVERTISING)
The application judges reasons
[132]
The application judge
found that post-PCEPA, the digital world is used more frequently to facilitate
contact, communication and the providing of information. Sex workers who
advertise in newspapers, online classifieds or on commercial sex work websites
are more likely to communicate with potential clients before meeting in person:
at paras. 89(j) and (k).
[133]
He further found that
the effect of the prohibition on advertising in s. 286.4 was that sex workers
who attempt to advertise must do so surreptitiously and use coded language. The
evidence before him, and in
Bedford
, was that communication is
critical to the safety and security of the sex worker. He found that the
security of the students in the hypotheticals would be infringed by the
inability of frank and detailed information and communication in their
advertisement of the sexual services offered and expectations for such sexual
services: at para. 121.
[134]
The application judge held
that the provision was overbroad for the same reason as the procuring offence: Parliament
had indicated that one of the objectives is to protect sex workers and the impugned
provision limits or prevents some means of protection and safety for some, if
not all, sex workers.
[135]
Further, its impact is
grossly disproportionate. At para. 177, the application judge held that [t]he
objective of eliminating or lessening commercial sex work through the banning
of advertising cannot be made at the safety and security of commercial sex
workers. Parliament cannot allow sex work to continue and then grossly limit
or prevent sex workers ability to protect their safety.
Analysis
[136]
First, I review the
evidence before the application judge, and what
Bedford
said on the
issue of communication. Then I consider whether s. 7 is engaged. Next I consider
the purpose of s. 286.4 and whether, having regard to that purpose, s. 286.4
deprives the hypothetical sex worker of security of the person in a manner that
is overbroad or grossly disproportionate.
[10]
The evidence before the application judge
[137]
The respondent relied
on the evidence of Chris Atchison.
[11]
Mr. Atchison has a Masters in Criminology from Simon Fraser University and has
published numerous academic articles and research studies on sex work in
Canada. He was among those who provided testimony to the House of Commons and
Senate standing committees on Bill C-36.
[12]
[138]
The application judge
qualified Mr. Atchison to provide expert evidence on the field of social
sciences research, theory and findings on the structure, operation and
composition of commercial sex work in Canada and other jurisdictions and the
legal regime concerning commercial sex work in Canada and other jurisdictions.
[139]
The application judge
rejected the Crowns argument that Mr. Atchison was biased. He accepted that
Mr. Atchisons evidence was not statistically based but found the evidence of
Mr. Atchison credible and compelling.
[140]
Mr. Atchison testified
that advertisement was a fundamental initial way for sex workers and people who
owned and operated commercial sex establishments to clearly relay the
boundaries and the services offered to prospective clientele. It sets the stage
for the initial interaction between sex workers and prospective clients. The
more capacity there is to exchange information, the less likely sex workers or
their clients were to report that there was any form of conflict in their
actual physical exchanges. Restricted capacity to communicate or unclear
communications were frequently associated with higher levels of conflict.
[141]
According to Mr.
Atchison, following the passage of the PCEPA, advertisement migrated to
off-shore locations. Advertisements on third-party sites began using vague
language in order not to be flagged or trigger a complaint and be taken down by
site administrators: e.g., talking about 2 or 3 roses for a certain kind of
date
[13]
,
or saying safe only to mean that condoms must be used. He testified that
there is empirical evidence that a lack of clarity between buyer and seller
leads to physical conflict.
[142]
Mr. Atchison also
agreed that through the ads the sellers make it possible for the buyers to
contact them, in some forum text, email, or phone call. Mr. Atchison
testified that the average number of communications before a physical encounter
was 4 to 4.2. It is open to the seller to disengage if they are not happy with
the communications or are not getting sufficient information.
What
Bedford
said on the subject of communication
[143]
Recall that
Bedford
was not about advertising.
Bedford
was about the ability of
prostitutes to communicate in public for the purpose of prostitution.
[144]
In
Bedford
,
the application judge found that face-to-face communication was an essential
tool in enhancing street prostitutes safety. Such communication allows
prostitutes to screen prospective clients for intoxication or a propensity for violence,
which can reduce the risks that they face. The Supreme Court agreed with the
application judge, at para. 71, that this evidence engaged security of the
person under s. 7:
By prohibiting communication in public for the purpose of
prostitution, the law prevents prostitutes from screening clients and setting
terms for the use of condoms or safe houses. In these ways, it significantly
increases the risks they face.
[145]
As indicated above, in
response to
Bedford
, Parliament also replaced the communicating
offence in s. 213(1)(c) of the
Criminal Code
. Now, except for
communications in public places that impede traffic or take place in or next to
school grounds, playgrounds or day care centres, communications in public by a
sex worker are no longer criminalized.
[146]
Further, a provider of
her own sexual services for consideration who sends texts or emails to or
phones a prospective client in follow up to a response to an advertisement for
the provision of sexual services enjoys immunity from prosecution under s.
286.5(2).
Is s. 7 engaged?
[147]
The evidence before
the application judge was
not
, and the application
judge did
not
find, that because advertising is
unlawful, persons who previously advertised their provision of sexual services
for consideration are instead resorting to attracting new clients by riskier means,
such as in-person, street-level solicitations. Rather, the evidence was that
they continue to advertise but employ vaguer language, depriving the
hypothetical provider of sexual services of security of the person: at para.
121.
[148]
Bedford
instructs that trivial impairments on security of the person do not engage s.
7: at para. 91. While an advertisement which, up-front, clearly sets out the
terms and conditions for the provision of sexual services, may reduce the need
for, or improve, further communications between the provider and the
prospective client, the provider necessarily communicates further with the
prospective client before an in-person encounter. The prohibition on
advertising does not affect the ability of the provider to communicate frankly
and in a detailed manner before an in-person encounter. The provider benefits
from immunity from prosecution under s. 286.5.
[149]
Mr. Atchisons
evidence was that prospective purchasers of sexual services fear arrest, and
that fear affects the effectiveness of the communications between the provider
of the sexual services and the purchaser. Any vague language in subsequent
texts, emails or phone calls between the provider and the prospective client
presumably arises because of the prospective clients concern about liability
under s. 286.1, and not because of the prohibition on advertising. As stated
before, that section is not at issue on this appeal.
[14]
[150]
In any event, any
impairment of security of the person because, as a result of s. 286.4, providers
of sexual services for consideration use vaguer language in their
advertisements is, on this record, trivial.
[151]
While that conclusion
is dispositive in relation to the application judges finding, I will
nonetheless address the application judges characterization of the purpose of
s. 286.4 and his findings that the section is overbroad and its impact grossly
disproportionate.
The purpose of s. 286.4
[152]
The application judge
identified the objective, or one of the objectives, of s. 286.4 as
eliminating or lessening commercial sex work. In my view, s. 286.4 has a single
purpose: to reduce the demand for the provision of sexual services for
consideration in order to protect communities, human dignity and equality.
Other provisions, including those discussed earlier in these reasons, are
animated by Parliaments safety-related objective in relation to those who
continue to provide their sexual services for consideration.
Section 286.4 is not overbroad nor grossly disproportionate
[153]
In my view, s. 286.4
is not overbroad. As noted above, a provision suffers from overbreadth when it
is so broad in scope that it includes some conduct that bears no connection to
its objective. The purpose of s. 286.4 is to reduce demand for unlawful conduct
the provision of sexual services for consideration. The prohibited conduct
advertising is directly and rationally connected to this objective. The
purpose of advertising is to obtain clients, that is, to
increase
demand for an unlawful service. Advertising also promotes the objectification
of the human body and the commodification of sexual activity: social harms
identified by Parliament in the preamble to the PCEPA.
[154]
Nor is s. 286.4
grossly disproportionate. This is not one of those extreme cases where the
seriousness of the deprivation is totally out of sync with the objective of the
measure:
Bedford
, at para. 120. The effects of s. 286.4 do not
grossly outweigh its benefits. On this record, the prohibition on advertising
does not prevent the provider from communicating frankly and in a detailed
manner before an in-person encounter.
IX.
SECTION 2(b) OF THE
CHARTER
[155]
The application judge
rejected the respondents argument that the advertising prohibition was an
unjustified infringement of s. 2(b). He held that he was bound by this courts
decision in
Bedford
, which held that the Supreme Court had
definitively decided this issue in the
Prostitution Reference
and only
that court may revisit it. Because of that decision, and the reasoning in the
Prostitution
Reference
, he concluded that s. 286.4 is a reasonable limit, demonstrably
justified in a free and democratic society.
[156]
The respondent renews his
argument that s. 286.4 violates s. 2(b) of the
Charter
. The appellant
properly concedes that the advertising provision engages the right to freedom
of expression in s. 2(b) of the
Charter
. The issue is whether it is
justified under s. 1 of the
Charter
.
[157]
The Supreme Court in
the
Prostitution Reference
and this court in
Bedford
considered the prohibition on communicating in public in s. 213(1)(c) and not a
prohibition on advertising. Further, the prohibition on communicating in public
had a different purpose than s. 286.4. I agree with the application judge,
however, that s. 286.4 is justified under s. 1 of the
Charter
. That
conclusion is more readily compelled in this case than in the
Prostitution
Reference
.
[158]
Section 1 provides:
The
Canadian Charter of Rights and Freedoms
guarantees the rights and freedoms set out in it subject only to such reasonable
limits prescribed by law as can be demonstrably justified in a free and
democratic society.
[159]
Reasonable limits on
rights will be demonstrably justified when (a) they have a pressing and
substantial objective and (b) the means chosen to advance the objective do not
disproportionately limit the right. Proportionality requires that the means be
rationally connected to the objective, be minimally impairing, and have benefits
that outweigh their negative effects:
Carter v. Canada (Attorney General)
,
2015 SCC 5, [2015] 1 S.C.R. 331, at para. 94.
[160]
The legislative
objective of the prohibition on communicating in public accepted by Dickson
C.J. in the
Prostitution Reference
and upheld in
Bedford
was
to take solicitation for the purposes of prostitution off the streets and out
of public view. The objective of s. 286.4 is more pressing and substantial.
Obtaining sexual services for consideration is now unlawful. The purpose of s. 286.4
is to reduce the demand for an unlawful activity.
[161]
Section 286.4
addresses itself precisely to that objective by prohibiting advertising, which
increases demand. It is therefore rationally connected to its objective.
[162]
The prohibition on
advertising is reasonably tailored to the provisions objective of reducing the
demand for the provision of sexual services for consideration in order to
protect communities, human dignity and equality. It does not prevent providers
of sexual services from communicating with prospective clients before an
in-person encounter by text, email or phone. It cannot be said that the
prohibition on advertising is unduly intrusive.
[163]
Finally, the
provisions harms are not disproportionate to its benefits. As in the
Prostitution
Reference
, the prohibited expression is directed at an economic interest.
As Dickson C.J. stated in the
Prostitution Reference
, It can hardly
be said that communications regarding an economic transaction of sex for money lie
at, or even near, the core of the guarantee of freedom of expression. And the
record does not establish serious harms: providers of sexual services for
consideration continue to advertise and communicate with clients, and are
protected by the immunity provisions. Meanwhile, Parliament has identified an
array of serious social harms caused by prostitution, including harms to the
community and exposure to children, which s. 286.4 aims to curb. There is no
disproportionality here.
X.
SECTION 2(d) OF THE
CHARTER
[164]
The respondent renews
his position on appeal that the material benefit, procuring and advertising
provisions violate the right to freedom of association under s. 2(d). He relies
on
Health Services and Support - Facilities Subsector Bargaining Assn v.
British Columbia
, 2007 SCC 27, [2007] 2 S.C.R. 391, at para. 35:
Government measures that substantially interfere with the
ability of individuals to associate with a view to promoting work-related
interests violate the guarantee of freedom of association under s. 2(d) of the
Charter.
[165]
He argues that by
criminalizing cooperative arrangements and the retention of third party
advisors, the material benefit and procuring provisions substantially interfere
with the ability of those who provide sexual services for consideration to
associate with others with a view to promoting their work-related interests
in particular, the pursuit of improved personal and workplace health and
safety. He further argues that s. 286.4 prevents persons who provide sexual
services for consideration from associating with those who assist with
advertising, which could ensure clear communications with prospective clients.
[166]
I reject these
arguments.
[167]
This case is very
different from
Health Services
.
Health Services
held that s. 2(d)
protects collective bargaining rights. Accordingly, provisions in the British
Columbia law that gave health care employers greater flexibility to organize
their relationships with their employees in a way that invalidated provisions
of a collective bargaining agreement and precluded meaningful collective
bargaining on a number of issues violated s. 2(d).
[168]
This case is not about
unionized employees and the impact on collective bargaining; nor is it about
persons engaging in lawful work. It is about persons who are providing sexual
service for consideration, contrary to law. In adopting a variant of the Nordic
model, Parliament rejected an approach that would characterize persons who
provide sexual services for consideration as workers and prostitution as
legal sex work.
[169]
Moreover, s. 2(d) will
only be infringed where the state precludes activity because of its
associational nature:
Harper v. Canada (Attorney General)
, 2004 SCC
33, [2004] 1 S.C.R. 827, at para. 125. Only the associational aspect of the
activity is protected. The PCEPA does not prevent individuals from joining or
forming an association in the pursuit of a
collective
goal. Rather, it precludes both individuals and groups from undertaking certain
activities, subject to the exceptions and immunities already described in these
reasons.
XI.
DISPOSITION
[170]
For these reasons, I
would allow the appeal, set aside the respondents acquittals, and order a new
trial.
Released: February 24, 2022 A.H.
Alexandra Hoy J.A.
I agree. S. Coroza
J.A.
I agree. Sossin
J.A.
APPENDIX A
Commodification of Sexual Activity
Obtaining sexual services for consideration
286.1 (1)
Everyone who, in any place, obtains for
consideration, or communicates with anyone for the purpose of obtaining for
consideration, the sexual services of a person is guilty of
(a)
an indictable offence and liable to imprisonment
for a term of not more than five years and a minimum punishment of,
(i)
in the case where the offence is committed in a
public place, or in any place open to public view, that is or is next to a park
or the grounds of a school or religious institution or that is or is next to
any other place where persons under the age of 18 can reasonably be expected to
be present,
(A)
for a first offence, a fine of $2,000, and
(B)
for each subsequent offence, a fine
of $4,000, or
(ii)
in any other case,
(A)
for a first offence, a fine of $1,000, and
(B)
for each subsequent offence, a fine
of $2,000; or
(b)
an offence punishable on summary conviction and
liable to a fine of not more than $5,000 or to imprisonment for a term of not
more than two years less a day, or to both, and to a minimum punishment of,
(i)
in the case referred to in subparagraph (a)(i),
(A)
for a first offence, a fine of $1,000, and
(B)
for each subsequent offence, a fine of $2,000, or
(ii)
in any other case,
(A)
for a first offence, a fine of $500, and
(B)
for each subsequent offence, a fine
of $1,000.
Obtaining sexual services for consideration
from person under 18 years
(2)
Everyone who, in any place, obtains for consideration, or communicates
with anyone for the purpose of obtaining for consideration, the sexual services
of a person under the age of 18 years is guilty of an indictable offence and
liable to imprisonment for a term of not more than 10 years and to a minimum
punishment of imprisonment for a term of
(a)
for a first offence, six months; and
(b)
for each subsequent offence, one year.
Subsequent offences
(3)
In determining, for the purpose of subsection (2), whether a convicted
person has committed a subsequent offence, if the person was earlier convicted
of any of the following offences, that offence is to be considered as an
earlier offence:
(a)
an offence under that subsection; or
(b)
an offence under subsection 212(4) of this Act, as
it read from time to time before the day on which this subsection comes into
force.
Sequence of convictions only
(4)
In determining, for the purposes of this section, whether a convicted
person has committed a subsequent offence, the only question to be considered
is the sequence of convictions and no consideration shall be given to the
sequence of commission of offences, whether any offence occurred before or
after any conviction or whether offences were prosecuted by indictment or by
way of summary conviction proceedings.
Definitions of
place and public place
(5)
For the purposes of this section, place and public place have the same
meaning as in subsection 197(1).
Material benefit from sexual services
286.2 (1)
Every person who
receives a financial or other material benefit, knowing that it is obtained by
or derived directly or indirectly from the commission of an offence under
subsection 286.1(1), is guilty of
(a)
an indictable offence
and liable to imprisonment for a term of not more than 10 years; or
(b)
an offence punishable on
summary conviction.
Presumption
(3)
For the purposes of
subsections (1) and (2), evidence that a person lives with or is habitually in
the company of a person who offers or provides sexual services for
consideration is, in the absence of evidence to the contrary, proof that the
person received a financial or other material benefit from those services.
Exception
(4)
Subject to subsection (5),
subsections (1) and (2) do not apply to a person who receives the benefit
(a)
in the context of a
legitimate living arrangement with the person from whose sexual services the
benefit is derived;
(b)
as a result of a legal
or moral obligation of the person from whose sexual services the benefit is
derived;
(c)
in consideration for a
service or good that they offer, on the same terms and conditions, to the
general public; or
(d)
in consideration for a
service or good that they do not offer to the general public but that they
offered or provided to the person from whose sexual services the benefit is
derived, if they did not counsel or encourage that person to provide sexual
services and the benefit is proportionate to the value of the service or good.
No exception
(5)
Subsection (4) does not
apply to a person who commits an offence under subsection (1) or (2) if that
person
(a)
used, threatened to use
or attempted to use violence, intimidation or coercion in relation to the
person from whose sexual services the benefit is derived;
(b)
abused a position of
trust, power or authority in relation to the person from whose sexual services
the benefit is derived;
(c)
provided a drug, alcohol
or any other intoxicating substance to the person from whose sexual services
the benefit is derived for the purpose of aiding or abetting that person to
offer or provide sexual services for consideration;
(d)
engaged in conduct, in
relation to any person, that would constitute an offence under
section 286.3; or
(e)
received the benefit in
the context of a commercial enterprise that offers sexual services for
consideration.
Procuring
286.3
(1)
Everyone
who procures a person to offer or provide sexual services for consideration or,
for the purpose of facilitating an offence under subsection 286.1(1),
recruits, holds, conceals or harbours a person who offers or provides sexual
services for consideration, or exercises control, direction or influence over
the movements of that person, is guilty of an indictable offence and liable to
imprisonment for a term of not more than 14 years.
Advertising sexual services
286.4
Everyone who knowingly
advertises an offer to provide sexual services for consideration is guilty of
(a)
an indictable offence
and liable to imprisonment for a term of not more than five years; or
(b)
an offence punishable on
summary conviction.
Immunity material benefit and advertising
286.5
(1)
No
person shall be prosecuted for
(a)
an offence under
section 286.2 if the benefit is derived from the provision of their own
sexual services; or
(b)
an offence under
section 286.4 in relation to the advertisement of their own sexual
services.
Immunity aiding, abetting, etc.
(2)
No person shall be
prosecuted for aiding, abetting, conspiring or attempting to commit an offence
under any of sections 286.1 to 286.4 or being an accessory after the
fact or counselling a person to be a party to such an offence, if the offence
relates to the offering or provision of their own sexual services.
[1]
R.S.C. 1985, c. C-46.
[2]
The Supreme Court used the term prostitutes in
Bedford
.
The new legislation refers to someone who provides sexual services for
consideration in the body but refers to prostitution in the preamble. The
application judge used the term sex worker. I will use the terms that
Bedford
used when discussing
Bedford
, the terms used in the legislation
where appropriate and the terms the application judge used when discussing his
reasons.
[3]
Section 286.1(2) creates a separate offence, with more severe
punishment, in the case of the sexual services of a person under the age of 18
years.
[4]
The Canadian Alliance for Sex Work Law Reform (a coalition of 25 sex workers
rights organizations), a number of current and former sex workers, and Tiffany
Anwar were granted leave to intervene on this appeal:
R. v. N.S.
, 2021
ONCA 605. Ms. Anwar ran an escort agency and was charged with offences under
ss. 286.2(1), 286.3(1), and 286.4 of the
Criminal
Code
. She was acquitted in 2020 after McKay J. found the provisions to
be unconstitutional:
R. v. Anwar
,
2020 ONCJ 103, 62 C.R. (7th) 402. Although they were represented by different
counsel, these interveners delivered a joint factum and Mr. Lockyer and Mr. Rosenberg
made oral submissions on behalf of them all. These interveners offer the
perspective of a subset of those who provide sexual services for consideration
as a freely chosen occupation: sex workers. The heart of their submission is
that the premise underlying the PCEPA that exploitation is inherent in
prostitution is flawed and not supported by the evidence; the Nordic model is
not effective; and, by criminalizing prostitution, the PCEPA subjects sex
workers to danger and violates their rights under s. 7 of the
Charter
. These are issues for another
day.
[5]
Section 286.2(2) creates a separate offence, with more severe
punishment, in the case of a material benefit derived directly or indirectly
from the commission of an offence under s. 286.1(2).
[6]
Section 286.3(2) creates a separate offence, with more severe
punishment, for procuring a person under the age of 18 years.
[7]
2012 ONCA 186, 128 O.R. (3d) 385
. In
Bedford
, the
Supreme Court did not consider whether it could depart from its s. 2(b) conclusion
in the
Prostitution Reference
because it resolved the appeal on s. 7
grounds.
[8]
As discussed below,
Deshon Boodhoo was also granted leave to
intervene on this appeal and proposed hypotheticals for the courts
consideration. One involves persons working in a cooperative arrangement. It
does not differ from the respondents hypothetical in any material respect.
Accordingly, I do not address it in these reasons.
[9]
I
n his reasons, the application judge refers to s. 286.2(3). I
have assumed that this is a typo, and his intended reference was to s. 286.3 as
the phrase in which the quoted passage appears addresses procuring.
[10]
Hypothetical 2 before the application judge involved the students retaining the
services of a website designer. Because the hypothetical did not state that the
website was jointly used by the students, he concluded that the students would
enjoy the immunity under s. 286.5. The respondent takes no issue with that
conclusion. Mr. Boodhoos hypothetical raises the possibility of the two
cooperating sex workers being caught by the advertising provision for
advertising together, such that they could not benefit from the immunity for
advertising their own sexual services. Hypotheticals must contain sufficient
details to permit the court to properly analyze the constitutional claim. In
the absence of further details, I decline to address this issue further. Simply
stating that the sex workers are advertising together is not sufficient for
this purpose.
[11]
Much of Mr. Atchisons evidence addressed the impact of the
criminalization of obtaining sexual services for consideration, which is not an
issue on this appeal.
[12]
Mr. Atchison was among those who opposed the Nordic Model. See
House of Commons, Standing Committee on Justice and Human Rights,
Evidence
,
41st Parl., 2nd Sess., No. 39 (9 July 2014) at pp. 2-4 (Chris Atchison).
[13]
Mr. Atchison said that three hearts would mean $300.
Some of
the sample advertisements in the record are less opaque. They refer to 200 or
300 roses, and, in the context, mean $200 or $300.
[14]
The Alliance also argues that sex workers ability to consent
to sexual activity, and therefore their personal autonomy, is compromised by
their need to use vague language in advertisements and clients use of vague
language in communications with the sex worker. The Alliances argument about
the consequences of the use of vague language in the advertisements is
addressed above. Its argument that s. 286.1 impairs sex workers right to
consent to sexual activity is for another day.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Krause
v. Bougrine, 2022 ONCA 161
DATE: 20220224
DOCKET: C69816
MacPherson, van Rensburg and Roberts JJ.A.
BETWEEN
Interjurisdictional Support Orders Unit Director,
Family Responsibility Office for the benefit of Catarina Elisabet Krause
Applicant/Respondent
(Appellant)
and
Hassan Bougrine
Respondent/Appellant
(Respondent)
and
Catarina Elisabet Krause
Respondent/Respondent
(Respondent)
Heather Puchala and Michelle Douglas-Cummings, for the
appellant
Dhiren R. Chohan and Matthieu M. Butler, for the
respondent
Catarina Krause, acting in person
Heard: January 27, 2022 by video conference
On appeal from the judgment of Justice R. Dan Cornell of
the Superior Court of Justice, dated August 10, 2021 and reported at 2021 ONSC
5269, allowing the appeal from the judgment of Justice Andre L. Guay of the
Ontario Court of Justice dated May 29, 2019 and the final order dated October
19, 2020.
MacPherson J.A.:
A.
introduction
[1]
This appeal involves a payor (or, more accurately, a non-payor) who
resides in Ontario, a recipient of child support for her two children who
resides in Finland, and the Interjurisdictional Support Orders Unit (the ISO Unit)
which is pursuing the appeal for the benefit of the support recipients.
[2]
The ISO Unit of the Family Responsibility Office administers Ontarios
Interjurisdictional
Support Orders Act, 2002
, S.O. 2002, c. 13 (
ISO Act
), which
streamlines the process for obtaining, varying and enforcing support orders
involving one party who lives in Ontario and one party in a reciprocating
jurisdiction. Once an order has been registered, established, or varied using
the
ISO
Act
, it can be filed with the Family Responsibility
Office (FRO) for enforcement. The FRO will then enforce such an order the
same way it would enforce an Ontario order.
[3]
The central issue on the appeal is whether an Ontario court can make a
support order when one already exists in Finland. More specifically, the appeal
concerns the jurisdiction of the Ontario Court of Justice to hear a support
application and make a support order pursuant to the
ISO Act
in
circumstances where the registration for enforcement of a foreign support order
from a reciprocating jurisdiction (Finland) has been set aside by an Ontario
court.
B.
facts
(1)
The parties and events
[4]
Hassan Bougrine and Catarina Krause were married in Finland in 2003.
They divorced in 2004. There are two children from their relationship, a son
and a daughter.
[5]
Bougrine has resided in Ontario since 2007. He has been a professor at
Laurentian University and was Chair of the Commerce Department.
[6]
Krause has resided in Finland and raised the two children there except
for a 14-month period in 2012-2014 when Bougrine abducted the children to
Morocco.
[7]
In 2010, the District Court of Varsinais-Suomi in Finland awarded
custody of the two children to Krause and made a support order requiring
Bougrine to pay child support of 350 Euros per month per child (the Finnish
Order). In 2011, the Finland Turku Court of Appeal dismissed Bougrines appeal
from this decision.
[8]
For a brief period in 2009 and 2010, Bougrine paid child support of 260
Euros per month per child. From 2010 until a temporary support order was made
in Ontario in June 2019, he paid no child support.
[9]
Finland is a reciprocating jurisdiction for the reciprocal enforcement
of support orders with Ontario, pursuant to the
ISO Act
and Ont. Reg.
53/03
Reciprocating Jurisdictions
. Consequently, Finnish support
orders can be registered for enforcement in Ontario pursuant to Part III of the
ISO Act
.
[10]
In
2014, the ISO Unit received a letter from the Minister of Justice in Finland
requesting the registration of the Finnish Order and the 2011 appeal Order in
Ontario for enforcement against Bougrine and claiming support arrears of
32,929.32 Euros as of September 17, 2014.
[11]
The
ISO Unit sent the orders to the Ontario Court of Justice for registration for
enforcement in Ontario under s. 18 of the
ISO Act
. The orders were
registered on December 24, 2014 and a Notice of Registration of Order was
served on Bougrine.
[12]
Pursuant
to s. 20(2) of the
ISO Act
, Bougrine brought a motion in the Ontario
Court of Justice to set aside the registration for enforcement in Ontario of
the 2010 and 2011 Finnish Orders.
[13]
In
support of his motion, Bougrine deposed in his affidavit that he intended to
move to Morocco soon and that he had not received notice of the Finnish
proceedings that led to the 2010 Finnish Order. On March 9, 2015, the motion
judge set aside the registration of the Finnish Order on the basis that
Bougrine did not have proper notice or a reasonable opportunity to be heard in
relation to the foreign proceedings that led to the Finnish Order.
[14]
As
it turns out, much of the material in the Bougrine affidavit submitted on the
motion was false. As explained by Cornell J. six years later in his decision in
these proceedings:
Mr. Bougrine was personally served with the originating Finnish
application, was present during those proceedings and had the benefit of legal
counsel. Unhappy with the result of those proceedings, Mr. Bougrine appealed.
His appeal was unsuccessful. How could it possibly lie in the mouth of Mr.
Bougrine to allege that he had no notice of those proceedings when he filed an
appeal?
It is also clear that Mr. Bougrine misled the court by
suggesting that he obtained custody of the children on February 10, 2009, from
a court in Morocco. The record before me discloses that no such order was ever
made. Mr. Bougrine further misled the court by suggesting that he was
temporarily in Sudbury for employment and that his permanent residence was in
Morocco. This is patently false. Mr. Bougrine had worked at Laurentian
University as a full-time professor since 2007. He was the Chair of the
Universitys Commerce Department. The record before me indicates that Mr.
Bougrine has had a drivers licence in Canada since 2007 and that he owns real
property in Canada.
Given this background, it is clear that the order made by
Lische J. to set aside the registration was based upon an incomplete record and
the misleading information that was provided by Mr. Bougrine. Had the correct
information been before the court, it is clear that Mr. Bougrines efforts to set
aside the registration would have failed.
[15]
In
2018, the ISO Unit learned that Bougrine in fact continued to live and work in
Ontario. The ISO Unit commenced proceedings in the Ontario Court of Justice
seeking support for the children in accordance with s. 21 of the
ISO Act
.
(2)
The court proceedings and judicial decisions
(a)
Ontario Court of Justice
[16]
The
ISO Units motion for child support for Krause came before Guay J. in 2019.
Because the registration of the Finnish Order had been set aside, the motion was
brought under s. 21 of the
ISO Act
, which provides:
21(1) If the registration of an order made in a
reciprocating jurisdiction outside Canada is set aside under section 20, the
order shall be dealt with under this Act as if it were a document corresponding
to a support application received under paragraph 2 of section 9 or a support
variation application received under paragraph 2 of section 32.
[17]
The
motion judge addressed the circumstances that led to the registration of the Finnish
Order being set aside on a motion brought by Bougrine in 2015:
As it turned out, the information given to the court by the
respondents was misleading. There was nothing transitory about his employment
at Laurentian University. The respondent had actually worked there as a full-time
professor since 2007. The evidence indicated that not only was the respondent a
full-time professor at Laurentian University, but further that he was actually
the Chair of the Universitys Commerce Department.
It is reasonable to infer from what the respondent told the
court on the motion to set aside registration that his arguments were designed
to mislead the court and to defeat the applicant's claim to enforcement of her
child support order years after that order had been made.
[18]
The
motion judge then moved on to explain how s. 21 would operate, after the
Ontario registration of the Finnish Order was set aside. He stated:
Notwithstanding these facts and what can be reasonably deduced
from them, it is clear that the registration of the June 8, 2010 Finnish order
was set aside by the Ontario Court in Sudbury on March 9, 2015. This court is
not an appeal court. The order setting aside registration was not appealed by
the Director of Family Responsibility. As a result, the decision of the Ontario
Court must stand. By virtue of section 21(1) of the ISO Act, 2002, S.O. 2002,
c.13, when an order of a reciprocating jurisdiction has been set aside under
section 20 of the Act, the order
shall
be treated as a support
application under section 9 of the Act. This is what triggered the Director's
motion for enforcement to be returned to this court. The enforcement procedures
brought on behalf of the applicant by the Director of Family
Responsibility/lSOA Unit had only been allowed to lapse because of the false
information provided to this court respecting his permanent departure from
Canada. This court was entitled to revisit the matter anew upon being requested
by the Director to do so on information the Director had received presumably
from the Finnish authorities. [Emphasis in original.]
[19]
The
motion judge continued, specifically rejecting the argument that the setting
aside of the registration in Ontario invalidated the Finnish Order:
I do not read section 21 of the ISOA as
invalidating the order whose registration has been set aside. Rather, I
interpret this section of the Act as creating a mechanism for avoiding the need
to commence a new child support application
.
Setting aside registration of a foreign child support order for reasons of
alleged improper service on a party or because a party alleges that he has not
been given a reasonable opportunity to respond to the application giving rise
to the order should not mean that the order is thereby rendered invalid,
particularly when there is no reliable proof that such allegations are true and
where, as in this case, that order has been upheld by an appeal court in the
jurisdiction where it was made. It seems all too easy for a person opposed to
registration of a foreign child support order to throw up meritless obstacles
to its enforcement as seems to have happened in the present case. The ability
to set aside [registration of] a presumptively valid foreign support order
(ISOA operates on this basis) on the uncorroborated evidence of a person whose
financial interests are likely adversely affected by that order is, I believe,
a weakness in the enforcement procedure established by ISOA. [Emphasis added.]
[20]
Finally, with respect to Bougrines argument
that, in the absence of an existing Ontario court order, the matter should be
returned to the Finnish courts where the original 2010 support order was made
and is still operative, the motion judge said:
It is illogical to argue that the applicant should be made to
bring enforcement proceedings in Finland where the order was first issued and
subsequently never complied with. If the respondent finds the present matter
before this court, it is because he has worked in Ontario for many years and is
still working here. Proceedings related to the enforcement of a valid support
order ought logically to take place where the income of a payor can be attached
and not in a jurisdiction where his income and assets cannot be attached.
[21]
Following the hearing, the motion judge made a
temporary support order in June 2019. Then in October 2019, he made a final
order with two components: (1) payment of child support of $2,463 per
month for the two children commencing in June 2019, based on Bougrines Child
Support Guideline income of $181,558; and (2) payment of child support arrears
fixed at $179,667.20 as of May 1, 2019, payable at $300 per month.
[22]
Pursuant to this Order, the FRO assisted with
enforcement through a support deduction notice to Laurentian University,
Bougrines employer, and collected support payments that were then sent to
Finland.
(b)
Superior Court of Justice
[23]
Bougrine appealed the motion judges decision to
the Superior Court of Justice. Relying heavily on a decision of this court,
Cheng
v. Liu
, 2017 ONCA 104, the appeal judge allowed the
appeal and quashed the motion judges decision for want of jurisdiction.
[24]
The core of the appeal judges reasoning is:
Section 21 of the
ISO Act
is, in my
opinion, a curious provision in that the court
must treat the foreign
order as if it were an application for support
. The learned judge did
what the section mandates and proceeded to assess Mr. Bougrines total
outstanding child support arrears as of May 1, 2019, to be $179,667.20. This
was to be repaid at the rate of $300 per month. Based upon an imputed 2019
gross annual income of $181,558, Mr. Bougrine was ordered to pay the sum of
$2,463 Canadian for the support of the two children, such payments to commence
on June 1, 2019.
In doing so, the court avoids addressing the
issue that the result is that there are now two child support orders in
existence, one in Finland and one in Canada. The court acknowledges that s. 21
of the
ISO Act
does not invalidate the Finnish order and proceeds with
the application saying in para. 24 because section 21 of the ISO has the
effect of converting the original foreign order of 2010 into an application
going forward. The Ontario proceedings, as the court correctly pointed out,
have no bearing whatsoever on the existence and validity of the Finnish court
order for child support. In my opinion, the existence of two valid court orders
for support is quite problematic.
[25]
Following a reference to
Cheng v. Liu
, a case involving the relationship between the federal
Divorce
Act
, R.S.C. 1985, c. 3 (2nd Supp.) and the
Ontario
Family Law Act
, R.S.O. 1990, c. F.3, the appeal judge
continued:
In this case, both children were born in
Finland and, with the exception of the period of time that they were abducted
and taken to Morocco, have always lived in Finland with their mother. The
parties were divorced by a Finnish court order. The Finnish court also made an
order granting Ms. Krause custody of the children and awarding her child
support. As previously set out, Mr. Bougrines appeal from this order was
dismissed. According to
Cheng
, this means that the Finnish court has
exclusive jurisdiction over child support because such court granted the
divorce and issued an order for child support. According to
Pageau
[
Pageau v. Szabo
, [1986] O.J. No. 1675], a court acting under a provincial statute
would be barred from dealing with the issue of child support in these
circumstances.
On the facts of this case,
Cheng
would also preclude the situation that we have here, namely the existence of
two valid child support orders. The
ISO Act
was created to establish a
uniform method and system for the parties seeking to obtain, to challenge or to
vary child support orders issued where the parties reside in different
jurisdictions. The chaos created by competing child support orders is surely
inconsistent with these objectives and can hardly be said to be part of a
uniform system.
C.
issue
[26]
There is a single issue on the appeal: does an
Ontario court have jurisdiction under s. 21 of the
ISO Act
to order child support in the face of a valid but unenforceable (in
Ontario) foreign child support order?
D.
analysis
[27]
The
ISO Act
allows for the establishment, variation and enforcement of support orders where
one party resides in Ontario and the other party resides in a reciprocating
jurisdiction.
[1]
Support recipients can register domestic or foreign support orders in order to
enforce them against residents of Ontario or those who have income or assets in
the province. Support recipients can also apply to obtain or vary support
orders in Ontario that can then be enforced against the resident of Ontario.
[28]
A principal purpose of the
ISO Act
is to facilitate the enforcement of the support obligations of
persons resident in one jurisdiction whose dependants (spousal or child) are
resident in another jurisdiction. Reciprocal support enforcement statutes are
enacted because of historical difficulties encountered by parties seeking to
obtain, vary or enforce a family support order when one party is no longer
residing in the jurisdiction where the original order was made. The core scheme
of the
ISO Act
is to establish a fair and
workable system for providing support for children and spouses who have a
parent or former partner living in a different jurisdiction.
[29]
As explained by Attorney General David Young
when he introduced the proposed
ISO Act
in the
Ontario Legislature in 2002:
The proposed bill is further proof that we are
committed to ensuring that children and families who rely on support payments
receive every cent of the amount they are entitled to. Failure to pay child
support and spousal support is a social problem; there should be no doubt about
that. It is a problem that should and does concern us all. Thousands of
families rely on support payments to buy food and other basic necessities, including
rent. Without those payments, some families may be forced to live in poverty.
They may be forced to turn to food banks and, in some cases, social assistance.
This simply shouldnt be happening. It is simply unacceptable. When children
and families do not receive money, or do not receive money in a timely fashion,
we all suffer.
Ontario Legislative Assembly,
Official Report of Debates (Hansard), 37
th
Parl., 3rd Sess, No. 30
(23 September 2002), at p. 1497.
[30]
Against this backdrop, I turn to consider s. 21
of the
ISO Act
.
[31]
In statutory interpretation, the language of a
statutory provision must be interpreted in light of the purpose of the
provision and the entire relevant context:
Canada (Minister of
Citizenship and Immigration) v. Vavilov
, 2019 SCC 65, at
para. 118.
[32]
In my view, the precise language of s. 21 of the
ISO Act
was triggered by Bougrines conduct in
this case. He took steps to set aside the Ontario registration of the Finnish
support order for his children. He did this under s. 20 of the
ISO
Act
and he was successful; the Ontario registration was
set aside, thus removing his obligation, enforceable in Ontario, to provide
support to his children.
[33]
This result elicited a response from the
appellant Interjurisdictional Support Orders Unit. When it became aware that the
registration of a valid court support order of a reciprocal jurisdiction
(Finland) had been set aside
and
that the
non-paying father still lived and worked in Ontario, contrary to his submission
to the Ontario court, it invoked s. 21 of the
ISO Act
in an attempt to remedy an egregious situation dishonest
obtaining of an Ontario court order and concomitant non-compliance with a valid
Finnish court order.
[34]
In my view, the steps taken by the Unit were
appropriate and the initial decision by Justice Guay granting the relief sought
by the Unit was correct. Section 21 of the
ISO Act
specifically empowers an Ontario court to hear a new support
application that takes into account the unenforceable foreign order as well as
other information the court considers necessary and to make a new support
order.
[35]
On appeal, the appeal judge disagreed with
Justice Guays analysis and conclusion. Central to his reasoning was his view
that the decision of this court in
Cheng v. Liu
, compelled a different answer. I have set out the key passages of
the appeal judges discussion of
Cheng v. Liu
in the Facts portion of this judgment.
[36]
In my view,
Cheng v. Liu
does not support the respondents position or the appeal judges
analysis. The issue in
Cheng v. Liu
was
whether an Ontario court had jurisdiction to adjudicate a claim for corollary
relief under the federal
Divorce Act
despite
the fact that the parties divorce had been validly granted by a foreign court,
without providing for corollary relief. The division of powers between the
federal and provincial governments was at issue in that case. That is, while
the federal government has jurisdiction over marriage and divorce, the province
governs matters of property. In this way, the power to award support under the
federal
Divorce Act
is
limited to cases where
the support is a corollary to the divorce. This court concluded that since the
foreign divorce was silent on support, support could be awarded under the
Ontario
Family Law Act.
[37]
Cheng v. Liu
recognizes
the jurisdiction of the province to legislate in
matters of property. After considering, and rejecting, the jurisdiction of
Ontario courts to grant corollary relief under the federal
Divorce
Act
after a foreign court has validly issued a divorce
decree, the court went on to consider whether an Ontario court had jurisdiction
under a provincial law, the
Family Law Act
, to
determine the issue of child support after a foreign court has issued a divorce
decree without providing for child support. The court answered this question in
the affirmative and said, at paras. 45 and 52:
There is also no statutory prohibition against utilizing
the
FLA
in such circumstances. Indeed, the use of the
FLA
to
provide a remedy is entirely consistent with the statutory objective of
ensuring that parents provide support for their dependent children.
Ontario courts have authority to award child support under s.
33 of the
FLA
. There is nothing in the legislation that restricts
that authority in situations where a divorce order has been granted outside of
Canada. The use of the
FLA
in circumstances where relief
under the
Divorce Act
is unavailable does not engage the
paramountcy doctrine, as there is no operational incompatibility between the
federal and provincial statutes. To the contrary, the two statutes are
operating harmoniously to ensure that a remedy for child support is available.
[38]
In
this case, a different provincial statute, the
ISO Act
,
that is coincident in intent and purpose, explicitly
provides for the exact remedy sought. Absent a finding that the specific
provisions relied on were unconstitutional, which would have required notice to
the Attorney General,
it simply was not open to the appeal judge to
quash the Order of the Ontario Court of Justice for want of jurisdiction.
[39]
I
make a final observation. The appeal judge mentioned the potential for double
recovery as a danger that might arise if the Ontario court had jurisdiction to
make a support order in the face of an existing Finnish support order.
[40]
For
two reasons, with respect, I do not think this is a compelling point.
[41]
First,
the international support order regime is grounded in cooperation between knowledgeable
governments and their agencies that administer the governing laws, treaties and
intergovernmental agreements. Under the umbrella of international agreements
between cooperating governments, there are government support systems and
personnel dedicated to, and experienced in, providing high quality assistance
to the enforcement of valid foreign orders, sharing information and avoiding
duplication. In short, the potential for double recovery is a red herring.
[42]
Second,
this case and the vast majority of similar cases point to the real problem. It
is not potential double recovery; it is no recovery. The
ISO Act
, and
the people who administer it, are an important provincial, national and
international vehicle in the attempt to ameliorate this real problem.
E.
disposition
[43]
I
would allow the appeal, set aside the Order of the Superior Court of Justice
dated August 10, 2021, and restore the Order of the Ontario Court of Justice
dated October 19, 2020.
[44]
I
would award the appellant costs of the appeal fixed at $25,000, inclusive of
disbursements and HST.
Released: February 24, 2022 J.C.M.
J.C. MacPherson
J.A.
I agree. K. van
Rensburg J.A.
I agree. L.B.
Roberts J.A.
[1]
There are substantially similar statutes across Canadian
provinces and territories that include a provision the same or similar to s. 21
of the
ISO Act
.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Johnson v. Ontario, 2022 ONCA 162
DATE: 20220222
DOCKET: M53210 (C69417)
Paciocco
J.A. (Motion Judge)
Proceeding
under
The
Class Proceedings Act, 1992, S.O. 1992, Chapter 6
BETWEEN
Glen Johnson, Michael Smith, Timothy Hayne
Plaintiffs (Respondents)
and
Her Majesty the Queen in the Right of Ontario
Defendant (Respondent)
Mirilyn Sharp and Nancy Sarmento
Barkhordari, for the appellant
Rita Bambers and Lisa Brost, for the
respondent Her Majesty the Queen in right of Ontario
Chelsea Smith, for the respondents Glen
Johnson, Michael Smith and Timothy Hayne
Andrew Eckart, for the proposed
intervener The Class Action Clinic, University of Windsor, Faculty of Law
Heard: February 18, 2022 by video conference
Paciocco J.A.:
[1]
This motion for intervention as a friend of the
court by The Class Action Clinic, University of Windsor, Faculty of Law (the
Clinic) relates to an appeal by Donald Parker of an unsuccessful motion for
extension of time to opt out of a class action. That class action has been
certified on behalf of persons incarcerated at the Elgin Middlesex Detention
Centre between January 1, 2010 and May 18, 2017, against Her Majesty the Queen
in the Right of Ontario (Ontario), and alleges a failure to provide medical
care for inmates.
[2]
After the opt-out date for the class action had
passed, Mr. Parker filed a lawsuit against Ontario for delay in providing him
with medical care while an inmate at the Elgin Middlesex Detention Centre,
including during the period encompassed by the class action. In a letter
accompanying its notice to defend, Ontario referred to the class action and suggested
that Mr. Parker should discontinue his claim or limit it to the period outside
of the class action. Mr. Parker has deposed that he was unaware of the class
action when he instituted the action and upon learning about it, he brought a
motion to extend the time to opt out of the class action. On April 16, 2021,
the motion judge refused the motion and on May 10, 2021, ordered costs against
Mr. Parker.
[3]
Mr. Parkers appeal of that decision is scheduled
to be heard by this court on March 30, 2022 at 12:00 p.m. In this motion the
Clinic seeks to intervene as a friend of the court in that appeal, on terms
that permit the Clinic to file a factum not exceeding 20 pages in length, and to
make oral argument at the hearing of the appeal of no more than 15 minutes. None
of the parties oppose this motion but disagree relating to the timing of the
delivery of responding facta, and the time for oral argument. Mr. Parkers
consent is contingent on an intervention order not delaying the scheduled
appeal. Ontarios consent is contingent on the Clinics intervention being
without prejudice to Ontarios argument that if the adequacy of notice is recognized
to be a factor to be considered in applications for extension of time to opt-out,
that factor should not be applied during Mr. Parkers appeal because the
adequacy of notice was not an issue before the motion judge, and is not an
issue properly raised on appeal. Mr. Parker disputes Ontarios position, but
does not take issue with a neutral recital being made in the intervention order
alerting the panel to the fact that this is an open issue. Ontario also seeks a
condition prohibiting the Clinic from presenting additional evidence, although
the Clinic has disclaimed any intention to do so.
[4]
I would grant the Clinics motion to intervene,
on terms provided below. I am persuaded in the circumstances that the Clinic
will be able to make a useful contribution to the resolution of the appeal
without causing injustice to the immediate parties:
Peel (Regional
Municipality) v. Great Atlantic & Pacific Co. of Canada Ltd.
, (1990),
74 O.R. (2d) 164 (C.A.), at p. 167;
Foster v. West
, 2021 ONCA 263,
55 R.F.L. (8th) 270, at para. 10. I make the following findings in that regard.
[5]
First, the nature of the case and the issues
that arise support this outcome. The legal considerations relevant in
determining whether a class member can secure an extension of time to opt out
of a class action are not settled and arise in this appeal. The Clinic proposes
to offer a framework, derived from a principled analysis of the role of courts
as guardians of related rules, that will focus on the factors that a judge
should consider when adjudicating a class members motion for an extended
opt-out. The Clinic will argue that those factors will enable a balanced
assessment of the rights of class members against the objective of class
actions. These issues transcend the interests of the parties in this public
dispute and the proposed submissions do not simply repeat submissions that will
be made by the parties.
[6]
Second, the Clinic has the experience and
expertise to provide useful submissions. It is a non-profit legal service that,
under the direction of a legal scholar with recognized expertise in class
actions and with the contribution of University of Windsor law students, provides
public legal education, assistance in serving the rights and needs of class
members, and policy analysis and empirical research on various class action
issues.
[7]
Third, granting the intervention will not cause
injustice to the parties. The parties received advance notice of the Clinics
intention to seek intervention and have been provided with a draft factum
reflecting the essence of the submissions the Clinic proposes to make. As
indicated, none of the parties oppose the intervention. Nor will granting this
motion delay the impending appeal. The Clinic has undertaken that if granted
leave, they will abide by any timelines imposed or ordered by the court. The
intervention will not prejudice Ontarios right to make the argument it chooses
relating to adequacy of notice, and the Clinic will not be at liberty to apply
for the admission of additional evidence.
[8]
In order to facilitate its intervention, the
Clinic seeks leave to file a 20-page factum, to be served electronically, and
15 minutes for oral submissions at the hearing. The Clinic provided a draft
factum, reserving the right to make further editorial, non-substantive changes.
The draft factum is 15 pages, apart from the cover sheets, style of cause, and
schedules. It is a concise and clear document that does not appear to require
supplementation. The factum will be limited to 15 pages. Given the quality
of the factum, I am also satisfied that oral submissions can be made
expeditiously and efficiently on behalf of the Clinic at the hearing, in 10
minutes.
[9]
The parties to the appeal do not agree on the
terms that should accompany the intervention order. Ontario and Mr. Parker have
requested leave to file factums in response to the Clinics factum. All parties
should each be entitled to file a 10-page responding factum. Mr. Parker wishes
to file his factum one week after the delivery of Ontarios responding factum.
Ontario wants Mr. Parker to file his responding factum the same date that
Ontario does. I agree with Ontario. I see no basis for granting Mr. Parker what
would, in effect, be a reply factum.
[10]
Mr. Parker seeks an additional 10 minutes of
oral argument to respond to arguments made by the intervenor. Ontario seeks the
same 10 minutes, as well as an additional 15 minutes of oral argument, on top
of the 45 minutes it has already been allocated. In support of its request for
an additional 15 minutes Ontario argues that its time allocation was set before
its time estimate was provided, and it requires additional time to address affidavit
evidence that Mr. Parker intends to present to the appeal panel. I am not
persuaded that this additional 15 minutes is required to enable Ontario to make
its oral submissions and, given the scheduling of this appeal, it will
inconvenience the court.
[11]
I therefore grant the Clinics motion to
intervene on the following terms:
1.
The Clinics intervention is without prejudice to
Ontarios right to argue that the adequacy of the notice of the class action is
not appropriate for consideration in determining Mr. Parkers appeal.
2.
The Clinic shall not bring a motion for the admission
of additional evidence or otherwise seek to augment the record.
3.
The Clinic shall file a factum not exceeding 15
pages in length.
4.
The Clinics factum shall consist of an edited
version of the draft factum filed in the context of this motion and will not
expand on the issues to be addressed by the clinic or alter materially the
arguments presented in the draft.
5.
The Clinics factum is to be served and filed no
later than February 25, 2022 and may be served electronically.
6.
Mr Parker, and Ontario may file a factum not
exceeding 10 pages in length in response to the Clinics factum. Each factum is
to be served and filed no later than March 16, 2022.
7.
The Clinic is permitted to make oral arguments at the hearing of
this appeal of no more than 10 minutes.
8.
Mr. Parker and Ontario are each granted 10 additional
minutes for oral argument.
9.
The Clinic will consent to service of all materially electronically.
10.
The Clinic shall not seek costs in the intervention, nor will costs
be awarded against it.
Released: February 22, 2022 D.M.P.
David M. Paciocco J.A.
|
WARNING
The President of the Panel hearing this
appeal directs that the following should be attached to the file:
An order restricting publication in this
proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2)
of the
Criminal Code
shall continue. These sections of the
Criminal
Code
provide:
486.4(1) Subject to subsection
(2), the presiding judge or justice may make an order directing that any
information that could identify the victim or a witness shall not be published
in any document or broadcast or transmitted in any way, in proceedings in
respect of
(a) any of the following offences;
(i) an offence under section 151,
152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2,
173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281,
286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence under this Act, as
it read at any time before the day on which this subparagraph comes into force,
if the conduct alleged involves a violation of the complainants sexual
integrity and that conduct would be an offence referred to in subparagraph (i)
if it occurred on or after that day; or
(iii) REPEALED: S.C. 2014, c. 25,
s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more
offences being dealt with in the same proceeding, at least one of which is an
offence referred to in paragraph (a).
(2) In proceedings in respect of
the offences referred to in paragraph (1)(a) or (b), the presiding judge or
justice shall
(a) at the first reasonable
opportunity, inform any witness under the age of eighteen years and the victim
of the right to make an application for the order; and
(b) on application made by the
victim, the prosecutor or any such witness, make the order.
(2.1) Subject to subsection (2.2), in
proceedings in respect of an offence other than an offence referred to in
subsection (1), if the victim is under the age of 18 years, the presiding judge
or justice may make an order directing that any information that could identify
the victim shall not be published in any document or broadcast or transmitted
in any way.
(2.2) In proceedings in respect of an
offence other than an offence referred to in subsection (1), if the victim is
under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible, inform the
victim of their right to make an application for the order; and
(b) on application of the victim or the
prosecutor, make the order.
(3) In proceedings in respect of an
offence under section 163.1, a judge or justice shall make an order directing
that any information that could identify a witness who is under the age of
eighteen years, or any person who is the subject of a representation, written
material or a recording that constitutes child pornography within the meaning
of that section, shall not be published in any document or broadcast or
transmitted in any way.
(4) An order made under this
section does not apply in respect of the disclosure of information in the
course of the administration of justice when it is not the purpose of the
disclosure to make the information known in the community. 2005, c. 32, s. 15;
2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss.
22,48; 2015, c. 13, s. 18.
486.6(1) Every person who fails to
comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or
(2) is guilty of an offence punishable on summary conviction.
(2) For greater certainty, an order
referred to in subsection (1) applies to prohibit, in relation to proceedings
taken against any person who fails to comply with the order, the publication in
any document or the broadcasting or transmission in any way of information that
could identify a victim, witness or justice system participant whose identity
is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v.
C.T., 2022 ONCA 163
DATE: 20220225
DOCKET: C67631
Miller, Trotter and Zarnett JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
C.T.
Appellant
C.T., acting in person
Andrew Furgiuele, appearing as duty counsel
Jeffrey Wyngaarden, for the respondent
Heard: February 7, 2022 by video conference
On appeal from the convictions entered on April 21, 2017
and the sentence imposed on October 30, 2019 by Justice Sean F. Dunphy of the Superior
Court of Justice.
REASONS FOR DECISION
[1]
It is an error of law for a trial judge to discount the
credibility of an accuseds evidence on the basis that it was tailored to fit
Crown disclosure, or evidence or argument heard in court prior to the accused
testifying. Drawing the inference that advance notice of the case against the
accused has allowed the tailoring of evidence and thus made it suspect, though
a natural temptation, is impermissible. It would create a constitutional trap,
turning the right to be present at trial under s. 650(1) of the
Criminal
Code
, R.S.C. 1985, c. C-46
and the rights to full answer and defence under ss. 7 and 11(d) of the
Canadian
Charter of Rights and Freedoms
against
the accused
:
R. v. White
(1999), 132 C.C.C. (3d) (Ont. C.A.), at para. 20;
R.
v. Schell
(2000), 148 C.C.C. (3d) 219 (Ont. C.A.);
R.
v. Thain
, 2009 ONCA 223, 243 C.C.C. (3d) 230;
R. v. Jorgge
, 2013 ONCA
485, 4 C.R. (7th) 170, at para. 12;
R. v. M.D.
,
2020 ONCA 290,392 C.C.C. (3d) 29;
R.
v. G.V
., 2020 ONCA 291, 392 C.C.C.
(3d) 14;
R. v. B.L.
, 2021 ONCA 373, at paras. 44-47.
[2]
The trial judge committed exactly that error in this case.
[3]
The trial judge convicted the appellant of one count of sexual assault
under s. 271 of the
Code
relating to events in December of 2013. He
convicted the appellant of a second count of sexual assault and one count of
assault under s. 266 relating to events in March of 2014. Finally, he convicted
the appellant of one count of criminal harassment under s. 264(1) relating to
events in April of 2014.
[4]
The complainant on each of the charges was J.S., with whom the appellant
had been in a romantic and sexually intimate relationship.
[5]
J.S. and her mother were the only Crown witnesses. The appellant
testified in his own defence. The trial judge noted, at the outset of his
reasons: There were stark contrasts between the evidence of these events
related by the two Crown witnesses and the accused. Accordingly, credibility
required very careful examination. He also observed that the appellants
evidence was exculpatory and accepting it, or finding it raised a reasonable
doubt, would require acquittal on all charges.
[6]
The trial judges analysis of the credibility of the appellants
evidence, his rejection of it and his finding it raised no reasonable doubt, leaned
heavily and repeatedly on the trial judges inference that his evidence had
been tailored to fit disclosure or prior evidence.
[7]
In the introductory portion of his reasons, the trial judge stated:
I found the evidence of the accused was fundamentally
unreliable and tainted by fantasy, insincerity or both in many instances. Insincerity,
once detected, becomes like the thirteenth chime of a clock. It cast doubt upon
the twelve that preceded it. There were aspects of his evidence that I did
accept but only if adequately corroborated by other sources.
On the whole, I concluded that he told the truth only where it
suited his purpose while the remainder of his evidence was carefully tailored
to fit, however awkwardly, the evidence of which he was aware
. [Emphasis
added.]
[8]
In the section of his reasons entitled General Comments on
Credibility, the trial judge returned to the same impermissible reasoning. He
stated:
While smoothly recounted and never lacking in complete
confidence as to the smallest of details recalled in the most vivid terms three
years after the fact, the tale that [the appellant] spun became increasingly
implausible as layer upon layer of detail was added.
At
length, I reached the conclusion that [the appellant] could not be relied upon
to tell the truth at all. He appeared to be looking to fit his evidence to the
disclosure he had received rather than to be recalling things from his own
lived experience
. [Emphasis added.]
[9]
In addition to these general comments, applicable to the credibility assessment
in relation to all of the charges, the trial judge used this reasoning when
dealing with specific events. In rejecting the appellants version of what
occurred in relation to the December 2013 offences, the trial judge stated:
This was one instance and not the only one where I formed the
view that [the appellant] sought to tailor his evidence to suit
(emphasis added). When dealing with the offences in March 2014, the trial judge
took the same approach:
Once again I found [the appellants]
version of these events to be a product of fantasy or a deliberate fabrication
to fit disclosed evidence. I am unable to afford any credence at all
(emphasis
added).
[10]
The Crown argues that the trial judges error was harmless, as his reasons
make it clear that he had numerous grounds for rejecting the credibility of the
appellants evidence. The comments about the appellant tailoring his evidence should,
in the Crowns submission, be viewed as a mere afterthought and the curative proviso
in s. 686(1)(b)(iii) of the
Code
should be applied.
[11]
We are not persuaded by this argument. The trial judge made his
inference of tailoring to fit disclosure a feature of his credibility
assessment at the outset of his reasons. He returned to it as an important
consideration in his general findings on credibility, and then repeated its
importance in his more granular analysis of important events. The proviso will
not be applied where the impermissible tailoring inference appears to have
played a large role in the trial judges rejection of the appellants version
of what occurred, even if there were other reasons for that rejection:
B.L.
,
at para. 50.
[12]
[13]
Jorgge
,
The context for these three cases [
White
,
Schell
and
Thain
] differs from the case before us, but the underlying
principle is the same. In those other cases, either the Crown or the trial
judge improperly used an accuseds right to disclosure to discredit the
accuseds testimony. In the present case, the trial judge improperly used the
appellants right to be present at his trial to discredit his testimony. She
erred in doing so.
This error figured prominently in the trial judges adverse
assessment of the appellants credibility. Credibility was the significant
issue at trial, in the light of the differing versions of events given by the
appellant and the complainant. In
Thain
, at para. 38, Sharpe J.A. said
[t]he appellant was entitled to have his credibility fairly assessed without
being trapped by the exercise of his constitutional rights. Similarly, Mr.
Jorgge was entitled to have his credibility fairly assessed without being
trapped by the exercise of his statutory right to be present at his trial. Thus,
his convictions cannot stand.
[14]
The same approach is required here. The appeal is allowed, and a new trial
is ordered. Accordingly, we do not reach the sentence appeal.
B.W. Miller J.A.
Gary Trotter J.A.
B. Zarnett J.A. |
COURT OF APPEAL FOR ONTARIO
CITATION: Lamba v. Mitchell , 2022 ONCA 164
DATE: 20220223
DOCKET: M53161
Thorburn J.A. (Motions
Judge)
BETWEEN
Amarjot Lamba and Chand
Lamba
Moving Parties
and
Michael Mitchell and
Richard Bowring
Responding Parties
James R. D. Clark, for the appellants
Monica Unger Peters, for the respondents
Heard: in writing
ENDORSEMENT
Relief Sought
[1]
The moving party, Amarjot Lamba, is a real estate agent; the moving
party, Chand Lamba, is his spouse. They seek an order to extend the time to
seek leave to appeal by additional ten days.
The Dispute Between the Parties
[2]
The moving parties put an offer on a house and entered into an agreement
of purchase and sale but failed to close the transaction. They sought an
extension of the closing date.
[3]
The responding parties refused to extend the closing and instead,
delivered their closing documents.
[4]
Following the aborted closing, the moving parties commenced an action
claiming specific performance with an abatement and moved unsuccessfully for a
certificate of pending litigation.
[5]
The responding parties counterclaimed for damages and an order that the
purchasers deposit be forfeited. The responding parties re-sold the home and
moved for summary judgment, requesting forfeiture of the moving parties
deposit.
[6]
The moving parties argued that they were entitled to rescission of the
agreement of purchase and sale and damages, because of the misrepresentation
with respect to the square footage of the home and because the responding
parties had not satisfied them that the renovation had been completed in
accordance with the applicable building permit.
The Decision on the Responding Parties Motion for Summary
Judgment
[7]
On May 18, 2021, the motion judge granted the responding parties motion
for summary judgment and declared the moving parties $20,000 deposit forfeited
to the responding parties.
[8]
The motion judge acknowledged that the Multiple Listing Service (MLS)
listing for the home misstated the main floor area of the home to be 2,500
3,000 sq. ft., when in fact the main floor area was 2,155 sq. ft. However, he
found that the moving parties had personally attended the property to view the
house and were well-aware of its actual size and layout before they decided to
buy what they had seen. Further, he found that Mr. Lamba could access
materials with the correct area as he had access to a brochure and floor plan
with the homes correct area which accompanied the MLS listing for the
property.
[9]
As such, the motion judge concluded that the discrepancy between the
actual and misstated area in the MLS listing did not constitute a material
misrepresentation that would have affected the moving parties decision to make
an offer, and did not entitle the moving parties to rescind the agreement. He
also held that the moving parties did not requisition a valid objection to
title in respect of their concern with a building permit, and were not entitled
to rescind the agreement on that basis. Finally, he held that the $20,000
deposit was not disproportionate to the purchase price, and it would not be
unconscionable for the responding parties to keep the deposit given that the
moving parties breached the agreement.
[10]
The motion judge ordered that the moving parties $20,000 deposit be
forfeited to the responding parties and he ordered costs against the moving
parties in the amount of $10,856.48 inclusive of HST and disbursements, bearing
interest of 2 percent per annum commencing April 1, 2021.
The Decision of the Divisional Court on Appeal
[11]
The moving parties appealed to the Divisional Court on the issue of
rescission for misrepresentation. On December 7, 2021, the Divisional Court
dismissed their appeal. The Divisional Court held that,
The purchasers accept that the motion judge correctly set out
the legal test with respect to rescission for misrepresentation. However, they
take issue with the findings of fact, and application of the law to the facts,
on the issue of reliance on the misrepresentation, as an inducement to
purchase.
[T]he issue on this appeal is whether the purchasers
relied
upon the square footage set out in the MLS listing, as they argue; or whether,
as found by the motion judge, they relied upon the area and size of the home
gleaned from their inspection. The latter was an inference of fact.
[T]he purchasers, through their solicitor, repeatedly affirmed
their intention to complete the transaction, notwithstanding their discovery of
the actual square footage of the home. While they evidently felt entitled to
some compensation for the deficiency, the fact that they were intent on
completing the purchase suggests that they based their decision to purchase on
their satisfaction with the area and layout of the home, as observed during their
inspection, and not on the representation of square footage contained in the
listing agreement.
[12]
The Divisional Court further held that,
The purchasers were aware of the actual square footage of the
home at the time the affidavit was sworn. If their satisfaction with the area
of the home at the time of purchase was based upon the represented square
footage rather than the area and size of the home gleaned from their
inspection, it is a reasonable inference that they would not have tried to prevent
the home from being sold to others, and that Mr. Lamba would not have sworn
that the property was unique and exactly what we were looking for [in his
affidavit sworn in support of the motion for a certificate of pending
litigation]
[13]
The Divisional Court concluded that the findings of the motion judge
were reasonable and available to him on the evidence.
[14]
The Divisional Court dismissed the appeal and ordered costs against the moving
parties in the amount of $8,000.
[15]
The Notice of Motion for Leave to Appeal must be filed within 15 days of
the decision of the Divisional Court on December 7, 2021. In light of the
holiday period, the deadline for submitting a notice for leave to appeal was
December 30, 2021. The moving parties failed to meet that deadline despite
being represented by counsel. The moving parties claim that they intended to
appeal within the requisite period and thought they had more time than they
did. They claim they contacted three or four law offices before meeting their
current counsel via Zoom on January 7, 2022 and signing a retainer agreement on
January 11, 2022.
[16]
The moving parties seek an order to extend the time to seek leave to
appeal the Divisional Court decision.
The Test for Leave to Appeal
[17]
An appeal lies to this court, with leave, from an order of the
Divisional Court:
Courts of Justice Act
, R.S.O., c. C.43, s. 6(1)(a).
A notice of motion for leave to appeal must be served within 15 days after the
making of the order from which leave to appeal is sought:
Rules of Civil Procedure
,
R.R.O. 1990, Reg. 194, r. 61.03.1(3).
[18]
Pursuant to r. 3.02(1) of the
Rules of Civil Procedure
,
this
court may extend the time to seek leave to appeal on such terms as are just. The
overarching principle is whether the justice of the case requires that an extension
be given:
Enbridge Gas Distribution Inc. v. Froese
,
2013 ONCA
131, 114 O.R. (3d) 636, at para. 15. The court must take into account (i)
whether the moving party formed an intention to appeal within the relevant
period, (ii) the length of, and explanation for, the delay, (iii) any prejudice
to the responding party, and (iv) the merits of the proposed appeal:
Enbridge
,
at para. 15
; Reid v. College of Chiropractors of Ontario
,
2016
ONCA 779, at para. 14; and
Krawczynski v. Ralph Culp and Associates Inc.
,
2019 ONCA 399, 69 C.B.R. (6th) 163, at para 9.
[19]
The proposed appeal arises out of a decision of the Divisional Court
exercising its appellate jurisdiction. I am mindful that appellate decisions of
the Divisional Court are intended to be final:
Sault Dock Co. v. Sault Ste.
Marie (City)
(1973)
,
34 D.L.R. (3d) 327 (Ont. C.A.), at p. 328.
A
further appeal to this court is exceptional:
Enbridge
,
at para.
19.
Analysis and Conclusion
[20]
Before granting leave, this court must be satisfied that the proposed
appeal presents an arguable question of law, or mixed fact and law, requiring
consideration of matters such as the interpretation of legislation; the
interpretation, clarification or propounding of some general rule or principle
of law; or the interpretation of an agreement or by-law where the point in
issue involves a question of public importance. This court will also grant
leave when the interests of justice require it, for matters of public
importance, and to correct clear errors in a judgment below:
Sault Dock Co.
,
at p. 329;
Enbridge
,
at paras. 20-22.
[21]
The only issue on appeal to the Divisional Court was whether the
purchasers relied on the square footage in the MLS listing or whether, as the
motion judge found, they relied on the square footage gleaned from their
inspection. That, as noted by the Divisional Court was an inference of fact. As
noted by the Divisional Court,
The purchasers accept that the motion judge correctly set out
the legal test with respect to rescission for misrepresentation. However, they
take issue with the findings of fact, and application of the law to the facts,
on the issue of reliance on the misrepresentation, as an inducement to
purchase.
[22]
Given that the moving parties reaffirmed their intention to complete the
transaction
after
discovering the actual square footage, the
Divisional Court found no error in the motion judges finding of fact that this
was demonstrative of their decision to purchase knowing the actual square
footage. Instead, the Divisional Court concluded that the findings of the
motion judge were reasonable and available to him on the evidence.
[23]
Like the motion judge, the Divisional Court concluded that,
The purchasers were aware of the actual square footage of the
home at the time the affidavit was sworn. If their satisfaction with the area
of the home at the time of purchase was based upon the represented square
footage rather than the area and size of the home gleaned from their
inspection, it is a reasonable inference that they would not have tried to
prevent the home from being sold to others, and that Mr. Lamba would not have
sworn that the property was unique and exactly what we were looking for [in
his affidavit sworn in support of the motion for a certificate of pending
litigation]
[24]
The moving parties concede that the Divisional Court did not make an
error of law. There was no apparent palpable and overriding factual error, and
there was no error of law given the other factual findings. There is no
reasonable possibility of success on appeal:
Ravelston Corp. (Re)
(2005),
24 C.B.R. (5th) 256, (Ont. C.A.) at paras. 29-31. Moreover, there is no issue
of public importance.
[25]
A lack of merit alone is sufficient to dispose of a motion for an
extension:
Enbridge
, at para. 16. For the above reasons, I conclude
that the proposed appeal is highly unlikely to be granted if I allow an
extension of time to file the leave application.
[26]
However, some other relevant considerations outlined in
Enbridge
also militate in favour of dismissing the motion. I find that the moving parties
did not form an intention to appeal within the relevant period. The moving
parties were represented by counsel throughout the fifteen day period to seek
leave to appeal. While the moving parties counsel communicated with the
responding party during the fifteen-day period, counsel did not communicate any
intention to seek leave to appeal. The moving parties acknowledge that they did
not do so but claim they intended to appeal within the requisite period and
thought they had more time than they did.
[27]
I note that the moving parties have also failed to comply with two cost
orders, without explanation: the costs ordered by the motion judge in the
amount of $10,856.48 and the costs ordered by the Divisional Court in the
amount of $8,000. There is no suggestion they are unable to pay. The responding
parties note that they extended an offer to the moving parties to enable them
to extend the time if the cost orders are paid, which offer was rejected by the
moving parties. The moving parties failure to abide by two court orders
without explanation is a consideration relevant to the justice of this case.
[28]
For these reasons, the request to extend the time to seek leave
to appeal is denied.
J.A. Thorburn J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Hendriks v.
Hendriks, 2022 ONCA 165
DATE: 20220225
DOCKET: C68822
Tulloch, Pardu and Roberts JJ.A.
BETWEEN
Stephen
Harold Hendriks
Respondent
and
Eleanor
Dawn Hendriks
Appellant
Michael Ruhl and Ashley Timm, for the appellant
Michael Stangarone and Stephen Kirby, for the respondent
Heard: June 16, 2021 by video conference
On appeal from the order of Justice Erika Chozik of the Ontario
Superior Court of Justice, dated October 9, 2020.
Tulloch J.A.:
[1]
The parties were married for 18 years and separated in 2010. During
their marriage, they had three children: Tyas, Garett, and Corinne. Following
their 2010 separation, they litigated until May 12, 2015, at which time
they entered into a consent final order (the Mossip Order) that incorporated
terms set out in minutes of settlement. The Mossip Order provided for child
support and spousal support.
[2]
In August 2018, the respondent began new employment in Qatar and his
income increased significantly from approximately $78,000 to approximately $214,000.
Following the respondents post-separation increase in income, the appellant
brought a motion to vary child support and spousal support, among other relief.
The motion was dismissed in its entirety.
[3]
The appellant now appeals. She argues that the motion judge made several
errors in her application of the law and apprehension of the evidence.
[4]
For the reasons that follow, the appeal is allowed in part.
Background Facts
[5]
The relevant terms of the Mossip Order were as follows:
·
The
respondent would pay ongoing child support for the three children in the amount
of $1,506 per month, based on an income of $78,528.
·
The
respondent was to make a one-time payment of $3,108 in retroactive child
support.
·
The
respondent would pay 75 percent of the childrens future s. 7 expenses.
·
The
respondent would make a one-time payment of $4,000 for retroactive s. 7
expenses.
·
The
respondent would contribute to s. 7 expenses in the amount of $33 per
child per month.
·
The
respondent was to make a one-time payment of $3,000 in retroactive spousal
support.
·
The
respondent would pay ongoing spousal support in the amount of $150 per
month, based on an income of $78,528.
[6]
For clarity and ease of reference, I have set out below, a timeline of
the relevant events that are the subject of the various support orders, and
that were under consideration by the motion judge:
Date
Event
August 15, 1992
The parties are married. During the marriage, the
appellant operates a pottery business and teaches classes.
September 2002
The respondent begins his Masters degree in Social Work
(MSW).
2005
The respondent completes his MSW. The family moves to
accommodate the respondents new employment.
December 27, 2010
The parties separate. The appellant finds employment
outside the home.
October 25, 2012
The parties are divorced. The children reside with the
appellant.
May 12, 2015
Divorce litigation is resolved by a Final Consent Order of
Justice Mossip (Mossip Order), which incorporates minutes of settlement
executed by the parties.
November 2015
The respondent makes a lump sum payment in the amount of
$22,066.22 (being $22,825 less notional disposition costs). The appellant
delays acknowledging receipt with the Family Responsibility Office (FRO)
until March 2018, resulting in continued payments for the eldest child after
his support terminates on July 1, 2016.
July 1, 2016
Child support is supposed to terminate for the eldest
child. This is not confirmed until March 2018.
2016 to 2018
The respondent participates in ongoing training and
development in his field.
July 2017
The eldest child stops living with the appellant.
December 2017
The appellant confirms with the FRO there were no arrears
owing under the Mossip Order, following receipt of $22,066.22 from the
respondent.
February 2018
The middle child moves in with the respondent in Barrie. The
appellant mother does not pay any child support for the middle child despite
the change in residence. The respondent asks FRO to adjust child support only
for the youngest child, but FRO is unable to confirm facts with the
appellant. The respondent continues to pay child support for all three
children.
March 2018
The parties consent to the termination of child support
for the eldest child. The parties agree to terminate child support for the middle
child, since he no longer resides with the appellant. The appellant alleges
that at this time, the respondent stopped paying all child and spousal
support. The respondent claims that his overpayments in support effectively
pre-paid support until February 2020.
May 16, 2018
Child support for Garett, the middle child, ends when he
moves in with the respondent.
June 2018
The middle child graduates from high school.
August 2018
The respondent and the middle child move to Qatar for the
respondents new employment. The respondents income increases to
approximately $214,000 (untaxed and subject to gross-up).
August 7, 2018
The appellant files a motion to change, seeking a change
in child support, sharing of s. 7 expenses, and a change in spousal support. The
respondent seeks an order terminating spousal support and adjusting child
support. The appellant mothers motion is dismissed by Justice Chozik
(Chozik Order). Spousal support is not terminated, and no retroactive child
support is awarded to either party.
February 2019
The middle child moves back in with the appellant.
July 2019
The middle child finds full-time employment.
February 2020
The respondent resumes paying child support for the
youngest child, Corinne only, in the amount of $2,200 per month.
March 31, 2020
The appellants employment is terminated by restructuring
due to COVID-19.
June 2020
The youngest child graduates from high school.
September 2020
The youngest and middle child both commence full-time
post-secondary studies. Both reside with their mother due to COVID-19. The
youngest child maintains a part-time job, and the middle child receives the
Canada Emergency Response Benefit.
September 2020
The appellant commences full-time studies, working towards
a Bachelor of Arts in Global Business and Digital Arts.
October 2020
The appellant alleges the respondent stops paying child
support for the youngest child. The respondent states that child support
terminated under the Chozik Order.
November 2020
The respondent resumes paying spousal support in
accordance with the Mossip Order.
Decision Below
[7]
In August 2018, the appellant filed a motion to change the Mossip Order,
seeking: 1) the enforcement of amounts she claimed remained outstanding; 2) variation
of spousal support; 3) variation of the child support termination date for both
the older and middle children; 4) an order for payment of future s. 7 expenses
for both the middle and youngest child; and Table amount child support
commencing September 1, 2020 for the middle and youngest child.
[8]
The motion judge refused to grant any of the relief sought.
[9]
First, the motion judge found that the amounts the appellant claimed
were outstanding were satisfied. The respondent had paid the appellant $18,435
in net proceeds from the sale of the matrimonial home, paid the appellants
share of a joint line of credit in the amount of $2,520.60 and transferred
$22,825.60 to the appellant from his RRSP. She determined that this was more
than sufficient to cover the outstanding amounts, and that the appellant had
previously confirmed with the FRO that all arrears were satisfied.
[10]
The motion judge refused to vary the spousal support. Because the Mossip
Order incorporated minutes of settlement, she held that the appellants
entitlement to spousal support was solely contractual in nature. Neither the
Mossip Order nor the minutes of settlement contained terms that would permit a
variation of support, and there was no finding that the appellant was entitled
to compensatory or needs-based support. The motion judge further determined
that the respondents increase in income was not a material change in
circumstances because, on the appellants own affidavit evidence, it was in
line with their expectations when the respondent began his MSW. Additionally,
the increase in income was attributable to an intervening cause: the
reorganization of his employment arrangements, his new marriage, and his lifestyle
changes, including his move to Qatar. The appellant was therefore not entitled
to share in the post-separation increase.
[11]
The motion judge also refused to vary the termination date of child
support for the oldest child or the middle child. Child support for both
children was terminated on consent, and there was no evidence that either child
remained a child of the marriage beyond the termination dates. Moreover, the
motion judge determined that the respondent overpaid child support because the
FRO could not confirm with the appellant whether an adjustment of child support
was needed. Because the appellant failed to communicate promptly with the FRO,
the respondent had continued to pay child support for three children until
March 2018. The appellant also continued to collect child support while the
middle child was no longer living with her.
[12]
With respect to the request that the respondent pay s. 7 expenses as of
September 1, 2020, the motion judge noted that the Mossip Order also provides
for these expenses to be shared between the parties, but that the appellant
must provide an accounting of these expenses and has never done so. There was
no reason to change the Mossip Order in this regard.
[13]
Lastly, the motion judge declined to order Table amount child support
for the middle child or the youngest child. The motion judge reviewed the
jurisprudence on determining child support for a child of majority age who is
attending post-secondary school. Due to a lack of evidence regarding the
childrens financial circumstances and the appellants means and needs, the
motion judge declined to order Table amount child support. The motion judge
again noted that the Mossip Order already provides for sharing of s. 7
expenses.
Issues
[14]
The appellant argues that the motion judge erred in several respects, both
in determining the child support issues and the spousal support issues.
[15]
The issues with respect to child support are the following:
1.
Did the motion judge err in finding that the respondent overpaid child
support?
2.
Did the motion judge err by failing to consider whether child support
arrears were owing for Corinne between August 2018 and February 2020?
3.
Did the motion judge err by failing to apply the Child Support
Guidelines for Garett and Corinne?
[16]
The spousal support issues are the following:
1.
Did the motion judge err by finding the respondents post-separation
increase was not causally connected to the appellants contributions to the
marriage?
2.
Did the motion
judge err by finding that the appellants spousal support entitlement was contractual,
and no further inquiry was required?
Standard of Review
[17]
At the outset, it is important to note that the decision of a motion
judge is owed a very high degree of deference. I am guided by the instructions
of the Supreme Court in
Hickey v. Hickey
, [1999] 2 S.C.R. 518, at
paras. 11-12:
Our Court has often emphasized the rule that appeal courts
should not overturn support orders unless the reasons disclose an error in
principle, a significant misapprehension of the evidence, or unless the award
is clearly wrong.
There are strong reasons for the significant deference that
must be given to trial judges in relation to support orders. This standard of
appellate review recognizes that the discretion involved in making a support
order is best exercised by the judge who has heard the parties directly. It
avoids giving parties an incentive to appeal judgments and incur added expenses
in the hope that the appeal court will have a different appreciation of the
relevant factors and evidence. This approach promotes finality in family law
litigation and recognizes the importance of the appreciation of the facts by
the trial judge.
Though an appeal court must intervene
when there is a material error, a serious misapprehension of the evidence, or
an error in law, it is not entitled to overturn a support order simply because
it would have made a different decision or balanced the factors differently
.
[Emphasis added.]
[18]
In this case, however, I am satisfied that the motion judge significantly
misapprehended the evidence of child support overpayments, which in turn
affected her analysis on whether arrears were owing. I am also satisfied that
the motion judge erred in law in her analysis of the appellants spousal
support entitlement and whether there was a material change in circumstances.
Analysis
(1)
Child Support Issues
(a)
Did the Motion Judge Err in Finding the Respondent Overpaid Child
Support?
[19]
The motion judge made findings that there was an overpayment in child
support in the amount of $36,000:
[O]n the evidence before me, I am satisfied that the Applicant
overpaid child support significantly. The Applicant puts the amount of his
overpayment at $36,000. This amount is not disputed by the Respondent. The
overpayment resulted in part from the Respondents delay of more than 20 months
in confirming to FRO that the RRSP transfer had been made.
I also find that the Applicant overpaid child support. In
February, 2018 the Applicant asked FRO to adjust the child support to be for
one child. FRO attempted to confirm with the Respondent that an adjustment of
child support was needed because Tyas had graduated from high school almost two
years earlier and Garrett was no longer living with her. The Respondent failed
to respond promptly to FRO. This resulted in a significant overpayment by the
Applicant of child support. The Respondent continued to collect child support
for three children until March, 2018 well after Tyas had graduated from high
school. She did not pay any child support for Garrett for a year knowing that
she should be because he was not living with her. She continued to collect
child support for Garrett until May 2018, even though he moved to live with the
Applicant in February 2018. There was an overpayment of child support as a
result.
[20]
The appellant mother argues the motion judge erred in finding that the
respondent father overpaid $36,000 in child support. The appellant argues the
motion judge misapprehended the FRO statement of account which showed a $36,000
credit applied on March 19, 2018. The appellant contends that the subsequent
adjustments on March 19 and 20, 2018, resulted in no overpayment of support.
The amounts credited to the respondent by the FRO were for amounts owing to the
appellant in accordance with the Mossip Order. The appellant further argues
that the respondent admitted that any perceived overpayment was dealt with
through FRO.
[21]
The respondent disputes that the motion judge erred and states that the he
did in fact overpay.
[22]
I agree with the appellant that the motion judge misapprehended the
evidence in finding an overpayment of $36,000. The statement of accounts from
the FRO shows that beginning November 1, 2015, monthly payments were made to
the FRO in the amount of $1,755, which total comprises child support for the
three children, spousal support, and monthly s. 7 expenses as ordered in the
Mossip Order. These payments continue until March 1, 2018. As noted above,
March 2018 was when the parties confirmed with the FRO that support for the
oldest child should have ended in July 2016 when he graduated high school, and
that support for the other two children should have changed in February 2018
when the middle child moved in with the respondent.
[23]
On my calculation based on the statement of accounts, the respondent
paid a total of $36,855 between July 2016 and March 2018, which is equivalent
to $1,755 per month. However, the monthly rate of $1,755 was based on child
support and s. 7 expenses for three children. When child support ended for the
eldest in June 2016, the monthly payments should have changed.
[24]
The credits applied by the FRO reflect that these monthly payments were
incorrect. Between July 2016 and January 2018, the respondent should have only
been paying child support for two children. Between February 2018, when Garett
moved in with the respondent father, and May 2018, when support for Garett
ended, the respondent father should have been paying child support for only the
youngest child. The monthly payments for these obligations would almost
certainly have been less than $1,755 per month. Therefore, it is true that there
was an overpayment; however, the motion judge misperceived its quantum.
[25]
The $36,855 the respondent paid between July 2016 and March 2018 was not
over and above what he was required to pay; only a portion of the $36,855 was
an overpayment, because the respondent was still obligated to pay child support
for his two other children and pay spousal support. Based on a review of the
statement of accounts, from July 2016 to January 2018, the period of time when
support was owing for the appellant and for two children, the respondent should
have paid $1,396 per month. From February 2018 to May 2018, when support was
owing for the appellant and only one child (because the middle child began
residing with the respondent in February 2018 and then his child support
entitlement terminated in May 2018), the respondent should have paid $896 per
month. In total, this amounts to $29,595 the appellant should have actually
paid, leaving an overpayment of $7,260.
[26]
The last adjustment made by the FRO is in May 2018, when support for the
middle child would have ended. From then on, the statement of accounts shows
regular debits for $896, presumably the support cost for one child and for
spousal support. The monthly payments are taken from the $7,260 credit
remaining on the account; this credit runs out by the end of January 2019.
Therefore, beginning in February 2019, the respondent should have resumed
making payments for child support for the youngest child and for spousal
support. He did not: the parties agree that payments did not resume until
February 2020.
[27]
This misapprehension of the statement of accounts affected the motion
judges analysis on whether child support arrears were owing, which I address
next.
(b)
Did the motion judge err by failing to consider whether child
support arrears were owing for the youngest?
[28]
The motion judge did not address the issue of child support for the
period between March 2018 and February 2020.
[29]
The appellant argues that the youngest child was entitled to child
support between March 2018 and January 2020, but that the respondent did not
make any such payments. The respondent takes a somewhat internally inconsistent
position: he acknowledges that the overpayment credit was exhausted by 2019 but
also argues that the $36,000 overpayment covered March 2018 to February 2020,
and therefore it was not the case that the respondent did not make payments
during this period.
[30]
The last payment made by the respondent was in March 2018. Between April
2018 and January 2020, the youngest child was still a minor residing at home with
the appellant and attending high school. There is no evidence that any payments
were received for this time period, aside from the credits applied from the
overpayment which were exhausted by the end of January 2019, as described above.
[31]
The parties agree that the respondent recommenced making payments in the
amount of $2,200 in February 2020. This amount roughly corresponds to monthly
Table support for one child and the $150 per month required by the Mossip
Order. This leaves a period of 12 months during which the respondent did not
pay spousal or child support for the youngest child, then in high school and
living with the appellant.
[32]
I would fix the arrears of child and spousal support owed for this
period at $26,400.
(c)
Did the motion judge err by incorrectly applying the
Child
Support Guidelines
to the youngest and to the middle child?
[33]
On the motion, the appellant sought $4,000 per month in Table support,
since both the middle and youngest children would be residing with her while
they attended full-time post-secondary studies beginning in September 2020. The
respondent argued that while the children should be supported, the evidence
demonstrated that their expenses would be covered by grants and scholarships
available to them.
[34]
The motion judge declined to order Table support, citing a lack of
evidence regarding the childrens and appellants financial means and needs.
She also stated it would be preferable to employ an approach [presumably under
either s. 3(2)(b) or s. 7] that takes into account the childrens expenses
and incomes, as well as the means of each parent and puts into place an
appropriate budget to be shared by the parties. The motion judge further noted
that the Mossip Order provides for the sharing of s. 7 expenses, and that the
appellant is required to provide an accounting to the respondent under the Mossip
Order.
[35]
In my view, the motion judge did not err in not ordering ongoing child
support. The onus is on the party seeking support to demonstrate that the adult
child requires educational support: see
Rebenchuk v. Rebenchuk
, 2007
MBCA 22, at para. 63. This consideration arises even before the judge must
determine whether the presumptive amount or an amount determining by a
different approach applies. The insufficient evidence provided by the appellant
failed to discharge that onus.
[36]
The motion judge concluded that there was inadequate evidence to order
support beyond the sharing of the s. 7 expenses. I agree with the motion judge
that the Mossip Order already accounts for the childrens post-secondary
expenses to be shared by the parties.
[37]
In all the circumstances, I find that the motion judge did not err here.
[38]
However, a child of the marriage should not be prejudiced by the self-represented
appellants inability to master the intricacies of litigation. If the youngest
child, in particular, continues to reside with the appellant, the appellant
likely incurs costs for her shelter and food. The appellant would be at liberty
to apply for support in addition to the s. 7 expenses, upon presentation of
adequate evidence, described by the motion judge for the period accruing after
the October 9, 2020 order, if so advised.
(2)
Spousal Support Issues
(a)
Did the Motion Judge err by Finding the Post-Separation Increase
was not Causally Connected to the Appellant?
[39]
The motion judge determined that the respondents increase in income was
attributable to intervening causes:
The increase in the Applicants income is attributable to an
intervening cause, unrelated to the parties marriage or the roles they adopted
during the marriage. The Applicants increase in income is as a result of the
reorganization of his employment arrangements, with new responsibilities, a new
marriage, and as a result of significant lifestyle changes he has made since
the separation including moving to Qatar. The passage of time aloneeight
yearsindicates that the Respondents contributions during the marriage are not
causally related to the Applicants post-separation income increases. [Citation
omitted.]
[40]
These are all factual findings which the motion judge was entitled to
make. In my view, there is no indication that the motion judge misapplied the law
or misapprehended evidence, and there is no basis to interfere with the
conclusion reached. This aspect of the decision is owed deference.
(b)
Did the Motion Judge Err in Finding the Appellants Spousal
Support Entitlement was Contractual and No Further Inquiry was Required?
[41]
There are three bases for entitlement to support, as explained by the
Supreme Court in
Bracklow v. Bracklow
, [1999] 1 S.C.R. 420:
contractual, compensatory, and non-compensatory (also called needs-based).
The contractual entitlement to support reflects the idea that parties
agreements on support should influence their rights and obligations during the
marriage and upon its breakup:
Bracklow
, at para. 18. Under s.
15.2(4) of the
Divorce Act
, R.S.C. 1985, c. 3 (2nd Supp.), a
court must have regard to any order, agreement or arrangement relating to
support of either spouse.
[42]
The compensatory basis for entitlement applies where it would be just
to compensate a spouse for his or her contributions to the marriage or for
sacrifices made or hardships suffered as a result of the marriage:
Bracklow
,
at para. 18. The court in
Bracklow
, at para. 39, further notes:
Under the
Divorce Act
, compensation arguments can be
grounded in the need to consider the condition of the spouse; the means,
needs and other circumstances of the spouse, which may encompass lack of
ability to support oneself due to foregoing career opportunities during the
marriage; and the functions performed by each spouse during cohabitation,
which may support the same argument.
[43]
Lastly, the court in
Bracklow
, at paras. 40-41, describes the
non-compensatory basis for entitlement. This requires:
[T]he court consider the condition, means, needs and other
circumstances of each spouse. To be sure, these factors may support arguments
based on compensation for what happened during the marriage and its breakdown.
But they invite an inquiry that goes beyond compensation to the actual
situation of the parties at the time of the application
Looking only at compensation, one merely asks what loss the
marriage or marriage breakup caused that would not have been suffered but for
the marriage. But even where loss in this sense cannot be established, the
breakup may cause economic hardship in a larger, non-compensatory sense
[44]
These bases for spousal support are complemented by the objectives of variation
orders for spousal support set out in s. 17(7) of the
Divorce Act
:
17 (7) A variation order varying a spousal support order should
(a) recognize any economic advantages or disadvantages to
the former spouses arising from the marriage or its breakdown;
(b) apportion between the former spouses any financial
consequences arising from the care of any child of the marriage over and above
any obligation for the support of any child of the marriage;
(c) relieve any economic hardship of the former spouses
arising from the breakdown of the marriage; and
(d) in so far as practicable, promote the economic
self-sufficiency of each former spouse within a reasonable period of time.
[45]
It is with these policy objectives in mind that the appellants motion
for a variation in spousal support must be assessed.
[46]
The motion judge made the following finding as to the nature of the
appellants entitlement to spousal support:
I am satisfied that the Respondents [mother] entitlement to
support is contractual in nature. The Minutes of Settlement and the Final Order
do not contain any terms permitting the Respondent to seek increased spousal
support in the future. There was no finding as to her entitlement to
compensatory or needs based support. While she may have had a claim in this
regard at the time, it is not the basis upon which the Final Order was made.
[47]
The appellant argues that an entitlement to spousal support is not
contractual simply because an order for support incorporates minutes of
settlement, and that such an order does not erase any underlying bases for
entitlement to support. The motion judge erred by failing to determine whether
the support order should be varied on another basis.
[48]
The respondent submits that the minutes of settlement create an
entitlement to support that is only contractual, and the support available to
the appellant was therefore circumscribed by the terms set out in the Mossip
Order. Additionally, unlike a judge on an initial application for spousal
support, the motion judge did not have the discretion to change the terms of
the spousal support, because once an initial court approves a support order,
there is a presumption that the terms of the order comply with the
Divorce
Act
.
[49]
The motion judge also concluded that the respondents increase in income
did not constitute a material change in circumstances:
Furthermore, the Respondents [appellant on appeal] own
evidence in her sworn affidavit dated March 2, 2020 contradicts her submissions
that the Applicants increase should be regarded as a material change in
circumstances. In her affidavit, the Respondent states that the Applicants new
position is exactly in line with what they had discussed when he undertook a
masters degree program in social work. It cannot therefore be said that the
change was not contemplated by the parties at the time they entered into the
Minutes of Settlement that led to the Final Order.
[50]
In my view, it was an error for the motion judge to hold that the
appellants spousal support could not be varied because the Mossip Order did
not contain a term permitting variation. While s. 15.2(4)(c) of the
Divorce
Act
provides that the court shall consider any order, agreement or
arrangement relating to the support of either spouse, this does not end the
inquiry required. The appellants motion would have been an application under
s. 17 of the
Divorce Act
to vary her spousal support. The Supreme
Court in
L.M.P. v. L.S.
, 2011 SCC 64, [2011] 3 S.C.R. 775 stated, at
para. 41, even where an agreement incorporated into an order includes a term
providing that it is final, the courts jurisdiction under s. 17 cannot be
ousted.
[51]
While the motion judge was entitled to make a factual finding that the
evidence regarding the respondents income increase did not support a finding
that there was a material change in circumstances, her analysis fails to ask
whether the appellant faced a material change in circumstances. The court in
L.M.P
.,
at para. 29, is clear that the question of a material change applies to both
parties:
In determining whether the conditions for variation exist, the
threshold that must be met before a court may vary a prior spousal support
order is articulated in s. 17(4.1). A court must consider whether there has
been a change in the conditions, means, needs or other circumstances of
either
former spouse
since the making of the spousal
support order
. [Italics in original; underlining added.]
[52]
Therefore, despite the existence of an order incorporating an agreement,
a judge retains jurisdiction to consider whether a variation in support should
be granted based on whether there has been a material change in the circumstances
of either former spouse, and having regard to any existing agreement.
[53]
The
Spousal Support Advisory Guidelines provide for
differing amounts of spousal support, depending on whether child support is or
is not payable. The motion judge declined to order ongoing Table amount child
support for the middle and youngest children. The reduction or termination of
child support constitutes a change in circumstances for the purposes of seeking
a variation in spousal support:
Divorce Act
,
s. 15.3(3). Therefore, after child support obligations are reduced or cease, a spousal
support award may increase: see as examples
Gray v. Gray
, 2014 ONCA 659, 122 O.R. (3d) 337, at para. 43;
Slongo
v. Slongo
, 2017 ONCA 272, 137 O.R. (3d) 654 at para. 114;
and
Wharry v. Wharry
, 2016 ONCA 930,
408 D.L.R. (4th) 548, at paras. 90-92.
[54]
Although the trial judge found that the changes in the
respondents circumstances were sufficiently disconnected from the marriage so
as to not qualify as a material change in his circumstances, the respondents
means may still be relevant to the determination of the extent to which he is
now able to temper any continuing economic disadvantage resulting from the
marriage still suffered by the appellant.
[55]
It was an error for the motion judge not to undertake this analysis,
especially in light of her recognition that the appellant may have had
compensatory or needs-based entitlements when the Mossip Order was made. This
is an error that warrants correction.
[56]
When spousal support was set at $150 per month, the respondent was
paying the Table amount of support for three children, plus s. 7 expenses. That
he is no longer paying Table support for three children constitutes a change in
circumstances for the purpose of seeking a variation order under s. 15.3(3) of
the
Divorce Act
, and therefore satisfies the threshold for variation.
The question then becomes, what is the appropriate variation? The court in
L.M.P
.
provides guidance on the analysis required, at paras. 47 and 50:
If the s. 17 threshold for variation of a spousal support order
has been met, a court must determine what variation to the order needs to be
made in light of the change in circumstances. The court then takes into account
the material change, and should limit itself to making only the variation justified
by that change. As Justice LHeureux-Dubé, concurring in
Willick
,
observed: A variation under the Act is neither an appeal of the original order
nor a
de novo
hearing (p. 739). As earlier stated, as Bastarache and
Arbour JJ. said in
Miglin
, judges making variation orders under s. 17
limit themselves to making the appropriate variation, but do not weigh all the
factors to make a fresh order unrelated to the existing one, unless the
circumstances require the rescission, rather than a mere variation of the
order.
In short, once a material change in circumstances has been
established, the variation order should properly reflec[t] the objectives set
out in s. 17(7), . . . [take] account of the material changes in circumstances,
[and] conside[r] the existence of the separation agreement and its terms as a
relevant factor (Hickey, at para. 27). A court should limit itself to making
the variation which is appropriate in light of the change. The task should not
be approached as if it were an initial application for support under s. 15.2 of
the
Divorce Act
.
[57]
The court must first consider the impact of the respondents
post-separation increase in income, which is a complicating factor: see
Gray
,
at para. 45. As explained above, the motion judges finding that the appellant
is not entitled to share in the respondents post-separation increase in income
is owed deference. Therefore, the assessment of the appropriate variation should
proceed using the respondents income at the time of the Mossip Order, which was
$78,528.
[58]
The appropriate variation is one that will remedy the economic
disadvantage suffered by the appellant from the roles the parties adopted
during the marriage. On review of the record, I am satisfied that while both
parents contributed to household and childcare responsibilities, the majority
of these responsibilities fell to the appellant and had an impact on her
ability to pursue her business and career. The respondent completed his MSW
over three years, during which time he worked two jobs. This would have
required the appellant to take on increased childcare responsibilities. The
respondents MSW was funded by himself, through his RRSPs and student loans. Though
she continued to work in pottery in some capacity, the appellant was not able
to advance her career, unlike the respondent. After the separation, the
children also resided primarily with the appellant, which continued her
disadvantage.
[59]
The Guidelines, while not binding, are recognized for their utility in determining
the quantum and measure of spousal support. On my calculation, at the time of
the Mossip Order, the range for spousal support under the Guidelines, without
child support would have been between $1,356 and $1,808 per month. Pursuant to
the Mossip Order, the appellant received $150 per month. I find that an
appropriate amount of varied spousal support is in the mid-range, at $1,500.
[60]
As to duration, the Mossip Order did not time-limit the spousal support
that would be paid to the appellant. However, I find it appropriate to limit
the varied spousal support payments to 108 months, which is at the low end for
what the appellant would have received under the without-child formula at the
time of the Mossip Order. The record demonstrates that the appellant has been
able to attain higher income levels since the time of the Mossip Order, and she
has managed to save money. The appellant is also currently pursuing her Bachelor
of Arts. Given the appellants means and optimistic future, indefinite spousal
support would not be appropriate.
[61]
I am satisfied that this variation is appropriate: it reflects the
economic disadvantages the appellant suffered as the primary, though not sole,
caregiver for the family. In my view, it will also promote the appellants
self-sufficiency by providing her the financial security she needs to complete
her education and make herself competitive in the job market.
Disposition
[62]
In conclusion, the appeal is allowed in part.
[63]
I find that the motion judge misapprehended the evidence regarding an
overpayment of child support, and this affected her analysis of whether there was
support owing for the youngest child between February 2019 and January 2020. With
respect to the childrens post-secondary education expenses, I do not find that
the motion judge made a palpable and overriding error that warrants appellate
interference.
[64]
With respect to the motion judges findings on the respondents
post-separation increase in income, I do not find that the reasons disclose any
reversible error; as such, deference is owed to the motion judges findings on
this ground. However, in my view, the motion judge erred by failing to assess
whether the spousal support order could be varied simply because the order
incorporated minutes of settlement. I would therefore vary spousal support to $1,500
per month for 108 months, retroactive to July 1, 2020.
[65]
Each of the parties may make brief written submissions as to the costs
of the motion to vary, and the costs of the appeal, due from the appellant
within 15 days after the date of the release of these reasons, and due
from the respondent within 7 days after he receives the appellants costs
submissions.
Released: February 25, 2022 M.T.
M. Tulloch J.A.
I agree. G. Pardu
J.A.
I agree. L.B. Roberts
J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Inniss v. Blackett, 2022 ONCA 166
DATE: 20220224
DOCKET: C68681
Strathy C.J.O., Roberts and
Sossin JJ.A.
BETWEEN
Paul Inniss
Plaintiff (Respondent)
and
Celestine Blackett
Defendant (Appellant)
Edward J. Babin and Brendan Monahan,
for the appellant
Yan David Payne and James R. D. Clark,
for the respondent
Heard: February 18, 2022 by
video conference
On appeal from the judgment of Justice Mario D. Faieta of the
Superior Court of Justice, dated July 6, 2020.
REASONS FOR DECISION
OVERVIEW
[1]
This appeal arises from a dispute over the
ownership of a property as between the respondent, Paul Inniss, and his grandmother,
the appellant, Celestine Blackett.
[2]
In 2002, following the purchase of the house at 470
Donlands Ave. in Toronto (the house), both parties were listed on title as
joint tenants. The parties lived in the house between 2002 and 2008. In 2008, the
relationship between the parties deteriorated, and the respondent moved out of
the house.
[3]
On March 1, 2016, the respondent brought this
action for partition and sale. The appellant defended against the action and
counterclaimed on the basis that the home was always hers alone.
[4]
The trial judge accepted the respondents
evidence over the appellants evidence with respect to the shared nature of
contributions to the purchase, mortgage and maintenance of the house during the
period the parties lived there together.
[5]
The trial judge also accepted that the
respondents attempt to sell his interest in the property was reasonable and
rejected the appellants evidence that a sale of the property would result in
hardship.
[6]
The trial judge found that the appellants contribution
was greater than that of the respondent (with the appellant holding an 89.93%
interest in the house and the respondent holding the remaining 10.17%). The
trial judge provided the appellant with an opportunity to buy out the
respondent or else the property could be sold pursuant to s. 2 of the
Partition
Act,
R.S.O. 1990, c. P.4.
[7]
On October 6, 2020, the appellant filed her
notice of appeal.
[8]
We dismissed the appeal at the hearing with
reasons to follow. These are those reasons.
ANALYSIS
[9]
The appellant raises four grounds of appeal:
1)
The trial judge failed to find that the respondents
interest in the house is subject to a resulting trust (or, alternatively, a constructive
trust) in favour of the appellant;
2)
The trial judge erred by finding that the
respondent contributed $51,200 towards the carrying costs of the house and that
such contributions entitled him to a beneficial ownership interest in the house;
3)
The trial judge erred by finding that the house
should be sold pursuant to s. 2 of the
Partition Act
; and
4)
The trial judge erred in awarding trial costs to
the respondent.
[10]
We address each ground of appeal below.
[11]
Before turning to the grounds of appeal,
however, it is important to emphasize the standard of review. This case
involves findings of fact and findings of mixed fact and law. These findings
are entitled to deference, absent a palpable and overriding error:
Housen
v. Nikolaisen
, 2002 SCC 33, [2002] 2 S.C.R. 235, at para. 10.
The trial judge did not err in rejecting that the
respondents interest in the house is subject to a resulting or constructive
trust
[12]
Applying the principles set out by the Supreme
Court in
Pecore v. Pecore
, 2017 SCC 17, the trial judge rejected the
argument that a presumption of a resulting trust applied in these circumstances,
as he found that the respondent gave value for the property. The trial judge
found that the respondent paid $3,275.13 toward the closing costs of the house.
The respondent also contributed to the purchase by becoming liable on the
mortgage.
[13]
The appellant argues that the payments toward
the closing costs and becoming a co-signatory to the mortgage were insufficient
to meet the threshold of adding value to the property for purposes of the
resulting trust analysis, citing
Karen Patterson et al. v. Nadeen Patterson
and The Estate of Barbara Patrick
, 2018 ONSC 6884, at para. 49. We do not
accept this submission. Taken together in the context of the house purchase,
both the respondents contribution to the closing costs and assumption of risk
in co-signing the mortgage made the house purchase possible. As the trial judge
concluded, the parties each played a necessary role in making their shared goal
of home ownership possible: at para. 64.
[14]
The appellant also argues no financial
contributions to the closing costs by the respondent were documented and that
corroborating evidence is required to rebut a presumption of a resulting trust.
[15]
The trial judge preferred the evidence of the
respondent to the evidence of the appellant. The trial judges factual findings
include findings of credibility. The trial judge stated, at para. 65, The Defendants
evidence was wildly inconsistent, self-serving and simply not credible.
[16]
The finding that the presumption of a resulting
trust did not apply was available to the trial judge on the record. The trial
judge considered the respondents testimony in the context of his bank
statements and other evidence.
[17]
The trial judge similarly rejected the argument
that a constructive trust had been established. He found no basis for the
appellants unjust enrichment claim.
[18]
We see no error in these findings by the trial
judge.
The trial judge did not err by finding that the respondents
contributions toward the carrying costs of the house entitled him to an
ownership interest
[19]
The trial judge made a finding of fact that the
respondent contributed $800 per month toward the mortgage payments and
maintenance of the house during a 64-month period, for a total of $51,200. As a
result, the trial judge calculated that the respondent was entitled to a 10.17%
interest in the house.
[20]
The trial judge conceded that there was a dearth
of evidence to support these payments by the respondent but concluded that it
would not have been possible for the appellant to carry the house over this
period without the respondents assistance.
[21]
The appellant argues there was indeed an
alternative explanation for how the appellant could meet her financial
obligations.
[22]
Again, the trial judges finding was open to him
on the record and is entitled to deference. There is no basis to interfere with
this finding.
The trial judge did not err in ordering that the house
should be sold by virtue of the
Partition Act
[23]
Joint tenants have a
prima facie
right
to force a sale of a property under s. 2 of the
Partition Act
:
Davis
v. Davis
, [1954] O.R. 23 (C.A.), at p. 29. The onus is on the party
resisting the sale of the property to demonstrate that the property should not
be sold. To exercise its discretion not to approve a sale, a court must be
satisfied that the party seeking the sale is acting in a malicious, vexatious
or oppressive fashion:
Brienza v. Brienza
, 2014 ONSC 6942, at para. 25.
[24]
The trial judge concluded that the respondents desire
to sell his interest in the house was reasonable and was not malicious,
vexatious or oppressive. The trial judge also rejected the appellants argument
that her age and illness justified refusing the partition and sale.
[25]
The trial judge did not err in ordering the sale
of the house if the appellant is unable or unwilling to purchase the
respondents interest.
The trial judge did not err in awarding costs to the
respondent
[26]
The trial judge found the respondent to be the
successful party at trial and we would not interfere with this determination.
[27]
The plaintiffs actual costs were close to
$70,000, and, inclusive of taxes and disbursements, his costs were nearly
$85,000.
[28]
In the context of this four-day trial, the trial
judge found a costs award against the appellant of $35,000 to be reasonable,
proportionate and fair.
[29]
This issue was not pursued in oral argument by
the appellant, but, in any event, we see no basis to interfere with the trial
judges exercise of discretion with respect to costs.
DISPOSITION
[30]
For these reasons, the appeal was dismissed.
[31]
The respondent is entitled to his costs, which
are set at $9,500, all-inclusive.
G.R.
Strathy C.J.O.
L.B.
Roberts J.A.
L.
Sossin J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Issa, 2022 ONCA 167
DATE: 20220225
DOCKET: C65394
van Rensburg, Nordheimer and George JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Joseph Issa
Appellant
David M. Humphrey and Jared L. Greenspan, for the
appellant
Samuel G. Walker, for the respondent
Heard: January 31, 2022 by video conference
On appeal from the conviction entered on February 9, 2018,
and the sentence imposed on April 20, 2018, by Justice James W. Sloan of the Superior
Court of Justice, sitting without a jury.
George J.A.:
OVERVIEW
[1]
The appellant was convicted of one count of assault in relation to his
wife, A.B. This one count encompassed four separate incidents of assaultive
conduct. He was found not guilty on several other counts including allegations
that he threatened A.B., assaulted their daughter, possessed a prohibited
weapon, and possessed a firearm while prohibited from doing so. The appellant
was sentenced to eight months in jail, reduced by the time spent in pre-trial
custody, followed by a period of probation. Three ancillary orders were made
(i.e., DNA, further weapons prohibition, and forfeiture of property).
[2]
The appellant appealed against both conviction and sentence, but he did
not pursue his sentence appeal. On the conviction appeal, he advances these two
grounds:
i.)
The verdict is unreasonable; and
ii.)
The trial judge provided insufficient reasons.
[3]
In brief, the appellants argument is that the trial judge arrived at an
illogical result by making and relying upon incompatible findings. In other
words, having concluded that the complainant was not credible in relation to
her allegation that the appellant possessed firearms, it then made no sense to
rely upon her evidence to ground a conviction for assault. The appellant
submits that the trial judges reasons on the assault charge were insufficient
because they do not explain how he resolved his concerns about the complainants
testimony.
[4]
These reasons explain why I would reject that argument and dismiss the
appeal.
facts
Evidence of A.B.
[5]
The appellant and A.B. met shortly after A.B.s arrival in Canada in
2010 on a student visa. They promptly moved in with each other; had a daughter;
and remained together until separating in 2016. A.B. testified that during
their relationship the appellant assaulted her four times and that, on one
occasion, he assaulted their child. She further alleged that he routinely
threatened to kill her. Before this complaint, she had not reported his
assaultive behaviour to police.
[6]
A.B. testified that on January 8, 2016, while cleaning the main floor
washroom of their residence, she located under the sink a duffle bag with three
firearms, some ammunition, and foreign currency. She acknowledged knowing the
appellant had guns, and that guns had been in the home before, but had not previously
brought it to the attention of the authorities. On her account, this time was
different because she found them in a location that was easily accessible to
their young child.
[7]
On the same day she found these items, she spoke on the phone with the
clerk of a family lawyer. She was interested in exploring her options and,
possibly, pursuing a divorce. She met with the lawyer on January 11, 2016. On
January 13, 2016, she attended at the police station to file her
complaint. While there, she was joined by the lawyer who had her review and
swear an affidavit in support of her claims for divorce, custody, support, and
exclusive possession of the matrimonial home.
[8]
At trial, several date-stamped photographs were tendered which showed
injuries to A.B. that she said were inflicted by the appellant, as well as photographs
depicting damage to a lamp, TV, and drywall. One screenshot of a text message
was filed, which the complainant testified was sent by the appellant in which
he apologized for threatening her with deportation and taking their child.
However, this message was not a threat itself. Apart from the screenshot of the
text apology, there was no independent evidence confirming A.B.s allegation
that the appellant threatened her. There was no independent evidence confirming
her allegation that the appellant assaulted the child. Her evidence was that
while the appellant had left a red mark on the childs face, she did not think
to take a photograph as she was more concerned with comforting her.
[9]
Cross-examination focused on whether she was aware of allegations
levelled against the appellant by his ex-wife, and of the nature of the
financial settlement his ex-wife had received upon the breakdown of their
relationship. It was suggested that A.B. was following that template to secure
something similar for herself. She acknowledged being aware of the settlement,
the appellants assaultive behaviour towards his ex-wife and their child, and
of his prior convictions for assault and possessing a firearm. She denied any
suggestion that this informed her decision to come forward. She denied planting
the firearms.
Police Evidence
[10]
On the strength of a warrant, two police officers searched the
appellants home where they located, in the place A.B. said they would find
them, a black duffle bag which contained a dark silver handgun with a black
handle and unloaded magazine (located inside of a sock); rounds of ammunition (located
inside of another sock); a red cardboard box containing a loaded handgun; and
yet another handgun wrapped inside a white shirt (loaded with a fifteen round
magazine). The bag also contained $2,344 USD and 50 Israeli new shekels. No DNA
profile or fingerprints were developed on any of the seized items.
Evidence of Ed Said
[11]
Ed Said was a business tenant at a property owned by the appellant. He
testified that the appellant had once told him that he would love to put
a fucking
bullet in [A.B.s] head, and that he had a few guns in his home. He
testified to seeing a gun taped under a toilet tank in one of the appellants
bathrooms. He testified that, after the appellant was charged and taken into
custody, the appellant called him from jail about a hundred times to see if
he would convince A.B. to drop the charges.
[12]
Mr. Said testified about his deteriorating relationship with the
appellant which, according to him, had to do with the state of his rental unit.
Apparently, there were issues over a proposed rate hike and questions over who
would bear the cost of renovations. He did not provide a statement to the
police at the time of the events, nor even after the appellant was charged. In
fact, he did not reach out to provide this information until well after the
preliminary inquiry and after he had demanded from the appellant $47,000 as
reimbursement for upgrades to the unit he had already undertaken.
POSITIONS AT TRIAL
Defence
[13]
The appellants position at trial was that A.B. had fabricated her
allegations and planted the guns to match what his ex-wife said about him as
their relationship came to an end, to secure a similar divorce settlement. He
argued that she was not credible and should not be believed. Although he did
not challenge the authenticity or approximate dates of the photographs, in his
view, the photographs were not corroborative as they were not truly independent
pieces of evidence, but rather were entirely reliant on [A.B.s] evidence that
the marks in those photographs [were] the result of assaults as opposed to
innocent falls or bumps.
Crown
[14]
The Crown argued that A.B. was both credible and reliable and ought to
be believed. It argued that the photographs corroborated A.B.s assault
allegations, as did the location of the guns and money on the firearm related
counts. It argued that, were A.B. intent on framing the appellant by planting a
firearm, it would have made no sense to plant three of them when one would have
done the job.
decision below
[15]
The trial judge made these findings:
i.)
Both the complainant and Mr. Said had a motive to testify as they did.
For her part, A.B. wanted to bolster her family law claims; Mr. Said to exact
revenge for what he perceived to be the appellants unfair business practices.
ii.)
Given his concerns with A.B.s testimony on the firearm counts, and
significant concerns with Mr. Saids testimony, he was unable to conclude
beyond a reasonable doubt that the appellant was guilty of the firearm
offences. He did not find as a fact that she had planted them. In his reasons
for judgment, he said this:
Objectively, both the complainant and Ed had a motive to
testify as they did: the complainant to further her Family Law claim, and for
Ed to seek revenge for what he perceived were unfair business dealings at the
hand of his former friend and landlord.
The Crown has raised interesting questions in her submissions,
asking:
(a)
How
would the complainant know where to purchase a gun?
(b)
Why
would the complainant plant three guns, when one would have been sufficient? and,
(c)
Why
would the complainant plant over $2,000.00 in American and Israeli funds in a
duffle bag, along with the guns?
Unfortunately, from an evidentiary point of view, no DNA was
found on the handguns, the magazines, or the ammunition. The Identification
Officer testified that because of the level of the alleged offence the Court
assumes he meant possession as opposed to something more sinister he was
restricted to swabbing the objects and sending the swabs to the Centre of
Forensic Sciences for testimony. His testimony was that when more serious
crimes are alleged, the actual objects are sent to the Centre of Forensic
Sciences, and that they have the ability, when the[y] have the actual object,
to test for incredibly minute quantities of DNA.
Although submissions posed by the Crown with respect to the
three-guns-versus-one and the cash caused the Court some concern, overall, for
the reasons given above, I am unable to conclude beyond a reasonable doubt,
that the accused is guilty of counts 4, 5, 6, 7, 8 or 9, and, therefore, a
finding of not guilty shall be entered with respect to those counts.
iii.)
Although
A.B.s testimony on the firearm charges could not be relied upon, in respect of
the assault charge, the date-stamped photographs she took supported her
evidence that the appellant assaulted her, and on the dates and in the manner
she described. In his reasons for judgment, the trial judge said this:
Exhibit 2 shows numerous marks on the complainants body, and
at the same time and date, pictures were taken of a broken TV, holes in the
drywall and a broken lamp. The Court can come to no other conclusion, based on
the evidence before it, that the complainant was assaulted just before the
pictures were taken and that the accused, in what appears to have been an
uncontrollable rage, threw a bedroom lamp at the wall, smashing the lamp and
causing moderate damage to the drywall, after which he smashed a TV.
Although based on the evidence before the Court, it does not
appear that the accused threw the lamp in an attempt to hit the complainant, it
would have hit the wall within a few feet of her, certainly terrifying her.
Based on the evidence of the complainant, corroborated by the
photographic evidence in Exhibits 2, 3, 4 and 5, the Court is satisfied beyond
a reasonable doubt that the accused assaulted the complainant on the dates in
question and conviction shall be registered with respect to count 1.
iv.)
As
there was no similar date-stamped photographic corroborative evidence in
respect of A.B.s allegation that the appellant threatened her and struck the
child, he found the appellant not guilty on those counts.
issues
[16]
On this appeal, two issues arise:
i.)
Did the trial judge arrive at an unreasonable verdict?
ii.)
Were his reasons sufficient?
analysis
Introduction
[17]
The presenting issues are related and can, therefore, be addressed
together.
[18]
Let me start by saying that the trial result is somewhat odd as, at
least on a first read, it would seem that the trial judges comments about A.B.s
motive to lie, and the issues he identified with her evidence on the firearm
counts and how that gave rise to a reasonable doubt might well have applied
equally to his analysis of the assault. Which is to say, the appellants
position is at least arguable.
[19]
However, though arguable, I do not agree. While I understand the
appellants submission about demonstrable logical incompatibility and his
position that the trial judges reasons reveal fundamental flaws, these were
distinct counts, with different evidence, and as such it was open to the trial
judge to conclude as he did.
[20]
It remains the fact, however, that the reasons of the trial judge are
unsatisfactory. He fails to articulate why his credibility findings regarding
the guns, which he concluded raised a reasonable doubt, did not lead to a
similar conclusion regarding the assault. While the trial judge may not have
made a positive finding that the complainant planted, or otherwise orchestrated
the presence of, the guns, that conclusion is really the only one that
reasonably arises on the judges findings. Given that reality, the trial judge
ought to have better explained why his conclusion on those counts did not
suggest a similar conclusion on the assault count.
[21]
Nevertheless, it seems evident that the trial judge found that the
photographs confirmed the complainants allegation that she was assaulted, in
large part because they were date-stamped aligning them with her unshaken
trial testimony that she was assaulted. The defence did not object to their
provenance.
[22]
It is, of course, open to a trial judge to believe none, some, or all of
any witness evidence. The appellants argument that the result is logically
incompatible ignores that principle. The trial judge had a reasonable doubt on
one set of charges (i.e., firearms), for reasons he articulated, although not
particularly well. He had concerns with the appellants testimony on these
counts, and he had serious concerns with Mr. Saids testimony. Therefore, he
was unable to conclude beyond a reasonable doubt that the appellant was guilty.
He did not have a reasonable doubt on the assault count because, while he may
have had concerns with A.B.s credibility, he found there to be evidence,
namely the photographs, that confirmed her testimony. Considered in that light,
the apparent inconsistency in the trial judges reasons is explained.
Beaudry / Sinclair
[23]
That being the case, this is not an unreasonable verdict according to the
principles set out in
R. v. Beaudry
, 2007 SCC 5, [2007] 1 S.C.R. 190,
and
R. v. Sinclair
, 2011 SCC 40, [2011] 3 S.C.R. 3; see also
R. v. C.P.,
2021 SCC 19, for more recent guidance. According to that
line of authority, a court can intervene under s. 686(1)(a)(i) of the
Criminal
Code
, R.S.C. 1985, c. C-46, where a verdict is unreasonable because it is
reached illogically or irrationally:
C.P.
, at para. 29,
per
Abella J., citing
Beaudry
, at paras. 96-97,
per
Fish J.
(dissenting in the result). This may occur where the trial judge makes a
finding, or draws an inference, essential to the verdict that is unsupported by
or plainly contradicted by the evidence, or is shown to be demonstrably incompatible
with evidence that has neither been contradicted by other evidence nor rejected
by the trial judge:
C.P.
, at para. 29,
per
Abella J.;
Sinclair
,
at paras. 4, 16, 19-21,
per
Fish J. Under the second type of unreasonable
verdict, an essential inference that appears compatible with the evidence from
which it is drawn implodes on contextual scrutiny:
Sinclair
, at para.
22,
per
Fish J. Both types of unreasonable verdict are exceedingly
rare:
Sinclair
, at para. 22,
per
Fish J. When determining
whether the verdict was reasonable, an appellate court cannot interfere with
the trial judges assessments of credibility unless those assessments cannot be
supported on any reasonable view of the evidence:
C.P.
, at para. 30,
per
Abella J. It is not this courts role on appeal to substitute our preferred
findings and credibility assessments for those made and undertaken by the trial
judge.
[24]
In
Sinclair
, Charron J., in a concurring opinion, writes that:
The
Beaudry
test may apply in exceptional cases where
the reasoning process of the trial judge is so irrational, or so at odds with
the evidence, that it vitiates the verdict even though that verdict is
available on the evidence as a whole. In these rare cases, an appellate court
will be justified in concluding that the verdict itself is unreasonable.
[25]
This is not one of those exceptional cases. While the trial judges
reasoning could have been much better explained, it is not so irrational, or
so at odds with the evidence as to satisfy the
Beaudry
test. When read
in the context of the reasons as a whole, one is able to discern what the trial
judge did and why he did it. He found that the concerns he had with A.B.s
credibility were overcome by the photographs, which then led to different
results across the counts. He was entitled to reach that result.
[26]
While there are issues surrounding the taking of the photographs that
the trial judge perhaps should have addressed, and while his reasons for
finding a reasonable doubt on the firearm counts could have been more fully
explained, to give effect to the appellants argument would be to measure these
reasons against a standard of perfection, which of course we cannot do.
Additional Comments
[27]
I would make these two additional points. First, while an accused person
is never required to testify, and while no negative inference can be drawn from
the decision not to, the fact remains that the appellant did not, so there was no
other evidence advanced for how A.B.s injuries were incurred, other than the
invitation to speculate that they could have been the result of, as trial
counsel put it, innocent falls or bumps. On a fair and complete reading of
the reasons, the trial judge rejected that as a reasonable alternative
explanation.
[28]
Second, this case illustrates the potential risks associated with
conflating independent corroboration with confirmatory evidence, which is yet
another instance where the trial judge might have been a bit clearer. What I
mean is, while he used the term corroborated when describing the photographs,
it would have been better, and far more accurate, to refer to them as
confirmatory or evidence in support. For evidence to be corroborative, it
must be independent. Here, of course, the photographs were not independent in
that A.B. herself took them. However, when placed in their proper context, the
photographs were capable of removing any doubt one might have and of tipping
the balance in favour of conviction. Again, no issues were raised as to their
provenance. This was undisputed evidence of injuries, incurred at or near the
time A.B. said she was assaulted by the appellant, and evidence of property
damage which was consistent with the events she described.
DISPOSITION
[29]
The verdict was not unreasonable, and the reasons are sufficient. I
would, therefore, dismiss the conviction appeal.
[30]
As the appellant did not pursue his sentence appeal, I would treat it as
abandoned.
Released: February 25, 2022 K.M.v.R.
J. George J.A.
I agree. K. van
Rensburg J.A.
I agree. I.V.B.
Nordheimer J.A.
|
WARNING
The President of the panel
hearing this appeal directs that the following should be attached to the file:
An order restricting
publication in this proceeding under ss. 672.501(1), (2), or (3) of the
Criminal Code
shall continue. These
sections of the
Criminal Code
provide:
672.501 (1) Where a
Review Board holds a hearing referred to in section 672.5 in respect of an
accused who has been declared not criminally responsible on account of mental
disorder or unfit to stand trial for an offence referred to in subsection
486.4(1), the Review Board shall make an order directing that any information
that could identify a victim, or a witness who is under the age of eighteen
years, shall not be published in any document or broadcast or transmitted in
any way.
(2) Where a Review Board
holds a hearing referred to in section 672.5 in respect of an accused who has
been declared not criminally responsible on account of mental disorder or unfit
to stand trial for an offence referred to in section 163.1, a Review Board
shall make an order directing that any information that could identify a
witness who is under the age of eighteen years, or any person who is the
subject of a representation, written material or a recording that constitutes
child pornography within the meaning of section 163.1, shall not be published
in any document or broadcast or transmitted in any way.
(3) Where a Review Board
holds a hearing referred to in section 672.5 in respect of an accused who has
been declared not criminally responsible on account of mental disorder or unfit
to stand trial for an offence other than the offences referred to in subsection
(1) or (2), on application of the prosecutor, a victim or a witness, the Review
Board may make an order directing that any information that could identify the
victim or witness shall not be published in any document or broadcast or
transmitted in any way if the Review Board is satisfied that the order is
necessary for the proper administration of justice.
Subsections 672.501(11)
and (12) provide:
(11) Every person who
fails to comply with an order made under any of subsections (1) to (3) is
guilty of an offence punishable on summary conviction.
(12) For greater
certainty, an order referred to in subsection (11) also prohibits, in relation
to proceedings taken against any person who fails to comply with the order, the
publication in any document or the broadcasting or transmission in any way of
information that could identify a victim or witness whose identity is protected
by the order.
COURT OF APPEAL FOR ONTARIO
CITATION: K.S. (Re), 2022 ONCA 170
DATE: 20220301
DOCKET: C69397
Fairburn A.C.J.O., Miller and
George JJ.A.
IN
THE MATTER OF: K.S.
AN APPEAL UNDER PART XX.1 OF THE
CODE
Erin Dann, for the appellant
Mark Luimes, for the respondent Attorney
General for Ontario
Julia Lefebvre, for the respondent, Person
in Charge of North Bay Regional Health Care
Heard: February 18, 2022 by
video conference
On appeal against the disposition of the
Ontario Review Board, dated March 15, 2021, with reasons dated April 13, 2021.
REASONS FOR DECISION
[1]
The appellant was found not criminally
responsible by reason of mental disorder. The index offence involved
threatening his cousin with a knife. When the police located the appellant, he
threatened to cut their throats.
[2]
The appellant has been under the jurisdiction of
the Ontario Review Board (the Board) since November 2011. He is diagnosed
with schizophrenia, alcohol use disorder (in sustained remission), cannabis use
disorder, and avoidant personality traits. At his most recent hearing in March
2021, the Board rejected the appellants position that he is entitled to be
absolutely discharged. Rather, based on all of the evidence and submissions
of the parties, which were detailed in its reasons, the Board concluded that the
appellant continues to represent a significant threat to the safety of the
public.
[3]
Accordingly, the Board continued the conditional
discharge imposed in 2020. At the same time, the Board turned its attention to
what conditions should attach to the disposition to ensure they meet the
statutory criteria of being necessary and appropriate. In doing so, the Board
concluded that two conditions that had been imposed in the previous disposition
could be removed: (a) a condition that the appellant abstain absolutely from the
non-medical use of alcohol or drugs or any other intoxicant; and (b) a
condition that the appellant, on his consent, agree to take
treatment/medication as prescribed by the person in charge.
[4]
The appellant argues that the Boards
disposition is unreasonable because it lacks evidentiary support. The treating
psychiatrist opined that if the appellant were to take substances he would
decompensate, and that the decompensation would lead to a lack of insight and medication
non-compliance, resulting in a significant threat to the safety of the public.
[5]
The appellant argues that this is an unsupported
opinion. While the appellant acknowledges that there is evidence to support the
opinion that he would use substances if absolutely discharged, there is nothing
in the record to support the opinion that he would then decompensate and stop
taking medication. Indeed, the appellant argues that the evidentiary record
points in the opposite direction, including support for the fact that when the appellant
has used drugs in the past, it has not had this profound decompensating effect.
The appellant further emphasizes that the Boards reasons suggest it did not
come to grips with this evidence that is said to undermine the threadbare
opinion as testified to by the treating psychiatrist.
[6]
Despite the very capable argument, we do not
agree that the Board was operating in a factual lacuna or that its reasons
demonstrate a fundamental failure to appreciate the evidence before it. While
the analysis portion of the Boards reasons could have better explained how it
arrived at the conclusion that the appellant remains a significant risk to
public safety, perfection in the Boards reasoning process is not required.
Read contextually, the Boards reasons demonstrate that it appreciated the
evidence before it and arrived at a conclusion open to it.
[7]
The expert Board was entitled to and did accept
the appellants expert treatment teams opinion that he remains a significant
threat to the safety of the public. That opinion was based upon years of
experience with the appellant, as documented in the hospital report. Based upon
all that information, which was before and reviewed by the Board, the treatment
team and treating psychiatrist came to the opinion that, among other things:
-
If the appellant used substances, it would be highly
likely to result in a decompensation of his mental state, precipitating an
increase in the level of risk;
-
That substance use would lead to an acute
deterioration of [the appellants] mental health which would increase his risk
significantly and put him at risk of offending to the same or similar degree as
the index offence given the nature of the symptoms that he presents with when
hes ill; and
-
Cannabis use could lead to a resurgence of acute
symptoms of his mental illness, including auditory hallucinations.
[8]
One of the psychiatrist members of the Board
asked the treating psychiatrist about the level of risk associated with the appellant
engaging in serious criminal conduct should he resume substance abuse. The treating
psychiatrist answered as follows:
On balance, I think the steps would be
use
of substances, decompensation, and then non-adherence with his medication when
hes very ill and loses more insight. And at that point the likelihood of him
re-offending to the same degree would be high when he gets to that point. I
dont think its something that would happen immediately, I think there would
definitely be a period of decompensation first which would obviously be
concerning in itself.
[9]
The psychiatrist arrived at that conclusion
through the application of his expert knowledge to the specific factors operative
in this case, ones he knew about as the appellants treating psychiatrist.
[10]
In our view, contextually approached, the Boards
reasons explain why it arrived at the conclusion that the appellant remains a
significant threat to public safety. This was a conclusion that was available
on the evidence.
[11]
Despite concluding that the appellant remains a
significant risk to public safety, as previously noted, the Board quite
correctly turned its mind to the necessary and appropriate disposition,
resulting in the removal of two conditions. The removal of the condition
involving the abstention from alcohol and non-prescribed drugs rested on the
strength of the appellants assurances not to consume those intoxicants. As the
Board pointed out, the removal of the condition gave the appellant the
opportunity to build trust with the hospital and his treatment team. We express
our sincere hope that this has been achieved in the past year. It is a factor
that will undoubtedly be taken into account at the next Board hearing.
[12]
The appeal is dismissed.
Fairburn A.C.J.O.
B.W. Miller J.A.
J. George J.A.
|
MISE EN GARDE
Le président du comité qui
entend cet appel ordonne que lordonnance suivante soit jointe au dossier :
Lordonnance limitant la
publication dans cette instance, en vertu des paragraphes 486.4 (1), (2),
(2.1), (2.2), (3) ou (4) ou en vertu des paragraphes 486.6 (1) ou (2) du
Code
criminel
, est maintenue. Ces dispositions du
Code criminel
prévoient
ce qui suit :
486.4(1) Sous réserve du
paragraphe (2), le juge ou le juge de paix qui préside peut rendre une
ordonnance interdisant de publier ou de diffuser de quelque façon que ce soit
tout renseignement qui permettrait détablir lidentité de la victime ou dun témoin
dans les procédures relatives à :
a) lune des infractions
suivantes;
(i) une infraction
prévue aux articles 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171,
171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011,
279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 ou 347,
(ii)
une infraction prévue par la présente loi, dans toute version
antérieure à la date dentrée en vigueur du présent sous-alinéa, dans le cas où
lacte reproché constituerait une infraction visée au sous-alinéa (i) sil
était commis à cette date ou par la suite
,
(iii) [Abrogé, 2014, ch.
25, art. 22(2).]
b)
deux
infractions ou plus dans le cadre de la même procédure, dont lune est une
infraction visée à lalinéa
a
).
(2)
Dans les procédures relatives à des infractions visées aux alinéas (1)
a
) ou
b
), le juge ou le juge de paix qui préside est tenu :
a
) daviser dès que possible les témoins âgés de moins de dix-huit
ans et la victime de leur droit de demander lordonnance;
b
) de rendre lordonnance, si le poursuivant, la victime ou lun de
ces témoins lui en fait la demande.
(2.1) Sous réserve du
paragraphe (2.2), le juge ou le juge de paix qui préside peut rendre une
ordonnance interdisant de publier ou de diffuser de quelque façon que ce soit tout
renseignement qui permettrait détablir lidentité de la victime âgée de moins
de dix-huit ans dans les procédures relatives à toute infraction autre que
celles visées au paragraphe (1).
(2.2) Dans les
procédures relatives à toute infraction autre que celles visées au paragraphe
(1), le juge ou le juge de paix qui préside est tenu, si la victime est âgée de
moins de dix-huit ans :
a
) daviser dans les meilleurs délais la victime de son droit de
demander lordonnance;
b
) de rendre lordonnance, si le poursuivant ou la victime lui en
fait la demande.
(3) Dans les
procédures relatives à une infraction visée à larticle 163.1, le juge ou le
juge de paix rend une ordonnance interdisant de publier ou de diffuser de
quelque façon que ce soit tout renseignement qui permettrait détablir
lidentité dun témoin âgé de moins de dix-huit ans ou dune personne faisant
lobjet dune représentation, dun écrit ou dun enregistrement qui constitue
de la pornographie juvénile au sens de cet article.
(4) Les ordonnances rendues
en vertu du présent article ne sappliquent pas à la communication de
renseignements dans le cours de ladministration de la justice si la
communication ne vise pas à renseigner la collectivité.
486.6(1)
Quiconque transgresse une ordonnance rendue conformément aux
paragraphes 486.4(1), (2) ou (3) ou 486.5(1) ou (2) est coupable dune
infraction punissable sur déclaration de culpabilité par procédure sommaire.
(2) Il est entendu que
les ordonnances mentionnées au paragraphe (1) visent également linterdiction,
dans les procédures pour transgression de ces ordonnances, de diffuser ou de
publier de quelque façon que ce soit tout renseignement qui permettrait
détablir lidentité de la victime, du témoin ou de la personne associée au système
judiciaire que lordonnance vise à protéger.
2005, ch.
32, art. 15.
COUR DAPPEL DE LONTARIO
RÉFÉRENCE : R. c. S.B.C., 2022 ONCA 171
DATE : 20220301
DOSSIER : C68531
Les juges van Rensburg, Roberts
et Tzimas
(
ad hoc
)
ENTRE
Sa Majesté la Reine
Intimée
et
S.B.C.
Appelant
Fernando Belton, pour lappelant
Vallery Bayly, pour lintimée
Date de laudience : le 23
novembre 2021
En appel de
la condamnation prononcée le 31 mai 2019 par le juge Robert N. Beaudoin de la
Cour supérieure de justice.
L.B.
Roberts, j.c.a. :
[1]
Lappelant interjette appel de ses convictions
qui découlent de leffondrement de ses relations conjugales avec la plaignante.
Lappelant se présentait au procès sans avocat. À la suite dun procès devant juge
seul, lappelant a été reconnu coupable des infractions de distribution non
consensuelle dune image intime (art. 162.1 du
Code criminel du Canada
),
harcèlement criminel (art. 264), extorsion par libelle (art. 302), et méfait à
légard de données informatiques (art. 430(5)).
Les faits clés
[2]
Lappelant et la plaignante se sont rencontrés
en 2012 et en quelques mois, ils étaient mariés. Peu après, la plaignante a
découvert que lappelant était déjà marié, et quil continuait de résider et
délever une jeune fille avec sa première épouse. En novembre 2013, la
plaignante a quitté le milieu domestique. Elle sest officiellement séparée de
lappelant en 2015. Après leur séparation, la plaignante a continué de gérer
une garderie sous lagence Andrew Fleck dans le foyer conjugal. La garderie
était sa seule source de revenus.
[3]
Les faits sous-tendant les condamnations sont
les suivants. Après leur séparation, pendant plusieurs mois en 2015 et 2016,
lappelant harcelait la plaignante en lui envoyant des messages menaçants par
courriel ou par la poste. Dans ses messages, lappelant demandait que la
plaignante lui remette de largent. Sinon, il enverrait des images intimes de
la plaignante, porterait plainte contre la plaignante à la commission déthique
et doctroi des diplômes à lUniversité dOttawa et menacerait sa demande de
citoyenneté. En outre, dans ces messages, lappelant a menacé le père de la
plaignante. Il a fini par envoyer des photos intimes de la plaignante quil a
prises sans autorité à une agente dAndrew Fleck. Il a aussi porté plainte
contre la plaignante de sorte que la garderie fût temporairement fermée lors
dune enquête qui a par la suite exonéré la plaignante. En ce qui concerne
laccusation de méfait, lappelant a modifié la déclaration fiscale de la
plaignante à son insu de sorte quelle ait dû payer des impôts supplémentaires.
[4]
Lappelant est sommé de comparaître le 12 août
2016 à légard des chefs daccusation. Il a initialement retenu laide dun
avocat, mais la congédié après la tenue dune enquête préliminaire. Le 28 mai
2018, la requête de son avocat pour cesser doccuper dans le dossier de
lappelant fut accueillie. Dès cette date, le tribunal fit plusieurs mises à
jour avec lappelant concernant ses efforts dengager un avocat pour son procès.
Sa demande de transférer son certificat daide juridique na pas été réglée. Le
15 février 2019, le tribunal a nommé un avocat en vertu de larticle 486.3(2)
du
Code criminel
pour contre-interroger la plaignante de la part de
lappelant. Le 25 mars 2019, le tribunal a clarifié lobligation de lappelant
dêtre présent à son procès et lui a indiqué quil devrait tâcher à préparer
lui-même ses requêtes préalables au procès. Le 15 avril 2019, le juge du procès
a rejeté la requête en arrêt des procédures présentée par lappelant.
[5]
Le 13 mai 2019, soit la première journée du
procès, lappelant, ayant opté pour un procès devant juge seul, sest présenté
sans avocat. Au commencement du procès, lappelant soulève, pour la première
fois en trois ans, que la divulgation de la part de la Couronne était
incomplète. Faute de preuve, le juge du procès nen était pas convaincu, et a
commencé le procès. Peu après, lappelant a demandé un ajournement du procès
parce quil prétendait être malade. Le juge du procès a rejeté sa requête en
labsence de preuve médicale suffisante. Il a ordonné que le procès continue.
[6]
Lors de son témoignage, la plaignante a fourni
bien des détails qui appuyaient les chefs daccusation contre lappelant, dont
les messages menaçants reçus de lappelant sous son propre nom ainsi que sous
un surnom connu, des photos intimes, des plaintes mal fondées contre elle à la
société Andrew Fleck et des changements portés à sa déclaration fiscale. Elle a
nié la suggestion, posée lors de son contre-interrogatoire, davoir orchestré
un complot contre lappelant avec lancienne épouse de lappelant.
[7]
Lappelant a choisi de témoigner. Tout en
prétendant que la plaignante a orchestré un complot contre lui, il a néanmoins admis
avoir écrit trois des messages en cause, ainsi que quelques messages à lagence
Andrew Fleck. Il a également admis avoir pris les photos intimes de la
plaignante sans autorité, mais a nié les avoir envoyées. Lappelant a admis avoir
modifié la déclaration fiscale de la plaignante en utilisant à son insu son mot
de passe pour avoir accès à son compte fiscal, mais a prétendu lavoir fait
pour révéler le revenu actuel de la plaignante. Ses admissions au procès repétènt
celles faites lors de sa déclaration à la police qui fut reconnue comme volontaire
par le juge de première instance.
[8]
Le 31 mai 2019, le juge de première instance a rendu
ses motifs de vive voix. Il a conclu que les messages en question, y compris
des photos intimes, furent créés et envoyés par lappelant, et que ceux-ci
satisfont aux éléments des chefs daccusation. Il a également conclu que
lappelant a changé la déclaration fiscale de la plaignante. En conséquence, il
a déclaré lappelant coupable de tous les chefs daccusation.
[9]
Lappelant en a interjeté appel.
Questions en appel
[10]
Lappelant prétend que le juge de première
instance na pas satisfait à ses obligations de lassister lors du procès.
Selon lappelant, le juge de première instance a entraîné une erreur judiciaire
en continuant le procès sans que lappelant soit représenté par un avocat. En
outre, il a négligé de donner des instructions suffisantes à lappelant au
cours du procès. Par conséquent, lappelant argumente que ses droits à un
procès équitable et de présenter une défense pleine et entière furent viciés.
Analyse
(a)
Première question : Est-ce que le juge du
procès a erré en continuant le procès bien que lappelant se présentât sans
avocat?
[11]
Lappelant prétend que le juge du procès a erré
et a causé une injustice en permettant que le procès se déroule sans quil ait
un avocat. Il était clair quil en avait besoin pour assurer un procès
équitable.
[12]
Je ne souscris pas à ces arguments. Le juge de
première instance na ni erré ni causé une injustice. Le procès de lappelant
était équitable bien que lappelant se représentât seul.
[13]
Lhistorique du dossier ainsi que les actions de
lappelant remettent en question son désir et sa diligence de retenir un avocat,
et suggèrent plutôt des efforts à retarder son procès. Il est à noter quaprès
avoir congédié son ancien avocat, lappelant a eu presque une année pour
engager un nouvel avocat, mais il ne la pas fait. Jobserve que le traitement
de sa demande pour transférer le certificat daide juridique reste sans
explication. En outre, bien que lappelant ait soulevé les questions de
divulgation et de maladie pour essayer de reporter le procès, lappelant na pas
demandé au juge de première instance de reporter le procès pour quil puisse
engager un avocat ni de nommer un avocat pour le représenter.
[14]
Cela dit, labsence dune requête de lappelant nallégit
pas lobligation du juge de première instance de considérer sil était
nécessaire de nommer un avocat pour lappelant ou un
amicus curiae
afin
dassurer léquité ou lapparence déquité du procès :
R. v. Rowbotham
(1988),
41 C.C.C. (3d) 1 (Ont. C.A.), à la p. 67;
R. v. Phillips
, 2003 CSC 57,
[2003] 2 R.C.S. 623, confirmant 2003 ABCA 4, 172 C.C.C. (3d) 285, au par. 10;
Ontario
v. Criminal Lawyers Association of Ontario
, 2013 CSC 43, [2013] 3 R.C.S.
3, au par. 46;
R. v. A.H.
, 2018 ONCA 677, 366 C.C.C. (3d) 69, au par.
36. À mon avis, il nétait pas nécessaire en lespèce.
[15]
Le procès nétait pas compliqué. Sa
détermination reposait sur une analyse des questions factuelles et de crédibilité.
Les questions factuelles principales à trancher étaient si lappelant était
lauteur des messages menaçants et sil avait changé des données informatiques
fiscales de la plaignante. Selon les admissions faites par lappelant, il a
écrit et envoyé plusieurs des messages en question à la plaignante, et il a
changé sa déclaration fiscale sans autorité. En ce qui concerne lévaluation de
la crédibilité, lélément important du procès pour lappelant était le
contre-interrogatoire de la plaignante et le tribunal a nommé un avocat pour le
faire à sa place.
[16]
Me Fréchette, nommé par la cour pour
contre-interroger la plaignante, comparut lors de la première journée du procès,
et lappelant eut la chance de le consulter. Il est lavocat que lappelant
voulait engager quand il avait demandé un ajournement presque neuf mois avant
le procès. En outre, lappelant a consulté Me Fréchette avant le procès. Par exemple,
lors de son témoignage, lappelant a mentionné une consultation et des
« va-et-vient » avec Me Fréchette sur des questions à poser à la
plaignante avant le début du procès. De plus, le juge du procès a accordé des
pauses au début et au cours du procès à lappelant pour consulter Me Fréchette.
En effet, lappelant a consulté Me Fréchette lors du contre-interrogatoire de
la plaignante et celui-ci a posé des questions suggérées par lappelant.
[17]
Dans ces circonstances, je ne peux pas conclure
que le procès était inéquitable ou avait une apparence diniquité.
(b)
Deuxième question : Est-ce que le juge du
procès a donné de laide suffisante à lappelant au cours de son procès afin
que le procès se déroulât dune manière équitable?
[18]
Lappelant constate que dans les circonstances
inéquitables créées par le juge en refusant de reporter le procès pour quil
puisse engager un avocat, il incombait au juge dassurer soigneusement que
lappelant ait de laide suffisante au cours du procès. Selon lappelant, il ne
sest pas acquitté de son obligation.
[19]
Je naccueille pas cet argument.
[20]
Il est vrai que les juges de première instance
doivent offrir de laide suffisante aux parties non représentées lors des
procédures judiciaires. Ces obligations comprennent la responsabilité de
diriger les personnes non représentées quant aux étapes du procès et aux règles
de procédure et de preuve, ainsi que de leur permettre de faire des choix
cruciaux : Conseil canadien de la magistrature,
Énoncé de principes
concernant les plaideurs et les accusés non représentés par un avocat
, septembre
2006 (en ligne : https://cjc-ccm.ca/fr/nouvelles/le-conseil-canadien-de-la-magistrature-publie-un-enonce-de-principes-concernant-les)
cité dans
Pintea c. Johns
, 2017 CSC 23, [2017] 1 R.C.S. 470, au par. 4;
Mazraani c. Industrielle Alliance, Assurance et services financiers inc.
,
2018 CSC 50, [2018] 3 R.C.S. 261, au par. 39.
[21]
Cela dit, les juges ne sont pas les avocats pour
les personnes non représentées. Le degré de leurs obligations doffrir dassistance
est donc circonscrit par ce qui est raisonnable selon les circonstances en
lespèce. Voir :
R. v. Chemama
, 2016 ONCA 579, 351 O.A.C. 381, au
par. 14;
R. v. Forrester
, 2019 ONCA 255, 375 C.C.C. (3d) 279, au para
16. En particulier, les obligations des juges envers les parties non
représentées doivent co-exister avec leurs obligations dassurer un procès
efficace et juste:
R. v. Ivall
, 2018 ONCA 1026, 370 C.C.C. (3d) 179,
au par. 166.
[22]
Cependant, toute négligence quelconque de la
part des juges du procès de donner de laide suffisante aux personnes sans
avocat ne constitue pas un motif dappel indépendant derreur judiciaire. La
question de la suffisance de laide fournie est une question de fait qui dépend
des circonstances de chaque cause :
R. v. Tran
(2001), 55 O.R.
(3d) 161 (C.A.), au par. 22. Cest au juge du procès dévaluer comment aider
laccusé pour assurer que le procès soit équitable. Cela représente lexercice
du pouvoir discrétionnaire du juge du procès.
[23]
La question en appel est donc si la négligence
judiciaire en question dassister laccusé non représenté avait indument gêné
la position de la défense :
R. v. Schell
, 2013 ABCA 4, 293 C.C.C.
(3d) 400, au par. 2;
R. v. Hazout
(2005), 199 C.C.C. (3d) 474 (Ont. C.A.)
au par. 37, autorisation de pourvoi refusée, [2005] S.C.C.A. No. 412.
[24]
Je ne vois rien dans la transcription du procès en
lespèce qui sélève à la négligence de la part du juge de première instance ou
qui aboutit à un procès inéquitable ou
à
une erreur judiciaire. Le juge aidait lappelant tout au long du
procès. Le juge lui a expliqué le fardeau de la preuve, le principe de la
présomption dinnocence, la nature des allégations, des procédures comme le
voir
dire
pour déterminer le caractère volontaire de sa déclaration à la
police, et le choix de présenter une preuve ou non, y compris le choix de
témoigner. Le juge lui a aussi accordé plusieurs pauses et brefs ajournements
au cours du procès pour quil puisse se préparer, parler avec Me Fréchette, prendre
des décisions importantes, et organiser sa preuve et ses arguments.
[25]
Je naccueille pas largument de lappelant que
le juge du procès manque dimpartialité. Le seuil dintervention est très haut.
Toute impatience démontrée de temps en temps par le juge de première instance
au cours du procès de lappelant ne latteint pas. La transcription du procès
démontre que le juge a passé une bonne partie de chaque jour du procès en
répondant aux questions de lappelant et en lui expliquant le déroulement du
procès. Certainement, lappelant a participé au procès dune façon très
engagée. Il na pas hésité à poser des questions probantes au juge et à contester
ses décisions procédurales au cours du procès. Il sest montré capable de contre-interroger
des témoins, et de présenter sa preuve et ses arguments dune façon logique et
complète.
[26]
Le juge de première instance na pas négligé de
donner de laide suffisante à lappelant. Le procès de lappelant était équitable.
La preuve présentée par la Couronne et les admissions faites par lappelant
étaient tellement fortes quun verdict de culpabilité était la seule issue
probable.
Disposition
[27]
Pour ces motifs, je rejetterais lappel.
Rendu le : 1 mars 2022
« K.M.v.R. »
« L.B.
Roberts j.c.a. »
« Je
souscris.
K. van Rensburg j.c.a. »
« Je
souscris.
E. Ria Tzimas J. (ad hoc) »
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Stojanovski, 2022 ONCA 172
DATE: 20220301
DOCKET: C67754 & C67755
Lauwers, Paciocco and Thorburn
JJ.A.
DOCKET: C67754
BETWEEN
Her Majesty the Queen
Respondent
and
Darko Stojanovski
Appellant
DOCKET: C67755
AND BETWEEN
Her
Majesty the Queen
Respondent
and
Daniel
Stojanovski
Appellant
Jennifer K. Penman,
for the appellants
Hannah
Freeman, for the respondent
Heard: December 8,
2021
On appeal from the convictions entered
on May 30, 2018 and the sentences imposed on July 6, 2018 by Justice Tamarin M.
Dunnet of the Superior Court of Justice, sitting with a jury, with reasons
reported at 2018 ONSC 4243.
Thorburn J.A.:
INTRODUCTION
[1]
The appellants Darko Stojanovski (Darko) and
Daniel Stojanovski (Daniel) each appeal their convictions for attempted
murder. Each also seeks leave to appeal their 18-year sentences. For the
reasons that follow, I would dismiss the conviction appeals, grant leave to
appeal the sentences, but dismiss the sentence appeals.
THE EVIDENCE AT TRIAL
[2]
On May 10, 2016, Darko and his twin brother
Daniel met Nassundu Williams (Nassundu) to purchase marijuana. Darko, Daniel
and Nassundu had known each other for years.
[3]
Darko and Nassundu began to argue about politics
and the verbal altercation turned into a physical fight. Both men ended up on
the ground in the parking lot. They were separated by others but continued to trade
insults as Darko and Daniel walked back to their vehicle. There were at least seven
people in the parking lot.
[4]
Moments later, Nassundu was shot in the shoulder
and then the back in the parking lot.
[5]
Darko and Daniel were both charged with
attempted murder and discharge of a firearm with the intent to endanger life.
[6]
The central issue at trial was the identity of
the shooter(s).
[7]
The Crowns theory was that both brothers shot
Nassundu. The Crowns alternative theory was that Darko aided his brother
Daniel to shoot Nassundu. The appellants theory was that neither brother shot
Nassundu and that someone else intervened to shoot him.
[8]
Nassundu
testified that Darko
and Daniel got into their vehicle after the altercation and pulled out of the
parking spot. The vehicle then stopped. Nassundu said that the passenger side
of the vehicle was closest to him and that Darko occupied the passenger seat. Daniel,
whom
Nassundu
identified as the
driver, stood over the car, while Darko rolled down the window and pointed a
gun from the passenger seat. Nassundu said he believed that both brothers shot
at him, but he was not sure if they shot at him with two guns, or if Darko shot
first and then passed the gun to Daniel, who continued to shoot at him. Nassundu
said the firearm looked like a 9 mm or police gun.
[9]
Nassundus friend Junior Bailey (Junior) was
also present at the scene.
His testimony at the
preliminary inquiry, which was entered into evidence at trial, was that after
the group separated them, the white guy, the chubby one [Darko] lifted his
shirt and showed Junior that he had a gun. Junior said lets not do this and
walked him to his car. The other white guy [Daniel] walked over and both got
into the car. Junior said the chubby one [Darko] was in the passenger seat.
[10]
Junior said they drove up towards where [Nassundu]
was and they were still yelling back and forth. After the yelling, Junior
said I seen the white guy pull out the gun and start shooting at [Nassundu]. Junior
said that the first shooter was the driver, whom he identified as Daniel. Then
the other guy, Darko stretch over the car and start shooting. The car was a
silver or grey two-door Cadillac. Junior said he then went over to Nassundu to
see if he got hit. Nassundu was face down on the ground and had been shot.
[11]
There was evidence at trial that within an hour
of the shooting, the appellants went to their parents apartment building and exchanged
the silver Cadillac they had been driving for a blue Mazda owned by their
mother.
[12]
After the appellants arrest, police found four
restricted firearms, six empty magazines, two scopes and four red bullets that
were not live, in the appellants apartment. Because the barrel and slides had
been removed from the two firearms, a firearms expert from the Centre of
Forensic Sciences could not test whether any particular shell casing came from
those firearms.
[13]
Darko testified that he was the driver. As he drove
out of the parking lot with his brother Daniel in the passenger seat, he heard
gunshots but continued driving. He denied firing any shots, or having any
firearm. Daniel did not testify. The firearms expert from the Centre of
Forensic Sciences confirmed that all four shell casings found at the scene were
fired from the same gun and that the gun must have been a .40 calibre.
[14]
Swabs were taken of the interior of the
appellants vehicle but they were never tested for gunshot residue.
[15]
A jury found each of the appellants guilty of
attempted murder of Nassundu, and of discharging a firearm with intent to
endanger Nassundus life. The sentencing judge stayed the discharge firearms convictions
based on the principle from
R. v. Kienapple
, [1975] 1 S.C.R. 729
. The sentencing judge held that this shooting in a populated public
place, which jeopardized the lives of others and resulted in Nassundu being
confined to a wheelchair with no use of his legs, justified a sentence of 18
years for each appellant.
THE ISSUES
[16]
The issues raised on this appeal are:
1.
Whether the jury instruction on party liability
(aiding), in respect of Darko, was adequate;
2.
Whether the trial judge took reasonable steps to
mitigate the prejudice caused to the appellants by the introduction, only in
the Crowns jury submissions of the alternative theory that Darko aided Daniel
to commit the offence of attempted murder;
3.
Whether the trial judge should have instructed the
jury that Detective Constable Ditlof's hearsay evidence obtained from Nassundu
in the hospital the morning after the shooting,
could not be relied on for the truth of its contents;
4.
Whether the trial judge erred in her instruction
to the jury on Juniors preliminary hearing evidence; and
5.
Whether the sentencing judge erred in her analysis
of the aggravating factors or failed to consider the appellants rehabilitative
prospects such that the sentences should be reduced.
ANALYSIS AND CONCLUSIONS
The First Issue: The Jury Instruction on Party
Liability
[17]
The appellants claim the trial judges
instruction about aiding was deficient in that (1) it did not apply the
evidence to the legal instruction on aiding,
and (2) it
did not connect the instruction on aiding to the essential elements of the
offences. The appellants claim the trial judge therefore committed an error of
law that adversely affected the deliberation process and verdict. Although the
jury was only charged on party liability with respect to Darko, the appellant
Daniel argues that this ground of appeal affects him as well because, had party
liability been properly left with the jury for him, he could have been
convicted of a lesser offence.
The Law Respecting
Jury Instructions and Party Liability
[18]
There are two means by which a party may be
found liable for an offence: primary liability, which refers to the person who
actually committed the offence, or secondary (or party) liability, which
includes those who aid another to commit the offence. Both primary and
secondary liability are set out in s. 21 of the
Criminal
Code
. The accused can be convicted of the
substantive offence either as the perpetrator or the aider:
R. v. Cowan,
2021 SCC 45, at paras.
29-30;
R. v. Pickton,
2010 SCC 32, [2010] 2 S.C.R. 198,
at para.
51, per LeBel J. (concurring);
R
. v. Thatcher
,
[1987] 1 S.C.R. 652, at p. 694
.
[19]
A jury must be instructed as to the factual
issues to be resolved, the law to be applied, the parties positions and the
relevant evidence:
R. v. Cadeddu
, 2013 ONCA 729, 304 C.C.C. (3d) 96, at
para. 63. The essential elements of aiding and abetting should be linked to the
essential elements of the offence at issue:
R. v. Huard,
2013 ONCA 650,
302 C.C.C. (3d) 469, at para. 64, leave to appeal refused, [2014] S.C.C.A. No.
13;
R. v. Josipovic,
2019 ONCA 633, 147 O.R. (3d) 346, at para. 66.
The distinction between liability as a perpetrator and liability as an aider
must be clearly articulated:
Josipovic,
at para. 48.
[20]
Where there are two accused, the trial judge
must instruct the jury that in addressing the liability of each accused, the
jury must consider the case against each accused separately by reference to the
evidence admissible against each:
Josipovic
, at paras. 47, 52.
[21]
On appeal, the standard of review of a jury
charge is adequacy, not perfection:
R. v. Newton,
2017 ONCA 496, 349
C.C.C. (3d) 508, at para. 13. The adequacy of a jury charge is assessed
not in isolation, but in the context of the
trial as a whole, including the closing submissions of counsel:
R. v. Daley
,
2007 SCC 53, [2007] 3 S.C.R. 523, at para. 58. The
functional question an appellate court must ask is whether the jury was left
with a sufficient understanding of the facts as they relate to the relevant
issues:
R. v. Jacquard
,
[1997]
1 S.C.R. 314, at para. 14; see also
Newton
, at para. 13 and whether the jury would adequately
understand the issues involved, the law relating to the charge the accused is
facing, and the evidence they should consider in resolving the issues:
R. v. Cooper
,
[1993] 1 S.C.R. 146, at p. 163;
see also
Newton
, at para. 13.
The Trial
Judges Jury Instruction
i.
The Charges
[22]
The trial judge told the jury that because Darko
and Daniel were each charged with attempted murder and discharging a handgun
with intent to endanger life, a separate verdict must be rendered for each
accused on each charge.
ii.
The Necessary Elements of Aiding Another
to Commit an Offence
[23]
The trial judge then outlined the definition of
aiding, telling the jury that, A person may be found guilty of an offence
because he helped somebody else to commit it.
[24]
She explained the elements of aiding as follows:
An aider may help another person commit an
offence by doing something. It is not enough that what the aider does has the
effect of or resulted in helping the other person commit the offence.
The
aider must intend to help the other person commit the offence. Actual
assistance is necessary. This is the conduct requirement
.
It is not enough that the other person was
simply there when the crime was committed by someone else. In other words, just
being there does not make a person guilty as an aider. Sometimes, people are in
the wrong place at the wrong time.
On the other hand,
if a person knows that
someone intends to commit an offence and goes to or is present at a place where
the offence is committed, to help the other person commit the offence
, then
that person is an aider of the others offence and he is equally guilty of it.
Aiding relates to a specific offence. An a
i
der must do something or give assistance for the
purpose of helping the other person commit the offence. The state of mind
requirement expressed by the term purpose, requires Crown counsel to prove
both intent and knowledge
.
For intent, Crown counsel must prove that Darko
Stojanovski intended to help Daniel Stojanovski to commit the offences,
although Crown counsel need not prove that Darko Stojanovski desired the
successful commission of the offences
.
For knowledge, Crown counsel must prove
that Darko Stojanovski knew that Daniel Stojanovski intended to commit the offences,
although Crown counsel need not prove that Darko Stojanovski knew precisely how
Daniel Stojanovski would commit the offences
.
[Emphasis added.]
[25]
Later in the charge, the trial judge advised the
jury,
I remind you that Daniel Stojanovski and Darko
Stojanovski are each entitled to have his case decided on the basis of his own
conduct and state of mind and from the evidence that may apply to him.
iii.
The Necessary Elements of Attempted
Murder
[26]
Then, the trial judge outlined the necessary
elements of the offence of attempted murder. She also applied those elements to
each of the two appellants, because the only real issues were whether either or
both of the appellants shot Nassundu and if so, whether either or both intended
to kill Nassundu:
For you to find Daniel Stojanovski and Darko
Stojanovski guilty of attempted murder, Crown counsel must prove beyond a
reasonable doubt:
1. that they meant to kill Mr. Williams by
wounding him with a firearm; and
2. that they fired a gun
to wound Mr. Williams.
In dealing with each accused sep
a
rately,
the first question is
: Did
Daniel Stojanovski mean to kill Mr. Williams?
Did Darko Stojanovski mean to
kill Mr. Williams?
This element has to do with their state of
mind at the time they fired the gun.
The crime of attempted murder requires proof
of a particular or specific state of mind.
Crown counsel must satisfy you
beyond a reasonable doubt that when they fired the gun, they meant to kill Mr.
Williams
.
To determine whether Daniel Stojanovski and
Darko Stojanovski meant to kill Mr. Williams, consider all the evidence,
including what they did or did not do; how they did or did not do it; and what
they said or did not say. Consider what they said and did before, at the time
and after they fired the handgun. All these things and the circumstances in
which they occurred may shed some light on their state of mind at the time.
You may conclude that as a matter of common
sense that a person usually knows what the predictable consequences of his
actions are and means to bring them about. You may, but do not have to reach
that conclusion. You must not do so if, on the evidence as a whole, you have a
reasonable doubt
whether Daniel Stojanovski and
Darko Stojanovski meant to kill Mr. Williams.
The second question is
: Did Daniel Stojanovski fire the gun?
Did Darko Stojanovski fire
the gun? This element has to do with their conduct. They are alleged to have
fired the gun to wound Mr. Williams
.
If you are satisfied beyond a reasonable doubt
that Daniel Stojanovski fired the gun to wound Mr. Williams, this conduct
amounts to an attempt to kill Mr. Williams.
If you are satisfied beyond a reasonable doubt
that Darko Stojanovski fired the gun to wound Mr. Williams, this conduct
amounts to an attempt to kill Mr. Williams. [Emphasis added.]
[27]
After explaining the elements of attempted
murder, the trial judge explained to the jury that, if they were not satisfied
that either appellant had the requisite state of mind for attempted murder,
they could convict the appellants of the lesser included offence of aggravated
assault:
After considering all of the evidence, if you
are not satisfied beyond a reasonable doubt that Daniel Stojanovski meant to
kill Mr. Williams, you must find him not guilty of attempted murder.
If you are not satisfied beyond a reasonable
doubt that Daniel Stojanovski meant to kill Mr. Williams, but you are satisfied
beyond a reasonable doubt that he intended to shoot Mr. Williams, then you must
find him not guilty of attempted murder, but guilty of aggravated assault.
If you are satisfied beyond a reasonable doubt
that Daniel Stojanovski meant to kill Mr. Williams, you must find him guilty of
attempted murder on Count One.
After considering all of the evidence, if
you are not satisfied beyond a reasonable doubt that Darko Stojanovski meant to
kill Mr. Williams, you must find him not guilty of attempted murder
.
If you are not satisfied beyond a reasonable
doubt that Darko Stojanovski meant to kill Mr. Williams, but you are satisfied
beyond a reasonable doubt that he intended to shoot Mr. Williams, then you must
find him not guilty of attempted murder, but guilty of aggravated assault.
If you are satisfied beyond a reasonable doubt
that Darko Stojanovski meant to kill Mr. Williams, you must find him guilty of
attempted murder on Count One. [Emphasis added.]
iv.
The Necessary Elements of Discharging
a Firearm with Intent to Endanger Life
[28]
The trial judge then went through the same
exercise with respect to the other charge faced by the appellants: discharging
a firearm with intent to endanger life. She reminded the jury that they must
decide
the case regarding each appellant
separately. She explained the essential elements of the offence, namely, (1) the
intentional discharge of a firearm at Nassundu, (2) with the intent to endanger
his life. Again, the trial judge posed questions to the jury for each element
of the offence, asking the question separately for each appellant. She
correctly articulated the intent requirement for this offence, including that
the discharge of the firearm must be intentional and that there must have been
intent to endanger Mr. Williamss life, that is, the intent to put him at risk
of losing his life.
v.
The Trial Judges Summary of the
Evidence
[29]
This was followed by the trial judges summary
of the evidence.
[30]
Among other things, she reminded the jury of the
Crowns evidence. She reminded them that Nassundu testified that he told police
that both Darko and Daniel each fired two or three shots at him even if they
did not have two guns and they used one gun. Nassundu testified that he told
the police Darko shot him in the shoulder and then gave his brother the gun,
and that Nassundu then began to run. He collapsed and was shot in the back. Nassundu
testified that, I know who shot me. I am not making an assumption.
[31]
The trial judge also reminded the jury that
Officer Nicholas Ditlof spoke to Nassundu at the hospital the morning after the
shooting. Nassundu was in a lot of pain, his speech was muffled, and he was
gasping for air. Officer Ditlof made notes of their conversation as follows,
although they were not verbatim.
Q. Who shot you?
A. Darko, two twins, white, 20's, Croatian,
look alike, one heavier than the other.
[
]
Q. How did they leave?
A. Drove a Cadillac CTS, silver, two-door,
new.
[32]
The trial judge reminded the jury of Juniors
evidence. Junior said he saw Nassundu with two white guys, they got into an
argument and one of them grabbed Nassundu from the back and they fell on the
ground. After he and others separated the two men, the chubbier white guy
lifted up his shirt, revealing a gun. The two white men got into their vehicle
and drove to where Nassundu was standing. The chubbier white guy and Nassundu
continued to yell at each other. The chubbier guy on the passenger side pulled
out a gun and started shooting at Nassundu. The other white guy stood up and
stretched over the car and started shooting. Then they drove onto Bergamot in a
silver or grey two-door Cadillac. He said there was a rapid succession of
shots. He was shown a photo lineup but was unable to identify Darko or Daniel.
[33]
The trial judge also reminded the jury of the
evidence proffered by Darko. Darko testified that Nassundu had been his
marijuana dealer for some time, and on the day in question, he and Nassundu
started to argue and it became a physical fight. He said Nassundu lunged at him
with a knife and, after being led away by someone else, Nassundu came at him
with the knife and said he was going to kill him. Police found a knife near
Nassundu when he was found. Darko said that when he got to his car, he looked
for his brother and they both got into the car. He and Nassundu were still yelling
and swearing at each other. Darko said he drove out of the parking lot and, as
he turned onto Bergamot Avenue, he heard gunshots. He did not know where they
were coming from and kept driving. (Daniel did not testify.)
vi.
The Trial Judges Repetition of the
Necessary Elements of Aiding
[34]
After her reminder that it was the jurys
recollection of the evidence not hers that mattered, and her summary of the
evidence, the trial judge repeated a second time, the elements of aiding in the
commission of an offence:
[I]f a person knows that someone intends to
commit an offence and goes to or is present at a place where the offence is
committed to help the other person commit the offence, then that person is an aider
of the others offence and he is equally guilty of it.
Aiding relates to a specific offence. An aider
must do something or give assistance for the purpose of helping the other
person commit the offence
.
The
state of mind requirement expressed by the term purpose requires Crown
counsel to prove both intent and knowledge.
For intent, Crown counsel must prove that Darko
Stojanovski intended to help Daniel Stojanovski to commit the offences,
although Crown counsel need not prove that Darko Stojanovski desired the
successful commission of the offences
.
For knowledge, the Crown must prove that Darko
Stojanovski knew that Daniel Stojanovski intended to commit the offences,
although Crown counsel need not prove that Darko Stojanovski knew precisely how
Daniel Stojanovski would commit the offences
. [Emphasis
added]
Analysis and
Conclusion Respecting the Adequacy of the Charge
[35]
For the reasons that follow, I find the charge
was adequate.
[36]
First, contrary to the appellants suggestion,
the trial judge did not treat Daniel and Darko as a single entity throughout
her instructions. She carefully and repeatedly instructed the jury to treat
each appellant separately, and she framed the questions facing the jury in
terms of each appellant.
[37]
The trial judge explained to them the
requirements for aiding and that the aiding theory of liability related only to
Darko. In this respect, this case is distinguishable from
Josipovic
,
relied on by the appellants. The trial judge here did not treat the appellants
as a single unit, and she clearly distinguished between liability as an aider and
liability as a principal.
[38]
Neither did the trial judge lump together the
charges faced by the appellants. Before her initial instruction on aiding, the
trial judge instructed the jurors that the appellants were charged with
attempted murder and discharge of a firearm with the intent to endanger life. She
then informed the jury, Aiding relates to a specific offence. She defined the
conduct requirement for aiding as follows: An aider must do something or give
assistance for the purpose of helping the other person commit the offence. She
then explained the purpose requirement for aiding being that Darko must have
intended to assist Daniel in the commission of the offences and must have
known that Daniel intended to commit the offences. Although the trial judge
referred to the offences when discussing the purpose requirement for aiding, she
was clear that aiding relates to a specific offence. Further, she correctly
instructed the jury on the distinctions between the two charges they each
faced.
[39]
Second, the jury would not have been confused as
to how the legal instructions on aiding applied to the offence of attempted
murder. The charge on aiding was not an afterthought, as submitted by the
appellant.
[40]
Each of the two accused was charged with the
same two offences. After reminding the jurors that the charges were attempted
murder and discharge of a firearm with the intent to endanger life,
she correctly explained the three necessary
elements of party liability being (i) doing something to aid another to commit
the offence, (ii) knowing the other meant to commit the offence; and (iii)
intending to help the other commit the offence
:
R.
v. Briscoe
, 2010 SCC 13,
[2010] 1 S.C.R. 411, at paras. 14-17.
[41]
The trial judge
made it
clear that liability as an aider relates to a specific offence, and that in
order to find Darko guilty of aiding Daniel to commit an offence, the jury must
find that Darko knew Daniel intended to commit the offence, that he intended to
help Daniel commit the offence, and that he did something to further the
commission of the offence.
[42]
The trial judge
then correctly
articulated the legal requirements to find Darko guilty of attempted murder,
those being
that, (1) he meant to kill Nassundu by
wounding him with a firearm; and (2) he fired a gun to wound Nassundu. She also
correctly articulated the intent required for the lesser included offence of
aggravated assault and the essential elements of discharging a firearm with
intent to endanger life.
[43]
The appellants acknowledge that her instructions
on the elements of the offences are error-free.
[44]
Then, after providing her summary of the
evidence presented at trial, the trial judge repeated the three required
elements of party liability.
[45]
In her second instruction on aiding, she again instructed
the jurors that liability as an aider relates to a specific offence. She
advised that in order to find Darko guilty of aiding, the jury must find that
Darko knew Daniel intended to commit the offence, that he intended to help
Daniel commit the offences, and that he did something to further the
commission of the offences.
[46]
I am reminded that o
n
appeal, the standard of review is adequacy, not perfection and that [a]n
appellate courts approach is functional. It assesses the adequacy of the
charge in the light of its purpose:
Newton,
at para. 13. In this case, the trial judge (a) correctly explained the law of
aiding, (b) she instructed the jury that aiding applies to a specific offence, (c)
there were only two offences in this case one of which was attempted murder and,
(d) in explaining the required elements of attempted murder, she instructed the
jury that attempted murder requires an intention to kill
.
[47]
Reading the charge as a whole, the jury would
have understood that in considering Darkos liability for aiding, they would
have to relate aiding to one of the two specific offences and conclude that
Darko knew that Daniel intended to commit that offence and intended to help him
commit it. In the circumstances of this case, the main distinguishing feature
between the offences charged was the intent element the Crown was required to prove.
The same conduct, shooting Nassundu with a firearm, grounded each charge. It
was in this context that the jury was asked to consider whether the Crown had
proven beyond a reasonable doubt that Darko knew that Daniel intended to commit
a specific offence, intended to help him commit it, and did something for the
purpose of assisting him to commit that offence.
[48]
As the respondent submitted, the jury would have
understood that to convict Darko of attempted murder as an aider, they would
need to find that he did something to aid Daniel to commit the attempted
murder, he knew that Daniel intended to kill Nassundu, and he intended to help
Daniel commit the attempted murder.
[49]
While the trial
judge
could have provided a more detailed instruction, the jury was adequately
equipped to understand the legal issues they were to consider in respect of
aiding.
[50]
Third, the jury would not have been confused
about the application of the evidence to the legal tests as the evidence in
this case was not complicated. There was no dispute that:
i.
Darko and Nassundu knew one another;
ii.
Darko and Daniel went to the parking lot;
iii.
Darko got into a physical altercation with Nassundu;
iv.
Darko and Daniel went to their Cadillac and
began to drive the vehicle; and moments later,
v.
Nassundu was shot multiple times at close range,
causing him serious injury.
[51]
The live issues on the attempted murder charge were
(1) who shot Nassundu and (2) whether the shooter intended to kill Nassundu, and
relatedly, whether the person aiding the shooter knew that the shooter intended
to kill Nassundu and intended to assist the shooter. The live issues on the
charge of discharging a firearm with intent to wound were similarly (1) the
identity of the shooter and (2) whether the shooter intended to endanger the
life of Nassundu, and relatedly, whether anyone aiding the shooter knew that
the shooter intended to endanger Nassundus life and intended to assist the
shooter.
[52]
The exercise of applying the law that had been
clearly articulated to the evidence was not a complex exercise for the jury to
perform.
[53]
Fourth, the Crowns failure to address the purpose
element of aiding at one point in closing submissions and the trial judges repetition
of the Crowns position on aiding, when viewed in the context of the charge as
a whole, do not render the charge inadequate warranting a retrial.
[54]
In closing submissions, the Crown articulated
its alternate theory that Darko acted to aid Daniel to commit
attempted murder but failed to address the knowledge and intent requirements that
Darko knew Daniel intended to kill Nassundu and intended to assist him to
commit the offence. The Crown said
:
[E]ven if Darko Stojanovski didnt fire his
gun, because he didnt want to hit his brother, didnt want to hit people who
were around Mr. Williams, someone other than his target, you should still find
that he aided his brother by driving his brother, Daniel Stojanovski, up to
within feet of Mr. Williams and then stopping the car so that his brother could
shoot Mr. Williams. In that scenario, you should still find both guilty of
attempted murder.
[55]
In her summary of the Crowns position, the
trial judge also failed to address the purpose requirement for aiding. The
trial judge summarized the Crowns position on aiding as even if Darko
Stojanovski did not fire the gun because he did not want to hit his brother or
anyone other than his target, he aided Daniel Stojanovski by driving him within
feet of Mr. Williams and stopping his car so that his brother could shoot Mr.
Williams.
[56]
However, this was not a legal instruction, this
was a summary of the Crowns position.
[57]
The trial judge had twice given a clear legal instruction
to the jury that in order to find an accused guilty of attempted murder, the
perpetrator must have the intent to kill, and that for Darko to be convicted on
the basis of aiding, he had to know that Daniel intended to commit the offence,
he must have intended to help Daniel commit the offence, and he must have done
something to help Daniel commit the offence.
[58]
Fifth, counsels failure to object to the
instruction may be taken into account on appellate review:
Daley,
at para. 58;
R. v. Flores,
2011 ONCA 155,
269 C.C.C. (3d) 194, at paras. 95, 100.
Neither of the appellants trial counsel voiced any objection about these
issues to the trial judge.
[59]
For these reasons, I find the charge, viewed as
a whole
:
i.
Correctly outlined the legal requirements for
the charge of attempted murder and aiding another to commit attempted murder;
ii.
Adequately linked the essential elements of
aiding to the essential elements of the offences at issue;
iii.
Distinguished between liability as a perpetrator
and as an aider;
iv.
P
rovided a sufficient
understanding of the evidence that related to those issues; and
v.
Reminded the jury to consider the case against
each appellant separately.
[60]
I therefore find the trial judge connected her
instruction on aiding to the essential elements of attempted murder and
outlined the evidence to enable the jury to apply the evidence to her legal
instruction about aiding in the commission of an offence. As such, this ground
of appeal fails.
[61]
In any event, this ground of appeal can have had
no impact on the appellant Daniel, who was convicted by the jury as a
principal. There is no basis to think that failing to leave the jury with
aiding as a route to liability for Daniel had any impact on his conviction.
The Second Issue: Whether the Trial Judge Erred
in Her Approach to the Crowns Alternative Theory
[62]
As noted above, the Crowns primary theory of
liability (based on the evidence of Nassundu and his friend Junior) was that
both Daniel and Darko shot Nassundu. The Crowns alternative theory was that
Darko aided his brother Daniel to shoot Nassundu.
[63]
The appellants submit that they were not given
the opportunity to respond to the alternative theory. They claim that the trial
judge should have made reasonable inquiries with counsel and implemented any
course of action that would have remedied the prejudice created by the
inability of the defence to properly respond to the Crowns new alternative
theory. The appellants claim the trial judge could have allowed the defence to
reply orally or make additional submissions in writing on the alternative
theory, which could have been incorporated into the jury charge.
The Law
Regarding the Presentation of Alternative Theories
[64]
There is nothing unfair in the Crown relying on
different or alternate theories of liability that satisfy the specific
allegation made in the charge alleged, as long as each alternative theory is
rooted in the evidence:
R. v. Kelly,
2017 ONCA
920, 138 O.R. (3d) 241,
at para. 31. However, this
general rule is circumscribed by the overriding need to ensure trial fairness
and, specifically, the accused's right to make full answer and defence:
Kelly,
at para. 31;
R. v. Ranger
(
2003
)
, 67
O.R. (3d) 1 (C.A.), at para.
134;
R. v. R.H.
, 2022 ONCA 69, at paras. 23-24.
[65]
The Crown is entitled to rely on any basis of
liability for the offence charged that is available on the evidence:
Kelly,
at para. 30; see also
Pickton,
at para. 19. In
Kelly,
at
para. 34, Doherty J.A. held, It is incumbent on the defence to demonstrate
prejudice, justifying the limiting of the Crown's case to a particular theory.
If the defence intends to rely on the fact that the Crown's case is
limited to the theory advanced by the Crown in shaping the defence, the defence
must take steps to properly limit the Crown's case. This can be done through a
request for formal particulars, or by seeking a clear and unqualified statement
from the Crown that it is relying exclusively on the factual basis advanced in
its theory of the case:
Kelly
, at para. 35.
[66]
That said, there can be circumstances in which
the defence, based on particulars provided by the Crown, specific
representations made by the Crown, or the conduct of the trial, is justifiably
led to believe that the accused's potential liability is limited to a specific
theory and conducts the defence accordingly. In those circumstances, the
defence may be successful in arguing that any departure from the specific basis
of liability advanced, especially after the evidence is complete, would
unfairly prejudice the accused's ability to make full answer and defence:
Kelly,
at para. 32;
R. v. Pawluk
, 2017 ONCA 863, 357 C.C.C. (3d) 86, at
para. 30.
[67]
In
Ranger
, for example, the defence had
every reason to believe, up to the point of the jury charge, that the jury
would be told that liability depended on the Crown proving that the accused was
in the house when the murders occurred: at paras. 141-154, 162. However, the
trial judge, in his instructions to the jury, put an additional theory of
liability to the jury that did not require that the jury find that the accused
was in the house:
Ranger,
at paras. 127, 155-162. This court concluded
that the defence was materially prejudiced by the introduction of this new
theory of liability in the trial judge's charge, without notice to counsel
before closing submissions, and therefore allowed the appeal:
Ranger,
at
para. 162.
Analysis of the
Issue of the Crown Presentation of an Alternative Theory
[68]
In this case, the appellants at trial did not ask
for the opportunity to address the alternative Crown theory of aiding or to make
additional submissions. Nor is there any suggestion of ineffective assistance
of counsel.
[69]
Moreover, both of the Crowns theories were
consistent with the evidence adduced at trial.
[70]
The Crowns primary theory was that both
appellants had shot at Nassundu from their car. This theory was consistent with
the evidence of Nassundu and Junior that both Daniel and Darko were shooting.
Further, it was consistent with the fact that the appellants had removed and
disposed of the barrels and slides from
two
firearms, one of which was registered to Daniel and the other to
Darko.
[71]
However, only four shell casings were found at
the scene and the firearm expert from the Centre of Forensic Sciences opined
that all four had been shot by the same firearm. Darko agreed that he and his
brother were present in the parking lot, he and Nassundu had fought, and he and
his brother left in his Cadillac. Darko testified that he drove the Cadillac
out of the parking lot, that it was his vehicle, and that he had keys to the vehicle.
He was the registered owner according to a Ministry of Transportation license plate
search.
[72]
As such, the Crowns alternative theory arose
from the evidence, including Darkos own evidence. The Crown submitted that, in
the alternative, Darko drove the vehicle, both brothers pulled their guns out,
Daniel began firing but Darko did not have a clear shot to Nassundu and did not
shoot because he did not want to hit his brother or other bystanders.
[73]
The jury could accept Darkos evidence that he
drove the vehicle but reject his evidence that neither he nor his brother were
involved in the shooting.
[74]
Second, the appellants were aware of the
alternative theory because the Crown gave notice of the alternative theory in
the pre-charge conference, by flagging the need for an instruction on party
liability. Crown counsel advised that: It is a reasonable possibility that the
jury can conclude that the two accused drove up, both pulled out their guns,
but that only one ended up shooting, given that the four shell casings come
from one gun. So, they need to be charged on the aiding portion of 21 of Section
21, given that again its possible that Darko Stojanovski essentially delivered
his brother to [Nassundu], his brother gets out and shoots [Nassundu]. So, I
dont expect that to be controversial, the party liability charge.
[75]
Darkos counsel submitted: [W]ith respect to my
friends request on the charge for party liability, I Im in agreement that
the
aiding provisions would be most applicable here and would be what would
what would apply. That is certainly would be consistent with my friends
theory. Thats why I dont I dont take any issue with that.
[76]
Daniels counsel submitted, following Darkos
counsels submissions, I have nothing to add to that. This happened
before any of the parties gave their closing submissions.
[77]
When the trial judge sought clarification from
the Crown about the alternate theory, following Crown submissions, the appellants
counsel did not object. The following morning, midway through the jury charge, the
Crown sought to clarify the theory on aiding, as Crown counsel was concerned his
earlier answers were not clear. The Crown pointed out that there were only two
possibilities, in the Crowns submission and theory that either theyre both shooting
and the shell casings from one gun are not found, or only Daniel is shooting.
[78]
The trial judge confirmed the theory, stating even
if Darko did not fire his gun, he aided Daniel by driving him within feet of [Nassundu]
and stopping his car so that his brother could shoot. The Crown affirmed that
this was correct. Darkos counsel said that the Crowns clarification on this
issue had alleviated my concerns about the Crowns articulation of the theory
of aiding the previous day, and that it accords with with my memory as to
how my friend presented his closing submission to the jury. No further
objection was raised.
[79]
In sum, the theories of liability presented to
the jury were those outlined in the pre-charge conference: that either Darko
and Daniel both shot Nassundu, or that Daniel shot Nassundu and Darko aided
him. This is not a case like
Ranger,
where defence counsel was materially prejudiced by the introduction
of a new ground of liability in the jury charge, without prior notice.
[80]
I therefore see no prejudice to the appellants right
to make full answer and defence to the alternative theory that Darko aided
Daniel.
The Third Issue: Use of Officer Ditlofs Note
That Nassundu Identified the Appellants as the Shooters
[81]
In his trial testimony, Nassundu identified the
appellants as the shooters. However, he was unable to confirm whether he had
previously identified them as the shooters. Officer Ditlof was permitted to
testify that on the day of the shooting, Nassundu told him that he was shot by Darko,
two twins.
[82]
T
he appellants claim the
trial judge
erred by not
giving
a limiting instruction that this statement by Nassundu to Officer Ditlof could
not be relied on for the truth of its contents. The appellants submit that because
Nassundu did not adopt his prior identification of the appellants, his
statement to Officer Ditlof was not admissible as prior identification evidence.
The appellants submit that a limiting instruction was important because the appellants
alleged that Nassundu and Junior colluded and, absent such an instruction, Nassundus
statement would serve to support the Crowns assertion that Nassundu had
identified the appellants before speaking with Junior.
The Law
Regarding Use of a Prior Consistent Statement to Help Identify an Accused
[83]
Evidence of out-of-court statements of identifications
made by a witness constitute prior consistent statements made by that witness:
R. v. Tat
(1997)
,
35 O.R. (3d) 641
(C.A.),
at p. 656.
[84]
Generally, evidence of a prior consistent
statement by a witness is excluded as irrelevant and self-serving:
Tat,
at p. 656.
However, in
Tat
,
at
pp. 656-657,
Doherty J.A. held that:
If a witness identifies an accused at trial,
evidence of previous identifications made and descriptions given is admissible
to allow the trier of fact to make an informed determination of the probative
value of the purported identification. The trier of fact will consider the
entirety of the identification process as revealed by the evidence before
deciding what weight should be given to the identification made by the
identifying witness. Evidence of the circumstances surrounding any prior
identifications and the details of prior descriptions given will be central to
that assessment.
Where a witness identifies the accused at
trial, evidence of prior identifications made and prior descriptions given by that
witness do not have a hearsay purpose. In his influential article,
Evidence
of Past Identification
,
supra
, Professor Libling explains
the admissibility of the out-of-court statements where the witness makes an
in-court identification in this way, at pp. 271-72:
There is no hearsay problem with this kind
of evidence. It is not admitted to prove the truth of the earlier
identification, but to add cogency to the identification performed in court
. [E]vidence
of previous identification strengthens the value of the identification in court
by showing that the witness identified the accused before the sharpness of his
recollection was dimmed by time. Furthermore it is important, in assessing the
weight of the identification in Court, to know whether the identifying witness
was able to identify the accused before he was aware that the accused was the
person under suspicion by the police.
Analysis of the
Use of a Prior Consistent Statement to Help Identify an Accused
[85]
In this case, Nassundus statement was admissible
to enhance the credibility of Nassundus in-dock identification. Nassundu
identified the appellants at trial and his earlier identification to Officer
Ditlof can be used to test the reliability of the identification of the
appellants as the shooters at trial.
[86]
Although Nassundu did not recall making the
statement to police when he testified at trial, he did testify that each time
he spoke with the police, he was telling the truth, and the appellants counsel
had the opportunity to cross-examine him about the basis for his
identification, how and why he believed the appellants shot him, and whether he
was influenced by others or making assumptions based on information from others.
Moreover, Officer Ditlof testified and could be cross-examined about the
circumstances in which the statement was made, the accuracy of his notes and
the circumstances in which he found Nassundu when he gave the statement
including the fact that he was in considerable pain.
[87]
This evidence was also relevant given the
appellants assertion that Nassundu and Junior had colluded to identify the
appellants as the shooters. (I note that although the appellants contended
that Nassundu and Junior colluded, this is belied by the fact that Junior was
unable to identify either of the appellants from the photo lineup.)
[88]
Moreover, trial counsel made no objection to this
reference in the jury charge.
[89]
As such, I find this evidence of identification
was properly left to the jury for consideration.
The Fourth Issue: The Trial Judges
Instruction About How Juniors Evidence Could be Used
[90]
The appellants submit that the trial judge erred
in her instructions to the jury regarding Juniors evidence. The appellants claim
the jury ought to have been cautioned about relying on evidence that might have
been the result of collusion. Moreover, the appellants claim the trial judge
should have given the jury an instruction regarding how Juniors failure to
testify as a witness at trial affected his credibility, particularly given the
importance of his evidence.
When summarizing Officer
Ellis evidence, the trial judge did not summarize the evidence about his attempts
at service
.
[91]
The adequacy of a jury charge is assessed
in the context of the trial as a whole, including the closing
submissions of counsel:
Daley,
at para. 58.
[92]
The trial judge is not required to review all
the evidence upon which the defence relies:
R. v.
Largie,
2010 ONCA 548, 101 O.R. (3d) 561, at para.
125, leave to appeal refused, [2010] S.C.C.A. No. 460 & [2011] S.C.C.A. No.
119. The trial judges role is to decant and simplify:
Jacquard,
at para. 13;
Largie,
at para. 125. This court held
in
Largie
, at para.
125, It can nearly always be said that a trial judge could have reviewed the
evidence in greater detail. But that is not the test. The standard is adequacy,
not perfection.
[93]
In this case, the t
rial
judge did advert to the fact that Junior evaded service and the possibility
that he colluded with Nassundu when she summarized the parties positions.
[94]
The trial judge summarized the Crown position
that Junior evaded service because he did not want to have anything to do with
the criminal justice system, and the defence position that Junior colluded with
Nassundu and evaded service because he realized he made the wrong assumption
about who shot Nassundu. The trial judge also noted Juniors criminal record.
[95]
The Crown and both appellants counsel had reviewed
the possibility of collusion and Juniors evasion of service in their closing
submissions. The Crown submitted that Junior evaded service because he did not
want to participate in the justice system and that collusion was inconsistent
with the evidence. The appellants counsel submitted that Junior colluded with Nassundu
to identify the appellants as the shooters and that Junior evaded service because
he did not want to get caught in his lies.
[96]
Darkos counsel also noted
Juniors criminal record, Officer Ellis multiple efforts to serve Junior,
and the frailties of Juniors evidence given that he did not
testify at trial. Therefore,
by the conclusion of the
charge, the jury would have been aware of the possibility of collusion,
Juniors criminal record, and Juniors evasion of service.
[97]
Further, the appellants sought and obtained a
mid-trial instruction, pursuant to
R. v. Li,
2012 ONCA 291, 110 O.R. (3d) 321, at paras. 67-68, to explain that
there might be tactical reasons why the defence might not attack the
credibility of a witness at a preliminary inquiry, and therefore that the
cross-examination at a preliminary inquiry might not have been as extensive as
it would have been at trial.
[98]
The trial judge cautioned the jurors before they
heard Juniors preliminary inquiry evidence, to remember that you have not had
the benefit of observing [Junior] testify. Consider, as well, where there is
any real dispute about what [Junior] said in his evidence. Issues at a
preliminary hearing are different than at trial, including the issue of
credibility. Credibility is only determined by you, the jury. There are
tactical reasons why defence counsel may not have conducted a full
cross-examination of [Junior] at the preliminary hearing. She repeated this
instruction in the final charge.
[99]
During the pre-charge
conference,
Darkos counsel asked the trial judge to
repeat her mid-trial instructions on Juniors evidence in the final charge, which
the trial judge indicated she would do. The appellants counsel did not seek further
instruction or clarification on the issue, nor did the
appellants counsel object to the instruction on Juniors evidence in the final
charge.
[100]
It is expected that trial counsel will assist the trial judge on the
content of jury instructions and identify any concerns they have with the jury
charge:
Daley,
at
para. 58;
Largie,
at
para. 113. Failure to assist may be indicative of the seriousness of what is
later said to be an error on appeal:
Daley,
at para. 58;
Largie,
at para. 113. The absence of any request for further
instructions, in the pre-charge conference or as an objection to the charge
says something about
the overall accuracy of the jury instructions:
Jacquard,
at para. 38. Again, there is
no allegation of ineffective assistance of counsel.
[101]
For these reasons, the trial judge did not err in her instructions in
respect of Juniors evidence, and this ground of appeal must fail.
The Fifth Issue: The Appropriateness of
the Sentences
[102]
The sentencing judge imposed an 18-year sentence on each of the two
appellants.
[103]
The appellants submit that the sentencing judge (1) erred in her
analysis of the aggravating factors and (2) failed to address the
rehabilitative potential of both appellants. The appellants claim that these constituted
errors in principle that had an adverse effect on the sentences imposed.
[104]
Sentencing judges are owed considerable deference in imposing
sentences:
R. v. Lacasse,
2015 SCC 64, [2015] 3 S.C.R. 1089, at paras. 44, 48. An appellate
court is only entitled to intervene where the sentence is demonstrably unfit,
or where a sentencing judge erred in principle, failed to consider a relevant
factor, or erroneously considered an aggravating or mitigating factor and this
error had an impact on the sentence:
Lacasse,
at paras. 41-44, 48.
[105]
The sentencing judge considered the following aggravating factors in
respect of each of the two appellants:
i.
Daniel and Darko were driving and walking in
Toronto with loaded handguns and with obvious contempt for the lives and safety
of others;
ii.
They fired their guns in a residential
neighbourhood filled with families and children;
iii.
Before opening fire, they yelled at others to
get out of the way;
iv.
There was a real possibility others would be hit
and seriously wounded or killed;
v.
Their actions shattered the life of Mr.
Williams; and
vi.
Daniel has a criminal record, albeit dated, for
assault causing bodily harm.
[106]
The appellants claim the sentencing judge misstated Daniels criminal
record, stating that he had a dated record for assault causing bodily harm when
in fact his conviction was for criminal negligence causing bodily harm. In so
doing, the appellants submit that she overstated the appellants moral blameworthiness.
[107]
I agree that the sentencing judge misstated the particulars of
Daniels relatively minor criminal record, but this error did not have an
impact on the sentence. The sentencing judge accorded little or no weight to
this factor; she found that the fact Darko was a first offender was a
mitigating factor, but then noted that, given the gravity of the offence, the
absence of a criminal record [for Darko] does not play a major role in his
sentence.
[108]
Second, the appellants claim the sentencing judge considered the
same aggravating factor twice when she stated that, They fired their guns in a
residential neighbourhood filled with families and children and There was a
real possibility for others to be hit and seriously wounded or killed. The
appellants submit that these two factors are duplicate entries, and the
sentencing judge thus erred by overemphasizing this factor.
[109]
I disagree. The second factor considered that
this daylight shooting in a residential neighbourhood violated community
members sense of safety in the neighbourhood. The fourth factor, by contrast, considered
that the other individuals present at the time of this shooting were put at
risk of serious harm. As such, the factors are complementary, not duplicative.
Both factors were relevant to sentencing.
[110]
Third, the appellants claim the sentencing judge
erred by considering a factor that was not properly an aggravating factor. The
sentencing judge considered the fact that Before opening fire, they yelled at
others to get out of the way as an aggravating factor. The appellants submit
that this fact, when juxtaposed against the real possibility that others could
be hit, reflected their desire to mitigate the risk of harm to the bystanders.
[111]
I disagree. In listing this as an aggravating
factor, the sentencing judge appreciated that the appellants chose to take the
risk of firing in the direction of a group of bystanders. Thus, the appellants
subjectively recognized the risk and took the risk nonetheless. This factor
complemented the fact that there was an obvious possibility of inflicting harm,
which recognized that the risk was objectively real. Therefore, the factor that
the appellants yelled at others to get out of the way was appropriately
considered an aggravating factor.
[112]
The appellants also submit that the sentencing
judge failed to appreciate Darko and Daniels rehabilitative potential, which
she is obliged to do:
R. v. Disher
,
2020
ONCA 710, 153 O.R. (3d) 88, at paras. 22, 25, 27 & 60.
[113]
However, unlike the case in
Disher,
the sentencing judge did consider the appellants rehabilitative
prospects.
The
sentencing judge listed the programs each of the appellants completed while
incarcerated. She noted that Darko obtained his high school diploma and started
a course in business management. He completed anger management and employment
programs, and Bible courses. He was promoted to head server and cleaned the
range. Darkos long-term goal is to operate a delivery truck company with
Daniel. Similarly, Daniel completed high school credits, and participated in
workshops and Bible courses. He was also a server and cleaned the range.
[114]
She noted that the appellants had taken positive rehabilitative
steps, and she considered their rehabilitative efforts. However, she
concluded that the objectives of denunciation and deterrence are of primary
importance in this case, given that Daniel and Darko were convicted of firing
guns in a populated public place, jeopardizing the lives of others, out of
rage and anger, and with catastrophic consequences to the victim. This is
consistent with this courts comments in
R. v. Danvers
(2005)
,
199 C.C.C. (3d) 490 (Ont. C.A.), at para. 78, that our courts have
to address the principles of denunciation and deterrence for gun related crimes
in the strongest possible terms, particularly in the Toronto area. See also
R. v. Brown,
2009 ONCA 563, at para. 33.
[115]
I see no error in principle in the sentencing judges consideration
of the sentencing principles. Her conclusion is entitled to deference on
appeal.
I would therefore dismiss this ground of
appeal.
CONCLUSION
[116]
For the above reasons, as I noted at the outset, I would dismiss the
conviction appeals, grant leave to appeal the sentences, but dismiss the
sentence appeals.
J.A.
Thorburn J.A.
I
agree. P. Lauwers J.A.
Paciocco J.A. (dissenting):
OVERVIEW
[117]
I agree with most of what my colleague, Thorburn J.A. says. I cannot
agree, however, that the trial judge provided an adequate instruction on party
liability aiding in respect of Darko Stojanovski (Darko). Specifically,
the charge did not provide the jury with a functional understanding that in
order to convict Darko of attempted murder by aiding, the jury had to find that
Darko knew not only that Daniel Stojanovski (Daniel) intended to shoot Mr.
Williams but that Daniel intended to kill Mr. Williams. I would therefore allow
Darkos appeal of his attempted murder conviction.
[118]
The place to begin is in recognizing that a principal offender
cannot be convicted of attempted murder unless he had a specific intent to
kill. It is this intent, and nothing less, that furnishes the moral fault
required for this offence:
R. v. Ancio
, [1984] 1 S.C.R. 225. Offenders
may be convicted of murder based on constructive intention. But not of
attempted murder. For attempted murder, the
mens rea
the specific
intention to kill
is the principal ingredient of the crime:
Ancio
,
at p. 247.
[119]
In my view, this same principle applies to the offence of attempted
murder by aiding or abetting. Put otherwise, where the victim of an attempted
murder survives, the principal ingredient that warrants the kind of conviction
and sentence that Darko received in this case, is intentionally aiding the
assailant,
with the knowledge that the assailant intends to cause the
victims death
.
[120]
When instructing the jury on the charge of attempted murder, this
principal ingredient escaped mention. The trial judge never once directed the
jury that they had to find that Darko knew that Daniel intended to kill Mr.
Williams in order to convict him of attempted murder for having driven Daniel
to the victim. In fact, when read as a whole, the charge erroneously suggests
that Darko could be convicted of attempted murder by aiding even if he only
intended to assist Daniel to shoot Mr. Williams.
[121]
My colleague effectively concludes that the jurors would have been
able to glean the specific intent
mens rea
requirement for attempted
murder by aiding, from what they were told about the elements of attempted
murder that apply to the principal offender, and from the instructions they
received relating to the
mens rea
requirement for aiding more
generally. With respect, I cannot agree.
[122]
As I will detail below, on both occasions when the trial judge
addressed criminal liability for aiding, the comments that she made were
general and entirely susceptible to being interpreted to mean that if Darko
drove the car to Mr. Williams knowing that Daniel was going to shoot Mr.
Williams, and if Daniel committed attempted murder, Darko would also be guilty
of attempted murder.
[123]
This, on its own, would have been enough to prevent me from
concluding that the charge provided the jurors with a functional understanding
of the principal ingredient in an attempted murder by aiding charge. What
drives this outcome home, in my view, is that elsewhere in her charge the trial
judge reinforced the misconception that if Darko drove the car to Mr. Williams
knowing that Daniel was going to shoot Mr. Williams, and if Daniel committed
attempted murder, Darko would also be guilty of attempted murder. Specifically,
the trial judge recounted for the jury, without any qualification or
correction, the Crowns legally erroneous and misleading statement that Darko
would be guilty of attempted murder if he aided Daniel
by driving him within
feet of Mr. Williams and stopping his car so that his brother could shoot Mr.
Williams.
ANALYSIS
[124]
In elaborating on my position, I will first consider the trial
judges charge on the elements of the offence of attempted murder, then I will
examine the general comments the trial judge made about the elements of aiding,
and then I will look more closely at the broader circumstances that require
consideration on this appeal, including the trial judges direction relating to
the Crowns late-breaking theory of liability.
The Charge on the Offence of Attempted Murder
[125]
In her jury charge, the trial judge correctly described the elements
of attempted murder that apply to a principal of that offence. Of importance to
the instant appeal, she explained that to be guilty of attempted murder, the
assailant must have meant to kill the victim. This, of course, tells us what
the
mens rea
requirement is for the assailant, but it tells us nothing
about the
mens rea
requirement for an aider who assists the assailant
in committing the offence of attempted murder. As McIntyre J. made clear in
Ancio
,
at p. 247, criminal attempt is itself an offence separate and distinct from
the crime alleged to be attempted. It follows, therefore, that the
mens
rea
requirement for criminal attempt is necessarily separate and distinct
from the crime alleged to be attempted.
The Charge on Aiding
[126]
What, then, of the trial judges comments relating to the law of
aiding? She directed the jury twice on the law of aiding, in identical terms.
The material comments she made are as follows:
An aider may help another person commit an
offence by doing something. It is not enough that what the aider does has the
effect of or resulted in helping the other person commit the offence. The aider
must intend to help the other person commit the offence. Actual assistance is
necessary. This is the conduct requirement.
It is not enough that the other person was
simply there when the crime was committed by someone else. In other words, just
being there does not make a person guilty as an aider. Sometimes, people are in
the wrong place at the wrong time.
On the other hand, if a person knows that
someone intends to commit an offence and goes to or is present at a place where
the offence is committed, to help the other person commit the offence, then
that person is an aider of the others offence and he is equally guilty of it
.
Aiding relates to a specific offence. An aider
must do something or give assistance for the purpose of helping the other
person commit the offence. The state of mind requirement expressed by the term
purpose requires Crown counsel to prove both intent and knowledge.
For intent, Crown counsel must prove that
Darko Stojanovski intended to help Daniel Stojanovski to commit the offences,
although Crown counsel need not prove that Darko Stojanovski desired the successful
commission of the offences.
For knowledge, Crown counsel must prove that
Darko Stojanovski knew that Daniel Stojanovski intended to commit the offences,
although Crown counsel need not prove that Darko Stojanovski knew precisely how
Daniel Stojanovski would commit the offences. [Emphasis added.]
[127]
I will make two observations about this instruction. First, the
trial judge provided this direction without distinguishing between the charged
offence of attempted murder by aiding and the charged offence of discharging a
firearm with intent to endanger life by aiding, and without instructing the
jury on how the evidence applied to the elements of each, or either, offence.
As a result, her comments about the elements of aiding remained general
throughout the instruction and provided no specification as to what exactly the
Crown needed to prove to secure a conviction of attempted murder by aiding.
[128]
The trial judge was required to give that specification. As this
court instructed in
R. v. Huard
, 2013 ONCA 650, 302 C.C.C. (3d) 469 at
para. 64, leave to appeal refused, [2014] S.C.C.A. No. 13, a trial judge should
link the essential elements to the offence at issue when instructing the jury.
Yet nowhere does the trial judge do so in this case. Most critically, the trial
judges direction gave no indication to the jurors that in order to be guilty
of attempted murder by aiding, Darko would have to know when he aided Daniel
that Daniel intended not just to shoot Mr. Williams, but to kill him. In my
view, this was a non-direction amounting to a misdirection.
[129]
Second, the direction that was given speaks variously about the
offence, an offence and Daniels offences. This general language, coupled
with the failure by the trial judge to identify the specific charges she was
referring to, created confusion about what Darkos precise mental state must be
in order to be convicted of attempted murder by aiding. Indeed, when the
comments the trial judge made about aiding are read as a whole, there is a very
real prospect that the jury may have understood that if Darko intended to help
Daniel commit any offence, such as a shooting, he would be equally guilty of
any offence that Daniel ultimately committed, namely attempted murder. This
risk is particularly pronounced given that this is an entirely plausible
understanding of what the trial judge said in the third paragraph quoted above,
which I have emphasized, in which the jury is invited to convict the aider of
the others offence if the aider knows that the principal offender intended
to commit an offence.
[130]
My colleague finds solace in the trial judges instruction that
aiding relates to a specific offence. With respect, I cannot agree. In my
view, this general statement does not provide meaningful instruction about what
Darkos state of mind must be in order to be guilty of attempted murder as an aider.
The trial judge does not explain the specific offence to which aiding must
relate nor did she identify what kind of relationship she is referring to, or
the significance of that relationship.
[131]
I appreciate that in determining whether a charge provides a
functional understanding we can safely infer that juries will apply common
sense in interpreting what the trial judge has said. It is important to
remember, however, that specific intention is a
mens rea
concept, a
technical legal device for ensuring appropriate restraint in the allocation of
the moral blame that the criminal law requires. It is asking too much of common
sense to expect that the jurors in this case could reinterpret what the trial
judge said in order to understand that before they could find Darko guilty of
attempted murder by aiding, they would have to find that Darko knew
specifically that Daniel intended not only to shoot Mr. Williams, but to kill
Mr. Williams. Indeed, it would not grate against common sense to erroneously
believe that if Darko intended to help Daniel shoot Mr. Williams, and if Daniel
committed the offence of attempted murder in doing so, then both Daniel and
Darko would be guilty of that offence. As the following discussion will
demonstrate, even despite legal training, the Crown at trial was certainly
labouring under this misconception, and it appears likely that the trial judge
was as well. Quite simply, I see no basis upon which it can safely be inferred
that the jury acquired a functional understanding of the
mens rea
element
of the offence of attempted murder by aiding from the trial judges generic and
confusing charge on aiding, even bearing in mind that they would have
understood the
mens rea
element of attempted murder that would apply
to the principal offender.
The Remaining Relevant Circumstances
[132]
As indicated above, any prospect, however remote, that the jury may
have gained a functional understanding of the specific intent required for the
offence of attempted murder by aiding was destroyed entirely by the trial judge
recounting to the jury the Crowns position relating to Darkos party liability
for attempted murder. My colleague reproduces, in para. 53 above, the Crowns
misleading and erroneous representation to the jury that it could convict Darko
of attempted murder by aiding if Darko drove the car to Mr. Williams knowing
that Daniel was going to shoot Mr. Williams. When recounting the Crowns
position, the trial judge said to the jury:
The position of the Crown is that even if
Darko Stojanovski did not fire the gun because he did not want to hit his
brother or anyone other than his target, he aided Daniel Stojanovski by driving
within feet of Mr. Williams and stopping his car so that his brother could
shoot Mr. Williams. Thus, Daniel Stojanovski is guilty of attempted murder and
Darko Stojanovski is equally liable of attempted murder.
[133]
That, of course, is a direct invitation to the jury to commit the
very error that the trial judges charge on aiding left open; if Darko drove
the car to Mr. Williams knowing that Daniel was going to shoot Mr. Williams,
and if Daniel committed the offence of attempted murder in doing so, then both
Daniel and Darko would be guilty of attempted murder.
[134]
Unlike my colleague, I take no solace in the fact that the trial
judge was simply quoting the Crowns position when she provided this misleading
and erroneous description of the law to the jury. I say so for two reasons.
First, if a party misstates the law, a trial judge should not repeat that
mistaken position in the jury charge unless it is for the purpose of correcting
the error. Quite naturally, a jury would infer absent such correction that the
position being repeated before them by the trial judge is a correct one,
available for them to accept. I have no doubt that the jury would have taken
what the trial judge said when recounting the Crown position as an instruction
that this is an acceptable path to conviction notwithstanding that this
position is wrong in law. In my view, it was a misdirection.
[135]
Second, at no other point in her direction did the trial judge
instruct the jury on the application of the evidence to the elements of the
offence of attempted murder by aiding. The trial judges rehearsal for the jury
of the Crowns mistaken position was the only guidepost provided to the jury in
the charge on how the law should be applied to the material evidence. I am
convinced that this eradicated even the remote prospect that the jury might
somehow have correctly patched together what the law requires from the general
comments the trial judge made relating to aiding and what she said about the
elements of attempted murder when committed by the principal offender.
[136]
My colleague relies in her decision on the fact that Darkos trial
counsel failed to object to the charge. In the circumstances of this case, the
failure to object tells us nothing about the legal correctness of the charge,
or its sufficiency, other than that Darkos trial counsel may have been as
unclear on what the law required as the Crown was and the trial judge appears to
have been. There can be no suggestion that Darkos trial counsel made a
tactical decision not to seek an instruction on the principal ingredient of the
crime of attempted murder by aiding. There would be nothing to gain by
foregoing the benefit of this legal rule, and everything to lose. Nor can there
be any realistic suggestion that Darkos trial counsels failure to object
amounts to an acknowledgement that the charge was legally correct and
sufficient, or that any error it contained was unimportant. The trial judges
inadequate and erroneous charge did not relate to a secondary consideration. It
went to the core of what the law requires for conviction of attempted murder by
aiding. In my view, the failure of Darkos trial counsel to object to the fundamental
errors that I have identified can have no bearing on the outcome of this
appeal. That failure to object does not in any way relieve the trial judge of
the obligation to correctly charge the jury.
[137]
In fairness to the trial judge, the Crowns theory of liability that
led to the insufficient and erroneous charge was a late-breaking development in
the trial. At the outset of the case, the Crowns only theory of liability was
that both Darko and Daniel shot Mr. Williams. The prospect that Darko aided
Daniel by driving the car to the victim to facilitate the shooting was not
available because the evidence of the Crown witnesses, including Mr. Williams,
was that Daniel was the driver, not Darko. It was only after Darko testified in
his defence and admitted to being the driver that this alternative theory of
liability became available.
[138]
The issue of party liability was raised, but only briefly, during
the pre-charge conference prior to the jury submissions. In its jury submission,
the Crown asked the jury to consider party liability, but the Crowns
submissions in that regard were unclear, and the trial judge subsequently told
the Crown so. She then began to read her charge to the jury.
[139]
The next day, the Crown sought to clarify its position before the
charge resumed, apologizing for the confusion. The Crown told the trial judge
that its position was that either both men shot Mr. Williams or only Daniel
did. Still unsatisfied, the trial judge attempted to gain a clear articulation
of the Crowns position by paraphrasing her understanding of what the Crown was
saying:
The Court: And then even if even if Darko
did not fire his gun, he aided Daniel by driving him within feet of [Mr.]
Williams and stopping his car so that his brother could shoot.
Mr. Arnold: Correct.
The Court: Thats Daniels guilty of attempted
murder and Darko is equally liable
Mr. Arnold: Correct.
The Court:
of attempted murder.
Mr. Arnold: Correct.
[140]
Of course, it does not follow as a matter of law that if Darko drove
Daniel within feet of Mr. Williams and stopped so that Darko could shoot him,
that both Daniel and Darko would be equally guilty of attempted murder. Darko
would not be guilty of attempted murder unless he drove Daniel within feet of
Mr. Williams and stopped with the knowledge that Daniel intended to kill Mr.
Williams. Hence the judges paraphrase, which she was later to repeat for the
jury, is a dangerous misconception of the law. It is the fact that the trial
judge twice uttered this inaccurate legal statement without correction or
qualification that drives me to the conclusion that the trial judge does not
appear to have understood what the law requires.
[141]
It is also noteworthy that no doubt because the Crowns attempted
murder by aiding theory of liability was a late-breaking development, the trial
judge provided the jury with a decision tree for the elements of attempted
murder that would apply to the shooter or shooters, but did not provide a
decision tree that would apply to Darkos potential liability for attempted
murder by aiding. It is also probable that it was the late-breaking change in
the Crowns theory of liability that contributed to the failure by the trial
judge to discharge her obligation to explain to the jury how the evidence or
facts relate to the elements of attempted murder by aiding:
R. v. Jacquard
,
[1997] 1 S.C.R. 314, at para. 14;
R. v. Newton
, 2017 ONCA 496, 349
C.C.C. (3d) 508, at para. 13.
[142]
To be clear, I agree with my colleague that the Crown was entitled
to raise this alternative theory of liability, and that Darko was not unfairly
prejudiced by this late-breaking development. However, in my view, this case is
a cautionary tale of the perils of late-breaking changes in theory. Where this
occurs, the party initiating the change, and the trial judge, must find a way
to ensure that they are properly prepared so that the kind of problems that I
have identified in this jury charge do not arise.
CONCLUSION
[143]
I have borne in mind that an appellant is not entitled to a perfect
charge, only a functional and legally correct one that leaves the jury with a
sufficient understanding of the facts as they relate to the relevant issues:
Jacquard
,
at para. 14;
Newton
, at para. 13. But this charge was neither
functional nor legally correct. As indicated, the trial judge failed to link
the essential elements of aiding to the charged offence. And at no point did
she tell the jury that to find Darko guilty of attempted murder by aiding they
would have to find that he had specific knowledge that Daniel intended not only
to commit an offence by shooting Mr. Williams, but that Daniel intended to
kill Mr. Williams. Instead, she provided only general comments about the nature
of aiding, employing variable references to an offence, the offences and
Daniels offences. And she included a passage in her description of the law
of aiding that, in its generality, would incorrectly support Darkos guilt as
an aider of attempted murder if he simply intended to help Daniel shoot Mr.
Williams. Moreover, because of the late-breaking change in the Crowns theory
of liability, a decision-tree was not made available to assist the jury in
understanding the elements of attempted murder by aiding. This alone would have
been enough for me to find error. But, in my view, the inclusion by the trial
judge in her charge of the Crowns erroneous theory of liability was a complete
coup de gras
to any reasonable finding that a jury would be able to
patch together an understanding of the specific intent requirement of attempted
murder by aiding.
[144]
I am persuaded that the charge relating to the
mens rea
required for attempted murder by aiding was not only insufficient. By leaving
it open to the jury to accept the erroneous Crown theory of liability, the
charge constituted a material error of law.
[145]
I would allow Darkos appeal and order a new trial. I agree with my
colleague that Daniels appeal cannot be allowed. This error affected Darko
alone. I would therefore dismiss Daniels appeal.
Released: March 1, 2022 P.L.
David M.
Paciocco J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Yatar v. TD Insurance Meloche
Monnex, 2022 ONCA 173
DATE: 20220228
DOCKET: M53036, M53066 & M53084 (C69874)
Strathy
C.J.O. (Motions Judge)
BETWEEN
Ummugulsum
Yatar
Applicant (Appellant)
and
TD Insurance
Meloche Monnex
Respondent (Respondent)
and
Licence
Appeal Tribunal
Respondent (Respondent)
Jillian Van
Allen, for the appellant
Derek R.
Greenside, for the respondent TD Insurance Meloche Monnex
Valerie
Crystal and Trevor Guy, for the respondent Licence Appeal Tribunal
Nabila F.
Qureshi and Anu Bakshi, for the proposed intervener Income Security Advocacy
Centre (M53036)
Fabio Longo
and Gerry Antman, for the proposed intervener Ontario Trial Lawyers Association
(M53066)
Ryan Hardy,
for the proposed intervener Advocacy Centre for Tenants Ontario (M53084)
Christopher
P. Thompson, for the intervener the Attorney General of Ontario
Heard: January 12, 2022 by video conference
ENDORSEMENT
[1]
This proceeding is an appeal, with leave of this
court, from the decision of the Divisional Court in
Yatar v. TD Insurance
Meloche Monnex
, 2021 ONSC 2507. The moving parties seek leave to intervene
in the appeal.
[2]
The Attorney General of Ontario has requested,
and I have granted, leave to intervene pursuant to s. 9(4) of the
Judicial
Review Procedure Act
, R.S.O. 1990, c. J.1. Pursuant to that provision, the
Attorney General is entitled to be heard as of right on an application for
judicial review.
[3]
On January 12, 2022, I granted leave to
intervene to Advocacy Centre for Tenants Ontario (ACTO) and dismissed a motion
for leave to intervene by Ontario Trial Lawyers Association (OTLA). I reserved
my decision on a motion for leave to intervene by Income Security Advocacy
Centre (ISAC) and subsequently advised counsel that ISACs motion would be
granted. My dispositions indicated that reasons would follow, and these are my
reasons.
[4]
The underlying proceeding is a claim by Ms.
Yatar for statutory accident benefits under the
Statutory Accident Benefits
Schedule Accidents on or After November 1, 1996
, O. Reg. 403/96 (
SABS
).
Her claim was rejected by the insurer and her benefits were terminated. After a
failed mediation, she brought her claim before a Licence Appeal Tribunal
(LAT) adjudicator. The adjudicator found that Ms. Yatars claim was
time-barred. The same adjudicator dismissed her request for reconsideration.
[5]
Ms. Yatar appealed to the Divisional Court. She
also brought an application for judicial review. As the Divisional Court
explained, it has jurisdiction to hear a statutory appeal on a question of law
under s. 11(6) of the
Licence Appeal Tribunal Act, 1999,
S.O. 1999, c.
12, Sch. G. Section 280(3) of the
Insurance Act,
R.S.O. 1990, c. I.8
and s. 2(1) of the
Judicial Review Procedure Act
preserve the right of
judicial review, notwithstanding any right of appeal.
[6]
The Divisional Court dismissed Ms. Yatars
appeal, finding that there was no error of law. The Divisional Court also
dismissed the application for judicial review. It noted that judicial review is
a discretionary remedy and it set out certain factors that it had considered in
deciding whether to exercise its discretion to hear a judicial review of an
application from a LAT
SABS
decision where there is no error of law.
Having considered those factors, and taking them into consideration, the
Divisional Court concluded, at para. 46:
Taking all the above factors into
consideration, I conclude that
judicial review of a LAT
SABS decision is only available, if at all, in exceptional circumstances
.
There are no exceptional circumstances here that would lead me to exercise my
discretion to judicially review the questions of fact and mixed fact and law
raised by the applicant in her judicial review application. [Emphasis added.]
[7]
The proposed interventions focus primarily on the
Divisional Courts observation that in cases where there is a limited statutory
right of appeal, judicial review is only available, if at all, in exceptional
circumstances.
[8]
I will summarize the basis on which the moving
parties propose to intervene.
[9]
ACTO is a legal clinic, devoted to advocacy in a
number of forums concerning housing issues. It is concerned about the impact of
the Divisional Courts decision on the ability of tenants to seek judicial review
in the face of a limited right of appeal on a question of law under s. 210 of
the
Residential Tenancies Act, 2006
, S.O. 2006, c. 17. It submits that
the Divisional Courts decision is inconsistent with the Supreme Courts
guidance in
Canada (Minister of Citizenship and Immigration) v. Vavilov
,
2019 SCC 65, 441 D.L.R. (4th) 1, which it says created space for concurrent or
alternative judicial reviews for matters subject to a statutory right of appeal.
[10]
ISAC, like ACTO, is a specialized legal clinic.
It focuses on advocacy related to income security, with an emphasis on social
assistance and other government programs aimed at addressing poverty. Unlike
ACTO, whose clients are generally seeking to
retain
a benefit, ISACs clients are generally
seeking
a
benefit, such as social assistance or income support. Much of ISACs work takes
place in administrative tribunals, such as the Social Benefits Tribunal. Its
interest in the issue on appeal is because social benefits legislation
generally contains a limited statutory right of appeal. If granted leave to
intervene, its submissions will focus on two issues: the interpretation of
statutory rights of appeal in the context of remedial legislation; and the
impact on social assistance recipients of restricting judicial review to
exceptional circumstances in the face of limited appeal rights.
[11]
OTLA is involved in advocacy on behalf of accident
victims, among others. It submits it has specialized knowledge and experience
with accident benefits legislation and litigating accident benefit disputes on
behalf of injured Ontarians. Although OTLA set out a number of proposed
arguments in its factum, in oral argument it limited its proposed submissions
to three: (1) the LAT adjudicator made a legal error in failing to properly
apply the legal principles in s. 33 of the
SABS
; (2) the LATs
decision that the appellants claim was time-barred was an error of law and
inconsistent with this courts decision in
Tomec v. Economical Mutual
Insurance Company
, 2019 ONCA 882, 148 O.R. (3d) 438, leave to appeal
refused, [2020] S.C.C.A. No. 7; and (3) the impact of the LAT decision for
motor vehicle accident victims.
[12]
In granting leave to intervene, the court looks
at the nature of the case, the issues that arise and the likelihood that the
proposed intervener will be able to make a useful contribution to the
resolution of the appeal without injustice to the immediate parties. Part of that
assessment examines the experience and perspective the proposed intervener
would bring to the table at the hearing of the appeal. The court also looks to
whether granting leave to intervene would cause hardship or prejudice to the
parties to the appeal. One concern, particularly in a case like this, which at
its core is a civil dispute, is to ensure that the intervener(s) do not
overwhelm the appeal, or pile on one of the parties.
[13]
In this case, there can be no serious dispute
that each of ACTO, ISAC and OTLA is qualified to act as an intervener in a case
of this kind. They are all well-recognized organizations, with special
expertise and an identifiable interest in the subject-matter of these
proceedings. They each have a strong track record as interveners in important
cases. And they would bring to the appeal a somewhat broader perspective that
is distinct from the immediate parties.
[14]
In resisting the motions for leave to intervene,
the respondent on the appeal submits that this is primarily a private dispute,
involving issues that are of importance only to the parties on the appeal, and
that leave to intervene should not be granted. I do not accept that submission.
[15]
The issue raised on the appeal the scope of
judicial review in the context of a statutory right of appeal is an important
question of law that has implications well beyond the immediate parties to the
appeal. This case, therefore, is well along the continuum between
constitutional litigation on the one end, and a purely private dispute at the
other end. The implications of the decision to other statutory schemes make
this the kind of case in which the court would benefit from the perspectives
offered by interveners.
[16]
I was satisfied that both ACTO and ISAC would
bring a unique perspective to the appeal a perspective that differs from the
appellants but is not inconsistent with it. They would be able to assist the
court in its appreciation of the implications of the decision of the Divisional
Court in other contexts where there is a limited statutory right of appeal.
[17]
I concluded, however, that OTLAs submissions
were largely duplicative of the submissions of the appellant on the appeal. The
appellant is represented by counsel experienced in personal injury and accident
benefits litigation, who is well equipped to address the issues on the appeal.
Moreover, OTLAs submissions go directly to the merits of the appeal, something
that should generally be left to the parties themselves.
Finally,
in light of my decision to grant leave to intervene to both ACTO and ISAC, I
have concluded that granting leave to intervene to a third intervener would be
unfair to the respondent in this case and unnecessary for the assistance of the
court.
[18]
The motions of ACTO and ISAC were granted on the
usual terms. OTLAs motion is dismissed, without costs.
G.R.
Strathy C.J.O.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Gefen Estate v. Gefen, 2022 ONCA 174
DATE: 20220302
DOCKET: C67633, C67724 & C68850
Pepall, Tulloch and
Roberts JJ.A.
DOCKET: C67633
BETWEEN
Lucia Saunders as Estate Trustee
of the Estate of Yehuda Gefen, deceased
Applicant (Respondent)
and
Henia Gefen
, and Ronald Rutman as Estate Trustee
During Litigation of the Estate of Elias Gefen, deceased
Respondents (
Appellant
)
DOCKET: C67724
AND BETWEEN
Henia Gefen in her personal capacity and
as Estate Trustee of the Estate of Elias Gefen
Plaintiff
and
Arie Gaertner, Miller, Canfield, Paddock and
Stone LLP,
The Jewish Home for the Aged, Baycrest Hospital,
Baycrest Centre for Geriatric Care,
Yehuda Gefen and Harry Gefen
Defendants
AND BETWEEN
Harry Gefen
Plaintiff by Counterclaim (Appellant)
and
Henia Gefen in her personal capacity and
as Estate Trustee of the Estate of Elias Gefen,
Harvey Gefen, Ashley Gefen
, Dundas-Thickson Properties Ltd.,
1393522 Ontario Limited and 1585708 Ontario Limited
Defendants by Counterclaim (
Respondents
)
AND BETWEEN
Harry Gefen
Third Party Plaintiff (Appellant)
and
Harvey Gefen
Third Party Defendant (Respondent)
DOCKET: C68850
AND BETWEEN
Henia Gefen in her personal capacity and
as Estate Trustee of the Estate of Elias Gefen
Plaintiff (
Appellant
)
and
Arie Gaertner, Miller, Canfield, Paddock and
Stone LLP,
The Jewish Home for the Aged, Baycrest Hospital,
Baycrest Centre for Geriatric Care,
Yehuda Gefen and Harry Gefen
Defendants (
Respondents
)
AND BETWEEN
Harry Gefen
Plaintiff by Counterclaim (Respondent)
and
Henia Gefen in her personal capacity and
as Estate Trustee of the Estate of Elias Gefen
,
Harvey Gefen, Ashley Gefen, Dundas-Thickson Properties Ltd.,
1393522 Ontario Limited and 1585708 Ontario Limited
Defendants by Counterclaim (
Appellant
)
Lionel Tupman and Arieh Bloom, for the appellant Harry
Gefen
Ronald Moldaver, for the respondents Henia, Harvey and
Ashley Gefen
Christopher Graham, for the respondent Lucia Saunders,
as Estate Trustee of the Estate of Yehuda Gefen
Heard: October 13, 2021 by video conference
On appeal from the judgment of Justice Jessica Kimmel of
the Superior Court of Justice, dated October 17, 2019, with reasons reported at
2019 ONSC 6015 and 2019 ONSC 6017.
Pepall J.A.:
Introduction
[1]
Elias and Henia Gefen were married for 65 years. They were Holocaust
survivors from Poland who immigrated to Canada in 1951. They had very little when
they started out. Elias was a roofer and Henia, a homemaker. They were a
hard-working couple, and over the years they invested in real estate which
became very valuable. The couple had three sons: Harvey, Harry, and Yehuda.
During their lifetimes, the couple were very generous with each of their three
sons.
[2]
Elias and Henia had mirror wills, and when Elias died on October 28,
2011, his estate passed absolutely to Henia, and she was named as his sole
executor.
[3]
Two months before he died, Elias signed a document that is at the heart
of this case. This document served as the anchor for Harry and Yehudas
argument that there was a secret trust and a mutual wills agreement that
operated to divide Elias Estate into equal shares for the three sons on
Henias death.
[4]
The family dynamics were discordant and characterized by conflict. Henia
did not feel that her two younger sons, Harry and Yehuda, should receive any of
her or Elias money. Between 2011 and 2016, she made various
inter vivos
gifts to Harvey. In 2013, Henia sued Harry and Yehuda; counterclaims and
third-party claims ensued, and since that time, they have all been embroiled in
litigation: Henia, Harvey, and his daughter Ashley versus Harry and Yehuda. Yehuda
died at the age of 65 on May 6, 2016, leaving no issue. His Estate is
represented in the litigation by his partner who is also his estate trustee,
Lucia Maria Saunders.
[5]
The trial took place in 2018 and 2019. It lasted six weeks and was hard
fought. The parties called 22 witnesses and argued 21 fully briefed motions. It
had been preceded by over 60 pre-trial motions. Henia effectively abandoned her
main claims by electing not to call any evidence at the outset of the trial. As
such, the trial involved various claims by Yehudas Estate and Harry against
Henia, Harvey and Ashley,
[1]
and a claim by Henia relating to ownership of a condominium against Yehudas
Estate.
[6]
The trial judge gave detailed and thoughtful reasons for decision.
Before this court, Harry alone challenges her conclusion that he and Yehuda had
failed to establish a mutual wills agreement or a secret trust, and by failing
to void certain
inter vivos
transfers
by Henia in favour of Harvey. Henia challenges the trial judges conclusion
that the joint tenancy in the condominium was severed in favour of Yehudas
Estate, and also takes issue with the trial judges factual finding on the real
property encompassed by Elias Estate. For the reasons that follow, I would
dismiss all of the appeals.
Background
Facts
[7]
At trial, Harry and Yehudas Estate sought a proportionate one-third
share of the collective wealth and assets accumulated by Elias and Henia over
their lifetimes, all of which was held by Henia following Elias death in 2011.
She was a very wealthy woman after Elias died, with a fortune estimated to be
in the $30 million range. By the time of the trial, Henia had transferred
a significant portion of this wealth to Harvey and Ashley, and her net worth
had been depleted by at least 50%. In addition, she had purported to confirm
indebtedness and granted security over all her remaining assets in favour of
Harvey and his family. Her physician, Dr. Shulman, was asked to undertake
capacity assessments of Henia in 2012 and 2014, specifically with respect to her
transfers to Harvey and Ashley.
[8]
Dr. Shulman concluded that Henia understood the nature of the wealth and
assets she was transferring, as well as the value. Her rationale for these transfers
was to reward her son Harvey, whom she considered to have been devoted and
hardworking and to have helped her with her investments and property
development. She felt that her other two sons had made no contribution. She
also wanted to benefit her granddaughter Ashley, of whom she was extremely
proud. Dr. Shulman concluded, both in 2012 and 2014, that Henia was competent.
She remained completely lucid and aware of her current financial and personal
circumstances and was capable of having made these substantial transfers to
Harvey and Ashley.
[9]
Elias and Henias assets were comprised of cash, cash equivalents and
holdings in commercial real estate. The couples assets also included a joint
tenancy in a condominium at 11 Townsgate Drive in North York. It was Eliass
and Henias matrimonial home. In October 2010, Elias and Henia transferred the
condominium into their joint names and that of Yehuda. When Elias died, Henia
and Yehuda held the property as joint tenants. Yehudas death in 2016 led to a
survivorship application by Henia, and questions over whether Yehudas joint
tenancy had been severed prior to his death. If it had been severed, Henia and
Lucia Saunders as Estate Trustee would hold the property as tenants in common.
If not, it would be held by Henia alone.
[10]
In
October 2007, Elias and Henia signed primary and secondary mirror wills. The
wills granted to the surviving spouse the residue of the deceased spouses
estate for his or her own use absolutely, with a gift over of the residue to
their three sons if the other spouse did not survive for 30 days. The lawyer
who prepared the wills, Noah Okell, is Henias nephew. At trial, he testified
that neither Elias nor Henia ever told him that they had an agreement not to
change their 2007 wills, nor did they give him any indication that they wanted
to place any restrictions on the survivors ability to use or deal with the
estate as they wished, nor that they desired any equalization or accounting of
the gifts and property they had given to their sons during their lifetimes.
[11]
In
2011, Elias was ill with lymphoma and in care at Baycrest Hospital. In June
2011, he granted Yehuda power of attorney for his personal care.
[12]
Harvey
had been managing Elias real estate assets. Elias became concerned and
instructed a lawyer, Arie Gaertner, to investigate the status of the business
interests that were being managed by Harvey and to take such legal steps as
were necessary to protect Elias estate. Ultimately, on August 10, 2011, Stephen
Greenberg was granted a power of attorney over Elias property to make
inquiries and to look into whether Harvey had undertaken transactions involving
Elias property that Elias was unaware of. No one suggested that Elias lacked
the capacity to retain and instruct counsel, or to execute any of the legal
documents in the timeframe prior to his death. Harvey and Henia were upset that
Elias had retained and instructed counsel without their knowledge, and Henia
was particularly upset about the Greenberg power of attorney.
[13]
On
August 17, 2011, Elias and Harvey signed a document that is at the centre of
the mutual wills and secret trust claims. Harry maintains that the document
evidences a mutual wills agreement between Elias and Henia. The document was
handwritten by Harvey and prepared without the assistance of counsel. Key
paragraphs stated:
I, Elias Gefen direct my son Harvey & my wife Henia to immediately
get rid of & revoke the Power of Attorney over Property given to Mr.
Greenberg whom I do not know whatsoever. I understand that this took away my
wifes P of Attorney over Property given by myself to my wife & prepared by
my own lawyer Noah Okell. I did not intend to do this in any way. Only Henia
has had or will have Power of Attorney
I ask that my wife be given back the Power of Attorney over
Property
and
only
my
wife
as she and I both built
up the estate and own it together jointly as one pocket. Only Noah and Noah
alone will represent myself and or my wife with respect to any will &
estate work & our properties.
I further confirm that my latest will
[2]
as prepared by Noah has not knowingly been changed by myself to date nor will
it be changed during my life. My wife Henia has told me that she also will not
change the will either & that our intentions that the estate be divided
equally between our 3 sons after our death stands.
In my condition I am tired & confused & do not
understand everything & I want only Noah to be my lawyer so this will not
happen again, any legal documents notwithstanding.
[14]
That
evening, in the presence of Harveys former lawyer and high school classmate, Nestor
Wolicki, Elias signed a revocation of the Greenberg Power of Attorney and a new
Power of Attorney for Property in favour of Henia. He also signed the
handwritten document as did Harvey. Henia did not sign it, nor was she present
when it was discussed, prepared, and signed.
[15]
Although
Henia did not sign the August 17 document, she testified that it was consistent
with certain testamentary intentions that she held both prior to and at that
time, in that:
a.
it was her
intention never to change her will during Elias lifetime, such that he would
always inherit the residue of her estate if she died first. In her words One
will --- me and my husband --- me to my husband and my husband to me;
b.
it was her
intention that the residue of their estate be divided equally between their
three sons after their deaths.
[16]
Elias
interactions with each of his sons were tainted in the latter years of his life
by their efforts to secure their respective financial positions. Elias was
upset after visits from Harry and Yehuda during which they asked for, or about,
the family finances. Meanwhile, on August 16 and October 15 (the day that Elias
suffered his fatal cardiac arrest from which he never recovered consciousness
and died two weeks later, on October 28, 2011), Harvey secretly made video
recordings of Elias which display a tone of badgering by Harvey of Elias about
legal and financial matters. The Baycrest Hospital records during the summer of
2011 provided insight into the negative effects of the family discord on Elias.
Dr. Schwartz, Elias treating physician, testified on the family conflict that
was greatly upsetting and distressing Elias. Mr. Gaertner testified on his
concerns about the constant attempts of family members to influence Elias
decisions and all the infighting that was wearing Elias out. That said, none
succeeded in influencing Elias to make any changes to the status of the
ownership of the real estate holdings or his testamentary dispositions.
[17]
Following
a family meeting at Baycrest on August 30, 2011, family visits were restricted
and supervised by personal care workers. Henia came to believe that Harry and
Yehuda had embarked on a campaign to keep her away from Elias while he was
dying, and that Mr. Gaertner and Baycrest facilitated this campaign. This
animated her claims against all of them that were effectively abandoned at the
outset of the trial.
[18]
In
furtherance of his mandate to investigate, Mr. Gaertner reported to Elias on
August 25, 2011 that Mr. Gaertners request to meet with Harvey and Henias
lawyers had been ignored, and that Elias may have reason to suspect that Harvey
and/or Henia may have something to hide. Mr. Gaertner recommended that Elias
change his 2007 wills to provide for Henia in accordance with statutory
obligations and to leave the rest to be divided equally among the three sons,
with the inclusion of some mechanism for the trustee to be satisfied that
monies or assets had not been taken without Elias knowledge or consent. Elias
instructed him to prepare a new will in accordance with those recommendations,
but Elias had not yet decided to sign it. Draft wills were never reviewed or
considered by Elias.
[19]
On
October 17, 2011, Mr. Gaertner wrote in a letter to the members of the Gefen
family and their counsel advising that Elias would not change his will, [b]ased
on his firmly held belief, brought about by the repeated assurances from his
wife and Harvey, that his wife will not change her current will (i.e., the one
prepared by Mr. Okell concurrently with Mr. Gefens own will) nor transfer any
of his or her assets during her lifetime, other than to her three sons
equally. Mr. Gaertner also testified at trial about assurances given by
Henia that she would treat her sons equally and equally distribute the assets
on her death; that based on Henias assurances, Elias was satisfied that
everything would be distributed in accordance with his wishes; and that Elias
trusted his wife to give effect to the common intention to have their estates
divided equally among their three sons.
Summary of Trial Judges Reasons
[20]
As
mentioned, at trial, Harry and Yehudas Estate sought a proportionate one-third
share of the collective wealth and assets accumulated by Elias and Henia over
their lifetimes, all of which was held by Henia following Elias death, and
much of which was then conveyed by Henia to Harvey and his children. Harry and
Yehudas Estate sought an equalization of the gifts Harvey and his children
received and sought to ensure an equal sharing of the residue of Henias estate
under her will when she died. They primarily relied on the doctrine of mutual
wills and in particular, argued that the August 17, 2011 note constituted evidence
of a mutual wills agreement between Elias and Henia. They also relied, for
further corroboration of an agreement, on statements made by Elias in Mr.
Gaertners October 17, 2011 letter and admissions they attributed to Henia. In
addition, they advanced an argument that Elias and Harvey entered into a secret
trust agreement on August 17, 2011 under which all assets received by Harvey
after that date from Elias or Elias holdings were to be held by Harvey in
trust for his brothers. Lastly, they sought to rely on the principle of unconscionable
procurement as an alternate means to hold Harvey accountable for assets he and
his children received from Henia.
[21]
The
trial judge was not satisfied on a balance of probabilities of the existence of
a mutual wills agreement between Elias and Henia as alleged by Harry and
Yehudas Estate. The evidence of any such agreement was not clear, cogent and
non-speculative.
Rather, she found that the evidence
against the existence of a [mutual wills agreement] overwhelms any evidence (or
suggested inferences) in favour of it.
She observed that the statements
from Elias in the August 17 document and Mr. Gaertners October 17, 2011 letter
could not be read in isolation. She stated that, when considered in context:
I am not satisfied that they constitute clear and cogent
evidence of an agreement between Elias and Henia not to ever change or revoke
their 2007 wills and to equally distribute the Gefen Family Assets to their
three sons during the remainder of their lives and upon the death of the
survivor of them. Accepting, as I do, that these documents accurately record
what Elias understood and believed Henia told him at the time, they still do
not amount to a binding an[d] enforceable agreement.
[22]
She
was also not persuaded that admissions had been made by Henia or on her behalf that
established a mutual wills agreement.
[23]
The
trial judge also dismissed Harry and the Yehuda Estates claim that a secret
trust was created on August 17 and crystallized, at the latest, on Elias death
on October 28, 2011. She found that the August 17 document did not identify any
grant of assets from Elias to Harvey. It also failed to contain any
instructions to Harvey on how to deal with any assets received, nor was there
any evidence that Harvey agreed to receive assets in trust for his brothers.
The document only spoke to Elias general intentions, not to the creation of
any binding trust obligations on Harvey. Given the history of animosity between
Harvey and his brothers, it did not make sense that Elias intended to establish
a trust on those terms. In addition, the certainties of trust had not been made
out.
[24]
Relying
on a concept of unconscionable procurement described in Capacity and Undue
Influence by John E.S. Poyser, (Toronto: Carswell, 2014), the trial judge
granted in part Harrys unconscionable procurement claim against Harvey. In a
nutshell, the trial judge described such a claim as requiring Harry and Yehuda
to establish a significant benefit to Harvey and Harveys active involvement in
procuring the benefit. If they were successful, there was a presumption that
Henia did not truly understand what she was doing in effecting the transaction
and the court would then determine whether it would be unconscionable to let
the transaction stand. The trial judge noted that there was no need of proof of
incapacity or undue influence. Her finding of unconscionable procurement resulted
in an order that benefits transferred to Harvey, amounting to approximately
$8.66 million, be held in trust for and returned to Henia or her estate. Harvey
was permitted to keep other holdings that had been in issue.
[25]
With
respect to Yehudas Estates claim to a 50% interest in the Townsgate
condominium, the trial judge concluded that the joint tenancy between Henia and
Yehuda had been severed before his death and that they held their interests as
tenants in common. She therefore declared Henias survivorship application to
be void and directed the Registrar to reflect that the Townsgate property was
owned by Henia and Yehudas Estate as tenants in common. She also ordered that
Yehudas Estates 50% interest was only to be liquidated once Henia had moved
out of the condominium.
[26]
Subsequently,
she awarded the parties their costs out of Elias Estate as follows (inclusive
of HST):
-
Harvey
and Ashley: $1,042,749.57;
-
Harry:
$1,031,084.67; and
-
Yehuda
Estate: $1,002,153.08.
In addition, she ordered that Elias Estate pay various
third-party witnesses in the total approximate amount of $40,000.
The Appeals
[27]
Before
this court, Harry appeals from the judgment; Yehudas Estate does not. Harry
argues that the trial judge erred: (1) by imposing too heavy a burden of proof on
Harry and Yehuda to establish that a mutual wills agreement existed; (2) by not
finding a secret trust between Elias and Harvey; and (3) by failing to void
certain
inter vivos
transfers that Harvey had unconscionably
procured from Henia.
[28]
Henia
also appeals from the judgment. First, Henia submits that the trial judge erred
by identifying in para. 5 of the judgment Elias real property at the time of
his death, even though their respective ownership interests were not the
subject of pleadings at trial and the appellant could not meaningfully
contribute to the issue of ownership because the trial record was insufficient.
[29]
Second,
Henia argues that the trial judge erred by finding that Yehudas Estate owned a
50% interest in Townsgate. She accepts that Yehuda was a joint tenant in
Townsgate, but submits that Yehudas joint tenancy was never severed and that
when Yehuda died in 2016, she took sole ownership of Townsgate by survivorship.
Yehudas Estate defends this appeal by Henia.
Harrys Appeal
(i)
No Mutual
Wills Agreement
[30]
A
mutual wills agreement is a binding contract not to revoke wills. A mutual wills
agreement between two testators is designed to prevent either from changing
their will without the others consent.
[3]
Cullity J. described the doctrine in
Edell v. Sitzer
(2001),
55
O.R. (3d) 198 (S.C.), affd 9 E.T.R. (3d) 1 (Ont. C.A.), leave to appeal
refused, [2004] S.C.C.A. No. 372
, at para. 58:
a.
the agreement must satisfy the requirements for a binding contract and
not be just some loose understanding or sense of moral obligation;
b.
it must be proven by clear and satisfactory evidence; and
c.
it must include an agreement not to revoke the wills.
[31]
The
agreement may be proven from the words of the will itself or from extrinsic
evidence: Albert H. Oosterhoff
et al., Oosterhoff on Wills
, 9th ed.
(Toronto: Thomson Reuters, 2021), at p. 136. Thus, an agreement may be found on
the basis of evidence outside the four corners of the will. That said, an
agreement should not be inferred from the bare fact that mutual wills were
made:
Edell v. Sitzer
, at para. 73.
[32]
In
his appeal, Harry takes issue with the trial judges treatment of the burden of
proof required to establish a mutual wills agreement.
[33]
The
trial judge correctly noted at para. 85 of her reasons that the burden of proof
lay with the party alleging the existence of a mutual wills agreement. She went
on to state that [t]he onus on the party alleging a [mutual wills agreement]
is heavy in that there must be clear evidence of a mutual wills agreement.
She quoted from
Bellinger v. Nuytten Estate
, 2002 BCSC 571, 45 E.T.R.
(2d) 10 that the plaintiff bears a heavy onus to establish a binding
agreement, in the nature of a contract, in clear and unequivocal terms. She
observed at para. 86 that the requirement of proof of an agreement by clear and
cogent evidence was a function of the importance of testamentary autonomy and the
tension between that important value and a [mutual wills agreement] which
encroaches upon it. Citing
Canada (Attorney General) v. Fairmont Hotels
Inc.
, 2016 SCC 56, [2016] 2 SCR 720, she stated that certain claims,
including a claim of a mutual wills agreement, require evidence exhibiting a
high degree of clarity, persuasiveness and cogency. At para. 118 of her
reasons, she stated:
I must be satisfied, on a
balance of probabilities, of the existence of an agreement between Elias and
Henia on the terms alleged by Harry and Yehudas estate that:
a.
The residue of their collective assets (estates)
would pass to and be divided equally among their surviving sons (or their
issue, if any); and
b.
The survivor of them would not revoke
or change their 2007 wills or make inter-vivos gifts that would defeat this
intended distribution of their estates; and
c.
Any inter-vivos gifts that were made by
the survivor of them could be made only to their living sons in equal shares,
based on evidence that is
clear, cogent and non-speculative. I am not satisfied of this. The evidence
against the existence of a [mutual wills agreement] overwhelms any evidence (or
suggested inferences) in favour of it.
[34]
Harry
submits that the trial judge improperly elevated the burden of proof required
to establish a mutual wills agreement to something more than a balance of
probabilities.
[35]
I am not persuaded that she did.
[36]
The
only civil standard of proof is proof on a balance of probabilities:
F.H. v. McDougall
,
2008 SCC 53, [2008] 3 S.C.R. 41, at para. 40. In all cases, the evidence
adduced to meet this standard must be sufficiently clear, convincing and
cogent to persuade the trier of fact of the merits of the claim on a balance
of probabilities:
McDougall
,
at para. 46.
[37]
The
quality of the evidence required to meet the standard will vary according to
the nature of the claim and the evidence capable of being adduced:
Nelson (City)
v. Mowatt
, 2017 SCC 8, [2017] 1 S.C.R. 138, at para. 40. So, for example,
as explained in
Mowatt
, in historical adverse possession claims, the
quality of the supporting evidence might not be as robust as evidence of recent
possession, but it must still be sufficient to meet the burden of proof. Or, as
illustrated by
Canada (Attorney General) v. Fairmont Hotels Inc.
, 2016 SCC 56,
[2016] 2 S.C.R. 720, the
quality of the evidence to be adduced by a party seeking rectification is such
that it must displace an instrument to which the party had previously
subscribed. Cogent and convincing evidence will be needed to counteract the
inherent probability that the written instrument truly represents the parties
intention because it is a document signed by the parties:
Fairmont
Hotels Inc.
, at para. 36. However, the party
must nonetheless meet the standard of proof.
Thus, the quality of the
evidence may vary depending on the claim, but the standard of proof will always
remain the same: proof on a balance of probabilities.
[38]
The
trial judge reasoned that a mutual wills agreement must be proven by clear,
cogent, and compelling evidence in part because a mutual will agreement
interferes with the testamentary freedom of a testator, and testamentary
freedom is very important.
[4]
The Supreme Court has explicitly rejected the notion that civil claims must be
scrutinized with greater care because of their onerous consequences to one
side:
McDougall,
at paras. 45-46. Accordingly, there is no
principle that a mutual wills agreement demands a higher standard of proof due
to its nature. So, to analogize with rectification claims,
parties seeking to establish a mutual wills agreement often
face a difficult task meeting the standard of proof because frequently they
must displace
strong evidence contained in a will that tends to negate a
claim of a mutual wills agreement.
[39]
I
do not read
Fairmont Hotels Inc.
to mean that a higher quality of
evidence is required to prove a claim merely because of the claims importance
or because of its importance to a value such as testamentary freedom. Nor, however,
did the trial judge. Rather, as with rectification claims, [a] court will
typically require evidence exhibiting a high degree of clarity, persuasiveness
and cogency before substituting the terms of a written instrument with those
said to form the partys true, if only orally expressed, intended course of
action:
Fairmont Hotels Inc.
, at para. 36.
[40]
Having
set forth the dictates of the applicable jurisprudence, the trial judge stated
at para. 88:
Harry and
Yehudas
estate argue that this evidentiary burden cannot be
interpreted as enhancing their civil burden of proof beyond the standard
balance of probabilities. I agree, but I do not understand the opponents of the
[mutual will agreement], Henia and Harvey, to be arguing for an enhanced burden
in that sense. Rather, they have submitted that the evidentiary standard for
proving [a mutual will agreement] is in line with the Supreme
Courts
recent holding that, while there is only one civil
standard of proof, certain claims require "evidence exhibiting a high
degree of clarity, persuasiveness and
cogency.
That is how I have approached the burden of proof in this case.
[41]
The
trial judge was clearly alert to the governing law, namely that there is only
one civil standard of proof and that to meet that standard, the quality of the
evidence had to be sufficiently clear, persuasive and cogent to convince her of
the merits of the mutual will agreement claim on a balance of probabilities.
[42]
Moreover,
as the trial judge explained, the evidence clearly favoured a dismissal of the
mutual wills agreement claim. To repeat, the evidence against the existence of
[a mutual wills agreement overwhelmed] any evidence (or suggested inferences)
in favour of it. Among other things, Henia did not sign, nor was she present,
when the August 17, 2011 document was signed. There was no evidence from which
to infer that Elias and Henia agreed to restrict the ability of the survivor to
deal freely with the estate assets during her lifetime. Elias conduct in
providing instructions for a possible new will was inconsistent with the alleged
mutual wills agreement, and Mr. Gaertners willingness to take those
instructions also feeds this inconsistency.
[43]
The
trial judge was fully conversant with all the unhappy dynamics of this family.
She fairly concluded based on the evidence before her that there was no mutual
wills agreement between Elias and Henia.
[44]
I
would reject this ground of appeal.
(ii)
No Secret Trust
[45]
Harry
also challenges the trial judges conclusion that there was no secret trust.
[46]
A. H. Oosterhoff describes secret trusts in Secret and Half-secret
Trusts, Ontario Bar Association Continuing Legal Education, Trusts, Trustees,
Trusteeships All You Need to Know and More
, September 18, 2006, at p. 3:
A secret trust comes into existence when a testator leaves
property to a person and that person secretly agrees with the testator to hold
the property for the benefit of another person. There are two kinds of secret
trust. With a fully-secret trust the testator leaves the property to a person
apparently absolutely. In other words, the will discloses neither the existence
of the trust, nor the name of the beneficiary. With a half-secret trust the
will leaves the property to a person in trust, but the will does not disclose
the beneficiary. If the requirements for the trust are satisfied, equity will
enforce the trust and ensure that the property is given to the intended
beneficiary of the trust.
[47]
Secret trusts do not comply with the formal requirements of
statutes governing wills, but equity intervenes to enforce the trust.
Traditionally, this was seen as a means to avoid fraud, as absent intervention
by equity, the trustee who received property might keep it, rather than abiding
by the terms of the trust.
[48]
The trust was secret for a variety of reasons. As explained by A.H. Oosterhoff,
Robert Chambers & Mitchell McInnes,
Oosterhoff on Trusts
: Text,
Commentary and Materials, 8th ed., (Toronto: Carswell, 2014), at p. 870:
A testamentary gift that favours one sibling over another, or
that reveals the existence of an illegitimate child or secret lover, may
generate ill-will or hostility amongst family members and close friends. Better
to postpone the storm until after one is gone. Alternatively, a testator may be
motivated by a desire for secrecy even after death. Once admitted to probate, a
will becomes a public document, available to anyone for a fee. A secret trust
allows a testator to conceal the fact that property has been left to, say, a
political organization with unpopular views.
[49]
In
Champoise v. Prost
, 2000 BCCA 426, 77 B.C.L.R. (3d)
228, the British Columbia Court of Appeal described the elements of a secret
trust at paras. 15-16:
A secret trust arises where a person gives property to another,
communicating to that person an intention that the property be dealt with in a
specific way upon the happening of an event, and the donee accepts the
obligation. The essential elements are the intention of the donor, a
communication of the intention to the donee and acceptance of the obligation by
the donee:
Sutherland Estate v. Nicoll Estate
, [1944] S.C.R. 253 (sub
nom.
Hayman v. Nicoll
), [1944] 3 D.L.R. 552;
Jankowski v. Pelek
Estate
, (1995), 131 D.L.R. (4th) 717 (Man. C.A.);
Ottaway v. Norman
,
[1971] 3 All E.R. 1325 (Ch.D.); D.W.M. Waters,
Law of Trusts in Canada
,
2d ed. (Toronto: Carswell, 1984) at 215-217.
In addition to these requirements for an enforceable secret
trust, the three certainties necessary for any express trust must be exhibited;
the words making the trust must be imperative, the subject of the trust must be
certain, and the object or person intended to take the benefit of the trust
must be certain. Further, those certainties must be exhibited at the time the
trust is created:
Re Beardmore Trusts
, [1951] 1 D.L.R. 41; D.W.M.
Waters,
Law of Trusts in Canada
,
supra
at 107.
[50]
As
the trial judge noted, the courts distinguish between an intention to create a
legally enforceable trust as opposed to a moral obligation intended to guide
the recipients conscience: see, e.g.,
Re Snowden
, [1979] Ch. 528. The
latter cannot be the basis of a secret trust. Even if the donors intentions
and wishes are made clear and acknowledged by the recipient, that alone is not
enough to establish a secret trust:
Milsom v. Holien
, 2001 BCSC 868,
40 E.T.R. (2d) 77, at paras. 15, 35-36, and 42-43.
[51]
At
trial, Harry and Yehudas Estate clarified that the trust only attached to the
assets in Elias estate that ended up in Harveys hands through his
instrumentality. They did not contend that the secret trust attached to Henias
assets. They took the position that the secret trust was declared under the
August 17, 2011 document and crystallized on Elias death on October 28,
2011. All assets received by Harvey from Elias were to be held by Harvey in
trust for his brothers. The trial judge noted that the primary alleged breach
of the secret trust was that Harvey facilitated Henias breach of the mutual
wills agreement. Given that there was no mutual wills agreement, it followed
that that argument had to be rejected.
[52]
Harry
advances numerous arguments in support of his position that the trial judge
erred in her secret trust analysis. He submits that: the three certainties were
evident on the face of the August 17 document and as such, the trial judge
erred in finding otherwise; she misapprehended certainty of subject matter; she
failed to apply equitable principles to her analysis; she failed to consider
that a legally binding contract was indicative of a trust; she erred in ruling
that the secret trust claim failed because the mutual wills agreement failed;
and lastly, she erred in ruling that if there had been a secret trust, it ended
at Elias death.
[53]
There
is no need to address all of these arguments as the trial judges factual
findings on the elements required to establish a secret trust reveal no
palpable and overriding error and are fatal to Harrys secret trust appeal.
[54]
Most
fundamentally, there was no transfer or grant from Elias to Harvey. Elias did
not give anything to Harvey. On Elias death, his assets vested in Henia. Even
if one could cobble together an argument that this was not the case, as stated
in
Oosterhoff on Trusts
,
at p. 874, if a gift is made to more than one person, but an agreement is made
with one only, the others are not bound
[5]
.
As Harrys counsel stated in submissions on the alleged secret trust, the whole
case turns on the August 17 document. The trial judge made a finding, available
to her on the record, that Henia did not participate in the August 17, 2011 document
which is the basis for Harrys secret trust argument. Not only was there no
transfer, that document does not contemplate any transfer or grant of Elias
assets to Harvey.
[55]
Harry
submits that the corpus of a trust may be a chose in action; the agreement
between Elias and Harvey constituted a chose in action; and the agreement
represented a legal right to compel that Elias assets be divided equally among
the three sons. As such, Harry argues that the trial judge erred in concluding
that the elements of a secret trust had not been satisfied.
[56]
I
have difficulty with this argument. I accept that a chose in action may satisfy
the subject matter requirement of the three certainties, but this does not
address the absence of any transfer. To repeat, there was no transfer or grant
pursuant to any alleged secret trust. There was no secret, and there was no
trust. After Elias death, all his property was to go to Henia.
[57]
On
the issue of any misappropriation of assets or proceeds from Elias by Harvey
after August 17, as the trial judge stated, Harvey may be liable to account to
Elias estate for those receipts. As noted in the aforementioned footnote 31 of
the trial judges reasons, she was not directed to any evidence that would
justify Harveys receipt of Elias share of the vendor take-back mortgage,
proceeds that were to be distributed at the end of August 2011. Indeed, Elias
had told Harvey that these vendor take-back proceeds should be paid to Elias
and Henia, each as to their 50% share.
[58]
Nor
do I see an inconsistency between the trial judges dismissal of the secret
trust claim and, when dealing with the claim of unconscionable procurement, her
rejection of Harveys contention that the August 17 document was not binding on
him. As the trial judge found, Harvey set out to extract an agreement from Elias
at that time not to change his 2007 will, and he succeeded. However, this did
not affect the merits of the trial judges secret trust analysis.
Fundamentally, while unquestionably Elias hoped that Henia would leave her
estate, which would ultimately encompass his estate as well, to all three sons,
ultimately that was her decision. As he said in the August 17 document, Henia
and he both built up the estate and own it together jointly as one pocket. Harrys
argument effectively serves to disentitle Henia from her inheritance. There is
no legitimate basis for such an outcome; it is up to Henia to decide what she
will do with her holdings.
[59]
I
see no error in the trial judges conclusion on the secret trust claim and
would dismiss this ground of appeal.
(iii)
Henias
Inter Vivos
Transfers to Harvey
[60]
The
trial judge found that Harvey had unconscionably procured from Henia assets of
approximately $8.66 million after Elias died. The result of the trial judges
determination on unconscionable procurement, coupled with the absence of both a
mutual wills agreement and a secret trust, was that those assets reverted to
Henia to deal with as she pleases. Henia has not appealed the finding of
unconscionable procurement. She did not appeal the transactions that the trial
judge found to have been unlawfully procured by Harvey because the result was
nihil
ad rem
, to use her counsels terminology, or irrelevant; the assets
reverted to her in any event. Nor have Harvey and Ashley appealed the trial
judges ruling on unconscionable procurement.
[61]
The
parties did not challenge the validity of the doctrine of unconscionable
procurement. In the absence of full legal argument on the existence and
desirability of any doctrine of unconscionable procurement, I do not propose to
address the merits of any such doctrine and whether grounds to attack
transactions beyond such traditional grounds as undue influence and incapacity
should be endorsed. Thus, this decision should not be taken as approval or
rejection of unconscionable procurement being part of the law of Ontario.
[62]
In
light of my dismissal of the mutual wills agreement and the secret trust
claims, the unconscionable procurement appeal can only be of benefit to Henia,
not to Harry. Even if successful, as counsel for Harry candidly conceded, the
assets would revert to Henia, not to him. For the purposes of the record, I
will nonetheless address the appeal.
[63]
The
trial judge found that Harry did have standing to pursue the unconscionable
procurement claim as he could be a contingent beneficiary under Henias 2007
wills. Although Henia challenged Harrys standing to advance such an argument
at trial, there is no cross-appeal on the issue of standing. Given the parties
respective positions, I will address the merits of Harrys arguments on
unconscionable procurement without deciding the issue of standing.
[64]
Henias
transfers to Harvey and Ashley were considerable. In a June 27, 2011
document, Henia purported to transfer to Harvey mortgage proceeds from the sale
of two properties. In April 2012, Henia signed documents in which she agreed to
compensate Harvey for past and future property management services (the
Compensation Agreement, valued at approximately $3.9 million, and the Services
Agreement, valued at approximately $2 million). Also, in April 2012, she proceeded
to forgive all past indebtedness owing from Harvey to Elias and Henia (valued
at no less than $1 million). In security documents, Henia purported to secure
past debts said to be owing from her to Harvey (the Security Documents). After
Elias died, Henia transferred half interests in commercial real estate to
Harvey and his daughter, Ashley, in 2013 and 2014 (valued at approximately $15
million). Since he died, Henias net worth has been depleted by at least 50%
and she has purported to confirm indebtedness and has granted security over all
her remaining assets in favour of Harvey and Ashley.
[65]
The
trial judge declared the Services Agreement, the Compensation Agreement, the
Security Documents, the June 27, 2011 document, a 2014 blank direction relating
to the transfer of assets, and funds taken or received in respect of certain vendor
take-back mortgage proceeds and a refinancing to be void, all steps taken in
furtherance of these arrangements unwound, and benefits received returned to
Henia.
[66]
The
trial judge did not void the April 2012 debt forgiveness, nor the 2013 and 2014
inter vivos
transfers of commercial real estate transferred from Henia
to Harvey. Those that were not set aside are the subject matter of Harrys
appeal.
[67]
Harry
argues that all transactions ought to have been set aside and advances two
complaints about the trial judges unconscionable procurement analysis.
[68]
First,
he submits that the findings of the trial judge were logically inconsistent in
that she relied on Dr. Shulmans evidence to rebut the presumption of
unconscionable procurement with respect to certain transactions and then
described it as being unreliable and misinformed with respect to others.
[69]
I
do not agree with this complaint.
[70]
The
trial judge laboriously went through each transaction and carefully considered
whether the presumption of unconscionable procurement had been rebutted. For
example, the trial judge found that the presumption arose from Harveys active
involvement in procuring large transfers from Henia. She found that the
presumption had been rebutted with respect to Henias forgiveness of Harveys
loans in 2012. Henia signed an acknowledgement describing the past advances as
gifts and in Dr. Shulmans report, he recorded that Henia had told him that she
had forgiven these loans to compensate Harvey for his past property management
services. Henia discussed with Dr. Shulman her forgiveness of Harveys debts
and the discharge of security in the context of her
bona fide
desire
to compensate him for his past property management services. Based on the
evidence before her, it was open to the trial judge to determine that the
presumption of unconscionable procurement had been rebutted.
[71]
In
contrast, the trial judge fairly found that Dr. Shulman was missing important information
and documents to provide context to his discussions with Henia with respect to
the voided transactions and therefore his assessments could not be relied upon
to rebut the presumption. Moreover, there was an absence of other evidence to
satisfy the trial judge that the presumption had been rebutted. The trial
judges conclusions were not logically inconsistent as alleged.
[72]
Second,
Harry submits that the trial judge erred in ruling that the large transfers in
2013 and 2014 from Henia to Ashley were simply gifts. He argues that some
limits should have been applied to the extent of the gift-giving and the manner
in which they were made.
[73]
I
see no error. Again, it was open to the trial judge to reach the decision she
did as it related to Ashley. The trial judge concluded at para. 211 that the
conveyances to Ashley and Harvey appeared to be consistent with Henias theme
of wanting to give Henias half of the Gefen family holdings to Harvey and his
family. As the trial judge put it at para. 212:
The rationale for the gifts to Ashley was confirmed in the
trial testimony of both Henia and Ashley about Henias desire to provide a gift
to a grandchild who she has a good relationship with and who she is proud of,
and her desire to provide a source of financial assistance to Ashley, and
through her to her disabled brother. This is consistent with the rationale for
earlier gifts and financial assistance provided by Henia to Harveys children.
[74]
I
see no basis on which to interfere with the trial judges findings on these
transactions.
[75]
In
conclusion, I would dismiss Harrys appeal on all grounds.
Henias Appeals
[76]
As
mentioned, Henia advances two appeals from the judgment. I will first address
the appeal relating to the trial judges identification of the Elias real
property holdings as of the date of his death, and then her appeal relating to
the severance of the joint tenancy.
(i)
Identification of Real Property
[77]
The
trial judges reasons for decision were released on October 17, 2019, and her
reasons for costs were released on February 14, 2020.
[78]
The
parties were unable to agree on the form of judgment. The trial judge convened
a case conference, received written and oral submissions, and settled the
judgment. Her reasons for the settling of the judgment were released on October
13, 2020, and the judgment was signed on October 16, 2020.
[79]
At
issue is para. 5 of that judgment. It states:
THIS COURT ORDERS AND DECLARES THAT as of the date of his
death, Elias Gefen, either directly or indirectly through holding companies,
among other assets and interests and without limitation, owned:
a.
50%
of the property municipally known as 20-26 Kennedy Road, Brampton, Ontario (the
Eastown Plaza);
b.
50% of the property municipally known as 1095 Kingston Road, Pickering,
Ontario held by a bare trustee corporation, 1585708 Ontario Limited;
c.
50% of the property municipally known as 1540 Dundas Street East, Whitby,
Ontario held by a bare trustee corporation, 1700434 Ontario Limited (also known
as Dundas-Thickson Properties Ltd);
d.
40% of the property municipally known as 1650 Dundas Street East,
Whitby, Ontario held by a bare trustee corporation, 1393522 Ontario Ltd;
e.
50% of a vendor-take-back mortgage granted by Elias and Henia Gefen over
the property municipally known as 2421-23 Keele Street, Toronto, Ontario.
[80]
The
trial judge was satisfied that the question of whether Elias owned interests in
certain commercial properties said to have formed part of the Gefen Family
assets at the time of Elias death was put in play by the counterclaims. In
addition, para. 5 of the judgment corresponded with the express findings made
in para. 172 of her reasons for judgment. They were linked to, and could
inform, the interpretation and implementation of the orders contained in the
remainder of the judgment with respect to the relief for unconscionable procurement.
[81]
The
trial judge noted that Henia had not asked for an order that some or all of the
assets owned by Elias at his date of death were held by him on behalf of
himself and Henia beneficially as joint tenants, and no such order was made.
She also observed that para. 234 of her reasons contemplated that there could
be further proceedings to ascertain the assets that comprise Elias estate.
[82]
Henia
argues that the issue of para. 5 of the judgment only became relevant once the
costs order was made and parties were required to look to Elias Estate for
payment. She submits that the trial judge erred in concluding that the issue
was joined by the pleadings. Moreover, it was unnecessary for the purposes of
the action to determine Elias assets as of the date of his death. Harry had
consistently claimed that his entitlement was to a share of Elias and Henias
assets together, and accordingly, the record was insufficient to allow Henia to
have meaningful input into the question of Elias ownership. Indeed, the
parties did not make submissions on whether Elias legally owned the commercial
real estate, as is evident from the trial judges disposition description at
para. 248 of her reasons, which is silent on this issue. In addition, the trial
judge refers to potential assets in para. 234 of her judgment, all pointing
to the beneficial ownership of assets as between Henia and Elias not being in
play. Henia thus submits that the trial judge ought not to have ruled on the
matter.
[83]
In
her October 17, 2019 reasons for judgment at para. 2, the trial judge set out Harry
and Yehudas Estate claims and defined Gefen Family Assets saying: Harry and
Yehudas estate seek a proportionate 1/3 share of the collective wealth and
assets accumulated by Elias and Henia over their lifetimes, all of which was
held by Henia following Elias death in 2011 (the Gefen family Assets). She
stated that they were comprised of cash and other things and included the home
of Elias and Henia at 11 Townsgate.
[84]
At
para. 172, she stated:
When Elias died, the Gefen Family Assets included the following
corporate real estate holdings (these are the managed assets):
a.
Elias Gefen Properties'
(or EGP's) ownership of 50 per cent of the shares of Dundas-Thickson Properties
Ltd., the bare trustee owner of a property at 1540 Dundas Street East in
Whitby, Ontario (the remaining shares being owned by Harvey, as to 40 per cent,
and by a corporation controlled by Dr. Finkelstein as to the remaining 10 per
cent);
b.
Elias' ownership
of 50 per cent of the shares of 1585708 Ontario Limited, the bare trustee owner
of a property at 1095 Kingston Road in Pickering, Ontario (the remaining shares
being owned by a corporation controlled by Dr. Finkelstein);
c.
Elias' ownership
of 40 per cent of the shares of 1393522 Ontario Ltd., the bare trustee owner of
a property at 1650 Dundas Street West in Whitby, Ontario (the remaining shares
being owned by a corporation controlled by Harvey, as to 20 per cent, and a
corporation controlled by Dr. Finkelstein as to the remaining 40 per cent);
d.
Elias' direct
holding of a 50 per cent interest in a plaza known as Eastown, at 20-26 Kennedy
Road North, Brampton, Ontario (the other 50 per cent being owned by a
corporation controlled by Henia's brother and/or his family members).
[85]
She
explained at para. 173 and following that these ownership interests were
consistent with what Mr. Gaertner recorded having been told by Elias before he
died and they were confirmed from the documents made available to the expert,
Ivor Gottschalk.
[86]
Harry
moved for the appointment of an Estate Trustee During Litigation for Elias
Estate. On January 27, 2015, Newbould J. granted the request. His order defined
the assets of Elias Estate in terms comparable to those used in para. 172 of
the trial judges reasons for decision and para. 5 of the settled judgment. The
Estate Trustee During Litigation was also authorized to prepare an inventory of
Elias Estate. Newbould J. ordered that the costs of the Estate Trustee During
Litigation were to be paid out of Elias Estate.
[6]
No one sought to appeal this order. The order noted that submissions were made
by, amongst others, Henia and Harvey.
[87]
On
June 27, 2016, Henia amended her Reply and Defence to the Counterclaim of Harry
to state that at all times, all real estate was held in joint tenancy of Henia
and Elias or on trust by Elias for himself and Henia.
[88]
Significantly,
in Harrys prayer for relief in his Amended, Amended, Amended Statement of
Defence and Counterclaim dated June 30, 2017, he claimed:
48(e)
a declaration that Elias sole beneficial ownership of co-tenancy interests in
the following commercial assets never passed from his estate to Henia or any
other party:
(i)
50%
co-tenancy interest in the property at
20-26 Kennedy Road in Brampton,
Ontario (Eastown Plaza)
(ii)
50% co-tenancy interest in the property at 1540 Dundas Street East,
Whitby (held by Dundas-Thickson Properties Ltd., DTP as a nominee)
(iii)
40% co-tenancy interest in the property at 1650 Dundas Street East,
Whitby (held by 1393522 Ontario Ltd., 139 as a nominee)
(iv)
50% co-tenancy interest in the property at 1095 Kingston Road, Pickering
(held by 1585708 Ontario Ltd. 158 as a nominee)
[89]
Harvey,
Ashley, and Henia denied those claims. In the light of the pleadings, it can
hardly be said that the issue was not in play.
[90]
In
addition to the pleadings, both Harrys written opening and his closing
submissions at trial reveal that the issue of ownership was in play. At para.
62 of his November 13, 2018 written opening, Harry wrote:
Harvey asserted that Elias had no estate as everything was
owned jointly by Henia and passed to her by right of survivorship. This is a
live issue at trial. Harry will submit that the reliable and contemporaneous
evidence strongly supports the conclusion that the commercial properties
interests were held by solely Elias beneficially. This evidence, to be filed at
trial, includes Elias tax returns on which the entirety of the income from
each of the four commercial properties was declared annually from 2006 to his
terminal 2011 return.
[91]
Similarly,
Harrys closing submissions make it obvious that the ownership issue was in
play. At para. 5 of his written closing submissions, he stated that Harry and
the Estate of Yehuda Gefen seek a declaration that, among other things, Elias
estate includes beneficial ownership of the following commercial properties,
followed by a list of the four properties found in para. 5 of the judgment.
[92]
Contrary
to Henias submissions on appeal, para. 234 of the trial judges reasons is
inconclusive. It simply states that [t]o the extent that my judgment
identifies potential assets that form part of the estate of Elias Gefen, the
[Estate Trustee During Litigation] may decide to investigate them, including
any that are in the hands of the beneficiary.
[93]
In
conclusion, the pleadings, the written opening and the closing submissions all
support the trial judges conclusion that the issue of ownership was in play.
Moreover, the issue was fully canvassed before the trial judge as is evident from
her reasons at para. 172 and following. Although ultimately unsuccessful, the
composition of Elias estate was also relevant to the secret trust claim and necessary
to identify the property Harvey was required to relinquish due to the
unconscionable procurement claim. The trial judges analysis supported
inclusion of para. 5 in the judgment.
[94]
I
would dismiss Henias appeal of para. 5 of the judgment.
(ii)
Severance of Joint Tenancy
[95]
Elias
and Henia purchased the 11 Townsgate condominium as joint tenants in December
2006. Expecting that Yehuda would survive them, they transferred the property
to him and themselves each as joint tenants on October 8, 2010. When Elias died
on October 28, 2011, the rights of the two surviving joint tenants were
enlarged and the property vested in them jointly.
[96]
As
previously described, Henia sued Harry and Yehuda in 2013, and Yehuda
counterclaimed on March 19, 2014.
[97]
Henia
signed an acknowledgment and direction dated July 28, 2014, and instructed her
lawyer, Nestor Wolicki, to sever her joint tenancy with Yehuda. Mr. Wolicki
witnessed the document but failed to follow her instructions and the signed
acknowledgment and direction document was never registered on title. It is not
disputed that Henia authorized and signed the acknowledgment and direction.
[98]
Yehuda
sought an order for temporary dependents support from his mothers assets, as
he alleged that she now had all of his late fathers assets under her control.
The application was heard by Mesbur J. on November 23, 2015. Yehuda had polio since
the age of two and suffered from various post-polio problems. He had a stroke
in 2012, a heart attack in 2013, and had never worked for an arms length
employer in his 64 years. His last employment was in the family carpet store 18
years prior to his application for support.
[99]
Mesbur
J. decided that Yehuda was entitled to temporary support. At para. 61 of her
reasons, she stated that Henia raised the issue of how the estate would be made
whole if the trial judge ultimately determined that Yehuda was not a dependent
or granted a lower support order than what she had ordered on a temporary basis.
Mesbur J. determined that Yehudas interest in the condominium could be charged
with the repayment obligation and authorized the order to be registered against
Yehudas interest in order to secure any potential repayment. Under the heading
Disposition she wrote:
For all these reasons, and without prejudice to the rights of
any party to argue otherwise on the return of the application, I make the
following order:
***
c) If [Yehuda] is ultimately determined not to be dependent,
any amounts paid to him pursuant to this order will be repaid to the payor
forthwith. [Yehudas] interest in the property known municipally as Unit 605,
11 Townsgate Drive, Vaughan, Ontario may be charged with repayment. This order
may be registered against [Yehudas] interest in the property in order to
secure any ultimate repayment to the payor, if [Yehuda] is required to make a
repayment.
No one sought to challenge or appeal Mesbur J.s
decision.
[100]
Yehuda died on May 6,
2016. Either Henia, or Henia and Harvey, instructed Mr. Wolicki to register a
survivorship application on title on the basis that Henia was now the sole
surviving joint tenant. Yehudas Estate challenged this registration in court on
the basis that the joint tenancy in Townsgate had been severed prior to
Yehudas death.
[101]
The trial judge agreed
with Yehudas Estate. She described the three ways in which a joint tenancy can
be severed as set out in
Hansen Estate v. Hansen
, 2012 ONCA 112, 288
O.A.C. 116, at para. 34:
Rule 1: unilaterally acting
on ones own share, such as selling or encumbering it;
Rule 2: a mutual agreement
between the co-owners to sever the joint tenancy; and
Rule 3: any course of
dealing sufficient to intimate that the interests of all were mutually treated
as constituting a tenancy in common.
[102]
The trial judge found
that Rules 1 and 3 were met. She observed that Henias conduct in her
unilateral execution of the acknowledgment and direction and in the concern she
raised about security was the very type of conduct that equity raises as an
estoppel. The trial judge determined that the joint tenancy had been severed by
(i) the unilateral acts of Henia in authorizing and directing a severance of
the joint tenancy in 2014; (ii) by those of Yehuda, in permitting his interest
to be encumbered as security for any repayment obligation he may have in the
future; and (iii) by their mutual course of dealings in connection with the
order of Mesbur J. in 2015 which treated their interests as constituting a
tenancy in common that neither of them challenged on appeal. The trial judge therefore
declared Henias survivorship application to be void and directed the Registrar
to correct the Registry to reflect that the Townsgate property was owned by
Henia and Yehudas Estate as tenants in common. She also ordered that Yehudas
Estates 50% interest was only to be liquidated when Henia moved out of the
condominium.
[103]
Henia appeals from
this judgment. She advances two arguments.
[104]
First, Henia submits
that the acknowledgement and direction document was never registered nor
delivered to Yehuda or anyone on his behalf. As such Yehuda died without any
knowledge of the document. She submits that an uncommunicated intention is
insufficient; absent communication, any severance was ineffective and the trial
judge erred in finding otherwise.
[105]
Second, she submits
that the trial judge erred in finding that Henia sought and was granted
security on Yehudas interest. She maintains that a fair reading of Mesbur J.s
endorsement makes it manifest that Henia did not seek the protection given to
her. Rather, it was given of the trial judges own volition and not at Henias
request. Henia asserts that Yehudas proposal for protection was not tied to
his interest in Townsgate but to his share, if successful, in the main action.
[106]
The parties do not
dispute that the trial judge identified the correct legal test as set out in
Hansen
Estate
. The application of this test is a fact-specific inquiry:
Marley v. Salga
,
2020 ONCA 104, 56 E.T.R. (4th) 1, at para. 2.
[107]
As I am of the view
that the trial judge correctly determined that the joint tenancy was severed by
Yehudas and Henias mutual course of dealing in connection with Mesbur J.s
order, there is no need to determine whether a declaration of unilateral
intention is insufficient to sever a joint tenancy. As stated by this court in
Jansen
v. Niels Estate
, 2017 ONCA 312, 137 O.R. (3d) 709, at para. 26, it is not
clear that a unilateral expression of intention is sufficient to achieve
severance.
[108]
Based on Mesbur J.s reasons,
it is not evident that Henia proposed the security that was the subject matter
of Mesbur J.s disposition but, contrary to Henias submissions, the trial
judge did not make that finding. Rather, she correctly identified Henias
stated concern before Mesbur J. Henia raised the issue of reimbursement if the
trial judge ultimately decided that Yehuda was not a dependent or if the quantum
of support were reduced.
[109]
Neither Henia nor
Yehuda sought to oppose or challenge Mesbur J.s disposition in any way.
Clearly Yehuda permitted his interest to stand as security and neither he nor
Henia took any steps to appeal Mesbur J.s order. The requirement for mutual
knowledge and intention was satisfied by the trial judges reference to
Yehudas argument at para. 15: they were each aware of the other's acceptance
of this encumbrance, which necessarily would require their interests to be held
as tenants in common since an encumbrance of Henia's own interest in the
Townsgate Property would clearly not address the potential prejudice
.
[110]
Moreover, the order
would be consistent with Henias instructions to Mr. Wolicki that the
joint tenancy be severed. Standing alone and in the absence of communication to
Yehuda, it may be that this instruction was insufficient to sever. However, it
certainly may serve to assist in informing Henias intentions in the 2014 to
2015 timeframe. Mutuality for the purposes of Rule 3 may be inferred from the
course of dealing between the parties:
Hansen
, at para. 36. When the
facts are examined in their totality, Henias and Yehudas course of dealing
was sufficient to intimate that their interests were mutually treated as
constituting a tenancy in common.
[111]
As stated at para. 35
of
Hansen
, severance under Rule 3 operates in equity:
Rule 3 operates so as to prevent a party from
asserting a right of survivorship where doing so would not do justice between
the parties. In the words of Professor Ziff, at p. 345, the best way to regard
matters is to say that equity will intervene to estop the parties, because of
their conduct, from attempting to assert a right of survivorship.
[7]
What is determinative under this rule is the expression of intention by the
co-owners as evidenced by their conduct. (citation omitted).
[112]
I am not persuaded
that the trial judge erred in her conclusion that the joint tenancy was
severed. I would dismiss Henias appeal.
Disposition
[113]
In conclusion, for
these reasons, I would dismiss Harrys and Henias appeals in their entirety.
[114]
The parties asked to
make written submissions on costs following the release of reasons for
decision. Henia shall serve her submissions on Harrys appeals by March 9, 2022;
Harry shall serve his in response and those relating to his successful
resistance of Henias appeal of para. 5 of the judgment by March 14, 2022;
Lucia Saunders shall serve her submissions on the severance appeal by March 9,
2022; and Henia shall serve responding submissions on Henias appeals by March 14,
2022. The submissions of each party are not to exceed 10 pages in length.
Released: March 2, 2022 S.E.P.
S.E. Pepall J.A.
I agree. M. Tulloch
J.A.
I agree. L.B. Roberts
J.A.
[1]
This included a claim by Harry and Yehuda against Harvey for maintenance of
Henias action against them. The trial judge dismissed this claim and it is not
in issue on the appeal.
[2]
The October 2007 will.
[3]
As a will can always be revoked, if a party makes another will
in spite of the agreement, that will, if valid, may still be probated, but the
property will be subject to a constructive trust: Albert H. Oosterhoff
et al
.
,
Oosterhoff on Wills
, 9th ed. (Toronto: Thomson Reuters, 2021), at p. 136.
[4]
There is no question that testamentary freedom is
an
important social interest that has long been recognized in our society as
firmly rooted in our law:
Spence v. BMO
Trust Co.,
2016 ONCA 196, 129 O.R. (3d) 561, at para. 30
[5]
Absent a joint tenancy, which was not present here.
[6]
Subsequently, Penny J. made an order on September 26, 2018,
entitling the Estate Trustee During Litigation to claim from the Property
Interests of Elias.
[7]
Bruce Ziff,
Principles
of Property Law
, 5th ed. (Toronto: Carswell, 2010).
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Nazir, 2022 ONCA 176
DATE: 20220302
DOCKET: C69180
Tulloch, Huscroft and Miller JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Mohamed Nazir
Appellant
Dan Stein, for the appellant
Alexander Hrybinsky, for the respondent
Heard: February 23, 2022 by video conference
On appeal from the conviction entered on December 13,
2019 and the sentence imposed on September 3, 2020 by Justice Wailan Low of the
Superior Court of Justice, sitting without a jury.
REASONS FOR DECISION
[1]
The appellant was convicted of three counts of attempt murder,
aggravated assault, two counts of uttering threats, and two counts of failure
to comply with probation. He was sentenced to 13 years in prison, less credit
for pretrial custody. He appeals against conviction and sentence.
[2]
The convictions arose out of the appellants knife attack on two of his
sisters-in-law and his niece at the family home. One sister-in-law, Rakhee, was
injured severely. The other sister-in-law, Wazila, protected herself and her
daughter Alyssa from the attack by locking themselves in an upstairs bathroom
until the police came to arrest the appellant. The issue at trial was whether
the appellant formed the intent to kill. The voluntariness of his utterances to
the police following the attacks was also in issue.
[3]
The appellant raises four issues on appeal:
1.
Did the trial
judge err by focusing exclusively on capacity to form intent rather than actual
intent?
2.
Did the trial
judge err by admitting opinion evidence regarding the appellants credibility
and demeanour?
3.
Did the trial
judge misapprehend the evidence as to the appellants intoxication and state of
mind?
4.
Did the trial
judge err with respect to the use of the appellants out-of-court statement
made to Officer Litster-MacLeod?
[4]
In addition, the appellant seeks leave to appeal sentence, arguing that the
sentence is excessive.
[5]
The appeal is dismissed for the reasons that follow.
The trial judge did not err by focusing exclusively on
capacity to form intent rather than actual intent
[6]
The appellants argument focuses on the convictions for the attempted murder
of Wazila and Alyssa Nazir. He says that the trial judge focused on capacity
and failed to consider whether he had the actual intention required.
[7]
There is no merit to this argument.
[8]
The trial judge correctly framed the issue of whether the appellant had
the intention to cause death. She fairly set out the appellants position and
specifically responded to it, finding that it was an inescapable inference
that the appellant had the intention to cause the death of Rakhee. In essence,
this was a continuous series of events: the appellants intention to kill
Rakhee was redirected to Wazila and Alyssa once Rakhee escaped. The trial judge
found that the existence and contemporaneity of the verbal death threat,
following them upstairs, bringing knives, and attempting to pry open the
bathroom door with a screwdriver led only to the inference that the appellant
intended to cause their death. These findings are amply supported by the record
and there is no basis to impugn them.
The trial judge did not err by admitting opinion evidence
regarding the appellants credibility and demeanour
[9]
The appellant submits that Officer Lister-MacLeod was permitted to
testify as to his demeanour, honesty, malingering, and other inappropriate
matters, which infected the trial judges reasoning process. He acknowledges
that trial counsel did not object to this evidence and that one of the most
egregious comments was elicited in cross-examination of the officer.
[10]
There
is no merit to this submission. This was a judge-alone trial, and it is
apparent that the trial judge did not rely upon inadmissible opinion evidence
in reaching her conclusion. The trial judge is presumed to know the law, and it
cannot be assumed in the absence of a self-instruction that she improperly
relied on the opinion evidence. There is no basis to suggest that she
implicitly embraced this evidence or that there is an appearance of
unfairness.
The trial judge did not misapprehend the evidence
[11]
The
appellant argues that the trial judge wrongly relied on the evidence of Officer
Lister-MacLeod and failed to address inconsistent evidence concerning the
appellants impairment, including the expert toxicology evidence of Dr. Mayer.
[12]
There
is no merit to this argument.
[13]
The
trial judge reviewed the degrees of intoxication set out by the Supreme Court
in
R. v. Daley
, 2007 SCC 53, [2007] 3 S.C.R. 523 and carefully
reviewed the toxicology evidence of Dr. Mayer. She noted that although Dr.
Mayer calculated that the appellant had an estimated BAC level indicative of
impairment, it was not possible to determine the precise nature of the impact
of alcohol on an individual. Dr. Mayer also could not opine on the appellants
actual level of impairment, his ability to form the requisite intent or his
ability to foresee the consequences of his actions.
[14]
The
trial judge reviewed the conduct of the appellant following his arrest and made
findings that were open to her on the evidence. The appellants speech was not
slurred, his gait was not impaired, and he related lucid, cogent, and detailed
particulars to Officer Lister-MacLeod. This was indicative of an operating
mind. So too was the appellants ability to respond to questions and requests,
along with his compliance with Officer Lister-MacLeods admonition when he
flirted with her and the hospital staff. It was open to the trial judge to find
that he was able to appreciate the consequences of his actions despite a high
BAC level.
The trial judges use of the appellants out-of-court statements
occasioned no prejudice
[15]
The
appellant argues that the trial judge erred in characterizing his statements as
an attempt to undermine the credibility of the complainants. The appellant
submits that his statements demonstrated his inaccurate, confused recollection,
suggesting a higher degree of impairment, which affected the
mens rea
for attempt murder.
[16]
The
respondent argues that any mischaracterization of the defence position at trial
was insignificant in the context of the trial and could not have affected the
outcome. We agree.
[17]
There
was ample evidence supporting the trial judges conclusion that the appellants
memory was not impaired. Moreover, even if trial counsels submission was
mischaracterized, the trial judge did not fail to apply even scrutiny to the
appellants statement. She acknowledged exculpatory aspects of the appellants
statement but based her decision on the evidence as a whole. This ground of
appeal fails.
The sentence was fit
[18]
We
see no error in law or in principle, nor was the 13-year sentence imposed
demonstrably unfit, having regard to the brutal and vicious nature of the
attack. There is no basis for this court to interfere with the sentence
imposed.
Conclusion
[19]
The
appeal from conviction is dismissed. Leave to appeal sentence is granted, but
the appeal is dismissed.
M. Tulloch J.A.
Grant Huscroft J.A.
B.W. Miller J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: 2501306 Ontario Inc. v. Country
Garden Academy Inc., 2022 ONCA 177
DATE: 20220228
DOCKET: C69561
Simmons,
Harvison Young and Zarnett JJ.A.
BETWEEN
2501306
Ontario Inc.
Applicant (Respondent)
and
Country
Garden Academy Inc., (o/a) Country Garden Montessori Academy
Respondent (Appellant)
Gwendolyn L. Adrian, for the appellant
Sara Erskine, for the respondent
Heard: February 22, 2022 by video conference
On
appeal from the judgment of Justice C.F. de Sa of the Superior Court of Justice,
dated May 19, 2021.
REASONS FOR DECISION
[1]
Following the oral hearing we dismissed this
appeal for reasons to follow and denied the respondents request for leave to
cross-appeal costs. These are our reasons.
[2]
The appellant operates a Montessori school in
premises it rents from the respondent. On March 31, 2020, the appellant
exercised its option to renew its lease for what would be a third three-year
term running from December 1, 2020 to November 30, 2023.
[3]
Under the terms of the lease, the Minimum Rent
during any renewal was to be negotiated 90 days prior to the commencement of
the renewal term and "be based on the prevailing market rates at the time
of renewal for comparable premises."
[4]
As the parties were unable to agree on the
Minimum Rent during the renewal term, the respondent applied under rule 14.05
for a declaration that the Minimum Rent payable would be $23 per square foot
per year.
[5]
The Minimum Rent payable during the original
three-year term from November 27, 2014 to November 30, 2017 was $12.36 per
square foot; during the second three-year term from December 1, 2017 to
November 30, 2020 it was $13.28 per square foot.
[6]
The respondent was not the landlord when the
lease was first negotiated. It acquired the property in early 2018, after the
Minimum Rent for the second three‑year term had been negotiated.
[7]
Both parties filed expert evidence on the
application as to the market rate that should be apply during the third renewal
term. The appellant's expert filed two reports. The first report as of June
2020 estimated the market rate at $14 to $16 per square foot. The second report
dated November 27, 2020 estimated the market rate at $12 to 14 per square foot.
[8]
The respondent's expert concluded that the
market rate as of August 5, 2020 ranged from $20 to $25 per square foot and
provided a best estimate of $23 per square foot.
[9]
In his reasons, the application judge reviewed
the evidence adduced concerning the nature of the property, its history, the
leasing history and the expert evidence. He began his analysis by observing
that it was evident from the experts reports that the determination of the
appropriate rate for the Minimum Rent for a comparable premise is hardly a science.
Location, surrounding neighbourhood, size, condition, amenities, demand, zoning
and available uses were all relevant factors to be considered.
[10]
The application judge noted that the lease specified
that the premises should be used as an educational facility. He accepted the
respondent's position that use was an important factor in determining the
prevailing market rate for comparable premises at the time of renewal.
[11]
Concerning the experts reports, the application
judge observed that the appellant's expert referenced a number of comparables
that lacked the amenities and improvements of the subject property.
[12]
However, the application judge also recognized
that the property's zoning permitted limited uses, namely Parks & Open
Space, with exceptions for only five uses: commercial recreational centre;
banquet hall; place of assembly; day nursery; and elementary/secondary school. This
was a factor that would require a downward adjustment from the rental rates on
some of the comparables. He said:
A property remotely located which is limited
in uses cannot be fairly compared to properties located on busy traffic
arteries that allow dozens of general uses without a downward adjustment
which takes into account the superior attributes and leasing potential of the
comparable property.
[13]
Based on the comparables put forward by both
experts and the other evidence adduced on the application, the application
judge concluded that the Minimum Rent for the renewal period should be $18 per
square foot.
[14]
The appellant raises three issues on appeal.
[15]
First, the appellant submits that the
application judge erred in law by failing to interpret the term comparable
premises in a manner consistent with how the appellant and the original
landlord previously interpreted that term. The appellant asserts that the
application judge disregarded unchallenged evidence that when previously
determining market rent for comparable premises, the original owner/former
landlord did not focus on properties that could be used as an educational
facility but rather focused on properties located in industrial parks and that
were subject to zoning restrictions that had limited uses.
[16]
We did not accept this submission. Even assuming
the parties conduct in determining previous Minimum Rent would be relevant to
the determination of the prevailing market rates at the time of renewal for
comparable premises, there was no evidence capable of supporting the
appellants submission. The only evidence directed to the issue consisted of
two paragraphs in the affidavit filed on the appellants behalf by Dan
Hilsenteger. Mr. Hilsenteger asserted that he and the principal of the original
landlord came to an agreement on the original rental rate based on similar
properties in the area which were also located in industrial parks. Concerning
the 2017 renewal, Mr. Hilsenteger deposed that he and the former landlord
agreed on a rate based on similar properties or similar properties in the
area. None of the similar properties used as comparables in the past were
identified. There was no evidence of the rental rates for those properties at
the time of the renewal in issue. The limited evidence adduced by the appellant
concerning prior comparables that were used is simply not capable of supporting
the position it advances.
[17]
The appellants second submission is that the
application judge erred in law by failing to consider the very limited uses
allowed by the propertys zoning. We rejected this submission. As we have said,
the application judge described the permitted uses in his reasons and noted
specifically that a downward adjustment from certain comparables would be
required for a remotely located property with limited uses.
[18]
The appellants third submission is that the
application judge made a palpable and overriding error by failing to consider
evidence of bad faith/wrongful conduct on the part of the respondent
demonstrating the respondent was motivated to force the appellant from the
property by way of extortive pricing so he could have it for his own use. We
rejected this submission.
[19]
The application judges decision concerning the
Minimum Rent for the renewal period was based on evidence concerning the terms
of the lease, the nature of the property and expert evidence concerning
prevailing market rates for comparable premises. There was no evidence the
respondents experts evidence was in any way influenced or tainted by alleged
wrongful conduct or improper motivations on the part of the respondent.
[20]
As for the cross-appeal, in our view, this was
not a case for granting leave to appeal costs.
[21]
Based on the foregoing reasons, we dismissed the
appeal and denied the respondents request for leave to appeal costs. Costs of
the appeal are to the respondent on a partial indemnity scale fixed in the
agreed upon amount of $7,000 inclusive of disbursements and applicable taxes.
Janet Simmons J.A.
Harvison Young J.A.
B. Zarnett J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Stamatopoulos v. Harris, 2022 ONCA 179
DATE: 20220303
DOCKET: C66776
Simmons, Harvison Young and Zarnett JJ.A.
BETWEEN
Stamatis
(Steve) Stamatopoulos, Nikolaos Stamatopoulos, Christothea Stamatopoulos,
Kyriakos Stamatopoulos and Stephanie Clarke
Plaintiffs (Appellants)
and
Richard J. Harris,
The Regional Municipality of Durham
, Her Majesty the Queen in Right of the
Province of Ontario, represented by the Minister of Transportation for the Province
of Ontario and State Farm Insurance
Defendants (
Respondents
)
Allan Rouben, for the appellants
David G. Boghosian and Sachin Persaud, for the respondent, the Regional
Municipality of Durham
Brian M. Bangay, for the respondent, Richard J. Harris
Heard: February 23, 2022 by video conference
On appeal from the
judgment of Justice J. Copeland of the Superior Court of Justice, dated March
6, 2019, with reasons at 2019 ONSC 603.
REASONS FOR DECISION
[1]
This is an appeal from a judgment dismissing an action
against the Regional Municipality of Durham pursuant to s. 44 of the
Municipal
Act, 2001,
S.O. 2001, c. 25, on the basis that it
had failed to keep a roadway in a reasonable state of repair. The appellants
commenced an action against Durham and the respondent, Mr. Harris, following a
motor vehicle accident in November 2004. The appellant, Mr. Stamatopoulos, was
a front seat passenger in a vehicle driven by Mr. Harris. The two men were travelling
on the road around 8:30 p.m. when Mr. Harris lost control of the vehicle while driving
over a depression or dip in the roadway. The vehicle rotated, left the roadway
and travelled across the shoulder and into a ditch, where it hit a hydro pole.
The vehicle travelled a further distance and collided, passenger side, into a
group of trees and an embankment. Mr. Stamatopoulos suffered life altering
injuries.
[2]
Mr. Harris conceded that he was negligent and
that his driving was a cause of the collision. He reached a settlement with the
appellants in 2010. However, he and the appellants alleged that the road where
the collision occurred was in a state of non-repair, due to the dip in the
road, and that this was also a cause of the collision. Damages were settled
before the trial. The sole issues at trial were whether the respondent Durham
was liable in negligence and, if so, what the apportionment of damages should
be.
[3]
The trial judge found that the roadway was not in
a state of non-repair. The appellants appeal from that finding. Mr. Harris
appealed initially, but has since abandoned his appeal. He filed a factum only
in relation to the costs award in the event the appellants were successful.
[4]
The appellants argue that the trial judge
committed an extricable error of law in analyzing the question of whether the
road was in a state of non-repair. This was the result of two related errors.
To begin with, the appellants submit that the trial judge erred by measuring Durhams
standard of care from the perspective of Mr. Harris rather than that of the
ordinary reasonable driver.
Second, she compounded this
error by adopting too low a standard for conduct that takes a driver outside of
the scope of an ordinary reasonable driver. They argue that Mr. Harris
negligence was not of such a magnitude to take him outside the scope of an
ordinary reasonable driver
. Her approach, they submit, was contrary to the
authorities, and distorted the proper analysis of the claim as set out in
Fordham
v Dutton-Dunwich (Municipality)
, 2014 ONCA 891, 327
O.A.C. 302, by conflating the question of the drivers manner of driving with
the question of whether the road was in a state of non-repair.
[5]
We do not agree and dismiss the appeal for the
following reasons.
[6]
There is no dispute that the applicable four-part
test for establishing the statutory cause of action in negligence against a
municipality was set out by this court in
Fordham
at para. 26:
1.
Non-repair: The plaintiff must prove on a
balance of probabilities that the municipality failed to keep the road in
question in a reasonable state of repair.
2.
Causation: The plaintiff must prove the non-repair caused the
accident.
3.
Statutory Defences: Proof of non-repair and
causation establish a
prima facie
case of liability against a
municipality. The municipality then has the onus of establishing that at least
one of the three defences in s. 44(3) applies.
4.
Contributory Negligence: A municipality that cannot establish any of
the three defences in s. 44(3) will be found liable. The municipality can,
however, show the plaintiffs driving caused or contributed to the plaintiffs
injuries.
[7]
First, we do not agree that the trial judge
conflated Mr. Harris negligence with her finding that the road was not in a
state of non-repair such that it would have presented a hazard to an ordinary
reasonable driver. She summarized the factors that she considered in
determining whether the road was in such a state of non-repair that it would
have presented a hazard to an ordinary reasonable driver at para. 483 of her
reasons:
In considering
whether the dip in the road constituted a state of non-repair, I consider the
following factors: the measurements of the length and depth of the dip,
including the expert evidence that I accept (primarily that of Mr. Bigelow in
terms of his survey, and Mr. Malone); the photos of the dip (primarily those
taken by Mr. Bigelow, Mr. Morden, and Mr. Harris sister); the qualitative
evidence of witnesses about driving over the dip, in particular the civilian
witnesses and the police drive-throughs; the absence of an accident history at
that location; and Mr. Harris manner of driving on the evening of the
collision, including his excessive speed, and his distraction.
[8]
The trial judge then analyzed all of the factors
other than Mr. Harris manner of driving. This included evidence that driving
over the dip at and over the speed limit did not create problems. She concluded,
at para. 495 of her reasons, on the basis of those factors that the road was
not in a state of non-repair. She stated, [t]aking these factors together, I
find that the plaintiffs have failed to persuade me on a balance of
probabilities that the dip in the road constituted a state of non-repair. I am
not persuaded that the dip posed an unreasonable risk to an ordinary reasonable
driver. There was ample evidence to support this, including the qualitative
evidence of witnesses who live in the area and knew the dip, the agreed fact that
there had been no prior collisions identified at this site attributable to the
depression since 1993, police evidence of runs conducted over the dip at
various speeds up to 120 km per hour, applicable guidelines regarding road
depressions, as well as guidelines regarding signage for road hazards.
[9]
Only after so concluding did the trial judge
turn to Mr. Harris driving, and how his manner of driving related to whether
the road was in a state of non-repair such as to create a risk to the ordinary
reasonable driver. She made a finding of fact that Mr. Harris was driving 100 km
per hour when he began to cross the dip, and that he was distracted as he had no
hands on the wheel, having just opened a pop bottle. He was not an ordinary
reasonable driver.
[10]
We do not accept the premise that, because the
trial judge considered Mr. Harris manner of driving, she conflated the
analysis. She did not reason that, because he was driving in a manner that was
not that of an ordinary reasonable driver, the road was not in a state of
non-repair. She began her analysis of this issue by setting out the
Fordham
test and focusing on the question of whether the dip in the road
constituted a state of non-repair. Having found that it was not a risk to the
ordinary reasonable driver, she considered Mr. Harris driving, and found that
he was not driving as an ordinary reasonable driver, which was consistent with
her finding on the state of the road. Had she found that Mr. Harris manner of
driving was that of the ordinary reasonable driver, and an accident had still
occurred, she would have had to reconsider whether the road posed a hazard to
the ordinary reasonable driver.
[11]
We see no error in taking the manner of Mr.
Harris driving into account as a part of the trial judges consideration of
whether the road was in a state of non-repair. Read in context, this was simply
one factor considered.
[12]
Nor do we do agree that the trial judge erred by
adopting too low a standard (100 km) for conduct taking a driver beyond the
scope of an ordinary reasonable driver. The appellants argue that this finding
was unreasonable on the basis that a significant percentage of drivers travel
the same stretch of road at speeds exceeding 90 km an hour and that this
effectively immunizes the municipality from liability pursuant to s. 44 of the
Act.
[13]
The trial judge found that the ordinary
reasonable driver would not exceed the speed of 100 km per hour on that stretch
of road. This was a finding of fact that she reached after a careful review of
the evidence. We see no basis for interfering with this finding.
[14]
The appeal is dismissed. Costs are payable by the appellants to the
respondent Durham in the amount of $40,000 inclusive of HST and disbursements.
Janet Simmons J.A.
A. Harvison Young
J.A.
B. Zarnett J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Turner, 2022 ONCA 180
DATE: 20220301
DOCKET: C68105
Tulloch, Huscroft and Miller
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Jerome Turner
Appellant
Richard Litkowski, for the appellant
Linda Shin, for the respondent
Heard: February 22, 2022 by
video conference
On appeal from the conviction entered on
October 31, 2019, and the sentence imposed on February 21, 2020 by Justice Susanne
Boucher of the Superior Court of Justice, sitting with a jury.
REASONS FOR DECISION
[1]
The appellant was found guilty following trial
by jury on five counts of armed robbery arising out of the robbery of several convenience
stores. He appeals conviction and sentence.
[2]
The appeal is dismissed for the reasons that
follow.
Background
[3]
The robberies occurred within a twelve-day
period in 2017. All the robberies were committed by two people wearing face
coverings, gloves, and hoodies. The taller of the two robbers threatened the
clerk with a knife, while the shorter of the two took the money and goods.
[4]
After the fifth robbery, the police discovered a
black Acura that matched the description of the car seen at the location of the
fourth robbery. Items inside the car appeared connected to the robberies. The
police seized the car and impounded it. They determined that the car belonged
to Gornes Gittens, who was arrested shortly afterwards, and subsequently
pleaded guilty to all five robberies. Cell phone records revealed calls and
messages between the appellant and Gittens before and after two of the
robberies. Personal items inside the car had the appellants DNA on them, and there
was an ID with his personal information, including his name, Jerome Turner.
[5]
The sole issue at trial was the identity of the
taller perpetrator.
[6]
The appellant raises several issues on appeal.
We address each of them in turn.
Similar fact ruling
[7]
The trial judge granted the Crowns application
to use the similar fact evidence across counts to prove identity.
[8]
The appellant argues that the trial judge erred
in applying the test set out by the Supreme Court in
R. v. Perrier
,
2004 SCC 56, [2004] 3 S.C.R. 228. The appellant raises a number of
dissimilarities between the robberies and submits that the facts common to the
robberies were not sufficiently distinctive to suggest that the perpetrators
were the same two individuals each time. He argues that the composition of the
perpetrators was not always constant and one or more other persons could have
been involved.
[9]
We disagree.
[10]
The trial judge carefully considered the
similarities and differences. She found that both the general circumstantial
and specific individualized factors established that it was highly likely that
the same two people performed the individualized roles in committing all five
robberies.
[11]
All of the robberies occurred within a twelve-day
timespan in convenience stores late at night, in the southwestern part of the Greater
Toronto/Hamilton area. The robbers always wore gloves, face coverings, and hoodies.
The trial judge acknowledged that these factors would be meaningless on their
own, but when considered with the specific factors, the general circumstantial
factors were part of the unifying considerations supporting the probability
that the same two individuals were involved in each robbery. The specific similarities
were striking and included the following:
·
Every robbery was a two-person job;
·
The shorter person and the taller person played
the same roles in each of the robberies;
·
The shorter person had a distinctive posture;
·
The shorter person entered each location after
the taller person and acted as the bag man in every robbery;
·
The taller person controlled the store clerk and
brandished the knife in every robbery;
·
The taller person had a distinctive posture;
·
The taller person performed a signature move in
jumping the counter; and
·
The shorter person and the taller person wore
clothing of the same size, shape, colour, and style in all of the robberies.
[12]
The trial judge considered the dissimilarities
but concluded that they did not detract from the cogency of the similarities to
any significant degree. Her conclusion that it was highly likely that the same
two people committed all five robberies is reasonable and amply supported by
the record.
[13]
The trial judge properly went on to conclude
that there was evidence linking the appellant to the similar fact evidence, as
required by
Perrier
. Among
other things, the evidence linking the appellant included the appellants DNA
on a blue rubber glove used in two of the robberies and found in the black
Acura, which was identified as the getaway vehicle; video evidence from one of
the robberies; and text messages placing the accused with Gittens at the
relevant times or dates for the offences.
[14]
Finally, the trial judge considered the
potential prejudice to the appellant and concluded that it was outweighed by
the high degree of probative value she found in the evidence. Her analysis is clear
and thorough and there is no basis for this court to interfere. The similar
fact application was properly granted. We see no errors in the trial judges
instructions to the jury concerning the use of the similar fact evidence.
Post-offence conduct
[15]
The appellant argues that a text message sent
from the appellants phone to Gittens shortly after Gittenss arrest should not
have been admitted as post-offence conduct evidence from which guilt could be
inferred, because there was no independent evidence of fabrication. In that
text, the appellant expressed concern that Gittenss car had been stolen and
said that he spent $55 on a cab to get home as a result of the theft.
[16]
There is no merit to this argument.
[17]
There was ample evidence of fabrication, and the
trial judge properly applied the law in
R. v. OConnor
(2002), 62 O.R.
(3d) 263 (Ont. C.A.). This included evidence of a ten-minute phone call from
Gittens to the appellant after his car had been seized by the police, and
before Gittens reported that the car had been stolen. A subsequent phone call by
Gittens to the appellant, followed by the arrest of Gittens, preceded the
appellants text message to Gittens expressing concern that his car had been
stolen. These were all circumstances surrounding the appellants text that
afforded independent evidence of fabrication. The trial judge explained why it
did not matter that the text was sent to Gittens rather than to the police. It
was open to the jury to conclude that the appellant had an interest in the
theft narrative because the car contained inculpatory evidence and fit the
description of the car seen leaving the scene of the fourth robbery.
[18]
We see no error in the trial judges
instructions to the jury on this point.
Section 8 rulings
[19]
The trial judge made two s. 8 rulings. In the
first, she ruled that a warrantless search of Gittenss cell phone violated the
appellants s. 8 rights and excluded two pieces of evidence as a result: the
appellants contact information, and a statement from the appellant in which he
told the police that Gittens picked him up, that they went to his sisters
house, that Gittenss car was stolen, and that he had to take a cab home. This
ruling is not challenged on appeal, but it informs the second ruling.
[20]
The appellant made a second s. 8 application to
exclude his subscriber information, text messages and cellphone tower
information, all of which was obtained from Gittenss cellphone pursuant to a
production order. The trial judge excised references to the search of Gittenss
cellphone and references naming the appellant as Bounty, but otherwise
dismissed the application.
[21]
The appellant argues that the trial judges
approach to excision was too narrow and that subsequent investigative steps
taken by the police that yielded additional information were inextricably
linked to the initial search of Gittenss phone, which formed the basis for the
first s. 8 ruling finding a breach. We disagree.
[22]
The courts task on appeal is to determine
whether the trial judge could have issued the production order, not whether
this court would have done so. The trial judge acceded to most of the
appellants requested excisions from the ITO and fully explained her reasons
for denying the appellants other requests. In the absence of an error in
principle, her decision is entitled to deference. We see no such error. The
trial judge went on to conclude that, in the event she was wrong, the evidence
should not be excluded under s. 24(2). We note that there is no challenge to
her decision in this regard.
Sentence
[23]
The appellant argues that his sentence 21
months on each count less pre-trial custody was too harsh. There is no basis
to impugn the sentence in this case. The trial judge did not err in law or
principle, nor can it be said that the sentence imposed was demonstrably unfit.
On the contrary, in light of the appellants previous six-year sentence for ten
similar robberies and the commission of the first of these offences only three
days following the end of his parole period, the sentence imposed was at the
low end of the range.
Conclusion
[24]
The appeal is dismissed. Leave to appeal
sentence is granted, but the sentence appeal is dismissed.
M.
Tulloch J.A.
Grant
Huscroft J.A.
B.W.
Miller J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Urbancorp Toronto Management Inc. (Re), 2022 ONCA
181
DATE: 20220303
DOCKET: M52860
Strathy C.J.O., Roberts and Sossin JJ.A.
In the Matter of the
Companies Creditors
Arrangement Act
, R.S.C. 1985, c. C-36, as amended;
And in the Matter of a Plan of Compromise or Arrangement of Urbancorp Toronto
Management Inc., Urbancorp (St. Clair Village) Inc., Urbancorp (Patricia) Inc.,
Urbancorp (Mallow) Inc., Urbancorp (Lawrence) Inc., Urbancorp Downsview Park
Development Inc., Urbancorp (952 Queen West) Inc., King Residential Inc.,
Urbancorp 60 St. Clair Inc., High Res. Inc., Bridge On King Inc. (Collectively the
Applicants) and the Affiliated Entities Listed In Schedule A Hereto
Neil Rabinovitch and Kenneth
Kraft, for the moving party, Guy Gissin, in his capacity as Foreign
Representative of Urbancorp Inc.
Robin B. Schwill, for the responding
party, KSV Kofman Inc., in its capacity as Monitor
Bobby Kofman, Noah Goldstein and
Robert Harlang, for the responding party, KSV Restructuring Inc.
Andrew Winton, for the responding
party, Doreen Saskin
Heard: in writing
Motion for leave to appeal from
the order of Chief Justice Geoffrey B. Morawetz of the Superior Court of
Justice, dated September 16, 2021, with reasons at 2021 ONSC 5073.
REASONS
FOR DECISION
[1]
Pursuant to s. 13 of the
Companies Creditors Arrangement Act
, R.S.C.
1985, c. C-36 (the
CCAA
), the moving party, in his capacity as
Foreign Representative of Urbancorp Inc., seeks leave to appeal from the
distribution order of the Supervising Judge of the Superior Court of Justice (the
Supervising Judge) dated September 16, 2021, authorizing the court-appointed
Monitor of the applicants to make a distribution to King Towns North Inc.
(KTNI). KTNI is the owner of certain lands known as the Berm Lands and the
landlord under a lease of these lands to certain entities, described below. The
Monitor does not join in the appeal.
[2]
Section 13 provides that any person dissatisfied with an order or
decision made under the
CCAA
may appeal from the order or decision
with leave.
[3]
In determining whether leave should be granted, this court considers
whether:
a.
the proposed appeal is
prima facie
meritorious or frivolous;
b.
the points on the proposed appeal are of significance to
the practice;
c.
the points on the proposed appeal are of significance to
the action; and
d.
the proposed appeal will unduly hinder the progress of the
action.
See
Stelco Inc.
(Re)
(2005), 75 O.R.
(3d) 5 (C.A.), at para. 24;
Nortel Networks Corporation (Re)
,
2016 ONCA 332
, 130 O.R. (3d) 481, at para. 34, application for leave to
appeal discontinued, [2016] S.C.C.A. No. 301;
Timminco Limited (Re)
,
2012 ONCA 552, 2 C.B.R. (6th) 332, at para. 2;
DEL Equipment Inc. (Re)
,
2020 ONCA 555, at para. 12.
[4]
Leave to appeal is granted sparingly and only where there are serious
and arguable grounds that are of real and significant interest to the parties:
Nortel Networks
, at para. 34.
Background
[5]
The facts are set out in detail in the reasons of the Supervising Judge.
We summarize only those facts necessary to explain our decision.
[6]
CCAA
proceedings of the Urbancorp group of companies (the
Urbancorp Group) have been overseen by the Commercial List since 2016. In
related proceedings, Urbancorp Renewable Power Inc. (URPI) has been in
receivership since 2018. The Supervising Judge has been case managing both
proceedings since 2019.
Urbancorps Geothermal Assets
[7]
The Urbancorp Group owned certain assets, described as the Geothermal
Assets, located in four condominium buildings in Toronto. These assets
provided heating and air conditioning to each condominium and included, among
other things, assets located within the condominium building itself,
below-ground wells to supply water to the heating and air conditioning systems,
supply agreements with the various condominium corporations and a management
agreement between the manager of the Geothermal Assets and the owners of those
assets.
[8]
In the course of these proceedings, the Geothermal Assets pertaining to
three of the condominiums were sold to Enwave Geo Communities LP (Enwave) for
$24 million.
The Bridge Geothermal Assets
[9]
The assets at issue before the Supervising Judge (the Bridge Geothermal
Assets) pertained to one of those condominiums, referred to as Bridge,
located at 38 Joe Shuster Way in Toronto. At the time of the motion before the
Supervising Judge, there was approximately $7.7 million available for
distribution to stakeholders in relation to the Bridge Geothermal Assets.
KTNIs claim was one of seven claims against those funds. The Monitor admitted
six claims totaling $5.086 million, but disallowed KTNIs claim of $5.875
million. As noted above, the Supervising Judge rejected the Monitors
disallowance and allowed KTNIs claim.
The Berm Lands
[10]
In
the case of the Bridge Geothermal Assets, the majority of the wells were
located on a parcel of land adjacent to the Bridge condominium, referred to as
the Berm Lands. KTNI was the owner of the Berm Lands.
The Berm Lease
[11]
Pursuant
to a lease dated July 10, 2010 (the Berm Lease), the Berm Lands were leased
by KTNI jointly to Vestaco Homes Inc. (Vestaco Homes), an Urbancorp-related
entity which owned the Bridge Geothermal Assets, and URPI, which was the
manager of the Geothermal Assets. The Berm Lease was set to expire on July 9,
2060, with provision for renewals, making its term consistent with the relevant
geothermal energy supply agreement.
[12]
All
parties to the Berm Lease KTNI as landlord and Vestaco Homes and URPI as
tenants were beneficially owned or controlled by the Saskin family. Alan
Saskin signed the lease on behalf of each party. Pursuant to a declaration of trust
dated December 27, 2012, KTNI is declared to be holding all of its interests in
the Berm Lands in trust for Urbancorp Management Inc. (UMI). The Saskin
Family Trust is considered to be the sole shareholder of UMI. Doreen Saskin,
Alan Saskins spouse, claims to be a secured creditor of UMI for approximately
$2.8 million.
[13]
The
tenants interest in the Berm Lease was one of the assets sold to Enwave. Enwave
allocated a value of $2.049 million to the Berm Lease. The Supervising Judge
found that this was an appropriate valuation.
[14]
The
Berm Lease initially provided for an annual rent of $200,000, payable to KTNI.
In 2015, Urbancorp Inc. was in the process of raising funds from the issuance
of bonds in Israel. There was evidence that in order to increase the value of
the Geothermal Assets for the purpose of the bond issuance, Alan Saskin amended
the Berm Lease to provide a rental of $100 per annum, rather than $200,000,
because a payment of rent to a related company outside the bond structure would
reduce the net income and the net value of the Bridge geothermal system, made
up of the Bridge Geothermal Assets.
[1]
[15]
It
was not disputed that $100 per annum was not a market rent for the Berm Lease.
However, the Berm Lease provided that the lease could not be transferred or
assigned without the consent of the landlord, KTNI. The effect was that a
tenant that was not controlled or beneficially owned by the Saskin family could
not benefit from a nominal rent at the expense of a Saskin-related landlord.
[16]
This
brings us to the provision of the Berm Lease, referred to below as the
Transfer Provision, which is at the heart of this dispute:
13.4(e) Where the Transferee pays or gives to the Transferor
money or other value that is reasonably attributable to the desirability of the
location of the Leased Premises or to leasehold improvements that are owned by
the Landlord or for which the Landlord has paid in whole or in part, then at
the Landlords option, the Transferor will pay to the Landlord such money or
other value in addition to all Rent payable under this lease and such amounts
shall be deemed to be further Additional Rent.
[17]
The
effect of the Transfer Provision is that on a transfer of the lease, KTNI is
entitled to the value of the lease. Doreen Saskin contended that the effect
of this provision in the circumstances is that any amount of the proceeds of
sale of the Geothermal Assets to Enwave that are attributable to the transfer
of the Berm Lease should be allocated to KTNI.
The Sale of the Bridge Geothermal Assets to Enwave
[18]
In
December 2020, over the objection of KTNI, the Supervising Judge approved the
sale of the Bridge Geothermal Assets to Enwave. The order provided that the
assignment was free of any payment obligations to KTNI that might arise
pursuant to s. 13.4 of the Berm Lease. The sale order also provided that the
allocation of the proceeds of sale was to be determined at a later date. As
noted earlier, all claims against the Bridge Geothermal Assets, other than
those related to the Berm Lease, have been resolved.
[19]
The
Monitor disallowed KTNIs claim to a portion of the proceeds of sale of the
Bridge Geothermal Assets to Enwave, giving the following reasons:
The Berm Lease is an asset of Vestaco Homes and URPI, as
tenants, to the extent it provides for under market rent. The Berm Provision
has the effect of stripping this value away from Vestaco Homes and URPI for no
consideration. While this would be of little concern if all parties were
related parties and solvent, the fact is that Vestaco Homes and URPI are now
insolvent and subject to CCAA and receivership proceedings, respectively.
Accordingly, in the Court Officers view, a clause set up between related parties
to manage inter-group asset allocations and tax consequences should not be
enforceable under the circumstances as a matter of equity and fairness when
doing so would deprive the estates of value that they possessed on the filing
date, for no consideration, with the consequential beneficiary being the sole
officer and director of the Urbancorp Group, Alan Saskin, or members of his
family.
The Court Officer believes that URPI was made a tenant under
the Berm Lease as a matter of pure convenience as it was the manager of the
Bridge Geothermal Assets for the benefit of Vestaco Homes, and the party who
would be exercising access rights for repairs and maintenance. Commercially, as
Vestaco Homes is the owner of the Bridge Geothermal Assets, which includes the geothermal
piping located on the Berm Lands, it makes sense that the economic value of the
Berm Lease would be allocated fully to it.
[20]
The
Monitor moved before the Supervising Judge for directions concerning the
distribution of the proceeds of the sale of the Geothermal Assets. The only
contested issue related to which party was entitled to the funds reserved ($2.8
million) in relation to the Berm Lease. The Monitor recommended that the amount
allocated to the Berm Lease be for the benefit of the tenant Vestaco Homes and
that KTNIs claim be disallowed. KTNI opposed this recommended proposal.
The Decision of the Supervising Judge
[21]
The
central issue on the motion below was the interpretation and application of the
Transfer Provision of the Berm Lease, and specifically whether the provision
offended either the
pari passu
rule or the anti-deprivation rule,
both of which were discussed and explained in the decision of the Supreme Court
of Canada in
Chandos Construction Ltd. v. Deloitte Restructuring Inc.
,
2020 SCC 25, 449 D.L.R. (4th) 293.
[22]
The
Monitor, supported by the Foreign Representative of Urbancorp Inc., took the
position that Vestaco Homes, one of the tenants, should receive the amount
Enwave attributed to the Berm Lease. KTNI, supported by Doreen Saskin, opposed
this proposal.
[23]
The
Supervising Judge described the Monitors position as follows, at para. 17:
The Monitor is of the view that the Berm Lease is an asset of
Vestaco Homes and URPI, as Tenants, to the extent it provides for under market
rent. The Berm Provision has the effect of stripping this value away from
Vestaco Homes and URPI for no consideration. The Monitor is of the view that a
clause set up between related parties to manage inter-group asset allocations
and tax consequences should not be enforceable under the circumstances as a
matter of equity and fairness when doing so would deprive the estates of value
that they possessed on the filing date, for no consideration, with the
consequential beneficiary being the sole officer and director of the Urbancorp
group, Alan Saskin, or members of his family.
[24]
The
Supervising Judge rejected evidence tendered by Urbancorp Inc. concerning the
drafting of the Berm Lease, the purpose of s. 13.4 and the decision to reduce
the annual rent. He found that the affiant, Mr. Mandell, had failed to disclose
a cooperation and immunity agreement he had made with the Foreign
Representative and that his evidence was unreliable and would be disregarded.
[25]
As
a result, the Supervising Judge based his determination of the issues on the
documentary record. Applying the principles of contract interpretation
(referring to
Ventas, Inc. v. Sunrise Senior Living Real Estate Investment
Trust
, 2007 ONCA 205, 85 O.R. (3d) 254, at para. 24), he accepted the submission
of Doreen Saskin concerning the interpretation of the Transfer Provision and
found that, as a matter of contract interpretation, the portion of the
distribution funds allocated to the Berm Lease was to be transferred to KTNI.
He observed, at paras. 55-57:
Counsel to Ms. Saskin submits that the starting point for the
interpretation of the provision is the plain language in s. 13.4(e) of the Berm
Lease, which expressly states that the Transferor is required to pay the
proceeds of transfer of the lease to the Landlord.
Counsel further submits that this provision needs to be read in
the context of the objective factual matrix of the terms of the Berm Lease as a
whole. This is a long-term lease between non-arms length parties for nominal
rent and there is no dispute that the rent does not reflect the market value of
the leasehold interest which is precisely why EGC allocated $2 million in
value to the lease. EGC paid URPI that sum to buy the right to pay $100
annual rent to KTNI for so long as the Berm Lands were being used to generate
geothermal energy. Accordingly, this is precisely the circumstance contemplated
by s. 13.4(e) of the Berm Lease, and there is a contractual obligation for the
portion of the Distribution Funds allocated to the lease to be transferred to
KTNI.
I have been persuaded by the submissions of counsel to [Ms.]
Saskin. In my view, the plain language of s. 13.4(e) of the Berm Lease
establishes the basis for the claim of KTNI.
[26]
The
Supervising Judge then turned to the Monitors submission that the Transfer
Provision should be invalidated under either the
pari passu
rule or
the anti-deprivation rule. The
pari passu
rule prohibits contractual
provisions that allow creditors to obtain more than their fair share on the
insolvency of the counterparty. The anti-deprivation rule, he said, protects
third party creditors, by rendering void contractual provisions that, upon
insolvency, remove value that would otherwise have been available to a debtors
creditors from their reach: referring to
Chandos
.
[27]
In
rejecting this submission, the Supervising Judge referred to and adopted the
submissions made by counsel for Doreen Saskin. After setting out those
submissions, the Supervising Judge observed, with respect to the
pari passu
rule, at para. 65:
In my view, the submissions put forth by Doreen Saskin on this
issue are a complete answer to the arguments raised by the Monitor.
Specifically, the Berm Lease makes clear that Vestaco does not have an interest
in the transfer value of the lease that value was retained by the landlord,
KTNI in accordance with s. 13.4(e). The Berm Lease reserved the transfer value
to KTNI and, accordingly, the
pari passu
rule, which invalidates
contractual terms that prefer one creditor ahead of the others, does not come
into play on these facts, because KTNIs interest in the Distribution Funds
does not alter any scheme of distribution.
[28]
With
respect to the anti-deprivation rule, counsel for Doreen Saskin submitted that
the anti-deprivation rule requires as a precondition that the impugned term of
a contract is triggered by an event of insolvency or bankruptcy. Counsel noted
that the provision in the Berm Lease did not mention bankruptcy or insolvency
and was agnostic as to whether the transfer occurs in the insolvency context
or not. The Supervising Judge agreed, at para. 66:
The anti-deprivation rule does not apply as the relevant clause
does not mention insolvency or bankruptcy. Rather, it applies to all transfers
of the lease. The clause is triggered by the transfer of the lease.
[29]
The
Supervising Judge concluded that s. 13.4(e) of the Berm Lease was not
invalidated under either the
pari passu
rule or the anti-deprivation
rule.
[30]
The
Supervising Judge therefore ordered the Monitor to distribute $2.049 million to
KTNI from the funds available for distribution, with the proviso that there be
no distribution to Doreen Saskin until such time as her claim in the bankruptcy
of UMI, KTNIs parent, had been fully and finally accepted by the trustee in
bankruptcy of UMI.
The Moving Partys Submissions
[31]
The
moving party submits that the proposed appeal is meritorious and is significant
to the parties and the profession. He submits that it raises an issue of
significance to bankruptcy practice concerning the application of the decision
of the Supreme Court of Canada in
Chandos
, which he submits should be
seen as a statement of first principles, rather than as a complete code. He
submits that the practice needs to know whether the anti-deprivation rule can
be excluded by drafting a provision that omits reference to the words
bankruptcy or insolvency.
[32]
If
granted leave to appeal, the moving party proposes to address the following
issues:
a.
Whether
the anti-deprivation rule applies in circumstances where an impugned provision
is not expressly triggered by an event of insolvency, but the effect of the
clause is to strip value from the insolvent debtors estate. The Supervising
Judge elevated form over substance in the application of
Chandos
by
finding that the anti-deprivation rule does not apply to provisions that do not
expressly reference an event of insolvency. He failed to consider that,
practically speaking, the only scenario in which s. 13.4(e) could apply would
be an insolvency or bankruptcy. While the Supreme Court in
Chandos
held that the anti-deprivation rule does not apply to a provision that is not
triggered by an event other than insolvency or bankruptcy, it did not find that
the rule could be avoided by clever drafting where, as a practical matter, it
could only apply in bankruptcy or insolvency;
b.
Whether the Supervising Judge failed to determine whether the value
attributed to the Berm Lease is reasonably attributable to the desirability of
the location of the Leased Premises within the meaning of the Transfer Provision;
and
c.
Whether the Supervising Judge erred by failing to consider the evidence
of both Mr. Mandell and Mr. Saskin concerning the factual matrix of the
amendment of the lease.
[33]
The
moving party submits that granting leave to appeal will not unduly delay the
insolvency proceedings, which have been continuing since 2016. The asset has
been monetized but there will be no distribution to Doreen Saskin until such
time as her claim against UMI has been accepted by UMIs trustee in bankruptcy.
Discussion
[34]
The
errors identified by the moving party are, at their highest, mixed questions of
fact and law and will not be set aside in the absence of an extricable error of
law or a palpable and overriding error in the assessment of the evidence.
[35]
In
our view, the moving party has not satisfied the first branch of the test for
leave. None of the alleged errors raise a
prima facie
meritorious
issue for appeal.
[36]
As
to the first proposed ground of appeal, we do not accept the moving partys submission
that the Supervising Judge erred in his application of
Chandos
. It
bears noting, as the Supreme Court did, that the anti-deprivation rule has
relatively ancient roots in Canadian law, dating to
Watson v. Mason
(1876), 22 Gr. 574 (Ont. C.A.) and
Hobbs v. The Ontario Loan and Debenture Co.
,
(1890) 18 S.C.R. 483. The rule was referred to by Blair J., as he then was, in
Canadian
Imperial Bank of Commerce v. Bramalea Inc.
(1995), 33 O.R. (3d) 692 (Gen.
Div.), in which he adopted the following summary of the rule, at p. 694:
A provision in an agreement which provides that upon an
insolvency, value is removed from the reach of the insolvent persons creditors
to which would otherwise have been available to them, and places that value in
the hands of others presumably in a contract other than a valid secured
transaction is void on the basis that it violates the public policy of
equitable and fair distribution amongst unsecured creditors in insolvency
situations.
[37]
He
added, at p. 695:
I am satisfied that the principle which underlies the notion
is the deprivation of the creditors interests in a bankruptcy as a result of a
contractual provision that is triggered only in the event of bankruptcy or
insolvency and which results in property that would otherwise be available to
the bankrupt and the creditors, or its value, being diverted to which is in
effect, a preferred unsecured creditor. [Citations omitted.]
[38]
In
Chandos
, the majority confirmed that the anti-deprivation rule exists
in Canadian law and has not been judicially or statutorily eliminated.
Referring to
Bramalea
, it described the rule as follows, at para. 31:
As
Bramalea
described, the anti-deprivation rule
renders void contractual provisions that,
upon insolvency
,
remove value that would otherwise have been available to an insolvent person's
creditors from their reach. This test has two parts:
first,
the relevant clause must be triggered by an event of insolvency or bankruptcy
;
and second, the effect of the clause must be to remove value from the
insolvent's estate. This has been rightly called an effects-based test.
[Emphasis added.]
[39]
After
stating that the focus of inquiry is on the effects of the provision rather
than the intention of the parties in drafting it, the majority in the Supreme
Court stated, at para. 35:
The effects-based rule, as it stands, is clear. Courts (and
commercial parties)
do not need to look to anything other
than the trigger for the clause and its effect
. The effect of a clause
can be far more readily determined in the event of bankruptcy than the
intention of contracting parties.
An effects-based
approach also provides parties with the confidence that contractual agreements,
absent a provision providing for the withdrawal of assets upon bankruptcy or
insolvency, will generally be upheld
. [Emphasis added.]
[40]
The
Court added, at para. 40:
All that said, we should recognize that there are nuances with
the anti-deprivation rule as it stands. For example, contractual provisions
that eliminate property from the estate, but do not eliminate value, may not
offend the anti-deprivation rule (see
Belmont
,
at para. 160, per Lord Mance;
Borlands
Trustee v. Steel Brothers & Co. Limited
, [1901] 1 Ch. 279; see also
Coopérants
).
Nor do provisions whose effect is triggered by an event
other than insolvency or bankruptcy
. Moreover, the anti-deprivation rule
is not offended when commercial parties protect themselves against a
contracting counterparty's insolvency by taking security, acquiring insurance,
or requiring a third-party guarantee. [Emphasis added.]
[41]
The
emphasized portions of the above extracts make it clear that the focus of the
concern is (a) whether the provision in question is triggered by an event of
bankruptcy or insolvency and (b) whether the effect of the contractual
provision is to deprive the estate of assets
upon
bankruptcy
: see Lloyd W. Houlden, Geoffrey B. Morawetz & Janis P.
Sarra,
The 2021 Annotated Bankruptcy and Insolvency Act
(Toronto:
Thomson Reuters, 2021), at F§108. The Supreme Court in
Chandos
was
clearly aware of the commercial importance of the issue when it stated that
contractual agreements, absent a provision providing for the withdrawal of
assets upon bankruptcy or insolvency, will generally be upheld.
[42]
As
counsel for Doreen Saskin submitted before the Supervising Judge and reiterated
in their written submissions, the Supreme Court confirmed in
Chandos
that the anti-deprivation rule does not apply to provisions the effect of which
is not triggered by bankruptcy or insolvency:
Chandos
, at para. 40.
The Transfer Provision was triggered by the transfer of the lease, not the
insolvency of the Urbancorp Group and its affiliates.
[43]
We
do not accept the submission of the moving party that the Supervising Judge
elevated form over substance because the only circumstance in which the
Transfer Provision could apply was an insolvency proceeding. In confirming an
effects-based approach, as opposed to an intention-based (or commercial
reasonableness) test, the Supreme Court emphasized the need for commercial
certainty, at para. 35:
The effects-based rule, as it stands, is
clear. Courts (and commercial parties) do not need to look to anything other
than the trigger for the clause and its effect
. The effect of a clause
can be far more readily determined in the event of bankruptcy than the
intention of contracting parties.
An effects-based
approach also provides parties with the confidence that contractual agreements,
absent a provision providing for the withdrawal of assets upon bankruptcy or
insolvency, will generally be upheld
. [Emphasis added.]
[44]
It
cannot possibly be said, in the case of a 50-year lease, with provision for
renewals, that the Transfer Provision could only ever apply in the case of
insolvency or bankruptcy.
[45]
The
interpretation of the Transfer Provision and the application of the
anti-deprivation rule to the circumstances of this case is a question of mixed
fact and law and the Supervising Judges decision in that regard is entitled to
deference. We therefore see little merit to the proposed appeal on the first
ground.
[46]
Nor
do the remaining proposed grounds raise
prima facie
meritorious issues. These grounds
relate to the
Supervising Judges interpretation of the agreement, including his assessment
of the utility of the factual matrix in the interpretative exercise and his
assessment of the evidence. Again, his interpretation is entitled to deference.
While the Supervising Judge did not expressly consider whether the value of the
Berm Lease was reasonably attributable to the location of the premises, it can
be inferred that he did so. The proximity of the Berm Lands to the Bridge condominium,
served by the wells on those lands, was undoubtedly a significant factor of its
value.
[47]
In
our view, none of the proposed grounds for appeal can be described as matters
of importance to the practice. In the case of the application of the
anti-deprivation rule,
Chandos
quite clearly lays out the framework,
at para. 40: a contractual provision does not offend the anti-deprivation rule
so long as it can be triggered by an event other than insolvency or bankruptcy.
Further, the application of the rule will necessarily be fact-specific and
dependent upon the interpretation of the particular terms of the contract in
each individual case. For this reason, alleged interpretive errors by the
Supervising Judge will be of limited assistance in future cases.
[48]
While
the appeal may be of significance to this action, standing alone, this factor
is insufficient to warrant granting leave
to appeal in this case:
Nortel Networks
, at para. 95.
[49]
Having
regard to these conclusions, the proposed appeal would unduly hinder the
completion of the proceedings, which have been underway for nearly six years
and are nearing completion. The allocation of the proceeds of the sale of the
Bridge Geothermal Assets is one of the final steps.
[50]
Finally,
we note that having completed his contractual analysis in the absence of any
extricable error of law or palpable and overriding error, the Supervising Judge
was entitled to make a discretionary decision as to the distribution of the
sale proceeds. As the Supreme Court of Canada has recently noted, supervising
judges in
CCAA
proceedings are entitled to broad discretion and
appellate courts must exercise particular caution before interfering with
orders made in accordance with that discretion:
Canada v. Canada North
Group Inc.
, 2021 SCC 30, 460 D.L.R. (4th) 309, at para. 22. Intervention
is only appropriate where the judge has erred in principle or exercised their
discretion unreasonably:
Grant Forest Products Inc. v. The Toronto-Dominion
Bank
, 2015 ONCA 570, 387 D.L.R. (4th) 426, at para. 98;
Laurentian
University of Sudbury (Re)
, 2021 ONCA 199, 87 C.B.R. (6th) 243, at paras.
19-20;
9354-9186 Québec inc. v. Callidus Capital Corp.
, 2020 SCC 10, 78
C.B.R. (6th) 1, at paras. 53-54. We see no error in principle or unreasonable
exercise of discretion in the making of the distribution order.
Disposition
[51]
For
these reasons, the motion for leave to appeal is dismissed.
[52]
If
not otherwise resolved, the parties may address the costs of this motion by
written submissions. The responding party shall file its submissions within 15
days of the release of these reasons. The moving party shall have 15 days to
reply. The submissions shall not exceed three pages in length, excluding the
costs outlines.
G.R. Strathy C.J.O.
L.B. Roberts J.A.
L. Sossin J.A.
SCHEDULE "A"
LIST OF NON APPLICANT AFFILIATES
Urbancorp Power Holdings Inc.
Vestaco Homes Inc.
Vestaco Investments Inc.
228 Queens Quay West Limited
Urbancorp Cumberland 1 LP
Urbancorp Cumberland 1 GP Inc.
Urbancorp Partner (King South) Inc.
Urbancorp (North Side) Inc.
Urbancorp Residential Inc.
Urbancorp Realtyco Inc.
[1]
For further clarity,
Vestaco Homes was added as a party to the
Berm Lease at the time it was amended in 2015.
|
WARNING
The President of the panel hearing this
appeal directs that the following should be attached to the file:
An order restricting publication in this
proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2)
of the
Criminal Code
shall continue. These sections of the
Criminal
Code
provide:
486.4(1) Subject to subsection
(2), the presiding judge or justice may make an order directing that any
information that could identify the victim or a witness shall not be published
in any document or broadcast or transmitted in any way, in proceedings in
respect of
(a) any of the following offences;
(i) an offence under section 151,
152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1, 172, 172.1, 172.2,
173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02, 279.03, 280, 281,
286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence under this Act, as
it read at any time before the day on which this subparagraph comes into force,
if the conduct alleged involves a violation of the complainants sexual
integrity and that conduct would be an offence referred to in subparagraph (i)
if it occurred on or after that day; or
(iii) REPEALED: S.C. 2014, c. 25,
s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more
offences being dealt with in the same proceeding, at least one of which is an
offence referred to in paragraph (a).
(2) In proceedings in respect of the
offences referred to in paragraph (1)(a) or (b), the presiding judge or justice
shall
(a) at the first reasonable
opportunity, inform any witness under the age of eighteen years and the victim
of the right to make an application for the order; and
(b) on application made by the
victim, the prosecutor or any such witness, make the order.
(2.1) Subject to subsection (2.2), in
proceedings in respect of an offence other than an offence referred to in
subsection (1), if the victim is under the age of 18 years, the presiding judge
or justice may make an order directing that any information that could identify
the victim shall not be published in any document or broadcast or transmitted
in any way.
(2.2) In proceedings in respect of an
offence other than an offence referred to in subsection (1), if the victim is
under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible, inform the
victim of their right to make an application for the order; and
(b) on application of the victim or the
prosecutor, make the order.
(3) In proceedings in respect of an
offence under section 163.1, a judge or justice shall make an order directing
that any information that could identify a witness who is under the age of
eighteen years, or any person who is the subject of a representation, written
material or a recording that constitutes child pornography within the meaning
of that section, shall not be published in any document or broadcast or
transmitted in any way.
(4) An order made under this section
does not apply in respect of the disclosure of information in the course of the
administration of justice when it is not the purpose of the disclosure to make
the information known in the community.
2005, c.
32, s. 15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014,
c. 25, ss. 22,48; 2015, c. 13, s. 18..
486.6(1) Every person who fails to
comply with an order made under subsection 486.4(1), (2) or (3) or 486.5(1) or
(2) is guilty of an offence punishable on summary conviction.
(2) For greater certainty, an order
referred to in subsection (1) applies to prohibit, in relation to proceedings
taken against any person who fails to comply with the order, the publication in
any document or the broadcasting or transmission in any way of information that
could identify a victim, witness or justice system participant whose identity
is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Williams, 2022 ONCA 182
DATE: 20220302
DOCKET: C66489
Rouleau, Nordheimer and George JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Kirk Williams
Appellant
Richard Litkowski and Myles Anevich, for the appellant
Jessica Smith Joy, for the respondent
Heard: March 1, 2022 by video conference
On appeal from the sentence imposed on April 6, 2018 by
Justice S. Casey Hill of the Superior Court of Justice, with reasons reported
at 2018 ONSC 2030.
REASONS FOR DECISION
[1]
Mr. Williams seeks leave to appeal his sentence in which he was
designated as a dangerous offender and an indeterminate sentence was imposed.
He submits that the sentencing judge erred in concluding that one of the
statutory pathways to a dangerous offender designation was available in his
case, and that the sentencing judge also erred in his consideration of the
future harm that the appellant posed. The appellant asks that the dangerous
offender designation be set aside and that he be designated as a long-term
offender instead. Alternatively, if the dangerous offender designation remains,
the appellant asks that a determinate sentence, followed by a long-term
supervision order, be imposed. At the conclusion of the hearing, we granted
leave to appeal sentence, but dismissed the appeal for reasons to follow. We
now provide our reasons.
[2]
On April 11, 2016, the appellant pleaded guilty to sexual assault
causing bodily harm and choking with intent to commit sexual assault against a 24-year‑old
female. On April 6, 2018, he was designated a dangerous offender and sentenced
to an indeterminate sentence.
[3]
The evidence on the dangerous offender hearing was extensive. It included
expert reports from Dr. Scott Woodside and Dr. Julian Gojer, both forensic
psychiatrists, as well as Dr. Milan Pomichalek, a psychologist. Dr. Ainslie
Heasman, a psychologist who had previously treated the appellant at the Centre
for Addiction and Mental Health (CAMH), also testified as a qualified expert in
forensic psychology regarding the appellants previous treatment. Additionally,
an employee of the Parole Board of Canada, a Parole Officer Supervisor, the appellants
parole officer in 2012 and 2013, and the appellants probation officer from
September 2013 until his arrest on these charges all testified.
[4]
Both Dr. Woodside and Dr. Gojer agreed that the appellant was a
high-risk offender. The disagreement between the two experts was whether a
course of medication, supplemented by high-intensity psychiatric treatment,
could sufficiently reduce the appellants risk of re-offending.
[5]
The sentencing judge gave lengthy reasons for his conclusion. He
dismissed the treatment plan as insufficient to adequately protect the public.
He noted that the appellants psychiatric disorders, life-long and fixed, are
either untreatable or at best difficult to treat.
[6]
The appellant raises three grounds of appeal. In considering these
grounds, we are cognizant of the applicable standard of review, namely, that review
of a dangerous offender designation is more robust than on a regular sentence
appeal:
R. v. Sawyer
, 2015 ONCA 602, 127 O.R. (3d) 686, at para. 26. Thus,
[c]ourts can review the imposition of an indeterminate sentence for legal
error and reasonableness, but should defer to the factual and credibility
findings of the trier of fact:
Sawyer
, at para. 29.
[7]
First, the appellant contends that the sentencing judge erred in
concluding that the Crown had satisfied three of the four pathways for a person
to be designated as a dangerous offender beyond a reasonable doubt. We do not
agree. The sentencing judge concluded that each of the three pathways under s. 753(1)(a)(i),
s. 753(1)(a)(ii), and s. 753(1)(b) had been satisfied. He gave detailed reasons
for his conclusions. We do not see any error in those reasons. The appellant
has a criminal record involving 25 prior convictions, not including his youth
offences. A number of these offences involved acts of violence, and five of
them involved sexual offences. The sexual offences all involved especially vulnerable
victims. The appellants argument that there is a material difference in the
offences, for this purpose, between the prior convictions that involved children,
and the predicate offences that involved a young adult, and that the sentencing
judge applied too general a level of similarity in reaching his conclusion, is
unpersuasive. Nor do we accept that a 12-year gap between the earlier offences
and the predicate offences means that the behaviour is not persistent. On that
point, one must be cognizant of the fact that the appellant spent much of those
12 years in custody.
[8]
Second, the appellant contends that the sentencing judge failed to
consider, at the designation stage, the effect that the antiandrogen therapy and
SSRI medication would have when considering s. 753(1)(b). Again, we do not
agree. A fair reading of the sentencing judges reasons demonstrates that
he was fully aware of the evidence regarding the impacts that these medical
treatments might have and that he considered them throughout his analysis. The
fact is that the sentencing judge was not satisfied that these medications
would have the necessary effect in terms of curbing the appellants potential
conduct.
[9]
The third ground of appeal somewhat mirrors the second. The appellant
contends that the sentencing judge misapprehended the future risk of recidivism,
and therefore treatment prospects, at the penalty phase. This argument again
relies on the aforementioned medical treatment. With respect to that treatment,
the sentencing judge noted that the two experts disagreed on its effectiveness.
The sentencing judge also questioned the willingness of the appellant to take
the medication on a constant basis. Given those facts, the sentencing judge concluded
that there was not a reasonable possibility of control of the appellant in the
community. The appellant has failed to show that that conclusion is an
unreasonable one.
[10]
Ultimately,
the sentencing judge concluded, at para. 293 of his reasons:
In any event, on the evidence accepted by the court, based upon
the history of the offender's sexual crimes, the enduring character of his
psychiatric disorders, his high risk for sexual reoffence, and the evidence
including the inability of the psychiatric opinions to confidently conclude
that the offender's risk will be reduced to a tolerably safe level within the
definite period of a determinate sentence and [long-term supervision order],
the imposition of an indeterminate preventative sentence is necessary as no
lesser measure will adequately protect the public against the offender
committing a further serious sexual offence.
[11]
We
agree with that conclusion.
[12]
For
these reasons, leave to appeal sentence was granted but the appeal was
dismissed.
Paul Rouleau J.A.
I.V.B. Nordheimer J.A.
J. George J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Ching, 2022 ONCA 183
DATE: 20220302
DOCKET: C69224
Tulloch, Huscroft and Trotter JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Willy Palmes Ching
Appellant
Jolene Hansell, for the appellant
Benita Wassenaar, for the respondent
Heard: February 25, 2022 by video conference
On appeal from the sentence imposed on January 24, 2020
by Justice Leonard Ricchetti of the Superior Court of Justice, sitting with a
jury.
REASONS FOR DECISION
[1]
Following the break-up of his 30-year marriage, the appellant
formed the intent and plan to kill his ex-wife, Maria Ching. Maria had moved
out of the matrimonial home and into the home of her uncle, Ernesto Agsaulio.
[2]
On October 24, 2009, the appellant attended at Canadian Tire and
purchased a hatchet and knife. The next day, October 25, 2009, he rented a car,
drove to the Agsaulio home, parked a block away, and removed the safety cover
from the hatchet. On arrival at the home, the appellant was in possession of
the unsheathed hatchet and the knife. He insisted on seeing his wife. Mr.
Agsaulio attended at the door and indicated to the appellant that his wife did
not wish to see him. The appellant then forced his way into the home and attacked
Mr. Agsaulio in front of his family and children, mortally wounding him. He
died subsequently from his injuries.
[3]
At trial, the appellant was convicted of first-degree murder, but
on appeal this court substituted a conviction for second-degree murder and
remitted the matter to the sentencing judge to set the appropriate parole
ineligibility period. The sentencing judge set
parole ineligibility
at 21 years.
[4]
The appellant seeks leave to appeal his sentence. He argues, first, that
the sentencing judge erred in principle by finding the appellants moral
blameworthiness for second-degree murder was akin to that of an offender
convicted of first-degree murder. Second, the appellant argues that the sentencing
judge made a palpable error in finding the appellants mental illness played no
contributing role in the murder. The appellant submits that his parole
ineligibility period should be set at 15 years.
[5]
We do not accept these arguments.
[6]
The sentencing judge found that the appellant killed his ex-wifes uncle
in the course of carrying out his plan to kill his ex-wife. Counsel agreed that
there were no similar cases dealing with parole ineligibility in these
circumstances. The sentencing judge concluded that the range was 10-22 years,
with 25 years available in rare or exceptional cases.
[7]
The sentencing judge was required to determine the appellants moral
blameworthiness in determining the appropriate sentence. This courts
conclusion that a second-degree murder conviction was warranted, rather than a
first-degree murder conviction, did not fetter the sentencing judges
discretion.
[8]
In the absence of an error in law or in principle that affected the
sentence, a sentencing judges decision is entitled to deference unless the
appellant establishes that it is demonstrably unfit:
R. v. Lacasse
,
2015 SCC 64, [2015] 3 S.C.R. 1089.
We see no such error.
[9]
The sentencing judge considered the relevant factors, including the
appellants purchase of a hatchet and knife and the rental of a car as part of
a plan to kill his ex-wife. That plan was made in the context of a history of
spousal abuse. The appellant forced his way into Mr. Agsaulios home and
assaulted him with the hatchet and knife when Mr. Agsaulio tried to keep the
appellant away from his ex-wife. In these circumstances, the sentencing judge
was entitled to consider that the appellants moral blameworthiness was at the
high end in second-degree murder cases.
[10]
The
sentencing judge acknowledged that the appellant need only establish that
mental illness caused or contributed to the murder in order for mental illness to
be a mitigating factor. He considered the evidence of two defence psychiatrists
who gave evidence at trial on the appellants capacity to form the specific
intention to commit murder. In doing so, the trial judge acknowledged that the
question of capacity was separate from and not determinative of whether or not
there was a causal connection of mental illness to the murder.
[11]
The
sentencing judge found that the psychiatric evidence had several shortcomings,
including reliance on the appellants false statement that he had gone to the
Agsaulio home to commit suicide rather than to kill his ex-wife. The sentencing
judge noted, further, that neither psychiatrist opined on whether the
appellants depression caused or contributed to the killing. He reviewed Dr. Glancys
testimony at length, ultimately finding that it was not clear on the relevant
point. He criticized Dr. Gojers testimony on the basis that he attempted to
justify his opinion rather than impartially consider the evidence and relied on
incorrect and incomplete information.
[12]
Ultimately,
the sentencing judge concluded that the appellant had failed to establish that
the murder was caused by or contributed to by his depression. That was his call
to make, and we see no basis to interfere.
[13]
In
summary, the appellant has not established that the sentencing judge erred in
law or in principle. Although the sentence is at the high end of the range, in
all of the circumstances it is not demonstrably unfit.
[14]
Accordingly,
leave to appeal sentence is granted, but the appeal is dismissed.
M. Tulloch J.A.
Grant Huscroft J.A.
Gary Trotter J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Ever Fresh Direct Foods Inc. v. Jamia Islamia Canada
Ltd., 2022 ONCA 185
DATE: 20220307
DOCKET: C69254
Simmons, Harvison Young and
Zarnett JJ.A.
BETWEEN
Ever Fresh Direct Foods Inc.
Plaintiff (Appellant)
and
Jamia Islamia Canada Ltd.
Defendant (Respondent)
Haider Bahadur and Yingjun Huang, for
the appellant
Anser Farooq and Shivani Balcharan, for
the respondent
Heard: February 25, 2022 by
video conference
On appeal from the order of Justice Peter
A. Daley of the Superior Court of Justice, dated February 19, 2021.
REASONS FOR DECISION
[1]
We see no basis on which to interfere with the
motion judge's order declining to restore this action to the trial list,
dismissing it for delay and discharging a certificate of pending litigation
registered by the appellant.
[2]
The proceeding was commenced by notice of
application issued in October 2012 and was converted to an action at the
request of the respondent in March 2013. The proceeding related to an alleged
loan facility granted by the appellant to the respondent in 2008. After
commencing the application, the appellant obtained a certificate of pending
litigation in November 2012 and registered it against property owned by the
respondent. The parties exchanged pleadings in August and September 2013.
[3]
The appellant never served an affidavit of
documents
[1]
and made no attempt to schedule discoveries until November 2017. The respondent
declined to participate in discoveries, which the appellant scheduled for March
2018, among other reasons because of an unpaid costs order in a related
proceeding between the parties for over $56,000 and because the appellant had
not served an affidavit of documents.
[4]
The appellant responded by setting the action
down for trial in April 2018. However, it was struck from the trial list in
August 2018 as it was not trial ready, including because the appellant still
wished to conduct discoveries. The appellant first advised the respondent of
its intention to move to restore the action to the trial list in May 2019, and
proposed a discovery plan in July 2019, but did not arrange to proceed with a
motion until September 2019. The appellants motion and the respondents
cross-motion to dismiss for delay were originally scheduled for May 2020 but
were not heard until November 30, 2020 because of the Covid-19 pandemic.
[5]
The motion judge found that, apart from the
relatively brief delay caused by the pandemic, the delay in the prosecution of
the action was entirely the appellants responsibility, that the appellant had
provided no reasonable explanation for its delay in moving the action forward
and that such delay was both inordinate and inexcusable. He also concluded that
an inference of prejudice arose from the lengthy delay. He said, there is more
than a reasonable likelihood that given the passage of time and its impact on
witnesses memories, and the lack of documentary and oral discoveries, there is
a substantial risk that a fair trial of the issues at stake will not be
possible.
[6]
We see no error in the motion judges
conclusions that responsibility for the delay lay with the appellant and that
such delay was unexplained, inordinate and inexcusable. The appellant offered
no explanation for the complete failure to take any steps to move the action
forward between delivery of its statement of claim in August 2013 and November
2017 or for the delay between August 2018 through to May and then September
2019 after the action was struck from the trial list. Given the litigation
history between the parties and the then existing delay, the motion judge was
entitled to treat as reasonable the respondents refusal to participate in
discoveries post-November 2017 based on the unpaid costs order in related
proceedings and the appellants failure to serve an affidavit of documents.
[7]
Concerning prejudice, as we have said, the
action related to an alleged loan facility arranged in 2008. The disputed
issues included the validity of the original agreement. We reject the
appellants arguments that the motion judge should have concluded that
cross-examinations on affidavits that occurred in relation to converting the
application to an action and an unserved affidavit of documents lacking a
lawyers certificate prepared in November 2013 could somehow ensure trial
fairness. Simply put, they were not an adequate substitute for a proper
discovery process. We see no basis for interfering with the trial judges
conclusion that the appellants delay jeopardized the likelihood of a fair
trial.
[8]
Based on the foregoing reasons, the appeal is
dismissed with costs to the respondent on a partial indemnity scale fixed in
the amount of $10,000 inclusive of disbursements and applicable taxes.
Janet Simmons J.A.
Harvison Young J.A.
B. Zarnett J.A.
[1]
An affidavit of documents lacking a lawyers certificate
sworn in November 2013 by the president of the appellant was included in the
appellants material on the underlying motions. No proper affidavit of
documents has ever been served.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Thermal Exchange Service Inc. v.
Metropolitan Toronto Condominium Corporation No. 1289, 2022 ONCA 186
DATE: 20220307
DOCKET: C68529
Doherty, Miller and Sossin JJ.A.
BETWEEN
Thermal Exchange Service Inc.
Plaintiff (Respondent)
and
Metropolitan Toronto Condominium
Corporation No. 1289
Defendant (Appellant)
Robert B. Cohen, for the appellant
Neal H. Roth, for the respondent
Heard: October 25, 2021 by video conference
On appeal from the judgment of Justice Andra
Pollak of the Superior Court of Justice, dated July 7, 2020, with reasons
reported at 2020 ONSC 2977.
REASONS
FOR DECISION
[1]
This appeal concerns the application of s.
5(1)(a)(iv) of the
Limitations Act
,
2002
, S.O. 2002, c. 24,
Sched. B, and specifically, when the respondent Thermal Exchange Service Inc.
(Thermal Exchange) knew that a proceeding would be an appropriate means to
seek to remedy a loss resulting from the appellant Metropolitan Condo Corp.s (the
Condo Corp) non-payment of its invoices. It is a question that can only be
answered in the specific context of the parties legal relationship and their business
dealings.
[2]
From 2002 to 2015, Thermal Exchange serviced the
HVAC units in the Condo Corp.s building at 168 Simcoe St. in Toronto. The Condo
Corp. does not dispute that the work was done at its request, or that it was
done satisfactorily. Neither does it dispute that many of Thermal Exchanges
invoices were not paid. Its sole defence at trial was that Thermal Exchange
brought this action out of time, and the action is now barred by the
Limitations
Act
.
[3]
Thermal Exchanges understanding was that it was
contracting with the Condo Corp. rather than the individual unit owners. At
trial, the Condo Corp. conceded the contractual relationship, and accepted that
but for the limitations defence, it would be liable to pay the invoices.
However, at all relevant times the Condo Corp.s property manager operated on a
different understanding, which was only communicated to Thermal Exchange in 2016:
that the Condo Corp. was not ultimately liable for paying the invoices, and was
only obligated to pay if and when it was able to collect payment from the unit
owners on whose behalf the work was done.
[4]
In August 2017, Thermal Exchange brought the
action.
[5]
Following a hybrid summary trial, the trial
judge held that Thermal Exchange had brought the action as soon as it knew that
an action would be an appropriate means to remedy the Condo Corp.s
non-payment, even though many of the unpaid invoices had been issued many years
before the action was brought some going back as far as 2008. The action was therefore
not barred by the
Limitations Act
. The trial judge found the Condo
Corp. owed $86,055.49 to Thermal Exchange, arising from invoices issued between
2008 and 2015. For the reasons that follow, the Condo Corp.s appeal is
dismissed.
Background
[6]
Thermal Exchange received work orders from the
Condo Corp.s property manager, Helen Da Ponte, performed the work she requested,
and invoiced the Condo Corp. Each of Thermal Exchanges invoices stated that
payment was due within 30 days from the date of the invoice. However, the Condo
Corp. typically made payment much later than this often 300 days later. Thermal
Exchange continued to provide services on request and tender fresh invoices.
[7]
The trial judge found that Thermal Exchange was
operating on the basis that the Condo Corp. had one running account, and
whenever funds were received, they were credited to that one account. This
finding is central to the trial judges conclusion. The Condo Corp. challenges the
finding as a palpable error. As we explain below, we do not agree.
[8]
There was conflicting evidence as to Thermal
Exchanges billing practices. From 2008 forward, Thermal Exchange stopped
sending individual invoices to the Condo Corp. for each work order, and began
sending a single, semi-annual batch invoice. Mr. Pintaric, the president of
Thermal Exchange, testified this was done at the request of the property
manager, Ms. Da Ponte. Ms. Da Ponte answered that not only was this not at her
request, it created additional work for her, as it required her to assign the
correct work orders to their respective unit owners. The trial judge made no
findings as to who initiated the change in billing practice, but as stated
above, found that the indebtedness of the Condo Corp. was in the nature of a
running account.
[9]
At trial, Mr. Pintaric and Ms. Da Ponte each testified
as to different understandings of how the Condo Corp. processed the invoices.
Mr. Pintarics assumption was that the Condo Corp. paid the invoices out of its
operating budget, and then sought reimbursement from the unit owners on whose
behalf the work was done. But he had no knowledge of the Condo Corp.s internal
affairs. Ms. Da Pontes evidence was that the Condo Corp. received
the invoices from Thermal Exchange and in turn invoiced the owner of the unit
for which the work had been done. If the Condo Corp. received payment from the
unit owner, it would in turn pay Thermal Exchange; if it didnt, it wouldnt.
[10]
As mentioned earlier, Ms. Da Pontes
understanding of the nature of the Condo Corp.s contractual obligation to
Thermal Exchange was mistaken. Thermal Exchange first became aware of it on November
4, 2016, when Ms. Da Ponte advised Mr. Pintaric via email that the Condo Corp. was
not responsible for paying the invoices, and that the invoices are
charge-backs to the unit owners for payment once they receive the copy of the
invoice.
[11]
There was conflicting evidence at trial as to what
arrangements, if any, had been made between Thermal Exchange and Ms. Da Ponte regarding
payment. The evidence of Mr. Pintaric was that he had several conversations
with Ms. Da Ponte about the non-payment of invoices, and she would invariably
tell him that she was terribly busy and unable to attend to the matter
immediately, but was working on the invoices. The trial judge found that the assurances
that she was working on it led Thermal Exchange to the reasonable belief
that [its] problem could and would be remedied without the need to have a recourse
to the courts. Prior to the November 4 email, Mr. Pintaric had believed
reasonably in the view of the trial judge that payment was more or less a
matter of encouraging Ms. Da Ponte to do her job and complete
whatever paperwork was needed at her end. There had been no refusal to pay and
no suggestion of inability to pay.
[12]
The trial judge accepted Mr. Pintarics evidence
that by October 2015, he thought a demand letter from his lawyer might stir Ms.
Da Ponte to process the invoices. In November 2016, Ms. Da Ponte unexpectedly informed
Thermal Exchange that the Condo Corp. was not responsible for payment. In
December 2016, Ms. Da Ponte made a concerted effort to bring the account up to
date, mailing demand letters to each unit owner with a copy of the Thermal
Exchange invoices for work specific to that unit. The Condo Corp. was able to
recover a substantial sum from the unit owners from this effort, which it paid
to Thermal Exchange.
[13]
On August 17, 2017 Thermal Exchange filed its
statement of claim, seeking damages for services supplied, breach of agreement,
and unjust enrichment in the amount of $122,105.34. By the time of trial, the amount
outstanding had been reduced to $86,055.49.
[14]
The central issue at trial was discoverability:
specifically, when Thermal Exchange first determined that a proceeding would be
an appropriate means to remedy its claim, per s. 5 (1)(a)(iv) of the
Limitations
Act
.
[15]
The trial judge concluded, relying upon
Presley
v. Van Dusen
, 2019 ONCA 66, 144 O.R. (3d) 305, that Thermal Exchange
would not have known a proceeding was an appropriate means to seek a remedy
until October 2015, when it realized it would have to instruct its counsel to
commence legal proceedings:
the assurances made by the property manager
and the superintendent of the [Condo Corp.] that they were working on it did
lead the Plaintiff to the reasonable belief that his problems could and would
be remedied without the need to have a recourse to the courts
I find that the Plaintiff
did not know and that a person in its situation would not reasonably have known
that a proceeding would be an appropriate means to seek a remedy until the time
when he realized that [the Plaintiff] would have to instruct counsel for the
Plaintiff to commence legal proceedings against the [Condo Corp.].
[16]
Since the civil action was commenced within two
years of the demand letter, the trial judge held, the limitations defence
failed.
Issues on appeal
[17]
The appellant submits that the trial judge:
1.
Erred in her application of the legal
principles in
Presley v. Van Dusen
;
2.
Erred in finding that the claim was first
discoverable as of the date of the demand letter in October 2015;
3.
Erred in finding that the running account
suspended the commencement of the limitation period;
4.
Applied the wrong standard to Thermal Exchange to
rebut the presumption; and
5.
Erred in not considering the defence of laches.
Analysis
(1)
The application of s. 5(1)(a)(iv) of the
Limitations Act
[18]
The
Limitations Act
provides:
5 (1) A claim is
discovered on the earlier of,
(a) the day on which the
person with the claim first knew,
(i)
that the injury, loss or damage had occurred,
(ii)
that the injury, loss or damage was caused by or contributed to by an act or
omission,
(iii)
that the act or omission was that of the person against whom the claim is made,
and
(iv)
that, having regard to the nature of the injury, loss or damage, a proceeding
would be an appropriate means to seek to remedy it; and
(b) the day on which a
reasonable person with the abilities and in the circumstances of the person
with the claim first ought to have known of the matters referred to in clause
(a). 2002, c. 24, Sched. B,
s. 5 (1)
.
5 (2) A person with
a claim shall be presumed to have known of the matters referred to in
clause (1) (a) on the day the act or omission on which the claim is based took
place, unless the contrary is proved. 2002, c. 24, Sched. B,
s. 5 (2).
[19]
The trial judge held that Thermal Exchange was
obligated, pursuant to s. 5(2) of the
Limitations Act
, to rebut
the statutory presumption that that the claim was discovered on the date that
the act or omission on which the claim is based took place. To rebut the
presumption, a plaintiff must establish that its claim was not discovered until
some other date, employing the four cumulative criteria listed in s. 5(1)(a).
[20]
The trial judge found that the first three criteria
of discoverability were satisfied as of the date Thermal Exchange first became
aware that its invoices were unpaid. This would be 30 days after the invoices
were rendered. For the trial judge, the only remaining issue was therefore when
Thermal Exchange knew that a proceeding would be an appropriate means to seek
to remedy [the loss]. She concluded that this was the date that Thermal
Exchange instructed its lawyer to send the demand letter in October 2015.
[21]
Significantly, the trial judge found that the
nature of the commercial relationship between the parties was that there was a
single running account, and whenever Thermal received funds from the Condo
Corp, it was credited to that account. The trial judge accepted the evidence of
Mr. Pontaric that he sincerely believed the Condo Corp. had been dealing with
him in good faith and that Ms. Da Pontes statements that she was
working on it, meant that his invoices would eventually be paid. He did not
realize until her email of November 4, 2015 that she was, on behalf of the
Condo Corp., taking the position that payment by Condo Corp. would be
contingent on payment by the unit owner.
[22]
The Condo Corp. argued on appeal that the trial
judge erred in holding that the Ms. Da Pontes assurances were analogous to the
class of cases summarized in
Presley v. Van Dusen
, drawing on
Presidential
MSH Corp. v. Marr, Foster & Co. LLP,
2017 ONCA 325, 135 O.R. (3d) 321,
where a plaintiff postpones bringing an action because of assurances by a
defendant who has a superior understanding of the problem that the
defendant can remedy the matter, such that litigation would not be necessary.
The Condo Corp. argues that this case is nothing like
Van Dusen
, given
that: (1) Thermal Exchange was not relying on the Condo Corp. to fix a
mechanical problem beyond the expertise of Thermal Exchange; (2) the Condo
Corp. never promised unequivocally to pay the invoices, but was simply
stringing a creditor along; and (3) Thermal Exchange waited substantially
longer to begin a proceeding than the plaintiff in
Van Dusen
did.
[23]
We do not agree that the trial judge erred in
her analysis. There is nothing in the reasoning in
Van Dusen
that
would restrict its application to comparative expertise over mechanical
problems. The salient aspect is that the defendant created a problem, the remedy
for which was beyond the reach of the plaintiffs understanding, and led the plaintiff
to rely on it for the remedy. Analogous to the situation in
Van Dusen
,
the Condo Corp. created a barrier to Thermal Exchange receiving payment (it would
not pay unless it first received payment from the unit owners, and was not
taking any steps to getting the unit owners to pay), prevented Thermal Exchange
from understanding the nature of the problem, and led Thermal Exchange to believe
that it would take care of the problem.
[24]
The second and third points of purported differentiation
with
Van Dusen
have little traction given the trial judges finding
that the juridical relation between Thermal Exchange and the Condo Corp. was
that of a running account. In the context of a running account, it is
significant that the Condo Corp. gave Thermal Exchange no reason to believe it was
disputing the invoices, and that the delays in payment were the result of other
demands on the property managers time. Given that the indebtedness was
incurred in the course of a running account, the temporal period is of less
significance than it was in circumstances such as in
Van Dusen
.
(2)
Date of the demand letter
[25]
The Condo Corp. argues that the trial judge
erred in finding that the limitation period started in October 2015, when
Thermal Exchange instructed its solicitor to send a demand letter threatening
legal action. The Condo Corp. argues that this date was chosen randomly by the
trial judge, and is inconsistent with the evidence of Mr. Pintaric as to when
he actually believed he could sue, and when a reasonable person in the
situation of Thermal Exchange would have known that the commencement of a
proceeding would be appropriate. We agree that the trial judge erred in finding
that the limitation period began to run when Mr. Pintaric instructed his lawyer
to send the demand letter. Nevertheless, and as we explain below, this
conclusion does not assist the Condo Corp. as we find that the limitation
period began to run
after
this date.
[26]
Mr. Pintarics evidence was that the threat of
litigation was more or less idle it did not reflect a conviction that an
action was appropriate, but was a means to encourage Ms. Da Ponte to
reprioritize her time in favour of processing the Thermal Exchange invoices. On
his evidence, it was not until the November 4, 2016 email from Ms. Da Ponte, in
which she first communicated the position that the Condo Corp. was not
obligated to pay, that he first became aware of the nature of the problem he
was facing, and became conscious that a proceeding would be an appropriate
means to seek to remedy that problem. From the evidence on the record, supported
by the trial judges finding that the Condo Corp. was maintaining a running
account, the time when he realized that [he] would have to instruct counsel
for the Plaintiff to commence legal proceedings was not the time he first met
with counsel, nor when the demand letter was issued, but only when Ms. Da Ponte
advised in the email of November 4, 2016 that the Condo Corp.s position was
that it had no obligation to pay the invoices. The action was commenced within
two years of this date and the limitations defence therefore fails.
(3)
The running account
[27]
The Condo Corp. argues that the trial judges
finding that the account was a running account was a palpable and overriding
error, contradicted by an Excel spreadsheet jointly tendered by the parties as
an exhibit. The spreadsheet documents for each invoice rendered from December
31, 2008 to June 30, 2017, the invoice number, the amount, and whether payment
had been received. The Condo Corp. submits that the spreadsheet contradicts the
argument that there was a running account, as it demonstrates that payments were
attributed to particular invoices.
[28]
The spreadsheet was not tendered as an
accounting record of either party, although both parties agreed to its accuracy
in terms of stating the accounts that were rendered and the payments that were
made. It is not evidence of how Thermal Exchange understood the nature of the Condo
Corp.s account with it, and therefore does not contradict the trial judges
finding. The trial judges finding that the Condo Corp. had a running account
with Thermal Exchange was supported by the evidence of Mr. Pintaric and the
practice of batch invoicing. The finding was open to her and we would not
disturb it.
(4)
Did the trial judge apply the wrong standard?
[29]
The Condo Corp. submits that the trial judge
erred in law by applying the wrong standard for Thermal Exchange to meet to
rebut the presumption under s. 5(2). The trial judge described the onus as
very low. The Condo Corp. points to case law from this Court which
characterizes the onus as relatively low.
[30]
Nothing in this litigation turns on the
distinction between these two modifiers.
(5)
Laches
[31]
The trial judge did not address the Condo Corp.s
defence of
laches
. However, the argument could not have succeeded
given the trial judges factual findings with respect to the
Limitations
Act
defence. She found that it was reasonable for a person in the position
of Thermal to rely on the assurances of the property manager and hold off
commencing an action. Having made that finding, a
laches
defence was
not available.
DISPOSITION
[32]
The appeal is dismissed. If the parties cannot
agree on costs, they may make brief written submissions not exceeding 3 pages
each, in addition to a bill of costs, within 14 days of the release of these
reasons.
Doherty
J.A.
B.W.
Miller J.A.
Sossin
J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Crosslinx Transit Solutions
General Partnership v. Ontario (Economic Development, Employment and
Infrastructure), 2022 ONCA 187
DATE: 20220307
DOCKET: C69486
Rouleau, van Rensburg and Roberts
JJ.A.
BETWEEN
Crosslinx
Transit Solutions General Partnership and
Crosslinx Transit Solutions
Constructors
Applicants
(Respondents)
and
Ontario
Infrastructure and Lands Corporation,
as representative of the Minister of Economic Development,
Employment and
Infrastructure, as representative of Her Majesty the Queen in Right
of Ontario
and Metrolinx
Respondents
(Appellants)
Sharon Vogel, Peter Wardle, Jesse
Gardner and Cheryl Labiris, for the appellants
Matthew Sammon, Andrea Wheeler and
Jacqueline Chan, for the respondents
Heard: January 6, 2022 by
video conference
On appeal
from the judgment of Justice Markus Koehnen of the Superior Court of Justice
dated May 17, 2021, with reasons reported at 2021 ONSC 3567.
REASONS
FOR DECISION
Overview
[1]
This is an appeal of a judgment in application
proceedings that involved the interpretation and allegations of the breach of a
complex project agreement respecting the design, construction, and maintenance
of a large-scale public infrastructure project, the Eglinton Crosstown Light
Rapid Transit line (Crosstown LRT) in Toronto (the Project Agreement), in
the context of the effects of the COVID-19 pandemic. The appellants represent
agencies of the Crown who commissioned the project. The respondents are a
consortium of four of Canadas largest and most sophisticated construction
companies that are building the project. The project is in its construction
phase.
[2]
At issue in the appeal is whether the application judge erred in concluding
that s. 62.1(c) of the Project Agreement was triggered such that the parties were
required to engage in a Variation Enquiry, a procedure provided for under the Project
Agreement that could result in an extension of the time the respondents have to
substantially complete the Crosstown LRT.
[3]
The application judge granted judgment declaring that the COVID-19 pandemic
was an Emergency under the relevant terms of the Project Agreement; that the
appellants had required compliance with additional or overriding procedures in
response to the COVID-19 pandemic to protect public health and worker safety;
and that the appellants had a contractual obligation to provide the respondents
with a Variation Enquiry. The application judge concluded that the appellants
had notified the respondents by means of a March 25, 2020 email that they
required compliance with additional and overriding COVID-19 health and safety procedures.
[4]
The appellants submit, among other things, that the application judge made
a palpable and overriding error in finding that s. 62.1(c) had been triggered by
the March 25, 2020 email, which was an internal email that was not directed to
the respondents. They also assert that the application judge erred in his
interpretation of the Project Agreement by failing to conclude that the
respondents had assumed the risks of additional health and safety measures
required by the pandemic in their contractual obligation to comply with Applicable
Laws, a defined term in the Project Agreement; and in their obligation to prepare
and to follow an Emergency Response Plan.
[5]
For their part, the respondents disagree that the application judge
erred in finding that s. 62.1(c) was triggered. They say that there was no
extricable error of law in the application judges interpretation of the
Project Agreement, nor did the application judge make a palpable and overriding
error of fact in concluding that s. 62.1(c) had been triggered by the
appellants. The respondents submit that to the extent that the application
judge erred in his characterization of the March 25 email, this was not an
overriding error because there was other evidence to support this conclusion.
The respondents argue that, in any event, if the appellants did not invoke s.
62.1(c), their failure to do so was in breach of their obligation to exercise
their contractual discretion in good faith. In addition, they rely on the
doctrine of indivisibility of the Crown to argue that government-mandated
requirements constituted additional and overriding requirements of the
appellants under the Project Agreement.
[6]
For the reasons that follow, we allow the appeal, set aside the judgment
of the application judge and remit the application for a rehearing.
Brief factual
background
[7]
The Crosstown LRT project involves the construction and maintenance of a
19-kilometre light rapid transit line of which 10 kilometres will be
underground. At the time of the application in the court below, the project was
in its construction phase and employed 1,500 people.
[8]
The Project Agreement calls for the construction to be completed by a substantial
completion date as defined in Schedule 1 to the Project Agreement (Substantial
Completion Date).
[1]
There are significant penalties if the respondents do not meet the Substantial
Completion Date. The Project Agreement contains provisions that allow the
respondents in certain prescribed circumstances to claim extensions of time and
compensation.
[9]
One of the prescribed circumstances is in the case of an Emergency,
which is defined by the Project Agreement to include any situation
(b) which
gives rise to an emergency, as determined by any statutory body
. Section 62.1
of the Project Agreement provides as follows:
62.1
Emergency
(a) From Financial Close until Substantial
Completion Date, upon the occurrence of an Emergency, Project Co shall comply
with the Emergency Response Plan.
(b) From and after Substantial Completion
Date, upon the occurrence of an Emergency, Project Co shall comply with its
Emergency Response Plan in accordance with the Output Specifications.
(c) If, in respect of any Emergency, HMQ
Entities notify Project Co that
they require compliance
with any additional or overriding procedures
as may be determined by HMQ
Entities or any other statutory body, then Project Co shall, subject to
Schedule 22 - Variation Procedure (if compliance with such procedures
constitutes a Variation), comply with such procedures (whether such procedures
are specific to the particular Emergency or of general application and on the
basis that such procedures shall take precedence to the extent that they
overlap with the procedures mentioned in Section 62.1(a) or (b).
[2]
[10]
The
parties executed the Project Agreement in 2015. Delays ensued prior to the
outbreak of the COVID-19 pandemic and the respondents invoked the processes
under the Project Agreement to address the delays. By the time the Ontario
government declared a state of emergency because of the global COVID-19
pandemic in March 2020, the project was already about a year behind schedule.
[11]
It
is common ground that the Ontario government declared construction of public
infrastructure projects to be an essential service that could continue to
operate notwithstanding the wholesale shuttering of many businesses. However, significant
health and safety procedures were imposed. These included social-distancing and
limiting the number of workers who could attend at a worksite.
[12]
The
respondents took the position in their correspondence with the appellants that
the COVID-19 pandemic was an Emergency that required them to implement
additional or overriding procedures that slowed down construction. They urged
the appellants to declare an emergency pursuant to s. 62.1(c) of the Project
Agreement, to direct the respondents to take additional and overriding procedures
to protect health and safety pursuant to s. 62.1(c) of the Project Agreement,
and thereby initiate a Variation Enquiry under Schedule 22 of the Project
Agreement in connection with the additional and overriding procedures.
[13]
The
appellants refused to declare an emergency. They took the position that declaring
an emergency was unnecessary given that the province had already done so. The
appellants advised the respondents in a letter dated April 21, 2020 that [a]t
this point, [the appellants] do not require that [the respondents] implement
additional or overriding measures in addition to those presently being
undertaken by [the respondents] in order to comply with their obligations as a
Constructor and Employer under the
Occupational Health and
Safety Act
, R.S.O.
1990, c. O.1
. The appellants also reminded the respondents that
they were required to comply with all of [the respondents] obligations under
the
Occupational Health and Safety Act
and
the guidance of public health authorities and local, provincial, and federal
governments.
[14]
The
respondents invoked the dispute resolution procedures under Schedule 27 of the
Project Agreement. They alleged that the appellants did not act in good faith
in refusing to declare an emergency under s. 62.1(c) of the Project Agreement.
They sought remedies, including a determination that the COVID-19 pandemic is
an emergency under the Project Agreement and an order that the appellants
direct the respondents to take additional or overriding procedures. The dispute
resolution procedures did not resolve the dispute.
[15]
The
respondents then commenced an application in the Superior Court seeking
declarations regarding their rights under the Project Agreement, including that
(i) the COVID-19 pandemic is an Emergency under the Project Agreement; (ii) the
appellants had breached their contractual obligations including their
obligation to exercise their contractual discretion reasonably and in good
faith by (1) refusing to acknowledge that the pandemic is an Emergency and (2)
failing to direct them to take additional and overriding procedures under s.
62.1(c) of the Project Agreement; and (iii) the appellants have a contractual
obligation to provide them with a Variation Enquiry.
Judgment
[16]
The
appellants brought a preliminary motion seeking a stay of the application on
the basis that the Project Agreement called for litigation to be postponed
until after Substantial Completion
[3]
.
The application judge refused the stay, and the appellants motion for leave to
appeal this order was denied by the Divisional Court:
Crosslinx
Transit Solutions General Partnership v. Ontario Infrastructure and Lands
Corporation
, 2021 ONSC 5905.
[17]
There
was considerable affidavit evidence filed on the application. The deponents
were cross-examined, and documents were marked as exhibits, resulting in a
record exceeding 5,000 pages. The application judge, after considering the
evidence, granted a declaration that (i) the COVID-19 pandemic is an Emergency
under the Project Agreement (although the appellants in their communications
with the respondents had refused to declare an emergency, they ultimately conceded
that this part of s. 62.1(c) was met); (ii) the appellants had required
compliance with additional or overriding procedures in response to the pandemic
to protect public health and worker safety; and (iii) the appellants had a
contractual obligation to provide a Variation Enquiry under the Project
Agreement.
[18]
The
application judge did not consider it necessary to address the parties
arguments respecting the principles of good faith and the indivisibility of the
Crown. Rather, his conclusion was based on his finding that, by their email of
March 25, 2020, the appellants had notified the respondents under s. 62.1(c) that
they required compliance with anticipated government construction protocols.
The application judge concluded that, when the Ontario government released a
workplace health and safety protocol on March 29, 2020 (the March 29
protocol), its provisions constituted additional and overriding procedures.
Responding to the appellants argument that such measures were part of the
Applicable Law with which the respondents were bound to comply, the application
judge concluded that the construction protocols, while issued by the government,
were not legally binding. He found that it was difficult to hold that the
protocols fell within the definition of Applicable Law.
Issues and Analysis
[19]
The
appellants raise several grounds of appeal. They assert that the application
judge made a palpable and overriding error that the internal March 25, 2020
email notified the respondents under s. 62.1(c) that they required compliance
with additional or overriding procedures. They also contend that the application
judge erred in focusing on the March 29 protocol, which at its highest
prescribed best practices and not mandatory measures. They argue that the
application judge made several errors in his interpretation of the Project
Agreement with respect to the parties contractual allocation of risk, and in
failing to give effect to the respondents obligation to comply with Applicable
Law.
[20]
In
our view, to determine the appeal, it suffices to consider only the question of
whether the application judge made a palpable and overriding error in finding
that the appellants had, by their March 25, 2020 email, actually notified the
respondents under s. 62.1(c) that they required compliance with additional or
overriding procedures. For the reasons that follow, we conclude that he did
commit such a reversible error and that the appeal must be allowed.
[21]
The
standard of review for palpable and overriding error is well-established. In
R. v. Clark
, 2005 SCC 2, [2005] 1 S.C.R. 6, at para. 9,
the Supreme Court, relying on a long line of decisions including
Housen v. Nikolaisen
, 2002 SCC 33, [2002] 2 S.C.R. 235,
articulated the standard in the following way:
Appellate courts may not interfere with the
findings of fact made and the factual inferences drawn by the trial judge,
unless they are clearly wrong, unsupported by the evidence or otherwise
unreasonable. The imputed error must, moreover, be plainly identified. And it
must be shown to have affected the result. Palpable and overriding error is a
resonant and compendious expression of this well-established norm. [Citations
omitted.]
[22]
It
is common ground that the application judges error was palpable. Quite simply,
he clearly and obviously erred in finding that the appellants March 25, 2020
email was sent to the respondents. There is no dispute that this email was an
internal email that was never directed to or sent to the respondents.
[23]
The
application judges error was also overriding. Central to the application
judges determination that s. 62.1(c) had been triggered was his finding that
the appellants, by the March 25 email, notified the respondents that they
required compliance with additional or overriding procedures.
[24]
The
respondents argue that the application judges finding that they were notified
as required by s. 62.1(c) can be supported by substituting the March 25, 2020
internal email with the appellants April 21, 2020 letter that was sent to the
respondents.
[25]
There
are several difficulties with the respondents submission.
[26]
First
and foremost, the April 21 letter is at best ambiguous. The appellants explain
in the letter that they did not require any additional and overriding procedures
in addition to those the respondents had already undertaken to comply with
their health and safety obligations required by law.
[27]
Further
and importantly, the respondents never stated in their contemporaneous
correspondence with the appellants that the April 21, 2020 letter, or any other
letter from the appellants, constituted actual notification under s. 62.1(c). Rather,
the respondents repeatedly complained that the appellants
should
declare
an emergency and direct them to implement additional or overriding procedures
with respect to the project. This was the primary relief they sought under the
Notice of Dispute sent to the appellants on May 11, 2020 and was the thrust of
their application and argument before the application judge.
[28]
The
respondents did not frame their application or arguments before the application
judge on the basis that any communication from the appellants constituted
actual notice under s. 62.1(c). Rather, the respondents maintained on the
application that the appellants had
effectively
or
should be deemed
to have notified them because
their actions as Crown agencies were indivisible from those of the provincial
government that ordered the additional or overriding pandemic procedures or, in
the alternative, that the appellants failed to exercise their contractual
discretion in good faith.
[29]
Finally,
the application judge did not consider, nor did the parties make any submissions
before us, as to what constitutes notification as required by s. 62.1(c), and
whether such notification would constitute notice under s. 61.1(a) of the
Project Agreement. For example, no submissions were made before the application
judge or before us regarding whether the April 21, 2020 letter (or any other
communication) complies with the notice requirements under s. 61.1(a) of the Project
Agreement. Section 61.1(a) of the Project Agreement states:
All notices, requests, demands, instructions, certificates,
consents and other communications
(
each being a
Notice
)
required or permitted under this Project Agreement shall be in writing (whether
or not written notice or notice in writing is specifically required by the
applicable provision of this Project Agreement) and served by sending the same
by registered mail, facsimile transmission or by hand
. [
Emphasis
in
original and
added
.]
[30]
The
parties correspondence contains references to formal notices and responses. A
Notice under s. 61.1 of the Project Agreement must be in writing and
delivered by registered mail, facsimile transmission followed by registered
mail, or personal service. We have no evidence as to whether the April 21, 2020
letter met these requirements, nor did we have submissions on whether it was
required to do so. In these circumstances, we reject the submission that the
application judges finding that the appellant notified the respondents, as
required by s. 62(1)(c), can be upheld by this court simply by substituting the
April 21 letter for the March 25 email.
[31]
We
therefore conclude that the application judge made a palpable and overriding
error in determining that the appellants notified the respondents by means of
their March 25, 2020 internal email that was never sent to the respondents.
[32]
Accordingly,
the appeal is allowed, and the judgment is set aside.
Next steps
[33]
We
decline, however, to dismiss the application, as requested by the appellants.
[34]
As
the application judge indicated at para. 39 of his reasons, [t]he nub of the
issue between the parties is whether [the appellants] asked or
should have asked
[the respondents]
to implement additional or overriding procedures with respect to the project
(emphasis added), because, he reasoned, had they done so, this would have given
the respondents the right to initiate a Variation Enquiry pursuant to s.
62.1(c) of the Project Agreement. Because he determined that by their March 25,
2020 internal email, the appellants had
clearly
asked
the respondents to implement additional or overriding procedures, the application
judge did not determine whether the appellants
should have asked
the respondents to do so.
Specifically, the application judge did not carry out an analysis of the exchanges
between the parties, including the April 21 letter, to determine whether s. 62.1(c)
had, in effect, been triggered or, in the circumstances should be deemed to
have been triggered.
[35]
As
earlier noted, the respondents submission that s. 62.1(c) had effectively or
should be deemed to have been triggered is premised on their arguments that the
appellants did not act in good faith or that as Crown actors, their actions
were the same as the provincial Crown that legislatively mandated the
respondents compliance with the additional or overriding pandemic health and
safety procedures. The application judge did not determine any of these issues
but only the issue of actual notice based on the March 25 email.
[36]
It
is not appropriate for this court to engage in the kind of fact-finding process
that would be required to determine these issues. As this court recently
observed in
Carmichael v. GlaxoSmithKline Inc.
,
2020 ONCA 447, 151 O.R. (3d) 609, at paras. 129-132, leave to appeal refused,
[2020] S.C.C.A. No. 409, while appellate courts have fact-finding powers and the
power to make any decision that the judge at first instance could have made under
ss. 134(1) and (4) of the
Courts of Justice Act
,
R.S.O. 1990, c. C.43, they are cautious about exercising them. Appellate courts
will not make findings of fact if this requires the court to assess credibility,
the evidentiary basis needed to draw the necessary inferences is inadequately
developed in the record, or where the court cannot reach a fair and just
determination of the merits.
[37]
With
respect to the issues of good faith exercise of contractual discretion and
Crown indivisibility, there could be issues of credibility including the reasons
for the project delays and the appellants refusal to declare an emergency and
invoke the Variation Enquiry pursuant to s. 62.1(c). The determination of these
issues requires an interpretation of the Project Agreement and a deep dive into
the factual matrix surrounding the Project Agreement and the circumstances
leading up to the commencement of the present proceedings.
[38]
Accordingly,
we remit the application for a rehearing.
Disposition
[39]
In
conclusion, we allow the appeal, set aside the application judges judgment and
costs order, and remit the application to the Superior Court for directions, if
considered necessary or advisable.
[4]
It will be up to the parties to decide whether they wish to proceed with the
rehearing before another judge of the Superior Court or continue with the other
previously invoked dispute resolution procedures under Schedule 27 of the Project
Agreement.
[40]
As
agreed, the appellants are entitled to their costs of the appeal in the amount
of $60,000, inclusive of disbursements and applicable taxes. If the parties
cannot agree on the disposition of the application costs, they may make brief
written submissions of no more than two pages, plus costs outlines, within ten
days of the release of these reasons.
Paul Rouleau J.A.
K.
van Rensburg J.A.
L.B.
Roberts J.A.
[1]
Under
s. 1.566 of Schedule 1 to the Project Agreement Substantial Completion Date
is defined as the date on which Substantial Completion is achieved as
evidenced by the Substantial Completion Certificate, as such date shall be
stated therein. Section 1.528 of the Project Agreement defines Scheduled
Substantial Completion Date as September 29, 2021, as such date may be
amended pursuant to s. 40 of the Project Agreement. For the purposes of this
appeal, nothing turns on these different definitions.
[2]
In the
Project Agreement Project Co refers to the respondents, while HMQ Entities
refers to the appellants.
[3]
Substantial Completion is defined in s. 1.564 of Schedule 1 to the Project
Agreement. Nothing turns on it for the purposes of this appeal.
[4]
The
proceedings
were
commenced by way of application under
r. 14.05(3)(d) and (h) of the Rules of Civil Procedure. While the application
judge,
apparently
without opposition from the
appellants, proceeded to decide the application in a summary fashion, we do not
express any view on whether the issues are capable of being determined in a
summary procedure, or whether, under r. 38.10 any issue would require a trial.
As such it may be appropriate for the parties to seek direction from the court.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Continental Casualty Company v.
Chubb Insurance Company of Canada, 2022 ONCA 188
DATE: 20220307
DOCKET: C69057
MacPherson, Simmons and
Nordheimer JJ.A.
In
the Matter of the
Insurance Act,
R.S.O.
1990, c. I.8
, as amended, and
Ontario Regulation 283/95
made
under the
Insurance Act
And
in the Matter of the
Arbitration Act, 1991,
S.O. 1991, c. 17
, as amended
And
in the Matter of an Arbitration
BETWEEN
Continental
Casualty Company
Appellant (Respondent)
and
Chubb
Insurance Company of Canada
Respondent (Appellant)
and
Peter
Ekstein
Insured Person
Jason R. Frost and Joseph Filice, for
the appellant
Mark Donaldson and Shelby Chung, for
the respondent
Heard: November 4, 2021 by video conference
On appeal from the order of Justice
David G. Stinson of the Superior Court of Justice, dated September 26, 2019,
with reasons reported at 2019 ONSC 3773, allowing an appeal from a decision of
Arbitrator Kenneth Bialkowski, dated April 4, 2018.
Simmons J.A.:
A.
introduction
[1]
The issues on this appeal arise out of a
priority dispute between insurers concerning liability for statutory accident
benefits (SABS) where the SABS claimant had basic mandatory SABS coverage
under one policy and both basic mandatory and optional enhanced SABS coverage
under another policy.
[2]
In July 2015, Peter Ekstein, the owner, President
and CEO of a forestry products company, suffered catastrophic injuries when he
was hit by a pickup truck while jogging near his cottage.
[3]
Mr. Ekstein had basic mandatory SABS coverage under
his personal automobile insurance policy issued by Chubb Insurance Company of
Canada. In addition, his company had purchased optional enhanced SABS coverage
under a fleet policy issued by Continental Casualty Company for his companys
vehicles.
[4]
Following Mr. Eksteins accident, Continental
denied both that its policy provided optional enhanced SABS coverage and that
Mr. Ekstein had coverage under its policy.
[5]
Mr. Ekstein accordingly claimed basic mandatory
SABS from Chubb. Chubb subsequently initiated a priority dispute, claiming that
Continental was the insurer liable to pay SABS to Mr. Ekstein.
[6]
Section 268 of the
Insurance Act
, R.S.O.
1990, c.I.8. (the Act) sets out priority of payment rules specifying the
insurer against which a SABS claimant may have recourse for SABS in particular
circumstances. Under ss. 268(5) and (5.2) of the Act, if a SABS claimant is a named
insured under more than one policy, the SABS claimant may decide from which insurer
to claim SABS
.
[7]
Unless altered by the legislative scheme, within
the insurance industry named insured generally refers to the person actually named
in a contract of insurance, while an insured is a person who, whether by
statute or by contract, has some or all of the rights of the named insured
[1]
. In the case of the
Continental policy, Mr. Ecksteins company was the named insured.
However, s. 3(7)(f) of the
Statutory Accident Benefits Schedule
Effective September 1, 2010
, O. Reg. 34/10 (the SABS Schedule) expands
the scope of the named insured for a company car. A person will be deemed to
be the named insured under an automobile insurance policy at the time of an
accident where the insured automobile is being made available for the
individuals regular use by a corporation.
[8]
In April 2018 an arbitrator found that Mr.
Ekstein was the named insured under the Chubb policy and a deemed named
insured under the Continental policy
[2]
because he met the regular use requirements in s. 3(7)(f).
[9]
The arbitrator held that absent misinformation provided
by Continental, Mr. Ekstein would have elected to receive SABS from Continental,
the optional enhanced SABS insurer, and that Mr. Ekstein was entitled to
re-elect in the circumstances. Continental was therefore the priority insurer
under the s. 268 priority of payment rules and obliged to pay Mr. Ekstein both
basic mandatory and optional enhanced SABS.
[10]
Further, because the Continental policy included
optional enhanced SABS benefits, the arbitrator found Continental should have
issued to its insured an Ontario Policy Change Form 47 endorsement (OPCF 47)
as required under s. 28 of the SABS Schedule.
[11]
Subject to a requirement that a person, to whom
an optional enhanced SABS benefit is applicable, does not claim SABS under
another policy, OPCF 47 allows that person to claim both basic mandatory and
optional enhanced SABS under the optional enhanced SABS policy, even though the
s. 268 priority of payment rules may require the person to claim SABS under
another policy.
[12]
The arbitrator concluded that regardless of the
s. 268 priority of payment rules
[3]
, Mr.
Ekstein was entitled to pursue the optional benefits from [Continental].
[13]
Continental appealed the arbitrators finding
that Mr. Ekstein was a deemed named insured under its policy to the Superior
Court.
[14]
The Superior Court Appeal judge (the SCAJ)
found the arbitrators finding that Mr. Ekstein met the regular use
requirements in s. 3(7)(f) of the SABS Schedule unreasonable. Although as a
company executive Mr. Ekstein had access to and control over company vehicles,
he had never used any of such vehicles. The SCAJ accordingly concluded Mr.
Ekstein was not a deemed named insured under the Continental policy. Therefore
he could not elect under the s. 268 priority of payment rules to claim SABS
from Continental and Chubb was the priority insurer under those rules.
[15]
Nonetheless, the SCAJ found that Continental was
obliged to pay both basic mandatory SABS and optional enhanced SABS to Mr.
Ekstein under the terms of OPCF 47.
[16]
Over Chubbs objections, the SCAJ went on to
consider whether Chubb, as the priority insurer under the s. 268 priority of
payment rules, was obliged to indemnify Continental for basic mandatory SABS
payments Continental was required to make, an issue not raised in Continentals
notice of appeal.
[17]
Relying on an arbitrators decision, the SCAJ
found that an OPCF 47 endorsement does not displace the s. 268 priority of
payment rules. The SCAJ accordingly set aside the arbitrators order and
declared that:
·
Continental must pay both basic mandatory SABS
and optional enhanced SABS to the SABS claimant;
·
Continental is responsible for the cost of all
optional benefits provided;
·
Continental is entitled to reimbursement from
Chubb for the cost of basic mandatory SABS benefits paid to the SABS claimant by
Continental and all expenses associated with administering those benefits.
[18]
Chubb was granted leave to appeal to this court
on February 28, 2020.
[19]
Chubb raises a variety of procedural and
substantive issues concerning the SCAJs decision. In my view, this appeal can
properly be disposed of by answering the following questions:
1.
Did the SCAJ err in overturning the arbitrators
decision that Mr. Ekstein met the regular use requirement in s. 3(7)(f) of the
SABS Schedule and was therefore a deemed named insured under the Continental
policy?
2.
Did the SCAJ err in holding that as the priority
insurer under the s. 268 priority rules, Chubb was obliged to indemnify
Continental for basic mandatory SABS payments Continental was obliged to pay to
Mr. Ekstein under OPCF 47?
[20]
For the reasons, that follow, I would answer no to
the first question and yes to the second.
B.
the sabs regime
[21]
To provide context for the issues on appeal, I
will briefly review the SABS coverage regime and the s. 268 priority rules and
related regulations. I will set out other relevant regulatory and contractual
provisions when addressing the specific issues to which they relate.
(i)
SABS Coverage
[22]
Subsection 268(1) of the Act states that all
motor vehicle liability insurance policies are deemed to provide for the SABS
set out in the SABS Schedule:
268(1) Every contract evidenced by a motor
vehicle liability policy
shall be deemed to provide for the statutory
accident benefits set out in the [
Statutory Accident Benefits
]
Schedule
.
[4]
[23]
Under the
SABS Schedule, all insurance
policies must provide stipulated basic mandatory SABS coverage and all insurers
must offer stipulated optional enhanced SABS coverage: s. 2(1) and s. 28(1) of
the SABS Schedule.
[24]
Sections 4-27 of the SABS Schedule set out the
specified basic mandatory benefits that must be provided, including, for
example, a maximum income replacement benefit of $400 per week: s. 7(1) of the
SABS Schedule.
[25]
Section 28(1) of the SABS Schedule requires that
every insurer offer specified optional enhanced SABS benefits. For example, s.
28(1)(1.) requires that the following optional enhanced benefit be offered:
1. An optional income replacement benefit that
increases the maximum weekly amount of $400 referred to in the definition of
B in subsection 7 (1) to $600, $800 or $1,000, as selected by the named
insured under the policy.
[26]
Under s. 28(2) of the SABS Schedule, the
optional benefits referred to in s. 28(1) are applicable only to: the
named insured, the spouse of the named insured, their dependants and persons
specified in the policy as drivers of the insured automobile.
[27]
Put another way, even if the s. 268 priority
rules afford recourse against an insurer to a SABS claimant with no connection
to the policy (for example, a pedestrian struck by the insured automobile where
the pedestrian has no automobile insurance), any optional enhanced SABS
coverage available under the policy would not be applicable to that claimant.
(ii)
The Section 268 Priority Rules and Related
Regulations
[28]
Subsections 268(2)-(5.2)
[5]
of the Act set out the rules for determining the insurer against
which a person has recourse for SABS and for determining the insurer liable to
pay SABS.
[29]
Whether an occupant or non-occupant of an
automobile at the time of an accident, a SABS claimants first avenue of
recourse is against the insurer of an automobile in respect of which the person
is an insured: s. 268(2)(1.)(i) and (2)(2.)(i) of the Act. As Mr. Ekstein was a
pedestrian (non-occupant) when he was injured, s. 268(2)(2.) therefore
applies:
268(2) The following rules apply for
determining who is liable to pay statutory accident benefits:
2. In respect of non-occupants,
i.
the non-occupant has recourse against
the insurer of an automobile in respect of which the non-occupant is an insured
,
ii. if recovery is unavailable under
subparagraph i, the non-occupant has recourse against the insurer of the
automobile that struck the non-occupant,
iii. if recovery is unavailable under
subparagraph i or ii, the non-occupant has recourse against the insurer of any
automobile involved in the incident from which entitlement to statutory
accident benefits arose,
iv. if recovery is unavailable under
subparagraph i, ii or iii, the non-occupant has recourse against the Motor
Vehicle Accident Claims Fund. [Emphasis added.]
[30]
Where a person has recourse against more than
one insurer under subparagraphs (i) or (iii) under paragraphs (1.) or (2.) of
s. 268(2), the person may decide the insurer from which the person will claim
benefits: s. 268(4) of the Act.
[31]
Despite s. 268(4), if a person is a
named
insured under a policy, the person
must
seek recourse for SABS under
that policy: s. 268(5) of the Act.
[32]
However, subject to s. 268(5.2), if a person is
a
named
insured under more than one policy providing SABS coverage, the
person may choose the insurer against which the person will seek recourse: s.
268(5.1) of the Act.
[6]
[33]
As noted, s. 3(7)(f) of the SABS Schedule
expands the notion of a named insured if a SABS claimant can establish regular
use of a company vehicle. It provides:
3(7)(f) an individual who is living and
ordinarily present in Ontario
is deemed to be the named insured under the
policy
insuring an automobile at the time of an accident
if, at the time
of the accident
,
(i) the insured automobile is being made
available for the individual's regular use by a corporation
. [Emphasis added.]
[34]
Section 268(3) of the Act stipulates that the
insurer against whom a person has recourse for SABS is liable to pay SABS:
268(3) An insurer against whom a person has
recourse for the payment of statutory accident benefits
is liable to pay
the benefits. [Emphasis added.]
[35]
Further, s. 2(4) of the SABS Schedule states:
2(4) Benefits payable under this Regulation in
respect of an insured person shall be paid by the insurer that is liable to pay
under s. 268(2) of the Act.
[36]
Section 2.1(6) of O. Reg. 283/95 (
Disputes Between Insurers
) requires the
first insurer that receives an application for SABS to pay SABS pending the
resolution of any dispute as to which insurer is required to pay the benefits. This
provision ensures SABS payments are not delayed by priority disputes between
insurers. If the insurers cannot agree as to which insurer is required to pay
benefits, the dispute must be resolved through an arbitration under the
Arbitration Act, 1991
, S.O. 1991, c. 17:
s. 7(1), O. Reg. 283/95.
C.
Analysis
(1)
Did the SCAJ err in overturning the arbitrators
finding that Mr. Ekstein
meets
the regular use requirement in s. 3(7)(f) of the SABS Schedule and is therefore
a deemed named insured under Continentals policy?
(a)
The Arbitrators Decision
[37]
The arbitrators decision that Mr. Ekstein was a
deemed named insured under the Continental policy was premised on a finding that
Mr. Ekstein met the regular use requirement set out in s. 3(7)(f) of the SABS
Schedule.
[38]
The evidence before the arbitrator was that Mr.
Eksteins name appeared on a schedule of drivers attached to the Continental
fleet policy. However, it was undisputed that he had never driven any of the
corporate vehicles, most of which were tractor-trailers used in the forestry
products business. Although Mr. Ekstein was involved in the day-to-day
operations of the business, others were responsible for day-to-day decision-making
concerning the fleet of vehicles and the assignment of vehicles to particular
drivers. Nonetheless, Mr. Ekstein testified that he had access to the keys for
the vehicle fleet, which were kept in the corporate business office, and had
the power to take one of the lighter trucks out 24/7 if he chose to do so. He
called the shots.
[39]
The
arbitrator noted that there are two arbitration decisions that deal in
particular with the control executives and owners have over vehicles used in
their businesses and the impact of that control on the regular use issue:
The Dominion of Canada General Insurance Company v. Federated
Insurance Company of Canada
(Arbitrator Densem October 31, 2012)
and
The Dominion of Canada General Insurance Company v.
Lombard Insurance Company (McLean)
, 2013 CarswellOnt 19270,
(Arbitrator Bialkowski September 11, 2013).
[40]
Taking
account of those decisions the arbitrator concluded that Mr. Ekstein had
sufficient authority and control over the vehicles to meet the requisite
standard. The arbitrator said:
Mr. Ekstein had sufficient control over the vehicles insured by
[Continental] to be found a deemed named insured by reason of s. 3(7)(f) of
the SABS [Schedule]. As President and CEO, he had control and access to them
whenever he wanted, as he stated, I call the shots.
I find that Mr. Ekstein
was a deemed named insured
pursuant to s. 3(7)(f) of the SABS and his control of the corporate vehicles
by
reason of his ownership interest, ultimate control of the vehicles and
accessibility to the keys
. [Emphasis added.]
(b)
The SCAJs decision
[41]
Before the SCAJ, the parties agreed that the
standard of review was reasonableness. The SCAJ distinguished the two cases on
which the arbitrator relied by noting that, in each case, the SABS claimant
made actual use of the vehicle that was the subject of the policy.
[42]
In
Dominion v. Federated
, the claimant
was a dependant of a co-owner of a used car lot.
[7]
The used cars on the lot were insured under a garage policy issued
by Federated. At the time of the accident, the claimant was a passenger in one
of the used vehicles which was being driven by a third party with the father/co‑owners
permission. There was no issue that the father/co-owner made regular use of the
vehicles on the lot. The real issue was whether a company vehicle was being
made available to the father at the time of the accident as the used car lot
was closed when the accident occurred and there was no business purpose
associated with the claimants travel. The issue turned on the fathers access
to and control over vehicles on the lot such that they were being made
available at the time of the accident.
[43]
In
Dominion v. Lombard
, the claimant
was struck by a vehicle while riding a bicycle in Oregon. She was a team leader
and highest-ranking person at an Ontario group home. She used the group homes
vehicle while working and was also responsible for assignment of, record
keeping in relation to, and responsibility for the maintenance and repair of
the vehicle. She claimed SABS under the group home fleet policy. The insurer
conceded regular use. The issue as framed by the arbitrator was whether the
vehicle was available to the claimant at the time of the accident. The
arbitrator concluded that the claimant had sufficient residual control over the
vehicle to be considered a deemed named insured.
[44]
In considering the application of those decisions
to this case, the SCAJ stated, while there was an element of so-called residual
control over the vehicles
what is missing
is any evidence of those
vehicles being made available for [Mr. Eksteins] regular use. Further, it
was unreasonable for the Arbitrator to impute regular usage to Mr. Ekstein
when none existed.
[45]
The SCAJ found that the arbitrator failed to
consider Mr. Eksteins evidence that he never used a company vehicle prior to
or at the time of the accident, or that a company vehicle was not being made
available to him at the time of the accident. The SCAJ concluded:
I conclude that the Arbitrators decision is
unreasonable because he failed to carry out the proper analysis, it is
inconsistent with underlying legal principles, and the outcome ignores or
cannot be supported by the evidence.
To the contrary, the evidence supports
the finding that no automobiles that were subject to the [Continental] policy
were made available for Mr. Eksteins regular use by the company
. Since the
outcome ignores that uncontroverted fact, I find it is unreasonable. [Emphasis
added.]
(c)
Discussion
[46]
Chubb contends that, post-
Vavilov
[8]
, the standard of review to be
applied in this case is the appellate standard. I agree.
[47]
At para. 37 of the majority reasons in
Vavilov
,
the court stated that it should be recognized that where the legislature has
provided for an appeal from an administrative decision to a court, a court
hearing such an appeal is to apply appellate standards of review to the
decision.
[48]
The arbitration in this matter was conducted
pursuant to the
Arbitration Act, 1991
. Subsections 45(2) and (3) of that
Act provide for an appeal on questions of law and mixed fact and law if
permitted by the arbitration agreement. Paragraph 6 of the parties arbitration
agreement provides for an appeal without leave to a Superior Court judge on
questions of law or mixed fact and law.
[49]
Chubb submits that the SCAJ made a palpable and
overring error in reversing the arbitrators finding that Mr. Ekstein met the
regular use requirement. In particular, there was evidence before the
arbitrator that Mr. Ekstein had control over and access to the company vehicles
whenever he wanted. As noted by the arbitrator, Mr. Ekstein stated, I call the
shots. Mr. Ekstein could have used, or directed the use of, any of the corporate
vehicles at any time had he chosen to do so. Chubb submits that the SCAJ erred
by effectively removing the phrase available for from the regular use
definition. He further erred by failing to defer to the factual findings of the
arbitrator when he concluded that no automobiles were being made available by
the company for Mr. Eksteins regular use.
[50]
I would not accept these submissions.
[51]
As a starting point, I consider that the issue
presented may be a question of law requiring a correctness standard of review.
It is undisputed that although Mr. Ekstein could have driven at least some
of the company vehicles at any time he wished, he never did so. Accordingly, the
question arises, can the regular use requirement set out in s. 3(7)(f) of the
SABS Schedule be met based on access to and control of a vehicle, standing
alone, without any use? For reasons that I will explain, I would answer no.
[52]
However, even assuming that the standard of
review is palpable and overriding error, I agree with the SCAJ that the
arbitrator erred by focusing on the evidence concerning Mr. Eksteins potential
access to and control over his companys vehicles. In doing so, the arbitrator effectively
ignored, or failed to give effect to, the evidence that, as of the date of the
accident, Mr. Ekstein had
never
used any of the company vehicles insured
under Continentals policy.
[53]
I reach these conclusions for several reasons. I
will begin by repeating the regular use requirement set out in s. 3(7)(f) of
the SABS Schedule for ease of reference:
3(7)(f) an individual who is living and
ordinarily present in Ontario
is deemed to be the named insured
under
the policy insuring an automobile at the time of an accident
if, at the time
of the accident
,
(i)
the insured automobile is being made
available for the individual's regular use
by a corporation
.
[54]
Read as a whole and in the context of the
legislative history of the section, the language of s. 3(7)(f) makes the actual
situation at the time of the accident the focus of the section rather than
theoretical possibilities.
[55]
Belobaba J. made this point in
ACE INA
Insurance v. Co-operators General Insurance Company
(2009), 79 M.V.R.
(5th) 312 (Ont. S.C.), at paras. 25-26, when he compared the language of the current
section (at the time, s. 66(1) of the SABS Schedule under the heading Company
Automobiles and Rental Automobiles) to the language of the comparable section
under the same heading in the immediately preceding insurance regime:
Section 66(1) [now s. 3(7)(f)]: if,
at the
time of the accident
, the insured automobile
is being
made available
for the individuals regular use by a corporation
.
Former section (s. 91(4) under O. Reg. 776/93):
if an insured automobile
is made available
for the regular use of an
individual
[Emphasis added.].
[56]
By focusing on the time of the accident and adding
the phrase
is being
, the current requirement speaks to reality, not hypotheticals.
[57]
Thus, in
ACE INA Insurance v. Co-operators
,
even though an employee of rental car company made regular use of rental car
vehicles during working hours, he did not meet the regular use requirement
because the accident did not happen during working hours. At para. 17, Belobaba
J. said:
The question is not whether the car would be
available to the claimant when he went back to work the next day but was it
being made available to him at the time of the accident, when he was off work
and on his way downtown in a friends car.
[58]
In
ACE INA
Insurance v.
Co-operators
, there was no issue about regular use. The sole issue was whether
a company vehicle was being made available at the time of the accident. The
answer turned on whether the employee had access and control at the time of the
accident he did not.
[59]
In this case, the primary issue is regular use. Mr.
Ekstein had never made
any
use of company vehicles. Accordingly, the
primary issue was not whether a company vehicle was available to him at the
time of the accident. Rather, it was whether a company vehicle
was being
made available
for his
regular
use at the time of the accident.
[60]
Although Mr. Eksteins control over the fleet of
corporate vehicles may mean that at least some of them were theoretically
available for him to use
[9]
at the time of the accident, to hold that a company vehicle
was being made
available
for his
regular
use at the time of the accident would
amount to speculation.
[61]
Like the SCAJ, I fail to see how availability
for
regular
use can be imputed in the absence of
any
use up to
the point of the accident.
[62]
Second, in the decisions relied on by the
arbitrator, regular use was not in issue. Rather, the main issue in each case
was again whether a corporate vehicle was being made available to the SABS claimant
(or to a person on whom the SABS claimant was dependent) at the time of the
accident. Again, the issue turned on access and control. The term available
obviated any requirement that the SABS claimant actually be using an insured
vehicle at the time of the accident. The decisions held that access to and
control over a vehicle can support a finding that a vehicle was available to
a claimant at the time of an accident. However, in both decisions, the claimant
(or the insured upon whom the claimant was dependent), had regular use of an
insured company vehicle. Accordingly, these decisions do not address the
question whether, absent
any
use, access to and control over a company
vehicle, standing alone, is sufficient to meet the requirement that a company
vehicle
is being made
available for [an] individuals
regular
use at the time of the accident.
[63]
Third, in
Dominion v. Federated
, at p.
4, Arbitrator Densem canvassed the meaning ascribed to regular use in the
caselaw and noted the propositions set out below (footnotes omitted). Not all
of the cases from which these propositions are derived were dealing with the
regular use provision of the SABS Schedule. However, it is noteworthy that none
of these cases contemplated that
no
use could amount to
regular
use:
·
regular is intended to describe periodic,
routine, ordinary or general as opposed to irregular, or out of the ordinary,
or special;
·
the language of s. 66(1)(a) (the predecessor to
s. 3(7)(f)) does not require that the use be frequent, exclusive (in the case
of fleets), or personal, to be regular;
·
regular use has been defined in several
arbitration decisions as being use that is habitual, normal and recurred
uniformly according to a predictable time and manner. However, the cases where
the individuals have been found not to be regular users of the subject vehicles
were only those cases where the characterization of the use was irregular at
best and out of the ordinary;
·
regular use does not require that the person
for whom the vehicle is being made available be driving or operating the
vehicle being made available. The person could be a pedestrian or even a
passenger in someone elses car.
[64]
Fourth, with the introduction of the no-fault
benefits regime, the legislature chose to make an individuals own insurer in
most cases the first avenue of recourse for SABS: see s. 268(2) of the Act. According
to Arbitrator Samis, as quoted in
Kingsway General Insurance Company v.
Gore Mutual Insurance Company
, 2012 ONCA 683, 112 O.R. (3d) 1, at para.
44, with the introduction of what was originally referred to as the company
car provision, the legislature made a policy choice that the first avenue of
recourse for a regular user of a company car would be the corporate insurer:
The traditional company car scenario
involves situations where a business purchases a vehicle, and insurance for the
vehicle, and then makes that vehicle available for the regular, personal, and
frequent use of its employees or officers.
Given the known frequency of these types of
transactions, the legislature attempted to address how the new priority rules
would apply to these situations.
The apparent purpose of the regulation
provision is to deem the person, for whom a vehicle is made available for
regular use, to be a named insured. This is clearly a recognition that in
these types of transactions the regular user is in such a relationship with the
vehicle and the vehicle insurer that that person should claim their benefits
first from the insurer of the vehicle, rather than claim benefits from some
other insurance company.
[65]
Given the apparent purpose of the company car or
regular use provision, I find it difficult to conceive that the
legislature intended to make the corporate insurer the customary first avenue
of recourse for SABS for a corporate owner/executive who has never used a
corporate vehicle.
[66]
I conclude that the arbitrator made at least a
palpable and overriding error in failing to give effect to the evidence that
Mr. Ekstein had never used any of the corporate vehicles and in finding that
Mr. Ekstein met the regular use requirement in s. 3(7)(f) of the SABS Schedule
and was therefore a named insured under Continentals policy.
(2)
Did the SCAJ err in finding that, as the
priority insurer under the s. 268 priority rules, Chubb is obliged to
indemnify Continental for basic mandatory SABS payments made to Mr. Ekstein
under OPCF 47?
[67]
To answer this question, it is necessary to review
OPCF 47, s. 227 of the Act, Financial Services Commission of Ontario (FSCO) Bulletins
A-17/96 and A‑10/97, and the SCAJs reasons.
(a)
OPCF 47
[68]
Continental has acknowledged that, in addition
to basic mandatory SABS coverage, Mr. Eksteins company purchased optional
enhanced SABS coverage under Continentals fleet policy.
[69]
Section 28(4) of the SABS Schedule provides that
where an insured purchases optional enhanced SABS coverage the insurer shall
issue an OPCF 47 endorsement as approved by the Commissioner of Insurance under
s. 227 of the Act:
28(4) If a person purchases an optional
benefit referred to in subsection (1), the insurer shall issue to the person
the endorsement set out in Ontario Policy Change Form 47 (OPCF 47), as approved
by the Commissioner of Insurance on December 3, 1996 under section 227 of the
Act.
[70]
Subject to the requirement that the person not
claim SABS under another policy, OPCF 47 allows a person with optional enhanced
SABS coverage under a motor vehicle insurance liability policy to claim
SABS under that policy even though the s. 268 priority of payment rules may
require the person to claim SABS under another policy. The endorsement reads as
follows:
OPCF 47 Agreement Not to Rely on SABS Priority
of Payment Rules
1. Purpose of This Endorsement
This endorsement is part of your policy. It
has been made because
persons who are entitled to receive optional statutory
accident benefits under this policy may, by the priority of payment rules
in Section 268 of the
Insurance Act
, be required to claim under another policy that does not provide
them with the optional statutory accident benefits
that have purchased under this policy. This endorsement
allows these persons
to claim Statutory Accident Benefits (SABS) under this policy, including the
optional statutory accident benefits
provided by this policy, provided they
do not make a claim for
SABS
under another policy.
2. What We Agree To
If optional statutory accident benefits are
purchased and are applicable to a person under this policy, and the person
claims
SABS
under
this policy as a result of an accident and agrees not to make a claim for
SABS
under another policy,
we
agree that we will not deny the claim, for both mandatory and optional
statutory accident benefits coverage purchased, on the basis that the priority
of payment rules
in
Section 268
of the
Insurance Act
may require that the
person claim
SABS
under
another insurance policy.
All other terms and conditions of the policy
remain the same. [Emphasis added.]
(b)
Section 227 of the Act
[71]
Section 227(2) of the Act permits the Chief
Executive Officer to approve an endorsement where any provision of Part VI of
the Act is inappropriate to the requirements of a contract with the result that
the approved endorsement is effective in accordance with its terms even if its
terms are inconsistent with or vary a provision of Part VI:
227(2)
Where
, in the opinion of the
Chief
Executive Officer, any provision of this Part
, including any statutory
condition,
is
wholly or partly
inappropriate
to the requirements
of a contract or is inapplicable by reason of the requirements of any Act, he
or she
may approve
a form of
policy, or part thereof, or
endorsement
evidencing a contract
sufficient
or appropriate
to insure the risks
required or
proposed to be insured
,
and the
contract evidenced by
the policy or
endorsement in the form so approved is effective and binding
according to its terms
even if those terms are inconsistent with, vary
,
omit or add to
any
provision or condition of this Part
. [Emphasis
added.]
[72]
As noted above, OPCF 47 was approved in December
1996.
(c)
FSCO Bulletins A-17/96 and A-10/97
[73]
FSCO Bulletin A-17/96 was issued soon after OPCF
47 was approved to assist insurers in interpreting s. 268 of the [Act]. The
Bulletin notes that the insurance industry had expressed concern that certain
interpretations of the Act could frustrate the objectives of optional statutory
accident benefits.
[74]
Bulletin A-17/96 states, in part, that a key
objective of the
Automobile Insurance Rate Stability Act, 1996 (Bill 59)
[was] to lower the cost of compulsory automobile insurance by establishing basic
mandatory SABS coverage suitable for most consumers but allowing for the
purchase of optional enhanced benefits for consumers who required such
coverage. The optional enhanced coverage was intended to be portable, meaning
it would apply to the consumer, their spouse and dependent(s) and any listed
driver on the policy, whether the accident took place in the vehicle covered by
the policy or any other vehicle. Further, the rate filings of insurers for the
optional statutory accident benefits reflects this portable aspect of the
coverage.
[75]
However, because certain interpretations of the
Act may not reflect the intended portability, endorsement form OPCF 47,
Agreement Not to Rely on SABS Priority of Payment Rules was developed to protect
purchasers of optional statutory accident benefits from different
interpretations of the Act which may result in denial of coverage. An example
of this potential was explained as follows:
An example is a consumer who has purchased his
or her own policy with optional statutory accident benefits. The consumer is
injured in an accident while occupying the vehicle of a spouse or dependent who
is insured under a separate policy without optional statutory accident benefits.
The Act can be interpreted, in this case, to require the consumer with optional
statutory accident benefits, to claim under the spouses or dependents policy
instead [under s. 268(5.2)]. As a result, the consumer who has purchased
optional statutory accident benefits would not be able to claim these benefits.
[76]
FSCO Bulletin A-10/97 was issued on November 19,
1997 as a supplement to Bulletin A-17/96 because of questions about how [OPCF 47]
should be interpreted in certain situations. Bulletin A-10/97 notes that OPCF 47
was mandated, in part, to ensure insured persons are able to access optional
enhanced SABS regardless of how the priority of payment rules set out in
subsections 268(2), (4), (5), (5.1) and (5.2) of the Act are interpreted. Under
the heading Effect of the Endorsement, Bulletin A-10/97 states , in part, the
following:
The OPCF 47 provides that if optional accident
benefits are purchased and are
applicable
to a person under the
policy, the insurer will permit the insured person to claim
both mandatory
accident benefits and optional accident benefits under that policy
. The
insurer will not deny benefits on the basis that the priority of payment rules
set out in section 268 of the Act provide that another insurer is liable to pay
the mandatory accident benefits.
The endorsement also provides that where an
insured person claims both mandatory accident benefits and optional accident
benefits from an insurer, the insured person agrees not to apply for SABS under
another policy. This is to prevent double compensation. [Emphasis in original.]
[77]
Bulletin A-10/97 goes on to explain that an
optional accident benefit would be applicable if the insured person was
involved in an accident and met the eligibility criteria for the benefit as set
out in the SABS [Schedule] and provides an example.
(d)
The SCAJs decision
[78]
On the arbitrators findings, Continental was both
the s. 268 priority insurer and the OPCF 47 optional enhanced benefits insurer.
However, because the SCAJ reversed the arbitrators finding that Mr. Ekstein
was a deemed named insured under the Continental policy, Chubb became the
priority insurer under s. 268(5) of the Act.
[79]
In the SCAJs view, this created a dichotomy
between Mr. Eksteins right to SABS coverage, which was governed by contract,
and the rights and obligations as between the two insurers for SABS, which, in
his view, were governed by the Act.
[80]
In concluding that, as between the insurers, the
statutory priority regime in s. 268 of the Act prevails, the SCAJ adopted the
arbitrators reasoning in
Echelon General Insurance Company v. Co-operators
General Insurance Company,
2015 CarswellOnt 20908,
at paras. 26-28,
43 and 45.
[81]
In
Echelon
, the claimant applied to
Echelon for SABS under a policy for the automobile she was driving when the
accident occurred, which included basic mandatory SABS coverage. Echelon initiated
a priority dispute with Co-operators, which had issued a policy to the
claimants father that included optional enhanced SABS coverage. The claimant
was a listed driver under the Co-operators policy. Co-operators denied coverage
on the basis that the claimants injuries appeared to fall within minor injury
guidelines such that optional enhanced benefits would not be applicable. The
dispute proceeded to arbitration under the Disputes Between Insurers
regulation.
[82]
In his reasons, the
Echelon
arbitrator noted
the evolution of the automobile insurance regime in Ontario, from a tort regime
to a system with significant no-fault benefits to a more hybrid regime and
the corresponding evolution of the mandatory SABS scheme, from a broad and
extensive scheme to a less extensive scheme coupled with the requirement in s.
28 of the SABS Schedule to offer optional enhanced benefits.
[83]
The arbitrator also noted that it became
apparent that receipt of optional enhanced SABS might be jeopardized by the s.
268 priority rules, which could require a claimant to apply for SABS to an
insurer other than their optional enhanced SABS insurer. But rather than revise
the Act, the government responded with OPCF 47, which the arbitrator described
as an undertaking given solely in respect of a denial of the claim and [which]
does not speak to priority dispute issues, between insurers.
[84]
At paras. 26-28 and 45 of his reasons, the
arbitrator considered what would have happened had the claimant applied to
Co-operators for SABS. He concluded that, under OPCF 47, Co-operators would
have been obliged to pay both basic mandatory and optional enhanced SABS. He
was also of the view that there was nothing in OPCF 47, the Act or the SABS
Schedule that would have precluded Co‑operators from seeking
reimbursement, at least for basic mandatory SABS and any optional enhanced SABS
that might be available under Echelons policy from Echelon, a higher ranking
insurer under the s. 268 priority rules. To hold otherwise would be a windfall
for the higher ranking insurer and a dislocation of risk which would
necessarily make optional benefits coverage inordinately expensive, far more
expensive than the breadth of extended coverage obtained for the consumer.
Nonetheless, in his view, Co-operators would not have been entitled to off-load
the continuing handling of the claim.
[85]
However, the claimant had applied to Echelon for
SABS and the question before the arbitrator was whether Echelon could claim
reimbursement for basic mandatory SABS from Co-operators. The issue whether
OPCF 47 applied and made Co-operators responsible for SABS raised four
questions:
·
had optional enhanced SABS been purchased?;
·
were the optional enhanced SABS applicable to
the claimant?;
·
had or could the claimant claim SABS under the Co-operators
policy?; and
·
had or could the claimant agree not to make a
claim for SABS under another policy?
[86]
The first condition was obviously satisfied.
Further, the arbitrator found the policy was applicable to the claimant because
she fell within the category of persons to whom optional enhanced benefits were
applicable under s. 28(2) of the SABS Schedule.
[10]
Without foreclosing the
possibility that the claimant could, at some point in the future, successfully satisfy
the third and fourth conditions and advance a claim for optional enhanced SABS directly
against Co-operators, the arbitrator found that Echelon could not seek
reimbursement from Co-operators for the basic mandatory SABS it had paid. The
arbitrator reasoned that Echelon would not have had that right if optional
enhanced SABS had not been purchased. Further, he saw nothing in OPCF 47 or the
Disputes Between Insurers regulation that would permit Echelon to seek
reimbursement from Co-operators. In his view, this outcome was consistent with
what would have happened had the claimant applied to Co-operators for SABS.
Either way, the s. 268 priority insurer would ultimately be responsible for
basic mandatory SABS, a result which precluded unduly loading costs onto the
optional benefits insurer:
[T]he net result is that the obligation for
the mandatory benefits ultimately rests with the insurer having the highest
ranking under
section 268
of the
Insurance Act
. This is entirely appropriate.
It supports the legislative intention of making optional benefits available at
reasonable cost. Any other interpretation would have the effect of unduly
loading costs onto the optional benefit insurers and would discourage individuals
from purchasing that coverage for their protection. [Emphasis added.]
[87]
The SCAJ adopted the arbitrators reasoning and held
that while Continental must pay both standard and optional SABS to Mr. Ekstein under
OPCF 47, Chubb must reimburse Continental for all basic mandatory SABS paid to
Mr. Ekstein together with associated administrative expenses.
(e)
Discussion
[88]
Continental submits that the SCAJ reached the correct
conclusion: nothing in OPCF 47, the Act or the SABS Schedule displaces the
right of an insurer that provides optional enhanced SABS coverage to seek
reimbursement for basic mandatory SABS from another insurer in accordance with
the s. 268 priority rules. Further, optional enhanced SABS only come into play once
basic mandatory SABS are exhausted. To hold otherwise could lead to the
anomalous situation that persons who mistakenly apply to the wrong insurer
(i.e., under the policy that does not provide optional enhanced SABS coverage) will
be left without recourse against any insurer.
[89]
I would not accept this submission for four reasons.
[90]
First, OPCF 47 is clear in requiring the
optional enhanced SABS insurer to pay both basic mandatory and optional
enhanced SABS:
OPCF 47
1.
Purpose of This Endorsement
This endorsement allows these persons to claim
Statutory Accident Benefits (
SABS
) under this policy, including the optional statutory accident
benefits provided by this policy, provided they do not make a claim for
SABS
under another policy.
2. What We Agree To
If optional statutory accident benefits are
purchased and are applicable to a person
and the person claims SABS under
this policy
and agrees not to make a claim for SABS under another policy, we
agree that we will not deny the claim, for both mandatory and optional
statutory accident benefits coverage purchased, on the basis that the priority
of payment rules in
Section 268
of the
Insurance
Act
may require that the person claim
SABS
under another insurance
policy.
[91]
Second, contrary to the SCAJs conclusion and
the
Echelon
arbitrators reasons, I conclude that OPCF 47 displaces the s. 268 priority
rules. That is because OPCF 47 is inconsistent with those rules and because s.
227(2) of the Act makes OPCF 47 effective in accordance with its terms even
though it may be inconsistent with the s. 268 priority rules.
[92]
Section 268(2) of the Act specifies the insurer
against which a person may have recourse for SABS in particular circumstances.
Section 268(3) requires that insurer to pay SABS:
268(3) An insurer against whom a person has
recourse for the payment of statutory accident benefits is liable to pay the
benefits.
[93]
Where applicable, on its face, OPCF 47 contradicts
those provisions. If a claimant applies for SABS to an insurer providing
optional enhanced SABS coverage, the coverage is applicable and the claimant
agrees not to apply for SABS to another insurer, OPCF 47 requires the optional
enhanced SABS coverage insurer, and not the s. 268 priority insurer, to pay
both basic mandatory and optional enhanced SABS. When OPCF 47 was approved it
1996, it became effective in accordance with its terms: s. 227(2) of the Act.
[94]
Section 227(2) provides an apparently rarely
used power to the Chief Executive Officer to make an endorsement that is
inconsistent with the Act effective in accordance with its terms despite its
inconsistency with the Act. In
Prasad v. GAN Canada Insurance Co.
(1997),
33 O.R. (3d) 481 (Ont. C.A.) appl. for leave to appeal to S.C.C.
dismissed, [1997] S.C.C.A. No. 389, this court held that a territorial
limitation in an approved policy could not limit the statutorily mandated coverage
specified in the SABS Schedule and rejected an argument that policy approval
meant that the territorial restriction overrode the SABS Schedule
[11]
. This court observed that
there was no evidence that a decision had been made to approve a policy
inconsistent with the Act.
[95]
However, in
Prasad
, the policy did not
reference the regulation and the conflict was not apparent from the face of the
document. Here, the conflict is identified in OPCF 47 and it cannot
realistically be suggested that the Chief Executive Officer did not turn
his/her mind to the conflict or to approving an endorsement inconsistent with
the Act.
[96]
Fundamentally, both s. 268 of the Act and OPCF 47
address who must
pay
SABS in particular circumstances. They do not
address reimbursement. Any right of reimbursement arises only where one insurer
has paid SABS when another insurer has the obligation to pay. Where it applies,
OPCF 47 obliges an insurer that provides optional enhanced coverage to pay both
basic mandatory and optional enhanced SABS. An optional enhanced SABS coverage
insurer cannot claim reimbursement from another insurer when the optional
enhanced coverage insurer undertook the obligation to pay.
[97]
The FSCO Bulletins support the interpretation
that the OPCF 47 insurer undertakes the obligation to pay both basic mandatory
SABS and optional enhanced SABS; that the risk of doing so is built into the
premiums; and that the ultimate intention of the legislature was to reduce the
cost of compulsory automobile insurance. The
Echelon
arbitrator noted
that the Bulletins address contractual rights between insured and insurer, not
rights or reimbursement between insurers. However, this is because there is no
independent right of reimbursement. The right only arises where one insurer, as
the first insurer to receive a SABS application, is required to assume another
insurers obligation to pay. By virtue of OPCF 47, the optional enhanced SABS
insurer assumes the obligation to pay.
[98]
Third, on their face, the s. 268 priority rules
and s. 268(3) of the Act (and s. 2(4) of the SABS Schedule) make an
insurer liable to pay SABS; they do not make an insurer liable to pay basic
mandatory SABS alone. Put another way, nothing in s. 268, the SABS Schedule, or
the Disputes Between Insurers regulation, makes an insurer liable for only a
portion of the SABS payable to a particular person or stipulates that SABS
obligations can be bifurcated.
[99]
Fourth, two arbitration decisions, neither of
which was brought to the SCAJs attention, have made comments critical of the
Echelon
arbitrators analysis and
support the conclusion that OPCF 47 displaces the s. 268 priority rules:
Jevco Insurance Company v. Chieftain Insurance Company
(Arbitrator Samworth March 11, 2016) and
Co-operators General Insurance Company v. Certas Home & Auto
Insurance Company
(Arbitrator Cooper April
2019).
[100]
Like
Echelon
, the comments in
Jevco
were
obiter
. However, in
Co‑operators
, the arbitrator refused an optional enhanced SABS insurers request
for reimbursement for basic mandatory SABS payments from a s. 268 priority
insurer largely on the basis of the
Jevco
analysis.
[101]
In
Jevco
,
the claimant was injured while riding a motorcycle. He applied for SABS to his
motorcycle insurer, Jevco. The Jevco policy did not include optional enhanced
SABS but the claimants car insurance policy, issued by Chieftain, did. Jevco
initiated a priority dispute with Chieftain.
[102]
The
Jevco
arbitrator expressed the view that the wording of OPCF 47, which speaks to an
insurer not denying a claim for benefits on the basis of the s. 268 priority
rules, is both antiquated and meaningless. Because of O. Reg. 34/10, which
amended the Disputes Between Insurers regulation (O. Reg. 283/95) and
developments in the caselaw, an insurer cannot deny SABS on the basis it is not
the priority insurer: [t]hat battle is left up to an inter-company dispute. Accordingly,
the only reasonable way to interpret OPCF-47 is that if the optional benefits
insurer receives a SABS claim, then they do not have the right to make a
priority dispute claim under Regulation 34/10 for any of the benefits they are
paying to their insured.
[103]
Further, the
Jevco
arbitrator opined that claims for reimbursement for a portion of
benefits paid is not permitted:
I do not find the wording of the regulation,
the OPCF-47 and Section 268 of the Insurance Act provides a basis for pursuing
a portion of benefits paid. Clearly Chieftain could not pursue Jevco for the
optional benefits as they did not provide for those benefits.
[104]
In addition, the
Jevco
arbitrator rejected the idea that a complex scheme of reimbursement
such as that contemplated in
Echelon
was intended:
I believe that the regulation and the
endorsement was intended to simplify the process for the insureds receipt of
optional benefits
and to pre-empt private disputes between insurers on this
issue and not set up a complex scheme for priority disputes, reimbursements
between various insurers nor placing the administration of a [SABS] claim with
an insurer who would not be actually making the payments.
[105]
In the result, the
Jevco
arbitrator concluded that, as between Jevco and Chieftain, Jevco
was responsible to pay SABS to the claimant. As noted above, the SABS claimant
had applied to Jevco for SABS. In the result, the SABS claimant did not have
access to the optional enhanced benefits in the Chieftain policy.
[106]
The
Co-operators
arbitrator agreed with the
Jevco
arbitrators interpretation of OPCF 47.
Co-operators
also involved a motorcycle
accident, a motorcycle policy including basic mandatory SABS only and a motor
vehicle policy with optional enhanced SABS. However, in that case, the claimant
applied to the optional enhanced SABS insurer, Co-operators, for SABS benefits.
Relying on
Echelon
, Co‑operators
subsequently initiated a priority dispute with the motorcycle insurer, Certas,
seeking reimbursement for benefits paid. The Co-operators arbitrator said:
The OPCF 47 endorsement changes everything
and, provided that the claimant satisfies the four conditions
present in the endorsement,
the optional benefits insurer is required to
administer both mandatory and optional benefits coverages without regard for
the priority of payment rules in
Section 268 of the Insurance Act
.
[Emphasis added.]
[107]
The
Jevco
arbitrator acknowledged that the result in that case was harsh because the SABS
claimant was not afforded access to the optional enhanced SABS coverage he had
purchased. However, the issue before her was obligations as between insurers.
While she had commented that the SABS claimant was not entitled to re-elect
from which insurer he wished to claim benefits, she was not purporting to
decide the claimants options. That question was for another forum.
[12]
[108]
I observe that potential unfairness arising from an insureds errors
when applying for SABS may, in some cases, be corrected by invoking relief from
forfeiture as happened in this case.
[109]
I conclude that the SCAJ erred in holding that liability for SABS
can be bifurcated under s. 268(2) of the Act. I would therefore set aside his
order requiring Chubb to reimburse Continental
for the
cost of basic mandatory SABS payments and all expenses associated with
administering those benefits.
D.
disposition
[110]
Based on the foregoing reasons, the appeal is allowed and paras.
1(c) and (d) of the SCAJs order requiring that Chubb reimburse Continental for
the cost of basic mandatory SABS and related benefits are set aside.
[111]
Costs of the appeal are to Chubb on a partial indemnity scale fixed
in the amount of $20,000 inclusive of disbursements and applicable HST. The
parties may file brief written submissions within 21 days if further costs
orders are required (14 days for initial submissions, 7 days for a response).
Released: March 7, 2022 J.C.M.
Janet
Simmons J.A.
I
agree. J.C. MacPherson J.A.
I
agree.
I.V.B. Nordheimer J.A.
Appendix A
Liability to pay
268
(2) The following rules apply for determining who is liable to pay
statutory accident benefits:
1. In respect of an occupant of an automobile,
i. the occupant has recourse against the insurer of an
automobile in respect of which the occupant is an insured,
ii. if recovery is unavailable under subparagraph i, the
occupant has recourse against the insurer of the automobile in which he or she
was an occupant,
iii. if recovery is unavailable under subparagraph i or ii, the
occupant has recourse against the insurer of any other automobile involved in
the incident from which the entitlement to statutory accident benefits arose,
iv. if recovery is unavailable under subparagraph i, ii or
iii, the occupant has recourse against the Motor Vehicle Accident Claims Fund.
2. In respect of non-occupants,
i. the non-occupant has recourse against the insurer of an
automobile in respect of which the non-occupant is an insured,
ii. if recovery is unavailable under subparagraph i, the
non-occupant has recourse against the insurer of the automobile that struck the
non-occupant,
iii. if recovery is unavailable under subparagraph i or ii,
the non-occupant has recourse against the insurer of any automobile involved in
the incident from which the entitlement to statutory accident benefits arose,
iv. if recovery is unavailable under subparagraph i, ii or
iii, the non-occupant has recourse against the Motor Vehicle Accident Claims
Fund.
Liability
(3) An insurer against
whom a person has recourse for the payment of statutory accident benefits is
liable to pay the benefits.
Choice of
insurer
(4) If, under
subparagraph i or iii of paragraph 1 or subparagraph i or iii of paragraph 2 of
subsection (2), a person has recourse against more than one insurer for the
payment of statutory accident benefits, the person, in his or her absolute
discretion, may decide the insurer from which he or she will claim the benefits
Same
(5) Despite
subsection (4), if a person is a named insured under a contract evidenced by a
motor vehicle liability policy or the person is the spouse or a dependant, as
defined in the
Statutory Accident Benefits Schedule
, of a named
insured, the person shall claim statutory accident benefits against the insurer
under that policy.
Same
(5.1) Subject to
subsection (5.2), if there is more than one insurer against which a person may
claim benefits under subsection (5), the person, in his or her discretion, may
decide the insurer from which he or she will claim the benefits.
Same
(5.2) If there
is more than one insurer against which a person may claim benefits under
subsection (5) and the person was, at the time of the incident, an occupant of
an automobile in respect of which the person is the named insured or the spouse
or a dependant of the named insured, the person shall claim statutory accident
benefits against the insurer of the automobile in which the person was an
occupant.
[1]
Axa Boreal Assurances v. Co-operators
Insurance Co.
(2000), 50 0.R. (3d) 395 (C.A.),
at paras.
18 and 19.
[2]
The arbitrator also found that Mr. Ekstein was a listed driver and
an insured under the Continental policy.
[3]
At
para. 119 of his reasons, the arbitrator referred to the priority provisions of
s. 268 of O. Reg. 283/95. However, it is obvious from the context that the
arbitrator was referring to s. 268 of the Act.
[4]
Section 268(1.1) provides an exception concerning occupants of public transit
vehicles.
[5]
The full text of these sections is set out in Appendix A.
[6]
Section
268(5.2) does not apply to the facts of this case. It stipulates
that if a person is a named insured under more than one policy and was, at the time
of the incident, an occupant of an automobile in respect of which the person is
a named insured (or the spouse or a dependant of the named insured), the person
must claim SABS against the insurer of the automobile in which the person was
an occupant. As noted, Mr. Ekstein was a pedestrian, or non-occupant,
when struck by the pick-up truck.
[7]
Access to the Federated policy depended on s. 268(5.2) of the Act which
reads:
If there is
more than one insurer against which a person may claim benefits under subsection
(5) and the person was, at the time of the incident, an occupant of an
automobile in respect of which the person is the named insured or the spouse or
a dependant of the named insured, the person shall claim statutory accident
benefits against the insurer of the automobile in which the person was an
occupant.
[8]
Canada (Minister of
Citizenship and Immigration) v. Vavilov
, 2019 SCC 65, 441 D.L.R. (4th)
1.
[9]
Continental disputes this factual point because the accident
occurred on a weekend when Mr. Ekstein was at his cottage and the corporate
office was closed.
[10]
This
reasoning may not accord with FSCO Bulletin A10/97 concerning the meaning of
applicable. The arbitrator said he found the Bulletin inconsistent in
addressing the issue and, overall, not helpful.
[11]
In
Prasad
, this court also
noted that the territorial limitation provision in the Act was amended after
the date on which the events in that case occurred to encompass SABS benefits.
Prasad
has subsequently been distinguished
on that basis but not in relation to the comments concerning s. 227 of the Act.
[12]
Unlike in this case, in
Jevco
, the
claimant did not seek status on the arbitration.
|
COURT OF APPEAL FOR ONTARIO
CITATION: IT Haven Inc. v. Certain Underwriters at Lloyds,
London, 2022 ONCA 189
DATE: 20220303
DOCKET: C68990
Strathy C.J.O., Zarnett J.A. and Wilton-Siegel J.
(
ad hoc
)
BETWEEN
IT Haven Inc. and Ryan Hunt
Applicants (Respondents)
and
Certain Underwriters at Lloyds, London
Respondent (Appellant)
Jamie Spotswood and Camille Beaudoin, for the appellant
Rebecca Huang and Vincent DeMarco, for the respondents
Heard: October 19, 2021 by video conference
On appeal from the order of Justice Mark L. Edwards of
the Superior Court of Justice, dated December 15, 2020, with reasons reported
at 2020 ONSC 7835.
COSTS ENDORSEMENT
[1]
Having considered the submissions of the parties, costs are awarded to
the respondent in the appeal, fixed at $25,000, inclusive of disbursements and
all applicable taxes.
G.R. Strathy C.J.O.
B. Zarnett J.A.
Wilton-Siegel J.
|
WARNING
The President of the panel
hearing this appeal directs that the following should be attached to the file:
An order restricting
publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or
(4) or 486.6(1) or (2) of the
Criminal Code
shall continue. These sections of the
Criminal Code
provide:
486.4(1) Subject
to subsection (2), the presiding judge or justice may make an order directing
that any information that could identify the victim or a witness shall not be
published in any document or broadcast or transmitted in any way, in
proceedings in respect of
(a) any of the
following offences;
(i) an offence
under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1,
172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02,
279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence
under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt
with in the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a) at the first
reasonable opportunity, inform any witness under the age of eighteen years and
the victim of the right to make an application for the order; and
(b) on application
made by the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to
subsection (2.2), in proceedings in respect of an offence other than an offence
referred to in subsection (1), if the victim is under the age of 18 years, the
presiding judge or justice may make an order directing that any information
that could identify the victim shall not be published in any document or
broadcast or transmitted in any way.
(2.2) In proceedings in
respect of an offence other than an offence referred to in subsection (1), if
the victim is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible,
inform the victim of their right to make an application for the order; and
(b) on application of
the victim or the prosecutor, make the order.
(3) In proceedings
in respect of an offence under section 163.1, a judge or justice shall make an
order directing that any information that could identify a witness who is under
the age of eighteen years, or any person who is the subject of a
representation, written material or a recording that constitutes child
pornography within the meaning of that section, shall not be published in any
document or broadcast or transmitted in any way.
(4) An order made
under this section does not apply in respect of the disclosure of information
in the course of the administration of justice when it is not the purpose of
the disclosure to make the information known in the community.
2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b);
2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s.
18..
486.6(1) Every
person who fails to comply with an order made under subsection 486.4(1), (2) or
(3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2) For greater
certainty, an order referred to in subsection (1) applies to prohibit, in
relation to proceedings taken against any person who fails to comply with the
order, the publication in any document or the broadcasting or transmission in
any way of information that could identify a victim, witness or justice system
participant whose identity is protected by the order. 2005, c. 32, s. 15.
WARNING
The President of the panel
hearing this appeal directs that the following should be attached to the file:
An order restricting
publication in this proceeding under ss. 486.5(1), (2), (2.1), (3), (4),
(5), (6), (7), (8) or (9) or 486.6(1) or (2) of the
Criminal
Code
shall continue. These sections of the
Criminal Code
provide:
486.5 (1) Unless an
order is made under section 486.4, on application of the prosecutor in respect
of a victim or a witness, or on application of a victim or a witness, a judge
or justice may make an order directing that any information that could identify
the victim or witness shall not be published in any document or broadcast or
transmitted in any way if the judge or justice is of the opinion that the order
is in the interest of the proper administration of justice.
(2) On application
of the prosecutor in respect of a justice system participant who is involved in
proceedings in respect of an offence referred to in subsection (2.1), or on
application of such a justice system participant, a judge or justice may make
an order directing that any information that could identify the justice system
participant shall not be published in any document or broadcast or transmitted
in any way if the judge or justice is satisfied that the order is in the
interest of the proper administration of justice.
(2.1) The offences for
the purposes of subsection (2) are
(a) an offence under
section 423.1, 467.11, 467.111, 467.12, or 467.13, or a serious offence
committed for the benefit of, at the direction of, or in association with, a
criminal organization;
(b) a terrorism offence;
(c) an offence under
subsection 16(1) or (2), 17(1), 19(1), 20(1) or 22(1) of the
Security of
Information Act
; or
(d) an offence under
subsection 21(1) or section 23 of the
Security of Information Act
that
is committed in relation to an offence referred to in paragraph (c).
(3) An order made
under this section does not apply in respect of the disclosure of information
in the course of the administration of justice if it is not the purpose of the
disclosure to make the information known in the community.
(4) An applicant for
an order shall
(a) apply in writing to
the presiding judge or justice or, if the judge or justice has not been
determined, to a judge of a superior court of criminal jurisdiction in the
judicial district where the proceedings will take place; and
(b) provide notice of
the application to the prosecutor, the accused and any other person affected by
the order that the judge or justice specifies.
(5) An applicant for
an order shall set out the grounds on which the applicant relies to establish
that the order is necessary for the proper administration of justice.
(6) The judge or
justice may hold a hearing to determine whether an order should be made, and
the hearing may be in private.
(7) In determining
whether to make an order, the judge or justice shall consider
(a) the right to a fair
and public hearing;
(b) whether there is a
real and substantial risk that the victim, witness or justice system
participant would suffer harm if their identity were disclosed;
(c) whether the victim,
witness or justice system participant needs the order for their security or to
protect them from intimidation or retaliation;
(d) societys interest
in encouraging the reporting of offences and the participation of victims,
witnesses and justice system participants in the criminal justice process;
(e) whether effective
alternatives are available to protect the identity of the victim, witness or
justice system participant;
(f) the salutary and
deleterious effects of the proposed order;
(g) the impact of the
proposed order on the freedom of
expression
of those affected by it; and
(h) any other factor
that the judge or justice considers relevant.
(8) An order may be
subject to any conditions that the judge or justice thinks fit.
(9) Unless the judge
or justice refuses to make an order, no person shall publish in any document or
broadcast or transmit in any way
(a) the contents of an
application;
(b) any evidence taken,
information given or submissions made at a hearing under subsection (6); or
(c) any other
information that could identify the person to whom the application relates as a
victim, witness or justice system participant in the proceedings.
2005, c. 32, s. 15; 2015, c. 13, s. 19
486.6 (1) Every person
who fails to comply with an order made under subsection 486.4(1), (2) or
(3) or 486.5(1) or (2) is guilty of an offence punishable on summary
conviction.
(2) For greater
certainty, an order referred to in subsection (1) applies to prohibit, in
relation to proceedings taken against any person who fails to comply with the
order, the publication in any document or the broadcasting or transmission in
any way of information that could identify a victim, witness or justice system
participant whose identity is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Henry, 2022 ONCA 191
DATE: 20220308
DOCKET: C67954
Rouleau, Nordheimer and George JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Casey Matti Henry
Appellant
George (Knia) Singh, for the appellant
Rebecca Schwartz, for the respondent
Heard: March 2, 2022 by video conference
On appeal from the conviction entered by
Justice Sean F. Dunphy of the Superior Court of Justice on November 12, 2019, and
from the sentence imposed on January 17, 2020.
REASONS FOR DECISION
[1]
Mr. Henry appeals his conviction, and seeks
leave to appeal his sentence, on one count of sexual assault.
[2]
The background facts may be stated simply. The appellant
and the complainant met online. They made plans to meet up that same day. The
appellant picked the complainant up in his car. He had a friend with him. The appellant
eventually dropped the friend off in Brampton. The appellant and the
complainant then went to the appellants place where he showered. He dressed in
boxers and a t-shirt and lay on his bed. He invited the complainant to join him
there. Sexual activity took place. The appellant believed it was consensual. The
complainant says it was not.
[3]
The central issue at trial was consent. Credibility
played an obvious role in the determination of that issue. The appellant raises
three grounds of appeal: (i) the trial judge erred in dismissing an application
under s. 276 of the
Criminal Code
, R.S.C. 1985, c. C-46; (ii) there was
a reasonable apprehension of bias on the part of the trial judge; and (iii) the
trial judge erred in his assessment of the credibility of the complainant.
[4]
We do not accept any of these challenges to the
trial judges decision. In terms of the first ground, evidence of a
complainants sexual activity extrinsic to the subject matter of the charge is
presumptively inadmissible:
Code
, s. 276(2);
R. v. Goldfinch
,
2019 SCC 38, [2019] 3 S.C.R. 3, at para. 40. The issue in this case was whether
a text message that the complainant sent to the appellant regarding her
experiences with Black men, along with evidence that the complainant had a
history of going to bars and meeting men, satisfied the criteria for
admissibility under s. 276.
[1]
In our view, the trial judge was correct in finding that they did not. In
particular, we agree with the trial judge that the comments regarding Black men
were sexual in nature and, considering the context in which they were made,
including the fact that they were raised by the appellant, are not suggestive
of any animus on the complainants part. We also agree with the trial judge
that the contents of the text message regarding her prior experiences were not
relevant to the issues in the trial and that the evidence about past conduct relating
to bars was, at best, peripherally relevant.
[5]
On the second ground of appeal, we do not see
anything in the record that would substantiate the assertion that the trial
judge exhibited any bias. The fact that the trial judge interjected frequently during
defence counsels argument of the s. 276 application does not evidence bias. It
is clear that the trial judge was having some difficulty accepting the points
that counsel was trying to make, and he made that clear to counsel in an effort
to get a better explanation. While the trial judge might have been better to restrain
the frequency of his interventions, in order to avoid creating a potential
appearance of unfairness, his conduct does not rise to the very high level
required for a conclusion of bias:
R. v. Ibrahim
, 2019 ONCA 631, 147
O.R. (3d) 272, at para. 84.
[6]
Further, the fact that the trial judge intervened
on a few occasions in the course of the appellants cross-examination of the
complainant but did not exercise more control over the complainant (who was a
difficult witness) when she was being cross-examined does not demonstrate bias.
It is up to each trial judge to decide how and how much they will intervene in
those types of situations. Some judges will do more; some will do less. Bias
does not necessarily arise from deciding one way as opposed to the other. It is
worthy of note, on this point, that the trial judge took the same approach when
the appellant was cross-examined and also proved to be difficult.
[7]
On the third ground of appeal, the appellant has
not been able to point to anything in the record that undermines the
conclusions that the trial judge reached regarding the credibility of either
the complainant or the appellant. The trial judge explained why he believed the
complainant and, in doing so, he addressed many of the inconsistencies and
other issues that arose from her evidence. The trial judge also explained the
difficulties he had with the appellants evidence. Ultimately, that was the
trial judges call to make. The appellant has failed to identify a proper basis
that would permit this court to interfere with those findings.
[8]
On the sentence appeal, the trial judge
correctly identified the range of sentence for this offence as being between
three and five years. He decided on a sentence of three and one-half years. In
reaching his conclusion, the trial judge noted that the sexual assault involved
forced fellatio and vaginal intercourse. He also found that the appellants behaviour
towards the complainant was demeaning. The trial judges decision on sentence
is entitled to deference. Absent an error in principle, or the failure to
consider a relevant factor, or the erroneous consideration of an aggravating or
mitigating factor, an appellate court is not warranted in intervening:
R.
v. Lacasse
, 2015 SCC 64, [2015] 3 S.C.R. 1089, at para. 44. There are no
such errors, or failures, in this case.
[9]
The conviction appeal is dismissed. Leave to
appeal sentence is granted but the appeal is dismissed.
Paul Rouleau J.A.
I.V.B. Nordheimer J.A.
J. George J.A.
[1]
We recognize that references to evidence relating to an application
under s. 276 of the
Criminal Code
are
covered by a publication ban pursuant to s. 278.95. However, we consider it
appropriate, in this case, to exercise our discretion to publish our reasons:
R. v. N.H.
,
2021 ONCA 636, 158
O.R. (3d) 294
.
|
WARNING
The President of the panel
hearing this appeal directs that the following should be attached to the file:
An order restricting
publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or
(4) or 486.6(1) or (2) of the
Criminal Code
shall continue. These sections of
the
Criminal Code
provide:
486.4(1) Subject
to subsection (2), the presiding judge or justice may make an order directing
that any information that could identify the victim or a witness shall not be
published in any document or broadcast or transmitted in any way, in
proceedings in respect of
(a) any of the
following offences;
(i) an offence
under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1,
172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02,
279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence
under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt
with in the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a) at the first
reasonable opportunity, inform any witness under the age of eighteen years and
the victim of the right to make an application for the order; and
(b) on application
made by the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to
subsection (2.2), in proceedings in respect of an offence other than an offence
referred to in subsection (1), if the victim is under the age of 18 years, the
presiding judge or justice may make an order directing that any information
that could identify the victim shall not be published in any document or
broadcast or transmitted in any way.
(2.2) In proceedings in
respect of an offence other than an offence referred to in subsection (1), if
the victim is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible,
inform the victim of their right to make an application for the order; and
(b) on application of
the victim or the prosecutor, make the order.
(3) In proceedings
in respect of an offence under section 163.1, a judge or justice shall make an
order directing that any information that could identify a witness who is under
the age of eighteen years, or any person who is the subject of a
representation, written material or a recording that constitutes child
pornography within the meaning of that section, shall not be published in any
document or broadcast or transmitted in any way.
(4) An order made
under this section does not apply in respect of the disclosure of information
in the course of the administration of justice when it is not the purpose of
the disclosure to make the information known in the community.
2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b);
2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s.
18..
486.6(1) Every
person who fails to comply with an order made under subsection 486.4(1), (2) or
(3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2) For greater
certainty, an order referred to in subsection (1) applies to prohibit, in
relation to proceedings taken against any person who fails to comply with the
order, the publication in any document or the broadcasting or transmission in
any way of information that could identify a victim, witness or justice system
participant whose identity is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. S.R., 2022 ONCA 192
DATE: 20220308
DOCKET: C68687
van Rensburg, Nordheimer and
George JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
S.R.
Appellant
Maija Martin, for the appellant
Mark Luimes, for the respondent
Heard: January 31, 2022 by
video conference
On appeal from the conviction entered on
January 16, 2020 by Justice Irving W. André of the Superior Court of Justice.
REASONS FOR DECISION
[1]
The appellant was found guilty of one count each
of sexual assault, touching for a sexual purpose and invitation to touching for
a sexual purpose. The trial judge conditionally stayed the sexual assault count
under
Kienapple
, and entered convictions on the other two charges. The
appellant appeals his convictions.
[2]
For the reasons that follow, we allow the
appeal, set aside the convictions, and direct a new trial.
[3]
The events giving rise to the charges were
alleged to have occurred in 2015 and 2016 when the complainant, M.B., was eight
and nine years old. She had been attending karate classes at a martial arts gym
or dojo. The appellant was 60 years old at the time, and had been her
instructor for a couple of years. M.B. alleged several instances of
inappropriate touching by the appellant at the gym. M.B. eventually complained
to her father and reported the incidents to the police. The appellant was
arrested and charged the same day.
[4]
M.B. was 12 years old at the time of the trial.
Her police statement was introduced in evidence under s. 715.1 of the
Criminal
Code
, and she testified. M.B.s father and the appellant also testified.
[5]
M.B. testified that, when she and the appellant were
alone, the appellant had on five or six occasions removed his pants and
underwear and exposed his penis to her in the practice area, and on one
occasion he told her to grab his penis in order to throw him. She testified
that the appellant had reached under her top and tickled her breast while the
other students were on a water break, and that, on another occasion, he had looked
inside her pants in the girls change room during a water break.
[6]
The appellant testified through an interpreter.
He denied that he had touched M.B. inappropriately, that he had ever taken off
his clothes in front of her, or that he had exposed his penis and invited her
to touch it. He testified that he was never alone with M.B., who was a member
of a class with several students, and that there was a glass door, which was
always open, but no curtain between the gym area and the room where parents
would wait for their children. He also initially testified that he had a good
relationship with M.B.s father, but he went on to recount various
disagreements they had, including a confrontation over M.B.s sister eating
candy in the dojo, which he claimed had taken place the day that M.B.s father
confronted him with M.B.s allegations.
[7]
The trial judge stated that he disbelieved the
appellants evidence and that it was incapable of raising a reasonable doubt
in the Crowns case. He found M.B.s evidence both credible and reliable, and he
concluded that, based on the totality of the evidence that he accepted, the
Crown had proven the offences beyond a reasonable doubt.
[8]
The appellant raises three grounds of appeal,
which he contends individually or together warrant a reversal of his
convictions and a new trial: (1) the trial judges assessment of his
credibility was based on material misapprehensions of his evidence; (2) the
trial judge did not assess the credibility or reliability of the evidence of M.B.s
father, and did not consider whether parts of his evidence, together with the
appellants evidence, were capable of raising a reasonable doubt; and (3) the
trial judge erred in concluding that M.B. had no motive to lie, and in treating
this as affirmative evidence that she was telling the truth.
[9]
We turn now to the first ground of appeal. The
appellant asserts that the trial judge misapprehended his evidence in three
respects. The first two misapprehensions, which are conceded by the Crown, are
relevant to the appellants opportunity to commit the offences, which was a
live issue at trial.
[10]
First, the trial judge wrongly believed that the
Crown had established an inconsistency in the appellants evidence stemming
from his statement to the police about whether there was a curtain separating
the practice area from the waiting area. The trial judge stated:
[The appellant] testified that he never had a
curtain in the practice area that restricted the view of parents of the dojo.
In cross-examination the Crown put to him that he told the police that there
was a curtain. When confronted by this discrepancy, [the appellant] replied
regarding his statement to the police that, I was nervous. My brain shut
down.
[11]
In fact, there was no such exchange. The
appellant testified that there was no curtain in the studio, which was inconsistent
with M.B.s evidence, but consistent with that of her father. While the
appellant provided a statement to the police at the time of his arrest, there
was no evidence that he spoke about a curtain. The appellant was not confronted
with any apparent inconsistency on this point. He did state that he was nervous
and that his brain shut down while speaking to police, but this was not in relation
to comments made about a curtain.
[12]
The second misapprehension of the appellants
evidence was in the trial judges statement that the appellant testified in-chief
that he did not keep track of which students did not attend his classes, but
stated in cross-examination that he did. Again, the trial judge was pointing
to an inconsistency in the appellants evidence that did not exist. The appellant
did not testify that he did not keep track of the students attendance: his
evidence in chief was that the number of students in his classes fluctuated,
and in cross-examination he testified that he knew how many students were there
because he had papers for them.
[13]
The third alleged misapprehension of the
appellants evidence was with respect to the appellants failure to inform the
police about his disagreements with the complainants father. The trial judge
stated that the appellant conceded that he never told the police about the
problem he testified that he had with M.B.s father concerning the fathers
distribution of religious flyers at the gym, and replied that the police never
asked him about that. The trial judge identified this as a significant
omission given the appellants testimony that he had this problem with M.B.s
father for a long time. However, the appellant gave a number of reasons why he
had not told the police about the problem he had with the flyers, including that
his English was not good. In his re-examination, he was asked whether the
police had asked him about his relationship with the father, and he responded
no.
[14]
We agree that, in each of these instances, the
trial judges misstatements of the appellants testimony reveal a
misapprehension of the evidence. However, a
mere
misstatement or inaccuracy in a trial judge's treatment of the evidence does
not constitute a reversible error. The test for concluding that a misapprehension
of evidence has resulted in a miscarriage of justice, such as to warrant
setting aside a conviction, is stringent.
The court will
interfere only where the misapprehension is of
substance
rather than
detail, is
materia
l rather than peripheral to the trial judges
reasoning, and the error plays an
essential part in the reasoning process
,
not just of the narrative:
R. v. Cloutier
, 2011
ONCA 484, 272 C.C.C. (3d) 291, at para. 60.
[15]
Where the alleged misapprehension is respecting
evidence used to assess credibility, the decision whether a miscarriage of
justice has occurred turns on the extent to which the misapprehended evidence
played a role in the trial judges credibility assessment:
R. v. Alboukhari
, 2013 ONCA 581, 310
O.A.C. 305, at paras. 36-37. If the trial judge mischaracterized parts of the
accuseds evidence that were central to the assessment of credibility, there is
more likely to be a miscarriage of justice:
Alboukhari
, at para. 38, citing
R. v. C.L.Y.
, 2008 SCC 2, [2008] 1 S.C.R. 5, and
Whitehouse
v. Reimer
(1980), 34 A.R. 414 (C.A.).
[16]
The appellant submits that the trial judges
misapprehensions of his evidence were substantial and material, in that they
played a central role in his credibility assessment. The Crown contends that,
while there were two errors, they were in respect of only secondary aspects of
the trial judges credibility assessment, and that the trial judges rejection
of the appellants evidence and his conclusion that it did not raise a
reasonable doubt are firmly supported by other aspects of the trial judges
analysis.
[17]
In our view, the trial judges misapprehensions of
the appellants evidence, and in particular the first two, which are conceded
by the Crown, were substantial errors that played a central role in the trial
judges assessment of the appellants credibility, and as such in his reasoning
process in finding the appellant guilty. Since this was a case that turned on
credibility, the misapprehensions resulted in a miscarriage of justice.
[18]
In coming to this conclusion, we have considered
and rejected the Crowns submission that the misapprehensions of the
appellants evidence were minor, and therefore not substantial. We also disagree
with the Crowns submission that the trial judges misapprehensions of the
appellants evidence did not form part of his reasoning about the appellants
credibility, that they were, according to the Crown, on a secondary list, and
that the trial judges finding that the defence evidence was incredible was
driven instead by his wholesale rejection of the appellants evidence about the
actions of M.B.s father (as being a possible motive for the allegations).
[19]
The misapprehensions of the appellants evidence
did not involve peripheral or inconsequential matters, and they were central to
the trial judges credibility analysis. The trial judges credibility
assessment did not, as the Crown suggests, turn on the trial judges rejection
of the appellants evidence about the actions of M.B.s father. While the trial
judge used the word incredible to describe the appellants evidence about the
actions of M.B.s father, this was not, as the Crown argues, the trial judges rejection
of the core defence narrative. Rather, the trial judge rejected a specific
aspect of the appellants evidence, that related to a possible motive for the
complainant to have lied.
[20]
Indeed, after addressing this point, the trial
judge immediately stated that there were other aspects of the appellants
testimony that made him seriously question his credibility. After listing four
such aspects, including the three misapprehensions identified above, the trial
judge stated:
Viewed in isolation, these concerns may not be
regarded as significant. Cumulatively, however, they have led me to disbelieve
[the appellants] testimony and to conclude that his testimony is incapable of
raising a reasonable doubt in the Crowns case.
[21]
Accordingly, the trial judges reasons make it
clear that his assessment of the appellants credibility depended on all of the
circumstances he identified, including the evidence he misapprehended, which
suggested that the appellant had been impeached. This led the trial judge, in
his
W.(D.)
analysis, to both reject the appellants evidence and to
conclude that it was incapable of raising a reasonable doubt. For these
reasons, we are satisfied that this ground of appeal has merit.
[22]
While this is sufficient to allow the appeal, we
briefly address the remaining grounds of appeal.
[23]
The appellants second ground of appeal, that
the trial judge failed to address the credibility and reliability of the
evidence of M.B.s father, has two parts. The first is that the trial judge
failed to apply a
W.(D.)
analysis to an exculpatory utterance elicited
as part of the Crowns case: the evidence of M.B.s father that, when he
confronted the appellant with M.B.s allegation, the appellant responded that
nothing happened.
[24]
We see no error here. Because the general denial
by the appellant lacked probative value, the trial judge was not required to
link this evidence to his
W.(D.)
analysis: see
R. v. P.S.
,
2019 ONCA 637, at paras. 47 and 53. The minimal relevance of this exchange is underscored
by defence counsels failure to mention it in closing submissions: see
R.
v. Frater
, 2020 ONCA 624, at para. 22.
[25]
The second argument on the second ground of
appeal is that the trial judge erred in not assessing the evidence of M.B.s
father, when there were contradictions between the evidence of the complainant
and her father, and the fathers evidence was consistent in certain respects
with that of the appellant. The trial judge failed to consider, as he was
invited by the appellants trial counsel to do, whether the evidence of M.B.s
father, together with the appellants evidence, raised a reasonable doubt.
[26]
The Crown contends that the trial judges treatment
of the evidence of M.B.s father was sufficient and responsive to the issues in
the trial. The trial judge reviewed the evidence of M.B.s father in his
reasons and adverted to it in his analysis of M.B.s credibility. There was no
obligation for the trial judge to resolve every discrepancy in the evidence.
[27]
The appellant points to aspects of the evidence
of M.B.s father that contradicted M.B.s evidence and were consistent with his
own: whether there was a curtain between the practice and waiting areas (M.B.
said there was, while her father and the appellant said that there was not);
whether the appellant had left M.B. with other parents when her father was late
to pick her up (M.B. denied this had happened, while her father and the
appellant agreed that it had happened occasionally); whether M.B.s sister had
been in the practice area (M.B. said she was never there, while her father and
the appellant said she had been there and ran around); and whether M.B.s
father sometimes stayed to watch the lessons (M.B. said no, while her father
and the appellant were consistent that this sometimes happened).
[28]
These aspects of the evidence of M.B.s father
might or might not have played a role in the credibility assessments of both
the appellant and the complainant. In our view, however, it was an error for the
trial judge to have failed to conduct such an assessment. Before rejecting the
appellants evidence and concluding that it was incapable of raising a
reasonable doubt, the trial judge ought to have referred to and assessed the
credibility of the evidence of M.B.s father. While a trial judge is not
required to deal with every piece of evidence in a trial, where, as here, there
are aspects of the evidence of a witness that contradict the complainants
evidence and support the evidence of the accused, the trial judge should
demonstrate that he has taken such evidence into account in his
W.(D.)
analysis: see
R. v. Smith
, 2020 ONCA 782, 69 C.R. (7th) 126, at paras.
12 and 26-28;
R. v. C.G.
, 2021 ONCA 809, 407 C.C.C. (3d) 552, at
paras. 57-61; and
R. v. Clouthier
, 2012 ONCA 636, at paras. 12-16.
[29]
As for the third ground of appeal, the appellant
contends that the trial judge, in convicting him, improperly relied on what he
found to be a proven absence of motive for M.B. to have lied. The appellant
points to two passages in the trial judges reasons: first, where the trial
judge stated, there is an absence of motive for M.B. to have lied about the
allegations, and later when he said, I cannot identify any evidence that M.B.
had a motive to lie. At best, there was an absence of a proven motive, which
could have been a factor in assessing her credibility, so long as it did not
drive the analysis:
R. v. Ignacio
, 2021 ONCA 69, 400 C.C.C. (3d) 343, at
para. 59, leave to appeal refused, [2021] S.C.C.A. No. 127.
[30]
However, a fair reading of the trial judges
reasons suggests that he rejected the motive alleged by the defence, and he
considered the apparent absence of M.B.s motive to lie as a factor in
assessing her credibility. This is apparent from his citation of
R. v. L.L.
, 2009 ONCA 413, 96 O.R. (3d) 412,
immediately following the first impugned passage, and the acknowledgment later
in his reasons that the complainant could have had some hidden motivation. As
in
Ignacio
, at para. 35, the trial judge was required to consider
motive to fabricate due to the defence allegation that the complainant had a
motive to fabricate. In its closing submissions, Crown counsel argued that,
although it had not proven an absence of motive beyond a reasonable doubt, the
absence of evidence of motive was a factor to be considered in the overall
assessment of the evidence. After looking at the evidence, and rejecting the
appellants account of his confrontation with M.B.s father over her sister
eating candy in the dojo, the trial judge was entitled to conclude that there
was no evidence of a motive to fabricate, and then to consider this as one
factor in his assessment of the complainants credibility. Contrary to the
appellants submission, the trial judge did not mistake a lack of evidence of a
motive for a proven absence of motive to lie.
[31]
For these reasons we allow the appeal, set aside
the appellants convictions, and direct a new trial on all of the charges.
K.
van Rensburg J.A.
I.V.B.
Nordheimer J.A.
J.
George J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Crown Capital Private Credit Fund v. Mill Street & Co.
Inc., 2022 ONCA 194
DATE: 20220308
DOCKET: C69450
Feldman, Tulloch and Miller JJ.A.
BETWEEN
Crown Capital Private Credit Fund, LP, by its general partner, Crown
Capital Private Credit Management Inc.
Applicant
and
Mill Street & Co. Inc.
Respondent
Micheal Simaan, for the appellants,
997322 Ontario Inc., Monica Murad and Aaron Murad
Shayne Kukulowicz, Ted Frankel and
Monique Sassi for the respondent, A. Farber & Partners Inc.
Heard: February 28, 2022 by video conference,
with further submissions filed in writing
On
appeal from the order of Justice Markus Koehnen of the Superior Court of Justice,
dated May 5, 2021.
REASONS FOR DECISION
[1]
The appellants are Monica Murad and Aaron Murad,
two members of the Murad family, who together with the corporations they
control, both individually and together, were referred to by the Receiver
throughout the receivership of Mill Street & Co. Inc. as the Murad Parties.
Mill Street and its subsidiaries are owned by members of the Murad family.
[2]
The motion judge found that the Murad Parties raised
ongoing obstacles to the operation of the receivership and obstructed the Receiver,
including by asserting a fraudulent licensing agreement purporting to license
certain software by one Murad entity to another. They produced a forged
document to make this claim.
[3]
In order to facilitate the sale of the debtor
companys interest in another Murad corporation, the motion judge made a
non-competition order against all of the Murad Parties, including the
appellants. Counsel at the hearing objected on behalf of the appellants because
they were not specifically implicated in the obstruction or the fraudulent
licensing agreement.
[4]
The motion judge determined that it was
nevertheless appropriate to include the appellants in the order because the
Murad companies are operated as family businesses with all members of the
family involved. The Receiver referred to the Murads or the Murad Parties
throughout its reports.
[5]
Section 193 of the
Bankruptcy and Insolvency
Act
, R.S.C. 1985, c. B-3 sets out the jurisdiction for an appeal of an
order made in a bankruptcy proceeding. The appellants submit that this court
has jurisdiction under s. 193(a) or, in the alternative, that leave to appeal
should be granted under s. 193(e).
[6]
Section 193(a) grants jurisdiction where the
point at issue involves future rights. Caselaw has established that present
rights altered by the order are not future rights:
Ravelston Corp. (Re)
(2005), 24 C.B.R. (5th) 256
(Ont. C.A.),
at para. 18. The
right to compete is a present right. Therefore, there is no right of appeal
under s. 193(a).
[7]
The three-part test for granting leave to appeal
under s. 193(e) was recently restated in
James Henry Ting (Re)
, 2021 ONCA
622, at para. 5: there must be an issue of general importance, that is
prima
facie
meritorious, and the appeal would not unduly hinder the progress of
the insolvency proceeding.
[8]
The appellants assert that the issue of making a
non-competition order against a non-party is one of general importance.
[9]
However, that issue does not arise in this case
because the appellants are Murad Parties in this receivership, so found by
the motion judge, and have been treated as parties throughout the proceeding.
[10]
The appeal is therefore quashed, with costs payable to the
respondent. If the parties are unable to agree on costs, the respondent may
file a written submission of no more than two pages in length plus a bill of
costs within four days of the date of the release of these reasons. The
appellants may file a responding written submission of no more than two pages
in length within seven days of the same date.
K. Feldman J.A.
M. Tulloch J.A.
B.W. Miller J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
1250140 Ontario Inc. v. Bader, 2022 ONCA 197
DATE: 20220309
DOCKET: C69480
Trotter, Coroza and Favreau JJ.A.
BETWEEN
1250140 Ontario Inc.
Plaintiff (Respondent)
and
Parveneh Bader, also known as Pamela
Bader
Defendant (Appellant)
Heath P.L. Whiteley, for the appellant
Alexander Hora, for the respondent
Heard: February 18, 2022 by
videoconference
On appeal from
the order of Justice Frederick L. Myers of the Superior Court of Justice, dated
April 15, 2021.
REASONS FOR DECISION
[1]
The appellant, Pamela Bader, appeals an order
finding her liable to pay 1250140 Ontario Inc. (125) $243,992.11 in respect
of a mortgage debt assumed in 2008.
[2]
The motion judge found that the action was not
barred by the 10-year limitation period in s. 23(1) of the
Real Property
Limitations Act
, R.S.O. 1990, c. L.15 (the
RPLA
) because Ms.
Bader acknowledged the debt within this time frame. Finding that there was no
genuine issue for trial, the motion judge granted summary judgment in favour of
125.
[3]
Ms. Bader challenges the motion judges
conclusions on the applicability of the
RPLA
, and whether she
acknowledged the debt. We do not accept her submissions and dismiss the appeal.
Background
[4]
In 2008, 125 advanced a loan to Ms. Bader. She
granted a seventh-ranking mortgage on her home as security. She defaulted on
the loan that same year.
[5]
In 2010, a higher-ranking mortgagee commenced
foreclosure proceedings. In that proceeding, on November 15, 2010, Ms. Bader
swore an affidavit in which she said a charge dated March 25, 2008 in the
amount of $190,000 in favour of [125] was registered on her property. She
later indicated her understanding that $243,992.11 was owing to 125 in respect
of the Seventh Mortgage. Ms. Bader concluded her affidavit by stating:
Ultimately, I want [the property] sold at a fair price which enables payment
of all
bona fide
debts owing on the Property and returns my equity and
life savings in the Property to me.
[6]
On November 15, 2010, 125 commenced a separate
action against Ms. Bader on the covenant in the mortgage to recover the amount
owing. However, that action was administratively dismissed for delay on July
15, 2011.
[7]
On March 29, 2011, the Superior Court approved
the sale of the property in the foreclosure action. There were insufficient
funds to satisfy Ms. Baders indebtedness to 125.
[8]
On December 2, 2019, 125 commenced another
action, again seeking to recover the amount owning under the loan. It also sought
to set aside the dismissal of its previous action. That motion was
unsuccessful.
[9]
125 moved for summary judgment on its 2019
action. The question before the motion judge was whether the claim was statute
barred, given that Ms. Baders debt to 125 was incurred in 2008 (more than 10
years earlier).
[10]
The motion judge observed that neither party
disputed that s. 23(1) of the
RPLA
applied. The section provides that
a claim falling within the ambit of the
RPLA
expires after 10 years:
23(1)
No
action shall be brought to recover out of any land or rent any sum of money
secured by any mortgage or lien, or otherwise charged upon or payable out of
the land or rent, or to recover any legacy, whether it is or is not charged
upon land, but within ten years next after a present right to receive it
accrued to some person capable of giving a discharge for, or release of it,
unless
in the meantime some part of the principal money or some interest thereon has
been paid, or some acknowledgment in writing of the right thereto signed by the
person by whom it is payable
, or the persons agent, has been given to the
person entitled thereto or that persons agent, and in such case no action
shall be brought but within ten years after the payment or acknowledgment, or
the last of the payments or acknowledgments if more than one, was made or
given. [Emphasis added.]
[11]
The motion judge found that Ms. Bader
acknowledged the debt in her affidavit in the foreclosure proceedings, thereby
extending the limitation under s. 23 of the
RPLA
. As he said in his
reasons, [t]his is not just any old acknowledgment in writing. It is sworn
testimony before the court in a proceeding in which both the defendant and the
plaintiff were named parties.
Discussion
[12]
The appellant submits that s. 23 of the
RPLA
did not apply in the circumstances of this case because, by the time 125
commenced its 2019 action, the property had been sold. The appellant submits
that s. 23 applies only to actions for
in rem
remedies. In this case,
because the property had already been sold, it was a proceeding for an
in
personam
remedy. As such, the
Limitations Act
, 2002
, S.O.
2002, c. 24, Sched. B applied and the action was time barred. We do not accept
this submission.
[13]
First, this submission was not made before the
motion judge. Ms. Bader did not raise this issue in her Statement of Defence.
Instead, she simply took the position that the 10-year limitation had expired.
As discussed below, she disputed that she had acknowledged the debt in the
interim. Moreover, Ms. Baders Notice of Appeal failed to raise this issue. It
was first raised by new counsel (Mr. Whiteley) when he filed a Supplementary
Notice of Appeal.
[14]
Raising a new issue for the first time on appeal undermines the
important interest of finality in judicial proceedings. It leads to
inefficiencies in the adjudicative process. It places this court in the role of
a first instance decision-maker, rather than a reviewing court. No explanation
was provided for this change in position on appeal. In these circumstances, an
appellate court should be reluctant to entertain the new submission: see
Albert
Bloom Limited v. London Transit Commission
, 2021 ONCA 74, at para. 46.
[15]
Nonetheless, we do not accept that s. 23 of the
RPLA
only
applies when the mortgagor is still in the possession of the property or when
the proceeds of the realization of the property have yet to be distributed. Section
23 makes no such distinction. No cases directly support Ms. Baders position.
[16]
Put simply, s. 23 of the
RPLA
governs actions about claims
to real property: see
Equitable Trust v. Marsig
, 2012 ONCA 235, 109
O.R. (3d) 561, at para. 27. When Ms. Bader assumed her debt to 125, it was
secured by a mortgage on the property. This was not a situation where the land
was incidental to an action based in negligence, breach of contract, breach of
fiduciary duty, or some other basis of liability:
Zabanah v. Capital Direct
Lending Corp.
, 2014 ONCA 872, 123 O.R. (3d) 350. Rather, the claim for
debt was based on a covenant in the mortgage, and the land, as security for the
debt, was critical to that claim.
[17]
Ms. Bader has provided no support for the contention that a mortgagee
becomes disentitled to the longer limitation period in the
RPLA
when
the property in question has been disposed of in the meantime. While the land may
be out of reach for enforcement purposes, there is no principled reason why a
mortgagee should be prevented from pursuing an action for any money still owing,
as long as the claim is commenced within the limitation period set out in the
RPLA
.
The prospect of a shifting limitation period, tied to the disposition of the
property in issue, would only foster uncertainty in the application of the
RPLA
.
[18]
This ground is dismissed.
[19]
We also dismiss Ms. Baders challenge to the motion judges finding
that she had acknowledged the mortgage debt in her 2010 affidavit. It was open
to the motion judge to conclude that Ms. Bader acknowledged the debt. There is
no requirement that such an acknowledgment must reflect an awareness of the
precise amount owing, nor must it be accompanied by a promise to pay.
Disposition
[20]
The appeal is dismissed. The respondent is entitled to costs in the
amount of $10,000, inclusive of taxes and disbursements.
Gary Trotter J.A.
S. Coroza J.A.
L. Favreau J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Iqbal v. Mansoor, 2022 ONCA 198
DATE: 20220308
DOCKET: M53119 (C65591)
Fairburn A.C.J.O., Trotter and
Thorburn JJ.A.
BETWEEN
Musharraf Iqbal
Applicant
(Appellant/Moving Party)
and
Sohail Khawaja Mansoor and Gold
International Inc.
Respondents
(Respondents/Responding Parties)
Musharraf Iqbal, acting in person
No one appearing for the responding
parties
Heard: March 4, 2022 by video
conference
REASONS FOR DECISION
[1]
The applicant brought a motion for an order
extending the time to pursue a motion to set aside the order of Coroza J.A.,
dated August 13, 2020. Coroza J.A. had refused a request for an extension of
time to bring a motion for leave to appeal two costs orders. On December 22,
2021, Tulloch J.A. dismissed the motion for an extension of time. The applicant
now seeks a review of Tullochs J.A.s order and asks that it be set aside.
[2]
The decision on an application to extend time is
a discretionary one and owed deference:
Machado v. Ontario Hockey
Association
, 2019 ONCA 210,
at para. 9. Therefore, a panel review of that decision is not a
de novo
hearing, but one that focusses upon whether the motion judges decision
reflects legal error or a misapprehension of material evidence. The applicant
seeks to set aside Tulloch J.A.s decision on both these bases.
[3]
First, the applicant says that the impugned
decision contains an error in principle in relation to the finding of
prejudice. We do not agree. Read as a whole, the reasons do not suggest that
prejudice was found solely on the basis that the respondents would incur legal
expense were the matter allowed to proceed. In our view, the impugned reasons make
clear that the prejudice is much wider in nature, including that, given the very
lengthy delay at this point, it would be difficult for the respondents to
meaningfully respond. This was a discretionary conclusion available to Tulloch
J.A.
[4]
Second, the applicant suggests that Tulloch J.A.
misapprehended the material evidence in relation to the merits of the appeal.
The applicant says that Tulloch J.A. did not appreciate a piece of evidence
establishing that the arbitrator refused to intervene because the arbitrator believed
that he did not have jurisdiction to determine the issue of costs.
[5]
We see no error in Tulloch J.A.s understanding
of the record. As is clear from that record, the arbitrator made an award of
costs based on the information that was placed before him at the time. The
arbitrator simply noted that, after he issued his order based on the
information available to him at that time and the requests made by the
applicant for costs, it was no longer open to the arbitrator to consider
another costs request. Accordingly, Tulloch J.A. did not misapprehend the
evidence when he arrived at the conclusion that the applicant had only claimed
for damages, without factoring in the entire costs of the proceedings.
[6]
As Tulloch J.A. did not make a legal error or
misapprehend the evidence, the application to review the decision arising from
this single judge motion is dismissed. The dismissal of the application arising
from the Tulloch J.A. decision is necessarily dispositive of the attempt to
have the decision of Coroza J.A. reviewed.
Fairburn A.C.J.O.
G.T. Trotter J.A.
J.A. Thorburn J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Donovan v. Waterloo (Police
Services Board), 2022 ONCA 199
DATE: 20220310
DOCKET: C69467
Strathy C.J.O., Roberts and
Sossin JJ.A.
BETWEEN
Kelly
Lynn Donovan
Plaintiff/Responding Party (Appellant)
and
Waterloo Regional Police
Services Board and Bryan Larkin
Defendants/Moving Parties (Respondents)
Kelly Lynn Donovan, acting in person
Donald B. Jarvis and Clifton Yiu, for
the respondents
Heard: February 14, 2022 by video conference
On appeal from the order of Justice Thomas
A. Bielby of the Superior Court of Justice, dated April 19, 2021, with reasons
reported at 2021 ONSC 2885, and from the costs order, dated May 28, 2021.
REASONS FOR DECISION
[1]
This is an appeal from the motion judges order
pursuant to r. 21.01(3)(a) of the
Rules of Civil Procedure
, R.R.O.
1990, Reg. 194, dismissing this action for lack of jurisdiction.
Background to
the Appellants Resignation and this Action
[2]
The appellant is a former police officer,
employed by the respondent Waterloo Regional Police Services Board (the
Board). Her employment was subject to the terms of a collective agreement.
The respondent Bryan Larkin (Larkin) was the Chief of Police.
[3]
The following is a brief summary of the events
giving rise to these proceedings.
[4]
In May 2016, the Board gave the appellant notice
of an investigation under the
Police Services Act
, R.S.O. 1990, c.
P.15 (the
PSA
) related to her alleged disclosure of confidential
information to the Board. On June 2, 2016, the appellant filed an application
with the Human Rights Tribunal of Ontario (the HRTO), alleging that that
Board had discriminated against her on the basis of sex and marital status.
[5]
In February 2017, the appellant took medical
leave for post-traumatic stress disorder as a result of observing an accidental
shooting while studying to become a police constable at the Ontario Police
College in February 2011.
[6]
On June 8, 2017, the appellant entered into an
agreement (the Resignation Agreement) with the Board. The appellants
bargaining agent, the Waterloo Regional Police Association, was a party to the
Resignation Agreement. That agreement expressly recognized that the appellant
and the Board had an employee-employer relationship and that the appellant had
notified the Board that she would be resigning her employment effective June
25, 2017.
[7]
The Resignation Agreement recited the parties
desire to fully resolve and settle the outstanding matters between them,
namely the appellants HRTO application and the Boards investigation into the
appellant and the potential charges she faced under the
PSA
. It stated
that the parties agreed upon full and final settlement of all matters related
to [the appellants] employment with or cessation of employment with the Board,
and all other outstanding matters between them. It was a term of the
Resignation Agreement that the terms and existence of the agreement would be
kept confidential except as required by law, disclosure to immediate family, or
disclosure to professional persons providing advice. The parties also agreed to
exchange releases and the appellant signed a full and final release that was
appended to the Resignation Agreement.
[8]
Although the Resignation Agreement is redacted,
it is apparent that the appellant was paid some compensation in respect of her
legal expenses incurred in connection with the HRTO proceedings and the potential
PSA
charges. She was also paid a lump sum payment, net of applicable
deductions and remittances required by law, presumably as compensation for the
termination of her employment.
[9]
In May 2018, the appellant commenced this
action, alleging a breach of the Resignation Agreement, seeking monetary
damages and reinstatement to employment. She pleaded that Larkin had breached
the Resignation Agreement because he had sworn an affidavit in defence of a
class action against the Board, in which he allegedly disclosed information
capable of identifying her as having resigned from the police force. The
affidavit was allegedly posted on a website maintained by plaintiffs counsel
in the class action.
[10]
In June 2018, the Board filed an application for
contravention of settlement with the HRTO, alleging that the appellant had
repeatedly contravened the terms of the Resignation Agreement by stating that
she had been constructively dismissed by the Board. The appellant filed a
response and her own application for contravention of settlement in July 2018,
alleging that Larkin breached the Resignation Agreement by swearing the
affidavit in the class action.
[11]
On February 1, 2019, Favreau J., as she then
was, dismissed a motion brought by the appellant to dismiss the Boards
application to the HRTO, finding that the Superior Court had no jurisdiction to
do so:
Donovan v. (Waterloo) Police Services Board
, 2019 ONSC 818, 49
C.P.C. (8th) 141. At para. 56 of her reasons, Favreau J. observed that it would
be open to the appellant to raise before the HRTO the issue of jurisdiction over
the enforcement of the Resignation Agreement and to respond to the Boards
position concerning the effect of that agreement:
during the hearing of this motion, I sought
assurances from the Board that it would not impede Ms. Donovans ability to
make substantive arguments before the Human Rights Tribunal despite the fact
that she may have missed some deadlines. In response, the Boards counsel gave
an undertaking in court not to take the position before the Tribunal that Ms.
Donovan is out of time to raise substantive arguments in response to the
application. Therefore, subject to the Tribunals ability to control its own
process, at the Tribunal hearing Ms. Donovan should be allowed to raise issues
she may wish to address about the Tribunals jurisdiction over enforcement of
the Resignation Agreement and to fully respond to the Boards position that the
Resignation Agreement precludes her from speaking publicly about the matters
the Board claims are captured by the confidentiality provision of the agreement.
The Motions in the Superior Court of Justice
[12]
The respondents originally brought a motion to
strike this action on three grounds: (i) r. 21.01(1)(b) (no reasonable cause of
action); (ii) r. 21.01(3)(a) (no jurisdiction over the subject matter); and
(iii) r. 21.01(3)(d) (frivolous or vexatious or an abuse of process). Doi J.
(the original motion judge) dismissed the action under r. 21.01(1)(b),
without leave to amend. While the other two grounds were fully argued before
the original motion judge, he did not rule on them.
[13]
On October 25, 2019, this court allowed the
appellants appeal from the order of the original motion judge, set aside the
order dismissing the action and granted the appellant leave to amend her
statement of claim as against Larkin:
Donovan v. Waterloo Regional Police
Services Board
, 2019 ONCA 845. No issues had been raised before this court
with respect to the grounds that were not addressed by the original motion
judge and this court did not address those grounds.
[14]
The statement of claim has gone through four
iterations, the current being a Fresh as Amended Statement of Claim, discussed
below. Pursuant to this courts order, the appellant filed an Amended Amended
Statement of Claim on January 29, 2020.
[15]
Shortly thereafter, counsel for the respondents
sought directions from the original motion judge concerning the two issues that
had not been addressed by his order. He determined that a fresh motion should
be brought before another judge, pursuant to r. 59.06(1) of the
Rules of
Civil Procedure
(sometimes referred to as the slip rule).
[16]
The appellant subsequently filed a Fresh as Amended
Statement of Claim on November 23, 2020. The motion to dismiss the action for
want of jurisdiction was heard by a different judge (the second motion judge)
on February 23 and March 1, 2021. In reasons released April 19, 2021, the
second motion judge dismissed the action on the ground that the essential
character of the dispute involved the appellants employment, which had been covered
by a collective agreement and was subject to the dispute resolution and
arbitration provisions of that agreement: referring to
Weber v. Ontario
Hydro
, [1995] 2 S.C.R. 929; and
Desgrosseillers v. North Bay General
Hospital
, 2010 ONSC 142.
This Appeal
[17]
The matter now comes to us on appeal.
[18]
The issue of jurisdiction calls for us to
consider the pleading in the Fresh as Amended Statement of Claim. In her claim
for relief, the appellant claims against both respondents, jointly and
severally, for breach of contract, misfeasance in public office and negligence.
She also claims separately against Larkin for damages for misfeasance in public
office.
[19]
The appellant pleads that:
·
she entered into a Resignation Agreement on June
8, 2017, which contained a non-disclosure and confidentiality clause, requiring
the parties to keep the existence and terms of the agreement confidential;
·
Larkin took retaliatory action against her as a
result of her complaints to the respondent Board concerning his conduct;
·
Larkin swore an affidavit in defence of a class
action lawsuit against the respondents that claimed damages for systemic and
institutional gender-based discrimination and harassment;
·
attached to Larkins affidavit was a chart
listing HRTO complaints commenced by female employees of the Board within the
preceding five years, including their status or resolution;
·
the affidavit was published on the public
website of the law firm advancing the class action lawsuit;
·
although the affidavit did not identify the
claimants, the chart contained sufficient information to enable the appellant
to be identified as someone who had filed a human rights complaint and had
voluntarily resigned from the Board;
·
by swearing and delivering the affidavit, Larkin
used her, to attempt to stop the efforts of the [appellants] female
colleagues in their fight for justice;
·
the class action was dismissed as a result of a
motion that relied on Larkins affidavit;
·
Larkin was aware of the terms of the Resignation
Agreement, including that it was confidential;
·
by swearing the affidavit, Larkin deliberately
involved her in the class action lawsuit and violated the terms of the
Resignation Agreement, knowing that it would impede her recovery from
post-traumatic stress disorder;
·
in January 2018, the Board appealed a WSIB claim
she had made. Although she does not explicitly plead it, she is presumably
asserting that the Board breached the Resignation Agreement by engaging in
further legal proceedings against her; and
·
she claims the relief as set out in paragraph 1
of the Statement of Claim for two distinct and separate breaches of the
resignation agreement by the defendant Board and the individual defendant.
[20]
The appellant raises five grounds of appeal,
which we address in order.
(1)
Improper Procedure
[21]
The appellant submits that the motion was not
properly before the second motion judge because it could have been addressed by
way of a r. 59.06 motion brought before the original motion judge and prior to
the appeal, by filing a cross-appeal to this court, or filing a r. 59.06 motion
to this court.
[22]
We do not accept this submission.
[23]
As the issue of jurisdiction was not addressed
by the original motion judge or by either party on the previous appeal to this
court, there is no impediment to raising it on this appeal.
[24]
The matter was properly before the second motion
judge, although not pursuant to the slip rule. Rather, a remedy was available
under r. 59.06(1) of the
Rules of Civil Procedure
, to ... obtain
other relief than that originally awarded. Alternatively, it was open to the respondents
to bring a free-standing motion to raise the issue of the courts jurisdiction,
given the delivery of the Fresh as Amended Statement of Claim.
(2)
Jurisdiction
[25]
The appellant submits the Superior Court of
Justice has jurisdiction over her claims and that jurisdiction has not been
removed by arbitral agreement. She relies on
Skof v. Bordeleau
, 2020
ONCA 729, 456 D.L.R. (4th) 236, leave to appeal refused, [2021] S.C.C.A. No. 17.
She argues that there is nothing in the applicable collective agreement to oust
the courts jurisdiction and that as a former member of the police force and no
longer a member of the bargaining unit, she has no standing before the Ontario
Police Arbitration Commission. She submits that, as in
Skof
, she is
seeking a remedy for misfeasance in public office, which does not fall within
the jurisdiction of an arbitrator. She submits that the principles in
Weber
and
St. Anne Nackawic Pulp & Paper v. CPU
, [1986] 1 S.C.R.
704, have no application.
[26]
Skof
is plainly
distinguishable because this court found, at para. 17, the dispute related to
disciplinary proceedings in a regulatory context and did not fall within the
collective agreement. This basis alone justified the second motion judge in
distinguishing
Skof
.
[27]
The second motion judge did precisely what the
authorities require. He searched for the essential character of the dispute
and found, at para. 80, that the Resignation Agreement was executed in the
ambit of the collective agreement and took its essential character from the collective
agreement. It was the product of a negotiated agreement of all outstanding employment
matters between the parties. We see no error in this characterization.
[28]
However, the motion judge did not grapple with
the question of whether the appellant will be permitted, under the collective agreement
or the Resignation Agreement, to invoke the grievance procedure now that she is
no longer employed by the respondent. This affects the outcome.
[29]
In
Skof
, explicit provisions of the
memorandum of agreement unequivocably provided that the collective agreement
did not apply to the appellant in that case, other than with respect to his
salary and benefits, while he was on a leave of absence as the president of the
Ottawa Police Association. As a result, there was no question that the
grievance procedure under the collective agreement was not available to him.
[30]
Here, there is no evidence that the appellant
will be permitted to invoke the grievance procedure now that she is no longer
an employee. The collective agreement is silent with respect to this issue. Moreover,
the Resignation Agreement provides in para. 1 that upon her resignation, she
ceases to be an employee of the Board for any and all purposes at law
whatsoever.
[31]
The record does not permit us to decide this
issue. An arbitrator is best placed to interpret the collective agreement and
the Resignation Agreement and determine whether the appellant is precluded from
invoking the grievance procedure to pursue her remedies.
(3)
Bad Faith
[32]
The appellant submits that in pursuing this
matter, the respondents are acting in bad faith by failing to raise the issue
of jurisdiction in a timely way and that they are using the court process for
an improper purpose. As we find the respondents were entitled to have the issue
of jurisdiction determined, this submission fails.
(4)
Apprehension of Bias
[33]
In her factum, the appellant makes an allegation
of reasonable apprehension of bias against the second motion judge.
[34]
The motion occupied two days, February 23 and
March 1, 2021. Due to the pandemic, the hearings were heard remotely. There was
a Zoom bombing during the first hearing, when unknown persons viewing the
hearing remotely displayed what has been described as sexually explicit and
racist imagery on the screens of all viewers.
[35]
The appellant states that following the hearing,
CBC news published an article that insinuated that she was to blame for the
disruption, because she had shared the public Zoom link with her followers, presumably
referring to her followers on social media. In her factum, she states that she
had distributed the Zoom link and the courts Zoom User Guide for Remote
Hearings to her followers and pointed out to them the section that explains
that court permission was required to share screens. She states that she
believed her followers would only be able to observe the proceeding.
[36]
Subsequently, prior to the March 1, 2021 hearing,
the Regional Senior Judge gave directions that the Zoom details of the March 1,
2021 hearing were not to be published or distributed without the prior written
order of the presiding judge or the Regional Senior Judge.
[37]
On the basis of the foregoing, the appellant
states that she believes that she was wrongfully blamed for the Zoom bombing
incident, and that this resulted in an apprehension of bias against her
because the second motion judge decided in favour of the respondents, which was
a marked departure from established legal principles.
[38]
The appellant did not pursue this issue in oral
submissions, possibly because she had reached the end of her time allocation. However,
she did not expressly withdraw the submission. Asserting that a judge has
departed from the law because of bias against a litigant is a very serious
allegation. Although the appellant is self-represented, her written materials
and oral submissions demonstrated a high level of sophistication. She clearly
appreciates the meaning and consequences of her words. In this case, there was
no evidentiary basis for the allegation, and it can be described as spurious.
Her submission therefore fails.
(5)
Litigation Efficiency
[39]
The appellant submits that the second motion
judge erred in failing to convert the motion before him to a motion for
judgment as the best way to achieve the most just, most expeditious, and least
expensive result, in accordance with r. 37.13(2)(a) of the
Rules of Civil
Procedure
.
[40]
The short answer to this submission is that this
was not fully argued before the second motion judge, and it would not have been
appropriate for him to grant it in these circumstances, nor would it be
appropriate to grant on this appeal: see
McCracken v. Canadian National
Railway Company
, 2012 ONCA 445, 111 O.R. (3d) 745, at para. 141.
Conclusion
[41]
For these reasons, we agree with the respondents
submission that the appellants claims are subject to determination pursuant to
the procedures set out in the collective agreement and the
PSA
. To the
extent that the claim seeks relief that is not available under the collective
agreement or the
PSA
, it is subject to the jurisdiction of the HRTO,
in which both parties have asserted claims that are currently outstanding.
[42]
We therefore dismiss the appeal. In the
particular circumstances of this case, however, we vary the order of the
Superior Court by staying this action until such time as the appellants
remedies under the collective agreement and in the HRTO have been exhausted.
[43]
Only at that point will this court determine
whether it should exercise any residual discretion it may have to grant relief
that is not available under the statutory labour arbitration regime or in the
HRTO.
[44]
In her supplementary notice of appeal, the
appellant indicates that she also wishes to appeal from the costs award below. In
light of our disposition of the appeal and given that the appellant made no arguments
to support this position separately, we see no basis to overturn the costs
award below.
[45]
We did not hear submissions on costs of the
appeal. Costs may be addressed by written submissions. The respondents shall
have 15 days within which to deliver their submissions. The appellant shall
have 15 days after receipt of the respondents submissions to reply. The costs
submissions shall be limited to five pages in length, excluding costs outlines.
G.R.
Strathy C.J.O.
L.B. Roberts J.A.
L. Sossin J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Jeff Day Hospitality Inc. v. Heritage Conservation Holdings,
Canada, Inc., 2022 ONCA 201
DATE: 20220311
DOCKET: C69601
Simmons, Harvison
Young and Zarnett JJ.A.
BETWEEN
Jeff Day Hospitality Inc.
Applicant (Respondent)
and
Heritage Preservation Holdings,
Canada, Inc.
Respondent (Appellant)
Jonathan Chen and Aoife Quinn, for the
appellant
Charles Hammond, for the respondent
Heard: February 24, 2022 by
video conference
On appeal from the judgment of Justice
Robert F. Scott of the Superior Court of Justice, dated June 10, 2021.
REASONS FOR DECISION
[1]
The appellant appeals from a judgment that requires
it to perform its obligations under an Agreement of Purchase and Sale (APS)
dated January 20, 2020. In the APS, the appellant agreed to sell a hotel
property in Jones Falls, Ontario to the respondent for a purchase price of
$1,375,000. The judgment requires the appellant to close the sale in accordance
with the terms of the APS; it also authorizes the respondent to hold back
$500,000 from the purchase price pending determination of the cost of
rectifying certain deficiencies, which the application judge held were the
responsibility of the appellant.
[2]
The appellant raises three grounds of appeal: (i)
that the application judge erred in finding that the parties had actually concluded
an agreement on all terms in the APS (the contract formation issue); (ii) that
the application judge erred in failing to find the respondent was in breach of
the APS on the agreed closing date because the first mortgage it had arranged exceeded
a limit on such financing found in an implied term of the APS (the implied
term issue) ; and (iii) that the application judge erred in finding the repair
of certain deficiencies to be the appellants responsibility under the APS (the
deficiencies issue).
[3]
For the reasons that follow, we allow the appeal
as to an aspect of the deficiencies issue. Otherwise, we dismiss the appeal.
(i)
The Contract Formation Issue
[4]
Between January 8 and 20, 2020, the parties
exchanged written offers relating to the purchase of the appellants hotel.
[1]
[5]
The respondent first made an offer to purchase on
January 8, 2020, which the appellant rejected. On January 10, 2020, the
respondent made a revised offer; it made changes to its first offer and
initialled them. On January 16, 2020, the appellant made a counteroffer; it made
changes to the respondents revised offer and initialled those changes. On
January 20, 2020, the respondent made a further revised offer, making certain
changes to the terms proposed in the appellants January 16 counteroffer and
initialling those changes.
[6]
On January 20, 2020, the appellant initialled
the changes in the respondents further revised offer, except for the change to
one term relating to the septic system.
[7]
The appellant argues that because it did not
initial one of the respondents changes in the January 20, 2020 further revised
offer, it did not accept all of the terms of that offer. It submits that the
parties course of conduct indicates that changes were accepted by initialling.
Accordingly, it submits that the application judge erred in finding that a
binding agreement namely the APS had been reached on January 20, 2020 by
the acceptance of the respondents further revised offer.
[8]
We disagree, and did not call on the respondent to
address this issue in oral argument.
[9]
Although on January 20, 2020, the appellant did
not initial one of the changes in the respondents further revised offer, the
appellant did sign a Confirmation of Acceptance contained in it which stated:
Notwithstanding anything contained herein to the contrary, I confirm this
Agreement with all changes both typed and written was finally accepted by all
parties at 2:50 p.m. this 20th day of January, 2020.
[10]
The application judge concluded that the appellant
accepted the terms in the APS in their entirety. In our view, that finding was
open to him.
[11]
Acceptance is constituted by conduct of the
recipient that a reasonable person, in the position of the offeror, would
consider constituted an acceptance:
Owners, Strata Plan LMS 3905 v.
Crystal Square Parking Corp.
, 2020 SCC 29, 450 D.L.R. (4th) 105, at
para. 33.
[12]
The Confirmation of Acceptance unequivocally communicated
that all of the terms in the further revised offer presented on January 20,
2020 were accepted, thus forming the APS.
[13]
Moreover, both parties and their agents acted
on the basis that a binding APS had been reached on January 20, 2020. For
example, on June 16, 2020, the parties executed an amendment, which stated: Per
Agreement of Purchase and Sale mutually executed and accepted on January 20,
2020. The position that no agreement had been reached on January 20, 2020 was
not taken by the appellant until after there was a failure to close on February
3, 2021 and litigation had ensued.
[14]
We therefore reject this ground of appeal.
(ii)
The Implied Term Issue
[15]
The APS provided that the respondent would pay a
purchase price of $1,375,000. As part of the purchase price, the appellant
agreed to take back a second mortgage in the amount of $500,000. The APS
provided:
The Seller agrees to take back a 2nd
Charge/Mortgage in the amount of Five Hundred Thousand Dollars ($500,000.00),
bearing interest at the rate of 5.5% per annum, calculated semi-annually not in
advance, repayable interest only, and run for a term of 2 years from the date
of completion of this transaction.
[16]
The APS was silent on the amount of the first mortgage
that could originally be placed on the property by the respondent ahead of the
second mortgage to the appellant. It did contain terms about what would happen
if that first mortgage were later replaced during the term of the second
mortgage:
This Charge/Mortgage [i.e. the second mortgage
to be taken back by the appellant] shall contain a clause permitting the removal
or replacement of the existing first Charge/Mortgage at any time, provided that
any increase in the principal amount of the new first Charge/Mortgage over the
amount of principal owning under the first Charge/Mortgage at the time of
renewal or replacement shall be applied in reduction of the principal amount of
this Charge/Mortgage; and the Chargee/Mortgagee hereunder shall execute and
deliver to the Chargor/Mortgagor such postponement agreement, Charge/Mortgage
Statement, or other documents as the new first Chargee/Mortgagee may reasonably
require, forthwith upon request.
[17]
When the respondent tendered on February 3,
2021, it indicated that it proposed to place a first mortgage on the property of
$1,000,000. The appellant argues that this constituted a breach of an implied
term of the APS, the implied term being that the combined amount of the first and
second mortgages could not exceed the purchase price as that would leave the
second mortgage in part unsecured. In other words, there was an implied term
that the first mortgage could not exceed $875,000.
[18]
The application judge refused to find such an
implied term. As the Supreme Court affirmed in
M.J.B. Enterprises Ltd. v.
Defence Construction (1951) Ltd.
, [1999] 1 S.C.R. 619, at para. 27, courts
may imply terms in a contract:
(1) based on custom or usage; (2) as the legal
incidents of a particular class or kind of contract; or (3) based on the
presumed intention of the parties where the implied term must be necessary to
give business efficacy to a contract or as otherwise meeting the officious
bystander test as a term which the parties would say, if questioned, that they
had obviously assumed.
The application judge considered the
evidence led by each party as to whether there was a regular custom in mortgage
and sale transactions to support such an implication. He concluded that this
was not a case where the term could be implied based on custom or usage, nor to
give business efficacy to the APS, nor based on the officious bystander test.
Moreover, he noted that the APS contained an entire agreement clause limiting
the agreement to the terms expressed in it.
[19]
We see no basis to interfere with the
application judges conclusion. It was open to him to find on the evidence that
no custom or usage supporting the implication of such a term had been
established, and that no other basis for implying such a term existed.
[20]
The narrow circumstances under which terms may
be implied based on business efficacy or the officious bystander test are
concerned with the presumed intentions of the actual parties. They are not an invitation
for a court to revise an agreement to make it accord with what reasonable
parties might have done:
M.J.B. Enterprises
, at para. 29. Although
it may have been wise for the appellant to have sought such a term before
agreeing to the APS, it did not do so, despite having been professionally
advised. The APS does not lack business efficacy without such a term, nor is it
obvious that the respondent, if asked by the officious bystander, would have answered
that such a term was included. The parties express terms indicate a contrary
answer. The parties included specific provisions about the second mortgage and
its relationship to the first without including the limit the appellant says
should now be implied.
[21]
Nor do we see any error in the application judge
having referred to the entire agreement clause as a factor in deciding whether the
implied term contended for here accords with the presumed intentions of the
parties, who stated that their entire agreement was to be found in the express
terms of the APS:
Perkins v. Sheikhtavi
, 2019 ONCA 925, 16 R.P.R. (6th)
42, at para. 22.
[22]
We therefore reject this ground of appeal.
(iii)
The Deficiencies Issue
[23]
The application judge dealt with three main categories
of deficiencies and held that each was the responsibility of the appellant
under the APS.
[24]
The first category was a foundation wall below
the kitchen that was in a state of disrepair. The application judge found this
to be covered by para. 5(f) of the APS, which provided:
To the best of the knowledge, information and
belief of the Seller, all structural components of the Buildings and shoreline
elements (Seawall, docks, etc) including any renovations/ additions/ improvements,
are sound and in good and substantial repair, and meet all appropriate
technical and safety codes;
[25]
The appellant does not contest that the wall was
in a state of disrepair, and that this was known to the appellant. It argues
that para. 5(f) only applies to matters within its knowledge, information and
belief, and that this requires the appellant to have known, believed or been
informed not only of the disrepair, but also that the wall was structural. The
appellant submits that its principal gave evidence that it was not so aware,
and that the application judge thus erred in finding that para. 5(f)
applied.
[26]
We disagree.
[27]
The application judge described the wall as a foundation
wall. He concluded, after reviewing photographs that the collapsed wall is
structural. Implicit in the application judges approach is that whether the
wall was structural is an objective issue the knowledge/belief/information limit
in para. 5(f) pertains to the walls state of repair. That interpretation is free
of any extricable error, is reasonable, and is entitled to deference. The
application judge was entitled to find that the wall was structural, based on its
location and the photographic evidence. Given the appellants knowledge that the
wall was in a state of disrepair, the application judge was therefore entitled
to find that para. 5(f) of the APS made it the appellants responsibility.
[28]
The second category of deficiency related to the
dining room fire separation, the kitchen exhaust, and the fire suppression
system in the kitchen.
[29]
The application judge held that the appellant
was responsible for each of these items under para. 5(h) of the APS, which provides:
The Seller has not received written notice of
any work orders, deficiency notices or other similar notices from any
municipality, public authority, or board of fire insurance underwriters, or
from any tenant, or anyone else advising of any breach of any by-law, code
regulation or standard or suggestion that any repair is necessary to the
Properties or any part thereof (except as disclosed in writing to the Buyer
within the Sellers Deliveries package and anything else prior to the end of the
Buyers Inspection Period). The Seller agrees to remedy such items which
currently exist or which may arise on or before the Close Date at the Sellers
sole expense; The buyer acknowledges there is a work order on the ventilation
and fire suppression
[2]
system on the kitchen commercial stove issued by the Rideau Lakes Township.
[30]
More specifically, the application judge found
that para. 5(h) applied because it stated that the appellant was aware of a
work order that required each of these deficiencies to be corrected.
[31]
In our view, although the application judges
interpretation of the APS must be reviewed on a deferential standard, he made
palpable and overriding errors in forming his interpretation of para. 5(h) as
it pertains to this category of deficiency, justifying appellate intervention.
[32]
First, the application judge appears to have
read para. 5(h) as though it referred to a specific work order that addressed
the dining room fire separation concern. However, the work order specifically
referenced in the last sentence of para. 5(h) refers to the ventilation and
fire suppression system, not to the dining room separation issue. The
application judge did not identify any other basis upon which remedying this
deficiency would be the appellants responsibility under the APS. Second, the
application judge appears to have read the paragraph as saying that the
appellant was aware of the work order referred to in its last sentence, but not
to say that the respondent was aware of the order, which is what the last
sentence expressly acknowledges.
[33]
The interpretive question raised by the
paragraph is who bears responsibility for this disclosed and acknowledged work
order. The application judge did not address that question.
[34]
Paragraph 5(h) begins by stating the appellant
has not received notice of work orders, except those disclosed to the
respondent. It then refers to the appellants obligation to remedy such
items. And it contains the respondents express acknowledgment that it has
been advised of the work order mentioned in the last sentence. To read the
paragraph as the respondent suggests, that the appellants obligation to remedy
such items refers to items required under any work order whether
undisclosed or disclosed and acknowledged in the paragraph itself does not
accord with the interpretive principle that all the words of the agreement must
be given meaning. This reading would give no effect to the respondents
acknowledgement of its awareness of the specific work order. In our view, the
appellants obligation to remedy under para. 5(h) does not extend to the
work order that the respondent acknowledged had been disclosed to it. The
application judge erred in so concluding.
[35]
The final category of deficiency relates to work
to be done on the septic system under a Directors Order made by the Ministry
of the Environment, Conservation and Parks on September 23, 2019. That Order
virtually froze all sewage works at the hotels site and would have forced its
closure until the system was brought into compliance with s. 53 of the
Ontario
Water Resources Act
, R.S.O. 1990, c. O.40. The Directors Order also
required that the appellant register a Certificate of Requirement on title to
alert any potential purchaser to the non-compliance issues. Despite receiving
the Directors Order in September 2019, the appellant did not register the
Certificate of Requirement until February 25, 2020, after the parties had
executed the APS, and never provided a copy of it to the respondent.
[36]
The application judge found that, on these facts,
para. 5(h) applied to make this deficiency the appellants responsibility. We
see no error in that conclusion.
Conclusion
[37]
We allow the appeal in part, and vary the
decision of the application judge to delete the requirement that the appellant
is responsible for remedying deficiencies in the dining room fire separation
and in the kitchen exhaust and fire suppression system under the work order
acknowledged by the respondent in para. 5(h) of the APS, as noted above. The
appeal is otherwise dismissed. Due to the limited nature of the variation of
the application judges decision, we would not change the holdback requirement
he imposed since only the actual repairs for which the appellant is responsible
will be charged against it.
[38]
The respondent requested costs of the appeal if
completely successful in the sum of $11,593. The respondent enjoyed the greater
measure of, but not complete, success on the appeal. Costs of the appeal shall
be to the respondent in the sum of $7,500, inclusive of disbursements and applicable
taxes.
Janet
Simmons J.A.
Harvison
Young J.A.
B.
Zarnett J.A.
[1]
The buyer in the offers was Jeff Day & Core Lee or Assignee. On
October 15, 2020, the APS was assigned to the respondent, and notice of the assignment
was subsequently given to the appellant. For ease of reference, we refer to the
respondent throughout, as each offer and the executed APS provided that upon
assignment, the Assignee shall be deemed to be the party hereinbefore originally
named as the Buyer.
[2]
This paragraph comprises typed text and handwritten additions. The
paragraph
has been reproduced above to reflect the way both parties interpret the
handwriting.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Gilmour, 2022 ONCA 203
DATE: 20220309
DOCKET: C69634
Rouleau, Huscroft and Trotter
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Katrina Mae Gilmour
Appellant
Chris Rudnicki, for the appellant
Nicole Rivers, for the respondent
Heard and released orally:
March 7, 2022 by video conference
On appeal from the sentence imposed on June
9, 2021 by Justice John M. Johnston of the Superior Court of Justice, sitting
with a jury.
REASONS FOR DECISION
[1]
The appellant seeks leave to appeal her sentence for fraud. Her appeal
from conviction is proceeding as a solicitor appeal.
[2]
The appellant submits that the trial judge erred in principle by relying
on her lack of remorse as an aggravating factor. We see no such error.
[3]
The appellant has proffered fresh evidence concerning the health of her
four-year-old son, who underwent major surgery in January. He requires ongoing
care and the appellants partner is unable to act as primary caregiver. The
child is currently in the care of the appellants in-laws.
[4]
The appellant is entitled to statutory release on April 10, 2022.
Although we are satisfied that the sentence imposed was fit, in the unusual
circumstances of this case we would admit the fresh evidence and reduce the
carceral portion of the sentence to time served.
[5]
Leave to appeal is granted and the appeal is allowed. The
three-year probation order remains in place along with all of the additional
orders.
Paul
Rouleau J.A.
Grant
Huscroft J.A.
Gary
Trotter J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: 2651171 Ontario Inc. v. Brey, 2022
ONCA 205
DATE: 20220309
DOCKET: C69185
Rouleau, van Rensburg and Roberts
JJ.A.
BETWEEN
2651171 Ontario Inc.
Plaintiff
(Appellant)
and
Patrick Brey and Grapevine Realty Inc.
Defendants
(Respondents)
J.F. Lalonde and Lauren Benoit, for the
appellant
Miriam Vale Peters and Matthew
Miklaucic, for the respondent, Patrick Brey
Michael Swindley, for the respondent, Grapevine
Realty Inc.
Heard: January 7, 2022 by
video conference
On appeal
from the judgment of Justice Sally A. Gomery of the Superior Court of Justice
dated March 1, 2021, with reasons reported at 2021 ONSC 1492.
COSTS ENDORSEMENT
[1]
On February 17, 2022, this
court allowed the appellants appeal, set aside the motion judges judgment,
allowed the appellants claim for damages arising out of its failed real estate
purchase in the amount of $4,632.10, and ordered the return of its $25,000
deposit held by the listing agent, the respondent, Grapevine Realty Inc.
Grapevine took no position on the appeal and accordingly makes no claim for
costs.
[2]
The appellant was also
awarded its costs of the appeal in the all-inclusive amount of $15,000 and its costs
of the motions for summary judgment and the action in an amount to be
determined and subject to any offers to settle. The parties were unable to
agree on the latter amount and have provided written submissions that we have
reviewed.
[3]
The appellant requests costs
of the motions for summary judgment and the action on a substantial indemnity
scale in the amount of $
40,572.04
. It bases its
entitlement to an elevated scale of costs on its offer to settle dated October
17, 2019, made under r. 49.10(1) of the
Rules of Civil Procedure
[1]
,
which it served with its statement of claim. The appellant offered to settle
the action in exchange for the return of the appellants $25,000 deposit plus
costs. The offer provided that if it were accepted on or before November 1, 2019,
the respondent, Patrick Brey, would pay the appellant its partial indemnity costs;
if accepted thereafter, the respondent Brey would pay the appellant its costs
on a partial indemnity basis up to the date of service, and its costs on a
substantial indemnity basis following that date and up to the date of the
acceptance of the offer. The offer remained open until one minute after the
commencement of the trial.
[4]
The respondent Brey raises a
number of objections to the appellants costs submissions and argues that the
costs should be reduced. First, he submits that the docketed fees of
appellants counsel between January 22 and 29, 2021, related to the leave
motion that was settled by the parties on a no costs basis on January 29, 2021,
must be deducted from the appellants claimed amount. Second, he says that the amount
claimed by the appellant is grossly disproportionate to the result ultimately
achieved by the appellant on appeal. Finally, the appellants unproven
suggestions of fraud that it made in its reply factum and its oral submissions
on the motions against the respondent Brey should be taken into account. The
respondent Brey raises no objection to the appellants claimed disbursements.
[5]
We shall consider these submissions
in turn.
[6]
First, there is no question
that the appellants offer was made more than seven days before the hearing of
the motions, not accepted by the respondent Brey, had not expired, and the
result obtained by the appellant as a result of this appeal is more favourable
than its offer to settle. As a result, the appellant is
prima facie
entitled to its costs on a partial indemnity basis to the date the offer was
served and substantial indemnity costs from that date, unless the court orders
otherwise: r. 49.10(1) of the
Rules of Civil Procedure
, R.R.O. 1990,
Reg. 194.
[7]
While a court retains the
discretion to order otherwise under r. 49.10(1), this discretion has been
very narrowly construed. As this court cautioned in
Niagara Structural
Steel (St. Catharines) Ltd. v. W.D. Laflamme Ltd.
(1987),
58 O.R. (2d) 773 (C.A.), at para. 12
,
resort should only be had to the exception
where, after giving proper weight to the policy of the general rule, and the
importance of reasonable predictability and the even application of the rule,
the interests of justice require a departure.
We do not see any
circumstances here that would justify a departure from the general cost
consequences stipulated under r. 49.10(1). Accordingly, the appellant is
entitled to costs on a substantial indemnity basis.
[8]
With respect to the quantum
of the appellants costs, we are not persuaded that the appellant has claimed
any costs related to the settled leave motion. It is not clear from the dockets
what time was expended on just the settled leave motion between January 22 and
29, 2021. We are therefore unable to conclude that the appellants claimed
costs include any amounts related to the settled leave motion and decline to
make any deduction.
[9]
Further, we do not accept
the respondent Breys submission that the amount of costs claimed by the
appellant is grossly disproportionate. The overarching consideration is whether
the costs claimed are reasonable, fair, and proportionate in all the circumstances
of the case, having regard to the factors set out in r. 57.01 and the
reasonable expectations of the losing party:
Boucher v. Public Accountants
Council for the Province of Ontario
(2004), 71 O.R. (3d) 291 (C.A.). The
result achieved in the action is only one of the factors to be considered.
[10]
In our view, the appellants
costs are reasonable, fair, and proportionate. They were incurred in relation
to the appellants claim, the respondent Breys counterclaim and the two
motions for judgment, which included cross-examination on affidavits. As the
respondent Brey acknowledged in his written cost submissions before the motion
judge, this was a moderately complex proceeding and not a routine breach of
contract. The appellants claimed costs are comparable with (indeed less than)
the respondent Breys costs and the $50,000 in costs that the motion judge
awarded, and thus within his reasonable contemplation if he lost the appeal and
had to pay the appellants costs of the motions and the action.
[11]
Finally, we address the
respondent Breys submission that the appellants costs should be reduced
because of the appellants alternative submission on the motions that the
respondent Brey fraudulently misrepresented that the property could be used as
a fourplex. We agree there should be a reduction.
[12]
Regardless at what stage in
the proceedings they are raised, unfounded allegations of fraud may attract
serious cost consequences as a form of chastisement and a mark of the courts disapproval
because of their extraordinarily serious nature that go directly to the heart
of a persons very integrity:
Bargman v. Rooney
(1998), 30 C.P.C. (4th)
259 (Ont. Gen. Div.), at paras. 18-19.
[13]
In the present case, the
appellant did not plead fraudulent misrepresentation. Rather, the issue of
fraudulent misrepresentation was raised as an alternative argument to its main
contention of negligent misrepresentation. The motion judge declined to
determine this issue because it was not advanced in its statement of claim. She
also stated that had the claim been properly advanced, she would have dismissed
it in the absence of any credible evidence that [the respondent] Brey
intentionally misled [the appellant] and other potential purchasers about the
lawful use of the Property or potential exposure as a result of the renovation
of the Property forty-five years earlier.
[14]
The appellants allegations
of fraudulent misrepresentation occupied a small part of the proceedings and
did not form the basis for the motion judges decision. Nevertheless, based on
the motion judges reasons, they appear to have been proffered without regard
for the rule that fraud must be strictly pleaded and strictly proved:
Toronto
Dominion Bank v. Leigh Instruments Ltd. (Trustee of)
, [1998] O.J. No. 4221
(Gen. Div.), at para. 17. Moreover, while not all unsuccessful allegations of
fraud and dishonesty lead inexorably to cost consequences, where, as here, a
party makes such allegations unsuccessfully with access to information
sufficient to conclude that the other party was merely negligent and neither
dishonest nor fraudulent, costs sanctions may be appropriate:
Hamilton v.
Open Window Bakery Ltd.
, 2004 SCC 9, [2004] 1 S.C.R. 303, at para. 26.
[15]
As a result, we are of the
view that a reduction of the appellants costs is appropriate as a reminder
that allegations of fraud and dishonesty are simply not to be made unless
there is every reasonable likelihood that they can be proved:
Bargman
,
at para. 19.
[16]
Accordingly, we order that
the respondent Brey shall pay to the appellant its costs of the motions and the
action in the amount of $35,000, inclusive of disbursements and all applicable
taxes.
Paul
Rouleau J.A.
K.
van Rensburg J.A.
L.B. Roberts
J.A.
[1]
As
provided for under r. 49.02(2), r. 49.10(1) also applies to motions, with
necessary modifications.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Ahmed v.
DePaulis, 2022 ONCA 206
DATE: 20220310
DOCKET: C68321
van Rensburg, Nordheimer and
Harvison Young JJ.A.
BETWEEN
Nisar Ahmed and 1492480 Ontario Inc.
Plaintiffs (Respondents)
and
Albina
DePaulis also known as Albina De Paulis,
Claudio DePaulis also known as Claudio De Paulis
and Washmax (Weston) Ltd.
Defendants (
Appellants
)
No one appearing for the appellants
Eric Blau, former counsel for the appellants
S. Michael Citak and Dara Hirbod, for
the respondents
Heard: March 8, 2022 by video
conference
On
appeal from the judgment of Justice Lorne Sossin of the Superior Court of
Justice, dated April 2, 2020, with reasons reported at 2020 ONSC 2550.
REASONS FOR DECISION
[1]
The appellants appeal from
the trial judgment that awarded the respondents damages for, among other
things, illegal distress, conversion, and defamation. At the hearing, we
dismissed the appeal with reasons to follow. We now provide our reasons.
[2]
The appeal was
scheduled to be heard on March 8, 2022. On March 4, 2022, the appellants
former counsel obtained an order from Pardu J.A. removing them as the lawyers
of record for the appellants. They had previously obtained an order removing
them as lawyers of record from the Superior Court of Justice on February 23,
2022. The appellants had notice of and did not respond to the motions to remove
their counsel.
[3]
We were advised that
both orders were served on the appellants. The order of Pardu J.A. was sent by
email, as she directed, and also by registered mail.
We
were also advised that the appellants former lawyers had previously advised
the appellants of the hearing date of March 8 and then subsequently provided
them with the link to the virtual hearing.
At the hearing on March 8, neither of the appellants
appeared nor did they communicate in any way with the court. The appellants also
did not communicate with their former lawyers.
[4]
The respondents
obtained their judgment almost two years ago. The appellants have not
demonstrated any interest in proceeding with their appeal. In particular, knowing
that their counsel was seeking removal from the record and had obtained orders
in this regard, they did not appear to ask for an adjournment of the hearing or
otherwise address the status of their appeal. In those circumstances, we
determined that the appeal should be dismissed.
[5]
The respondents are entitled to their costs of
the appeal which we fix in the amount requested, that is, $17,561.90, inclusive
of disbursements and H.S.T.
K. van Rensburg J.A.
I.V.B. Nordheimer J.A.
Harvison Young J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Johnston (Re), 2022 ONCA 207
DATE: 20220314
DOCKET: C69623
Rouleau, Nordheimer and George JJ.A.
IN THE MATTER OF: Kelvin Johnston
AN APPEAL UNDER PART XX.1 OF THE
CODE
Anita Szigeti and Tanner Blomme, for
the appellant
Andrew Hotke, for the respondent, Attorney
General of Ontario
Kate Deakon, for the respondent, Person
in Charge of Royal Ottawa Mental Health Centre
Heard: March 4, 2022 by video conference
On appeal from the disposition of the
Ontario Review Board, dated June 4, 2021, with reasons dated July 2, 2021.
REASONS FOR DECISION
[1]
Mr. Johnston appeals from the disposition of the
Ontario Review Board that continued the detention order against him. The appellant
submits that the Board erred in continuing the detention order. In particular,
he submits that the Board erred in finding that the appellant continues to pose
a significant risk to the safety of the public. He asks that the detention
order be set aside and that an absolute discharge be granted. Alternatively,
the appellant asks for conditional discharge or a new hearing. For the
following reasons, we dismiss the appeal.
[2]
The appellant has been under the auspices of the
Board since February 2016 arising out of charges of uttering death threats,
mischief and breach of probation. He was also under the auspices of the Board
in 2008 arising out of charges of mischief, failure to comply and possession of
drugs but he was absolutely discharged in 2010. His current detention arises
out of the second NCR finding in 2016.
[3]
The Board found that the appellant continues to
pose a significant risk to the safety of the public. The Board accepted the
evidence of the attending psychiatrist, Dr. Gojer, that if left to his own
devices, the appellant would resort to drugs and alcohol which would lead to a
decompensation of his condition with an increasing risk of violence. The
Board was entitled to accept and rely on that opinion:
K.S. (Re)
, 2022
ONCA 170, at para. 7. The Board also noted that this is exactly what happened
when the appellant stopped taking one of his medications in 2020.
[4]
The appellant submits that the Board
misunderstood Dr. Gojers evidence in coming to its conclusion that a serious risk
to public safety was established. We do not agree. Dr. Gojers evidence was
clear that the appellant would likely decompensate, if he was discharged,
because he would stop taking his medication. Dr. Gojer also said that, if that
occurred, the appellant would likely become violent, as he has in the past. We
note that only Dr. Gojer testified before the Board on this issue.
[5]
The appellant quarrels with the Boards finding
that these consequences amount to a serious risk to public safety. The
appellant says that, not only has his condition been stable for the past year, but
there was insufficient evidence that he would commit a serious criminal offence
if he did decompensate. We do not accept this contention. While the appellants
condition has been stable for the past year, that results largely from the fact
that he is under the control of the hospital and his compliance with his
medications can be monitored. With respect to the requirement that there be
evidence that a person will commit a serious criminal offence, this has to be
understood in the context of what serious means. Serious in this context is
described as going beyond the merely trivial or annoying:
Winko v.
British Columbia (Forensic Psychiatric Institute)
, [1999] 2 S.C.R. 625, at
para. 62.
[6]
Reasonable people might differ over which
criminal offences are serious and which are not. Regardless, in our view, the
appellants threats to kill people satisfies the seriousness requirement. Further,
the evidence is that the appellant resorts to violence, if his condition
deteriorates. While the appellant may consider that his prior assaultive
behaviour did not involve serious physical attacks, others might take a
different view. It is certainly clear that the appellant has the physical
capability of inflicting serious harm. On that point, we reiterate that it is
the potential harm that must be serious, not the actual harm caused. The fact
that the appellant has not inflicted physical harm on any individual in the
past is no assurance that he would not in the future. The purpose of the risk
analysis is to identify and guard against significant risks to public safety,
not to wait for the worst to occur.
[7]
It was open to the Board, on the evidence, to
conclude that the appellant posed a significant risk to public safety. The
appellant has failed to demonstrate that the Boards conclusion is
unreasonable. In our view, this case mirrors the situation described in
R.
v. Starson
(2004), 183 C.C.C. (3d) 538 (Ont. C.A.) where Rosenberg J.A.
said, at para. 24:
Thus, the fact that, to date, the appellant
has never physically harmed anyone does not render the Board's decision
unreasonable. There was a body of evidence to support a finding that the
appellant continued to represent a real risk of serious psychological harm to
members of the public by his threatening behaviour, which in the past has
included threats of death.
[8]
Finally, we also do not accept that the Board
failed to consider the alternative of granting a conditional discharge. The
Board accepted the evidence of the attending psychiatrist that the appellant
would deteriorate fairly quickly if he relapsed. That rapid deterioration
made control and management of the appellant on a conditional discharge
problematic. Quick reaction was required if a relapse occurred. A detention
order provides the ability to immediately respond. Again, that was a reasonable
conclusion for the Board to reach.
[9]
The appeal is dismissed.
Paul Rouleau J.A.
I.V.B. Nordheimer J.A.
J. George J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Khorramshahi v. Iranpour, 2022
ONCA 210
DATE: 20220311
DOCKET: M53255
Roberts J.A. (Motions Judge)
BETWEEN
Farid Khorramshahi
Moving Party
and
Shadab Iranpour
Responding Party
Farid Khorramshahi, acting in person
Shadab Iranpour, acting in person
Heard: March 8, 2022 by video
conference
REASONS FOR DECISION
[1]
Mr. Khorramshahi seeks an
order extending the time to file his notice of appeal from the order of the
motion judge Dennison J. dated December 8, 2021. The motion judge dismissed Mr.
Khorramshahis motion to compel Ms. Iranpour, his former spouse, to attend to
have a religious divorce signed and schedule a contempt hearing on a priority
basis. She ordered him to pay $2,200 in costs to Ms. Iranpour.
[2]
Under r. 61.04(1) of the
Rules
of Civil Procedure
, R.R.O. 1990 Reg. 194, an appeal to an appellate court
shall be commenced by serving a notice of appeal and the required certificate
within 30 days after the order appealed from was made. This means that Mr.
Khorramshahis deadline to serve a notice of appeal on Ms. Iranpour was
January 7, 2022.
[3]
Mr. Khorramshahi served Ms.
Iranpour by email with his notice of appeal and certificate of evidence at 7:57
p.m. on January 7, 2022. In his notice of appeal, he mistakenly noted the date
of the order under appeal as October 8, 2021. The court office rejected his
filing without an order extending the time to file the notice of appeal. On
February 25, 2022, at 4:23 p.m., Mr. Khorramshahi served Ms. Iranpour by
email with his present motion to extend the time for filing.
[4]
Ms. Iranpour opposes the
requested extension.
[5]
The overarching
consideration on this motion is whether the justice of the case warrants the
requested extension. Included in this consideration are the following
well-established criteria: the length of and explanation for the delay; a
bona
fide
intention to appeal formed within the 30-day appeal deadline under r. 61.04(1)
of the
Rules of Civil Procedure
; any prejudice caused by the delay;
and the merits of the proposed appeal: see
Enbridge Gas Distribution Inc.
v. Froese
, 2013 ONCA 131, 114 O.R. (3d) 636, at para. 15.
[6]
Mr. Khorramshahis affidavit
in support of his motion is very brief. While he explained in his affidavit why
his materials were rejected by the court office, he failed to provide any
explanation for his delay in serving them past the January 7, 2022 deadline.
Service by email after 4:00 p.m. is deemed under r. 16.01(4)(b)(iv) to be
service on the next day; the next day in this case being a Saturday, service is
deemed under r. 3.01(1)(d) to have taken place on Monday, January 10, 2022.
[1]
Similarly, there is no evidence that Mr. Khorramshahi formed an intention to
appeal within the 30-day appeal period. I am not prepared to infer that Mr.
Khorramshahi formed the requisite intention to appeal given that the notice of
appeal and certificate of evidence were served out of time. There is also no
explanation provided in Mr. Khorramshahis supporting affidavit for the delay
in bringing this motion almost two months after his filing was rejected by the
court office. While the delay in the commencement of the appeal is short, the
delay in bringing this motion is not, especially in the context of family law
litigation where finality is essential to allow families to move on with their
lives.
[7]
The fact that Mr.
Khorramshahi is self-represented on this motion does not excuse the delay or
the absence of explanations for his delay. Mr. Khorramshahi was represented by
counsel before the motion judge and he advised that he had assistance in
preparing his appeal materials and on this motion.
[8]
I turn to the merits of the
proposed appeal. Mr. Khorramshahi has only provided the reasons of the motion
judge and his proposed notice of appeal. I do not have a copy of the motion
judges formal order, nor do I have a copy of the appeal book or factum
proposed to be filed, although Mr. Khorramshahi advised that they were
prepared. The only reference to the merits of the appeal in Mr. Khorramshahis
supporting affidavit is his statement that: Without this extension, the
appellant would lose the opportunity to appeal a decision which has
fundamentally ignored the evidences [sic] which was open with the Superior
Court of Justice on Dec. 2021.
[9]
As indicated in his
materials and submissions on this motion, his principal ground of appeal is
that the motion judge erred in failing to accept the expert evidence proffered
by his expert with respect to Iranian law. He also argues that the motion judge
erred in preferring the expert evidence given by Ms. Iranpours expert that Ms.
Iranpour could not release her Iranian dowry (Mahrieh) and that Iranian
courts had jurisdiction over this matter.
[10]
Based on the materials
provided, this ground has no prospect of success. It was open to the motion
judge to prefer the evidence of Ms. Iranpours expert over the evidence of Mr.
Khorramshahis expert. This evidence supported the motion judges determination
that she had no jurisdiction to grant the order sought by Mr. Khorramshahi.
Mr. Khorramshahi has not pointed to any arguable error apparent in her reasons
or decision.
[11]
Finally, I consider whether
there is any prejudice to Ms. Iranpour because of Mr. Khorramshahis delay. In
my view, again in the context of family law litigation, it would be prejudicial
to subject Ms. Iranpour to further costs in responding to an unmeritorious
appeal: see
Bobel v. Humecka
, 2021 ONCA 757, at para. 6.
[12]
Mr. Khorramshahi has not met
his onus on this motion. I am not persuaded that the justice of the case
warrants an extension of time to appeal. Rather, the justice of the case warrants
the refusal of the requested extension.
[13]
Accordingly, the motion is
dismissed. Although self-represented on this motion, Ms. Iranpour consulted
with her lawyer about Mr. Khorramshahis motion. She is therefore entitled to
costs of this motion in the amount of $500 payable forthwith by Mr.
Khorramshahi.
L.B. Roberts J.A.
[1]
This
is because, r. 3.01(1)(d) specifies that service of a document made after 4
p.m. or at any time on a holiday shall be deemed to have been made on the next
day that is not a holiday. Under r. 1.03(1), holiday is defined as including
any Saturday or Sunday.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Leonard v. Zychowicz, 2022 ONCA
212
DATE: 20220315
DOCKET: C68222
Strathy C.J.O., Roberts and
Sossin JJ.A.
BETWEEN
Cheryl
Leonard
Moving Party (Appellant)
and
Zara Zychowicz
Respondent (Respondent)
Marc A. Munro, for the appellant
Andrew L. Keesmaat and Simone A.
Bilato, for the respondent
Heard: February 15, 2022 by video conference
On appeal from the order of Justice Paul
R. Sweeny of the Superior Court of Justice, dated February 21, 2020, with
reasons reported at 2020 ONSC 662, 56 E.T.R. (4th) 81, and from the costs
order, dated March 23, 2020, with reasons at 2020 ONSC 1713.
REASONS FOR DECISION
[1]
This appeal involves a dispute between two
cousins concerning the will of their late aunt, Helene Polomock (the
Testatrix), who died on April 4, 2011. The central issue on the application
was whether the Testatrix had testamentary capacity when she executed a will on
October 23, 2007 (the Will), approximately four years prior to her death.
[2]
The Will named the respondent, Zara Zychowicz,
as estate trustee and sole beneficiary. The appellant, Cheryl Leonard, had been
named as the estate trustee and sole beneficiary in an earlier will, made in
2002 (the earlier Will).
[3]
The appellant brought an application to declare
the Will invalid and to require the respondent to surrender her appointment as
estate trustee. She asserted that there were suspicious circumstances
surrounding the execution of the Will, that the Testatrix lacked testamentary capacity
as well as knowledge and approval of the Wills contents, and that the
Testatrix had been subjected to undue influence around the time she signed the
Will.
Decision Below
[4]
The application judge dismissed the application.
After setting out the factual background and the issues, the application judge
identified the relevant principles, summarized by Cullity J. in
Scott v.
Cousins
(2001), 37 E.T.R. (2d) 113 (Ont. S.C.), and extrapolated from the
authorities, including
Vout v. Hay
, [1995] 2 S.C.R. 876. The appellant
does not assert that the application judge erred in his statement of the
applicable principles or that he erred in the application of those principles.
As we explain below, the appellants submission is that the application judge
made a finding of testamentary capacity in the absence of evidence.
[5]
The application judge acknowledged that the
Testatrix had longstanding mental health issues and had been diagnosed with
bipolar disorder. He found that the Will had been executed with the requisite
formalities and concluded that it could be presumed that the Testatrix knew and
approved of its contents. He also found there were no suspicious circumstances
raised concerning the preparation of the Will, nor was there evidence of undue
influence. However, he was prepared to accept that there was some evidence
raised by the appellant of suspicious circumstances concerning the capacity of
the Testatrix, so as to put an onus on the respondent to prove testamentary
capacity.
[6]
Having considered the evidence on capacity,
including the expert evidence, the application judge found that the respondent
had discharged her onus and the Will was valid. In coming to that conclusion,
he largely rejected the evidence of the appellants expert, Dr. Shulman. He
found that Dr. Shulmans evidence had been tainted by a summary of facts
prepared by appellants counsel a summary that had been admittedly created
with advocacy in mind.
[7]
The application judge preferred instead the
evidence of the respondents expert on capacity, Dr. Pachet, which he accepted.
Dr. Pachet opined that there was no substantive or conclusive evidence that the
Testatrix did not meet the test in
Banks v. Goodfellow
(1870), L.R. 5
Q.B. 549, at p. 565, when she executed the Will. There was no evidence to
suggest that she did not know the nature and effect of a will, her natural
beneficiaries, or the extent of her assets. There was no evidence that she was
delusional when she executed the Will. In sum, in Dr. Pachets words, [h]er
cognitive impairment and degree of executive dysfunction would not have been
viewed as a significant threat to her testamentary capacity. The application
judge found that Dr. Pachets evidence was consistent with other evidence,
including medical evidence, which indicated that the Testatrix had been
functioning well and was not subject to delusions when she executed the Will.
[8]
The application judge dismissed the application
and awarded costs to the respondent in the amount of $75,175.
Submissions on Appeal
[9]
First, the appellant submits that the
application judge found that there were suspicious circumstances concerning the
capacity of the Testatrix. He submits, however, that the application judge erred
in relying on the presumption of capacity to make a determination of capacity
in the absence of material evidence. The appellant submits that this was an
error of law, and the standard of review is therefore correctness. She points
to the fact that the solicitor had no notes or recollection as to the
testamentary capacity of the Testatrix, and no contemporaneous record of her
knowledge and approval of the Will.
[10]
Second, the appellant seeks leave to appeal the
costs award. She notes that the appellants counsel did not render any
accounts, did not keep dockets, and simply filed a bill of costs, which her
counsel describes as fabricated guestimates.
[11]
We do not accept these submissions.
Testamentary Capacity
[12]
We begin with the standard of review. The
appellant submits the standard of review is correctness and that we are free to
substitute our opinion on capacity for the application judges. We do not agree.
[13]
The determination of testamentary capacity
involves the application of a legal standard the test in
Banks v.
Goodfellow
to a set of facts. The question, therefore, is one of mixed
fact and law. If the application judge has applied the correct standard, has
considered the requisite elements of that standard and has made no error in
principle, either in the application of the standard or otherwise, the decision
will only be set aside if the judge has made a palpable and overriding error in
the assessment of the evidence:
Housen v. Nikolaisen
, 2002 SCC 33,
[2002] 2 S.C.R. 235, at paras. 26, 36; see also
Wilton v. Koestlmaier
,
2019 BCCA 262, 48 E.T.R. (4th) 12, at paras. 22-23.
[14]
On the other hand, where the application judge
has made an error in principle, for example, by failing to consider the
requisite elements of the legal test or standard, or has erred in the
application of that test or standard, the court is entitled to intervene. For a
recent example of such intervention, see this courts decision in
McGrath
v. Joy
, 2022 ONCA 119.
[15]
The application judge correctly identified the
Banks
v. Goodfellow
test with respect to testamentary capacity and considered
its elements.
[16]
The appellant has not identified any palpable
and overriding error in the application judges assessment of the evidence.
[17]
We disagree with the appellants submission that
the application judge made a finding of suspicious circumstances concerning the
capacity of the Testatrix. Rather, the application judge was prepared to accept
that the appellant had adduced some evidence of suspicious circumstances with
respect to capacity such that [the respondent] has the onus of proving
testamentary capacity. He was satisfied, however, that the respondent had discharged
that onus.
[18]
The application judge was entitled to discount
the evidence of Dr. Shulman because his opinion was based on a summary of
facts, prepared by counsel, that was patently neither objective nor fair.
[19]
As the application judge noted, the summary of
the evidence provided to Dr. Shulman may well have affected his appreciation of
the evidence. For example, Dr. Shulman stated in his report that [t]he stark
difference in the two Wills of 2002 and 2007 reflect radical changes in [the
Testatrixs] thinking about potential beneficiaries. In fact, the only change of
substance between the two wills was the substitution of one niece, the
respondent, Zara Zychowicz, for another, the appellant, Cheryl Leonard. In
light of the Testatrixs circumstances, and the terms of her previous wills,
this can hardly be described as a radical change. The Testatrix had no
children, her husband had sufficient means and, as the application judge found,
the circumstances surrounding the preparation of her prior Wills shows that
[the Testatrix] was ambivalent about her beneficiaries. She had named her half-brother
John, the respondents father, as the residual beneficiary of her will in 1989.
When she gave instructions for the earlier Will, she initially wanted both the
appellant and the respondent to be beneficiaries, but ultimately settled on the
appellant alone. The Will subsequently identified the respondent alone as the
sole beneficiary. As the application judge noted, this was not indicative of a
radical change in her thinking so as to call her capacity into question.
[20]
In assessing the weight to be given to the
expert evidence, having discounted the evidence of Dr. Shulman, the application
judge was entitled to prefer the expert evidence of Dr. Pachet. He quoted Dr.
Pachets evidence:
Overall, based upon the documents reviewed
there is no substantive or conclusive evidence to suggest that [the Testatrix]
did not meet
Banks vs. Goodfellow
criteria when she executed the Will
dated October 23, 2007. There is no evidence to suggest she would not have known
the nature and effect of a Will, her natural beneficiaries, or the extent of
her assets. Her cognitive impairment and degree of executive dysfunction would
not have been viewed as a significant threat to her testamentary capacity. As
well, there was no indication of a challenge to her decisional capacity in
association with her personal matters or financial affairs prior to or at the
time she changed her Will in 2007.
... based upon the documentation reviewed
there is no substantive evidence that [the Testatrix] was delusional or
paranoid when she executed the 2007 Will.... While the rationale regarding her
choice of beneficiary in 2007 was not documented in a fulsome manner, there is
no substantive information to argue that delusions or paranoid ideations were influencing
her estate disposition at that time.
[21]
A judges findings of fact based on the
acceptance of expert evidence and their preference of the evidence of one
expert over another is entitled to deference and should not be disturbed in the
absence of a palpable and overriding error in the assessment of the evidence.
The appellant has demonstrated no such error.
[22]
The appellants core submission, however, is
that having found that the presumption of capacity was not available, the application
judge erred in finding testamentary capacity in the absence of affirmative
evidence. She submits, for example, that the application judge erred in finding
that the paucity of evidence of medical visits during the period of 2005 to
2009 was consistent with Dr. Pachets opinion and supported the view that the
Testatrix was functioning well and was not under any delusions.
[23]
We do not accept the appellants submission that
the application judge relied on the presumption of capacity to find capacity or
that he found capacity in the absence of material evidence. The application
judges findings of fact in relation to testamentary capacity were the product
of his assessment of
all the evidence
.
[24]
In addition to Dr. Pachets evidence, there was
ample evidence before the application judge to support the Testatrixs
testamentary capacity and the absence of undue influence. This included:
·
the evidence of the respondents father, the
half-brother of the Testatrix, who held her power of attorney executed the same
day as the Will and who described her as independent, capable of living alone
and capable of making her own property, banking and financial decisions as well
as her personal care decisions;
·
the evidence of a longstanding neighbour, who
talked to the Testatrix almost every day, and described her as very smart,
aware of what was going on around her, capable of making decisions in her best
interests and showing no signs of hallucinations or paranoia;
·
the evidence of the solicitor who prepared the
Will, who had a long-standing relationship with the Testatrix, who had obtained
a satisfactory capacity assessment in relation to the earlier Will, and who did
not recall or note any concerns about the Testatrixs capacity in relation to
the Will his contemporaneous notes indicate the Testatrix was upset with
the appellant and thus gave instructions to remove her from her will;
·
the evidence of the Testatrixs family physician
for more than 10 years prior to her death, to the effect that there had been no
change in her testamentary capacity between January 2002 (when the original
capacity assessment was performed by that same physician) and September 2007 or
shortly thereafter (when the Will was prepared and executed) or even in
psychiatric and geriatric notes up to 2010; and
·
the absence of any evidence, in the extensive
medical record produced on the application, that the Testatrix lacked capacity,
or had a mental illness that affected her capacity, at the time she gave
instructions for the Will or signed the Will.
[25]
This evidence, together with the evidence of Dr.
Pachet, which he accepted, fully supports the application judges conclusions
on the issue of testamentary capacity. The appellant has identified no palpable
and overriding error in his assessment of the evidence.
Costs Awarded Below
[26]
We turn to the issue of costs.
[27]
In post-hearing costs submissions, the appellant
submitted that no costs should be awarded because the respondents counsel had
not rendered accounts, had not kept dockets, and had essentially copied the
bill of costs of appellants counsel.
[28]
The application judge found that the absence of
dockets did not preclude an award of costs, but it did make the determination
of costs more challenging. He had before him, however, a bill of costs prepared
by respondents counsel, setting out time spent and hourly rates charged. The
respondent claimed costs on a partial indemnity basis of $190,000.
[29]
The application judge awarded the respondent
costs of $55,175 in fees and $20,000 for disbursements, for a total of $75,175,
inclusive of HST. Those costs were payable by the appellant, as opposed to
payable out of the estate.
[30]
In this court, the appellant renews the following
submissions: (a) awarding costs amounts to a windfall in this case and no
costs should be payable because the respondents counsel sent no bills to the
respondent and kept no dockets; (b) the respondents costs should be paid out
of her own share of the estate; or (c) each party should bear her own costs.
[31]
A court should set aside a costs award on
appeal only if the judge has made an error in principle or if the costs award
is plainly wrong:
Hamilton v. Open Window Bakery Ltd.,
2004 SCC 9, [2004]
1 S.C.R. 303, at para. 27.
[32]
We see no basis on which to interfere with the
application judges decision on costs. He considered the principles applicable
to the award of costs and how those principles apply in estates litigation. The
appellant has failed to identify an error in principle or to establish that the
award was plainly wrong.
[33]
The application judge did not err in requiring
the appellant to pay costs, particularly having regard to his conclusion that
there were no reasonable grounds upon which to question the execution of the Will
or the capacity of the Testatrix. Furthermore, while it is certainly preferable
to keep dockets, even where the client will not be billed until the completion
of the matter, the fact that respondents counsel had not issued accounts, and
had no dockets, was not an automatic bar to the recovery of costs. The application
judge must do the best they can in such circumstances and this application judge
did so.
[34]
In any event, and stepping back for a moment, we
find the costs award reasonable. The claim related to a $500,000 estate; the application
hearing lasted four and a half days; there was expert evidence on both sides,
multiple affidavits, and a very substantial documentary record: in addition to
the Appeal Book and Compendium, we have before us nine volumes of exhibits. The
costs awarded were proportional and well within the appellants reasonable
expectations.
Disposition
[35]
For these reasons, the appeal is dismissed. We
grant leave to appeal costs but dismiss the costs appeal.
[36]
Costs of the appeal to the respondent in the
agreed amount of $15,000, inclusive of disbursements and all applicable taxes.
G.R.
Strathy C.J.O.
L.B.
Roberts J.A.
L.
Sossin J.A.
|
COUR DAPPEL DE LONTARIO
RÉFÉRENCE : 1750738 Ontario Inc. c. 1750714
Ontario Inc., 2022 ONCA 215
DATE : 20220314
DOSSIER : C67079
Les juges van Rensburg, Benotto
et Thorburn
ENTRE
1750738 Ontario Inc.
Demanderesse (Intimée)
et
1750714
Ontario Inc., 1751917 Ontario Inc., 6888631 Canada Inc.
et 1750739 Ontario Inc.
Défenderesses (Appelantes)
Jeff G. Saikaley, Gabriel Poliquin et
Marie-Pier Dupont, pour les appelantes
Sophie C. Reitano, pour lintimée
Date de laudience : par écrit
En appel du jugement du juge Michel Z.
Charbonneau de la
Cour supérieure de justice
, en date du 14 mai 2019, dont les motifs figurent
à
2019 ONSC 2879.
INSCRIPTION SUR LES
DÉPENS
[1]
Lappel concerne un désaccord parmi les
investisseurs dans un lotissement denviron 100 lots résidentiels. Les quatre
investisseurs sont : 1750714 Ontario Inc. (« 714 »), 1751917 Ontario
Inc. (« 917 »), 6888631 Canada Inc.
(« 631 »)
et 1750738 Ontario Inc. (« 738 »).
[2]
Il y a eu désaccord sur la question si un
contrat verbal a été conclu et, si oui, les termes du contrat ; leffet de
la convention parmi actionnaires sur le pr
é
sum
é
contrat oral ;
leffet de la clause de résiliation des ententes antérieures sur le contrat
verbal, lordonnance de lexécution en nature du contrat ; et
lapplication de lordonnance.
[3]
Le tribunal de première instance a décidé quun
contrat verbal a été conclu, que la condition de linvestissement est quun
nombre de lots égaux à la participation du dirigeant de 738, M. Lacroix, dans
le projet serait construit, que 738 pouvait poursuivre laction de sa part, et
que le deuxième contrat ne nie pas leffet du premier. Le tribunal a ordonné lexécution
en nature du contrat liant 714, 917 et 631 aux ordonnances.
[4]
Les appelantes, 714, 917, 631 et 739, ont interjeté
appel à la décision du tribunal.
Les questions en
litige furent :
1.
Est-ce que le tribunal a erré en droit en
concluant quil y avait un contrat oral alors que les termes matériaux de ce
présumé contrat étaient trop incertains et/ou en ajoutant des conditions
implicites au contrat ?
2.
Est-ce que le tribunal a erré en droit en
ninterprétant pas la clause de résiliation dans la convention pour conclure
que la clause a pour effet de résilier le contrat antérieur, et ordonnant
lexécution en nature du contrat ?
3.
Est-ce que le tribunal a commis une erreur de
droit en ordonnant lexécution en nature du contrat ?
4.
Est-ce que le tribunal a commis une erreur de
droit quant à lapplication des ordonnances à 714, 917 et 631 ? et
5.
Dans lalternative, est-ce que lautorisation de
faire appel de lordonnance de dépens doit être accordée, et lordonnance
modifiée ?
[5]
Cette cour a décidé que le tribunal na pas commis
derreur, car :
1.
Les termes essentiels du contrat verbal étaient précis
et certains ;
2.
Le tribunal avait raison de conclure que la
clause dexclusion aurait pour effet décarter lélément de substance de
lentente contractuelle préexistante ;
3.
Le tribunal na pas erré en concluant à
lexécution en nature du contrat, car cest le seul remède qui permet de
remettre 738 dans la position quelle aurait été sans la rupture de contrat,
des dommages-intérêts sont inadéquats pour lentente unique, et il serait
difficile de quantifier les dommages-intérêts avec exactitude ;
4.
Tous les investisseurs ont accepté dêtre liés
par le contrat verbal ; et dans lalternative ; et
5.
738 a présenté une offre de transaction aux appelantes
en offrant que laction soit réglée, mais les appelantes ont refusé loffre et
nont présenté aucune offre de règlement à 738. 738 navait donc aucun choix
que de procéder avec le procès et 738 a connu un jugement plus favorable que
les conditions de son offre. Le Tribunal na commis aucune erreur révisable en
appel en concluant que les dépens représentaient une « somme
substantielle » et en appliquant la règle 49.10.
[6]
Lappel a donc été rejeté avec dépens. La cour
demanda des soumissions écrites concernant le quantum des dépens, et ces motifs
tranchent ces soumissions.
[7]
Le tribunal dispose dun large pouvoir
discrétionnaire daccorder des dépens en appel : lart. 131(1) de la
Loi
sur les tribunaux judiciaires
, L.R.O. 1990, c. C.43. Le tribunal peut considérer
les facteurs énumérés dans la r. 57.01(1) des
Règles de procédure civile
,
R.R.O. 1990, Reg. 194, pour le guider dans lexercice de sa discrétion, y
compris les suivants :
·
le principe dindemnisation, y compris les taux
facturés et les heures consacrées par les avocats ;
·
le montant de dépens raisonnables ;
·
le degré de complexité de linstance ;
·
limportance des questions en litige ; et
·
la conduite des parties.
[8]
Pour déterminer les dépens raisonnables que les
parties pourraient sattendre à payer, une comparaison entre les dépens
encourus par chaque partie peut être utile :
TransCanada Pipelines
Ltd. v. Potter Station Power Ltd.
Partnership
, (2002), 20 C.P.C. (5th) 382 (S.C.J.), au para. 8 ;
City Front
Developments Inc. v. Toronto District School Board
(2007), 285 D.L.R.
(4th) 187 (Ont. S.C.), au para. 9 ;
Loreto v.
Little (costs)
, 2010 ONSC 5993, aux paras. 33-34.
[9]
Le principe directeur et fondamental est de
savoir si les coûts sont justes et raisonnables dans les circonstances :
Boucher
c. Conseil des experts-comptables de la province de lOntario
(2004), 71
O.R (3d) 291,
(Ont. C.A.).
[10]
Le sommaire des dépens de lIntimée pour lappel
se résume comme suit :
Détails
Indemnité réelle
Indemnité partielle (60%)
Indemnité substantielle (90%)
Honoraires
(incluant la TVH)
44
250,24 $
26
550,14 $
39
825,21 $
Débours
(incluant la TVH)
15
185,63 $
9
214,51 $
13
681,60 $
TOTAUX :
59 435,87 $
35 764,65 $
53 506,81 $
[11]
Les sommes dépensées par les appelantes pour
lappel se résument comme suit :
Détails
Indemnité réelle
Indemnité partielle (60%)
Indemnité substantielle (90%)
Honoraires (incluant la TVH)
36 969,08 $
22 181,45 $
33 272,17 $
Débours (incluant la TVH)
4 549,77 $
4 549,77 $
4 549,77 $
TOTAUX :
41 518,85 $
26 731,22 $
37 821,94 $
[12]
Les appelantes nont pas abusé du processus
judiciaire, donc nous octroyons des dépens sur une base dindemnité partielle.
[13]
Le degré de complexité de linstance et limportance
des questions en litige sont dune importance moyenne et la conduite des deux parties
est acceptable.
[14]
LIntimée a encouru de grands déboursés à la hausse
après avoir engagé
un cabinet davocat externe pour réviser son mémoire
dappel. Ces débours constituent une certaine duplication des services rendus
par lavocate au dossier.
[15]
Pour toutes ces raisons, nous octroyons à lIntimée
un montant global de 32 000 $ pour tous ses dépens y compris la taxe.
Ces dépens sont sur une base dindemnisation partielle pour la durée de
linstance dappel et un montant réduit pour les débours.
« K.
van Rensburg j.c.a. »
« M.L.
Benotto j.c.a. »
« J.A.
Thorburn j.c.a. »
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Richards (Re), 2022 ONCA 216
DATE: 20220314
DOCKET: C69537
van Rensburg, Nordheimer and
Harvison Young JJ.A.
In the Matter of the Bankruptcy of Michael
Paul Richards, of the City of Toronto, in the Province of Ontario
Ian J. Klaiman, for the appellant,
Michael Paul Richards
Catherine Francis, for the respondent,
Royal Bank of Canada
Heard: March 11, 2022 by video
conference
On appeal from the order of Justice Barbara
A. Conway of the Superior Court of Justice, dated June 3, 2021.
REASONS FOR DECISION
[1]
Michael Richards appeals from the order of the
bankruptcy judge that involved the interpretation of a trust of which he is the
beneficiary (the Trust). At the conclusion of the hearing, we dismissed
the appeal with reasons to follow. We now provide our reasons.
[2]
The appellant is an undischarged bankrupt. Royal
Bank of Canada (RBC) has an outstanding judgment against him for $987,613
plus costs and interest. On September 16, 2019, RBC filed a bankruptcy
application against the appellant, which was issued the same day.
[3]
The appellant is the beneficiary of a property
at 61 St. Clair Avenue West (the Property) pursuant to a Trust that was
settled by his father in 2001. The Trust was set up to hold the Property during
the lives of the appellants parents, with a life interest permitting them to
live in the Property. The appellants father, George, died in 2010. His mother,
Patricia, continued to live in the Property. She died in July 2020. According
to the terms of the Trust, the date of death of the second of the appellants
parents is called the Time of Division.
[4]
At the Time of Division, the trustees are
required to distribute the Trust Fund (including the Property and any Chattels)
to the appellant, if he is then alive. Section 5.2.2 of the Trust reads:
On the Time of Division the Trustees shall:
if George Richards is not then alive, the
Trust Fund, including, for greater certainty, the Real Property and the
Chattels
shall be paid and transferred to Michael Paul Richards, if he is
then alive
[5]
Prior to Patricias death, the trustees of the
Trust sold the Property. The proceeds of sale ($1,172,120.90) are being held in
trust.
[6]
In October 2020, RBC obtained an order under s.
38 of the
Bankruptcy and Insolvency Act
,
R.S.C. 1985, c. B-3
(
BIA
), taking an assignment of rights of the appellants Trustee in Bankruptcy
to make a claim against the sale proceeds of the Property. The Bankruptcy
Trustee had not wanted to pursue the claim due to lack of funding. RBC now
stands in the shoes of the Bankruptcy Trustee with respect to the sale proceeds
of the Property.
[7]
RBC brought a motion to recover the sale
proceeds up to the amount owing to RBC. It sought a declaration that the
appellant was the beneficiary of the Trust and had an interest in the Property
under the terms of the Trust. RBC argued that the sale proceeds constituted
property of the bankrupt, pursuant to the broad definition in s. 67(1)(c) of
the
BIA
, which vested in his Bankruptcy Trustee and formed part of his
estate.
[8]
The appellant responded that his interest in the
Property was suspended while he is a bankrupt, pursuant to the provisions of s.
4.2 of the Trust. That provision is somewhat unusual. It reads:
Any right of a Beneficiary to receive any
income or capital of the Trust Fund as a result of a mandatory direction to the
Trustees to make such a distribution, including, for greater certainty, a
mandatory entitlement of a Beneficiary to the exclusive use, occupation and enjoyment
of the Real Property and the Chattels
. shall be enforceable only until such Beneficiary
shall become bankrupt
whereupon and so long as the effect or operation thereof
shall continue, the Beneficiarys Interest shall cease until the cause of the Beneficiarys
Interest becoming vested in or belonging to or being payable to a person other
than such Beneficiary shall have ceased to exist
and then the Beneficiarys
Interest shall again be allocated to such Beneficiary as aforesaid unless and
until a like or similar event shall happen whereupon the Beneficiarys Interest
of such Beneficiary shall again cease and so on from time to time.
[9]
The appellant submitted that his interest in the
Property could not vest in his Bankruptcy Trustee as he had no rights to the
Property, pursuant to s. 4.2, until such time as he was discharged from
bankruptcy. The appellant contended that, during his bankruptcy, any rights he
had were suspended. It is only on his discharge from bankruptcy that the
Property will vest in him pursuant to s. 5.2.2 and he will own it outright.
[10]
The bankruptcy judge rejected that contention,
as do we. She found that the mandatory distribution provision contained in s.
5.2.2 of the Trust overrode s. 4.2. In particular, the bankruptcy judge held that
the provisions of the Trust (Part IV), which contained s. 4.2, applied to the
Property during the lifetimes of the appellants parents, but the provisions of
the Trust (Part V) that contained s. 5.2.2 applied to the Property after the
death of his parents. The bankruptcy judge noted that the mandatory division of
the Property contained in Part V was not made subject to s. 4.2 nor did it
otherwise reference that provision. She further found that, had the intent been
as the appellant contends it to be, she would have expected there to have been
express language in the mandatory distribution provision to that effect. As she
said, at para. 18: I simply cannot conclude that the Settlor intended to
override the mandatory mechanism of s. 5.2.2 by an oblique reference to capital
in s. 4.2.
[11]
As a result, the bankruptcy judge concluded that
the Property vested in the appellant at the Time of Division. The Property thus
constituted property of the appellant and vested in his Trustee in Bankruptcy.
Since the Trustee in Bankruptcy had transferred its rights in the appellants Property
to RBC, RBC was entitled to receive the proceeds of sale up to the amount that the
appellant owes to RBC.
[12]
The appellant has failed to demonstrate any
error in the bankruptcy judges decision. Her decision involves an
interpretation of the Trust document and is entitled to deference on review:
Sattva
Capital Corp. v. Creston Moly Corp.
, 2014 SCC 53, [2014] 2 S.C.R. 633, at
paras. 50-52. The fact is that we agree with her interpretation. It is
consistent with the plain wording of the relevant section and is also
consistent with the stated purpose of the Trust.
[13]
We would also observe that, if the
interpretation of the Trust is as contended by the appellant, it would offend
the public policy that underlies the
BIA
by allowing persons to place
assets out of the reach of their creditors. As Rowe J. said in
Chandos
Construction Ltd. v. Deloitte Restructuring Inc.
, 2020 SCC 25, 449 D.L.R.
(4th) 293, at para. 31, the anti-deprivation rule renders void contractual
provisions that, upon insolvency, remove value that would otherwise have been
available to an insolvent persons creditors from their reach.
[14]
The appeal is dismissed. The respondent is
entitled to its costs of the appeal in the amount of $17,500, inclusive of
disbursements and H.S.T.
K. van Rensburg J.A.
I.V.B. Nordheimer J.A.
Harvison Young J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Hategan v. Frederiksen, 2022 ONCA
217
DATE: 20220314
DOCKET: M53145 (C69160)
Pardu
J.A. (Motion Judge)
BETWEEN
Elisa
Romero Hategan
Plaintiff (Appellant)
and
Elizabeth
Moore Frederiksen and Bernie Farber
Defendants (Respondents)
Joseph Kary, for the appellant
Alexi Wood and Lillianne Cadieux-Shaw,
for the respondent Elizabeth Moore Frederiksen
Mark Freiman, for the respondent Bernie
Farber
Heard: February 28, 2022, by video conference
ENDORSEMENT
[1]
The appellant moves for an order setting aside the Registrars dismissal
of her appeal and asks for extra time to perfect the appeal.
[2]
The respondents ask that the motion be dismissed. They submit that the
appeal has no merit, and that the appellant has not adequately explained the
delay.
The Judgment below
[3]
On February 3, 2021, the motion judge dismissed the appellants claims
on a summary judgment motion, awarded judgment for damages for defamation
against her and granted a permanent injunction against her. The terms of the
injunction restrained the appellant from making or publishing any statement
referring to the respondent Elizabeth Moore Frederiksen
[1]
and required her to remove all online statements she has made about Frederiksen,
release all domain names she had created using Frederiksens name and refrain
from using any online identifier containing that name. The appellant served a
Notice of Appeal on March 3, 2021, and filed it two days later. On March 26,
2021, the motion judge ordered her to pay costs and confirmed the permanent
injunction.
The nature of the action
[4]
Both the appellant Elisa Romero Hategan and the respondent Frederiksen
are former active members of Heritage Front, an extremist neo-Nazi group. Each
says that they had a difficult childhood or adolescence. They both became
disillusioned with the group and left. After leaving, both women have spoken
publicly against extremism and hate groups. The appellant feels that
Frederiksens public persona amounts to an appropriation of the appellants own
identity as an anti-hate speaker. The appellant feels that Frederiksens
appearance and her religious and sexual identity have been assumed to steal the
appellants life and accomplishments.
[5]
The appellant relied upon a public statement made by the respondent
Bernie Farber for the foundation of her action against him. On September 19,
2017, Farber appeared on a television show,
The Agenda
,
and
made the following statement:
By the way [Frederiksen] was one of
a couple women that were involved in the Heritage Front, both of whom,
actually, [Frederiksen] and another young woman by the name of [Hategan], both
of them ended up being heroes in terms of how they were able to take themselves
out, how they were able to work the system, to basically shut down the Heritage
Front. And so in this particular case, itss [sic] kind of interesting that the
women were the heroes in shutting this down. There were others involved as
well, the Bristol Affair, he was the mole. All of this came together as a
result of the women who full timely took a stand and said, were not going to
deal with this anymore.
[6]
The appellant sued both respondents for damages for the torts of wrongful
appropriation of personality, civil conspiracy, injurious falsehood, negligence
and unlawful interference with economic interests. She did not sue for
defamation.
Positions of the parties before the motion judge
(1)
The appellants position
[7]
The appellant took the position that summary judgment was not
appropriate because there were major credibility issues that required a trial
to resolve the many inconsistencies and contradictions in the voluminous evidence
filed on the motion. The legal issues were complex and it would be unfair to
proceed by way of summary judgment before documentary production. The appellant
asserted that Frederiksen lifted facts, storylines and key pieces of the
appellants life story and falsely passed them off as her own lived
experience for commercial profit. The appellant believes that she was the
only young woman who played any role whatsoever in the collapse of the
Heritage Front.
[8]
The appellant asserted that Farber and Frederiksen worked together to
cultivate the latters brand, thereby appropriating the appellants life story.
The appellant argued that since Farber filed no evidence on the motion, his
motion for summary judgment should be dismissed.
[9]
The appellant argued that the respondent Frederiksens motion for
summary judgment on the counterclaim for defamation should be dismissed for the
same reasons.
[10]
The
appellant asserted that there were genuine issues requiring a trial of these
claims, including whether limitation periods barred any of the claims and other
defences.
(2)
The respondents positions
[11]
The
respondents took the position that a credibility assessment was not required.
Even if the appellants evidence was accepted as true, which they denied, the
evidence did not support any actionable claim. They took the position that the
appellants claim was based on speculation, unfounded allegations, and
conspiracy theories. They argued that the elements of the causes of action
asserted by the appellant were not supported by evidence. They argued that
Frederiksen was entitled to speak about her own life experiences. There was no
evidence that Frederiksen had misrepresented her own life experiences in any
material respect. The claim for civil conspiracy was similarly based on an
allegation that the respondents had made and endorsed false representations
that Frederiksen had undergone experiences with the Heritage Front like those
asserted by the appellant. They argued there was no evidence of any agreement
between the respondents that could amount to a conspiracy and no evidence of
any unlawful act against a third party which was intended to target the
appellant. They argued that there was no duty of care owed that could found a
claim in negligence, nor any standard of care nor breach nor damages
identified.
[12]
The
respondent Farber reiterated that his comments on the television broadcast were
incapable of supporting the causes of action alleged. There was no other
evidence capable of supporting any of the pleaded torts and no evidence of any
damages arising from any alleged acts by him. There was no evidence of false
statements by Farber or any agreement that could amount to a conspiracy.
[13]
On
the counterclaim, the respondents argued that it was uncontestable that the
statements were defamatory, that they had been published by the appellant and
that they would tend to lower the reputation of the respondents in the eyes of
a reasonable person. They argued that the defence of justification was not
available because the appellant failed to provide any evidence that the
defamatory statements were true. They submitted that the defence of fair
comment was not available as the statements were clearly published with malice.
Frederiksen argued that the appellant had appropriated her identity by
registering multiple names for website and social media groups using
Frederiksens name and further that the appellant had threatened to sue others
who proposed to engage Frederiksen to speak.
[14]
Frederiksen
argued that a permanent injunction was necessary to end the appellants long
running campaign to ruin her reputation, which did not lessen even after the
counterclaim was brought and continued after a consent interim order
restraining her from defaming Frederiksen was made. The appellant stated she
had nothing left to lose, no assets to lose in a libel case, and that she would
continue to speak.
The motion judges decision
[15]
The
motion judge rejected the arguments advanced by the appellant and found for the
respondents on the counterclaim. She ruled that summary judgment in favour of
the respondents was appropriate.
(1)
The claims against Farber
[16]
She
concluded that Farbers opinion expressed in the television broadcast was not
untrue and was incapable of supporting the torts alleged and that there was no
evidence of damage. She held there was no evidence of an agreement that could
amount to a conspiracy. The opinions expressed about events in the past in the
broadcast could not be construed as appropriation of the appellants name or
image for commercial purposes. Similarly, the claim of unlawful interference
with economic interests was based on allegations of false public statements
about Frederiksens life, said to amount to appropriations of the appellants
life. There was no duty of care owed to support a claim in negligence. She
concluded that the claim against Farber was frivolous and vexatious.
(2)
The claims against Frederiksen
[17]
The
motion judge held that Frederiksen was entitled to speak about her own life
experiences and that this was not an actionable wrong. The evidence was that
Frederiksen had only ever spoken truthfully about her own life. This did not
amount to unauthorized use of a name or likeness of a person as a symbol of
[her] identity. Even taking the appellants evidence at its highest, there was
no evidence of false statements by Frederiksen which underlay the claims for
injurious falsehood and civil conspiracy, no evidence of an agreement to
support the allegation of conspiracy, and no evidence of an unlawful act
directed at a third party to support the claim on interference with economic relations.
There was no basis to find a duty in negligence, no standard of care or breach
identified, and no evidence of any loss.
[18]
The
motion judge held that the defamatory statements the appellant made about the
respondent Frederiksen were not true, and that they were made maliciously and
with abusive intent. The motion judge awarded global damages of $100,000
together with $50,000 for aggravated damages and $50,000 for punitive damages
to Frederiksen for defamation, breach of confidence, appropriation of Frederiksens
name on websites and social media sites and interference with her economic
relations. She agreed that a permanent injunction was necessary to restrain the
appellants behaviour and invited counsel to make submissions as to the form of
the order.
The delay following the summary judgment
[19]
The
appellant submits that she manifested an intention to appeal by serving and
filing a notice of appeal from the summary judgment on March 3, 2021 and March
5, 2021 respectively. She says that she mistakenly thought she had 60 days
after the receipt of the transcripts of the summary judgment hearing to perfect
the appeal. There was no transcript of the hearing; it proceeded on a written
record. Pursuant to Rule 61.09(1)(a) of the
Rules of Civil
Procedure
, R.R.O.
1990, Reg. 194,
she was required to perfect her appeal within 30
days from March 5, 2021. On April 6, 2021, the Registrar of this court gave
notice to the appellant of an intention to dismiss the appeal for delay,
pursuant to Rule 61.13 (2.1). The notice gave her an extension to April 28,
2021, to perfect the appeal and explained how to obtain a further extension if
requested before that date. She was warned that the Registrar intended to
dismiss the appeal if it was not perfected or the time was not otherwise
extended.
[20]
On
April 8, 2021, counsel emailed the appellant to advise her of the rules to
perfect her appeal, and warning that unless perfected there would be a motion
to dismiss the appeal for delay. On cross examination on the appellants
affidavit on this motion, the respondents learned that the appellant had
retained Mr. Kary as her fourth counsel in mid-April, close to the date of the
email, although that was not communicated to the respondents until May 12,
2021.
[21]
Counsel
for Frederiksen wrote to the court on April 16, 2021, to ask for an opportunity
to make submissions if the appellant asked for a further extension to perfect
the appeal.
[22]
Nothing
happened over the following weeks and on May 3, 2021, counsel for Frederiksen
wrote to the court to ask if the matter had been dismissed for delay, copying
the appellant on that correspondence.
[23]
On
May 12, 2021, Mr. Kary wrote to advise that he was now acting for the appellant
and asked for more time to perfect the appeal. Frederiksens counsel advised
that the respondents would not consent.
[24]
Mr.
Kary did not respond. On May 26, 2021, counsel for Frederiksen wrote to the
court inquiring about the dismissal for delay, and followed up with another
letter on July 1, 2021, with copies to both Mr. Kary and the appellant. There
was no response indicating that they intended to pursue the appeal.
[25]
On
July 21, 2021, the Registrar dismissed the appeal for delay because it had not
been perfected. On August 18, 2021, the appellants counsel advised that he was
bringing a motion to set aside the administrative dismissal. He still had not
filed a notice confirming that he was now counsel of record. Counsel on both
sides initially agreed to a motion date of October 1, 2021. Frederiksens
counsel suggested a timetable for various steps to ensure that date could be
met. The appellants counsel did not provide his motion materials until October
8, 2021.
[26]
Cross
examinations were initially set for October 20, 2021, however the appellants
counsel indicated that he intended to file a further affidavit in reply which
had not been contemplated by the initial timetable. Counsel for the Frederiksen
asked that the affidavit be delivered by October 25, 2021, so that cross
examinations could deal with all of the appellants evidence. Cross
examinations were conducted on October 27, 2021.
[27]
I
admit the fresh evidence proffered by the respondents consisting of
correspondence between counsel to illustrate how events unfolded after cross examinations.
On November 4, 2021, counsel for Frederiksen wrote to appellants counsel to
ask if he had arranged for a date for argument of the motion. She provided him
with transcripts of the cross examination the next day and extended the
timetable to give the appellants counsel until November 12, 2021, to deliver
his factum, still hoping that the motion could be heard before the end of the
year.
[28]
On
November 12, 2021, counsel for the appellant advised his factum was not yet
complete and that he had not yet secured the motion date. He delivered his
factum on November 15, 2021. On December 10, 2021, he advised that he would not
be able to bring the motion before the end of the year.
[29]
Counsel
for the appellant advised that he had obtained a date for the motion of January
11, 2022, but that this was intended to be a placeholder date only and that it
was not his intent to file the material with the Court any time in the
immediate future. I am neither confirming or agreeing to the date at this time.
He was hopeful that if another matter requiring Frederiksens counsels
attention settled, the motion could still be argued in December 2021, but later
indicated that personal issues on his part and his clients absence meant that
the motion could not proceed in December.
[30]
On
December 7, 2021, the respondents offered to amend the terms of the injunction
to allow the appellant to communicate with her medical and mental health
advisors, to respond to concerns about the breadth of the injunction. They
asked the appellants counsel to provide a draft document to reflect their
acceptance of his proposal to effect this by way of agreement, rather than an
amendment to the judgment. No such document was ever forthcoming.
[31]
The
appellant ultimately brought a motion returnable January 11, 2022, some 13
months after the judgment.
The Grounds of Appeal
[32]
The appellant challenges the motion judges
decision on many grounds. Her initial Notice of Appeal lists 38 paragraphs of
grounds of appeal, many of them compounding multiple criticisms of the judgment
and the motion judge. Her supplementary Notice of Appeal adds 15 more
paragraphs alleging error.
[33]
While the appellants counsel indicates that he
takes no issue with any of the factual findings made by the motion judge, he
submits that she did not follow the procedure mandated by
Hryniak v.
Mauldin
, 2014 SCC 7, [2014] 1 S.C.R.
87
for fact finding on a summary judgment motion and that
the judgment must be set aside on that ground. He submits that the motion judge
necessarily evaluated credibility and weighed competing evidence.
[34]
He submits that the injunction granted
restraining the appellant from speaking about Frederiksen was too broad and
that such relief should only be granted in the clearest of cases. He submits
that the motion judges reasons finding the appellant liable on the
counterclaim were insufficient and failed to address the allegedly defamatory
statements individually. He submits that the trial judge erred in finding the
appellants statements about Frederiksen were made maliciously.
[35]
He submits that after judgment was given, but
before the terms of the injunction were settled, the motion judge received
unsolicited correspondence from counsel for Frederiksen enclosing a letter the
appellant had sent to the Canadian Race Relations Foundation, enclosing her
Notice of Appeal and complaining about the conduct of the motion judge. This,
he says, could have affected the motion judges decision about the scope of the
injunction. The appellant is critical of the motion judges liberal importation
of the respondents factums, cutting and pasting substantial parts of them into
her reasons. She criticizes the motion judge for casual comments about previous
law firm relationship with one of the respondents counsel dating back to the
year 2000 and other casual comments about her own retirement, golf, spouse and
dinner plans. She alleges that the motion judge was biased, favoured the
respondents, and pressured her counsel.
[36]
While the appellant did not plead defamation,
and such a claim would have been barred by the very short limitation period in
the
Libel and Slander Act
, R.S.O. 1990, c. L.12, the appellant submits
that her claim was in essence a claim in defamation and that the motion judge
should have analysed it on that basis.
[37]
The appellant submits that the motion judges
reasons for dismissing the claim of wrongful appropriation of personality were
inadequate and wrong.
[38]
The appellant has not particularized her grounds
of appeal by filing a draft factum on this motion and has not suggested a date
by which her appeal would be perfected.
Have the respondents been prejudiced by the
appellants delay?
[39]
The appellant submits that the respondents have
suffered no prejudice from delay on her part, which should be forgiven because
she was self represented for the initial period following the judgment, and
because the matter was complex. Since the injunction would remain in place
pending the hearing of the appeal, the respondents would be protected from
further defamatory statements.
[40]
In sum, the appellant submits that the justice
of this case requires that the Registrars order dismissing the appeal be set
aside and that she be allowed to perfect her appeal.
Analysis
[41]
The relevant factors on this motion to extend
the time to perfect an appeal and to set aside a Registrars dismissal are not
in dispute:
Issasi v. Rosenzweig
, 2011 ONCA 112, 277 O.A.C. 391, at
para. 4. They are:
1.
whether the appellant formed an intention to
appeal within the relevant period;
2.
the length of the delay and explanation for the
delay;
3.
any prejudice to the respondent;
4.
the merits of the appeal; and
5.
whether the justice of the case requires it.
[42]
While the appellant manifested an intention to
appeal within 30 days of the judgment in issue, I am not persuaded that she has
pursued the appeal with reasonable diligence. The initial notice from the
Registrar should have prompted her to act with a sense of urgency, knowing that
there was a risk her appeal would be dismissed for delay. The summary judgment
motion was based on a written record. Assembly of an appeal book incorporating
those documents would have been a mechanical exercise which could have been
completed without delay but still has not been done. If the appellant proposed
to place fresh evidence before the panel hearing the appeal about the conduct
of the hearing, that should have been articulated in an affidavit accompanying
a motion to admit fresh evidence. The appellant had no apparent difficulty
articulating her complaints about the trial process in her first Notice of
Appeal. She has not done so. Cross examination on any such affidavit would
almost certainly be required and would lead to further delay even if she
delivered an affidavit promptly.
[43]
The issues on the appeal are largely defined by
the reasons for judgment, and I am not satisfied that there is a reasonable
excuse for failure to deliver a factum. No draft factum has been delivered to
identify the issues that would be argued on appeal.
[44]
We are now 13 months after the judgment and
these steps have not been taken. Her approach to the appeal has been desultory.
While the length of the delay is not amongst the worst seen in this court, it
is important to recall the context of a summary judgment motion, which by its
nature is intended to avoid a trial when one is not required and promote
proportionate, economical and speedy access to justice.
The merits of the appeal
[45]
In oral argument, the appellants counsel agreed
that the linchpin upon which all of the appellants asserted causes of action
rested was her allegation that the respondents made false statements. When
asked to point to any evidence of such false statements, counsel was unable to
do so. This was a sufficient basis to dismiss her claims. The motion judges
observations that the appellants claims were based on speculation were well
founded. I agree with her observation that the claim advanced against Farber
was frivolous and vexatious.
[46]
Here, the motion judge was not weighing the
credibility of competing versions of events. Even taking the appellants case
at its highest, there was a critical gap in her evidence. Under these
circumstances, the motion judge did not err in concluding that this was an
appropriate case for summary judgment.
[47]
The appellant argues that although not pleaded
or argued, the motion judge should have treated this as an action for
defamation. The motion judge would have erred had she done so. It would be even
more inappropriate to permit these arguments to be advanced for the first time
on appeal. Such a claim would likely be barred by the three-month limitation
period under the
Libel and Slander Act
. Farber made his remarks in the
broadcast on September 19, 2017. The amended statement of claim adding him as a
defendant was issued on April 15, 2019. Farbers remarks were not on their face
capable of a defamatory meaning. This is a question of law.:
Lysko v.
Braley
(2006), 79 O.R. (3d) 721 (CA), at para. 116. Similarly, a claim in
defamation against Frederiksen could not survive the absence of any evidence of
defamatory statements.
[48]
The tort of appropriation of personality was
recently discussed in
Wiseau Studio, LLC et al. v. Harper et al.
,
2020 ONSC 2504, an authority relied
upon by both the appellant and the respondent Frederiksen. In general, the tort
is established when a persons personality has been appropriated, amounting to
an invasion of his right to exploit his personality by the use of his image, voice
or otherwise with damage to the plaintiff:
Wiseau
, at para. 212. Frederiksens
truthful statements about her own life experiences and her own choices about
sexual and religious practices cannot amount to an invasion of the appellants
right to exploit her own personality. There is no evidence that Frederiksen
used the appellants name or likeness by way of commercial exploitation.
[49]
The claim for injurious falsehood fails in the
absence of any evidence of false statements by either respondent and in the absence
of evidence of malice on their part.
[50]
The claim for civil conspiracy fails in the
absence of any evidence of an agreement. While the appellant argues on appeal
that the unlawful means used to advance the conspiracy was defamation, this fails
in the absence of evidence of defamatory statements.
[51]
The tort of unlawful interference with economic
relations is established where a plaintiff suffers economic loss resulting from
a defendants unlawful act against a third party, intended to target the
plaintiff:
A.I. Enterprises Ltd. v. Bram Enterprises Ltd.
, 2014 SCC 12,
[2014] 1 S.C.R. 177, at paras. 23, 43, 45. Here, there was no unlawful act nor
a third party identified.
[52]
There is no basis to posit a novel duty of care
that would support a claim in negligence. The appellant did not articulate in her
pleadings or argument any standard of care, any breach of that standard or
damages due to negligence, all of which are essential elements of a claim in
negligence.
[53]
Nor do the appellants expressed concerns about
the conduct of the trial judge rise to the level required to displace the
presumption of judicial integrity and impartiality:
Cojocaru v. British
Columbia Womens Hospital and Health Centre
, 2013 SCC 30, [2013] 2 S.C.R.
357, at paras. 15-20. Frederiksens counsel did not breach Rule 1.09 by sending
unsolicited communications to the motion judge between the date of the judgment
and the date when the terms of the injunction were settled. The motion judge
invited counsel to communicate with her about the terms of the injunction. The
appellants actions in continuing to communicate with third parties about the
respondents was relevant to the scope of the injunction.
The counterclaim
[54]
The evidence that the appellant made defamatory
statements about Frederiksen was overwhelming. The motion judge described the
breadth of circulation, the degree of repetition and the seriousness of the
harm inflicted at pp. 131-133 of her reasons for decision:
[131] Ms. Moore submits that the defamatory
statements meet all three of these elements. First, the defamatory statements
were published by Ms. Hategan. The majority of the defamatory statements were
posted online on a variety of social media platforms and websites accessible
worldwide to thousands of viewers. In certain instances, the defamatory
statements were emailed directly to third parties and, with respect to the
case summary, was emailed to over 500 people. Secondly, Ms. Moore is the
clear target of the defamatory statements. The Court of Appeal for Ontario has
confirmed that defamation can be made out through statements that do not refer
specifically to the plaintiff, in this case Ms. Moore, but follow previous
statements in which Ms. Moore is specifically identified. In most cases
the defamatory statements expressly identify Ms. Moore by name or photograph.
In certain defamatory statements, she is not specifically named, but these
statements follow previous statements in which she is specifically identified. A
reasonable reader would understand that the publication is about
Ms. Moore.
[
132
] Finally, Ms. Moore
claims that there is no question that the defamatory statements would tend to
lower Ms. Moores reputation in the eyes of a reasonable person. She submits
that the defamatory statements are of the most serious nature, containing
accusations of manifestly improper and immoral conduct, and contain all the
essential hallmarks of expression that is not worthy of protection. In their
plain and ordinary meaning, the defamatory statements would be understood to
mean that Ms. Moore is a stalker; is a liar; is dangerous; is not to be
trusted; has engaged in unethical and illegal behaviour; is homophobic; is
lying about being bisexual; is a bigot; is delusional; suffers from mental
illness; has engaged in fraud; has capitalized on white supremacy for personal
gain; has colluded with individuals and organizations to attain financial
gains; has appropriated Ms. Hategans experiences for her own personal and
financial gain; trades sexual favours for success; and has committed perjury by
lying in an affidavit filed with the court.
[
133
]
I agree that the tort of defamation has been made out. The words complained of
were published to at least one other person; the words complained of referred
to Ms. Moore either directly or indirectly and the impugned words are
defamatory, in the sense that they tend to lower Ms. [Moore]s reputation in
the eyes of a reasonable person. [Footnotes omitted.]
[55]
I do not accept the argument that in this
context, the motion judge was obliged to examine each statement made by the
appellant in isolation.
[56]
The onus was on the appellant to establish any
defence to the defamation. Given the gaps in the appellants evidence, I am not
persuaded that the motion judge erred in rejecting the defences of justification
and fair comment. The thrust of the appellants campaign was that Frederiksen
was dishonestly stealing her identity. That was not established. Here, the mode,
style, tenor, tone, language, broad dissemination over multiple platforms as
well as the content of the communications scream of malice. The evidence
proffered by the appellant did nothing to dispel that impression: see
Zhong
v. Wu
, 2019 ONSC 7088, at para. 24.
[57]
The appellant also submits that the motion judge
erred in granting an injunction restricting her ability to speak about
Frederiksen. The terms of the injunction are as follows:
4. THIS COURT ORDERS that a permanent
injunction be granted as against Hategan restraining Hategan from making,
distributing, disseminating or in any way publishing any statement orally or in
writing (including electronic) on any online platform or through any medium or
to any third party whatsoever that: (a) refers to Frederiksen by name; or (b)
refers to Frederiksen with sufficient detail or information to make it possible
to reasonably identify Frederiksen even without referring to Frederiksens
name;
5. THIS COURT ORDERS that Hategan remove from
any online platform any statement that she has distributed, disseminated or in
any way published about Frederiksen, including but not limited to all
statements listed in the Amended Claim, and that all such statements be removed
within seven days of this Order;
6. THIS COURT ORDERS that within seven days of
this Order, Hategan contact all relevant entities and take all necessary steps
to release and never again use all domain names listed at paragraph 44 of the
Amended Claim and any other domain names which Hategan may have created that
refer to Frederiksen or use Frederiksens name;
7. THIS COURT
ORDERS that Hategan will refrain from ever purchasing, holding, using or
controlling any internet domains, tags, handles, websites, profiles or other
online identifiers containing Frederiksens name;
[58]
Given the appellants history of disregarding
the interim order and the intentions she expressed, there was good reason to
believe that absent an injunction she would continue her abusive campaign. Further,
there was good reason to believe that any judgment for damages was unlikely to
be recoverable. Given the breadth and persistence of the defamatory conduct, I
am not persuaded that the injunction was overly broad: see
Rainy River
(Town) v. Olsen
, 2017 ONCA 605, 6 C.P.C. (8th) 1, at para. 5. The appellant
is not restrained from speaking about the many matters that are important to
her, provided she does not refer to Frederiksen. This is a modest limitation on
her freedom of speech, in the circumstances.
[59]
In her factum filed on this motion, the appellant
does not challenge the motion judges conclusions that the appellant had
appropriated Frederiksens identity by securing domain and web site names
incorporating the latters name, nor that the appellant had publicized a
confidential communication made to her by Frederiksen, except to say that the
motion judge should not have made a global award of damages for all of the
wrongs committed by the appellant. The overall award was reasonable. There is
little likelihood it would be altered on appeal.
[60]
Overall, I conclude that there is little or no
merit to the appeal.
Prejudice
[61]
It would be prejudicial to the respondents to
incur further costs to resist an appeal with so little merit, particularly
given the appellants assertions that she is immune from any judgment awarded
against her: see
Bobel v. Humecka
,
2021 ONCA 757.
The overall justice of the case
[62]
I recognize the importance of the right of
appeal. However, stepping back and looking at this matter as a whole, I am not
persuaded that the Registrars order dismissing the action should be set aside
nor that further time should be allowed to perfect the appeal. Considering the
appellants failure to pursue the appeal with reasonable timeliness, the little
merit to the appeal, the prejudice to the respondents, coupled with the evident
malice with which the appellant has acted, to the detriment of the respondents,
the motion is dismissed.
[63]
The respondent Frederiksen does not seek costs
of this motion if it is dismissed. The respondent Farber sought costs fixed at
$5,000.00. There is no reasons why costs should not follow the result of this
motion, if demanded, and costs of the motion are awarded to Farber fixed at $5,000.00
inclusive of taxes and disbursements.
G.
Pardu J.A.
[1]
Elizabeth Moore Frederiksens legal name is Elizabeth
Frederiksen, but she continues to use her original name, Elizabeth Moore, for
her work.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Oliveira v. Oliveira, 2022 ONCA 218
DATE: 20220317
DOCKET: M52988 (C69619)
van Rensburg, Nordheimer and
Harvison Young JJ.A.
BETWEEN
Jack
Oliveira and Luis Camara on their own behalf and on behalf of all
members of Labourers
International Union of North America, Local 183
Plaintiffs (Responding Parties)
and
Mario Oliveira
Defendant (Moving Party)
Mario Oliveira, acting in person
Youssef Kodsy and Michael D. Wright,
for the responding parties
Heard: March 7, 2022 by video conference
REASONS
FOR DECISION
[1]
This is a motion to review the order of a single
judge of this court under s. 7(5) of the
Courts of Justice Act
,
R.S.O. 1990, c. C.43. The moving party/appellant, Mario Oliveira, commenced an
appeal in this court. He purported to appeal several orders and endorsements of
a motion judge of the Superior Court (the SCJ motion judge). At the forefront
is an order dated February 26, 2021 (the Contempt Order), finding him in
contempt of two earlier orders of the SCJ motion judge. The appellant also
seeks to appeal other orders that preceded and followed the Contempt Order,
including an order dated April 29, 2021 sentencing him to a period of
incarceration, with the term to be determined, and a costs order dated June 25,
2021.
[2]
The appellant did not perfect his appeal within
the requisite time. On the day following the perfection deadline, he brought a
motion before a single judge of this court (the chambers judge), seeking an
extension of time to perfect his appeal and other relief. The chambers judge (1)
refused to grant an extension of time to perfect the appeal; (2) refused to
stay the appellants sentencing for contempt; and (3) ordered sealed a document
that was included in the appellants motion materials in violation of the
deemed undertaking rule.
[3]
The appellant has since been sentenced for
contempt. On January 14, 2022, he was sentenced by the SCJ motion judge to a
period of incarceration of 89 days to be served intermittently when Ontario
jails permit. That order is the subject of another appeal to this court. On
consent, Pardu J.A. made an order on March 1, 2022, extending the time to
appeal and staying the order pending appeal. She also directed case management
of that appeal, the appeal in C70060, and the present panel motion and appeal.
She explained that either party may seek an appointment with a case management
judge.
[4]
The appellant brought a motion before this panel
to review the chambers judges order. In particular, he asserts that the
chambers judge erred in refusing to extend time for his appeal and in ordering
a document contained in his materials (which he has refiled in his materials on
this review motion) to be sealed.
[5]
A panel may interfere with the order under
review under s. 7(2) of the
Courts of Justice Act
if the motion judge
failed to identify the applicable principles, erred in principle, or reached an
unreasonable result:
Hillmount Capital Inc. v. Pizale
, 2021 ONCA 364, 462
D.L.R. (4th) 228, at para. 18.
[6]
In our view, the refusal of the chambers judge
to extend time to appeal the Contempt Order reflects such an error. Applying
the justice of the case test, and considering all of the relevant factors, we
grant the extension of time for the appellant to appeal the Contempt Order, and,
in the circumstances, certain other orders that are related to the contempt
proceedings. We do not see any error in the decision to order sealed a document
that was subject to the implied undertaking rule, and we make the same order in
respect of the same document which has been filed in this review motion.
[7]
The parties have been involved in several legal
actions, some of which are ongoing. The orders the appellant seeks to appeal
were made in the context of a breach of confidence action commenced by the
respondents as a result of the appellants threat to disseminate certain information
to a confidential list of contact addresses that he allegedly obtained through
his former employment with the respondent union. The SCJ motion judge made an
order dated December 23, 2020, requiring the return of the confidential list,
prohibiting the appellants use and retention of the confidential list, and
appointing a forensic inspector to examine the appellants devices and accounts
to confirm that the confidential list was permanently and irrevocably deleted. She
made a subsequent order on January 28, 2021, requiring compliance with the
December 23 order.
[8]
On February 26, 2021, on motion by the respondents,
the SCJ motion judge found the appellant in contempt of the December 23 and
January 28 orders and made the Contempt Order. She deferred sentencing to
permit the appellant the opportunity to purge his contempt. In an endorsement
dated April 16, 2021 (reported at 2021 ONSC 2856), she refused the respondents
request to stay an action pending in another court as part of the sentencing
for contempt. On April 29, 2021, the SCJ motion judge issued Reasons for
Sentence, concluding that she would order a term of incarceration to be served
once the Covid-related circumstances subside. On June 25, 2021, she ordered costs
of the contempt proceedings to the respondents and fixed the amount.
[9]
On July 7, 2021 the appellant served and filed a
notice of appeal (which has since been amended) and a Certificate Respecting
Evidence purporting to appeal the various orders and endorsements of the SCJ
motion judge, including the Contempt Order. In the months that followed, the appellant
served and filed other documents in connection with his appeal, including an Exhibit
Book and a Factum. Although the appellant also prepared and served an Appeal
Book and Compendium, it was not accepted for filing because it did not include
the signed and entered orders under appeal. The respondents served and filed a Respondents
Certificate Respecting Evidence.
[10]
After the court refused the appellants filing, he
brought a motion before the chambers judge for an extension of time to perfect
his appeal and other relief.
[11]
In denying an extension of time to appeal the
Contempt Order, the chambers judge noted two concerns: first, there was a
substantial delay between the date of the order and the date on which the appellant
filed his first notice of appeal; and second, and more importantly, the appeal
was without merit. The chambers judge stated that nothing in the appellants
submissions pointed to any error in the SCJ motion judges decision or
suggested any basis for the court to intervene on appeal. He observed that [t]he
appellant asserts that he has complied with the order to provide his devices
for forensic inspection even though he acknowledges that he destroyed them, and
so precluded that inspection permanently: at para. 8. In these circumstances,
the chambers judge concluded that the appellant failed to establish that the
justice of the case required an extension.
[12]
The chambers judge concluded that the appeals
from the other orders lay to the Divisional Court, such that an extension of
time would inevitably result in the appeals being quashed for want of
jurisdiction. He therefore declined to grant an extension to perfect the appeal
in respect of these other orders.
[13]
In our respectful view, the chambers judge erred
in principle in refusing an extension of time to appeal the Contempt Order on
the basis that the appeal lacks merit.
[14]
In a motion to extend time to appeal, the
overriding issue is whether it is in the interests of justice in the particular
circumstances to extend time:
Rules of Civil Procedure
, R.R.O. 1990,
Reg. 194, r. 3.02(1);
2363523 Ontario Inc. v. Nowack
, 2018 ONCA 286,
at para. 4. Among the relevant factors, the court may consider whether the
appeal has so little merit that the court could reasonably deny the important
right of appeal:
Duca Community Credit Union Ltd. v. Giovannoli
(2001), 142 O.A.C. 146 (C.A.), at para. 14. Other factors include whether the
appellant intended to appeal during the appeal period; the length of and
explanation for the delay; and prejudice to the opposing party:
Denomme v.
McArthur
, 2013 ONCA 694, 36 R.F.L. (7th) 273, at para. 7. Consideration
must be given to all factors relevant to the circumstances of the case:
Leighton
v. Best
, 2014 ONCA 667, 20 C.B.R. (6th) 326, at para. 14.
[15]
The challenge here is that, while the Contempt
Order was made in open court on February 26, 2021, the SCJ motion judge did not
provide any written reasons or endorsement. According to the respondents counsel,
she did provide oral reasons, however no transcript has been filed with this
court. The respondents counsel submit that the SCJ motion judges reasons for
making the Contempt Order can be gleaned from certain passages in her
subsequent endorsements, and that this was a proper basis for the chambers
judge to conclude that the appeal of the Contempt Order is without merit.
[16]
We disagree. A civil contempt order is a serious
matter. The power to find an individual guilty of contempt is exceptional, and
exercised as a last resort, only after finding that the necessary elements are
made out, and after affording the alleged contemnor procedural fairness:
Carey
v. Laiken
, 2015 SCC 17, [2015] 2 S.C.R. 79, at para. 36;
Bell
ExpressVu Limited Partnership v. Corkery
, 2009 ONCA 85, 94 O.R. (3d) 614,
at para. 20; and
2363523 Ontario Inc. v. Nowack
, 2016 ONCA 951, 135
O.R. (3d) 538, at para. 37, leave to appeal refused, [2017] S.C.C.A. No. 62.
Without seeing the reasons for the Contempt Order, it is impossible to assess,
even in a preliminary way, the merits of the proposed appeal. Moreover, a lack
of reasons itself can be a ground of appeal. At the time the motion was heard
by the chambers judge, the respondents had not even taken out a formal order.
[17]
In the circumstances, the chambers judge erred
in dismissing the motion for an extension of time primarily on the basis that
the appeal lacks merit. He also erred by failing to consider all the
circumstances.
[18]
The only other factor referred to by the
chambers judge with respect to an extension of time to appeal the Contempt
Order was that the appellant was substantially late: the time to appeal the
contempt finding was 30 days from February 26, 2021, and the appellants first notice
of appeal was served several months later, in early July 2021. While it is no
doubt true that there was a delay, the appellants confusion is at least partly
explained by the fact that the decision was made orally, there were no written
reasons, and the respondents had not taken out an order.
[19]
There are other relevant circumstances,
including the seriousness of the finding of contempt that, as in the present
case, can lead to a penalty of imprisonment. In addition, after filing his
notice of appeal, the appellant continued to take steps with a view to
perfecting his appeal, the respondents did not object to the late filing of the
notice of appeal, and there was no assertion of prejudice.
[20]
In all the circumstances, we are satisfied that
an extension of time to appeal the Contempt Order is warranted.
[21]
As for the other orders and endorsements
referred to in the appellants notice of motion, we agree with the chambers
judge that no extension is warranted in respect of an appeal of an order that
is interlocutory. This precludes an extension of time in respect of the order
dated April 16, 2021. We would, however, direct that the extension of time to
perfect the appeal includes the orders of the SCJ motion judge dated April 29,
2021 and June 25, 2021. The April 29, 2021 decision determined that a sentence
of imprisonment was required, while the June 25, 2021 endorsement awarded costs
of the contempt proceedings to the respondents and fixed the amount. In our
view, it makes sense to grant an extension of time for the appellant to perfect
his appeal to include the April 29 sentencing decision and to permit him to
seek leave to appeal the costs order when he appeals the Contempt Order.
[22]
The appellant has included in his materials a
certificate stating that he has ordered transcripts. Apparently, the
transcripts he has obtained have not been prepared by a certified transcriptionist.
The respondents indicated at the hearing before us that they will object to any
such transcripts being used in the appeal. For their part, the Respondents
Certificate Respecting Evidence lists a number of transcripts the respondents
contend are necessary for the appeal. Arguably many of the transcripts from the
various attendances before the SCJ motion judge and other judges may not be required
for this appeal. As noted earlier, at the hearing of this motion, counsel for
the respondents indicated that the SCJ motion judge gave oral reasons for
finding the appellant in contempt on February 26, 2021. This transcript should
be before the court in this appeal. Any directions respecting transcripts may
be sought from the case management judge.
[23]
Finally, there is no basis to interfere with the
decision of the chambers judge to seal a document that the appellant included
in his motion materials. The appellant filed the same document in this review
motion, notwithstanding that it has absolutely no relevance to the matters
before us. There is no question that the appellant knowingly violated the
deemed undertaking rule when he filed this document. The document, which is located
at Volume 2, Tab 1 of his motion record, is not properly part of the court
record and will be sealed.
[24]
For these reasons, the order of the chambers
judge is set aside in part. An order will go extending time to perfect the
pending appeal as it relates to the Contempt Order, the April 29, 2021
sentencing decision and seeking leave to appeal the costs order dated June 25,
2021, with the following directions:
a)
Counsel for the respondents are to provide the issued
and entered Contempt Order that they had taken out to the appellant by March
21, 2022;
b)
The appellant is to amend his Appeal Book and
Compendium to include the issued and entered Contempt Order, and serve and file
it by March 31, 2022; and
c)
The appeal will be considered perfected once the
Appeal Book and Compendium is filed.
[25]
As was ordered by Pardu J.A. on March 1, 2022,
either party may request an appointment with a case management judge should
further directions be required.
[26]
There will be no costs of this motion.
K.
van Rensburg J.A.
I.V.B.
Nordheimer J.A.
A.
Harvison Young J.A.
|
WARNING
An order restricting publication in
this proceeding was made under s. 517 of the
Criminal Code
and
continues to be in effect. This section of the
Criminal Code
provides:
517(1) If the prosecutor or
the accused intends to show cause under section 515, he or she shall so state
to the justice and the justice may, and shall on application by the accused,
before or at any time during the course of the proceedings under that section,
make an order directing that the evidence taken, the information given or the
representations made and the reasons, if any, given or to be given by the
justice shall not be published in any document, or broadcast or transmitted in
any way before such time as
(a) if a preliminary inquiry
is held, the accused in respect of whom the proceedings are held is discharged;
or
(b) if the accused in respect of whom the
proceedings are held is tried or ordered to stand trial, the trial is ended.
Failure to comply
(2) Everyone who fails without
lawful excuse, the proof of which lies on him, to comply with an order made
under subsection (1) is guilty of an offence punishable on summary conviction.
(3) [Repealed, 2005, c. 32, s.
17]
R.S., 1985, c. C-46, s. 517; R.S.,
1985, c. 27 (1st Supp.), s. 101(E); 2005, c. 32, s. 17.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Wright, 2022 ONCA 221
DATE: 20220315
DOCKET: M53231
Lauwers, Pardu and Sossin JJ.A.
BETWEEN
Her
Majesty the Queen
Respondent
and
Robert Steven Wright
Applicant
Michael W. Lacy and Bryan Badali, for
the applicant
Jeremy D. Tatum, for the respondent
Heard: March 10,
2022, by video conference
[1]
A non-publication order under s. 517 of the
Criminal Code
, R.S.C.
1985, c. C-46 was imposed in this matter at the bail hearing in the court
below. That order precludes the publication, broadcast or transmission of any
evidence taken, information given, representations made and reasons given.
[2]
The decision in
R. v. Wright
, 2022 ONCA 221 contains information
covered by that order.
[3]
Accordingly, the decision will be available on the Court of Appeal for
Ontarios website once the non-publication order ceases to be in effect.
[4]
In the interim, a copy of the full decision is available at the Registry
of the Court of Appeal for Ontario at 130 Queen Street West, Toronto.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Abdullahi (Re), 2022 ONCA 220
DATE: 20220317
DOCKET: C69689
Rouleau, Huscroft and Trotter
JJ.A.
IN THE MATTER OF: Abdimalik Abdullahi
AN APPEAL UNDER PART XX.1 OF THE
CODE
Anita Szigeti and Maya Kotob, for the
appellant
Alysa Holmes, for the respondent,
Attorney General of Ontario
Hilary Chung, for the respondent,
Person in Charge of Royal Ottawa Mental Health Centre
Heard: March 11, 2022 by video
conference
On appeal from the disposition of the
Ontario Review Board dated June 8, 2021, with reasons dated July 14, 2021.
REASONS FOR DECISION
[1]
The
appellant seeks an absolute discharge on the basis that the Boards finding
that he poses a significant threat to the safety of the public is unreasonable.
[2]
The
appeal is dismissed for the reasons that follow.
[3]
The
appellant has been under the Boards jurisdiction since 2011, following the commission
of the index offences: two counts of utter threat to cause death or bodily
harm, assault, and causing a disturbance in a public place. In its July 14, 2021
decision, the Board found that the appellant continued to meet the threshold
for significant threat to the safety of the public and maintained the
conditional discharge he had been under.
[4]
The appellant argues that he posed only a
moderate risk of low-level violence; that the Board failed to consider his
disability and the extent to which it mitigated the risk he posed; and that the
Board failed to consider the extent to which the
Mental Health Act
addressed the relevant concerns. We disagree.
[5]
As this court has emphasized, the significant threat
test is onerous:
the Board must be satisfied as
to both the existence and the gravity of the risk of physical or psychological
harm posed by the appellant in order to deny him an absolute discharge:
Carrick
(Re)
, 2015 ONCA 866, 128 O.R. (3d) 209. Although the appellant appeared to
have made progress,
his offer in 2020 to pay another patient to stab or
hit his then-treating psychiatrist supports the Boards finding that he
continued to pose a significant threat. The Board considered that a conditional
discharge was necessary to ensure that the appellants treatment could be
monitored. The Board did not address the extent to which the threat the
appellant posed was mitigated by his disability, but this is insignificant in
light of the fresh evidence proffered by the Person in Charge of Royal Ottawa
Mental Health Centre (discussed below), which demonstrates that he is no longer
wheelchair bound.
[6]
The
fresh evidence is contained in the affidavit of Dr. Zeynep Selaman, the
appellants current attending psychiatrist, and includes excerpts from the
appellants clinical record since the Boards disposition. The appellant
acknowledges that the evidence is relevant and is properly admitted given that
he is seeking an absolute discharge. Accordingly, the fresh evidence is
admitted.
[7]
The
fresh evidence indicates that the appellant has been ambulatory using a
prosthesis since October 2021. Since that time, he sought readmission to the
Royal Hospital on several occasions. On six occasions, the appellants conduct
resulted in staff calling a Code White. He made threatening comments to staff
when he did not get what he wanted and has been physically aggressive. He
punched one orderly in the face, struck another in the arm with his cane, and attempted
to hit other staff.
[8]
As
a result of this conduct, Dr. Selaman has recommended that the appellants
conditional discharge be changed to a detention order. A pre-hearing conference
is to be held March 23, and it is anticipated that a date will be set for the
early review shortly after that.
[9]
In
all of these circumstances, we conclude that the Boards decision that the
appellant poses a significant threat to the safety of the public is reasonable.
[10]
The
appeal is dismissed.
Paul
Rouleau J.A.
Grant
Huscroft J.A.
Gary
Trotter J.A.
|
WARNING
An order restricting publication in this proceeding
was made under s. 517 of the
Criminal Code
and continues to be in
effect. This section of the
Criminal Code
provides:
517(1) If the prosecutor or the accused
intends to show cause under section 515, he or she shall so state to the
justice and the justice may, and shall on application by the accused, before or
at any time during the course of the proceedings under that section, make an
order directing that the evidence taken, the information given or the
representations made and the reasons, if any, given or to be given by the
justice shall not be published in any document, or broadcast or transmitted in
any way before such time as
(a) if a preliminary inquiry is held, the
accused in respect of whom the proceedings are held is discharged; or
(b) if the accused in respect
of whom the proceedings are held is tried or ordered to stand trial, the trial
is ended.
Failure to comply
(2) Everyone who fails without lawful excuse, the
proof of which lies on him, to comply with an order made under subsection (1)
is guilty of an offence punishable on summary conviction.
(3) [Repealed, 2005, c. 32, s. 17]
R.S., 1985, c. C-46, s. 517; R.S., 1985, c. 27 (1st
Supp.), s. 101(E); 2005, c. 32, s. 17.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Silva-Stone, 2022 ONCA 222
DATE: 20220316
DOCKET: M53126
Strathy C.J.O. (Motion
Judge)
BETWEEN
Her Majesty the Queen
Respondent
and
Erick
Silva-Stone
Applicant
Michael Johnston and James Coulter, for the applicant
Gavin MacDonald, for the respondent
Heard: March 11, 2022 by video conference
[1]
A non-publication order under s. 517 of the
Criminal Code
, R.S.C. 1985, c. C-46,
was imposed in
this matter at the bail hearing in the court below. That order precludes the
publication, broadcast, or transmission of any evidence taken, information
given, representations made, and reasons given.
[2]
The decision in
R. v. Silva-Stone,
2022 ONCA 222, contains information
covered by that order.
[3]
Accordingly, the decision will be available on the Court of Appeal for
Ontarios website once the non-publication order ceases to be in effect.
[4]
In the interim, a copy of the full decision is available at the Registry
of the Court of Appeal for Ontario at 130 Queen Street West, Toronto.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Campbell, 2022 ONCA 223
DATE: 20220321
DOCKET: C68302
Tulloch, van Rensburg and
Nordheimer JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Dwayne
Campbell
Appellant
James Foy, for the appellant
Michael Fawcett and Andrew Hotke, for
the respondent
Heard: September 7, 2021 by video
conference
On appeal from the convictions entered
by Justice David E. Harris of the Superior Court of Justice on July 10, 2019.
Nordheimer J.A.:
[1]
Mr. Campbell appeals from his convictions for
robbery, forcible confinement, and use of an imitation firearm in the
commission of an offence. The appellant submits that the application judge
erred in dismissing his application for a stay arising from an alleged breach
of his right to be tried within a reasonable time, contrary to s. 11(b) of
the
Canadian Charter of Rights and Freedoms
.
For the
following reasons, I would dismiss the appeal.
A.
Background
[2]
While it is not necessary to review every court appearance
in this case in order to properly address the s. 11(b) issue, some
recitation of the history of this matter is required.
[3]
The appellant was arrested on February 16, 2017
and brought to court the following day. The allegations arose from a home
invasion robbery that took place on December 19, 2016. The appellants
co-accused had been arrested on the day of the robbery, a short distance from
the scene.
[4]
On March 9, 2017, a judicial pre-trial was
scheduled for March 23. The appellant was represented but the appellants
co-accused was not. Consequently, the pre-trial took place in court. Crown
counsel said that he had provided disclosure both to the appellants counsel
and to prospective counsel for the co‑accused. There was some issue over
whether prospective counsel would, in fact, be retained by the co-accused. Six
days was settled upon as a time estimate for the preliminary hearing, but the court
lacked dates before 2018.
[5]
On March 30, the parties appeared again and
succeeded in securing target preliminary inquiry dates for September 2017, with
a single date in October for a witness significant to the case against the
co-accused. The co-accused objected to setting dates for the preliminary
hearing.
[6]
A continuing judicial pre-trial was then
scheduled for April 13, 2017. The Crown obtained an order appointing counsel to
cross-examine one child witness on behalf of the co-accused pursuant to s. 486
of the
Criminal Code
, R.S.C. 1985, c. C-46. On April 26, the Crown
reported that Legal Aid had said that they were willing to issue a certificate
to fund counsel for the co-accused, but the co-accused said that he was not
sure that he would use the Legal Aid certificate that had been offered. The appellants
bail hearing was scheduled for May 2. It proceeded that day and the appellant
was ordered detained in custody.
[7]
On May 5, 2017, the parties appeared again. The
co-accused stated that he would proceed without a lawyer because he mistrusted
everyone involved. A date was set for a bail hearing for the co-accused and he
was ultimately ordered detained.
(1)
The First Trial Date
[8]
The preliminary inquiry proceeded as scheduled
on the target dates set in September, and both accused were committed for trial
on September 13, 2017. The co-accused was represented by counsel at the
hearing. On September 29, the parties made a first appearance in the Superior
Court, saying they were prepared to set judicial pre-trial dates. They agreed
on October 26, 2017. The presiding judge pushed the parties to also target
trial dates. Eventually, June 11, 2018 was selected for an anticipated 12-day
jury trial.
[9]
In the last week of May 2018, less than two
weeks before the trial was scheduled to begin, counsel for the co-accused
successfully applied to be removed from the record. On June 1, the co-accused
appeared in person and said he had asked Legal Aid for a change of counsel. Prospective
new counsel for the co‑accused was not able to proceed on the scheduled
June 11 trial date. The co‑accused was unwilling to proceed without a
lawyer and effectively requested an adjournment. The appellants counsel stated
that she was prepared to proceed and that, given that the appellant was in
custody, she wanted to maintain the June 11 date. Crown counsel said she
was prepared to proceed but was in an awkward position given that they could
not force the co-accused on when he was requesting a lawyer. The trial dates
were ultimately vacated.
(2)
The Second Trial Date
[10]
On June 22, 2018, the parties appeared again. The
co-accused was still waiting for Legal Aid to decide his change of solicitor request,
but the Crown and the appellant sought to set target dates immediately in order
not to lose any further time. The co-accuseds prospective new counsel was not
present but conveyed through the appellants counsel that he wanted a further
pre-trial but could not commit to dates before he was retained. The court
offered January 21, 2019 for a two-week trial and the appellant and the Crown
agreed to those dates. The trial was set with or without counsel in respect
of the co-accused.
[11]
The case was spoken to again on July 13, 2018.
By this time, Legal Aid had denied the co-accuseds change of solicitor
application. The co-accused intended to appeal that decision. The co-accuseds prospective
new counsel had also conveyed that he was not available for trial on January 21,
2019 and the Crown had discovered that an important witness for them would also
be unavailable at that time. Both the Crown and the co-accused were considering
an adjournment application. The appellants counsel reiterated that she was
anxious to proceed.
[12]
At the next appearance, on August 10, the
co-accuseds Legal Aid appeal had been refused. He had one further internal Legal
Aid appeal which was estimated to take four weeks. The appellants counsel
stated that she wished to know sooner rather than later if the January 21
date would be adjourned. The presiding judge said that, while he was
sympathetic to her position, he saw no alternative to returning in a month, on
September 14. By that day, the co-accuseds Legal Aid appeals had been
exhausted. He said that he intended to bring a
Rowbotham
application.
The case returned several times during the fall. The co‑accused eventually
succeeded in obtaining a
Rowbotham
order.
[13]
On December 14, 2018, the co-accuseds new
counsel applied to adjourn the January 21 trial date. The application was
opposed by the appellant and by the Crown. The presiding judge denied the
adjournment.
[14]
The parties appeared on December 20, 2018, and
then again on January 9, 2019, to see whether the co-accused could retain
counsel available for the trial dates. The co-accused insisted that he wanted to
be represented by the specific counsel who was unavailable. At the January 9
appearance, the presiding judge commented that to adjourn the case to a date
when hes available would require [the appellant] to sit in jail for about a
year from his first trial date, and the first trial got adjourned because you
discharged your lawyer. The presiding judge also noted that the trial had been
set with or without a lawyer. The appellants counsel commented that, if an
adjournment had been sought earlier and the resulting delay would have been
limited, then the appellant may have consented, but that the prospect of a
further six months delay was intolerable. The issue of severance was raised,
but Crown counsel stated their position that a joint trial was important to
avoid having the child witness testify twice.
[15]
On the day of trial, January 21, 2019, the
co-accused was unrepresented and requested an adjournment on the basis that he
had not had access to his disclosure in custody and so was not able to proceed.
This time the adjournment was granted, over the objection of the appellant, whose
counsel noted that she was ready to proceed and that the appellant was not
waiving his s. 11(b) rights.
(3)
The Third Trial Date
[16]
On January 29, 2019, the parties returned to set
new trial dates. The Crown reiterated its position to proceed with a joint
trial because of the child witness. With respect to the resulting delay, Crown counsel
noted that if I have to argue it down the line at some point as to whether
that was a reasonable call, Ill make that argument. The co-accuseds new
counsel did not appear but conveyed that he was available for trial starting on
July 8 although the court had offered earlier dates. The appellants counsel
was available for those earlier dates and reiterated her concern about delay.
[17]
The presiding judge pressed the Crown to
consider severance so that the appellants trial could be scheduled for late
February dates for which his counsel could make time. The Crown indicated this
may be an option in the event of a re‑election. The appellant did not
commit to re-electing and was remanded to the trial date of July 8, 2019.
(4)
The Application to Stay the Proceedings
[18]
The appellant applied for a stay of proceedings
for a violation of s. 11(b). The application was heard by Shaw J. on June
14, 2019.
[1]
The parties agreed that the total effective delay to be considered was 28
months and 26 days, which was below the presumptive ceiling of 30 months set in
R. v. Jordan
, 2016 SCC 27, [2016] 1 S.C.R. 631, at para. 49. They
also agreed that the bulk of the delay was caused by the co-accused.
[19]
The application judge dismissed the application.
She found that neither part of the
Jordan
test for cases under the
ceiling had been met. She found that the appellant could not be said to have
taken meaningful steps to expedite in view of his failure to apply for
severance. Specifically, she found that the appellant could have moved for
severance immediately following each of the two adjourned trial dates. She also
found that the case had not taken markedly longer than it reasonably should
have.
B.
Analysis
[20]
In
Jordan
, the court explained, at
para. 82, that in order for the defence to obtain a stay for breach of s. 11(b)
for a case that took less time than provided for by the presumptive ceiling, the
defence must establish two things: (1) it took meaningful steps that
demonstrate a sustained effort to expedite the proceedings; and (2) the case
took markedly longer than it reasonably should have. The court stated that it expected
stays beneath the ceiling to be rare and limited to clear cases: at paras. 48,
83.
(1)
Meaningful
Steps to Expedite the Proceedings
[21]
The respondent concedes that the application
judge erred in finding that the appellant had failed to take meaningful steps
to expedite the trial. In particular, the respondent agrees that the
application judge erred in finding that the appellant had failed in his efforts
to expedite his trial by not bringing a motion for severance.
[22]
On this point, the application judge found, at
para. 55:
The applicant's position that his severance
application would likely have been denied based on all the principles
surrounding joint trials cannot be used as a shield to justify why this
meaningful step was not taken. The applicant cannot say that he did not take a
step as he did not think he would be successful, and then rely on that same
doctrine severance as a sword to say that it forms the basis or reason why
the trial did not proceed within a reasonable timeframe.
[23]
The respondent says, and I agree, that requiring
an accused person to demonstrate that they have taken sustained, meaningful
steps to expedite proceedings does not include requiring them to bring motions
that are doomed to fail. Unmeritorious motions only add to the consumption of court
time and thus create further delay, if not for the case at hand, then potentially
for other cases. To quote the respondent, the parties were right to dispense
with the formality of a severance application and avoid clogging up the system
and using scarce judicial resources to argue over something that was hopeless.
(2)
Delay Markedly Exceeding the Reasonable Time
Requirements
[24]
The issue then becomes whether the case had
taken markedly longer than it should have. On this issue, the appellant points
to the fact that the application judge found that that the case is not a
factually or legally complex matter. He also points to the fact that the first
trial date had been set for a year earlier, and states that this provides a ready-made
yardstick by which to measure how long the case ought to have taken to get to
trial. On that latter point, the appellant relies on the decision in
R. v.
Belle
, 2018 ONSC 7728, 424 C.R.R. (2d) 233, where Harris J. made the point
that the first trial date provided a ready-made yardstick of the reasonable
time requirements of the case: at para. 8.
[25]
With respect, I do not agree that the first
trial date necessarily provides a marker for the reasonable time requirements
of the case. The practical reality is that first trial dates are often set optimistically
when it is not certain that the parties will, in fact, be ready for trial. Indeed,
that was the situation in this case in light of the issues with the co-accused.
It must be recognized, given the pressures on the parties to set dates in order
to keep the case moving forward, that a first trial date may be more aspirational
as to timing than it is realistic.
[26]
The first trial date in
Belle
may have
been a better measure since the only reason for the loss of the trial date was
the last-minute disclosure by the Crown of a large amount of information,
something that the trial judge found should never have happened:
Belle
,
at paras. 3, 22-24. However, in this case, the first trial date was set
when there were many indicators that it might not be met. For example, the date
was set before there had been a judicial pre-trial. Any number of issues might
have arisen at the judicial pre-trial that would have brought the first trial
date into question. Further, the parties knew that there were ongoing issues
respecting the co-accused that could reasonably have been anticipated to
potentially derail the trial date that had been set. Of course, this is exactly
what happened.
[27]
My view that the first trial date does not
necessarily provide an appropriate measure for how long a case should
reasonably take is reinforced by the decision in
Jordan
. In its
decision, the court set out what it meant by this second factor. It said, at
para. 87:
The reasonable time requirements of a case
derive from a variety of factors, including the complexity of the case, local
considerations, and whether the Crown took reasonable steps to expedite the
proceedings.
[28]
These various factors demonstrate why a first
trial date may not be an accurate measure of how long a case should reasonably take.
I would point out, on this question, that there is a difference between when a
trial
might
be completed and when it
should
be completed. As
Jordan
points out, there may be a variety of factors that come to bear on the reasonable
time requirements of a case. There may be issues such as outstanding
disclosure, the availability of experts or expert reports, erroneous trial
estimates, and other issues that may highlight that the first trial date may
not be an accurate one. Nevertheless, often such trial dates are set expectantly
and, as I have said, to keep the case moving. Other issues may loom large on
this point, including the one that drove this case, that is, the actions of a
co-accused.
[29]
The other important aspect of this second factor
is the point made in
Jordan
that the case must markedly exceed the
reasonable time requirements of the case. As stated in
R. v. K.J.M.
,
2019 SCC 55, 439 D.L.R. (4th) 607, at para. 107:
To be clear, under this branch of the test,
the issue is not whether the case should reasonably have been completed in less
time. Rather, it is whether the case took
markedly
longer than it
reasonably should have. [Emphasis in original.]
[30]
Again, it was easier in
Belle
to
conclude that the case took markedly longer than it reasonably should have
because the only reason for the loss of the first trial date was the last
minute, unexplained delivery of a significant amount of disclosure. That should
not have happened, and thus it was easier to say that the delay it caused was
outside the reasonable time requirements for that case.
[31]
However, in this case, the delay was almost entirely
caused by the actions of the co-accused coupled with the Crowns refusal to
consider severance. It will be self-evident that cases in which there is more
than one accused will likely take longer to get through a trial because of the need
to accommodate the schedules and demands of more parties and more counsel: see
Jordan
,
at para. 77.
[32]
The history of this case ought to have made it
clear to all concerned that there were likely to be additional problems caused
by the co-accused. While the Crown had a good reason to want to avoid
severance, it nonetheless had to realize that its position on that issue was
likely to invite additional delay. I note, on that point, that one of the
factors that
Jordan
identifies in determining whether the case took markedly
longer than it ought to have is whether the Crown took reasonable steps to
expedite the proceedings: at para. 87.
[33]
Reinforcing this point is the fact that the
second trial date, January 21, 2019, was set when the issues surrounding the
representation of the co-accused were still unsettled. Legal Aid had consumed
some period of time deciding whether it would agree to a transfer of the
certificate and appeals from its decision were still outstanding. Further, the
possibility of a
Rowbotham
application would have had to have been in
everyones minds, if the refusal of Legal Aid to agree to a transfer was
upheld. Again, of course, that is what happened.
[34]
In an effort to address these problems, the
second trial date was set with or without counsel. The immediate concern that
stipulation provokes is whether, if an accused ultimately does not have
counsel, they will actually be in a position to proceed. One important
component of the accused persons ability to proceed is, of course, whether
they have access to the disclosure in the case. For reasons that are not clear
on the record, when the second trial date was reached, and the co-accused did
not have counsel, it became apparent that the co-accused did not have access to
the disclosure while in custody. Therefore, despite the stipulation of with or
without counsel, the trial could not proceed. Why the disclosure issue only
became apparent at that point is also not clear.
[35]
Despite all of these issues, the trial
ultimately proceeded on the third trial date, still within the 30-month limit
set by
Jordan
. The application judge considered all of these matters
and concluded that the case had not taken markedly longer than it reasonably
ought to have. In particular, the application judge found that the Crowns
decision not to permit severance was not unreasonable in the context of the
case.
[36]
As the court said in
Jordan
, at para. 91:
Determining whether the time the case has
taken markedly exceeds what was reasonably required is not a matter of precise
calculation. Trial judges should not parse each day or month, as has been the
common practice since
Morin
, to determine whether each step was
reasonably required. Instead, trial judges should step back from the minutiae
and adopt a bird's-eye view of the case. All this said, this determination is a
question of fact falling well within the expertise of the trial judge. [Citation
omitted.]
[37]
The application judges decision is entitled to
deference:
Jordan
, at para. 91. Given the issues with the
co-accused, all of which were predictable, the trial was undoubtedly going to
take longer than it otherwise would have. However, in all the circumstances, I
cannot say that the application judges determination that the case did not
take markedly longer than it should have, is an unreasonable one. Consequently,
the appeal fails.
C.
Remedy
[38]
Given my conclusion on the s. 11(b)
application, I do not need to address the respondents submissions regarding the
appropriate remedy for a breach, including whether a remedy short of a stay of
proceedings is available.
D.
Conclusion
[39]
The appeal is
dismissed.
Released: March 21, 2022 M.T.
I.V.B.
Nordheimer J.A.
I agree. M.
Tulloch J.A.
I agree. K. van
Rensburg J.A.
[1]
R. v. Campbell
, 2019
ONSC 4228, 446 C.R.R. (2d) 326.
|
COURT OF APPEAL FOR ONTARIO
CITATION: 11534599 Canada Corp. v. Hume,
2022 ONCA 224
DATE: 20220318
DOCKET: M52885 (C69657)
van Rensburg, Nordheimer and
Harvison Young JJ.A.
BETWEEN
11534599 Canada Corp.
Respondent (Moving Party/Appellant)
and
Ivylin Ricketts Hume and Weston
Rodney Hume
Applicants (Responding Parties/Respondents)
Paul Robson, for the moving party
Elaine S. Peritz, for the responding
parties
Heard: March 7, 2022 by video
conference
REASONS FOR
DECISION
[1]
The moving party 11534599 Canada Corp. (115) seeks review of an order
of the motion judge, Paciocco J.A., granting an extension of time to perfect its
appeal on terms that suspended the payment of interest until the appeal was
perfected.
[2]
This motion arises out of the following circumstances.
115 held a second mortgage on the responding parties home. The
mortgage was in default when a fire on the property forced the responding
parties to move out. 115 took possession at that point to satisfy the
responding parties default under the mortgage. It refused to allow the
responding parties to pay off their mortgage or to exercise their right to have
the mortgage assigned.
[3]
The responding parties brought an application seeking,
among others, a declaration that 115 had taken unlawful possession of their
home. On June 28, 2021, the application judge, Coats J., found that 115 was not
in lawful possession of the property and ordered it to accept payment of
$241,528.72 plus
per diem
interest of $76.58 from March 27, 2021 to
the date of payment. Upon receipt of payment, 115 was ordered to assign the
mortgage to a replacement lender who had already provided the responding
parties with a mortgage commitment (the Coats J. Order).
[4]
115 filed a notice of appeal on July 14, 2021
and moved for an urgent stay of the Coats J. Order. Justice Thorburn declined
to grant a stay on July 27, 2021, in part because the responding parties had
undertaken not to sell the house.
[5]
The deadline for the perfection of 115s appeal
to this court from the Coats J. Order was August 15, 2021. On October 4, 2021, the
motion judge granted the extension to perfect the appeal to October 8, 2021 on
terms. He accepted that, while there was a lack of direct explanation, 115s
delay was due to inadvertence. However, he found there was also prejudice to
the responding parties: 115 had attempted to impose preconditions on the
assignment of the mortgage not provided for in the Coats J. Order, and had
effectively manufactured a stay of proceedings that it had been denied. In the
interim, 115 continued to accumulate
per diem
payments on the mortgage
since it had not yet been assigned.
[6]
However, the motion judge concluded the
prejudice could be ameliorated, including by imposing a condition that no
per
diem
payments will be owing for the period caused by the delay in
perfecting this appeal, as required by the interests of justice. He ordered
that
per diem
payments be suspended from the date by which the Office
of the Registrar informed 115 that its appeal would be dismissed if not
perfected and the date the appeal was perfected. In effect, this was a period
of one month, between September 7 and October 7, 2021, during which the
accumulated interest was $2,371.50. The motion judge clearly indicated that,
but for this term, he would not have granted the extension. 115 was ordered to
pay the respondents $3,000 in costs for the motion.
[7]
In its written materials supporting its motion, 115
relied on three arguments. In arguing the appeal, 115 relied on a single
argument that was not in its factum. The court invited brief written
submissions from the responding parties. We have received and reviewed those
submissions.
[8]
115 argued that the motion judge lacked
jurisdiction to vary the Coats J. Order by suspending the requirement of the payment
of
per diem
interest provided for in the Coats J. Order from the date
that the appeal should have been perfected (September 7, 2021) to the date that
the appeal was perfected (October 7, 2021). It argues that the motion judge, as
a single judge, substantively altered an order, which can only be done by a
panel of the court of appeal.
[9]
We disagree. It is unnecessary to determine
whether, as 115 alleges, the imposition of a term disqualifying the moving
party from
per diem
interest due to its delay was outside the jurisdiction
of a single judge of this court when granting an extension of time to perfect
an appeal. 115s submission depends on the premise that the motion judge
permanently
terminated its entitlement to claim the
interest accruing during this period. That is not consistent with a fair
reading of the motion judges order. It does not purport to alter the substance
of the Coats J. Order; it simply suspends the payment of the
per diem
interest pending the hearing of the appeal and does not affect 115s right to
pursue this issue in the hearing of the appeal on its merits.
[10]
Moreover, this term of the extension was
necessary in the interests of justice to address the prejudice that the motion judge
found would otherwise arise from the extension of the time to perfect. Without
this term, he stated clearly that he would not have granted 115 the extension
of time.
[11]
For these reasons, the review motion is
dismissed. Costs of $4,000 payable to the responding parties, inclusive of
disbursements and H.S.T.
K.
van Rensburg J.A.
I.V.B.
Nordheimer J.A.
A.
Harvison Young J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Royal Bank of Canada v. Bedard,
2022 ONCA 227
DATE: 20220321
DOCKET: C68416
Rouleau, Nordheimer and George
JJ.A.
BETWEEN
Royal
Bank of Canada
Respondent (Plaintiff)
and
Daniel Bedard and Colleen Bedard
Appellants (Defendants)
Norman Mizobuchi, for the appellant
Catherine Francis, for the respondent
Heard: March 3, 2022, by video conference
On
appeal from the judgment of Justice Paul Kane of the Superior Court of Justice,
dated October 2, 2020.
REASONS FOR DECISION
[1]
The appellant appeals the trial judgment
awarding the respondent Royal Bank of Canada (RBC) the sum of $274,962.38 plus
pre-judgment interest and costs. The trial judge also ordered that the judgment
not be released by an order of discharge pursuant to s. 178(1)(e) of the
Bankruptcy
and Insolvency Act
R.S.C., 1985, c. B-3 (
BIA
).
[2]
RBCs claim was for breach of a conditional
Sales Contract (Contract) for the purchase of a 2003 57-foot Carver boat (57
Carver). It claimed payment of the outstanding balance as well as reimbursement
for costs it incurred seeking to enforce its secured interest in the 57 Carver.
The enforcement proceeding was unsuccessful as, unbeknownst to RBC, the 57
Carver had been sold to two subsequent third-party buyers. RBC also alleged that
the appellants had not used the advance made under the Contract to purchase the
57 Carver.
[3]
RBC offered to renew the loan with a new maturity
date and at a higher interest rate. This offer of renewal was made after RBC
became aware of the alleged breaches by the appellants. The renewal offer appears
to have been generated by RBCs administration without the knowledge of the RBC
personnel dealing with the problems with the appellants security. The appellants
appear to have accepted the offer as they continued to make payments pursuant
to the Contract at the new interest rate.
[4]
The trial judge allowed RBCs claim.
[5]
The appellants first ground of appeal is that
the trial judge erred in allowing RBCs claim in fraud. The appellant explains
that, because the loan was renewed after RBC became aware of the issues with
respect to the security, it could not advance a claim that it was misled or
defrauded. In that regard, they rely on
Burrows v. Burke
(1984), 49 O.R.
(2d) 76 (C.A.), leave to appeal refused, [1985] S.C.C.A. No. 139.
[6]
We reject this ground of appeal. As submitted by
RBC, its claim was for breach of contract. The trial judge acknowledged that,
when it sent its offer to renew the loan, RBC was aware of the fact that the
loan proceeds had not been used to purchase the 57 Carver and that the 57 Carver
had been seized by a third party. The trial judge found, however, that other
than the maturity date and the interest rate, the renewal of the Contract maintained
all other terms and conditions including RBCs right to have security in the
form of the 57 Carver. The continuing obligation of the appellants to provide
RBC with a security interest in the 57 Carver distinguishes this case from the
Burrows
decision. The appellants continuing failure to provide the security
constituted a breach entitling RBC to the judgment it obtained in this case.
[7]
The judgment does not, as the appellants allege,
rest on the trial judges findings and comments regarding the appellants misrepresentations
that induced RBC to make the loan.
[8]
The second ground of appeal is that the trial
judge erred in awarding RBC remedies both in contract and in tort. The
appellants submit that the trial judge could not both decide that RBC had been induced
to enter into the Contract which entitled it to be returned to the position it
would have been had the Contract not been entered into and, as well, award RBC
damages for breach of that Contract.
[9]
We see no error in the trial judges award of
damages. As we have noted, the claim and recovery in this case were for breach
of contract and the damage award was made on that basis.
[10]
We acknowledge, however that the judges order
that the judgment should survive bankruptcy is an error which gave rise to some
confusion. The trial judge found that the original loan had been obtained by
means of false pretences or fraudulent misrepresentation. He determined,
therefore, that an order that the judgment not be released by an order of
discharge pursuant to s. 178(1)(e) of the
BIA
was warranted.
[11]
The trial judge erred in making this order as he
did not consider the impact that the renewal may have had on the availability
of such an order. As noted earlier, at the time of the renewal, RBC was fully
aware of the problems with respect to the original loan and the security for
that loan. In our view, the trial judge ought to have left this issue to be
addressed by the Bankruptcy Court in the event that the appellants are
petitioned into, or declare, bankruptcy. We therefore conclude that this
provision of the judgment should be set aside. It will be for the Bankruptcy
Court to address whether such an order is warranted should the issue ever arise.
[12]
In conclusion, the appeal is allowed in part by
striking paragraph 4 of the judgment. In all other respects, the appeal is
dismissed.
[13]
RBC was substantially successful and as a
result, we award it costs fixed in the all-inclusive amount of $14,000.
Paul
Rouleau J.A.
I.V.B.
Nordheimer J.A.
J.
George J.A.
|
WARNING
This is a case under the
Child,
Youth and Family Services Act, 2017
and subject to subsections 87(8) and 87(9) of this
legislation.
These subsections and subsection 142(3) of
the
Child, Youth and
Services Act, 2017
, which
deals with the
consequences of failure to comply, read as follows:
87
(8)
Prohibition
re identifying child
No person shall publish or make public
information that has the effect of identifying a child who is a witness at or a
participant in a hearing or the subject of a proceeding, or the childs parent
or foster parent or a member of the childs family.
(9)
Prohibition re identifying person charged
The court may make an order prohibiting
the publication of information that has the effect of identifying a person
charged with an offence under this Part.
142
(3)
Offences re:
publication
A person who contravenes subsection 87(8)
or 134(11) (publication of identifying information) or an order prohibiting
publication made under clause 87(7)(
c
) or subsection 87(9), and a
director, officer or employee of a corporation who authorizes, permits or
concurs in such a contravention by the corporation, is guilty of an offence and
on conviction is liable to a fine of not more than $10,000 or to imprisonment
for a term of not more than three years, or to both.
COURT OF APPEAL FOR ONTARIO
CITATION: Catholic Childrens Aid Society of
Toronto v. S.K.S., 2022 ONCA 228
DATE: 20220321
DOCKET: C69908, C69910 & C69919
Huscroft, Sossin and Favreau
JJ.A.
BETWEEN
DOCKET:
C69908
Catholic
Childrens Aid Society of Toronto
Applicant (Respondent)
and
S.K.S.
Respondent (Respondent)
AND BETWEEN
DOCKET:
C69910
Catholic Childrens Aid Society of Toronto
Applicant
(Respondent)
and
S.K.S.
Respondent
(Appellant)
AND BETWEEN
DOCKET:
C69919
Catholic Childrens Aid Society of Toronto
Applicant
(Appellant)
and
S.K.S.
Respondent
(Respondent)
Jessica Gagne, for the appellant
(C69910)/ respondent (C69908 & C69919) S.K.S.
Caterina Tempesta and Madeleine Sarick,
for the appellant (C69908)/ respondent (C69910 & C69919) Office of the
Childrens Lawyer
Fatima Husain and Marshall Matias, for
the appellant (C69919)/ respondent (C69908 & C69910) Catholic Childrens
Aid Society of Toronto
Jocelyn Espejo-Clarke and Alex Kam, for
the respondent (C69908, C69910 & C69919) Minister of Public Safety and
Emergency Preparedness
Cheryl Robinson and Aviva Basman, for
the intervener (C69908, C69910 & C69919) Canadian Association of Refugee
Lawyers
Vasu Naik, for the intervener (C69908,
C69910 & C69919) Canadian Civil Liberties Association
Heard: February 3, 2022 by
video conference
On appeal from the order of Justice
Michael A. Penny of the Superior Court of Justice, dated September 13, 2021,
with reasons at 2021 ONSC 5813, dismissing an appeal from the order of Justice
Melanie Sager, dated April 1, 2021, with reasons at 2021 ONCJ 199.
Sossin J.A.:
OVERVIEW
[1]
This appeal concerns the interaction between a
provincial legislative scheme governing child protection and a federal
legislative scheme for removing those without citizenship or immigration status
from Canada.
[2]
Specifically at issue is an order for disclosure
by a judge of the Ontario Court of Justice (OCJ) at a status hearing initiated
by the Catholic Childrens Aid Society of Toronto (CCAS) pursuant to s. 113
of the
Child, Youth, and Family Services Act, 2017
, S.O. 2017, c. 14,
Sched. 1 (
CYFSA
).
[3]
The purpose of the status hearing was to
consider extending a supervision order governing the CCASs involvement in a
family where child protection concerns had been established. The disclosure was
sought by the federal Minister of Public Safety and Emergency Preparedness (the
Minister), pursuant to s. 50(a) of the
Immigration and Refugee
Protection Act
, S.C. 2001, c.27 (
IRPA
). That section
provides that an opportunity for the Minister to make submissions in another
judicial proceeding is a precondition to that proceeding having the effect of
staying a removal order.
[4]
The motion judge granted the disclosure order, subject
to certain safeguards to protect the confidentiality of the record and prevent
the disclosure from being used for any purpose outside the child protection
proceedings.
[5]
Both the CCAS and Office of the Childrens
Lawyer (OCL) appealed those orders to the Superior Court. The Canadian Civil
Liberties Association (CCLA) and Canadian Association of Refugee Lawyers
(CARL) were permitted to intervene.
[6]
The Superior Court appeal judge dismissed the
appeal from the motion judges order. Ms. S, the CCAS and OCL, the appellants,
now appeal to this court.
[7]
For the reasons that follow, I would allow the
appeal.
BACKGROUND
[8]
In order to better understand the interaction
between the Ministers role under the
IRPA
and child protection
proceedings under the
CYFSA
in this case, some background on the
family is needed.
[9]
I turn first to the immigration and refugee
context.
[10]
Ms. S. arrived in Canada with her oldest
daughter and her only son in December 2007. The son was just two years of age
at the time. Ms. S. lost her immigration status in Canada in May 2008. She subsequently
gave birth to her youngest daughter, who is a Canadian citizen.
[11]
Ms. S. made a claim for refugee status in May
2009. That claim was refused in July 2011, and she and her two older children then
became subject to an enforceable removal order. A subsequent appeal and an
application to remain in Canada on the basis of humanitarian and compassionate
grounds were refused. A further application made in June 2019 has not yet been
determined. Ms. S. and her son remain under a valid removal order at this time.
[12]
The child protection context began with the CCASs
involvement with Ms. S. and her children in December 2010, following an
investigation into Ms. S.s alleged physical abuse of her son. The CCAS remains
involved with the family at the present time.
[13]
In 2013, Ms. S. was charged with assault and
assault with a weapon against her eldest daughter. Her eldest daughter has
since become an adult and no longer has a role in these proceedings. The terms
of Ms. S.s recognizance prohibited any unsupervised contact between Ms. S. and
her children. The two younger children were removed from her care and the CCAS commenced
protection proceedings. Ms. S. was ultimately convicted of the charges under
the
Criminal Code
,
R.S.C., 1985 c. C-46.
[14]
At this point, the child protection proceedings
and immigration proceedings intersected.
[15]
The Minister was made aware of the charges and
Ms. S.s subsequent convictions, and determined that Ms. S. was inadmissible
to Canada for serious criminality pursuant to s. 36(1)(a) of the
IRPA
. Ms. S. was then issued a
deportation order with no right to appeal.
[16]
In November 2014, the two younger children were
returned to Ms. S.s care, subject to an order of supervision by the CCAS on
specified terms and conditions. A further supervision order was made on
February 18, 2015, and subsequent orders relating to supervision have been made
on November 9, 2015, August 17, 2016, June 5, 2017, March 26, 2018, January 9,
2019, and January 14, 2020. In all, there have been at least eight supervision
orders and seven status review applications made in this case since 2014. While
the supervision orders varied, they all included a range of measures intended
to provide support to the family, including a requirement that Ms. S. refrain
from using physical discipline and attend counselling, as well as measures to
implement recommendations arising from the psychological assessments of the
children.
[17]
At the hearing on March 26, 2018, counsel for
the Minister advised the court that the Minister was not acting on the removal
order, and would instead continue to monitor the child protection proceedings.
[18]
The child protection and immigration proceedings
came together again in September 2019, when the Minister notified Ms. S. that her
removal date had been set for October 20, 2019. The CCAS brought a motion
before the Ontario Court of Justice seeking a non-removal order with respect to
Ms. S.s two children. Ms. S.s youngest daughter was represented by counsel at
that hearing, which took place on November 27, 2019 before Spence J. The
Minister was also served with the notice of motion, including all supporting
evidence, and was present at the hearing as well.
[19]
The Minister had previously sought to be added
as a party to the child protection proceedings. The CCAS and OCL opposed the
Minister being granted such status, though they did not oppose the Minister
having the opportunity to make submissions on the non-removal order being
sought. On that basis, the Minister withdrew the motion. The motion judge
issued a temporary non-removal order.
[20]
In reasons dated December 19, 2019, Spence J. found
that the supervision order dated January 9, 2019 did not operate as an
automatic stay of a removal order under s. 50(a) of the
IRPA
, as the Minister had not been
given an opportunity to make submissions:
Catholic
Childrens Aid Society of Toronto v. S.K.S.
, 2019 ONCJ 899,
at
para. 89
. However, according to Spence J., the Minister
was given an unfettered opportunity to make submissions at the hearing before
him in November 2019.
[21]
Spence J. did not accept the Ministers argument
that his submissions were made in a vacuum and not meaningful because no disclosure
was provided beforehand. Spence J. stated that the Minister had been privy to
a range of details about the supervision orders by his appearances at status
hearings since 2017, and that he could have sought to be added as a party or
sought disclosure as a non-party. He concluded, at para. 159, that the
Ministers argument was disingenuous. Spence J. found as a fact that the
Minister had been granted an ample opportunity to make extensive
submissions and that the Minister had fully embraced this opportunity.
[22]
The Ministers submissions were directed toward
whether there was a genuine
lis
between the parties. Spence J. found, in the circumstances of this
case, that a
lis
was
created when the CCAS first sought a protection order, and continued through
the various extensions and variations of supervision orders from that time
forward.
[23]
Spence J. made a new supervision order. He found
a non-removal order was a necessary incident of the supervision order, as the
terms of the supervision order could not be fulfilled if the family were deported
to St. Lucia.
[24]
The CCAS brought a further status review
application, which was heard on January 14, 2020. The OCJ made another six-month
supervision order on consent, placing the children with Ms. S. on specified
terms and conditions. The Minister did not attend that status hearing.
[25]
In June 2020, the CCAS served its status review
application. In September 2020, the Minister requested a copy of the
Agreed Statement of Facts in the status review proceeding as well as a copy of
the parties pleadings. In October 2020, the Minister indicated that he
intended to bring a motion for disclosure under r. 20(5) of the
Family Law Rules
, O. Reg. 114/99 (
FLR
s
).
[26]
In December 2020, the parties attended the
status hearing at the root of this appeal in order to settle a new supervision
order. At that hearing, the Minister reiterated his intention to bring a motion
for disclosure prior to making submissions on the new supervision order. The
hearing was adjourned until March 2021 to allow for this motion to be heard and
decided.
[27]
In March 2021, the motion judge heard the motion
by the Minister for what was characterized as nominal disclosure.
[28]
In her Order dated April 1, 2021, the motion
judge granted the Ministers motion and
ordered the
Society to provide the Minister with:
(a) all
status review applications and all agreed statements of fact filed with the
court in this matter since 2015; and
(b) all
future status review applications and all statements of agreed fact in this
matter upon which the parties intend to rely in seeking any further orders in
the future.
[29]
The motion judge also ordered that the Minister
be permitted to have counsel attend in court and make submissions on the
supervision order being requested by the parties insofar as it has an impact on
the Minister's interests.
[30]
The disclosure order was subject to certain
restrictions, including that the Minister was precluded from using the
documents for any purpose other than to decide if he intended to make
submissions to the Court and to assist in preparing those submissions, and that
the Minister was prohibited from copying or distributing or filing these
documents in any other proceeding.
[31]
The CCAS and OCL appealed the April 1, 2021
Order to a judge of the Superior Court (the appeal judge). That appeal was
heard on July 19, 2021, with a decision released on September 13, 2021. The
appeal judge found no error by the motion judge which would warrant
intervention.
[32]
The OCL, the CCAS, and Ms. S. filed their Notices
of Appeal to this court in October 2021.
LEGISLATIVE CONTEXT
IRPA
[33]
Section 50 of the
IRPA
provides:
50 A removal order is stayed
if a decision that was made in a
judicial proceeding at which the Minister shall be given the opportunity to
make submissions would be directly contravened by the enforcement of the
removal order;
[34]
Section 36(1)(a) of the
IRPA
provides:
36 (1) A permanent resident or a
foreign national is inadmissible on grounds of serious criminality for
(a) having been convicted in
Canada of an offence under an Act of Parliament punishable by a maximum term of
imprisonment of at least 10 years, or of an offence under an Act of Parliament
for which a term of imprisonment of more than six months has been imposed;
CYFSA
[35]
The preamble of the
CYFSA
, which
governs child protection proceedings, states that children are individuals with
rights to be respected and voices to be heard.
[36]
Section 1(1) of the
CYFSA
, stipulates that
[t]he paramount purpose of this Act is to promote the best
interests, protection and well-being of children.
[37]
Section 1(2) sets out additional purposes of the
Act, so long as they are consistent with the best interests, protection and
well-being of children. These include recognition that, [w]hile parents may
need help in caring for their children, that help should give support to the
autonomy and integrity of the family unit and, wherever possible, be provided
on the basis of mutual consent: s. 1(2)(1).
[38]
Section 79(1) of the
CYFSA
identifies the statutory parties
to a proceeding under the Act, who have a right to participate in a hearing,
and who are entitled to notice of a proceeding under the Act:
Parties
79
(1) The following are parties to a proceeding under this Part:
1.
The applicant.
2.
The society having jurisdiction in the matter.
3.
The childs parent.
4.
In the case of a First Nations, Inuk or Métis
child, the persons described in paragraphs 1, 2 and 3 and a representative
chosen by each of the childs bands and First Nations, Inuit or Métis
communities.
Right to participate
(3) Any person, including a foster
parent, who has cared for the child continuously during the six months
immediately before the hearing,
(a) is entitled to the same
notice of the proceeding as a party;
(b) may be present at the hearing;
(c) may be represented by a
lawyer; and
(d) may make submissions to the
court,
but
shall take no further part in the hearing without leave of the court.
[39]
Section 87(4) of the
CYFSA
sets out that a hearing shall be
held in the absence of the public, subject to subsection (5), unless the court
orders that the hearing be held in public after considering both the wishes and
interests of the parties; and whether the presence of the public would cause
emotional harm to a child who is a witness at or a participant in the hearing
or is the subject of the proceeding. Section 87(8) of the
CYFSA
sets out that no person shall
publish or make public information that has the effect of identifying a child
who is a witness at or a participant in a hearing or the subject of a
proceeding, or the child's parent or foster parent or a member of the child's
family.
Family Law Rules
[40]
Rules 1 and 2 of the
FLR
s set out, in part, the proceedings
to which the rules apply, the court's power to make certain procedural orders,
and matters of interpretation.
[41]
Most significantly, r. 2(2) establishes that the
primary objective of the rules is to enable the court to deal with cases justly.
Rule 2(4) requires the parties and their counsel to help the court to promote
the primary objective of the rules.
[42]
Rule 7 of the
FLR
s
also clarifies who is a party to a
case or a motion, including affected parties to a motion, and r. 7(5) provides
for who may be added as a party to a case or motion.
[43]
Rule 19(11) provides an avenue to obtain
documents from a non-party on motion, with notice served on every party, and on
the non-party by special service.
[44]
Rule 20(3) states that in a child protection
case, a party is entitled to obtain information from another party about any
issue in the case by questioning the other party, by affidavit, or by another
method, in which case the party shall serve the other party with a request for
information.
[45]
Under r. 20(5), in a child protection case, the
court may order that a non-party be questioned by a party or disclose
information to a party, if it would be unfair for the party who wants the
questioning or disclosure to carry on the case without it, the information is
not easily available by another method, and the question or disclosure will not
cause unacceptable delay or undue expense.
[46]
Subrules 20(24-26) of the
FLR
s place limits on the use of any
information obtained under rr. 13,
19
, or 20. More specifically, r. 20(24) provides that, when a party
obtains evidence under this rule, r. 13 (financial disclosure) or r. 19 (document
disclosure), the party and the party's lawyer may use the evidence and any
information obtained from it only for the purposes of the case in which the
evidence was obtained, subject to the specific exceptions in r. 20(25), or if
the court, on motion, gives a party permission, provided the interests of
justice outweigh any harm that would result to the party who provided the
evidence.
ANALYSIS
[47]
The OCLs Notice of Appeal of October 13, 2021
raises 14 specific grounds of appeal. In its factum, the OCL groups these
issues into four categories:
(1)
The appeal judge erred in affirming the motion
judges decision that she had jurisdiction to make a disclosure order to the
Minister, a non-party to the child protection proceeding;
(2)
The appeal judge erred in prioritizing the
Ministers interest in disclosure over the interests of the children, contrary
to the
CYFSA
, the
Charter
, the
Convention on the Rights
of the Child
, and binding appellate authority;
(3)
The appeal judge erred in interpreting s. 50(a)
of the
IRPA
as conferring on the Minister a right to make submissions
on the child protection
lis
; and
(4)
The appeal judge erred in failing to find that
the motion judge violated r. 17(24) of the
Family Law Rules
or
that her comments on the interpretation of s. 50(a) of the
IRPA
gave
rise to a reasonable apprehension of bias.
[48]
These categories cover the issues on appeal
raised by the other appellants, Ms. S. and the CCAS, as well.
[49]
I will review each of these categories in turn.
The Standard of Review
[50]
The appellate standard of review on appeal was
set out in
Housen v. Nikolaisen
, 2002 SCC 33, [2002] 2 S.C.R. 235. Under
Housen
, the standard of review on a question of law is correctness. The
standard of review on a question of fact is palpable and overriding error. For
questions of mixed fact and law, the standard of review is also palpable and
overriding error unless there is an extricable question of law, in which case
the standard of review on that extricable question is correctness.
[51]
Jurisdiction is a question of law. For the
allegation of bias and a breach of the duty of fairness, the standard of review
is also correctness.
(1)
The motion judge had jurisdiction to make the
disclosure order
[52]
The first ground of appeal is that the motion
judge had no jurisdiction to order the disclosure of confidential documents
from the child protection proceeding to the Minister, and the appeal judge
erred in upholding the motion judges finding of jurisdiction.
[53]
According to the CCAS, the jurisdiction of the
motion judge to order a party to provide disclosure to a non-party must flow
from a connection to the paramount purpose of the
CYFSA
. The CCAS
argues that the Minister's purpose in seeking disclosure is not to further the
best interests of the children, but to further the removal of Ms. S. and her
son.
[54]
The OCL echoes this argument, but also raises
the limits of the OCJ as a statutory court lacking inherent jurisdiction. The
OCL submits that neither the
Courts of Justice Act
, R.S.O. 1990, c.
C.43,
nor
the
CYFSA
provides authority for the disclosure of confidential child
protection documents to a non-party.
[55]
The motion judge accepted that the
CYFSA
did not expressly envision disclosure to the Minister, but reiterated that it did
not prohibit disclosure either. Accordingly, she relied on the broad authority
conferred by the
FLR
s as affording the necessary discretion to make
the disclosure order in this case, in addition to the necessity that a
statutory court, such as the OCJ, be able to control its own process. The
motion judge stated, at para. 116:
The case before me demonstrates the importance
of statutory courts being empowered to control its process as it involves
managing the interests of the parties, promoting the best interests of the
children and controlling the involvement of a third party with a legitimate
interest who represents the Canadian government and answers to the public.
[56]
The appeal judge reviewed the motion judges reasons
on the question of jurisdiction, and concluded, at para. 68:
I can find no error in the motion judge's
conclusion that, as a matter of law, she had jurisdiction to order production
of relevant documentation to a third party in appropriate circumstances. The
scope of the disclosure order, and its terms and conditions, fall within the
exercise of discretion available to the motion judge in a case conference,
particularly where she would be hearing the motion. Her order discloses no
error of principle and the appellants have not convinced me that, in making
this order, she was clearly wrong.
[57]
The appeal judge also specifically upheld the
motion judges inclusion of future supervision applications in her disclosure
order, observing that the application of the order to future applications was
subject to future reconsideration as well.
[58]
In my view, the appeal judge committed no error
in this analysis. Absent a provision of the
CYFSA
precluding a judge
of the OCJ from making such a disclosure order, the broad discretion afforded
to the judge under the
FLR
s confers jurisdiction on the OCJ to make disclosure
orders including, where warranted, to the Minister exercising his mandate under
s. 50(a) of the
IRPA
.
[59]
The appellants point to no provision of the
CYFSA
that constitutes an express bar to disclosure. However, they argue that s. 87(8)
of the
CYFSA
implicitly bars disclosure of the kind sought by the
Minister. This provision states, No person shall publish or make public
information that has the effect of identifying a child who is a witness at or a
participant in a hearing or the subject of a proceeding, or the childs parent
or foster parent or a member of the childs family.
[60]
While this provision speaks to the constraints that
must accompany disclosure orders in a child protection proceeding, it does not
remove a judges jurisdiction to make such an order.
[61]
The jurisdiction of the OCJ to make a disclosure
order to a non-party in this context is also supported by the OCJs case law.
In
Childrens Lawyer v. N.N.D.
, [2014] O.J. No. 6396 (Ont. C.J.), for
example, a limited disclosure order was made to the Minister responsible for a
removal order in a proceeding under the
FLR
s.
[62]
I would therefore dismiss this ground of appeal.
(2)
The motion judge did not prioritize the
interests of the Minister over the interests of the family subject to the child
protection proceedings
[63]
The second ground of appeal is that, even in the
face of jurisdiction to make a disclosure order, the appeal judge erred in
upholding the motion judges exercise of that jurisdiction. Specifically, the appellants
submit that there were errors below in prioritizing the interests of the
Minister over the heightened privacy interests of the children subject to the
supervision proceeding, contrary to the
CYFSA
, the
Charter
,
international conventions and governing case law.
[64]
I disagree that the motion judge improperly
prioritized the interests of the Minister over the interests of the children.
[65]
In my view, the task before the court in this
case is to interpret the import of s. 50(a) of the
IRPA
harmoniously
with the best interests of the child(ren) and the privacy constraints of the
CYFSA
.
[66]
I do not agree with the appellants that the
disclosure of any information to the Minister, in any child protection case,
under any circumstances constitutes a breach of the protections inherent in the
CYFSA
.
[67]
It is important to note that the effect of
engaging the stay of removal provided for by s. 50(a) is potentially in the
childrens best interests. In this way, giving effect to the condition of the
stay that requires the Minister to have the opportunity to make submissions
should not be viewed as inherently at odds with the
CYFSA
. I agree
with the motion judge when she said, at para. 58, that granting the Minister
the opportunity to make informed and meaningful submissions ensures the protection
of its order and therefore the best interests of the children governed by that
order.
[68]
Further, I do not agree that restricted disclosure
to the Minister is tantamount to making that information public. The
CYFSA
explicitly provides that the presence of two media representatives at a hearing
is still, a hearing that is held in the absence of public: at s. 87(5).
Similarly, the disclosure of certain information to a government agent subject
to explicit privacy protections does not implicitly offend the prohibition on
publishing or making public information that has the effect of identifying a
child in s. 87(8).
[69]
At the same time, as I will discuss in the next
section, in my view a nuanced analysis is required to ensure that any
disclosure order for the purpose of meaningful submissions by the Minister
pursuant to s. 50(a) of the
IRPA
in the child protection context would
be as minimally invasive of the childrens privacy interests as possible.
(3)
Proper approach for interpreting the
intersection of s. 50(a) of the
IRPA
and the
CYFSA
[70]
The third ground of appeal is that the motion
judge erred in interpreting s. 50(a) of the
IRPA
as permitting
the Minister to make submissions on the child protection
lis
, and the
appeal judge erred in upholding that interpretation.
[71]
I will discuss this ground of appeal in two
parts: first, the significance of the genuine
lis
test in the context
of s. 50(a); and second, the appropriate scope of the Ministers submissions.
(i)
Genuine
lis
[72]
With respect to s. 50(a) and the decision of the
motion judge, the appeal judge held, at para. 57:
I am unable to find any error of law in the
motion judges interpretation of s. 50(a) of the
IRPA
or her
assessment of the Minister's ability to address matters falling within the
scope of the Minister's legitimate interest. The appellants attack on the
motion judge's concern that the Minister be permitted to make meaningful
submissions is particularly troubling. What do the appellants want that the
Minister be limited to making un-meaningful submissions? It seems that perhaps
this is so.
[73]
Section 50(a) of the
IRPA
provides,
50 A
removal order is stayed
(a) if a decision that was made
in a judicial proceeding at which the Minister shall be given the opportunity
to make submissions would be directly contravened by the enforcement of the
removal order[.]
[74]
This provision has been interpreted and applied
in the family law setting in a way that makes clear it is to function in
concert with family law legislation to the extent possible.
[75]
The Federal Court has exclusive jurisdiction to
determine whether a removal order directly contravenes a decision made in a
judicial proceeding:
M.W. v. E.B.
(2003), 38 R.F.L. (5th) 443 (ON SC).
To do so, the court considers the factors outlined in
Alexander v. Canada
(Solicitor General)
, 2005 FC 1147, [2006] 2 F.C.R. 681, affd
2006 FCA 386, 360 N.R. 167; see also
Perez v. Canada (Minister of
Citizenship and Immigration)
, 2005 FC 1317, at para. 16.
[76]
This court considered the interaction between a
family law
lis
and s. 50(a) in
J.H. v. F.A.
, 2009 ONCA
17, 265 O.A.C. 200. There, the appellant admitted that she applied for a
custody order and a non-removal order to trigger s. 50(a): at para. 14.
Weiler J.A. concluded that the motion judge should not have granted the
non-removal order in this case because there was no genuine family law dispute
between the parents. As such, the order was inappropriately aimed at the
Minister, not the parents: at para. 24.
[77]
This case law establishes that there are
circumstances where a genuine
lis
is relevant and that the Minister
may be entitled to make submissions on the issue. However, a distinction must
be drawn between private family law disputes and child protection cases, where
several of the parties are state actors and the proceedings are carefully
supervised by the courts. I would make the point that, given those circumstances,
concerns over a genuine
lis
will rarely arise. However, there may be
circumstances where information available to the Minister through the
immigration file or the length or nature of the child protection proceedings raises
legitimate concerns about a genuine
lis
.
[78]
This brings me to the ultimate issue in this
case, the appropriate scope of the Ministers submissions and what, if any
disclosure of the child protection file is appropriate to allow for those submissions.
(ii)
Appropriate scope of disclosure and of
Ministers submissions
[79]
With these principles in mind, I agree with the
appeal judge that the motion judge did not err in concluding that s. 50(a)
provides for a
meaningful
opportunity to make
submissions. This opportunity, however, is not without limits. There needs to
be a framework within which such meaningful submissions are made, and within
which any associated disclosure requests are managed.
[80]
In this case, the motion judge took a responsive
approach. She accepted the Ministers definition of the scope of submissions,
and the disclosure needed to permit those submissions (referred to as nominal
disclosure and including the agreed statement of facts). She held, at para. 59:
Before any final order is made in a child
protection proceeding in this court which may impact an existing deportation
order, I find that the Minister ought to be permitted to make submissions to
this court on
all relevant issues
, including
whether there is a genuine
lis
between the parties that justifies the
order being requested by the parties. [Emphasis added.]
[81]
The appeal judge, in affirming the motion
judges decision, invoked an analogy to the framework for determining fairness
obligations from
Baker v. Canada (Minister of Citizenship and Immigration)
,
[1999] 2 S.C.R. 817. That framework sets out five factors to be considered on
judicial review for determining the appropriate degree of fairness for a
particular decision-making setting. With four of these factors in mind (
(i) the nature of the decision being made and the process followed
in making it;
(ii) the nature
of the statutory, institutional and social context;
(iii) the importance of the decision to the parties and interests
affected; and
(iv) legitimate
expectations),
the appeal judge upheld the motion
judges determination that [t]he court would fail in its duty of fairness and
responsibility to the administration of justice if the Minister was limited in
the manner requested by the parties: at para. 55.
[82]
I agree that s. 50(a) of the
IRPA
gives
rise to a discretion to be exercised by the motion judge, both in relation to
the scope of submissions and in relation to the extent of disclosure.
[83]
Spence J. referred to the Minister being granted
an unfettered opportunity to make submissions in the status hearing dealing
with the application for a supervision order in November 2019. At the status
hearing giving rise to this appeal, the motion judge rejected an argument that
the Ministers submissions should be limited, in effect, to advising the motion
judge of the existence of a removal order. She did not address what, if any,
limits would be appropriate or necessary on the Ministers submissions.
[84]
The appeal judge held that the motion judges exercise
of her discretion demonstrated no error. He concluded, at para. 61:
The motion judge
was correct in her interpretation of s. 50(a) of the
IRPA
, to the
extent that she found the nature of the Minister's legitimate interest is the
basis for determining the content of the required "opportunity to make
submissions". Determining the specific order or orders necessary to give
rise to effective or "meaningful" submissions, however, involved the
exercise of discretion. Subject to the next argument, addressed below, the
motion judge committed no error of principle, and was not clearly wrong, in
making the specific orders in this case that she did.
[85]
I do not accept the argument advanced by the
CCAS and OCL that the Ministers submission must be limited to facts about the
removal proceedings. Nor do I accept, however, that the Ministers opportunity
to make submissions is to be unfettered. Rather, I agree with the appellants
that the Ministers submissions must be limited to his area of legitimate
concern, in light of his duties under the
IRPA
.
[86]
In my view, a blended analysis of this dual
legislative context (
CYFSA
and
IRPA
) is necessary to
determine both the scope of submissions and associated disclosure in the child
protection setting.
[87]
Moreover, I do not think this case can be resolved
according to administrative laws procedural fairness analysis. The
Baker
framework appropriately highlights the need to tailor the decision on
disclosure. However, it does little to address the competing concerns of other
parties who may be affected by a decision regarding disclosure, such as the
privacy considerations at issue in this child protection proceeding. For this
reason, I come to a different conclusion as to the appropriate framework to
employ when determining disclosure in this statutory context.
[88]
In my view, before a judge in a child protection
proceeding can decide on the scope of a Ministers submissions or any
accompanying question of disclosure, the Minister must provide a basis for the
proposed scope of submissions. That basis must be derived from the record
before the Minister, or from the Ministers field of knowledge and expertise. For
example, if the Minister wishes to challenge the
bona fides
of the
lis
of a child protection proceeding, as in this case, the Minister must
demonstrate a legitimate,
prima facie
concern based on material within
the removal record or the Ministers field of knowledge. That concern may
relate to material in the removal record that casts doubt on the
lis
of a child protection proceeding, or it may relate to the number and kind
of supervision orders that have been granted. For example, in its factum, at
para. 60, the Minister states that The
CYFSA
is not meant to and
cannot provide
de facto
immigration status. It may be appropriate,
after multiple orders under the
CYFSA
purporting to affect a familys
immigration status, for the Minister to raise such a concern. It will be for
the motion judge to assess whether such a
prima facie
concern has been
established, and to demarcate the scope of a Ministers submissions based on
that concern.
[89]
If, as in this case, disclosure is requested for
the Ministers submission to be meaningful, the Minister must provide further
justification for the specific, proposed disclosure. That justification must logically
connect the proposed disclosure to the scope of submissions. For example, if
the Minister seeks access to the agreed statement of facts, the Minister must
first identify the kind of facts that need to be known to make meaningful submissions.
In oral submissions, counsel for the Minister characterized the request for
disclosure in this case as a mechanism to connect the dots so that the
Ministers submissions could be meaningful. While it is open to the Minister to
frame his request for disclosure in this way, it is for the Minister to set out
the specific dots that need to be connected. For example, if the Minister seeks
disclosure to address whether in this case the
CYFSA
is being used to
provide
de facto
immigration status for the family, the Minister
should be expected to summarize how the disclosure sought will enable such
submissions to be meaningful.
[90]
Once the Ministers position is set out, the
judge can then consider the requested scope of submission/disclosure, together
with the Ministers statutory obligation to pursue removal as soon as possible on
the one hand, and the parties duties under the
CYFSA
and the childs
best interests on the other hand. This analysis will also inform the kind of
restrictions that ought to be placed on disclosure, in terms of redacting
documents, if necessary, protecting confidentiality to the extent possible, and
restricting the use of the disclosure outside the specific purpose of making
submissions.
[91]
Disclosure orders would be granted only where,
and to the extent that the Ministers clearly defined need for disclosure is
warranted, having regard to the competing interests and concerns of the
affected parties. Ultimately, the decision requires the exercise of discretion;
as long as the Minister first satisfies the motion judge that there is a
prima
facie
basis for disclosure,absent an error in law or in principle,
the motion judge's decision is entitled to deference.
[92]
In this case, the motion judge did not require
the Minister to establish a
prima facie
basis for the scope of
submissions he wished to make, and did not assess whether the disclosure sought
by the Minister was justified in light of material in the removal record, or within
the field of knowledge of the Minister. As a result, I conclude that the motion
judges decision on disclosure cannot be upheld.
[93]
I expressly refrain from commenting on whether,
on the appeal record in this case, the Minister would have met the threshold
for the scope of submissions proposed, or for the disclosure requested, as
these threshold questions were not put to the Minister and therefore not
addressed in the way contemplated above.
[94]
As a result, I would allow the appeal, set aside
the disclosure order and remit the matter to the motion judge if the Minister
wishes to pursue same and attempt to meet the
prima facie
case for the
specific disclosure requested.
(4)
The motion judges comments did not give rise to
a reasonable apprehension of bias
[95]
As a fourth ground of appeal, the OCL alleges
that the motion judge failed to abide by r. 17(24) of the
FLR
s governing
settlement conferences, that her comments on the potential settlement of the
dispute gave rise to a reasonable apprehension of bias and that the appeal
judge erred in failing to make this finding.
[96]
This issue received very little attention in the
oral hearing on this appeal.
[97]
However, in its factum, the OCL states that, at
the December 22, 2020 attendance, the motion judge presided over a conference
in which the Minister and the parties participated, and during which settlement
discussions took place. It asserts that the fact that settlement discussions
occurred was specifically stated by the Minister in their motions to preclude
the OCLs use of the conference transcript on appeal.
[98]
The motion judges Endorsement of December 22,
2020 indicates that the Court expressed a concern that a refusal to give the
Minister any disclosure would make it impossible for their counsel to make
meaningful submissions pursuant to s. 50(a) of the
IRPA
and that, if
the Minister was denied the opportunity to make meaningful submissions, the
Minister could argue before the Federal Court that an order of the Family Court
should not stay removal.
[99]
I am persuaded that the exchange that took place
between the motion judge and the parties was not a settlement conference under
the
FLRs
. Further, the comments of the motion judge cannot reasonably
be interpreted as a predetermination of the ultimate issue before her on the
motion for disclosure giving rise to a reasonable apprehension of bias.
[100]
The appeal judge did not err in finding that these comments did not
reflect a predetermination, but rather reflected an attempt to focus counsel's
minds on what the motion judge perceived as the central issue in dispute. It was
nothing more.
DISPOSITION
[101]
I would allow the appeal and remit the matter to the motion judge if
the Minister chooses to pursue his request for disclosure in accordance with
this decision.
[102]
No costs are sought on this appeal and I would award none.
Released: March 21, 2022 G.H.
L. Sossin J.A.
I
agree. Grant Huscroft J.A.
I
agree.
L. Favreau J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Hanan, 2022 ONCA 229
DATE: 20220321
DOCKET: C68236
Tulloch, van Rensburg and
Nordheimer JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Dia Eddin Hanan
Appellant
Saman Wickramasinghe and Parmbir Gill,
for the appellant
Michael Fawcett and Andrew Hotke, for
the respondent
Heard: September 7, 2021 by
video conference
On appeal from the conviction entered by
Justice Kirk W. Munroe of the Superior Court of Justice, sitting with a jury, on
November 28, 2019, and the sentence imposed on March 2, 2020, with reasons
reported at 2020 ONSC 1209.
van Rensburg J.A.:
I.
OVERVIEW
[1]
The appellant was charged with first degree
murder, attempted murder and firearms-related offences in connection with a shooting
of two individuals on December 23, 2015. One victim died and the other was
severely injured. The preliminary inquiry judge discharged the appellant on
first degree murder and committed him to trial on second degree murder,
attempted murder and the firearm charges.
[2]
On October 28, 2019, the appellants trial by
judge and jury commenced. It concluded four weeks later. The appellant was
acquitted of second degree murder and convicted of manslaughter in connection
with the victim who died. He was acquitted of attempted murder but convicted of
discharging a firearm with intent to wound in connection with the second victim
and of possession of a restricted firearm without a license. He was sentenced
to 15 years in custody, less credit for pre-sentence custody and restrictive
bail conditions.
[3]
The appellant appeals his conviction and
sentence.
[4]
The appellant raises two grounds of appeal against
his conviction. First, he asserts that the trial judge erred in dismissing his
application for a stay of proceedings under s. 24(1) of the
Charter
,
for violation of his s. 11(b) rights (oral reasons reported at 2019 ONSC 320).
He alleges two errors. First, he contends that the trial judge, in concluding
that there was a net delay of 35 months and 7 days under
R. v. Jordan
,
2016 SCC 27, [2016] 1 S.C.R. 631, erred in his assessment of defence delay, and
that the net delay was in fact 40 months and 7 days. The appellant asserts that
it was an error to attribute several months of delay to the defence arising
from repeated adjournments before a judicial pre-trial was set, when the Crown
provided insufficient and delayed disclosure. Second, he argues that the trial
judge erred in his application of the transitional exceptional circumstance,
where only approximately six months of the case occurred pre‑
Jordan
and where the Crown made a significant mistake well after
Jordan
had
been released, resulting in a delay of the trial by almost a year. For its
part, the Crown argues that the trial judge erred by not attributing more of
the delay in respect of the rescheduled trial to the defence, and that the net
delay was in fact 32 months.
[5]
In an argument made in this appeal as well as
two other appeals heard the same week,
R. v. Charity
and
R. v.
Campbell
,
[1]
the Crown submits that, if this court concludes that there was a violation of
the appellants s. 11(b) rights, a remedy other than a stay of proceedings
should be considered.
[6]
The appellants second ground of appeal against
his conviction is based on an alleged error in the trial judges jury charge.
He submits that the jury was misdirected on the burden of proof when told that
they should choose between the accounts of the appellant and the surviving
victim in the trial judges instructions on self-defence.
[7]
The appellant also seeks leave to appeal his
sentence, arguing that the trial judges reasons make it clear that he was
sentenced as though he was convicted of murder, and that the global sentence
for manslaughter and the offences of which he was convicted was demonstrably
unfit.
[8]
For the reasons that follow, I would dismiss the
appeal.
[9]
With respect to the s. 11(b) issues, I would not
interfere with the trial judges refusal to stay the proceedings due to delay.
The trial judge correctly assessed net delay at 35 months and 7 days. He did
not err in attributing to the defence the delay of nine months, 4.5 months of
which is conceded by the appellant, for the time that defence counsel refused
to set a judicial pre-trial. Nor would I accept the Crowns argument that the
entire period between the available June 2019 trial dates, for which the
defence was not available, and the eventual commencement of trial in October
2019 counts as defence delay. In his treatment of defence delay, the trial
judge properly applied the principles articulated in
Jordan
and other
cases, having regard to the particular circumstances before him. I would also
not interfere with the trial judges conclusion that the delay, which exceeded
the
Jordan
ceiling, was nevertheless justified by the transitional
exceptional circumstance. His assessment of the relevant factors in the context
of the case does not reveal any legal error and is entitled to deference.
[10]
Because of my conclusion on the first ground of
appeal, it is unnecessary to consider the Crowns argument that a remedy other
than a stay of proceedings should be considered. If I had concluded that there
was a s. 11(b) breach, I would have ordered a stay of proceedings, for the
reasons expressed in
R. v. Charity
, 2022 ONCA 226, which is released
together with these reasons.
[11]
I would also reject the appellants argument
that there was a reversible error in three passages of the jury charge where
the trial judge referred to the competing and conflicting versions of
events of the appellant and the surviving victim. When considered in the
context of the entire jury charge and the issues at trial, the impugned
passages do not reveal error. The charge provided clear direction to the jury
on the Crowns burden of proof and their assessment of the evidence, including
the application of
R. v. W.(D.)
,
[1991] 1 S.C.R. 742, to the
elements of the offences and the defence of self-defence.
[12]
Finally, I am not persuaded that the sentence
was demonstrably unfit. Recognizing that the shootings were intentional, in the
sense that they were not accidental, the trial judge imposed a reasonable
sentence, having regard to all of the relevant circumstances, including the
seriousness of the offences.
[13]
I will deal with each ground of appeal in turn.
II.
THE STAY APPLICATION: SECTION 11(
b
) OF THE
CHARTER
[14]
I will begin by setting out the relevant
procedural chronology, followed by a summary of the trial judges reasons for
dismissing the s. 11(b) application. I will then discuss each of the issues:
whether the trial judge erred in his assessment of defence delay during two
periods, and whether he erred in his application and assessment of the
transitional exceptional circumstance.
(1)
Procedural Chronology
[15]
The appellant was charged with first degree
murder and attempted murder on December 24, 2015. He was initially detained in
custody. The Crown alleged that the two victims attended the appellants home,
and while they were in the driveway, he shot them both, killing one and leaving
the other paralyzed. The surviving victim, Gregory Henriquez, was a Crown
witness.
[16]
The matter proceeded slowly through the Ontario
Court of Justice (the OCJ). The Crown provided substantial initial disclosure
on January 7, 2016. On January 21, defence counsel attended court and asked for
a one-week adjournment for the purpose of setting a judicial pre-trial date.
However, a judicial pre-trial was not set for several months. On January 28,
the defence asked for a further adjournment, citing outstanding disclosure.
This became a pattern, and over the next few months, the matter stalled as the
Crown provided further disclosure and, instead of agreeing to scheduling a
judicial pre-trial, the defence requested adjournments to review disclosure or
to await further disclosure.
[17]
On March 10, 2016, the Crown filed a replacement
information, adding six firearms charges. Again, the defence asked for an
adjournment because they were awaiting additional disclosure.
[18]
On April 7, 2016, the defence requested a
one-week adjournment for the purpose of setting a judicial pre-trial, and
again, no pre-trial was scheduled. On April 14, the defence asked for a further
adjournment to review disclosure. On this occasion, the Crown pushed to set a
judicial pre-trial, given that the matter had been stagnant for some time. The
defence opposed the request, suggesting that a judicial pre-trial would not be
meaningful without full disclosure. This pattern continued for the next two
months as the Crown continued to make disclosure.
[19]
In June 2016, the appellant advised the court
that he intended to change counsel. At the next few court appearances, the
defence requested adjournments to confirm new counsels retainer and for the new
counsel to review disclosure.
[20]
On July 8, 2016, the Supreme Court released its
decision in
Jordan
. After the release of
Jordan
, Crown
counsel became increasingly concerned that the matter had been dragging on for
too long without a judicial pre-trial. On July 21, the defence again requested
an adjournment because of the change in counsel and to receive further
disclosure, and Crown counsel expressed the need to move the case forward.
[21]
The new defence counsel got on the record in
August 2016 and sought adjournments to review disclosure. In the multiple
appearances that followed, the Crown stressed that a judicial pre-trial needed
to be set as soon as possible. On October 19, the court set a judicial
pre-trial, which took place on November 9, 2016. The parties planned to have a
continuing judicial pre-trial. On December 15, the defence asked to delay
setting a continuation of the judicial pre-trial pending the result of the
appellants application for judicial interim release.
[22]
On December 20, 2016, the appellant was released
from custody, and a continuing judicial pre-trial was set for January 16, 2017.
The parties intended to set preliminary hearing dates in March 2017, but on
March 1, 2017, the defence asked to delay setting such dates to review recently
provided disclosure and to obtain further disclosure. The Crown submitted that
dates should be set sooner rather than later, and suggested that the parties
could adjust the dates as required. The matter was adjourned to March 29, 2017
to set preliminary hearing dates.
[23]
On March 29, 2017, the parties set preliminary
hearing dates for 15 days beginning on October 31, 2017. In the end, the
preliminary inquiry lasted only eight days, concluding on December 4, 2017. On
December 12, 2017, the appellant was committed for trial on second degree
murder, attempted murder, and the firearms charges.
[24]
On January 5, 2018, the first appearance in the
Superior Court, the presiding justice in assignment court, Pomerance J., asked
defence counsel to identify how much of the delay to date was defence delay.
The Crowns position was that there were eight months of defence delay at the
beginning of the case. Defence counsel accepted that the defence delay was
somewhere in that range. Based on this assessment, the
Jordan
ceiling of
30 months would be reached on or around February 24, 2019. The court was eager
to set trial dates as soon as possible.
[25]
In February 2018, following a judicial
pre-trial, a six-week jury trial was scheduled to commence on November 5, 2018.
Pre-trial motions were set for September 2018. The dates were confirmed in
August 2018, at which time Crown counsel updated defence counsel on the
polices efforts to analyze the appellants cell phone, and advised that technical
issues prevented an analysis (the cellphone was password-protected and the
existing technology prevented access). Crown counsel had no information about
when a report might be obtained and warned defence counsel that it might end
up affecting our trial timeline if it arrives unexpectedly.
[26]
Pre-trial motions commenced as scheduled on
September 17, 2018. The Crown confirmed that the surviving victim, who lived in
the United States and had testified by video at the preliminary inquiry, would
be attending the trial.
[27]
On the eve of trial, the Crown encountered two
significant challenges. First, the surviving victim refused to testify and
could not be compelled to do so because he was not in Canada. As a result, the
Crown intended to apply to introduce his preliminary hearing testimony and
police statement as evidence at the trial, which would entail motions that
would inevitably delay the start of the trial. Second, the police had succeeded
in analyzing the appellants cell phone and had provided a report to the Crown
at the last minute. The Crown intended to rely on this evidence, but the police
had not provided the Crown with the information to obtain (ITO) and search
warrant authorizing the search of the phone.
[28]
On November 2, three days before the jury trial
was to begin, the Crown informed the court of these problems. The defence
raised the possibility of re‑electing to a trial by judge alone under s.
561 of the
Criminal Code
,
to avoid an adjournment. The Crown asked for time to consider the possibility
of re-election. The trial judge warned the Crown that, while the matter was
fine if we proceed right now, if there was further delay, they might start
having
Jordan
problems. The trial judge told the Crown to obtain and
disclose the ITO and search warrant over the weekend, given that the defence
was concerned about potential
Charter
problems with the cell phone
evidence.
[29]
On November 5, 2018, the date on which the trial
was scheduled to begin, the Crown advised that it would not consent to a
re-election. The defence requested an adjournment, and Crown counsel conceded
that the defence request was appropriate. The trial judge asked about the s.
11(b) consequences of granting an adjournment. Defence counsel confirmed that,
if the trial could not be rescheduled in the next six months, he would likely
bring a s. 11(b) application. The trial judge deferred consideration of
the adjournment request to the following day. The ITO for the cell phone search
was provided to the Crown and disclosed to the defence after court on November
5.
[30]
On November 6, after confirming the Crowns
position regarding re-election, the trial judge adjourned the trial to October
28, 2019, almost a year later. The court had offered to reschedule the six-week
jury trial beginning on June 3, 2019, after making exceptional efforts to
reorganize the trial judges schedule. However, defence counsel was unavailable
because he was conducting another trial for an in-custody client at that time.
Later that day, after the trial was adjourned, the Crown advised that, having
reviewed the ITO, it no longer intended to rely on the cell phone evidence.
[31]
The trial judge did not allow the 2018 trial
dates to go to waste. He used the time to conduct further pre-trial motions,
including the s. 11(b) application. On November 16, 2018, the parties held a
judicial pre-trial to discuss the s. 11(b) issues. At the Crowns request, the
court disclosed the trial judges schedule to the Crown, so that the Crown
could assess the other matters assigned to the trial judge and determine
whether any Crown matters could be resolved or adjourned. There were no other
six-week periods when the judge was available. The Crown also proposed that the
trial could be completed in four weeks, a suggestion that was opposed by
defence counsel and rejected by the trial judge. In January 2019, the trial
judge dismissed the appellants s. 11(b) application.
[32]
The appellants trial commenced as scheduled on
October 28, 2019 and concluded on November 28, 2019.
(2)
The Trial Judges Section 11(b) Decision
[33]
The trial judge dismissed the s. 11(b)
application, holding that, although the net delay exceeded the
Jordan
ceiling
of 30 months, it was justified because this was a transitional case where the
transitional exceptional circumstance applied. The total delay was about 47.5
months. From that total, the trial judge deducted defence delay, leaving a net
delay of 35 months and 7 days.
[34]
The trial judge deducted as defence delay
approximately 12.5 months as follows:
·
January 21 to October 19, 2016 (9 months
): During this period, the defence refused to set a judicial
pre-trial because disclosure was incomplete and ongoing. The appellant also
changed counsel. The appellant acknowledged that the delay caused by the change
in counsel was properly deducted, but argued that the remaining delay was not.
The trial judge held that the defence position that disclosure must be complete
before a judicial pre-trial could be set was misguided and wrong. In cases of
even modest complexity, disclosure will be an ongoing process. Defence counsel
had accepted that there were eight months of defence delay during this period
at a previous court appearance.
·
December 15 to December 20, 2016 (5 days)
: The appellant agreed to a finding of defence delay because the
defence had asked to delay setting a judicial pre-trial continuation date.
·
March 1 to March 29, 2017 (28 days)
: The defence asked to delay setting preliminary hearing dates to
obtain and review disclosure. This delay was unnecessary, as the parties could
have set dates and adjusted them later if required.
·
Six weeks beginning June 3, 2019 (6 weeks)
: The Crown and the court were available to conduct the rescheduled
trial for six weeks beginning June 3, but the defence was unavailable. The
trial judge declined to attribute the entire period of delay from June 3 to the
October 28, 2019 trial dates to the defence, holding that because the court was
unable to accommodate the trial sooner, it did not count as defence delay.
[35]
The trial judge declined to find any other
defence delay based on the adjournment of the first trial dates in November
2018. The adjournment was caused by the late disclosure of the cell phone
analysis and the surviving victims refusal to testify. The defence application
for an adjournment was legitimate, given the Crowns concession that proceeding
to trial would be unfair.
[36]
The trial judge also held that the late
disclosure of the cell phone analysis and the surviving victims refusal to testify
did not qualify as discrete exceptional circumstances. The late disclosure did
not qualify because it was not reasonably unforeseen or reasonably unavoidable.
The Crown had warned the defence that this might happen, and should have been
able to tell the court sooner that it did not intend to rely on the evidence.
[37]
The surviving victims refusal to testify also did
not qualify as a discrete exceptional circumstance. Although the trial judge
accepted that this was unavoidable, he concluded that the Crown failed to take
reasonable steps to address the problem before the delay exceeded the
Jordan
ceiling. The Crowns proposal that the trial be shortened and efforts to
find an earlier trial date were not sufficient. When the defence proposed a
re-election, the Crown knew that the approximate
Jordan
ceiling was in
February 2019, that the earliest available trial date was October 2019, and
that the defence was likely to bring a s. 11(b) application. The only
reasonable step in the circumstances was for the Crown to consent to
re-election.
[38]
The trial judge rejected the Crowns position
that the delay was justified by the complexity of the case. It was a classic
self defence murder case, with typical disclosure and standard issues.
[39]
Finally, the trial judge applied the
transitional exceptional circumstance to conclude that the delay was justified.
He rejected the defence argument that the transitional exceptional circumstance
did not apply because most of the proceedings (all but the first six months or
so) occurred after the release of
Jordan
. He held that the time the
parties have had to adapt following
Jordan
is a factor to be
considered. The trial judge considered the following additional factors:
·
Complexity of the case:
The case was of moderate complexity.
·
Period of the delay in excess of the
guidelines under
R. v. Morin
, [1992] 1 S.C.R. 771:
The combined institutional and Crown delay was five months in the
OCJ, and ten months in the Superior Court. This was below the guideline for the
OCJ, above the guideline for the Superior Court by two months, and under the
overall guidelines.
·
Crowns response to institutional delay:
The Crown repeatedly pushed the case forward in the face of defence
delay, and only contributed to the delay by refusing to consent to the defence re-election.
·
Defence efforts to move the case along:
The trial judge gave the defence almost no credit for any effort
to move this case forward. In fact, the defence sought delay. The only effort
the defence made to avoid delay was the proposal to re-elect.
·
Prejudice to the accused:
The trial judge inferred prejudice and noted that the appellant was
in custody for a year before he was released on bail.
[40]
The trial judge also considered the limited time
the case spent under the
Morin
framework and the seriousness of the
offences. He stated that the final assessment was difficult. The Crown
conducted itself impeccably until the first trial date, while the defence
caused delay. The trial judge held that the Crowns single misstep in refusing
to consent to re-election was not determinative. The court in
Jordan
recognized that change takes time. While Crown counsel was aware of
Jordan
within
weeks of its release, learning the full lessons of
Jordan
, including the meaning of concepts such as
defence
delay, discrete exceptional circumstances, particularly complex cases, and
transitional exceptional circumstance
,
required time. An example of this was the repeated adjournment requests by the
defence, even after
Jordan
was released. The trial judge accepted
that, assessing the case contextually and qualitatively, the Crown had
established that the time it would take to try the case was justified.
(3)
Discussion
[41]
The standard of review of a decision on a s.
11(b) application is well‑established. Deference is owed to a trial
judges underlying findings of fact. The correctness standard applies to the
trial judges characterization of periods of delay, and to the determination of
whether the delay was unreasonable:
R. v. Jurkus
, 2018 ONCA 489, 363
C.C.C. (3d) 246, at para. 25, leave to appeal refused, [2018] S.C.C.A. No. 325.
Trial judges are generally in the best position to determine whether
exceptional circumstances exist (including in the assessment of the
transitional exceptional circumstance):
Jordan
, at para. 98. While
typically deference is owed to such a determination, a clear legal error would
justify interference:
R. v. Picard
, 2017 ONCA 692, 137 O.R. (3d) 401, at
para. 137, leave to appeal refused, [2018] S.C.C.A. No. 135.
a)
Defence Delay
[42]
There are two relevant periods at issue: (a) the
4.5-month period between January 21 and June 9, 2016, when the defence refused
to set a judicial pre-trial based on incomplete and ongoing disclosure; and (b)
the period commencing June 3, 2019, when a six-week trial date was offered but
the defence was not available, until the trial proceeded on October 28, 2019.
i.
January 21, 2016 to June 9, 2016
[43]
The appellant contends that the trial judge
erred in characterizing the 4.5-month period from January 21 to June 9, 2016 as
defence delay when defence counsel reasonably refused to set a judicial
pre-trial date because of inadequate Crown disclosure. The appellant submits
that, tracking the definition of defence delay in
Jordan
and
R. v. Cody
,
2017 SCC 31, [2017] 1 S.C.R. 659, counsels request for time to review
extensive outstanding disclosure before setting a judicial pre-trial was not
illegitimate defence action that failed to respond to the charges. Rather, it
was reasonable for the defence to refuse to set a judicial pre-trial, given
that disclosure was incomplete and ongoing. Not counting that period as defence
delay would result in a net delay of 40 months and 7 days.
[44]
I would not interfere with the trial judges
attribution of delay to the defence resulting from the repeated adjournment
requests that were based on the need for more disclosure. Authorities both
before and after
Jordan
make it clear that the Crown is not obliged to
make complete disclosure before a judicial pre-trial is set: see, e.g.,
R.
v. N.N.M.
(2006), 209 C.C.C. (3d) 436 (Ont. C.A.), at para. 37;
R. v.
Kovacs-Tatar
(2004), 73 O.R. (3d) 161 (C.A.), at para. 47; and
R. v.
Carbone
, 2020 ONCA 394, 150 O.R. (3d) 758, at paras. 51-53.
[45]
In
R. v. D.A.
, 2018 ONCA 96, 402 C.R.R.
(2d) 303, a case relied on by the appellant, the parties scheduled pretrial and
trial dates despite outstanding disclosure. This court concluded that, after
the Crown continued to provide significant new material in the moments leading
up to each appearance, it was legitimate for the defence to require time to
review the disclosure before proceeding as scheduled: at paras. 7, 12-22. In
this case, by contrast, where defence counsel continually refused to set dates
for a judicial pre-trial citing inadequate Crown disclosure, the trial judge found
that the Crown had been diligent in providing disclosure and that the defence
had sufficient disclosure to set a judicial pre-trial. In fact, defence counsel
had told the court on two occasions, before again requesting adjournments, that
she intended to set a judicial pre-trial.
[46]
The trial judge found that the defences
repeated delay of the pre-trial was misguided, drastically inefficient, and
wrong, and he noted that, when the proceedings moved to the Superior Court,
defence counsel acknowledged that this period was defence delay. He concluded
that this was not a case of refusing or delaying [disclosure] by Crown counsel.
A high level of deference is owed to trial judges findings on the legitimacy
of defence conduct:
Cody
, at para. 31. The appellant has not pointed
to any palpable and overriding error in these factual findings and accordingly,
in my view, there is no reason to interfere with the trial judges
characterization of this period as defence delay.
ii.
June 3, 2019 to October 28, 2019
[47]
The trial judge attributed six weeks of delay
during this period to the defence. He arrived at this conclusion after
rejecting the Crowns argument that the entire delay between the adjournment of
the November 2018 trial date to the ultimate October 28, 2019 trial date was
caused by a discrete exceptional circumstance. After concluding that the
adjournment of the trial did not meet the test for a discrete exceptional
circumstance, he addressed the fact that the six-week trial could have
commenced on June 3, 2019, but for the unavailability of defence counsel. He
treated this six-week period, when the court and Crown counsel were available
but the defence was not, as defence delay. In his view, because the system
could not accommodate a trial after the six‑week block declined by the
defence, the time that fell afterward does not count as defence delay because
the court was unavailable to proceed.
[48]
The issue here, which is raised by the Crown, is
whether the entire period from June 3 to October 28, 2019, which was the next
available court date for the six‑week jury trial, ought to have been
attributed to the defence. The Crown says that this is the logical result of
applying
Jordan
,
and that post-
Jordan
case law sets
a bright-line rule providing that, if defence unavailability causes a
scheduling delay, then the defence must take complete responsibility for the
entire period of delay. Counting this period as defence delay would result in a
net delay of only 32 months.
[49]
In my view, the trial judge did not err in his characterization
of the delay during this period. His conclusion that the defence was
responsible for six weeks of delay, but not for the ensuing delay when the
court could not accommodate the trial, is consistent with the directives of the
Supreme Court in
Jordan
and
Cody
.
[50]
In
Jordan
, the Supreme Court identified
the two components of defence delay as delay waived by the defence and delay
caused solely by the conduct of the defence: at paras. 61 and 63. With respect
to the latter, the court noted that this kind of defence delay comprises those
situations where the accuseds acts either directly caused the delay
or the
acts of the accused are shown to be a deliberate and calculated tactic employed
to delay the trial: at para. 63. The court identified, as a straightforward
example of defence delay, [d]eliberate and calculated defence tactics aimed at
causing delay, which include frivolous applications and requests: at para. 63.
[51]
Importantly, however, the court continued with
the following, and oft-quoted statement, at para. 64:
As another example, the defence will have
directly caused the delay if the court and the Crown are ready to proceed, but
the defence is not. The period of delay resulting from that unavailability will
be attributed to the defence. However, periods of time during which the court
and the Crown are unavailable will not constitute defence delay, even if
defence counsel is also unavailable. This should discourage unnecessary
inquiries into defence counsel availability at each appearance.
[52]
In
Cody
, the Supreme Court elaborated
on its definition of this category of defence delay, describing it as delay
which: (1) is solely or directly caused by the accused person; and (2) flows
from defence action that is illegitimate insomuch as it is not taken to respond
to the charges: at para. 30. The court cited again the example where the
court and Crown are ready to proceed, but the defence is not: at para. 30.
[53]
Typically, aside from time legitimately taken to
respond to the charges, the delay that results when the court and the Crown are
ready to proceed and the defence is not is counted as defence delay:
R. v.
Thanabalasingham
, 2020 SCC 18, 390 C.C.C. (3d) 400, at para. 9;
Jordan
,
at para. 64. There is, however, a qualification: periods of time when the
court and the Crown are unavailable will not constitute defence delay, even if
defence counsel is also unavailable:
Jordan
, at para. 64.
[54]
The issue of defence delay in the context of
defence unavailability was addressed recently by the Supreme Court in
R. v.
Boulanger
, 2022 SCC 2, in an appeal from a decision of the Québec Court of
Appeal that upheld a stay of proceedings for breach of the respondents s.
11(b) rights. One of the issues concerned the attribution by the trial judge of
112 days of delay to the defence between May 21 and September 10, 2019, where
additional trial dates were required, and the defence was not available on
certain dates in May 2019. Kasirer J., for the Supreme Court, concluded
that the majority in the Court of Appeal was correct to intervene because this
delay could not be attributed entirely to the respondent, despite the fact that
his counsel was unavailable on certain dates. Referring to para. 64 of
Jordan
,
where the court explained that where the court and the Crown are ready to
proceed but the defence is not, the resulting delay is attributable to the
defence, Kasirer J. noted that in some cases, the circumstances may justify
apportioning responsibility for delay among [the participants in the criminal
justice system] rather than attributing the entire delay to the defence. He
recognized that the delay was caused by the conduct of defence counsel, as well
as changes in Crown strategy, institutional delay and the courts lack of
initiative in obtaining earlier dates. Kasirer J. stated that, in the
particular circumstances of this case, it was fair and reasonable for the
Court of Appeal to have apportioned responsibility for the 112-day delay,
attributing up to half the delay to the defence (as well as ten additional days
based on a defence concession in the Court of Appeal). In the end, however, the
30-month
Jordan
ceiling was exceeded, no exceptional circumstance had
been raised to justify exceeding the ceiling, and a stay of proceedings was
warranted. The Supreme Court dismissed the appeal.
[55]
In my view, that is the appropriate approach to
take in this case.
[56]
Once it is accepted that the reason for defence
unavailability (other than legitimate defence preparation time) is not taken
into account in determining defence delay, it does not necessarily follow, as
the Crown urges this court to find, that there is a bright-line rule that,
once the defence is unavailable,
all
of the delay until the next
available date is characterized as defence delay. That would be inconsistent
with the principle that the delay must be solely or directly caused by the
defence, and the qualification that periods of time during which the court and
the Crown are unavailable will not constitute defence delay, even if defence
counsel is also unavailable:
Jordan
, at para. 64. Like Roberts J.A.
in
R. v.
Albinowski
, 2018 ONCA 1084, 371 C.C.C. (3d) 190, I
would reject the categorical approach proposed by the Crown that all of the
delay following the rejection of a date offered by the court must be
characterized as defence delay, and I agree with her statement that it is
necessary to consider the circumstances of [the] case: at para. 46. The court
must take a contextual approach that considers the circumstances relevant to
whether, in respect of a particular period of time, the defence refusal of a
date is the sole or direct cause of the resulting delay.
[57]
In some cases, it may be appropriate to
attribute all of the delay to the defence: see, for example
R. v. McManus
,
2017 ONCA 188, 353 C.C.C. (3d) 493, at para. 33, and
R. v. Baron
, 2017
ONCA 772, 356 C.C.C. (3d) 212, at para. 48, where in each case the defence
requested an adjournment at the last minute of a multi-day hearing and the next
available date was several months later. In these cases, there was no question
that the defence caused the event that precipitated the need for new dates.
This is delay solely or directly caused by the defence.
[58]
In the present case, however, a six-week jury
trial had been scheduled for November 2018 when the matter first arrived in the
Superior Court in January 2018, after specific consideration of when the
Jordan
threshold would be exceeded (February 2019). A last-minute adjournment was
required because of the unexpected refusal of the surviving victim to testify,
and the Crowns late disclosure of the cell phone data. The appellant offered
to re-elect to avoid losing the original trial dates, and the Crown refused.
Through significant efforts, including an adjustment to the trial judges
schedule, the court was able to offer a six-week period commencing on June 3,
2019 for the trial. Defence counsel was already scheduled for another matter,
so the trial was scheduled to proceed on the next available dates in October
2019. In these circumstances, the defence was only the direct or sole cause
of the six-week delay starting June 3, 2019, because during this period the
Crown and the court were ready to proceed and the defence was not. However,
after that six-week period, there was no availability in the court schedule
until October 28. The trial judge took the correct approach in concluding that
this was not defence delay because the court was unable to accommodate the
trial sooner.
[59]
The trial judge, in determining what portion, if
any, of the delay between June and October 2019 should be attributed to the
defence, applied an appropriate contextual approach that is faithful to
Jordan
.
The trial judges refusal to attribute more than six weeks to the defence was,
in the circumstances of this case, a fair allocation and entirely appropriate,
considering that it was the trial adjournment that resulted in the need for new
dates, and the court had no other dates available between June and October 28,
2019. In the circumstances, it would not have been fair and reasonable to characterize
as defence delay the remaining months when the court could not accommodate a
trial. This was not delay that was solely or directly caused by the defence.
b)
The Transitional Exceptional Circumstance
[60]
The appellant contends that the trial judge
erred in concluding that the transitional exceptional circumstance justifies
the presumptively unreasonable delay in this case, given that only 6.5 months
of the case occurred pre-
Jordan
and the cause of the delay exceeding
the
Jordan
ceiling was the Crowns unreasonable refusal to consent to
a re-election. The Crown contends that the trial judges approach to the
transitional exceptional circumstance was based on his findings of fact and is
entitled to deference.
[61]
A transitional case is one that was in the
system when
Jordan
was released:
Jordan
,
at para.
95;
Cody
, at para. 67. For such cases, a court can consider whether
there is a transitional exceptional circumstance as a final step in the
analysis after concluding that the net delay exceeds the threshold or is
otherwise unreasonable:
Jordan
, at para. 96;
Cody
, at para.
67. The transitional exceptional circumstance recognizes that all participants
in the criminal justice system need time to correct their behaviour and to adjust
to the new framework, which represents a significant shift from past
practice:
Jordan
, at paras. 96-97, 108.
[62]
A transitional exceptional circumstance will
apply when the Crown satisfies the court that the time the case has taken is
justified based on the parties reasonable reliance on the law as it previously
existed:
Jordan
, at para. 96. This involves a qualitative exercise:
Cody
, at para. 68. The court in
Jordan
observed that the
analysis must always be contextual and sensitive to the manner in which the
previous framework was applied, and the fact that the parties behaviour cannot
be judged strictly, against a standard of which they had no notice: at para. 96;
see also
R. v. Williamson
, 2016 SCC 28, [2016] 1 S.C.R. 741, at para.
24;
R. v. Manasseri
,
2016 ONCA 703,
132 O.R. (3d) 401, at paras. 320-21, leave to appeal
refused, [2016] S.C.C.A. No. 513.
[63]
The relevant circumstances to be considered in the
assessment of the transitional exceptional circumstance include: (i) the
complexity of the case; (ii) the period of delay in excess of the
Morin
guidelines; (iii) the Crowns response, if any, to institutional delay; (iv)
the defence efforts, if any, to move the case along; and (v) prejudice to the
accused:
Picard
, at para. 71;
R. v. Gopie
, 2017 ONCA 728, 140
O.R. (3d) 171, at para. 178. Factors that played a decisive role in whether
delay was unreasonable under the previous framework, such as prejudice and the
seriousness of the offence, may now inform whether any excess delay in
transitional cases may be justified as reasonable:
Jordan
, at paras.
96-98;
Cody
, at para. 70. Although a case may not be sufficiently
complex to meet the requirements of exceptional circumstances under
Jordan
,
for transitional cases moderate complexity bears on the reasonableness of the
delay:
Picard
, at para. 73, citing
R. v. Pyrek
, 2017
ONCA 476, 349 C.C.C. (3d) 554, at para. 30. The parties general level of
diligence and the conduct of counsel are also relevant: see
Cody
, at
para. 70;
R. v. Rice
, 2018 QCCA 198, 44 C.R. (7th) 83, at paras.
202-3.
[64]
The court explained in
Cody
, at para.
71, that the focus of the transitional exceptional circumstance for proceedings
that occurred post-
Jordan
is as follows:
When considering the transitional exceptional
circumstance, trial judges should be mindful of what portion of the proceedings
took place before or after
Jordan
was released. For aspects of the
case that pre-dated
Jordan
, the focus should be on reliance on factors
that were relevant under the
Morin
framework, including the
seriousness of the offence and prejudice.
For delay that accrues after
Jordan
was released, the focus should
instead be on the extent to which the parties and the courts had sufficient
time to adapt.
[Citation omitted; emphasis added.]
[65]
As noted earlier, the authorities make it clear
that trial judges are generally in the best position to determine whether
exceptional circumstances exist, including in the assessment of the
transitional exceptional circumstance. Given the contextual and qualitative
nature of this assessment, [w]e rely on the good sense of trial judges to
determine the reasonableness of the delay in the circumstances of each case:
Jordan
,
at para. 98. While typically deference is owed to such a determination, a clear
legal error would justify interference:
Picard
, at para. 137. In this
regard, the Québec Court of Appeal aptly observed in
Rice
, at para.
207:
It falls to judges, relying on experience, to
determine whether transitional exceptional circumstances may be invoked in a
given case despite delays that could be characterized as being very long. This
is a multifactor analysis that is, above all, the purview of trial judges. In
this equation which is anything but mathematic, there is no perfect result.
Though the analytical framework must be followed correctly, the weighing of the
different factors leading to a reasonable assessment and result are protected
from appellate intervention. [Translation.]
[66]
The appellant acknowledges that this is a
transitional case that is, that it was not an error for the trial judge to
assess whether the transitional exceptional circumstance applied. The appellant
contends, however, that the trial judge misunderstood how it applies. In
particular, he erred in applying the
Morin
framework to the entire
delay, and not just to the 6.5-month period that pre-dated
Jordan
. The
appellant argues that the Crowns refusal to consent to the defence re-election
occurred more than two years after the release of
Jordan
and that,
contrary to the trial judges assessment, the parties had sufficient time to
adapt to the new regime. The appellant relies on certain
obiter
comments in
R. v. Gordon
, 2017 ONCA 436, 137 O.R. (3d) 776, and
Picard
,
decisions of this court that
were released in May and September 2017
respectively, to say that the Crown was on notice that its decision to oppose
the defence re-election would be considered unreasonable delay post-
Jordan
.
Finally, the appellant contends that the transitional exceptional circumstance
ought not to have been applied where the Crowns mistake was a tactical
decision that ignored the teachings of
Jordan
and manifested the
culture of complacency that
Jordan
was meant to eradicate.
[67]
I disagree. There was no reversible error in the
trial judges assessment of the relevant factors and his conclusion that the net
delay, which exceeded the
Jordan
ceiling by five months, was nevertheless
justified, having regard to the transitional exceptional circumstance.
[68]
First, the trial judge properly articulated
the relevant principles to guide his analysis and the exercise of his
discretion: see paras. 51-62 of his reasons. He specifically adverted to the
relevant passages from
Jordan
,
Cody
and
Williamson
and
he referred to this courts decision in
Picard
.
[69]
Second, while the trial judge considered
the entire delay through the lens of
Morin
in assessing whether the
transitional exceptional circumstance ought to apply, he did not make the error
alleged by the appellant. The trial judge did not collapse the pre- and post-
Jordan
delay. In fact, he specifically referred to the fact that only
approximately six months of the delay occurred pre-
Jordan
as a factor
in his overall analysis. The trial judge found that the parties had not had
sufficient time to adapt to the new framework. Although they were aware of
Jordan
,
they had not yet learned its more difficult lessons and changed their behaviour
accordingly. Therefore, as was required as part of the transitional exceptional
circumstance analysis, the trial judge conducted an exhaustive assessment of
the entire delay under the
Morin
framework. He disagreed with the
defence submission that the overall delay would have been intolerable under
Morin
.
Contrary to the appellants suggestion, however, the
Morin
analysis
was not determinative. It was but one factor in the trial judges qualitative
and contextual analysis.
[70]
Third, as he was required to, the trial judge
conducted a contextual assessment of the relevant factors. Recognizing that the
case was only under the
Morin
framework for around six months, and
citing para. 71 of
Cody
, he noted that for post-
Jordan
delay,
the focus was properly on the time the parties had to adapt.
[71]
The trial judge noted that the assessment was
qualitative, rather than quantitative, and contextual. He considered the
following factors: that the case was of moderate complexity; that under the
Morin
guidelines, the delay was two months above Superior Court guidelines, but under
the OCJ guidelines and the total guidelines; that the Crowns response to delay
was impressive until the trial adjournment; that defence efforts to move the
case along were non-existent until that time; and that there was inherent
prejudice to the accused. He identified two additional relevant factors: the
time the case was under the
Morin
framework and, relying on
Cody
,
at para. 70, the serious nature of the offences alleged.
[72]
The trial judge observed that the assessment was
difficult: Up until the first trial date Crown counsel conducted themselves
impeccably in [avoiding delay]. They repeatedly and vigorously pushed the
system for quicker settings. In marked contrast, up until the first trial date,
the defence caused delay and showed no interest in pushing the case forward. He
noted that the Crown made a major misstep in refusing to consent to the
defence re-election when the jury trial was adjourned, and that, without
considering the transitional exceptional circumstance, a stay would have
resulted. The trial judges analysis continued, at paras. 274-78:
I cannot and do not ignore the Crowns major
misstep. The Crown was aware of the s. 11(b) problem and did not react well.
But the analysis here is not limited to one misstep by one party, rather it
must be contextual in consideration of all of the circumstances.
I am fully aware of the following admonition
in
Jordan
, at para. 98:
[T]he s. 11(b) rights of all accused
persons cannot be held in abeyance while the system works to respond to this
new framework. Section 11(b) breaches will still be found and stays of proceedings
will still be entered for cases currently in the system. For example, if the
delay in a simple case vastly exceeds the ceiling because of repeated mistakes
or missteps by the Crown, the delay might be unreasonable even though the
parties were operating under the previous framework. The analysis must always
be contextual. We rely on the good sense of trial judges to determine the reasonableness
of the delay in the circumstances of each case.
The
Jordan
decision brought radical
changes to our courts. The Supreme Court seeks to effect real change. The Court
was fully aware that change takes time. It was sensitive to the need for time
to adapt. The necessary changes, even now, continue to be identified.
The
hard cap numbers and the math are the easy part. More difficult is an
understanding of the needed adaptations to conform to the frameworks
bright-line rules. The pace and the rhythm of cases flowing through the system
must change. How to effect the change is not easy to grasp nor to effect. The
course of a river is never easy to alter.
There is no question here that Crown counsel
was aware of the
Jordan
decision within weeks of its release. Crown
counsel referred to
Jordan
by name in the OCJ when pressing for
quicker dates.
But awareness of the presumptive ceiling and the need for
speed are the easiest lessons of
Jordan
.
Jordan
introduced a totally new
framework with new concepts and new definitions: defence delay, discrete
exceptional circumstances, particularly complex cases, and transitional
exceptional circumstances. The precise meaning of these new concepts continues
to be refined in court cases more than two years after the release of
Jordan
. It is the full understanding of the
lessons of
Jordan
that Crown counsel and the courts lagged in their
adjustment in this case.
This is most notable in the OCJ where the case
stalled, quite unnecessarily in most instances, without understanding. No
longer can the courts in the OCJ unquestioningly go along with defence requests
for delay before setting a JPT. The JPT is intended to advance cases, including
as the forum to identify and resolve disclosure issues. The JPT should not
evolve into a mechanism to retard cases. And, perhaps unfortunately, no longer
can the Crown and the courts accommodate the defence in extending preliminary
hearings for defence discovery without holding the defence responsible for that
extra time. These too are lessons of
Jordan
to which we must adapt.
Viewing this case as a whole, in the OCJ while
the Crown was pushing and making commendable efforts to be fair, the defence
sat back, complained generally about disclosure, and let the time-clock keep
ticking. Then, on the edge of the
Jordan
cliff, the Crown was
confronted by a serious delay-causing event. The Crown did not respond well. If
my assessment rests on this Crown decision, the Crown loses. But it cannot and
does not rest on that decision. And this is not a case where the Crown made
repeated missteps. I am to assess contextually and qualitatively. In that
assessment, I find that the Crown has established that the time it will take to
try this case is justified based on the parties reasonable reliance on the law
as it previously existed. [Emphasis added.]
[73]
The trial judge properly considered not only the delay that was
occasioned by the Crowns misstep, but also the overall progress of the case,
when he concluded that the parties had not yet adapted to the lessons of
Jordan
.
He aptly observed that
Jordan
introduced new concepts and
definitions that the case law was continuing to interpret. Although the parties
may have been aware of
Jordan
, they had not had sufficient time to
adapt to its lessons. As an example of the time taken to adapt, the trial judge
referred to the continued conduct of the defence in delaying setting a judicial
pre-trial which persisted both before and after the release of
Jordan
.
[74]
As the appellant notes, this courts decisions
in
Gordon
and
Picard
were released in 2017, about a year after
Jordan
. I do not, however, agree with the appellant that these cases
would have made it clear to the Crown that its refusal to consent to a
re-election would necessarily lead to a stay. Nor do I agree with the appellant
that the Crowns misstep was a tactical decision that ignored the teachings
of
Jordan
and manifested the culture of complacency that
Jordan
was meant to eradicate.
[75]
In both
Gordon
and
Picard
, the
transitional exceptional circumstance was applied where the net delay well
exceeded the
Jordan
threshold (44 months in
Gordon
and 40
months in
Picard
). In
Gordon
,
this court deferred to
the decision of the trial judge to refuse a stay, notwithstanding that the
Crowns refusal to accept the accuseds re-election in part caused a nine-month
delay. Doherty J.A. saw no reason to disagree with the factual findings
underlying the trial judges allocation of the various time periods: at para.
22. Noting that the Crowns decision must be considered in the context of other
steps the Crown took at about the same time, in attempting to shorten the trial
and to obtain earlier dates for a jury trial, and that there was no evidence of
any repeated mistakes or missteps by the Crown that contributed to the delay,
he stated that [p]laced in its proper context, the Crowns refusal to consent
to a re-election in June 2014 cannot be described as a misstep. Nor does it
reflect the culture of complacency that so concerned the court in
Jordan
:
at para. 26. He went on to observe, at para. 27, that [t]he Crowns decision
to keep the jury and consequently delay the trial, while probably unreasonable
in the context of the hard cap approach in
Jordan
, was reasonable in
the context of the
Morin
analysis as applied to the chronology of this
case. The delay in the case was well within the
Morin
guidelines.
Additional factors weighing against granting a stay under
Morin
were
the fact that the case was moderately complex and the seriousness of the
offences.
[76]
Picard
involved
the appeal of a stay of a murder charge. This court allowed the appeal, concluding
that the trial judge, among other things, erred in law in refusing to consider
the transitional exceptional circumstance after finding that Crown and
institutional delay exceeded the guidelines under the
Morin
framework.
Rouleau J.A. concluded that the delay was under the
Morin
guidelines.
He also disagreed with the trial judges characterization of the Crowns
refusal to accept earlier trial dates and to expedite the trial based on the
unavailability of the two assigned Crowns as an example of the Crown making a
choice that paid no heed to the accuseds s. 11(b) rights: at para. 133.
Rouleau J.A. noted that, as a result of the decision in
Jordan
, a
decision such as the one the Crown made in this case would weigh heavily
against the Crown and might in fact be determinative as to whether a stay
should issue: at para. 130. Because this was a transitional case, however, he
went on to consider whether the delay was justified by the transitional
exceptional circumstance. He referred to excerpts from
Jordan
noting
that it will be relatively rare for the delay in cases already in the system
when
Jordan
was decided that complied with
Morin
to be found
unreasonable under
Jordan
, and he observed that this was not a case
where the parties had time following the release of
Jordan
to correct
their behaviour. The few months of delay that accrued after
Jordan
were not enough time for the parties and court to adapt. Noting that this was a
difficult case, and after weighing all of the factors, he concluded that the
delay above the presumptive
Jordan
ceiling was justified by the
transitional exceptional circumstance: at paras. 137-141.
[77]
The appellant focuses on the fact that most of
the delay in
Gordon
and
Picard
was pre-
Jordan
and on
the comments in each case suggesting that the result might have been different
under a
Jordan
analysis. However, this is precisely what the trial
judge observed in the present case under the hard cap approach in
Jordan
(to echo Doherty J.A. in
Gordon
), a stay would have resulted. As
a transitional case, however, it warranted an evaluation as to whether the
delay was nevertheless justified because of the time required to adapt to the
lessons of
Jordan
.
[78]
The trial judge properly considered the factors
that supported the existence of a transitional exceptional circumstance. He
accepted the points raised in this court by the appellant: first, that the pre-
Jordan
delay was only 6.5 months, and that Crown counsel was aware of
Jordan
and its implications as soon as it was released, and second, that the Crown had
made a serious misstep in not accepting the appellants re-election, which
would have avoided the s. 11(b) issue. Importantly, however, he noted that the
precise meaning of the new concepts introduced in the
Jordan
framework
continued to be refined some two years after
Jordan
had been decided.
This is an important observation in the context of this case: the case law was
evolving, and the Crown might well have concluded that the trial delay that
occurred just prior to the estimated
Jordan
ceiling date would qualify
as a discrete exceptional circumstance or be attributed in part to the defence
or that, based on
Gordon
and
Picard
,
there was a transitional
exceptional circumstance.
[79]
The trial judge also looked at the overall pace
of the case, observing as an example of the time to adapt, the stalling of the
case in the OCJ because of defence counsels repeated adjournment requests.
Some delay preceded
Jordan
but there was little change in the defence
approach even after
Jordan
was released. The trial judge properly, in
my view, took into consideration the overall Crown and defence approaches to
the progress of the case, as well as the fact that on the edge of the
Jordan
cliff the Crown made one serious misstep. This informed the trial judges
assessment that the Crown had established that the time it will take to try
this case is justified based on the parties reasonable reliance on the law as
it previously existed.
[80]
As the authorities recognize, a trial judge is
in the best position to evaluate, in a transitional case, whether the overall
delay was justified by the transitional exceptional circumstance. The trial
judge here, after considering all of the factors, and with due regard for the
fact that only about six months of the case occurred pre-
Jordan
, carefully
explained why he had reached his decision. He concluded that the parties had
not had sufficient time to adapt to the lessons of
Jordan
after
properly considering not just the Crown misstep that pushed the case over the
Jordan
threshold, but the conduct of both parties throughout. The conclusion that
the delay was justified by the transitional exceptional circumstance reveals no
error in law, and is entitled to deference.
[81]
For these reasons, I would reject the
appellants argument that the trial judge erred in applying the transitional
exceptional circumstance.
III.
THE ALLEGED ERRORS IN THE CHARGE
[82]
The appellant submits that, based on three
passages from the jury charge, the trial judge erred by instructing the jury
that its decision on the ultimate issues would depend on which version of
events it accepted. In doing so, the trial judge framed the case as a
credibility contest, shifting the burden of proof to the appellant and undermining
the presumption of innocence. Apart from the impugned passages, the appellant
takes no objection to the trial judges instructions. Nevertheless, the
appellant asserts that the trial judges error, based on the three impugned
passages, renders the verdict unsafe and necessitates a new trial.
[83]
The Crown contends that the appellants argument
must fail for three reasons. First, it is undermined by the jurys verdict. The
jury acquitted the appellant of murder and attempted murder, and found him
guilty of manslaughter and discharge with intent to wound. There was no path to
this outcome if the jury had felt compelled to accept one of the two
conflicting versions of events in its entirety. Second, the whole of the charge
shows that the trial judge took care to emphasize, on several occasions, that
the jury must consider all the evidence in making its findings and should not
treat the case as a credibility contest. Third, defence counsel did not raise
any objection to the adequacy of the charge on this issue.
(1)
The Two Versions of the Events
[84]
The Crown alleged that the appellant had
intentionally shot two individuals with the intent required for murder:
Alekesji Guzhavin, who died at the scene, and Gregory Henriquez, who survived,
but was paralyzed, and testified by video at the trial. The appellant
acknowledged that he had shot both men, but asserted that the shootings were
not intentional, and that they occurred in defence of himself and his family.
[85]
From the outset of the trial, it was apparent
that there were two versions of the events, that of Mr. Henriquez and that of
the appellant, and that these two versions differed both in broad terms and in
their respective details. The defence position, supported by the appellants
evidence, was that he wrestled a gun from Mr. Guzhavin and, in self-defence and
defence of his family, shooting blindly, he shot both men. According to Mr.
Henriquezs version, which was relied on by the Crown, the appellant turned on
him and Mr. Guzhavin with a gun, shooting Mr. Henriquez as he was fleeing,
and then shooting Mr. Guzhavin. While there was a great deal of other evidence
including the testimony of police officers about their observations of the
scene, forensic evidence about the bullet wounds to the two victims, and a recording
of gun shots the appellant and Mr. Henriquez were the only eye-witnesses to
the events.
[86]
The fact that there were competing,
conflicting or different versions of the events was obvious to everyone in
the courtroom, and a repeated refrain of counsel and the trial judge. Indeed,
during closing arguments, defence counsel focussed on comparing the accounts of
the events proffered by the Crown and the appellant, pointing to aspects of the
two versions on more than 15 occasions, and urging the jury to reject Mr.
Henriquezs version of what occurred and to accept some or all of the
appellants version. The trial Crown referred to the two versions of events
on some five occasions. The trial judge referred to the different versions
throughout his charge, including in his summary of the defence and Crown
positions, using wording provided by counsel.
[87]
The issue is not whether the trial judge erred
in his characterization of the two accounts as different versions that could
not both be true, and in his repeated reference to aspects of the evidence of
the two eye-witnesses as versions. Rather, the question is whether the jury
was properly instructed with respect to (a) the approach they needed to take in
assessing the evidence, and in particular the evidence of the appellant, in
circumstances where Mr. Henriquez had provided conflicting evidence; and (b)
the burden of proof.
(2)
Relevant Legal Principles
[88]
The legal principles that are applicable to the
analysis of this ground of appeal can be stated briefly.
[89]
First, the general rule is that a jury should
not be left with the impression that they can or should decide a case based on
whether they accept either the accuseds evidence or the Crowns evidence. It
is essential that the jury understand that they must acquit if, without
believing the accused, and after considering the accuseds evidence in the
context of the evidence as a whole, they have a reasonable doubt as to his
guilt:
W.(D.)
, at p. 757.
[90]
Second, the adequacy of jury instructions is not
determined according to the interpretations that might be given to select or
isolated passages from a charge. Any alleged deficiencies must be assessed in
the context of the entire charge and the trial as a whole. It is an error to
examine minute details of the charge in isolation, as it is the overall effect
of the charge that matters:
R. v. Araya
, 2015 SCC 1, [2015] 1 S.C.R.
581, at para. 39. Where, as here, the contention is that the trial judge erred
in suggesting that the jury should choose between competing versions, and in
effect depart from a proper
W.(D.)
analysis, the question is whether
the charge when read as a whole makes it clear that the jury could not have
been under any misapprehension as to the correct burden and standard of proof:
W.(D.)
,
at p. 758.
[91]
Third, it is relevant in determining whether
there was a misdirection to consider whether the deficiency in the charge
alleged on appeal was raised at first instance. While failure to object to
jury instructions is not determinative on appeal, it nonetheless says
something about both the overall accuracy of the jury instructions and the
seriousness of the alleged misdirection:
Araya
, at para. 51, citing
R.
v. Jacquard
, [1997] 1 S.C.R. 314, at para. 38.
(3)
The Impugned Passages
[92]
The passages relied on by the appellant as
reflecting a misdirection arise in the context of the trial judges
instructions on self-defence. The first excerpt appears at p. 71 of the
transcript of the charge, when the trial judge stated:
I suggest to you that the major issue for you
to decide is whether Dia Hanan was acting in lawful self defence when he shot
Alekesji Guzhavin and Gregory Henriquez. Intention is also an issue; did Mr.
Hanan have the required intent for murder when he shot Alekesji Guzhavin and
did he have the required intent for attempt murder when he shot Gregory
Henriquez.
The resolution of these issues, I suggest
to you, is driven in large part on which version you accept. The two versions
you have heard cannot both be true.
Of course, you
must resolve this decision according to the law as given to you. In making your
assessment, you may find it helpful to examine the physical and independent
evidence you do accept to see whether each version is consistent or
inconsistent with that evidence. [Emphasis added.]
[93]
The appellant also contends that the jury was
misdirected in two additional passages from the charge relating the
reasonableness element of self-defence. In relation to self-defence in the
killing of Mr. Guzhavin, the trial judge stated at pp. 89-90:
The reasonableness of the shooting of Mr.
Guzhavin by Mr. Hanan is largely dependent on which of the two conflicting
versions you accept.
According to Mr. Hanan, Mr.
Guzhavin, with the assistance of Mr. Henriquez, was extorting money from him at
gunpoint and threatening to involve Mr. Hanans family. According to Mr.
Henriquez, although he did not know Mr. Hanan at all and did not know Mr.
Guzhavin well, nothing was violent or threatening at the scene until he saw Mr.
Hanan with a gun shooting Mr. Guzhavin.
You may conclude that shooting Mr. Guzhavin
under Mr. Hanans version is reasonable but shooting Mr. Guzhavin under Mr.
Henriquezs version is unreasonable. Again
you may find that the resolution
of this issue hinges upon which version is accepted
. [Emphasis added.]
[94]
And in relation to the reasonableness of the
appellants shooting of Mr. Henriquez, the trial judge stated at pp.
110-111:
Was it reasonable to shoot Mr. Henriquez?
The
answer again is largely dependent upon which version is accepted.
If you
accept the version of Mr. Hanan that Mr. Henriquez was shot during or
immediately after the struggle over the gun, then you approach your assessment
from that point of view to determine whether the shooting of Mr. Henriquez was
reasonable under all the circumstances. If, on the other hand, you accept the
evidence of Mr. Henriquez that he was shot in the back while trying to run
away, then you may consider the reasonableness of such conduct. [Emphasis
added.]
[95]
In each passage, according to the appellant, the
trial judge framed the case as an either/or contest between duelling versions,
and corralled the jury into accepting either the appellants version or Mr.
Henriquezs version, to the exclusion of a third possibility where neither
version was accepted. Moreover, the trial judge suggested that the appellant
could be acquitted only if his version was accepted, shifting the burden to the
appellant to prove his innocence.
(4)
Discussion
[96]
When the impugned passages are considered, as
they must be, in the context of the trial judges very clear instructions on
the assessment of the evidence, and the live issues in this trial, I am
satisfied that there is no reasonable prospect that the jury would have
understood that they were to decide what happened by simply choosing between
competing accounts. The trial judge provided careful and detailed instructions
about the legal elements of the defence of self-defence, identified the
questions the jury was to determine, and related the evidence to those
questions. The jury was not misdirected on how they were to approach the
evidence or on the burden of proof.
[97]
First, the impugned passages were preceded and
followed by detailed and appropriate instructions about how the jury should
approach their task when dealing with two different versions of events.
[98]
Early in the charge, at page 10 of the
transcript, under the heading Burden of Proof in a Conflicting Versions Case
(the jury was provided with a written copy of the charge), the trial judge
presented a summary of the evidence of each of the appellant and Mr. Henriquez
about what happened at the scene. He then instructed the jury on how they
should approach the evidence of these two witnesses, referring back to
instructions he had given earlier on the burden and standard of proof. He cautioned
the jury specifically that they were not to choose between two versions, but to
decide whether, on all the evidence, or the lack of evidence, the Crown had
proven its case against the appellant beyond a reasonable doubt. The trial
judge stated, at p. 12:
When deciding this case, I remind and caution
you to never forget my instructions I just gave you on the burden and standard
of proof. The Crown always has the burden to prove the guilt of Mr. Hanan. That
burden never shifts to the defence.
So, when you are confronted with two
conflicting versions, as you are here, you do not approach it asking which
version do you prefer. You do not decide this case on which version you prefer.
This is not a contest between duelling versions, and you must not approach it
in that fashion. You are not here to make that kind of choice. Rather, you must
decide whether, on all the evidence, or the lack of evidence, the Crown has
proven its case against Mr. Hanan beyond a reasonable doubt.
[Emphasis
added.]
[99]
This was immediately followed, at pp. 12-13, by
an instruction on how to approach the appellants testimony and a
W.(D.)
instruction:
Dia Hanan has testified. You will assess his
evidence in the same way that you assess the testimony of any other witness.
Recall what I said to you earlier about how to decide how much or how little
you believe of and rely upon the testimony of any witness. You may believe
some, none or all of Mr. Hanans testimony.
However, when an accused person testifies at
his trial, as Mr. Hanan did here, because of the law on presumption of
innocence and burden of proof as I instructed you, the law requires you, the
fact finder, to approach your ultimate decision making in a particular manner.
First, if you believe Dia Hanans evidence
that he did not commit the offence as charged, that all his actions were in
lawful self defence, you must find him not guilty.
Second, even if you do not believe Dia Hanans
evidence, if it leaves you with a reasonable doubt about his guilt, about an
essential element of an offence charged, or about self defence, you must find
him not guilty of that offence.
Third, even if Dia Hanans evidence does not
leave you with a reasonable doubt of his guilt, about an essential element of
the offences charged, or about self defence, you may convict him only if the
rest of the evidence that you do accept proves his guilt beyond a reasonable
doubt.
To make your decision, you should consider
carefully, and with an open mind, all the evidence presented during the trial.
It will be up to you to decide how much or little you will believe and rely
upon the testimony of any witness. You may believe some, none or all of it.
[100]
The trial judge repeated this specific direction later in the charge
after his instructions on the intent required for murder, at pp. 96-97 of the
transcript, under the heading, Reminder of How to Assess Conflicting
Versions.
[101]
The trial judge provided similar instructions on a number of
occasions throughout the charge, as he addressed the specific elements of each
offence and the defence of self-defence, on each occasion tailoring the
instructions to the particular issue, after summarizing the relevant evidence
and relating it to the particular element. In fact, specific instructions of
this nature were provided immediately after both of the second and third
passages criticized by the appellant. The appellant does not take issue with
any of these instructions.
[102]
Second, it is important to note that the trial judge never suggested
to the jury that they were to accept the
whole
of the testimony of
either the appellant or Mr. Henriquez; to the contrary, he repeatedly
emphasized that they could accept, some, all or none of the evidence of any
witness, including the two eye-witnesses. The jury was not invited to choose
between the entire accounts provided by the two eye-witnesses, nor did they do
so. There were many details within the testimony of each, for example, Mr.
Henriquezs evidence about the appellant pointing the gun at Mr. Guzhavin and
saying, Die, motherfucker, die. Clearly, by its verdict, the jury did not
accept this part of Mr. Henriquezs evidence.
[103]
In some instances, the trial judge used the word version to refer
to the broad outlines of the evidence of the defence and Crown positions: that
the appellant, acting in self-defence, grabbed the gun from Mr. Guzhavin and
started shooting, or that the appellant pulled out a gun and shot Mr. Guzhavin
and Mr. Henriquez, without any prior violence. On other occasions, the
trial judge referred to specific aspects or details of the evidence of the
appellant and Mr. Henriquez as versions in the course of relating the
evidence to a particular issue.
[104]
This is what occurred in the second and third passages criticized by
the appellant. These impugned passages are from the trial judges instructions
on the reasonableness of self-defence, first in relation to the shooting of
Mr. Guzhavin, and then in relation to the shooting of Mr. Henriquez.
[105]
The trial judge, after explaining what was meant by the
reasonableness element, reviewed the evidence that was relevant to the jurys
determination of this issue. It was in this context that, in the second
impugned passage, he identified as conflicting versions the appellants
evidence that Mr. Guzhavin and Mr. Henriquez were extorting money from the
appellant at gunpoint, and threatening to involve his family, and Mr.
Henriquezs evidence that, although he did not know the appellant at all and
did not know Mr. Guzhavin well, nothing was violent or threatening at the scene
until he saw the appellant with a gun shooting Mr. Guzhavin. The trial judge
properly instructed the jury that they might conclude that shooting Mr. Guzhavin
under the appellants version was reasonable but shooting him under Mr.
Henriquezs version was not. He went on to review other evidence that the jury
might examine, as well as the reasonableness of the different versions, in
relation to the parties physical sizes, and the evidence about the presence or
absence of injuries. He concluded his discussion with a direction on reasonable
doubt.
[106]
The third impugned passage reflects a similar approach, where, in
instructing the jury on the reasonableness element of self-defence in relation
to the shooting of Mr. Henriquez, the trial judge referred to the two
versions being the appellants evidence that Mr. Henriquez was shot during or
immediately after a struggle over the gun, and Mr. Henriquezs evidence that he
was shot in the back while trying to run away.
[107]
When these passages are read in context, it is apparent that the
trial judge, in referring to the two versions, was reminding the jury of the
evidence of the two eye-witnesses that was relevant to their determination of
the reasonableness of the appellants conduct, as an element of self-defence.
This was a necessary instruction for the jury to relate the evidence to the
reasonableness element of self‑defence, in order that they might make the
required finding of fact and approach the question of the reasonableness of the
appellants conduct in the context of each of these factual circumstances.
Indeed, the trial judge concluded each of these passages with a reminder that
the jury should consider all of the evidence, and a reasonable doubt
instruction.
[108]
The trial judge did not, as the appellant asserts, set up a choice
between two competing versions, suggesting to the jury that, unless they
accepted the appellants account, they had to convict him. Rather, he helped
the jury to focus on how to approach the reasonableness issue, depending on
their assessment of the evidence.
[109]
Third, the appellants reliance on
R. v. Austin
(2006), 214
C.C.C. (3d) 38 (Ont. C.A), is misplaced. In that case, which involved sexual
assault charges, the jury had asked several questions during their
deliberations, including how reasonable doubt related to the assessment of
witness credibility. The trial judges answer invited the jury to decide the
case based on who they believed, without regard to the requirement that the
Crown prove the case beyond a reasonable doubt. The jury was led to believe
that its task was to determine which of two versions of an event was true. The
jury was not instructed that, if it could not decide whose story to believe, it
must acquit.
[110]
The appellant argues that the trial judge deprived the jury of the same
understanding in this case. However, unlike what happened in
Austin
,
the trial judge here did not lead the jury to believe that its task was to
determine which of the versions that of the appellant or that of Mr.
Henriquez was true. In the context of all of the other instructions given by
the trial judge, it would have been clear that the trial judge, just as counsel
had done, was drawing the jurys attention to the different details in the
competing narratives. The trial judge provided detailed instructions on how the
jury should approach the evidence, including specific instructions that this
was not a choice between the two accounts, repeated references to the need to
assess all of the evidence, and the reminder that they could accept, some, all
or none of a witnesss evidence.
[111]
The trial judge methodically addressed the elements of each of the
offences and of the defence of self-defence. In each instance, he reminded the
jury of the relevant evidence (including relevant parts of the testimony of the
appellant and Mr. Henriquez), and he related the evidence to the particular
element. He instructed the jury on how to approach the evidence, repeatedly instructing
the jury that you may find that the physical and independent evidence may
assist you in your assessment of the conflicting evidence. In respect of each
element, he reminded the jury of the Crowns burden of proof beyond a
reasonable doubt whether to prove an element of the offence, or to negate an
element of self‑defence. It was never suggested that the jury had to
decide which version in its entirety was believed, or more importantly, that in
order to acquit, the jury had to accept all the details of the appellants
version.
[112]
Fourth, the fact that the objection now raised on appeal was not
raised by defence counsel at trial is significant. The pre-charge conference
extended over several days, with multiple drafts of the jury charge provided to
counsel. Defence counsel, although making many submissions and suggestions for
changes to the draft, including on the defence of self-defence, did not express
any concern about the language that the appellant points to in this appeal. As
the Supreme Court noted in
Araya
, at para. 51:
It is also relevant that Mr. Arayas trial
counsel (not counsel on appeal) the person in the courtroom most attuned to
Mr. Arayas interests did not object to the allegedly confusing and
insufficient instruction at trial. This failure to object suggests that the
phrasing of this instruction, heard in its full context in the courtroom, did
not sound likely to confuse or to invite improper reasoning. This Court has
stated that while defence counsel's failure to object to jury instructions is
not determinative on appeal, it nonetheless says something about both the
overall accuracy of the jury instructions and the seriousness of the alleged
misdirection:
Jacquard
, at para. 38.
[113]
I would therefore not give effect to this ground of appeal, and
would dismiss the conviction appeal.
IV.
SENTENCE APPEAL
[114]
The appellant seeks leave to appeal his sentence of 15 years
imprisonment, less 23 months credit for pre-sentence custody and 6 months
credit for restrictive bail conditions (an effective global sentence of 12
years and 7 months). He was sentenced to 12 years and 7 months for the
manslaughter of Mr. Guzhavin, 3 years concurrent for possession of a loaded
restricted firearm without a license; and 10 years concurrent for discharge of
a firearm at Mr. Henriquez with intent to wound.
(1)
The Parties Positions
[115]
The appellant submits that the trial judge imposed a demonstrably
unfit sentence and that eight years imprisonment would have been a more
appropriate global sentence. He raises two arguments in support of this
submission. First, he says that the trial judge sentenced him for murder rather
than manslaughter on the basis that, immediately before passing sentence, the
trial judge said, Mr. Hanan, you unlawfully and intentionally ended the life
of one person and forever crippled the life of another. The appellant also
submits that the trial judge engaged in flawed reasoning in accepting the
core of Mr. Henriquezs version. This core, the appellant says, led to the
inevitable conclusion that Mr. Hanan had the intent for murder, which is
inconsistent with the verdict the jury reached.
[116]
In response, the Crown contends that the appellants argument about
mens
rea
lifts the trial judges statements out of context, and when his
reasons are considered as a whole, it is clear that the trial judge did not
sentence the appellant as though he had the
mens rea
for murder.
Moreover, the appellants evidence was a hybrid of self-defence and accident.
As such, when the trial judge spoke to the appellant and said that he
intentionally ended one persons life, after saying he lacked the intent to
kill, it is clear he was referring to the appellants intention to shoot the
victims (i.e., this was no accident), not to kill them.
[117]
The appellants second argument is that the trial judge erred in
finding that he brought the gun to the scene. This finding could only have been
based on Mr. Henriquezs evidence, which the jury must have rejected
because it found the appellant not guilty of murder. The appellant submits that
the trial judge erred in failing to follow the rule that a trial judge must
accept the factual implications of the jurys verdict.
[118]
For its part, the Crown contends that the appellants second
argument relies on the false premise that there was a wholesale rejection of Mr.
Henriquezs evidence by the jury, instead of just parts of it. In any event,
after reviewing the evidence in detail, the trial judge made his own finding
that the appellant brought the gun.
(2)
Discussion
[119]
While I would grant leave to appeal the sentence, I would dismiss
the sentence appeal.
[120]
The trial judge provided comprehensive and thorough reasons for the
sentence he imposed. There is no suggestion that he erred in his articulation
of the relevant sentencing principles, and in his assessment of the relevant
factors, including mitigating and aggravating factors. It is clear, from a
review of the reasons as a whole, that the trial judge, despite using the
language of intention, did not sentence the appellant for an intentional
killing; rather, he properly concluded that the shooting was intentional, in
that it was not accidental, but that the appellant did not shoot with intent to
kill. At para. 2 of his sentencing reasons the trial judge stated:
Mr. Hanan intentionally and unlawfully shot
two people killing one and paralyzing the other. He did not act in lawful
self-defence. He shot without an intent to kill. He shot with a handgun that
was illegal for him to possess. This is the conduct for which Mr. Hanan now is
being sentenced.
[121]
Later in his reasons, under the heading Circumstances of the
Offence, the trial judge provided a similar summary, referring to the fact
that the appellant intentionally and unlawfully shot the victims and that he
shot without an intent to kill.
[122]
It is true that in the passage of the transcript relied on by the
appellant, the trial judge addressed him directly and said that he unlawfully
and intentionally ended the life of one person and forever crippled the life of
another. However, the entirety of his reasons make it clear that the trial
judge sentenced for the offences that were committed by the appellant, and not
as though he had intentionally killed, that is, murdered, Mr. Guzhavin.
[123]
I also do not accept the appellants submission that the trial
judges conclusion that the killing was intentional was based on his faulty
reasoning that, by its guilty verdict on manslaughter and the two firearm
offences, the jury rejected Mr. Hanans version of the shooting and accepted
the core of Mr. Henriquezs version, which according to the appellant was
consistent only with an intentional killing.
[124]
In their submissions on sentencing, counsel asked the trial judge to
make findings of fact with respect to four matters: (1) who brought the gun to
the scene of the shootings; (2) how the shootings happened; (3) whether Mr.
Henriquez was shot in the back; and (4) whether the shooting caused Mr.
Henriquezs paralysis. The trial judge agreed to do so, after concluding that
such findings were necessary in order to impose an appropriate sentence for
each offence.
[125]
With respect to the first two issues, which are relevant here, the
trial judge reasoned that, based on the jurys verdicts, they must have
concluded that (1) the appellant brought the gun to the scene, and (2) the
shooting happened as per the core of Mr. Henriquezs version. However, he
went on to make independent findings on each issue, in the event that he was
incorrect in his conclusions with respect to the findings based on the jurys
verdicts. In doing so, he carried out a careful analysis of the evidence at
trial, explaining why he rejected the appellants evidence on each issue, why
it did not leave him with a reasonable doubt, and why he made the findings
based on his acceptance of certain aspects of Mr. Henriquezs evidence and
the other evidence at the trial.
[126]
Contrary to the appellants submission, in
referring to the core of Mr. Henriquezs evidence, the trial judge did
not say that his evidence in its entirety was accepted, including that the
appellant shot Mr. Guzhavin at point blank range, while saying Die,
motherfucker, die (which could only have been consistent with an intentional
killing). Indeed, in his analysis, the trial judge pointed to several problems
with the evidence of Mr. Henriquez, who was a classic
Vetrovec
witness,
and, in making his findings of fact, he did not accept the entirety of Mr.
Henriquezs account. Rather, the core of
Mr. Henriquezs evidence was described by the trial judge as follows, at para.
100:
With regard to the core of the evidence of Mr.
Henriquez that he was only peripherally involved in the discussions between
Mr. Guzhavin and Mr. Hanan; that Mr. Guzhavin never threatened Mr. Hanan with a
gun in front of Mr. Henriquez; that Mr. Hanan did not grab a gun out of the
hand of Mr. Guzhavin leading to a struggle for the gun involving Mr. Henriquez;
that all was calm until he looked up to see Mr. Hanan pointing a gun at Mr.
Guzhavin and then shooting him; that on seeing Mr. Hanan shooting Mr. Guzhavin,
Mr. Henriquez turned and started to flee up the driveway; and that he was shot
twice as he was fleeing, the last shot being in his back which knocked him face
down on the driveway I believe Mr. Henriquez.
[127]
The fact that the trial judge said that the jury (and he) accepted
the core of Mr. Henriquezs evidence does not mean that the trial judge
concluded that the killing of Mr. Guzhavin was intentional and that he then
proceeded to sentence the appellant for murder.
[128]
The appellants second argument in support of his submission that
the sentence was demonstrably unfit is that the trial judge erred in his
factual finding that he, not Mr. Guzhavin, brought the gun to the shooting. The
appellant submits that this finding was not open to the trial judge because it is
inconsistent with the jurys verdict. According to the appellant, when the jury
found him not guilty of murder, it necessarily rejected Mr. Henriquezs
evidence. Because Mr. Henriquezs evidence was the only evidence that the
appellant brought the gun, the jurys rejection of Mr. Henriquezs evidence
meant that the trial judges determination that the appellant brought the gun
was contrary to the factual implications of the jurys verdict.
[129]
I would reject this submission. Although the appellant faulted the
trial judge for allegedly presenting the jury with an all or nothing contest
between the differing narratives, he takes the same erroneous approach in his
submission on this point. The appellants all or nothing approach to the
evidence of Mr. Henriquez is inconsistent both with the trial judges
instructions to the jury about the assessment of the evidence of Mr. Henriquez
and other witnesses, and the trial judges findings on sentencing. The fact
that the jury found the appellant not guilty of murder does not mean that they
rejected
all
of Mr. Henriquezs evidence. As the trial judge noted, they
must have accepted the core of his evidence, which the trial judge described,
and I have set out above.
[130]
For these reasons, I would not give effect to the appellants
submissions on the sentence appeal. The trial judge did not make the errors the
appellant asserts, and there is no basis for interfering with the global
sentence of 15 years, which was, in all the circumstances, a fit sentence.
V.
DISPOSITION
[131]
For these reasons I would dismiss the conviction appeal and, after
granting leave to appeal the sentence, I would dismiss the sentence appeal.
K.
van Rensburg J.A.
I
agree. M. Tulloch J.A.
Nordheimer
J.A. (dissenting):
[132]
I have read the reasons of my colleague. I do not agree with the
conclusion that she reaches. In my view, there was a breach of s. 11(b) of the
Canadian
Charter of Rights and Freedoms
in this case and the charges should be
stayed. Further, even if a breach of s. 11(b) had not been made out, I would
find that there was a serious error in the trial judges instructions to the
jury such that the verdict cannot stand. The matter would have to be remitted
for a new trial. Given my views on these two issues, I do not reach the
appellants sentence appeal.
[133]
My colleague has set out the background facts. It is unnecessary for
me to repeat them, except insofar as I must address the attribution of delay
and certain aspects of the jury instructions.
A.
Section 11(b)
(i)
Defence delay
[134]
As my colleague has set out, there are two relevant periods at
issue: (a) the four and one-half month period between January 21 and June 9,
2016, when the defence refused to set a judicial pre-trial based on incomplete
and ongoing disclosure; and (b) the period commencing June 3, 2019, when a
six-week trial date was offered but the defence was not available, with the
result that the trial did not proceed until October 28, 2019.
[135]
I agree with my colleagues conclusion on the proper treatment of the
first of these two periods, for the reasons that she has given. The first
period of delay is properly attributable to the defence arising out of its
failure to agree to setting a date for the judicial pre-trial because of
disclosure issues. It is well-established that disclosure does not need to be
complete in order for the parties to agree to a pre‑trial date. I accept
that, if the state of the disclosure is such that conducting a judicial
pre-trial would be futile, then the refusal by the defence to agree to a
judicial pre-trial date should not be laid at the feet of the defence. However,
in this case, the defence did not make that point at the time. It is too late
to now make it when the state of the disclosure cannot be examined or fully
explained.
[136]
I am also prepared to agree with my colleagues treatment of the
second period of delay starting on June 3, 2019. Like my colleague, I reject
the Crowns contention that the entire period of the delay between the two
trial dates should be attributable to the defence. In so agreeing, however, I
should not be taken as agreeing with the deduction of the six-week period when
defence counsel could not proceed because of another trial commitment. In my
view, that deduction is not consistent with the decision in
R. v. Godin
,
2009 SCC 26, [2009] 2 S.C.R. 3, where Cromwell J. said, at para. 23:
Scheduling requires
reasonable
availability and
reasonable
cooperation; it does not, for s. 11(
b
)
purposes, require defence counsel to hold themselves in a state of perpetual
availability
To hold that the delay clock stops as soon as a single
available date is offered to the defence and not accepted, in circumstances
where
the Crown is responsible for the case having to be rescheduled
, is not
reasonable. [Emphasis added.]
[137]
In this case, defence counsel had another trial set for that
timeframe involving a client who was in custody. It is the antithesis of
reasonable cooperation to hold that defence counsel, who is otherwise scheduled
for trial, must essentially abandon another client in order to take a
re-scheduled trial date, or face the consequence that the resulting delay will
be attributed to the defence. However, as the appellant did not take issue with
the deduction of this six-week period in this case, it is unnecessary to resolve
the issue, notwithstanding that the Crown took issue with the whole period of
delay and its proper attribution.
(ii)
Transitional
exceptional circumstance
[138]
Where I do part company with my colleague is respecting her
agreement with the trial judge that the transitional exceptional circumstance
could be relied upon to excuse the delay over the
Jordan
ceiling.
Unlike my colleague, I find that the trial judge erred in his reliance on that
principle to excuse the delay in this case.
[139]
The approach to the transitional exceptional circumstance is set out
in
Jordan
at para. 96. The court said the transitional exceptional
circumstance will apply when the Crown satisfies the court that the time the
case has taken is justified based on the parties reasonable reliance on the
law as it previously existed.
[140]
There is no basis for applying the transitional exceptional
circumstance in this case since it is clear that the parties were not relying
on that pre-existing law. The parties were well aware of the
Jordan
requirements at an early stage of this proceeding. The decision in
Jordan
was released only seven months after the charges were laid in this case and
four months before the first judicial pre-trial was held. One clear indication
that the parties were not relying on the pre-
Jordan
law are the
discussions about
Jordan
, and delay that occurred, during the course of
scheduling that judicial pre-trial.
[141]
My colleague refers to this problem and quotes a significant portion
of the trial judges reasons on it. I reproduce just the portion of that
quotation to which my colleague added emphasis, but without repeating the emphasis:
But awareness of the presumptive ceiling and
the need for speed are the easiest lessons of
Jordan
.
Jordan
introduced a totally new framework with new concepts and new definitions:
defence delay, discrete exceptional circumstances, particularly complex cases,
and transitional exceptional circumstances. The precise meaning of these new
concepts continues to be refined in court cases more than two years after the
release of
Jordan
. It is the full understanding of the lessons of
Jordan
that Crown counsel and the courts lagged in their adjustment in this case.
[142]
With respect, the totally new framework with new concepts is a
vast overstatement of what
Jordan
established. Defence delay,
exceptional circumstances, and complex cases are not new concepts. Defence
delay was part of the
R. v. Morin
,
[1992] 1 S.C.R. 771,
process: see
Morin
, at pp. 790-91 and 793‑94. Exceptional
circumstances is a concept that has been applied in our law for decades in a
variety of different contexts. And we are all familiar with determining whether
individual cases are, or are not, complex. If Crown counsel and the courts
lagged in their adjustment to the requirements of
Jordan
, that
simply reflects a continuation of the culture of complacency that was
criticized in
Jordan
. It does not provide an excuse for the delay.
[143]
It remains the fact that only a very small portion of the delay in
this case preceded the decision in
Jordan
and most, if not all, of
that delay has been laid at the feet of the defence. The delay for which the
Crown and the courts in this case bear responsibility occurred well after the
Jordan
decision. It is improper to take refuge in the fact that this case had a scant
few months prior to
Jordan
as providing a justification for the delay
in this case. To do so fundamentally undermines the change in culture that the
decision in
Jordan
was trying to achieve.
[144]
In terms of the decisions of this court to which the respondent
referred, my colleague correctly points out that most, or all, of the delay in
R.
v.
Gordon
,
2017 ONCA 436, 137 O.R. (3d) 776, and
R.
v. Picard
, 2017 ONCA 692, 137 O.R. (3d) 401, leave to appeal refused,
[2018] S.C.C.A. No. 135, was pre-
Jordan
. That is a fundamental
distinction between those cases and this one. A fair reading of the decisions
in those two cases strongly suggests that had that not been the case, the
results would have been different under a
Jordan
analysis. Indeed,
Rouleau J.A. made that very point in
Picard
at para. 4.
[145]
In an effort to justify the trial judges application of the transitional
exceptional circumstance, my colleague then says, at para. 78, that the Crown
might well have concluded that the trial delay that occurred just prior to the
estimated
Jordan
ceiling date would qualify as a discrete exceptional
circumstance or be attributed in part to the defence or that, based on
Gordon
and
Picard
,
there was a transitional exceptional
circumstance. With respect, we have no knowledge of what the Crown considered
when it made the decision not to consent to a re-election. What we do know is
that the trial judge warned the Crown about the s. 11(b) consequences of not
proceeding with a judge alone trial, both when the request for the Crowns
consent was made and again, a few days later, when the Crown refused to
consent. The Crown cannot pretend that the consequences of that decision, in
terms of s. 11(b), were not crystal clear.
[146]
In the end result, the trial judges conclusion that the parties had
not had sufficient time to adapt to the lessons of
Jordan
reflects a
fundamental misunderstanding of the dictates that emanated from that decision.
As the court said in
Jordan
at para. 81: To be clear, the presence of
exceptional circumstances
is the only basis
upon which the Crown can
discharge its burden to justify a delay that exceeds the ceiling (emphasis
added).
[147]
Consequently, on that ground alone, the delay exceeded the
presumptive ceiling, and a stay ought to have been granted. There were no
exceptional circumstances that would justify having this case take longer than
30 months. It is not an exceptional circumstance to find that the time to
adapt to the lessons of
Jordan
was insufficient. If that were to be
found as an exceptional circumstance, precious few cases would not qualify.
Indeed, it could be said that we are all still learning the lessons from
Jordan
some quicker than others it would appear.
[148]
The fact remains that almost two and one-half years had passed since
Jordan
was decided when the Crown made its decision to refuse to
consent to the re-election. The Crown had ample time to adapt to the new world
that
Jordan
created. It chose not to do so, notwithstanding the clear
warning that the trial judge provided about the consequences of its decision.
To treat that situation as an exceptional circumstance is to remove all
reasonable meaning from the term.
[149]
In light of my conclusion, I should address the respondents
submission that a remedy short of a stay should be considered when a s. 11(b)
breach is found. The Supreme Court of Canada has, in many cases, said that the
remedy for a s. 11(b) breach is a stay of proceedings. Indeed, in
Jordan
at para. 35, the court referred to it as the one remedial tool. In my view,
if some other remedy is to become available for a s. 11(b) breach, that
availability will need to be determined by the Supreme Court of Canada. I refer
to the discussion of this issue in
R. v. Charity
, 2022 ONCA 226, being
released concurrently with the reasons in this matter.
[150]
I would allow the appeal and stay the charges.
B. The jury instructions
[151]
Putting aside the delay issue, there is another serious problem in
this case and that involves the instructions to the jury regarding how they
should approach the evidence in the case. My colleague finds that the concerns
regarding the impugned instructions are assuaged by other sections of the
instructions. Again, I do not agree.
[152]
There were two diametrically opposing versions of what had taken
place leading up to the shooting. The appellant said he was threatened by the
two men, one of whom brandished a handgun during the course of their
confrontation. The appellant says that he reacted in self-defence, by grabbing
the gun away from him and shooting his attackers without aiming. Only one of
the other two men involved gave evidence. He said it was the appellant who
produced the gun and then shot him and the other man.
[153]
The jury was faced with these two opposing versions of the events.
Their decision as to whether the charges had been proven beyond a reasonable
doubt would clearly be determined
if
they believed one version as
opposed to the other.
[154]
However, that is not the core concern in this case. The crux of the
issue turns on what would happen if the jury could not decide which version
they accepted or, alternatively, if some members of the jury accepted one
version and other members of the jury accepted the other version.
[155]
It is in just this type of circumstance where the instruction in
R.
v. W.(D.)
,
[1991] 1 S.C.R. 742, becomes of critical importance.
Its importance arises from its fundamental application to a proper
understanding of the burden of proof. The members of the jury must understand
that, if they are unable to decide which version of the events they accept, or
if there is disagreement on that question, the jury must acquit, because the
Crown will have failed to prove the charges beyond a reasonable doubt.
[156]
Unfortunately, in this case, the trial judge did not drive home that
important aspect of the burden of proof. Rather, he set up the question for the
jury as a stark choice between the two versions. My colleague has set out the
problematic sections of the instructions, but they bear repeating. For example,
in describing self-defence, the trial judge told the jury:
The resolution of these issues, I suggest to
you, is driven in large part by which version you accept. The two versions you
have heard cannot both be true.
[157]
He repeated this instruction three more times when he discussed the
issue of the reasonableness of the force that the appellant had used. The trial
judge said:
The reasonableness of the shooting of Mr.
Guzhavin by Mr. Hanan is largely dependent on which of the two conflicting
versions you accept.
Again you may find that the resolution of this
issue hinges on which version is accepted.
The answer again is largely dependent upon
which version is accepted.
[158]
It was crucial, when discussing the elements of the offences, and
the issue of self-defence, for the trial judge to make it clear to the jury that,
if they could not decide between the two versions of the events, they would
have to have a reasonable doubt and the appellant would then have to be found
not guilty. The trial judge did not do this.
[159]
This issue was directly addressed by this court in
R. v. Austin
(2006), 214 C.C.C. (3d) 38 (Ont. C.A.), where Doherty J.A. said, at para. 20:
The trial judges instruction ignored the
possibility that the jury might not be able to decide which version of the
events to believe and, therefore, would be unable to make the findings of fact
described by the trial judge. Recognition of the possibility that a jury may
not be able to come to a definitive conclusion with respect to the credibility
of competing versions of the relevant events is integral to a proper application
of the reasonable doubt standard. This potential middle ground is especially
important in cases like this one where the accused testifies and presents a
version of events that is diametrically opposed to that given by the Crown
witnesses.
The jury must understand that if it cannot decide whose story to
believe, it must acquit.
[Citation omitted; emphasis added.]
[160]
The respondent contends that the jurys verdict demonstrates that
they understood there was a middle ground between the two versions where
neither version was accepted. I do not agree. First, it is, in my view, very
risky to attempt to reach definitive conclusions as to the reasoning of a jury.
We have no knowledge of their discussions, and we have no reasons from them.
What might seem reasonable to us, as outside observers, may or may not bear any
resemblance to what went on in the jury room.
[161]
Second, it can be argued that the jurys verdict demonstrates that
they did not understand the second prong of
W.(D.)
, that is, that the
inability to agree on one version or the other must give rise to a reasonable
doubt. Indeed, the fact that the jury convicted the appellant of manslaughter,
as opposed to murder, might well represent what is often referred to as a
compromise verdict. Such a verdict is not based on a proper application of the
principles from
W.(D.)
, but rather represents a compromise reached by
the opposing sides because they are unable to agree on which version of the
events they accept.
[162]
The respondent also suggests that the concern about the trial
judges instructions is alleviated because the trial judge had, earlier in his
charge, told the jury: when you are confronted with two conflicting versions,
as you are here, you do not approach it asking which version do you prefer. My
colleague relies on this fact heavily to discount the problems with the
impugned instructions.
[163]
I accept that jury instructions must be read as a whole. However, I
believe it is risky to assume that what a jury is told early on in the
instructions will necessarily resonate with them respecting matters that arise
later in the instructions. The fact that basic concepts are contained in what I
respectfully characterize as the boilerplate portion of the instructions will
not have the same impact as when the trial judge turns to the elements of the
offence and any defences that arise on the evidence.
[164]
In that regard, the problematic portions of the instructions are
included at the very point that the jury is being instructed on self-defence,
which was the key defence in this case. It is at the very point when the jury
is focused on what they are being told are the key issues that they have to
decide regarding the question of guilt that the erroneous instructions are
given. Suggesting that the jury will, at that point, harken back to something
they were told much earlier, as somehow limiting (if not contradicting) what
the judge is then saying, is neither realistic nor of much comfort. In any
event, when concerns arise about a matter as serious as the burden of proof and
the meaning of reasonable doubt, I do not accept that one can gloss over these
possible consequences in this fashion.
[165]
I would add that it is also at the point when the trial judge is
discussing self-defence in his charge that he told the jury that [t]he two
versions you have heard cannot both be true. This is the same error that this
court identified in
R. v. T.A.
, 2020 ONCA 783, at para. 31, and which
led to a new trial in that case.
[166]
Finally, the respondent, and my colleague, both take shelter in the
failure of defence counsel (not counsel on appeal) to object to the charge.
While that is a relevant consideration, the failure to object, when the error
is as serious as it is here, is not fatal to an appeal. As Lamer C.J. said in
R.
v. Jacquard
, [1997] 1 S.C.R. 314, at para. 37, the Court has not lost
sight of the fact that the jury charge is the responsibility of the trial judge
and not defence counsel.
[167]
Given this error in the jury instructions, had I not decided that
there was a s. 11(b) breach that warranted a stay of proceedings, I would
have set aside the convictions and ordered a new trial.
Conclusion
[168]
I would allow the appeal, set aside the convictions, and order a
stay of proceedings.
Released: March 21, 2022 M.T.
I.V.B.
Nordheimer J.A.
[1]
R. v. Charity
, 2022 ONCA 226;
R. v. Campbell
, 2022
ONCA 223.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Dunford v. Otonabee-South Monaghan
(Township), 2022 ONCA 230
DATE: 20220321
DOCKET: C68623
Feldman, Roberts and Favreau JJ.A.
BETWEEN
Allen Dunford
Plaintiff
(Appellant)
and
The Corporation of the
Township of Otonabee-South Monaghan
Defendant
(Respondent)
Allen Dunford, acting in person
Michael F. Sirdevan, for the respondent
Heard: March 15, 2022 by video
conference
On appeal from the order of Justice Myrna L. Lack of the Ontario
Superior Court of Justice, dated June 29, 2020, with reasons reported at 2020
ONSC 1750.
REASONS FOR DECISION
[1]
Mr. Dunford appeals from the
dismissal of his action on the respondent Townships motion for summary
judgment.
[2]
Mr. Dunfords claims against
the Township are founded on the tort of misfeasance in public office. He
alleges that from 2005 onwards, the Township abused its public office by deliberately
and maliciously engaging in a pattern of bad faith dealings with him that were
intended to and did harm him and his construction business. He based his claims
on particulars of several interactions with the Township.
[3]
The motion judge found that
Mr. Dunford had no cause of action against the Township arising from any of the
circumstances outlined in his amended, amended statement of claim, including
any cause of action for misfeasance in public office.
[4]
The focus of Mr. Dunfords
oral argument was that the motion judge misunderstood the cause of action
pleaded. In essence, he submits that the motion judge erred by failing to look
at the overall pattern of the alleged instances of the Townships misconduct as
a continuing cause of action. Had she done so, Mr. Dunford argues, she
would not have dismissed his claim.
[5]
We are not persuaded that
the motion judge made any reversible error.
[6]
The motion judges reasons
demonstrate that she did not misapprehend the cause of action pleaded. She
reviewed the constituent elements of the tort of misfeasance in public office and
Mr. Dunfords claims in detail. Importantly, as she indicated in para. 11 of
her reasons, she was alert to Mr. Dunfords allegation that from 2005,
officials of the defendant Township working in that capacity pursued a
pattern
of conduct
in which they exercised bad faith toward him or from which it
can be inferred that they did so (emphasis added).
[7]
Mr. Dunford structured his
claims around six separate instances of alleged misconduct by the Township that
he argued amounted to misfeasance in public office. As a result, the motion
judge was required to review the particulars and evidence concerning each
instance to determine if there was a genuine issue requiring a trial or if
summary judgment should be granted. However, the motion judge did not lose
sight of the big picture. Mr. Dunfords suggestion that the motion judge took a
piecemeal approach is belied by her conclusion that no cause of action against
the Township for misfeasance in public office (bad faith) arises from
any or
all the circumstances
outlined in the amended, amended statement of claim
(emphasis added).
[8]
As held by the motion judge,
the standard to be met in establishing bad faith is high and necessitates
evidence to demonstrate a municipality has acted in other than the public
interest. The fact that the Township has made several decisions unfavourable to
Mr. Dunford does not amount to bad faith.
[9]
Mr. Dunford also raised two
further issues: i) the motion judge erred in granting summary judgment when
there were genuine issues requiring a trial; and ii) the motion judge erred in
failing to give any weight to his affidavit evidence of new particulars of the
Townships alleged misconduct. These can be dealt with summarily.
[10]
First, this was an entirely
appropriate case for summary judgment. It is well established that the parties
were required to put their best evidentiary foot forward and that the motion
judge was entitled to assume that they had placed all relevant evidence in the
record. Having reviewed the pleadings and the evidence before her, the motion judge
concluded that there was no basis for any claim against the Township. We see no
basis on which to disturb the motion judges findings which were open to her on
the record. Effectively, Mr. Dunfords submissions amount to a request for this
court to undertake the analysis afresh and come to a different conclusion in
his favour. Absent error, which is not present here, that is not our task.
[11]
Finally, we see no error in
the motion judges decision not to consider the further particulars contained
in Mr. Dunfords responding materials. This was an exercise of her discretion
that she was entitled to make in managing the proceedings before her. The new
particulars related to events that purportedly occurred after the six instances
of alleged misconduct and the timeframe pleaded in his amended, amended
statement of claim. The motion judge was required to determine the motion based
on the claims as framed in the pleadings before her.
[12]
For these reasons, the
appeal is dismissed.
[13]
Mr. Dunford shall pay to the
Township its costs of the appeal in the amount of $4,700, inclusive of
disbursements and applicable taxes.
K.
Feldman J.A.
L.B.
Roberts J.A.
L. Favreau
J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v. Prasad, 2022 ONCA 231
DATE: 20220321
DOCKET:
C66911
Lauwers,
Pardu and Sossin JJ.A.
BETWEEN
Her
Majesty the Queen
Respondent
and
Akshay
Prasad
Appellant
Ravin Pillay, for the appellant
Kelvin Ramchand, for the respondent
Heard: March 8, 2022 by video
conference
On appeal from the conviction entered on
December 20, 2018 and the sentence imposed on May 23, 2019 by Justice David
Salmers of the Superior Court of Justice.
REASONS
FOR DECISION
[1]
The appellant was convicted and sentenced for
two counts of trafficking cocaine. The appellant pursued the conviction appeal
and abandoned the sentence appeal. The appellant largely contested the trial
judges factual findings, to which this court owes great deference. We dismiss
the appeal for the reasons that follow.
(1)
The Factual Context
[2]
In February 2015, as part of a drug enforcement
investigation, police obtained an authorization to intercept the private
communications of targets, including Xue Zhong Zhou. On March 18, 2015, the
appellant and Zhou met in Zhous vehicle for over 20 minutes. Surveillance
officers observed the meeting. An audio probe installed in the vehicle recorded
the conversation. On March 19, 2015, the appellant briefly met with Anthony
Leung and Cuong Lang, who were alleged to be Zhous associates, to take
delivery of the drugs.
[3]
On April 9, 2015, the appellant and Zhou met
again in Zhous vehicle. Surveillance officers also observed this meeting,
which was recorded by an authorized probe.
(2)
The Conviction and the Trial Judges Findings
[4]
The appellant was charged with two counts of
trafficking cocaine relating to March 19, 2015 (count one) and to April 9, 2015
(count two).
The trial judge found the appellant guilty
on both counts.
[5]
On count one, the trial judge found that the recorded
March 18, 2015 conversation established proof beyond a reasonable doubt of the
essential elements of trafficking by offer. Before March 18, 2015, police
surveillance officers had observed Zhou and the appellant multiple times. On
March 18, 2015, officers saw Zhou in his vehicle and watched the appellant
enter the vehicle. They were the only occupants. The appellant admitted the
integrity of the observations, and of police video recordings and photographs.
[6]
The trial judge agreed that the original
recordings on their own were not sufficiently intelligible to be admissible.
However, digitally enhanced versions of each recording were prepared by a lay
expert, and transcripts were prepared from them.
[7]
The trial judge, therefore, found that the
appellant and Zhou were the only speakers recorded in the March 18, 2015
conversation. Officer Chris Aiello had listened to Zhous voice on intercepted
communications and testified that the transcripts correctly identified when
Zhou and the appellant were each speaking. Officer Ryan Connolly was qualified
and testified as an expert in the use and sale of cocaine. Relying on the
original and clarified recordings, the transcripts, and Officer Connollys
evidence, the trial judge found that the only reasonable inference that could
be drawn from the March 18, 2015 conversation was that, after negotiations, the
appellant offered to sell a kilogram of cocaine to Zhou for $53,000 and that he
intended the offer to be taken seriously by Zhou.
[8]
The trial judge did not accept the Crowns
theory that the cocaine was delivered on March 19, 2015. The trial judge held
that intercepted communications from March 19, 2015, to which the appellant was
not a party, were not admissible as hearsay either under the co-conspirators
exception or as narrative. Without those communications, the evidence was
insufficient to establish that cocaine was delivered during the March 19, 2015 meeting
between Leung and the appellant.
[9]
On count two, the trial judge found that the
conversation between the appellant and Zhou that took place on April 9, 2015,
established proof beyond a reasonable doubt of the essential elements of
trafficking by offer. The appellant entered Zhous vehicle and they were the
only occupants. They negotiated a cocaine purchase transaction using phrases
used in the drug trade when talking about cocaine powder and discussing prices
that could only have been applicable to a cocaine purchase, based on the expert
evidence. The only reasonable inference was that the appellant offered to sell
Zhou nine ounces of cocaine for $13,000 or four and a half ounces for $6,500,
and that he intended the offer to be taken seriously by Zhou.
(3)
Issues on Appeal
[10]
The appellants arguments cluster around three
issues. The first is the trial judges admission and use of the audio
recordings and their transcripts. The second is that the expert evidence
regarding the content of the recorded conversations was not clearly related to
cocaine, making the conviction unreasonable. The third is that the trial judge
convicted on an alternative theory of liability not advanced by the Crown, not
raised with counsel, and which the appellant did not have the opportunity to
address.
(a)
The Audio Recordings
[11]
The appellant applied to have the audio
recordings
of March 18, 2015 and April 9, 2015
excluded under s. 24(2) of the
Canadian
Charter of Rights and Freedoms
. Salmers J. dismissed
the
Garofoli
application on October 25, 2017, finding that the appellant had not satisfied
him that there was no basis for issuing the authorization to intercept
communications, and as such, had not proven a s. 8 breach.
The appellant also applied to have the March 18, 2015 and April 9,
2015 audio recordings of the intercepted communications excluded from evidence because
of their poor quality, which inferentially meant that their prejudicial effect
exceeded their probative value. The trial judge dismissed the application, finding
that the recordings were relevant and, depending on all of the other evidence,
might have significant probative value.
[12]
As noted, the trial judge agreed that the original
recordings on their own were not sufficiently intelligible to be admissible.
However, digitally enhanced versions of each recording were prepared by a lay
expert, and transcripts were prepared from them.
[13]
The appellant referred to the expert evidence
and the possibility that words were lost in the enhancement, or clarification
exercise. The expert agreed that the digital filter he used to reduce noise
could remove some audible sounds, particularly within the range of the human
voice. But that did not happen in this case, as the trial judge found. He
listened to the original and clarified recordings and found that the clarified
recordings were virtually identical to the original recordings, and that there
were no additional or deleted portions of speech in the clarified recordings. We
see no error in this finding.
[14]
The appellant argues that the trial judge
impermissibly relied on the evidence of the transcript typist, Christine Solsky,
whose evidence on the
voir dire
was by agreement
not
admissible as trial evidence. We do not agree that the
trial judge used Ms. Solskys evidence that way, as becomes clear from the
discussion that now follows.
[15]
The appellant raises an argument about
sufficiency of reasons related to this statement by the trial judge:
[T]ranscripts were made of the enhanced or
clarified recordings and those transcripts were useful to me when trying to
determine what Zhou and Mr. Prasad were saying in the intercepted March 18,
2015 conversation. The transcripts of the enhanced or clarified recordings were
prepared by Christine Solsky, a civilian police employee. Prior to preparing
the transcripts, she was told that the speakers were Zhou and Mr. Prasad. Prior
to preparing the transcript, Ms. Solsky heard Zhous voice on recordings from
the police media library. Zhou and Mr. Prasad have different voices and
speak English with different accents. Ms. Solsky testified that although it was
sometimes difficult, she could tell which of Zhou or Mr. Prasad was
speaking in the recordings. In her preparation of the transcripts, Ms. Solsky
listened to the recordings many times to attempt to determine what was spoken
and by whom.
I also listened many times to the recordings.
Almost, but not always, I agreed with Ms. Solskys transcripts identifications
of the speakers and what was said. When I found any differences between the
recordings and the transcripts, either about what was said or by whom, I relied
on what I heard in the recordings when deciding this case.
Related to the preceding argument,
the last quoted paragraph makes it abundantly clear that the trial judge did
not rely substantively on Ms. Solskys evidence.
[16]
The difficulty, asserts the appellant, is that
the trial judge did not set out in his reasons the differences he found between
the transcripts and his own interpretation of the audio, which accordingly
prevents meaningful appellate review. While it would have been preferable for
the trial judge to have noted the differences, we draw the inference that the
differences were neither numerous (Almost, but not always, I agreed
), nor
material, or he would have identified and highlighted them. The argument on
sufficiency of reasons fails. It would have had more force if the appellant had
identified places where the transcripts and the enhanced recordings might have
led to confusion, but he did not. We infer that there were none.
(b)
An Unreasonable Verdict
[17]
The appellant argues that the drug-related lingo
used by the appellant and Zhou in their discussions could not unambiguously be
related to cocaine. Counsel pointed to several passages to suggest that some
other drug was also under discussion. The trial judge relied on the expert
evidence of Officer Connolly, whom he qualified as an expert and who has
testified on the subject many times.
[18]
The trial judge relied on Officer Connollys
testimony, and found:
[D]uring the March 18
th
, 2015
conversation, Zhou and Mr. Prasad began talking about drug trafficking
almost immediately after Mr. Prasad entered Zhous Honda Accord. They discuss
money owing by Zhou to Mr. Prasad. Several times during the conversation
they used the words, key, and brick, very commonly used in the drug trafficking
subculture to describe a kilogram of powder cocaine. The words were used in a
context where the only reasonable inference is that Zhou and Mr. Prasad
were discussing cocaine.
[19]
An important part of the context was the price
discussed in the conversations on March 18 and on April 9. These are factual
findings to which this court owes great deference. The appellant has not
established that the trial judge made any errors in the assessment of the
expert evidence as applied to the evidence about the transactions between Zhou
and the appellant. We do not find the verdict unreasonable.
(c)
The Alternative Theory of Liability
[20]
The appellant argues that the trial judge
convicted on an alternative theory.
[21]
On count one, the trial judge convicted,
stating:
For all of those reasons, the evidence has
been proven beyond a reasonable doubt that Mr. Prasad committed the offence of
trafficking cocaine by offer to Zhou on March 18
th
, 2015. In
particular, on that day Mr. Prasad offered to traffic a kilogram of cocaine to
Zhou for $53,000 and he made that offer intending that it would be taken
seriously by [Zhou]. Count one [has] been proven beyond a reasonable doubt.
[22]
Count one on the indictment referred to trafficking
on or about March 19, 2015:
THAT Akshay PRASAD, on or about the 19th day
of March in the year 2015 at the City of Toronto in the Toronto Region did traffic
in a substance included in Schedule I of the
Controlled Drugs and
Substances Act
, to wit: cocaine, thereby committing an offence contrary to
Section 5(1) of the
Controlled Drugs and Substances Act
.
[23]
The appellant argues that it was fundamentally
unfair for the trial judge to give effect to
an alternative
theory of liability not advanced by the Crown, not raised
with counsel, and which the appellant did
not have the opportunity to address. He puts the argument in his factum in the
following manner:
The appellant respectfully submits that he was
caught by surprise by the trial judges finding and could not have foreseen a
conviction on the day prior to the date set out in the indictment based on an
offer
. All parties conducted the trial
on the basis that the Crown theory was that count 1 alleged the
trafficking of one kilogram of cocaine on March 19
th
to Leung. Many
decisions were made during the course of the trial based on that theory
presented. For example, the defence made numerous concessions, abbreviated
cross-examinations and, importantly, opted not to call a defence.
[24]
In questioning from the
bench, the appellant was unable to say how the defence would have differed had
the focus been on the offer on March 18 rather than on the alleged delivery on
March 19.
[25]
The Crown pointed out
that the indictments charging language for both counts is the same: did
traffic in a substance. The charge covers the whole of the transaction and one
continuous chain of events. Just as the offer alone was sufficient to support
the finding that the appellant committed the offence by offer on April 9, so it
was to commit the offence by offer alone on March 18, even if the delivery on
March 19 was not proven. The Crown noted that the appellant did not request
particulars of the charges before the trial. Further, the Crown referred to the
offer to traffic several times in submissions to the trial judge, so it was no
surprise to the defence. Trial defence counsel stated: the Crown
will say, well
this is an offer, and its an offer for something that happened on the 19
th
.
[26]
The offer was plainly
made on March 18, 2015, which in itself completes the offence of trafficking.
We are unable to discern any prejudice to the appellant in the trial judges
conviction respecting the offer on March 18, despite the different date
specified in the indictment. It was a continuous chain of events starting on
March 18. Consummation by delivery on March 19 was not an essential element.
[27]
The appeal is
dismissed.
P.
Lauwers J.A.
G.
Pardu J.A.
L.
Sossin J.A.
|
WARNING
The President of the panel
hearing this appeal directs that the following should be attached to the file:
An order restricting
publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or
(4) or 486.6(1) or (2) of the
Criminal Code
shall continue. These sections of
the
Criminal Code
provide:
486.4(1) Subject
to subsection (2), the presiding judge or justice may make an order directing
that any information that could identify the victim or a witness shall not be
published in any document or broadcast or transmitted in any way, in
proceedings in respect of
(a) any of the
following offences;
(i) an offence
under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1,
172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02,
279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence
under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt
with in the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a) at the first
reasonable opportunity, inform any witness under the age of eighteen years and
the victim of the right to make an application for the order; and
(b) on application
made by the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to
subsection (2.2), in proceedings in respect of an offence other than an offence
referred to in subsection (1), if the victim is under the age of 18 years, the
presiding judge or justice may make an order directing that any information
that could identify the victim shall not be published in any document or
broadcast or transmitted in any way.
(2.2) In proceedings in
respect of an offence other than an offence referred to in subsection (1), if
the victim is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible,
inform the victim of their right to make an application for the order; and
(b) on application of
the victim or the prosecutor, make the order.
(3) In proceedings
in respect of an offence under section 163.1, a judge or justice shall make an
order directing that any information that could identify a witness who is under
the age of eighteen years, or any person who is the subject of a
representation, written material or a recording that constitutes child
pornography within the meaning of that section, shall not be published in any
document or broadcast or transmitted in any way.
(4) An order made
under this section does not apply in respect of the disclosure of information
in the course of the administration of justice when it is not the purpose of
the disclosure to make the information known in the community. 2005, c. 32, s.
15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25,
ss. 22,48; 2015, c. 13, s. 18.
486.6(1) Every
person who fails to comply with an order made under subsection 486.4(1), (2) or
(3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2) For greater
certainty, an order referred to in subsection (1) applies to prohibit, in
relation to proceedings taken against any person who fails to comply with the
order, the publication in any document or the broadcasting or transmission in any
way of information that could identify a victim, witness or justice system
participant whose identity is protected by the order. 2005, c. 32, s. 15.
COURT
OF APPEAL FOR ONTARIO
CITATION:
R. v. J.M., 2022 ONCA 233
DATE: 20220322
DOCKET:
C68627
Tulloch,
Pardu and Harvison Young JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
J.M.
Appellant
J.M., acting in person
Breana Vandebeek, duty counsel
Jeffrey Wyngaarden, for the respondent
Heard: January 10, 2022 by video conference
On appeal from the conviction entered on
January 11, 2020 by Justice Jill Copeland of the Superior Court of
Justice, sitting with a jury.
REASONS
FOR DECISION
[1]
The appellant was found guilty and convicted of
one count of sexual assault, following a trial by judge and jury. He was
sentenced to 18 months custody. He now appeals his conviction.
[2]
On appeal, the appellant raises six grounds, all
relating to alleged errors he claims the trial judge committed in her charge to
the jury.
[3]
All of the appellants grounds of appeal can be
summed up as alleging an inadequacy in the trial judges jury charge. He
submits that the trial judge erred in her instructions on the use the jury
could make of the DNA evidence; failed to connect the defence theory to the
facts of the case; failed to instruct the jury on the limited use of the expert
biological evidence; failed to instruct the jury that the complainants
evidence was to be viewed objectively and critically; and failed to instruct
the jury on whether the appellant knew the complainant did not consent.
[4]
For the reasons that follow, the appeal is
dismissed.
[5]
The appellant and the complainant knew each other
as they both worked at the same place. On April 2, 2017, they planned to meet
later that evening at the appellants apartment. Prior to their meeting, they
discussed how the evening would unfold. According to the complainant, she had indicated
to the appellant on a previous occasion that she was romantically interested in
him but told him she did not want to have sex with him.
[6]
Once she arrived at the appellants apartment,
and their moods relaxed, they engaged in mutual consensual oral sex. Sometime
after, the appellant tried to insert his penis into the complainants vagina,
but the complainant told him she did not want to have sexual intercourse. A
short time later, the appellant again tried to have sexual intercourse with the
complainant, and was successful in penetrating the complainant, at which time
she said no, I dont want to have sex. The appellant did not stop but instead
continued.
[7]
According to the complainant, the second
incident of sexual intercourse lasted for about 10 minutes.
[8]
Eventually the appellant fell asleep, at which
time the complainant texted a friend, who sent a third-party to pick her up.
The complainant and the third party went straight to the police and provided a
statement. A forensic expert subsequently analyzed various samples from the
complainants underwear. DNA testing revealed that the substance on the
complainants underwear was likely semen.
[9]
At trial, the only issue was consent.
[10]
The appellant conceded that there was touching
for a sexual purpose. The trial turned on whether the Crown had proven beyond a
reasonable doubt that the complainant had not consented to sexual intercourse,
and whether the appellant knew that the complainant had not consented.
[11]
We see no merit to any of the appellants grounds of appeal.
[12]
It
is well established that the adequacy of a charge must be considered in the
context of the trial as a whole, as Watt J.A. explained in
R. v. P.J.B.
, 2012 ONCA 730, 298 O.A.C. 267,
at para. 49 [citations omitted]:
Jury charges do not take place in isolation,
but in the context of the trial as a whole. Appellate review of the adequacy of
jury charges must acknowledge this reality, especially where the complaint is
about the extent to which the trial judge has reviewed the evidence in final
instructions. Appellate review on this issue includes consideration of the
complexity and volume of the evidence adduced at trial, the extent of its
review by counsel in their closing addresses, the length of trial proceedings,
the issues to be resolved by the jury, the effect of a more complete and
balanced review of the evidence, and whether counsel objected to the charge on
the ground advanced on appeal. The test is one of fairness
. Provided the
evidence is left to the jury in a way that will permit the jurors to fully
appreciate the issues raised and the defences advanced, the charge will be
adequate.
[13]
The complainant alleged and testified that while
she consented to some aspect of the sexual contact with the appellant, she did
not consent to sexual intercourse. The DNA testing suggested that the fluid
found on the complainants underwear was likely semen. The trial judge dealt
with this evidence and instructed the jury as to what use they could make of
the DNA evidence. In her charge to the jury, the trial judge also clearly and
succinctly set out the position of the defence and that of the Crown and
related the relevant evidence for each position to assist the jury in their
deliberation. There was no objection to the charge by the defence.
[14]
The trial judge carefully and thoroughly
reviewed the evidence in her charge to the jury and instructed the jury on the
essential elements of the offence of sexual assault that the Crown was required
to prove beyond a reasonable doubt. She highlighted for the jury that the live
issue in the trial was that of consent; that the Crown was obliged to prove
beyond a reasonable doubt, based on all the evidence adduced at the trial, that
the complainant did not consent to the sexual intercourse; and that in order
for them to convict the appellant, they must also find that the appellant knew
that the complainant did not consent to the alleged sexual intercourse.
[15]
The trial judge further noted that the Crowns evidence
turned on the credibility and reliability of the complainants evidence. She painstakingly
reviewed the complainants evidence and pointed out various inconsistencies in her
evidence.
[16]
We see no error in the jury charge as alleged. A
jury charge must be viewed as a whole and assessed as to its functionality. As
this court recently noted in the case of
R. v. R.D.
, 2020 ONCA 23, at
para. 10:
The standard required of a jury charge is
adequacy, not perfection. The appellate courts approach is functional,
assessing the adequacy of the charge as a whole, in the context of the trial in
which the instructions were given, and in light of its purpose:
R. v.
Jacquard
, [1997] 1 S.C.R. 314, at paras. 32-41;
R. v. Newton
,
2017 ONCA 496, 349 C.C.C. (3d) 508, at para. 13. The charge must
provide the jury with a sufficient understanding of the facts as they relate to
the relevant issues from the trial:
Jacquard
, at para. 14. The trial
judge has an obligation to review the substantial parts of the evidence and to
relate the evidence to the issues to be decided. What is necessary are
references to the evidence that are sufficient, in the context of the case and
the entirety of the charge, to alert the jury to the specific parts of the
evidence that are of significance to its decision on particular issues and to
the positions of the parties on those issues. The role of the trial judge is to
decant and to simplify:
R. v. Huard
, 2013 ONCA 650, 302 C.C.C.
(3d) 469, at paras. 53 and 56.
[17]
This was a case that turned on the evidence of
the complainant. The appellant did not testify. The case turned on whether the
jury believed the complainant that she did not consent to the sexual
intercourse. The trial judge thoroughly reviewed the evidence and highlighted
all the relevant evidence, including areas of inconsistencies in the
complainants evidence. The trial judge also reminded the jury throughout her
charge of the onus of proof on the Crown to prove the guilt of the appellant
beyond a reasonable doubt, and that the appellant was innocent until proven
guilty based on the evidence beyond a reasonable doubt.
[18]
In all the circumstances, we see no merit to any
of the grounds of appeal. As such, the appeal is dismissed.
M.
Tulloch J.A.
G.
Pardu J.A.
A.
Harvison Young J.A.
|
WARNING
The President of the panel hearing this
appeal directs that the following should be attached to the file:
An order restricting publication in this
proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2)
of the
Criminal Code
shall continue. These sections of
the
Criminal Code
provide:
486.4(1) Subject to subsection
(2), the presiding judge or justice may make an order directing that any
information that could identify the victim or a witness shall not be published
in any document or broadcast or transmitted in any way, in proceedings in
respect of
(a) any of the following
offences;
(i) an
offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170,
171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011,
279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any
offence under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED:
S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt with in
the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings in respect of
the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice
shall
(a) at the first reasonable
opportunity, inform any witness under the age of eighteen years and the victim
of the right to make an application for the order; and
(b) on application made by
the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to subsection (2.2),
in proceedings in respect of an offence other than an offence referred to in
subsection (1), if the victim is under the age of 18 years, the presiding judge
or justice may make an order directing that any information that could identify
the victim shall not be published in any document or broadcast or transmitted
in any way.
(2.2) In proceedings in respect of an offence other than an offence
referred to in subsection (1), if the victim is under the age of 18 years, the
presiding judge or justice shall
(a) as soon as feasible, inform the victim of their right to make an
application for the order; and
(b) on application of the victim or the prosecutor, make the order.
(3) In proceedings in respect of
an offence under section 163.1, a judge or justice shall make an order
directing that any information that could identify a witness who is under the
age of eighteen years, or any person who is the subject of a representation,
written material or a recording that constitutes child pornography within the
meaning of that section, shall not be published in any document or broadcast or
transmitted in any way.
(4) An order made under this
section does not apply in respect of the disclosure of information in the
course of the administration of justice when it is not the purpose of the
disclosure to make the information known in the community.
2005, c. 32, s. 15; 2005, c. 43, s.
8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c.
13, s. 18..
486.6(1) Every person who
fails to comply with an order made under subsection 486.4(1), (2) or (3) or
486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2) For greater certainty, an
order referred to in subsection (1) applies to prohibit, in relation to
proceedings taken against any person who fails to comply with the order, the
publication in any document or the broadcasting or transmission in any way of
information that could identify a victim, witness or justice system participant
whose identity is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Vigon-Campuzano, 2022 ONCA
234
DATE: 20220318
DOCKET: C69181
Lauwers, Pardu and Sossin JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Fernando Vigon-Campuzano
Appellant
Daisy McCabe-Lokos, for the appellant
Gregory Furmaniuk, for the respondent
Heard: March 9, 2022, by video
conference
On appeal from the conviction entered on
January 29, 2020 by Justice David E. Harris of the Superior Court of
Justice, sitting without a jury, with reasons reported at 2020 ONSC 587.
REASONS FOR DECISION
[1]
Fernando Vigon-Campuzano was convicted of two
counts of sexual assault. He appeals against his conviction.
[2]
At the oral hearing, we dismissed the appeal and
indicated that reasons would follow. These are those reasons.
BACKGROUND FACTS
[3]
The appellant was a registered massage therapist
who was convicted of sexually assaulting two female clients, Ms. M.-B. in
August 2016, and Ms. H. in March 2016.
Ms. M.-B.
[4]
On August 5, 2016, Ms. M.-B. went to Be Relax, a
massage establishment at Pearson Airport in Toronto, for a massage. The
appellant was her masseur.
[5]
Before the massage, Ms. M.-B. undressed but left
her underwear on. The massage began with her lying on her front. At some point,
the appellant asked Ms. M.-B. to take off her underwear, which she did.
[6]
The appellant began massaging Ms. M.-B.s inner
thigh, near her vagina. She had never experienced this in other massages and
was confused about whether this was appropriate. He massaged her again on her
inner thigh, near her vagina. She tapped the appellant with her leg to indicate
that she was not comfortable with this and told him not to touch her there. He
stopped massaging the area.
[7]
Shortly after, the appellant again massaged her
inner thigh. Ms. M.-B. did not recall if she said anything. The appellant asked
Ms. M.-B. whether she wanted a breast massage. She said no. Nonetheless, he
massaged her breasts. Ms. M.-B. froze and did not say anything.
[8]
The appellant then put his hand on top of Ms.
M.-B.s vagina and moved his hand in small quick motions. She felt vulnerable
and did not say anything. She became physically aroused. The massage ended
shortly after, and Ms. M.-B. left the establishment.
[9]
Soon after the massage, Ms. M.-B. disclosed the
incident to a friend over text message. She testified that, prior to the
massage, she had been struggling with feelings of lust as being in conflict
with her religious beliefs. She also testified that she felt guilt about not
resisting the appellant more clearly.
[10]
Eventually, she disclosed the incident to the
police.
Ms. H.
[11]
On March 17, 2016, Ms. H. went to the Great
American Back Rub in Mississauga for a massage. She testified that this was her
second massage with the appellant, but she agreed that she may have seen him
more than that.
[12]
Ms. H. undressed but left her underwear on. At
some point during the massage, the appellant asked Ms. H. to take off her
underwear, which she did. He later asked her if she wanted a breast massage,
and she gave him permission to do one.
[13]
Later on in the massage, the appellant pressed
into Ms. H.s vagina area with his hands. She was shocked and froze. He then
inserted a finger into her vagina. She flinched and he told her to relax. She
asked him to stop. The massage ended not too long afterwards, and Ms. H. left
the establishment.
[14]
Ms. H. submitted a complaint to the
establishment through an online form but did not specify exactly what had
occurred. She also told her psychotherapist and her sister. She filed a
complaint with the College of Massage Therapists and eventually filed a
complaint with the police.
The Appellant
[15]
At the time of the events, the appellant worked
as a registered massage therapist at different establishments as an independent
contractor. He testified that he gave Ms. M.-B. a massage. He testified that
she removed her underwear herself and that he massaged her inner thigh, but he
denied giving her a breast massage and denied touching her vagina or her
vaginal area.
[16]
He testified that he gave Ms. H. a massage. He
did not ask Ms. H. to take off her underwear. He testified that he massaged her
femoral triangle, near the bikini line, but he denied touching Ms. H.s vagina
or engaging in vaginal penetration.
PROCEEDING BELOW
[17]
The central question at trial was whether the
sexual touching occurred.
[18]
Ms. M.-B.s text messages to a friend after the
massage were admitted and relied upon by the Crown and defence for the purpose
of narrative. Her text messages were as follows, with the reply omitted:
Yeah today was just kinda off because I was
struggling with lust/masturbation. But something happened tonight at the
airport that really caught me off guard. I went to go get a back massage and
the masseuse ended up fingering me and feeling me up. I told him a few times to
stop but he did not. And Im so confused because I really enjoyed it
physically, but I also feel so violated.
I could have been more assertive in saying no
and telling him to stop. But I also feel that saying no once should have been
enough. Im so confused.
On the one hand I think to myself, I really
enjoyed that handsome Cuban bringing me to orgasm. But on the other hand I
think to myself I feel guilty for being promiscuous
Even though I asked him
to stop even before it got really intense.
Actually the more I think about it the more I
feel assaulted.
[19]
The trial judge noted that Ms. M.-B. was a
strong witness. She was precise and candid in cross-examination. The trial
judge disagreed with the appellants contention that Ms. M.-B. suffered from
confusion which indicated a likelihood of misperception on her part and
detracted from her credibility and reliability.
[20]
The trial judge held that Ms. M.-B.s text
messages did not demonstrate confusion. He found that they demonstrated Ms.
M.-B. thinking through what happened to her and reflected mental clarity.
Further, she never expressed uncertainty on the central issue, that she
experienced sexual touching.
[21]
The trial judge also found that the guilt Ms.
M.-B. expressed about not resisting the appellant was due to the internalized
societal expectation that women must protest vociferously when sexually touched
against their will. He noted that a trial judge, in evaluating sexual assault
claims, must avoid stereotypes and is obliged to put him or herself into the
psychological shoes of the complainant. He concluded that it was entirely
normal for a massage client to be uncertain about how to proceed after
experiencing an assault during a massage. He also concluded that deriving
physical pleasure from the assault was well within the psychological norm and
any resulting guilt was normal psychological fallout from a sexual assault.
[22]
The trial judge found that Ms. H. was a good
witness. Although she did not remember all the details of the massage, her
memory was quite good on the central issues, particularly the vaginal penetration.
The trial judge also found that the cross-examination of the appellant did not
lead to any major discrepancies which would cast doubt on his evidence.
[23]
The trial judge granted the Crowns similar fact
application to use Ms. M.-B.s evidence to enhance Ms. H.s credibility, and
vice
versa
.
[24]
The trial judge conducted a
W.(D.)
analysis:
R. v. W.(D.)
,
[1991] 1 S.C.R. 742. While
there was nothing in the appellants evidence, when viewed in isolation, that
was implausible or unreliable, when juxtaposed against the Crowns case he
rejected the appellants evidence. The strength of the Crowns case, and the
reinforcing evidence of the complainants, undermined the viability of the
appellants evidence and his denial. The trial judge noted that this reasoning
alone could constitute a
W.(D.)
error, as it would reflect a choice
between the Crown and defence evidence. However, he considered whether the
appellants evidence left a reasonable doubt in the context of the entire
evidence, including that of the complainants. Relying on
R. v. J.J.R.D.
(2006), 215 C.C.C. (3d) 252 (Ont. C.A.), leave to appeal refused, [2007]
S.C.C.A. No. 69, he concluded that [t]he Crowns evidence, enhanced with the
similar fact circumstantial evidence, predominates [the appellants] evidence
and demonstrates to the high beyond a reasonable doubt level of certainty that
it is false. The trial judge found that, on the evidence as a whole, the Crown
had proven guilt on both counts beyond a reasonable doubt.
[25]
The trial judge concluded that the elements of
the offences were made out. The touching occurred as both complainants
testified to, it was sexual touching, and there was no consent. The trial judge
convicted the appellant on both counts.
ANALYSIS
[26]
The appellant raises two grounds of appeal. First,
the appellant argues that the trial judge erred in reaching conclusions about
Ms. M.B.s credibility in the absence of expert evidence. Second, the appellant
argues that the trial judge failed to provide reasons for rejecting the
appellants evidence.
[27]
Each is addressed in turn.
(1)
The trial judge did not err in assessing Ms.
M.-B.s credibility
[28]
The appellant argues that the trial judge
improperly reached conclusions about the complainant Ms. M.-B.s psychological
response to the alleged sexual assault.
[29]
Part of the defence theory of the case was that
Ms. M.-B.s state of guilt and confusion after the incident detracted from her credibility
as a witness.
[30]
The trial judge rejected this theory. Putting
himself in the shoes of the complainant, he found her uncertain reaction to the
surprising and perplexing incident to be in keeping with the normal fallout
from a sexual assault in these circumstances.
[31]
The appellant argues that such conclusions were
not open to the trial judge to make on the basis of judicial notice alone, and
neither party produced expert evidence at the trial. The appellant relies on
R.
v. J.M.
, 2021 ONCA 150, 154 O.R. (3d) 401, where this court overturned a
conviction on multiple grounds, including that the trial judge erred in finding
that the complainants failure to resist a sexual assault could be explained
based on a parallel between the complainants conduct and battered wife
syndrome.
[32]
We reject this argument. In
J.M.
, the
trial judge invoked a specific psychological syndrome, which had been
established in
R. v. Lavallee
, [1990] 1 S.C.R. 852, on the basis
of expert evidence
(see
J.M.
,
at para. 60)
. In
J.M.
,
this court found that the trial judge erred by finding parallels between the
complainant and the syndrome without expert evidence. In this case, by
contrast, the trial judges reference to Ms. M.-B.s psychological reaction was
simply an aspect of the finding that her reaction did not detract from her
credibility and reliability, as the appellant suggested. Ultimately, the trial
judge found that she was a credible and reliable witness based on multiple
factors, whose evidence, when enhanced with the similar fact evidence from Ms. H.,
he accepted over the evidence of the appellant. This finding that Ms. M.-B.s
reaction did not detract from her credibility and reliability did not require
an expert assessment.
[33]
This ground of appeal is dismissed.
(2)
The trial judge provided sufficient reasons for
rejecting the appellants evidence
[34]
The appellant denied the complainants accounts
of the incidents. He argues that the trial judge did not identify
inconsistencies or problems with his testimony and failed to explain why he
rejected the appellants evidence.
[35]
The appellant objects, in particular, to the
following rhetorical questions posed by the trial judge in his reasons, at
para. 70:
If the analysis stopped there, this reasoning
could be said to constitute a
W.(D)
error. A choice is being made
between the Crown and defence evidence. However, the critical step bridging the
factual findings and leading to a proper legal conclusion is the application of
the beyond a reasonable doubt standard of proof. Has the Crown proved beyond a
reasonable doubt, that the version of each complainant is true despite the
contrary evidence of [the appellant]? Or, from the defence viewpoint, does [the
appellant]s evidence leave a reasonable doubt in the context of the entire
evidence and the evidence of the complainants? I do not need to positively
believe [the appellant] it is sufficient if his evidence leaves a reasonable
doubt.
[36]
According to the appellant, the trial judge
asked the proper questions but failed to provide the required answers. Instead,
the appellant argues the trial judge cited this courts decision in
J.J.R.D.
in lieu of addressing these crucial questions. In his reasons, the trial judge stated,
at paras. 71-73:
Justice Doherty in
R. v. J.J.R.D.
215
C.C.C. (3d) 252, [2006] O.J. No. 4749 (C.A.), leave to appeal dismissed [2007]
1 S.C.R. x (note), rejected an argument that a trial judges reasons failed to
explain his rejection of the accuseds evidence. The only real reason stated by
the trial judge for the rejection was the opposing strength of the Crown
evidence.
In his reasons, Justice Doherty touched on the
interaction between the factual findings and the application of the burden of
proof to a credibility trial in which the accused testifies. He said:
53 The trial judge rejected totally the
appellant's denial because stacked beside A.D.s [the complainants] evidence
and the evidence concerning the diary, the appellants evidence, despite the
absence of any obvious flaws in it, did not leave the trial judge with a
reasonable doubt. An outright rejection of an accused's evidence based on a
considered and reasoned acceptance beyond a reasonable doubt of the truth of
conflicting credible evidence is as much an explanation for the rejection of an
accused's evidence as is a rejection based on a problem identified with the way
the accused testified or the substance of the accused's evidence.
This aptly describes the process of reasoning
in this case. The Crowns evidence, enhanced with the similar fact
circumstantial inference, predominates [the appellant]s evidence and
demonstrates to the high beyond a reasonable doubt level of certainty that it
is false. On all of the evidence, the high degree of certainty required has
been met. This fully comports with
W.(D.)
and the importance of
ensuring that accused persons are only found guilty if the Crowns case against
them is proved beyond a reasonable doubt.
[37]
We reject the appellants submission that the
trial judge failed to explain why his evidence was rejected.
[38]
J.J.R.D.
deals
with challenges to the sufficiency of reasons for conviction and an argument on
appeal that the trial judge did not explain why he rejected the evidence of an
accused. Despite the trial judges reference to
J.J.R.D
. it is apparent
from his reasons that he did not apply that authority in such a fashion as to
dilute the burden of proof. He rejected the appellants evidence because of the
formidable evidence stacked beside it in this case, especially the reliable
accounts of the incidents by credible complainants. The trial judges rejection
of the appellants evidence was based on a considered and reasoned acceptance
beyond a reasonable doubt of the truth of the complainants evidence, enhanced
with the similar fact circumstantial inference. His reasons were sufficient.
[39]
This ground of appeal is dismissed as well.
DISPOSITION
[40]
For these reasons, we dismiss the appeal.
P.
Lauwers J.A.
G.
Pardu J.A.
L. Sossin
J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Windsor-Essex Catholic District
School Board v. 2313846 Ontario Limited o/a Central Park Athletics, 2022 ONCA
235
DATE: 20220323
DOCKET: C69463
Fairburn A.C.J.O., Paciocco and
Sossin JJ.A.
BETWEEN
Windsor-Essex Catholic District
School Board and Conseil Scolaire Catholique Providence
Applicants (Respondents)
and
2313846 Ontario Limited o/a
Central Park Athletics
Respondent (Appellant)
Paul J. Pape and Cristina Senese, for
the appellants
Jessica A. Koper and Sandra Dawe, for
the respondents
Heard: March 17, 2022 by video
conference
On appeal from the judgment of Justice
Munroe of the Superior Court of Justice, dated April 23, 2021.
REASONS FOR DECISION
[1]
This is an appeal from a decision interpreting a
force majeure
clause contained in commercial leases between the respondent school boards
and the appellant, a commercial multi-purpose, sporting facility.
[2]
The respondents rented space from the appellant. As a result of the
province wide lock-downs owing to COVID-19, the appellant was unable to open
its doors from March 17 to August 11, 2020 (the relevant period), and the
respondents were unable to use the facility.
[3]
The respondents brought an application for a decision that the
force
majeure
clause in their respective leases should apply to abate the
rent during the relevant period. That argument found favour with the
application judge who found that, considered within its proper context, the
force
majeure
clause applied and rent was abated.
[4]
There is no dispute that the application judge was right in finding that
the government lockdowns, as a result of COVID-19, triggered a
force
majeure
event, as defined in the leases. Nor is there dispute that
the appellant could not provide the respondents with the leased space for its
intended and contracted use because of the lockdowns. The dispute lies in the
effect of the triggering event on the parties contractual obligations.
[5]
The parties agree that the application judge accurately
summarized their positions on the application. To this end, the application
judge summarized the appellants argument as follows:
[The appellant] argues that under the lease provisions, the
triggering event excused the landlord from providing the leased premises but
did not excuse the tenants from paying rent. The school boards obligation to
pay rent was not impacted by any pandemic order. Consequently, under the lease,
there is no basis to cease paying rent. To bolster this position, [the
appellant] emphasizes the language in Clause 15.14: In the event
the Landlord claims a Force Majeure
has prevented the
Landlord from enabling the Tenant to make use of the Leased Premises or operate
its programs
(emphasis added), asserting that [the appellant] does not claim
and never has claimed a
force majeure
.
This fact, according to
[the appellant] negates the following rent abatement provision.
[6]
Clause 15.14 reads as follows:
In the event
the Landlord claims
a
Force Majeure has prevented the Landlord from enabling the Tenant to make use
of the Leased Premises or operate its programs in the Centre, Rent and
Additional Rent shall fully abate during such period until the Landlord has
restored the ability of the Tenant to use the Leased Premises and operate its
programs in the Centre. [Emphasis added.]
[7]
Ultimately the application judge rejected the appellants argument,
finding that the appellant, because of the government lockdown orders, was
prevented from performing a term of the lease, providing the leased space for its
contracted use. The application judge determined that the consequences were
twofold under the lease: (1) the landlord was excused from its contractual
obligation to provide the leased space; and (2) the contractual rent obligation
of the tenants was abated during the relevant period.
[8]
The appellant argues that the application judge erred by reading the
words the Landlord claims out of Clause 15.14. The appellant argues that the
Landlord did not claim a
force majeure
event, (even though it is
recognized that there was a
force majeure
event.) According to the appellants argument, only that
claim could cause the abatement of the rent. The failure of the trial judge to
give effect to those words the Landlord claims is said to constitute an
error of law.
[9]
Respectfully, we cannot accept the appellants position. We do not see
the application judge as having ignored the expression the Landlord claims.
Rather, read as a whole, the reasons make clear that the application judge was
alive to the appellants argument, and particularly to the emphasis upon those
words, but rejected the submission that they held the meaning that the
appellant continues to advance in this court.
[10]
This
is not a case involving an extricable error of law. Rather, it is a case about
contractual interpretation involving questions of mixed fact and law and
therefore engages the standard of palpable and overriding error. We see none.
[11]
In
an exercise of contractual interpretation, the application judge first,
accurately recounted the appellants argument and second, rejected that
argument. It was open for him to do so. The reasons are clear as to how he
resolved the matter. The application judge found that the triggering event was
the lockdown, which resulted in the closure of the appellants facility. When
that facility was closed by the appellant, it could not and did not provide the
respondents with the leased space. According to Clause 15.14, once that
happened, the rent had to shall fully abate during the relevant period.
[12]
The appeal is dismissed.
[13]
Costs in the all-inclusive amount of $15,000 will be paid by the
appellant to the respondents.
Fairburn A.C.J.O.
David M. Paciocco J.A.
L. Sossin J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Amikwabi v. Pope Francis, 2022
ONCA 236
DATE: 20220322
DOCKET: C69230
Fairburn A.C.J.O., Paciocco and
Sossin JJ.A.
BETWEEN
Stacy Amikwabi, Shawn Brennan,
George Fayad, Joshua Alas-Wilson, Alisa Tojcic, Jane Doe, John Doe
Plaintiffs (Appellants)
and
Pope Francis, The Holy See, The
State of the Vatican, The Society of Jesus, HM Queen Elizabeth II, The Order of
the Garter, The House of Windsor (formerly Saxe Cobourg Gotha), Global Vaccine
Alliance (GAVI), the UNs World Health Organization/Public Health Organization
of Canada, Bill and Melinda Gates Foundation, Prime Minister Justin Trudeau,
Dr. Theresa Tam, Premier Doug Ford, Christine Elliott, Mayor Jim Watson,
Attorney General of Canada, the Attorney General for Ontario
Defendants (Respondents)
Michael Swinwood, for the appellants
Marshall Jeske, for the respondent
Attorney General of Canada
Ravi Amarnath, for the respondent
Attorney General of Ontario, Premier Doug Ford and Christine Elliott
Stuart Huxley, for the respondent Mayor
Jim Watson
No one appearing for the remaining
respondents
Heard and released orally:
March 17, 2022 by video conference
On appeal from the order of Justice Sylvia
Corthorn of the Superior Court of Justice, dated February 10, 2021, with
reasons reported at 2021 ONSC 1069.
REASONS FOR DECISION
[1]
This is an appeal from the dismissal of an
action as frivolous and vexatious pursuant to r. 2.1.01 of the
Rules of
Civil Procedure
, R.R.O. 1990, Reg. 194
.
The underlying proposed class action and constitutional challenge makes multiple
assertions, including that COVID-19 is a multi-lateral global conspiracy to,
among other things, promote sterilization programs and manipulate the human genome.
Billions, if not trillions, of dollars are sought from domestic governments as
well as foreign entities.
[2]
The dismissal of this action reflects an
exercise of discretion and therefore is entitled to appellate deference. The
motion judge clearly, and in some detail, explained why she concluded that this
case is frivolous and vexatious, so much so that it rises to the level of the
clearest of cases in which to apply r. 2.1.01.
[3]
The motion judge did not err in deciding the
matter without written submissions from the appellant. These motions are
intended to be made in a summary manner and may, in the courts discretion, be
made without written submissions: see
Ahmed v. Ontario (Attorney General)
, 2021 ONCA 427, at para. 7.
A fair
reading of the motion judges reasons, particularly paras. 34-36, demonstrates
consistency with the procedural requirements of the governing rule.
[4]
Nor did the motion judge misdirect herself on
the law. To the contrary, her legal analysis shows her command of the operative
legal principles. Nor did the motion judge make any factual errors. It was open
to the motion judge to reach the conclusion she did and characterize matters as
she did.
[5]
We see no basis to interfere with her exercise
of discretion.
[6]
The appeal is dismissed.
[7]
Costs will be paid by the appellant to the respondent
Attorneys General in the total amount of $250.00, all inclusive, to be split
between those parties.
Fairburn
A.C.J.O.
David
M. Paciocco J.A.
L.
Sossin J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Alexander (Re), 2022 ONCA 237
DATE: 20220321
DOCKET: C69801
Rouleau, Huscroft and Trotter
JJ.A.
IN THE MATTER OF: Michael B. Alexander
AN APPEAL UNDER PART XX.1 OF THE
CODE
Andrew Menchynski, for the appellant
Dena Bonnet, for the Attorney General
Julia L. Lefebvre, for Waypoint Centre
for Mental Health Care
Heard: March 11, 2022 by video conference
On appeal from the disposition of the
Ontario Review Board, dated April 7, 2021, with reasons dated April 23, 2021.
REASONS
FOR DECISION
(1)
Introduction
[1]
On January 31, 2020, the appellant was found not
criminally responsible on account of mental disorder (NCRMD) in relation to the
offences of threatening death and robbery. On July 13, 2020, the Ontario Review
Board (the Board) ordered that the appellant be detained at the Waypoint
Centre for Mental Health (Waypoint), a secure facility.
[1]
[2]
The appellant appeared before the Board on March
31, 2021 for his annual review under s. 672.81(1) of the
Criminal Code
,
R.S.C. 1985, c. C-46. The issues before the Board were whether the appellant
continued to pose a significant threat to the safety of the public and, if so,
what was the necessary and appropriate disposition. All parties agreed that the
appellant was a significant threat to the safety of the public. They also
agreed that he should be transferred to the Secure Forensic Unit at Providence
Care in Kingston (Providence Care), a less secure facility than Waypoint.
[3]
The Board found that the appellant was a
significant threat to the safety of the public, but rejected the joint
submission for a transfer from Waypoint to Providence Care.
[4]
The appellant appeals the placement decision
only. He submits that the Boards decision was unreasonable. Moreover, he
contends that the hearing before the Board was procedurally unfair because the
Board failed to provide adequate notice that it was considering the rejection of
the joint submission.
[5]
The respondents submit that there was no
unfairness in the manner in which the Board handled the joint submission. On
the transfer issue, both respondents support the Boards decision despite the
fact that it is contrary to the joint submission they made at the hearing. The
Crown grounds this position on appellate deference to the Boards decision; Waypoint
also relies on deference, but also alludes to fresh evidence that is not before
us.
[6]
We conclude that the manner in which the Board
dealt with the joint submission was less than ideal; however, but it did not
amount to procedural unfairness. Moreover, the Boards decision was a
reasonable exercise of its discretion.
(2)
Background
[7]
The appellant is 41 years old. In May of 2019,
he received a conditional discharge for uttering a death threat. He was placed
on probation for 12 months. The following month, he attended a bank in downtown
Toronto. He went into one of the employees offices and started yelling and screaming
in an incoherent manner. When asked to leave, he threatened to cut off the
employees head and put it in a potato sack he was carrying. He eventually left
the bank. He was subsequently arrested a month later, but released on bail.
[8]
In September of 2019, the appellant grabbed a
purse from a restaurant patio table. The victim attempted to retrieve her purse,
and in the ensuing struggle, her wallet dropped to the ground. The appellant
ran off with the wallet. The victim caught up to him. With the assistance of
bystanders, the wallet was recovered. A passing police car was flagged down and
the appellant was arrested.
[9]
The appellants current diagnoses are:
schizoaffective disorder, bipolar type; substance use disorder; and antisocial
personality traits. Prior to these events, the appellant had admissions to
psychiatric facilities. At the time of his arrest, the appellant was
essentially homeless, supported by the Ontario Disability Support Program.
[10]
In the months between his arrest and his NCRMD
finding, the appellant was placed at CAMH. However, because of the inability of
staff to control him, there were a number of admissions to Waypoint, where the appellant
spent much of his time in seclusion.
[11]
In the days leading up to the hearing, the
appellant engaged in erratic behaviour. He threatened suicide and attempted to
suffocate himself. His treatment team believed this was an attention-getting
reaction to the Hospital Report and his anxiety about his upcoming ORB hearing.
(3)
The Hearing
[12]
At the outset of the hearing, a representative
for Waypoint advised the Board that the hospital recommended the appellants
transfer to Providence Care. The appellant supported this recommendation. The
Crown indicated that it would state its position after hearing the evidence.
[13]
When the parties set out their positions, they
were aware that Providence Care objected to the proposed transfer. Dr. Tariq
Hassan, Clinical Director of Forensic Mental Health at Providence Care, had
sent a letter setting out its reasons for its objection.
[2]
Having reviewed the Hospital
Report, Dr. Hassan expressed concerns about the appellants significant
periods of very acute presentations of unwell behaviour and serious threats of
violence. He provided other reasons, including the relative recency of the
appellants clinical progress. Being open to the possibility of a future
transfer, Dr. Hassan said, [t]his is the rare occasion where I would disagree
with my colleagues at Waypoint and do not accept to have this gentleman
transferred to Providence Care at this time. The letter was also before the Board
and entered as an exhibit. It became a focal point at the hearing.
[14]
The Board heard the evidence of one witness, Dr.
J. Van Impe, the appellants attending psychiatrist. Dr. Van Impe adopted the
contents of the Hospital Report and provided the opinion that the appellant
remains a significant risk to the safety of the public. He referred to the
appellants periods of extreme agitation, extreme threats of violence, and the
requirement for seclusion.
[15]
Dr. Van Impe testified that the unanimous
opinion of the treatment team was that the appellant could be managed at
Providence Care. However, he said the decision was a difficult one, a
guarded recommendation, and not an easy decision. Dr. Van Impe testified
that, if the appellant maintained compliance with his medication, as he had
over the previous five months, he would be manageable in the less-secure
setting of Providence Care.
[16]
Responding to the objection of Providence Care,
Dr. Van Impe said, [t]heir concerns are valid. This isnt a cut and
dry
recommendation. However, pointing to the appellants intense dislike of
Waypoint, Dr. Van Impe believed that fear of being returned to Waypoint would
act as a positive incentive at Providence Care.
[17]
At the conclusion of the evidence, Waypoint
maintained its recommendation for a transfer, but with conditions designed to
address the appellants risk factors and the possibility of elopement. The
Crown said it is cautiously in support of the cautious position by the
hospital.
(4)
The Boards Decision
[18]
The Board accepted the joint submission that the
appellant was a significant threat to the safety of the public. It declined to accede
to the joint submission concerning the transfer to Providence Care. As the
Board said, at para. 29:
The Board appreciates the fact that the
parties put forward a joint submission that Mr. Alexander be transferred to a
less secure facility. The panel does not reject this joint submission lightly.
As the Court of Appeal stated in
Hassan (Re)
, [2011] O.J. No. 3800 at
para. 24, the Board ought to tread cautiously before making an order that the
restricts the accuseds liberty beyond that which the hospital and the Crown
thinks necessary. However, the court went on to say this at para. 25:
However, the Board does not necessarily err
because it declines to follow a hospitals or Crowns recommendation.
Automatically adhering to the position of a hospital or Crown would mean
abdicating its own role. A review board is composed of medical and legal
experts with specialized knowledge and experience in mental health and in risk
assessment and management. Parliament has vested these boards with authority to
make their own independent and often difficult determinations after weighing
the package of factors in s. 672.54 of the
Code
.
[19]
As discussed below, the Board outlined the
factors that caused it to give effect to Dr. Hassans objections to the
proposed transfer to Waypoint.
(5)
Discussion
[20]
It is well-established in this courts
jurisprudence that the Ontario Review Board is not bound by joint submissions.
However, the Board owes a duty of procedural fairness to those individuals over
which it exercises jurisdiction, which includes a duty to give notice when it
considers rejecting a joint submission. Notice gives the parties an opportunity
to address the Boards concerns, by adducing (further) evidence, making
responsive submissions, or both:
Re Osawe
, 2015 ONCA 280, 125 O.R.
(3d) 428, at paras. 33, 42-43;
Re Kachkar
, 2014 ONCA 250, 119 O.R.
(3d) 641, at paras. 42-44; and
Re Elman
, 2021 ONCA 783, 407 C.C.C.
(3d) 481, at paras. 31-32.
[21]
Notice may take different forms. It may be
direct or indirect. Notice may be given by Board members asking questions that
are significantly probing about the core elements of the joint submission:
see
Re Benjamin
, 2016 ONCA 118, at para. 22. See also
Osawe
,
at para. 22 and
Elman
, at paras. 43-44. Whether questioning is a
sufficient substitute for explicit notice involves a contextual inquiry:
Re
Nguyen
, 2020 ONCA 247, 387 C.C.C. (3d) 13, at para. 20.
[22]
There was clearly a joint submission concerning
the transfer request. As noted in para. 18 above, the Board acknowledged this
reality. The Crown places significance on the fact that the joint submission was
only reached at the end of the evidentiary phase of the hearing. But this did
not detract from the essential nature of a joint submission. A joint submission
may be formed at any time up until the decision-maker commences deliberations.
[23]
There was no explicit mention by any Board
member that the joint submission might not be accepted. It would have been
preferrable if this had been done. This is a matter that should not be left to
guesswork. However, the manner in which the hearing was conducted ought to have
signalled that the requested transfer was not a done deal.
[24]
The letter of Dr. Hassan was before the Board
and made an exhibit. The issue was squarely in play. The questioning of Dr. Van
Impe by Justice Lipson revealed some concern with the proposed transfer in the
face of Dr. Hassans resistance.
[25]
The Crown relies on the questioning of the
Alternative Chairperson as notice that the joint proposal was on infirm ground.
In the lead up to a question concerning the possibility of moving the appellant
to a less secure setting within Waypoint, he made the following parenthetical
comment I have no idea where Im going as far as a decision let alone my
colleagues. Later, he commented that, Im trying to come to grips with this
decision.
[26]
It would have been preferrable had the Board
advised counsel of its concern during the submissions stage of the hearing. But
there were no questions of counsel. Nonetheless, the aspects of the hearing
mentioned in the preceding paragraphs collectively provided adequate notice
that the joint submission might not be accepted. There was no procedural
unfairness.
[27]
We dismiss this ground of appeal.
[28]
The appellant submits that the Boards decision
to refuse the transfer was unreasonable. He submits that the Board should not
have given effect to Dr. Hassans objections because they reflected more of a
concern about the appellant being a nuisance in the institution. He submits
that the Board could have approved the transfer along with an appropriate
envelope of conditions to assuage Dr. Hassans concerns by giving Providence
Care the proper tools to manage the appellant.
[29]
Both respondents submit that the Boards refusal
to order the appellants transfer was reasonable. As noted above, counsel for
Waypoint alludes to more recent events that might justify the denial of the
transfer. This was not a proper submission. If counsel wish to update the court
about the progress or decompensation of an NCRMD detainee, the appropriate procedure
is an application to introduce fresh evidence. That was not done in this case.
In reaching our decision on this issue, we rely exclusively on the formal
record, and nothing more.
[30]
Notwithstanding Mr. Menchynskis able
submissions, our evaluation of the Boards reasons leads us to conclude that
its decision was reasonable.
[31]
In reaching this conclusion, we must give the deference
that is typically afforded to the Boards decisions on appeal. Moreover, the
Board provided thorough reasons for giving effect to Dr. Hassans objection to
the Hospitals proposal. We do not accept the appellants submissions that Providence
Care resisted the transfer because the appellant was merely a nuisance and engaging
in attention-seeking behavior. The problems he posed at the time were more
serious. As the Board said, at paras. 25-28:
Since the time of Mr. Alexanders latest
disposition in July 2020, Mr. Alexander required three periods of seclusion as
a result of aggressive and bizarre behaviours and are described in great detail
in the hospital report. He has been threatening to staff, sexually
inappropriate towards female staff. He has also engaged in feces smearing when
frustrated and angry. There were incidents when he was kicking and punching his
door and on one occasion, he broke the fire sprinkler in his room causing the
room to flood. It should also be said that Mr. Alexander did not physically
assault any staff or co-patients during this review period.
The evidence is that Mr. Alexander has
demonstrated significant improvement since December 2020 after being started on
Abilify Maintena, an injectable antipsychotic medication. To his credit, Mr.
Alexander achieved the most privileged security level available in early
January 2021. He has participated in an anger management program and cognitive
behavioural therapy. He sought out counselling with a psychologist and a
substance abuse counsellor. He was a ward worker on his unit. His mental status
has improved, and obvious psychotic symptoms have been minimal. In the opinion
of his treatment team, Mr. Alexander is now ready for a transfer to a less
secure facility.
Unfortunately, Mr. Alexanders positive
trajectory was interrupted by the very concerning events of March 22, 2021 when
he engaged in acts of self-harm, including trying to suffocate himself with a
laundry bag, submerging his head into a toilet and wrapping a safe gown
around his head. He required 4-point restraints and placement in a padded room
for his own safety. Dr. Van Impe described these attempts at self-harm as an
impulsive reaction to reading what Mr. Alexander viewed as unfavourable
comments in the hospital report in combination with his overall anxiety about
his upcoming Board hearing.
Mr. Alexanders progress is relatively recent
and his self-harming behaviour on March 22, 2021 raises significant concerns
about his current mental status.
The Board agrees with the opinion expressed
by Dr. Hassan that while Mr. Alexander has made some gains in recent months,
his recovery is still in its infancy. The Board notes that Mr. Alexander has
yet to reside on the least structured and highest privileged unit of Waypoint
.
Upon a consideration of all the evidence, the Board is of the view that a
further period of stabilization at Waypoint is necessary before Mr. Alexander
can be transferred to and safely managed in a less secure hospital.
In
arriving at this decision, the Board attached significant weight to the well
supported and clearly stated reasons of Dr. Hassan in exhibit 3 explaining why
he did not consider Mr. Alexander to be an appropriate candidate for transfer
to Providence
. [Emphasis added].
[32]
In the light of these cogent reasons, based on a
proper appreciation of the evidence, it cannot be said that the Boards decision
was unreasonable.
Disposition
[33]
The appeal is dismissed.
Paul Rouleau J.A.
Grant Huscroft J.A.
Gary Trotter J.A.
[1]
An appeal (C68650) from that disposition was launched but never
reached the hearing stage. By way of a separate order, and on the consent of
the parties, that appeal is dismissed as a moot appeal.
[2]
Pursuant to r. 13 of the Ontario Review Boards
Rules of
Procedure
, when any party at a hearing requests that the accused should be
transferred to another institution, that party shall provide notice to all
other parties as well as the person in charge of the prospective receiving hospital.
See the discussion about how this rule operates in practice in Michael Davies,
Anita Szigeti, Meaghan McMahon and Jill R. Presser,
A Guide to Mental
Disorder in the Canadian Criminal Justice System
(Toronto: LexisNexis
Canada Inc., 2020), at pp. 230-232.
|
WARNING
THIS IS AN APPEAL UNDER THE
YOUTH CRIMINAL JUSTICE ACT
AND IS SUBJECT TO:
110(1) Subject
to this section, no person shall publish the name of a young person, or any
other information related to a young person, if it would identify the young
person as a young person dealt with under this Act.
(2)
Subsection (1) does not apply
(a) in a case where the
information relates to a young person who has received an adult sentence;
(b) in a case where the
information relates to a young person who has received a youth sentence for a
violent offence and the youth justice court has ordered a lifting of the
publication ban under subsection 75(2); and
(c) in a case where the
publication of the information is made in the course of the administration of
justice, if it is not the purpose of the publication to make the information
known in the community.
(3) A young person
referred to in subsection (1) may, after he or she attains the age of eighteen
years, publish or cause to be published information that would identify him or
her as having been dealt with under this Act or the
Young Offenders Act
, chapter Y-1 of the
Revised Statutes of Canada, 1985, provided that he or she is not in custody
pursuant to either Act at the time of the publication.
111(1) Subject
to this section, no person shall publish the name of a child or young person,
or any other information related to a child or a young person, if it would
identify the child or young person as having been a victim of, or as having
appeared as a witness in connection with, an offence committed or alleged to
have been committed by a young person.
138(1) Every
person who contravenes subsection 110(1) (identity of offender not to be
published), 111(1) (identity of victim or witness not to be published), 118(1)
(no access to records unless authorized) or 128(3) (disposal of R.C.M.P.
records) or section 129 (no subsequent disclosure) of this Act, or subsection
38(1) (identity not to be published), (1.12) (no subsequent disclosure), (1.14)
(no subsequent disclosure by school) or (1.15) (information to be kept
separate), 45(2) (destruction of records) or 46(1) (prohibition against
disclosure) of the
Young Offenders Act
, chapter Y-1 of the Revised
Statutes of Canada, 1985,
(a) is guilty of an
indictable offence and liable to imprisonment for a term not exceeding two
years; or
(b) is guilty of an
offence punishable on summary conviction.
WARNING
The President of the panel
hearing this appeal directs that the following should be attached to the file:
An order restricting
publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or
(4) or 486.6(1) or (2) of the
Criminal Code
shall continue. These sections of the
Criminal
Code
provide:
486.4(1) Subject
to subsection (2), the presiding judge or justice may make an order directing
that any information that could identify the victim or a witness shall not be
published in any document or broadcast or transmitted in any way, in
proceedings in respect of
(a) any of the
following offences;
(i) an offence
under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1,
172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02,
279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence
under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt
with in the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a) at the first
reasonable opportunity, inform any witness under the age of eighteen years and
the victim of the right to make an application for the order; and
(b) on application
made by the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to
subsection (2.2), in proceedings in respect of an offence other than an offence
referred to in subsection (1), if the victim is under the age of 18 years, the
presiding judge or justice may make an order directing that any information
that could identify the victim shall not be published in any document or
broadcast or transmitted in any way.
(2.2) In proceedings in
respect of an offence other than an offence referred to in subsection (1), if
the victim is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible,
inform the victim of their right to make an application for the order; and
(b) on application of
the victim or the prosecutor, make the order.
(3) In proceedings
in respect of an offence under section 163.1, a judge or justice shall make an
order directing that any information that could identify a witness who is under
the age of eighteen years, or any person who is the subject of a
representation, written material or a recording that constitutes child
pornography within the meaning of that section, shall not be published in any
document or broadcast or transmitted in any way.
(4) An order made
under this section does not apply in respect of the disclosure of information
in the course of the administration of justice when it is not the purpose of
the disclosure to make the information known in the community. 2005, c. 32, s.
15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c.
25, ss. 22,48; 2015, c. 13, s. 18.
486.6(1) Every
person who fails to comply with an order made under subsection 486.4(1), (2) or
(3) or 486.5(1) or (2) is guilty of an offence punishable on summary
conviction.
(2) For greater
certainty, an order referred to in subsection (1) applies to prohibit, in
relation to proceedings taken against any person who fails to comply with the
order, the publication in any document or the broadcasting or transmission in
any way of information that could identify a victim, witness or justice system participant
whose identity is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. D.S., 2022 ONCA 238
DATE: 20220323
DOCKET: C69680
Strathy C.J.O., Coroza and
George JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
D.S.
Appellant
Jill Gamble, for the appellant
Mark Luimes, for the respondent
Heard: March 15, 2022 by video
conference
On appeal from the conviction entered on
April 13, 2021 by Justice Julia A. Morneau of the Ontario Court of Justice.
REASONS FOR DECISION
[1]
The appellant 13 years old at the relevant
time was found guilty of sexually assaulting his seven-year-old half-sister,
K.R.
[2]
The appellant and K.R. lived with their grandparents
and their mother, J.S. While everyone lived in the same household, the
appellant was cared for by his grandparents; K.R. primarily by J.S.
[3]
The appellant pleaded not guilty. At trial, K.R.s
police statement was admitted pursuant to s. 715.1 of the
Criminal Code
,
and she was cross-examined. J.S. testified on behalf of the Crown. An agreed
statement of fact from the grandparents was also tendered as part of the Crown
case. No defence evidence was presented. The appellants counsel argued that
the Crown had not satisfied its burden. The trial judge disagreed, finding that
the Crown had established guilt beyond a reasonable doubt.
[4]
On the date in question, J.S. found the appellant
and K.R. together in a room, under a blanket, giggling. She testified that,
upon entering, she could see the top of K.R.s head. The appellant and K.R.
were both shirtless. The appellants shorts were undone. J.S. asked the
appellant to leave the room so she could help K.R. get ready for bed. K.R. then
told her what the appellant had just done. J.S. then brought K.R. and the
appellant to speak with their grandparents. J.S. told K.R. to disclose to her
grandparents what she had just told her, which she did. The appellant denied it.
[5]
In the police statement, K.R. described the
appellants conduct by pointing to her crotch area and indicating that the
appellant touched himself there. She further testified that the appellant
tried to
make [her] lick
his nuts; that he pee[d]
in [her] mouth;
that he got his nuts out; and that he pulled down his zipper.
[6]
K.R. has been diagnosed with FASD and ADHD. She
has a speech impediment, and functions at approximately two grade levels behind
her peers. Her vocabulary is limited, and during her testimony she had obvious
difficulties describing her, and the appellants, body parts.
[7]
The appellant appeals against conviction,
raising these two grounds: 1) That the trial judges reasons are insufficient,
and 2) that the verdict is unreasonable.
[8]
The trial judges reasons, while brief,
adequately explain her decision and how she arrived at it. She addressed K.R.s
limitations, given her age and disabilities, and found that, despite them, she
could adequately describe what the appellant did to her, from which she did not
resile. The trial judge acknowledged that K.R.s testimony was somewhat
confusing but, after viewing her evidence through the proper lens, said this:
KRs evidence in cross examination was a bit
confusing. However, when I consider KRs limitations, her account from the
police interview, and her answers in cross examination that she did not see
peeing in the mouth on a video game, and when Ms. Gamble said to KR that her
brother [the appellant] did not pee in her mouth, KR understood that question
and told Ms. Gamble that he did.
[9]
Apart from accepting K.R.s evidence, the trial
judge also addressed the arguments of the appellants trial counsel. Of note,
she addressed the submission that there was not enough time for the appellant
to do what K.R. alleged he did, writing that:
Ms. Gamble did
point out that the time that elapsed between when JS said she went into the
house to get KR ready for bed after KR entered the home was 5 minutes.
That was JSs evidence. Ms. Gamble argues that 5 minutes would be
insufficient time for this event to unfold.
When witnesses offer time estimates it is
usually without the benefit of having had a stopwatch in hand and there is no
suggestion JS had. That afternoon the family had been outside on the deck. KR
had been running through the backyard sprinkler. [The appellant] was inside the
house. JS was visiting with her parents, lived at the home at this time and did
enter the home to help get KR ready for bed. There was nothing unusual going on
that would have required JS to measure the time. Her estimate of 5 minutes
was just that.
[10]
The reasons are sufficient. While the trial
judge does not expressly say that K.R. was reliable, when the reasons are read
as a whole, it is clear that she found K.R. was. Recognizing that a trial judge
does not have to resolve every inconsistency in the evidence, or detail
findings on every controverted fact, these reasons explain the path to
conviction and allow for appellate review:
R. v. R.E.M.
, 2008 SCC 51,
[2008] 3 S.C.R. 3, at paras. 20, 24, 30, 35, 53, 55-56.
[11]
Lastly, this verdict is not unreasonable. Such a
result is rare and only appropriate when the verdict is one that no properly
instructed trier of fact, acting judicially, could reasonably have rendered:
R.
v. Biniaris
, 2000 SCC 15, [2000] 1 S.C.R. 381, at paras. 36-37;
R.
v. Yebes
, [1987] 2 S.C.R. 168, at p. 185. This onerous threshold has not
been met.
[12]
The appeal is dismissed.
G.R.
Strathy C.J.O.
S.
Coroza J.A.
J.
George J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Clearflow Commercial Finance Corp. v. Gdak, 2022 ONCA 242
DATE: 20220322
DOCKET: C69606
Trotter,
Coroza and Favreau JJ.A.
BETWEEN
Clearflow Commercial Finance
Corp.
Applicant (Respondent)
and
Jaimee Lynn Gdak
, Trigger Wholesale Inc., The En Cadre Group Inc., Mark Gdak and
Jaimak Real Properties Inc.
Respondents (Appellant)
Benjamin G. Blay, for the appellant
Jeffrey J. Simpson, for the respondent
Heard: February 17, 2022 by videoconference
On appeal from
the order of Justice Bernadette Dietrich of the Superior Court of Justice,
dated May 26, 2021, with reasons reported at 2021 ONSC 3421.
REASONS FOR DECISION
[1]
This appeal arises from an order enforcing a Guarantee
executed by the appellant, Jaimee Lynn Gdak. Ms. Gdak guaranteed the full
amount of the indebtedness of Trigger Wholesale Inc. (Trigger) in favour of Clearflow
Commercial Finance Corp. (Clearflow). The motion judge found that the
Guarantee was valid, binding and enforceable. Ms. Gdak appeals this order.
[2]
At the conclusion of the hearing, we dismissed
the appeal with reasons to follow. These are our reasons.
Background
[3]
Clearflow provides financing services to Ontario
businesses. Trigger, one of Clearflows clients, was in the business of
importing and distributing firearms and ammunition in Canada. Mark and Jaimee
Lynn Gdak are the sole shareholders, directors, and officers of Trigger. Clearflow
alleges that Mr. Gdak orchestrated a massive fraud over a number of years
against Clearflow, amounting to tens of millions of dollars in losses. The
proceedings below and this appeal relate solely to the enforceability of the
Guarantee.
[4]
In April 2015, Clearflow extended three separate
credit facilities to Trigger: factoring of accounts receivable (Clearflows
main method of financing); purchase order financing; and discrete advances for
business purposes. The details were set out in three Credit Agreements. As part
of this arrangement, on April 30, 2015, Mr. and Ms. Gdak jointly executed an unlimited
and continuing Guarantee of the full amount of the indebtedness of Trigger in
favour of Clearflow. The Gdaks are also officers and directors of The En Cadre
Group they both signed similar guarantees on behalf of En Cadre.
[5]
When Ms. Gdak executed her guarantee, the total
maximum indebtedness shown on the Credit Agreements was $1.4M. By 2020, the
actual debt had skyrocketed to $48M.
[6]
In 2019, before the allegedly fraudulent
activities of Mr. Gdak and Trigger came to light, Mr. Gdak, on behalf of
Trigger, approached Clearflow to restructure the then-existing credit
facilities that would soon expire. He sought to renegotiate the Credit
Agreements and have Ms. Gdak released from the Guarantee. As a result of the
negotiations, Clearflow issued a proposal that would see Ms. Gdak released from
the Guarantee. This was also reflected in drafts of the proposed financing
documentation. However, this was all contingent on Mr. Gdak providing current
financial statements. The negotiations dragged on into late 2020. The
statements that were produced were not acceptable to Clearflow. Moreover, a
field audit conducted on behalf of Clearflow uncovered the alleged fraudulent
activities. Consequently, the deal fell apart. Clearflow refused to sign back the
re-financing documents prepared by Trigger. Clearflow issued a written demand
for all amounts owing. In the end, Clearflow never signed a document confirming
that Ms. Gdaks Guarantee had been cancelled or released.
[7]
In October 2020, Clearflow brought an
application to recover $48.6M it alleges it lost as a result of a fraudulent
scheme engineered by Mr. Gdak and Trigger. Clearflow sought the appointment of
a receiver over the assets, property, and undertakings of Trigger, En Cadre,
and the Gdaks real property, as well a Mareva injunction restraining the Gdaks
from disposing of their property. The Mareva injunction was granted and Grant
Thornton Ltd. was appointed as receiver in October 2020. While Mr. Gdak did not
dispute the fraud claims, Ms. Gdak denies knowledge or participation in the
scheme.
[8]
Within the context of its application, Clearflow
brought a motion to enforce the Guarantee and sought a finding of liability
against both Mr. and Ms. Gdak. Mr. Gdak did not dispute liability pursuant to the
Guarantee; he did not file any materials on the motion. Ms. Gdak vigorously
resists enforcement.
[9]
The Guarantee in question is a single-page
document. It was signed by Mr. Gdak as President of Trigger; Ms. Gdak signed
as V.P. Under the heading THE NATURE OF YOUR LIABILITY, the following
condition is found:
Your liability under the Guarantee is
CONTINUING, absolute and unconditional. It will not be limited, reduced, or
otherwise affected by any one or more of the following events:
·
any change in the terms or amount or existence
of the Obligations.
·
any event whatsoever that might be a defence
available to the Customer for its obligation or a defence to you under this Guarantee,
all of which are hereby waived.
[10]
Ms. Gdak does not dispute signing the guarantee.
Nor does she allege duress. Moreover, a lawyer who represented Trigger at the
time, Brian Kelly, witnessed Ms. Gdaks signature on the Guarantee.
The Motion Judges Decision
[11]
Ms. Gdak resisted the enforcement of the Guarantee
on a number of bases. As the motion judge said in para. 6 of her reasons:
Ms. Gdak denies liability on her Guarantee on
the basis that there was an undisclosed material change in the principal amount
of the indebtedness covered by the Guarantee, and because she did not have the
opportunity to obtain independent legal advice. Alternatively, she asserts that
the applicant, through its words and conduct, released her from her Guarantee.
[12]
In thorough reasons, the motion judge rejected
each of these submissions.
[13]
The motion judge held that Ms. Gdak was not
released from liability under the Guarantee as a result of a material change to
the contractual arrangements between Clearflow and Trigger (i.e., the increasing
extension of credit to Trigger, growing to $48M). She rejected Ms. Gdaks claim
that her liability was limited to $1.4M.
[14]
The motion judge recognized that a guarantor
will be released from liability where the creditor and the principal debtor
agree to a material change in the terms of the contract of debt without the
guarantors consent: see
Manulife Bank of Canada v. Conlin
, [1996] 3
S.C.R. 415. However, it is equally clear that it is open to parties to contract
out of this protection. The motion judge found that Ms. Gdak did just that she
contracted out of this protection. The one-page document states in capital letters
that her liability is CONTINUING and will not be limited, reduced, or
otherwise affected by any change in the terms or the amount of the debt. The
motion judge found that the advances were specifically contemplated and did not
result in a materially different risk than the one to which Ms. Gdak agreed.
[15]
The motion judge did not accept the submission
that the Guarantee must be read narrowly to protect Ms. Gdak because she was a
family member (the wife of Mr. Gdak) and because she was unsophisticated or
vulnerable. There was no evidence that she signed the Guarantee as a matter of
accommodation or as a favour for Mr. Gdak. The motion judge found that Ms. Gdak
signed in her capacity as an officer and shareholder of Trigger.
[16]
The only argument advanced by Ms. Gdak in
support of her claim of unsophistication was that she did not finish high
school. The motion judge held that, [l]ack of a high school diploma, in my
view, does not equate to a lack of sophistication. Nor does it
indicate a lack
of intelligence or an inability to read and comprehend a one-page guarantee.
The motion judge further found that Ms. Gdak was significantly involved in
running the business.
[17]
The motion judge found that, even if she had
found that the Guarantee should be interpreted narrowly, this would not assist
Ms. Gdak. She found that the definition of the word Obligations in the
Guarantee ought not to be limited in the manner submitted by Ms. Gdak. It was
clear that she guaranteed debts arising from all three credit facilities, and
in particular, the factoring of accounts receivable (the credit facility that
generated the vast majority of the outstanding debt to Clearflow).
[18]
The motion judge rejected Ms. Gdaks claim that
the Guarantee was unenforceable because she did not receive independent legal
advice. The motion judge observed that the Guarantee was signed in the presence
of (indeed, witnessed by) Triggers lawyer, and Ms. Gdak was a director of
Trigger. Moreover, the motion judge found that there was no evidence of undue
influence, unconscionability, fraud, or misrepresentation. Again, this aspect
of Ms. Gdaks position amounted to a claim of a lack of sophistication, already
rejected by the motion judge. She rejected Ms. Gdaks claim that she did not
know that she was a director of Trigger. The motion judge engaged in a detailed
review of Ms. Gdaks day-to-day involvement in the business in reaching this
conclusion.
[19]
Lastly, the motion judge did not accept Ms.
Gdaks submission that Clearflow released her from her Guarantee through its
words and conduct and was thereby estopped from asserting that the negotiations
were never consummated. The motion judge found that the Guarantee provides that
it shall be binding unless a release of the guarantor is expressly made in writing
by Clearflow and authorized by its Board of Directors. It was not. The
negotiated release was conditional on Trigger providing the requested financial
statements. They were not provided in an acceptable form; moreover, the field
audit revealed alleged fraud. The motion judge found that Ms. Gdak was not
released.
Discussion
[20]
On appeal, Ms. Gdak repeats the same arguments
that were made before the motion judge in the hope of a different result.
However, she has failed to identify an error of law or principle, nor any
palpable and overriding error of fact.
The Standard of Review
[21]
The appellant insists that the Guarantee is a
standard form contract that must be interpreted on a standard of correctness:
see
Ledcor Construction Ltd. v. Northbridge Indemnity Insurance Co.
,
2016 SCC 37, [2016] 2 S.C.R. 23.
[22]
The respondent disputes this characterization,
submitting that, in order for the correctness standard to apply, the following
three requirements must be met: (i) the appeal must involve the interpretation
of a standard form contract; (ii) the interpretation at issue is of
precedential value; and (iii) there is no meaningful factual matrix that would
assist in the interpretation of the contract: see
Ledcor
, at para. 24.
[23]
We agree with the respondent that elements (ii)
and (iii) are not satisfied in this case. The motion judges interpretation of
the Guarantee will have no precedential value, mainly because the factual
matrix between the parties was critical to the motion judges interpretation of
the Guarantee. Consequently, the appellant cannot justify the application of the
exception to the Supreme Courts holding in
Sattva Capital Corp. v. Creston
Molly Corp.
, 2014 SCC 53, [2014] 2 S.C.R. 633, that contractual
interpretation is a question of mixed fact and law and subject to deferential
review on appeal. Even if it could be said that the correctness standard is
applicable, we see no error in the motion judges analysis.
No Independent Legal Advice
[24]
The appellant submits that the motion judge
erred by casting the onus of proof on her to establish that she did not receive
independent legal advice. The appellant submits that she was put in the
impossible position of having to prove a negative. We do not accept this
submission. The appellant sought to resist the enforcement of the Guarantee
based on a number of putative defences, one being her failure to receive
independent legal advice. Clearly, she carried the onus on this issue.
[25]
In any event, the motion judge found that
independent legal advice was not required in the circumstances. She found that
Ms. Gdak was an officer and director of Trigger and that she signed the
Guarantee in that capacity. Ms. Gdak had the opportunity to consult with a
lawyer, Mr. Kelly, who witnessed the signatures of both Mr. and Ms. Gdak. She
could have asked him for advice about the Guarantee.
Lack of Sophistication and Unconscionability
[26]
The appellant submits that the motion judge
erred in failing to find that the appellant lacked sophistication and that this
resulted in a serious inequality of bargaining power in relation to Clearflow.
In making this submission, counsel placed great emphasis on the fact that Ms.
Gdak did not complete high school.
[27]
We do not accept this submission. We agree with
the motion judge that a failure to complete high school does not equate with a
lack of sophistication. In any event, the motion judge took into account a
number of circumstances in rejecting the submission that Ms. Gdak lacked
sophistication, including evidence that demonstrated the extensive and
important roles she played in the day-to-day operation of the business. Although
Martin Rees (the partner of Clearflow with whom the Gdaks were dealing) may
have had considerable experience in commercial transactions, this did not
render Ms. Gdak unsophisticated. Moreover, we see no basis to disturb the
motion judges conclusion that Ms. Gdak had failed to establish
unconscionability or undue influence.
Inscrutability of the Document
[28]
The appellant submits that the motion judge paid
no attention to the inscrutability of the Guarantee. In other words, she
submits that the print on the document was too small.
[29]
In our view, this is not a legitimate basis to
render the document unenforceable. The document is a single page in length.
Although the print is small, it is readable. This is self-evident. There was no
expert evidence adduced on the application on this issue. In the absence of evidence
of improper tactics on the part of Clearflow, and there is none, the size of
the print of the document is not a basis for refusing to enforce the Guarantee.
Error as to the Appellants Role in the
Company
[30]
The appellant submits that the motion judge
erred in making the following statement, at para. 61: [a]s a director, Ms.
Gdak would have been required to sign off on the financial statements for these
companies. The annual financial statements would have reflected the
indebtedness to the applicant, which would have been easy for her to track year
over year. As the appellant points out, s. 159(1) of the
Ontario Business
Corporations Act
, R.S.O. 1990, c. B.16 (the
OBCA
) requires that
the financial statements of an Ontario company be approved by
the board of
directors
and the approval shall be evidenced by the signature at the foot
of the balance sheet of
any director authorized to sign
(emphasis added).
[31]
Mr. and Ms. Gdak were the sole directors of the
company. Whether or not Ms. Gdak provided the signature evidencing the approval
of the board, she was obliged by the
OBCA
to exercise the care,
diligence and skill that a reasonably prudent person would exercise in
comparable circumstances (s. 134(1)) and she was required to comply with all
provisions of that act (s. 134(2)).
[32]
In our view, the motion judge made no error in
concluding that Ms. Gdak had legal obligations as one of two directors of Trigger.
This was merely one factor that informed the motion judges conclusion that she
was aware of Triggers ballooning indebtedness to Clearflow.
Insufficient Reasons
[33]
The appellant submits that the reasons of the
motion judge are insufficient in that they fail to explain why she preferred
the evidence of Clearflow over that of Ms. Gdak. We disagree.
[34]
The motion judge provided comprehensive reasons
that are more than sufficient to permit appellate review. She evaluated Ms.
Gdaks evidence against the whole of the evidence. The motion judge found her
evidence lacking on many points, either because it was contradicted by other
evidence, or because it was simply not credible. The appellants complaint is
more in the nature of a disagreement with the motion judges credibility
assessments, rather than the manner in which she explained the conclusions that
she reached.
Clearflows Breach of the Agreement
[35]
The appellant submits that the motion judge
erred in how she addressed the argument that the Guarantee was unenforceable
against her because Clearflow breached the agreement. Essentially, the
submission is that Clearflow breached the agreement by extending financing
facilities in excess of the original projected amounts of $1.4M (i.e., giving Trigger
more money than they originally requested). We do not accept this submission.
[36]
As noted in para. 14 above, the motion judge
found that Ms. Gdak had contracted out of any protection to which she may have
been entitled at common law. By its very terms, the Guarantee was a continuing
guarantee for all obligations and indebtedness in favour of Clearflow. The
terms and conditions of the credit facilities extended to Trigger never changed
in a way that was not contemplated by the Guarantee. The motion judge also
found that Ms. Gdak knew or ought to have known that her liability had
increased over time.
Contra Proferentem and the Ejusdem Generis
Rule
[37]
Lastly, the appellant submits that the terms of the
Guarantee should be construed against the drafter of the document (i.e., Clearflow).
However, the
contra proferentem
rule is only applied in the face of an
ambiguity in the impugned contract:
Manulife Bank of Canada v. Conlin
,
[1996] 3 S.C.R. 415. As Cory J. held at p. 425, if there is any ambiguity in
the terms used in the guarantee, the words of the documents should be construed
against the party which drew it. We agree with trial judges refusal to apply
the
contra proferentem
rule. The appellant is unable to
identify any ambiguity in the Guarantee.
[38]
The appellant submits that she should be
released from her liability by virtue of the
ejusdem generis
principle. She submits that the motion judge ought to have applied this
principle when interpreting the term Obligations in the Guarantee. The term
is described as all present and future lease payments and obligations,
conditional sale installments and obligations, and any other debts and
liabilities. The appellant contends that the debts arising from the credit
facilities extended to Trigger, especially the factoring of accounts
receivable, are of a different nature than the specific Obligations described
in the Guarantee. As the reasoning goes, she should not be liable under the
Guarantee for these debts.
[39]
We do not accept this submission. The factoring
of accounts receivable was at the core of the financing relationship between Clearflow
and Trigger. It accounts for the lions share of Triggers indebtedness to
Clearflow, of which all parties, including the appellant, were well aware. We
adopt the following passage from paras. 63-64 of the motion judges reasons:
Accordingly, I find that a narrow
interpretation of the terms of the Guarantee is not warranted in this case. Had
I decided this point differently, I would nonetheless have rejected Ms. Gdaks
interpretation of the definition of Obligations in the Guarantee.
Obligations is defined to include all present, and future lease payments and
obligations, conditional sale instalments and obligations, and any other debts
and liabilities. Ms. Gdak submits that the
ejusdem generis
interpretation
maxim ought to apply such that any other debts and liabilities must be read
narrowly to include only debts of the same class or kind, being debts of a
similar nature to lease payments and conditional sale instalments, and that the
applicant has led no evidence of indebtedness that falls into that class.
I reject this highly technical interpretation.
I agree with the applicant that the phrase other debts and liabilities covers
each of the credit facilities that the applicant offered and provided to
Trigger. It would have been obvious to the parties entering into the financing
arrangements that the Guarantees were in respect of the funds being advanced in
accordance with the April 23, 2015 funding proposal. That proposal specifically
refers to the credit being advanced and the Guarantees of each of En Cadre, Mr.
Gdak and Ms. Gdak. Triggers credit facilities did not include lease payments
or conditional sale instalments. It is therefore apparent that the Guarantees
were intended to cover other debts and liabilities, such as those described in
the April 23, 2015 funding proposal and advanced by the applicant. This is the
only logical interpretation of the Guarantee considering the factual matrix at
the time the credit facility documentation, including the Guarantees, was
executed.
Disposition
[40]
The appeal is dismissed. As agreed by the
parties, the respondent is entitled to its costs on a partial indemnity basis
in the amount of $16,250, inclusive of taxes and disbursements.
Gary Trotter J.A.
S. Coroza J.A.
L. Favreau J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v. Farah, 2022 ONCA 243
DATE: 20220324
DOCKET: C64140
Miller, Zarnett and Coroza JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Ahmed Farah
Appellant
Breana Vandebeek, for the appellant
Kevin Rawluk, for the respondent
Heard: January 6, 2022 by video conference
On appeal from the convictions entered
on April 30, 2016, and the sentence imposed on August 5, 2016, by Justice Kenneth
L. Campbell of the Superior Court of Justice, sitting with a jury.
B.W. Miller J.A.:
[1]
A wiretap investigation led police investigators
to the conclusion that someone using the alias Hurdaye was engaged in
firearms trafficking for the benefit of the Dixon City Bloods street gang. Circumstantial
evidence pointed them to the appellant. Following a trial, a jury concluded
that the Crown proved beyond a reasonable doubt that the appellant was the
person overheard in the intercepted communications and known as Hurdaye. The
appellant was convicted of multiple firearms offences, including trafficking
firearms for the benefit of a criminal organization. He received a custodial sentence
of 12 years.
[2]
At trial, the main issue was identification. On
appeal, he made two arguments: (1) that the trial judge erred in admitting
Leaney
identification evidence provided by police officers relating to photos on the
appellants phone; and (2) that the jury returned an unreasonable verdict. The
appellant abandoned a third ground that the trial judge erred in failing to
instruct the jury with respect to the appellants exculpatory post-offence
conduct at the outset of the oral hearing. With respect to sentence, the
appellant argues the trial judge erred by failing to give credit for harsh
remand conditions.
[3]
For the reasons that follow, I would dismiss the
appeals against conviction and sentence.
Background
[4]
The Crowns case rested on six links between the
appellant and the person known as Hurdaye:
1.
Two text messages were sent from the
appellants cell phone in which the sender identified himself as Hurdaye;
2.
In one of those text messages, the sender who
identified as Hurdaye revealed his birthday. The appellants birthday is the
same day;
3.
In an intercepted phone call, Hurdaye described
how he escaped two police officers during a chase on foot. Two police officers
testified at trial that the appellant who they identified visually escaped
from them after a chase through the parking lot of the appellants building on
April 6, 2013;
4.
One of the officers who chased the appellant noted
the appellants droopy eyelids, which gave him a sleepy appearance. Hurdai
means sleepy in Somali, suggesting the inference that Hurdaye was so-called
because of droopy eyelids;
5.
A day after the police chase in the parking
lot, a police wiretap of Hurdaye recorded Hurdaye giving a woman named Mengistu
an account of how he had escaped on foot from police. The appellant had a
connection to a woman named Mengistu the day of the police chase, the police had
observed the appellant sitting in a car registered to Mengistu;
6.
Photographs admitted into evidence at trial included
images of individuals said to be associates of Hurdaye, together with someone
the jury was invited to conclude was the appellant. Six of these images were
found on the appellants phone.
[5]
The defence opposed the Crowns application to allow
Det. Cst. Hockaday to testify as to the identity of the men in the photographs.
The bases of the objection were threefold: (1) he did not know the men to be
identified sufficiently well to identify them; (2) the identification would be
hearsay, since it depended on statements made by the men to Det. Cst. Hockaday about
their identities; and (3) the prejudicial effect of the identification
evidence would outweigh its probative value.
[6]
Following a
voir dire
, the trial judge granted
the application and permitted the testimony. The trial judge reasoned that the police
officer had met most of the men in the photographs multiple times and was, per
R.
v. Leaney
, [1989] 2 S.C.R. 393, in a better position than the trier of
fact to identify them.
[7]
The trial judge rejected the argument that Det.
Cst. Hockadays testimony would constitute hearsay. He provided two reasons:
(1) self-identification is an exception to hearsay, and the police officer
would be relaying the mens own identification of themselves at trial; and (2) the
evidence could be used to establish that the men had made the assertions about
their identity, rather than for the truth of the statements. The trial judge
found the prejudice to be minimal, since the officer would not be identifying
the accused, only third parties, and defence counsel would have the opportunity
to cross-examine him.
Issues
[8]
The appellant raised the following issues on
appeal:
1.
Did the trial judge err by admitting the
identification evidence from Det. Cst. Hockaday?
2.
Did the jury return an unreasonable verdict?
3.
Did the trial judge err by not providing the appellant
with 1.5 to 1 credit for each day spent in pre-trial incarceration?
Analysis
(1)
The identification evidence
[9]
As explained below, I am not persuaded that the
trial judge erred in admitting the identification evidence.
[10]
The appellant advances three arguments: first,
that the trial judge erred in concluding that the identification evidence was
not, at least in part, hearsay; second, that the trial judge erred in not finding
that the identification evidence was inadmissible because Det. Cst. Hockaday was
not sufficiently familiar with the photographed individuals to make a reliable
identification; and third, the trial judge erred in finding that the probative
value of the evidence outweighed its prejudicial effect.
(a)
Was the evidence admissible for a non-hearsay
purpose?
[11]
As discussed below, the trial judge concluded
that the identification evidence came within a traditional exception to the
rule against the admission of hearsay and was admissible on that basis. But he
also determined that the evidence was admissible for a non-hearsay purpose,
as circumstantial evidence that supports the identification from the photos,
and so its admission did not depend on the hearsay analysis. The trial judge
reasoned that the officers evidence
that the photographed individuals had previously identified
themselves to him using particular names
was simply evidence that they had so identified themselves to the
officer, and this is how he knew them and was able to identify them in
photographs. The evidence need not be tendered for the truth of the statements,
as the cogency of the evidence would not depend on whether the individuals had given
false names to the officer.
[12]
The appellant argues that this conclusion was an
error because the identification evidence was nevertheless partly hearsay a
mix between hearsay and opinion. Reporting statements made by others is
hearsay, and the officer made use of these statements to support his
identification of the individuals in the photos.
[13]
I do not agree that the trial judge made any
error. The trial judge well understood and well articulated the distinction
between the use of the utterances as circumstantial evidence, and the use of
the utterances for the truth of their content.
(b)
Was the evidence admissible as hearsay?
[14]
As this court held in
R. v. Berhe
, 2012
ONCA 716, 113 O.R. (3d) 137, and
R. v. Hudson
, 2020 ONCA 507, 391
C.C.C. (3d) 208, at paras. 30-32, with respect to the threshold requirement for
admissibility of identification evidence, the focus is on the level of
familiarity the witness has with the person to be identified, to be assessed by
considering the nature of the relationship, which includes the frequency and
intensity of past interactions. The case law flowing from
R. v. Leaney
has been developed in the context of identification of an accused, rather than
third parties. In the appellants case, Det. Cst. Hockaday identified third
parties who were not called as witnesses, and so were not available to the
trier of fact to make its own determination of whether the individuals bore a
resemblance to the images in the photos.
[15]
On appeal, as at first instance, the appellant chronicles
all of the interactions in evidence between the police witness and the
individuals in question and invites the court to conclude that because many of
these interactions were brief and innocuous or otherwise dated and
unmemorable, Det. Cst. Hockaday was not sufficiently familiar with the
individuals to make a reliable identification.
[16]
This argument was before the trial judge, who
considered the evidence of the interactions, together with Det. Cst. Hockadays
role as an officer embedded in the community in which the individuals lived.
After reviewing the evidence at length in his ruling, the trial judge concluded
that the interactions were not transitory or brief, but were significant, memorable
investigative events.
[17]
The appellants argument on appeal is that the
trial judge erred in characterizing the encounters this way. Counsel invites
this court to make a wholesale review of the evidence and substitute our
conclusion about its significance for that of the trial judge. But absent some
palpable and overriding factual error, which the appellant has not identified,
the trial judges findings are entitled to deference and I would not disturb
them.
(c)
Does the prejudice outweigh the probative value?
[18]
The appellants third argument is that the trial
judge erred in concluding that the probative value of the identification evidence
exceeded the prejudice it caused to the appellant. The prejudicial effect of
the evidence, on the appellants submission, is that because all of Det. Cst.
Hockadays interactions with the individuals were in the context of policing, evidence
of these interactions would suggest to the jury that the appellant, by his
association with them, must have been involved in criminal activity himself, and
in particular, must have been participating in a criminal organization.
[19]
Again, there is no suggestion that the trial
judge made an error of law or misapprehended any of the evidence. The quarrel is
with the trial judges assessment of the relative degree of prejudice and how
it compared to probative value. Again, this is an area in which the trial
judges assessment is entitled to deference. It is telling that defence counsel
at trial did not seek any instruction to the jury as to the proper use of the
identification evidence to mitigate any perceived prejudice to the accused,
notwithstanding the trial judge inviting such a submission.
[20]
The evidence had probative value. It was one
piece of circumstantial evidence in the case against the appellant: wiretap
evidence supported the conclusion that Hurdaye had communications with certain
named individuals. Det. Cst. Hockadays testimony allowed for the
conclusion that the photos in evidence including photos found on the
appellants phone showed the appellant together with the individuals who were
intercepted communicating with Hurdaye. All of this evidence together supported
the conclusion that the appellant was the person known as Hurdaye.
(2)
Unreasonable verdict
[21]
The test for an unreasonable verdict, as posited
in s. 686(1)(a)(i) of the
Criminal Code
, is whether the verdict is one
that a properly instructed jury, acting judicially, could reasonably have rendered:
R. v. Chacon-Perez
, 2022 ONCA 3, at para. 74. In making the claim that
a jury rendered an unreasonable verdict, the appellant is not arguing that the
trial judge erred by giving faulty instructions or erred in evidentiary
rulings, or erred in any respect other than accepting the verdict.
[22]
The role of an appellate court, in assessing an
unreasonable verdict argument, is to review the entirety of the evidence using
its accumulated training and experience to determine not whether the appellate
court would have convicted the appellant, but whether a reasonable
trier-of-fact properly instructed and acting judicially could have convicted:
R.
v. Mars
(2006), 206 O.A.C. 387 (C.A.), at para. 3.
[23]
Where the Crowns case was, as in this case,
circumstantial, the question to be answered is could a trier-of-fact acting
judicially be satisfied that the accuseds guilt was the only reasonable
conclusion available on the totality of the evidence?:
Mars
, at para.
4.
[24]
The appellants argument on appeal is that there
was insufficient evidence to prove identity beyond a reasonable doubt. The cornerstone
of the Crowns case was the substantial wiretap evidence, which did not refer
to the appellant by name. The only evidence connecting the appellant to the
wiretaps apart from the evidence supporting the inference that he was Hurdaye
was that he was in possession of a phone that was used to make these
communications. Counsel for the appellant notes that there was an absence of any
evidence that the appellant used the name Hurdaye, or that his voice matched
the voice on the wiretaps. Further, there was no evidence that the appellant
was seen in possession of a firearm, and the identity evidence was insufficient.
[25]
The appellants argument is undercut by the position
taken by defence counsel at trial. The appellants co-accused, Khattak, brought
a directed verdict application. In dismissing that application, the trial judge
noted, with respect to the appellant, Defence counsel for the co-accused,
Ahmed Farah, did not bring a similar motion, effectively conceding that there
was sufficient evidence in relation to each count of the indictment to be
considered by the jury.
[26]
In any event, the body of circumstantial evidence
adduced at trial was sufficient to support the jurys identification of the
appellant as Hurdaye. That evidence included the following:
·
Two text messages were sent from the appellants
phone identifying the sender as Hurdaye.
·
The appellant was born on May 7, 1983. In several
telephone intercepts, Hurdaye references an upcoming birthday on which he will
turn 30, including a call on May 4, 2013, in which he says his birthday is
this Tuesday, which would be May 7.
·
Hurdaye was intercepted on April 6, 2013,
talking about attending a gun deal and bringing the things. On April 6, 2013,
two police officers witnessed a gun deal, and chased one of the participants
into the parking garage for residences at 320, 330, and 340 Dixon Road. Both
officers identified the appellant as the man they chased.
·
Later that month, Hurdaye was intercepted
recounting how he was chased by two police officers running with a big 4-4
all the way down to three forty and that he lost them
when I got to the
basement in three-twenty.
·
The appellant was described as having droopy
eyes that make him look sleepy. Hurdai is the Somali word for sleepy.
[27]
This
circumstantial evidence, taken together, made a strong case that the appellant
was the person who identified himself on the intercepted calls, and was
identified by others, as Hurdaye. The jury was entitled to conclude that this
was the only reasonable inference it could draw.
(3)
The sentence appeal
[28]
The appellant was sentenced to 12 years imprisonment,
and given enhanced credit at a rate of 1.25 to 1 for time spent in pre-trial
custody. The defence had sought credit on the basis of 1.5 to 1, while the
Crown had argued that due to the appellants misconduct in jail prior to
sentence, he was not entitled to any enhanced credit. The trial judge referred
to the appellants serious institutional misconduct, which included two serious
assaults on other inmates, one which consisted of a severe and extended physical
beating that required the intervention of a dozen correctional officers, and another
in which the appellant slashed a fellow inmate with an improvised knife,
requiring hospitalization. The trial judge nevertheless provided some credit to
ameliorate the harsh lockdown conditions the appellant had experienced prior to
sentence. This was a reasoned exercise of the trial judges discretion, and I
would not interfere with it.
[29]
In any event, this aspect of the appeal is
largely, if not entirely, moot as a result of the appellant having been released
on parole more than 6 months ago, and now being past his statutory release
date.
[30]
I would dismiss the appeal against sentence.
DISPOSITION
[31]
For the reasons given above, I would dismiss the
appeal against conviction, grant leave to appeal sentence, and dismiss the
appeal against sentence.
Released: B.W.M. March 24, 2022
B.W.
Miller J.A.
I
agree. B. Zarnett J.A.
I
agree. Coroza J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Aragon, 2022 ONCA 244
DATE: 20220324
DOCKET: C66426
Strathy C.J.O., Hourigan and
Paciocco JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Pierre Aragon
Appellant
Dirk Derstine and Jennifer Penman, for
the appellant
Deborah Krick, for the respondent
Heard: November 22, 2021
On appeal from the conviction entered on
April 22, 2014 by Justice Alfred Stong of the Superior Court of Justice, sitting
with a jury, and the sentence imposed on September 8, 2017 by Justice Hugh K. OConnell
of the Superior Court of Justice.
Paciocco J.A.:
OVERVIEW
[1]
In July of 2012, Fernando Fernandes, known to be
associated with the Loners Motorcycle Club, was badly injured after being
beaten near the intersection of Park and Perry Streets in Peterborough. One or
more of the participants in the attack used baseball bats. After a jury trial, Pierre
Aragon, believed to be a member of a rival gang, was convicted in connection
with the beating of aggravated assault, assault with a weapon, possessing a
weapon for the purpose of committing an offence, and uttering a threat to cause
bodily harm. He was sentenced as a dangerous offender to an indeterminate
sentence.
[2]
Mr. Aragon appeals both his convictions and his
sentence. For the reasons that follow, I would deny his conviction appeal. Although
there were issues with the evidentiary foundation for the extrinsic
discreditable conduct evidence, the extrinsic discreditable conduct evidence
that was presented was properly admitted.
[3]
I would allow Mr. Aragons sentence appeal. I am
persuaded that the sentencing judge erred in his identification of aggravating
sentencing factors and failed to issue sufficient reasons for a number of the decisions
he made during the sentencing hearing.
I.
THE CONVICTION APPEAL
MATERIAL FACTS
[4]
During the trial, it was not disputed that Mr.
Fernandes had been beaten including with at least one baseball bat, that the
assault was aggravated, and that one of the assailants had threatened him with
bodily harm. The live issues during Mr. Aragons trial were whether Mr. Aragon
played a role in the attack and uttered a threat to cause Mr. Fernandes bodily
harm.
[5]
Two baseball bats were recovered near the scene of the
beating. DNA of at least three persons was located on the handle of one of those
baseball bats, but this DNA was unsuitable for analysis. However, there was a
high probability that DNA detected in blood found on the barrel of that same
bat was from both Mr. Aragon and Mr. Fernandes. Mr. Aragon could not be
excluded as being the major contributor.
[6]
The attack and the threat were audio-recorded by the
911 emergency service through a phone line that was connected to a phone
bearing an identified 647 area code number. Although not everything that was
said during the attack is audible on the audio-recording, a male voice can be
heard saying, Here, give me that bat [
] No, I wont, Im breaking his knees.
Shortly after, a male voice can be heard to say, You had the only chance to
come away. Youre so stupid. What, are you a Loner? [
] You want to be a Loner?
Thats for the Loners. Fernando you had a chance to come with us. The audio-recording
also picked up a female voice saying, Baby enough and a male voice responding,
Get the fuck outta here, bitch. When he was arrested approximately two weeks
after the assault, Mr. Aragon was found in possession of a phone bearing the
same 647 number. The Crown theory at trial was that while Mr. Aragon
participated in the beating, he had the phone with him and accidentally pocket
dialed 911.
[7]
Mr. Fernandes did not offer evidence that could assist
in identifying his assailant. He had been intoxicated at the time of the
beating, and he suffered a brain injury in the altercation.
[8]
Nor could the two civilian witnesses who happened upon
the scene identify the assailant or assailants. A cab driver witnessed two men
approach her taxi at the intersection of Park and Perry Streets. They did not
get in but began to yell at two men in a nearby backyard. She then saw two men
jump over the backyard fence, one carrying a baseball bat. A female yelled at
her to leave and she did so.
[9]
The other civilian witness saw two men walking north,
with one carrying a baseball bat. She called 911 and offered a limited
description of the men and reported a group of people outside an identified
address on Park Street which was a known motorcycle gang clubhouse. One of the
men she saw walking was wearing a dark shirt and was solidly built and of
average height.
[10]
A police officer, PC Cox, also came upon the scene of the attack,
apparently as it was ending. While passing the identified Perry Street address,
he saw a male throw a baseball bat over a fence and run into a backyard. This
Perry Street address was known by PC Cox to be the residence of Bob Pammett, a
former member of the Loners Motorcycle Club. PC Cox stopped and seized the
baseball bat and then walked to the intersection of Park and Perry Streets and
saw Mr. Fernandes lying on the roadway. He saw two men standing near Mr. Fernandes.
Mr. Shane Gardiner (a.k.a. Shane Minty) was standing near Mr. Fernandes head.
Mr. Gardiner ran but was apprehended shortly after. The other man PC Cox
observed was standing near Mr. Fernandes feet. He was wearing dark clothes and
was holding a baseball bat. This man dropped the bat and ran, making good his
escape.
[11]
The Crown theory, supported by the 911 recording, was that Mr. Fernandes
was beaten because he was a member of the Loners Motorcycle Club. The theory
was that he was beaten by former members of the Peterborough Loners chapter who
were in bad standing with the Loners because they had broken away from that
chapter. The Crown contended that Mr. Pammett was the leader of the break-away
group, and that Mr. Aragon was one of the former Loners who was in bad standing.
The Crown position was that Mr. Aragons association with this group gave Mr.
Aragon the motive to participate in the attack.
[12]
In order to establish this theory, the Crown presented extrinsic
evidence about the culture of motorcycle gangs, including the Loners; the
history of the Loners including the break-up of the Peterborough Loners
chapter; and Mr. Aragons links to motorcycle gangs, including the Loners and
the break-away group (the extrinsic discreditable conduct evidence).
[13]
Prior to the assault, the police had installed a secret motion
activated security camera trained on the outside gate of the Perry Street
address. Video captured around the time of the assault does not show Mr.
Fernandes being beaten but does capture some people in front of the Perry Street
address who appear to be holding baseball bats.
[14]
Two police officers, DC Lemay and DC Noonan, offered testimony
identifying Mr. Aragon as one of the men who was seen on the video holding a
baseball bat, wearing a dark muscle shirt (the recognition evidence).
[15]
Mr. Aragon was convicted of the offences identified above in para. 1
of this judgment, based primarily on the evidence I have just described.
ISSUES
[16]
Mr. Aragon raised three grounds of appeal relating to his conviction,
two related to the extrinsic discreditable conduct evidence and one related to
the recognition evidence. Those issues can be stated as follows:
A.
Did the trial judge err in admitting the
recognition evidence?
B.
Did the trial judge err when admitting the extrinsic
discreditable conduct evidence?
C.
Did the trial judge err by failing to instruct
the jury on the prohibited and permissible uses of the extrinsic discreditable conduct
evidence?
[17]
The Crown disputes these alleged errors and
contends that even if one or more of them occurred, the curative proviso should
be applied because the case against Mr. Aragon is overwhelming. Since I would
deny each of the grounds of appeal that Mr. Aragon has raised, it is
unnecessary to address the curative proviso.
ANALYSIS
A.
Did the trial judge err in admitting the recognition evidence?
[18]
At trial, both DC Lemay and DC Noonan identified the man who was
seen in the surveillance video holding a baseball bat and wearing a dark muscle
shirt as Mr. Aragon. Both officers purported to recognize him based on prior
observations they had made of him, including under surveillance. The trial
judge did not err in finding this testimony to be admissible recognition
evidence.
[19]
Recognition evidence is offered when a witness provides an opinion
as to the identity of an individual depicted in a video or photograph. It is a
form of non-expert opinion evidence. Its admission is tested by examining the threshold
reliability of the recognition, based primarily on the familiarity of the
recognition witness with the subject. There is also inquiry into the need to
have a witness offer their opinion that the subject is the person they claim:
R.
v. Hudson
, 2020 ONCA 507, 391 C.C.C. (3d) 208, at paras. 28-31. Recognition
evidence is therefore generally admitted, provided that the witness has a
prior acquaintance with the accused and is thus in a better position than the
trier of fact to identify the perpetrator:
R. v. Berhe
, 2012 ONCA
716, 292 C.C.C. (3d) 456, at para. 14, citing
R. v. Brown
(2006), 215
C.C.C. (3d) 330 (Ont. C.A.), at para. 39.
[20]
Mr. Aragon objected to the admission of the recognition evidence the
Crown was proposing, and an admissibility
voir dire
was held. Testimony
that the officers had provided at Mr. Aragons preliminary inquiry was
presented during the
voir dire
. The trial judge also viewed the
surveillance video.
[21]
During the preliminary inquiry, DC Lemay testified that he had
observed Mr. Aragon in the course of his police work, including
surveillance details, on at least 12 occasions between January 2012 and July
2012. On two of those occasions, Mr. Aragon had been at bike shows. On several
of those occasions, DC Lemay had seen Mr. Aragon walking up Park Street and at
the Perry Street address. And DC Lemay had dealt with Mr. Aragon on August 22,
2012, the day of his arrest on the charges before the court. On that occasion,
DC Lemay had attempted unsuccessfully to interview Mr. Aragon in police cells. DC
Lemay had also viewed photographs of Mr. Aragon on at least three prior
occasions.
[22]
During the course of
voir dire
ruling, the trial judge
accurately paraphrased the description of Mr. Aragon that DC Lemay had provided
at the preliminary inquiry, as a Hispanic male, stalky, muscular, usually seen
wearing muscle shirts walking like a body builder and with a distinctive
hairstyle. In his preliminary inquiry testimony, DC Lemay also said he was
familiar with Mr. Aragons mannerisms as well as his dark complexion and he said
that these details assisted in recognizing Mr. Aragon in the surveillance
video.
[23]
DC Noonan testified at the preliminary inquiry that he had known Mr.
Aragon since 2004 when, while sitting in a police vehicle, he witnessed Mr.
Aragon being arrested. After 2004 he had not actually had eyes on him until
January 2012, when he saw Mr. Aragon at the Peel bike show in Mississauga, and
then in March 2012 at the Toronto bike show. He had also viewed surveillance
photos, Ministry of Transportation photos, and mug shot photos of Mr. Aragon.
[24]
Based on the observations he had previously made of Mr. Aragon, DC
Noonan testified that he was familiar with Mr. Aragons very distinct
features; his posturing including the way he stands, walks and hunches his
shoulders; and his short dark hair cut. He said Mr. Aragon was not a tall man, standing
at five nine, five ten, but that he is a big guy, very stocky and in good
shape.
[25]
DC Noonan described the surveillance video as grainy and agreed
that the features of the man he identified as Mr. Aragon could not be seen on
the surveillance film. He testified that he made the identification based on a
culmination of Mr. Aragons very distinct features and very distinct
haircut, the demeanour and stance or posturing of the man he identified, and
everything that Ive dealt with. He referred, in this regard, to his
knowledge of the group associated with the Perry Street address, the fact that
the people involved were carrying baseball bats, and incidents that actually
led up to the event about which he had been debriefed including a robbery
the week before.
[26]
In his ruling the trial judge concluded that the video is fair and
accurate, that it is of sufficiently good quality, and that there was no
issue as to its continuity. He admitted the testimony of DC Lemay and DC
Noonan, saying that although he himself could not identify the individuals in
the video, who he had never seen before, the testimony of the officers would be
helpful to jurors. He said he was satisfied that the officers recognized Mr.
Aragon from their lengthy association in terms of observation of Mr. Aragon
over time. He concluded that their evidence would be definitely helpful to
the jury in terms of recognition of the characters in that segment of the video
leading up to the time immediately prior to the beating administered to Mr.
Fernandes.
[27]
I can find no error in the trial judges ruling. He appreciated the
relevant standard of admission as well as the submissions that had been made
before him. His decision was reasonable and open to him.
[28]
Nor did the trial judge fall into the trap of relying upon the testimony
of DC Noonan that his recognition was enhanced by the incidents that had
occurred, and the fact that the men he observed were carrying bats. The admissibility
question was whether DC Noonan recognized Mr. Aragon based on his familiarity
with Mr. Aragons appearance. Independent circumstantial evidence suggesting
that a recognition is accurate is not relevant to that inquiry.
Appropriately, the trial judge relied solely on DC Noonans prior observations
of Mr. Aragon in finding that he could offer helpful recognition evidence.
[29]
I would dismiss this ground of appeal.
B.
Did the trial judge err when admitting the extrinsic discreditable conduct
evidence?
The Contested Extrinsic Discreditable Conduct
Evidence
[30]
The Crown applied to admit extrinsic discreditable conduct evidence to
establish Mr. Aragons motive and
animus
against Mr. Fernandes and to
provide essential background narrative to the attack. Specifically, the Crown
theory was that the attack on Mr. Fernandes, a member of the Loners motorcycle
gang, was motivated by
animus
between the Loners and those, including
Mr. Aragon, who had recently left the Loners on bad terms (the break-away
group). According to the expert evidence of DC Noonan, within the outlaw motorcycle
gang culture, bad terms describes censure against a gang member who has
violated club rules. Mr. Aragon disputed the facts the Crown alleged and the
admissibility of this evidence.
[31]
Appropriately, an admissibility
voir dire
was conducted. Extrinsic
evidence linking an accused person to a criminal organization, such as an
outlaw motorcycle gang, including evidence about that organization itself, is
sufficiently discreditable to create prejudice against an accused. The evidence
is therefore
prima facie
inadmissible:
R. v. B.(L
.)
(1997),
116 C.C.C. (3d) 481 (Ont. C.A.), at para. 20;
R. v. M.R.S.
, 2020 ONCA
667, 396 C.C.C. (3d) 172, at paras. 62, 71-72;
R. v. Tsigirlash
, 2019
ONCA 650, at paras. 23, 25;
R. v. Cook
, 2020 ONCA 731, 394 C.C.C. (3d)
467, at paras. 40-41;
R. v. Phan
, 2020 ONCA 298, 387 C.C.C. (3d) 383, at
para. 90.
[32]
Therefore, [t]he onus is on the prosecution to satisfy the trial
judge on a balance of probabilities that in the context of the particular case
the probative value of the evidence in relation to a particular issue outweighs
its potential prejudice and thereby justifies its reception:
R. v. Handy
,
2002 SCC 56, [2002] 2 S.C.R. 908, at para. 55.
[33]
The admissibility
voir dire
was not uneventful. In its
initial application materials and in its oral submissions, the Crown failed,
contrary to this courts decision in
Tsigirlash
, at paras. 28, 32-33,
to identify the extrinsic discreditable conduct evidence that it was seeking to
have admitted. Instead, the Crown simply described the ultimate conclusions it
wanted drawn from that evidence relating to Mr. Aragons membership in the
break-away group, and to the
animus
of the break-away group against
the Loners.
[34]
When Mr. Aragons counsel identified this shortcoming in the Crowns
application, the trial judge invited the Crown to remedy the deficiency. The
Crown agreed to do so by providing a written description of the evidence it sought
to have admitted. The next day the Crown provided a document entitled summary
of evidence prior discreditable conduct application (Summary). This
document identified, in bullet-points, the anticipated evidence that six
individuals would give. The Summary was presented much like six serial will
say statements. Although most of the facts described in the bullet points were
supported by preliminary inquiry transcripts,
[1]
no supporting material was provided with respect to the proposed evidence of two
of the witnesses, Mr. Pammett and Mr. Gord King. The testimony ascribed to these
men was presented as bald factual assertions.
[35]
Ultimately, the trial judge ruled that the extrinsic discreditable
conduct evidence identified in the Summary was admissible. Mr. Aragon
identifies three alleged errors related to that ruling. First, Mr. Aragon
contends that the trial judge erred by ruling that the extrinsic discreditable conduct
evidence was admissible without a sufficient evidentiary foundation. Second,
Mr. Aragon submits that the trial judge erred in concluding that the probative
value of the extrinsic discreditable conduct evidence outweighed the risk of
prejudice it presented. Third, Mr. Aragon argues that the trial judge erred in
admitting extrinsic discreditable conduct evidence that fell outside the scope
of his admissibility ruling. Although I do agree that there were issues with
the adequacy of the evidentiary basis relied upon by the trial judge, for the
following reasons I would reject each of these grounds of appeal.
The Adequacy of the Evidentiary Basis
[36]
Three of the issues raised by Mr. Aragon relating to the evidentiary
basis for the ruling warrant attention: (1) reliance by the trial judge on the
bullet points ascribed to Mr. Pammett and Mr. King; (2) reliance by the Crown
on hearsay information; and (3) the trial judges alleged misapprehension of
evidence.
[2]
(1)
The Relevant Legal Principles
[37]
As a general rule, trial judges have discretion to determine the
form that an admissibility
voir dire
will take, based on the issues
involved and the nature of the case being tried:
R. v. Evans
, 2019
ONCA 715, 377 C.C.C. (3d) 231, at para. 148;
R. v. Dietrich
(1970), 1
C.C.C. (2d) 49 (Ont. C.A.), at para. 45, leave to appeal refused, [1970] S.C.R.
xi. In many cases it is therefore not only common, but preferable in the
interests of efficiency, to conduct admissibility
voir dires
based on
information that would not be admissible during the trial proper:
Evans
,
at paras. 116, 147-48 (statements of counsel and filed documents);
Dietrich
,
at paras. 43-50 (endorsing the use of summaries of the evidence);
R. v.
Snow
(2004), 190 C.C.C. (3d) 317 (Ont. C.A.), at paras. 60-61, (preliminary
inquiry records);
R. v. G.N.D.
(1993), 81 C.C.C. (3d) 65 (Ont. C.A.),
at paras. 30, 38 (summary of proposed hearsay statement and cross-examination
of witnesses to the statement).
[38]
This is not to say there are never cases where admissible evidence will
be required to establish contested facts in an admissibility
voir dire
.
There are passages, for example, supporting the proposition that oral evidence
must be presented in contested voluntariness
voir dires
(
Dietrich
,
at para. 44;
Snow
, at para. 61) and in contested
Charter
admissibility
voir dires
(
R. v. Tomlinson,
2009 BCCA 196, 190 C.R.R. (2d)
28, at para. 51). Whether or not oral testimony is always required in
voluntariness and
Charter
admissibility
voir dires
where the
underlying facts are contested, this is not the case in extrinsic discreditable
conduct admissibility
voir dires.
In
Snow
, a ground of appeal
based on the refusal of the trial judge to require oral evidence in an
extrinsic discreditable conduct admissibility
voir dire
was denied by
this court as being without merit.
[39]
I am nonetheless persuaded that in exercising discretion relating to
the manner in which any admissibility
voir dire
is conducted, trial
judges should take a functional approach to ensure that the record before them
enables factual determinations required to determine admissibility to be fairly
made, and they should disregard contested information that has been received
that cannot fairly be assessed where it is important to do so. For example, in
Snow
the decision of the trial judge to resolve the admissibility of extrinsic
conduct evidence based on transcripts of related guilty pleas and preliminary
inquiry transcripts was supported by the fact that in that case, the admissibility
of the similar fact evidence did not require the testing of circumstances
surrounding the evidence, nor was there uncertainty about what the witnesses might
say:
Snow
, at para. 61.
[40]
No doubt because of the functional needs in an extrinsic
discreditable conduct evidence admissibility
voir dire
,
it is
typical that contested
evidence of other discreditable conduct is
introduced through the testimony of those who suffered it (if alive), observed
it, or, as admissible hearsay, by those to whom the victim reported it:
R.
v. Stubbs
, 2013 ONCA 514, 300 C.C.C. (3d) 181, at para. 68. The formal
presentation of admissible evidence is optimal where material facts relating to
admissibility are contested because the strength of the evidence establishing that
the alleged discreditable conduct even occurred is an important consideration
in evaluating the probative value of the proposed extrinsic discreditable conduct
evidence:
R. v. Mahalingan
, 2008 SCC 63, [2008] 3 S.C.R. 316, at para.
163. If, on a threshold examination, the evidence alleging the extrinsic
discreditable conduct is of questionable credibility or reliability, the
probative value of the proposed discreditable conduct evidence will be
diminished:
Handy,
at paras. 133-36;
R. v. MacCormack
, 2009
ONCA 72, 241 C.C.C. (3d) 516, at para. 54. Indeed, unless the proposed
discreditable conduct evidence is reasonably capable of belief, it may be too
prejudicial to admit:
Handy
, at para. 134.
(2)
The Evidence of Mr. Pammett and Mr. King
[41]
The statements of fact ascribed to four of the six witnesses
featured in the Crown Summary were supported by preliminary inquiry transcripts.
However, there was no offer of proof and no indication of the Crowns
evidentiary foundation for the bald statements of fact it attributed to Mr.
Pammett and Mr. King. Indeed, neither man had even been interviewed by the
police about Mr. Aragon or the break-away group. Quite simply, although the
Crown no doubt believed that Mr. Pammett and Mr. King had knowledge of the
information it ascribed to them in the Summary, the bullet points can fairly be
described as a wish-list of the testimony the Crown hoped that these witnesses
would provide.
[42]
Yet the trial judge relied in his admissibility decision upon the
statements of fact the Crown attributed to Mr. Pammett and Mr. King. He alluded
to these statements in his ruling. Moreover, these statements provided the only
direct evidence on three keystone facts that supported the admissibility
decision, namely: (1) Mr. Aragon left the Loners with Mr. Pammett; (2) along
with Mr. Pammett, Mr. Aragon set up a new club at the Perry Street
address; and (3) there was animosity between the two groups. Although there was
independent circumstantial evidence to support each of these keystone facts,
the bald assertions ascribed by the Crown to Mr. Pammett and Mr. King provided
the most direct route to these conclusions available to the trial judge.
[43]
In my view, in the circumstances of this case the trial judge should
not have exercised his discretion to permit the filing of the will say
statements relating to Mr. Pammett and Mr. King, and he certainly should not
have relied on those statements in determining that the extrinsic discreditable
conduct evidence was admissible. First, the factual claims ascribed to Mr.
Pammett and Mr. King were contested, and there was no apparent way to test the
credibility and reliability of those statements so as to assess their probative
value, an important determination in the admissibility ruling. Second, it had
been understood between the parties that the Crown would provide a factual foundation
for its extrinsic discreditable conduct evidence application, given the
agreement that the Crown could rely upon preliminary inquiry transcripts. And
third, there was uncertainty about what these witnesses might say, given that
they had not even been interviewed.
[44]
This last point is particularly concerning. Obviously, if it were appropriate
for the Crown to rely during admissibility
voir dires
on an
unsupported statement of the evidence the Crown hopes to have on contested
points,
voir dires
would become
pro forma
proceedings instead
of suitably rigorous evaluations of the admissibility of often prejudicial
evidence.
[45]
I therefore agree with Mr. Aragon. The Crown should not have presented,
and the trial judge should not have relied upon the bald but contested assertions
ascribed to Mr. Pammett and Mr. King, given that the trial judge had not been provided
with a meaningful basis for determining whether this evidence was even
available to the Crown, or for evaluating its probative value, if it was
available.
(3)
The Hearsay Evidence
[46]
I agree with Mr. Aragon that some of the evidence offered by DC
Noonan and DC Lemay was based upon hearsay, without apparent indicia of
reliability.
[47]
Specifically, DC Noonan offered hearsay information from reading
reports and being privy to information from this investigation that Mr.
Pammett, who was in bad standing, left the Loners along with others, including
Mr. Aragon, because they were trying to establish another club. DC Noonan also
offered hearsay evidence based on a search warrant information he had read that
this had led to animosity between the Loners and Mr. Pammetts break-away
group.
[48]
DC Lemay also relied on out-of-court information the Loners
website for his testimony that Mr. Pammett had been kicked out of the
Loners. It was a hearsay use of that website for DC Lemay to rely upon it, as
he did, to conclude that Mr. Pammett had in fact been kicked out of the Loners.
[3]
[49]
Although Mr. Aragons counsel did not specifically identify all of the
hearsay evidence I have just described, he made submissions about the inappropriateness
of the Crown relying upon hearsay in support of its application. I offer no
comment on whether this evidence should have been put before or admitted by the
trial judge during the
voir dire
. My concern is that in the
admissibility ruling, the trial judge did not address the fact that this
information rested on hearsay, when that is a relevant and important
consideration in determining the probative value and hence admissibility of the
proposed, contested evidence.
(4)
Misapprehensions of Evidence
[50]
I also agree with Mr. Aragon that the trial judge misapprehended
evidence relevant to the admissibility of the extrinsic discreditable conduct
evidence.
[51]
Of most concern, the trial judge adopted the Crowns erroneous claim
made in its Summary that Mr. Fernandes testified at the preliminary inquiry that
Mr. Pammett was in bad standing with the Loners. In fact, in his preliminary
inquiry testimony, Mr. Fernandes did not even confirm that Mr. Pammett had been
a member of the Loners, instead saying that he did not know if this was the
case.
[52]
The trial judge also described DC Lemay as offering evidence that
Mr. Pammett started his own club
along with Mr. Aragon
. DC Lemay did
describe Mr. Pammett starting the club and he did offer evidence about Mr.
Aragons subsequent association with Mr. Pammett, but he did not testify that
Mr. Pammett started his own club along with Mr. Aragon.
[53]
Finally, in the bullet points the Crown ascribed to Mr. Pammett, it
is proposed that Mr. Pammett would say that he left the Loners because
he
was unhappy with them. The trial judge recounted Mr. Pammetts proposed
evidence as confirming that he left with Mr. Aragon because
they
were
unhappy with the Loners.
(5)
Conclusions on the Evidentiary Basis
[54]
There were therefore problems relating to the evidentiary basis for
the trial judges admissibility ruling. Those problems make it inappropriate to
defer to the trial judges decision. I would nonetheless deny this ground of appeal.
As I am about to explain, based on the
voir dire
evidence that was
appropriately before the trial judge, there was a clear foundation for the
admissibility of the extrinsic discreditable conduct evidence.
The Probative Value of the Evidence and the Risk
of Prejudice
[55]
The trial judge did not err in finding that the probative value of
the Crowns proposed extrinsic discreditable conduct evidence outweighed the
prejudice it would cause.
[56]
Although such evidence is presumptively inadmissible, extrinsic discreditable
conduct evidence became critically important to this case, given the content of
the 911 call: You had the only chance to come away. Youre so stupid. What,
are you a Loner? [
] You want to be a Loner? Thats for the Loners. Fernando
you had a chance to come with us. This recording provided a foundation for the
admission of extrinsic discreditable conduct evidence on several overlapping
bases.
[57]
First, triers of fact must understand the admissible evidence that
they will be hearing. It is therefore appropriate for jurors to hear evidence
that gives them the narrative required to do so. Specifically, the jurors
trying Mr. Aragon needed to understand why Mr. Fernandes would be attacked
because he was a Loner, and what the reference to a chance to come with us
meant in the circumstances of the case. Given the Crown theory that these words
arose from a dispute between motorcycle gangs, it was inevitable that unfolding
the essential narrative of the case would entail presenting evidence about that
dispute.
[58]
Second, the 911 audio recording disclosed an apparent motive for the
attack. This provided the foundation for the admission of evidence capable of
showing that Mr. Aragon shared that motive. Simply put, if Mr. Aragon could not
be shown to be part of a group that had reason to chide Mr. Fernandes for not
coming with us, the Crown case would have been materially weakened. On the
other hand, evidence confirming that Mr. Aragon fit the profile of persons
likely to attack Mr. Fernandes because Mr. Fernandes was a Loner and because he
had not come with Mr. Aragon and others, would offer substantial support to
the Crown case.
[59]
The fact that the Crown relied upon evidence of a group
animus
to establish Mr. Aragons own
animus
and motive is not problematic. It
is well settled that extrinsic discreditable conduct evidence can gain admission
to support a Crown theory that a crime has been committed by a member of a
criminal group for group reasons:
R. v. Sipes
, 2011 BCSC 640, at paras.
364, 367;
Phan
, at para. 97. Evidence about the structure of the
criminal group, the intensity of the
animus
, and the role or
relationship of the accused to the criminal group, can all be relevant and
probative in unfolding a Crown theory that the accused was motivated to act
because of group
animus
:
Phan
, at paras. 97-98.
[60]
Finally, the 911 audio recording confirmed that the speaker, who the
Crown alleged to be Mr. Aragon, knew Mr. Fernandes, and knew him to be a Loner.
Evidence that Mr. Aragon knew Mr. Fernandes, and knew him to be a Loner, was
therefore important, even if this evidence required disclosure that Mr. Aragon
knew Mr. Fernandes through their gang association.
[61]
Was there probative evidence relating to each or any of these
theories of admissibility? In considering this question, I have disregarded the
bald assertions the Crown ascribed to Mr. Pammett and Mr. King, as well as the
hearsay evidence that was presented during the
voir dire
. I am
persuaded that the remaining evidence presented a formidable and probative evidentiary
foundation that would enable jurors to understand the 911 conversation and
would situate Mr. Aragon among those who could have spoken the words captured
during the 911 call.
[62]
Specifically, there was evidence supporting each of the following
factual propositions, which together provide that probative evidentiary
foundation:
Mr. Fernandes was a Loner, and Mr.
Aragon was a former Loner.
·
Mr. Fernandes confirmed that he was a member of
the Loners, and that he knew Mr. Aragon, who had also been a Loner.
·
There was evidence that Mr. Aragon had been seen
in early 2012 at bike shows with known members of the Loners, including Mr.
Pammett, who was affiliated with the Loners clubhouse at the Park Street
address where Mr. King was a member. On one of those occasions Mr. Aragon was
wearing a Loners shirt.
Mr. Pammett and others left the
Loners and the departure was acrimonious.
·
DC Lemay presented evidence that in March 2012,
Mr. Pammetts common law wife acquired the property at the Perry Street address.
Commencing in the spring, Mr. Pammett and other known members of the Loners
moved into the Perry Street address.
·
The preliminary inquiry transcripts of DC Noonans
testimony included evidence that the Perry Street address bore the
characteristics of a motorcycle gang clubhouse.
·
There was evidence that the Loners posted
information on their website casting Mr. Pammett in a bad light by claiming he
had been kicked out the Loners, a fact that was demonstrative of a rift between
the Loners and Mr. Pammett.
·
There was evidence that a Loners patch was hung
upside down inside the Perry Street clubhouse. DC Noonan provided expert
evidence that in the outlaw motorcycle gang culture, this a sign of disrespect.
·
At the Perry Street clubhouse, there were vests
from which patches and rockers had been removed. Since the Perry Street
clubhouse was frequented by persons previously known to be Loners, there is an
available inference that the insignia that had been removed had been affiliated
with the Loners. The removal of the patches and rockers is therefore evidence
of an end to the association between those linked to the Perry Street address and
the Loners.
·
DC Noonan provided evidence that a Ledger Book
was found inside the Perry Street location that included an entry dated June 8,
2012 which read, The Loners getting their shit this weekend. An entry dated
June 29, 2012 said, Loners still badmouthing us on Internet.
·
DC Lemay also gave evidence of an alleged
firebombing at the Park Street address on June 22, 2012. He observed Loners at
the clubhouse the next day in what he described as a show of force. He observed
men milling around the front gate, and he described a verbal conflict that
afternoon in front of the Park Street address between two groups, and he
testified that Mr. Gardiner, who was associated with the Perry Street group,
was involved.
·
There was also evidence that prior to the July
22, 2012 attack on Mr. Fernandes, a number of windows had been broken at Mr.
Kings home, which is immediately proximate to the Loners clubhouse at the Park
Street address. Although no evidence was available linking the attack to the break-away
group, it could be inferred given the context and timing that this event was likely
related to the rift between the groups.
Mr. Aragon was linked to the Perry Street
clubhouse, to Mr. Pammett and to the group
animus
.
·
There was evidence from DC Lemay that throughout
the spring and summer of 2012, Mr. Pammett and Mr. Aragon were seen together and
separately at the Perry Street clubhouse. As indicated, the men were formerly
associated in the Loners motorcycle gang, which Mr. Pammett acrimoniously left.
·
There was evidence from club records that a
person identified as Carlito, a known nickname for Mr. Aragon, had made a
donation at the Perry Street clubhouse.
·
There was evidence before the trial judge during
the
voir dire
that the attack on Mr. Fernandes took place in proximity
to the Perry Street address as well as evidence that would entitle jurors to
conclude that Mr. Fernandos attackers came from the Perry Street address.
·
In addition, the preliminary inquiry testimony
of DC Lemay and DC Noonan that was also before the trial judge on the
voir
dire
identified Mr. Aragon on a surveillance videotape at the Perry Street
clubhouse, both before and after the attack, in the company of other persons
identified as former Loners, and indicated that he and at least one other
person had a bat.
[63]
Together, the evidence on the
voir dire
provides a
probative narrative explaining the meaning of the words captured on the 911
call. Together, the evidence is also probative in establishing that there was serious
group
animus
between the break-away group and the Loners.
[64]
Even in the absence of evidence that Mr. Aragon was formally a member
of the break-away group, or that he was in bad standing with the Loners, this
evidence also provided a strong basis for inferring that Mr. Aragon aligned
himself with the break-away group. He maintained his connection to Mr. Pammett,
who could be inferred to have
animus
against the Loners, the group
that Mr. Aragon had also left. Most significantly, there was evidence that Mr.
Aragon was present with a group at the Perry Street address on the night of the
attack, while holding a baseball bat. In my view, this evidence supports an
inference of close affiliation between Mr. Aragon and other former members of
the Loners. The history and nature of his alignment with the break-away group
coupled with his presence with others at the Perry Street address on the night
of the attack on Mr. Fernandes, at the location from which the attack
originated, supports a probative inference that Mr. Aragon was linked to the
Perry Street group and would be motivated to participate in a gang-related
attack against a member of the Loners.
[65]
Finally, the preliminary inquiry evidence of Mr. Fernandes, which
was before the trial judge during the
voir dire
, is probative evidence
that Mr. Aragon knew Mr. Fernandes by name and knew him to be a Loner.
[66]
The evidence I have just recounted provided strong probative
inferences on each of the important issues I have identified.
[67]
I am also satisfied that the probative value of this evidence clearly
outweighs the risk of prejudice it presents. To be sure, I share Mr. Aragons
concern that notwithstanding that the Crown was not seeking to lead evidence
linking Mr. Aragon to any specific extrinsic criminal activity, the evidence I
have recounted carries an appreciable risk of prejudice against him, through his
affiliation with criminal organizations. However, it was inevitable that Mr.
Aragons affiliation with criminal organizations was going to be exposed during
the trial. This prosecution could not realistically have occurred without
disclosing the Crown theory that the attack was gang-related, and that Mr.
Aragon was connected to the break-away group. Moreover, the admissible recognition
evidence could not have been presented without disclosing his history with
motorcycle gangs and his connection to the break-away group.
[68]
Without deferring to the decision of the trial judge and without relying
on the unsupported evidence attributed to Mr. Pammett and Mr. King or the hearsay
information furnished during the
voir dire
, I am therefore satisfied
that the probative value of the extrinsic discreditable conduct evidence
outweighed the risk of prejudice it presented. The evidence proposed during the
voir dire
was admissible.
[69]
I would dismiss this basis for appeal.
The Evidence and the Scope of the Admissibility
Ruling
[70]
Trial judges are obliged to act as gatekeepers in ensuring that
highly prejudicial evidence is not admitted, including extrinsic discreditable
conduct evidence that goes beyond the scope of an admissibility ruling:
R.
v. Cook
, 2020 ONCA 731, 394 C.C.C. (3d) 467, at para. 71;
M.R.S.
,
at paras. 65-66. I do not accept Mr. Aragons submission that the trial judge erred
in discharging his gatekeeping role in this case by admitting irrelevant
evidence beyond the scope of his ruling.
[71]
Notwithstanding the importance of ensuring that extrinsic
discreditable conduct evidence is ruled admissible before it is presented, the
scope of an admissibility ruling must be interpreted sensibly and contextually,
rather than with artificial rigidity. An admissibility ruling is not a script, nor
could it be. It is inevitable that the testimony of witnesses will be cast in
greater or lesser compass in the retelling, as they explain, contextualize, and
elaborate upon earlier testimony or police interviews. It would be unrealistic
to expect a trial judge to articulate in their admissibility ruling in complete
detail every scintilla or subtopic that is reasonably embraced by that ruling.
In my view, when the issue is approached fairly and practically, the trial
judge did not permit the admission of evidence that exceeded the scope of the
ruling. I will elaborate by addressing, in turn, the evidence about which Mr.
Aragon has expressed concern.
[72]
First, Mr. Aragon takes issue with the breadth of the evidence
provided by DC Noonan about the history of motorcycle clubs in Peterborough and
the inclusion of details about the structure, rules, and culture of motorcycle
clubs, some of which were unconnected to the proceedings. I agree in principle
that given the prejudice caused by association, the trial judge was required to
exercise care not to allow the evidence to go too far afield, but it was clearly
contemplated by the ruling that DC Noonan would provide expert testimony about
the broader culture of outlaw motorcycle clubs. DC Noonan had to do so both to
confirm his expertise and to validate the relevant testimony he gave about
biker culture.
[73]
Moreover, the trial judge said in the course of his ruling that [t]he
discreditable conduct that the Crown seeks to elicit is contained in the
evidence of [six witnesses]. One of those witnesses was DC Noonan. In his preliminary
inquiry testimony that was before the trial judge, DC Noonan provided testimony
about the broader culture of outlaw motorcycle clubs.
[74]
Second, Mr. Aragon argues that the trial judge erred by admitting
numerous photos of him and others showing them associating with or engaged in
motorcycle club activities and by permitting evidence about Mr. Pammetts
involvement with other motorcycle clubs, including a newspaper article about
Mr. Pammetts departure from the Loners, to be shared with the jury. In my
view, all of this evidence was relevant and within the fair contemplation of
the trial judges ruling.
[75]
With respect to the photographs, the admissibility ruling clearly
contemplated that background evidence could be provided regarding the culture
of motorcycle gangs and linking the players to motorcycle gang activity. The
photographs served this permissible purpose. I find them to be neither
excessive in number nor gratuitous.
[76]
With respect to the evidence about Mr. Pammett, it was obvious that
his status as a biker would be revealed during trial, as would evidence of his
departure from the Loners. I see no problem with the admission of the newspaper
article, in which statements were attributed to Mr. Pammett. An examination of
the transcript shows that the Crown used this article at trial not as hearsay
evidence to prove why Mr. Pammett left, but as a tool for probing Mr. Pammetts
testimonial account of why he left the Loners. Mr. Pammett was purportedly quoted
in that article. It was appropriate for the Crown to confront him with the
words attributed to him, and for the trial judge to exhibit the article so that
it would be available to jurors in considering Mr. Pammetts testimony.
[77]
Finally, Mr. Aragon takes issue with admission of evidence about the
June 22, 2012 firebombing and the July 22, 2012 window breaking incident. In my
view, proof of these incidents was contemplated by the admissibility ruling.
Evidence about these incidents was provided during the
voir dire
and
the latter incident was explicitly referred to in the Summary. Moreover, as I
have indicated, these incidents were relevant both during the
voir dire
and at trial in establishing the depth of the animosity that existed between
the Loners and the break-away group.
[78]
I would not give effect to this ground of appeal.
C.
Did the trial judge err by failing to instruct the jury on the
prohibited and permissible uses of the extrinsic discreditable conduct evidence?
[79]
Mr. Aragon argues that the trial judge erred by failing to
adequately equip the jury with an understanding of the proper and improper uses
of the extrinsic discreditable conduct evidence. I do not agree.
The Direction on Permissible Uses
[80]
Under ideal circumstances, a trial judge would dedicate a portion of
their charge to identifying extrinsic discreditable conduct evidence that has
been admitted and directing the jury on the permissible inferences it could
draw from that evidence. The trial judge did not do so in this case, but this
is understandable. It would not have been realistic nor desirable in the
circumstances of this case for the trial judge to have attempted to gather all
of the extrinsic discreditable conduct evidence together in one place in the
charge for the purpose of assisting the jury in its application. This evidence
was voluminous, including evidence not only about Mr. Aragon but also the
motorcycle gangs he associated with. Had the trial judge attempted to gather
this evidence together in the charge, that charge would not have decanted and
simplified the critical issues in the case. It would have magnified the
potential for prejudice.
[81]
What ultimately matters is that a trial judges charge provides the jury
with a functional understanding of the value and effect of significant evidence
and an understanding of how this evidence related to the relevant issues:
R.
v. Newton
, 2017 ONCA 496, 349 C.C.C. (3d) 508, at paras. 10-13;
R. v.
Jacquard
, [1997] 1 S.C.R. 314, at para. 14. In all of the circumstances, I
am satisfied that the jury charge in this case did so.
[82]
Specifically, the trial judge opened the charge by setting out the Crown
narrative which the extrinsic discreditable conduct evidence was marshalled to
prove, namely, that Mr. Fernandes, a Loner, was assaulted by Mr. Aragon because
of the
animus
that had developed between the break-away group that Mr.
Aragon was associated with and the Loners. He also explained to jurors when introducing
them to the significance of expert testimony that DC Noonans expert evidence was
called to provide important narrative evidence about the fractious relationship
between the Loners and the break-away group and about Mr. Aragons affiliation
with the break-away group. When he explained the significance of motive, the
trial judge also identified the significance of Mr. Aragons former association
with the Loners and the falling out. And he fairly summarized the material
evidence. I have no issue with the sufficiency of the charge relating to the
proper uses of that evidence.
The Impermissible Use: The Absence of a
Limiting Instruction
[83]
Given the extrinsic discreditable conduct evidence that was
presented, this case called on its face for a limiting instruction to the jury not
to use that evidence to infer that Mr. Aragon is the sort of person who would
commit the offences charged. In spite of the real risk that the jury could
engage in such reasoning, the judge did not give this kind of instruction. I
would nonetheless deny this ground of appeal.
[84]
It is evident that the trial judge did not give a limiting
instruction because Mr. Aragons counsel specifically asked him not to do so. After
forming the opinion that the extrinsic discreditable conduct evidence had gone
somewhat beyond the admissibility order, Mr. Aragons trial counsel said to the
trial judge, at this stage of the game, I think drawing attention to anything
makes it worse rather than better. Even though I do not agree that the evidence
went beyond the admissibility rule, I recognize this to have been a considered
and tactical choice made in what defence counsel believed to be Mr. Aragons
best interest. The trial judge cannot be faulted for acceding to Mr. Aragons
trial counsels request.
[85]
Having said this, the trial judge may well have engaged in a more
detailed conversation with Mr. Aragons counsel before acceding to this
request. In my view, a limiting instruction could easily have been provided in
general terms, without recounting the details about Mr. Aragons association
with outlaw motorcycle gangs, and without amplifying the risk of prejudice. For
example, the trial judge could have instructed jurors that the law recognizes it
to be unfair to judge an accused person based on any conclusions that may be drawn
about his general character, and then have cautioned them not infer that Mr.
Aragon is a bad person who would commit the charged offences based on his
association with motorcycle gangs. Although the trial judge might well have had
a more extensive conversation with defence counsel to explore such a
possibility before acceding to the request not to include a limiting
instruction, he was not obliged to do so. I would dismiss this ground of
appeal.
II.
SENTENCE APPEAL
MATERIAL FACTS
[86]
The Crown sought to have Mr. Aragon declared a dangerous offender
pursuant to s. 753 of the
Criminal Code
, R.S.C., 1985, c. C-46, and to
have an indeterminate sentence imposed.
[87]
During the sentencing hearing, three individuals, including DC Lemay
and DC Noonan, offered evidence about Mr. Aragons affiliation with motorcycle
gangs. Brian Wheeler, from Correctional Services Canada, offered testimony
about Mr. Aragons history with treatment during his lengthy previous incarceration
and about revisions that have occurred in the programming since Mr. Aragon
received that counselling. Testimony was also given by another correctional services
employee and a police officer relating to Mr. Aragons behaviour while
incarcerated. Dr. Jeffrey McMaster, a psychiatrist called by the Crown, offered
the opinion that there was a high risk that Mr. Aragon would reoffend
violently, and a substantial risk that this violence would involve significant
physical or psychological harm in short, that he was a dangerous offender.
However, he offered the opinion that there was a possibility of controlling Mr.
Aragon in the community on a Long-Term Supervision Order (LTSO), which would
include intensive treatment and the highest level of supervision.
[88]
Mr. Aragon did not call evidence at the sentencing hearing.
[89]
Final sentencing submissions were then scheduled for July 17, 2015
but were adjourned when defence counsel fell ill. This delay necessitated the
appointment of new counsel and prevented the trial judge from completing the
sentencing before his mandatory retirement age. On February 29, 2016, another
judge (the sentencing judge) was appointed pursuant to s. 669.2 of the
Criminal
Code
to complete the sentencing.
[90]
Mr. Aragons new defence counsel, who contested the credibility,
reliability, and weight of the testimony upon which the Crown was relying in
support of its sentencing position, sought to have some of the witnesses
recalled who had testified during the aborted sentencing hearing that had been
commenced before the trial judge. In circumstances described in detail below,
the sentencing judge permitted a single witness, Dr. McMaster, to be recalled
and testify before him.
[91]
Defence counsel also asked the sentencing judge to make factual
findings so that the basis of the findings of guilt relating to the convictions
would be clarified for the purposes of sentencing. Again, in circumstances
described in detail below, the sentencing judge did so.
[92]
In October 2016, defence counsel also instituted an unsuccessful
mistrial application based on fresh evidence, as well as a failed
constitutional challenge to the dangerous offender regime in the
Criminal
Code
. I unfold the circumstances of constitutional challenge in more
detail below.
[93]
On December 9, 2016, Dr. McMaster was recalled and was questioned by
Mr. Aragons defence counsel as well as the Crown. The defence did not seek to
call additional evidence before the sentencing judge. Final sentencing
submissions were completed on February 24, 2017.
[94]
Judgment on sentence was scheduled for June 30, 2017, but the
decision was not ready. On September 8, 2017, the sentencing judge gave a brief
oral decision finding Mr. Aragon to be a dangerous offender and sentencing him
to indeterminate imprisonment. Written reasons were to follow.
[95]
On December 14, 2017, defence counsel requested the written reasons
for the sentence, as well as the outstanding written reasons on other
applications that had been denied.
[96]
He requested written reasons again on January 24, 2018.
[97]
On March 6, 2018, the sentencing judge released his written reasons
for his factual findings. On March 8, 2018, he also released his written
reasons for denying the constitutional challenge. The written sentencing
reasons for the sentence that had been imposed on September 8, 2017 were
provided on March 14, 2018.
THE ISSUES
[98]
In support of his proposed sentence appeal, Mr. Aragon argues that
the s. 669.2 procedure was not undertaken fairly; that the written reasons
offered by the sentencing judge were insufficient and were after-the-fact
justifications for prior oral rulings he had made long before; and that the
sentencing judge erred in his rulings on the sentencing facts.
[99]
Mr. Aragon also argues that the dangerous offender designation and
the sentence of indeterminate imprisonment were unreasonable. Additionally, he
seeks the admission of fresh evidence outlining the rehabilitative progress he
has made since the sentencing judges ruling.
[100]
The
Crown contends that if we find that any legal errors occurred during
sentencing, but that they did not occasion a substantial wrong or miscarriage
of justice, we should dismiss the appeal pursuant to the broad authority to do
so implicit in s. 759 of the
Criminal Code
:
R. v. Johnson,
2003
SCC 46, [2003] 2 S.C.R. 357, at paras. 47-49;
R. v. Boutilier
, 2017
SCC 64, [2017] 2 S.C.R. 936, at paras. 81-89, affg 2016 BCCA 235, 336 C.C.C.
(3d) 293.
[101]
The
issues on the sentence appeal can be described and conveniently approached as
follows:
A.
Did the sentencing judge err in making factual
findings relating to aggravating facts?
B.
Were reasons for rulings made during the sentencing
hearing insufficient?
C.
The remaining issues raised by Mr. Aragon on the
sentence appeal:
a.
Were the reasons for the rulings made during the
sentencing hearing made after-the-fact?
b.
Was the s. 669.2 hearing an unfair process and a
miscarriage of justice?
c.
Was the dangerous offender designation and/or
the indeterminate sentence unreasonable?
d.
Is the fresh evidence of rehabilitation
admissible?
D.
If any of these errors occurred, should the
appeal be denied because of the absence of a miscarriage of justice?
[102]
For
reasons that I will describe below, I would allow the sentencing appeal on
grounds A and B. As I will also explain, it is either unnecessary or not in the
interests of justice to consider the remaining issues that Mr. Aragon has
raised. Nor is it in the interests of justice to exercise our jurisdiction to
deny the sentencing appeal based on the absence of a miscarriage of justice. I
would set aside the sentence and order a new sentencing hearing.
A.
Did the Sentencing judge err in making factual Findings Relating to
Aggravated Facts?
[103]
In my view, the sentencing judge erred in making factual findings
relating to several aggravating factors that influenced his characterization of
the seriousness of the index offence. These errors are material because the
characterization of the seriousness of the index offence heavily influenced the
sentencing judges decision to sentence Mr. Aragon to an indeterminate sentence
as a dangerous offender.
[104]
Given that this was a jury trial, and that juries do not give
reasons for the general verdicts they reach, the obligation fell to the
sentencing judge to determine the material facts required for sentencing. This
was required to be done pursuant to ss. 724(2) and (3) of the
Criminal Code
.
Section 724(2) provides:
Where the court is composed of a
judge and jury, the court
(a) shall accept as proven all
facts, express or implied, that are essential to the jurys verdict of guilty;
and
(b) may find any other relevant
fact that was disclosed by evidence at the trial to be proven, or hear evidence
presented by either party with respect to that fact.
[105]
To sentence an offender convicted by jury, a sentencing judge must
therefore identify the facts that are essential to the jurys verdict or, in
other words, identify the express and implied factual implications of the
jurys verdict:
R. v. Ferguson
, 2008 SCC 6, [2008] 1 S.C.R. 96, at
para. 17, citing
R. v. Brown
, [1991] 2 S.C.R. 518, at p. 523. Where
the factual implications of the jurys verdict are ambiguous, the sentencing
judge should not attempt to follow the logical process of the jury but should
come to his or her own independent determination of the relevant facts:
Ferguson
,
at para. 18.
[106]
It follows that there is a two-step process required in settling the
factual record of sentencing in a jury trial. First, the sentencing judge must
identify any relevant factual determinations the jury has made by examining
what facts were essential to the jurys verdicts, and then apply those facts
when sentencing the offender. Second, where it is necessary in order to
sentence an offender to determine facts that were not expressed or necessarily
implicit in the jury verdict, the sentencing judge is to engage in their own,
independent fact-finding exercise.
[107]
It is therefore an error for a sentencing judge to rely on facts in
sentencing that are not expressed or implicit in the jurys verdict, but that
are based on the sentencing judges belief as to what the jury must have
decided:
R. v. Moreira
, 2021 ONCA 507, at paras. 43-57. To rely on aggravating
facts that are not necessarily expressed or implicit in the jury verdict, the sentencing
judge must come to their own independent determination that those aggravating
facts have been proved, beyond a reasonable doubt:
Criminal Code
, s.
724(3)(e);
R. v. Gardiner
, [1982] 2 S.C.R. 368, at paras. 112-14. I am
persuaded that the sentencing judge applied these rules incorrectly.
[108]
The sentencing judge gave an oral decision relating to the factual
findings on November 8, 2016, followed by subsequent written reasons on March
6, 2018, some 16 months later.
[109]
It is clear that in the oral decision the sentencing judge identified
findings that he concluded were necessarily implied by the jury verdict, rather
than factual findings he was making on his own. Speaking directly to Mr. Aragon
he said:
I found favour with the Crown submissions [
] that
the jury verdict was founded on the premises that the Crown argued it should
be founded on
which is that you were the one who pocket dialled 911 and
they recorded a beating of an individual in Peterborough and that you were the
primary author of that beating. Thats just a synopsis okay? And Im only going
by what I read, as you understand. I didnt hear the evidence, but
thats
what the jury found
and Im content to find thats exactly what they found.
[Emphasis added.]
[110]
It is evident that the sentencing judges written reasons were likewise
based solely on his interpretation of the facts he found were essential to the jury
verdict and not on his own independent findings from the evidence. He quoted
the above ruling and said, Here is the full template of the basis of the
determination that I came to in November 2016.
[111]
Mr. Aragon argues that the sentencing judge erred in deriving factual
findings from the jury verdict that aggravated the seriousness of the index
offence. Those impugned factual findings include: (1) Mr. Aragon was the primary
author of the beating; (2) the voice on the 911 call was Mr. Aragons; (3) his
motive for the beating was the gang feud alleged by the Crown; and (4) Mr.
Aragon was in a fevered pitch of violence, with the glee exhibited by Mr.
Aragon in so doing captured in the 911 call.
(1)
The finding that Mr. Aragon was the primary
author of the beating
[112]
I agree with Mr. Aragon that a finding that Mr. Aragon was the
primary author of the beating was not essential to the jury verdict, and that
the sentencing judge erred in finding that it was. In order to attribute this
role to Mr. Aragon when sentencing him, the sentencing judge would have had to
have come to his own determination that this was so, beyond a reasonable doubt,
but he never engaged in that analysis.
[113]
The Crown argues before us, as it did before the sentencing judge, that
this finding was implicit in the jury verdict, given that the jury was not
addressed on party liability. In my view, the fact that party liability was not
on the table before the jury is immaterial. There was an evidentiary basis on
the evidence for concluding that this was a group beating, and anyone who
applied any force to Mr. Fernandes would be a principal, even if not the
primary author of the beating. Therefore, the fact that Mr. Aragon was
convicted as a principal does not disclose the jurys findings relating to the
specific role he played in the beating, let alone a finding that he was the
primary author of the beating.
[114]
In his written reasons, the sentencing judge offered three reasons,
apart from general agreement with the Crown, for finding that the jury held
that Mr. Aragon was the primary author of the beating. He noted that this was
the Crown theory, he said the evidence makes this finding plain, and he relied
upon the manner in which the trial judge instructed the jury. With respect,
none of these points support the sentencing judges conclusion that the jury
found Mr. Aragon to have been the primary author of the beating.
[115]
First, the Crown theory cannot carry significant weight in interpreting
the essential factual findings a jury has made, since a jury need not rely on
the Crown theory to convict. Even if the jury rejected the Crown theory, there
was evidence that would have enabled jurors to be satisfied as to each element
of the offences Mr. Aragon was charged with, without concluding that he was the
primary author of the beating.
[116]
Second, in this case the evidence before the jury does not assist in
identifying the factual finding the jury made, if any, about Mr. Aragons
precise role in the assault. I do accept that where evidence leads to only one
outcome, it is appropriate for a sentencing judge to consider this when
identifying what is essential to the verdict, but that was not this case. As
indicated, this was a group assault in which different assailants may have
played different roles, and there was evidence available to support a finding
that more than one assailant possessed a baseball bat. Simply put, in the
circumstances of this case the evidence does not support the conclusion that it
was essential to the jury verdict that the jury found Mr. Aragon to have been
the primary author of the beating.
[117]
There is a related but independent concern of equal gravity. In referring
to what the evidence makes plain the sentencing judge was clearly undertaking
his own factual assessment of the evidence, but he did so in an attempt to
determine what the jury must have found. This is an erroneous way to proceed. As
indicated, a sentencing judge is not to undertake their own assessment of the evidence
in an effort to divine what the jury must have found. If the findings the jury
made are not apparent from the verdict, a sentencing judge must make their own
independent determination of whether the Crown has proved beyond a reasonable
doubt the aggravated facts upon which it seeks to rely.
[118]
Third, I see nothing in the jury direction that shows that the jury
must have found that Mr. Aragon was the primary author of the beating. I agree
that the jury direction does support the inference that the jury must have
found that Mr. Aragon applied force to Mr. Fernandes with a bat, but beyond
this there is nothing in the jury charge to indicate the extent and nature or
consequences of the force that the jury found Mr. Aragon to have applied,
relative to other assailants.
[119]
I would therefore reject the sentencing judges reasoning and his
conclusion that the finding that Mr. Aragon was the primary author of the
beating was essential to the jury verdict. This is not a minor error. Although
it is true that all principal offenders bear responsibility for a joint
assault, and sentences imposed may not vary between joint participants who play
a greater or lesser role in administering a beating or in directly causing
injuries, the nature of the assaultive behaviour engaged in by each joint
participant can have a material impact on the sentences imposed. This is particularly
so in a case such as this where the alleged brutality of the accuseds behaviour
is relied upon in support of a dangerous offender finding, and/or an
indeterminate sentence. A finding that Mr. Aragon was the primary author of the
beating is therefore a finding of importance, and the sentencing judge erred when
making it.
(2)
The finding that the voice on the 911 call was
Mr. Aragons
[120]
Although the sentencing judge did not directly articulate a finding
that the jury accepted that the voice on the 911 audio recording was Mr.
Aragons, it is implicit in his reasons that he did so. Indeed, he said he
found complete favour with the Crowns submissions, which included this claim.
[121]
Since the sentencing judge did not articulate this finding directly,
his reasoning cannot be identified with absolute confidence. When he spoke in
his written reasons about the 911 audio recording, he noted that the 911 call
dovetails with the surveillance footage and the Crown position. Once again, if
these were the bases upon which he found that the jury concluded that the
voice on the call was Mr. Aragons, those reasons are inadequate. Neither the
surveillance evidence nor the Crown position logically supports a finding that
the jury necessarily found that it was Mr. Aragons voice on the 911 audio
recording.
[122]
The Crown relies on a distinct point not identified by the sentencing
judge to support his conclusion that the jury must have found it to be Mr.
Aragons voice on the 911 audio recording, namely that the jury convicted Mr.
Aragon of threatening bodily harm and the only threat identified in the
evidence is captured on the 911 audio recording. The difficulty with drawing
this inference is that there were several voices on the 911 recording. Even
though it is implicit from the jury verdict that the jury necessarily found
that Mr. Aragon was the speaker who expressed the recorded threat, it does not
necessarily follow that the jury concluded that Mr. Aragon made all of the
material comments captured by the 911 audio recording. It is not implicit in
the jury verdict that the jury found that it was Mr. Aragons voice making all
of the material utterances that occurred during the 911 call, and it was an
error for the sentencing judge to have held otherwise.
(3)
The finding that Mr. Aragons motive for the
beating was the gang feud alleged by the Crown
[123]
The error I have just identified cascades into the sentencing
judges conclusion that the jury accepted that Mr. Aragons motive for the
beating was the gang feud alleged by the Crown. This conclusion was based in
material part on the prior erroneous finding that the jury found that it was Mr.
Aragons voice that was captured on the 911 audio recording, describing for Mr.
Fernandes why he was being beaten. As I have explained, it does not follow from
the jurys finding that Mr. Aragon uttered a threat, that implicitly the
jury must have found that he is also the person who was captured on the 911
audio recording uttering the words that apparently disclose the motive for the
attack.
[124]
Moreover, it was open to the jury to reject the motive inferences
that the Crown sought to have drawn from the extrinsic conduct evidence, yet
still convict Mr. Aragon of the offences it did. Since a jury is free to
convict without proof of motive, there is no basis for concluding that it was
essential to the jury verdict that it accepted the Crowns motive theory.
(4)
The finding that Mr. Aragon was in a fevered
pitch, and acting with glee
[125]
Finally, Mr. Aragon takes issue with the sentencing judges holding
that he was in a fevered pitch of violence, with the glee exhibited [
] in so
doing as captured in the 911 call. Even leaving aside the other issues Mr.
Aragon raises about this finding, this finding depends on the sentencing
judges prior problematic conclusion that the jury found that it was Mr.
Aragons voice speaking the words on the 911 call. The finding that Mr. Aragon
was in a fevered pitch of violence and glee was therefore also arrived at
in error.
Conclusion on the Aggravated Factual Findings
[126]
The sentencing judge erred in arriving at aggravated factual
findings that had a material bearing on the dangerous offender determination.
B.
Were the reasons for the sentencing rulings insufficient?
[127]
Trial judges are obliged, including when sentencing offenders, to
provide reasons that explain what they have decided and why they have decided
that way:
R. v. G.F.
, 2021 SCC 20, 459 D.L.R. (4th) 375, at para. 69.
When read as a whole in context of the evidence, the arguments and the live
issues in the case, those reasons must disclose the pathway the trial judge
took to reach their decision (factual sufficiency) and must enable the
unsuccessful party to discern if any errors have occurred, so that they can
meaningfully exercise their right to appeal (legal sufficiency). I am
persuaded that the reasons the sentencing judge provided with respect to some
of the rulings he made during the sentencing hearing were insufficient.
The Rulings
[128]
The sentencing judge was required to make five rulings during the
sentencing hearing. Included among those rulings was a decision denying a
mistrial. I will say no more about the mistrial decision because no issue was
taken with the sufficiency of the written reasons for that decision, which were
not placed before us. The remaining 4 rulings require discussion, relating to:
(1) the
viva voce
evidence that the sentencing judge would hear; (2) the
aggravated factual findings ruling; (3) a constitutional challenge to statutory
provisions; and (4) the sentencing ruling. I would find that the first 3 of
those rulings were insufficient, but the sentencing ruling itself was not
insufficient.
(1)
The
viva voce
evidence ruling
[129]
After assuming responsibility for adjudicating the Crowns dangerous
offender application following the trial judges retirement, the sentencing
judge met with the parties on February 29, 2016. Defence counsel alerted the sentencing
judge that it would seek to have witnesses recalled because there were issues
of credibility and reliability that the sentencing judge would have to
adjudicate. The Crown opposed this, asking the sentencing judge to proceed on
the written record. The Crown argued that recalling witnesses would be contrary
to s. 669.2 of the
Criminal Code
, the provision that permitted the appointment
of the sentencing judge to the case.
[130]
Brief memoranda were filed with the sentencing judge in March 2016
in which defence counsel requested that some of the witnesses be recalled, which
the Crown opposed.
[131]
On June 6, 2016 the sentencing judge said during an administrative
appearance, I think Dr. McMaster should be recalled.
[132]
On the next appearance, October 17, 2016, the sentencing judge
repeated that he had determined that at the very least, Dr. McMaster should be
recalled. He then said, Theres no need for any of the other witnesses to be
produced by the Crown. He explained that Dr. McMaster was being recalled out
of an abundance of fairness given the lengthy evidence he had provided. The
sentencing judge said he read what the other witnesses had to say, and he did
not think it was necessary that they be called.
[133]
On October 19, 2016, the sentencing judge described his decision to
permit Dr. McMaster to be recalled as an indulgence to defence counsel.
[134]
No further reasons were provided for rejecting defence counsels
request to recall other opinion witnesses who had testified during the
sentencing hearing, prior to the sentencing judge being appointed to continue
the proceedings.
[135]
In his March 8, 2018 written ruling on Mr. Aragons constitutional
challenge, the sentencing judge appended a footnote relating to his decision
that only Dr. McMaster would be recalled. It read, I advised counsel in
court I would provide further reasons, but there was no need for such. This footnote
was recopied into the sentencing decision.
[136]
With respect, the sentencing judge failed to provide sufficient
reasons for his decision to recall only Dr. McMaster, and not the remaining
witnesses Mr. Aragon sought to have recalled. When his comments are taken as a
whole, it is evident that the sentencing judge ventured only two explanations:
(1) in denying the application relating to witnesses other than Dr. McMaster,
he said that Dr. McMaster was an important witness who had provided
lengthy testimony such that he should be recalled as an indulgence, and out
of an abundance of fairness; and (2) he said that he had read the evidence of
the other witnesses and it was not necessary to call them. With respect,
neither explanation is sufficient. At best, explanation (1) simply implies that
the same indulgence that was warranted for Dr. McMaster was not warranted for
other witnesses, while explanation (2) fails entirely to disclose an
intelligible pathway that the sentencing judge took to reach the decision that
he did.
[137]
Moreover, no reasons were provided relating to the scope of
discretion or the legal standard that should be applied in determining whether
witnesses should be recalled where proceedings have been continued pursuant to
s. 669.2 of the
Criminal Code
. I am persuaded that the reasons offered
on the
viva voce
evidence ruling were legally insufficient.
(2)
The Aggravated Factual Findings Ruling
[138]
I have already described the aggravated factual findings ruling.
This ruling had to be made before the parties could proceed to sentencing,
since they needed to know the factual basis upon which sentencing would occur. Brief
submissions were made on this interlocutory issue on February 29, 2016 and
written submissions were provided on March 16, 2016. On November 8, 2016, the sentencing
judge delivered a brief oral decision stating only that he found favour with
the Crown submissions. The sentencing judge indicated that written reasons
would follow.
[139]
Sentencing submissions proceeded and were completed on February 24,
2017, without reasons relating to the factual findings having been released. It
is evident that the parties had to rely on the Crown submissions to identify
the aggravated factors relating to the index offence that would be at play
during the dangerous offender hearing.
[140]
When Mr. Aragon was sentenced to an indeterminate sentence as a
dangerous offender on September 8, 2017, the reasons on the aggravated factual
findings holding were still outstanding. By that point, they were required only
for appeal purposes.
[141]
In December 2017, defence counsel requested the written reasons
relating to the dangerous offender declaration and the indeterminate sentence, which
had also been delayed. At that time, he reminded the sentencing judge that the reasons
on the aggravated factual findings ruling were still outstanding.
[142]
The written reasons relating to the factual findings were released
on March 6, 2018, approximately two years after arguments had been made, and 16
months after the sentencing judges oral ruling adopting the Crowns position without
explanation had been provided.
[143]
When those written reasons were issued, they were brief. I
appreciate that the quality of reasons is not necessarily commensurate with
length, but the following description of the content of the reasons gives
flavour to how cursory those reasons in fact were.
[144]
The first 13 paragraphs recite the history of the proceedings, with
much of the discussion dedicated to explaining the delay in the hearing, and
ascribing much of that responsibility to the defence. The next eight paragraphs
rehearse some of the positions of the parties. The following seven paragraphs
under the heading Some Further Comment contain the limited analysis that is
offered. The first and last of those seven paragraphs simply rehearse the
sentencing judges agreement with the Crown position. Three of the seven paragraphs
are dedicated to refuting Mr. Aragons claim that the Crown did not prove that the
911 call was a pocket dial, thereby leaving open the possibility that Mr.
Aragon himself called 911. The penultimate of the seven paragraphs simply
records that the sentencing judges findings are built on a review of the
transcripts, exhibits, and the charge, with no specification provided.
[145]
The only aggravated factual finding that is addressed directly in
those seven paragraphs relates to Mr. Aragons role as the principal in the
severe beating. Reference is made to what the evidence makes [
] plain but the
evidence that the sentencing judge was referring to and the inferences relied
upon are not identified. The defence arguments are not addressed. As alluded to
above, one of the seven paragraphs may possibly be addressing the sentencing
judges finding that it was Mr. Aragons voice on the 911 audiotape, but this
is not certain because the paragraph is unclear.
[146]
In my view, as limited as the aggravated facts reasons are, they are
not legally insufficient. As illustrated above, it is possible to discern the
legal standard the sentencing judge applied in resolving the issues before him,
and that he applied the wrong legal test. The problem I am now addressing is
one of factual sufficiency. I am mindful that there is a very low bar for
factual sufficiency:
G.F.
, at para. 71. However, that low bar is not
met here. Beyond expressing general agreement with the Crown and rejecting the possibility
that the 911 call was intentional, the sentencing judge did not explain his central
finding that the jury necessarily concluded that it was Mr. Aragons voice that
was recorded throughout the 911 call. In my view, it is not possible on the
record to discern the pathway the sentencing judge took in preferring the Crown
submissions. This was a live and material issue that required explanation to
ensure a transparent adjudicative process in which justice can be seen to be
done. The requisite explanation was lacking.
(3)
The Constitutional Challenge Ruling
[147]
In October 2016, Mr. Aragon brought a constitutional challenge to s.
753 of the
Criminal Code
. It was argued on December 5 and 6, 2016. On
June 30, 2017, brief oral reasons were provided rejecting the constitutional
challenge, with more expansive reasons to follow.
[148]
The written reasons for that decision were provided on March 8, 2018.
Those reasons span 47 paragraphs. The first 24 paragraphs recount the history
of the case and have no bearing on the constitutional questions. The next 12
paragraphs describe the materials that were filed by the parties, but not the
arguments made. Eleven paragraphs appear under the heading Decision on the
Constitutional Challenge. Paragraphs 38, 41, 42, and 46 address the sentencing
judges reasons for denying the constitutional challenge. In paragraph 38, the
sentencing judge recorded that he was following the Court of Appeal for British
Columbias decision in
Boutilier
and that the defence argument did not
satisfy him that
Boutilier
was wrong or should not otherwise apply to
the facts of the case. In paragraph 41, he listed paragraphs of interest from
the
Boutilier
decision. In paragraph 42, the sentencing judge expressed
agreement with the Crown that there are extensive procedural protections
afforded to an offender in other sections of the
Criminal Code
. Those
sections are enumerated but their import is not described. In paragraph 46, the
sentencing judge records, I concurred with the Crown with its argument at
paragraph 66-69 of its factum.
[149]
I am of the view that the reasons for decision relating to the
constitutional challenge were insufficient. The only explanations offered for
rejecting a lengthy, sophisticated, complex, and multifaceted constitutional
argument were (1) reliance on the Court of Appeal for British Columbias
decision in
Boutilier
; and (2) agreement with the Crown that there are
extensive procedural protections, and agreement with paragraphs 66-69 of the
Crown argument.
[150]
There will certainly be occasions where issues are narrow enough
that a decision may be sufficiently explained by simply citing a precedent, but
this is not one of those occasions. Mr. Aragon argued that s. 753 was
arbitrary and overbroad, contrary to s. 7 of the
Charter
. Although
there are features of the analysis in
Boutilier
that could be relied
upon to address the arbitrariness arguments that were made, the only s. 7
challenge arguments advanced in
Boutilier
were that the sections were
overbroad and grossly disproportionate. Therefore, the decision in
Boutilier
was not a complete answer to the arguments made. Even if had it been, one
would have expected some explanation for why the non-binding reasoning in
Boutilier
would be followed.
[151]
With respect to the expressions of agreement with the Crown, the
existence of procedural protections cited by the Crown do not answer the heart
of the constitutional arguments that were made, nor do the paragraphs cited
from the Crown argument. Indeed, it appears that the sentencing judge may have
cited paragraphs 66-69 of the Crown argument in error. These specific
paragraphs include the last part of the British Columbia appeal Crowns
overview of the errors the trial judge was found to have made in
Boutilier
,
and the introductory paragraph from the British Columbia appeal Crowns
analysis of the first of those errors. They offer no meaningful explanation for
the sentencing judges decision in this case. This analysis can only fairly be
illustrated by reproducing those paragraphs from the British Columbia appeal Crowns
argument here:
66. The first error stems from an erroneous
approach to an understanding of the challenges inherent in tailoring any
criminal sentence to address risks through the operation of a combination of
sentencing principles including, for example, specific deterrence and
rehabilitation, and where ultimate responsibility for future compliance with
the law rests entirely with the offender.
All
sentences are forward
looking and whether they succeed in preventing recidivism can never be safely
predicted, let alone guaranteed.
67. The second error relates to the failure of
the trial judge to properly appreciate the
effects
of designation
pursuant to s. 753(1) on the
liberty
of the offender. Properly
understood, the effects of designation on the liberty of the subject are
aligned with and do not overshoot the objective of the legislation.
68. Both errors will be addressed in turn.
(i)
Identification and Management of Risk
in Criminal Sentencing
69. Describing the sentencing of criminal
offenders as an art captures both the difficulty and delicacy of assessing the
moral blameworthiness of an offenders conduct along with his unique personal
circumstances, with a view to crafting a sentence that addresses multiple and
sometimes competing principles. In varying measures, the targeted principles
are both individual (rehabilitation, specific deterrence) and societal
(denunciation, general deterrence) or both. Yet all are designed to protect
society by impacting the offender or other community members. [Emphasis in
original.]
[152]
To be clear, I should not be taken as offering any opinion on the
constitutional arguments Mr. Aragon made. The Court of Appeal of British
Columbias decision in
Boutilier
was subsequently affirmed in the
Supreme Court of Canada, [2017] SCC 64, [2017] 2 S.C.R. 936, which puts an end
to the argument that s. 753 of the
Criminal Code
is overbroad contrary
to s. 7, or in breach of s. 12. Arguably, that decision also holds out little hope
for the remaining arbitrariness argument that Mr. Aragon advanced. Nonetheless,
the sentencing judges written reasons for rejecting the arguments that Mr.
Aragon made failed to address the live issue of arbitrariness or to furnish a
meaningful explanation of the legal analysis the sentencing judge engaged in.
Put simply, it is not possible to determine whether the sentencing judge
applied the correct legal standards. The reasons are therefore legally
insufficient.
(4)
The Sentencing Decision
[153]
As indicated, sentencing submissions were completed on February 24,
2017. Judgment on sentence was scheduled for June 30, 2017, but the decision
was not ready.
[154]
On September 8, 2017, the sentencing judge gave a brief oral
decision finding Mr. Aragon to be a dangerous offender and sentencing him to
indeterminate imprisonment, with written reasons to follow.
[155]
In that oral decision, the sentencing judge summarized the competing
bottom line positions on whether Mr. Aragon qualified as a dangerous offender.
He offered no explicit conclusion on that issue, instead proceeding directly to
whether a long-term supervision order, a determinate sentence, or an indeterminate
sentence should be imposed. He opted for a determinate sentence after
expressing the conclusion that Mr. Aragon could not be managed in the community
without risk to the public given Mr. Aragons unspecified actions [
] in the
past and his brutal beating of the victim in this case, accompanied with the glee
in which Mr. Aragon appeared to exhibit upon the beating of [Mr. Fernandes].
He referred later in his oral decision to the evidence of Dr. McMaster as
supporting his conclusion that Mr. Aragon would be too much of a risk to the
community if he were otherwise to be placed on a determinate sentence and/or
determinate sentence with a long-term supervision order.
[156]
The written sentencing reasons that would explain the sentence that
had been imposed on September 8, 2017 were provided on March 14, 2018, more
than one year after submissions had been made, and six months after the oral
disposition had been provided.
[157]
The written decision began by following the pattern identified in earlier
decisions. It offered a detailed historical chronology of 29 paragraphs, many
of which were copied from the sentencing judges earlier rulings.
[158]
The following 12 paragraphs go on to describe the sentencing hearing
that had taken place, including the materials that had been filed, ending with
a description of the oral sentencing disposition that was imposed on September
8, 2017.
[159]
The sentencing judge then offers a number of paragraphs in which he
sets out to explain his decision. The content addressing the reasons in favour
of an indeterminate sentence are not as detailed as one might expect, but they
unfold the sentencing judges thinking on this issue. However, I see two matters
that warrant comment.
[160]
First, the reasons offered for the sentencing judges finding that
Mr. Aragon qualifies as a dangerous offender are largely conclusory. As
indicated, the sentencing judge did not attempt to explain his reasoning on
this question in his oral decision. In two places in his written decision, over
a total of only seven paragraphs, he addressed directly whether Mr. Aragon was
a dangerous offender, finding that Mr. Aragon qualified as a dangerous offender
on all three available criteria provided for in s. 753(1)(a) of the
Criminal
Code
. He offered no direct explanation for his findings on the first two
dangerous offender criteria, namely the s. 753(1)(a)(i) criterion (that there
had been a pattern of repetitive behaviour by the offender [
] showing a
failure to restrain his [
] behaviour and a likelihood of causing death or
injury to other persons [
] through failure in the future to restrain his [
]
behaviour) and the s. 753(1)(a)(ii) criterion (that there had been a pattern
of persistent aggressive behaviour [
] showing a substantial degree of
indifference on the part of the offender respecting the reasonably foreseeable
consequences to other persons of his [
] behaviour). With respect to the third
criterion, encompassed by s. 753(1)(a)(iii) (that Mr. Aragons behaviour associated
with the offence for which he has been convicted was of such a brutal nature
as to compel the conclusion that the offenders behaviour in the future is
unlikely to be inhibited by normal standards of behavioural restraint), the
sentencing judge referred to the brutality of beating a man with a baseball bat
about the head and body. He also noted that Mr. Aragons last offence involved
beating a man with a golf club. Beyond this, the sentencing judge simply expressed
agreement with Crown submissions, said he reviewed the evidence [and]
considered the submissions, and stated that he found the evidence of Dr.
McMaster to be important in the context of the courts need to assess the
personality traits of the offender outside of the realm of the proven facts of
his criminality.
[161]
The second concern I see relates to the fact that Mr. Aragon
provided extensive submissions as to why he should not be designated a
dangerous offender, and that if he was designated a dangerous offender, why an
indeterminate sentence was not appropriate. The sentencing judge did not
acknowledge or address those submissions directly.
[162]
In simple terms Mr. Aragon argued that although the Crown could
establish a pattern of repetitive or aggressive behaviour, it could not establish
the likelihood that in the future he would inflict severe damage to other
persons or that he would be indifferent to the reasonably foreseeable
consequence of his behaviour. He also argued that the Crown had not proved the
brutality required by s. 753(1)(a)(iii).
[163]
Specifically, Mr. Aragon submitted that the crimes he had been
convicted of were not exceptionally serious. They were among the least serious
of the offences that qualified an offender for a dangerous offender
designation, and Mr. Fernandes had not received life-threatening injuries. There
was no evidence of the precise role that Mr. Aragon played in inflicting those
injuries, or as to the current state of Mr. Fernandes injuries. Three others
who pleaded guilty to participating in the same attack received sentences of
less than two years incarceration. While I appreciate that a sentencing judge
is not required to respond to every argument, I note that none of these
important points were acknowledged or addressed by the sentencing judge.
[164]
Mr. Aragon also submitted that he does not pose the kind of rare
risk that warrants a dangerous offender designation or an indeterminate
sentence. Noting that this designation is to be exceptional and used with
restraint, he argued that he is not exceptionally dangerous when compared to many
other offenders. He further noted that he had received a Psychopathy Checklist-Revised
score that put him in the 75th percentile relative to North American offenders,
such that a dangerous offender designation was unnecessary because 25% of
offenders produced higher scores. In his submissions, Mr. Aragons counsel also
closely scrutinized the evidence that Dr. McMaster provided about the
limitations of the psychological tests in predicting the risk of violence, let
alone serious violence. He also emphasized Dr. McMasters concession that Mr.
Aragons scores likely overestimate his risk of serious violence and do not
account for the effect that legal conditions could have on his behaviour. Mr.
Aragon also relied on testimony furnished by Dr. McMaster that the primary causes
of his criminality were dynamic his affiliation with gangs and his substance
abuse and that he was treatable using programming, long term substance use
treatment, and pharmaceuticals. Mr. Aragon had yet to receive any of these
treatments. These arguments were not acknowledged or directly engaged with by
the sentencing judge, beyond his finding that Mr. Aragon has not demonstrated a
motive to rehabilitate, his conclusion that Mr. Aragons affiliation with gangs
was entrenched, and his general dismissal of Dr. McMasters comments about
Mr. Aragons treatability as expression[s] of hope.
[165]
Mr. Aragon also cited evidence of his remorse for the crimes he has
committed, his family and community support, the progress he has made while
incarcerated, his impressive record of education and vocational training, and
the termination of his relationship with Mr. Pammetts daughter. The sentencing
judge commended Mr. Aragon for some of these developments in his oral decision,
but simply said in his written decision that [r]egrettably there is little if
anything to suggest that were Mr. Aragon returned to the community that he
would be amenable to control or supervision.
[166]
Mr. Aragon relied on similar arguments to those described above to
urge that even if he was found to be a dangerous offender, he should not
receive an indeterminate sentence, which he argued would not be the least
restrictive, proportionate and acceptable sentence. He added Dr. McMasters
testimony that his risk of offending would be lowered by the passage of time,
such that he would likely pose a lower risk of reoffending after serving a
determinate sentence. The risk would lower particularly if the determinate
sentence was accompanied by a long-term offender designation, a sentence that
carries effective enforcement mechanisms. He emphasized that his history and
profile do not place him in the small group of highly dangerous criminals who
warrant an indeterminate sentence. The sentencing judge characterized Dr.
McMasters evidence about the likely reduction in risk over time as something
that may happen, unsupported by evidence as to when age will assuage the
risk concern.
[167]
In spite of the concerns I have described, I accept that the
sentencing judge provided an intelligible path to his finding that an
indeterminate sentence was required. The outcome is not so clear with respect
to the finding that Mr. Aragon is a dangerous offender, but even with respect
to that finding, I would not find the reasons to be insufficient.
[168]
I do note that the sentencing judge failed to offer a direct explanation
for why Mr. Aragon met two of the three alternative dangerous offender criteria
s. 753(1)(a)(i) and 753(1)(a)(ii). These central issues were contested during
the sentencing hearing, and I see nothing in the record that can explain these
conclusions. If the dangerous offender designation turned solely on these
findings, I would have found the reasons to be insufficient. However, the
sentencing judge also found that Mr. Aragon satisfied the third criterion s.
753(1)(a)(iii). Although a more detailed and direct analysis would have been
preferable given what was at stake for Mr. Aragon, I am not persuaded that the
reasons are legally or factually insufficient. It is evident that the
sentencing judge was persuaded that the attack on Mr. Fernandes was brutal and
conducted with glee. In the course of his written reasons, the sentencing judge
considered Mr. Aragons history of violence and aggression, and he identified
impediments to his self-control, including his personality disorder, his
history of substance abuse, his difficulties with pro-social relations and his
lack of respect for the law. When the sentencing judges reasons are considered
as a whole and in context, his pathway to the finding he made is intelligible.
C.
The Remaining Issues raised by Mr. Aragon on the sentence appeal
[169]
I have found that the sentencing judge erred in identifying the
aggravated facts relevant to the sentencing and that he failed to provide
sufficient reasons for decision relating to: (1) the
viva voce
evidence
that the sentencing judge would hear; (2) the aggravated factual findings
ruling; and (3) a constitutional challenge to the statutory provisions. As I
will explain below, on the basis of these errors, I would allow the sentence
appeal and set aside the dangerous offender designation and the indeterminate
sentence. It is therefore unnecessary to consider whether the sentencing judge
engaged in after-the-fact reasoning, or whether the s. 669.2 hearing was an
unfair process and a miscarriage of justice.
[170]
In the circumstances of this case, I would not attempt to determine whether
the dangerous offender designation and/or the indeterminate sentence were
unreasonable. Although it would ordinarily be beneficial to do so because an
affirmative determination would likely result in the imposition of a final
sentence by this court without the need for a rehearing, it is not in the
interests of justice to address these questions. We do not have the benefit of
a settled record upon which to make this determination, given the sentencing
judges error in establishing the factual foundation relating to the index
offence. In addition, one of Mr. Aragons complaints is that it was unfair for
the sentencing judge to sentence him in the circumstances of this case without
hearing from some of the witnesses. It is preferable in these circumstances and
given the complexity of the record to send this matter back for a rehearing
where a sentencing judge can determine the procedure and facts required to impose
an appropriate sentence.
[171]
Given that I would not venture into a determination of the
reasonableness of the designation and/or the indeterminate sentence, I need not
rule on the fresh evidence application.
D.
If any of these errors occurred, should the appeal be denied
because of the absence of a miscarriage of justice?
[172]
I am persuaded that it would not be appropriate to deny Mr. Aragons
appeal of his dangerous offender designation and sentence, pursuant to s.
759(2)(b) of the
Criminal Code
, on the basis that no substantial wrong
or miscarriage of justice has occurred. This authority to deny an appeal of a
dangerous offender designation is to be used rarely:
R. v. Walker
,
2019 ONCA 765, 381 C.C.C. (3d) 259, at para. 124. The erroneous aggravated
facts ruling played a central role in the dangerous offender designation. In my
view, given the uncertainties that remain surrounding the factual record, and
the sentencing judges failure to offer sufficient explanations for important
rulings made in the course of the sentencing hearing, this would not be one of
those rare circumstances where this jurisdiction should be exercised.
CONCLUSION
[173]
I would dismiss Mr. Aragons conviction appeal. I would allow the
sentence appeal, set aside the sentence, and remit Mr. Aragons sentencing and
the Crowns dangerous offender application to a rehearing before a new judge.
Released: March
24, 2022 G.R.S.
David M. Paciocco
J.A.
I agree. G.R. Strathy
C.J.O.
I agree. C.W.
Hourigan J.A.
[1]
Mr. Aragons counsel had agreed to the Crown relying on transcripts
from his preliminary inquiry in support of its application to admit extrinsic
discreditable conduct evidence.
[2]
Mr. Aragon raised a fourth point when challenging the sufficiency
of the evidentiary foundation, namely that there was no evidence that Mr.
Aragon was a member of the break-away motorcycle gang or that he had left the
Loners on bad terms. In my view, this point is best addressed when considering
whether the trial judge erred in finding that the probative value of the
extrinsic discreditable conduct evidence outweighed the risk of prejudice.
[3]
In contrast, the fact that the Loners published unflattering
information relating to Mr. Pammett on its website is non-hearsay circumstantial
evidence of animosity between the Loners and Mr. Pammett. I will return to this
point below.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Georgian Properties Corporation v. Robins Appleby LLP, 2022
ONCA 245
DATE: 20220328
DOCKET: C69443
Simmons, Pardu and Brown JJ.A.
BETWEEN
Georgian Properties Corporation
Plaintiff (Appellant)
and
Robins Appleby LLP, Leor
Margulies and Anthony Romanelli
Defendants (Respondents)
Milton Davis and Ronald Davis, for the
appellant
Peter Wardle and Evan Rankin, for the
respondents
Heard: February 9, 2022 by
video conference
On appeal from the judgment of Justice Grant
R. Dow of the Superior Court of Justice, dated May 6, 2021, with reasons
reported at 2021 ONSC 1591.
REASONS FOR DECISION
[1]
The appellant, Georgian
Properties Corporation, appeals from a summary judgment dismissing its negligence
action against the respondent lawyers
as statute barred under s. 4 of the
Limitations
Act, 2002
, S.O. 2002, c.
24, Sched. B (the Act).
[2]
The negligence claim
arose from the respondent lawyers work in preparing disclosure documents, two
mortgages and a promissory note for the developer of a condominium project that
was registered in 2010. Once the condominium was turned over to the unit
holders, the condominium corporation refused to pay the two mortgages and the
promissory note. Litigation ensued. The condominium corporation attacked the
adequacy of the disclosure documents in a factum delivered in June 2017. On
July 7, 2017, a judge declined to strike the factum. In May 2018, the same
judge held that the disclosure documents were insufficient, that the two
mortgages and the promissory note were oppressive and that the promissory note also
violated the
Condominium Act, 1998
, S.O. 1998, c. 19 (the
Condominium Act
).
She accordingly reduced the principal amount of the two mortgages and held the promissory
note was void.
[3]
Georgian Properties
commenced its negligence action against the respondent lawyers in November
2019. On a summary judgment to address the limitation issue, the motion judge concluded
that the appellant knew or ought to have known no later than July 7, 2017, when
a judge declined to strike the condominium corporations factum, that it had a
claim against the respondent lawyers for which a proceeding was an appropriate
remedy.
[4]
For the reasons that
follow, we allow the appeal.
Background
[5]
Georgian Properties
is the successor
[1]
to a developer that, in 2010,
completed development of a Scarborough residential condominium.
[6]
The condominium was
registered as Toronto Standard Condominium Corporation No. 2051 (TSCC 2051)
on February 1, 2010. On April 12, 2010, the original developer-controlled TSCC
2051 board of directors was turned over to an elected unit holders board of
directors (the Board turnover).
[7]
The respondent lawyers
acted for the developer in relation to the development of the condominium
project and the sale of individual units.
[8]
As part of their retainer,
the respondents drafted various documents relating to the condominium project, including:
disclosure documents for distribution to potential unit purchasers; agreements
of purchase and sale for unit purchasers; and the following two vendor-take-back
mortgages and a promissory note from TSCC 2051 to the developer that were
entered into prior to the Board turnover:
·
a multi-year mortgage in the amount of $2,122,000
plus 10% annual interest for the cost of HVAC system components sold by the
developer to TSCC 2051 to be installed in individual residential units but form
part of the common elements (the HVAC mortgage);
·
a multi-year mortgage in the amount of
$1,026,375 plus 10% annual interest relating to surplus parking spaces and
storage units sold by the developer to TSCC 2051 (the parking unit mortgage);
and
·
a promissory note for $90,034.26 plus 12% annual
interest to cover the cost of land transfer tax paid by TSCC 2051 when the developer
transferred the condominium to TSCC 2051 (the promissory note) (the foregoing
will be collectively referred to as the "debt instruments).
[9]
Following the Board
turnover, TSCC 2051 refused to make payments to the developer or its successors
on account of the debt instruments.
[10]
On September 20, 2011,
TSCC 2051 sued the developer and its principals and successors (hereafter, collectively
the developer). TSCC 2051 advanced several claims, including negligence,
breach of contract and breach of warranty relating to construction deficiencies.
In addition, TSCC 2051 requested declarations that the HVAC mortgage, the
parking unit mortgage and the promissory note were null and void, alleging overpricing,
oppression
[2]
and failure to comply with the
Condominium Act
. In a statement of defence and
counterclaim, the developer counterclaimed for enforcement of the debt
instruments. Among other things, in relation to the enforceability of the debt
instruments, the developer asserted it had made proper disclosure as required
under the
Condominium Act
.
[11]
Prior to the
developers 2016 bankruptcy, an agreement was reached under which:
·
the claim for construction deficiencies was
settled;
·
the debt instruments were assigned to Georgian
Properties;
·
Georgian Properties was entitled to pursue the
counterclaim for enforcement of the debt instruments and would be bound by the
decision in the action concerning their validity and enforcement; and
·
the claims and counterclaim concerning the debt
instruments would be dealt with by summary judgment motion.
[12]
Prior to the scheduled
summary judgment motion, TSCC 2051 sought leave to amend its statement of claim
to add, among other things, claims that the condominium disclosure documents were
inadequate. On May 3, 2016, a master permitted the amendments. On December 15,
2016, a Superior Court judge overturned the masters decision regarding the
disclosure documents and disallowed those amendments.
[13]
The parties subsequently
exchanged factums addressing the validity and enforceability of the debt
instruments for the summary judgment motion. In its factum seeking judgment for
payment of the debt instruments, Georgian Properties claimed the debt
instruments had been properly disclosed under the
Condominium
Act
. In a responding
factum, TSCC 2051 attacked the adequacy of the disclosure documents.
[14]
On July 5, 2017,
Georgian Properties moved to strike TSCC 2051s factum. On July 7, 2017,
Akbarali J. declined to strike the TSCC 2051 factum paragraphs alleging
inadequate disclosure. She ruled that as Georgian Properties was relying on the
adequacy of its disclosure documents, it would be unfair to preclude TSCC
[2051] from joining in those issues.
[15]
In November 2017, Georgian
Properties rejected an offer to settle from TSCC 2051 for $3,500,000.
[16]
The summary judgment
motion was argued before Akbarali J. on April 3-4, 2018.
[17]
While the decision on
the summary judgment motion was under reserve, Georgian Properties offered to
settle the action for $6,000,000.
[18]
Subsequently, on May 31,
2018,
Akbarali J. found the developers
disclosure with respect to the debt instruments insufficient. She held that the
HVAC mortgage was oppressive based on the reasonable expectations of the
purchasers concerning what was included in their purchase. She reduced the principal
amount from $2,122,000 to $652,050.
[19]
Based on expert opinion
concerning the value of unsold parking spaces and storage units, Akbarali J. also
found the parking mortgage oppressive and reduced the principal from $1,026,375
to $73,000.
[20]
Finally, Akbarali J.
found the
$90,034.26
promissory note oppressive and contrary to s. 56(3) of the
Condominium Act
and set it aside in its entirety.
[21]
In the result,
Akbarali J.
found TSCC 2051 owed Georgian Properties approximately
$1,625,000 for principal and accrued interest in relation to the debt
instruments out of roughly $7,000,000 that had been claimed. This court upheld
her decision on January 24, 2019.
[22]
On November 19, 2019, the
appellant issued its statement of claim alleging the respondent lawyers were
negligent in preparing disclosure documents for the condominium project and in
providing advice concerning the debt instruments.
Relevant Provisions of the Act
[23]
Section 4 of the Act
sets out the basic limitation period of two years from the date a claim was
discovered:
4. Unless this Act provides
otherwise, a proceeding shall not be commenced in respect of a claim after the
second anniversary of the day on which the claim was discovered.
[24]
Claim is defined in
s. 1 to mean, a claim to remedy an injury, loss or damage that occurred as a
result of an act or omission.
[25]
Sections 5(1) and (2)
set out the basic principles governing discovery of a claim:
(1) A claim is discovered on the earlier
of ,
(a) the day on which the person
with the claim first knew,
i.
that the injury, loss or damage had occurred,
ii.
that the injury, loss or damage was caused by or
contributed to by an act or omission,
iii.
that the act or omission was that of the person
against whom the claim is made, and
iv.
that, having regard to the nature of the injury,
loss or damage, a proceeding would be an appropriate means to seek to remedy
it; and
(b) the day on which a reasonable
person with the abilities and in the circumstances of the person with the claim
first ought to have known of the matters referred to in clause (a).
(2) A person with a claim shall be
presumed to have known of the matters referred to in clause (1) (a) on the day
the act or omission on which the claim is based took place, unless the contrary
is proved.
The Motion Judges Decision on the Limitation
Issue
[26]
The parties agreed that
the limitation issue could be disposed of by way of summary judgment motion.
[27]
The motion judge rejected
Georgian Properties argument that it did not suffer a loss until Akbarali J.s May
2018 decision. He found that Georgian Properties was suffering a loss as of April
2010 when TSCC 2051 refused to make payments under the debt instruments. He
further held that Georgian Properties knew or ought to have known it had a
claim against the respondent lawyers for which a proceeding was the appropriate
remedy no later than July 7, 2017, when Akbarali J. refused to strike portions
of TSCC 2051s factum alleging inadequate disclosure.
The Appellants Position on Appeal
[28]
On appeal, Georgian
Properties submits the motion judge erred in holding it was suffering a loss
when TSCC 2051 refused to make payments on the debt instruments. It contends
that mere default on a fully secured mortgage or debt instrument does not give
rise to injury, loss or damage under s. 5(1)(a)(i) of the Act. It reiterates
its position in the court below that it suffered no injury, loss or damage
until Akbarali J.s May 2018 decision. Moreover, it asserts it would have no
cause of action until that finding. Nor would a proceeding be an appropriate
means to seek a remedy under s. 5(1)(a)(iv) of the Act until that finding was
made.
The Respondents Position on Appeal
[29]
The respondent lawyers argue
that injury, loss or damage within the meaning of s. 5(1)(a)(i) of the Act occurred
when the debt instruments were first given or, in the alternative, when TSCC
2051 refused to make payments under the debt instruments. They point to
Central Trust v. Rafuse
, [1986] 2 S.C.R. 147, involving a mortgage that was
found to be void
ab initio
. However, the court noted, at p. 219, that
the usual date for damage to occur in a solicitors negligence case is at the
time of the solicitors breach of duty. See also
Hamilton
(City) v. Metcalfe & Mansfield Capital Corporation
, 2012 ONCA 156, at para. 49, where this
court observed that the determination in
Central
Trust
as to when damage
occurred was premised on the mortgagee receiving something less valuable than
what it had transacted for as a result of the solicitors negligence.
[30]
In this case, Akbarali J.
found the debt instruments oppressive. The respondent lawyers submit the debt
instruments were thus worth less than their true value from the outset and that
is when Georgian Properties suffered injury, loss or damage. Accordingly, the
real question is when Georgian Properties discovered, or ought reasonably to
have discovered, that injury, loss or damage had occurred.
[31]
Relying on
Grant Thornton LLP v. New Brunswick
, 2021 SCC 31, at para. 42, the respondent
lawyers submit that Georgian Properties negligence claim against them was
discoverable when it had knowledge, actual or constructive, of the material
facts upon which a plausible inference of liability on [the respondent
lawyers] part [could] be drawn.
[32]
The respondent lawyers
submit the motion judge found as a fact that the loss or damage was
discoverable on July 7, 2017 when Akbarali J. declined to strike TSCC 2051s
factum alleging insufficient disclosure. Moreover, they assert that finding, as
set out below, is subject to deference on appeal:
Clearly, as of the Endorsement of Justice
Akbarali on July 7, 2017, [Georgian Properties] was specifically made aware a
reason for the dispute was the prospect that the disclosure to unit holders was
inadequate and the Promissory Note was void. Equally clear, the loss it was
facing could be the result of an act or omission of the individuals or law firm
that drafted the documents [Georgian Properties] was relying on. That is, if
TSCC 2051s defence and allegations were correct, [Georgian Properties] had a
claim against [the respondent lawyers] for any shortfall in its recovery.
[33]
Further, once Georgian
Properties claim was discoverable, it was not entitled to wait and see the
result of the summary judgment motion concerning the enforcement and validity
of the debt instruments. A proceeding was appropriate under s. 5(1)(a)(iv) of
the Act once Georgian Properties knew the material facts upon which a plausible
inference of liability could be drawn.
Discussion
[34]
We accept Georgian
Properties position that the motion judge erred in law in holding it had
suffered a loss when TSCC 2051 failed to make payments under the debt
instruments.
[35]
The injury, loss or
damage at issue under s. 5(1)(a)(i) of the Act must be caused by or contributed
to by an act or omission of the defendant in the action: s. 5(1)(b) and
(c) of the Act.
[36]
In an action for
solicitor negligence, the question whether injury, loss, or damage has occurred
within the meaning of s. 5(1)(a)(i) will not generally turn on compliance by
third parties with their obligations under documents or instruments prepared by
the solicitor. The fact that the mortgages in this case were fully secured
illustrates the point. Had the mortgages in this case been valid and fully
enforceable, Georgian Properties could have recovered the full amount owing to
it by enforcing its security. No loss would have occurred even though the
mortgages had remained unpaid for many years.
[3]
[37]
In a solicitor
negligence case such as this, the question of whether injury, loss or damage
has occurred must turn on matters such as the validity and enforceability of the
documents and instruments that were prepared.
[38]
However, even assuming the
respondent lawyers position that injury, loss or damage occurred when the debt
instruments were given is correct, we are satisfied that the motion judges erroneous
finding that Georgian Properties was suffering a loss when TSCC 2051 failed to
pay skewed his analysis of when Georgian Properties ought to have discovered
its injury, loss or damage.
[39]
It is well-established
that the question when a party has, or ought to have, discovered a claim under
s. 5 of the Act requires a fact-based analysis dependent on the circumstances
of each case:
Kaynes v. BP p.l.c.
, 2021 ONCA 36, at para. 56;
Ferrara v. Lorenzetti, Wolfe Barristers and Solicitors
, 2012 ONCA 851, 113 O.R. (3d) 401, at
paras. 71-2;
Lipson v. Cassels Brock &
Blackwell LLP
, 2013 ONCA
165, 114 O.R. (3d) 481, at paras. 76-77, 84.
[40]
Here, a predominant feature of the motion
judges discoverability analysis was his finding that Georgian Properties had
suffered a loss by virtue of TSCCs non-payment of the debt instruments.
Examined through that lens, given that the loss had crystalized and was obvious,
the motion judge moved easily to a conclusion that Georgian Properties ought to
have discovered its claim, at the latest, when Akbarali J. refused to strike
TSCC 2051s factum attacking the sufficiency of the disclosure documents, which
had been prepared by the respondent lawyers.
[41]
However, once it is recognized the motion
judges finding that Georgian Properties suffered a loss when TSCC 2051 failed
to pay the debt instrument is incorrect, the discoverability analysis must become
more nuanced. Even assuming the respondent lawyers are correct that loss
occurred when the debt instruments were given because they were ultimately
found to be oppressive, the loss had not crystalized as of July 7, 2017 when
Akbarali J. declined to strike TSCC 2051s factum. Considered in that context,
the issue of Georgian Properties reasonable expectation of success on its
counterclaim to enforce the debt instruments takes on greater significance. Even
if the respondent lawyers breached the standard of care in relation to disclosure,
no injury, loss, or damage would be caused by their conduct if the debt
instruments remained valid and enforceable.
[42]
The principals of Georgian Properties gave
unchallenged evidence that they expected to be successful on their counterclaim
to enforce the debt instruments. No issue of implied waiver of privilege was
raised and there is no indication in the record that anyone advised them
otherwise. Their stance in rejecting an offer to settle for $3,500,000 and
offering to settle for $6,000,000 supports the credibility of their claim.
[43]
Further, the circumstances of this case are
unusual. TSCC 2051 did not raise the issue of inadequate disclosure in its
original 2011 statement of claim. When it attempted to amend its pleadings to
add that claim in 2016, its request was denied. Nonetheless, it was permitted
to raise the issue in a 2017 factum. However, inadequate disclosure was only
one facet of TSCCs arguments in the factum and Georgian Properties advanced
arguments in response.
[44]
Given the overall circumstances of this case, we
are not persuaded the record demonstrates Georgian Properties, or a reasonable
person with its abilities and in its circumstances, had all the material facts
necessary to draw a plausible inference of liability with respect to any
potential negligence claim against the respondent lawyers prior to November 19,
2017.
[45]
In general, the mere fact that allegations are
made in a proceeding that could trigger a claim for solicitor negligence if
successful should not automatically signify that the requirements of s. 5(1) of
the Act are met and that the party with the potential claim must immediately
commence action against the solicitor(s). Further investigation and assessment may
be required. To hold otherwise could lead to costly and unnecessary litigation.
[46]
Here, the allegations were made in a factum delivered
many years after the proceeding had been commenced, had previously been
foreclosed on appeal and were only one facet of the arguments advanced. To conclude
that Georgian Properties ought to have drawn a plausible inference that it had
suffered a loss and recognized that a proceeding was an appropriate remedy
between July 7, 2017 and November 18, 2017 would, in our view, be unreasonable.
In our view, the motion judges conclusion that
the appellant knew or ought to have known no later
than July 7, 2017 that it had a claim against the respondent lawyers for which
a proceeding was an appropriate remedy was tainted by his incorrect conclusion
that loss occurred when TSCC 2051 stopped paying the debt instruments. There is
no suggestion on this record that there was any tactical reason for not
starting the action earlier, or that proceeding in this manner inappropriately
fragmented the resolution of the issues, by litigating in installments.
Disposition
[47]
Based on the foregoing reasons, the appeal is
allowed, the motion judges order dismissing the action is set aside and
summary judgment is granted to Georgian Properties dismissing the respondent
lawyers limitation defence.
[48]
Costs of the appeal are to Georgian Properties
on a partial indemnity scale fixed in the amount of $50,000 inclusive of
disbursements and HST.
Janet Simmons J.A.
G. Pardu J.A.
David Brown J.A.
[1]
The developer and a successor company declared bankruptcy in 2016.
Georgian Properties is an assignee of the debt instruments forming the subject
matter of the negligence claim against the respondent lawyers. It is also a
bankruptcy creditor of the developer and its successor.
[2]
The oppression claim was added by an October 31, 2011 amendment.
[3]
We would observe that the prescription periods for an action
by a mortgagee against a mortgagor generally are governed by the
Real Property Limitations Act
, R.S.O.
1990, c. L.15, not the
Limitations Act,
2002
.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Tokarz v. Selwyn (Township), 2022
ONCA 246
DATE: 20220325
DOCKET: C68519
Pepall,
Thorburn and Coroza JJ.A.
BETWEEN
Edward
Tokarz and Jacqueline Tokarz
Plaintiffs (Respondents)
and
Cleave Energy Inc. and
The Corporation of the Township of Selwyn
Defendants (
Appellant
)
Lesley
Albert and Michael Connolly, for the appellant The Corporation of the Township
of Selwyn
David A. Morin and Peter Reinitzer, for
the respondents Edward and Jacqueline Tokarz
Heard: February 4, 2022 by
video conference
On appeal from the order of Justice Hugh
K. OConnell of the Superior Court of Justice, dated February 17, 2021, with
reasons reported at 2020 ONSC 4115.
Thorburn J.A.:
I.
OVERVIEW
[1]
The appellant, The Corporation of the Township
of Selwyn (the Township) issued a building permit that allowed Cleave Energy
Inc. (Cleave)
to install a metal roof and
solar panels on the respondents, Edward and Jacqueline Tokarzs, barn.
[2]
The Township admitted that its actions fell
below the requisite standard of care because: (a) it did not require an
engineer to review the solar panel installation before closing the building
permit as required under the provisions of the Ontario
Building Code
,
O.Reg. 350/06 (the Building Code) and (b) failed to note that the method of
connecting the solar panel rails to the roof did not match the design. The
trial judge held that the Township was liable for 45% of the respondents total
damages of $
918,084.30
. This
amounted to $413,137.93.
[3]
The Township challenges both the apportionment
of damages as between the Township and Cleave, and the damage award.
[4]
The Township claims it was held to an unreasonably
high standard of care as though it were an insurer of the barn. The Township
claims its only duty was to inspect the respondents barn to
prevent risks to the occupants health and safety
and
that, because the defects in the barn installation posed little or no risk to
health and safety, the Township should only have been held responsible for 15%
of the losses. The Township claims
this
apportionment is consistent with the apportionment of liability
against municipalities in other similar cases.
[5]
The Township also challenges the total quantum
of damages awarded to the respondents. It claims that the trial judge provided
no reasons to support the quantum of damages and simply accepted the damage
award put forward by the respondents expert, Mr. Koerth. The Township claims
the evidence the trial judge relied on was not evidence proffered by Mr. Koerth,
but the evidence of another of the respondents experts, Mr. Pitre. Unlike the
Townships estimate, Mr. Pitres estimate was unsubstantiated and unsupported
by other evidence.
[6]
For the reasons that follow, I would dismiss the
appeal with respect to the apportionment of liability to the Township, but
allow the appeal with respect to the quantum of damages. I would remit the case
to the Superior Court for an assessment of quantum of damages.
II.
BACKGROUND
[7]
The respondents, Edward and Jacqueline Tokarz,
commenced an action in negligence against their contractor, Cleave, and the
Township.
[8]
They claimed that Cleave provided defective
workmanship on their commercial-size barn roof and solar panel system.
The Barn Design and Installation
[9]
The respondents barn design called for a large
solar array to be mounted on the metal roof of a wooden barn structure. The panels
for the solar array were to be placed at an angle that would best capture the
photovoltaic energy of the sun.
The barn was to be
built to support approximately 1155 solar panels along with the required
racking, inverters, panels, disconnects and wiring.
[10]
The solar system was meant to be part of the
Ontario governments Feed In Tariff program
, regulated
by the Independent Electricity System Operator (IESO), formerly the Ontario
Power Authority.
The respondents planned to generate
income from the power they produced from their solar system.
[11]
Cleave installed the solar system on the
respondents farm in July 2011. The installation passed final building
inspection by the Townships municipal inspector on July 28, 2011, and the
permit to construct was granted on that date.
Deficiencies in the Barn Construction
[12]
The parties agree that, in the words of the trial
judge, Cleave botched the solar panel installation in the following ways: (i)
the solar panel rail-to-roof connections installed by Cleave did not match the
design Cleave filed with the municipal permit application; and (ii) the improper
installation of the rail-to-roof connections resulted in many problems,
including excess holes in the roof, damage to the wood structure underlying the
roof, bolts hanging exposed in the air on the underside of the wood panels,
brackets perforating the steel roof, and leakage due to inadequate sealing of
the perforations.
Selwyns Position at Trial in Respect of the
Negligence Claim
[13]
Cleave entered into a
Pierringer
Agreement with the respondents such that the respondents claim against Cleave was
settled before the trial began. The claim against the Township therefore proceeded
but
Cleave did
not participate in the trial.
[14]
At trial, the Township admitted that the actions
of its building department personnel were negligent. The Township did not have an
engineer review the solar panel installation prior to closing the building
permit, as it was required to do by
s. 5.6.2.1 of
Division B, Part 5, of
the
Building Code
.
Consequently, the Township failed to note on
final inspection that the method of connecting the solar panel rails to the
roof did not match the design. It also failed to note obvious deficiencies in
the work done by Cleave.
[15]
The Township did not call its engineer to
testify at trial. Instead it provided a $428,834.45 total repair estimate prepared
by its expert Mr. Peter Ewald, who was a solar panel system installer. He provided
expert costing opinion evidence based on the respondents engineers scope of
repair.
III.
THE TRIAL JUDGES REASONS
[16]
As noted by the trial judge, the Township
admitted its negligence:
The Township of Selwyn had a duty to inspect
the barn and the solar array. Yet the installation proceeded without
appropriate municipal oversight. There were, as the plaintiff argues, obvious
deficiencies in the work of Cleave Contracting, that the Township failed to
have inspected as required by an engineer. Those deficiencies were not
addressed, and the consequent issues with the roof of the barn and the solar
array were not rectified.
As indicated the Township does not suggest
that it acted as it should have pursuant to the
Building Code
and
concedes its negligence subject to apportionment of liability...
[17]
The trial judge therefore focused on the
apportionment of liability and the quantum of damages.
[18]
He concluded that, in respect of the
apportionment of liability:
[A]s the party tasked with building the solar
array and the componentry of that array that [Cleave] should bear 55% of the
liability for damages. I made this determination on the basis that
but for
their originating construction flaws, the damage would not have occurred
.
But that is not the end of the inquiry.
The Township was negligent. That is admitted.
A
proper inspection would have staunched the issue of the poor construction
.
The Township abrogated its role under the
Ontario Building Code
. It
failed to do the most significant factor it was called upon to do, have this
inspected by an engineer. The Township did not do so.
The Township even
closed the permit, knowing that the inspection was not done by an engineer
.
As a consequence,
Cleave was never faced
with Orders to Comply or to render the installation safe
. Cleave would have
been under the clear impression that it was proceeding appropriately and with
Township approval.
I have considered the caselaw as provided by
the parties.
Apportionment of liability I found should be visited 45%
against [the Township
]. I made this determination largely based on the
argument of the plaintiffs in their Closing Statement at paragraphs 180-195
with the caveat that I disagreed with the plaintiffs that Cleave should be
fixed with liability in the amount of 10%.
To have done so would have excused Cleave from
its contributory share of liability as the contractor. But that does not negate
the larger apportionment of liability upon [the Township] based on its
violation of the
Building Code
provisions.
A municipality must abide the building code
provisions. The reason is the very essence of the
Code
requirements
placed upon the municipality.
My attribution of 45% liability recognizes, I
hope, the nature of the negligence of the municipality in this case in the
context of the facts of this case
. The municipalitys conduct, or better
put,
its omission and failure to staunch the negligence of Cleave, mandates
attribution of liability in conjunction with my assessment of the case law in
this amount
. [Emphasis added]
[19]
In his assessment of the quantum of damages, the
trial judge accepted the evidence of the respondents expert and held that,
I have carefully considered the parties
submissions and the evidence. I state unequivocally that the plaintiffs expert
Mr. Koerth defines what a Rule 53 expert is. His evidence was challenged in
depth by the defendant. He provided objective and fair evidence. His knowledge
of the case was thorough. Mr. Koerth was not in the arena as a combatant, as
sometimes happens when expert opinions are challenged.
Inevitably I had to ask myself what is
required to put the plaintiffs in the position that they would have been in but
for the negligence of others.
I agree with the plaintiffs that the
damages
as estimated by [their expert] Mr. Koerth are appropriate
,
on the
assumption that the work to remediate can be done in the Fall. The Fall work
allows for less loss of income given that the saturation of the solar energy
that can convert to electricity is less in the Fall months.
His damage estimates accord with the best
route to take the Tokarzs whole again and put them in a position which they
should have been in
: having a large pole barn and a
very large solar array to generate income for many years to come without the
very significant compromises due to construction defects and Municipal
negligence in not discharging its role under the
Ontario Building Code
.
In this respect I do not agree with the
position of the Township that the Township's breach of the applicable standard
of care does not extend to the cost of roof replacement. The Township was aware
that the roof not only provided the usual reasons for a roof, namely shelter in
a dry and safe environment, but was also a support system for the solar panel
racking and the not insignificant weight of those panels. This was a very large
solar array with the potential to generate substantial income for the plaintiffs.
Simply put, Mr. Koerths evidence and his
numbers
accord with what I find are required repairs to put the Tokarz
in the position that they would have been in but for the negligence as admitted
and proven. The Court has not simply ignored the evidence of the defendants but
has juxtaposed it with that of the evidence of the Tokarz expert
. Mr. Koerth in coming to the conclusion that it has. Anything less,
I find would fix upon the plaintiffs costs that they simply should not bear
now or in future with respect to this issue. [Emphasis added]
[20]
The trial judge held that the total damages were
$918,084.30 and ordered the Township to pay 45%, or $413,137.93.
IV.
THE ISSUES RAISED BY THE APPELLANT
[21]
The issues raised by the appellant Township are:
i.
Did the trial judge apply an incorrect scope of
duty and standard of care to the Township for failure to comply with the
inspection provision in the
Building Code
which caused him to
err in his apportionment analysis?
ii.
Did the trial judge err in his apportionment of
liability? and
iii.
Did he err in assessing the quantum of damages?
V.
ANALYSIS
The First Issue: Scope of Duty and The
Standard of Care
[22]
The trial judge found that the Township breached
its duty of care by failing to inspect the work done, signed off on the work,
and abrogated its role under the
Building Code
. The Township submits
that its duty is narrow when inspecting a building: it has a duty to ensure
that there are no deviations from the
Building Code
that could affect public
health and safety.
[23]
The
Township
relies on
Ingles v. Tutkaluk Construction
Ltd.
, 2000 SCC 12, [2000] 1 S.C.R. 298, at para.
23, wherein Bastarache J. for the court discussed the purpose of the
Building
Code
:
The legislative scheme is designed to ensure
that uniform standards of construction safety are imposed and enforced by the
municipalities.
The purpose of the building inspection scheme is clear from
these provisions: to protect the health and safety of the public by enforcing
safety standards for all construction projects
. The province has made the
policy decision that the municipalities appoint inspectors who will inspect
construction projects and enforce the provisions of the Act. Therefore,
municipalities owe a duty of care to all who it is reasonable to conclude might
be injured by the negligent exercise of their inspection powers. [Emphasis
added]
[24]
In
White v. The Corporation of the Town of
Bracebridge
, 2020 ONSC 3060, 4 M.P.L.R. (6th) 271, at para. 48, DiTomaso
J. explained that,
The
Ontario Building Code
provides
minimum standards for construction so that owners of houses will be safe from
poor construction
. The standard of care is, at a minimum, the
Ontario
Building Code
s requirements.
At trial, Mr. Koerth testified that the minimum standards in Part IX
of the
OBC
could not be ignored without risking the safety of the
buildings occupants. [Emphasis added]
[25]
Contrary to the Townships assertion, the trial
judge did not suggest that the mere existence of defects was sufficient to hold
the Township liable. Rather, the Township was held liable for failing to
perform the inspection it was required to conduct under the
Building Code
,
resulting in the failure to identify and order the deficiencies to be remedied.
[26]
In any event, the trial judge was clearly alive
to the purpose of the
Building Code
, and held that, Water and panels
that are not installed properly are anathema to safety in this paradigm. He found
as a fact that, This barn is not a safe haven with these defects. In
addition, the respondents expert, Mr. Koerth, testified that he had concerns
about the risk of fire.
[27]
For these reasons, I do not agree that the trial
judge misapprehended the scope of the appellants duty of care.
The Second Issue: Apportionment of
Liability
[28]
The Township claims that the trial judge offered
no authority to support his apportionment of liability.
[29]
The Township therefore claims that the trial
judges decision to apportion 45%
of
the damages to the Township constitutes a palpable and overriding
error given the minimal likelihood of harm to health or safety that arose from
its negligence. The Township further claims that 45% is outside the range of
liability usually imposed on municipalities.
[30]
Sections 1 and 3 of the
Negligence Act
, R.S.O. 1990, c. N.1, provide
that:
1
Where damages
have been caused or contributed to by the fault or neglect of two or more
persons, the court shall determine the degree in which each of such persons is
at fault or negligent, and, where two or more persons are found at fault or
negligent, they are jointly and severally liable to the person suffering loss
or damage for such fault or negligence, but as between themselves, in the
absence of any contract express or implied, each is liable to make contribution
and indemnify each other in the degree in which they are respectively found to
be at fault or negligent.
3.
the court
shall apportion the damages in proportion to the degree of fault or negligence
found against the parties respectively.
[31]
Apportionment of liability is an inquiry into
which party failed most markedly to live up to their expected standard of care:
Parent v. Janandee Management Inc.
, 2017 ONCA 922, at para. 15. The
court in
Ingles
at para. 57 held that,
The apportionment of liability is primarily
a matter within the province of the trial judge
.
Appellate courts should not interfere with the trial judges apportionment
unless there is demonstrable error in the trial judges appreciation of the
facts or applicable legal principles. [Emphasis added]
[32]
Likewise, this
court in
Banihashem-Bakhtiari v. Axes Investments Inc.
(2004), 69 O.R. (3d) 671 (C.A.), leave to appeal refused, [2004]
S.C.C.A. No. 145, at para. 8, held that,
A
re-apportionment of liability sought on appeal will only be granted in strong
and exceptional cases.
[33]
In
Ingles,
the court
held that
when
conducting a building inspection pursuant to the
Building
Code
, the city was not required to discover every latent defect in
construction; it is, however, required to conduct a reasonable inspection in
light of all of the circumstances and it will be liable for those defects
that it could reasonably be expected to have detected and to have ordered
remedied:
Ingles
at paras. 20 and 40.
[34]
In this case, the trial judge held that a
proper inspection would have staunched the issue of the poor construction; in
other words, had the Township performed an inspection to the standard required
of it, it would have detected the construction defects that gave rise to the
respondents damages.
Instead,
the Township
failed to properly inspect the
property and Cleave was never faced with Orders to Comply or to render the
installation safe.
[35]
A township falls well below the required
standard of care when it fails to properly review an application for a
building permit, thereby completely failing to discharge its duty to enforce
the
Building Code
for the health and safety of the public:
Breen
v. The Corporation of the Township of Lake of Bays
, 2021, 153 O.R. (3d)
514, at paras. 92-93 and 115. The failure to properly review building plans in
circumstances like these is a marked departure from the standard of care:
Mortimer
v. Cameron
(1994), 9 M.P.L.R. (2d) 185 (Ont. Gen. Div.); revd in part
(1994) 17 O.R. (3d) 1 (C.A.); leave to appeal refused, [1994] S.C.C.A. No. 150.
[36]
In such cases, trial judges are afforded wide
discretion in apportioning damages.
[37]
In this case, the trial judge held the Township
responsible for 45% of the damages to the barn.
[38]
Moreover, the Townships claim that it is not
clear it would have issued an order to comply against Cleave even if it had
discovered the defects in the installation, is belied by the testimony of the
Townships Chief Building Official that I would have involved the contractor
and perhaps the owner as well
.
[39]
Whether the order was sent to the owner or the
contractor, it is clear that Cleave, as the contractor, would have been made
aware of the existence of the need to comply, had such an order been given, to ensure
the building was safe.
[40]
In this case, the Township failed to
properly review the application for a building permit and discharge
its duty to enforce the
Building Code
for the health and safety of
the public
by conducting a reasonable inspection as
required by the
Building Code
. The Township allowed the permit to be issued without performing an
inspection that would, on the findings of the trial judge, have staunched the
poor construction which led to the respondents damages.
[41]
The trial judge considered the case law provided
to him. Contrary to the
Township
s submission, in some circumstances, liability has been imposed on
municipalities of between 50 and 100
%: See
Wood v. Hungerford (Township)
(2004)
,
3 M.P.L.R. (4th) 38 (Ont. S.C.),
revd on other grounds (2006) 24 M.P.L.R. (4th) 45 (Ont. C.A.)
;
Riverside Developments Bobcaygeon Ltd.
v. Bobcaygeon (Village)
(2004)
,
45 M.P.L.R. (3d) 107 (Ont. S.C.),
affd (2005) 30 M.P.L.R. (4th) 29 (Ont. C.A.);
Chapeskie v. Lake of Bays
(1999), 3
M.P.L.R. (3d) 233 (Ont. S.C.) and
Breen
.
[42]
The trial judges apportionment of liability was
not based on a palpable and overriding error of fact or incorrect
interpretation of the law. Nor was there a flawed assessment of the Townships
conduct. As such, and keeping in mind the substantial deference owed to trial
judges in the apportionment of liability absent an error of law or
misapprehension of fact, I find no palpable and overriding error and would
reject this ground of appeal.
The Third Issue: Quantification of Damages
[43]
A damages award is meant to be compensatory, to
put the plaintiffs in the same position they would have been in but for the
negligence of the other party:
Athey v. Leonati
, [1996] 3 SCR 458, at
para. 32.
[44]
A trial judges quantification of damages
attracts significant deference
:
de Montigny v.
Brossard (Succession)
, 2010 SCC 51, [2010] 3 S.C.R. 64, at para. 27.
[45]
The trial judge is presumed to have considered
the evidence in its entirety, absent proof that an omission in his reasons was
due to his misapprehension or neglect of the evidence:
Housen v.
Nikolaisen,
2002 SCC 33, [2002] 2 S.C.R. 235, at para. 72.
[46]
An omission is a material error if it gives
rise to the reasoned belief that the trial judge must have forgotten, ignored
or misconceived the evidence in a way that affected his conclusion:
Van de
Perre v. Edwards
, 2001 SCC 60, [2001] 2 S.C.R. 1014, at para.
15;
Modern Cleaning Concept Inc. v. Comité
paritaire de lentretien dédifices publics de la région de Québec
, 2019 SCC 28
, [2019] 2 SCR 406, at para. 70.
[47]
The Township argues that in this case, no
deference is owed to the trial judges assessment of the quantum of damages. For
the reasons that follow, I agree.
(i)
The trial judge mistakenly concluded that the damage
estimate was Mr. Koerths
[48]
At trial, the Township admitted that the
remediation of the steel roof and removing and installing the solar system was
warranted. The respondents relied on one expert, Mr. Ron Koerth, to testify on
what repairs were required. They relied on another expert, Mr. Jean-Marc Pitre,
to provide costing opinion evidence.
[49]
Mr. Koerth is an engineer who was qualified by
the trial judge as an expert in the area of building analysis. Structure
failure analysis. Costing analysis, and all matters related to the construction
of buildings and the compliance with the Ontario
Building Code
. Mr.
Pitre was an installer of solar panels in Sudbury.
[50]
The trial judge found Mr. Koerth to be an
exemplary witness. This is evidenced by the trial judges reference to Mr.
Koerths evidence as follows:
... I had to ask myself what is required to
put the plaintiffs in the position that they would have been in but for the
negligence of others.
The answer was what Mr. Koerth said it should be
.
...
Simply put
Mr. Koerth's evidence and his
numbers accord with what I find are required repairs to put the Tokarz in the
position that they would have been in but for the negligence as admitted and
proven
.
The Court has not simply ignored the evidence
of the defendants but has juxtaposed it with that of the evidence of the Tokarz
expert[,] Mr. Koerth in coming to the conclusion that it has. Anything else, I
find would fix upon the plaintiffs costs that they simply should not bear now
or in future with respect to this issue.
[51]
However, the trial judge seems to have mistakenly
believed that the estimate of damages he adopted found at page 60 of the
plaintiffs [respondents] submissions at paragraph 245 was Mr. Koerths
estimate. Those damages were actually the sum of several different estimates,
including: an estimate for performing structural repairs to the barn prepared
by a company called Bel-Con, and an estimate for replacing the solar array and
performing structural repairs to the barn prepared by Mr. Pitre. Mr. Koerth did
not make any of the estimates found at paragraph 245 of the plaintiffs
submissions, and in fact, Mr. Pitres estimate included $254,000 for a truss
repair that Mr. Koerth had estimated should cost much less.
[52]
Mr. Koerth did, however, testify that Mr.
Pitres total estimate of $674,000 before tax was a lot more reasonable than
Mr. Ewalds estimate of $375,000 before tax.
[1]
(ii)
Flaws in Mr. Pitres Estimate
[53]
There are also concerns with Mr. Pitres estimate.
[54]
First, Mr. Pitres estimate was not itemized. He
simply provided one global figure for removal of all 1,155 solar panels;
disposal or rails and hardware then re-installation of exist[ing] panels on new
Enviro Energy supplied racking. The quote was a budgetary estimate for
discussion purposes only.
[55]
Second, Mr
. Pitre was
unable to provide an explanation of the breakdown of his estimate. He said he
created a
pro forma
database, entered the information, and used a formula to arrive at his
estimate. However, he was unable to provide the information he put into the
database or the formula upon which the calculation was based, and he never went
to inspect the barn itself.
[56]
Third, there was no specific allocation for
truss repairs. We only know that Mr. Pitre allocated $254,000 for the trusses
and structural repairs because $254,000 was the difference between estimates he
made in 2013 and 2017 for the same scope of work, and on cross-examination, he
testified that the difference came down to the cost of the truss repair.
[57]
Fourth, it is not clear how or why Mr. Pitres
estimate so greatly exceeded that of Mr. Ewald and even that of
Mr. Koerth, whose testimony the trial judge preferred.
Mr. Pitre justified his $254,000 estimate for the trusses on the
basis that the integrity of the roof on the inside is one of the highest costs
of that difference and where that $250,000 is. He explained that the
difference between the estimates was meant to cover the labour and material
cost of doing the structural repairs to the roof. By contrast,
Mr. Koerth estimated the cost of the truss repair to be $25,000 plus
$7,000 in engineering costs and taxes; and Mr. Ewald estimated the cost of the
repair to be about $12,705 plus engineering fees and taxes.
[58]
Fifth, Mr
. Pitre incorrectly
believed that all materials used for the solar panel system had to be sourced
from Ontario, which would raise their cost. In fact, only 50% of the materials
had to be sourced from Ontario.
(iii)
Flaws in the Trial Judges Assessment of Damages
[59]
Moreover, the trial judges assessment of the damage
award was flawed as
:
i.
The trial judge failed to break down the cost of
the remedial work in support of the estimate that he accepted (by simply
adopting Pitres lump sum estimate);
ii.
He failed to weigh and assess the evidence of Mr.
Pitres expert opinion for the respondents and Mr. Ewalds for the Township,
and instead, simply adopted the damages claim provided by Mr. Pitre (mistakenly
referred to as that of Mr. Koerth) with little discussion of its many shortcomings;
and
iii.
The trial judge seems to have committed a
palpable and overriding error by accounting for the cost of replacing the roof
trusses twice: once when he accepted the Bel-Con damages assessment for the barn
(which included a $10,000 remediation for the trusses in its $136,470.10
total), and once when he accepted Mr. Pitres estimate for the solar panels,
which also included a cost of $254,000 for the trusses.
(iv)
Analysis of the Quantum of Damages
[60]
I have concerns about the trial judges adoption
of a damages award that did not include a detailed breakdown; contained what
seems to have been an inflated figure for truss repair; and was not adjusted in
any way for the experts errors on the correct proportions for domestic
content.
[61]
The trial judge could not have meant to include
the cost of the truss repair twice. The fact that he did so affected his
conclusion on the total quantum of damages; it increased the quantum by up to
$254,000.
[62]
I am also troubled by Mr. Pitres inability to
explain the formula which formed the basis of his costing estimate. He claimed
that the reason he was unable to explain the formula for arriving at his
estimate was that it was based on a formula he devised that would take up to 45
hours to reproduce.
[63]
The trial judge failed to give Mr. Pitres
opinion the lesser weight it deserved given that it rested on unproven material
facts:
Marchand v. The Public General Hospital Society of Chatham
(2000),
51 O.R. (3d) 97 (C.A.).
[64]
The respondents also candidly concede that there
was extremely limited discussion of the quantum of damages on the part of the
trial judge.
[65]
The trial judges very limited discussion and
assessment of the quantum of damages, and his failure to address the concerns
about Mr. Pitres evidence as set out above, lead me to conclude that the
presumption that the trial judge considered the evidence respecting the quantum
of damages in its entirety is rebutted.
[66]
The solution, however, cannot be to replace the
respondents assessment of damages with that of the Townships expert, Mr.
Ewald.
[67]
The Townships expert, Mr. Ewald, did provide a
line by line breakdown of the cost of material, labour and expenses as well as
contingencies for remediation including the truss remediation.
[68]
However, Mr. Ewalds estimate is also
problematic as, for example,
i.
Unlike Mr. Pitre, Mr. Ewald was not prepared to
carry out the repairs for the amount of his estimate because he is not a
contractor; this fact caused Mr. Koerth, whose testimony was accepted by
the trial judge and is not in question, to refer to his estimate as less
reasonable than Mr. Pitres;
ii.
Although the trial judge seems to have
double-counted the estimates for truss repair (using both the $254,000 from the
Pitre estimate and $10,000 from the Bel-Con amount used by Mr. Ewald), it is
not clear what the amount for truss repair should be and why;
iii.
Mr. Ewald also erred in assessing the amount of Ontario
product required. He assumed that a certain percentage of product would be
sourced from Ontario, but he believed obtaining the materials from Ontario would
be difficult, if not impossible. He said he would seek an IESO waiver of the
domestic content requirement. Mr. Ewald was not qualified to testify on whether
the Independent Electricity System Operator (IESO) would approve the waiver.
He said it was fair to say that his estimate was conditional on obtaining the
IESO waiver. It is not clear exactly how that would affect his estimate, and
the trial judge made no findings to assist this court in understanding this
evidence.
[69]
Based on the above, there are serious concerns with
both the Townships and the respondents assessment of damages and this court
is not in possession of all information to enable it to quantify the damages.
[70]
For these reasons, further analysis and further
evidence is required to assess the quantification of damages and address these
concerns:
TMS Lighting Ltd. v. KJS Transport Inc.
, 2014 ONCA 1, at
paras. 83, 85. The evidence is not before this court such that this court can
substitute its award for that of the trial judge.
VI.
CONCLUSION
[71]
For the above reasons, I would allow the appeal
in part, set aside the award of damages and remit the action to another judge
of the Superior Court for an assessment of damages.
[72]
The parties agreed that the successful party on
appeal be awarded $30,000 in costs. Given the respondents success on the first
two issues and the divided success on the third, I would award the respondents
$20,000 in costs.
Released: March 25, 2022 S.E.P.
J.A.
Thorburn J.A.
I
agree. S.E. Pepall J.A.
I
agree. Coroza J.A.
[1]
Mr.
Koerth referred to Mr. Brunskills estimate. Peter Brunskill is an engineer
who did not testify, but who instructed Ewald. Brunskill provided options for
repairs and Ewald costed the options.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Gomes, 2022 ONCA 247
DATE: 20220328
DOCKET: C67996
Lauwers, Pardu and Sossin JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Jorge Gomes
Appellant
Carter Martell, for the appellant
Kristen Pollock, for the respondent
Heard: March 9, 2022 by video
conference
On appeal from the conviction entered on
August 15, 2019 by Justice Sean F. Dunphy of the Superior Court of Justice,
sitting without a jury, with reasons reported at 2019 ONSC 4808, and the sentence
imposed on February 14, 2020, with reasons reported at 2020 ONSC 1013.
REASONS FOR DECISION
[1]
The appellant was convicted of two counts of
operating a motor vehicle while impaired by alcohol causing bodily harm
contrary to s. 255(2) of the
Criminal Code
,
R.S.C. 1985, c.
C-46. He appeals against his conviction.
[2]
The appellant was sentenced to a custodial
sentence of 3 years, followed by a 3-year driving prohibition. The appellant
seeks leave to appeal this sentence.
[3]
For the reasons that follow, the appeal is
dismissed.
Background Facts
[4]
The convictions against the appellant arose out
of a motor vehicle accident involving a pick-up truck and two pedestrians at
around 2:00 a.m. on June 3, 2017.
[5]
Three men had just exited a bar on a commercial
stretch of Eglinton Avenue West in Toronto. They began crossing the street on
their way to one of their homes nearby. They paused in the westbound lane, near
the median, to allow a
tow truck to pass them in the
eastbound lane. Seconds later, they were hit by a pick-up truck driven by the
appellant speeding in the westbound lane. The violent collision caused serious
injuries to two of the three men, Mr. Marchese and Mr. De Vellis. The third
man, Mr. Hedman, was not hit and suffered no injury.
[6]
At trial, there was an agreed statement of
facts. The appellant admitted the time, date and place of the accident, and that
he was driving the vehicle involved in the accident. He admitted that he had a
blood alcohol concentration at the time of the accident of between 150 mg and
185 mg of alcohol in 100 ml of blood. The appellant also admitted that the
injuries sustained by the two pedestrians constituted bodily harm for the
purposes of s. 255(2) of the
Criminal Code
.
[7]
The trial judge heard evidence from a number of
witnesses, including the three pedestrians; Mr. Martins, the driver of a tow
truck who passed the pedestrians just prior to the collision; Officer
Persichetti, a police officer who attended the scene of the accident; Detective
Constable Chin, a police officer with expertise in the investigation and reconstruction
of motor vehicle collisions; and an expert toxicology witness who testified on
the effects of alcohol impairment on drivers of motor vehicles. The appellant
did not testify.
[8]
Detective Constable Chin testified about data
drawn from the pick-up trucks sensing diagnostic module (SDM), which
recorded pre- and post-crash data. DC Chin testified that the SDM did not
record continuously but began recording in response to certain events. The
moment the system began recording was referred to as Algorithm Enabled
(AE), and the system captured data for the five seconds preceding. He
testified that AE could have been triggered by rapid deceleration or by a
collision.
[9]
The trial judge found that the appellant was
impaired, based on the admission that the appellant had a blood alcohol
concentration of between 150 mg and 185 mg of alcohol per 100 ml of blood at
the time of the collision and expert evidence as to the degree of impairment
this would cause. The trial judge also noted that it was agreed that the harm
suffered by Mr. De Vellis and Mr. Marchese amounted to bodily harm, and that
the overwhelming evidence indicated that the bodily harm arose as a direct
consequence of the collision, in which the appellants truck struck the two
men.
[10]
The trial judge concluded that the Crown had
established that the appellants impaired driving caused bodily harm, based on
the following findings of fact:
·
The three pedestrians ought to have been visible
in the roadway to the driver of a pick-up truck and in conditions of good
lighting for four to five seconds before the collision;
·
At the time the three pedestrians reached the
area of the median, the appellants vehicle was far enough away from the
pedestrians so as not to be perceived as a danger by the tow truck driver, Mr.
Martins, and to provide ample opportunity for the appellant to react to the
presence of the pedestrians in a way that would have avoided the accident
entirely;
·
The appellant was driving at a high rate of
speed (over 50 percent above the posted speed limit of 50 km per hour) and was
accelerating as he approached the scene until the last instant, depriving
himself of some of the reaction time that might otherwise have been available
to avoid the collision;
·
The appellant was travelling towards the
pedestrians at a time when his faculties needed to process and deal with
emerging risks and hazards were impaired by the presence of significant
quantities of alcohol in his system; and
·
There was no evidence that the appellant noticed
the imminent collision more than an instant before it occurred, because there
was no indication of more than minor braking prior to the hard braking and no
indication that the appellant reacted to the presence of the pedestrians by
using some of the room that was available in the curb lane to attempt to steer
his vehicle away from harm prior to the collision.
[11]
Based on these findings, the trial judge found
that the Crown had met the standard of proof required to convict the appellant
for operating a motor vehicle while impaired by alcohol causing bodily harm
contrary to s. 255(2) of the
Criminal Code
.
ANALYSIS
[12]
The appellant raises the following grounds of
appeal against the conviction:
(1)
The trial
judge made findings of fact unsupported by the evidence; and
(2)
The trial
judge reached an unreasonable verdict.
[13]
The appellant also seeks leave to appeal against
the sentence imposed. The appellant argues that the trial judge failed to appropriately
consider mitigating factors such as his remorse, and gave inadequate weight to
collateral immigration consequences, in determining the sentence. The appellant
also submits that the trial judge erred in relying on the Superior Court of
Justice decision in
R. v. Bulland
, 2019 ONSC 4220 (
Bulland ONSC
),
revd 2020 ONCA 318 (
Bulland ONCA
), to determine an appropriate
sentence.
[14]
Each ground of appeal is addressed in turn.
The trial judges findings were available on the evidence
[15]
With respect to the first ground of appeal, the
appellant argues that the trial judge made four findings of fact unsupported by
the evidence in determining legal causation.
[16]
The trial judge held that in order to find the
appellant guilty of impaired driving causing bodily harm, he must find not only
that the appellant was impaired but also that the bodily harm suffered by the
pedestrians was caused as a result of the appellants impaired operation of the
pick-up truck. He stated, at para. 88, If the accident was not avoidable or if
there is reasonable doubt as to whether it was avoidable, then the necessary
causal relationship will not have been demonstrated by the Crown to the
required standard of proof.
[17]
First, the appellant argues that the trial
judges finding that it was safe for the pedestrians to cross the road, based
on the evidence of the eyewitnesses, was contradicted by physical evidence,
namely the fact of the collision and the SDM data from the appellants vehicle.
Second, the appellant submits that the trial judge erred in finding that a
sober driver would have swerved to avoid the pedestrians because there was no
evidence that this manoeuvre would have avoided the collision or would have
been possible. Third, the appellant submits that the trial judges finding that
the pedestrians were on the roadway and visible for at least four to five seconds
was based on two premises unsupported by the evidence, namely the speed of an
unhurried pedestrian and the width of the westbound lanes. Fourth, the
appellant submits that the trial judge erred in finding that the appellant only
responded to the pedestrians at the last second before impact, which
misapprehended the AE evidence.
[18]
We reject these submissions.
[19]
First, the trial judge accepted portions of the
evidence of the pedestrians as to their position on the road prior to the
collision and the fact that they did not believe they were in danger from
westbound traffic when the tow truck passed them. The trial judge also relied on
the testimony of Mr. Martins, the tow truck driver, as to the proximity of the
appellant when he passed the pedestrians. The trial judge stated, at para. 63:
All allowances being made for the frailty of
memory when it comes to re-constructing events in minute detail, Mr. Martins
evidence does provide some reliable information. He
did
have
his attention drawn to the three men crossing the road as he came alongside
them. There was nothing that he saw whether it be their direction and speed
relative to his own or the state of any on-coming traffic heading towards them
that caused him to become alarmed to the point where a more detailed picture
became imprinted upon his memory. I infer that Mr. Gomes vehicle at this
point was far enough away from this scene as not to appear to pose any danger
to anyone.
[20]
The trial judge relied more heavily on Mr.
Martins testimony to find that the pedestrians were hit after the tow truck
passed them, because Mr. Martins was not directly involved in the incident and
had a specific memory of the actions he took in consequence of hearing the
collision after he passed the pedestrians. It was open to the trial judge to
accept the eyewitnesses testimony that the road was safe to cross, and Mr.
Martins evidence that the collision occurred shortly after he passed the
pedestrians. These findings were not contradicted by the fact of the collision or
the SDM data, given that the SDM data indicated that the appellant was speeding
prior to the collision, and the SDM data only provided information about the
appellants driving, not about when the pedestrians became visible in the road.
[21]
Second, the trial judge relied on scene
photographs to support his finding that there was sufficient room for the
appellant to have swerved to the right to avoid the pedestrians. This finding
was open to him on the record. Third, the trial judge relied on Mr. Marcheses
evidence as to the pedestrians pace, and a five km per hour walking speed as
a rough rule of thumb consistent with the pace, as well as DC Chins lane
measurements, to calculate the length of time the pedestrians were in the road.
It was open to the trial judge to rely on Mr. Marcheses and DC Chins
evidence, and although the five km per hour pace was not in evidence, the trial
judge used this as a rough guide rather than a precise measurement.
[22]
Finally, the appellant submits that the trial
judges finding that at the one second pre-crash data point the brake was
engaged reflects a misapprehension of the AE evidence. However, the trial judge
used this term to refer to data collected prior to the AE, and his reasons
reflect an understanding that the AE was not necessarily the moment of collision.
[23]
Ultimately, the trial judge correctly stated the
test for legal causation and the factual findings he made in order to conclude
that legal causation was established in this case are entitled to deference and
were available to him on the evidence.
[24]
We dismiss this ground of appeal.
The trial judges verdict was reasonable
[25]
Assessing the reasonableness of the verdict
involves asking whether the verdict is one that a properly instructed trier of fact,
acting judicially, could reasonably have rendered:
R. v. Biniaris
,
2000
SCC 15, [2000] 1 S.C.R. 381, at paras. 36-37.
In our view,
the appellant has not established that the verdict was unreasonable.
[26]
The trial judge was
satisfied that the collision was avoidable and that the Crown
established beyond a reasonable doubt that the collision arose as a result of
the impaired operation of the motor vehicle by the appellant.
[27]
The appellant argues that the Crowns evidence was
incapable of proving that the accident was the result of the appellants
impairment from alcohol, and that a sober driver could have avoided the
accident. According to the appellant, the trial judges findings were not supported
by the evidence before him. For example, the trial judge found that speed
played a key role in the collision, but there was no evidence that if he were
driving at the posted speed limit, the collision could have been avoided.
[28]
The appellant also argues that it was unclear
whether his alcohol impairment played any role in the speed he was travelling. The
appellant contrasts this case to
R. v. Hall
, [2004] O.J. No. 4746 (Ont.
S.C.), revd in part 2007 ONCA 8, 83 O.R. (3d) 641, leave to appeal refused,
[2007] S.C.C.A. No. 298, where the trial judge held that a drivers decision to
speed and accelerate through streets with significant car and pedestrian
traffic indicated that the driver was not in possession of all his faculties
(at para. 73). In contrast, this case involved a long stretch of road without
traffic in the middle of the night. According to the appellant, in such
conditions, it is entirely possible that a sober person would also be speeding.
The appellant also submits that the Crown failed to prove that the appellants
reaction, once he observed the pedestrians, indicated impairment, because it
was equally consistent with momentary inattention. The appellant argues that
the trial judges conclusion that the appellants impairment caused the
collision was not supported by the evidence.
[29]
We disagree.
[30]
The expert evidence on the effects of impairment
accepted by the trial judge made clear that the appellants ability to multi-task
and to assess the danger posed by the pedestrians on the street, his vigilance,
his judgment of speed and distance and his reaction time would all be adversely
affected by his impairment. This evidence was consistent with the testimony of Mr.
Martins that the pedestrians would have been visible to on-coming traffic, the
testimony of the eyewitnesses that the appellants vehicle was sufficiently far
away when the tow truck passed the pedestrians that it was not perceived to be a
danger, and the SDM data, which indicated that the appellant was driving well
above the speed limit and accelerating until seconds before he braked and
collided with the pedestrians.
[31]
It was open to the trial judge to conclude that
the pedestrians were visible for four to five seconds prior to the collision
and that the appellant failed to see and react to them due to his impairment.
[32]
We see no basis to conclude that the trial
judges verdict was unreasonable.
The trial judge did not err in the sentence imposed
[33]
The appellant argues that the trial judge gave
insufficient weight to the fact that he was a first-time offender, to his
remorse, and to the serious immigration consequences of his sentence. The
appellant also takes issue with the trial judges reliance on
Bulland ONSC
.
[34]
A trial judges determination of a fit sentence
is entitled to a high degree of deference.
[35]
The trial judge explicitly listed one mitigating
factor in his decision, the fact that the appellant worked cooperatively to
narrow the issues at trial. The trial judge also noted the appellants lack of
prior criminal record.
However, the trial judge concluded that the mitigating factors in
this case were outweighed by the fact that the primary sentencing principles
were denunciation and deterrence in this case.
He stated,
at para. 25:
Mr. Gomes presents as do many offenders
convicted of alcohol-related offences as a very solid citizen. He is a
support for his parents, an integral part of a close-knit family. He has worked
his whole life and is by all accounts a contributing, valuable member of our
community. He has no criminal record. The leniency that these aspects of his
individual make-up might otherwise command is overshadowed by the paramountcy
that must be given to the objectives of general deterrence and denunciation in
this case, by the gravity of the offence and his degree of moral
blameworthiness in it.
[36]
The appellant also submits that the trial judge
erred in giving no specific consideration to the fact that the appellant had
demonstrated remorse by making concessions at trial and refraining from any
attempt to reinstate his drivers licence prior to sentencing. However, to the
extent that making concessions at trial reflected remorse, the trial judge
considered this factor.
[37]
The trial judge also considered the immigration
consequences for the appellant. He acknowledged that, because each of the
offences for which the appellant was convicted carry a maximum sentence of up
to ten years in prison, the appellant could be subject to deportation, and a
custodial sentence of longer than six months would render the appellant unable
to appeal a decision that he be removed from the country. The trial judge
concluded, at para. 13, In the present case, it is quite clear that a sentence
under six months would be manifestly unfit in the circumstances here present
and I cannot be swayed by sympathy for an offender facing dramatic if
collateral immigration consequences to reverse engineer a sentence that is
otherwise unfit to avoid the prospect of removal by immigration authorities
should they determine to exercise their statutory discretion to do so. The
trial judges consideration of the collateral immigration consequences was
consistent with the Supreme Courts direction in
R. v. Pham
,
2013 SCC 15, [2013] 1 S.C.R. 739,
at paras. 14-15.
[38]
The appellant also takes
issue with the trial judges reference to the decision in
Bulland ONSC
,
in
determining the appropriate sentence. In
Bulland ONSC
, the trial judge
imposed a sentence of 39 months for a similar offence. However, in
Bulland
ONCA
,
this court overturned the sentencing decision in
Bulland
ONSC
and reduced the appellants sentence. This courts decision in
Bulland
ONCA
was not available to the trial judge in this case at the time
of sentencing.
[39]
The trial judge in
Bulland ONSC
imposed
a sentence well in excess of the sentence the Crown requested and failed to put
the defence on notice that a higher sentence was being contemplated. The trial
judge also failed to indicate in his reasons why he departed so significantly
from the Crown position. These procedural errors led this court to reduce the
sentence to two years, followed by three years probation, to reflect the Crown
position.
[40]
The appellant submits that had the trial judge
had the benefit of this courts decision in
Bulland ONCA
, he likely
would have started from a range of two years less a day. However, there were no
such procedural errors in this case, and no indication that the trial judge
relied on
Bulland ONSC
to establish a sentencing range. Rather, in
rejecting the range put forward by the defence, the trial judge observed that,
among the cases advanced by the defence,
Bulland ONSC
was the most
comparable. Further, this court in
Bulland ONCA
did not cap the range
of appropriate sentences. Rather, this court commented that a penitentiary
sentence in excess of two years would be appropriate but imposed a sentence of
two years based on the circumstances of the case.
[41]
We would grant leave to appeal the sentence, but
dismiss the appeal.
DISPOSITION
[42]
For these reasons, we dismiss the conviction
appeal, grant leave to appeal the sentence but dismiss the sentence appeal.
P.
Lauwers J.A.
G.
Pardu J.A.
L.
Sossin J.A.
|
WARNING
The President
of the panel hearing this appeal directs that the following should be attached
to the file:
An order restricting publication in this
proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2)
of the
Criminal Code
shall continue. These sections of
the
Criminal Code
provide:
486.4(1) Subject to subsection
(2), the presiding judge or justice may make an order directing that any
information that could identify the victim or a witness shall not be published
in any document or broadcast or transmitted in any way, in proceedings in
respect of
(a) any of the following
offences;
(i) an
offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170,
171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011,
279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any
offence under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED:
S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt with in
the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings in respect of
the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice
shall
(a) at the first reasonable
opportunity, inform any witness under the age of eighteen years and the victim
of the right to make an application for the order; and
(b) on application made by
the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to subsection (2.2),
in proceedings in respect of an offence other than an offence referred to in
subsection (1), if the victim is under the age of 18 years, the presiding judge
or justice may make an order directing that any information that could identify
the victim shall not be published in any document or broadcast or transmitted
in any way.
(2.2) In proceedings in respect of
an offence other than an offence referred to in subsection (1), if the victim
is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible, inform
the victim of their right to make an application for the order; and
(b) on application of the victim
or the prosecutor, make the order.
(3) In proceedings in respect of
an offence under section 163.1, a judge or justice shall make an order
directing that any information that could identify a witness who is under the
age of eighteen years, or any person who is the subject of a representation,
written material or a recording that constitutes child pornography within the
meaning of that section, shall not be published in any document or broadcast or
transmitted in any way.
(4) An order made under this
section does not apply in respect of the disclosure of information in the
course of the administration of justice when it is not the purpose of the
disclosure to make the information known in the community.
2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b);
2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13,
s. 18.
486.6(1) Every person who
fails to comply with an order made under subsection 486.4(1), (2) or (3) or
486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2) For greater certainty, an
order referred to in subsection (1) applies to prohibit, in relation to
proceedings taken against any person who fails to comply with the order, the
publication in any document or the broadcasting or transmission in any way of
information that could identify a victim, witness or justice system participant
whose identity is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. P.F., 2022 ONCA 248
DATE: 20220323
DOCKET: C68749
Pepall, Tulloch and Huscroft
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
P.F.
Appellant
Kenneth W. Golish, for the appellant
Jeffrey Wyngaarden, for the respondent
Heard: March 22, 2022 by video
conference
On appeal from the conviction entered on
October 1, 2020 by Justice George W. King of the Superior Court of Justice,
sitting without a jury.
REASONS FOR DECISION
[1]
The appellant was convicted of historical sexual
offences involving his daughter. The offences were alleged to have occurred
from infancy until she left home at age 17.
[2]
The complainant testified to numerous incidents
of abuse including vaginal intercourse and oral sex. In addition, she said that
the appellant would lie on her bed and rub himself against her; shaved her legs
close to her bikini line; moved his hand along her leg, thigh, and vaginal area
while they were in the car; tackled her in the living room and ground his
genital area into hers while laying on top of her; and entered the shower,
assaulting her there. The complainant testified that the sexual activity
occurred approximately twice per week on average, until she was 17. She could
not estimate how many times it happened.
[3]
The appellant testified in his own defence and categorically
denied the allegations. He suggested that the complainant falsely accused him
because he and his late wife had not accepted her gay lifestyle.
[4]
The appellant raises several arguments on
appeal, the substance of which all concern the trial judges credibility
findings.
[5]
There is no merit to the argument that the trial
judge applied different levels of scrutiny to the evidence. The trial judge was
entitled to accept the evidence of the complainant and to reject the evidence
of the appellant. His findings are entitled to deference.
[6]
The trial judge did not conclude that the
complainant was credible simply because her testimony was consistent and
detailed. He fully explained his credibility findings in comprehensive reasons.
The matters the appellant raises as inconsistencies whether the appellant had
a crossbow, a black belt in karate, or had taken the complainant for an
abortion were peripheral to the allegations at the core of the case.
[7]
The trial judge made no error in applying
R.
v. W.(D.)
, [1991] 1 S.C.R. 742.
His reasons were neither illogical nor irrational. He properly instructed
himself on the principles of that case and applied them carefully. The trial
judge did not simply prefer the complainants evidence; he accepted her
evidence and rejected the evidence of the appellant. This was his call to make
and there is no basis to interfere with it on appeal.
[8]
There were no significant misapprehensions of
the evidence. The positioning of the Christmas tree and the description of the
condition of the carpet in the living room were insignificant details relating
to one alleged assault, not material misapprehensions. The evidence of the
complainants aunt, L.C., that the complainant told her of the abuse decades
earlier was relevant only to rebutting the allegation that the complainant had
recently fabricated her complaint, and any mistake as to the date was
insignificant.
[9]
There was no misapprehension concerning the
appellants tattoo. The trial judge accepted that the complainant became aware
of the unique tattoo on the appellants inner thigh when he required her to
perform sexual acts including oral sex. It was open to the trial judge to
conclude that the complainant was able to describe the tattoo in detail because
she was exposed to the appellants intimate areas for extended periods of time,
consistent with her evidence of repeated abuse.
[10]
Finally, the verdict was not unreasonable. The
appellant simply repeats arguments already made and attacks the trial judges
credibility findings, which as we have said, are entitled to deference. They
can be supported on any reasonable view of the evidence.
[11]
The appeal is dismissed.
S.E.
Pepall J.A.
M.
Tulloch J.A.
Grant
Huscroft J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Crosslinx Transit Solutions General
Partnership v. Ontario (Economic Development, Employment and Infrastructure),
2022 ONCA 250
DATE: 20220324
DOCKET: C69486
Rouleau, van Rensburg and Roberts
JJ.A.
BETWEEN
Crosslinx Transit Solutions
General Partnership and
Crosslinx Transit Solutions Constructors
Applicants
(Respondents)
and
Ontario
Infrastructure and Lands Corporation,
as
representative of the Minister of Economic Development, Employment and
Infrastructure,
as representative of Her Majesty the Queen in Right of Ontario
and Metrolinx
Respondents
(Appellants)
Sharon Vogel, Peter Wardle, Jesse
Gardner and Cheryl Labiris, for the appellants
Matthew Sammon, Andrea Wheeler and
Jacqueline Chan, for the respondents
Heard: January 6, 2022 by
video conference
On appeal
from the judgment of Justice Markus Koehnen of the Superior Court of Justice
dated May 17, 2021, with reasons reported at 2021 ONSC 3567.
COSTS ENDORSEMENT
[1]
On March 7, 2022, we allowed the appeal, set
aside the judgment and costs order of the application judge, and remitted the
application for a rehearing, with costs to the appellants in the agreed upon
all-inclusive amount of $60,000.
[2]
The parties were unable to agree on the disposition of
the application costs. We have received and reviewed their respective written
submissions.
[3]
We agree with the respondents that the fairest
disposition is to leave the issue of the application costs to the trier of fact
on the rehearing of the application, including but not limited to a rehearing
before a judge of the Superior Court and/or in an arbitral process.
[4]
Order to go accordingly.
Paul
Rouleau J.A.
K.
van Rensburg J.A.
L.B.
Roberts J.A.
|
WARNING
The President of the panel
hearing this appeal directs that the following should be attached to the file:
An order restricting
publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or
(4) or 486.6(1) or (2) of the
Criminal Code
shall continue. These sections of
the
Criminal Code
provide:
486.4(1) Subject
to subsection (2), the presiding judge or justice may make an order directing
that any information that could identify the victim or a witness shall not be
published in any document or broadcast or transmitted in any way, in
proceedings in respect of
(a) any of the
following offences;
(i) an offence
under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1,
172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02,
279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence
under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt
with in the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a) at the first
reasonable opportunity, inform any witness under the age of eighteen years and
the victim of the right to make an application for the order; and
(b) on application
made by the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to
subsection (2.2), in proceedings in respect of an offence other than an offence
referred to in subsection (1), if the victim is under the age of 18 years, the
presiding judge or justice may make an order directing that any information
that could identify the victim shall not be published in any document or
broadcast or transmitted in any way.
(2.2) In proceedings in
respect of an offence other than an offence referred to in subsection (1), if
the victim is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible,
inform the victim of their right to make an application for the order; and
(b) on application of
the victim or the prosecutor, make the order.
(3) In proceedings
in respect of an offence under section 163.1, a judge or justice shall make an
order directing that any information that could identify a witness who is under
the age of eighteen years, or any person who is the subject of a
representation, written material or a recording that constitutes child
pornography within the meaning of that section, shall not be published in any
document or broadcast or transmitted in any way.
(4) An order made
under this section does not apply in respect of the disclosure of information
in the course of the administration of justice when it is not the purpose of
the disclosure to make the information known in the community. 2005, c. 32, s.
15; 2005, c. 43, s. 8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014,
c. 25, ss. 22,48; 2015, c. 13, s. 18.
486.6(1) Every
person who fails to comply with an order made under subsection 486.4(1), (2) or
(3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2
) For
greater certainty, an order referred to in subsection (1) applies to prohibit,
in relation to proceedings taken against any person who fails to comply with
the order, the publication in any document or the broadcasting or transmission
in any way of information that could identify a victim, witness or justice
system participant whose identity is protected by the order. 2005, c. 32, s. 15
.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. I.W., 2022 ONCA 251
DATE:
20220328
DOCKET:
C67177
van
Rensburg, Nordheimer and George JJ.A.
BETWEEN
Her
Majesty the Queen
Respondent
and
I.W.
Appellant
Mark C. Halfyard, for the appellant
Caitlin Sharawy, for the respondent
Heard: February 2, 2022 by video conference
On appeal from
the conviction entered on April 30, 2019 by Justice Stephen T. Bale of the
Superior Court of Justice, sitting with a jury.
George J.A.:
[1] The appellant was charged
with sexual assault, sexual interference, uttering a threat to cause death, and
sexual exploitation. He pleaded not guilty, but after his trial a jury found
him guilty of all three sexual offences. He was found not guilty of the uttering
a threat offence.
OVERVIEW
[2] The complainant, M.B., was a
friend of the appellants daughter, M.S. At the time of these events, the
appellant was 38 and 39 years old. The allegations span a period beginning when
M.B. was 15 years old and ending when she was 16 years old.
[3] The appellant acknowledged
that he had a sexual relationship with M.B. but denied that it began before she
turned 16 years old. On the exploitation count, he denied providing the
complainant alcohol and cigarettes.
[4] Apart from the exploitation
count which required a distinct consideration and had more to do with whether
the appellant gave M.B. alcohol and cigarettes in exchange for sex and the uttering
a threat count, the central question for the jury was when did their sexual
relationship commence. This was crucial because, when M.B. was under the age of
16, as a matter of law, she could not consent. Setting aside for a moment the
question of exploitation, if M.B. was over 16, she was capable of consenting.
M.B. turned 16 in mid-May 2016.
[5] The appellant appeals against
conviction, advancing these three grounds:
i.)
the trial judge erred by failing to provide a no probative value
instruction to the jury after the complainants outbursts;
ii.)
the
trial judge erred by permitting the Crown to lead a prior consistent statement,
and in not instructing the jury on its limited use; and
iii.)
the trial
judge erred by failing to adequately correct the Crowns misstatement of the
facts relating to the timing of the alleged assaults in its closing address to
the jury.
[6] The appellant also seeks to
introduce fresh evidence that speaks to when he took possession of a rental apartment
in Brooklin, which is where M.B. says most of the sexual activity occurred.
[7] For the reasons that follow,
I would not admit the fresh evidence and I would not give effect to any of the
grounds of appeal. Accordingly, I would dismiss the appeal.
evidence at trial
Complainant, M.B.
[8] M.B. was 18 years old at the
time of trial. As indicated, she alleged that the events in question took place
when she was between 15 and 16 years old. Pursuant to s. 715.1 of the
Criminal
Code
, she adopted her police statement as part of her evidence at trial.
[9] M.B. and the appellant met in
2015. As mentioned, she and the appellants daughter, M.S., were friends. M.B.
testified that, before New Years Eve 2015, the appellant purchased bras and
underwear for her. She said that after the purchase the appellant texted her and
asked her to send him a picture of her in the underwear. In her statement to
the police, she said she told him no. However, at trial she testified that she
did take a selfie in the underwear and sent it to the appellant. When
cross-examined on the inconsistency she explained that I guess I didnt really
remember it before.
[10] A short time after this event
(and when she was still 15), on New Years Eve 2015, the complainant went
to the residence of M.S.s mother where she spent time with M.S. and the
appellant. M.B. testified that the appellant supplied them both with vodka and
that she became intoxicated. At some point during the evening, M.S. went
upstairs to have a shower. While M.S. was doing that, M.B. said that the
appellant sat beside her on the couch and started to touch her. She testified
that she told him no, but that he moved on top of her and because he was much
bigger there was little she could do to stop him. She said the appellant pulled
her pants down and had intercourse with her. M.S. returned downstairs a short
while later. It seemed, to M.B., that M.S. knew something was amiss, though
nothing was said.
[11] M.B. told the police that
after the New Years Eve incident she became depressed and began to use alcohol
and marijuana to cope. She acknowledged at trial, however, that her problematic
use of alcohol had begun before New Years Eve. According to her police statement,
about three to four weeks after New Years Eve at some point near the end of
January or start of February 2016 she posted on Facebook asking if anyone
could buy [her] a bottle. The appellant messaged her that he could, and they
began communicating over text and Facebook Messenger. She ended up going to his
home in Brooklin, where he lived alone in a basement unit. This was when the
appellant began providing her alcohol and cigarettes and when their sexual
relationship began in earnest. She said something different at trial,
indicating that the first incident after New Years Eve occurred at a home in
Oshawa and not Brooklin. When asked about this inconsistency M.B. explained
that when she spoke to the police, she was merely confused about the location
because most of their sexual encounters occurred in the appellants Brooklin
apartment. According to M.B., the pattern that developed went something like
this: The appellant would supply her with alcohol usually Raspberry Smirnoff
which led to her getting intoxicated and the two having sex. On her account,
they met up once or twice per week. She maintained that she had no other way to
obtain alcohol, except through the appellant.
[12] The two would routinely communicate
through text and Facebook Messenger. M.B. had saved the appellants contact on
Facebook Messenger under a pseudonym. They spoke occasionally by phone, but not
before M.B. turned 16.
[13] During her testimony, several Facebook
messages were tendered. All were sent (or received) after the complainant
turned 16. She testified that she initially deleted their messages on the
appellants request, but she eventually stopped deleting them. Most messages were
from the appellant. M.B. testified that she did not recall responding to most
of them. Near the end of their relationship the appellant sent several angry
messages where, in some of them, he called M.B. derogatory names.
[14] M.B. estimated that they had
sex about 30 to 40 times, on most occasions at the appellants Brooklin
apartment, but sometimes at a house in Oshawa. M.B. was not able to provide an
address for the Oshawa house.
[15] This all came to a head when
M.S. found out about the relationship between M.B. and her father. M.S. learned
of it after looking through M.B.s phone. M.S. blamed M.B., which led to M.S.
and her boyfriend confronting M.B. on August 15, 2016, which ended in
the two having a physical confrontation. As a result, M.S. was charged with
assault. For obvious reasons, the friendship ended.
[16] At trial, and during her
testimony, M.B. had several outbursts. At one point, in the presence of the
jury, she said to defence counsel: Youre defending a creep. Youre defending
a fucking creep. At other points, again with the jury present, she referred to
the appellant as a loser, a creep and a rapist. After the first outburst,
the jury was immediately excused. The appellant then brought a mistrial
application, which was denied. The trial judge did, however, provide a limiting
instruction, which I will return to in my discussion of the first ground of
appeal.
Complainants father, J.B.
[17] The complainants father,
J.B., testified about New Years Eve 2015. He advised that after M.B. returned
home just before midnight she was upset but would not say why. He just
assumed it was because she was having some difficulties with her mother. He
testified that M.B. told him of the relationship in April 2017.
[18] He spoke of the day M.B. made
her complaint to the police, in August 2017. He testified that he drove M.B. to
her part-time job. Once they arrived, M.B. advised that she did not want to
leave the car and go in. It was J.B.s understanding that this was on account
of the rumours that had been swirling among her peers, including her
co-workers, about M.B. and the appellant, rumours that were getting worse and
worse and which had spread online. He then drove her directly to the police
station.
Appellant
[19] The appellant testified that
on New Years Eve 2015 his plan was to visit with his daughter, M.S., at his
ex-wifes house. They were going to celebrate the occasion by eating junk food
and watching movies. He advised that M.B. arrived at around 10:00 p.m., and
that she appeared to be intoxicated. Neither he nor M.S. had been drinking. As
he was getting ready to leave to go and purchase firewood and snacks at a
nearby gas station, M.S. went upstairs, not to have a shower which is what
M.B. said she did but to remove her makeup. The appellant acknowledged that
he got a little frustrated waiting for M.S. as he wanted to return to the house
before midnight. He denied having any sexual contact with M.B. while M.S. was
upstairs. He denied having sex with M.B. that evening or at any time before she
turned 16.
[20] The appellant denied ever
purchasing alcohol or cigarettes for M.B. He acknowledged taking his daughter
and M.B. to the movies and for a pedicure, and taking them to shop before
Christmas in 2015. He explained that he did this as he thought it would assist
in his efforts to repair the relationship with his daughter, which had been
strained.
[21] According to the appellant,
his sexual relationship with M.B. began after she turned 16 and after she sent
him a picture of herself wearing sunglasses. On his account, he could see, in
the reflection of her sunglasses in the photograph, a pornographic website on
her computer. The photograph was captioned I am legal now (M.B. acknowledged
the image and that she might have sent it, but denied it was to initiate sexual
contact with the appellant). The appellant said he thought the picture was a
joke and he showed it to his daughter. He said that, about 40 minutes after
receipt of this message, M.B. wrote him and told him she liked him and asked if
he wanted to hang out. M.B. started coming over and they, typically, either watched
movies or went out for dinner.
[22] He acknowledged having a
sexual relationship with M.B., but not until after she turned 16 in May 2016.
He denied ever offering or providing alcohol or cigarettes in exchange for sex.
He testified that he never owned or rented a home in Oshawa and that he was
never at a home in Oshawa with M.B.
[23] Recognizing the significant
age gap, the appellant described this relationship as unconventional and that,
in hindsight, his was a terrible lapse in judgment. He explained that he was
flattered by the attention of a younger woman. The relationship ended when he
learned she was dating someone closer to her age. He acknowledged sending her
angry and vulgar text messages. He said he did so because he believed she
cheated on and lied to him.
Appellants daughter, M.S.
[24] M.S. is the appellants
daughter. She was also one of M.B.s closest friends. She confirmed, in large
measure, the appellants testimony. She testified that the appellant bought
M.B. a sweater (not underwear), on her behalf, for Christmas, and that he
bought her a sweater and underwear. She also largely corroborated his evidence
about the New Years Eve incident. For instance, she said neither she nor the
appellant consumed alcohol, and that the plan was indeed for the two of them to
watch movies. She testified that when M.B. arrived it was clear she had been
drinking. She said she spoke to M.B. for a moment before going upstairs to, as
the appellant said, take off her makeup. She did not have a shower. She
testified that when she returned downstairs the appellant was wearing boots and
a coat and was ready to go to the store. M.B. did not go with them and was not
at the home when they returned.
[25] M.S. acknowledged having learned
of the relationship between M.B. and her father after perusing M.B.s phone, and
to confronting and assaulting M.B. on August 15, 2016. M.S. was charged and
ultimately pleaded guilty to assault.
Other Defence Witnesses
[26] The tenant who lived in the
Brooklin apartment immediately before the appellant, testified. He said that
while his lease expired on March 31, 2016, he moved out near the end of
February or beginning of March. He recalled that, as he was moving his
belongings from the unit, the landlord brought the appellant by for a showing.
[27] He also recalled that when he
moved into the unit in 2013 the landlord allowed him to take possession a day
or two before the commencement of the lease.
[28] While the jury was not advised
who she was, the appellants parole officer testified. She said the appellant
told her that he was moving into the Brooklin apartment on April 21, 2016. She
visited him there on April 28, 2016, and observed that there was very little
furniture in the unit.
DISCUSSION
Ground #1 Did the trial judge err by
failing to provide a no probative value instruction to the jury after the
complainants outbursts?
[29] The appellant submits that the
trial judge did not sufficiently address M.B.s outbursts. Instead of simply cautioning
the jury against placing too much emphasis on how she testified and directing
them to not rely on it to conclude that the appellant is a bad guy and more
likely to have committed an offence like this, the trial judge should have said
that it was irrelevant and directed them to disregard it in its entirety.
[30] I think it important to,
first, place these outbursts in their proper context. M.B. was a youthful
witness, 18 years old at time of trial, testifying about events that occurred
when she was 15 and 16. Upon my review of the record, it is fair to say that
hers was a lengthy and vigorous cross-examination. She was, understandably, upset
and emotional.
[31] While events like these are
always regrettable, and require some intervention by the trial judge, a
significant degree of deference is owed to their choice of remedy. To that end,
consider what the trial judge actually did. First, he immediately excused the
jury and sought counsels input. The appellant argued that a mistrial should be
declared. He submitted that the outburst was irrelevant, had no probative
value, and was highly prejudicial. The Crown submitted that it was admissible
but urged the trial judge to give an instruction that cautioned the jury
against placing undue reliance on the witnesss demeanour, and against engaging
in propensity reasoning.
[32] Second, he dismissed the
request for a mistrial.
[33] Third, after considering the
position of each party, he had the jury return and provided this instruction:
You will recall, Im sure, that before we
broke for lunch you witnessed an outburst on the part of [M.B.] in which she
expressed the opinion that [the appellant] is a, quote, fucking creep.
Although I will be giving you further instructions at the end of the trial in
relation to the assessment of a witnesss evidence, I want to say something
about it now as a result of that incident. Do not jump to any conclusion, based
entirely upon how any witness has testified. Giving evidence in a trial is not
a common experience for most people. People react and appear differently.
Witnesses come from different backgrounds. They have different abilities, values,
and life experiences. There are simply too many variables to make the witnesss
manner in the witness box, or in this case, the CCTV room, the only or most
important factor in making your decision.
In particular, you must not use the opinion of
[the appellant] expressed by [M.B.] to conclude or help you conclude that he is
a person of bad character and, therefore likely committed the offences charged
because of that bad character.
[34] This instruction, which was
based on wording proposed by the Crown, was adequate in the circumstances. It
addressed both the risks of undue reliance on a witnesss demeanour and
propensity reasoning, which is where the mischief lay. Beyond that what we are
really talking about is a risk that the emotional force of it was too much and
would overwhelm the jury, which would in turn lead them to effectively ignore
instructions on the law. First, this concern is unfounded. There was no reason
to believe that the jury would have ignored instructions on the law on account
of the outbursts. Second, if the concern was that the outbursts would unduly
influence the jurys attitude towards the accused, I would defer to the trial
judges discretion and judgment because he was better positioned than I am now
to assess the potential risks and what would best ameliorate against them.
Short of the trial judge exercising his discretion in a way that is clearly
wrong or based on an erroneous principle, they must be given considerable
leeway to manage what can sometimes be very challenging proceedings:
R. v.
Chiasson
, 2009 ONCA 789, 258 O.A.C. 50, at para. 14. Here, the
trial judge was alive to the issues the outbursts raised, and the concerns of
trial counsel, and then dealt with them in a measured and reasonable manner.
[35] The sufficiency of this
instruction addresses the appellants argument that the jury should have been
told to disregard the outbursts entirely. In other words, while it was open to
the trial judge to provide a stronger instruction, the failure to do so, in the
circumstances of this case, was not an error. This was the trial judges call
to make, and he made it after recognizing the risks that arose from the
outbursts and after seeking and receiving counsels input. I will note, as well,
that this type of evidence can typically cut both ways as defence counsel will
often seize upon such outbursts and rely on them during their final submissions
to show that a witness has an
animus
against the accused.
[36] In any case, the appellant was
not prejudiced by M.B.s outbursts as the jury was sufficiently instructed on
the limited use they could make of it. I would accordingly reject this ground
of appeal.
Ground #2 Did the trial judge err by permitting
the Crown to lead a prior consistent statement and in not instructing the jury
on its limited use?
[37] The appellant submits that the
trial judge erred by allowing the jury to hear that M.B. disclosed what
happened between her and the appellant to her father in April 2017. This, he
submits, was a clear violation of the rule against oath helping as any motive
to fabricate already existed and began either when M.S. learned of M.B.s
relationship with her father or when the physical altercation occurred, which
was in August 2016, some eight months earlier. He also submits that, even if
this disclosure was admissible, the trial judge erred in failing to give a
limiting instruction on its prohibited and permissible uses. He argues that
these errors warrant a new trial.
[38] Prior consistent statements
are presumptively inadmissible:
R. v. Stirling
, 2008 SCC 10, [2008] 1
S.C.R. 272, at para. 5. This is so for good reason. They are self-serving,
typically lack probative value, and are by their very nature repetitive and
redundant. In the normal course, they amount to an improper attempt to bolster
a witnesss credibility. The rationale for excluding prior consistent
statements is that repetition does not enhance the value or truth of the
testimony:
R. v. Ellard
, 2009 SCC 27, [2009] SCC 27, at
para. 31. However, there are exceptions:
Stirling
, at para. 5. For
present purposes, the question is whether the trial judge properly admitted
this evidence as a way for the Crown to rebut an allegation of recent
fabrication.
[39] In
Stirling
, the
Supreme Court held that prior consistent statements can be admitted to rebut an
allegation that a witness has recently fabricated parts of their evidence. The
allegation need not be expressly made. It is enough that the apparent position
of the opposing party is that there has been a prior contrivance:
Stirling,
at para. 5, citing
R. v. Evans
, [1993] 2 S.C.R. 629, at p. 643.
Furthermore, the alleged fabrication need not be recent. What matters is that
an allegation, or suggestion, that the complaint is fabricated must have been
made at some point after the event in question: see
Stirling
, at para.
5;
R. v. OConnor
(1995), 100 C.C.C. (3d) 285 (Ont. C.A.), at pp.
294-295.
[40] The trial judge failed to
articulate the basis on which the prior consistent statement was admissible.
However, he appears to have accepted the Crowns argument that it should be
admitted to rebut an allegation of recent fabrication. I say that, having
regard to how the issue was raised at trial, and then resolved. First, the appellant
objected to the admission of M.B.s fathers testimony about M.B.s disclosure
as a prior consistent statement, on the basis that it was irrelevant. Second, in
response to the appellants objection, the Crown argued that J.B.s evidence
about the timing of M.B.s disclosure to him was relevant to rebut the
allegation of fabrication. The Crowns position was that, while a motivation to
fabricate may have arisen when people first learned of M.B.s relationship with
the appellant, or when M.B. and M.S. had their fight which the appellant says
is why M.B.s conversation with J.B. should not have been allowed it was the
culmination of events, and the fact that rumours continued to spread, that led
M.B. to go to the police when she did.
[41] The trial judge also failed to
provide any limiting instruction to the jury on the prior consistent statement.
It is true that when a prior consistent statement is admitted, regardless of
the exception it falls under, the trial judge should instruct the jury on its
permissible and impermissible uses. That said, the failure to do so will not
always amount to a reversible error. First, the adequacy of a trial judges
instruction is to be assessed in the context of the particular case on a
functional basis:
R. v. Demetrius
(2003), 179 C.C.C. (3d) 26 (Ont.
C.A.), at para. 21. Second, this court has noted that a limiting instruction
may be unnecessary where it is clear to the jury that the statement is not
offered as proof of the underlying facts:
Demetrius
, at para. 22,
citing
R. v. G.M.
, [2000] O.J. No. 5007 (Ont. C.A.). In
R. v. M.P.
,
2018 ONCA 608, 363 C.C.C. (3d) 61, at para. 80, Watt J. observed that the
absence of a limiting instruction about the use of prior consistent statements
is not always fatal, and he helpfully identified a number of relevant
considerations:
The effect of the failure of a trial judge to
properly apprise a jury about the limited use of prior consistent statements in
reaching its verdict varies. Sometimes fatal. Other times, not. As noted above,
perfection is not the standard by which we are to judge the adequacy of jury
instructions. Each case falls to be decided according to its own idiosyncratic
facts, but the authorities yield some relevant considerations:
i.)
Did the prior consistent statement extend beyond
the mere fact of its making to include incriminatory details?
ii.)
How many prior consistent statements were introduced
or repeated?
iii.)
Who introduced the evidence?
iv.)
Did the party introducing the evidence rely on
it for a prohibited purpose?
v.)
Was any objection taken to the introduction of
the prior consistent statements or to the failure to provide instructions
limiting their use?
[42] I will consider each in turn.
First, did the impugned statement extend beyond the mere fact of its making to
include incriminatory details? Here is the exchange between the Crown and M.B.s
father:
Q. [D]id [M.B.] ever tell you about what happened
between her and [the appellant]?
A. Yes.
Q. I dont want to get into anything about
what she told you, okay, thats for her to have told the court. So, I dont
want to hear from you about what it was or words that she used. But my question
for you is, that she told you about these events with [the appellant], when was
it that she came out to you with this information?
A. Two years ago, almost to the day.
Q. Almost two years ago?
A. Yeah.
Q. Okay. So that would be, we are in 2019, we
are in April of 2019?
A. Yes.
Q. So, April of 2017?
A. Yeah. In and around that area. Yes.
[43] This does not elicit anything
beyond the fact and timing of the disclosure. Indeed, the Crown specifically
avoided eliciting anything beyond that.
[44] Second, how many prior
consistent statements were introduced? Just one. The exchange noted above, which
sets it apart from cases relied upon by the appellant, in particular
R. v.
D.C.
, 2019 ONCA 442, where three witnesses testified about what the
complainant told them and which, in each instance, included substantive
details of abuse: at para. 25. There you had a clear risk that the jury would
improperly view the statements as corroborative or confirmatory. That is simply
not the case here.
[45] Third, who introduced the
evidence? Without question the Crown elicited the evidence that there had been
a prior disclosure.
[46] Fourth, did the Crown rely on
M.B.s disclosure for a prohibited purpose? To answer that question, one must
consider what the Crown said about this in its closing address:
[M.B.] did not make up allegations of being
assaulted sexually by [the appellant] just to get her ex-friends off her back.
She didnt just go to the police in August of
2017 and make up allegations because she was being made fun of by her peers. It
was time, and she was ready to talk about it. And you heard from both her and
her father that she had told him about this relationship well in advance of
going to the police.
This is the third piece of evidence that [the
complainants father] assists you with. This wasnt made up on August the 2nd
when she went into the police station for the first time. She didnt go to the
police earlier, because, as she told you, she was afraid. She was afraid that
nothing would happen, because she had seen other people in similar situations,
and nothing had come of it. She was afraid of the very process of having to
talk about it.
[47] This did not invite the jury
to improperly use the evidence. To the contrary, the Crown relied on the timing
of M.B.s disclosure to her father to rebut the appellants allegation of
recent fabrication. It was a fair argument to make, in light of the evidence
that had been presented. At no point during this trial was the jury asked to
rely on the prior consistent statement for the truth of its contents, or to
bolster the complainants credibility through repetition.
[48] Consider also this exchange
between defence counsel and M.B.:
Q. Okay. And after that, [M.S.] and [someone
else] told other people, your peers, about the relationship, correct?
A. Correct.
Q. And that word got out about it, and it
caused a lot of rumours to go around about you, correct?
A. Only the bad people realized it. Like, the
people who actually heard it and had a brain thought it was wrong. So, yeah.
Q. Okay. But there were these, my point is
just that there were these rumours and they caused you a lot of discomfort, a
lot of pain, correct?
A. Yeah.
Q. And I will just show you, I am not, I will
just show you one of those, one of the types of things that you heard. I am
actually, I am not going to put it up on the screen because I dont want to put
it up on the screen unless you want me to refresh your memory. But there was a
message, for example, from someone, one of your friends
A. Yeah. Put it up on the screen.
Q. So, for example, this is [someone] saying:
You used her dad for alcohol, you chose to
be with him even while you had a fucking boyfriend and now you act like you are
all innocent?
Q. That was the type of thing that you heard,
correct?
A. Correct.
Q. Okay. And you didnt, you dont like now it
being portrayed, the relationship with [the appellant] after you turned 16, as
something you chose, correct?
A. Correct.
Q. And actually, what prompted you to go to
the police, I am going to suggest, these sorts of rumours and the things you
were hearing, they drove you nuts, correct?
A. If I really want to protect my image I
would.
Q. I am not sure what you mean
A. I am
Q.
by that.
A.
not embarrassed by what these people are
saying about me. If I really wanted to put something out there about this guy,
then I would. I am not worried about what these people are messaging me. I went
to the police because it was, I was sick of getting these messages like it was
Q. Thats was my next
A. It didnt drive me crazy. I was tired of
hearing about this situation and not doing anything about it.
Q. Okay. So, what ultimately prompted you to
go to the police, you had got a job at McDonalds, correct?
A. Yes.
Q. And you would see your peers there,
correct?
A. Yes.
Q. They knew about the relationship and they
teased you, correct?
A. Incorrect.
Q. Okay. They said mean things to you like
[someone] did, correct?
A. Not in McDonalds, but, yeah.
Q. Okay. Fine. But you, they didnt say it
when you were at work but that day you went to the police you saw some of your
peers, correct?
A. Correct.
Q. And you said, you know what, I cant do it.
Today is the day that I am going to the police, correct?
A. Correct.
[49] Defence counsel appears to be
suggesting to M.B. that she went to the police when she did because she was
about to encounter some of her peers at her place of work, who were spreading
rumours about her, which is contrary to what the appellant now says, which is,
because this was long after M.S. learned of the relationship, and their fight,
that the disclosure to J.B. could not rebut his allegation that M.B.
fabricated.
[50] Lastly, was any objection
taken to the introduction of the prior consistent statement or to the failure
to provide instructions limiting its use? While trial counsel for the appellant
did object to M.B.s father testifying about M.B.s disclosure, counsel did not
ask for a limiting instruction after the evidence was ruled admissible. No
mid-trial instruction was sought. No such instruction in the final charge was
sought. It was not discussed at all during the pre-charge conference.
[51] Except for the fact that it
was the Crown who elicited the prior consistent statement, all factors point to
a finding that there was no error, notwithstanding the absence of a limiting
instruction.
[52] I would, therefore, reject
this ground of appeal.
Ground #3 Did the trial judge err in not
correcting a Crown misstatement of the evidence in its closing address, about
when the appellant moved into the Brooklin apartment?
[53] On the issue of when the
appellant took possession of the Brooklin apartment, the appellant submits that
the Crown misled the jury about the evidence, and invited speculation, by
saying this during its closing address:
You heard from [the prior tenant]
when he
signed his lease for the period of time starting October 1st, 2013. He signed
in advance of that date, which is, in the Crowns submission, the norm.
We know that that had to happen before [the
prior tenant] moved out of the apartment, because once he did that, he never
went back to it. So it had to be before the end of February, early March, which
is that [the prior tenants] evidence was about when he moved out.
[The prior tenant] also told us that he moved
out of the apartment in late February or the start of March. And once he moved
out, as I already said, he did not go back. When he moved out all of his
belongings, everything was moved out. There was nothing left there. Its a
reasonable inference for you to draw that the landlord extended the same
courtesy to [the appellant] once [the prior tenant] was out of the apartment.
[54] The appellant contends that
the Crown was attempting to have the jury draw the inference that he took
possession of the Brooklin apartment in late February or early March aligning
it more closely with M.B.s evidence about when she says they started having
sex in that apartment even though his lease did not begin until April 1,
2016.
[55] After defence counsel raised
concerns about this invitation to speculate, the trial judge reminded the jury
what [the prior tenant] actually said, relating it directly to the Crowns
closing by drawing a distinction between someone being allowed to move in a
day or two before a lease begins, and a month before.
[56] The appellant says this was
insufficient as there was no basis upon which the jury could conclude that he
moved into the Brooklin apartment a month or more before the start date of the
lease. He further submits that, even though the trial judge accurately stated
what the evidence was, the Crowns misstatement created a miscarriage of
justice in that it reconciled a significant inconsistency in M.B.s evidence on
the core issue, which was when, apart from New Years Eve 2015, the sexual
relationship began.
[57] The Crown argues that there
was no misstatement. It asks that we closely examine what the Crown at trial
actually said, which is as follows:
But if the first incident after New Years was
the beginning of February, if we take her evidence here at trial as she recalls
it, and after that she met him at the Brooklin apartment as she said in her
statement about every two weeks, then once a week, then several times a week,
the frequency increased for that part, gets us really close to the end of
February when [the prior tenant] says that he left that apartment for good, and
when you could infer that [the appellant] had access to it.
[58] It further submits that, even
if the jury was improperly led to believe they could infer that the appellant
moved in a month or more before the lease start date, the trial judge made
clear in his charge what the evidence was, emphasizing the point by relating it
directly to the impugned portion of the Crowns closing submissions.
[59] To start, I would agree that
the Crown went too far in asking the jury to draw an inference that, because a
prior tenant was allowed to move in a couple of days early, the appellant might
have moved in a month or so before his lease began. This was a wild stretch, as
there is a vast difference between a landlord allowing a tenant to move in a
day or two early, and letting a tenant move in a month early. However, while
the Crown went too far in drawing the comparison, there was no misstatement of
fact. That being the case, all the trial judge could do is what he in fact did
do, which was to instruct the jury as follows:
[The prior tenant] testified that he had been
the tenant at the Brooklin apartment before [the appellant]. He said that his
tenancy expired on March 31, 2016. He said that he had moved out at the end of
February or beginning of March, and that, as he was moving out, the landlord brought
[the appellant] in to view the apartment.
In her closing argument, Crown counsel argued
that the landlord had extended a courtesy to [the prior tenant] in September
2013 by allowing him to move into the apartment early, and that it would be
reasonable to assume that he would have extended the same courtesy to [the
appellant]. In considering this argument, you should take into consideration
the fact that [the prior tenant] evidence was that the landlord had allowed him
to move in a day or two early, that is a day or two before the commencement
of his lease on October 1, 2013.
[60] With this, there can be no
doubt that the jury knew what the evidence was. Apart from that, the Crown made
a mistake by drawing an inapt comparison, and the trial judge fixed it. He
fixed it promptly, and in a way that ensured the jury treated the evidence
properly. As such, I would reject this ground of appeal.
FRESH EVIDENCE
[61] At trial, the appellant
tendered his lease for the Brooklin apartment, which indicated that his tenancy
began on April 1, 2016. The appellant testified that he moved into the
apartment on April 12, 2016. The appellant now seeks to admit as fresh evidence
his rent cheques for the Brooklin apartment, the first of which is dated June
1, 2016; a copy of his SOIRA address update; and an MTO abstract with an
address update. The SOIRA notification indicates that he changed his address on
April 18, 2016. According to his affidavit in support of the application, he
was required to update his SOIRA address within seven days of moving or face
criminal charges. The MTO abstract indicates that he changed his address on
April 14, 2016.
[62] When determining whether to
admit fresh evidence on appeal, the court must consider whether the interests
of justice warrant reception, based on these questions from
Palmer v. The
Queen
, [1980] 1 S.C.R. 759, at p. 775:
i.)
By due diligence, could the evidence have been
adduced at trial?
ii.)
Is the evidence relevant in the sense that it
bears on a decisive or potentially decisive issue?
iii.)
Is the evidence credible in the sense that it is
reasonably capable of belief?
iv.)
Is the evidence such that, if believed, when
taken with the other evidence adduced at trial, it could reasonably be expected
to have affected the result?
[63] The
Palmer
criteria encompass
three components: admissibility, cogency, and due diligence:
Truscott (Re)
,
2007 ONCA 575, 83 O.R. (3d) 272, at para. 93. The due diligence component
becomes important if the admissibility and cogency components are met:
Truscott
(Re)
, at para. 93. Although the absence of an adequate explanation for not
producing material at trial will not necessarily lead to the exclusion of the
evidence on appeal, the finality of trial verdicts would be rendered illusory
and the integrity of the trial process undermined if evidence is routinely
admitted on appeal that could have been adduced at trial:
Truscott (Re)
,
at paras. 101-102.
[64] The evidence of the SOIRA
address update and the MTO abstract is clearly admissible, relevant to the
issue of when the appellant moved into the Brooklin apartment, credible, and sufficiently
probative that they might well have had an impact at trial, as they suggest the
appellant moved into the Brooklin apartment in mid-April 2016. The rent cheques
are not sufficiently probative, as the first cheque is dated June 1, 2016, well
after the appellants lease began and when he testified that he moved into the
apartment. However, to admit the evidence of the SOIRA address update and the
MTO abstract, at this stage, would be to render the first prong of the test
meaningless, and be tantamount to saying fresh evidence will, in every case, be
admitted even if it was obviously relevant and easy to obtain at the time of
trial.
[65] In support of his fresh
evidence application, the appellant suggests in his affidavit that he did not
think to secure these documents at or before trial because the issue of when he
moved in arose unexpectantly. That makes little sense because it would have
been well known to the appellant, long before trial, when and where M.B.
alleged the sexual relationship began, which never aligned with when he says he
moved into the Brooklin apartment. What he seems to be implying is that he
believed at trial that the lease was a complete answer to the conflict in the
evidence as to when he moved into the Brooklin apartment, but this does not
explain why he only now recognizes that the SOIRA address change or MTO
abstract would serve the same purpose, if not actually be more probative than
the lease, given that they indicate later move-in dates.
[66] While the due diligence
principle is not to be applied as strictly in criminal matters, here there was
no diligence whatsoever and no good explanation for why these documents were not
obtained and presented at trial.
[67] I would dismiss the
appellants fresh evidence application.
CONCLUSION
[68] For these reasons, I would
dismiss the appeal.
Released: March 28, 2022 K.M.v.R.
J.
George J.A.
I
agree. K. van Rensburg J.A.
I
agree. I.V.B. Nordheimer J.A.
|
WARNING
The President
of the panel hearing this appeal directs that the following should be attached
to the file:
An order restricting publication in this
proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or (4) or 486.6(1) or (2)
of the
Criminal Code
shall continue. These sections of
the
Criminal Code
provide:
486.4(1) Subject to subsection
(2), the presiding judge or justice may make an order directing that any
information that could identify the victim or a witness shall not be published
in any document or broadcast or transmitted in any way, in proceedings in
respect of
(a) any of the following
offences;
(i) an
offence under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170,
171, 171.1, 172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011,
279.02, 279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any
offence under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED:
S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt with in
the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings in respect of
the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice
shall
(a) at the first reasonable
opportunity, inform any witness under the age of eighteen years and the victim
of the right to make an application for the order; and
(b) on application made by
the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to subsection (2.2),
in proceedings in respect of an offence other than an offence referred to in
subsection (1), if the victim is under the age of 18 years, the presiding judge
or justice may make an order directing that any information that could identify
the victim shall not be published in any document or broadcast or transmitted
in any way.
(2.2) In proceedings in respect of
an offence other than an offence referred to in subsection (1), if the victim
is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible, inform
the victim of their right to make an application for the order; and
(b) on application of the victim
or the prosecutor, make the order.
(3) In proceedings in respect of
an offence under section 163.1, a judge or justice shall make an order
directing that any information that could identify a witness who is under the
age of eighteen years, or any person who is the subject of a representation,
written material or a recording that constitutes child pornography within the
meaning of that section, shall not be published in any document or broadcast or
transmitted in any way.
(4) An order made under this
section does not apply in respect of the disclosure of information in the
course of the administration of justice when it is not the purpose of the
disclosure to make the information known in the community.
2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b);
2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13,
s. 18.
486.6(1) Every person who
fails to comply with an order made under subsection 486.4(1), (2) or (3) or
486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2) For greater certainty, an
order referred to in subsection (1) applies to prohibit, in relation to
proceedings taken against any person who fails to comply with the order, the
publication in any document or the broadcasting or transmission in any way of
information that could identify a victim, witness or justice system participant
whose identity is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. C.J., 2022 ONCA 252
DATE: 20220324
DOCKET: C69355
Miller, Trotter and Zarnett
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
C.J.
Appellant
C.J., acting in person
Amy Ohler, appearing as duty counsel
Philippe Cowle, for the respondent
Heard and released orally:
February 10, 2022
On appeal from the conviction entered on
October 31, 2020 and the sentence imposed on February 10, 2021 by Justice Julie
Bourgeois of the Ontario Court of Justice.
REASONS FOR DECISION
[1]
We are going to dismiss your appeal.
[2]
The conviction appeal was restricted to the voyeurism charge. We are not
persuaded that that conviction was unreasonable.
[3]
As to your sentence we thank you for your thoughtful presentation today.
We recognize how difficult it has been for you to serve your sentence during
these times, and we commend you on the effort you have made to access programs,
recognizing how limited they are right now. However, the offences were serious.
The trial judge took into account all factors that were in your favour. The
sentence that she imposed was appropriate and we cannot interfere with it.
[4]
Accordingly, the appeal against conviction and sentence is dismissed.
B.W.
Miller J.A.
Gary
Trotter J.A.
B.
Zarnett J.A.
|
WARNING
The President of the panel
hearing this appeal directs that the following should be attached to the file:
An order restricting
publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or
(4) or 486.6(1) or (2) of the
Criminal Code
shall continue. These
sections of
the Criminal Code
provide:
486.4(1) Subject
to subsection (2), the presiding judge or justice may make an order directing
that any information that could identify the victim or a witness shall not be
published in any document or broadcast or transmitted in any way, in
proceedings in respect of
(a) any of the
following offences;
(i) an offence
under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1,
172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02,
279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence
under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt
with in the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a) at the first
reasonable opportunity, inform any witness under the age of eighteen years and
the victim of the right to make an application for the order; and
(b) on application
made by the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to
subsection (2.2), in proceedings in respect of an offence other than an offence
referred to in subsection (1), if the victim is under the age of 18 years, the
presiding judge or justice may make an order directing that any information
that could identify the victim shall not be published in any document or
broadcast or transmitted in any way.
(2.2) In proceedings in
respect of an offence other than an offence referred to in subsection (1), if
the victim is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible,
inform the victim of their right to make an application for the order; and
(b) on application of
the victim or the prosecutor, make the order.
(3) In proceedings
in respect of an offence under section 163.1, a judge or justice shall make an
order directing that any information that could identify a witness who is under
the age of eighteen years, or any person who is the subject of a
representation, written material or a recording that constitutes child
pornography within the meaning of that section, shall not be published in any
document or broadcast or transmitted in any way.
(4) An order made
under this section does not apply in respect of the disclosure of information
in the course of the administration of justice when it is not the purpose of
the disclosure to make the information known in the community.
2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b);
2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s.
18..
486.6(1) Every
person who fails to comply with an order made under subsection 486.4(1), (2) or
(3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2) For greater
certainty, an order referred to in subsection (1) applies to prohibit, in
relation to proceedings taken against any person who fails to comply with the
order, the publication in any document or the broadcasting or transmission in
any way of information that could identify a victim, witness or justice system
participant whose identity is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. K.B., 2022 ONCA 253
DATE: 20220328
DOCKET: C68147
Strathy C.J.O., Coroza and
George JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
K.B.
Appellant
Myles Anevich, for the appellant
Stephanie A. Lewis, for the respondent
Heard: March 15, 2022 by video
conference
On appeal from the conviction entered on
September 12, 2019, with reasons reported at 2019 ONSC 5287, and from the
sentence imposed on December 2, 2019, with reasons reported at 2019 ONSC 6953,
by Justice Patrick J. Monahan of the Superior Court of Justice.
REASONS FOR DECISION
Introduction
[1]
The appellant appeals his conviction on four
counts of sexual assault of S.F., a 24-year-old woman who lives with an
intellectual disability (also referred to in these reasons as the
complainant). He was acquitted of unlawful confinement. He was sentenced to
imprisonment of five years concurrent on each count, together with several
ancillary orders.
[2]
The appellant raises four grounds of appeal,
discussed below. He acknowledges that his request for leave to appeal sentence
is moot, as the sentence has been served. For the reasons below, we dismiss the
conviction appeal and dismiss the motion for leave to appeal sentence.
Factual Background
[3]
The following summary provides a backdrop for
the consideration of the issues. Further detail will be added as we consider each
issue.
[4]
S.F. was described by her mother, A.F., as
having the intellectual capacity of a young child. She reads at a grade one or
two level. She has limited fine motor skills and has difficulty performing some
of the tasks of daily living, such as bathing herself and preparing her own
meals. In spite of these challenges, she was able to complete high school at age
21 and has participated in an adult training program at a community college.
[5]
On December 18, 2017, A.F. took S.F. grocery
shopping. After an argument over S.F.s cell phone use, A.F. took her phone
away. Angered by this, S.F. slipped out of the store and managed to get onto a
bus, intending to visit her aunt. Unfortunately, she got lost along the way.
Her desperate family did not see her again for four days. S.F. claimed that
throughout those four days K.B. kept her in his residence, where he abused her,
sexually, physically, and verbally.
[6]
S.F. said she met K.B. on the bus. After
inquiring about her personal details and being told that her parents were in
Africa (which was untrue), he got off the bus with her, and walked with her to
his home. According to S.F., he gave her a hamburger to eat after they arrived
at his home. He then told her to take off her clothes and to get into the
shower, where he forced her to have sexual intercourse.
[7]
S.F. testified that sexual assaults in the
shower and other forms of sexual assault and physical abuse continued over the
next three days. Each day at around 7:00 a.m., when he went to work, the
appellant would leave her in the bedroom, with the door shut. She said she was
unable to open the door and remained in the bedroom the entire day. The
appellant returned from work each day, late at night and drunk. In addition to
repeatedly sexually assaulting her, including sucking and biting her breasts,
the appellant bit her arm and face, pushed her down onto the ground, and
threatened her with a knife. He verbally abused her, calling her a fucking
bitch and retarded, and told her she was ugly and no one liked her. He fed
her fish-shaped poison candy which had the effect of sedating her.
Throughout, the complainant told him to stop, and said that these actions were
contrary to her Muslim faith.
[8]
S.F. testified that on the fourth day, December
21, 2017, the appellant saw a television broadcast reporting that she was
missing. He became angry, threw his cell phone at her, and left the apartment.
She called her uncle, who contacted the police. Some time later, the police
called the appellants cell phone and he told them where he lived. The police
went to his apartment, retrieved S.F., and returned her to her family. Police
told S.F.s family that the guy looked after her, or words to that effect.
[9]
After S.F. was returned to her family, her
cousin, I.F., who was A.F.s niece, became suspicious that something had happened
to S.F. while she was away from home. In response to I.F.s questions about
whether K.B. had done specific things to her, S.F. replied affirmatively. S.F.
was taken to hospital, where a sexual assault examination revealed no bruises
or marks. Forensic examination of S.F.s underwear revealed a single male DNA
profile, which was 1,080 times more likely to belong to the appellant than any
unknown, unrelated male.
Trial Judges Reasons
[10]
The only witnesses at trial were S.F. and her mother, A.F. The appellant
did not testify.
[11]
The defence did not suggest that the accused had a reasonable but
mistaken belief that the complainant consented to sexual activity. Rather, the defence
position at trial was that none of S.F.s allegations ever happened during the
four days she was at his residence. The appellant acknowledged through counsel
that the DNA on S.F.s underwear belonged to him.
[12]
The only issue at trial was whether the Crown had established,
beyond a reasonable doubt, that the events described by the complainant had
actually occurred.
[13]
The Crown and defence agreed that S.F.s evidence should be assessed
in the same way as the evidence of a child. The trial judge found that S.F.s
testimony was direct and straightforward, notwithstanding its challenges.
[14]
One such challenge was the complainants tendency to agree with a
suggestion by counsel, particularly on cross-examination, but then disagree
with it and clarify her evidence once the point was pursued or discussed
further. The trial judge found that this did not undermine her evidence, in
view of her intellectual challenges. Nor was her evidence undermined because
she was unable to recall certain events and parts of her recollection had to be
refreshed by her police statement and her preliminary inquiry evidence. Again,
because of her challenges and because she was testifying about events that had occurred
18 months earlier, her memory failings did not detract from her evidence. Where
there were apparent inconsistencies between her trial testimony and prior
statements, the prior statements were sufficiently vague or open to
interpretation that the purported inconsistencies did not undermine her
credibility.
[15]
The defence suggested that S.F.s evidence was tainted by leading
questions asked by I.F. after she returned home. The trial judge found this
assertion was speculative. We address this issue in more detail below.
[16]
Finally, the defence suggested that the complainants account of the
assaults was oddly repetitive, which the trial judge found was not unreasonable
given her intellectual challenges and the time that had passed since the events
had occurred. S.F. had remained consistent on the core allegations of the
sexual assaults.
[17]
The trial judge accepted S.F.s evidence concerning the sexual assaults
and the absence of consent. He found that on the totality of the evidence, the
Crown had proven the sexual assaults beyond a reasonable doubt. Despite minor
inconsistencies in her evidence, the complainant never wavered in her evidence about
the sexual assaults, which was generally consistent and credible. The trial
judge convicted the appellant on four counts of sexual assault, observing that
there was no innocent explanation for him having kept a vulnerable adult at his
residence for four days without telling anyone and that the presence of his DNA
on S.F.s underwear supported a finding of sexual assault. As discussed below,
the trial judge acquitted the appellant on the unlawful confinement count.
Grounds of Appeal
[18]
The appellant raises four grounds of appeal of the conviction:
(a)
the trial judge erroneously discounted material
inconsistencies and deliberate falsehoods in the complainants evidence due to
her mental age;
(b)
the trial judge misapprehended the evidence of
potential tainting of the complainants evidence by I.F.;
(c)
the trial judge made findings that were not
supported by the evidence; and
(d)
the trial judge failed to turn his mind to
inferences inconsistent with guilt, with the result that the verdict was
unreasonable.
[19]
Only the first two grounds were advanced in oral submissions. We
will nevertheless consider all grounds.
Analysis
(a)
Erroneously discounting inconsistencies and
falsehoods in the complainants evidence
[20]
The appellant acknowledges that the trial judges approach to the assessment
of S.F.s evidence was likely correct, but asserts that he failed to
critically assess her evidence and excused blatant inconsistencies,
improbabilities and deliberate falsehoods in her evidence, which could not be dismissed
because of her mental age. For example, she repeatedly claimed the appellant
had intercourse with her in the bedroom, yet also claimed she was fully clothed
when it occurred. Her evidence was oddly repetitive, and she claimed that the
same events were repeated day after day. Although she claimed that the
appellant repeatedly bit and stabbed her, there was no evidence of marks,
bruising or wounds on her body.
[21]
We do not accept these submissions. The trial judge observed that
S.F. testified in a direct and straightforward manner. The record supports his
observation to counsel during submissions that she spoke in a direct and
spontaneous way and her evidence was detailed. We agree with the respondent
that this is a case in which the trial judges opportunity to see and hear the
complainants evidence as it unfolded, both in chief and in cross-examination,
gave him an inestimable advantage in the assessment of her evidence. In reading
the record of her evidence, which was admittedly confusing at times, we cannot
hope to have the same appreciation of her evidence or be in a position to
assess the credibility and reliability of that evidence. It was open to the
trial judge to assign inconsistencies in the evidence the weight that he did,
and his approach was in line with the well-established approach to the evidence
of child witnesses. His credibility findings are entitled to significant
deference:
R. v. G.F.
, 2021 SCC 20, 71 C.R. (7th) 1, at para. 81;
R.
v. K.C.
, 2021 ONCA 401, 157 O.R. (3d) 161, at para. 75,
per
Jamal
J.A. (dissenting, but not on this point).
[22]
The appellant points to several features of S.F.s evidence that he
describes as inconsistent and improbable and which he claims the trial judge
failed to reconcile: the absence of any bruises or bite marks described in the
complainants evidence; the absence of stab wounds, in spite of the
complainants evidence that the appellant repeatedly stabbed her with a knife;
and S.F.s description of sexual intercourse having taken place in the bedroom,
when she repeatedly claimed that she was fully clothed at the time. He also
submits that the trial judge failed to consider how his rejection of the
complainants evidence in relation to the unlawful confinement count might have
affected his assessment of her evidence on the sexual assault counts.
[23]
Several of these issues were raised by defence counsel during
submissions and were addressed by the trial judge in his reasons. He found that
while S.F.s recollection was clearly mistaken concerning the presence of
bruises, it did not negate the possibility that the appellant bit her. In any
case, the absence of bruising was a secondary matter that did not occur during
or relate directly to the sexual assaults.
[24]
The issue of the absence of stab wounds, which was a focus of submissions
before us, was not raised in argument at trial. On a fair reading of the
evidence, S.F. was describing the appellant threatening to stab her with a
knife. Reading the submissions of counsel at trial, the evidence was understood
in this way by counsel and by the trial judge.
[25]
S.F.s evidence that the appellant forced intercourse on her when
she was fully clothed was an obvious impossibility. However, she described the
appellant lying on top of her on the bed, fully naked, while she was lying on
her back with her head on the pillow. His face was close to her face and their
stomachs were stuck to each other and he put his penis in her private part.
She also described the appellant making her lie on her stomach and lying on her
back and doing nasty stuff to her, putting his penis in her private part.
Neither counsel asked the complainant how the mechanics of intercourse could
have taken place when she was fully clothed.
[26]
Having regard to the complainants evidence of the daily sexual
assaults in the shower, which the trial judge accepted, it was unnecessary to
the convictions for the trial judge to accept her evidence of other such
assaults. Having regard to the challenges associated with the complainants
evidence and her communications skills, the trial judge was not required to
treat any of the foregoing matters as undermining her evidence.
[27]
Finally, on this issue, we do not agree that the trial judges
rejection of S.F.s evidence on the unlawful confinement count should have
affected his assessment of her evidence on the sexual assault counts. The trial
judge simply rejected the complainants evidence that she was unable to open
the bedroom door, and thereby rejected the Crowns argument that the appellant had
confined her to the bedroom all day. There was no evidence of a lock on the
bedroom door, and no evidence that S.F. was unable to open the door. It was
reasonable to assume that she left the bedroom during the day to use the
bathroom. There was no evidence that S.F. had attempted to leave the apartment
while the appellant was at work, or even that she wanted to leave the
apartment. As the trial judge noted, the fact that S.F. may not have attempted
to leave did not foreclose the possibility of sexual assault. Moreover, it does
not follow that because the trial judge was left with a reasonable doubt on the
unlawful confinement charge, he was required to discount S.F.s credibility
overall.
(b)
Misapprehension of evidence concerning tainting
of complainants evidence
[28]
The appellant argued at trial that S.F.s disclosure of her
allegations may have been tainted by her conversations with her cousin, I.F.
[29]
In cross-examination, S.F. was asked about her conversation with
I.F. after she had returned home. She said that I.F. did not believe her
statement to her family that nothing happened while she was at the
appellants home. She testified that I.F. asked her a lot of questions,
including:
·
whether she had a shower with the appellant;
·
whether he had put his privates in her mouth;
·
whether he put his privates in her privates;
and
·
whether he had pulled her hair.
[30]
S.F. replied yes, he had done those things. I.F. told her that they
would have to go to the hospital and the police station. S.F. testified that
they went to the hospital that day and to the police station the following day.
She said that I.F. sat with her during the police interview. She also testified
that she had spoken to I.F. before she came to court and that I.F. had reminded
her of the things S.F. had told her.
[31]
The trial judge rejected the assertion that S.F.s evidence had been
tainted. He stated, at para. 61 of his reasons:
I find this argument to be speculative and
without foundation in the record. There is no evidence that SFs account of the
sexual assaults was based on a suggestion made by the niece. Nor did the
defence call the niece as a witness to substantiate any such claim. Moreover,
although the niece attended the initial police interview with SF on December
23, 2017, the niece took no part in the discussion and did not prompt SF or
suggest to her that any assaults occurred. SFs account of the assaults, which
is detailed and spontaneous, is made entirely independently and without any
support or encouragement from the niece.
[32]
The trial judge found it was understandable that S.F. might not have
wanted to disclose the sexual assaults to her mother and plausible that she
told her cousin, with whom she was close and whom she trusted, at the first
available opportunity.
[33]
The appellant submits that because the complainant initially said
that nothing had happened, but later responded to I.F.s leading questions,
there was a risk of confabulation, the unconscious creation of false memories. He
submits the trial judge failed to consider evidence relevant to tainting,
failed to consider S.F.s suggestibility and erred in finding that the
complainants accounts were made independently. Additionally, the trial judge
erred in referring to the transcript of the complainants videotaped police
interview, which was not in evidence.
[34]
The respondent acknowledges that although the transcript of the
complainants police interview had been provided to the trial judge, and was
referred to in evidence and in submissions, it had not been placed in evidence
and should not have been relied upon.
[35]
We agree with the trial judges conclusion that this argument is
speculative and unsupported by the evidence. While A.F. testified that S.F. was
easily influenced and trusting, she also said that she was very open and never
lied to her. Both the trial judge and defence counsel observed that there were
limits to S.F.s suggestibility, and she did not hesitate to disagree with
suggestions made during examination.
[36]
In our view, this is another instance in which the trial judges
assessment of the evidence was uniquely informed by his opportunity to observe
S.F.s evidence as it unfolded at trial. In a colloquy with counsel for the
appellant during closing submissions, the trial judge observed that while S.F.
was suggestible, she testified in a very direct and spontaneous way when she
seems to be remembering what happened. This observation is supported by S.F.s
evidence, which was rich with detail, well beyond the generality of I.F.s
questions.
[37]
We do not give effect to this ground of appeal.
(c)
Findings not supported by the evidence
[38]
Although not addressed in oral submissions, the appellants written
argument asserts that the trial judge made three findings that were speculative
and unsupported by the evidence. We can describe and address these briefly.
[39]
First, S.F. testified that when they were on the bus, the appellant
asked her personal questions about her family, including where her parents
were. The trial judge inferred that the appellant asked these questions to
determine whether members of her family would come looking for S.F. if he took
her to his apartment.
[40]
Second, the trial judge observed that the appellant became upset
when he found out that S.F. had been reported missing and that her family was
looking for her. He inferred that the appellant was upset because he thought he
would be able to keep her in his apartment indefinitely.
[41]
Finally, the trial judge found that keeping the complainant in the
apartment for four days was inconsistent with the possibility that the
appellant was attempting to assist her.
[42]
We do not accept the appellants submission that these inferences
were speculative. In our view, they were available to the trial judge. They
were not made in isolation from each other, or from the trial judges findings
of fact and his assessment of all the evidence, including the complainants
evidence of the appellants abuse. The uncontested fact is that the appellant happened
upon a lost young woman with obvious intellectual and physical challenges and
kept her in his home for four days alone and neglected most of the time without
contacting
anyone
. As the trial judge observed,
had the appellant brought S.F. to his residence because he wanted to assist
her, he would have made some effort to contact her family or others who could
have helped her. In the absence of any evidence that he did so, the inferences
drawn by the trial judge were open to him.
(d)
Failure to consider inferences inconsistent with
guilt
[43]
Finally, the appellant submitted in his factum that the verdict was
unreasonable because the trial judge failed to turn his mind to an inference
inconsistent with guilt when assessing the circumstantial evidence. He impugns the
trial judges conclusion that the presence of the appellants DNA on the
complainants underwear tended to support a finding that she had been sexually
assaulted. She wore the same clothing every day and obviously used the toilet
at least once. There was no evidence of the nature and source of the DNA, and
the trial judge failed to consider a reasonable likelihood that the appellants
DNA was transferred to S.F.s underwear by innocent means.
[44]
As the respondent notes, the trial judges finding was simply that
the DNA evidence tends to support a finding that SF was sexually assaulted by
KB. The DNA evidence was but one piece of circumstantial evidence in a case
based primarily on the direct evidence of the complainant evidence the trial
judge accepted. The fact that the trial judge gave the DNA evidence some weight
in his assessment of all the evidence does not make the verdict unreasonable.
Sentence Appeal
[45]
With credit of
1.5:1 for the 694 days the appellant had served in pre-sentence custody, there
remained 2 years and 54 days to be served in his 5-year sentence. He has since
served that remainder of his sentence. The appellant concedes the sentence
appeal is therefore moot. We agree.
Disposition
[46]
For these reasons, the conviction appeal and the motion for leave to
appeal sentence are dismissed.
G.R.
Strathy C.J.O.
S.
Coroza J.A.
J.
George J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Farej v. Fellows, 2022 ONCA 254
DATE: 20220329
DOCKET: C68515
Doherty, Miller and Sossin JJ.A.
BETWEEN
Sabrin
Farej, an infant under the age of eighteen years by her Litigation Guardian
Amara Idris, Amara Idris, personally
and in her capacity
as Estate Trustee of the Estate of
Romodan
Farej
Plaintiffs
(Appellants/Respondents by
Cross-Appeal)
and
George Fraser Fellows
Defendant
(Respondent/Appellant by
Cross-Appeal)
AND BETWEEN
Murad
Farej and Muntasir Farej, a minor by his Litigation Guardian Murad Farej
Plaintiffs
(Appellants/Respondents by
Cross-Appeal)
and
George Fraser Fellows
Defendant
(Respondent/Appellant by
Cross-Appeal)
John J. Adair, Jordan V. Katz, Duncan
Embury, Daniela M. Pacheco and Brandyn Di Domenico, for the appellants
Peter W. Kryworuk and Jacob R.W.
Damstra, for the respondent
Heard: October 27 and 28, 2021
by videoconference
On appeal from the judgment of Justice Kelly
A. Gorman of the Superior Court of Justice, dated November 23, 2020, and
reported at 2020 ONSC 3732, dismissing the action.
Doherty J.A.:
I
overview
[1]
This is a truly tragic case. Sabrin Farej
(Sabrin) was born on June 3, 2007 in London, Ontario. She was profoundly
disabled at birth and continues to be so. Sabrin cannot walk, talk or feed
herself. Sabrin requires 24-hour a day care, is totally dependent on her family
and caregivers, and will be for the rest of her life. Sabrins life expectancy
is about 38 years.
[2]
Sabrin suffered acute near total oxygen
deprivation for about 25 to 30 minutes before her birth. The oxygen deprivation
led to severe brain damage and damage to other vital organs, leaving Sabrin with
multiple devastating, permanent disabilities.
[3]
Sabrin, her parents, Amara Idris and Romodan
Farej, and her two brothers sued Ms. Idris obstetrician, Dr. George Fraser
Fellows, alleging he was negligent during Sabrins delivery.
[4]
The evidence at trial focused primarily on the
26 minutes between Dr. Fellows arrival in the delivery room at 11:01 p.m. and
Sabrins delivery at 11:27 p.m. Dr. Fellows faced an obstetrical emergency when
he walked into the delivery room. Sabrin was not getting an adequate oxygen
supply. Dr. Fellows believed he had to deliver Sabrin as quickly as was safely possible.
Dr. Fellows elected to proceed with a vaginal delivery. After two unsuccessful
attempts to deliver Sabrin, Dr. Fellows was able to deliver her on his third
attempt, some 26 minutes after he entered the delivery room.
[5]
The plaintiffs alleged that Dr. Fellows fell
below the applicable standard of care in several respects. Their main argument focused
on Dr. Fellows decision to deliver Sabrin vaginally with the assistance of
forceps. The plaintiffs argued that the applicable standard of care required Dr.
Fellows to proceed immediately with an emergency C-section at 11:05 p.m., by
which time he had assessed the situation and observed blood in Ms. Idris
amniotic fluid after he ruptured her membranes. The plaintiffs maintained that by
this time, Dr. Fellows knew there was reason to suspect that Ms. Idris had
suffered a uterine rupture, a life-threatening complication. He also knew
Sabrins head was above her mothers pelvic bone. Both the uterine rupture and
the position of the babys head contraindicated a vaginal delivery.
[6]
The plaintiffs argued that, had Dr. Fellows proceeded
immediately with an emergency C-section, as he should have, Sabrin would have
been delivered within 8 to 10 minutes, approximately 12 to 14 minutes before
she was actually delivered. The plaintiffs submitted that this delay caused or materially
contributed to the catastrophic injuries Sabrin had when she was born.
[7]
In addition to arguing that Dr. Fellows should
have proceeded immediately with an emergency Caesarean section, the plaintiffs argued
that after Dr. Fellows decided to proceed with a vaginal delivery, he made a
series of decisions that fell below the applicable standard of care. Those
errors, considered individually or cumulatively, caused or materially
contributed to Sabrins injuries.
[8]
The trial judge dismissed the action. She found against
the plaintiffs on all three issues relevant to liability. First, she found the
plaintiffs had failed to establish any breach of the applicable standard of
care by Dr. Fellows. Second, she found no causal link between any of Dr.
Fellows actions and Sabrins injuries. Third, she rejected the argument that Dr.
Fellows had failed to obtain the required informed consent before proceeding
with a vaginal delivery using forceps.
[9]
Although the trial judge found no liability, she
proceeded to consider damages. Her damages assessment largely adopted the
position advanced by the plaintiffs.
[10]
Sabrin, her mother, her brothers, and her
fathers estate (her father unfortunately died before trial) appeal from the
dismissal of the action.
[1]
They accept that, on the evidence, the trial judge could have dismissed the
action. They submit, however, that the reasons are legally inadequate in that
they do not permit meaningful appellate review. The appellants advance several
arguments which they assert demonstrate the inadequacy of the reasons on most
of the crucial issues at trial.
[11]
With respect to remedy, the appellants submit
that if this court concludes the reasons are inadequate and the judgment must be
set aside, this court is not the appropriate forum in which to examine the
complicated and conflicting evidence and engage in the extensive fact-finding
and credibility assessments necessary to resolve the many contested issues. Counsel
submits that the interests of justice require that this court order a new trial
on liability.
[12]
The respondent describes the appellants
submissions as an attempt to relitigate the credibility assessments and
findings of fact made by the trial judge. The respondent submits that a review
of the reasons shows the trial judge had a firm grasp of the evidentiary record,
an understanding of the applicable legal principles, and an appreciation of the
issues to be resolved. The respondent further contends that the bases upon
which the trial judge decided the material issues are clear when the reasons
are read in the context of the evidence, and the detailed written and oral
submissions made at trial.
[13]
Alternatively, the respondent submits that, if
the appeal is allowed and a new trial ordered, the new trial should be on all
issues, including damage-related issues. The respondent points out that only
some of the damage-related issues were addressed by the trial judge. The respondent
further contends that if Dr. Fellows is found liable on a retrial, the findings
of facts relevant to liability may be relevant to the assessment of damages.
Only the trial judge at the retrial can properly make that damage assessment.
[14]
The respondent also brings a cross-appeal,
challenging aspects of the trial judges damages assessment. This appeal is
contingent upon this court both ordering a new trial on liability and rejecting
the respondents submission that if there is to be a new trial, it should be on
all issues, including damages.
[15]
The respondent submits, that if this court
reaches the contingent cross-appeal, the trial judge made two very significant
errors, both of which require a recalibration of the damages as assessed by her.
II
my conclusion
[16]
The evidence at trial was lengthy and complex.
The trial judge had to consider a series of difficult factual issues. Her
reasons are, in many respects, comprehensive and clear. The appellants contend,
however, that the reasons are inadequate in respect of several issues that were
central to the appellants case on liability.
[17]
For the reasons that follow, I am satisfied that
two of the arguments advanced by the appellants should succeed. The trial
judges reasons with respect to causation and her reasons dealing with one of
the several allegations of negligence are inadequate. On these two issues, the
reasons do not reveal critical findings that had to be made, and do not explain
how the trial judge arrived at some of the conclusions she did reach. This
court cannot meaningfully review her decision on those two issues. The
inadequacies in the reasons, taken together, require the setting aside of the judgment
dismissing the action. I agree with the appellants that, in the circumstances,
a new trial is the appropriate remedy. I also agree with the respondent that
the new trial should be on all issues relating to liability and damages.
[18]
In the reasons that follow, I explain why I
conclude the trial judges reasons are fatally inadequate in respect of the two
issues identified above. Given my conclusion that those errors require a new
trial, it is unnecessary to deal with all of the other alleged inadequacies
identified by the appellants. I will, however, examine what I see as the other main
arguments advanced by the appellants. In my view, none of those arguments
should succeed.
III
the facts
[19]
This is a fact-intensive appeal. Both counsel,
in their written and oral submissions, have gone through the evidentiary record
in considerable detail. Different parts of the evidence are germane to
different arguments advanced by the appellants. I will leave most of the
details of the evidence until I address those specific arguments. What follows
is a summary intended to provide the essential narrative and context for the arguments
advanced on appeal.
[20]
Ms. Idris and her husband, Romodan Farej, immigrated
to Canada in 1997. They had a son Murad, born in 1999, and a second son,
Muntasir, born in June 2005. Dr. Fellows provided pre- and post-natal care in
both pregnancies, but he was not involved in either delivery. By all accounts,
Ms. Idris and her husband got along well with Dr. Fellows and they developed a
good relationship over the years. Ms. Idris was happy with the care he provided.
[21]
When Ms. Idris was pregnant with her first
child, Murad, she told Dr. Fellows she would prefer to deliver vaginally. It
turned out, however, that Murad was in a breech position and a Caesarean
section was necessary. There were no problems with the delivery or the
postnatal care.
[22]
When Ms. Idris was pregnant with Muntasir, she
told Dr. Fellows she wanted to deliver Muntasir vaginally, even though her
first baby was born by Caesarean section. Dr. Fellows explained to her that
vaginal birth after a Caesarean (VBAC) was possible. Ms. Idris eventually
gave birth vaginally, although the attending obstetrician had recommended a Caesarean
section when Ms. Idris labour became prolonged. Ms. Idris, however, persisted
and her baby was born vaginally. There were no problems.
[23]
Just as with Ms. Idris two earlier pregnancies,
Dr. Fellows provided prenatal care to Ms. Idris when she was pregnant with
Sabrin in 2006. They discussed how Ms. Idris would give birth. They agreed they
would make the decision based on how things were going in the hospital at the
time of the birth. The pregnancy was uneventful and Dr. Fellows had no concerns
about Ms. Idris or the babys wellbeing during the pregnancy.
[24]
On June 3, 2007, Ms. Idris went into labour with
Sabrin. She arrived at the hospital at about 7:30 p.m. with her husband and a
friend. Ms. Idris was told Dr. Fellows was in the hospital and would deliver
the baby. The nursing staff immediately put a fetal heart monitor (FHM) in place.
[25]
According to Ms. Idris, she began to experience
considerable pain at around 9:30 p.m. The pain continued even after an
epidural. She asked to see Dr. Fellows but was told by the nursing staff that
it was not time to call him.
[26]
By 10:24 p.m., Ms. Idris was fully dilated. As
of approximately 10:45 p.m., the FHM had been showing variable decelerations in
Sabrins heart rate for close to an hour. At 10:55 p.m., her heart rate dropped
precipitously and remained in a prolonged deceleration, indicating that blood
flow to Sabrins brain had essentially stopped.
[27]
The attending nurse paged Dr. Fellows at 10:55
p.m. He was delivering another baby. Dr. Fellows arrived at Ms. Idris bedside
at 11:01 p.m. He quickly determined that Sabrin was not getting an adequate
oxygen supply and was in severe distress. At 11:04 p.m., Sabrins heart rate
was bradycardic, meaning it was at or below 60 beats a minute. Bradycardia was
a clear sign to Dr. Fellows that Sabrin was not getting oxygen to her brain. Dr.
Fellows knew he was facing an obstetrical emergency and had to take immediate
action to deliver Sabrin as quickly as safely possible.
[28]
Dr. Fellows performed a vaginal and abdominal
examination of Ms. Idris. He could see the position of the babys head. Dr.
Fellows realized, that because of Sabrins positioning, her head would have to be
turned if she was delivered vaginally.
[29]
At 11:05 p.m., Dr. Fellows artificially ruptured
the membranes to facilitate delivery. There was blood in the amniotic fluid. The
presence of blood in the amniotic fluid gave Dr. Fellows added concerns about
the wellbeing of both Sabrin and her mother. Dr. Fellows suspected a placental
abruption, meaning the placenta had detached from the uterus, thereby
separating Sabrin from her source of oxygen. Dr. Fellows differential
diagnosis included the possibility that Ms. Idris uterus had ruptured. A uterine
rupture can result in quick and substantial blood loss by the mother and is a
life-threatening complication for both the mother and the baby. The two
conditions share many symptoms. Both conditions are serious and must be
addressed immediately. A uterine rupture is more serious, but a placental
abruption is more common.
[30]
Dr. Fellows testified that, after he ruptured
the membranes, he believed he was dealing with a placental abruption, but was
alive to the possibility of a uterine rupture. Dr. Fellows indicated his
immediate concern was Sabrins wellbeing. She had to be delivered immediately.
Ms. Idris was stable and alert.
[31]
Dr. Fellows decided that a vaginal delivery would
be the fastest and safest way to deliver Sabrin. In his evidence, Dr. Fellows outlined
several considerations that led him to that conclusion, including Ms. Idris successful
prior vaginal delivery of her second son, who was a larger baby than Sabrin. Dr.
Fellows told Ms. Idris to push, but quickly concluded that pushing alone would
not deliver Sabrin. Dr. Fellows decided to use forceps to deliver Sabrin.
[32]
Using Tucker-McLean forceps, Dr. Fellows began
to move the baby down the birth canal. To turn Sabrins head so she would be in
a proper position for delivery, Dr. Fellows had to release the forceps and then
reapply them. He anticipated that Sabrin would remain near the crowning
position when he released the forceps. Instead, when he released the forceps,
there was a large gush of blood and Sabrin retreated back up the vaginal
cavity. This occurred at about 11:07 p.m. The blood made Dr. Fellows more
concerned about the possibility of a uterine rupture.
[33]
Dr. Fellows decided to make a second attempt to
deliver Sabrin using forceps. This time, he used Kielland forceps which would
allow him to deliver Sabrin without releasing the forceps during delivery. Dr.
Fellows applied the forceps and once again the baby began to descend the birth
canal. However, as Sabrin approached the crowning position, Dr. Fellows became
concerned that if he completed the delivery with the Kielland forceps, the configuration
of those forceps would cause considerable damage to Ms. Idris perineum. Dr.
Fellows decided to remove the Kielland forceps, believing that Ms. Idris could push
the baby out. When he released the forceps, Sabrin again retreated back into
the vaginal cavity.
[2]
Dr. Fellows now suspected a uterine rupture.
[34]
Dr. Fellows was cross-examined as to how long
his efforts to remove Sabrin with the Kielland forceps took. As I read his
evidence, Dr. Fellows agreed his efforts with the Kielland forceps took about
five minutes.
[35]
Dr. Fellows made a third attempt to deliver
Sabrin vaginally with forceps. This time, using the Tucker-McLean forceps, and
after performing an episiotomy, which involves cutting the perineum, Dr.
Fellows successfully manoeuvred Sabrin to a crowning position. He released the
forceps and told Ms. Idris to push. Sabrin arrived about 30 seconds later at 11:27
p.m.
[36]
In argument, counsel for the appellants
submitted that Dr. Fellows agreed the third and ultimately successful attempt
to deliver Sabrin took about 15 minutes. Counsel for the respondent submitted that,
while the appellants suggested to Dr. Fellows that the third effort to deliver
Sabrin took 15 minutes, he did not agree with that suggestion.
[37]
Counsel for Dr. Fellows reading of the evidence
may be accurate. Some of the times relied on by the appellants in their
timeline for the delivery are clearly approximations. They are, however,
estimates made within an undoubtedly very narrow timeframe. Taking into account
the overall timeframe of 26 minutes from Dr. Fellows arrival in the delivery
room to the delivery of Sabrin, and the agreed upon times at which other events
occurred, it seems reasonable to conclude the third and successful attempt to deliver
Sabrin took something in the order of 15 minutes.
[38]
After Dr. Fellows delivered Sabrin, he took Ms.
Idris to the operating room and performed a laparotomy. Dr. Fellows located a
laceration on the back of her uterus. Ms. Idris had lost a significant amount
of blood. Dr. Fellows successfully repaired and reattached the lower uterine
section of the uterus to the walls of the vagina. Ms. Idris stayed in the
hospital for seven or eight days, but recovered without further incident.
[39]
Ms. Idris was told within a few days that Sabrin
had suffered a catastrophic brain injury and would never be able to eat, walk
or talk. Ms. Idris had a brief conversation with Dr. Fellows about a month
after the delivery. He told her everything was fine until the last minutes.
[40]
Dr. Fellows testified that he remains convinced,
even with the benefit of hindsight, that he chose the proper mode of delivery
and that he was correct in attempting to continue to effect the delivery with
forceps even after two unsuccessful attempts. In Dr. Fellows opinion, had he
abandoned vaginal delivery with the use of forceps in favour of a C-section, he
would be dealing with a dead baby.
IV
were the reasons inadequate?
A.
The Applicable Legal Principles
[41]
Reasons for judgment fully and clearly explaining
both the result and the reasons for the result serve several important
purposes. Reasons for judgment improve the transparency, accountability and
reliability of decision-making, thereby enhancing public confidence in the
administration of justice:
R. v. Sheppard
, 2002 SCC 26, [2002] 1 S.
C.R. 869, at para. 5;
F.H. v. McDougall
, 2008 SCC 53, [2008] 3 S.C.R.
41, at para. 98;
R. v. G.F.
, 2021 SCC 20,459 D.L.R. (4th) 375, at
para. 68;
Sagl v. Chubb Insurance Company of Canada
, 2009 ONCA 388, [2009]
I.L.R. I-4839, at paras. 95-99;
Dovbush v. Mouzitchka
, 2016 ONCA 381, 131
O.R. (3d) 474, at paras. 20-23.
[42]
In the context of the appeal process, however, the
focus is not on the overall quality of the reasons given at trial, or the extent
to which those reasons serve all of the purposes outlined above. Instead, the
focus is on whether the reasons allow the appeal court to engage in a
meaningful review of the substantive merits of the decision under appeal. As
Binnie J., with his usual clarity, explained in
Sheppard
,
at para. 28:
It is neither necessary nor appropriate to
limit circumstances in which an appellate court may consider itself unable to
exercise appellate review in a meaningful way.
The
mandate of the appellate court is to determine the correctness of the trial
decision, and a functional test requires that the trial judges reasons be
sufficient for that purpose. The appeal court itself is in the best position to
make that determination
. The threshold is clearly reached, as here,
where the appeal court considers itself unable to determine whether the
decision is vitiated by error. Relevant factors in this case are that (i) there
are significant inconsistencies or conflicts in the evidence which are not
addressed in the reasons for judgment, (ii) the confused and contradictory
evidence relates to a key issue on the appeal, and (iii) the record does not
otherwise explain the trial judges decision in a satisfactory manner. Other
cases, of course, will present different factors. The simple underlying rule is
that if, in the opinion of the appeal court, the deficiencies in the reasons
prevent meaningful appellate review of the correctness of the decision, then an
error of law has been committed. [Emphasis added.]
[43]
A submission that trial reasons are legally
inadequate does not necessarily attack the sufficiency of the evidence, the
reasonableness of the factual findings, or allege legal errors in the trial
judges analysis. Rather, the submission that reasons are inadequate amounts to
a claim that proper substantive review of the trial judges reasons is
foreclosed by the inadequacy of those reasons. In other words, counsel cannot effectively
make arguments about the sufficiency of the evidence, the reasonableness of the
fact finding, or alleged errors in law because the reasons of the trial judge do
not provide the window into the trial judges conclusions and reasoning process
necessary to make those arguments.
[44]
The appellants have a statutory right of appeal
from the dismissal of their action. If the appellants are correct and the
reasons do not reveal the factual or legal basis for the trial judges
conclusions, the appellants are effectively denied the exercise of their
statutory right of appeal. That denial amounts to both an error in law and can
result in a miscarriage of justice.
[45]
There is now a deep jurisprudence addressing the
sufficiency of reasons as a ground of appeal. The cases repeatedly make two
important points. First, the adequacy of reasons must be determined
functionally. Do the reasons permit meaningful appellate review? If so, an
argument that the reasons are inadequate fails, despite any shortcomings in the
reasons. Second, the determination of the adequacy of the reasons is contextual.
Context includes the issues raised at trial, the evidence adduced, and the
arguments made before the trial judge. For example, if a review of the evidence
and arguments indicates that a certain issue played a minor role at trial, the
reasons of the trial judge cannot be said to be inadequate because they reflect
the minor role assigned to the issue by the parties at trial:
Sheppard
,
at paras. 33, 42 and 46;
R. v. Morrissey
(1995), 22 O.R. (3d) 514, at
p. 525;
Dovbush
, at para. 23.
[46]
In
G.F.
,
the Supreme Court of Canada recently cautioned against
appellate courts reviewing trial judges reasons with an overly critical eye,
especially in cases turning on credibility assessments:
G.F.
,
at paras. 74-76. The majority said, at
para. 79:
To succeed on appeal, the appellants burden
is to demonstrate either error or the frustration of appellate review. Neither
are demonstrated by merely pointing to ambiguous aspects of the trial decision.
Where all that can be said is a trial judge may or might
have erred, the appellant has not discharged their burden to show actual error
or the frustration of appellate review
. Where ambiguities in a trial
judges reasons are open to multiple interpretations, those that are consistent
with the presumption of correct application must be preferred over those that
suggest error. It is only where ambiguities, in the context of the record as a
whole, render the path taken by the trial judge unintelligible that appellate
review is frustrated.
An appeal court must be rigorous in
its assessment, looking to the problematic reasons in the context of the record
as a whole and determining whether or not the trial judge erred or appellate
review was frustrated. It is not enough to say that a trial judges reasons are
ambiguous the appeal court must determine the extent and significance of the
ambiguity
. [Emphasis added.] [Citations omitted.]
[47]
The caution sounded in
G.F.
applies in
this appeal. The position of Sabrins head when Dr. Fellows decided to proceed
with a forceps delivery was one of the main contentious factual issues at
trial. There was arguably a dramatic inconsistency between Dr. Fellows
description of the position of the head in his operative note and Dr. Fellows
testimony describing the position of Sabrins head. The appellants vigorously challenged
Dr. Fellows credibility, claiming he fabricated evidence to avoid the
implications of the operative note.
[48]
The trial judge clearly believed Dr. Fellows
evidence relating to the position of Sabrins head. The appellants argue she
did not adequately explain how she came to that conclusion. In considering that
argument, t
his court cannot engage in its
own assessment of Dr. Fellows credibility under the guise of
a purported
review of the adequacy of the trial judges reasons for believing Dr. Fellows:
R.
v. Ramos
, 2020 MBCA 111, at para. 53, affd 2021 SCC 15, 457 D.L.R. (4th)
369.
[49]
While
G.F.
sounds a clear cautionary
note to appellate courts considering arguments based on allegations of the inadequacy
of trial reasons, the case does not go so far as to suggest that if reasons
that suffer from ambiguity can possibly be read so as to remove the ambiguity
,
the reasons are legally adequate. If it is not possible to resolve the
ambiguity by determining which of multiple possible meanings the trial judge
actually intended, the reasons will be incapable of effective appellate review.
Ambiguity is of course only one sort of error that can make reasons
insufficient for the purpose of appellate review. The appellants in this appeal
rely more on the absence of findings or explanations for the findings than they
do on any ambiguities in the findings.
[50]
Because the adequacy of trial reasons is
assessed functionally and depends on the ability of the appellate court to
effectively review the correctness of the decision arrived at by the trial
court, the appellate court is entitled to look at the record as a whole when determining
the trial judges findings and the reasons for those findings are adequately
laid out. For example, in reasons for judgment, the trial judge may find the
evidence of a certain witness incredible but say very little about why that
finding was made. However, a review by the appellate court of the testimony of
that witness may make the reasons for the trial judges assessment crystal
clear. In that circumstance, the appellate court can, by reference to the
testimony, effectively review the trial judges credibility assessment. Consequently,
the reasons do not prevent meaningful appellate review and are not legally
inadequate:
G.F.
, at para. 70;
Maple Ridge Community Management
Ltd. v. Peel Condominium Corporation No. 231
, 2015 ONCA 520, 389 D.L.R.
(4th) 711, at paras. 30-32.
B.
The issues at trial
[51]
There were three broad issues to be resolved at
trial. The trial judge set them out early in her reasons (paras. 11-13):
·
Did Dr. Fellows have the informed consent of
Amara to proceed in the fashion in which he did? [informed consent]
·
Did Dr. Fellows fall below the reasonable
standard of care of an obstetrician/gynaecologist? In particular, did his
failure to immediately perform an emergency Caesarean section fall below the
standard of care? [standard of care]
·
If Dr. Fellows was negligent, did his acts or
omissions cause or materially contribute to the injuries suffered by Sabrin
Farej? [causation]
[52]
Setting aside the informed consent issue, to
succeed at trial, the appellants had to establish both causation and a breach
of the standard of care. The trial judge found against the appellants on both
issues. To succeed on appeal based on arguments alleging the reasons to be
inadequate, the appellants must show the reasons are inadequate with respect to
causation and at least one of the standard of care issues. If the causation reasons
do allow for meaningful appellate review of the causation finding, there would
be no reason to interfere with the trial judges finding the appellants failed
to prove causation and the appeal would be dismissed, regardless of the
adequacy of the reasons relating to standard of care issues. Similarly, if the
reasons relating to the standard of care issues allow for meaningful appellate
review, the trial judges finding there was no breach of the standard of care
would stand, and the appeal would be dismissed even if the causation reasons
were inadequate.
[53]
Each of the three issues raised a number of sub-issues,
most of which turned on findings of fact. The appellants submit the trial judge
failed to make necessary findings and failed to adequately explain those
findings she did make. I will examine those arguments by considering the
reasons in the following order:
·
The causation reasons;
·
The standard of care reasons; and
·
The informed consent reasons.
C.
are the reasons on causation adequate?
(i)
The Evidence
[54]
When Sabrin was born, she was suffering from
acute near total asphyxia (oxygen deprivation) brought on by a loss of blood
flow to her brain prior to delivery. In all likelihood, Ms. Idris uterine rupture
precipitated Sabrins acute near total asphyxia.
[55]
Sabrins oxygen deprivation lasted for about 25
to 30 minutes before her delivery. At some point in time during that timeframe,
Sabrin suffered permanent brain damage as a result of the ongoing oxygen
deprivation.
[56]
Oxygen deprivation as a result of acute asphyxia
does not lead immediately, or inevitably, to permanent brain damage. Oxygen
deprivation will, however, cause permanent brain damage and ultimately death if
the deprivation goes on for a sufficiently long time period.
[57]
The experts agreed that Sabrins acute near
total asphyxia began between 10:55 p.m., when Sabrins heart rate dropped
precipitously, and 11:04 p.m., when the FHM showed she was bradycardic. None of
the experts could say exactly when the acute near total asphyxia began, or when
it first caused permanent brain damage. They all agreed the length of time
required before permanent brain damage would occur varied and depended on a
number of variables.
[58]
Dr. Oppenheimer, the defence expert, testified
that the state of the babys oxygen reserves when the acute asphyxia occurred
was one of those important variables. Sabrins heart rate had decelerated at
various times in the hour before Dr. Fellows arrived in the delivery room. Dr.
Oppenheimer testified that those decelerations put stress on Sabrins oxygen reserves
and would have compromised, to some degree, her ability to withstand the acute
near total asphyxia that occurred some time between 10:55 p.m. and 11:04 p.m. I
do not read the evidence of the appellants experts as contradicting this
aspect of Dr. Oppenheimers evidence.
[59]
The experts, as well as Dr. Fellows, also
accepted that, as a general rule, the longer and more severe the oxygen
deprivation suffered by the baby, the more extensive and severe the brain
injuries and other consequential injuries to the baby are likely to be. The
increase in the severity of brain damage is not, however, linear or consistent
in the sense that it proceeds at a known or predictable rate, or results in the
loss of certain specific brain functions in a given order or at specific points
in time.
[60]
The experts agreed that Sabrins acute near
total asphyxia caused the permanent brain damage which led to her many injuries
and disabilities. They gave various estimates as to when Sabrin may have suffered
permanent brain damage. The experts made it clear, however, that these were
estimates and Sabrin could have suffered permanent brain damage almost at any
stage of the asphyxia and certainly before or after the timeframes estimated by
the experts.
[61]
Dr. Oppenheimer testified that permanent brain
damage could occur as quickly as 10 minutes after the initial event causing the
acute asphyxia occurred, or permanent damage could occur significantly later. It
was Dr. Oppenheimers position that the initial event compromising Sabrins
oxygen supply occurred as early as 10:55 p.m. and as late as 11:04 p.m. If the
initial incident causing the acute asphyxia occurred at 11:04 p.m., Dr.
Oppenheimer testified the permanent brain damage could have occurred by 11:14
p.m.
[62]
Dr. Oppenheimer was asked whether Sabrins
injuries could have been avoided or lessened had Sabrin been delivered by Caesarean
section as soon as reasonably possible. He responded:
I think its quite unlikely that that she
could have been delivered more quickly and, even if she had been delivered more
quickly, I think its unlikely her injuries could have been avoided.
[63]
Dr. Shah, the appellants expert, agreed that
Sabrins acute near total asphyxia began some time between 10:55 p.m. and 11:04
p.m. He also agreed that babies have a limited ability to defend against such
events and that the defences can be compromised by a history of heart
decelerations during the labour.
[64]
Dr. Shah testified that it was his estimate that
Sabrins permanent brain damage occurred between 20 and 30 minutes after the
onset of her acute near total asphyxia (10:55 p.m. 11:04 p.m.). On this
estimate, Sabrin could have suffered permanent brain damage as early as 11:15
p.m. Dr. Shah also testified that he would place the onset of Sabrins permanent
brain damage nearer the time of her actual birth as had it occurred earlier and
closer to the 20-minute mark, he did not believe Sabrin would have been born
alive.
[65]
In cross-examination, Dr. Shah agreed that he
could not say with any degree of confidence that Sabrin had not suffered a permanent
brain injury within a short period of time after Dr. Fellows arrived in the
delivery room. Similarly, he could not say with any confidence that Sabrin had
not suffered a permanent brain injury even before Dr. Fellows first attempted
to deliver Sabrin vaginally using forceps.
(ii)
The causation arguments at trial
[66]
There is no suggestion Dr. Fellows did anything,
or failed to do anything, that caused Sabrins acute near total asphyxia. It
would appear that the uterine rupture was the physical cause of her near total
asphyxia. In legal terms, the near total asphyxia was a non-tortious cause of
Sabrins ultimate injuries. She, in all likelihood, was suffering from acute
oxygen deprivation before Dr. Fellows arrived in the delivery room at 11:01
p.m.
[67]
The appellants advanced their causation argument
at trial through a series of possible scenarios, each based on an alleged act
of negligence by Dr. Fellows and a comparison of the time at which the
appellants said Sabrin could have been delivered, but for Dr. Fellows
negligence, with the time Sabrin was actually delivered. The appellants argued
that the lost time attributable to Dr. Fellows negligence, which ranged from
about 15 minutes on most of the scenarios to 30 seconds on one scenario, caused,
or at least materially contributed to, the catastrophic injuries Sabrin had
when she was born: see
Athey v. Leonati
, [1996] 3 S.C.R. 458, at
paras. 13-16;
Donleavy v. Ultramar Ltd.
, 2019 ONCA 687, 60 C.C.L.T.
(4th) 99, at paras. 72-73.
[68]
The respondent met the appellants causation
arguments with the submission that the timelines advanced by the appellants
were based on speculation and not evidence. In particular, the respondent submitted
that the appellants contention that he could have delivered Sabrin by
emergency Caesarean section in 8 to 10 minutes from the time he made the
decision to do an emergency Caesarean section was unrealistic. At trial, Dr.
Fellows testified that 8 to 10 minutes took into account only the time between
incision and delivery and did not take into account the time needed for the necessary
preparation prior to commencing the actual operation.
[69]
The respondent also took on the appellants argument
that he caused Sabrins injuries on a broader front. The respondent argued that
on the evidence, especially the evidence of the appellants expert, Dr. Shah, the
appellants had failed to establish on the balance of probabilities that had he
delivered Sabrin by emergency Caesarean section as soon as reasonably possible,
her delivery at that time would have made any material difference to her
physical condition when she was born. The respondent argued that, apart
entirely from whether he was negligent, the appellants had failed to
demonstrate on the balance of probabilities that anything he did or did not do
caused or materially contributed to Sabrins injuries. If this argument carried
the day, the appellants other arguments, save one, would necessarily fail.
[3]
(iii)
The trial judges causation reasons
[70]
The trial judge correctly identified the
causation issue early in her reasons, at para. 13:
If Dr. Fellows was negligent, did his acts or
omissions cause, or materially contribute to the injuries suffered by Sabrin
Farej?
[71]
The trial judges analysis of the causation
issue begins at para. 306. After a thorough and accurate review of the legal
principles (paras. 307-23), the trial judge correctly identified the but for
test as the applicable test to determine causation (para. 325).
[72]
The trial judge next reviewed some of the
evidence relevant to causation (paras. 326-37). She had outlined the evidence
in some detail earlier in her reasons.
[73]
After summarizing the evidence, the trial judge turned
to the appellants arguments (paras. 338-41, 343). The trial judge rejected
those arguments. In reference to the submission that Dr. Fellows should have
done an immediate C-section, or performed a C-section immediately after the
first attempt to deliver Sabrin vaginally failed, the trial judge said, at
para. 342:
These submissions are not founded in the
evidence. Dr. Fellows testified that he could perform an emergency c-section
within eight to ten minutes from incision to delivery. This estimate does not
account for delivery room preparation, patient transportation and the
administration of anaesthesia, and there was no evidence called in that regard.
[74]
The trial judge next focused on the argument
that, on the third attempt to deliver Sabrin, Dr. Fellows had been negligent in
removing the forceps and allowing Ms. Idris to push Sabrin out. The appellants
argued that by having Ms. Idris push rather than removing Sabrin with the
forceps, Dr. Fellows added 30 seconds to the delivery, causing additional brain
damage to Sabrin. The appellants emphasized that, by this time, Sabrin had been
in an acute asphyxic state for up to 32 minutes. The trial judge dismissed this
argument, at para. 344:
At its highest, this argument is grounded in
loss of chance. As the court stated in
Laferriere
(
supra
),
a mere loss of chance is not compensable in medical malpractice cases.
[75]
The trial judge had, earlier in her reasons, summarized
the case law distinguishing between causation and a mere loss of chance (para.
323).
[76]
After rejecting the appellants arguments, the
trial judge turned to the respondents submission that the appellants had
failed to prove on the balance of probabilities that anything Dr. Fellows did
or failed to do was causally linked to Sabrins injuries. The trial judge
referred to Dr. Oppenheimers evidence that he did not think it likely that a
quicker delivery would have avoided the injuries suffered by Sabrin. The trial
judge also referred to the evidence that permanent brain damage may have
occurred within 10 minutes of the initial near total asphyxia. On the evidence
of both experts, near total asphyxia may have occurred as early as 10:55 p.m. Finally,
the trial judge referred to Dr. Fellows evidence that had he abandoned the
forceps delivery, he would be dealing with a dead baby. The trial judge then concluded,
at para. 348:
I can find no causal connection between Dr.
Fellows actions and Sabrins injuries.
[77]
I read this as a finding that the appellants had
not proved that Dr. Fellows did or failed to do anything that materially
contributed to the injuries Sabrin had when she was born. The appellants vigorously
argue that this simple, short, single sentence all but ended their case. They submit
they were entitled to an explanation as to how the trial judge arrived at that
conclusion.
(iv)
The appellants submissions
[78]
In support of their contention that the reasons do
not explain the trial judges causation finding, the appellants submit that the
trial judge never came to grips with the evidence about the time needed to
perform an emergency Caesarean section. They contend the trial judge, at para.
342, wrongly concluded there was no evidence as to the time needed to perform
an emergency Caesarean section. The appellants point to the evidence of Dr.
Cohen in which he opined that 8 to 10 minutes to perform an emergency Caesarean
section was a generous estimate and included the minimal preparation time
needed for the procedure.
[79]
The appellants submit that without coming to a conclusion
as to the time needed to perform an emergency Caesarean section, the trial
judge could not rationally decide whether the failure to perform an emergency
Caesarean section caused or materially contributed to Sabrins injuries. The
determination of whether any causal link existed between the failure to perform
an emergency Caesarean section and Sabrins injuries could only be properly made
after a finding of what delay, if any, occurred between the time at which Sabrin
could have been delivered by way of emergency Caesarean section and the actual delivery
time. If the trial judge found the failure to perform an emergency Caesarean section
did delay Sabrins birth, she would then have had to determine whether that
delay caused or materially contributed to the injuries Sabrin had when she was
born.
[80]
The appellants further submit that, although the
trial judge recognized early in her reasons that a material contribution to
Sabrins injuries sufficed to establish causation, she ignored the material
contribution component of the causation inquiry when considering the effect of
any delay in the delivery of Sabrin on her catastrophic condition when she was
born. The appellants submit the trial judges reasons on causation indicate she
approached causation as if the injuries Sabrin had when she was born occurred
at a specific point in time when she suffered permanent brain damage, rather
than over a period of time after she had suffered permanent brain damage due to
acute oxygen deprivation. The appellants contend that it cannot be determined
from the trial judges reasons whether in finding no causal connection between Dr
Fellows actions and Sabrins injuries, the trial judge even considered whether
an earlier delivery by way of emergency Caesarean section would have materially
reduced the extent of Sabrins permanent brain damage and the injuries suffered
by her.
[81]
The appellants argue the absence of any
reference in the reasons to the possibility that the failure to perform an
emergency Caesarean section may have materially reduced Sabrins injuries, even
if it did not entirely eliminate the brain damage caused by the near total
asphyxia, is especially important given the nature of the evidence adduced in this
case. The experts and Dr. Fellows agreed that time was of the essence and
minutes counted, both in respect of the likelihood of permanent brain damage
and the potential severity of that damage. The appellants ask rhetorically what
did the trial judge make of the consensus opinion that the longer Sabrin
suffered oxygen deprivation, the more probable permanent brain damage and the more
severe that permanent brain damage was likely to be? The appellants submit the
reasons provide no answer to this fundamental question.
(v)
The respondents submission
[82]
The respondent replies that the reasons of the
trial judge reveal a full command of the evidence and the legal principles
applicable to causation, including the recognition that causation extends to
factors which materially contribute to the injury.
[83]
The respondent urges the court in assessing the
adequacy of the causation reasons to consider those reasons in the context of
the evidence relating to causation. The respondent maintains that the evidence,
especially the evidence of the appellants expert, Dr. Shah, offers no support
for the conclusion that Dr. Fellows did anything that caused Sabrins injuries.
The respondent submits that, on the evidence, no one could say that Sabrin was
not permanently brain damaged before Dr. Fellows was in the delivery room, and
no one could say what effect any delay in the delivery had on the extent of the
injuries actually suffered by Sabrin. Nor could any of the experts indicate
that had Sabrin been delivered before a specific point in time she would not have
suffered the same kind of injuries she ultimately suffered. The respondent
emphasizes that the appellants had the burden of proof on causation. Evidence that
Dr. Fellows may or may not have caused or materially contributed to Sabrins
injuries would not suffice to meet that burden.
(vi)
Analysis
[84]
I agree with the thrust of the appellants
submissions on the causation issue. The reasons tell us that the trial judge decided
that nothing Dr. Fellows did caused the injuries. Unfortunately, the reasons do
not tell us how the trial judge arrived at her conclusion, or whether in doing
so she addressed not only causation in the narrowest sense, but also causation
by way of a material contribution to the injuries actually suffered by Sabrin:
Dunleavy
v. Ultramar Ltd.
, at paras. 72-73.
[85]
To decide whether Dr. Fellows decision to
proceed with a vaginal birth rather than an emergency C-section caused, or
materially contributed to, Sabrins injuries, the trial judge had to make three
factual findings:
·
When would Sabrin have been delivered had Dr.
Fellows elected to proceed with an emergency C-section at 11:05 p.m.?
·
What delay occurred as a result of Dr. Fellows
decision to proceed with a vaginal delivery rather than an emergency Caesarean
section? This calculation required a comparison of the time of the delivery had
a C-section been done and the actual time of delivery.
·
Did the delay, as quantified at step 2, cause or
materially contribute to the injuries Sabrin had when she was born?
[86]
If the trial judge found the delay did cause or
materially contributed to Sabrins injuries, she would have had to go on and
determine whether that delay was the product of Dr. Fellows negligence, that
is did his decision not to perform an emergency Caesarean section fall below
the applicable standard of care?
[87]
The evidence indicates that Dr. Fellows was in
the position to determine the appropriate mode of delivery at 11:05 p.m. By
that time, he had assessed the patient and artificially ruptured the membranes.
He fully appreciated the urgency of the situation, believed that Ms. Idris had
suffered a placental abruption, but also realized that a uterine rupture was a
possibility.
[88]
There was conflicting evidence about how long it
would take Dr. Fellows to deliver Sabrin by Caesarean section had he decided to
follow that course of action. On Dr. Cohens evidence, 8 to 10 minutes from
decision to delivery was a generous estimate and, in many cases, the delivery
could be completed in less time. Dr. Cohen explained there was virtually no
preparation involved in an emergency Caesarean section once the patient was in
the operating room and anesthetized. The operating room was directly across
from the delivery room, and there was an anesthetist available.
[89]
Dr. Fellows indicated in his discovery that it
would take 8 to 10 minutes to complete an emergency Caesarean section. He later
explained at trial that 8 to 10 minutes referred to the time needed from
incision to delivery and did not include preparation time.
[90]
In extracts from his discovery read in at trial,
Dr. Fellows indicated that a normal emergency Caesarean section took 15, 20
minutes. When asked to deal with this case, Dr. Fellows stated that if Ms.
Idris was properly anaesthetized, an emergency Caesarean section could be done
within 8 to 10 minutes.
[91]
The trial judge did not refer to the evidence
given by Dr. Fellows on his discovery. She also made no finding as to how long
the necessary preparation would take. In her reasons (para. 342), she wrongly
indicated there was no evidence called on that issue. In fact, as summarized
above, Dr. Cohen had testified the preparation time would be very brief.
[92]
Dr. Oppenheimer agreed with Dr. Fellows
evidence that the 8 to 10-minute estimate did not include preparation time. As
I read his evidence, he offered no opinion as to the length of that preparation
time and no opinion as to the time needed to complete a Caesarean section in
the circumstances faced by Dr. Fellows.
[93]
There was also evidence that Ms. Idris first
son was born by way of emergency Caesarean section at the same hospital. That
procedure took seven minutes from administration of the anaesthesia to completion
of the procedure. The circumstances, however, at the time of the birth of Ms.
Idris first child were very different than those faced by Dr. Fellows.
[94]
On my review of the reasons, the trial judge
accepted Dr. Fellows evidence that the estimate of 8 to 10 minutes to conduct
an emergency Caesarean section did not include preparation time. The trial
judge made no findings beyond that.
[95]
This was no minor factual matter. I agree with
the appellants that without arriving at a time, or at least a timeframe, within
which the emergency Caesarean section could have been completed, the finding of
no causal connection between Dr. Fellows actions and the injuries is
unintelligible. This is particularly true bearing in mind that causation is
established if the delay brought about by the failure to perform the immediate Caesarean
section materially contributed to Sabrins ultimate injuries.
[96]
In light of the evidence that Sabrins permanent
brain damage occurred over a period of time during which she was acutely oxygen
deprived, and that the damage worsened the longer the deprivation lasted, it
was critical to the causation inquiry that the trial judge decide when Sabrin
could have been delivered by emergency Caesarean section. Without a finding of
at least a timeframe within which the Caesarean section could have been
completed, there could be no finding as to how long, if at all, Sabrin was
oxygen deprived as a consequence of the failure to deliver her by way of
emergency Caesarean section. Without that finding, there could be no meaningful
inquiry into whether the delay, if any, caused or materially contributed to
Sabrins injuries.
[97]
There are avenues through the evidence which, if
followed by the trial judge, could reasonably have led her to conclude that
even if an emergency Caesarean section had been performed, Sabrin would not
have been delivered sufficiently prior to 11:27 p.m. to make any material difference
to the outcome. Nothing in the reasons, however, allows me to conclude the
trial judge followed one of those roads.
D.
are the reasons on the standard of care issues
adequate?
[98]
The trial judge correctly identified the
applicable standard of care (paras. 230-38) did Dr. Fellows exercise the
degree of skill and knowledge expected of an average competent obstetrician in
the circumstances:
ter Neuzen v. Korn
, [1995] 3 S.C.R. 674, at para. 46.
The trial judge approached the standard of care issues by asking herself three
questions:
·
Did Dr. Fellows fall below a reasonable standard
of care in failing to document any discussion with Ms. Idris, including
benefits, risks and options?
·
Did Dr. Fellows fall below a reasonable standard
of care in failing to recognize Ms. Idris uterine rupture?
·
Did Dr. Fellows fall below a reasonable standard
of care in performing a forceps delivery when Sabrin was station -1?
(1)
Did the trial judge ask herself the wrong
question?
[99]
This submission focuses on the second of the
three questions posed by the trial judge. The appellants submit that, while Dr.
Fellows failure to diagnose a uterine rupture had some relevance to the
standard of care issues, none of the appellants arguments depended on a
finding that Dr. Fellows was negligent in failing to recognize Ms. Idris
uterine rupture.
[100]
At trial, the appellants argued the applicable standard of care
required Dr. Fellows to perform an immediate Caesarian section if a uterine
rupture was on his differential diagnosis, even if he believed a placental
abruption was the more likely cause of Sabrins distress and the bleeding.
[101]
A differential diagnosis recognizes various possible causes of a
given medical problem. A uterine rupture, and a placental abruption, can
generate many of the same symptoms. Both were on Dr. Fellows differential
diagnosis from the outset. After his initial assessment of Ms. Idris, Dr.
Fellows believed that a placental abruption was the more likely diagnosis, but
a uterine rupture remained on his differential diagnosis.
[102]
The appellants contend that, under the applicable standard of care,
Dr. Fellows was required to first address the most serious condition on his
differential diagnosis. A uterine rupture is a more serious diagnosis than a
placental abruption. A uterine rupture puts the life of both the mother and the
baby at very real risk. The appellants submit an immediate Caesarean section
was the only way to properly address the risks posed by a uterine rupture.
[103]
The appellants submit that, despite the centrality of the
appellants submission that a differential diagnosis, including a uterine
rupture, requires an immediate Caesarean section, the trial judge ignored Dr.
Fellows acknowledgement that a uterine rupture was on his differential
diagnosis, and instead focused on the reasonableness of Dr. Fellows diagnosis
of a placental abruption as the more likely cause of Sabrins bradycardia. The
appellants argue that the trial judges ultimate determination that Dr.
Fellows diagnosis of a placental abruption was reasonable, at para. 277, did
nothing to resolve the crucial question of whether the applicable standard of
care required him to proceed immediately with an emergency Caesarean section.
(i)
The evidence on whether Dr. Fellows was required
to proceed with an immediate Caesarean section
[104]
Dr. Cohen, the appellants expert, testified:
He should have been suspicious of uterine
rupture, and unless the fetus is able to be readily delivered, meaning at the perineum,
or basically crowning, he should have proceeded to laparotomy [Caesarean
section].
[105]
Dr. Cohen indicated that in the face of a possible uterine rupture,
both the mother and baby were in jeopardy. Dr. Fellows had to expedite
delivery. In Dr. Cohens opinion, in the circumstances faced by Dr. Fellows,
an emergency Caesarean section was the only way to adequately expedite
delivery.
[106]
In advancing his opinion, Dr. Cohen relied on guidelines prepared by
the Society of Obstetricians and Gynecologists (SOGC) and, in particular,
recommendation No. 7:
Suspected uterine rupture requires urgent
attention and expedited laparotomy to attempt to decrease maternal and
perinatal morbidity and mortality.
[107]
Dr. Fellows acknowledged that a uterine rupture was a possible
diagnosis. In his view, regardless of the cause of the problem, it was
imperative that Sabrin be delivered as quickly and safely as possible both for
her wellbeing and her mothers wellbeing. Delivering Sabrin as quickly as
possible was essential, given her acute fetal distress. A quick delivery of
Sabrin would also allow Dr. Fellows to examine Ms. Idris uterus and conduct
any needed repairs. Those repairs could not be performed until Sabrin was
delivered.
[108]
The SOGC guidelines were put to Dr. Fellows. He testified he did not
treat the guidelines as rules, but as aides to the exercise of his clinical
judgment. That clinical judgment had to be made depending on the exact
circumstances in any specific case.
[109]
Dr. Oppenheimer agreed with Dr. Fellows approach. In his opinion,
if, on a clinical assessment, a vaginal delivery was appropriate, the
possibility of a uterine rupture did not dictate that a Caesarean section was
the only appropriate mode of delivery. The essence of Dr. Oppenheimers
evidence is set out below:
There are any [m]any causes, of course, of
fetal distress but in this scenario the causes were concerned about are
potentially abruption or uterine rupture, those are the two, and you can
perform a forceps delivery, it doesnt matter what you consider the underlying
etiology, if the patient meets your, you know, prerequisites and you feel you are
going to succeed you can go ahead and do a forceps. The indication is not an
issue.
[I]n every case where you come in the room and
you have pain, bleeding and severe fetal distress, the differential diagnosis
is always abruption versus rupture and you do not always assume that its
that its rupture because if its abruption then well it doesnt matter.
Either way, the action is the same, urgent delivery. So, it doesnt matter
which one youre prioritizing in what we discussed before in the differential,
urgent delivery is the treatment of both.
[110]
As I read the evidence of the experts and Dr. Fellows, the primary
concern had to be to deliver Sabrin as quickly as safely possible. Delivering
Sabrin would not only address her ongoing oxygen deprivation, but would also
allow the doctor to locate and fix any uterine rupture Ms. Idris may have
suffered.
[111]
The experts differed on one essential point. In Dr. Cohens view, an
urgent delivery meant a delivery by way of emergency Caesarean section, except
in those cases where it was obvious from the positioning of the baby that it
could be delivered immediately vaginally. On the view of Dr. Fellows and Dr.
Oppenheimer, the question of how best to deliver the baby quickly and safely
involved a greater element of clinical judgment and an assessment of various
factors. In Dr. Oppenheimers opinion, Dr. Fellows exercised that judgment
appropriately when he decided to proceed with a vaginal delivery.
(ii)
Analysis
[112]
I agree with the appellants submission that the reasonableness of
Dr. Fellows diagnosis of a placental abruption was not determinative of
whether Dr. Fellows was negligent in failing to conduct an immediate Caesarean
section. The trial judges analysis of the reasonableness of Dr. Fellows
diagnosis of placental abruption (paras. 268-79) provides no answer to the
claim that he was negligent in failing to perform an emergency Caesarean
section once a uterine rupture was on his differential diagnosis. Although the
trial judge, at para. 12, properly identified the issue as being whether Dr.
Fellows fell below the standard when he failed to perform an immediate
Caesarean section, her ultimate analysis, to the extent it focused on whether the
failure to diagnose a uterine rupture was negligent, misapprehended the case
advanced by the appellants.
[113]
This misstep by the trial judge in her reasons does not, however,
mean the reasons are inadequate. The reasons must be considered as a whole.
Reasons may address issues that do not have to be addressed, or reasons may
mischaracterize issues. What is important in an inquiry into the adequacy of
the reasons is not necessarily the shortcomings of the reasons, but whether
they ultimately explain the basis for the decisions which had to be made to
render the judgment in question. Effective appellate review may involve more
work with some judgments than others. As long as the review can be conducted,
the reasons are adequate.
[114]
Looking at the reasons as a whole, it is clear the trial judge
reviewed the evidence of Dr. Fellows concerning his decision to proceed with a
vaginal delivery in some detail when she was outlining the evidence of various
witnesses: at paras. 90-111, 143, 165, 171-84. The trial judge also thoroughly
reviewed the experts evidence and the differing opinions as to whether the applicable
standard of care required an immediate emergency Caesarean section. The trial
judge specifically accepted Dr. Oppenheimers evidence to the effect that a
forceps delivery was clearly the best choice (paras. 294-95). She also
accepted, at para. 298, his evidence of the interpretation of the relevant
guidelines as not precluding a forceps delivery in the circumstances faced by
Dr. Fellows.
[115]
The reasons of the trial judge reveal an appreciation of the
conflicting evidence on the issue of whether Dr. Fellows should have proceeded
with an emergency Caesarean section. The reasons demonstrate that the trial
judge resolved the conflicting evidence by preferring the evidence of Dr.
Oppenheimer over Dr. Cohens evidence. The trial judge preferred the approach
which placed more emphasis on individual clinical judgments over Dr. Cohens
approach, which favoured more of a bright line rule when a uterine rupture was
on the differential diagnosis. The trial judges clear command of the content
of the evidence given by the experts and Dr. Fellows supports the conclusion
that she preferred Dr. Oppenheimers opinion after a critical assessment of the
evidence offered by both experts for and against their respective positions.
The trial judge appreciated the substance of the evidence given by the experts,
the points of contention between them, and ultimately determined she preferred
Dr. Oppenheimers evidence on this point.
[116]
The clarity of the trial judges reasons may have been enhanced had
she dealt with the question of whether an immediate emergency Caesarean section
was Dr. Fellows only option under its own specific heading. Formatting
deficiencies will, however, seldom render reasons unintelligible. The reasons
for the trial judges finding that Dr. Fellows was not negligent in proceeding
with a vaginal forceps delivery reveal both what the trial judge decided and
why she rendered that decision. The reasons permit meaningful appellate review.
(2)
Did the trial judge fail to engage with and
decide Dr. Fellows credibility in respect of his evidence that Sabrins head
was engaged when he attempted the forceps delivery?
[117]
The position of Sabrins head when Dr. Fellows elected to proceed
with a vaginal delivery using forceps was a crucial factual issue at trial. If
her head was not engaged, meaning it was above Ms. Idris pelvic bone, Dr.
Fellows and the experts agreed that a forceps delivery should not be attempted.
(i)
The evidence on the location of Sabrins head
[118]
In his operative note prepared shortly after the delivery, Dr. Fellows
referred to Sabrins head as being at station -1 when he conducted his vaginal
exam. Dr. Fellows made no mention of whether the head was engaged.
[119]
Dr. Cohen testified that a reference to the babys head being at
station -1 meant that the head was above the pelvic bone and, therefore, not
engaged. To be engaged, the head had to be at station 0 or lower (station +1).
Dr. Cohen referred to various texts in support of his definition of engaged.
[120]
Dr. Cohen was asked about Dr. Fellows evidence on his discovery to
the effect that Sabrins head was engaged at station -1. Dr. Cohen replied
that as a trained experienced obstetrician, Dr. Fellows would know that if the
head was at station -1, it could not be engaged.
[121]
The appellants submitted that Dr. Fellows operative note accurately
described the position of Sabrins head when Dr. Fellows attempted a forceps
delivery. That position effectively ruled out the use of forceps and, therefore,
by necessary implication, a vaginal delivery.
[122]
Dr. Fellows acknowledged that when he initially did his vaginal
examination, Sabrins head was just above spines, meaning the head was not
engaged. Dr. Fellows indicated that when he ruptured the membranes, the head
descended slightly. By the time he completed the pelvic exam, Sabrins head was
engaged and remained so. Dr. Fellows agreed that his operative note made no
reference to the head being engaged and that he did not amend the document at
any time.
[123]
Dr. Oppenheimer testified that Sabrins head may have descended from
station -1 before Dr. Fellows applied the forceps. The descent may have been
caused by the rupture of the membranes, or Ms. Idris pushing. Contrary to Dr.
Cohen, Dr. Oppenheimer indicated that a designation of the head as being at
station -1 was not necessarily incompatible with the observation that the head
was below the pelvic bone and, therefore, engaged.
(ii)
Analysis
[124]
The trial judge ultimately accepted Dr. Fellows evidence that he
could see that Sabrins head was engaged before he used the forceps. The trial
judge accepted this evidence for two reasons. First, Dr. Fellows indicated the
rupture of the membranes caused the head to descend (para. 301). Second, Dr.
Fellows, who was by all accounts an experienced and skilled obstetrician,
testified as to what he saw, and in particular, the location of Sabrins head.
He knew the significance of the location of the head when considering whether
to attempt a forceps aided delivery (para. 304).
[125]
The trial judge reviewed the relevant evidence at length. It was
open to her to accept Dr. Fellows evidence. She did not misapprehend any of
the evidence relevant to this point. The two reasons she gave for accepting Dr.
Fellows evidence offer an intelligible explanation for her conclusion.
[126]
Dr. Fellows evidence that Sabrins head moved slightly downward after
he ruptured the membranes was supported, to some extent, by evidence from the
experts, including Dr. Cohen, who agreed that a rupture of the membranes could
cause the babys head to move downward.
[127]
I am satisfied that, the trial judge did not take an improper
approach in her assessment of Dr. Fellows evidence by taking into account his
acknowledged experience and expertise. The trial judge found it unlikely that a
person of Dr. Fellows experience and expertise would, be mistaken in his
observation of the location of Sabrins head, a crucial consideration in
determining how best to deliver Sabrin. The trial judge, for the same reason,
found it implausible that Dr. Fellows would proceed with a vaginal delivery
using forceps unless he was satisfied the head was engaged, a prerequisite to
proceeding with a vaginal delivery.
[128]
The trial judge did not engage in circular reasoning, but simply
took into account Dr. Fellows experience and expertise when considering the
credibility and reliability of his evidence as to what he saw when he examined
Ms. Idris in preparation for the delivery of Sabrin.
[129]
The appellants, as they did at trial, argue that Dr. Fellows
tailored his evidence about the location of Sabrins head to coincide with
certain suggestions found in Dr. Oppenheimers report. They contend Dr. Fellows
first testified that Sabrins head moved downward after his initial examination
after Dr. Fellows had read Dr. Oppenheimers report in which he offered that
possible explanation. The appellants submit the trial judge failed to consider
this argument.
[130]
Dr. Fellows did refer to Sabrins head as being engaged in his
discovery evidence, although he coupled that reference with an indication it
was at station -1. It does not appear that Dr. Fellows was asked questions on
discovery about the position of Sabrins head or any movement of her head after
his initial assessment.
[131]
Certainly, it was open to the appellants to argue that Dr. Fellows
trial evidence as to the positioning of Sabrins head was coloured by his
reading of Dr. Oppenheimers report. The appellants made that argument at trial
and I have no doubt the trial judge considered it. Her failure to address the
argument specifically in her reasons does not undermine the explanation she
gave for accepting Dr. Fellows evidence as to the position of Sabrins head.
Trial judges are not required to answer every argument made by counsel at
trial, particularly an argument predicated in part on the submission that the
trial judge should draw an adverse inference with respect to credibility
because a party failed to volunteer information on discovery. The reasons admit
of meaningful appellate review.
(3)
Did the trial judge fail to explain why she rejected
the appellants submission that Dr. Fellows should have done an emergency
Caesarean section after the first attempt to deliver with forceps failed?
(i) The
appellants argument
[132]
The first attempt to deliver Sabrin with forceps failed at about
11:07 p.m. The appellants submitted that as of 11:07 p.m., Dr. Fellows had two
new additional factors to take into account when deciding how to proceed.
First, the gush of blood and the immediate retreat of Sabrins head gave Dr.
Fellows even more reason to suspect Ms. Idris had suffered a uterine rupture.
Second, under the SOGC guidelines, the failure to successfully deliver a baby
using one technique was itself a reason to consider using a different approach.
[133]
The appellants submit that these two new considerations should have
led Dr. Fellows to change the mode of delivery from a vaginal delivery with
forceps to an emergency Caesarean section. His failure to do so cost valuable
time and caused or materially contributed to Sabrins injuries.
[134]
The appellants acknowledge that the trial judge rejected this
argument. She said, at para. 304:
Given the exigent circumstances and what was
known at the time, Dr. Fellows acted reasonably in pursuing an operative
vaginal delivery with forceps. Once he made that decision it was imperative
that he follow through. Failure to do so, in all likelihood, would have
resulted in the death of the baby.
[135]
The appellants submit that the trial judges reasons offer no
explanation for her conclusion that Sabrin would likely have died had Dr.
Fellows decided to perform an emergency Caesarean section at about 11:07 p.m.
The appellants also submit the reasons offer no explanation for the trial
judges conclusion that it was imperative that Dr. Fellows follow through
with a vaginal delivery, despite the change in the relevant circumstances.
(ii) Analysis
[136]
There is merit to the appellants submission. The trial judges
reasons shed no light on how the trial judge came to her conclusion that Sabrin
would in all likelihood have been dead before she was born had Dr. Fellows ordered
an emergency Caesarean section at 11:07 p.m. Certainly, Dr. Fellows gave that
evidence. However, Dr. Fellows offered no evidence as to when he could have
completed a Caesarean section had he decided at 11:07 p.m. to abandon the
vaginal delivery in favour of an immediate emergency Caesarean section.
[4]
[137]
It may be that Dr. Fellows concluded that as Sabrin was born alive
at 11:27 p.m., she would have been delivered some time after 11:27 p.m. had he decided
to perform a Caesarean section at or about 11:07 p.m. Unfortunately, Dr.
Fellows did not explain in his evidence why he believed Sabrin would not have
survived the birth had he proceeded with a Caesarean section. Nor does the
trial judge explain how she came to accept Dr. Fellows evidence that Sabrin
would not have survived had he proceeded with a Caesarean section when he gave
no evidence as to when he believed she could have been delivered had he decided
to proceed with a Caesarean section.
[138]
Despite the shortcomings described above, the trial judges reasons
on this issue can be effectively reviewed in this court. As outlined above, the
trial judge accepted the defence evidence that, regardless of the medical cause
of the problem faced by Dr. Fellows, Sabrins delivery as quickly as it could
be safely done had to be the priority, both from Sabrins perspective, and from
Ms. Idris perspective. Because the trial judge accepted the defence evidence
that the need to deliver Sabrin as quickly as possible remained the primary
concern regardless of the cause of the problem, Dr. Fellows added suspicion of
a uterine rupture after the blood gush during the first failed attempt to
deliver Sabrin would not have caused him to rethink the appropriate mode of delivery.
The speed with which he could deliver Sabrin safely remained the primary
concern.
[139]
There was also nothing in the failed attempt to deliver Sabrin which
would have suggested to Dr. Fellows that a further attempt to deliver with
forceps would delay Sabrins birth beyond the time needed to effect the
delivery by way of emergency Caesarean section. Dr. Fellows had moved Sabrin to
crowning position within about one minute of the application of the forceps.
Sabrins size presented no impediment to a vaginal delivery. It was reasonable
for Dr. Fellows to conclude he could reapply the forceps, this time using a
kind of forceps that would avoid releasing the head, and deliver the baby
immediately.
[140]
A fair reading of the reasons as a whole demonstrates that the trial
judge rejected the argument that Dr. Fellows was negligent in not going to a
Caesarean section after the first attempt to deliver with forceps failed for
essentially the same reasons that he was not negligent in his initial decision
to deliver vaginally with forceps. The two decisions were made within a minute
or two of each other. In both instances, Dr. Fellows made a clinical judgment
that it was essential to deliver Sabrin as quickly as it could be safely done.
In both instances, he decided a vaginal delivery provided the most expeditious
route. Dr. Oppenheimer agreed with the reasonableness of that assessment. The
trial judge accepted Dr. Oppenheimers opinion.
(4)
Did the trial judge fail to consider whether Dr.
Fellows was negligent when he failed to deliver Sabrin using the Kielland
forceps?
(i) The evidence
[141]
After his initial attempt to deliver Sabrin with the Tucker-McLean
forceps failed, Dr. Fellows made a second attempt using Kielland forceps. He
believed that the shape of those forceps would allow him to deliver Sabrin
without removing the forceps or relieving the traction. Sabrin had retreated
back up the birth canal when Dr. Fellows had removed the forceps on his first
attempt to deliver Sabrin.
[142]
Dr. Fellows brought Sabrin to the crowning position using the
Kielland forceps. He was confident he could deliver the baby quickly with those
forceps.
[143]
Dr. Fellows, however, became concerned that if he used the Kielland
forceps to complete the delivery, those forceps, because of their shape, would
destroy or damage Ms. Idris perineum. Dr. Fellows decided to release the
Kielland forceps and have Ms. Idris push Sabrin out. This same strategy had
failed only a few minutes earlier on Dr. Fellows first attempt to deliver
Sabrin. Releasing the Kielland forceps also nullified the very reason Dr.
Fellows had decided to use the Kielland forceps rather than the Tucker-McLean
forceps. When Dr. Fellows released the forceps, Sabrin moved back up the birth canal
just as she had moments earlier when Dr. Fellows released the Tucker-McLean
forceps in his first attempt to deliver Sabrin.
[144]
Dr. Fellows decided to use the Kielland forceps to deliver Sabrin at
about 11:07 p.m. His attempt to deliver her with those forceps had failed by about
11:12 p.m. This led to the third effort to deliver Sabrin vaginally. That
attempt eventually succeeded at 11:27 p.m.
[145]
Dr. Cohen testified that the removal of the Kielland forceps when
Sabrin was crowning and ready to be delivered was a breach of the applicable
standard of care. He said:
[I]f one is assuming that the fetal heart rate
is extremely low, or non-existent, you want to expedite delivery, so you want
to get that baby out in the quickest fashion possible, or the most timely fashion
possible. So, the extraction with the forceps should have been done in my
opinion.
[146]
Dr. Oppenheimer did not comment on Dr. Fellows release of the
Kielland forceps in his report. In his testimony, he indicated the removal of
the Kielland forceps was common practice done to avoid trauma to the
perineum.
[147]
Dr. Oppenheimer was not asked to consider Dr. Fellows decision to
remove the Kielland forceps in the context of the circumstances of this case.
Specifically, Dr. Oppenheimer was not asked whether Sabrins prolonged acute near
total asphyxia placed this case outside of the realm of common practice.
(ii) Appellants
position
[148]
At trial, the appellants alleged Dr. Fellows was negligent in
releasing the Kielland forceps rather than delivering Sabrin immediately with
those forceps. They claimed he should have appreciated the need to urgently
deliver Sabrin and the risk that she would once again retreat up the birth canal
if the forceps were removed. In support of their position, the appellants
relied on the following:
·
Ms. Idris had been unable to push Sabrin out a
few minutes earlier;
·
Dr. Fellows was more suspicious of a uterine
rupture after the first failed attempt to deliver Sabrin with forceps;
·
Sabrin had been acutely oxygen deprived for at
least eight minutes and, according to Dr. Fellows, probably longer by the time
Dr. Fellows elected to remove the Kielland forceps;
·
Given Sabrins position in the vagina
immediately before Dr. Fellows released the forceps, and Dr. Fellows
expertise, he could, in all likelihood, have delivered Sabrin immediately had
he kept the Kielland forceps in place and used them for the delivery;
·
Dr. Fellows had elected to release the forceps
on his first attempt to deliver Sabrin. She had retreated up the birth canal
when he did so. Despite this, he released the Kielland forceps only a few
minutes later, only to have Sabrin retreat up the birth canal for a second
time; and
·
Neither Dr. Fellows nor Dr. Oppenheimer offered an
opinion as to why the preservation of the perineum justified potentially
delaying Sabrins birth, given her near total ongoing acute oxygen deprivation.
In fact, Dr. Fellows cut the perineum when he performed an episiotomy a few
minutes later during the third and successful attempt to deliver Sabrin.
[149]
The appellants timeline as it relates to this argument is clear and
simple. With the Kielland forceps, Sabrin could have been delivered at or very
shortly after 11:12 p.m. She was actually delivered at 11:27 p.m. The 15-minute
delay in delivering Sabrin is attributable to Dr. Fellows negligent failure to
complete the delivery with the Kielland forceps.
(iii)
Analysis
[150]
Although the trial judge acknowledged, at para. 280, that the
appellants had argued Dr. Fellows should have completed the delivery with the
Kielland forceps, she never addressed the merits of that argument. Apart from a
brief reference to Dr. Oppenheimers evidence that the release of a forceps was
common practice, the trial judge made no reference to any of the evidence relevant
to this issue.
[151]
The trial judges silence in respect of the allegation of negligence
based on the failure to deliver Sabrin with the Kielland forceps cannot be
answered by reference to her analysis of whether Dr. Fellows was obliged to
conduct an emergency Caesarean section immediately, or whether the position of
Sabrins head precluded a forceps delivery.
[152]
The argument that Dr. Fellows was negligent in not completing the
delivery with the Kielland forceps did not depend in any way on whether he
should have conducted an emergency Caesarean section immediately. Nor did it
turn on when an emergency Caesarean section could have been completed. The
resolution of those issues in favour of the respondent was no answer to the
allegation of negligence based on the failure to deliver with the Kielland
forceps.
[153]
Similarly, the trial judges conclusion that Sabrins head was
engaged when Dr. Fellows decided to deliver Sabrin was of no consequence in
deciding whether Dr. Fellows was negligent when he did not complete the
delivery with the Kielland forceps. There was no doubt that Sabrins head was
fully engaged and she was capable of being delivered with forceps when Dr.
Fellows released the Kielland forceps.
[154]
The central findings by the trial judge, which foreclosed a finding
of negligence on the main arguments advanced by the appellants at trial, had no
application to the allegation that Dr. Fellows was negligent when he withdrew
the Kielland forceps. This allegation stood on an entirely different
evidentiary footing. It was essential that the trial judge address this
allegation separately and explain why she rejected it.
[155]
There was evidence supporting the appellants position that Dr.
Fellows acted negligently in failing to complete the delivery with the Kielland
forceps. There was also evidence that his failure to do so caused a significant
delay in the delivery of Sabrin. On the causation evidence, it would have been
open to the trial judge to infer that the delay resulting from the failure to
complete the delivery with the Kielland forceps (about 15 minutes) caused or
materially contributed to Sabrins catastrophic injuries.
[156]
My review of the reasons leaves me uncertain as to whether the trial
judge gave any separate consideration to the argument that the failure to
complete the delivery with the Kielland forceps constituted negligence and, if
so, whether it caused or materially contributed to Sabrins injuries. Even if I
were to assume, in light of the arguments put to the trial judge, that she must
have considered and rejected the argument that the failure to complete the
delivery with the Kielland forceps was negligent, I see no analysis of the
appellants submissions and no explanation in the reasons for the rejection of
the appellants arguments on this issue.
[157]
The absence of any analysis makes it impossible to determine why the
trial judge rejected the claim that Dr. Fellows was negligent in not completing
the delivery with the Kielland forceps. The trial judge refers to Dr.
Oppenheimers evidence that releasing the forceps was common practice. She
refers to no other evidence and no basis upon which she could conclude that Dr.
Oppenheimers reference to common practice had application to the
circumstances as they existed when Dr. Fellows decided to release the Kielland
forceps. This court does not know what the trial judge made of Dr.
Oppenheimers description of releasing the forceps as common practice. In the
same vein, the reasons offer no insight into why avoiding damage to the
perineum justified any risk of additional delay in Sabrins delivery. By that stage,
Sabrin had been suffering from acute near total asphyxia for at least eight
minutes.
[158]
The reasons as they relate to the allegation that Dr. Fellows should
have delivered Sabrin with the Kielland forceps are inadequate and do not admit
of appellate review. The appellants allegation is tenable on the evidence and
provides a basis upon which Dr. Fellows could be found to have caused Sabrins
injuries.
E.
the reasons on the informed consent issue
[159]
At trial, the appellants argument in relation to informed consent
focused on Dr. Fellows admitted failure to obtain Ms. Idris express consent
to the use of forceps during the delivery. On appeal, the appellants argue the
trial judge never addressed the issue of informed consent, but only considered
whether Dr. Fellows had documented his conversations with Ms. Idris. The
appellants refer to the question posed by the trial judge in her reasons:
Did Dr. Fellows fall below a reasonable
standard of care in failing to document any discussion with Ms. Idris,
including benefits, risks and options?
[160]
Dr. Fellows conceded that he did not document any of his discussions
with Ms. Idris or Mr. Farej after he arrived in the delivery room at 11:01 p.m.
Dr. Fellows did, however, testify to discussions he had with Ms. Idris and Mr.
Farej after he arrived in the delivery room.
[161]
The appellants submit the trial judge miscast their informed consent
argument as turning exclusively on the failure to document any discussions that
may have occurred. The appellants acknowledge they placed significant
evidentiary weight on the failure to document. However, they maintain the trial
judge ultimately had to decide what in fact Dr. Fellows said to Ms. Idris and
whether, in the circumstances, Ms. Idris gave her informed consent to the
forceps delivery.
(i) The evidence
[162]
Dr. Fellows testified that as he was examining Ms. Idris, he was in
constant verbal and visual contact with Ms. Idris and Mr. Farej. He told them
their baby was in serious distress and that she should be delivered as quickly
as possible. He told Ms. Idris and Mr. Farej that he believed that the safest
way to proceed was not by Caesarean section, but by a forceps delivery.
[163]
In cross-examination, Dr. Fellows indicated he was speaking to both
Mr. Farej and Ms. Idris during the time he was rupturing the membranes. He told
them he could proceed using forceps or a Caesarean section and, in his clinical
judgment, a forceps delivery was the most appropriate procedure.
[5]
Dr. Fellows testified he was
speaking to both Mr. Farej and Ms. Idris, although he knew Mr. Farej, who had a
better command of the English language than his wife and had medical training,
would also be communicating with Ms. Idris. Dr. Fellows testified he emphasized
the immediate risk to the babys life, as at that point Ms. Idris vital signs
were stable.
[164]
Dr. Fellows agreed that given the urgency, he probably did not
discuss the risks and benefits associated, either with a forceps delivery or a
Caesarean section. When asked who made the decision to proceed with a forceps
delivery, Dr. Fellows said:
I felt it was my obligation as a professional
who was fully aware of the acuity of the situation that I would make those
decisions while I was talking to the two of them, but I would ultimately be the
one that made that decision for her.
[165]
Dr. Fellows indicated that based on his prior experiences with Ms.
Idris, she was aware that delivery by way of a Caesarean section or a vaginal
delivery were the two possible options. They had discussed those options during
her previous pregnancies and, to some extent, during this pregnancy. Ms. Idris
had previously expressed a preference for a vaginal delivery. Dr. Fellows
believed his relationship with Mr. Farej and Ms. Idris was such that they would
trust his recommendation as to the appropriate way to proceed with Sabrins
delivery.
[166]
Mr. Farejs testimony from his discovery was read into the trial
record. The trial judge set that evidence out in her reasons (para. 68). Mr.
Farej testified that his wife had a very good relationship with Dr. Fellows. In
one of the prenatal appointments, they discussed whether Ms. Idris should
deliver by Caesarean section or vaginally. She told Dr. Fellows that it would
depend on the situation when Ms. Idris was in the hospital and ready to
deliver. Dr. Fellows agreed.
[167]
Mr. Farej testified that when Dr. Fellows came into the delivery
room, he quickly examined Ms. Idris. He told them she was bleeding and the
situation was serious. Mr. Farej recalled Dr. Fellows telling him I have to save
your wife by delivering the baby. Mr. Farej told Dr. Fellows yes. Just go.
Dr. Fellows proceeded immediately with a forceps delivery.
(ii) The trial
judges reasons
[168]
The trial judge summarized the law of informed consent at paras.
240-44. She recognized that Dr. Fellows was faced with an obstetrical emergency
in which seconds counted. She recognized that the urgency of the medical
situation was a circumstance to be taken into account in assessing the adequacy
of the information provided to the patient by the doctor. The trial judge said,
at para. 244:
When patients are in distress and the
physician is making rapid assessments and judgments of the indicated
alternative courses of action, it is not necessary or appropriate to require
the physician to have a complicated, detailed discussion of all possible risks
and benefits of each alternative procedure in such circumstances. In an
obstetrical emergency, all the obstetrician is required to convey in the
circumstances to meet the standard of care is his intended course of action and
his reasons for doing so.
[169]
The trial judge also acknowledged that there was nothing in the
records documenting any discussion between Dr. Fellows and Ms. Idris or
recording Ms. Idris consent to Dr. Fellows course of action. The trial judge,
however, went on to find that the discussions described by Dr. Fellows in his
evidence, and Mr. Farej, to some extent in his evidence, did occur.
(iii) Analysis
[170]
Although the heading used by the trial judge misdescribes the informed
consent issue, her analysis under that heading is directed at the evidence
relevant to whether consent was given and the application of the earlier stated
legal principles to the circumstances as found by the trial judge.
[171]
The trial judge obviously accepted Dr. Fellows evidence. She also
accepted Mr. Farejs evidence on discovery, which in her view confirmed, at
least in some respects, the evidence given by Dr. Fellows.
[172]
The trial judge was satisfied Dr. Fellows informed Mr. Farej and Ms.
Idris that the situation was extremely urgent. He advised them in general terms
of the potential dire consequences, especially to Sabrin. He identified the delivery
options available, and told Mr. Farej and Ms. Idris which of those two options
should be followed. In the context of a rapidly evolving, life and death
medical emergency, and having regard to the existing relationship between Dr.
Fellows, Ms. Idris and Mr. Farej, I am satisfied it was open to the trial judge
to conclude the information provided by Dr. Fellows was sufficient and allowed Ms.
Idris to make an informed decision as to the mode of delivery. It was also open
to the trial judge to conclude that Ms. Idris, along with her husband, accepted
Dr. Fellows statement that the baby had to be delivered immediately and a
vaginal delivery was the best way to accomplish that end.
[173]
As I am satisfied the trial judges reasons explain why she rejected
the argument that Ms. Idris did not consent to the procedure, I will not address
the causation arguments tied to the question of informed consent.
V
the appropriate order
[174]
The trial judges failure to give adequate reasons in respect of
causation and one of the standard of care issues means this court cannot
meaningfully review either the finding the appellants failed to prove causation,
or the finding the appellants failed to prove Dr. Fellows was negligent. The
judgment dismissing the action cannot stand.
[175]
The appellants ask for a new trial. The respondent did not argue
that if the appellants convinced the court the reasons were inadequate, this
court could, or should, decide the case on the existing record.
[176]
I accept the appellants position. The evidence is complicated and
the numerous issues are interrelated and interdependent. I agree the interests
of justice are served by ordering a new trial and I would so order. I am sure
experienced, capable counsel will be able to make use of the existing trial
record to expedite any subsequent proceedings which prove necessary.
[177]
I accept the respondents contention that the new trial should be on
both liability and damages. If Dr. Fellows is found liable, findings on the
liability portion of the trial may impact the damage assessment.
[178]
I would dismiss the contingent cross-appeal as moot, given the order
directing a new trial on both liability and damages.
[179]
The appellants are the successful party on the main appeal. The
parties agreed that the successful party on the main appeal should have costs
in the amount of $60,000, inclusive of disbursements and relevant taxes. There
should be no order as to costs on the cross-appeal.
Released: March 29, 2022 DD
Doherty
J.A.
I
agree B.W. Miller J.A.
I
agree. Sossin J.A.
[1]
For
ease of reference, I will refer to the appellants/plaintiffs as the appellants
in the rest of these reasons.
[2]
In
Dr. Fellows operative note, he indicated the baby retracted into the
abdomen. In his testimony, Dr. Fellows stated that the note was an error and
that it should have read into the vagina.
[3]
The
appellants argument that Dr. Fellows was negligent in not completing the
delivery with the Kielland forceps rather than releasing them and having Ms.
Idris attempt to push the baby out would still have to be considered as the
question of when Sabrin could have been delivered by way of Caesarean section is
not relevant to that allegation of negligence. I address that argument below at
paras. 141-58.
[4]
Dr.
Fellows did give evidence on his discovery about the time needed to perform an
emergency Caesarean section. Those parts of his discovery were read in at trial
and are summarized above at paras. 88-91.
[5]
In
his cross-examination on June 10, 2019, at p. 86, l 7-8, the transcript has Dr.
Fellows telling Ms. Idris that a
Caesarean section was the
most appropriate way to deliver the baby. It seems obvious, having regard to
Dr. Fellows evidence as a whole, that he misspoke on this one occasion. I do
not understand the appellants to suggest otherwise.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Abdikarim (Re), 2022 ONCA 255
DATE: 20220329
DOCKET: C69749
Strathy C.J.O., Coroza and
George JJ.A.
IN THE MATTER OF: Mohamed Abdikarim
AN APPEAL UNDER PART XX.1 OF THE
CODE
Joanna Weiss, for the appellant
Erica Whitford, for the respondent, the
Attorney General of Ontario
Leisha Senko, for the respondent, the
Person in Charge of the Centre for Addiction and Mental Health
Heard: March 18, 2022 by video
conference
On appeal against the disposition of the
Ontario Review Board dated May 12, 2021, with reasons dated June 8, 2021.
REASONS FOR DECISION
[1]
The appellant, Mohamed Abdikarim, appeals
against the disposition of the Ontario Review Board (the Board), dated May
12, 2021, ordering that he be detained at the Forensic Service of the Centre
for Addiction and Mental Health (CAMH) in Toronto. He asserts that the Board
erred in law in determining that the necessary and appropriate disposition was
a continuation of his detention order and that the Boards decision was
unreasonable. The appellant argues that the Board should have ordered a
conditional discharge.
[2]
The appellant is diagnosed with bipolar disorder
unspecified, personality disorder unspecified, and substance use disorders
relating to alcohol and cannabis. In October 2005, he was found not criminally
responsible on account of a mental disorder in relation to three charges of robbery,
two charges of possession of property obtained by crime under $5,000, one
charge of failing to comply with a recognizance, one charge of theft under
$5,000 and one charge of theft over $5,000. The appellant has been subject to a
detention order since November 2005.
[3]
The terms of the appellants detention order permit
him to live in the community in accommodation approved by the person in charge
of CAMH, requires him to abstain from the use of alcohol and drugs and requires
him to report to CAMH at least once a week. During the reporting year, the
appellant resided at his mothers house along with his sisters in a living
environment that he described as supportive yet stressful.
[4]
The appellant sought readmission to hospital on
nine separate occasions during the reporting year. Seven of these occasions
were visitations to the CAMH emergency department and the other two occasions
were to other emergency departments. The appellants reasons for seeking
readmission varied, but often related to having consumed alcohol. He was
readmitted to CAMH twice from March 1 to 2, 2021 and from March 30 to April
3, 2021 but consistently requested to leave prematurely. On at least two of
the occasions that he was not readmitted, the appellant left the hospital
before receiving a full assessment by his treatment team.
[5]
Unfortunately, the appellant tested positive for
the consumption of alcohol on 12 days over the reporting year. The results of
these tests were not always consistent with the appellants own reports of his alcohol
consumption.
[6]
At the disposition hearing, the Board heard
evidence from the appellants outpatient psychiatrist, Dr. Paul Benassi. In Dr.
Benassis view, the appellants alcohol consumption and bipolar disorder leads
to noncompliance with his medication and increases his risk for violence. In
the Hospital Report that was provided to the Board, Dr. Benassi also noted that
the appellant provided inconsistent and misleading information relating to
his alcohol consumption over the reporting year.
[7]
The Board concluded that the appellant remained
a significant threat to the safety of the public, and that the necessary and appropriate
disposition was a continuation of his detention order.
[8]
The appellant advances two arguments on appeal.
[9]
First, the appellant argues that the board erred
in law by relying on his alcohol consumption when determining that a
continuation of his detention order was the necessary and appropriate
disposition. We disagree. It was necessary for the Board to consider the
appellants alcohol use in determining the necessary and appropriate
disposition.
[10]
The Board quite properly considered this
evidence along with the undisputed fact that the appellant tested positive for
alcohol 12 times during the reporting year. Dr. Benassis evidence was that
alcohol consumption increases the appellants risk of a mood episode, which is directly
tied to his risk of violence. On two occasions, the appellants family phoned
the hospital concerned about the appellants behaviour after coming home
intoxicated, including one occasion where the appellant threatened to punch his
sister. The appellants two readmissions to hospital were both triggered by
concerns about his substance use. The Board did not err in considering all of
this evidence because it was relevant to the issue of whether the appellants
risk could be safely managed in the community.
[11]
Second, the appellant argues that the Boards
decision to order the continuation of his detention is unreasonable. He asserts
that the evidence before the Board did not establish that a detention order was
required to manage his risk in the community and was not the least onerous and
least restrictive disposition. We do not accept this submission.
[12]
Given its expertise, considerable deference is owed
to the Boards decision in determining the necessary and appropriate
disposition. In our view, the Boards reasoning process and outcome in this
case reflects an internally coherent and rational chain of analysis and is
justified in relation to the facts and the law:
Canada (Minister of
Citizenship and Immigration) v. Vavilov
, 2019 SCC 65, 441 D.L.R.
(4th) 1, at para. 85.
[13]
Dr. Benassi testified that a conditional discharge
was not appropriate because it would not provide the safeguards necessary to
manage the appellants risk. First, a conditional discharge would remove CAMHs
authority to approve the appellants housing. Second, a detention order was the
only mechanism that would allow the hospital to readmit the appellant using a
warrant of committal if necessary. According to Dr. Benassi, if a conditional
discharge was granted, it would be very difficult to admit the appellant under
the
Mental Health Act
, R.S.O. 1990, c. M.7. because he would not
necessarily satisfy the criteria for involuntary admission under the Act.
[14]
We do not view Dr. Benassis evidence as
suggesting that a detention order should be imposed merely because it would be convenient
to return the appellant to the hospital if necessary: see
Esgin (Re)
,
2019 ONCA 155, at paras. 20 to 22. Dr. Benassi testified that the appellants treatment
team has made consistent efforts to provide a level of risk management in a
community setting, but has been challenged by the appellants fluctuating compliance
with his treatment program and inconsistent self-reporting. Dr. Benassi
confirmed that the goal of the appellants treatment team is to reduce
reporting and monitoring requirements and to explore a conditional discharge
going forward. It was open to the Board to order the appellants continued
detention because the hospital needed to properly manage his risk and that the
request for a conditional discharge was premature.
[15]
For these reasons, the Board did not err and we
would not interfere with its disposition.
[16]
Before leaving this matter, we wish to comment on
the Boards description of the appellant as a scofflaw. We do not accept that
the appellant is a contemptuous person who regularly violates the law. We recognize
that the appellant has not always complied with the terms of his detention
order, which prohibits him from consuming alcohol. But as Dr. Benassi explained,
there are several complex reasons why the appellant continues to consume alcohol
and the appellant has shown that he is willing to work with his treatment team
in addressing his substance use. Indeed, Ms. Weiss, on behalf of the appellant,
advised this court that the appellant has been enrolled in CAMHs Concurrent
Outpatient Medical & Psychosocial Addiction Support Services for substance
use treatment since June 2021. We encourage the appellant to continue to work
with his treatment team towards the goal of a conditional discharge.
[17]
The appeal is dismissed.
G.R.
Strathy C.J.O.
S. Coroza
J.A.
J.
George J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Karia Estate v. Karia, 2022 ONCA
256
DATE: 20220325
DOCKET: C69773
Pardu, Paciocco and Thorburn
JJ.A.
In the Matter of the Bankruptcy
of Aashish Karia, also known as Ash Karia of the City of Hamilton, in the
Province of Ontario
BETWEEN
A.
Farber & Partners Inc., trustee of the estate of Ash Karia, a bankrupt
Moving Party (Respondent)
and
Ash
Karia
Respondent
(Appellant)
Matthew R. Harris,
for the appellant
Colby Linthwaite,
for the respondent
Heard: March 21,
2022 by video conference
On appeal from the
order of Justice Laurence A. Pattillo of the Superior Court of Justice, dated
August 4, 2021, with reasons reported at 2021 ONSC 5377
.
REASONS
FOR DECISION
OVERVIEW
[1]
This is an appeal of the motion judges order (i)
setting aside the appellant Ash Karia (Karia)s discharge from bankruptcy and
(ii) declaring that all issued and outstanding shares of 2397043 Ontario Ltd.,
operating as Bindaas Capital (Bindaas), be vested in the Trustee in
bankruptcy.
[2]
The hearing below centred on the question of
Karias involvement with Bindaas. The motion judge held that Bindaas was owned
by Karia, the shares were after-acquired property of Karias estate, and Karia
breached his duty under s. 158(a) of the
Bankruptcy and Insolvency Act
,
R.S.C. 1985 c. B-3by failing to deliver the shares to the trustee after his
discharge from bankruptcy. The court annulled Karias discharge from bankruptcy
pursuant to s. 180(1) of the
BIA
.
[3]
The appellants raise the following issues on
appeal:
a.
Whether the Trustee had legal authority to bring
the application before the motion judge;
b.
Whether the motion judge considered his legal
authority not to annul the discharge;
c.
Whether the motion judge gave too much weight to
the endorsements of other judges;
d.
Whether the motion judge imputed a finding of
fraud when material facts were in dispute and a trial of the issues should have
been ordered; and
e.
Whether the motion judge failed to consider prejudice
to Karia.
[4]
For the reasons that follow, the appeal is
dismissed.
[5]
In order to address the issues, it is important
to understand the actions of the parties after the appellant, Karia declared
bankruptcy.
BACKGROUND FACTS
The Appellant, Karias Bankruptcy
[6]
On February 7, 2008, Karia filed an assignment
in bankruptcy. In so doing, he swore that there were effectively no realizable
assets and the total unsecured debt was $1,230,697. The proven unsecured claims
were later determined to be $1,442,759.19. On May 6, 2009, the Registrar in
Bankruptcy made an order granting Karia a discharge conditional upon his paying
$24,000 to the estate within a period of 48 months. Karia did not make the
payments within the 48-month period.
[7]
On March 14, 2018, almost nine years after the
order for conditional discharge had been made, and a month after the
disallowance, Karia satisfied the condition by paying the last of the $24,000
plus interest to the Trustee, Paddon + Yorke Inc., in a lump sum of $4,661.33.
The Trustees final statement of receipts and disbursements showed total
receipts of $26,314.31. The Registrar in Bankruptcy granted Karia an absolute
discharge on May 4, 2018.
The Incorporation of Bindaas in 2013
[8]
In November 2013, while Karia was still assigned
into bankruptcy, Bindaas was incorporated. Bindaas was a mortgage lender, and
within a few years, had extended loans of nearly $15 million.
Karias Brothers Bankruptcy in 2017 and
Discovery of Karias Undisclosed Interest in Bindaas in 2018
[9]
On October 11, 2017, Karias brother, Amit Karia
became bankrupt. Bindaas filed a proof of claim in the amount of $664,322.42,
as a creditor of Karias brother. The claim was disallowed.
[10]
In May 2018, Bindaas appealed the disallowance,
and in support of the appeal, Karia (who was by then discharged from bankruptcy),
swore two affidavits. In the first, he said, I am the sole officer and
director of the moving party, 2397043 Ontario Inc. operating as Bindaas
Capital. He also admitted in his affidavit that Bindaas, had loaned a total
of $14,461,612.70 to a total of 88 borrowers. The Trustees representative,
John Delo swore an affidavit in response to Karias First Affidavit in which he
attested that:
At no time during the period from the date of
the Ash Conditional Order until the date of said final payment did Ash Karia
advise PYI [the Trustee] (i) of his incorporation of or his involvement in
Bindaas Capital [
] (ii) that he purported to be a director of Bindaas Capital
(contrary to the provisions of section 118 of the
Business Corporations Act
(Ontario); or that (iii) Ash Karia as an undischarged bankrupt was through
Bindaas Capital in carriage and control of $14,461,612.70 in mortgage
financing.
[11]
Karia then swore a reply affidavit in which he attested
that I am the sole officer and director of the moving party, 2397043 Ontario
Inc. operating as Bindaas
On December 7, 2018, Karia was cross-examined on
his affidavits. During cross-examination, Karia made the following admissions:
Q.
Okay. Are you a
shareholder of Bindaas Capital?
A.
On this corporation
yes.
Q. Youre one of the owners of the company?
A. Yes.
Q. Are you the only owner of the company?
A. Im the only owner.
Q. Youre the only owner, okay. Do you recall
offhand how many shares have been issued?
A. No.
Q. At the time you incorporated Bindaas
Capital, were you an undischarged bankrupt?
A. I recall, yes, I was.
Q. And on
the Corporate Profile Report that weve marked as Exhibit A, youre indicated
as being the only director of Bindaas Capital; is that correct?
A. Yes.
[12]
The corporation profile report for Bindaas shows
that Karia was appointed the sole officer and director of Bindaas on the date
of its incorporation. Karia had not told the Trustee of his own bankruptcy or told
the Court that he was a director of Bindaas while he was an undischarged
bankrupt. Section 118(1) of the
Business Corporations Act
(Ontario), R.S.O.
1990, c. B.16 disqualifies an undischarged bankrupt from being a director of a
corporation.
[13]
On February 22, 2019, the Trustee wrote Karia to
say that [i]f you were a shareholder
of [Bindaas] during the period [February
7, 2008 through May 4, 2018, during which Karia was an undischarged bankrupt]
then the value of the company must be paid into your estate. In April 2019,
the Trustee wrote to demand that Karia deliver up the shares in Bindaas as
after-acquired property, in accordance with subsection 67(1)(c) of the
BIA
.
Karia did not do so.
[14]
In August 2019, the Trustee advised him that the
shares formed part of his estate as a bankrupt and demanded that he deliver the
shares to his estate as they were after acquired property that vested in the Trustee
pursuant to s. 67(1)(c) of the
BIA
. Later that month, all bankrupt
estates administered by the Trustee were transferred to the new trustee, A.
Farber & Partners Inc. Karia claimed that while he was a director at the
time of incorporation (in November 2013) he resigned the same day and therefore
was not and was never a shareholder of Bindaas Capital. He claimed the shares
belonged to his wife, Ella.
The Motion Judges Decision
[15]
On September 5, 2019, the Trustee brought a
motion seeking to have the shares declared after-acquired property of the
estate and to have Karias discharge from bankruptcy set aside. The sole issue
was whether the shares of Bindaas were owned by Karia before his discharge
thereby amounting to after-acquired property which should have been turned over
to the Trustee for the benefit of creditors.
[16]
In support of the motion, Karia and his wife,
Ella, each deposed that the shares of Bindaas had been owned exclusively by
Ella since incorporation. Karia further deposed that while he was listed as a
director at the time of incorporation, it was an accident which was immediately
corrected. He submitted he was only ever a signing officer of Bindaas. He
further argued that the Trustee was bringing the motion simply to enrich
itself. In her affidavit, Ella claimed that she had been a director and the
sole shareholder of Bindaas since its incorporation.
[17]
However, the record contains corporation profile
reports for Bindaas as of March 27, 2014, May 12, 2016, October 23, 2017, and
October 28, 2019. At no point prior to 2019 (well after the Trustee made its
demand) was Ella registered as a director. The corporation profile reports before
2019 list Karia as the companys only director and officer. On
cross-examination, neither Karia nor Ella could recall anything of significance
about Bindaas history or finances. Karia undertook to produce Bindaas tax
returns, financial statements, and bank statements. Each of them undertook to
produce the file of Bindaas accountant, after it had been vetted for privilege
by his counsel. However, neither produced any financial statements, bank
statement or the accountants file.
[18]
Both Karia and Ella refused to appear for
cross-examinations claiming their internet connection was insufficient to
enable them to do so, nor did they answer undertakings to produce business
records.
[19]
On February 8, 2021, the motion was therefore
adjourned by Koehnen J. who directed that the accountant deliver his file to
Karias lawyer, who was to vet it for privilege and pass it to the Trustee.
Ultimately, the appellant provided Bindaas Minute Book and portions of tax
returns to the Trustee in March 2021.
[20]
The motion was heard in May of 2021. The motion
judge carefully reviewed the evidence and expressly rejected the evidence of
Karia and his wife Ella. He did so for the following reasons:
It follows that I reject the evidence of both Karia
and his wife in respect of the ownership of the shares of 239 during the period
of the bankruptcy for a number of reasons. First, the Bankrupts [Karias] explanation
for his evidence during his cross examination in the Amit bankruptcy that he
owned the shares was to protect his wife but that answer makes no sense as
there is no evidence to suggest there was anything to protect her from.
Further, I do not accept the documentation
produced by the Bankrupt [Karia] purporting to show Ella as the sole shareholder
and director of 239. In my view, it has been altered or created after the fact
by the Bankrupt [Karia] to show that Ella was the sole shareholder and director
of 239.
As noted, 239's tax returns were produced in
two batches in February and March 2021. Schedule 50 of 2013 tax return, which
was produced by the Bankrupt [Karia] on February 3, 2021, shows the Bankrupt [Karia]
as owning 100% of the shares. In March 2021, the Bankrupt [Karia] also produced
the 2013 tax return but this time Schedule 50 listed the shareholder as Ella.
Further, the form used indicates at the bottom that it was the 2020 version. As
a result, in the absence of producing the accountants file as directed by Justice
Koehnen, I do not accept any of the financial information produced by the
Bankrupt [Karia].
Further, the corporate profile reports filed
with the province as at March 27, 2014, May 12, 2016 and on October 2, 2017
show the Bankrupt [Karia] as the sole director of 239 since incorporation. It
was not until a notice of change was filed with the province on May 22, 2019
that Ella was first shown as a director of 239. Neither the Bankrupt [Karia] or
Ella would or could say who filed the change notice.
With respect to 239's Minute Book, the
Bankrupt [Karia] has had possession of it since 2013. On cross-examination, he
admitted that he prepared the resolutions and documents in the Minute Book.
Based on the altered corporate tax returns, I have no hesitation in concluding
that the information in the Minute Book purporting to show Ella as the sole
shareholder and director of 239 since incorporation, has also been fabricated
by the Bankrupt [Karia] well after the fact.
I also do not accept Ellas evidence that she
was the sole shareholder and the director of 239 from incorporation. In
addition to my findings in respect to the documentary evidence, her evidence
did not hold up during cross-examination.
Nor is there any evidence, beyond the Bankrupts
[Karias] bald assertion, that the Trustee has brought its motion to enrich
itself. In my view, the Trustee is doing nothing but its duty in pursuing the
Bankrupts [Karias] after acquired property for the benefit of Bankrupts creditors.
[21]
He therefore concluded that the documentation was
either altered or created after the fact by Karia to show that his wife was
the sole shareholder and director of the corporation and that, at all material
times, [Karia] owned the shares of 239 while a bankrupt. He therefore
reject[ed] the evidence of both Karia and his wife in respect of the ownership
of the shares during the bankruptcy.
[22]
In view of these findings, the motion judge was obliged
by virtue of s. 67(1)(c) of
the
BIA
to declare the shares to be after-acquired property of the estate of Karia. Section
67(1)(c) provides that the property of a bankrupt divisible among his
creditors
shall comprise (c) all property wherever situated of the bankrupt at
the date of the bankruptcy or that may be acquired by or devolve on the
bankrupt before their discharge. The motion judge then exercised his
discretion under s. 180(1) to annul Karias discharge, on the basis that Karia
had breached his statutory duty to deliver the shares to his trustee, even
after a demand had been made.
ANALYSIS OF THE ISSUES AND CONCLUSION
The Standard of Review
[23]
Making a factual conclusion, of any kind, is
inextricably linked with assigning weight to evidence, and thus attracts a
deferential standard of review of palpable and overriding error:
Housen v.
Nikolaisen
, 2002 SCC 33, [2002] 2 S.C.R. 235, at paras. 24-25. An
appellate court will not interfere with the trial judge's findings of fact
unless it can plainly identify the imputed error, and that error is shown to
have affected the result.:
L. (H.) v. Canada (Attorney General)
, 2005
SCC 25, [2005] 1 S.C.R. 401, at para. 55. Similarly, [a]n appellate court is
only justified in interfering with a lower court judges exercise of discretion
if that judge misdirected himself or if his decision is so clearly wrong as to
amount to an injustice:
Sattva Capital Corp. v. Creston Moly Corp.
,
2014 SCC 53, [2014] 2 S.C.R. 633, at para. 95.
Analysis of the Issues Raised by the
Appellant, Karia
[24]
Assuming without deciding that leave to appeal
is not required and that this appeal is therefore properly before this court, for
the reasons that follow, the appeal is dismissed.
[25]
First, contrary to the appellants submission,
the Trustee was never discharged and could properly bring the motion. Karias
estates were administered by the Trustee Paddon + Yorke Inc. (who was the Trustee
when Karia declared bankruptcy) and later transferred to A. Farber &
Partners Inc. As there were no inspectors appointed, the Trustee could institute
or defend a legal proceeding relating to Karias property: ss. 30(1)(d),
BIA
.
[26]
Second, contrary to Karias submission, the
motion judge did not believe that he was required to annul Karias discharge
from bankruptcy after finding that the shares were after-acquired property. He noted
that the decision was discretionary by writing: the court
may
annul a
discharge where a bankrupt fails to perform the duties imposed on him under the
BIA
after the discharge,
pursuant to s. 180(1) of the
BIA
. He elected to exercise his discretion to do so, given his
conclusion that Karia had fabricated documents to suggest he did not have an
ownership interest in Bindaas when he did. There is no basis on which to
interfere with the motion judges exercise of discretion, as he neither
misdirected himself nor did he render a decision that was clearly wrong:
Sattva
, at para.
95.
[27]
Third, the motion judge did not allow the
endorsements in prior orders to colour his decision as the appellant suggests.
He properly outlined the history of this matter, and in so doing, set out the
prior orders leading to the motion before him. Importantly, the issue of fraud
was not addressed in any of the prior orders.
[28]
Fourth, the appellants have not directly
challenged any of the above-described findings of fact. They have simply suggested
that the motion judge should have weighed the evidence differently, or that the
matter should have proceeded to trial. Moreover, Karias assertion that he did
not breach his duty to the Trustee to deliver all property under his possession
and control as the shares belonged to his wife, is belied by the fact that the
motion judge found that the only documents he relied on to support his
assertion, were altered or created after the fact by Karia. The motion judge therefore
annulled Karias discharge on the basis that Karia failed to perform his duties
pursuant to s. 180(1), not on the basis that he committed fraud.
[29]
Karia has not challenged the finding that he
fabricated evidence, or suggested another reason for doing what he did. Nor
were any other material facts adduced. There was no palpable and overriding
error in the motion judges reasoning; the only point at issue was the
interpretation of the evidence as a whole. There is therefore no basis to set
aside the order:
Jaegli Enterprises Ltd. v. Taylor
, [1981] 2 S.C.R. 2,
at p. 4, cited in
Housen
at para. 29.
[30]
Fifth, Karias discharge was annulled pursuant
to
s.180(1)
of the
BIA
after Karia was found to have failed to perform the duties imposed on him by the
Act.
There is no legal requirement that prejudice caused by the
annulment be a major consideration as the appellants suggest.
[31]
Once a breach of Karias duty has been found,
the decision to annul is discretionary. In any event, there is no evidence of
unfair prejudice caused by the Order.
[32]
For these reasons, the appeal is dismissed. Costs
of this appeal are awarded to the respondent in the amount of $ 12,000 as
agreed by the parties.
G.
Pardu J.A.
David
M. Paciocco J.A.
J.A.
Thorburn J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v. Hinds, 2022 ONCA 257
DATE: 20220329
DOCKET:
C69759
Pepall,
Tulloch and Huscroft JJ.A.
BETWEEN
Her
Majesty the Queen
Respondent
and
Paul
Hinds
Appellant
Talman W. Rodocker, for the appellant
Rebecca De Filippis, for the respondent
Heard: in writing
On appeal from the sentence imposed on July
8, 2021, by Justice Karey Katzsch of the Ontario Court of Justice.
REASONS
FOR DECISION
[1]
The appellant seeks leave to appeal his sentence
and if leave is granted, he appeals his sentence of six months' custody. He
asks this court to impose the joint submission crafted by counsel.
[2]
The appellant was arrested in January 2021 for
possession of a stolen car in Kitchener. At the time of his arrest, he was
already in custody for a number of other property-related offences committed in
Peel (the "Brampton charges").
[3]
The appellant pleaded guilty to the Brampton
charges on June 22, 2021. Following a joint submission, the appellant was
sentenced to 18 months' custody, less time served, for a remaining sentence of
65 days in custody.
[4]
On July 8, 2021, the appellant pleaded guilty to
the Kitchener charge. At the appellant's guilty plea on the Kitchener charge,
the Crown and the defence presented a joint submission of "six months
pre-sentence custody", to be served concurrently with the sentence imposed
on the Brampton charges. The reasoning behind the joint submission was that the
charge of possession of stolen property could have been waived over to Brampton
and be globally resolved. Accordingly, the parties agreed the sentence on the
possession of stolen property count should not extend the appellant's time in
custody beyond the time remaining on the other sentence, which was
approximately 48 days.
[5]
At the time of the Kitchener guilty plea, the
appellant's counsel told the sentencing judge: "we're asking [the
sentence] to run concurrent to the sentence imposed two weeks ago in
Brampton." Counsel explained, by way of background to the joint
submission, that had the Kitchener charge been waived to Brampton for
resolution, it would have been part of a global resolution. As the Crown
explained, "instead of waiving the Kitchener charges over to Brampton, the
idea was to ask for a concurrent sentence to achieve the same goal."
[6]
The Crown had agreed to the joint submission of
"time served", as it took into account six months' pre-sentence
custody.
[7]
The sentencing judge accepted that the joint
position was reasonable. However, instead of imposing the joint submission of
time served, the sentencing judge imposed six months "real" custody.
At the time of sentencing, the trial judge stated: "the sentence will
reflect six months in custody, to be noted as concurrent to any sentence that
he is currently serving." The sentencing judge told the appellant that his
sentence was "a further six months, but it will run concurrently with your
18 month sentence." This was an inadvertent error on the part of the
sentencing judge.
[8]
On August 13, 2021, the parties returned in
front of the sentencing judge to request that the sentence be amended. Counsel
explained that the sentence on the Kitchener charge factored in the sentence on
the Brampton charges, and that the joint submission was for six months'
pre-sentence custody, not six months' real custody. The Crown confirmed that
"it was the intention of the Crown to run this matter concurrently to the
Brampton charges [
] he only had about 65 days served when he was sentenced
with Your Honour so it wouldn't make sense that he would get a six-month
concurrent sentence
."
[9]
The sentencing judge found that she was
functus
officio
and therefore declined to amend the sentence. As a result, the
appellant now appeals his sentence.
[10]
We agree that the appeal should be allowed. The
Crown acknowledges that the parties agreed to present a joint submission on
sentence that would replicate a global resolution with the Brampton charges.
The parties chose to achieve this goal by advancing a joint submission of six
months' pre-sentence custody (presumably plus "one day") so that the
appellant would not remain in custody beyond the completion of the sentence on
the Brampton charges.
[11]
In the normal course, a trial judge should not
depart from a joint submission unless the proposed sentence would bring the
administration of justice into disrepute or it is otherwise contrary to the
public interest.
[12]
The sentencing judge appears to have been under
the mistaken impression that the joint submission was for six months' real
custody. The confusion appears to have arisen from counsel's request that the
sentence run concurrent to the Brampton sentence. As a result, the sentencing
judge imposed a sentence that deviates from the intended joint submission. Both
parties agree that this was an error in principle that warrants appellate
intervention.
[13]
Accordingly, leave to appeal sentence is
granted. The sentence appeal is allowed. The sentence imposed is hereby
vacated, and a sentence of time served, plus one day, concurrent to the
previous sentence imposed on the Brampton charge is now imposed. However, in
light of the circumstances, we are exercising our discretion to stay the
execution of the one-day concurrent sentence. As such, there is no need for the
appellant to surrender into custody.
S.E.
Pepall J.A.
M.
Tulloch J.A.
Grant
Huscroft J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Akelius Canada Ltd. v. 2436196
Ontario Inc., 2022 ONCA 259
DATE: 20220330
DOCKET: C68832
Lauwers, Harvison Young and
Sossin JJ.A.
BETWEEN
Akelius Canada Ltd.
Appellant
and
2436196 Ontario Inc. and BNai
Fishel Corporation
Respondents
Daniel S. Murdoch and Isabelle Eckler,
for the appellant
Mark A. Ross and Eric Brousseau, for
the respondents
Heard: September 27, 2021 by video conference
On appeal from the order of Justice Edward
M. Morgan of the Superior Court of Justice, dated October 13, 2020, with
reasons reported at 2020 ONSC 6182.
Harvison Young J.A
.:
Overview
[1]
What remedies are appropriate for an innocent
purchaser of real property when a breaching vendor fails to close on the date
pursuant to the agreement of purchase and sale? In particular, is the purchaser
entitled to claim the profits that the vendor made two and a half years later
when the vendor sold the property for $56 million more than its value on the
closing date? As the motion judge put it, [c]an a Europe-based, worldwide real
estate investor whose contract was breached by a seller in Toronto be awarded
damages based on lost opportunity to cash in on the local real estate boom?
[2]
Akelius Canada Ltd. (Akelius) appeals from the
motion judges finding that it was not entitled to such damages but was
restricted to its damages as at the closing date. The respondents cross-appeal
the motion judges award to Akelius of its costs thrown away, and both parties
appeal from the motion judges decision not to award costs to either party.
Factual Background
[3]
The factual context giving rise to this appeal
is straightforward.
[4]
On August 25, 2015, the parties entered into an
agreement of purchase and sale under which the appellant agreed to buy from the
respondents seven residential apartment buildings for an overall purchase price
of $228,958,320 (the APS). The buildings were all in the Parkdale
neighbourhood in Toronto. It is common ground that this was the market value of
the properties as of the date of breach.
[5]
The deal did not close as contemplated on January
7, 2016 because of the vendors breach in failing to remove certain
encumbrances from title which, as of December 15, 2015, totalled $48,855,474.32.
The appellant had paid the deposits required pursuant to the APS in the total
amount of $10 million, with the outstanding balance payable on closing.
[6]
When the deal did not close, the deposits were
returned to the appellant which returned the funds to its parent company, a
Sweden-headquartered investment corporation with international holdings in various
countries including Scandinavia, the United Kingdom, central Europe, the United
States, and Canada.
[7]
Two and a half years later, in September 2018,
the respondents sold the properties to a new purchaser. According to Land
Transfer Tax affidavits filed by the new purchaser at that time, the properties
were sold for 25% more than the purchase price, some $56,544,318. This is the
amount the appellant claims as its loss of the value of the transaction.
Decision Below
[8]
The matter proceeded on a motion for summary
judgment. Neither party disputes the appropriateness of summary judgment in
this case.
[9]
The motion judge found that the respondent
vendors breached the APS, and he awarded the appellant
$775,855.46
,
finding that these were costs reasonably incurred and thrown away by the appellant
as a result of the respondents breach of the APS.
[10]
The lions share of the damages claimed by the
appellant arose out of the fact that more than two years after the breach of
the APS, the respondent vendors resold the properties to another purchaser for
approximately $56,544,318 more than its market value on the date of breach. In
assessing damages, the motion judge stated, at para. 22:
First, in
assessing damages, the basic principle is that damages should put the injured
party as nearly as possible in the position it would have been in had the
contract not been breached. In the ordinary case of an aborted purchase and
sale of real estate, this principle is put into effect by assessing damages at
the date that had been set for closing:
100 Main Street Ltd. v. W.B.
Sullivan Construction Ltd.
(1978), 20 O.R. (2d) 401 (Ont CA). There is,
however, flexibility in this approach. As Laskin JA observed in
6472047
Ontario Ltd. v. Fleischer
(2001), 56 O.R. (3d) 417, at para. 42 (Ont CA),
The date for the assessment of damages is determined by what is fair on the
facts of each case.
[11]
The motion judge observed that the appellant had
been clear that it was not in the business of flipping apartment buildings and
had no intention of re-selling the properties for a quick capital gain. Rather,
it is in the apartment investment and rental business and looks to purchase
income-producing properties for long-term holds, typically seeking a seven
percent return. Akelius did not seek damages for lost income, but only for the
lost capital gains. The motion judge rejected this manner of measuring damages,
finding it to be directly contrary to the express guidance of the Court of
Appeal in
Fleischer
and citing Laskin J.A.s direction in that case, at
para. 41, that [w]here
the vendor retains the property in order to speculate
on the market, damages will be assessed at the date of closing. The motion
judge continued to say that if the respondents had breached in order to deprive
a speculator (which the appellant was not), the measure of the appellants
damages would have to be measured as of the closing date or date of breach.
[12]
In conclusion on this issue, the motion judge,
referring to authorities on the issue, stated, at para. 30, that the fact that
the respondents ultimately made a speculative profit does not give the
appellant such profit as a measure of damages:
The measure of
damages for failure to complete a purchase of land is the difference between
the contract price and the market value of the land which is intended to
represent the lost benefit of the bargain to the vendor:
Marshall
, at
para 12. The same principled approach applies to the purchaser where it is the
party that lost what it bargained for. The damages must make up what the purchaser
lost in value on the closing date, not what a property speculator standing in
the purchasers shoes would have lost.
[13]
According to the motion judge, an innocent
purchaser cannot access a measure of damages that has been specifically denied
by this court, in particular, the profit that it would have made had it
purchased the properties as a speculator intent on flipping them to a new
purchaser two and a half years later.
[14]
With respect to the appellants duty to mitigate
its loss, the motion judge found that, given the circumstances of the
appellants business and the fact that the appellant had returned the deposit
to its parent corporation, it had either mitigated its damages in full or had
failed to mitigate. He noted that the appellant refused to disclose information
relating to the buildings acquired subsequent to January 2016, which would have
assisted with determining whether the appellant had mitigated its loss.
[15]
The motion judge declined to order costs in favour
of either party in light of the mixed success on the motion.
The Issues on Appeal
[16]
The appellant argues that the motion judge committed
reversible error on three issues. Its submissions are discussed further below,
but in brief, it first argues that the motion judge erred in finding that he
was bound by the case of
Fleischer
to assess damages as of the date of
breach. Second, it submits that the motion judge erred in finding that the
respondent vendors succeeded in showing that the appellant purchaser failed to
mitigate or had, in fact, mitigated its damages (other than the costs thrown
away). It lastly argues that the motion judge erred in failing to award the
appellant its costs.
[17]
The respondents cross-appeal on two points. First,
they argue that the motion judge erred in awarding Akelius every dollar of its
sunk costs. Second, they argue that they ought to have been awarded their
costs given their success defending the majority of the appellants claim for
damages.
[18]
For the following reasons, I would dismiss both
the appeal and the cross-appeal. I will address the issues in turn.
(1)
The Measure of Damages
(a)
The Parties Positions
[19]
The appellant submits that the motion judge misapplied
6472047 Ontario Ltd. v. Fleischer (
2001), 56 O.R. (3d) 417 (Ont. C.A.).
According to
Fleischer
, it argues, the date for the assessment of
damages is to be determined on what is fair on the facts of each case.
Fleischer
arose from a breach by a purchaser in a declining market. There, unlike the
present facts, the vendor was innocent. The appellant, in its factum, states
that
Fleischer
is clear that the decision to assess damages at the
date of closing is driven by the innocent vendors decision not to mitigate its
damages by selling the property as quickly as possible following the breach. The
appellant argues that the application of
Fleischer
to the
circumstances of an innocent purchaser, having appropriate regard to justice
and fairness, supports assessing damages on the date that a defaulting vendor
resells the subject property at a premium to what it would have received from
the innocent purchaser.
[20]
In addition, the appellant argues that the
motion judges assessment of damages failed to put it in the position that it
would have been in had the contract been performed. Rather, the motion judges
award wrongly put the appellant in the position that it would have been in had
the contract never been performed.
[21]
The respondents submit that the motion judge was
correct in his application of
Fleischer
and that the date of closing is
the appropriate date upon which to assess the damages. They further submit that
in this case, the damages sought by the appellant for lost capital appreciation
were not the type of damages that were in the reasonable contemplation of the
parties at the time the APS was signed. The appellant intended to hold the
buildings as a long-term investment, and while it may have eventually sold the
buildings for a profit, its own evidence shows that it likely would not have
sold the buildings in 2018. Thus, the motion judge was correct in finding that
the appellant is not a property speculator and could not recover damages on
that basis.
(b)
Law and Analysis
[22]
It has long been the case in the real estate
context that the starting point for the assessment of damages for breach of
contract is the date of breach. This principle was set out in
100 Main Street Ltd. v. W.B. Sullivan Construction
Ltd.
(1978), 20 O.R. (2d) 401 (Ont. CA) and
reaffirmed in
Fleischer
. In
Fleischer
, at para. 41, Laskin
J.A. summarized the six propositions articulated by Morden J.A. in
Main
Street
as follows:
(1) The basic principle for assessing damages
for breach of contract applies: the award of damages should put the injured
party as nearly as possible in the position it would have been in had the
contract been performed.
(2) Ordinarily courts give effect to this
principle by assessing damages at the date the contract was to be performed,
the date of closing.
(3) The court, however, may choose a date
different from the date of closing depending on the context. Three important
contextual considerations are the plaintiff's duty to take reasonable steps to
avoid its loss, the nature of the property and the nature of the market.
(4) Assessing damages at the date of closing
may not fairly compensate an innocent vendor who makes reasonable efforts to
resell in a falling market. In some cases, the nature of the property -- for
example an apartment building-- hampers the vendor's ability to resell quickly.
Thus, if the vendor takes reasonable steps to sell from the date of breach and
resells the property in some reasonable time after the breach, the court may
award the vendor damages equal to the difference between the contract price and
the resale price, instead of the difference between the contract price and the
fair market value on the date of closing.
(5) Therefore, as a general rule, in a falling
market the court should award the vendor damages equal to the difference
between the contract price and the highest price obtainable within a
reasonable time after the contractual date for completion following the making
of reasonable efforts to sell the property commencing on that date
(6) Where,
however, the vendor retains the property in order to speculate on the market,
damages will be assessed at the date of closing.
[23]
As Laskin J.A. explains in
Fleischer
,
at para. 42, underlying these propositions is the simple notion of fairness.
In determining the appropriate date for the assessment of damages, the court
must have regard to what is fair in the circumstances.
[24]
In
Fleischer
, the innocent vendors
claimed damages arising from the purchaser who refused to close when they realized
that the market was falling. The trial judge found that the closing date in
November 1990, the date of breach, was the appropriate date for the assessment
of the vendors damages, at which point the property in issue was worth
$1,130,000. On appeal to this court, the vendors argued that their damages
should be assessed as at the date of trial some four years later, by which
point the property in question had decreased in value to $410,000. This court
disagreed. In finding that the date of breach was the correct date, Laskin J.A.
stated, at para. 44, that the innocent vendors
cannot pick a
date at random, nearly four years after the closing date, when the market was
likely at its lowest, and reasonably expect the court to choose that date to
measure their loss.
[25]
There are cases that support the view that, in
some instances, it might be appropriate to move the date somewhat later;
however, this has been done in cases where the plaintiff established that it
was not in a position to re-enter the market as at the date of breach. In
Asamera
Oil Corporation Ltd. v. Sea Oil & General Corporation et al.
, [1979] 1
S.C.R. 633, the defendant was in breach of an agreement between the parties
which required the return of Asamera shares that had been loaned to the
defendant. The value of the shares fluctuated considerably from the date of the
breach and the trial. The innocent plaintiff argued that the date of the
assessment of damages should have been the dates those shares were at their
highest prices. This view was rejected by the Supreme Court. Rather, the
starting point continued to be the date of breach, and the damages were found
to have crystallized at the earliest date upon which the plaintiffs could
reasonably have re-entered the market.
[26]
In
Domowicz v. Orsa Investments Ltd.
(1994)
, 20 O.R. (3d) 722 (S.C.), varied
on other grounds, (1998) 40 O.R. (3d) 256 (C.A.), a case cited by the
appellant, the innocent vendor plaintiff sought specific performance of an
agreement to purchase an apartment building. The plaintiff filed detailed
evidence as to its damages in light of its planned use for the property,
including its loss of revenue. The trial judge noted that the plaintiff must
prove its loss. He recognized that it may have taken some time to find a
replacement property but rejected the argument that it could reasonably have
taken the time the plaintiff was claiming, which was the date of trial some
three years later. At the end of the day, the appropriate date for the
assessment of damages was found to have been only three months later than the
date of breach.
[27]
In all these cases, the date of breach remains a
starting point for the assessment of loss, modified only to the extent that the
innocent party satisfies the court that a later date is appropriate on the
grounds that it is the first date upon which the party could reasonably have
been expected to re-enter the market and mitigate its damages.
[28]
The appellant argues that the motion judge
misapplied
Fleischer
because, in that case, the vendor was innocent. It
further argues that when a vendor defaults on a real estate transaction in a
rising market, the date of assessment of damages should be varied from the date
of breach because an innocent purchaser such as the appellant may have
difficulty attempting to purchase a comparable portfolio of properties in a rising
real estate market. It relies on the case of
Domowicz
as authority for
the proposition that assessing damages as at the date of breach would not satisfy
the general principle that the non-breaching party should be put in a position
in which he or she would have been in had the contract been performed.
[29]
I do not agree with the appellants
interpretation of these cases. First, in
Fleischer
, the innocent
vendors had retained the property and re-leased it, speculating that the market
would eventually go back up. Laskin J.A. rejected the argument that because the
vendors were innocent, they were entitled to deviate from the usual measure of
damages as of the date of breach. He found that the appropriate date was the
date of breach. I see no principled reason for the suggestion that the date
should be different when the purchaser is the innocent party. Put another way,
the fact that a party is innocent does not displace the date of breach as the
presumptive date for the measure of damages in a real estate case.
[30]
Second,
Domowicz
does not assist the
appellant. Unlike the plaintiff in
Domowicz
, the appellant did not
provide evidence of its loss of revenue, claiming that it was not necessary
because it was choosing not to claim its loss of revenue. However, in order to
prove what it had actually lost, the appellant would have had to show not only
what it lost in capital appreciation but also, as in
Domowicz
, what it
would have made in capital appreciation had it sold in April 2018 when the
respondents did.
[31]
Even if the appellant could have shown that it
could not have bought other buildings that would have appreciated as much over
the next two and a half years, the appellant has not established why it could
not have re-entered the market over that period or why, for the purpose of mere
capital speculation, it was necessary to purchase six buildings close to one
another in Parkdale.
[32]
Moreover, the appellant argues that it is
entitled to the loss of capital appreciation, but it has not explained why the
loss of capital profit has to be assessed where all the synergies of the lost
properties related to the long-term investment purpose. The evidence suggested
that the desire to acquire the properties had to do with the synergies in
having close buildings, with a view to maximizing the rental returns. No doubt,
the ultimate return on the properties is part of the long-term planning, but
the capital appreciation in and of itself some two and a half years later does
not, in these circumstances, prove the appellants loss or the earliest date it
could have re-entered the market. The capital appreciation of the properties would
be relevant to the extent that it was in the reasonable contemplation of the
parties at the time of the agreement: see for example
Kipfinch Developments
Ltd. v. Westwood Mall (Mississauga) Limited
, 2010 ONCA 45, at paras.
14-15. However, all the evidence indicates that, based on its business model,
the appellant was not a property speculator but a long-term investor, and this
would have informed the parties reasonable contemplation at the time of the
agreement.
[33]
In effect, the appellant here is seeking to do
what was rejected by the court in
Asamera
: begin with the amount that
would represent the high point in the assessment of damages between the date of
breach and the date of trial (or, as here, when the respondents sold the
property). Such an approach would undermine the advantages of certainty and
predictability arising from a long line of established and stable case law that
presumes the date of breach for the assessment of damages for breach of
contract.
[34]
Moreover, and as was also the case in
Asamera
,
the appellants position presumes it would have sold at the high point. In
Asamera
,
that made sense because in a fluctuating market for shares bought at different
times, it would be assumed that the innocent party would have the perspicacity
to sell at the high point for the shares. Here, it makes no sense because all
the appellants own business plans reflected a pattern of keeping buildings as
rentals for much longer periods of time.
[35]
For all the above reasons, it would not be fair
in the circumstances to shift the date of the assessment of damages beyond the
date of the breach. In short, the trial judge correctly found that there was no
genuine issue requiring a trial on the date upon which the damages should be
assessed. On that date, the market value and the contract price were the same;
there was no loss. The appellant has not proven its loss, and the date it has
chosen as the crystallization of its loss is not sufficiently connected to
the date of breach or to the objectively understood purpose of the contract.
[36]
As the appellant failed to prove its losses, I
would also not give effect to its mitigation argument because, having failed to
establish that it suffered a loss as of the date of breach, there were no
losses to be mitigated.
(2)
The Cross-Appeal
[37]
The respondents cross-appeal on two issues.
First, they argue that the motion judge erred in awarding Akelius its costs
thrown away (reliance damages) trying to pursue the aborted transaction in the
amount of $775,855.46. Second, the respondents argue that they should have been
awarded their costs, given their proportional success in defending against the
appellants claim. The appellant agrees that the trial judge erred in not
awarding costs to either party but argues that it should have been awarded
costs, given its partial success at trial.
[38]
With respect to the claim of the costs thrown
away, the trial judge clearly found that the respondents breached the APS. The
appellant was entitled to these damages and I am not persuaded that the motion
judge committed any reversible error in this respect, either in principle or in
terms of the quantum.
[39]
The appeal of the order that there should be no
costs must also fail. Costs awards are within the discretion of the court:
Courts
of Justice Act
, R.S.O. 1990, c. C.43, s. 131(1). In
Przyk v. Hamilton
Retirement Group Ltd. (The Court at Rushdale)
, 2021 ONCA 267, at paras.
9-10, this court explained the threshold to be met before an appellate court
may set aside a costs award:
[9] An appellate court takes a deferential
approach when reviewing a discretionary award of costs by a trial court
(including a discretionary decision to deny costs). A costs award will only be
set aside on appeal if the trial judge has made an error in principle or if
the costs award is plainly wrong:
Hamilton v. Open Window Bakery Ltd
.,
2004 SCC 9, [2004] 1 S.C.R. 303, at para. 27.
[10] This
deferential approach requires that attention be paid not only to the nature of
any error affecting a costs decision, but also to its extent. It is
insufficient to identify an error in principle in the course of the trial
judges reasons without considering whether there is an independent basis to
uphold the order. An appellate court should be reluctant to interfere with the
exercise of discretion by a trial judge who had a much better opportunity to
acquaint himself with, and have a feeling for, all of the factors that formed
the basis for the award of costs:
Bell Canada v. Olympia & York
Developments Ltd
., 111 D.L.R. (4th) 589 at para. 41. Even where a trial
judge has relied on a factor that is unsupported by proper legal principles or
considerations to deny costs to a successful party, an appellate court should
not intervene unless it can find nothing in the factual circumstances or
argument to support the order:
Bell Canada
at para. 42.
[40]
Success was divided at trial. It was within the
trial judges discretion to decline to award costs. I am not convinced that
appellate intervention is warranted.
(3)
Conclusion
[41]
For these reasons I would dismiss both the
appeal and the cross-appeal.
(4)
Costs
[42]
Costs of the appeal to the respondents in the agreed amount of
$25,000.
Released: March 30, 2022 P.L.
A. Harvison Young J.A.
I agree P. Lauwers J.A.
I agree L. Sossin J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Arnatsiaq (Re), 2022 ONCA 260
DATE: 20220328
DOCKET: C69777
Simmons, Miller and Nordheimer JJ.A.
IN THE MATTER OF: Siobhan Arnatsiaq
AN APPEAL UNDER PART XX.1 OF THE
CODE
Anita Szigeti, for the appellant
Jacob Millns, for the respondent, Attorney
General of Ontario
Julia Lefebvre, for the respondent, Person
in Charge of North Bay Regional Health Centre
Heard: March 25, 2022 by video
conference
On appeal from the disposition of the
Ontario Review Board, dated July 8, 2021, with reasons dated August 9, 2021.
REASONS FOR DECISION
[1]
Ms. Arnatsiaq was found not criminally
responsible on May 7, 2021. She appeals from the initial disposition of the
Ontario Review Board that made a detention order against her. The appellant
submits that the Board erred in making the detention order. In particular, she
submits that the Board erred in finding that the appellant poses a significant
risk to the safety of the public. She asks that the detention order be set
aside and that an absolute discharge be granted. Alternatively, the appellant
asks for a conditional discharge with the Royal Ottawa Hospital as supervising
facility. In the further alternative, the appellant seeks a new hearing. At the
conclusion of the hearing, we dismissed the appeal for reasons to follow. We
now provide our reasons.
[2]
The appellant has been under the auspices of the
Board since May 7, 2021, arising out of charges of assault and failure to
comply with a release order. The assault involved an attack by the appellant,
while she was in hospital, on a 71‑year‑old female patient. The
patient suffered serious injuries as a result of the assault.
[3]
The Board found that the appellant continues to
pose a significant risk to the safety of the public. The Board accepted the
evidence of the attending psychiatrist, Dr. Alabi, that, if released, the
appellant would rapidly decompensate. Dr. Alabi said that the appellant had
limited and fluctuating insight with respect to her mental illness. He also
noted that there had been instances of violence over the years although none of
these appear to have resulted in any criminal convictions.
[4]
The appellant submits that the Board applied the
wrong test in concluding that the appellant posed a serious risk to the safety
of the public and that, in the absence of a formal risk assessment, the Board
should minimally have been left uncertain as to whether the necessary threshold
was met. The appellant notes that she has been suffering from mental illness
since she was a teenager yet, despite that fact, she was able to practice law
for many years. She also notes that she does not have any prior criminal convictions.
[5]
In our view, it was open to the Board, on the
evidence, to conclude that the appellant posed a significant risk to public
safety. In that regard, the appellant has failed to demonstrate that the
Boards conclusion is unreasonable. With respect to the requirement that there
be evidence that a person will commit a criminal offence giving rise to a real
risk of serious physical or psychological harm to a member of the public, this must
be understood in the context of what serious means. Serious in this context is
described as going beyond the merely trivial or annoying:
Winko v.
British Columbia (Forensic Psychiatric Institute)
, [1999] 2 S.C.R. 625, at
para. 62. Further, there appears to be some evidence that the appellant
may be suffering more from her mental illness, and thus acting out more, in
recent times than she has in the past.
[6]
As for the appellants risk assessment argument,
the Hospital Report filed at the hearing included a detailed Clinical
Assessment of Risk leading the treatment team to conclude that the appellant
poses a significant threat to the safety of the public. Although there had been
insufficient time between the NCR finding and the hearing to conduct an
actuarial risk assessment, it was open to the Board to accept and rely on the
clinical risk assessment as it did.
[7]
While we recognize some troubling aspects
regarding how the appellants situation has been handled, we note that the
Board took direct action with respect to them. For one, the Board ordered that
the appellant be immediately transferred to an all-female unit of the hospital.
Inexplicably, the appellant was initially placed on a predominantly male unit,
notwithstanding her past history of sexual and physical abuse at the hands of
men. For another, the Board ordered a six-month review of the appellants
situation to ensure that the appellants case was progressing in terms of
evaluation and treatment. For yet another, the Board appears to be conscious of
the fact that it may be better for the appellant if she were housed in a
facility in the Ottawa area. We expect that the Board will continue to monitor
the situation to determine whether that transfer can be accomplished in a
relatively short period of time.
[8]
We do not accept that the Board erred in failing
to impose a conditional discharge. Given the appellants limited insight into
her mental illness, the inability of the hospital to effectively monitor her in
a community setting, and the risk that the appellant poses, we agree that a
conditional discharge was not a reasonable alternative at this time. Again,
that was a reasonable conclusion for the Board to reach on the evidence. Similarly,
as Dr. Alabis evidence was that a community living privilege would not be
exercised in the coming year, it was reasonable for the Board not to include
such a condition in its disposition.
[9]
We also do not accept the appellants contention
that the Board failed to consider
Gladue
[1]
principles in accordance with
the decision of this court in
R. v. Sim
(2005), 78 O.R. (3d) 183 (C.A.).
As noted by Sharpe J.A. in that case at p. 189: An individual will not be
more or less dangerous, nor will an individual be more or less mentally ill, because
of his or her aboriginal status. In addition, a review of the Boards reasons
demonstrates that the Board is fully conscious of the appellants background
and the need to consider it in its disposition decisions. Further, we expect
that the Board will continue to monitor the Hospitals progress in
investigating available and appropriate cultural supports for the appellant in
the area and give further direction to the Hospital in that regard if
necessary.
[10]
It is for these reasons that the appeal was dismissed.
Janet Simmons J.A.
B.W. Miller J.A.
I.V.B. Nordheimer J.A.
[1]
R. v.
Gladue
, [1999] 1 S.C.R. 688.
|
WARNING
The President of the panel
hearing this appeal directs that the following should be attached to the file:
An order restricting
publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or
(4) or 486.6(1) or (2) of the
Criminal Code
shall continue. These sections of the
Criminal Code
provide:
486.4(1) Subject
to subsection (2), the presiding judge or justice may make an order directing
that any information that could identify the victim or a witness shall not be
published in any document or broadcast or transmitted in any way, in
proceedings in respect of
(a) any of the
following offences;
(i) an offence
under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1,
172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02,
279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence
under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt
with in the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a) at the first
reasonable opportunity, inform any witness under the age of eighteen years and
the victim of the right to make an application for the order; and
(b) on application
made by the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to
subsection (2.2), in proceedings in respect of an offence other than an offence
referred to in subsection (1), if the victim is under the age of 18 years, the
presiding judge or justice may make an order directing that any information
that could identify the victim shall not be published in any document or
broadcast or transmitted in any way.
(2.2) In proceedings in
respect of an offence other than an offence referred to in subsection (1), if
the victim is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible,
inform the victim of their right to make an application for the order; and
(b) on application of
the victim or the prosecutor, make the order.
(3) In proceedings
in respect of an offence under section 163.1, a judge or justice shall make an
order directing that any information that could identify a witness who is under
the age of eighteen years, or any person who is the subject of a
representation, written material or a recording that constitutes child
pornography within the meaning of that section, shall not be published in any
document or broadcast or transmitted in any way.
(4) An order made
under this section does not apply in respect of the disclosure of information
in the course of the administration of justice when it is not the purpose of
the disclosure to make the information known in the community.
2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b);
2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s.
18..
486.6(1) Every
person who fails to comply with an order made under subsection 486.4(1), (2) or
(3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2) For greater
certainty, an order referred to in subsection (1) applies to prohibit, in
relation to proceedings taken against any person who fails to comply with the
order, the publication in any document or the broadcasting or transmission in
any way of information that could identify a victim, witness or justice system
participant whose identity is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Ruelas, 2022 ONCA 262
DATE: 20220331
DOCKET: C69691
Simmons, Miller and Nordheimer
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
David Ruelas
Appellant
Marianne Salih and Jeffery Couse, for
the appellant
Molly Flanagan, for the respondent
Heard: in writing
On appeal from the sentence imposed on December
18, 2020 by Justice Gisele M. Miller of the Superior Court of Justice, with
reasons reported at 2020 ONSC 7973.
REASONS FOR DECISION
[1]
Following a judge alone trial, the appellant was
convicted of sexual assault, but acquitted of the offence of choking to assist
in committing a sexual assault.
[2]
The appellant and the victim were long time
acquaintances. After an evening of partying and consuming alcohol at a friends
place, the victim awoke on a couch to find the appellant having sexual
intercourse with her. When she protested, the appellant told her to shut up,
ripped her tank top and at one point had his hand on her throat with sufficient
force to cause bruising. The trial judge was not however satisfied beyond a
reasonable doubt that the appellant was attempting to render the victim
insensible, unconscious or incapable of resistance.
[3]
After reviewing the material placed before her
for sentencing, the trial judge sentenced the appellant to three years, six
months imprisonment less six days credit for pre-sentence custody.
[4]
The appellant raises three issues on appeal.
[5]
First, the appellant argues that the trial judge
erred in failing to give effect to the mitigating factors present. The trial
judge noted the several letters filed in support of the appellant, his efforts
at rehabilitation through an in-patient alcohol rehabilitation program, the
further counselling he had undertaken and the low‑to‑moderate risk
assessment his counsellor had provided. However, the trial judge expressed
uneasiness at the fact that none
[1]
of the letters of support post‑dated his arrest and detention on new
charges prior to the date of sentencing.
[6]
The appellant submits that the trial judge erred
in failing to raise her concerns at the sentencing hearing and give the
appellant an opportunity to respond and submits that this error led her to
ignore or de-emphasize the mitigating factors present.
[7]
Second, the appellant argues that the trial
judge erred in failing to apply the principle of restraint. While the appellant
had a prior record, it was unrelated. The appellant was 31 years-old at the
time of sentencing, had never previously been sentenced to the penitentiary and
had good rehabilitation prospects. In the circumstances, he submits that a
sentence of three years, six months' incarceration did not properly recognize his
potential for rehabilitation or apply the principle of restraint.
[8]
Finally, the appellant argues that the trial
judge erred in failing to give the appellant credit for pre-sentence custody
arising from the unrelated charges he was facing at the time of sentencing. The
trial judge calculated that, by the date of sentencing, the appellant would
have spent 70 days in custody on the charges he was facing. Fresh evidence
demonstrates that the appellant received credit for only 45 days of
pre-sentence custody when sentenced for those charges.
The
appellant submits that his detention on the additional charges was sufficiently
related to his conviction for this offence that the additional time served
should have been credited as pre-sentence custody for this offence.
[9]
We would not give effect to the first and second
grounds of appeal.
[10]
Although we agree that it would have been
preferable had the trial judge raised her concerns about the letters of support
at the sentencing hearing and given trial counsel an opportunity to respond, we
are not satisfied she was obliged to do so. Such letters are not the equivalent
of a pre-sentence report ordered by the court. A trial judge is entitled to
assume that parties have filed all available material in support of their
position.
[11]
Further, based on our review of the trial judge's
reasons, we are satisfied that she fully considered the appellant's
circumstances and the relevant sentencing principles. As we have said, she
reviewed all the material placed in front of her for the purposes of
sentencing. We see no error in principle that affected the sentence imposed.
[12]
Finally, even if we had identified any error in
the trial judges reasons, we are satisfied that a sentence of three years, six
months incarceration was entirely fit having regard to the circumstances of
the offender, and the offence, and all relevant sentencing principles. As
observed by the trial judge, this was a sexual attack involving full
penetration on an incapacitated victim who trusted the appellant as a friend.
During the attack, the appellant placed his hand on the victims throat with
sufficient force to cause bruising. The impact on the victim has been severe.
[13]
As
for the third ground of appeal, we conclude that the appellant should be given
credit for the pre-sentence custody served that was not credited to him on the charges
for which he was detained at the time of sentencing by the trial judge. The
trial judge calculated that the appellant would have served a total of 70 days
in custody prior to the date of sentencing. She gave credit on a 1.5:1 basis
for four days of pre-sentence custody, resulting in six days credit. We would
allow credit for an additional 21 days of pre-sentence custody (70 days minus 4
days credited by the trial judge minus 45 days credited on other charges) on a
1.5:1 basis, resulting in additional credit of 32 days.
[14]
Based on the foregoing reasons, leave to appeal
sentence is granted, the appeal is allowed in part by increasing the credit for
pre-sentence custody from six days to 38 days, resulting in a sentence of three
years and six months imprisonment less credit for 38 days of pre-sentence
custody. The sentence appeal is otherwise dismissed and all other terms of the
sentence imposed by the trial judge shall remain in full force and effect.
Janet Simmons J.A.
B.W. Miller J.A.
I.V.B. Nordheimer J.A.
[1]
The trial judge did note that one of the letters was
undated.
|
COURT OF APPEAL FOR ONTARIO
CITATION: York (Regional Municipality) v.
1085638 Ontario Limited, 2022 ONCA 263
DATE: 20220331
DOCKET: C66417
Simmons, Miller and Nordheimer
JJ.A.
BETWEEN
Regional Municipality of York
Respondent
and
1085638
Ontario Limited and Meadow Valley Garden Centre Ltd.
Appellants
Adam Marchioni, for the appellants
Chris G. Bendick, for the respondent
Heard: March 21, 2022 by video
conference
On appeal from the judgment of Justice
David S. Rose of the Ontario Court of Justice, dated September 28, 2018, dismissing
an appeal from the convictions entered on June 6, 2017 by Justice of the Peace Herbert
B. Radtke of the Ontario Court of Justice.
REASONS FOR DECISION
[1]
The appellant, 1085638 Ontario Limited, was
convicted of one offence under the
Building Code Act, 1992
, S.O. 1992,
c. 23 and both appellants were convicted of two offences under the
Planning
Act
, R.S.O. 1990, c. P.13. All of the offences relate to the operation of
a garden centre in the City of Vaughan. The appellants now appeal, with leave,
from those convictions.
A.
Background
[2]
There is a lengthy history to this matter which
we need not repeat for the purposes of our analysis and conclusion. The
relevant facts may be stated briefly.
[3]
The appellants operated a garden centre on Keele
Street in the City of Vaughan. There is no dispute about this fact. There is,
however, a dispute about the length of time that the garden centre operated,
about which we will have more to say later.
[4]
The first offence relates to the construction of
a building that houses the garden centre. It was constructed without obtaining
a building permit. On March 10, 2005, a building inspector for the City of
Vaughan issued an order to comply that required that an engineers report be
filed with the City. That was never done. This led to the charge under the
Building
Code Act
.
[5]
Many years later, in April 2012, a by-law
officer for the City of Vaughan attended at the garden centre. She observed vehicles
and equipment along with gardening materials and supplies. Trees and shrubs
were for sale. The location of the garden centre is on lands that are part of
the Oak Ridges Moraine. Zoning for the lands did not permit the operation of a
retail nursery nor did it permit open storage. This led to the two offences
under the
Planning Act
.
[6]
We should add that, back in 1992, 1085638
Ontario Limited had submitted an application to amend the official plan and
zoning to permit the operation of a garden centre. That application was granted
subject to certain conditions. Those conditions were never fulfilled. Consequently,
the amendment never came into effect.
B.
The decisions below
[7]
The Justice of the Peace convicted the
appellants at first instance. He found that the appellants had shown a lack of
respect for the process and had flouted the law. With respect to the appellants
argument that the garden centre constituted a legal non-conforming use, the
Justice of the Peace found that there was insufficient evidence that the garden
centre was in fact operating on the day of the passing of the bylaw. Thus,
there was no evidentiary foundation for the argument of legal non-conforming
use.
[8]
The appeal judge reviewed the reasons and
conclusions of the Justice of the Peace and, in detailed reasons, he upheld
them.
[9]
It is not necessary for us to consider all of
the issues that the Justice of the Peace dealt with because this court, in
granting leave to appeal, restricted the issues on the appeal to two: (i) the
issue of legal non-conforming use under s. 34(9) of the
Planning Act
and (ii) the issue of delay under s. 11(b) of the
Canadian Charter of
Rights and Freedoms
.
[10]
On the first issue, the Justice of the Peace
found, as we have said, that there was insufficient evidence led by the
appellants to establish that the garden centre was in operation at the time
that the municipal by-law came into force. The by-law prohibited the use of the
lands for the retail operation of a garden centre. The appeal judge upheld that
conclusion, finding that it was a question of fact which was entitled to
deference. However, the appeal judge went on to find a second reason for sustaining
that conclusion. He found that the building for the garden centre had been
erected in 1992, long after the by-law was passed. He found that that fact also
meant that the appellants could not rely on a legal non-conforming use.
[11]
The second issue raised the question of delay in
the prosecution, and an asserted breach of s. 11(b) of the
Charter
.
The issue was raised back in 2011 and with reasons delivered in January 2012,
prior to the second and third charges being laid. The application for a stay
was dismissed. As if this matter was not confused enough, we should point out
that the s. 11(b) issue was heard and determined by another Justice of the
Peace, not the one who convicted the appellants.
[12]
There is no issue raised regarding any delay in
the prosecution after that ruling. It is also agreed that the only challenge to
the s. 11(b) ruling is whether the Justice of the Peace, who heard and
determined that challenge, was correct in holding that 1085638 Ontario Limited
had failed to demonstrate that it had suffered any prejudice arising from the
delay.
[13]
The appeal judge found that the correct test had
been applied in considering the s. 11(b) issue. He also found that the Justice
of the Peace had not committed any error in concluding, on the evidence, that
no prejudice had been established.
C.
Analysis
[14]
In our view, the appeal judge was correct in
both of his conclusions.
(1)
Legal
non-conforming use
[15]
The argument on this issue, and which led to
leave to appeal being granted, was whether s. 34(9) of the
Planning Act
requires that the non-conforming use be in active operation on the very day
that the zoning by-law comes into force. That question is of importance in this
case because, as found by the Justice of the Peace, the appellants could not
state with any certainty that that was the case. Indeed, there was some
evidence that could suggest the garden centre had not become operational until
much later in time.
[16]
The appellants submit that to hold that the
business must be in operation on the very day when the zoning by-law comes into
force is inconsistent with the wording of the
Planning Act
and is also
inconsistent with this courts decision in
Feather v. Bradford (Town),
2010 ONCA 440, 320 D.L.R. (4th) 228.
[17]
We do not agree. In our view, the wording of s.
34(9) is clear. It reads:
No by-law passed under this section
applies,
(a) to prevent the use of any
land, building or structure for any purpose prohibited by the by-law if such
land, building or structure was lawfully used for such purpose
on the day of
the passing of the by-law
, so long as it continues to be used for that
purpose; or
(b) to prevent the erection or
use for a purpose prohibited by the by-law of any building or structure for
which a permit has been issued under subsection 8 (1) of the
Building Code
Act, 1992
, prior to the day of the passing of the by-law, so long as the
building or structure when erected is used and continues to be used for the
purpose for which it was erected and provided the permit has not been revoked
under subsection 8 (10) of that Act. [Emphasis added.]
[18]
The emphasized words from s. 34(9)(a) do not
allow for any other interpretation. Had the Legislature intended that the use
could exist at some point prior to the by-law being passed, it could have used
the language that appears in s. 34(9)(b), that is prior to the day of the
passing of the by-law, but it did not. The express language of the section
must be given effect.
[19]
We also do not see any inconsistency in that
conclusion and the decision in
Feather
for two reasons. The first is
that the decision in
Feather
did not deal with the issue that is
before us. Rather, the decision addresses an attempt by the property owner to
reconstruct a cottage. It did not involve an issue over the use of an existing cottage.
The second is that there was a factual finding in
Feather
that the
owner of the cottage had used it continually up to and including the date on
which the applicable zoning by-law was passed. That is an important factual
distinction between this case and
Feather
.
[20]
The appellants advance a further basis for submitting
that the finding of the Justice of the Peace was in error. They contend that
the finding that there was insufficient evidence that the business was
operating on the day the by-law was passed was premised on the fact that the
witnesses who testified to the issue could not recall whether the garden centre
was open on the specific day the by-law was passed. They say there was
unchallenged evidence that the appellants began operations prior to the date on
which the by-law was passed and continued thereafter to the date of the
hearing. The finding of insufficient evidence that the business was operating
on the date the by-law was passed is therefore an error in law.
[21]
We cannot accept this argument. The appellants
evidence that the garden centre began operations prior to the date on which the
by-law was passed was not unchallenged. As we have said, there was also
evidence on which the Regional Municipality of York (the Region) relied that
could suggest the garden centre was not operational until well after the by-law
was passed. Counsel for the Region cross-examined the appellants witnesses
concerning whether the business was in operation on the day the by-law was
passed. The appellants argument in this regard is not a question of law,
rather it is a question that attracts review on a standard of palpable and
overriding error. This courts jurisdiction on appeal under s. 131 of the
Provincial
Offences Act
, R.S.O. 1990 c. P.33 is limited to a question of law alone.
The appellants argument in this regard was addressed and dismissed by the
appeal judge.
(2)
The s. 11(b) argument
[22]
The respondent concedes that the appeal judge
erred, when considering this issue, in not applying the test in
R. v.
Jordan
, 2016 SCC 27, [2016] 1 S.C.R. 631, and more specifically, the
application of the transitional exceptional circumstance. In our view, that
error is of no moment in this case. The decision in
Jordan
provides
for a transitional exceptional circumstance to excuse delay in cases that were
still in the system when the decision in
Jordan
was released, but
where the delay in the case is explained by reliance on the pre-existing law. At
para. 96, the court said: This transitional exceptional circumstance will
apply when the Crown satisfies the court that the time the case has taken is
justified based on the parties' reasonable reliance on the law as it previously
existed.
[23]
All of the delay in this matter preceded the
decision in
Jordan
by more than four years. In determining the s.
11(b) issue, the Justice of the Peace properly applied the law that existed at
the time, that is, the decision in
R. v. Morin
, [1992] 1 S.C.R. 771
and related cases. On that point, the decision in
R. v. CIP Inc.
,
[1992] 1 S.C.R. 843, made it clear that in order for a corporation to obtain a
stay of proceedings under s. 11(b), it was required to show prejudice to its
ability to make full answer and defence. The court said, at p. 863:
It is therefore my opinion that with respect
to this fourth factor, a corporate accused must be able to establish that its
fair trial interest has been irremediably prejudiced.
[24]
The appellant, 1085638 Ontario Limited, did not
lead any evidence of any prejudice to its right to make full answer and
defence. The s. 11(b) challenge was, therefore, properly dismissed. It is not
necessary for us to consider the issue whether, in cases that involve a
corporation and where the delay includes delay post-
Jordan
, there is
still a need to demonstrate prejudice.
D.
COnclusion
[25]
The appeal is
dismissed.
Janet Simmons J.A.
B.W. Miller J.A.
I.V.B. Nordheimer J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v. Akhi, 2022 ONCA 264
DATE:
20220329
DOCKET: C67096 & C68914
Simmons,
Miller and Nordheimer JJ.A.
BETWEEN
Her
Majesty the Queen
Respondent
and
Elias
Akhi
Appellant
AND BETWEEN
Her
Majesty the Queen
Respondent
and
Jezreel
Moxam
Appellant
Chris Rudnicki and Theresa Donkor, for
the appellant Elias Akhi
Mark C. Halfyard and Chloe Boubalos,
for the appellant Jezreel Moxam
Michael Fawcett, for the respondent
Heard: March 24, 2022 by video conference
On appeal from the convictions entered
by Justice Kelly A. Gorman of the Superior Court of Justice, sitting with a
jury, on February 12, 2019.
REASONS FOR DECISION
[1]
Elias Akhi and Jezreel Moxam appeal from their
convictions for robbery, assault with a weapon, and other offences arising out
of a home invasion robbery that occurred on September 28, 2016. At the
conclusion of the hearing, we allowed the appeal and ordered a new trial for
reasons to follow. We now provide our reasons.
[2]
On September 28, 2016, a woman was abducted from
her home at gunpoint. The woman lived in a home in London with her two
daughters, her boyfriend, and her boyfriend's brother. Her boyfriend and his brother
were drug dealers.
[3]
On the night in question, two men entered the womans
home and tied her up along with the two brothers. These two men were later
identified as Azizullah Hadi and the appellant, Moxam. The men demanded drugs,
money, and valuables. One of the men pistol-whipped her boyfriend. When no
drugs were found, they threatened to take the children. Ultimately, the woman was
blindfolded and taken to a car driven by a third man. The three men drove her
to an apartment building, in the apparent belief that drugs would be found
there. They met another vehicle (the second vehicle) occupied by three other
men. One of the men from the second vehicle, William Pieszchala, opened the
door to the building. Hadi and the woman went to a unit on the second floor.
When no one answered the door, they went back downstairs where Moxam gave the woman
money for a phone call and told her not to remove her blindfold until after the
men had left.
[4]
Following the incident, Pieszchala approached
the police and provided a statement concerning his involvement in the incident.
Among other things, Pieszchala alleged that Akhi was in the second vehicle and
that he not only forced Pieszchala to participate in the offences at gunpoint
but also gave directions to Hadi and Moxam concerning carrying out the offences
over the phone. The police eventually charged five individuals with various
offences. Two of those individuals subsequently had their charges withdrawn. After
Hadi pleaded guilty, the trial proceeded only as against the appellants.
[5]
The appellants raised a number of grounds of
appeal, some in common and some separately. We need only address one that is
common to both appellants and that involves serious errors in the instructions
that were given to the jury by the trial judge.
[6]
This case was complicated by two principal
factors. One was that there were two accused. The other, and more significant,
complicating factor was that the information initially contained 26 different
counts. Some counts related to individual accused and other counts related to
accused charged jointly. The fact that Hadi resolved his case led to there
being a reduction in the number of counts, but it still required the jury to be
instructed on 14 counts.
[7]
Further, the instructions given to the jury
included not only instructions on liability as principals, but also
instructions on liability as parties, either as aiders under s. 21(1)(b) or common
intention under s. 21(2) of the
Criminal Code
, R.S.C. 1985, c. C-46. Unfortunately,
in attempting to address all of these moving parts, the jury instructions
became very confused.
[8]
By way of example, the trial judge adequately
set out the requirements for common intention under s. 21(2) very early in her
instructions. However, much later, when she came to the actual counts that the
jury had to decide, she moved back and forth between common intention, aiding,
and joint principals, all without adequately delineating between the three.
Indeed, she generally failed to delineate which counts might properly attract
liability for which accused on which basis. Further, in instructing on common
intention, the trial judge failed to clearly set out which offences were ones
that the accused had agreed to commit, and which offences were ones that the
accused knew, or should have known, one of the other participants would
probably commit.
[9]
Adding to the confusion in this regard is the
fact that while the trial judge initially told the jury that the two appellants
had to be treated separately, in dealing with the various counts where they
were jointly charged, which were 11 of the 14 counts, she referred throughout
to Akhi and/or Moxam. This conjunction failed to maintain the separateness
that was required when the jury was considering the question of guilt
respecting each appellant. Because Akhi was never in the house, the avenues of
liability for him were often distinct from those available for Moxam who was. While
it may somewhat lengthen the overall instructions, the best practice will
generally be for a trial judge to deal with each accused separately, even if
that results in a measure of repetition. In any event, each potential basis for
liability should be clearly and separately laid out for each offence and each
accused. One significant consequence of the confusion in this case was that, in
some instances, the trial judge instructed on avenues of liability not sought
by the Crown and which were not available on the evidence.
[10]
The respondent quite fairly acknowledges that
the jury instructions were confusing. Indeed, the respondent accepts that the
finding of guilt for Akhi based on common intention on three of the counts cannot
be sustained. However, the respondent contends that the errors in the jury
instructions do not go so far as to undermine the other convictions for Akhi,
or any of the convictions for Moxam. On the latter point, the respondent says
that the only issue at trial was whether the jury would excuse Moxams participation
on account of duress.
[11]
We do not agree. We begin by noting that had the
trial judge instructed the jury as is now suggested by the respondent, that is,
that the only issue for Moxam was duress, the respondents position might carry
the day. But the trial judge did not do that. Rather, she included Moxam with
Akhi throughout her instructions on all of the joint counts, including on all
of the party liability issues.
[12]
In our view, there is no safe way of separating
out the confusion that was created by the erroneous jury instructions as
between the various counts or as between the two appellants. If the jury was
left in a state of confusion regarding what the Crown needed to establish for a
conviction beyond a reasonable doubt, it cannot be said with any level of
comfort that the confusion would only have permeated their consideration of
some charges and not others.
[13]
We would add that this case demonstrates the
risks associated with including multiple counts in an indictment that arise out
of the same conduct. It would benefit the conduct of prosecutions
generally if the Crown identified the key offences involved and prosecuted only
those offences. As Moldaver J. said recently, in
R. v. R.V.
,
2021
SCC 10, 455 D.L.R. (4th) 253, at para. 78:
It is incumbent upon the Crown as a
participant in the justice system to make the trial process less burdensome,
not more. The Crown fails in that regard when it proceeds with duplicative
counts. Doing so not only increases the length of the trial; it also places a
greater burden on trial judges and juries by increasing, as it does, the
complexity of jury instructions [Citation omitted.]
See also
R. v. Rowe
, 2011
ONCA 753, 281 C.C.C. (3d) 42, at para. 58.
[14]
In the end result, the jury instructions did not
properly equip the jury with the tools necessary to decide this case fairly. The
convictions cannot stand and must be set aside.
[15]
It is for these reasons that we allowed the
appeal and ordered a new trial. The convictions are quashed and a new trial is
ordered on the counts on which the appellants were found guilty.
Janet Simmons J.A.
B.W. Miller J.A.
I.V.B. Nordheimer J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Pine Valley Enterprises Inc. v. Earthco Soil Mixtures Inc., 2022 ONCA 265
DATE: 20220331
DOCKET:
C68141
Strathy C.J.O., Simmons and Zarnett JJ.A.
BETWEEN
Pine
Valley Enterprises Inc.
Plaintiff
(Appellant)
and
Earthco Soil Mixtures Inc.
,
G & L Group Ltd., Richard Outred and
Orazio Valente
Defendants
(
Respondent
)
Vito S. Scalisi, for the appellant
Mark Klaiman, for the respondent
Heard: January 21, 2022 by video
conference
On appeal from the judgment of Justice Shaun Nakatsuru of the Superior
Court of Justice, dated February 10, 2020, with reasons reported at 2020 ONSC
601.
Zarnett J.A.:
Introduction
[1]
The appellant, Pine Valley Enterprises Inc. (Pine
Valley), bought topsoil from the respondent, Earthco Soil Mixtures Inc.
(Earthco), for use in a City of Toronto project designed to reduce basement
flooding. The topsoil did not meet the Citys specifications. The City required
Pine Valley to remove and replace it, causing Pine Valley a loss the trial
judge assessed at $350,386.23.
[2]
Pine Valley claimed that Earthco was responsible
for its loss. It asserted that Earthco breached the parties contract governing
the sale of the topsoil (the Contract), specifically the condition implied
into the Contract by s. 14 of the
Sale of Goods Act
, R.S.O. 1990, c.
S.1 (the
SGA
). Section 14 of the
SGA
provides that where goods
are sold by description, there is an implied condition in the contract of sale
that the goods supplied correspond to that description.
[3]
The trial judge made several findings that are
not challenged in this appeal. He found that the Contract was for the sale of
goods by description within the meaning of s. 14 of the
SGA
. He found that
Earthco had promised to sell R Topsoil, a specific composition of topsoil
described in test results Earthco provided, that would meet the Citys
specifications. And he found that Pine Valley did not get the soil it
bargained for since there was a significant variation between the soil
promised and the soil delivered. That variation caused Pine Valleys loss due
to the removal and replacement it had to perform.
[4]
The trial judge nonetheless dismissed the action
on the basis of exclusionary clauses in the Contract.
[5]
The Contract provided that Pine Valley had the
right to test and approve the topsoil at its own expense at Earthcos facility
before it was shipped. It further provided that if Pine Valley waived its right
to do so, Earthco would not be responsible for the quality of the material
once it [left Earthcos] facility.
[6]
The trial judge held that by these exclusionary clauses,
Earthco had successfully excluded liability for failing to supply topsoil that corresponded
with the description in the Contract, that is, for breach of the implied
condition in s. 14 of the Act, as Pine Valley failed to do its own test
before taking delivery.
[7]
A vendor may, by express agreement, exclude the
implied conditions in the
SGA
, but must use explicit language, which
is clear and direct, to do so. This principle reflects a policy choice to give
primacy to legislative purposes, unless the parties have clearly expressed
their intention for a different private ordering of their rights and
obligations: Geoff R. Hall,
Canadian Contractual Interpretation Law
,
4th ed. (Toronto: LexisNexis Canada, 2020), at p. 179. The issue in this appeal
is whether the trial judge committed a reversible error in finding that the exclusionary
clauses constituted an express agreement composed of explicit, clear, and
direct language sufficient to oust liability for breach of the implied
condition in s. 14 of the Act that the topsoil supplied corresponded to the
contractual description.
[8]
For the reasons below, I conclude that the appeal
must be allowed.
[9]
The implied condition in s. 14 of the
SGA
,
applicable when a sale is by description, relates to the identity of the goods
sold that they correspond to the description not to their quality. This is
in contrast to the implied conditions in s. 15 of the
SGA
concerning
fitness for purpose and merchantability, which relate to the quality of the
goods. The trial judge found that the Contract was for a sale by description,
that the description was of soil with a composition as described in specific
soil tests supplied by Earthco, and that the soil supplied did not correspond
to the contractual description. Given these findings, which are accepted by
Earthco in this court, the nature of the implied condition in s. 14 of the
SGA
one pertaining to identity, not quality is pivotal.
[10]
Nothing in the language of the exclusionary
clauses refers clearly, directly, or explicitly to any statutory conditions,
let alone to one about the identity of what was sold. The express language of
the exclusionary clauses disclaims responsibility only for
quality
, not for
identity
. Although
the language of a contract must be read in light of its factual matrix, the
factual matrix cannot be used to overwhelm the text and insert into the
contract an explicit exclusion of liability for breach of the statutory
condition in s. 14 of the
SGA
concerning the identity of the goods
that the trial judge found Earthco had promised would be supplied.
Background
[11]
In 2011, the City hired Pine Valley as a
contractor for a project intended to deal with basement flooding in residences
in a neighborhood in North York. Pine Valley was required to build a dry pond
to capture excess water in the neighborhood, so that it would drain away. This
in turn required Pine Valley to install drainage pipes and proper topsoil for
drainage, as well as turf and recreational equipment.
[12]
The City rejected soils from several suppliers Pine
Valley proposed to use, which led it to contact Earthco, a large custom topsoil
provider.
[13]
The Citys specifications required a particular composition
of topsoil. It had to be: 45 percent to 70 percent sand, 1 percent to 35
percent silt, and 14 percent to 20 percent clay. On October 3, 2011, Pine
Valley gave Earthco its specifications, and on the same day, Earthco provided
Pine Valley with laboratory tests for three topsoils, one of which was R Topsoil.
The tests had been performed in August 2011 and set out the composition,
as among sand, silt, and clay, of each of the soils.
[14]
The August test results for R Topsoil indicated
a composition of 46 percent sand, 36 percent silt, and 18 percent clay. Pine
Valley shared those results with the Citys consultant.
[15]
The Citys consultant advised Pine Valley that R
Topsoil would be acceptable if the organic matter in it were increased to between
3 and 5 percent (which could be accomplished by the addition of peat).
[1]
R
Topsoil was selected by Pine Valley.
The Contract
[16]
The Contract for the supply of soil was entered
into on October 5, 2011. Although the purchaser in the Contract was named as
Furfari Paving, the parties at trial agreed and the trial judge accepted that
the Contract was between Pine Valley as purchaser and Earthco as seller.
[17]
The Contract was for 3,678 cubic yards of
Screened topsoil with extra Organics added for a price of $66,168. Soil
Testing if required was priced at $300 per test. The Contract contained the
following two provisions (the exclusionary clauses):
6. [Pine Valley] has the right to test and
approve the material at its own expense at our facility before it is shipped
and placed. Please contact Richard Outred [an Earthco representative] to
arrange.
7. If [Pine Valley] waives its right to test
and approve the material before it is shipped, Earthco Soils Inc. will not be
responsible for the quality of the material once it leaves our facility.
[18]
The trial judge found that even though the Contract
only refers to soil (i.e., Screened topsoil), the subject matter of the
Contract was R Topsoil having the composition set out for that soil in the
August 2011 test results. He stated that:
[W]hen the factual circumstances existing at
the time are examined, including the provision of [the August] test results of
three soils, Earthcos communication to Pine Valley promised that it was
selling R Topsoil which had the qualities set out in its [August] test results.
It was not promising to sell any soil regardless of composition/texture.
Delivery of the Topsoil
[19]
Pine Valley did not exercise its right under the
Contract to test the topsoil at the Earthco facility. After the Contract was
entered into, Pine Valley pressed for immediate delivery, as it was under a
City-imposed deadline and was facing financial penalties. On October 6, 2011, Pine
Valley was advised by email from Earthco that Pine Valley had the right to
test any material we [Earthco] prepare for you before it gets shipped. However,
once it leaves our yard, ownership of the material (including all risks
associated with it) passes from us to you. Put another way, we are no longer
responsible for the material once it leaves our yard.
[2]
[20]
Pine Valley nonetheless insisted on immediate
delivery. Topsoil was delivered between October 7 and 19, 2011 and spread on
the site when delivered.
The Variation Between the Topsoil Promised and Delivered
[21]
In November 2011, ponding of water was
discovered on the site. The City took soil samples for examination and testing.
The trial judge found that the testing showed that the soil composition
differed significantly from the [August 2011] test results of the R Topsoil and
that [t]here was substantially more clay content in the topsoil that was
actually delivered than what the [August 2011] test results of R Topsoil had
indicated.
[22]
On December 2, 2011, the City officially
notified Pine Valley that the topsoil on the site was to be removed and
replaced. Pine Valley did so, incurring costs.
[23]
Pine Valley notified Earthco in a letter dated
December 5, 2011 that it expected compensation. Earthco responded that Pine
Valley had waived testing of the material before shipment and explicitly
assumed all responsibility for the material once it left Earthcos premises.
The Trial Judges Decision
[24]
Pine Valley brought an action against Earthco
and several other parties. At the outset of trial, the action was dismissed
against all parties except Earthco.
[25]
Pine Valleys theory of liability at trial was
that the Contract provided for a sale by description within the meaning of s.
14 of the
SGA
, which provides in relevant part that [w]here there is
a contract for the sale of goods by description, there is an implied condition
that the goods will correspond with the description. It argued that the
implied condition was breached as the goods did not correspond with the
description, and the exclusionary clauses were not clear enough to exempt
Earthco from liability for this breach.
[26]
The trial judge found that the Contract provided
for a sale by description within the meaning of s. 14 of the
SGA
.
After referring to case law that holds that description in s. 14 is to be
understood as identification of the goods rather than quality, he found that
the Contract identified the goods Earthco promised to sell as R Topsoil with
the qualities set out in [the August 2011] test results. It was not promising
to sell any soil regardless of composition/texture.
[27]
The trial judge then considered whether the
implied condition of correspondence [between the goods identified in the Contract
and the goods delivered had] been breached. He identified the test for breach
as including a requirement that there be a significant variation between the
goods delivered and the goods as described in the Contract, such that the buyer
could say they were of a different kind from those agreed to be purchased. He
found that aspect of the test to be met. He stated:
Although
the
bar
for
correspondence
between goods
and
description
is
relatively
high,
it is clear
here that
Pine
Valley
did
not get the soil it bargained
for
.
This
was
not
a minor variation
or
discrepancy
.
The
test results
done
at
the City
Consultant
s
insistence after the
soil
had been spread and the
expert
evidence presented
at trial
showed that
there
was
a
significant
variation between
the
soil
promised
and
the soil
delivered
.
The
variation
was
such that it led
to
the
problem
of
ponding
in the Project.
[28]
If it were not for the exclusionary clauses, the
trial judge would have found that the test for breach of the implied condition
in s. 14 was met, and he would have awarded damages for that breach (which he
assessed at $350,386.23). The trial judge found, however, that the presence of
the exclusionary clauses led to a different result.
[29]
The trial judge considered s. 53 of the
SGA
,
which permits parties, by express agreement, to negative liability implied by
law. He referred to case law that requires that contractual language ousting a
statutory entitlement under the
SGA
be clear and unambiguous. He discussed
two Ontario cases that specifically held that liability for breach of
SGA
conditions of fitness for purpose is not excluded if the exclusionary clause
fails to make explicit reference to statutory conditions. He distinguished
those cases on the basis that they dealt with detailed and sophisticated contracts,
whereas the Contract in this case was drafted in very simple language.
[30]
The trial judge observed that the exclusionary
clauses in the Contract did not explicitly oust statutorily imposed conditions nor
clearly articulate the parties intentions with respect to such conditions. But
he held that they were direct and explicit that Earthco [was] meant to be
protected from any liability if Pine Valley fail[ed] to test its soil before
shipping, that they state unequivocally Earthco will be absolved of liability
if Pine Valley fails to test its topsoil order prior to shipping, and that
they specifically absolved Earthco of liability in these circumstances. He
drew this conclusion from the wording of the Contract, as well as the following
elements of the factual matrix: the August 2011 test results were dated; the
soil to be shipped was taken from large mounds removed from development
projects that would have a shifting composition as the mound was worked through
over time; and Pine Valley was an experienced commercial purchaser. He held
that the purpose of the provision for testing was to ensure that the soil met
the Citys requirements, and the purpose of the exclusionary clauses was to
avoid a situation in which a customer could fail to test and hold Earthco liable.
[31]
He concluded:
In my view, [the exclusionary] clauses
of
the Contract are clear and unambiguous and oust the liability for the seller
created by s. 14 of the
SGA
. While the resulting situation for Pine
Valley was unfortunate, there is no reason why the exclusionary clauses should
not apply to this situation. While I have sympathy for [Pine Valley], I find
that Pine Valley made something of an expensive but calculated mistake by not
testing the topsoil prior to shipping.
ANALYSIS
The Parties Positions
[32]
On appeal, Pine Valley argues that the trial
judge failed to follow binding case law and thus erred in law in finding that the
exclusionary clauses ousted the liability of Earthco under the implied
condition in s. 14 of the
SGA
, and that he further erred in using
evidence outside of the Contract to deviate from its text.
[33]
Earthco argues that the trial judge applied the
correct principles and that his interpretation of the Contract, in light of the
factual matrix, is subject to a deferential standard of review and is not the
product of any reversible errors.
The Standard of Review
[34]
The question at the heart of this appeal is one
of contractual interpretation, an exercise in which the principles of
contractual interpretation are applied to the words of the written contract,
considered in light of the factual matrix:
Sattva Capital Corp. v. Creston
Moly Corp.
, 2014 SCC 53, [2014] 2 S.C.R. 633, at para. 50. Deference
is owed to a trial judges interpretation of a commercial contract, unless an
extricable question of law [arises] from within what was initially
characterized as a question of mixed fact and law:
Sattva
, at para. 53.
Legal errors made in the
course of contractual interpretation include the application of an incorrect
principle, the failure to consider a required element of a legal test, or the
failure to consider a relevant factor
. Moreover, there is no question that
many other issues in contract law do engage substantive rules of law:
Sattva
,
at para. 53 (citation omitted).
[35]
In my view, whether the exclusionary clauses
ousted the condition implied by s. 14 of the
SGA
in this case involves
extricable questions of law. These questions relate to the legal nature of the
statutory implied condition, the content and meaning of the legal test for
excluding a statutory implied condition from a sales contract, and the use of
the factual matrix to inform the meaning of the express exclusionary language. Deference
is not owed on these questions, and a standard of correctness applies.
[36]
The trial judge made three related errors on
these questions. First, in interpreting the exclusionary clause, he failed to take
into account the nature of the implied condition in s. 14, which relates to the
identity of the goods to be delivered rather than the quality of those goods.
This distinction is important because the express language of the exclusionary
clause only relates to quality. Second, he failed to properly interpret the
meaning of the requirement that explicit, clear, and direct language must be
used to exclude a statutory condition, and therefore did not give proper effect
to the failure of the exclusionary clauses to refer to identity of the goods or
to statutory conditions. Third, he read the language of the exclusionary
clauses in broader terms than their actual words, which neither the requirement
for express and explicit language, nor proper resort to the factual matrix,
permits.
The Implied Condition in s. 14 of the
SGA
Relates to the Identity of the
Goods Sold, Not Their Quality
[37]
Section 14 of the
SGA
, entitled Sale
by description, provides:
Where there is
a contract for the sale of goods by description, there is an implied condition
that the goods will correspond with the description
, and, if the sale is by sample as well as by description, it is not
sufficient that the bulk of the goods corresponds with the sample if the goods
do not also correspond with the description. [Emphasis added.]
[38]
Section 15 of the
SGA
, entitled
Implied conditions as to quality or fitness, provides:
Subject to this Act and any statute
in that behalf, there is no implied warranty or condition as to the quality or
fitness for any particular purpose of goods supplied under a contract of sale,
except as follows:
1.
Where the buyer, expressly or by implication,
makes known to the seller the particular purpose for which the goods are
required so as to show that the buyer relies on the sellers skill or judgment,
and the goods are of a description that it is in the course of the sellers
business to supply (whether the seller is the manufacturer or not), there is an
implied condition that the goods will be reasonably fit for such purpose, but
in the case of a contract for the sale of a specified article under its patent
or other trade name there is no implied condition as to its fitness for any
particular purpose.
2.
Where goods are bought by description from a
seller who deals in goods of that description (whether the seller is the
manufacturer or not), there is an implied condition that the goods will be of
merchantable quality, but if the buyer has examined the goods, there is no
implied condition as regards defects that such examination ought to have
revealed.
3.
An implied warranty or condition as to quality
or fitness for a particular purpose may be annexed by the usage of trade.
4.
An express warranty or condition does not
negative a warranty or condition implied by this Act unless inconsistent
therewith.
[39]
The subject matter of the two sections is
different. The description referred to in the
SGA
(and comparable
acts in the U.K. and elsewhere in Canada) involves identity of the goods, not their
quality:
Bakker v. Bowness Auto Parts Co.
(1976), 68 D.L.R. (3d) 173
(Alta. S.C. (A.D.)), at p. 178 ([I]t is clear that the description of which
the section [of the
SGA
equivalent] speaks is only that which, as a term
of the contract, identifies the subject-matter of the sale);
Ashington
Piggeries Ltd. v. Christopher Hill Ltd.
, [1972] A.C. 441 (H.L. (Eng.)), at
p. 466 (The language used [in the
SGA
equivalent] is directed
to the identification of goods).
[40]
Lord Diplock noted in
Ashington Piggeries
,
at p. 503, that in a sale by description, the parties may employ as broad or
narrow a description of the goods to be delivered as they choose. The broader
the description, the more difficult it will be for the buyer to argue that what
was supplied breached the identity condition. As long as the goods correspond
to the description as long as they are, as far as their identity is
concerned, the goods described it is irrelevant for s. 14 purposes whether
the goods are of poorer quality than promised.
[41]
Thus, in
Ashington Piggeries
, the
identity condition was not breached by the sale of mink food made up of
Norwegian herring meal that, unknown to the parties, contained a poisonous
substance. The contract contained a broad description of the identity of the
goods to be delivered: Norwegian herring meal. As far as identity was
concerned, that corresponded to what was supplied: Herring meal is still
herring meal notwithstanding that it may have been contaminated. Provisions of
the agreement that the herring meal had to be of fair average quality of the
season pertained only to the quality of the goods, not to their identity: at pp.
472, 475.
[42]
On the other hand, in a sale by description, if the
goods delivered do not correspond with what was promised, a breach of the
identity condition will occur even if what is delivered is of equivalent
quality. As the court stated in
Bakker
, at p. 181
:
Sections 16 and 17 of the Act [corresponding
to ss. 14 and 15 of the
SGA
] imply separate conditions of the contract
in respect of separate specified circumstances. Merchantable quality under s.
17(4) is not to be taken as a measuring stick in determining whether goods
correspond with their contract description under s. 16; nor is fitness for
purpose under s. 17(2) germane to such a determination. In
Arcos, Ltd. v.
E.A. Ronaasen & Son
Lord Buckmaster said at p. 474: The fact that the
goods were merchantable under the contract is no test proper to be applied in
determining whether the goods satisfied the contract description
.
[43]
The distinction between identity and quality is
important in this case. The trial judge found a sale by description. That
description was narrow. The description the identity of the goods was R
Topsoil with the composition set out in the August 2011 test results. He came
to these conclusions (which are not in issue on this appeal as they are not
challenged, but rather are accepted by Earthco in this court) after adverting
to the difference between terms of a contract that specify the quality or standard
of the goods and those that form the description. His conclusions mean that the
composition described for R Topsoil in the August test results goes to the
identity of the goods, not their quality. Indeed, he found that Pine Valley did
not get what was promised in terms of the identity of the goods because of the
significant variation in composition.
[44]
Although the trial judge adverted to the
difference between statements about goods that go to their quality and those
that go to identity, and found that the identity of what was to be delivered
was R Topsoil with the composition described in the August test results, he was
required to go further and apply that legal distinction when interpreting the
exclusionary clauses.
[45]
The significance, to an exclusionary clauses
interpretation, of the difference between a condition concerning the identity
of the goods under s. 14 and one that relates to their quality was described by
Professor Gerald Fridman in
Sale of Goods in Canada
, 6th ed. (Toronto:
Thomson Reuters Canada Ltd., 2013), at p. 152, as follows:
If the wrong goods are delivered, the buyer
may reject the goods proffered by the delivery, and sue for a breach of
contract,
and an exemption or exclusion clause will not
release the seller from liability for breach of contract, since he will not
have fulfilled the contract in any way. On the other hand, if what is involved
is some characteristic of the goods, not their identity, an exemption or
exclusion clause, if appropriately worded, and if not precluded by consumer
protection legislation, may result in the release of the seller from any kind
of liability for breach of contract
. [Emphasis added; footnotes omitted.]
[46]
To the extent that the passage from Fridman
suggests that the implied condition in s. 14 could never be excluded, it may go
too far. Section 53 of the
SGA
, which provides that duties or
liabilities implied by law may be negatived by express agreement, is broad
enough to include the liability created by s. 14. Although the parties did not cite
any case where the s. 14 condition had been excluded, and it appears
counterintuitive to posit an agreement in which the seller both promises to
deliver something specific and also excludes any promise that it will do so,
the possibility exists.
[47]
But as is explained in the next section, there
is a high standard explicit, clear, and direct that must be applied to
language that purports to exclude any implied conditions in the
SGA
. The
distinction between the legal nature of the implied condition in s. 14 of the
SGA
relating to the identity of the goods and implied conditions relating to
quality is important to the question of whether that standard was satisfied,
with respect to the identity condition, by the exclusionary clauses that only expressly
referred to the quality of the material.
Explicit Language Must be Used to Exclude Implied
SGA
Conditions
[48]
Section 53 of the
SGA
permits the
parties to contract out of liability implied by law, but only if they do so by
express agreement. Section 53 provides: Where any right, duty or liability
would arise under a contract of sale by implication of law, it may be negatived
or varied by express agreement or by the course of dealing between the parties,
or by usage, if the usage is such as to bind both parties to the contract.
[3]
[49]
Binding case law has explained what is meant by
an express agreement in this context. It must be explicit and clear and direct.
[50]
In
Chabot v. Ford Motor Co. of Canada
(1982),
39 O.R. (2d) 162 (H.C.), Eberle J. held that it is a principle of
interpretation of exclusion clauses that while general language may be
sufficient to exclude what otherwise might be express conditions or warranties,
conditions and warranties implied by sale of goods acts may be excluded only by
explicit language. And, since there is a legal difference between warranties
and conditions, the requirement for explicit language means that an explicit
exclusion of implied warranties does not exclude statutorily implied
conditions: at pp. 174-75.
[51]
Chabot
was
approved by the Supreme Court of Canada in
Hunter Engineering Co. v.
Syncrude Canada Ltd.
, [1989] 1 S.C.R. 426. Dickson C.J. stated, at pp.
449-50: If one wishes to contract out of statutory protections, this must be
done by clear and direct language, particularly where the parties are two
large, commercially sophisticated companies. This seems to be well-established
in the case law, as Eberle J. makes clear in
Chabot
.
[52]
In
Gregorio v. Intrans-Corp.
(1994), 18 O.R.
(3d) 527 (C.A.), at pp. 535-36, this court held:
Although
a vendor may exclude the implied conditions contained in
the
Sale of
Goods Act
, he must use explicit language to do so. The court cited
Chabot
,
and its approval in
Hunter Engineering
, for this principle.
[53]
How explicit, clear, and direct must the language
be? In
Chabot
, Eberle J. noted that a contract expressly stating that [t]here
are no representations, warranties or conditions, express or implied, statutory
or otherwise, other than those herein contained would exclude the
SGA
implied condition of fitness for purpose. But an exclusion clause that stated
there were no warranties, expressed or implied, other than that expressly given
in the transaction, did not exclude the
SGA
implied conditions, as it made
no reference to conditions, implied conditions, or statutory conditions: at pp.
174-75.
[54]
In
Gregorio
, the court found that the
provision of a specific warranty, coupled with a disclaimer of all other
express or implied warranties and any warranty of merchantability or fitness
for purpose, was insufficient to exclude the
SGA
implied conditions of
fitness for purpose and merchantability. The court held that such language
failed the requirement for explicit language, as there is a legal difference
between a warranty (which was explicitly addressed) and a condition (which was
not): at pp. 535-36.
[55]
These well-established rules were followed in
two cases distinguished by the trial judge:
IPEX Inc. v. Lubrizol Advanced
Materials Canada Inc.
, 2012 ONSC 2717, 4 B.L.R. (5th) 148, leave
to appeal to Div. Ct. refused, 2012 ONSC 5382 and
Haliburton Forest
& Wildlife Reserve Ltd. v. Toromont Industries Ltd.
, 2016 ONSC 3767. In
IPEX
, the court found an exclusion clause that stated that a limited
warranty was the only warranty given, and excluded all other warranties,
express or implied, including any implied warranties of fitness for purpose or
merchantability, did not exclude the
SGA
implied conditions: at paras. 26,
40-41. In
Haliburton
, the court held that a clause that excluded
representations and warranties with respect to fitness for purpose, but made no
reference to an exclusion of a condition of fitness for purpose, did not
exclude the
SGA
implied condition: at paras. 74-77.
[56]
The parties did not cite any case where the
SGA
implied conditions were excluded by language that lacked a reference to
conditions and statutory. But even if other language could suffice, it is
clear from the cases that the legal meaning of explicit, clear, and direct language
in this context means at the very least that the language must refer to the
type of legal obligation the
SGA
implies reference to a different
legal obligation will not suffice. This is the principle that explains why excluding
the implication of a warranty or statutory warranty does not exclude an
SGA
implied condition, a different type of legal obligation.
The Trial Judges Approach to the Explicit Language
Requirement Did Not Comport With These Principles
[57]
With respect, the trial judge erred when he
distinguished
IPEX
and
Haliburton
on the basis that the
contracts in those cases were sophisticated. The principles applied in those
cases did not turn on the sophistication of the contract. As
Hunter Engineering
makes plain, the requirement of clear and direct language is one imposed
on sophisticated commercial parties, which Earthco and Pine Valley were.
[58]
In my view, although the trial judge articulated
the need for explicit language, he erred in law in finding that it was met even
though the Contract did not, as he noted, explicitly address or oust the
implied conditions in the
SGA
, or clearly articulate the intentions of
the parties vis-à-vis the implied terms in the
SGA
.
[59]
Given the requirement for explicit, clear, and
direct language, I return to the language of the exculpatory clauses. The
operative words are that if Pine Valley does not test the soil, Earthco will
not be responsible for the quality of the material. The implied condition in
s. 14 addresses responsibility for the identity of the goods, not quality. Just
as an exclusion that speaks to implied warranties does not exclude implied conditions
because of the legal difference between those terms, an exclusion of
responsibility for quality cannot exclude an implied statutory condition imposing
responsibility for the identity of the goods, which covers different legal
territory.
[60]
The trial judge did not explain how the word
quality in the exculpatory clauses could mean identity. Rather, in various
passages of his reasons, the trial judge referred to the exculpatory clauses
without referring to the responsible for the quality wording. He said for
example:
The words are clear and unambiguous and say
that if Pine Valley fails to test and to approve the topsoil before shipping,
Earthco cannot be held responsible for any defects
. He also
said that: [T]he language chosen by the parties
is direct and explicit that
Earthco is meant to be protected from any liability
if
Pine Valley fails to test its soil before shipping. He also described the
exclusionary clauses as stating unequivocally that
Earthco
will be absolved of liability
if Pine Valley fails to test its topsoil order
prior to shipping (emphasis added).
[61]
Given the requirement that to negative liability
under a statutory implied condition, there must be an express agreement that is
effected by explicit, clear, and direct language, the actual language of the
exclusionary clause must remain central to the analysis. Without deciding
whether the type of language the trial judge used to describe the exclusionary
clauses would, if expressed, have been sufficient, the point is that it was not
express or explicit.
[62]
The express language could not be expanded by
recourse to the factual matrix. The interpretation of a written contractual
provision must be grounded in the text read in light of the entire contract. But
there is a legal limit on the interpretive use of the factual matrix. The
factual matrix cannot be used to overwhelm the text, or to change the meaning
of the words used:
Sattva
, at para. 57.
[63]
The factual matrix cannot change responsible
for the quality in the exculpatory clauses to responsible for the identity,
let alone add words to those clauses that were not used (such as under any
condition express or implied, statutory or otherwise).
[64]
Earthco expressed itself in broader terms than the exclusionary
clauses in the email it sent on October 6, 2011, after the Contract was signed.
[4]
Pine Valley argues that the trial judge erred in considering post-Contract
events in order to interpret the Contract since only facts reasonably known to
the parties at the time of contracting that is, on or before October 5, 2011
form part of the factual matrix. I agree with Earthco that the trial judge
did not use the email exchange to interpret the Contract. He noted that there
was no allegation that the Contract was amended by the email exchange. He
viewed the email exchange as merely confirming the parties intentions to
adhere to the terms of the Contract. It follows that the correct interpretation
of the Contract is not influenced, one way or the other, by the subsequent
email exchange. Earthco does not argue that the subsequent email exchange gives
rise to any estoppel, waiver, release, or other independent basis to resist
Pine Valleys claim.
Conclusion
[65]
Within a general framework of freedom of contract, the
SGA
prescribes the expectations of parties to a commercial
sale transaction such as the one between the parties. The requirement of
explicit, clear, and direct language to exclude a statutory condition implied
into a sale agreement by the
SGA
is important
to the legislative scheme. Contractual interpretation must proceed recognizing
that this requirement is superimposed on other interpretive principles.
[66]
This simple rule represents an interesting
policy choice that differs from the [typical] principles of contractual
interpretation, which give primacy to the parties private ordering of their
affairs and primarily seeks to give accurate effect to their intentions without
regard for external policy goals.
As noted above, this
principle reflects a policy choice to give primacy to legislative purposes,
unless the parties have clearly expressed their intention for a different
private ordering of their rights and obligations: Hall, at pp. 178-79
.
[67]
The explicit language requirement reflects the importance that
must be ascribed to the legislatures choice that, in the circumstances the
SGA
prescribes, the condition will be part of the sale
agreement, without any requirement that the purchaser request or negotiate for
its inclusion, or that the seller wanted to be subject to it. Rather, the law
requires the condition be considered included in the parties agreement
unless by their express language, they can be taken to have turned their
minds to the implied condition and explicitly, clearly, and directly agreed to
exclude it.
[68]
The objective determination of the intention of the parties,
gleaned from the language they used in light of the factual matrix, is the goal
of contractual interpretation:
Sattva
, at
para. 57. But that determination must proceed on the basis that, in a sale by
description, the parties are legislatively deemed to have the intention
to include the statutory condition as to identity over and above any other
obligations to each other they may have included or reflected in their
agreement, unless they have explicitly excluded that condition. It is not
enough that their language, in light of the factual matrix, indicates in some
sense that the seller wanted to be responsible only in certain circumstances or
to be subject only to limited obligations. The provision by the seller of a
limited warranty, and disclaimer of all others, which was the case in
Chabot
,
Gregorio
,
IPEX
,
and
Haliburton
could, viewed from one
perspective, indicate an intention that the parties had defined exactly the
limits of the sellers obligations and the buyers entitlements. But viewed from
the required perspective one that privileges the
SGA
purposes the seller in each case provided the limited warranty and the
implied condition as to quality. The exculpatory language did not address the
latter and the objective determination of the parties intentions could not
lead to the conclusion that the implied condition was excluded.
[69]
For the same reasons, having made a sale by
description as the trial judge found, Earthco was statutorily deemed to have
agreed to a condition that the goods it delivered corresponded to that
description unless it expressly excluded that condition. The exclusionary
clauses did not constitute an express agreement to exclude the s. 14
SGA
condition as they failed the test of explicit, clear, and direct language.
DISPOSITION
[70]
I would allow the appeal, set aside the judgment
dismissing Pine Valleys action against Earthco, and substitute a judgment that
Earthco pay Pine Valley damages in the sum assessed by the trial judge,
$350,386.23. If the parties are unable to agree on matters of pre-judgment
interest and costs of the action, which the trial judge fixed at $52,500
inclusive of disbursements and taxes, they may make written submissions, not
exceeding five pages each. Pine Valleys submissions shall be delivered within
ten days of the release of these reasons and Earthcos within ten days of the
receipt of Pine Valleys.
[71]
Pine Valley is entitled to costs of the appeal,
fixed in the agreed upon amount of $12,500, inclusive of disbursements and
applicable taxes.
Released: March 31, 2022 G.R.S.
B.
Zarnett J.A.
I
agree. G.R. Strathy C.J.O.
I
agree. Janet Simmons J.A.
[1]
There was ultimately no issue with the organic content of
the topsoil.
[2]
This email was sent to Furfari Paving, who later advised
Earthco that Pine Valley was accepting the topsoil and the conditions stated in
the email.
[3]
In this case, there is no issue of course of dealing or usage.
[4]
See para. 19 above.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Staples, 2022 ONCA 266
DATE: 20220401
DOCKET: C63472
Fairburn A.C.J.O., Rouleau and
Huscroft JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Mark Staples
Appellant
Michael Lacy and Carol Cahill, for the
appellant
Alex Alvaro, for the respondent
Heard: October 27, 2021 by video conference
On appeal from the convictions entered
on November 28, 2014 by Justice Harrison S. Arrell of the Superior Court of
Justice, sitting with a jury.
Huscroft J.A.:
OVERVIEW
[1]
The appellants father, Bill Staples, and sister,
Rhonda Borelli, went missing from Hamilton in January 1998. Five months later,
their badly decomposed bodies were found in the back of Bills truck at a Park
N Fly at Pearson Airport. Bill had extensive skull fractures and had been
beaten to death. The cause of Rhondas death was undetermined, but it was
theorized that her throat had been cut. The appellant inherited his fathers
estate, valued at over $2.1 million.
[2]
The appellant was not arrested and charged with
the murders until 2010. He was convicted of two counts of first-degree murder
following a two-month jury trial in 2014.
[3]
The appellant argues that the trial judge erred
in numerous ways and that his trial was unfair as a result. The trial judge is
said to have erred by:
1.
failing to caution or correct the jury on
demeanour evidence relied on by the Crown;
2.
leaving post-offence conduct with the jury and
failing to properly instruct the jury on the use to be made of such evidence;
3.
failing to provide a limiting instruction on
discreditable conduct;
4.
failing to caution the jury about too readily
inferring guilt from circumstantial evidence;
5.
failing to prevent the Crown from inviting the
jury to speculate and shifting the onus of proof onto the appellant;
6.
failing to instruct the jury to disregard
impermissible opinion evidence; and
7.
refusing to permit the appellant to lead
evidence of another unsolved homicide.
[4]
Finally, the appellant argues that the verdict
was unreasonable. He seeks an acquittal or, in the alternative, a new trial.
[5]
I am not persuaded by any of these arguments,
nor has the appellant established that the jurys verdict was unreasonable. I
would dismiss the appeal for the reasons that follow.
BACKGROUND
[6]
Bill Staples and his wife adopted the appellant
and Rhonda Borelli as children. Bill worked with the appellant in farming and
supported him financially throughout his life, including gifting him land on
which to build a home.
[7]
The appellant opened Mulligans, a
bar/restaurant and golf business, in 1996. Bill supported him with gifts of
money and loans but refused to invest in the business. By 1997, the appellants
financial difficulties had become evident and Bills close relationship with
the appellant had deteriorated. The appellant continued to seek support from
him, but Bill told many people he was no longer going to give the appellant any
money. Shortly before Bills death, the appellant stole $20,000 from him by
forging a cheque on his account.
[8]
The Crowns theory was that the appellant killed
Bill and his sister Rhonda on January 16, 1998 in order to inherit his fathers
estate and save his Mulligans business. Although he ultimately received
approximately $1.4 million from the estate, the appellant did not receive the
money for several months following Bills death and was not able to save his
business in the meantime. Mulligans had been operating pursuant to a credit
proposal, but the business failed and the proposal amount was never paid off.
[9]
In support of its theory, the Crown led a large
volume of evidence that I summarize here.
The appellants situation
[10]
The appellant owned a Camaro and a red pickup
truck with a gas tank on the back, in addition to a John Deere tractor he used
to plow snow.
[11]
The appellant owed over $600,000 dollars to
secured and unsecured creditors when Bill and Rhonda disappeared. The money was
owed both personally and through the Mulligans business. Several witnesses
testified that they invested in Mulligans and received nothing in return.
[12]
Bills relationship with the appellant had become
strained, and later in 1997 they were not on speaking terms. According to the
appellants ex-wife, Cheryl Echlin, the appellant and Rhonda did not talk
and he avoided contact with her.
[13]
Bill told many people that he would no longer
give money to the appellant. Nevertheless, there was also evidence that Bill
was proud of the appellants business venture and that he continued to lend
money to him, including a loan of $15,000 in December 1997.
[14]
In January 1998, the appellant forged Bills name
on a cheque for $20,000 made out to Mulligans Golf Centre. There is no
evidence that Bill knew of the fraud prior to his disappearance. $20,510.58 was
seized from the appellants account by the sheriff on January 16, 1998, leaving
nothing in the account.
Bill and Rhondas final movements
[15]
David Staples, Bills nephew, last saw Bill on
January 12, 1998. Bill told him that he did not want the appellant to use his
new tractor and had put chains through the front wheels.
[16]
Bill made a same-day medical appointment on
January 15, 1998 to address what he said was an emergency. Just before the
appointment, the doctors assistant received a call from a woman stating that Bill
would be late. He never attended the appointment.
[17]
Cheryl Echlin saw Bill on January 16, 1998 the
last day he was seen alive. Bill told her that he had been in Toronto and was
going back the next day.
[18]
Rhonda was last seen alive on January 16, 1998
in Binbrook at around 12:00 p.m. by Gerald Patterson. He saw her arguing with a
man who was in a red pickup truck that had a gas tank on the back. She
eventually got into the truck and drove away. Patterson knew the appellant but
was not able to say that the man he saw was the appellant.
[19]
Lorie Bunker attended the Staples farm on
January 16, 1998 at approximately 2:30 p.m. to deliver Avon products to Rhonda.
No one answered the door. She returned two days later, on Sunday at 4:00 p.m.,
and again got no answer at the door.
The appellants movements on January 16,
1998
[20]
Ron Bender saw the appellant in Hamilton in a
red pickup truck at about 12:00 p.m. on January 16.
[21]
Carl Jennings, whose band played at Mulligans
on January 16, testified that he did not see the appellant at Mulligans that
night.
[22]
Steven van Zeben said the appellant was not at
Mulligans on January 16 when he arrived at 10:00 p.m., but that the appellant
arrived 15 or 20 minutes later. van Zeben left Mulligans after 30 to 45
minutes. He saw the appellant leave the Mulligans parking lot in his truck and
the appellant passed him, travelling toward Bills farm.
[23]
Angela Jessop saw the appellant at approximately
5:45 p.m. at Mulligans and said that he left by 7:00 p.m. She did not see the
appellant again until about 11:00 p.m. He had changed his clothing. The
appellant bought her a drink after midnight and she left Mulligans at about
2:00 a.m.
[24]
Steve Martin, who lived across the street from
the Staples farm, saw a vehicle drive up the driveway of the farm at 11:30 p.m.
or later on January 16. Approximately 20 minutes later, he saw two vehicles
leave the farm but could not identify them.
[25]
van Zeben and John Potter returned to Mulligans
at about 1:30 a.m. and saw the appellant there. They stayed until the appellant
locked up at 3:30 a.m.
Post-January 16, 1998 events
[26]
David Bunker drove his ATV on the Staples farm
on January 17, 1998. He observed that snowplowing had been done and saw the
appellants John Deere tractor with a snowplow. He did not see Bills white
pickup truck but later that day saw the appellants Camaro in the driveway. In
his 1998 statements to police, the appellant said he had plowed only the
driveway, but in 2010 he acknowledged plowing extensively between the buildings
at the farm.
[27]
On January 19, the appellants uncles Don and
Murray Staples stopped at Mulligans on their way to visit Bills farm. The
appellant told them that Bill and Rhonda had said they were going away for a
few days, or that they had gone on a little holiday. The appellant told them there
was no use in going to the farm because he had already been there and was returning
that afternoon to check.
[28]
Sandra McLean saw thick black smoke coming from
the burner behind the shop on Bills farm on January 19 and saw the appellants
red pickup at the farm. The police found buckles, zippers, round disks that
could have been buttons, and several pieces of torn cloth, along with eight
coins in the ashes beneath the incinerator.
[29]
Earl Barlow went to the farm on January 19 and
found that the television was on. A protein drink was on the table. A wet pair
of jeans was in the washing machine. Earl called the appellant, who said that
the jeans were his and that he had left the light and television on.
[30]
Earl Barlow returned to the farm on January 20
with others. He saw that Bills pickup truck was gone. It had been removed from
a concrete pad in the drive shed by driving over a 10 to 12-inch curb, because it
was blocked by a tractor that had a dead battery.
[31]
That same day, Murray Staples saw the appellant
crying, but the appellant did not respond to questions asking him what was
wrong.
[32]
David Staples visited the farm on January 20 and
saw the appellant in drive shed #1 cleaning up, sweeping, and scattering straw.
A large bloodstain that had penetrated the concrete was later found there.
Subsequent DNA testing established that the blood was Rhondas. David also visited
the farm with Murray Staples on January 21. On one of his visits, David saw the
appellant sobbing. He said that the locks on Bills tool chest had been cut
along with the locks on the tractor. Officers Shulist and Allison did not
notice locks having been cut when they visited the farm.
[33]
On January 23, the appellant expressed the
concern that too many people were going through Bills house and that things
were being done without his involvement.
[34]
The appellant did not testify, but two
videotaped statements and one written statement he made to the police were entered
into evidence.
DISCUSSION
[35]
Although the appellant raised numerous alleged
errors in his factum, his oral submissions focused primarily on the admission
and use of post-offence conduct demeanour evidence and the trial judges alleged
failure to give limiting instructions in key areas giving rise to moral and reasoning
prejudice.
The trial judge did not err in leaving post-offence
demeanour evidence with the jury
1.
Evidence that the appellant was crying
[36]
The appellant argues that evidence that he was
seen crying had no probative value and significant prejudicial effect and
should not have been admitted. Several witnesses testified they saw the
appellant crying on January 20, 1998, when Bill and Rhonda had been missing for
only a few days. The appellants ex-wife testified that he was crying and
sweating and that he smelled quite badly of perspiration, something that she
said never occurred. The appellant submits that the trial judge erred in
relying on
R. v. Sodhi
(2003), 66 O.R. (3d) 641 (C.A.), because
the post-offence conduct in that case the accuseds suicide attempt was more
extreme than the conduct in this case.
[37]
The respondent submits that evidence of the
appellant crying had probative value as it was unique and unusual. The
appellant, who was on all accounts not an emotional person, was crying even
though his father and sister had not been missing long enough to raise the
spectre of their deaths. I agree.
[38]
The starting point is that although its
admission may be somewhat rare, there is no bar to the admission of demeanour
evidence. It may be admitted where a witness has a basis for believing that an
accuseds demeanour was unusual:
R. v. Trotta
(2004), 190 C.C.C. (3d) 199 (Ont. C.A.), revd on
other grounds, 2007 SCC 49, [2007] 3 S.C.R. 453;
R. v. Short
, 2018 ONCA 1, 358 C.C.C. (3d) 337, at para. 54
.
[39]
In this case, the key witness concerning the
appellants crying was the appellants ex-wife, who was intimately familiar
with him and had a strong basis for believing that his demeanour was unusual. It
had probative value in light of the evidence that the appellant had told his
uncles Murray and Don Staples on Monday the day before his crying was
observed that he did not know where Bill and Rhonda were, but they had said
they were going away for a few days. After all, if his father and sister had
taken a short trip, why would their absence provoke such a reaction in the
appellant?
[40]
The evidence of the appellants highly unusual
sweating and smell also gained probative value when considered against his statement
to his uncles. Again, if his father and sister had simply gone away for a few
days, why did his ex-wife observe him to be in physical distress?
[41]
Perhaps the best indication of the probative
value of this evidence lay in the silence of defence counsel at trial. No objection
was taken to the admission of the evidence that appeal counsel now says was
prejudicial. The silence of defence counsel present at trial and able to measure
its probative value speaks volumes.
[42]
I am satisfied that the evidence was properly
admitted. It was open to the trial judge to find that this post-offence
demeanour evidence had probative value in the context of the broader
evidentiary picture and, in particular, the appellants statement to his uncles
that Bill and Rhonda had gone away.
[43]
The second aspect of this ground of appeal concerns
the Crowns closing. The appellant argues that Crown counsel improperly invited
the jury to infer guilt from the appellants demeanour in the days after Bill
and Rhonda went missing and from his videotaped statement to the police.
[44]
Concerning the appellants crying, the Crown
stated as follows:
On Tuesday, January 20
th
, 1998, the
police are contacted and attend at Staples Farms for the first time. Mark
Staples is noted by both officers to be crying and also by his family members.
Most significantly, his wife Cheryl Echlin notes that he is crying, sweating
and producing body odour that she has never smelled from him before. This is
the woman he married and lived with for 12 years. She had only seen him cry
that way twice before; when his mother died and when his dog died. He was under
stress and strain from his crime, and this crying is not the crying associated
with the worry about his father and sisters whereabouts. He told many people,
including Don Staples and Murray Staples when he saw them on January 19
th
at Mulligans, that his father and sister may have gone away for a few days. He
also told Special Constable Linda Walsh, when he called the police at 11:30 p.m.
that night, that they may have gone away for a few days, which is why she
didnt file a missing persons report. If you believe that your father and
sister may have gone away for a few days, why are you crying, sweating and
producing unusually heavy body odour? I suggest to you that he was crying too
early in the process for it to be tears of worry. No need to cry if theyre
gone for a few days. They had been missing three and-a-half days at that point.
I suggest these are tears of guilt, not tears of worry.
[45]
The trial judge instructed the jury as follows:
When considering what inference, if any, to
draw from evidence of after-the-fact conduct, keep in mind that people
sometimes cry, burn items, do a wash etc. for entirely innocent reasons. Even
if Mark Staples was motivated by a feeling of guilt, that feeling might be
attributable to something other than in the offence with which he is now
charged.
[46]
The trial judges instruction specifically referenced
the appellants crying and instructed caution in drawing inferences of guilt
from post-offence conduct. Significantly, the instruction made clear that even
assuming feelings of guilt existed in the appellant, they may have been
motivated by something other than guilt over having committed the offence with
which he was charged. In my view, this instruction was adequate to address any
concerns about the evidence of appellants crying and sweating.
2.
The videotaped statement
[47]
There are two objections concerning the
appellants videotaped statement to the police. First, the appellant argues
that Crown counsel improperly suggested to the jury that the appellant would
have vigorously den[ied] responsibility if he were in fact innocent. The
impugned passage from the Crown closing follows:
Much of the statement to Detective Rick Arnold
is the detective presenting the evidence collected during the course of the
police investigation and asking Mark Staples to comment. Sometimes he does,
sometimes he doesnt. I suggest there are many moments when you would expect
him to vigorously deny responsibility and instead he says, mm-hmm, or yeah.
[48]
Although this statement looks problematic when read
in isolation, it must be considered in light of its context: a 140-page
statement in which the appellant repeatedly answered yeah and mm-hmm both
to highly innocuous and less innocuous matters. It was open to the jury to
consider the whole statement, and in that context that Crown counsels lead-in
to the impugned statement makes good sense:
The last statement he gives to the police is
after he is arrested in 2010. He speaks with Detective Rick Arnold on video at
the police station.
The defence will say he denied committing the murders
under close questioning
, just like he had denied responsibility in his
earlier statements to the police. They will say he has consistently denied
responsibility. I suggest the lies he has told in his statements should lead
you to disbelieve him and lead you to disbelieve him when he denies
responsibility for the murders. [Emphasis added.]
[49]
Crown counsel then went on to review numerous
lies and inconsistencies in the appellants statement.
[50]
This is not a case in which Crown counsel asked
the jury to infer guilt from silence. Nor is it a case in which Crown counsel asked
the jury to make assumptions based upon a stereotype or speculation. The jury
had a lengthy videotaped interview to consider, in which the appellants words
and conduct were captured. Numerous yeah and mm-hmm responses by the
appellant during the course of that interview informed the jurys overall view
of how seriously he was taking the situation and provided a context against
which his denials were to be assessed denials that, as the Crown warned the
jury, the appellant would be relying on in his closing address.
[51]
I see nothing problematic about Crown counsels statement.
The problematic part of the Crowns closing came later, near the end of his
remarks.
[52]
The appellant argues that Crown counsel crossed
the line when he told the jury that they could draw an inference of guilt from
the appellants demeanour when confronted with photographs of his dead father
and sister. Crown counsel stated:
You all paid attention to that statement and
followed along in the transcripts you were provided to assist you. However,
when Detective Arnold showed Mark Staples the photographs of his father and
sisters decomposing bodies in the back of the pickup truck and later in a bag
at autopsy, you all looked up from your transcripts to see Mark Staples
reactions. I suggest you could not believe his reaction to the photographs.
He did not look away. He did not say take them away
.
He made no comment about Detective Arnold showing him those photographs.
Instead, he was cold and clinical, looking coolly at the disturbing remains of
his adoptive father and sister.
I suggest this was not
the reaction of a man who had nothing to do with this crime, but rather the
reaction of a cold, calculating killer.
[Emphasis added.]
[53]
The appellant argues Crown counsels suggestion
that not looking away was the reaction of a cold, calculating killer was improper
and should not have been made. The appellants reaction or non-reaction to the
photographs was post-offence demeanour evidence that had no probative value and
was inflammatory, and it was prejudicial for the Crown to urge the jury to draw
an inference of guilt from the evidence.
[54]
I agree that this comment should not have been
made. It was improper to say that the appellants reaction to the photographs
looking coolly at the disturbing remains of the deceased rather than looking
away was the reaction of a cold, calculating killer. Implicitly, it suggested
that there is a normal way to look at the remains of your deceased family
members, and this is clearly not so.
[55]
This sort of suggestion is potentially dangerous
because perceptions of guilt based on demeanour depend on what Rosenberg J.A.
described as highly subjective impressions:
R. v. Levert
(2001), 159
C.C.C. (3d) 71 (Ont. C.A.), at para. 27. As Doherty J.A. explained in
Trotta
,
at para. 41, the evidence must be sufficiently unambiguous and demonstrative
of a relevant state of mind so as to overcome concerns that a trier of fact may
too easily equate what is perceived to be an unusual reaction with a guilty
mind.
[56]
The evidence here is not unambiguous. Does a
guilty person look away from the photographs or stare at them? No inference
could be drawn from the appellants reaction to the photographs.
[57]
Despite the impropriety of Crown counsels
remarks, I am not satisfied that they had the effect of rendering the trial
unfair.
[58]
I begin by noting that the appellants reaction
or non-reaction to the photographs was apparent when viewing the videotaped
statement that was properly admitted in evidence. This is not a case in which
evidence was placed before the jury that should not have been. On the contrary,
the appellant wanted the videotaped statement admitted at trial. He chose not
to testify, as was his right, so the statement acted as his voice at trial
his denial of the crimes.
[59]
The impropriety arose from the suggestion that
the jury could infer guilt from viewing the appellants failure to react as an
innocent person would. To assess whether the appellant was prejudiced by this
suggestion, the circumstances of the trial as a whole must be considered:
R.
v. McGregor
, 2019 ONCA 307, 145 O.R. (3d) 641, at para. 184.
[60]
The appellant did not object to the now-impugned
passage following the Crowns closing. Instead, defence counsel proceeded to
close to the jury. His closing included repeated references to the appellants
demeanour following the disappearance of his father and sister, which he sought
to characterize favourably as consistent with the demeanour of an innocent
person.
[61]
For example, defence counsel relied on the
witnesses who had described the appellants normal demeanour at Mulligans on
the night of January 16 and the next morning during a photoshoot, the timeframe
in which the Crown theorized the appellant had murdered his father and sister.
He asked: does it make any sense that he would be crying on the Tuesday when
it is clear that there was something wrong, and yet be in a good mood and so
absolutely normal on Friday, shortly after having killed his father and sister
just hours earlier? Defence counsel also pointed out what he described as the
contradictory nature of the Crowns demeanour submissions: on one hand, the
Crown argued that the appellant was sobbing out of guilt; on the other hand,
the Crown described the appellant as having the reactions of a cold,
calculating killer.
[62]
Defence counsel addressed the photographs issue
directly, pointing out the problematic nature of drawing inferences from the
appellants reaction or non-reaction:
[T]his is clearly one of those situations
where youre damned if you do, and youre damned if you dont. I can guarantee
you that if Mark Staples turned away or refused to look at those pictures, [Crown
counsel] would stand right here, stare you right in the eye, and tell you that
his refusal was clearly the sign of a guilty man.
[63]
This submission demonstrates why the trial
Crowns suggestion was improper. This was a situation in which there was no one
right way to react, and this defence closing went some distance to educating
the jury on the nature of this problem.
[64]
Only after the defence closed to the jury - having
answered the Crowns impugned suggestion and relied on all kinds of demeanour
evidence to argue for innocence - did defence counsel raise a concern about the
Crowns closing. Even still, that concern was put softly: rather than ask for
an instruction that the jury disregard what the Crown had said, defence counsel
requested that the trial judge consider [giving] an instruction to the jury
that they should be cautious about demeanour evidence.
[65]
In response to the trial judges question about
what evidence the defence was referring to, defence counsel replied:
particularly [the Crown] going to the jury in his closing right at the end
with look at the way Mark Staples looked at those photographs without turning
away. Thats what a guilty man would do, right? Defence counsel went on to
clarify that this was another example of post-offence-conduct.
[66]
The trial judge noted that defence counsel had
also addressed demeanour in his closing, and specifically addressed the appellants
reaction to being shown the photographs. He considered that the usual caution
to the jury on demeanour evidence would be adequate, and those instructions
were given.
[67]
Although the defence was concerned with what
Crown counsel had said, it cannot be said that this concern was as grave as is
now suggested on appeal. Defence counsel was in the best position to determine,
in the context of the trial as a whole including both closing addresses the
extent to which prejudice arose from Crown counsels comment. The fact that defence
counsel did not consider it necessary to have the trial judge instruct the jury
to disregard that comment is important in this context.
[68]
In addition to the caution on demeanour
evidence, the trial judge instructed the jury that the things said by lawyers
were not evidence. With respect to drawing inferences from post-offence conduct,
the trial judge cautioned the jury that things might be done for entirely
innocent reasons.
[69]
In all of these circumstances, I am satisfied
that Crown counsels comment did not render the trial unfair.
The trial judge did not err in leaving post-offence
conduct with the jury
[70]
The appellant submits that the trial judge erred
in admitting several pieces of post-offence conduct evidence in addition to the
demeanour evidence addressed above. He focused on the admission of the
following evidence:
1.
The appellants statement to Mulligans employee Michael Keating
that he should not talk to the police and should get a lawyer;
2.
The appellants statement to his uncles on
January 19, dissuading them from going to the farm;
3.
The appellants wet jeans in the washing machine
when Earl Barlow went to the farm on Monday evening, January 19; and
4.
The transport of the bodies in Bills truck to
the Park N Fly.
[71]
I see no error. In each case, the post-offence
conduct reasonably supported inferences of guilt.
[72]
First, the appellant visited the home of Michael
Keating, whom he owed several thousand dollars, late on the night of February
28, 1998. Keating testified that the appellant told him: if the police come to
see you again, dont talk to them and maybe get a lawyer. This was not
particularly strong evidence, but it did permit the inference that the
appellant was frustrating or at least choosing not to assist the investigation
at a time when Bill and Rhonda were presumed missing. Keating was also a
witness who could support the evidence of the appellants financial distress,
which was relevant to the Crowns motive theory.
[73]
Second, the evidence that the appellant
dissuaded his uncles from attending the farm on Monday, January 19 supported
the inference that he wanted to keep them away while he conducted a cleanup.
This was supported by the evidence of thick black smoke coming from the burner
outside the shop that day and the remnants of clothing that were found, along
with evidence that the appellant had been sweeping straw in the area where
Rhondas blood was found.
[74]
Third, the presence of the appellants wet jeans
in the washing machine supported the inference that the appellant had been
cleaning up the crime scene on January 19 and had washed clothing connected to
the murders or cleanup.
[75]
Fourth, the appellant argues that the transport of
the bodies in Bills truck is not really post-offence evidence. It is, however,
circumstantial evidence pointing to the identity of the killer, for it
supported the inferences that Bill and Rhonda were killed at the farm and that
the killer was not a stranger. As the Crown asked, if a stranger were the
killer, why would that person risk moving the bodies elsewhere? The appellant
had access to the farm and truck, and the truck had been moved over a curb in a
manner that suggested it had not been moved by Bill. Moreover, if he had left
on a trip it was far more likely that Bill would have taken his car than his
truck.
[76]
In summary, the trial judge did not err concerning
the admission of the post-offence conduct evidence.
The post-offence conduct instructions and the Crowns
closing
[77]
The trial judge cautioned the jury that the appellants
post-offence conduct evidence had only an indirect bearing on his guilt and
made clear there may be other explanations for his post-offence conduct. He properly
instructed the jury not to infer guilt from the post-offence conduct evidence unless
they were satisfied, in the context of the evidence as a whole, that it was
consistent with his guilt and inconsistent with any other reasonable
conclusion. The trial judge reiterated this point, stating that the jury could
use the post-offence conduct to support an inference of guilt only if they rejected
any other explanation for the conduct. Nothing more was required.
[78]
During the pre-charge conference, the trial
judge ruled that some things could not be regarded as post-offence conduct from
which guilt could be inferred, including evidence that the appellant had plowed
behind the farm buildings to cover up Bills murder, which the Crown theorized
happened outdoors. The trial judge ruled that this was too speculative and not
probative. He also ruled that garbage bags in the dumpster were not admissible,
along with the key to Bills safety deposit box, a copy of a loan agreement
with Bill, and missing person posters the appellant threw away.
[79]
The following exchange took place:
The Court: I dont know how I can prevent you
from commenting on it, either one of you, however, my ruling is you cannot
comment on it on, on the basis of its after-the-fact conduct.
[Crown counsel]: Right.
The Court: And, and you cannot comment on it
on the fact that consciousness of guilt through after-the-fact conduct flows
from that evidence.
[Crown counsel]: I think what I will do then,
Your Honour, is eliminate my references to the extra inference that should be
drawn by the jury from that evidence, but I will canvas it as things they heard
about what Mr. Staples did after the murder. I just wont go the extra step of
suggesting that it shows that he was conscious of his guilt.
[Defence counsel]: I think that may be a
slippery slope and it still may open up [Crown counsel] to, to sort of comment
in your charge about, about that evidence depending on how he does it, Your
Honour.
[The Court]: Well, I believe [Crown counsel]
is careful and theres no reference that this is an inference of guilt or
after-the-fact conduct. Its permissible. Its evidence the jurys heard and he
can comment on any evidence the jurys heard, but hell have to be careful on
the inference he tells them to draw from it.
[80]
The appellant argues that Crown counsel wrongly
invited the jury to draw inferences of guilt from this evidence despite the
trial judges ruling.
[81]
The line between using post-offence conduct
evidence for proper and improper purposes is a fine one, and read in isolation
some of the Crowns closing remarks came close to that line. However, read as a
whole, the Crowns closing remarks would have been understood as an attack on
the credibility of the appellants exculpatory statements. The Crown was
entitled to note that evidence the appellant had plowed between the buildings
contradicted his statements to the police that he had plowed only the driveway,
and evidence that the key to Bills safety deposit box was found in the garbage
was inconsistent with the appellants statement that he had not disposed of it.
The evidence also demonstrated that the appellant had control of the farm during
the relevant time.
[82]
The trial judge properly instructed the jury
concerning the use of the appellants statements in accordance with
R. v. W.(D.)
, [1991] 1 S.C.R. 742.
Specifically, he instructed them that if they accepted the
appellants denials of involvement in the deaths or disappearances, they must
find him not guilty. Even if they did not accept his denials, the appellant was
entitled to an acquittal if his statements gave rise to a reasonable doubt.
Finally, the trial judge instructed the jury that even if they rejected his
statements, they had to go on to determine if his guilt had been proven beyond
a reasonable doubt on the basis of the evidence they accepted. For good
measure, the trial judge repeated these instructions later in his charge.
[83]
This ground of appeal must be rejected.
The
OConnor
ruling on fabrication
[84]
At the end of the trial, the Crown sought a
ruling that it be permitted to urge the jury to infer that numerous
inconsistencies and lies in the appellants statements amounted to fabrication
and consciousness of guilt, and requested that the jury be instructed in
accordance with
R. v. OConnor
(2002), 62 O.R. (3d) 263 (C.A.). The
trial judge found that there was no independent evidence establishing
fabrication and so denied the Crown permission to make the fabrication
argument.
[85]
The appellant argues that Crown counsels
closing breached the trial judges ruling. This argument was not set out as a
ground of appeal in the notice of appeal, nor was it made in the appellants
factum, but it is similar to the appellants argument on the Crowns use of
post-offence conduct so I address it here briefly.
[86]
The following exchange took place concerning the
use that could be made of the evidence that had already been admitted:
The Court: And by dismissing it [the Crowns
fabrication application], I mean, it certainly doesnt mean that youre not at
liberty to go to the jury as all the inconsistencies and the obvious lies and
all of the
[Crown counsel]: Ill be, Ill just be careful
with my language, Your Honour.
[Crown counsel]:
I understand I cant use the
word fabrication or concoction.
The Court: Itll be
[Crown Counsel]: Well, I can use the word
lie.
The Court: Or consciousness of guilt is
another one.
[87]
Crown counsel was entitled to challenge the
credibility of the appellants statements by pointing out the numerous inconsistencies
or lies in those statements and the conflict with the other evidence, and he
did so vigorously. I do not read the Crowns closing as offending the
OConnor
ruling. The Crown did not invite the jury to use disbelief of the
appellants statement to find deliberate concoction, from which an inference of
guilt could be taken:
R. v. Iqbal
, 2021 ONCA 416, at para. 54. Put
another way, the Crown did not suggest to the jury that rejection of the
appellants statement was capable of supporting an inference of guilt.
[88]
The failure of defence counsel to object to the
Crown closing supports the conclusion that Crown counsel did not cross the
OConnor
line. Instead of objecting, defence counsel addressed the appellants statements
at length in his submissions. He emphasized that the appellant had willingly assisted
the police throughout their investigation and characterized the inconsistencies
in his statements as relatively minor and of no real consequence. The
appellant was admittedly terrible with times and dates, he said. If he were
guilty of the murders, would he not have worked out a much more consistent
timeline regarding his whereabouts at all material times?
[89]
As well, and as noted above, the trial judge
properly instructed the jury concerning the use of the appellants statements
in accordance with
W.D
.
It is not clear any further instruction
would have benefited the appellant, given that it would have served to
highlight the many inconsistencies the jury would be told they could not use to
find guilt. In any event, the trial judge fairly put the defence argument to
the jury: inconsistencies in the appellants statements came during a time in
which the appellant was under great stress, and they were inconsequential in
light of the evidence as a whole. Nothing more was required.
A discreditable conduct instruction was not required
[90]
The appellant argues that the Crown used the extensive
evidence of the appellants financial difficulties to characterize him as a
person of bad character greedy, selfish, irresponsible, and a self-serving,
cold and heartless person who thought nothing of taking advantage of people he
knew rather than to establish motive, and as a result the trial judge should
have given a discreditable conduct instruction.
[91]
Defence counsel objected to the Crowns
introduction of evidence concerning the many failed efforts of creditors to
collect debts owed by the appellant after January 16, 1998, the date on which the
Crown theorized Bill and Rhonda were killed. Defence counsel conceded that the
evidence up to that date was relevant to establishing the appellants financial
state and motive but argued that beyond this date it was simply evidence of the
appellants bad character: he was someone who did not repay debts. The trial
judge rejected this argument, describing the appellants financial stress as
terribly relevant at the time of the murders, and stated that the only way to
show financial distress was by showing that it was not relieved thereafter.
However, he also indicated that it was not necessary to dwell on creditors
efforts to try to collect on the appellants debts.
[92]
The appellant does not dispute the admissibility
of the financial evidence but argues that Crown counsel went further than the trial
judge authorized, and in doing so the evidence was used as bad character
evidence. The appellant submits that a discreditable conduct instruction was
required.
[93]
I do not agree.
[94]
Where evidence is admissible to establish
motive, a discreditable conduct instruction on that same evidence will
sometimes be unnecessary. As Doherty J.A. explained in
R. v. Merz
(1999),
46 O.R. (3d) 161 (C.A.), at para. 59, leave to appeal refused, [2000] S.C.C.A.
No. 240, an inference of motive may be more direct and powerful than the
possibility of propensity reasoning, and a discreditable conduct instruction
would only confuse the jury. See also
R. v. Krugel
(2000), 143 C.C.C.
(3d) 367 (Ont. C.A.), at para. 90; and
R. v. Thomas
, 2018 ONCA 694, at
para. 35.
[95]
The sole issue for the jury in this case was the
identity of the killer. Extensive evidence of the appellants financial
misconduct and financial woes was tendered to establish the appellants motive
for wanting to kill his father. Although the trial judge could have told the
jury that they must not use this evidence to conclude that the appellant was
the
type
of person who would commit murder, and was thus likely to
have committed the murders, the fact that he did not do so carries little
weight. Indeed, any such instruction might have served to highlight the
strength of the evidence of motive, which was already very strong.
[96]
In my view, there was no risk that the financial
evidence would be misused by the jury. Even if the jury thought that the
appellant was greedy, selfish, and so on, they would not have thought that he
was a murderer that he would have brutally murdered his father and sister simply
because he had those character traits. Again, the absence of an objection at
trial belies the suggestion of prejudice raised on appeal.
The circumstantial evidence charge was adequate
[97]
The appellant argues that the trial judge did
not provide the jury with an adequate circumstantial evidence instruction. In
effect, the appellant says the trial judge instructed the jury to treat the
post-offence conduct differently than the other circumstantial evidence. The
jury should have been instructed in accordance with the requirements set out subsequently
by the Supreme Court in
R. v. Villaroman
, 2016 SCC 33, [2016] 1 S.C.R.
1000.
[98]
The trial judge instructed the jury on the
distinction between direct and circumstantial evidence and the process of
drawing inferences from circumstantial evidence. Later, in the context of
instructing the jury on post-offence-conduct evidence, the trial judge
instructed the jury as follows:
After-the-fact conduct is simply a type of
circumstantial evidence.
As with all circumstantial
evidence, you must consider what inference, if any, is proper to draw from this
evidence.
You may use this evidence, along with all the other evidence
in the case, in deciding whether the Crown has proved Mark Staples guilt
beyond a reasonable doubt. However, you must not infer Mark Staples guilt from
this evidence unless, when you consider it along with all the other evidence,
you are satisfied that it is consistent with his guilt and is inconsistent with
any other reasonable conclusion. [Emphasis added.]
[99]
Although this instruction arises in the context
of the appellants post-offence conduct, it is not rendered inadequate on that
account. What matters is whether the jury received the instruction, not the
sequence in which the instruction was delivered. The trial judge made clear
that the instruction applied to all circumstantial evidence. In the key
passage, the trial judge told the jury that in relation to all circumstantial
evidence, guilt was
not
to be inferred unless the
evidence was consistent with guilt
and inconsistent with
any other reasonable conclusion
. These instructions track the approach
set out by the Supreme Court in
Villaroman
.
As Cromwell J.
stated at para. 30:
[I]n a case in which proof of one or more
elements of the offence depends exclusively or largely on circumstantial
evidence, it will generally be helpful to the jury to be cautioned about too
readily drawing inferences of guilt. No particular language is required.
Telling the jury that an inference of guilt drawn from circumstantial evidence
should be the only reasonable inference that such evidence permits will often
be a succinct and accurate way of helping the jury to guard against the risk of
filling in the blanks by too quickly overlooking reasonable alternative
inferences.
[100]
If the appellant were right if the jury would not have understood
how to properly approach circumstantial evidence one would have expected an
objection on a matter so fundamental to this case. Again, the absence of the
objection demonstrates defence counsels view that the instruction as given,
albeit in the context of the post-offence conduct instruction, was sufficient.
The trial judge did not err by failing to prevent the
Crown from inviting the jury to speculate and shifting the onus of proof
[101]
The appellant argues that deficiencies in the charge concerning
circumstantial evidence were compounded by Crown counsels invitation to the
jury to speculate on several matters. The appellant submits that the Crown
invited speculation by suggesting:
·
the appellant likely had help in moving the
bodies;
·
the appellant had gone to the bank on Friday to
withdraw funds;
·
Bills hairpiece would likely have limited the
blood splatter;
·
Bill was likely killed outside at the farm and
evidence had melted away into the gravel and dirt; and
·
the degree of force used to kill Bill suggested
an attack fueled by anger rather than murder by a stranger.
[102]
The appellant argues that by inviting speculation in a
circumstantial case, the Crown shifted the burden onto the appellant to prove
the opposite of what the Crown suggested the jury should conclude. Crown counsel
also shifted the burden by suggesting that there was no evidence of anyone else
with a motive to kill Bill and Rhonda; that rarely are people murdered for no
reason; and by telling the jury there was no other explanation for Rhondas
blood being found on the floor in drive shed #1. The trial judge erred, the
appellant submits, in not reiterating that the appellant did not have to prove
anything.
[103]
I would reject this submission.
[104]
The appellants argument overlooks the distinction between
speculation and inferences. Admittedly, the distinction can be difficult to
draw, but there is a distinction and it is relevant here.
[105]
The Crown was entitled to invite the jury to draw reasonable inferences
based on evidence the jury was entitled to accept. For example, Gerald
Patterson gave evidence that on January 16, 1998 at around 12:00 p.m., he saw a
woman he subsequently identified as Rhonda arguing with a man in a red pickup
truck that had a gas tank on the back. The appellant owned a red pickup truck
with a gas tank on the back. Patterson saw Rhonda get into the truck with the
man and drive off. This was the last time she was seen alive.
[106]
Lorie Bunker attended the Staples farm that same day at about 2:30 p.m.
to deliver Avon products to Rhonda. No one answered the door. The jury was
entitled to accept this evidence and to infer that Rhonda had been killed by
this time. The inference that she had been killed was further supported by the
large bloodstain found in shed #1 Rhondas blood, albeit that the date of the
bloodstain could not be determined.
[107]
Acceptance of this evidence and the drawing of the inferences suggested
by the Crown supports further inferences concerning the killing of Bill, for it
was reasonable to infer that the same person killed both Bill and Rhonda. The
appellants motive extended to both victims: he stood to inherit Rhondas share
of Bills estate. Although there was evidence from one witness, Angela Jessop,
that the appellant was at Mulligans on the night of January 16, there was
evidence from several other witnesses that the appellant was not there that
night and evidence that he was not there until much later in the evening. At
the same time, there was evidence that the appellant was at the farm that
night, when the Crown theorized that Bill was murdered and the bodies were moved.
[108]
It was for the jury to decide which evidence to accept. The jury was
entitled to infer that the appellant killed Bill and Rhonda and moved their
bodies. This inference was supported by an extensive body of post-offence
conduct evidence. The evidentiary foundation for the inference that a second
person was involved in moving the bodies was a witnesss observation that he
saw two vehicles leaving the farm that night. The movement of the bodies, along
with the absence of any evidence of a robbery or break-in at the farm, in turn supported
the inference that Bill and Rhonda were not killed by a stranger.
[109]
The appellants argument focuses on individual pieces of evidence
rather than the evidence as a whole. It ignores the larger picture the evidence
painted and the inferences the jury was entitled to draw. This was indeed a
circumstantial case, but it did not depend on speculation about any important
matters. Although the details of the killings cannot be known with certainty,
they need not be in order to sustain the convictions. The jury was properly
instructed as to the presumption of innocence and the burden of proof and was reminded
by the trial judge that it remained on the Crown throughout. Nothing more was
required.
The trial judge did not err by failing to instruct the
jury to disregard impermissible opinion evidence
[110]
The appellant argues that he was prejudiced when the jury heard
evidence that the appellants family, friends, and the community thought that
he was responsible for the disappearance of Bill and Rhonda. This was
inadmissible opinion evidence that went to the very issue the jury was to
decide, and no instruction was given.
[111]
The difficulty with this submission is that although two Crown witnesses
testified as to their belief in the appellants guilt, their evidence was
elicited in cross-examination. Further, the appellant relied on this evidence
to support his argument that there was animus against him. The absence of an
objection or request for an instruction confirms the conclusion that this
evidence occasioned no prejudice.
The trial judge did not err in refusing to permit the
appellant to lead evidence of another unsolved homicide
[112]
At the outset of the trial, the appellant brought an application in
accordance with
R. v. OConnor
, [1995] 4 S.C.R. 411, seeking
disclosure of the file concerning an ongoing murder investigation by the
Hamilton Police Services. The investigation concerned the death of an elderly,
relatively wealthy man, Clyde Frost, who was killed in his home on Hamilton
Mountain, allegedly by blunt force trauma to the head. He was found in his
vehicle, which had been parked in Toronto, several days later.
[113]
The appellant argued that the murderer in the Frost case could be
the murderer in the Staples case, leading to reasonable doubt as to his guilt.
The trial judge dismissed the
OConnor
application. He also dismissed
the appellants application to adduce evidence of the Frost homicide as
pointing to an unknown third-party suspect.
[114]
The appellant argues that the trial judge held the defence to too
high a standard. Although he argues that the trial judge erred in dismissing
both applications, his argument focuses on the trial judges refusal to permit
him to adduce evidence of the Frost homicide. The appellant says that there
were numerous similarities between the Frost and Staples homicides. The Frost
homicide was logically relevant to the identity of the killer(s) in this case,
and there was an air of reality to the suggestion that the same person
perpetrated both crimes. In light of the Supreme Courts decision in
R. v.
Grant
, 2015 SCC 9, [2015] 1 S.C.R. 475, the appellant should have been
permitted to lead evidence of the Frost homicide.
[115]
This submission must be rejected. Although the trial judges
decision was made prior to
Grant
, that case does not alter the result
in this one.
The Supreme Court made clear in
Grant
that
when the third-party suspect is unknown, there must be a sufficient factual
foundation for a properly instructed jury to give effect to the defence. The
Court stated, at para. 45:
Where the defences theory is that an unknown
third party committed the indicted crime, this factual foundation will be
established by a sufficient connection between the crime for which the accused
is charged and the allegedly similar incident(s), coupled with the impossibility
that the accused committed the other offence.
[116]
If
this foundation is established, relevant evidence will be excluded only if its
prejudicial effect substantially outweighs its probative value:
Grant
, at para. 46.
[117]
The
trial judge found no sufficient connection between the Frost and Staples
murders to give the unknown suspect defence an air of reality
no evidence to suggest a random killer in either case. The evidence
in the Frost murder suggested that he was targeted by persons he knew.
[118]
The appellant cites a list of similarities between the Staples and
Frost murders and invites this court to make a different assessment of the
evidence. That is not this courts function on appeal. It was for the trial
judge to consider the evidence and make the determination as to the sufficiency
of the evidence. His finding
is entitled to
deference.
[119]
Finally, although
there was no suggestion by the Crown that
the appellant had committed the Frost murder, the trial judge found that he
could not be ruled out as a suspect
.
The appellant argues that
Grant
cannot be read as establishing a burden on an
accused to establish that he did not commit the other murder, but there is no
need to address this issue. The bottom line is that the trial judge found no
air of reality to the unknown third-party suspect defence. He made no error in
doing so and there is no basis to interfere with his finding.
The verdict was not unreasonable
[120]
The appellants argument in this regard is brief. The appellant
submits that there was a paucity of evidence in this case and no forensic
evidence linking him to the homicides. The appellant then reiterates a number
of arguments addressed above and submits that the verdict was unreasonable.
[121]
It is well established that a verdict is unreasonable only if it is one
that a properly instructed jury, acting judicially, could not reasonably have
rendered: see e.g.,
R. v. W.H.
, 2013 SCC 22,
[2013] 2 S.C.R. 180.
Where a verdict rests wholly or substantially on
circumstantial evidence, appellate courts must ask whether the trier of fact,
acting judicially, could reasonably be satisfied that the guilt of the accused
was the only reasonable conclusion available on the evidence taken as a whole:
R.
v. Lights
, 2020 ONCA 128, 149 O.R. (3d) 273, at para. 39. As Watt J.A.
said in
R. v. Chacon-Perez
,
2022 ONCA 3, at para. 80:
The circumstantial evidence does not have to
totally exclude other conceivable inferences. Nor is a verdict unreasonable
simply because the alternatives did not cause a doubt in the jurys mind. It remains
fundamentally for the trier of fact to decide whether any proposed alternative
way of looking at the case was reasonable enough to raise a doubt:
Villaroman
,
at para. 56.
[122]
The sole issue in this case was the identity of the killer. Although
the case against the appellant was circumstantial, the body of circumstantial
evidence implicating him in the murders was substantial. I have already
discussed this evidence. I summarize it here in broad compass:
·
strong motive established by extensive evidence
of the appellants financial difficulties;
·
Bills unwillingness to provide further
financial assistance to the appellant;
·
the appellant was the main heir to Bills estate
in the event that Rhonda was killed;
·
the appellant was the last person seen with
Rhonda prior to her death;
·
a large bloodstain found in drive shed #1 was
Rhondas blood;
·
the appellant had the opportunity to kill Bill
and Rhonda; and
·
the appellant was in control of Bills farm and there
was evidence that he had engaged in a cleanup operation subsequent to the
killings.
[123]
As in
Chacon-Perez
,
it
was for the jury to determine whether
the
cumulative effect
of this evidence not
simply its individual parts considered in isolation excluded inferences other
than guilt. To be sure, there were important conflicts in the evidence the jury
had to resolve, but the jury was entitled to accept the evidence that permitted
the inferences the Crown invited them to draw.
[124]
I conclude that the jury, acting judicially, could have been
satisfied that the guilt of the appellant was the only reasonable conclusion
available on the evidence considered as a whole.
CONCLUSION
[125]
I would dismiss the appeal.
Released: April 1, 2022 J.M.F.
Grant
Huscroft J.A.
I
agree. Fairburn A.C.J.O.
I
agree. Paul Rouleau J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Andrews v. Pattison,
2022 ONCA 267
DATE: 20220401
DOCKET: C69720
Doherty,
Huscroft and Harvison Young JJ.A.
BETWEEN
Amanda
Jane Andrews and Keri Ann Baker, personally and as Estate Trustees of the
Estate of Linda Gordon, Willow May Baker, Tobin Bryon Baker and Violet Grace
Baker, all by their Litigation Guardian Jeffrey Robert Baker, Sara Nicole
Andrews and Emily Lyn Andrews
Plaintiffs (Appellants)
and
Dr. Leslie Pattison
Defendant (Respondent)
Bronwyn M. Martin, B. Robin Moodie and
Joni Dobson, for the appellants
Andrea H. Plumb and John A. M.
Petrella, for the respondent
Heard: March 28, 2021 by video conference
On
appeal from the judgment of Justice John R. McCarthy of the Superior Court of
Justice, dated July 5, 2021, with reasons at 2021 ONSC 4757.
REASONS FOR DECISION
[1]
The appellants appeal from a summary judgment
dismissing their action on the basis that their claim was statute barred. The
action arose from allegations of medical malpractice. The circumstances may be
briefly summarized. Ms. Linda Gorton was diagnosed with terminal lung cancer in
late spring 2013, and unfortunately died in April 2014. She had received
medical attention and treatment from the respondent doctor between 2008 and
2013, having complained of shortness of breath and chest pain. The respondent
ordered a chest x-ray late in 2008 but discovered no anomalies. No further chest
x-rays were ordered until May 2013. It was a result of that x-ray that the
cancer was diagnosed. The appellants issued their statement of claim on April
11, 2016.
[2]
The appeal rests on the argument that the motion
judge erred in conducting his analysis under section 5(1)(a) of the
Limitations
Act, 2002
, S.O. 2002, c. 24, Sched. B, rather than s. 5(1)(b). Section
5(1)(b) addresses discoverability, i.e., when a person ought to have known
than an action could lie. Section 5(1)(a) addresses actual knowledge.
[3]
The appellants submit that the limitation period
did not begin to run until they received expert reports on the standard of care
and causation in August and December 2015 respectively. The appellants also
submit that the motion judge fell into palpable and overriding error in finding
that the deceased and her family had actual knowledge of the facts upon which
the allegations of negligence could be based as early as May 30, 2013, the date
of the deceaseds diagnosis, and no later than February 6,2014 when they met
with a medical malpractice lawyer. At that time, the lawyers explained the
factor necessary to establish a breach of a standard of care and causation.
The plaintiffs subsequently ordered expert reports on the standard of care and
causation which were received in August and December 2015 respectively. Both
reports supported the appellants position that they had a viable cause of
action.
[4]
We do not agree with the appellants submission
that the limitation period did not begin to run until they had received the
expert reports.
[5]
The parties agree on the test to be applied. As
set out by the Supreme Court of Canada at para. 48 of
Grant Thornton LLP v.
New Brunswick
, 2021 SCC 31, 461 D.L.R. (4th) 613, a claim is discovered
when a plaintiff has knowledge, actual or constructive, of the material facts
on which a plausible inference of liability on the defendants part can be drawn.
A plausible inference lies along a spectrum, ranging from mere suspicion to
certainty: at para. 46. The parties also agree that the determination of where
a particular case falls on this spectrum is a fact-based inquiry:
Lawless
v. Anderson
, 2011 ONCA 102,
276 O.A.C. 75, at para. 23.
[6]
The appellants argue that the trial judge fell
into palpable and overriding error in applying the test to these facts,
particularly in failing to find that the receipt of expert reports was
necessary to the appellants having sufficient material facts to satisfy the
plausible inference that they had a potential negligence claim.
[7]
We disagree. The motion judge set out the
evidence before him upon which he based his conclusion. The material facts upon
which he relied include the undisputed facts that:
·
the deceased had been under the defendants care
throughout the entire period between 2008 and 2013, during which she had
complained repeatedly about shortness of breath, but the defendant had not
ordered a chest x-ray between 2009 and May, 2013;
·
this x-ray lead immediately to the biopsy which resulted
in the diagnosis of advanced, terminal lung cancer shortly thereafter;
·
the deceased and her family were immediately
concerned about the fact that a chest x-ray had not been previously ordered and
whether an earlier x-ray might have led to a different outcome;
·
after obtaining complete medical records, by the
fall of 2013, they sought legal advice almost immediately, and through to her
death in April 2014, the deceased indicated to her family that she wished to
pursue the matter; and
·
the expert reports on standard of care and
causation, received in August and December,2015, did not disclose any
additional material facts.
[8]
The motion judge specifically addressed and
rejected the appellants argument that the potential negligence claim was not
discoverable until the receipt of the expert reports. In particular, he noted
that the determination of when a potential plaintiff has sufficient material
facts is not to be conflated with the question of the discovery of the merits
of the potential action, stating that the Act does not distinguish between
meritorious and non-meritorious claims. This was a fact-based inquiry as the
motion judge recognized in citing paras. 22-23 of
Lawless
.
[9]
We see no reason to interfere with the motion
judges findings that the latest date upon which the action was discoverable
was the date of the meeting with the medical malpractice lawyer on February 6, 2014
and was therefore out of time when the claim was issued on April 11, 2016.
[10]
We also reject the appellants argument that
they did not have knowledge, actual or otherwise, of the potential claim in May
2013 as the respondent had told them that an earlier x-ray would not have
affected the prognosis. The motion judge found that the deceased and her family
intended to pursue the matter immediately following the deceaseds diagnosis
until the time of her death. Accordingly, the appellants did not rely on the
respondents representations. Further, the appellants point on this issue does
not address the finding that in any event the appellants had actual knowledge
no later than February 6, 2014. The constructive knowledge in s. 5(1)(b) can
have no application to this case:
Dass v. Kay
, 2021 ONCA 565, at para.
54.
[11]
The appeal is dismissed. Costs of this appeal
are payable by the appellants to the respondent in the amount, as agreed, of
$15,000 within 30 days.
Doherty
J.A.
Grant
Huscroft J.A.
A.
Harvison Young J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Atwima, 2022 ONCA 268
DATE: 20220401
DOCKET: C67342, C69515, C67344, C68039,
C67336, C69507, C67343 & C69506
Fairburn A.C.J.O., Miller and
George JJ.A.
DOCKET:
C67342 & C69515
BETWEEN
Her Majesty the Queen
Appellant/
Respondent by way of cross-appeal
and
Samuel Atwima
Respondent/
Appellant by way of cross-appeal
DOCKET: C67343 & C69506
AND BETWEEN
Her Majesty the Queen
Appellant/
Respondent by way of cross-appeal
and
Triston Johnson
Respondent/
Appellant by way of cross-appeal
DOCKET: C67344 & C68039
AND BETWEEN
Her Majesty the Queen
Appellant/
Respondent by way of cross-appeal
and
Kevin Okrah
Respondent/
Appellant by way of cross-appeal
DOCKET: C67336 & C69507
AND BETWEEN
Her Majesty the Queen
Appellant/
Respondent by way of cross-appeal
and
David Ratnam
Respondent/
Appellant by way of cross-appeal
Roger Pinnock and Erica Whitford, for
the appellant/respondent by way of cross-appeal
Joelle Klein, for the respondent/appellant
by way of cross-appeal Samuel Atwima
Andrew Stastny, for the respondent/appellant
by way of cross-appeal Triston Johnson
Faisal Mirza and Melody Izadi, for the
respondent/appellant by way of cross-appeal Kevin Okrah
Shedrack Agbakwa and Grant Purves, for
the respondent/appellant by way of cross-appeal David Ratnam
Heard: February 16 and March 3,
2022 by video conference
On appeal from the acquittals entered by
Justice Sharon Lavine of the Superior Court of Justice, sitting with a jury, on
July 29, 2019 and July 30, 2019 (C67342, C67343, C67344, & C67336).
On appeal from the stay entered by Justice
Sharon Lavine of the Superior Court of Justice, sitting with a jury, on July
23, 2019 (C67336).
On appeal from the convictions entered by
Justice Sharon Lavine of the Superior Court of Justice, sitting with a jury, on
August 16, 2019 (C69515, C69506, C68039, & C69507).
Fairburn A.C.J.O.:
I.
OVERVIEW
[1]
On
March 13, 2017, four masked men attempted to enter a jewellery store. They were
unsuccessful. Thirty minutes later, four masked men, dressed in the same attire
as those at the first jewellery store, gained entry to and robbed a second jewellery
store close by the first one. The next day, four masked men robbed a third
jewellery store, not far from the first two stores. Each incident was caught on
video. The getaway car was also caught on video at the second and third stores.
[2]
About
90 minutes following the final robbery, police located the getaway car and a
high-speed police chase ensued. When the car finally came to rest, Mr. Ratnam was
removed from the drivers seat, Mr. Johnson from the front passengers seat,
and Mr. Atwima and Mr. Okrah from the back. There was also a fifth person in
the back. He was separately tried as a young offender.
[3]
The
four adults were tried by judge and jury in the Superior Court of Justice. The
indictment contained ten counts in total, including a count of attempt to
commit robbery, accompanied by a count of disguise with intent to commit an
indictable offence. The indictment also contained two counts of robbery, each accompanied
by counts of disguise with intent to commit an indictable offence and use of an
imitation firearm while committing an indictable offence. Finally, the
indictment contained one count of aggravated assault and one count of failing
to stop. All four accused faced each count except the fail to stop. Only Mr.
Ratnam, who was in the drivers seat of the getaway car, was charged with that
offence.
[4]
The jury
started hearing evidence on June 20, 2019. About four weeks later, the Crown closed
its case and the jury was sent home so the trial judge could hear two
applications: (1) the Crown applied to have similar act evidence admitted
across all counts to prove identity; and (2) Mr. Ratnam, on the basis of lost
evidence, applied for a stay of proceedings in relation to the count of failing
to stop.
[5]
The trial
Crowns similar act application was allowed only in part, leaving the Crown
unable to prove identity on multiple counts. This gave rise to applications for
directed verdicts of acquittal in relation to many counts. Those applications
were successful, and acquittals were entered on multiple counts. In addition, the
fail to stop count was stayed.
[6]
Almost
a month after the Crowns case had closed, the jury was recalled to decide the
case on what remained of the indictment. The jury returned guilty verdicts on almost
all counts. A chart containing all the counts and verdicts is included at
Appendix A to these reasons.
[7]
The
Crown appeals from the directed verdicts of acquittal on the basis that the
trial judge erred in law when she excluded similar act evidence across counts
to prove identity. In particular, the Crown contends that the trial judges reasons
on the similar act application are insufficient. The Crown also appeals from
the stay of proceedings in relation to the count involving the fail to stop.
[8]
Mr. Ratnam,
Mr. Johnson, Mr. Atwima and Mr. Okrah (collectively the respondents) each
bring a cross-appeal, raising five issues in total. Those appeals are directed
at the convictions.
[9]
For the reasons that follow, I would grant the Crown appeal and
dismiss the cross-appeals.
II.
BACKGROUND
[10]
On March 13, 2017, in broad daylight, four masked men attempted
to gain access to Graziella Fine Jewellery in Ajax, Ontario. The door was
locked, and an employee refused to open it. The men eventually left when they
could not gain access to the store. Everything was caught on video. One of the
men was carrying a red Adidas bag. The men were wearing:
§
Man One: a black hoodie with white stripes and
white logo
§
Man Two: a light grey jacket with three stripes
on the sleeves
§
Man Three: black clothing
§
Man Four: black clothing
[11]
Thirty minutes later, four masked men approached
the door of Galbraith Jewellers, which is located very near Graziellas. Again,
the men were caught on video. Again, one of the men was carrying a red Adidas
bag. Again, the men were wearing:
§
Man One: a black hoodie with white stripes and
white logo
§
Man Two: a light grey jacket with three stripes
on the sleeves
§
Man Three: black clothing
§
Man Four: black clothing
[12]
The difference this time was that the men succeeded
in gaining entry to the jewellery store. Once inside, they brandished two guns.
The men dominated the employees and customers, two of whom testified at trial
about feeling what they believed to be guns on their backs when they were made
to lie on the floor. One of the masked men used a hammer with white tape to
smash the jewellery cases. Another placed the jewellery in a black Adidas
backpack. Then they left.
[13]
A small blue car was waiting for the men, with a
driver behind the wheel. This was all caught on video. They made good their
escape.
[14]
The next day, again in broad daylight, four
masked men were again caught on video, this time gaining entry to Valdis Jewellery
Shop in Oshawa, Ontario. Valdis was a short drive from the other two jewellery
stores. Again, there were two guns. Again, the store employee was dominated.
Again, one of the men used a hammer with white tape to smash the jewellery cases.
Again, one of the men placed the jewellery in a black Adidas backpack. Again, a
small blue car was waiting for them with a driver behind the wheel. Again, they
made good their escape, but this time it was not for long.
[15]
The only significant difference between the two robberies
was that an employee at the second jewellery store was badly assaulted by the masked
men. He sustained multiple lacerations to his head and broken teeth.
[16]
Not even 90 minutes after the second robbery, a small
blue car was located close to the scene. The police ascertained its location by
pinging Mr. Ratnams cellular phone. Those pings were sent out by the police
after they discovered that Mr. Ratnam had rented a small blue car the previous day,
prior to the attempted robbery. A Hertz Rental Record was filed in evidence, establishing
that Mr. Ratnam rented the small blue vehicle under his name.
[17]
A high-speed police chase ensued, with a police
vehicle being struck at one point by the blue vehicle and a police vehicle striking
a civilian vehicle. Eventually, the police brought the blue vehicle to rest on
Highway 401. Police removed the respondents from the car. Mr. Ratnam, who had
been driving the vehicle, had an imitation firearm in his pocket.
[18]
Some of the items found in the vehicle included:
(1) an imitation firearm on the backseat;
(2) jewellery and other items from both robberies;
(3) price tags, receipts and boxes from the jewellery shops;
(4) a black Adidas backpack;
(5) shoes containing glass shards;
(6) a hammer with white tape;
(7) clothing, some of which was similar to the clothing seen on
the perpetrators the day before at the scene of the attempted robbery and the first
robbery; and
(8) blood from the victim of aggravated assault, including on a
grey Adidas jacket with three stripes on the sleeves.
[19]
When many of those items, such as the hammer,
clothing, and firearms, were compared with the images captured on video at the
scenes of the crimes, the resemblance was striking in nature.
[20]
Mr. Atwimas phone also contained some highly probative circumstantial
evidence, connecting him to each crime scene, including the scene of the
attempted robbery. For instance, on March 13 and 14, 2017, the days of the
crimes, Mr. Atwimas phone search history included:
(1)
jewelry
store in oshawa;
(2)
jewelry
in oshawa;
(3)
small
ajax jewelry;
(4)
Valdis Jewellery Shop Oshawa, ON;
(5)
Ron Ga
braith Jewellers Ajax, ON; and
(6)
oshawa
jewlery.
[21]
This was a powerful Crown case.
III.
CROWN
APPEAL
(a) Overview
[22]
As previously noted, the Crown appeal rests on two broad grounds.
The Crown argues that the trial judge erred in law when she: (1) excluded
similar act evidence across counts to prove identity; and (2) stayed the
proceedings in relation to the count involving fail to stop. I agree that the
trial judge committed both errors.
[23]
I will start with the ground of appeal involving the similar act
evidence.
(b) The Error in Relation to the Similar Act Evidence
(i) Overview
[24]
Trial judges face inherent challenges when
dealing with multi-accused, multi-count indictments involving Crown
applications to admit similar act evidence across counts. Owing to the nature
of these applications, typically brought at the end of the Crowns case, and
outside the presence of the jury, there is often a good deal of pressure placed
upon trial judges to apply complex legal principles to lengthy factual records,
while being mindful not to keep the jury waiting for too long.
[25]
That was the challenging situation the trial
judge faced in this case. The record demonstrates that as she worked her way
through the issues she was keenly alive to the fact that the jury was waiting
and made efforts to move the matter forward as expeditiously as possible. Despite
those best efforts, as will be seen, the application developed a life of its
own, and ultimately ended in error.
(ii) The Parties
Positions at Trial
[26]
Immediately after the prosecutions case closed,
the jury was sent home, the trial Crown laid out its arguments for why the
evidence on each count should be admissible on the other counts to prove the
identity of each accused.
[27]
The trial Crowns primary position was based
upon a theory of group similar act: that the crimes were strikingly similar in
nature and that each was committed by the same group of men, that the accused
were those men and that there was evidence specifically linking each accused to
the group at the relevant time.
[28]
The trial Crowns secondary position was that,
even if the trial judge was not satisfied that the group was constant, the similar
act evidence was still admissible across counts to prove the respondents
identity in each crime. This secondary position was rooted in the submission
that the crimes were all strikingly similar in nature and, with the exception
of Mr. Okrah, there was independent evidence linking each of the accused to
each of those crimes. In relation to Mr. Okrah, and for reasons that are not
entirely clear on this record, the trial Crown seems to have been of the view
that there was only independent evidence linking Mr. Okrah to the last robbery
scene.
[1]
[29]
The respondents took different positions in response to the trial
Crowns similar act application.
[30]
Mr. Atwima conceded the entire application, acknowledging that
the similar act evidence could apply across counts to prove his identity.
[2]
[31]
Mr. Johnson conceded the similar act application
as it related to the robberies, but not the attempted robbery. Therefore, he
acknowledged that the jury could properly receive a similar act instruction in
relation to the Galbraith and Valdis robberies (and the associated counts
connected to those robberies).
[32]
Mr. Okrah altogether resisted the cross-count
application of the evidence. While he acknowledged the highly similar nature of
the crimes, he maintained that there was no evidence linking him to any of
those crimes. His presence in the getaway car shortly after the second robbery
was said to be just that: presence in a car.
[33]
Mr. Ratnam also resisted the cross-count
application of the evidence. While he was prepared to accept that he was linked
to the final robbery by virtue of his status as the driver of the getaway car,
he maintained that there was no other evidence linking him to any of the other crimes.
(iii) The Law of Similar Act Evidence
to Establish Identity in the Group Context
[34]
Before
reviewing the rulings appealed from, it is helpful to first summarize the legal
principles underpinning the trial Crowns application. These legal principles provide
some necessary context for the impugned rulings, which I will review in the
following section of these reasons.
[35]
I
start by noting that the trial Crown was not seeking to admit similar act evidence
that was extraneous to the indictment into the trial but was seeking to admit
similar act evidence across counts on the indictment. Therefore, the entire
subject of the similar act application was already intrinsic to the indictment
and included evidence that the jury had already heard.
[36]
As
similar act evidence is presumptively inadmissible, even across counts, the sole
question to be resolved at the application was whether the jury would be
required to determine the issue of identity on each count by considering only the
evidence admitted on that count (the presumptive position) or whether the jury
would be entitled to determine the issue of identity on each count by
considering all of the evidence heard at trial (the similar act position): see
R. v. Poulin
, 2017 ONCA 175, 346 C.C.C. (3d) 191, at
para. 40.
[37]
The
onus rests on the Crown to establish the admissibility of similar act evidence by
satisfying the trial judge that its probative value outweighs its potential
prejudicial effect in the context of the particular case: see
R. v. Handy
, 2002 SCC 56, [2002] 2 S.C.R. 908, at para.
55. The ultimate weighing of probative value and prejudicial effect requires an
initial calibration of both.
[38]
The probative
value of similar act evidence springs from the objective improbability of
coincidence:
Handy
, at paras. 47-48. In
contrast, the prejudicial effect of similar act evidence springs from the moral
and reasoning prejudice that may result from the admission of the evidence. Moral
prejudice is rooted in concerns over whether the trier of fact will decide the
case based upon the perceived bad character of the accused. Reasoning prejudice
is rooted in concerns over things like the potential injection of delay and
complexity into a trial, as well as juror distraction and confusion: see
R. v. Shearing
,
2002 SCC 58, [2002] 3 S.C.R. 33,
at para. 68. See also:
Handy
,
at paras.
31, 36;
R. v. Lo
,
2020 ONCA 622, 152
O.R. (3d) 609, at paras. 110-11. Of course, many of these concerns for
prejudice will be attenuated, like in this case, where the application to admit
similar act evidence relates to the cross-count use of evidence already
elicited at trial: see
R. v. Norris
,
2020
ONCA 847, 398 C.C.C. (3d) 1, at para. 24;
R. v. J.M.
,
2010 ONCA 117, 251 C.C.C. (3d) 325, at para. 87.
[39]
Coming
back to probative value, where the issue upon which the evidence is proffered
is identity, such as this case, the demand for similarity between acts increases.
The bar for similarity in the identity context is often referred to as a high
degree of similarity or strikingly similar:
R. v. Arp
, [1998] 3 S.C.R. 339,
at
para. 45. See also:
R. v. Perrier
, 2004 SCC
56, [2004] 3 S.C.R. 228, at para. 20;
R. v. Durant
,
2019 ONCA 74, 144 O.R. (3d) 465, at para. 98. The reason for the heightened bar
for similarity relates to the driver of cogency in relation to similar act
evidence used to establish identity: the improbability that two persons would
display the same configuration of matching characteristics in committing a
crime:
Perrier
,
at para. 19. See also
Handy
, at para. 78.
[40]
At
the first stage of the similar act analysis involving questions of identity,
the similarity stage, the court looks to the acts and asks how similar they
are. From time-to-time, acts will contain signatures or trademarks, such that
their similarity will be striking:
Arp
, at
para. 45. See e.g.,
R. v. Jesse
, 2012 SCC 21,
[2012] 1 S.C.R. 716, at paras. 5, 10, 12 and 24. More frequently, though, the
requisite degree of similarity will result from an accumulation of
commonalities, none of which will be sufficiently significant to constitute a
signature or trademark.
[41]
In assessing
whether the evidence has that cumulative effect, we take guidance from
Handy
, at para. 82, where Binnie J. provided the
following list of helpful considerations: (a) the proximity in time of the
similar acts; (b) the extent to which the acts are similar in detail; (c)
the number of occurrences involved; (d) the circumstances surrounding or
relating to the similar acts; (e) the distinctive features involved in those
acts; (f) whether there were any intervening events; and (g) any other factor
which would tend to support or rebut the underlying unity of the similar acts.
[42]
Where
the evidence of similarity points towards the acts having been likely committed
by the same person, the trial judge must go on to the second stage and consider
whether there is evidence linking the accused to the similar acts:
Perrier
, at paras. 23-24;
R. v. Woodcock
(2003)
, 177
C.C.C. (3d) 346 (Ont. C.A.), at para. 81; and
Arp
,
at paras. 54-56. There need
only be some evidence linking the accused to those acts:
R. v. Sweitzer
, [1982] 1 S.C.R. 949, at p. 954;
Arp
,
at paras. 56-57; and
Perrier
,
at
para. 24. The some evidence threshold requires more than mere opportunity or
possibility but does not demand more than some evidence upon which it can be
said that the acts were in fact the acts of the accused:
Sweitzer
,
at p. 954, cited with
approval in
Arp
,
at paras. 54, 56-57, and in
Perrier
, at paras. 23-24. See also
Durant
,
at para. 91. This has been characterized as a low evidentiary threshold at
the admissibility stage:
Jesse
,
at
para. 63.
[43]
Such
are the legal principles underpinning the trial Crowns secondary position:
that there was a high degree of similarity between the crimes and that, except
for Mr. Okrah, there was some evidence linking each of the respondents to each
of those crimes.
[44]
As
for the trial Crowns primary position, it rested on a theory of group similar
act, the legal principles for which are set out below.
[45]
Crimes
committed by groups can present special challenges in the context of similar
act evidence applications aimed at proving the identity of an individual
accused.
To use group similar act evidence to establish
individual identity (as opposed to group identity), the Crown must first
establish that it is highly improbable that more than one group employing
the same
modus operandi
committed the crimes at issue:
Perrier
,
at para. 26. The same factors outlined in
Handy
,
at para.
82, will be used to determine that degree of improbability.
[46]
Once the requisite degree of improbability has been established,
then the Crown must go on to establish a link between the individual and the
crimes of the group.
This is because it is individuals, not groups, who
ultimately bear the responsibility for crimes. Therefore, even where it is
highly improbable that different groups committed the crimes,
the signature of the offence is the signature of the group only:
Perrier
,
at para. 25.
[47]
Accordingly, where group similar act evidence will be used to
identify a particular accused, linkage evidence remains critical to the
admissibility analysis. The means by which to identify that link, though, will
fluctuate depending on whether the groups membership remains static across the
acts or whether the groups membership rotates across the acts.
[48]
Justice
Major in
Perrier
, at para. 25, addressed both
scenarios, first dealing with the situation where the group has static membership
and then dealing with the situation where the group membership rotates:
If the Crown can prove that
membership in the gang never changed and that all members were
present and participating in all offences, then the signature of the group will
be the signature of the accused
such that a similar fact instruction
will likely be justified (provided that the overall probative value of the
evidence outweighs its prejudice).
However, where
group membership was not constant
, the fact that an individual may have
been a member of the gang on one occasion proves nothing more than a mere
possibility that he was a member on another occasion. In this case
the evidence of group activity must be accompanied by evidence
linking the individual to each of the groups offences for which he has been
charged
, either by virtue of the distinctiveness of his role or by other
independent evidence. [Emphasis added.]
Recall that in this case, it was the
trial Crowns primary position that, to adopt the words of
Perrier
,
at para. 25: membership in the gang never changed and that all members
were present and participating in all offences.
[49]
Perrier
goes
on to describe in more detail the means by which to prove the link between the
individual accused and the group. At para. 32(1), Major J. addressed how to
establish that link in the context of a group with static membership:
If the Crown can prove that
group membership never changed
, that the gang always
remained intact and never committed the criminal acts unless all were present, and
that the accused was a member of the group, and present, at the relevant time,
that will be sufficient to connect the individual to the crimes of the group,
and the evidence will usually have sufficient probative value to be admitted as
similar fact. [Emphasis added.]
[50]
Where
the Crown cannot prove that group membership never changed and that the gang
always remained intact and never committed the criminal acts unless all were
present, then in accordance with
Perrier
,
at
para. 32(2), the following must be established:
Where membership in the
group is not constant
then an
additional link or connection must be made
in order to use evidence of group activity against a particular accused. This
additional requirement will be satisfied where (a) the accuseds role was
sufficiently distinctive that no other member of the group or person could have
performed it; thus he necessarily must have participated in all offences; or
(b) there is independent evidence linking the accused to each crime.
[Emphasis added.]
(iv) The Cascading Rulings and Clarifications
[51]
By way of recap, based on the legal principles
set out above, the trial Crown argued first that the similar act evidence
should be admitted across counts on the basis of group similar act: the crimes
were strikingly similar in nature, each was committed by the same group of men,
the accused were those men, and there was evidence specifically linking each
accused to the group at the relevant time:
Perrier
,
at paras.
25, 32(1). In the event that the trial judge, as the gatekeeper of this
evidence, was not satisfied that group membership never changed, then, aside
from Mr. Okrah, there was an additional link or connection in the sense of
independent evidence linking the accused to each crime:
Perrier
, at paras.
25, 32(2).
[52]
After the similar act evidence ruling went under
reserve, the jury started expressing concerns over delay. Two jurors had to be relieved
of their duties. Accordingly, pressure was mounting to move the matter along. Against
that backdrop, the trial judge gave what I will describe as the initial
ruling, prefacing
the ruling with the observation that she was
reserving the right to provide fuller reasons. The full extent of the initial
ruling follows:
The Crown seeks the admission of the evidence in each count in
respect of the other counts on the indictment in relation to each of the
individual accused on the basis of group identity. I am not satisfied that the
Crown has established constancy of the group. I am not satisfied that Mr. Okrah
is sufficiently connected to both robberies. In this context, an admission of
evidence on a group identity basis would cause potential prejudice to Mr. Okrah
and undue complexity. The application, as brought on a group identity basis, is
dismissed.
[53]
The trial Crown sought immediate clarification
as to whether this ruling related only to Mr. Okrah or all persons. A good deal
of back and forth ensued. Eventually, on the same day as the initial ruling,
and despite the confusion swirling around the breadth of the ruling and the
fact that applications for directed verdicts of acquittal were yet to be heard,
all agreed that the jury could be recalled so that the defence case could be
closed. Each accused elected to call no defence.
[54]
The
jury was again sent home and the dialogue about the reach of the similar act
ruling continued. This resulted in the trial judge providing what I will refer
to as the first clarification:
When I stated I am not satisfied the Crown has established the
constancy of the group, I am not satisfied that Mr. Okrah is sufficiently
connected to both robberies. What should be clear, is that by saying [the group
has not been established], I was then, as counsel had all submitted during the
application, referring to the alternate option that two independent evidence
linking the accused to both robberies was then required and as I had understood,
[the Crown] had conceded that there was only one connection for Mr. Okrah.
Mr. Okrah was therefore not sufficiently
connected to both robberies and therefore the required connectivity was not
made out. I did not refer to Mr. Atwima or Mr. Johnson, because it was conceded
by them that similar act evidence was admissible against them and it is
implicit in my ruling, having not mentioned Mr. Ratnam, that I was satisfied
that the connectivity requirement had been made out for Mr. Ratnam
.
[Emphasis added.]
[55]
On
my reading, the trial judges first clarification seems to suggest that, while
the Crowns primary position had failed, the Crowns secondary position had
succeeded. Therefore, the similar act evidence would be admissible against all
but Mr. Okrah in relation to both robberies and the attempted robbery.
[56]
Requests
for further clarification continued. This resulted in what I will refer to as the
second clarification, where the trial judge agreed with the trial Crowns stated
understanding of the scope of the ruling: I heard Your Honours ruling to be
that its admissible on all matters in relation to Mr. Atwima, Johnson, and
Ratnam. The trial judge responded affirmatively.
[57]
Eventually
court adjourned for the weekend. Requests for clarification continued on the
Monday. After much back-and-forth, a brief final ruling was given:
Having considered the submissions of counsel, I am not
satisfied that in the context of this case, with different jointly charged
accused on the two robbery charges, that similar fact evidence can be admitted
on a group identity basis without undue complexity and the prejudicial effect
outweighing the probative value. The similar fact evidence with respect to Mr.
Johnson and Mr. Atwima will be admitted.
[58]
Again,
counsel sought clarification. I will refer to what came of those requests as
the final clarifications. Counsel to Mr. Johnson asked whether the final
ruling related only to the robberies and not the attempted robbery. The trial
judge confirmed the similar act would only apply across robbery counts and only
in relation to Mr. Johnson and Mr. Atwima.
[59]
Mr.
Ratnams counsel asked for clarification as to where Mr. Ratnam stood on the
question of admissibility. The trial judge responded that the evidence was only
admissible across the robbery counts as it related to Mr. Johnson and Mr.
Atwima. The trial judges comment therefore implied that the Crowns similar
act application, as it related to Mr. Ratnam, was dismissed. At least all
parties proceeded on that understanding.
[60]
As
for Mr. Okrah, it was clear from the initial ruling that the trial Crowns
application was dismissed on the basis that the trial judge was not satisfied
that the trial Crown had established that the group membership remained
constant.
[61]
Therefore,
as between the initial ruling and the final clarifications:
(1)
things remained static in relation to Mr. Okrah, with the entire similar
act application dismissed;
(2)
between the first and final clarifications, the trial Crowns application
to admit similar act evidence across all counts in relation to Mr. Johnson and
Mr. Atwima went from being granted across all counts to being dismissed as it
related to the counts involving the attempted robbery; and
(3)
between the second clarification and the final clarifications, the trial Crowns
application to admit similar act evidence across all counts in relation to Mr.
Ratnam went from being granted across all counts to being dismissed across all
counts.
[62]
Subsequent
reasons were never provided to explain how the trial judge reached these
results.
[63]
Once
the final clarifications were given, applications for directed verdicts of
acquittal flowed. There is no need to get into the complexity of how those
applications unfolded. What is important is that, at the end of the day,
directed verdicts of acquittal were entered for each accused in relation to the
count of attempted robbery and its related count of wearing a disguise. Mr.
Okrah also obtained directed verdicts of acquittal on all counts arising from
the Galbraith robbery on March 13, 2017 (the first robbery).
(v)
The
Parties Positions on Appeal
[64]
The
Crowns fundamental objection on appeal is that the similar act application was
resolved in a perfunctory way, without providing any insight into how the
decision was reached. In short, the Crown contends that the rulings and clarifications
fall well short of providing any degree of reasoning as to why the evidence was
excluded, evidence that the Crown maintains called out for admission across all
counts.
[65]
While
acknowledging that the reasons are somewhat thin, the respondents maintain that
the rulings and clarifications must be read together, in light of the record as
a whole and the parties positions taken at the
voir dire
.
When considered in their proper context, the reasons are said to reveal a chain
of reasoning that is sufficient to explain why the trial Crowns application largely
failed at trial. It is said that we should defer to that result.
(vi) The Failure to Provide
Reasons
[66]
Trial
judges have an obligation to provide reasons for their decisions. At their
core, reasons provide a level of public accountability for all judicial
decisions, an accountability that is fundamental to maintaining the rule of
law. Reasons serve important purposes, including: justifying the result, explaining
to the public how the result was achieved, telling the party that lost why they
lost, allowing for informed consideration as to whether an appeal should be
taken, and if an appeal is taken, allowing for effective appellate review:
see
R. v
.
Sheppard
,
2002
SCC 26, [2002] 1 S.C.R. 869, at para. 55;
R. v. R.E.M.
,
2008 SCC 51, [2008] 3 S.C.R. 3, at
paras. 11, 35.
[67]
Of
course, when it comes to evidentiary rulings, the failure to provide reasons
will not always be fatal provided that the decision is supportable on the
evidence or the basis for the decision is apparent from the circumstances:
R
.
v
.
Tsekouras
, 2017 ONCA 290, 353 C.C.C. (3d) 349,
at para. 156, leave
to appeal refused, [2017] S.C.C.A. No. 225;
R. v.
Barrett
, [1995] 1 S.C.R. 752, at para. 1.
[68]
Although
the standard for reasons in evidentiary rulings is more relaxed, an overarching
duty of procedural fairness nevertheless remains. The subject matter of a
ruling will necessarily inform the determination of whether procedural fairness
requires that more detailed reasons, as opposed to bottom line rulings, be
given:
Tsekouras
, at para. 156. Where an
evidentiary ruling is pivotal to one of the parties positions, and especially
where it carries the weight of that partys case, the duty of procedural
fairness is heightened and there will sometimes be a requirement for reasons that
are more akin to those we expect in the context of a judgment: see
R. v.
Woodard
, 2009 MBCA
42, 245 C.C.C. (3d) 552, at para. 25.
[69]
Undoubtedly, the trial Crowns similar act evidence application carried
the whole weight of the prosecutions case in the context of the attempted
robbery. And, based upon the trial Crowns concession at trial, it carried the
weight of the prosecutions case as it related to Mr. Okrahs alleged
involvement in the Galbraith robbery. To understand the centrality of the similar
act evidence to the prosecutions case one need look no further than the fact
that the directed verdicts of acquittal were entered as a result of the similar
act evidence rulings and clarifications. Accordingly, the duty of procedural
fairness required that at least some reasoning be provided for excluding the
similar act evidence.
[70]
That
duty was not met. There were formidable factual underpinnings to the similar
act application that suggested the need in this case for an explanation. A
proper application of the facts to the Crowns primary and, indeed, secondary
positions, pointed powerfully towards the admission of the similar act evidence,
evidence that was already intrinsic to the indictment, across all counts to
prove identity.
[71]
Even
when all of the rulings and clarifications are considered together, the trial
judge never explained how she reached the conclusions she did.
At the end of the reasons and clarifications, o
ne is left
wondering about the most important question: why? Why exactly was the evidence
of similar acts excluded? Where did the Crowns argument fall short? Why was
the evidence of linkage judged to be insufficient?
[72]
This
was not a marginal Crown application. The Crown presented a formidable case for
the admission of similar act evidence across counts to establish identity. The
striking similarity between the crimes and the static nature of the membership
of the group that committed those crimes springs from the videos of each crime,
still-shots taken, and witness accounts.
[73]
Starting with the actual robberies: they were proximate
in time, similar in detail, and contained distinctive features. The victim
stores were geographically proximate to each other. They were robbed less than
24 hours apart. They were both small business operations. Video footage shows that
the four masked men played similar roles once inside of those jewellery stores.
The victims were dominated in a similar fashion. Two of the men wielded firearms.
One yielded a hammer with white tape. The hammer was used to break the jewellery
cases and the jewellery was placed into a black Adidas backpack. A fifth
person, the driver, waited nearby in the same small blue getaway car. To
reiterate, all of this was caught on videotape.
[74]
Regarding the attempted robbery, like the
robberies, it also involved a small business operation. The scene of the
attempted robbery was mere minutes away by car from the scene of the first robbery.
The first and second crimes were committed 30 minutes apart, and all three
crimes were committed in broad daylight.
[75]
Further, like the robberies, the attempted
robbery involved four masked men. Those men were of similar builds to the men
seen in the other videos captured at the other crime scenes. Importantly, the
men, who robbed Galbraiths only 30 minutes after the attempted robbery of
Graziellas, were wearing exactly the same clothing:
§
Man One: a black hoodie with white stripes
and white logo
§
Man Two: a light grey jacket with three
stripes on the sleeves
§
Man Three: black clothing
§
Man Four: black clothing
[76]
In summary, there was a powerful argument to be
made that there was a striking similarity between the two actual robberies and
that they were committed by the same four men. There was also a powerful argument
that the four masked men who walked into and robbed Galbraiths (the same men
who robbed Valdis the next day) were exactly the same men who attempted to rob
the first jewellery store. In other words, there was a powerful Crown argument
that each crime was committed by the same group of men, that the accused were
those men, and that the respondents, by virtue of their presence in the getaway
car after the Valdis robbery, a car which contained items associated to the
crimes, were linked to the group at the relevant time.
[77]
As for the trial Crowns secondary position,
requiring some evidence linking the accused to each of the similar acts, describing
it as a strong position would not be an overstatement. Merely considering the
fact that they were found together in the getaway car 90 minutes after the
final robbery
─
a car which
contained two identical looking firearms to those used at the robberies,
jewellery from the robberies, DNA from the victim of aggravated assault, and
clothing from the attempted robbery
─
created multiple, powerful links. Of course, there was also the
evidence that Mr. Ratnam rented the getaway vehicle prior to the attempted robbery,
and Mr. Atwima conducted internet searches connected to the locations of the crimes.
[78]
In the face of the evidentiary record, it was
incumbent on the trial judge to address the degree of similarity between the
crimes. It was also incumbent on the trial judge to explain how she concluded
that the Crown had failed to establish the constancy of the group and that
there was insufficient linkage evidence.
[79]
The trial judge suggested at one point that it would
cause
undue complexity to allow the similar act evidence on a group identity basis to
apply across counts, but it is unclear why that would be so. While increasing
the complexity of the deliberative process is quite properly something to be
weighed in determining whether similar act evidence should be admitted, the
jury was already going to have to face this complexity since the trial judge
permitted the evidence to apply for purposes of the robbery counts faced by Mr.
Johnson and Mr. Atwima.
[80]
In
the circumstances, it was necessary for the trial judge to explain how she
arrived at the result in this similar act application. The failure to have done
so constitutes an error of law.
(vii) The Remedy
[81]
This
leaves the question of remedy. It is easier to understand this section of these
reasons by reference to Appendix A to these reasons.
[82]
There
is no dispute that the directed verdicts of acquittal were entered as a result
of the similar act rulings. Accordingly, the Crowns position is that a new
trial must be ordered on each count where a directed verdict of acquittal was
entered, as well as the two counts where the jury brought back verdicts of not
guilty.
[83]
The respondents
argue that if a new trial is ordered, it should be a retrial of everything,
including the convictions. They take this position on the basis that if the
trial judge is found to have committed a reversible error on the similar act application,
and a new trial is ordered in relation to the counts involving directed
verdicts of acquittal, then the error must be equally fatal to the convictions.
[3]
[84]
Counsel
to
Mr. Okrah argues that this way of approaching the remedy is
a fair one. In his submissions, Mr. Okrah argues that things may have unfolded
differently had the similar act ruling gone differently and we cannot unring
the bell at this stage, so to speak. For example, the decision not to testify
may well have changed had the similar act ruling been different. Accordingly, if
the counts involving the acquittals are to be retried, so too should the counts
involving the convictions since all the results were tainted by the error.
[85]
Respectfully, I see no basis upon which to set
aside the convictions in this case. I say this for a few reasons.
[86]
First, as for Mr. Atwima, he originally consented
to the Crown application and, therefore, to the admission of the similar act
evidence across all counts to prove his identity. He later withdrew his consent
to admission of the evidence on the attempted robbery count. He ended up with a
ruling that excluded the evidence in relation to the attempted robbery. Consequently,
the ruling he received was actually more beneficial to him than what he had
originally agreed to and precisely in line with his final position at the
admissibility
voir dire
.
In these circumstances, I see no
basis upon which to set aside his convictions.
[87]
Second, as for Mr. Johnson, he consented to the
admission of the similar act evidence across the robbery counts. Therefore, he
ended up with evidence being used in a way that he consented to. In these
circumstances, I see no basis upon which to set aside his convictions.
[88]
Finally, as for Mr. Ratnam and Mr. Okrah, the
similar act rulings also gave them exactly what they asked for: exclusion of
the similar acts against them. In these circumstances, they cannot now claim
that their convictions flowed from an inadequate ruling on similar act
evidence. To the contrary, the jury did not consider similar act evidence
across counts when finding that they committed the crimes they were found
guilty of. In my view, the impugned ruling did nothing more than inure to their
benefit. In these circumstances, I see no basis upon which to set aside their convictions.
[89]
While I accept that in some cases it may be
difficult to determine how a trial would have unfolded had rulings been
different, in this case such a submission is rooted in speculation. The record
in this case undermines the suggestion that the accused may have testified. Early
on, counsel to Mr. Okrah, and others, made clear that, regardless of the result
of the similar act application ruling, they were, as put by trial counsel to
Mr. Okrah, happy to declare that the accused would not be testifying or
calling any evidence. Accordingly, the similar act rulings and clarifications
had no impact on that choice.
[90]
One last issue on remedy needs to be briefly
addressed. In its factum, the Crown asks this court to order a new trial on all
counts impacted by the erroneous rulings. At the hearing of the appeal, it
became clear that this request was meant to cover both the directed verdicts of
acquittal and the acquittals decided upon by the jury.
[91]
As reflected at Appendix A to these reasons,
the jury returned two verdicts of acquittal. They both involved Mr. Ratnam.
Those acquittals are not reflected in the Crowns Notice of Appeal.
Accordingly, I would not set them aside.
[92]
I would, though, set aside each directed verdict
of acquittal and order a new trial on those counts.
(c) The Stay of Proceedings
(i) Overview
[93]
The Crown also appeals from the stay entered on
the count of failing to stop, the only count on the indictment that Mr. Ratnam faced
alone. As previously reviewed, Mr. Ratnam led the police on a dangerous chase.
Before his vehicle finally came to rest on the shoulder of Highway 401, Mr.
Ratnam sideswiped a police vehicle and a police vehicle struck a civilian
vehicle.
[94]
For the reasons that follow, I conclude that the
trial judge erred in law by finding that the proceedings on this count had to
be stayed.
(ii) The Parties
Positions at Trial
[95]
At the end of the Crowns case, Mr. Ratnam
brought an application to stay the fail to stop count. The application was
predicated on lost evidence: photos taken by a police officer at the scene
where the getaway car came to rest.
[96]
During the trial, it emerged that officers from
another police service had investigated the circumstances around the chase of the
getaway vehicle. At Mr. Ratnams request, the trial Crown attempted to obtain
photos that appeared to have been taken by an officer of the other police
service. The trial Crown was unsuccessful because the phone on which those
photos had been taken had been recalled in 2018 and, therefore, the photos no
longer existed.
[97]
While the photos were no longer available for
disclosure, the trial Crown was able to obtain the accident collision report
prepared by the officer who took the photos. That report included a diagram
clearly depicting where the getaway car had come to rest on Highway 401, and
where it sat relative to other vehicles near it. The Crown disclosed that
report, as well as the police notes.
[98]
Mr. Ratnam argued that his rights under s. 7 of
the
Canadian
Charter of Rights and Freedoms
had been violated
as a result of the lost photos, the absence of which were said to adversely
impact his ability to make full answer and defence. He argued that he needed
the photos to better understand how the getaway vehicle and others had come to
a stop on Highway 401, something that would place the defence in a much more
solid position to challenge the credibility of the police officers who
testified about the pursuit. Mr. Ratnam said that no remedy other than a stay
of proceedings would suffice to address the prejudice he experienced as a
result of the lost photos.
[99]
While the trial Crown was prepared to concede that the lost
photos triggered a s. 7
Charter
breach, he maintained that no
remedy was required because there was no prejudice arising from the breach. Even
if the location of the stopped getaway car was somehow relevant to the fail to
stop count, the trial Crown maintained that the diagram contained in the
accident collision report was more than adequate to meet the needs of the
defence. The trial Crown emphasized that, despite having that diagram in hand
when the officers testified during the case for the Crown, Mr. Ratnam had
chosen not to cross-examine those officers on that diagram. The failure to do
so underscored what little relevance the photos would have had in the trial.
(iii) The Ruling
Appealed From
[100]
While
reserving the right to prepare more
complete reasons for [the] ruling, the
trial judge ruled as follows:
The Crown acknowledges that there has been a breach of Mr.
Ratnams Section 7 rights. In determining the appropriate remedy, I would have
been inclined to provide an alternate or intermediate remedy, rather than a
stay of the charge of evade police, however, at this juncture, and in the very
particular circumstances of this case, the only available remedy is a stay of
proceedings of the charge of evade police, and that is granted.
No subsequent reasons were provided.
(iv) The Proceedings
Should Not have been Stayed
[101]
Pursuant to s. 24(1)
of the
Charter
,
an accused whose s. 7 rights have been breached
because of lost evidence is entitled not to a stay of proceedings but to an
appropriate and just remedy. Therefore, an accused is not automatically
entitled to a stay of proceedings, or any remedy for that matter, simply
because relevant evidence has been lost. Whether a remedy should be granted
and, if so, what that remedy should be, turns on the question of prejudice
caused by the breach: see
R. v. La
, [1997] 2 S.C.R.
680, at paras.
24-25;
R. v.
Bero
(2000), 151 C.C.C. (3d) 545 (Ont. C.A.),
at paras.
42-43; and
R. v.
Hersi
,
2019 ONCA 94, 373 C.C.C. (3d) 229,
at paras. 25, 36.
[102]
Accordingly, standing
on its own, the fact that evidence is missing, evidence that might or might
not affect the defence, is not sufficient to establish that a remedy is owed
and certainly not enough to establish that a stay of proceedings is required:
see
R. v. Bradford
(2001), 52 O.R. (3d) 257,
at para. 8.
[103]
Indeed, a stay of
proceedings is an extraordinary remedy, one that should be granted only in the
clearest of cases: see
R. v. Carosella
, [1997]
1 S.C.R. 80, at para.
52
; R. v.
OConnor,
[1995] 4 S.C.R. 411, at para. 82;
La
, at paras.
23-25;
R. v. Sheng
,
2010 ONCA 296, 254 C.C.C. (3d) 153, at
para. 44; and
Bero
,
at para. 42
.
Those
circumstances will arise only where the prejudice to the accuseds right to
make full answer and defence cannot be remedied through other means, or where
prejudice would be caused to the administration of justice should the
prosecution continue.
[104]
When determining the
degree of prejudice caused by the lost evidence, the trial judge must consider
all of the other evidence available to the defence to fill the gap:
Sheng
,
at para. 47.
[105]
Respectfully, there is
no indication in the brief reasons of an attempt to determine what prejudice the
lost photos caused to Mr. Ratnams full answer and defence. The reasons proceed
as if a remedy had to be given, and that while an alternate or intermediate
remedy may have been appropriate, at that juncture, and in the very
particular circumstances of this case, the only available remedy was a stay of
proceedings. This statement leaves a number of questions, including the most
significant question: what was the prejudice arising from the lost photos? It
was an error in law to fail to address that question.
[106]
In my view, there was
no prejudice here and no remedy was owed. I say this for a few reasons.
[107]
First, there was
nothing in the submissions from the defence that supported the notion of
prejudice, other than a bald claim that the photos would put the defence in a
much more solid position.
[108]
Second, the defence
had the OPP accident collision report that included a clear diagram of where
the getaway vehicle had come to rest relative to the other vehicles on the
highway. The officer who drew the diagram was the same officer who took the
photos of the scene and he testified at trial. In these circumstances, it is
difficult to imagine what more the photos could have contributed to the trier
of facts understanding about where the vehicles came to rest.
[109]
Third, the fail to
stop count rested not on where vehicles came to rest, but on the
viva voce
evidence of multiple witnesses who testified about Mr. Ratnams driving
maneuvers.
[110]
Finally, while the report
and diagram had already been disclosed to Mr. Ratnam by the time that multiple
officers testified about Mr. Ratnams driving maneuvers, counsel did not
cross-examine the officers on the content of those documents. The failure to do
so highlights the lack of prejudice arising from the lost photos.
[111]
The trial judge erred
in failing to consider prejudice. No remedy was required. I would set aside the
stay of proceedings on the count of fail to stop and remit the matter to a new
trial.
IV. CROSS-APPEALS
[112]
The respondents combine
to advance five grounds of appeal against conviction. They do so in different
combinations and permutations.
(a) Severance
[113]
Mr. Okrah and Mr.
Ratnam argue that the trial judge erred when she refused to grant the
respondents severance following the directed verdicts of acquittal. Mr. Okrah
in particular submits that because he was acquitted of all counts except those
related to the final robbery, he fell vulnerable to being found guilty of that
series of offences through improper reasoning involving guilt by association.
He adds that the trial Crown improperly emphasized those associations in the Crowns
closing address.
[114]
I would not give
effect to this ground of appeal.
[115]
I start by addressing the
second point first. Contrary to the submissions made, the trial Crowns closing
did not suggest to the jury that they could convict on the basis of guilt by
association. I see no need to review the impugned passages in detail. Suffice
to say that they relate to a Crown submission that quite appropriately pointed
the jury to the totality of circumstances in which the accused found themselves,
caught in the getaway car after the Valdis robbery, as circumstantial evidence
that they were among the men involved in that robbery. The absence of any
objection to the Crowns closing on this point underscores the lack of
impropriety.
[116]
As for the trial
judges refusal to grant the severance application, her reasons are solid and
legally supported.
[117]
Applications to sever the
trial of accused under s. 591(3)(b) of the
Criminal Code
,
R.S.C., 1985, c. C-46, like applications to sever counts under s.
591(3)(a),
call for the exercise of discretion. Severance will be
granted only where the interests of justice so require:
R.
v. Moore
,
2020 ONCA 827, 153 O.R. (3d) 698, at para. 10. In
this context, the interests of justice strive to balance the accuseds right to
be tried on the evidence admissible against that accused, while at the same
time preserving the societal interest in seeing justice done in a reasonably
efficient and cost-effective manner:
R. v. Last
,
2009 SCC 45, [2009] 3 S.C.R. 146, at para. 16.
[118]
Given the absence of
statutory guidelines for granting severance, deference must be afforded to the
trial judges ruling. Therefore, as long as the trial judge acts judicially
and the ruling does not result in an injustice, deference is owed:
Last
,
at paras. 14, 21.
[119]
The trial judge
accurately summarized the severance applications. She rejected the suggestion
that jury instructions would be insufficient to enable the jury to conduct its
task correctly without engaging in improper propensity reasoning. Instead, she
found that carefully crafted and clear instructions on prohibited propensity
reasoning would suffice. She in fact gave that instruction and no objection was
raised as to its content. In my view, the decision to deny severance in this
case is owed deference because it was judicially made and did not result in an
injustice.
(b) Failure to Instruct on Party Liability
[120]
Mr. Okrah, joined by Mr.
Ratnam, objects to the jury charge as it relates to aiding and abetting.
[121]
Having considered the
instructions on aiding and abetting, it is not clear to me what the alleged
deficiencies relate to. The instructions were vetted with the respondents
during the pre-charge conference. No objections were taken to the main charge
nor to the re-charge. Nor were any concerns expressed after the charge was
delivered.
[122]
Mr. Okrah acknowledges
that the charge covered the point that mere presence at the place of the crime
is insufficient to make out guilt. However, he argues that the charge was
deficient in that it failed to make clear what findings were permissible from
Mr. Okrahs presence in the getaway car with the other accused. Again, I will
not set out a rather lengthy passage from the charge on this point. Suffice to
say that the jury was clearly told that just being there does not make a
person guilty.
[123]
To the extent that
there is an objection for the first time on appeal about the instruction
involving common purpose, I would also note that the jury received a clear
instruction in accordance with the specimen charge available. The instruction
was also approved of by all counsel. I will not go through the charge in
detail.
[124]
In my view, the path
to findings of guilt for Mr. Okrah and Mr. Ratnam was through legally correct
jury instructions.
(c) Failure to Give a Copy of the Charge to the Jury
[125]
All of the respondents
argue that a written copy of the charge should have been provided to the jury. While
they recognize that it is not mandatory to do so, they argue that it should be
done in cases where there are multiple co-accused that are differently
situated.
[126]
Whether to provide a written
copy of the charge to the jury is a matter of discretion for the trial judge.
In some cases, it may well be helpful to the jury to have a copy of the charge
while deliberating. At the same time, no adverse inference can be drawn that a
jury did not understand the instructions simply because they did not have a
copy during the actual deliberative process.
[127]
In this case, the
trial judge decided not to provide a copy to the jury. She was not asked to
provide one and, importantly, no one suggested, as they now suggest on appeal,
that providing a copy was essential for the jury to properly deliberate. I
would not give effect to this ground of appeal.
(d) Unreasonable Verdict
[128]
Mr. Okrah alone says
that the evidence at trial could not reasonably support his convictions in
relation to the Valdis robbery. I will deal with this ground of appeal briefly.
[129]
To succeed on his
unreasonable verdict claim under s. 686(1)(a)(i) of the
Criminal
Code
,
Mr. Okrah must establish that no properly instructed
jury, acting judicially, could reasonably have found him guilty: see
R. v. Biniaris
,
2000 SCC 15, [2000] 1 S.C.R. 381, at para. 36. So, could
a properly instructed jury, acting judicially, reasonably find him guilty? In
my view, the answer is clearly yes.
[130]
Mr. Okrah was arrested
while seated in the getaway car about 90 minutes after the Valdis robbery,
along with his three co-accused. The car contained jewellery taken from that
robbery and weapons consistent with those used at that robbery, as well as the
hammer with white tape and the backpack used to store the jewellery.
[131]
This was not an
unreasonable verdict.
(e) Failure to
Find a
Charter
Breach Arising from the Warrantless Pings of Mr. Ratnams
Phone
[132]
All the respondents
raise this fifth and final ground of appeal. They challenge the trial judges
finding that the warrantless pings of Mr. Ratnams phone did not give rise to a
Charter
breach.
[133]
As previously noted, to
find the getaway car, the police pinged Mr. Ratnams cellular phone. In the
normal course the police require prior judicial authorization to track a cell
phone, but exigent circumstances can justify doing so without that prior
authorization.
[134]
At the time of the
offences forming the subject matter of this appeal, the police were already
investigating Mr. Ratnam for other jewellery store robberies that had been
committed a few weeks prior. Therefore, once the Galbraith and Valdis
robberies were committed and the getaway car was identified, police were able
to identify Mr. Ratnam as the renter of that vehicle. The police decided that
it was necessary to immediately locate Mr. Ratnam in an effort to prevent another
violent armed robbery.
[135]
Ultimately, Mr.
Ratnams phone was pinged three times, after which the getaway car was located.
[136]
Mr. Ratnam brought a
ss. 8 and 9
Charter
application,
claiming that the warrantless pings breached his right to privacy and that this
in turn led to his arbitrary and unlawful detention. The other accused joined
the application on the basis that their detentions resulted from the breach of
Mr. Ratnams s. 8 rights.
[137]
The trial judge found
no breach of Mr. Ratnams s. 8 rights, concluding that it was entirely
reasonable for the police to believe that another robbery was imminent and,
therefore, to exercise their powers in urgent circumstances. The respondents
challenge this finding on appeal.
[138]
In my view, there is
no basis upon which to interfere with the trial judges finding on the s. 8
issue or the careful reasons that underpin it. It is therefore unnecessary to
address the issue of standing.
[139]
Where exigent
circumstances exist, the police can use a cellular telephone ping to locate a suspect:
see, for e.g.,
R. v. Bakal
, 2021 ONCA 584, at
paras. 24-25. These circumstances will arise where there is an imminent threat
to the police or public safety, or the risk of the imminent loss or destruction
of evidence: see
R. v. Paterson
, 2017 SCC 15, [2017]
1 S.C.R. 202, at paras. 32-33;
Bakal
, at para.
19.
[140]
This record is built
on exigent circumstances. There had been two very recent, violent robberies
committed close to one another. The suspects were armed. They had demonstrated
their penchant for terrorizing their victims by threatening them with guns. At
the most recent robbery, they had demonstrated their willingness to seriously
harm a victim, leaving him bleeding profusely from the head. The violence was
escalating from crime-to-crime. The police had to act.
[141]
While there was some
discrepancy in the police evidence as to exactly when the decision was made to
ping the phone, the trial judge was alive to that discrepancy and reviewed it
in her ruling. Despite expressing some concern over those inconsistencies, the
trial judge noted the practical fact that the decision was made in a fluid and
dangerous situation. In the end, she found that the discrepancies, to the
extent they existed, did not undermine the police evidence on this point. It
was open to the trial judge to come to that decision. It was a reasonable one.
V. CONCLUSION
[142]
The Crown appeal is
granted. The cross-appeals are dismissed.
[143]
All directed verdicts
of acquittal are set aside. The stay of proceedings is set aside. A new trial
is ordered on those counts.
Released: April 1, 2022 JMF
Fairburn A.C.J.O.
I agree B.W. Miller J.A.
I agree. George J.A.
APPENDIX A: ALL COUNTS AND
VERDICTS
Graziellas Fine Jewellery (March
13, 2017)
Attempt robbery
(s. 463(a) of the
Criminal Code
)
Mr. Atwima
Directed verdict
Mr. Johnson
Directed verdict
Mr. Okrah
Directed verdict
Mr. Ratnam
Directed verdict
Disguise with intent to commit
indictable offence (s. 351(2) of the
Criminal Code
)
Mr. Atwima
Directed verdict
Mr. Johnson
Directed verdict
Mr. Okrah
Directed verdict
Mr. Ratnam
Directed verdict
Ron Galbraith
Jewellers (March 14, 2017)
Robbery using restricted or prohibited
firearm (s. 344(1)(a) of the
Criminal Code
)
Mr. Atwima
Guilty
Mr. Johnson
Guilty
Mr. Okrah
Directed verdict
Mr. Ratnam
Guilty
Disguise with intent to commit
indictable offence (s. 351(2) of the
Criminal Code
)
Mr. Atwima
Guilty
Mr. Johnson
Guilty
Mr. Okrah
Directed verdict
Mr. Ratnam
Guilty
Use of imitation firearm while
committing the indictable offence of robbery (s. 85(2)(a) of the
Criminal
Code
)
Mr. Atwima
Guilty
Mr. Johnson
Guilty
Mr. Okrah
Directed verdict
Mr. Ratnam
Not guilty
Valdis
Jewellery Shop (March 14, 2017)
Robbery using restricted or prohibited
firearm (s. 344(1)(a) of the
Criminal Code
)
Mr. Atwima
Guilty
Mr. Johnson
Guilty
Mr. Okrah
Guilty
Mr. Ratnam
Guilty
Aggravated assault (s. 268 of the
Criminal
Code
)
Mr. Atwima
Guilty
Mr. Johnson
Guilty
Mr. Okrah
Guilty
Mr. Ratnam
Not guilty
Disguise with intent to commit
indictable offence (s. 351(2) of the
Criminal Code
)
Mr. Atwima
Guilty
Mr. Johnson
Guilty
Mr. Okrah
Guilty
Mr. Ratnam
Guilty
Use of imitation firearm while
committing the indictable offence of robbery (s. 85(2)(a) of the
Criminal
Code
)
Mr. Atwima
Guilty
Mr. Johnson
Guilty
Mr. Okrah
Guilty
Mr. Ratnam
Guilty
Driving incident
following Valdis Jewellery Shop (March 14, 2017)
Fail to stop (s. 249.1(1) of the
Criminal
Code
)
Mr. Ratnam
Stayed
[1]
I say for
reasons not entirely clear on the record because, despite the trial Crowns
concession at trial on this point, the record reveals a good deal of evidence
also linking Mr. Okrah to, by way of example and, at a minimum, the Galbraith
robbery. After all, when caught in the getaway vehicle, Mr. Okrah (and his
compatriots) were surrounded by a plethora of evidence from both robberies.
[2]
Following
the trial judges initial ruling discussed below, Mr. Atwima changed his
position to align with that of Mr. Johnson.
[3]
During oral submissions at
the hearing of the appeal, Crown
counsel was asked whether the Crown agreed with the respondents that, if a new
trial were to be ordered on the similar act evidence issue, all verdicts,
including the convictions, should be set aside and all counts (except the fail
to stop count that was stayed), returned for retrial. The Crown agreed with
that position. Shortly after the hearing of the appeal, the court communicated
with counsel, asking for reattendance to assist the court with understanding
why, if the Crown appeal succeeded, the convictions should also be set aside.
Crown counsel then withdrew the earlier position, taken during oral
submissions, asking only that the acquittals be set aside and a retrial ordered
on those counts. All counsel were provided with a full opportunity to respond.
|
COURT OF APPEAL FOR ONTARIO
CITATION: Licata v. Shure, 2022 ONCA 270
DATE: 20220401
DOCKET: C68543
Feldman, Roberts and Favreau
JJ.A.
BETWEEN
Alfonso Licata
Applicant (Respondent)
and
Julia Shure
Respondent (Appellant)
Theodore Nemetz, for the appellant
Kristen Normandin and Cara Senese, for
the respondent
Heard: March 18, 2022 by video
conference
On appeal from the order of Justice Susanne
Boucher of the Superior Court of Justice, dated March 9, 2020, and signed May
11, 2021.
Favreau J.A.:
[1]
The appellant mother, Julia Shure, appeals an
order terminating child support for the two oldest children from her marriage
to the respondent father, Alfonso Licata. She also seeks to appeal the costs
order made against her in the amount of $80,183.06.
[2]
For the reasons below, I would allow the appeal.
BACKGROUND
[3]
The parties were married for twenty years and
separated in 2014.
[4]
The parties have three children, including H.S.L.
(born in 1998) and A.E.L. (born in 2000).
[5]
In 2015, the parties entered into a separation
agreement, which formed the basis for a consent order dated March 10, 2017, signed
by J. Wilson J. (the 2017 Order). The 2017 Order resolved the issues of
spousal support, child support, special and extraordinary expenses, division of
property, and parenting arrangements.
[6]
With respect to child support, the 2017 Order required
the father to pay $2,895.00 per month to the mother for all three children. The
order also provided a formula for the parties to share special and
extraordinary expenses, which included post-secondary education and related
expenses for the children and specified amounts for tutoring expenses for each
child.
[7]
Additionally, the 2017 Order included the
following term:
[T]he quantum of support set out in this Court
Order may be varied if there is a material change in the circumstances of
either party or the Children, which may include any of the following events:
(a)
Any of the Children residing away from home for the purposes of
pursuing post-secondary education;
(b)
Any of the Children changing their residence(s);
(c)
A significant change in the quantum of the Childrens special or
extraordinary expenses; or
(d)
A material change in the Applicant/Husbands income, being an
increase or decrease in his annual income of 15% or more.
[8]
In 2019, the father brought a motion to change the
2017 Order pursuant to s. 17 of the
Divorce Act
, R.S.C. 1985, c.
3 (2nd Supp.). He sought termination of child support for H.S.L. and A.E.L.,
and reimbursement for various payments. The mother responded to the motion to
change seeking, among other orders, an order for increased spousal support.
[9]
In a decision dated March 9, 2020, the motion judge
terminated child support for H.S.L. In doing so, she held that there was a
material change in circumstances because H.S.L. had reached the age of majority.
She then reviewed H.S.L.s record as a university student and determined that, given
that H.S.L. had obtained very few credits in her program, she was not devoting
herself to university studies and could instead work to support herself. The motion
judge concluded that H.S.L. could therefore withdraw from parental control. On
that basis, the motion judge terminated child support for H.S.L.
[10]
With respect to A.E.L., the motion judge found
that, despite also having reached the age of majority, she was enrolled in a
full-time university program and, accordingly, the father should continue to
pay child support for her. However, as a condition of continuing child support,
the motion judge directed the mother to provide proof of A.E.L.s full-time enrolment
in post-secondary studies within 45 days of the end of each academic term.
[11]
The motion judge declined to order an increase
in spousal support for the mother.
[12]
Following the release of the motion judges
reasons, the parties were invited to make submissions on costs. As part of his submissions,
the father provided some information that A.E.L. was not enrolled in full-time university
studies, and therefore asked that child support for A.E.L. be terminated as
well.
[13]
In a costs endorsement dated May 1, 2020, the motion
judge awarded $80,183.06 in costs to the father. In doing so, she found that he
was substantially successful in bringing his motion to change and in defending
against the mothers response to the motion to change requesting increased
spousal support. As well, the motion judge explained that the mothers conduct throughout
the litigation justified awarding costs on a substantial indemnity basis.
[14]
Seven months following the release of the costs
endorsement, the father filed a Form 14B notice of motion under rr. 14(10) and
25(1) of the
Family Law Rules
, O. Reg. 114/99, for the purpose of settling
the order. As part of the materials filed on the motion, the father again
renewed his position that child support for A.E.L. should be terminated, and he
provided a draft order to that effect.
[15]
On May 11, 2021, the motion judge released an
endorsement approving the order as proposed by the father, which included a provision
terminating child support for A.E.L. The motion judge did not provide reasons for
doing so other than stating that she had reviewed the affidavit and email
materials filed on the motion.
DISCUSSION
[16]
The mother challenges the termination of child
support for H.S.L. and A.E.L., as well as the costs order.
[17]
It is acknowledged that on appeal from a decision
dealing with a support order, the court should not overturn the order unless
the reasons disclose an error in principle, demonstrate a significant
misapprehension of the evidence, or result in an award that is clearly wrong; the
court is not to overturn a support order merely because it would have reached a
different decision or balanced the factors differently:
Gray v. Rizzi
,
2016 ONCA 152, 129 O.R. (3d) 201, at para. 18, referring to
Hickey v.
Hickey
, [1999] 2 S.C.R. 518, at paras. 11-12. However, as reviewed below, I
have concluded that the motion judge made errors in principle in terminating
child support for H.S.L. and A.E.L. Given that conclusion, I would also set
aside the costs.
Issue 1: The termination of child support for
H.S.L.
[18]
The mother argues that the motion judge erred in
her articulation and application of the test on a motion to change. I agree.
[19]
Section 17(1)(a) of the
Divorce Act
gives
a court of competent jurisdiction the power to vary a support order. Section
17(4) precludes the court from varying a child support order unless there has
been a change of circumstances since the initial support order or the last
variation order was made. Section 14(b) of the
Federal Child Support Guidelines
,
SOR/97-175, contemplates that a change of circumstances constitutes any change
in the condition, means, needs or other circumstances of either spouse or of
any child who is entitled to support. As reviewed above, the 2017 Order also
contained a term allowing for the variation of support when there is a material
change in circumstances.
[20]
In conducting an inquiry into whether there is a
material change in circumstances, courts have required the party seeking the
variation to demonstrate a material change of circumstances that was not
contemplated by the parties at the time that the initial order was made and
that, if such a change had been known, would likely have resulted in different
terms:
L.M.P. v. L.S.
, 2011 SCC 64, [2011] 3 S.C.R. 775, at para. 32,
citing
Willick v. Willick
, [1994] 3 S.C.R. 670, at p. 688.
[21]
The Supreme Court of Canada set out the test for
determining whether there has been a material change of circumstances in
Gordon
v. Goertz
, [1996] 2 S.C.R. 27, at paras. 10-13. This court, in
N.L. v.
R.R.M.
, 2016 ONCA 915, 88 R.F.L. (7th) 19, at para. 29, summarized that
test as having three components:
1) a change in the condition, means, needs or
circumstances of the child and/or or the ability of the parents to meet those
needs;
2) the change must materially affect the
child; and
3) the change was either not foreseen or could
not have been reasonably contemplated by the judge who made the initial order.
[22]
In this case, the motion judge described her
approach to deciding whether there had been a material change in circumstances
as follows:
Because [A.E.L.] and [H.S.L.] have reached the
age of majority, their ages would constitute a material change in circumstances
justifying variation of the 2017 order, unless there is evidence that they are
unable by reason of illness, disability or other cause, to withdraw from the
charge of the parents.
Divorce Act s.2(1)(b)
;
s.17(4)
.
The
person who seeks support to continue for a child over the age of majority bears
the onus of establishing the need for continued support, but the court looks to
the overall evidentiary record to determine the issue.
[23]
On this basis, the motion judge started from the
premise that there had been a material change in circumstances because H.S.L. had
reached the age of majority. She then required the mother to demonstrate that H.S.L.
was not capable of withdrawing from parental control. This was an error in
principle. H.S.L. was already over the age of majority when the 2017 Order was
made, at which time she was also already attending university. There was no
material change in circumstances from the time of the 2017 Order.
[24]
Notably, the 2017 Order specifically
contemplated a child residing away from home for the purposes of pursuing
post-secondary education as an example of a material change in circumstances
that would warrant a change in the amount of support. The presence of the
additional requirement of the child residing away from home clearly implies
that attending post-secondary education would not in and of itself create a
material change in circumstances attracting a variation of support.
[25]
Accordingly, at the time that the 2017 Order was
made, the parties had clearly contemplated that support would continue after
H.S.L. was 18 years old and that she would attend university. This was the appropriate
starting point for assessing whether there had been a material change in
circumstances that justified terminating or reducing child support for H.S.L.;
not whether H.S.L. had attained the age of majority.
[26]
The motion judge further erred by placing the
burden on the mother to prove that H.S.L. required continuing child support. She
conducted this inquiry as though it was an initial application for child
support pursuant to s. 15.1(1) of the
Divorce Act
, which would require
a determination of whether H.S.L. was still a child of the marriage as
defined in s. 2(1).
[27]
In doing so, the motion judge reviewed the
Farden
factors, which assist in determining whether an individual is a child of the
marriage:
Farden v. Farden
(1993), 48 R.F.L. (3d) 60 (B.C. S.C.).
[28]
The motion judge then considered H.S.L.s
progress in her university program:
[H.S.L.s] university transcripts show that
she has completed only about 3.5 credits in 4 years, and a degree at her
university generally requires at least 20 credits.
From the transcripts, it
seems [H.S.L.] has been a full-time student or nearly a full-time student at
various points, but she did not necessarily attain credits for all her courses
.
[Emphasis added.]
[29]
The motion judge went on to review the mothers explanation
for this slow progress, which she accepted as a finding of fact:
[The mother] says that [H.S.L.] has learning
disabilities and that she is completing her university courses slowly. She says
that [H.S.L.s] issues have been present since she was in the third grade,
and
that [the father] has always been aware of this
. She says he has paid for [H.S.L.s]
tutoring for many years and was involved in the original hiring of the tutor.
I accept [the mothers] evidence on the point
. [Emphasis added.].
[30]
Nevertheless, the motion judge ultimately found
that H.S.L.s progress in university was not reasonable and that H.S.L. should
therefore not be considered a child of the marriage. In particular, the motion
judge stated that there was no evidence about H.S.L.s educational limitations
or career plans. On that basis, the motion judge concluded that the mother had
not met what she characterized as the mothers onus:
Because [H.S.L.] is over the age of
majority, it is [the mothers] onus to establish that [H.S.L.] is unable to
withdraw from parental control
. There is
insufficient evidence before the court of her inability to withdraw from her
parents at present according to the
Divorce Act
definition, given the
evidence that she works at least part time and the insufficient justification
advanced for the supported pursuit of her current educational plan. [H.S.L.] is
no longer a child of the marriage. [Emphasis added.]
[31]
The motion judge erred by reversing the onus and
requiring the mother to prove that H.S.L. was not able to withdraw from
parental control.
[32]
On an initial application for child support
pursuant to s. 15.1(1) of the
Divorce Act
, a court may make an order
for the payment of child support for any or all children of the marriage. For
children who are at the age of majority or older, s. 2(1) of the
Divorce
Act
defines them as being a child of the marriage if they are under [parental]
charge but unable, by reason of illness, disability or other cause, to withdraw
from their charge or to obtain the necessaries of life.
[33]
When a parent claims child support for a child
who is at the age of majority or older, that parent has the onus of proving
that the child remains under parental charge:
Whitton v. Whitton
(1989), 21 R.F.L. (3d) 261 (Ont. C.A.), at p. 263;
Dring v. Gheyle
,
2018 BCCA 435, 430 D.L.R. (4th) 181, at para. 49;
Olson v. Olson
, 2003
ABCA 56, 225 D.L.R. (4th) 735, at para. 13. This onus can be satisfied by identifying
circumstances such as, for example, the child being enrolled in higher
education: see
W.P.N. v. B.J.N.
, 2005 BCCA 7, 249 D.L.R. (4th) 352, at
para. 18.
[34]
In this case, it was an error for the motion judge
to treat this as an initial request for child support for a child who is at or above
the age of majority. The parties had already agreed and obtained an order in
2017 that contemplated that support was to be paid for H.S.L. The only relevant
question at the variation stage was whether the father had proven that there had
been a material change in circumstances since the 2017 Order, and specifically
whether it was beyond the parties contemplation at that time that H.S.L. would
take an extended period of time to complete her university studies.
[35]
Based on the record before the motion judge, had
she conducted the proper inquiry, she should have found that the father had not
established a material change in circumstances. As reviewed above, the evidence
was that H.S.L. was a full-time student or nearly a full-time student during
the relevant period. The motion judge noted that the 2017 Order contemplated
payments for a tutor for H.S.L. In addition, the motion judge accepted the mothers
evidence that the father was familiar with H.S.L.s learning challenges. In the
circumstances, the motion judge should not have found that the mother failed to
prove that H.S.L.s course of study was reasonable. Rather, she should have
found that the father had failed to meet his burden of proving that there was a
material change in circumstances from the time that the 2017 Order was made.
[36]
This does not mean that the father should be
required to pay child support for H.S.L. indefinitely. But child support should
not be terminated for H.S.L. until the father can demonstrate that there has
been a material change in circumstances not contemplated at the time of the 2017
Order and that H.S.L. is able to withdraw from parental control.
[37]
Accordingly, the order terminating child support
for H.S.L. cannot stand. Instead, I would reinstate the support payments for
H.S.L. that were required under the 2017 order, supported by a Family
Responsibility Enforcement order.
Issue 2: The termination of child support for
A.E.L.
[38]
The mother argues that the motion judge also erred
in terminating child support for A.E.L. because the order that she approved was
inconsistent with her reasons. I agree.
[39]
As reviewed above, in her original decision, the
motion judge found that child support for A.E.L. should continue as long as the
mother provided proof that A.E.L. was enrolled in a full-time university
program within 45 days after the end of each academic term.
[40]
In the context of submissions on costs, the father
again sought an order terminating child support for A.E.L., claiming that she
was not enrolled in a full-time university program. In her costs endorsement,
the motion judge appeared to reject this argument as follows:
[The father] takes the position in his
written brief that because [A.E.L.] is enrolled in 4 courses rather than 6,
that this disentitles her to support. I do not agree with this position
. I would note for the parties that full-time school attendance may
not necessarily be required of the children of the marriage, depending on their
overall limitations at any given time, based on any [medical] or psychological
issues, and given the overall circumstances that present. For example, less
than full time attendance, if caused by outside employment or other activities
may reduce the amount that [the father] would be required to pay for their
support or may disentitle them to support, depending on the overall
circumstances. Less than full-time attendance because of a medical or
psychological issue may require full support, however continued slow progress
may not merit continued support periods if the lack of progress extends beyond
a reasonable period of time, depending on the overall goals. All this is to
point out that a motion to change would be required to stop the requirement to
pay support for the children if they are enrolled in less than full-time school,
so that the judge could analyze whether the children still fall within the definition
under the
Divorce Act
, given the governing caselaw. [Emphasis added.]
[41]
However, later in her costs endorsement, the motion
judge directed that the costs award be taken out as drafted in the order
regarding the trial results as prepared by [the fathers] counsel.
[42]
This appears to have led to disagreement between
the parties over the terms of the order, given that the order proposed by the father
included a term ending child support for A.E.L.
[43]
The father then brought a Form 14B motion,
seeking to settle the order. His materials on the motion included an affidavit
that attached various documents from A.E.L.s university program. The documents
included a letter from the university stating that A.E.L. was indeed enrolled in
full-time studies. The materials also included a transcript showing that A.E.L.
was enrolled in four courses in her first two terms. Finally, the materials
included pages from a university calendar listing the full-time course load in
the first year of A.E.L.s university program as consisting of 6 specified courses
in the first semester and 5 specified courses in the second semester.
[44]
The motion judge released her endorsement regarding
the Form 14B motion on May 11, 2021. Her endorsement did not explicitly address
the issue of whether child support for A.E.L. should be terminated. Rather, she
granted the fathers motion and signed the draft order provided by his counsel
[b]ased on [her] review of the affidavit and email materials filed, as well as
the application and the consents signed by the parties.
[45]
I find that it was an error for the motion judge
to approve the order proposed by the father, which included a provision
terminating child support for A.E.L. It is not clear whether this error was
inadvertent or substantive. It was nevertheless an error.
[46]
If the motion judges intention was to terminate
A.E.L.s child support based on the fathers position that she was not enrolled
in a full-time university program, no reasons were provided for this finding. Notably,
the termination of child support for A.E.L. contradicts the paragraph in the
costs endorsement where the motion judge directly addressed this issue, and where
she explicitly stated that another motion to change would be required to determine
whether child support for A.E.L. should be terminated. No such motion appears
to have been brought.
[47]
In any event, the evidence put forward by the father
does not support an unequivocal finding that A.E.L. was not enrolled in full-time
university studies. The materials the father provided to the motion judge included
a letter from the university stating that A.E.L. is enrolled in a full-time
program. The only evidence to the contrary was the fathers interpretation of a
general statement in the calendar for A.E.L.s university program characterizing
a full-time course load for first-year students in the first semester as requiring
six courses.
[48]
Finally, the motion judges initial approach to
determining whether child support should be continued for A.E.L. was the same
as her approach to child support for H.S.L. Ultimately, as reviewed above,
child support for A.E.L. could only be terminated if the father had been able
to establish a material change in circumstances since the time of the 2017
Order and that A.E.L. is able to withdraw from parental control.
[49]
While I have concluded that the motion judge
erred in terminating child support for A.E.L. based on the discrepancies
between her reasons for decision and her final order, I note that any future motion
to change would have to be based on a proper evidentiary foundation and an analysis
of whether there was a material change in circumstances, and cannot simply be
based on evidence that A.E.L. is no longer enrolled in full-time studies.
[50]
Accordingly, the order terminating child support
for A.E.L. is set aside. Instead, the 2017 order requiring the father to continue
paying child support for A.E.L. is reinstated, supported by a Family
Responsibility Support enforcement order.
Issue 3: Costs order
[51]
The mother argues that the costs order should be
set aside because the motion judge erred in finding that the father was
substantially successful.
[52]
It is not necessary to decide whether the motion
judge erred in awarding costs to the father given that the appeal is allowed on
the two other issues raised. The entitlement and quantum of costs for the
proceedings below will have to be decided afresh based on the outcome of this appeal.
Directions are provided below for the submission of materials on this issue.
DISPOSITION
[53]
In conclusion, I would allow the appeal and: (a)
strike paragraphs 2, 3, and 9 of the motion judges order dated March 9, 2020
(signed May 11, 2021); and (b) make an order requiring the father to pay
ongoing child support for H.S.L. and A.E.L. according to the terms of the 2017
order.
[54]
Because I would allow the appeal, the mother is entitled
to the return of the amount that she posted as security for costs. Accordingly,
I would order that the sum of $100,000 posted as security for costs by the mother
is to be released to her.
[55]
The parties should try to agree on costs below
and for the appeal. If they are unable to agree, they may make brief
submissions (no longer than three pages) within three weeks of the release of
these reasons, addressing the costs of the appeal as well as costs of the
motions below.
Released: April 1, 2022 K.F.
L.
Favreau J.A.
I
agree. K. Feldman J.A.
I
agree. L.B. Roberts J.A.
|
WARNING
The President of the panel
hearing this appeal directs that the following should be attached to the file:
An order restricting
publication in this proceeding under ss. 486.4(1), (2), (2.1), (2.2), (3) or
(4) or 486.6(1) or (2) of the
Criminal Code
shall continue. These sections of the
Criminal Code
provide:
486.4(1) Subject
to subsection (2), the presiding judge or justice may make an order directing
that any information that could identify the victim or a witness shall not be
published in any document or broadcast or transmitted in any way, in
proceedings in respect of
(a) any of the
following offences;
(i) an offence
under section 151, 152, 153, 153.1, 155, 159, 160, 162, 163.1, 170, 171, 171.1,
172, 172.1, 172.2, 173, 210, 211, 213, 271, 272, 273, 279.01, 279.011, 279.02,
279.03, 280, 281, 286.1, 286.2, 286.3, 346 or 347, or
(ii) any offence
under this Act, as it read at any time before the day on which this
subparagraph comes into force, if the conduct alleged involves a violation of
the complainants sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii) REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b) two or more offences being dealt
with in the same proceeding, at least one of which is an offence referred to in
paragraph (a).
(2) In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a) at the first
reasonable opportunity, inform any witness under the age of eighteen years and
the victim of the right to make an application for the order; and
(b) on application
made by the victim, the prosecutor or any such witness, make the order.
(2.1) Subject to
subsection (2.2), in proceedings in respect of an offence other than an offence
referred to in subsection (1), if the victim is under the age of 18 years, the
presiding judge or justice may make an order directing that any information
that could identify the victim shall not be published in any document or
broadcast or transmitted in any way.
(2.2) In proceedings in
respect of an offence other than an offence referred to in subsection (1), if
the victim is under the age of 18 years, the presiding judge or justice shall
(a) as soon as feasible,
inform the victim of their right to make an application for the order; and
(b) on application of
the victim or the prosecutor, make the order.
(3) In proceedings
in respect of an offence under section 163.1, a judge or justice shall make an
order directing that any information that could identify a witness who is under
the age of eighteen years, or any person who is the subject of a
representation, written material or a recording that constitutes child
pornography within the meaning of that section, shall not be published in any
document or broadcast or transmitted in any way.
(4) An order made
under this section does not apply in respect of the disclosure of information
in the course of the administration of justice when it is not the purpose of
the disclosure to make the information known in the community.
2005, c. 32, s. 15; 2005, c. 43, s. 8(3)(b);
2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c. 13, s.
18..
486.6(1) Every
person who fails to comply with an order made under subsection 486.4(1), (2) or
(3) or 486.5(1) or (2) is guilty of an offence punishable on summary conviction.
(2) For greater
certainty, an order referred to in subsection (1) applies to prohibit, in
relation to proceedings taken against any person who fails to comply with the
order, the publication in any document or the broadcasting or transmission in
any way of information that could identify a victim, witness or justice system
participant whose identity is protected by the order. 2005, c. 32, s. 15.
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v. J.L., 2022 ONCA 271
DATE: 20220404
DOCKET: C68791
Pardu, Paciocco
and Thorburn JJ.A
.
BETWEEN
Her Majesty the Queen
Respondent
and
J.L.
Appellant
Mindy Caterina, for the appellant
Kristen Pollock, for the respondent
Heard: March 23, 2022 by video conference
On appeal from the conviction entered on
December 13, 2019 and the sentence imposed on September 18, 2020 by Justice Marquis
S. V. Felix of the Ontario Court of Justice.
REASONS
FOR DECISION
OVERVIEW
[1]
J.L. was convicted of sexually assaulting the
complainant, his estranged wife. He was also convicted of breach of probation
arising from the same event, which is alleged to have occurred on September 17,
2018. Both parties testified during the trial. Credibility was the only
contested issue. The trial judge was not left with a reasonable doubt following
J.L.s testimony primarily because J.L. had initially lied to the police by
denying his presence at his wifes place of residence at the time of the
alleged offences. The trial judge accepted the testimony of the complainant that
J.L. had intercourse with her against her will, and thereby breached a
condition requiring him to keep the peace and be of good behavior in a
probation order he was under for prior offences he had committed against the
complainant.
[2]
J.L. appeals his conviction, identifying alleged
errors in the trial judges analysis of the complainants credibility. He
argues that the trial judge relied unduly on the complainants demeanour and that
he incorrectly used the absence of exaggeration as a makeweight bolstering her
credibility. He also argues that the trial judge misapprehended the importance
of material evidence. J.L. also seeks leave to appeal his global sentence of three
years and three months.
[3]
Although J.L. raises concerns about the trial
judges credibility evaluation that are not entirely without merit, when
examined in the context of the reasons for judgment as a whole, those concerns
do not overcome the significant deference that must be given to the trial
judges credibility determinations, recently reinforced by Karakatsanis J. in
R.
v. G.F.
, 2021 SCC 20, 459 D.L.R. (4th) 375, at paras. 81‑82. As
explained below, we therefore deny the conviction appeal.
[4]
J.L. also seeks leave to appeal his global
sentence of three years and three months. For the reasons below, we grant leave
to appeal the sentence, allow the sentence appeal and substitute a global
sentence of three years.
DEMEANOUR
[5]
J.L.s main ground of appeal asserts that the
trial judge gave undue weight to the complainants demeanour in his assessment
of her credibility. In his reasons for judgment, the trial judge did comment extensively
on the complainants demeanour, including her state of emotion and the manner
in which she testified, and he stressed repeatedly how closely he had examined
the complainant during her testimony.
[6]
It is appropriate for trial judges to consider
the demeanour of witnesses when evaluating their credibility:
R. v. R.D.
,
2016 ONCA 574, 352 O.A.C. 350, at para 25;
R. v. E.A.P.
,
2022
ONCA 134, at para. 21. However, this court has cautioned that demeanour can be
an unreliable gauge of credibility because of the impact that culture,
personality and pressure can have on courtroom behaviour, and the risk that stereotypes
about credibility will distort the evaluation:
R. v. Rhayel
, 2015 ONCA
377, 334 O.A.C. 181, at para. 85;
R. v. Santhosh
, 2016 ONCA 731, 342
C.C.C. (3d) 41;
R. v. Hemsworth
, 2016 ONCA 85, 334 C.C.C. (3d) 534;
R.
v. A.A.
, 2015 ONCA 558, 327 C.C.C. (3d) 377, at paras. 131-32;
R. v. T.M.
,
2014 ONCA 854, 318 C.C.C. (3d) 421. Therefore, it is an error to give undue weight
to demeanour in making credibility determinations. Although the trial judge
arguably gave more attention to demeanour in his reasons for judgment than is
optimal, we are left unpersuaded that the trial judge erred by giving undue
weight to demeanour.
[7]
First, the trial judge was aware that he should
not rely unduly on demeanour when coming to his decision. The parties cautioned
him in this regard, and he expressly adopted the principles of credibility
evaluation described in
R. v. G.A.
, 2017 ONSC 7493, which include, at para.
142, a caution against overreliance on demeanour. He also demonstrated an
understanding that cases should not be decided based primarily on demeanour. He
did so by rejecting J.L.s testimony despite being impressed by J.L.s
demeanour, and by stressing in his reasons that his decision to accept the
complainants testimony was based on a number of factors.
[8]
Second, the lengthy demeanour section in the reasons
for judgment was dedicated primarily to explaining why the complainants
demeanour in pausing before answering and not responding directly to questions
did
not
undermine her credibility. Although the trial judge made this
decision based on other aspects of the complainants demeanour, including her
state of emotion and her straightforward blunt personality, the net result is
that on this occasion the trial judge used aspects of the complainants demeanour
not as a positive indication of her credibility, but as a basis for declining
to rely on other aspects of her demeanour in his credibility evaluation. In our
view, a decision not to rely on demeanour, even if based on other aspects of
demeanour, cannot contribute to a finding that demeanour has been used unduly.
[9]
Third, it was not inappropriate for the trial
judge to rely on demeanour to discount the weight of the complainants refusal
to acknowledge in her testimony her interest in reconciling with the appellant
in the year prior to the assault. To be clear, there may have been room for
criticism if the trial judge relied on the complainants demeanour to find that
she was being truthful when denying her interest in reconciliation, but this is
not what occurred. The trial judge was fully aware that the complainant had not
been entirely forthcoming in this area. Instead, he relied on her animated
response in putting a text message document she had been confronted with face
down on the witness box in order to understand why she was not forthcoming. The
trial judge concluded that this discrete act demonstrated the complainants
discomfort in acknowledging, as borne out by the text messages, that there was
a time when she wished to reconcile with the appellant. In the trial judges
view, this explanation for her reluctance to admit her interest in
reconciliation blunted the impact of this incident on the credibility of her
sexual assault allegation. Although not every judge may have drawn this
inference, it was open to the trial judge to do so.
[10]
There is no question that the trial judges evaluation
of the demeanour of the complainant also influenced his overall credibility assessment.
But as the trial judge made clear, he relied as well on other factors,
including testimony from the appellant that confirmed much of the complainants
narrative, and the complainants emotional condition after the alleged assault.
On this record, it cannot be said that the trial judge relied unduly on
demeanour.
THE ABSENCE OF EXAGGERATION
[11]
The complainant told the police that the
appellant reinserted his penis in her vagina after ejaculating on her stomach.
She did not include this detail in her testimony until she was confronted in
cross-examination with her police statement. The trial judge explained why, in
his view, this was not a significant contradiction. He then noted that the
reinsertion of the penis is an aggravating factor and commented, If the
complainant was singularly focused on animus, she would have [
] taken great
care to explain each aggravating circumstance, including a re‑introduction
of the [appellants] penis.
[12]
The appellant contends that the trial judge
erred in drawing this inference since it is an error for a trial judge to treat
the absence of embellishment as a makeweight in favour of credibility:
R.
v. Alisaleh
, 2020 ONCA 597, at para. 16. We do not agree that the trial
judge erred in drawing the inference that he did. We agree that it is improper
for a trial judge to infer that a more modest sexual assault allegation is more
likely to be true because a false allegation is likely to be serious. But this
is not the reasoning the trial judge engaged in. Instead, he reasoned that if
the complainant had really concocted the sexual assault allegation out of
animus as the appellant alleged, she would not have failed to mention this
aggravating feature of her allegation when offering her testimony in chief. This
inference was not being used as a makeweight an affirmative indication of
truthfulness but rather was directed at rebutting or knocking off of the
scales a defence challenge to the complainants credibility.
THE MISAPPREHENSION OF EVIDENCE
[13]
The appellant argues that the trial judge
misapprehended evidence relevant to credibility by failing to give it proper
effect.
[14]
First, he contends that the trial judge
misapprehended the relevance of evidence about text messages from the prior
year in which the complainant demonstrated a desire to reconcile with the
appellant. The evidence about the text messages was relevant to the
complainants credibility in two ways: (1) the text messages provided evidence
that arguably supported the jealousy and animus motive the appellant alleged,
and (2) the text messages arguably showed that the complainant was lying when she
claimed that she was not, at the time, interested in reconciling with the
appellant. The appellant argues that the trial judge misapprehended the
relevance of the text message evidence by addressing only the first issue and
not the second. We do not agree. The trial judge appreciated and addressed the
second issue. As indicated above, he attributed the complainants refusal to
acknowledge her interest in reconciliation to the complainants reluctance to
admit her desire to reconcile. Regardless of what may be said about how
persuasive that inference is, it demonstrates that the trial judge did not
misapprehend the relevance of the text message evidence.
[15]
Second, the complainant argues that the trial
judge failed to appreciate the relevance of the testimony of the appellants probation
officer that the complainant told her that the sexual assault had occurred sometime
over the past week or over the weekend. In contrast, the complainant testified
that the sexual assault occurred 30-40 minutes before she phoned the
appellants probation officer. When the trial judge analyzed this contradiction,
he said that it is addressed by the fact that the appellant confirmed that he
attended the complainants residence prior to the phone call.
[16]
The appellant argues that this analysis missed
the real point. The significance of the contradiction was not that it created
doubt about when the alleged event occurred. Its significance was that if the
complainant did tell the probation officer that the sexual assault had occurred
sometime over the past week or on the weekend, this casts serious doubt on the
credibility of her entire sexual assault allegation. Specifically, if a sexual
assault had in fact occurred 30-40 minutes before the phone call as testified
by the complainant, it is inconceivable that the complainant would have told
the probation officer almost immediately after the sexual assault that the
sexual assault had happened days before. Moreover, the trial judge relied on
the upset state of the complainant as after-the-fact conduct consistent with
the complainant having just been sexually assaulted. If the complainant had
told the probation officer that the sexual assault had in fact occurred days before,
her state of upset would not have been reliable evidence of the sexual assault.
[17]
We accept that the organization of the trial
judges reasons does create the appearance that he misapprehended the
significance of this contradiction. As indicated, when he raised and addressed this
issue directly, he appears to have treated the contradiction as if it was
relevant only to the timing of the assault. However, a trial judges reasons
must be read as a whole. When the whole of his reasons is considered, it is
apparent that the trial judge had significant reservations about accepting that
the probation officer accurately recorded the conversation. He noted earlier in
his reasons that when the complainant spoke to the probation officer, she was upset
and had to be calmed down before she could be understood; that the interaction
between the probation officer and the complainant was not recorded; that the
probation officers report was not filed as an exhibit; that she was not engaging
in an investigative interview; and that while she did her best to make notes,
she is not an investigator. Moreover, the trial judge noted that the
complainant testified that she in fact told the appellants probation officer
that the sexual assault had occurred only moments before. Although the trial
judge could have been more explicit, it seems clear that he was not persuaded
that the complainant had told the probation officer that the sexual assault
occurred the week before or on the weekend. Although the appellant takes issue
with that finding given that the probation officer had notes, this finding was
open to the trial judge. The instant point is that an examination of the whole
of the record precludes a finding that the trial judge misapprehended the significance
of this evidence.
CONCLUSION ON CONVICTION APPEAL
[18]
We recognize that the appellant made incidental
arguments before us taking issue with the trial judges treatment of other
contradictions and arguing that inadequate attention was given to the appellants
animus theory. It is not for us to retry the case. We will therefore say no
more on those issues and would dismiss the conviction appeal.
THE SENTENCE APPEAL
[19]
The Crown concedes that the trial judge erred in
principle by imposing a sentence of three years and three months on the sexual
assault conviction after the trial Crown requested a global sentence of three
years. In order to exceed the sentence recommended by the trial Crown, the
trial judge was obliged to first alert the parties of his intention to do so
and then give them an opportunity to make submissions:
R. v. Blake-Samuels
,
2021 ONCA 77, at paras. 30-34, 36. But he did not do so.
[20]
We are persuaded that this error affected the
sentence. We have had the benefit of relevant submissions on whether the
sentence requested by the trial Crown should be exceeded. The appeal Crown
conceded before us that the three‑year sentence the trial Crown had requested
is fit and could offer no basis upon which the additional three months of
incarceration would be required. We are therefore satisfied that, had the trial
judge conducted the inquiry he should have conducted, it is probable that he
would have acceded to the sentence the trial Crown requested.
[21]
In the face of this error, it falls to us to
impose a fit sentence. We reject the sentencing range suggested by the
appellant. The aggravated factors in this case make a sentence at the low end
of the range inappropriate. We set aside the sentence on the sexual assault conviction
and substitute the sentence the trial Crown requested of three years of incarceration.
CONCLUSION ON THE SENTENCE APPEAL
[22]
Leave to appeal is granted, the sentence imposed
for the sexual assault conviction is set aside, and a sentence of three years
is substituted.
G. Pardu J.A.
David M. Paciocco J.A.
J.A. Thorburn J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION:
Tabriz Persian Cuisine Inc. v. Highrise Property Group Inc.,
2022 ONCA 272
DATE: 20220404
DOCKET: C69604
Feldman, MacPherson and Lauwers
JJ.A.
BETWEEN
Tabriz Persian Cuisine Inc.
Plaintiff (Appellant)
and
Highrise Property Group Inc.
Defendant (Respondent)
Esmaeil Mehrabi, for the appellant
Angela Assuras, for the respondent
Heard: February 25, 2022 by video conference
On appeal from the judgment of Justice Jasmine
T. Akbarali of the Superior Court of Justice, dated June 16, 2021, with reasons
at 2021 ONSC 4065.
MacPherson J.A.:
A.
Introduction
[1]
This appeal centers on the reasonableness of a
landlords refusal to consent to a tenants lease assignment. On three
occasions, the appellant tried to assign its lease. On three occasions, the
respondent refused. It offered differing reasons for doing so, but each refusal
insisted that the respondent would not consider the assignment unless the
appellant removed a patio it had built on the condominiums property.
[2]
The appellant brought an action for damages
after the third refusal. After a trial, Akbarali J. found that the appellant
had not shown that the respondent acted unreasonably. For these reasons, I find
that she did not err in doing so. The appellant attempts to extricate questions
of law from a finding of fact. The fundamental question is whether a reasonable
person could have withheld consent. The appellants refusal to rectify its
breach of the lease meets the reasonable person standard and is not overwhelmed
by the respondents request that the appellant abandon a parallel lawsuit.
B.
FACTS
(1)
The Parties and Events
[3]
The appellant, Tabriz Persian Cuisine Inc.,
owned a Persian restaurant in premises leased from the respondent Highrise
Property Group Inc. In 2018, the appellant decided to sell its business. Doing
so required the respondent to consent to the assignment of its lease with the appellant.
Section 10.01 of the lease prohibited the respondent from unreasonably
withholding or delaying its consent. The section went on to specify that it would
not be unreasonable for the respondent to consider the proposed transfers
conformity with the lease, the assignees business fundamentals, and the
availability of other premises.
[4]
Three times, the appellant found a buyer and
sought the respondents consent. Three times, the respondent refused to
consider the assignment unless the appellant met a series of conditions. Though
the conditions changed through the offers, the respondent consistently asked
that the appellant remove a patio it had built as an addition to its
restaurant.
[5]
The patio was a source of significant friction
between the parties. Prior tenants had used the area in front of the premises
for outdoor dining. The appellant added a wooden structure to correct what it
saw as a grading problem. The respondent subsequently asked the appellant to
remove the patio as it did not comply with the lease. The appellant resisted on
the basis that it had obtained the consent of the respondents agent before
installing the patio. The patio and the alleged representation are at the heart
of a separate action brought by the appellant.
[6]
In its third refusal to consent to the
assignment, the respondent requested that the appellant remove the patio and
that it discontinue the parallel litigation.
(2)
The Trial Judges Decision
[7]
The trial judge concluded that the appellant had
failed to show that the respondents refusal to consent to the lease was
unreasonable. Despite the respondents various other grounds for refusing to
consent to the assignment, the trial judge found that the patio was its primary
reason for refusal.
[8]
The trial judge noted that the appellant had
built the patio outside the leased premises without the respondents consent.
The appellant understood that the patio did not conform with the lease, as
shown through its various unfulfilled promises to remove the deck/patio. The
trial judge reasoned [i]t is not reasonable to expect the [respondent] to
consent to an assignment of lease in circumstances that are going to perpetuate
the patio problem that has plagued the parties for years. The respondent was
merely insisting that the appellant restore the leased premises before it left.
[9]
However, the respondents insistence that the
appellant discontinue its parallel lawsuit was not reasonable. The trial judge
found that this condition was the respondents attempt to use its greater
bargaining power to secure a dismissal of the action in which the plaintiff may
be asserting legitimate rights [and] is not connected to the request to assign
the lease. Nevertheless, this collateral purpose did not render the
respondents refusal unreasonable, viewed holistically: Put another way, a
reasonable basis to refuse consent saves a co-existing tainted purpose.
[10]
Finally, the trial judge found in
obiter
that the appellant had not sufficiently proved its damages.
C.
ISSUES
[11]
The appellant raises three issues on the appeal:
1.
Did the trial judge err by finding that the
respondent did not impose a pre-condition to considering the appellants
assignment request?
2.
Did the trial judge err by finding that the
respondents refusal to consent to the assignment was reasonable?
3.
Did the trial judge err by finding that the
reasonable purpose saved the collateral purpose?
D.
ANALYSIS
Preliminary issue - Standard of Review
[12]
I disagree with the appellants argument that
the lease is a standard form contract that should be reviewed for correctness.
Whether a landlords refusal to consent to a lease assignment is reasonable is
essentially a question of fact that must be determined on the circumstances of
the particular case, including the commercial realities of the market place and
the economic impact of the assignment on the landlord:
1455202 Ontario
Inc. v. Welbow Holdings Ltd.
(2003), 33 B.L.R. (3d) 163 (Ont. S.C.), at
para. 9(6). The trial judges decision is, accordingly, entitled to deference
absent palpable and overriding error:
Housen v. Nikolaisen
, 2002 SCC
33.
(1)
The Pre-Condition Issue
[13]
The appellant contends that the respondent acted
unreasonably by refusing to even consider the lease assignment before its
conditions were met. In its email concerning the third offer, the respondents
agent wrote you have to remove your patio complete to the ground and make good
all damages to the wall and floor
before
he considers your
Assignment of Lease(emphasis in original). The appellant relies on para. 50 of
Royal Bank of Canada v. Oxford Medical Inc.,
2019 ONSC 1020, for the
principle that a landlord has an obligation to consider requests for a
proposed assignment.
[14]
This reliance is misplaced. McEwen J.s
assertion in
Royal Bank
cites
St. Jane Plaza Ltd. v. Sunoco
Inc.
(1992), 24 R.P.R. (2d) 161 (Ont. C.J. (Gen. Div.)). There, the
plaintiff attempted to terminate the lease on the basis that Sunoco had
assigned its lease without consent. In fact, Sunoco had requested the
plaintiffs consent on three occasions and the plaintiff had simply ignored
them: at p. 5. For the next 14 years, the plaintiff accepted Sunocos rent
cheques until it sought to terminate the lease in search of higher rent: at p.
7.
[15]
Borins J. concluded that the plaintiff had
unreasonably withheld its consent because it failed to offer any grounds for
its refusal: at p. 10. Therefore, a landlords refusal to consider an offer is
not unreasonable in itself. Rather, it is unreasonable because the court is
unable to appreciate the reasons motivating the refusal:
Welbow
, at
para. 9(2). A landlords silence is tantamount to an unreasonable refusal. As Morden
J.A. said at para. 36 of
1497777 Ontario Inc. v. Leons Furniture Ltd.
(2003), 176 O.A.C. 380 (C.A.), the essential reasoning underlying Borins J.s
conclusion in
St. Jane
is founded on the fact that the tenant had
sought the landlords consent to the assignment of the lease and that the
landlord had unreasonably refused to give it.
[16]
Consequently, I do not agree that the landlord
was unreasonable in placing preconditions before considering the assignment.
The correspondence between the parties highlights the basis of the landlords
refusal in palpable detail and allowed the trial judge to find that the patio
was the only default that really mattered. The question is, and remains,
whether the landlords refusal was reasonable. It makes no difference at which
stage of its consideration the landlord makes its decision.
(2)
The Refusal Issue
[17]
The appellant submits that the respondents
reasons for withholding consent were unreasonable because they were not
contemplated by the lease. The lease required the appellant to obtain the
respondents consent before assignment which consent may not be unreasonably
withheld or delayed. The lease further provided that it will not be
unreasonable for the respondent to consider:
a. Whether the
transfer is contrary to any covenants or restrictions granted by the landlord
to other existing or prospective tenants or occupants of the building;
b. Whether in
the landlords opinion the financial background, business history and
capability of the transferee are satisfactory; and
c. Whether the
landlord will have in the next ensuing three-month period other premises
elsewhere in the building which might be suitable for the needs of the
transferee.
[18]
The appellant claims that the trial judge erred
by considering reasons extraneous to the three outlined above. Indeed, it
argues that its default under the lease was irrelevant since there was no term
stating that the respondent could refuse consent because the appellant was in
breach of the lease. It did not raise this argument at trial: see trial judges
reasons, at para. 61.
[19]
I disagree with the appellants submission for
two reasons. First, the exclusivity of the above grounds is not supported by
the language of the lease. The landlords obligation to withhold consent on
reasonable grounds is unqualified: which consent may not be unreasonably
withheld or delayed. The three provisions are included in a distinct sentence
that states it will not be considered unreasonable for the Landlord to take
into account the following factors. In my view, this language is expansive,
not exclusive. It clarifies conditions that may be unreasonable without
limiting the generality of the first clause: see
Lehndorff Canadian Pension
Properties Ltd. v. Davis Management Ltd.
(1989), 59 D.L.R. (4th) 1 (B.C.
C.A.), at p. 10.
[20]
Second, the appellants argument goes against
the tenor of the governing case law. In
Welbow
, Cullity J. described
the relevant principles, at para. 9:
1. The burden is on the tenant to satisfy the
court that the refusal to consent was unreasonable. In deciding whether the
burden has been discharged, the question is not whether the court would have
reached the same conclusion as the landlord or even whether a reasonable person
might have given consent; it is whether a reasonable person could have withheld
consent.
2. In determining the reasonableness of a
refusal to consent, it is the information available to - and the reasons given
by - the landlord at the time of the refusal - and not any additional, or
different, facts or reasons provided subsequently to the court - that is
material. Further, it is not necessary for the landlord to prove that the
conclusions which led it to refuse consent were justified, if they were
conclusions that might have been reached by a reasonable person in the
circumstances.
3. The question must be considered in the
light of the existing provisions of the lease that define and delimit the
subject matter of the assignment as well as the right of the tenant to assign
and that of the landlord to withhold consent. The landlord is not entitled to
require amendments to the terms of lease that will provide it with more
advantageous terms, but, as a general rule, it may reasonably withhold consent
if the assignment will diminish the value of its rights under it, or of its
reversion. A refusal will, however, be unreasonable if it was designed to
achieve a collateral purpose, or benefit to the landlord, that was wholly
unconnected with the bargain between the landlord and the tenant reflected in
the terms of the lease.
6. The question of reasonableness is
essentially one of fact that must be determined on the circumstances of the
particular case, including the commercial realities of the marketplace and the
economic impact of an assignment on the Landlord. Decisions in other cases that
consent was reasonably, or unreasonably, withheld are not precedents that will
dictate the result in the case before the court. [Citations omitted.]
This court confirmed this as the
applicable test in
Tradedge Inc. (Shoeless Joes) v. Tri-Novo Group Inc.
,
2007 ONCA 562, at para. 2.
[21]
Cullity J.s decision relies on the Ontario High
Courts decision in
Federal Business Development
Bank v. Starr
(1986), 28 D.L.R. (4th) 582, where
Donnelly J. said, at p. 590, that the assignment test is moving towards a
more liberal approach, close to the reasonable man standard, [which] is to
consider the surrounding circumstances, the commercial realities of the market
place and the economic impact of an assignment on the landlord. This court
endorsed Donnelly J.s approach: see (1988), 52 D.L.R. (4th) 767.
[22]
The appellant attempts to distinguish this case
from
Starr
on the
basis that the tenant in
Starr
was required to be in compliance with the terms of the lease as a
precondition to assignment. However, Donnelly J. considered the covenant to
repair as one factor, not as the foundation of his analysis. He concluded, at
p. 591, the landlord suffers substantial economic loss if the property is not
repaired. This detriment is legitimately recognized as a reasonable objection
to the assignment.
[23]
In my view, the analysis in
Starr
is apposite. The appellants
refusal to remove the patio has imposed economic loss on the respondent. The
appellant acknowledged that the patio was contrary to the lease through its
many unfulfilled promises to remove it. However, the appellants assurances
that the third purchaser could use the patio shows that it never intended to
rectify its breach. As the trial judge found, the respondents refusal was
motivated by a desire to avoid perpetuat[ing] the patio problem.
[24]
I agree. The respondents insistence that the
appellant rectify its breach falls squarely within the wider field of reasonableness
identified in
Welbow
and
Starr
. The
respondents desire to compel the appellant to restore the integrity of the
leased premises is entirely consistent with the parties bargain as expressed
by the lease. In any event, reasonableness is a question of fact, dependent on
the surrounding circumstances, the commercial realities of the marketplace, and
the economic impact of the assignment on the respondent. I see no basis to
disturb the trial judges analysis and conclusion on this issue.
(3)
The Reasonable Purpose Versus the Collateral Purpose
Issue
[25]
The trial judge found that the respondents
second basis for refusing to consent to the assignment was not reasonable. She
held that, in requiring that the appellant discontinue its other lawsuit, the respondent
was trying to use its greater bargaining power to secure a dismissal of the
action in which the plaintiff may be asserting legitimate rights.
Consequently, this condition was an unreasonable collateral purpose because it
was not connected to the request to assign the lease. Nevertheless, the trial
judge found that the respondents first basis to refuse assignment was
sufficient to meet the reasonableness test: Put another way, a reasonable
basis to refuse consent saves a co-existing tainted purpose.
[26]
The appellant argues that the trial judge erred
in her analysis because the collateral purpose was grounded in and synonymous
with the reasonable condition. It relies on
No. 1 West India Quay (Residential)
Ltd. v. East Tower Apartments Ltd.
, [2018] EWCA Civ 250, to submit that
the collateral purpose infects the reasonable condition because the overarching
reason for refusal was a collateral benefit: the discontinuation of the
parallel lawsuit. The respondent disagrees with this submission on the basis
that the collateral purpose and the reasonable condition are independent of
each other.
[27]
I do not agree entirely with either partys
submission.
[28]
I agree with the appellant that there is a
linkage between the respondents reasonable condition (remove the patio) and
the improper collateral purpose (discontinue the parallel lawsuit). However, I
do not think that the collateral purpose infects the reasonable condition.
The respondents principal focus throughout its dispute with the appellant was
the removal of the improper patio. It said this every time the appellant found
a proposed buyer and sought the respondents consent to assign its lease. The
respondent had every right to seek the removal of the patio as a condition of
agreeing to the assignment of the lease to a potential buyer. As the trial
judge said:
In this case, there is sufficient basis on
which a reasonable person could have withheld consent the failure to remove
the patio. Moreover, this is not a case where the defendant refused consent based
only on an improper consideration. The failure to remove the patio was, in
fact, one of the reasons the defendant withheld consent.
[29]
However, in a passage relied on by the
respondent, the trial judge went on to say, seemingly in a conclusory way: Put
another way, a reasonable basis to refuse consent saves a co-existing tainted
purpose.
[30]
In my view, this is too broad a proposition. I
think that when two or more refusal factors are in play, it is necessary to
consider the origins and weights of the competing factors. In effect, the trial
judge did this in her reasons, comprehensively and well. Accordingly, I would
uphold her decision. Viewed in its entirety, a reasonable person could have
withheld consent on the basis that the appellant had not properly restored the
property to the condition required by the lease, as it had promised to do.
E.
disposition
[31]
I would dismiss the appeal. The respondent is
entitled to its costs of the appeal fixed at $7,500 inclusive of disbursements
and HST.
Released: April 4, 2022 K.F.
J.C.
MacPherson J.A.
I
agree. K. Feldman J.A.
I
agree. P. Lauwers J.A.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Navukarasu, 2022 ONCA 273
DATE: 20220404
DOCKET: C68964
Pepall, Tulloch and Huscroft
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Amierthan Navukarasu
Appellant
Bryan Badali and Marcela Ahumada, for
the appellant
Gregory Furmaniuk, for the respondent
Heard: March 25, 2022 by video
conference
On appeal from the conviction entered on
July 23, 2020 and the sentence imposed on October 2, 2020 by Justice Edwin B. Minden
of the Superior Court of Justice, sitting without a jury.
REASONS FOR DECISION
[1]
The appellant appeals his conviction for robbery
and aggravated assault, resulting from an incident that occurred at a pool
hall/lounge.
[2]
While he was inside the lounge, the appellant
was seen on video taking the complainants jacket, putting it on, and putting
his own jacket over it, before leaving the lounge.
[3]
Once the complainant realized that his jacket
was missing, he went outside and saw the appellant wearing his jacket. He confronted
the appellant and an altercation ensued. During the altercation, the appellant
chased the complainant in the parking lot, brandishing a knife. This encounter
was captured on a parking lot surveillance video and was played in evidence at
the appellants trial.
[4]
After the complainant escaped from the
appellant, the appellant was confronted by the complainants girlfriend, who
demanded the return of the jacket. The appellant pushed her to the ground and
subsequently slashed her forehead with the knife, after which he threw the
jacket to the ground.
[5]
At trial, the appellant denied that he
deliberately stole the appellants jacket. He said that he took it inadvertently,
thinking it was his own. He also denied ever having a knife.
[6]
The appellant raises three arguments against
conviction in his factum but focused on two issues at the hearing. First, he
argues the trial judge improperly inferred his guilt from disbelief of his
testimony. Second, the appellant argues the robbery conviction is unreasonable.
[7]
We do not accept these arguments.
[8]
First, at no point did the trial judge rely on his
rejection of the appellants evidence as circumstantial evidence of the
appellants guilt. The trial judge rejected the appellants evidence as he was
entitled to do. He found that the appellants evidence frequently showed a
complete disregard for the truth and was transparently false, and he
rejected it in strongly worded terms. The trial judges rejection of the
appellants evidence was independent of his assessment of the appellants
motive for offering his testimony. The reasons must be viewed as a whole and
should not be parsed in an attempt to suggest that the decision is somehow
tainted. Read as a whole, the reasons for the appellants conviction are clear
and reveal no error.
[9]
Second, the verdict is not unreasonable. The
appellant argues that the theft of the jacket was complete by the time the confrontation
occurred, so he could not be convicted of robbery. But that argument depends on
rejecting the facts as found by the trial judge. The trial judge found that Mr.
Jeffries searched the lounge for his jacket and went outside a few minutes later
to look for it. The appellant had left the lounge with the complainants jacket
and remained outside the lounge with some of his friends. The appellant argued
that at the time, he did not know he had taken a jacket that did not belong to
him. It was open to the trial judge to find that the taking of the jacket and
the violence that occurred outside the lounge were a single continuous
transaction constituting robbery under s. 343(a) of the
Criminal Code
,
R.S.C. 1985, c. C-46. The trial judge found that the appellant used violence or
the threat of violence in order to complete or perfect his theft of the jacket.
That was his call to make, and in the absence of a palpable and overriding
error it is entitled to deference. We see no such error.
[10]
In his factum, the appellant argues that the
trial judge provided insufficient reasons for his decision, and in particular
failed to address the absence of DNA on the knife. There is no merit to this
argument. First, as noted in the Agreed Statement of Facts, blood may or may
not transfer to a knife. Second, the trial judge gave extensive reasons. Third,
the appellant is clearly seen on the video surveillance brandishing the knife,
while chasing the complainant in the parking lot.
[11]
This was an overwhelming case: there were two
credible and reliable witnesses along with video footage capturing the appellants
taking of the jacket and showing the appellant, armed with a knife, chasing the
owner of the jacket outside the lounge. It is clear from the reasons why the
appellant was convicted.
[12]
The appeal from conviction is dismissed.
[13]
The appellant seeks leave to appeal sentence. He
argues that the trial judge erred in finding that the appellant had evinced
some degree of deliberation by carrying and concealing the knife and in
rejecting the appellants request for a conditional sentence.
[14]
We do not agree with these submissions. The
finding was open to the trial judge to make. We see no reason to interfere with
the custodial sentence imposed by the trial judge. It was a fit sentence in the
circumstances.
[15]
The appeal is dismissed. Leave to appeal
sentence is granted, but the appeal is dismissed.
S.E.
Pepall J.A.
M.
Tulloch J.A.
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Huscroft J.A.
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