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COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Budlakoti, 2021 ONCA 163
DATE: 聽20210315
DOCKET: M52091 (C68739)
MacPherson
J.A. (Motions Judge)
BETWEEN
Her
Majesty the Queen
Respondent
(Respondent/Responding Party)
and
Deepan Budlakoti
Applicant
(Appellant/Moving Party)
Deepan Budlakoti, appearing in person
Ian Kasper, appearing as duty counsel
Samuel Greene, for the responding party
Heard: February 11, 2021 by video conference
REASONS
FOR DECISION
A.
introduction
[1]
The applicant Deepan Budlakoti seeks an order
pursuant to s. 684 of the
Criminal Code
for the appointment of counsel
to represent him on his appeal of two orders made by Labrosse J. of the
Superior Court of Justice during the applicant聮s criminal trial in Ottawa.
B.
facts
[2]
The applicant was charged and convicted of a
number of firearm offences. He has made post-trial applications that are
currently proceeding in the Superior Court. He has not been sentenced. He is an
inmate at the Ottawa-Carleton Detention Centre (聯OCDC聰).
[3]
Prior to the commencement of his trial in the
Superior Court, the applicant brought two applications for
habeas corpus
before the trial judge.
[4]
The first
habeas corpus
application
sought an order declaring that the applicant聮s current meal program at the OCDC
was unlawful and that he be provided meals suitable to his dietary and
religious restrictions.
[5]
The second
habeas corpus
application
sought orders directing improvements in internet and phone access, access to
professional visits, additional yard time, access to medications, and various
documents to support his applications.
[6]
The first
habeas
application was filed
under the
Criminal Proceedings Rules for the Superior Court of Justice (Ontario)
, S.I./2012-7
, Form 1. The second application
did not refer to any criminal or civil rules.
[7]
The Crown sought to have the
habeas
applications dismissed under r. 6.11(2) of the
Criminal Proceedings Rules
.
The Crown argued that none of the applicant聮s grievances amounted to
聭deprivation of liberty聮, as required for
habeas corpus
relief.
[8]
The application judge summarily dismissed the
claims pursuant to the
Criminal Proceedings Rules
. He said:
In considering the
habeas corpus
applications
before the Court we must determine if the Respondent聮s claims amount to an
unlawful deprivation of liberty.
In the present circumstances the Respondent is
seeking accommodation on several issues: nutrition, for health and religious
reasons and the inability to conduct his legal proceedings outside of the
normal schedule for inmates. Clearly these matters do not go to the nature of
the detention and they certainly do not amount to a more restrictive form of
confinement.
I cannot find any suitable ground for the
order sought. It is simply a misuse of the prerogative writ of
habeas
corpus
as the present circumstances do not involve a change to the level
of confinement, nor do they engage a further deprivation of liberty.
[9]
The applicant has filed a Notice of Appeal with
respect to Labrosse J.聮s decision to summarily dismiss his
habeas corpus
applications.
He has been denied legal aid funding for counsel for the appeal. Accordingly,
he makes this application, pursuant to s. 684 of the
Criminal Code
,
for the appointment of counsel to represent him on the appeal.
C.
issues
[10]
The issues on the application are:
1.
Does this court have jurisdiction to make a s.
684 order in this appeal?
2.
If the answer to question (1) is 聭Yes聮, should a
s. 684 order be made?
D.
Analysis
(1)
The jurisdiction issue
[11]
The applicant maintains that because the
Superior Court exercised its criminal law powers through the
Criminal Proceedings
Rules
in making its decision on the two
habeas corpus
applications, he has a right of appeal to this court pursuant to s. 784 of the
Criminal
Code
.
[12]
The respondents says that this court does not
have jurisdiction to grant a s. 684 funding order because the appeal is civil,
not criminal, in nature.
[13]
I agree with the applicant on this issue, but
only on a narrow technical basis. I note that the applicant's first
habeas
corpus
application was commenced under the
Criminal Proceedings Rules
and the two applications were dismissed pursuant to those rules. In the
Superior Court, the Crown appeared to concede that the applications were
criminal in nature when it moved to have them dismissed in the criminal
proceedings. In my view, it should not be open now to the respondent to resile
from that position on appeal, to the detriment of the applicant.
(2)
The merits issue
[14]
Pursuant to s. 684 of the
Criminal Code
,
this court may appoint counsel in a criminal appeal, funded by the Attorney General,
where it is 聯desirable in the interests of justice聰 that the applicant should
have legal assistance and he lacks the means to hire counsel. In assessing the
interests of justice, the court must consider the merits of the case. The
applicant must meet the modest standard of having an 聯arguable聰 ground of
appeal. Appeals that have no merit cannot be helped by the appointment of
counsel. The applicant must also show that appointed counsel is 聯necessary聰
having regard to whether he is capable of effectively advancing his grounds
without a lawyer and whether the court can decide the appeal without counsel聮s
assistance:
R. v. Bernardo
(1997), 121 C.C.C. (3d) 123 (Ont. C.A.), at
paras. 14 and 22;
R. v. Sauve
, 2018 ONCA 755, at para. 18.
[15]
The respondent, fairly, does not dispute that
the appellant does not have the means to retain counsel and would struggle to
effectively advance an appeal himself if there were an arguable ground of
appeal. The respondent聮s position is that there is no arguable ground of
appeal.
[16]
Habeas corpus
is
an ancient writ that protects a person from unlawful confinement:
May v.
Ferndale Institution
, 2005 SCC 82, at para. 19. To be granted relief, an
applicant must 1) establish that they have been deprived of liberty and 2) raise
a legitimate ground upon which to question its legality. Once both are
established, the onus shifts to the respondent to show that the deprivation of liberty
is lawful:
Mission Institution v. Khela
, 2014 SCC 24, at para. 30;
May
,
at para. 74.
[17]
In the context of prisoner claims, there are
three different deprivations of liberty that may be challenged: an initial
deprivation; a substantial change in conditions amounting to a further
deprivation of liberty; and a continuation of the deprivation of liberty, which
was lawful but has become unlawful:
R. v. Gamble
, [1988] 2 S.C.R. 595,
at pp. 637-38.
[18]
In
Gamble
, the court expanded the
availability of
habeas corpus
and held that it can be used to obtain
declaratory relief under s. 24(1) of the
Charter
.
[19]
On this application, the applicant makes a
single argument, namely, that his application has merit because he is entitled
to
Charter
s. 24(1) relief as established by
Gamble
. The
applicant asserts that, on the basis of the evidentiary record, his appeal has merit
in two respects: (1) a failure to provide appropriate meals to him (generally,
a
Charter
s. 7 concern) and (2) a failure to provide appropriate
resources to ensure that he could prepare for his trial (generally, a s. 7 or
s. 11(d) concern).
[20]
I am not persuaded by this submission. I say
this for two reasons.
[21]
First, in the Superior Court the applicant did
not seek
Charter
s. 24(1) declaratory relief. In his first
application, he did not invoke the
Charter
at all, despite his claim
that the food he was served was inadequate because of his religious beliefs.
The only relief sought in the first application was an order that he be served
with food that met his health and religious needs. In his second application,
he explicitly invoked his right to a full answer and defence. However, the only
relief sought was several orders requiring that he be provided with various
items and access to various resources. Given that a
Charter
remedy was
never sought, it cannot be said that the applicant is entitled to s. 24(1) declaratory
relief.
[22]
Second, I see no error in the application judge聮s
conclusion that the circumstances alleged by the applicant relating to food,
medication, internet, phone, documents, yard time, and professional visits 聯do
not go to the nature of the detention and do not amount to a more restrictive
form of confinement.聰 There is nothing in the record to suggest that the
applicant is being treated worse than 聯the general inmate population聰 at OCDC
or that his 聯form of confinement or detention聰 is one in which 聯the actual
physical constraint or deprivation of liberty 聟 is more restrictive or severe
than the normal one in an institution聰:
R. v. Miller
, [1985] 2 S.C.R. 613,
at p. 641.
[23]
For these reasons, the applicant has not
persuaded me that a s. 684 order is appropriate in his appeal.
E.
disposition
[24]
The application is dismissed.
聯J.C. MacPherson J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Budlakoti, 2021 ONCA 290
DATE: 20210504
DOCKET: M52430 & M5244
(C68739)
Hoy, Hourigan and Zarnett JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
(Moving
Party/Responding Party)
and
Deepan Budlakoti
Appellant
(Responding
Party/Moving Party)
Samuel Greene, Brian G.
Whitehead and Adrien Iafrate, for the moving party (M52430) and responding
party (M52444)
Deepan Budlakoti, acting in person, responding party
(M52430) and moving party (M52444)
Heard and released orally: May 3, 2021 by video
conference
REASONS FOR DECISION
[1]
On December 15, 2020, Mr. Budlakoti was convicted of several firearms
offences. He has outstanding post-trial
Charter
litigation ongoing in
the Superior Court, seeking relief that includes a stay of his convictions. He
has not yet been sentenced.
[2]
Two motions are before the court, one by the Crown and one by Mr.
Budlakoti. They arise out of the two Notices of Appeal Mr. Budlakoti has
submitted to this court.
[3]
The two Notices of Appeal challenge separate decisions:
1.
The Notice of Appeal filed October 26, 2020 challenges the September 21,
2020 decision of Justice Philips summarily dismissing a pre-trial application
by Mr. Budlakoti and other inmates seeking a stay of criminal proceedings and
Charter
damages as a result of alleged breaches of s. 7 of the
Charter
as a
result of Ottawa Carleton Detention Centre聮s response to the pandemic during
his pre-trial detention (the 聯
Charter
Appeal聰); and
2.
The Notice of Appeal, a revised version of which was filed December 29,
2020, challenges the October 16, 2020 decision of Justice Labrosse summarily
dismissing two
habeas corpus
proceedings brought by Mr. Budlakoti
challenging the conditions at the Ottawa Carleton Detention Centre at which he
continues to be detained ( the 聯
Habeas
Appeal聰). In particular, he
asserts (1) a failure to provide appropriate meals to him and (2) a failure to
provide appropriate resources to ensure that he could prepare for his trial.
[4]
At present, only one Court of Appeal file number, C68739, has been
assigned to both Notices of Appeal.
[5]
Turning first to the Crown聮s motion, the Crown seeks an order directing
that the
Charter
Appeal be quashed on the basis that it is an appeal
of an interlocutory order in a criminal matter for which there is no statutory
or other right of appeal:
R. v. Meltzer
, [1989] 1 S.C.R. 1764.
[6]
We agree that Mr. Budlakoti has no right to launch an interlocutory
appeal.聽 Mr. Budlakoti has not yet appealed his conviction. Should Mr.
Budlakoti wish to challenge the October 26, 2020 decision which is the subject
of his
Charter
Appeal, his recourse is to seek to do so in the context
of an appeal against conviction, pursuant to s. 675 of the
Criminal Code
.
Accordingly, the Crown聮s application is granted and an order shall issue
quashing the
Charter
Appeal.
[7]
In his motion, Mr. Budlakoti asks the court to reconsider the March 15,
2021 decision of MacPherson J.A. refusing his application for the appointment
of counsel under s. 684 of the
Criminal Code
to act on his behalf on
the
Habeas
Appeal. MacPherson J.A. accepted that Mr. Budlakoti does
not have the means to retain counsel and would struggle to effectively advance
an appeal himself if there were an arguable ground of appeal. However, he
concluded that it was not in the interests of justice that Mr. Budlakoti have
legal assistance because he did not have an 聯arguable聰 ground of appeal in the
Habeas
Appeal.
[8]
Mr. Budlakoti argues that MacPherson J.A. erred in concluding that he
did not have an 聯arguable聰 ground of appeal.
[9]
Justice MacPherson considered and applied the correct legal test in
concluding that counsel should not be appointed under s. 684. Mr. Budlakoti
does not point to any material change in circumstances in the form of
information or evidence that was not before MacPherson J.A. Moreover, we agree
with his assessment of the merits.
[10]
Accordingly,
Mr. Budlakoti聮s motion for the appointment of counsel is dismissed.
[11]
The
Habeas
Appeal shall be scheduled for argument on September 7, 2021.
聯Alexandra Hoy J.A.聰
聯C.W. Hourigan J.A.聰
聯B. Zarnett J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v. Burgess-Champagne, 2021 ONCA 306
DATE: 20210507
DOCKET: C68778
Hoy, Hourigan and Zarnett JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Robert Burgess-Champagne
Appellant
Robert Burgess-Champagne,
acting in person
Amy Ohler, appearing as duty
counsel
Joseph Selvaratnam, for the
respondent
Heard and released orally: May 5, 2021
by videoconference
On appeal from the sentence imposed by Justice
Ronald M. Lalibert茅 of the Superior Court of Justice on October 14, 2020.
REASONS FOR DECISION
[1]
The appellant pleaded
guilty to one count of possession of fentanyl for the purpose of trafficking,
one count of possession of cocaine for the purpose of trafficking, one count of
possession of property obtained by crime, and one count of conspiracy to commit
an indictable offence. The trial judge found the facts supported findings of
guilt on each count and convicted the appellant accordingly.
[2]
The trial judge
originally sentenced the appellant on June 12, 2020. He rejected the defence聮s
proposed blended sentence and noted that the court could not circumvent
Parliament聮s intent to have trafficking be ineligible for conditional
sentences. The trial judge found that a fit and proper sentence was a global
term of 24 months less one day, followed by 12 months聮 probation. However, he
adjourned imposing the sentence until October so the appellant could spend time
with his dying mother. When the matter returned on October 14, 2020, the
parties made submissions regarding the availability of a conditional sentence
after this court聮s decision in
R. v. Sharma
, 2020 ONCA 478, 152 O.R. (3d) 209, and
whether the trial judge was
functus officio
.
[3]
The trial judge
found that a conditional sentence was not a fit and proper sentence for the
appellant. Considering the totality of the circumstances, he concluded that a
conditional sentence was not consistent with the principles of sentencing,
specifically denunciation, deterrence, proportionality, and the degree of the
responsibility of the offender.
[4]
On appeal, the
appellant submits that the trial judge erred by not exercising restraint and
over emphasizing the principle of parity, given that a conditional sentence is
now available. He also argues that the trial judge failed to freshly consider
whether a conditional sentence could be fashioned that was consistent with
sentencing principles in the circumstances.
[5]
We see no error
in principle in the trial judge聮s analysis, and the sentence is not unfit. The
trial judge carefully considered the request for a conditional sentence on the
second sentencing hearing and provided thorough and compelling reasons for
rejecting the request. There is no basis for appellate interference.
[6]
Leave to appeal
sentence is granted, but the sentence appeal is dismissed.
聯Alexandra Hoy J.A.聰
聯C.W. Hourigan J.A.聰
聯B. Zarnett J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Castellano, 2021 ONCA 272
DATE: 20210426
DOCKET: M52353 (C67190)
Paciocco J.A. (Motion Judge)
BETWEEN
Her Majesty the Queen
Applicant/Respondent
(Respondent)
and
Daniel Castellano
Respondent/Applicant
(Appellant)
Molly Flanagan, for the applicant/respondent
Crown
Nathan
Gorham, for the respondent/applicant Daniel Castellano
Heard: April 23, 2021 by video
conference
ENDORSEMENT
OVERVIEW
[1]
Pursuant to s. 679(6) of the
Criminal
Code
,
R.S.C. 1985, c. C-46, the Crown applies for an order
revoking Coroza J.A.聮s bail release order, dated January 29, 2021, which
extended the release of the respondent, Daniel Castellano. Mr. Castellano
opposes the Crown聮s application.
[2]
In the event I grant the Crown聮s application,
Mr. Castellano brings his own application for release pending appeal.
[3]
For reasons that follow, I am revoking the bail
release order and denying Mr. Castellano聮s request for release pending appeal.
MATERIAL FACTS
[4]
On August 13, 2019, Harvison Young J.A. ordered Mr.
Castellano released on bail pending his appeal of his April 30, 2019 convictions.
Those convictions related to an explosion inside a pickup truck parked at a
tractor repair business.
[5]
At the time of the explosion, Mr. Castellano was
in a dispute with the owner of the tractor repair business. During the
execution of a search warrant at Mr. Castellano聮s residence, the police found
an 聯arsenal聰 of weapons, including pipe bombs in various states of manufacture,
as well as loaded handguns.
[6]
In connection with the explosion in the pickup
truck, Mr. Castellano was convicted of mischief to property, two counts of
possessing a dangerous weapon, and placing an explosive device in the pickup
truck. The discovery of the 聯arsenal聰 and the explosives led to his conviction
of twelve counts of possession of substances intended to be used to cause an
explosion, and three counts of careless storage of a firearm. He was also
convicted of possessing stolen property found during the search, and possession
of marijuana. Mr. Castellano received a sentence of 1,888 days in custody after
credit for pre-trial custody of 142 days.
[7]
On May 3, 2019, while awaiting his sentencing,
the trial judge revoked Mr. Castellano聮s bail. In doing so she relied on her
finding that Mr. Castellano had made admissions that at the material time he
was 聯waging a war聰. She also relied on Mr. Castellano聮s beliefs about the
police and a labour union attacking his property as indicative of 聯some sort of
instability聰 on the part of Mr. Castellano, thereby increasing his risk to the
public. Mr. Castellano remained in custody until released pending appeal by
Harvison Young J.A.
[8]
On several occasions, Harvison Young J.A.聮s bail
pending appeal order was amended on consent to extend Mr. Castellano聮s release,
most recently by Coroza J.A. on January 29, 2021, who ordered his bail extended
until May 1, 2021. Mr. Castellano聮s bail release was uneventful for more than
18 months, until March 28, 2021.
[9]
On March 28, 2021, as the result of complaints
from neighbours about explosions they believed had occurred in the direction of
Mr. Castellano聮s property, police officers executed a search warrant on his
property. The police discovered and seized ammunition. They also discovered and
seized a container of acetone, pipes, and fittings, items police believed were capable
of being used in bomb-making.
[10]
Mr. Castellano was not present at the time of
the search. He later complained to a neighbour that items had been stolen from his
property.
[11]
When police visited the property again on March
30, 2021 and arrested Mr. Castellano, his vehicle was searched. Mail that did
not belong to him and lock-picking kits were found in his possession.
[12]
Mr. Castellano has now been charged with: (1)
disobeying Coroza J.A.聮s bail order by possessing ammunition in breach of the
terms of that order, contrary to s. 127 of the
Criminal
Code
;
(2) possession of break-in instruments, contrary to s. 351(1) of the
Criminal
Code
(relating to the lock-picking kits); (3) possession of stolen
property, contrary to s. 354(1)(a) of the
Criminal
Code
(relating to the mail); (4) theft of mail, contrary to s. 356(1)(a)(i) of the
Criminal
Code
; and (5) possession of an explosive substance with intent,
contrary to s. 81(1)(d) of the
Criminal
Code
(collectively,
the 聯new charges聰).
[13]
All the new charges are either for straight
indictable offences, or hybrid offences that are deemed to be indictable
offences pending Crown election.
[14]
Mr. Castellano has now been released on the new charges
pursuant to an Ontario Court of Justice bail release order dated April 21, 2021.
The parties agreed that the terms of that order are essentially identical to
the terms imposed by Coroza J.A.
[15]
Mr. Castellano remains in custody pending the
disposition of the applications now before me.
ISSUES
[16]
The Crown brings an application before me
pursuant to s. 679(6) of the
Criminal
Code
to revoke
Coroza J.A.聮s bail release order of January 29, 2021.
[17]
Mr. Castellano contests the Crown聮s application but
applies for bail pending appeal in the event I do revoke Coroza J.A.聮s release
order.
[18]
I will address the two applications in turn.
ANALYSIS
A.
The Bail Release Order of Coroza J.A. Is Revoked
[19]
By virtue of s. 679(6) of the
Criminal
Code
, s. 524(3) of the
Criminal
Code
is
incorporated into the bail pending appeal regime. By virtue of s. 524(3)(b), I
am required to cancel Mr. Castellano聮s release if I find 聯there are reasonable
grounds to believe that [Mr. Castellano] has committed an indictable offence
while being subject to the 聟 release order.聰
[20]
The Crown may face challenges, identified in
the arguments before me, in establishing several, if not all, of the new
charges. There are, however, reasonable grounds to believe Mr. Castellano has
committed an indictable offence while subject to Coroza J.A.聮s release order. I
need only refer to the items found in Mr. Castellano聮s truck to make the point.
The proposed
Charter
challenge to the search that led to the
discovery of those items may prove successful, or Mr. Castellano聮s explanations
may be credited after trial, but those are trial matters. It is not contested
before me that lock-picking kits and mail not belonging to Mr. Castellano, some
of which has now been reported stolen, were found in a place that he apparently
controlled.
[21]
This is enough to require that Coroza J.A.聮s
order for release be revoked, and I do so.
B.
THE Application for Bail PENDING APPEAL is Denied
[22]
Although the onus is on Mr. Castellano to
demonstrate that he should be released pending appeal, it is convenient to
begin with the Crown聮s position.
The Crown聮s position
[23]
The Crown does not contest the finding of
Harvison Young J.A. that Mr. Castellano聮s appeal is not frivolous. Nor does it
dispute that, on the balance of probabilities, Mr. Castellano will surrender
himself into custody in accordance with the terms of the order. The contest is
about whether he has demonstrated on the balance of probabilities that his
detention is not necessary in the public interest.
[24]
The Crown contends that, even prior to the new
charges, Harvison Young J.A. found it was a 聯close case聰 as to whether Mr.
Castellano had established that the reviewability interest outweighed the
enforceability interest. The Crown argues there have been two material changes which
now show that enforceability must predominate.
[25]
Most importantly, Mr. Castellano faces new and
related charges, which heightens the need to protect the public.
[26]
Moreover, a driving consideration in Harvison Young
J.A.聮s decision was concern that the inherent delay in moving appeals forward
could result in Mr. Castellano serving most of his sentence before having had
the opportunity to challenge the underlying convictions on appeal. Mr.
Castellano acknowledges that he is days away from perfecting his appeal,
assuring it can be heard without significant delay.
[27]
The Crown submits that the balance has now
shifted, requiring Mr. Castellano聮s detention pending appeal.
[28]
The Crown also points out that the sureties Mr.
Castellano proposes were his sureties when the new charges arose. The Crown
submits the new charges now call into question the sureties聮 ability to assure
the public safety.
Mr. Castellano聮s position
[29]
In support of his application for release
pending appeal, Mr. Castellano notes that public safety was the primary concern
when he first applied for release pending appeal. He had just been convicted in
connection with explosives offences allegedly related to a business dispute,
and of being in possession of loaded handguns and bomb-making material at a
time when the trial judge believed him to be mentally unstable with paranoid
delusions. According to Mr. Castellano, events since then have not aggravated the
concern about the risk he poses to public safety; they have lessened it.
[30]
Specifically, more than 18 months passed without
incident before the new charges. By their nature, Mr. Castellano submits those new
charges do not demonstrate an immediate threat of violence to anyone.
[31]
Indeed, further investigation has now shown the
explosions allegedly heard on Mr. Castellano聮s property leading to the search
warrant had not, in fact, occurred on his property, but on a neighbour聮s land.
More importantly, Mr. Castellano says the new charges he faces, especially the
charges that might arguably appear to raise the risk of violence, are weak.
[32]
The ammunition was found in one of the three
buildings on the property, and there are contradictions in the disclosure
relating to which of the buildings it was. Mr. Castellano shares access to the
property with the three sureties. The inference that he possessed the
ammunition is no stronger than the inference that any one of them may have done
so, an outcome that will lead to his acquittal unless the strength of the Crown
case changes.
[33]
Although Mr. Castellano聮s post-search complaint
about items missing from the property can be used to attempt to link him
circumstantially to the acetone, pipes, and fittings, the Crown will be
challenged in proving that those items were possessed for the purpose of
bomb-making. The acetone was in a quantity suitable for domestic cleaning and
was discovered stored with other cleaning products. The pipes are small and thin,
and arguably less suitable for bomb-making than larger pipes would be. There are
no apparent signs that the items were being used to build an explosive device. The
investigating police force has now conceded that an expert witness cannot
assert, based on the evidence, that the acetone, pipes, and fittings were
possessed for the purpose of bomb-making.
[34]
Mr. Castellano has also offered what he submits to
be credible, innocent explanations for his possession of the lock-picking kits
and the mail that did not belong to him.
[35]
In the circumstances, Mr. Castellano submits he
has discharged his onus of establishing that he should be released pending
appeal on the terms contained in Coroza J.A.聮s bail release order. He suggests
that if I credit the Crown聮s submission that the new charges weaken confidence
in the sureties, the order can be augmented by preventing him from being
outside his home unless accompanied by one of the sureties, and that an
electronic monitoring order can be made.
The enforcement interest outweighs the
reviewability interest in this case
[36]
Notwithstanding the thoughtful arguments Mr.
Castellano advanced before me, in my view, a thoughtful, dispassionate person
informed of the circumstances of the case and respectful of society聮s
fundamental values would conclude that the enforcement interest outweighs the reviewability
interest.
[37]
First, in my view, the deep concern about public
safety arising from the nature of the charges under appeal is now heightened by
the new charges. Mr. Castellano聮s original release was a 聯close case聰 because
the nature of the offences, and the circumstances in which he was convicted of
those offences, posed a risk to the public of calamitous harm. Mr. Castellano
has now been arrested on related offences. I appreciate the weaknesses in the
new charges, and that Mr. Castellano is presumed to be innocent of them, but
ultimately a bail release determination is an exercise in risk assessment. The discovery
of ammunition and potential bomb-making material on property Mr. Castellano has
been accessing is a matter that would concern a reasonable member of the
public, in all the circumstances. His re-release would imperil public
confidence in the administration of justice.
[38]
Even leaving the ammunition and bomb-making
charges aside, there are reasonable grounds to believe that while on bail
release Mr. Castellano possessed break-in instruments in his vehicle, where
they could be readily accessed while he was mobile, and stolen mail. I agree
with the Crown that the commission of any indictable offence while on bail
release for violent offences works to undermine confidence in the public safety
by raising the risk that the bail order, which is expected to assure public
safety, may not be respected.
[39]
Allowing for the fact that it was difficult to
assess the strength of Mr. Castellano聮s grounds of appeal, Harvison Young J.A.
expressed the preliminary view that the grounds of appeal presented before her were
not strong. That observation has not been called into question before me. Accordingly,
Mr. Castellano is not able to marshal the strength of his appeal as a basis for
prioritizing the reviewability concern.
[40]
This is no longer a case where detaining Mr.
Castellano presents the risk of making the appeal moot on the basis that he would
likely serve his sentence pending appeal. The appeal can now be prosecuted
without the same concern for delay that influenced Harvison Young J.A. to come
down on the side of release.
[41]
I agree with the Crown that there are new
concerns about the sufficiency of the proposed sureties, given the new charges.
Moreover, part of Mr. Castellano聮s proposed defence to the ammunition charge as
shared before me is that the Crown will be unable to prove whether the
ammunition was possessed by him or rather by one of his sureties. This is a
legitimate defence for him to advance at his trial, but it does not enhance
confidence in his release that either he or his sureties possessed ammunition
on property to which he has access.
[42]
In the circumstances, even bearing in mind his
suggestion that additional conditions could be added, Mr. Castellano has not
convinced me that the reviewability interest takes precedence over the enforceability
interest.
CONCLUSION
[43]
Mr. Castellano聮s bail release is revoked and his
application for release pending appeal is denied. The draft orders revoking Mr.
Castellano聮s bail release and for his arrest that were submitted by the Crown
with its application will issue.
聯David M. Paciocco J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Ceasor, 2021 ONCA 54
DATE: 20210129
DOCKET: C68597
MacPherson, Trotter and Harvison
Young JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Jeremey Ceasor
Appellant
Neha Chugh, for the appellant
Nicolas De Montigny, for the respondent
Heard: in writing
On appeal from the sentence imposed by
Justice Deborah A. Kinsella of the Ontario Court of Justice on July 15, 2020.
REASONS FOR DECISION
[1]
On March 20, 2020, the appellant pleaded guilty
to a number of weapons offences. The parties made a joint recommendation for a
six month sentence to be imposed on a future date due to the pandemic. In the
meantime, the appellant was released on bail.
[2]
On June 12, the appellant was arrested and
charged with two offences, including breaching his release order:
Criminal
Code
, R.S.C., 1985, c. C-46, s. 145.
[3]
On July 15, the appellant pleaded guilty to the
s. 145 offence. The parties jointly proposed a sentence of time served (the 33
days the appellant spent in custody from June 12 to July 15). The sentence was
not imposed at the time because after pleading guilty the appellant made
statements suggesting that he did not breach his release order. On July 15, the
trial judge also imposed the six month sentence on the earlier weapons charges.
[4]
On August 4, the sentencing judge granted the
accused聮s application to strike his guilty plea on the s. 145 charge. The
defence suggested that the 33 days of pre-sentence custody which was previously
applied to the s. 145 charge could and should be shifted to the weapons charges
for which the sentence was about to start. The Crown disagreed.
[5]
The sentencing judge agreed with the Crown. She
said:
Because if the idea was it was going to be
used on these charges, I have now struck the plea. I mean ultimately if
something changes and these charges resolve, he聮d certainly still have that
time in the bank, if I can call it that. But it may be that it聮s not time that
is available to be used in any other fashion because that wasn聮t the intention.
[6]
The appellant contends that the sentencing judge
erred in reaching this conclusion. His position is that the pre-trial custody
tentatively assigned by both parties to the later breach offence could be
shifted to the weapons offence once the sentencing judge had set aside the
appellant聮s guilty plea to the breach offence. We do not accept this
submission.
[7]
The starting point is s. 719(3) of the
Criminal
Code
which provides:
In determining the sentence to be
imposed on a person convicted of an offence, a court may take into account any
time spent in custody by the person as a result of the offence聟.
[8]
Against this backdrop, there is a long line of
cases holding that s. 719(3) does not permit an offender to 聭bank聮 custodial
time for unrelated offences. To give credit for time spent serving a sentence
for another offence would distort the sentencing regime: see, for example,
R.
v Wilson
, 2008 ONCA 510, at paras. 40-45;
R. v. Pammett
, 2016
ONCA 979, at para. 20; and
R. v. Perkins
, 2017 ONCA 152, at para. 30.
[9]
In this case, the entire focus of both parties
was on the issue of credit for pre-trial custody in relation to the breach of
recognizance offence. The parties reached an agreement on that issue. That
agreement remains in place and can be implemented if the appellant is convicted
following a guilty plea or a trial of that offence. However, if that does not
come to pass, there is no connection between the two sets of offences the appellant
faced. Accordingly, as Rosenberg J.A. said in
Wilson
, at para. 45:
聯But, at the end of the day when it comes time to sentence an offender the
court can only take into account factors that relate to the particular offence
under consideration.聰
[10]
The appeal is dismissed. The appellant shall
surrender into custody at the institution from which he was released within 72
hours of the release of these reasons, failing which a warrant shall issue for
his arrest.
聯J.C.
MacPherson J.A.聰
聯Gary
Trotter J.A.聰
聯Harvison
Young J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Chambers, 2021 ONCA 337
DATE: 20210520
DOCKET:
C64868
Juriansz, van Rensburg and
Sossin JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Marcia Chambers
Appellant
Mark C. Halfyard, for the appellant
Brian Puddington and Leanne Siu, for
the respondent
Heard: May 5, 20201 by video
conference
On appeal from the conviction entered by
Justice Todd Ducharme of the Superior Court of Justice, sitting with a jury, on
September 25, 2017.
Juriansz
J.A.:
[1]
The appellant appeals her conviction of
possession for the purpose of trafficking in cocaine and marijuana. The police
executing a search warrant found the drugs in her bedroom in an apartment she
shared with her adult son. She was arrested away from the residence shortly
before the execution of the search warrant. The sole issue at trial was whether
the Crown could establish the appellant聮s knowledge of the drugs found in her
bedroom. The defence theory at trial was that an available and reasonable
inference was that during the short delay while the police were attempting to
gain entry to the residence, the son moved the drugs into the appellant聮s
bedroom.
[2]
The appellant raises three grounds of appeal:
1. the trial judge erred in failing to exclude
police opinion evidence about the appellant聮s demeanour and in failing to
instruct the jury to disregard that evidence;
2. the trial judge failed to instruct the jury
that if any reasonable inference other than guilt was available, they must
acquit, and he failed to highlight the other dangers of relying on
circumstantial evidence; and
3. the verdict was unreasonable as there was
insufficient evidence to establish knowledge beyond reasonable doubt.
[3]
I would allow the appeal on the first ground, find
it unnecessary to discuss the second, and would reject that third.
(1)
The Demeanour Evidence
[4]
Before executing the warrant at her residence,
the police arrested the appellant at a shopping plaza a few minutes away. The
police blocked her vehicle, identified themselves as police and arrested her.
No drugs were found in her car or on her person.
[5]
At the outset of trial, the Crown sought to
introduce demeanour evidence by having the police witnesses 聯attest to how she
behaved in their opinion聰. The trial judge stated flatly, 聯Their opinion is not
admissible.聰 He ruled that the police 聯can say she appeared nervous but nothing
about their opinion about her demeanour.聰
[6]
During the trial, various police officers testified
about the appellant聮s demeanour at the time of her arrest as well as at the
residence while the officers searched it.
[7]
Constable Griffin testified:
She was cooperative with us. As soon as I
started to explain that we had a search warrant for the residence and for the
car she became very nervous, very, her demeanour was just, I would, I would, I
would call it upset.
She didn聮t say anything to us. She did not answer any
questions.
She did answer to her name and during the
search we had located identification for her. [Emphasis added.]
[8]
Constable Hart also testified she appeared
nervous upon being arrested.
[9]
Constable Reynolds testified about the
appellant聮s demeanour when she was returned to the residence. He testified she
appeared 聯very nervous聰, 聯very agitated in a very agitated state.聰 Asked what
made him say that, he responded, 聯her demeanour to me appeared that
she wasn聮t
answering questions put to her
聰 (emphasis added). Asked to describe her
appearance, he answered:
The best way to describe it would be that she
appeared to be like a deer caught in headlights.
I don聮t know how better to describe it than
that; very staring, not blinking a lot, just very wild, like, you know, a very
pronounced stare with respect to her eyes. Her demeanour was very nervous. To
me she was not presenting. She appeared as such to the point where it was
obvious based on her reaction to us being in the home and us there to execute a
search warrant, that she appeared to be very concerned with respect to that.
[10]
In cross-examination, Constable Reynolds agreed
he was not a trained psychologist. He disagreed with suggestions that the
appellant may have been upset at seeing her son in handcuffs and hearing that
drugs and bullets had been found in her son聮s room. He said:
Her demeanour was a deer caught in the
headlights. The, from my understanding at that point, that the drugs that were
located in [the son聮s] room weren聮t of a significant quantity to warrant that
reaction or her demeanour. But as you stated, it is possible that, you know,
her son being under arrest, the drugs that had been found in the residence at
that point, could have been a contributing factor to her demeanour. But I don聮t
believe that that was the, the full scale of her, of her reaction
(2)
The Pre-Charge Conference
[11]
At the pre-charge conference, defence counsel raised
the police testimony about the appellant聮s demeanour. The trial judge indicated
he would be telling the jury they should be extremely reluctant to rely on this
evidence, and added:
I regret letting it in. Saying that she looks
like a deer trapped in the headlight and then attempting to quantify what that
meant when you put other perfectly reasonable scenarios to the officer, I
shouldn聮t have let the evidence in. It聮s, in my thinking it聮s akin to post-offence
conduct and there are numerous other reasons that she might look like that. So,
I聮ll be dealing with demeanour.
[12]
Defence counsel then asserted that Constable Canning
had testified that the appellant had been uncooperative and that the jury might
say 聯well, she didn聮t cooperate with the police officer聰. Defence counsel was
concerned that the jury might think there was 聯an onus聰 on her client to say
anything to the police.
[13]
The trial judge said he did not have a note that
Constable Canning said the appellant was uncooperative. Defence counsel
insisted he had said at one point she was not cooperative. After the Crown
stated that they did not have a note of Canning saying the appellant was not
cooperative, the trial judge stated, 聯Well, I聮m not going to say anything about
that聰.
[14]
Defence counsel was mistaken in attributing the
testimony to Constable Canning. It was Constable Griffin who had testified the
appellant did not say anything to the police and would not answer any questions,
and it was Constable Reynolds who said she was not answering questions put to
her.
[15]
After the trial judge read to counsel what he
proposed to say in his charge about the elements of the offence, including about
the police testimony that the appellant looked like a deer caught in headlights,
defence counsel said he had nothing further to say.
(3)
The Charge
[16]
As he had indicated at the pre-charge conference,
the trial judge said to the jury:
Constable Reynolds testified that [the
appellant] appeared to be very nervous and agitated and she looked like, a lot
like a deer in the headlights. Now, in my view, this evidence does not really
help you. There is no evidence that Constable Reynolds knew [the appellant], or
what her demeanour is usually like, and there are several reasons why she might
appear to be nervous and upset. The police were searching her home. She and her
son were in handcuffs, and there was mention of drugs being found in her son聮s
room.
[17]
The trial judge said nothing to the jury about
the police testimony that the appellant had not answered the questions of the
police (other than identifying herself).
[18]
The trial judge聮s charge also contained the
standard instructions:
My references to the evidence are only to help
you remember it and to show how it relates to the issues in this case. If my
memory of the evidence is different from yours, it聮s yours that counts. You
find the facts and base your decision on your memory of the evidence, not mine,
nor that of counsel.
Now, our law also permits me to comment or
express opinions about issues of fact. If I do that however, you do not have to
reach the same conclusion. You, not I, determine what happened in this case.
(4)
Analysis
[19]
The trial judge聮s instructions to the jury were
deficient in two respects.
[20]
First, the charge left it open to the jury to
rely on evidence that was not admissible. Before the police witnesses
testified, the trial judge had ruled their opinions about the appellant聮s
demeanour inadmissible. At the end of the testimony, the trial judge
acknowledged the police witnesses had gone beyond testifying about their
observation of the appellant聮s demeanour and had offered opinion evidence about
the appellant聮s demeanour. Telling the jury that he viewed the evidence as not
helpful, while leaving the jury free to apply their own view of it, left open
the prospect that the jury might rely on the evidence. The trial judge should
have instructed the jury clearly and unambiguously to disregard the evidence.
[21]
Second, the charge lacked a clear instruction
that the jury could not draw anything from the appellant聮s post-detention
silence, which was her constitutional right. While the trial judge and neither
counsel had a clear recall of Constable Griffin聮s testimony that the appellant
聯didn聮t say anything to us. She didn聮t answer any questions聰, members of the
jury may well have noted and remembered the testimony. The instructions should
not have left open the prospect that the jury might use the evidence for an
impermissible purpose by reasoning that if the drugs were not the appellant聮s
she would have answered their questions.
[22]
These deficiencies in the charge to the jury
rendered the trial unfair and would necessitate a new trial.
(5)
Unreasonable verdict
[23]
I would reject the appellant聮s submission the
verdict is unreasonable. The evidence in this case, considered as a whole, was
reasonably capable of supporting the verdict.
[24]
Cocaine worth $287,000, marijuana worth $70,000
and additional drug paraphernalia, such as digital scales, were found in various
places in the appellant聮s bedroom. Her ODSP receipt, her lease for the
premises, and her passport were also found in the bedroom. The lease indicated
she was paying $1600 a month in rent while receiving $1912 in disability
support according to the ODSP receipt. High-end watches were also found in her
bedroom. She was in possession of three cell phones when arrested.
[25]
In my view a correctly instructed jury could have
rejected the theory of the defence, that the appellant聮s son placed the drugs
and other items in various spots throughout his mother聮s bedroom during the
brief period the police were attempting to gain entry to the premises, and
could have concluded the appellant was guilty.
(6)
Conclusion
[26]
I would allow the appeal, quash the convictions,
and remit the matter to the Superior Court of Justice for a new trial.
Released: May 20, 2021 聯RGJ聰
聯R.G. Juriansz J.A.聰
聯I agree. K. van Rensburg J.A.聰
聯I agree. Sossin J.A.聰
|
COURT OF
APPEAL FOR ONTARIO
CITATION: R. v. Chung, 2021 ONCA 188
DATE: 20210331
DOCKET: C65325, C65815, C65821 & C65843
Rouleau, Benotto and Miller JJ.A.
DOCKET:
C65325
BETWEEN
Her Majesty the Queen
Appellant
and
Kenneth Chung
Respondent
DOCKET: C65815
AND BETWEEN
Her Majesty the Queen
Respondent
and
Kathleen Chung
Appellant
DOCKET: C65821
AND BETWEEN
Her Majesty the Queen
Respondent
and
Jun-Chul Chung
Appellant
DOCKET: C65843
AND BETWEEN
Her Majesty the Queen
Respondent
and
Kenneth Chung
Appellant
Jill R. Presser and Cate Martell, for the appellant
Kathleen Chung
Jacqueline An, for the appellant Jun-Chul Chung
Susan von Achten and Joshua Napal, for the respondent/appellant
Kenneth Chung
Melissa Adams and David Friesen, for the appellant/respondent
Crown
Heard: October 20-22, 2020
On appeal from the acquittals entered by Justice Douglas
K. Gray of the Superior Court of Justice on April 9, 2018, with reasons
reported at 2018 ONSC 2177 (C65325).
On appeal from the convictions entered by Justice Douglas
K. Gray of the Superior Court of Justice on April 9, 2018, with reasons
reported at 2018 ONSC 2177, and the sentences imposed on September 4, 2018 (C65815,
C65821 & C65843).
On appeal from the judgment of Justice Douglas K. Gray of
the Superior Court of Justice on November 5, 2018, with reasons reported at
2018 ONSC 6633 (C65815 & C65821).
On appeal from the orders of Justice Douglas K. Gray of
the Superior Court of Justice on February 21, 2019, with reasons reported at
2019 ONSC 882 (C65815, C65821 & C65843).
On appeal from the ruling of Justice Gisele M. Miller of
the Superior Court of Justice on January 3, 2017, with reasons reported at 2017
ONSC 13 (C65815 & C65821).
TABLE OF CONTENTS
PAGES
OVERVIEW
1
BACKGROUND
2
The split ticket scheme for the Super 7 lottery
3
Kathleen claims the prize
4
The Hi Ok Chung trust
6
THE TRIAL
6
(1) Convictions
Count 1:
Theft under $5000 (the 30 tickets that won nominal
or no prize)
7
Count 2: Possession of property obtained by crime (the 30
tickets)
Count 3: Theft over $5000 (the winning ticket)
8
Count 4: Possession of property obtained by crime (the
winning ticket)
10
Count 5: Defrauding the OLG of $12.5 million
11
Count 6: Possession of property obtained by crime (the
$12.5 million paid)
11
(2) Sentence
12
(3) The constitutional challenge
13
(4) Restitution, forfeiture,
and fines in lieu
15
(5)
The s. 11(b)
application
16
ISSUES ON APPEAL
1.
Conviction Appeal
2.
Sentence Appeal
3.
Did the application
judge err in dismissing the s. 11(b) stay application?
4.
Did the trial judge
err in not granting interest to Kenneth Chung?
5.
Did the trial judge
err in acquitting Kenneth of counts 3-6?
17
ANALYSIS
(1) Conviction Appeals
Issue 1(a): Did the trial judge impose unreasonable
verdicts for Kathleen Chung?
17
Count 4: Possession of property obtained by crime (the
winning ticket)
18
Count 6: possession of property obtained by crime (the
$12.5 million paid)
Count 5: Defrauding the OLG of $12.5 million
21
Issue 1(b): Did the trial judge impose unreasonable verdicts
for Jun-Chul Chung?
23
Issue 1(c): Did the trial judge impose unreasonable
verdicts for Kenneth Chung?
26
(2) Sentence Appeals:
Issue 2(a): Restitution and Fine in Lieu
(i) Did the trial judge err in dismissing the
constitutional challenges?
28
(ii) Did the trial judge err in establishing time to pay
and a six-year sentence in default of payment?
53
Issue 2(b): The Custodial Sentence Appeals
56
(i) Kenneth Chung聮s custodial sentence of 10 months
57
(ii) Jun-Chul Chung聮s custodial sentence of seven years
58
(iii) Kathleen Chung聮s custodial sentence of four years
59
Issue 3: Did the application
judge err in dismissing the s.11(b) stay application?
63
Issue 4: Did the trial judge
err in not granting interest to Kenneth Chung?
Issue 5: Did the trial judge
err in acquitting Kenneth of counts 3-6?
86
CONCLUSION
92
By the Court
:
OVERVIEW
[1]
These appeals concern a $12.5 million lottery win by the Chung family.
[2]
Jun-Chul Chung is the father of Kenneth and Kathleen Chung. All three
appeal their convictions for their roles in relation to a scheme to steal
lottery tickets from customers at their family convenience store. The Crown
alleged Jun-Chul and Kenneth stole 31 lottery tickets by pocketing one of the
two free tickets won by a customer. Thirty of those tickets won nothing or a
nominal prize. One won the $12.5 million jackpot. Kathleen cashed in the
ticket, received and deposited the $12.5 million prize.
[3]
Jun-Chul and Kenneth were convicted of counts related to the tickets
that did not win the big prize. Jun-Chul and Kathleen were convicted of counts
related to the winning ticket, but Kenneth was acquitted on those counts. A s.
11(b)
Charter of Rights and Freedoms
application was dismissed.
[4]
At sentencing, Jun-Chul and Kathleen challenged the constitutionality of
the fine in lieu of forfeiture regime set out in s. 462.37(4) of the
Criminal
Code
. This section requires the judge who imposes the fine at sentencing
to simultaneously set the term of imprisonment in default of payment and impose
mandatory minimum sentences in default of payment. The parties argued that these
aspects of s. 462.37(4) violated ss. 7 and 12 of the
Charter
. The
constitutional challenge was dismissed.
[5]
Jun-Chul was sentenced to seven years聮 imprisonment and Kathleen was
sentenced to four years聮 imprisonment. In addition to their custodial
sentences, they were jointly and severally ordered to pay restitution of $12.5
million, forfeit $7.5 million, and pay a fine in lieu of forfeiture of $2.3
million each. Kenneth was sentenced to 10 months聮 imprisonment.
[6]
Jun-Chul and Kathleen appeal their convictions, custodial sentence, the
restitution and forfeiture orders, the fine in lieu of forfeiture, the default
term of imprisonment, the dismissed constitutional challenge and the dismissed
s. 11(b) application.
[7]
Kenneth appeals his convictions, his sentence, and the trial judge聮s
decision to not award him interest on monies returned to him at the forfeiture
hearing.
[8]
The Crown appeals Kenneth聮s acquittals.
BACKGROUND
[9]
Kenneth operated a convenience store in
Burlington called 聯Variety Plus.聰 He is a registered agent for the Ontario
Lottery and Gaming Corporation (聯OLG聰).
[10]
Kenneth worked every day from 12:00 p.m. until
10:00 or 10:30 p.m. Jun-Chul worked in the store every day from 6:00 a.m. to at
least 10:00 a.m. Kathleen did not work in the store.
The split ticket scheme for the Super 7 lottery
[11]
Variety Plus had a lottery terminal connected to
the OLG聮s central computer system, through which it sold and validated lottery
tickets. When a winning ticket was validated, the terminal played a jingle. The
jingle was the same no matter the prize, and no matter the number of prizes a
single ticket won. Players of Super 7 could win money 聳 anywhere from $10 to
the grand prize 聳 and/or up to two free-play tickets per lottery ticket. The
purchaser of a Super 7 ticket could pay an extra $1 to play in a further
lottery game called 聯Encore.聰 A free-play ticket could automatically come with
Encore included, but not always.
[12]
When a ticket was validated and it won a
free-play ticket including Encore, the free ticket would print automatically.
If the free-play ticket did not include Encore, the store clerk would have to ask
the customer if they wanted to purchase Encore, and then enter the customer聮s
response into the terminal to close the transaction and print the free-play
ticket. By way of example, if a validated ticket won two free-play tickets, one
automatically with Encore and one without, a jingle would play but it would not
indicate how many free-play tickets were won. The free-play ticket that
included Encore would then print automatically. The second free-play ticket
would not print until the clerk indicated whether the customer wanted to add
Encore. The transaction would only close when the clerk inputted the customer聮s
answer and the ticket printed.
[13]
The scheme for which the appellants were
convicted involved tickets that were validated at Variety Plus. The customer
was given one free ticket and either Jun-Chul or Kenneth kept the other. One of
the free tickets the Chungs kept won $12.5 million.
Kathleen claims the prize
[14]
In January 2004, Kathleen called the OLG and
asked about the procedure for claiming the proceeds of a winning ticket. She
said the ticket belonged to her brother and he was concerned about publicity if
he claimed the prize. Following that initial phone call, Kathleen had three
separate meetings with representatives of the OLG.
[15]
The first meeting was on February 5, 2004. Ahead of the meeting, OLG
officials learned that
the winning ticket had been purchased at an
outlet in St. Catharines. When
Kathleen arrived at the meeting
to claim the $12.5 million prize, she said it was her ticket, that she had no
brother, and that she wanted to keep her name confidential.
Kathleen
could not give specific or general information as to the time, date, or
location of the purchase of the original ticket. The representatives asked
Kathleen whether she went to St. Catharines, and she said she did not. When the
OLG asked her to sign a statutory declaration that, among other things, stated
she was not related to a 聯Kenneth Chung聰, Kathleen started crying and admitted
Kenneth was her brother. On the same day, an OLG representative spoke with
Kenneth. Kenneth admitted he was Kathleen聮s brother and that Kathleen lied to
protect him. He said the ticket belonged to Kathleen and that she purchased it
on her own.
[16]
The
second meeting was on February 10, 2004. Kathleen, Kenneth, and Jun-Chul
attended. The OLG advised they were concerned about where and when the ticket
was purchased. The Chungs advised that Jun-Chul validated the winning ticket on
December 27, 2003, sometime between 9:00 and 11:00 a.m. They also stated that
Jun-Chul ran a health food business, and that Kathleen made deliveries for the
business, sometimes to St. Catharines.
[17]
The
third meeting was on March 10, 2004. Again, Kathleen, Kenneth, and Jun-Chul
attended. Kathleen was interviewed separately. She said on the morning she won,
Jun-Chul was validating multiple tickets. At one point the jingle sounded, and
her father said she聮d won. She explained it took her a while to calm down, so
she waited in her car and used her cell phone to call her brother and mother.
She hung around the store for a little while and then went home. She reiterated
that she did not know where or when she bought the original ticket. She
explained again that she does deliveries for her father throughout Ontario and
that she buys tickets wherever she is. She provided a handwritten list of
delivery locations, which included three locations in St. Catharines. None of
the locations matched the location of retailer that sold the winning ticket. (Later,
when the matter was at trial, the Crown produced Kathleen聮s cell phone records
which did not show she had been to St. Catharines.)
[18]
The
OLG eventually paid Kathleen聮s claim on December 28, 2004.
[19]
The
true owner of the winning ticket was not determined for several years. In
January 2011, Daniel Campbell, who lived in St. Catharines, was identified as
the winner and paid $12.5 million plus interest.
The Hi Ok Chung trust
[20]
Kathleen
deposited the $12.5 million cheque in an account with CIBC. The money was then
dispersed in many ways, with most of the money vested in the 聯Hi Ok Chung
Family Trust聰.
[21]
Hi
Ok Chung is Jun-Chul聮s sister. Hi Ok lived in Korea and was the settlor of the
trust. Jun-Chul was one of three trustees, and Jun-Chul, Kathleen, and Kenneth
were all beneficiaries of the trust. Most of the trust聮s assets came from the
lottery winnings. Some of the assets were used to purchase real estate or to
provide mortgages for properties Kathleen and Kenneth purchased.
THE TRIAL
[22]
The Chungs were charged as follows:
[1]
a)
Count 1: that Jun-Chul and Kenneth stole lottery tickets during an
eight-month period ending on February 6, 2004, contrary to s. 334(b) of the
Criminal
Code
;
b)
Count 2: that Jun-Chul and Kenneth were in possession of the lottery
tickets referred to in count 1, contrary to s. 354(1)(a) of the
Criminal
Code
;
c)
Count 3: that Jun-Chul and Kenneth stole the winning Super 7 lottery
ticket, said to be the property of Daniel Campbell, contrary to s. 334(a) of
the
Criminal Code
;
d)
Count 4: that Jun-Chul, Kenneth, and Kathleen possessed the winning
Super 7 lottery ticket, knowing that it was obtained by the commission of an
indictable offence, contrary to s. 354(1)(a) of the
Criminal Code
;
e)
Count 5: that Jun-Chul, Kenneth, and Kathleen did, by deceit,
falsehood or other fraudulent means, defraud the OLG of $12.5 million, contrary
to s. 380(1) of the
Criminal Code
; and
f)
Count 6: that Jun-Chul, Kenneth, and Kathleen possessed all or part
of the $12.5 million, and property purchased with it, knowing the money and
property were obtained by the commission of an indictable offence, contrary to
s.聽354(1)(a) of the
Criminal Code
.
(1)
Convictions
[23]
The trial judge came to the following
conclusions.
Count 1:
Theft under $5000 (the 30
tickets that won nominal or no prize)
[24]
The trial judge held there was no doubt the evidence disclosed a
scheme to steal free-play lottery tickets.
Having regard to the hours of
work of Kenneth and Jun-Chul, and the timing of the transactions, the only
reasonable conclusion from the evidence was that both Jun-Chul and Kenneth were
guilty of the thefts
.
[25]
Although
neither Jun-Chul nor Kenneth physically stole every one of the tickets, there
was joint participation because, on at least eight occasions, one validated the
original ticket and the other validated the generated free-play ticket. Where
the evidence discloses joint participation, both accused can be convicted as
principals. Therefore, the trial judge found they were both guilty of all the
split ticket thefts as parties under s. 21(1)(a) of the
Criminal Code.
[26]
The
trial judge considered whether reasonable inferences inconsistent with guilt
were available, but found they were not. Specifically, he considered whether
the winners of both free-play tickets validated both, in which case each winner
would have had to cash the two different tickets in two different places on
different dates. While that was theoretically possible, it was unreasonable to
infer that happened 30 times over an eight-month period.
Count 2: Possession of property obtained by crime (the 30
tickets)
[27]
Based
on the same evidence tendered on count 1, the trial judge found it was clear
that Jun-Chul and Kenneth were guilty of count 2.
Count 3: Theft over $5000 (the winning ticket)
[28]
There
was an issue at trial about whether there had to be proof that Campbell was the
true winner. The trial judge was not satisfied of this beyond a reasonable
doubt. However, relying on
V茅zina and C么t茅 v. The Queen
, [1986] 1
S.C.R. 2, the trial judge concluded that the name of the rightful owner is mere
surplusage and can be ignored as long as there is no prejudice to the accused.
There was no prejudice, so there was no burden on the Crown to prove the
identity of the true owner of the winning ticket.
[29]
The
trial judge then considered the evidence tendered under count 3 which made it
clear that on December 22, 2003, Jun-Chul validated the four tickets that were
purchased on December 19, 2003 in St. Catharines. Those four tickets
collectively generated five free-play tickets, one of which was the winning
ticket. Four of the free-play tickets were validated in St. Catharines on
December 27, 2003. Only the winning ticket was validated at Variety Plus on
December 27, 2003. There was only one reasonable conclusion: Jun-Chul kept the
$12.5 million winning ticket for himself and therefore stole it from the
rightful owner.
[30]
The
trial judge considered whether it was possible on the evidence that Kathleen
purchased the original ticket. To accept that inference, he would have to
conclude Kathleen purchased all four original tickets in St. Catharines on
December 19, 2003. She would also have to have been the person who validated
all four tickets at Variety Plus on December 22, 2003, validated four of the
free-play tickets in St. Catharines on December 27, 2003 and then validated the
winning ticket at Variety Plus on the same day. The evidence was not capable of
supporting that inference.
[31]
The
trial judge found the Crown did not establish that Kenneth was present at the
store when Jun-Chul stole the ticket, and he was not persuaded beyond a
reasonable doubt that Kenneth was involved in the theft of the winning ticket. In
coming to this conclusion, he did not consider the evidence relating to the
split ticket scheme which was the basis for Kenneth聮s convictions on counts 1
and 2. He reasoned that the Crown had not made a similar fact application and
accordingly, he acquitted Kenneth of count 3.
Count 4:
Possession of property obtained
by crime (the winning ticket)
[32]
Considering
Jun-Chul was guilty of stealing the $12.5 million winning lottery ticket, he was
also guilty of count 4.
[33]
The
trial judge concluded that there was no doubt that Kathleen knew the ticket had
been stolen. She consistently lied about her purchase of the original ticket
and the validation of the winning ticket. Her cellphone, bank, and Visa records
showed she could not have been where she said she was at the relevant times.
She obviously lied to the OLG and knew the ticket was stolen. She was guilty on
count 4.
[34]
With
respect to Kenneth, the trial judge found that there was no evidence that
Kenneth was in the store at the time the winning ticket was validated. He was
not satisfied that Kenneth knew the ticket was stolen. It was a reasonable
possibility that he was told Kathleen was the rightful winner and he believed
her. Accordingly, the trial judge acquitted Kenneth of count 4.
Count 5: Defrauding the OLG of $12.5 million
[35]
The
trial judge convicted Jun-Chul and Kathleen of count 5.
[36]
The
trial judge concluded that it was clear Jun-Chul stole the winning ticket and
that Kathleen knew it was stolen. She knew she did not purchase or validate any
of the original tickets, and that she did not validate any of the generated
free-play tickets. When Jun-Chul and Kathleen met with the OLG, they falsely
represented that Kathleen purchased the original ticket and that she owned the
winning ticket. They knew that was false but continued to lie until they
received the money. Therefore, they obtained the $12.5 million through
falsehoods and defrauded the OLG of that sum. That finding was not altered by
the fact that the OLG paid the money despite their suspicions.
[37]
The
trial judge acquitted Kenneth of count 5. Again, the trial judge held there was
a reasonable possibility that Kenneth was told and believed that Kathleen was
the legitimate purchaser of the original ticket.
Count 6: Possession of property obtained by crime (the $12.5
million paid)
[38]
The
trial judge convicted Jun-Chul and Kathleen on count 6. They both knew the
$12.5 million was obtained fraudulently, and both possessed the $12.5 million
or property derived from it. Jun-Chul was a trustee and beneficiary of the Hi
Ok Chung Family Trust, which obtained most of the funds. Kathleen used a large
portion of the proceeds to purchase an expensive home and some cars. She was
also the beneficial owner of a number of investments.
[39]
The
trial judge acquitted Kenneth. Kenneth obtained considerable benefit from some
of the proceeds of the $12.5 million. However, for the same reasons as counts 3-5,
the trial judge was not convinced beyond a reasonable doubt that Kenneth knew
that the money and property were obtained by fraud.
(2)
Sentence
[40]
The trial judge held that, in the circumstances,
neither suspended sentences nor conditional sentences were appropriate.
Deterrence was paramount, so some period of custody was mandatory for each
accused.
[41]
The trial judge accepted the Crown聮s sentencing
ranges for each of the accused, but applied reductions for each to reflect the
mitigating factors. He sentenced Jun-Chul to a term of imprisonment of seven
years. He sentenced Kenneth to a term of imprisonment of 10 months. He
sentenced Kathleen to a term of imprisonment of four years.
[42]
Pursuant to the rule in
Kienapple v.
R.
,
[1975] 1 S.C.R. 729
, the
trial judge imposed conditional stays for Kenneth (count 2) and Jun-Chul (counts
2 & 4). Kathleen聮s conviction under count 6 did not meet the criteria for a
conditional stay.
(3)
The constitutional challenge
[43]
The Crown requested fines in lieu of forfeiture
against Jun-Chul and Kathleen pursuant to s. 462.37 of the
Criminal
Code
.
[44]
Where an offender is convicted of a designated
offence, s. 462.37 permits the court to order that any property obtained from
the proceeds of crime be forfeited to the Crown. Where that property cannot be
made the subject of a forfeiture order, s. 462.37(3) allows the court to order
the offender to pay a fine in lieu of forfeiture equal to the value of the
property. Pursuant to s. 462.37(4), the imposition of a fine in lieu of
forfeiture must include the imposition of specified terms of imprisonment in
default of payment. Depending on the amount of the fine, s. 462.37(4)
prescribes defined minimum and maximum terms. For fines above $1 million, the
term of imprisonment must be not less than five years and not more than ten
years.
[45]
Jun-Chul and Kathleen challenged the mandatory
minimum sentences specified in s. 462.37(4) under ss. 7 and 12 of the
Charter
.
[46]
The trial judge found that Parliament聮s
intention in enacting the provisions was to ensure that crime does not pay. The
provisions set out in ss. 462.37(3) and 462.37(4) are not intended to punish
the offender but are designed to encourage offenders to disgorge ill-gotten
gains. He also found it instructive that many of the general
Criminal
Code
provisions on fines apply to fines in lieu of
forfeiture.
[47]
The trial judge noted the following factors in
support of his decision to dismiss the application:
(a)
if a fine is paid in part, there will be a
proportionate reduction in the amount of custodial time to be served (s. 734.8);
(b)
if an offender requires more time to pay a fine,
they may apply to vary the order (s. 734.3);
(c)
before the Crown can apply for a warrant of
committal for non-payment, the Crown must attempt to use other means of
collecting the fine (ss. 734.5 and 734.6);
(d)
the court cannot issue a warrant of committal
for non-payment until the time allowed for payment has expired, the mechanisms
provided by ss.聽734.5 and 734.6 are not considered appropriate, or the
offender has, without reasonable excuse, refused to pay the fine (s. 734.7);
(e)
inability to pay a fine is a reasonable excuse
for non-payment;
(f)
at the time of sentencing, the court has considerable
discretion as to the length of time that may be given to pay the fine; and
(g)
mandatory minimum and maximum terms of
imprisonment must also be imposed in other cases where a fine is levied. Sections
734(4) and 734(5) require a term of imprisonment in default of payment of a
fine.
[48]
Considering the purpose of the challenged
provisions and their actual impact in light of other provisions of the
Criminal
Code
, the trial judge held that the mandatory minimum
terms of imprisonment required by s. 462.37(4) of the
Code
did not violate s. 12 of the
Charter
.
[49]
Regarding s. 7, the offender has the right to
make submissions on relevant issues at each stage of the proceeding. The trial
judge held that the mere fact that there is a mandatory term of imprisonment
does not deprive the offender of any s.聽7 rights. The defence argument was
more properly left to a determination under s. 12.
(4)
Restitution,
forfeiture, and fines in lieu
[50]
The Crown sought a $14.8 million restitution
order, a $7.7 million forfeiture order, and a $4.6 million fine in lieu of
forfeiture ($2.3 million each) against Jun-Chul and Kathleen. The Crown also
sought a six-year custodial term in default of payment.
[51]
Kenneth applied for some of the seized funds to
be returned to him on the basis they were not properly part of the forfeited
sums.
[52]
The trial judge issued a $12.5 million
restitution order against Jun-Chul and Kathleen, jointly and severally. The
trial judge also ordered $7.5 million be forfeited to the Crown by Jun-Chul and
Kathleen.
[53]
He ordered funds received from Kenneth to be
returned to him, as he was not satisfied that amount was derived from the
proceeds of the lottery funds.
[54]
Notwithstanding Jun-Chul and Kathleen聮s
submissions, the trial judge found there were no grounds for a fine in lieu of
forfeiture of anything less than $4.6 million. The trial judge noted, as
reflected in
R. v. Lavigne
, 2006 SCC 10,
[2006] 1 S.C.R. 392, that the objective of the statutory provisions is to
ensure crime does not pay and the ability to pay is not a relevant factor.
[55]
The trial judge did not agree that Jun-Chul
should bear all the responsibility for the fine in lieu of forfeiture. The
lottery funds were made out to Kathleen, and she was an active participant in
securing the funds from the OLG. Accordingly, they should be equally
responsible for the outstanding amount.
[56]
The trial judge gave both Jun-Chul and Kathleen
seven years to pay. Considering the mandatory five-year minimum default
sentence for fines above $1 million, he held a six-year term of imprisonment
was appropriate upon default of payment.
(5)
The s. 11(b) application
[57]
Prior
to trial, the appellants brought an application under s. 11(b) of the
Charter
.
The application judge found the Crown genuinely responded to the circumstances
of the case including the voluminous disclosure, multiple co-accused, and an
ever-changing roster of defence counsel. Given the complexity of the case and
reasonable reliance on the law as it existed pre-
Jordan
, 2016 SCC 27,
[2016] 1 S.C.R. 631, she found the Crown had established that the time the case
would have taken, at the anticipated end of trial on March 24, 2017, was
justified. Therefore, there was no breach of s. 11(b) of the
Charter
.
ISSUES ON APPEAL
1.
Conviction Appeal:
(a)
Did the trial judge impose
unreasonable verdicts for Kathleen Chung?
(b)
Did the trial judge impose
unreasonable verdicts for Jun-Chul Chung?
(c)
Did the trial judge impose
unreasonable verdicts for Kenneth Chung?
2.
Sentence Appeal:
(a)
Restitution and Fine in lieu:
(i)
Did the trial judge
err in dismissing the constitutional challenges?
(ii)
Did the trial judge err in
establishing time to pay and a six-year sentence in default of payment?
(b)
Custodial Sentence:
(i)
Did the trial judge
err in principle in imposing the sentences for the appellants?
3.
Did the application judge err in dismissing the s. 11(b) stay
application?
4.
Did the trial judge err in not granting interest to Kenneth Chung?
5.
Did the trial judge err in acquitting Kenneth of counts 3-6?
ANALYSIS
(1)
Conviction Appeals
Issue 1(a): Did the trial judge impose unreasonable verdicts
for Kathleen Chung?
[58]
Kathleen
was convicted of counts 4, 5, and 6. We discuss the related counts 4 and 6 and
then count 5.
Count 4: Possession of property obtained by crime (the winning ticket)
[59]
Kathleen was convicted of possession of the winning ticket
knowing that it was obtained by the commission of an indictable
offence. She appeals on two related grounds: (i) that the verdict was
unreasonable; and (ii) that the trial judge gave inadequate consideration to
Kathleen聮s
mens rea
.
[60]
She submits that the verdict is unreasonable
because the
evidence supported a reasonable inference that she did not know the ticket was
stolen, but believed the ticket belonged to Kenneth or Jun-Chul. She submits
that the evidence supports an inference that she only
said
she was the
owner either because she thought her father and brother were precluded from
claiming the prize because they would be 聯insiders聰 as a result of Kenneth聮s
role as agent retailer for the OLG, or because she wanted to protect her brother
from unwanted publicity.
[61]
By
failing to consider these inferences, Kathleen submits that the mental element
for the offence was not established. She submits that the trial judge relied on
her lies to the OLG about her purchase of the ticket to conclude that she knew
the ticket was stolen. However, she submits that her lies were equally
consistent with an honest belief that Jun-Chul or Kenneth was the ticket聮s
rightful owner.
[62]
We
do not accept these submissions.
[63]
This
court recently reviewed the principles applicable to an appeal based on the
assertion of unreasonable verdict. In
R. v. Lights
,
2020 ONCA 128, 149 O.R. (3d) 273, Watt
J.A., speaking for the court, set out the role of the appeal court at para. 30:
A verdict is unreasonable if it is
one that no properly instructed jury, acting judicially, could reasonably have
rendered. This test requires not only an objective assessment of the evidence adduced
at trial, but also, to some extent at least, a subjective evaluation of that
evidence. To discharge this responsibility, we are required to review, analyse,
and, within the limits of appellate disadvantage, weigh the evidence. This
weighing is only to determine whether that evidence, considered as a whole, is
reasonably capable of supporting the verdict rendered. [Citations omitted.]
[64]
He
also noted, at para. 33, that the court is entitled to consider that the
appellant did not testify:
When the claim of an unreasonable
verdict rests on the assertion that, based on the evidence, the trier of fact
could not have reasonably rendered the guilty verdict, an appellate court is
entitled to consider that the accused did not testify at trial or adduce other
evidence to support any other reasonable inference consistent with innocence.
[Citations omitted.]
[65]
And
at para. 39:
When a verdict that rests wholly
or substantially on circumstantial evidence is challenged as unreasonable, the
question appellate courts must ask is 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:
Villaroman
,
at para. 55. Fundamentally, it is for the trier of fact to determine whether
any proposed alternative way of looking at the case as a whole is reasonable
enough to raise a doubt about the guilt of the accused:
Villaroman
, at
para. 56.
[66]
We
conclude that the evidence, considered as a whole, is reasonably capable of
supporting the guilt of Kathleen on count 4.
[67]
The
evidence does not support the inference that Kathleen believed her brother or
father could not claim the prize because her brother was a retailer. Were this
the case, she would not have initially said that the ticket belonged to her
brother. The policy regarding agents, retailers and insiders was explained to
her. It did not prevent them from winning and claiming prizes.
[68]
Kathleen
did not testify so the only evidence regarding publicity concerns arose from
the testimony of David Summers, who spoke to her during her initial call to the
OLG in January 2004. He testified that it would be better if the OLG handled
the media. He told her that generally certain information would be given to the
media, including the details of the particular lottery, the amount won, the
name of the winner, and the city in which they lived.
[69]
The
trial judge understood that this was a circumstantial case and applied the
principles from
R. v. Villaroman
,
2016 SCC 33, [2016] 1 S.C.R. 1000, to his analysis
.
He
understood Kathleen聮s submission that her lack of knowledge of the theft was a
reasonable inference from the evidence. He concluded that this inference was
not reasonable:
Kathleen Chung has lied throughout
about her purchase of the original ticket and the validation of the winning
ticket. She could not, in fact, have purchased any of the original tickets nor
validated any of the subsequent tickets. Apart from the OLG computer records,
her cellphone, banking and VISA records show that she could not have been where
she said she was at the relevant times. She obviously lied to the OLG personnel
about being the legitimate owner of the ticket and how she came to possess it. She
knew the ticket was stolen.
[70]
The
verdict was not unreasonable and the trial judge properly considered Kathleen聮s
knowledge of the theft 聳 the appeal with respect to count 4 is dismissed.
Count 6: possession of property obtained by crime (the $12.5
million paid)
[71]
It
follows logically from the above analysis on count 4, that the appeal on count
6 must be dismissed. The trial judge found 聳 and we have confirmed 聳 that
Kathleen knew the ticket was stolen and received the proceeds. The funds were
deposited into her bank account and, as the trial judge concluded:
Kathleen Chung obtained the benefit
of large amounts of the proceeds, including the purchase of an expensive home
and some cars, and she was the beneficial owner of a number of investments.
[72]
The
appeal with respect to count 6 is dismissed.
Count 5: Defrauding the OLG of $12.5 million
[73]
Kathleen
Chung was convicted of defrauding the OLG of $12.5 million.
[74]
She
claims that the trial judge did not meaningfully consider her arguments at
trial and erred in his analysis of the offence of fraud. By focusing on her
dishonesty, he failed to consider whether her dishonesty resulted in
deprivation. She submits that dishonesty is insufficient to establish fraud;
the dishonesty must cause the victim to act to its detriment. In other words,
her lies did not cause the OLG to act to its detriment because the OLG聮s policy
was to pay the bearer of the ticket unless someone else claimed it. Therefore,
the OLG paid Kathleen聮s claim because she was the bearer of the ticket, not
because she falsely claimed to be the rightful owner.
[75]
Although
the OLG also paid out the funds to the rightful owner, there was no evidence it
was under any legal obligation to do so. Instead, the OLG paid out the second
claim because it wanted to restore the public confidence it lost after the
聯insider win聰 scandal. Kathleen聮s actions did not directly cause the detriment.
Kathleen submits that the trial judge did not meaningfully consider these
arguments at trial and erred by focusing on the element of dishonesty and
failing to consider whether the dishonesty resulted in deprivation.
[76]
Kathleen
submits that this situation is akin to that in
R. v. Benson (M.) et al.
,
2012 MBCA 94, 284 Man. R. (2d) 204
, a decision of the
Manitoba Court of Appeal. In that case, Mr. Helgason was acquitted of fraud in
respect of a falsified claim to the Manitoba government regarding a
resettlement programme for persons whose property was expropriated. In
dismissing the Crown appeal of acquittal on this count, the court relied on the
trial judge聮s acceptance of the government representative聮s evidence that the
government was not concerned about falsification and would have acted as it did
irrespective of Helgason聮s statements.
[77]
This
is not an analogous situation.
[78]
There
is no evidence here that the OLG would have paid the money to Kathleen had they
known that the ticket was stolen. On the contrary, David Myers聮 evidence was
that the OLG was concerned that they were paying the rightful owner and that 聯if
it was a stolen ticket and we knew it was stolen, we would not have paid that
ticket.聰
[79]
This
court has confirmed that the deprivation element of fraud is satisfied even if
the accused聮s dishonest conduct is not the sole cause of the deprivation:
R.
v. Drakes
, 2009 ONCA 560
. In
fact, 聯
the causal link between the dishonest conduct and the
deprivation may not depend on showing that the victim relied on or was induced
to act by the fraudulent act聰:
R. v. Riesberry
,
2015 SCC 65, [2015] 3 S.C.R. 1167, at para. 24.
[80]
The
guilty verdict for Kathleen Chung on count 5 was reasonable. The appeal on this
count is dismissed.
Issue 1(b): Did the trial judge impose unreasonable verdicts
for Jun-Chul Chung?
[81]
Jun-Chul
Chung appeals the findings of guilt on counts 1 to 6:
路
Count 1: theft under $5000 (the 30 tickets that won nominal or no
prize);
路
Count 2: possession of property obtained by crime (the 30
tickets);
路
Count 3: theft over $5000 (the winning ticket);
路
Count 4: possession of property obtained by crime (the winning
ticket);
路
Count 5: defrauding the OLG of $12.5 million; and
路
Count 6: possession of property obtained by crime (the $12.5
million paid).
[82]
Counts
2 and 4 were conditionally stayed pursuant to
Kienapple
.
[83]
Jun-Chul
relies on Kathleen聮s submissions and further submits that the guilty verdicts
were unreasonable because: (i) the evidence permitted an inference that he
believed Kathleen was the rightful owner of the winning ticket; (ii) it was not
established that Daniel Campbell was the real owner; (iii) the trial judge
erred in relying on Exhibit 38; and (iv) the OLG had a policy to pay the bearer
of the ticket.
[84]
Kathleen
does not take the position that she was the rightful owner and the trial judge
clearly rejected that inference. He accepted the evidence that Kathleen could
not have purchased the ticket based on cell phone and banking records and that
the ticket had been stolen as part of the scheme to steal lottery tickets. The
evidence also disclosed that, contrary to what Kathleen and Jun-Chul told OLG
personnel, Kathleen could not have been sitting in her car with Jun-Chul outside
of Variety Plus shortly after Jun-Chul validated the winning ticket. The trial
judge properly rejected the suggestion that Jun-Chul believed that Kathleen was
the rightful owner of the winning ticket.
[85]
The
Crown did not need to establish that Campbell was the real owner. The trial
judge correctly relied on
V茅zina
, and
Little and Wolski v. R.
,
[1976] 1 S.C.R. 20, both of which confirm that it is not necessary to prove the
name of the rightful owner absent prejudice to the accused. The trial judge
determined that there was no prejudice.
[86]
The
OLG system is capable of producing a transaction report of ticket purchases. The
purchasing patterns for Variety Plus were set out in Exhibit 38. This report
tracked the 30 split tickets in issue. Ten of the original tickets were
validated during the hours that Kenneth was at work, and eight original tickets
were validated during the hours that Jun-Chul was at work. 12 of the original
tickets were validated during hours when it was not clear who was at work.
[87]
Each
of the 30 original tickets were validated at Variety Plus and generated two
free-play tickets. For every one of the 30 original tickets, one of the
free-play tickets was validated at Variety Plus on one day, and the other
free-play ticket was validated elsewhere on that or a different day.
[88]
The
trial judge carefully reviewed this evidence and concluded with respect to count
1:
There is no doubt, in my view, that the evidence discloses
a scheme to steal free play lottery tickets.
In every case, a lottery ticket was purchased and that lottery
ticket was validated at Variety Plus. In every case, two free tickets were
generated. In every case, one of those tickets was validated elsewhere, and the
second free ticket was validated at Variety Plus. In every case, the validation
of the original ticket was done by either Jun-Chul Chung or Kenneth Chung, and
the validation of the second free ticket was done by Jun-Chul Chung or Kenneth
Chung.
In my view, the evidence, while
circumstantial, is consistent only with the guilt of Jun-Chul Chung and Kenneth
Chung, and it is inconsistent with any other reasonable conclusion.
[89]
These
findings of fact also apply to count 3. The trial judge made no error in
relying on Exhibit 38 to conclude that Jun-Chul participated in the scheme to
steal lottery tickets.
[90]
Jun-Chul
submits that the OLG聮s policy to pay the bearer of the ticket is relevant to
the conviction for theft. It is not. Any relevance would potentially be to the
conviction for fraud. For the reasons set out in relation to Kathleen, we do
not accept this submission for Jun-Chul.
[91]
For
these reasons, we do not accept that the verdicts for Jun-Chul on counts 1-6
were unreasonable and his appeal on this basis is dismissed.
Issue 1(c): Did the trial judge impose unreasonable verdicts
for Kenneth Chung?
[92]
Kenneth
appeals his convictions for theft and possession of property obtained by crime.
The possession of property obtained by crime was stayed pursuant to
Kienapple
.
The convictions relate to the 30 tickets that did not win the large prize.
[93]
Kenneth
submits that the trial judge erred in relying on Exhibit 38 (described above). He
also submits that the trial judge erred because the tickets had no value so
there was no theft in the first place.
[94]
The
trial judge determined that the evidence 聯discloses a scheme to steal free play
lottery tickets.聰 He considered, and rejected as unreasonable, inferences other
than the fact that Kenneth participated in the scheme. Although Kenneth Chung
did not testify, he had told the OLG the hours he worked. The trial judge
found:
In my view, having regard to the
hours of work of Jun-Chul Chung and Kenneth Chung, and the timing of the
transactions, it is clear that Jun-Chul Chung stole some of the tickets and
Kenneth Chung stole some.
[95]
Some
of the split tickets were validated during the hours that Kenneth worked.
Although he now suggests that perhaps his mother was working during some of
those hours, this submission was not made to the trial judge. Nor was the
evidence of what he told the OLG ever challenged at trial. We give no effect to
this submission made for the first time on appeal.
[96]
Kenneth
also submits that it is not 聯illegal聰 to take something that has no value. Since
a lottery ticket on its own is merely a 聯chance聰 it has no value and 聳 while it
may be immoral to take someone else聮s lottery ticket 聳 it is not illegal. We
reject this submission outright. To steal means to take the property of another
without permission.
[97]
We
dismiss Kenneth Chung聮s appeal as to convictions.
(2)
Sentence Appeals:
Issue 2(a): Restitution and Fine in Lieu
(i) Did the trial judge err in dismissing the
constitutional challenges?
[98]
Section
462.37(1) of the
Criminal Code
authorizes the Crown to seek the
forfeiture of any property that is the proceeds of crime, obtained by the
commission of a designated offence. The objectives of the provision are 聯to
deprive the offender 聟 of the proceeds of their crime and to deter them from
committing crimes in the future聰:
Lavigne
, at para. 16. As this court
held in
R. v. Schoer
,
2019 ONCA 105, 371 C.C.C. (3d)
292,
聯where the sentencing judge is satisfied on a balance of
probabilities that the property is the proceeds of crime, that the offender had
possession or control of it at some point, and the designated offence was
committed in relation to that property, a forfeiture order must be made聰: at
para. 88, citing
Lavigne
, at para. 14;
R. v. Angelis
, 2016
ONCA 675, 133 O.R. (3d) 575, at para. 35, leave to appeal refused, [2016]
S.C.C.A. No. 484.
[99]
Parliament
anticipated circumstances in which property that is the proceeds of crime may
no longer be available for forfeiture: it may have been 聯used, transferred or
transformed, or may simply be impossible to find聰:
Lavigne
, at para.聽18.
To ensure, nevertheless, 聯that the proceeds of a crime do not indirectly
benefit those who committed it聰, Parliament established the fine in lieu of
forfeiture provisions:
Lavigne
, at para. 18. Where the property that
has been in the control of the offender is no longer available to be forfeited,
s. 462.37(3) provides that a fine may be imposed in lieu of forfeiture.
[100]
Unlike the forfeiture
provisions, the fine in lieu of forfeiture provisions allow for the exercise of
some discretion. The key interpretive principle articulated in
Lavigne
is that the fine in lieu provisions are to operate so as to ensure that crime
does not benefit those who committed it: at para. 18. There may be
circumstances where the objectives of the provision do not call for a fine to
be imposed, for example if the offender acted alone and did not benefit from
the crime:
Lavigne
, at para. 28;
Schoer
, at para. 91.
[101]
However, once a
sentencing judge has determined that a fine in lieu of forfeiture ought to be
imposed, the sentencing judge has no discretion over the value of the fine to
be imposed. The fine must be equal to the value of the property for which it is
a substitute:
Lavigne
, at para. 34;
Criminal Code
, s.
462.37(3). Where there are multiple offenders before the court, however, and
the property passed through the hands of one offender to another without the
first offender retaining the benefit of the full value of the property, the
sentencing judge may allocate a portion of the fine less than the full value of
the property that had been under the offender聮s possession and control,
so long as the balance of the total value of the proceeds of crime
are distributed to the other offenders before the court
:
R. v.
Dieckmann
, 2017 ONCA 575, 355 C.C.C. (3d) 216, at paras. 90-100, leave to
appeal refused, [2018] S.C.C.A. No. 304 and No. 381.
[102]
As a means of
enforcing the fine, s. 462.37(4) requires the judge who imposes the fine to
also impose a term of imprisonment in the event that the offender does not pay
the fine. Although the sentencing judge has some discretion in the length of
the term of imprisonment to be set, that discretion is bounded by mandatory
minimum and maximum terms of imprisonment that correspond to the quantum of the
fine. For example, default of a fine of more than $1 million requires a
mandatory minimum sentence of five years and a maximum of ten years. The
sentencing judge must provide the offender with reasonable time to pay:
Lavigne
,
at paras. 45-47.
[103]
Section 462.37(4)
provides a graduated approach to setting the term of imprisonment consequent to
default. The larger the amount of unrestored proceeds of crime that the
offender is found to have possessed or controlled, the longer the minimum term
of incarceration: see e.g.
R. v. Rafilovich
, 2019 SCC 51, 442 D.L.R.
(4th) 539, at para.
109;
c
f R. v. Pham
(2002),
167 C.C.C. (3d) 570 (Ont. C.A.), at paras.
19-21 (where this court found
the connection under s. 240 of the
Excise Tax Act
, R.S.C. 1985, c.
E-14, between the quantity of the illegal substance possessed and the size of
the minimum fine established proportionality).
[104]
The mechanism for
imprisoning a defaulting offender is set out in s. 734.7 of the
Criminal
Code
. As the trial judge explained, 聯the court cannot issue a warrant of
committal until the time allowed for payment has expired, the mechanisms
provided by ss. 734.5 and 734.6 are not considered to be appropriate, or the
offender has, without reasonable excuse, refused to pay the fine.聰聽 Although
ability to pay a fine is not a consideration at the sentencing stage (except in
terms of the time to be given to pay), it is a consideration at the committal
stage both with respect to determining if time should be given to pay and with
respect to determining whether there has been a reasonable excuse for not
paying:
Angelis
, at para. 81;
R. v. Wu
, 2003 SCC 73, [2003] 3
S.C.R. 530, at paras. 60-69. No one is to be committed unless judged not to
have had a reasonable excuse for nonpayment. Poverty is a reasonable excuse.
The section targets
refusals
聳 in other words, wilful nonpayment.
[105]
The rationale for
imprisonment in default of payment is to give serious encouragement to those
with the means to pay a fine to make payment:
Wu
, at para. 3. This
aligns with the intent and purpose of Part XII.2 generally, particularly the
forfeiture regime under s. 462.37: Parliament enacted these provisions to give
teeth to the general sentencing provisions under Part XXIII. By depriving
offenders and criminal organizations of the proceeds of their crimes,
Parliament sought to ensure that crime does not pay and thereby also deter
future crimes:
Lavigne
, at paras. 10, 16 and 31;
Angelis
, at
para. 32. Imprisonment on default of payment is thus not additional punishment
for the underlying offence, but a means of coercing payment from those offenders
who have the means to pay.
The Constitutional Challenge
[106]
Kathleen Chung and
Jun-Chul Chung challenge the constitutionality of the fine in lieu of
forfeiture regime on two bases. First, they argue that s. 462.37(4), which
requires the judge to set the term of imprisonment in default at the sentencing
stage rather than the committal stage, violates both s. 7 and s. 12 of the
Charter
;
and second, that s. 462.37(4)(a)(vii), which imposes a five-year mandatory
minimum sentence in default of payment where the amount of the fine in lieu
exceeds $1 million, violates s. 12.
[107]
As set out below, we
conclude that the
Charter
challenges must fail.
The s. 7 challenge
[108]
Kathleen and Jun-Chul
argue that s. 462.37 violates Kathleen and Jun-Chul聮s rights under s. 7 of the
Charter
on the basis that an offender is potentially deprived of liberty without
being afforded natural justice. In particular, Kathleen and Jun-Chul argue that
there is a denial of the right to participate and make
meaningful
submissions as to the length of sentence to be imposed on default of payment.
[109]
At the time the order
is imposed, the offender has the opportunity to make submissions on the
appropriate penalty in the event of default. Once default has occurred,
however, the offender is limited to making submissions as to whether a warrant
of committal should issue. The judge at the committal hearing has no
jurisdiction to vary the sentence that was established at the front end.
[110]
Kathleen and Jun-Chul
argue that neither opportunity for submissions 聳 at the front end or back end 聳
is sufficient to satisfy the requirements of natural justice. Natural justice,
Kathleen and Jun-Chul argue, requires that an offender be able to make submissions
on the appropriate sentence for default
after
the default has taken
place and the reasons for the default are known. It is only then, Kathleen and
Jun-Chul argue, that a judge can assess the moral culpability for the default.
[111]
We do not agree. When
the Crown seeks a fine in lieu of forfeiture, the offender has the right to be
heard with respect to whether the fine should be imposed, the amount of the
fine, the time to pay, and the term of imprisonment on default. Relevant considerations
at this stage include the offender聮s role in possessing or controlling the
proceeds of crime, the whereabouts of unrestored proceeds, and 聳 with respect
to the time being given to pay 聳 the offender聮s current and anticipated ability
to pay.
[112]
The prospective
imprisonment is premised on the offender having subsequently defaulted. If
default occurs, it is either culpable or non-culpable. If non-culpable, there
is either no refusal to pay, or no unreasonable refusal. In such circumstances,
there is to be no imprisonment.
[113]
If nonpayment is
culpable, there will be imprisonment.
[114]
We do not agree that
the structure of the regime breaches principles of natural justice. The
rationale for sentencing on default does not track the panoply of ordinary
sentencing principles that includes, for example, rehabilitation. It is principally
concerned with specific and general deterrence, which are by their nature
prospective. Specific deterrence in this context is concerned with providing
the offender with motivation to disclose what happened to the money and to
choose to pay the fine. Given this limited rationale, nothing that happens
subsequently is relevant to the quantum of sentence imposed. When the offender
does not pay the fine, or only pays some of it, the only open question is
whether the nonpayment was the result of an unreasonable refusal. Did the
offender choose not to repay? Or were there circumstances outside the
offender聮s control? The offender has full rights of participation at the
committal hearing to answer this question. As to the prior question of what the
penalty should be if the offender deliberately and unreasonably refuses to pay,
there is nothing contrary to natural justice in the penalty being set in
advance in accordance with submissions made before the circumstances of default
are known. Consequently, we do not agree that there is a violation of s. 7.
The s. 12 challenges
[115]
Section 12 of the
Charter
guarantees to everyone 聯the right not to be subjected to any cruel or unusual
treatment or punishment.聰 At trial, Kathleen and Jun-Chul specifically
challenged s. 462.37(4)(a)(vii) which sets out a five-year mandatory minimum
sentence on default of a fine exceeding $1 million. On appeal, they added a
second argument respecting s. 462.37(4) as a whole: that the requirement that
the term of imprisonment be set in advance of default 聳 before any mitigating
or aggravating circumstances can be known 聳 has the ability to produce grossly
disproportionate sentences in reasonably foreseeable cases and therefore violates
s. 12.
[116]
For the reasons set
out below, we conclude that neither s. 462.37(4)(a)(vii) nor s. 462.37(4)
infringes s. 12.
The first argument 聳 mandatory minimum sentences
[117]
There is no
disagreement in this case that although the fine in lieu of forfeiture provisions
do not constitute punishment, they are 聯treatment聰 for the purposes of s. 12.
The dispute is whether this treatment is cruel or unusual.
[118]
Although the
methodology for determining whether treatment or punishment is cruel or unusual
has been developed primarily in the context of punishment, the same methodology
applies 聳 with some adaptation 聳 to treatment:
R. v. Boudreault
, 2018
SCC 58, [2018] 3 S.C.R. 599;
R. v. Nur
, 2015 SCC 15, [2015] 1 S.C.R.
773. The basic structure is set out in
Nur
, at para. 46. First, the
court must determine what constitutes a fit and proportionate sentence for the
offence 聯having regard to the objectives and principles of sentencing in the
Criminal
Code
.聰 Second, the court must ask whether the mandatory minimum sentence
is grossly disproportionate to the fit and proportionate sentence. If the
answer is yes, the mandatory minimum limits s. 12 rights, and will be
constitutionally infirm unless it can be justified under s. 1 of the
Charter
.
[119]
Boudreault
is
a leading authority on the interaction of s. 12 and sentencing measures, in
that case the victim surcharge under s. 737 of the
Criminal Code
. The
surcharge imposed a mandatory, pre-set fine for every summary conviction or
indictable offence, 聯regardless of the severity of the crime, the
characteristics of the offender, or the effects of the crime on the victim聰: at
para. 1. The Supreme Court struck down s. 737 on the basis it constituted cruel
and unusual punishment in violation of s. 12 of the
Charter
. Although
there are similarities between the victim surcharge and fine in lieu of
forfeiture regimes, in this case, the analysis is complicated by the fact that
the mandatory minimum sentence is a matter of enforcing a fine in lieu of
forfeiture and not a penal fine as in
Boudreault
. Because the
objectives and principles of sentencing are different in the two contexts, the
gross disproportionality analysis is different.
[120]
The first question is
whether the mandatory minimum sentence provision results in a grossly
disproportionate sentence on the person before the court. If not, the question
is whether reasonably foreseeable applications will impose grossly
disproportionate sentences on others:
Nur
, at para. 77.
[121]
Following the
structure set out in
Boudreault
, disproportionality is determined by
considering three factors: (1) the purpose of the provision; (2) the impact of
the mandatory minimum on the offender; and (3) recognized sentencing
principles. These inquiries must be modified somewhat to account for the
transposition from a penal to a non-penal context.
The purpose of the provision
[122]
As noted above, the
purpose of the fine in lieu of forfeiture is to 聯deprive the offender of the
proceeds of his or her crime and deter potential offenders and accomplices聰:
Lavigne
,
at para. 26. The mandatory minimum terms of imprisonment further these purposes
by providing an incentive for those offenders with the means to pay a fine to
actually pay it:
Wu
, at para. 3.
The impact on the offender
[123]
The provision provides
a graduated approach to terms of imprisonment on default. The larger the amount
of unrestored proceeds of crime found to have been possessed or controlled by
the offender, the longer the minimum term of incarceration. Although the band
may be broad at the very top category for the greatest defaults, the regime is
nevertheless calibrated to the amount of proceeds retained or used. If the
purpose is to ensure that the offender does not benefit from the crime, where
an offender frustrates that purpose by refusing pay the fine in lieu, it makes
sense that lengthier periods of incarceration would be thought commensurate
with greater retention or use of proceeds of crime. This is consistent with the
fact that the sentence in default reduces in proportion to amounts paid toward
the fine:
Criminal Code
, s. 734.8(2).
[124]
With respect to the
impact of the provision on the offender, Kathleen and Jun-Chul advanced four
hypothetical scenarios. Each variation involves an offender who once was in
possession of the proceeds of crime but is no longer in possession. The
offender may have disposed of the property or lost it without enjoying any
benefit from it. Or the offender may have consumed the proceeds and no longer
had any property with which to satisfy the fine, but had the means to earn an
income and pay down a fine over time, before losing employment or employability
and the means to pay the fine. The hypotheticals vary in the offender聮s degree
of culpability for no longer having access to funds or subsequently being able
to earn sufficient funds: drug addiction, gambling problems, loss of gainful
employment.
[125]
In each of the
hypotheticals, when the time to pay had been exhausted and the offender
defaulted, the judge at the committal hearing would be required to determine
whether the offender had refused to pay, and whether the refusal would have
been reasonable in the circumstances of the offender. If the judge determined
that there had been a refusal, and that the refusal was not reasonable, the
judge would be required to commit the offender for the period of incarceration
set at the front-end hearing. The predetermined sentence would have been set by
reference to a mandatory minimum.
[2]
[126]
Kathleen and Jun-Chul
argue that the mandatory minimum five-year sentence in s. 462.37(4)(a)(vii) is
grossly disproportionate by reference to sentences that have been imposed on
civil contemnors, and by reference to the sentence imposed for the underlying
offence.
[127]
With respect to civil
contempt, Kathleen and Jun-Chul refer to the decision in
Chiang (Re)
,
2009 ONCA 3, 93 O.R. (3d) 483, in which one year of imprisonment was imposed on
Mr. Chiang and eight months on Mrs. Chiang as a consequence of a concerted
course of conduct spanning 15 years, in which they continually breached orders
requiring them to disclose their assets. Kathleen and Jun-Chul argue that if
one year of imprisonment is taken as a benchmark for a contempt related to the
frustration of judgment of over $8 million, then a five-year minimum for
default of payment of a fine of $1 million is grossly disproportionate.
[128]
Kathleen and Jun-Chul
also argue that a five-year term in default of payment is grossly
disproportionate when compared to the hypothetical offenders聮 sentences for the
underlying offences. They submit the fact that an offender 聳 like Kathleen 聳
may serve more time for the default than for the offence itself further
indicates the gross disparity between the mandatory sentence and the offender聮s
moral blameworthiness.
[129]
We do not agree with
Kathleen and Jun-Chul聮s submissions. As the Crown argues, the rationale for a
penalty for contempt of court is different from the rationale of the impugned
provisions. Civil contempt penalties are a matter of securing compliance with
court orders. What is judged to be sufficient to encourage compliance and
respect for the court聮s processes will vary with the particular case. What is
being punished, in the case of
Chiang
, was not non-payment of a
judgment debt, but of refusing to cooperate or abide by court orders intended
to assist the judgment creditor realize on a judgment. Significantly, after
serving the term of incarceration, the judgment debtor would still have been
required to submit to the processes that the judgment debtor had refused to
participate in.
[130]
But as explained
above, the purpose of the fine in lieu provisions is different. The purpose is
not simply to provide an incentive to defiant litigants to comply with court
orders. It is also to remove any benefit that the offender may have received
from participating in a crime. Where the offender refuses to pay a fine in lieu
of forfeiture, the incarceration stands in place of the property that has not
been forfeited or the fine that has not been paid. Incarceration is intended to
correct an imbalance: the injustice of the offender聮s possession or use of
proceeds of crime. How lengthy a sentence 聳 how much deprivation of liberty 聳
is required to balance what the offender has taken, is a value judgment and not
something that can be expressed with mathematical precision. But we cannot say
that Parliament聮s conclusion that a five-year sentence for an unreasonable
refusal to pay $1 million or more would be grossly disproportionate to the goal
of ensuring that an offender did not benefit from a crime in which the offender
received proceeds in excess of $1 million.
[131]
Although
Boudreault
was decided after the trial judge released his reasons, Kathleen and Jun-Chul
rely on it to challenge two key aspects of the trial judge聮s finding that the
mandatory minimum sentence did not violate s. 12. First, the trial judge noted
that the judge who imposes the fine has discretion over the length of time to
pay, and an offender can apply for extensions of time. Second, the trial judge
observed, as we have above, that a warrant of committal cannot be ordered
unless the offender has refused to pay, and there is no reasonable excuse for
that refusal.
[132]
Martin J., writing for
a majority of the Supreme Court, addressed these procedural safeguards in the
context of the victim surcharge in
Boudreault
. Before it was struck
down, the victim surcharge was subject to the same safeguards as the fine in
lieu of forfeiture regime, namely: the offender聮s ability to request an
extension of time under s. 734.3; and prohibition on issuing a warrant of
committal against an offender unless they unreasonably refuse to pay, pursuant
to s. 734.7.
[133]
In
Boudreault
,
the Crown argued that an offender聮s ability to apply under s. 734.3 for an
extension of time to pay significantly mitigated the threat of incarceration.
Martin J. rejected this argument on the basis that s. 734.3 offers certain
offenders little, if any, relief. Martin J. explained applying for an extension
of time is not a routine administrative matter, and some offenders 聳 especially
the impoverished and uneducated 聳 would find it daunting to prepare and file a
written application with the court. She also noted offenders cannot obtain
state-funded legal counsel to assist with the application: at para. 73.
Furthermore, Martin J. held that requiring some offenders 聳 such as those
grappling with severe addiction and mental illness 聳 to continually appear
before a committal judge to explain their inability to pay results in
de
facto
indefinite sentences, saying, at para. 77:
For all of these offenders, the
effect of the victim surcharge is that they must live with a criminal sanction
that they are unable to acquit for the foreseeable future, if ever. These
offenders face repeated appearances before a court to explain their inability
to pay the surcharge 聴 even if that inability is rooted in mental illness or
physical disability. This ritual, which will continue indefinitely, operates
less like debt collection and more like public shaming.
[134]
Martin J. also found
the requirements for issuing a warrant of committal for defaulting on a fine,
as provided for under s. 734.7, were insufficient to neutralize the
disproportionate effects of the victim surcharge. Though she recognized that s.
734.7(1)(b) prohibits a court from issuing a warrant of committal where the
offender has a reasonable excuse, and that inability to pay constitutes a
reasonable excuse, she found the provision could not attenuate the threat of
imprisonment or detention under the victim surcharge, particularly since it
could be difficult for committal judges to draw the line between inability to
pay and a refusal to pay. Impoverished offenders would therefore live under a
continual threat of imprisonment because it would be impossible to predict
whether one would be able to prove a reasonable excuse at a committal hearing:
at paras. 71-72.
[135]
Kathleen and Jun-Chul
argue the same considerations apply to the fine in lieu of forfeiture regime.
As with the victim surcharge, the ability to apply for additional time to pay
and to present evidence of a reasonable excuse for failing to pay cannot render
the mandatory minimum five-year sentence constitutional. However, for the reasons
that follow, we do not agree that
Boudreault
invalidates the trial
judge聮s finding that s. 462.37(4)(a)(vii) does not violate s. 12.
[136]
First: the argument
that the availability of time to pay and the opportunity to seek extensions can
effectively lead to an indeterminate sentence. It must be noted that unlike the
victim surcharge in
Boudreault
, the fine in lieu of forfeiture is not
a punishment that applies indiscriminately to all offenders, regardless of
their resources, the nature of the crime committed, or whether it is at all
realistic to expect them to ever be in a position to pay. Rather, the fine is
tailored to the quantum of proceeds of crime the offender has possessed or used.
Granting time to pay 聳 and extensions of time to pay 聳 is not a matter of
condemning an offender to indentured servitude, or to participating in a futile
exercise in public shaming, but of giving to those offenders who are or will
become capable of paying, time to organize their affairs so as to pay the fine.
[137]
Second, Kathleen and
Jun-Chul rely on Martin J.聮s observation in
Boudreault
that in the
context of persons who are poor, unhoused, addicted, marginalized, and facing a
committal hearing for non-payment of a mandatory victim surcharge, a judge at a
committal hearing may find it difficult 聯to draw the line between an inability
to pay and a refusal to pay聰: at para. 71. On the facts in
Boudreault
,
Martin J. found that the uncertainty caused by the subjectivity of the
assessment added to the gross disproportionality of the surcharge.
[138]
The circumstances here
are different, and we have no good reason to believe that a judge at the
committal stage would have inordinate difficulty in drawing the line, that the
committal hearing will place an unreasonable burden on the offender, or that
uncertainty would render the scheme grossly disproportionate to the refusal to
pay the fine. Again, there must be not just an inability to pay the fine, but a
refusal. And not merely a refusal but a refusal without reasonable excuse. A
person found to have received proceeds of crime in excess of $1 million is not
in circumstances at all similar to the litigants in
Boudreault
. The
uncertainty of whether one聮s extreme poverty, mental illness, addiction, and
instability will be accepted by a court as reasonable excuse for non-payment of
a comparatively minor fine is not analogous to the facts 聳 hypothetical or
otherwise 聳 on this appeal. On the fine in lieu of forfeiture regime before this
court, as long as there is a stable legal doctrine guiding the exercise of
judicial discretion, the fact that an offender does not know in advance whether
the offender聮s argument will be accepted is not a manifestation of cruel and
unusual treatment. As explained further below, the doctrine is sufficiently
stable for this purpose.
Sentencing principles
[139]
With respect to the
argument that the minimum sentence is disproportionate in cases where the term
of imprisonment on default is longer than the term of imprisonment for the
underlying offence, we do not agree that the comparison is apt. Again, the
penal sentence that offenders receive for the offences giving rise to the
proceeds of crime has a different rationale for the sentence imposed for the
refusal to pay a fine in lieu of forfeiture. As this court said in
Angelis
,
at para. 39, Part XII.2 of the
Criminal Code
is not offender centric.
Criminal sentencing goals such as rehabilitation do not factor into the
determination of a fit sentence for wilful default. There is instead a singular
focus on a particular mode of deterrence 聳 ensuring that crime does not pay in
circumstances where an offender refuses to pay without reasonable excuse.
Conclusion
[140]
We find that the trial
judge made no error in concluding that the five-year mandatory minimum
provision under s. 462.37(4)(a)(vii) does not infringe s. 12 of the
Charter
.
The second s. 12 argument 聳 setting the sentence in advance
[141]
The second s. 12
argument, which Kathleen and Jun-Chul advanced for the first time on appeal,
does not depend on the existence of mandatory minimum terms of imprisonment.
The argument is that the requirement that the term of imprisonment be set in
advance of the default, before the existence of any mitigating or aggravating
circumstances can be known, has the potential to result in grossly
disproportionate sentences in reasonably foreseeable cases. The argument
postulates that sentences that were reasonable when imposed could become
grossly disproportionate when executed, because of changed circumstances in the
interim that the committal judge would not be permitted to take into account.
Kathleen and Jun-Chul argue that there may be
degrees
of culpability
in circumstances giving rise to a refusal to pay, and the offender ought to
have the opportunity to seek a reduced period of incarceration, commensurate
with the level of culpability.
[142]
Kathleen and Jun-Chul
advance a hypothetical offender who committed fraud and is subject to a fine in
lieu of forfeiture of $1.5 million. The offender had assets outside of the
country worth approximately $1.5 million, which could be liquidated to pay the
fine. Time to pay was set at 3.5 years and a lengthy term of imprisonment in
default was set 聳 8 years 聳 on the reasoning that the offender had sufficient assets
to pay and therefore refusal to pay would reflect a high degree of moral
blameworthiness. The offender, while serving her 2.5-year prison sentence,
instructed her husband to sell the assets and discharge the fine. Instead, he
sold the assets and absconded with the proceeds. After the offender served her
initial sentence, she was unable to find work and at the end of 3.5 years had
contributed nothing towards repayment. The judge at the committal hearing
faulted the offender for negligence in the management of her property, which
resulted in her being unable to pay the fine. The refusal to pay, on the
hypothetical, was unreasonable because it resulted from negligence. Kathleen
and Jun-Chul argue that the offender, who was committed to serve the additional
8 years, ought to have been able to argue that the sentence on default should
be reduced to reflect that non-payment was not the result of defiance, but of
negligence, which ought to receive more lenient treatment.
[143]
We do not agree that
the hypothetical raises any serious difficulty. The offender cannot repay on
account of having been defrauded and, on the facts assumed, cannot be
considered to have refused to pay, much less refused unreasonably. To order
committal, in such circumstances, would be an error of law.
[144]
Under the statutory
scheme, after a fine has been imposed, the offender聮s moral culpability for
inability to pay is addressed only through the concept of unreasonable refusal.
Unless there is an unreasonable refusal, there is to be no committal. As
Lavigne
established, inability to pay, by itself, is not enough. The absence of a third
option 聳 incarceration but with a lesser term for cases where there is a
refusal that is unreasonable but not sufficiently unreasonable to warrant the
full term of incarceration 聳 does not render the scheme unconstitutional.
The appeal against the restitution order
[145]
At sentencing,
Kathleen argued that no restitution order should be imposed beyond the proceeds
that had been forfeited, and Jun-Chul argued that if any restitution or fine in
lieu should be ordered, that he be made solely liable as he was the one who
controlled the funds after Kathleen received them from OLG.
[146]
The trial judge
ordered $12.5 million in restitution, payable jointly and severally by Kathleen
and Jun-Chul. The trial judge also ordered the forfeiture of $7,555,589.70,
which had already been seized and which was to be credited against the
restitution order. After deducting the amounts forfeited, Kathleen and Jun-Chul
remain jointly and severally liable under the restitution order for
approximately $4.9 million.
[147]
Kathleen argues that
the trial judge failed to consider sentencing principles when imposing the
restitution order and imposed the order as a mechanical afterthought without
considering its overall impact in combination with the custodial sentence on
her rehabilitation or her ability to pay. She argues that the trial judge ought
to have divided the restitution between them, or accepted Jun-Chul聮s submission
at trial that he be made liable for the full amount.
[148]
We agree that the
trial judge does not explain the rationale for making Kathleen jointly and
severally liable for the full amount of the restitution order, given that
Jun-Chul聮s much longer custodial sentence suggests the trial judge viewed him
as significantly more culpable. Additionally, unlike the fine in lieu of
forfeiture, ability to pay is a factor in making a restitution order, as is the
panoply of sentencing principles including totality, proportionality, and the
impact on the offender聮s prospects for rehabilitation:
R v. Castro
,
2010 ONCA 718, 102 O.R. (3d) 609, at paras. 23-26. The trial judge did not
address these principles, and made an order resulting in liability greater than
double the $2.3 million fine in lieu of forfeiture he imposed on Kathleen.
[149]
Taking into account
the full range of sentencing principles appropriate to a restitution order,
including proportionality, totality, and rehabilitation, and taking into
account the nature of the reduction of Kathleen聮s custodial sentence, it is
appropriate to vary the restitution order and reduce the amount payable by
Kathleen to the amount of property already forfeited, plus $2.3 million. The
amount payable by her remains jointly and severally payable by Jun-Chul.
[150]
We do not change the
restitution order as imposed against Jun-Chul. There remain $4.9 million in
unrecovered proceeds of crime. Jun-Chul had control over these funds after they
were handed over to him by Kathleen. He has provided no disclosure as to the
whereabouts of these proceeds.
The appeal against the fine in lieu of forfeiture
[151]
Kathleen requested the
trial judge exercise his discretion to limit the fine to the amount of proceeds
that she used for her own benefit, being $600,000, less the $500,000 forfeited.
The trial judge declined and instead imposed a fine in the amount of $2.3
million.
[152]
As we set out above,
where property that is the proceeds of crime is unavailable, a sentencing judge
has a limited discretion over whether to order a fine in lieu of forfeiture.
Once a sentencing judge decides to impose a fine, it must be for the amount of
the property for which it stands as substitute:
Lavigne
, at para. 34.
However, as this court stated in
Dieckmann
, where proceeds have been
dispersed among multiple convicted (or clearly guilty) offenders, a sentencing
judge may impose a fine on each individual offender
for an
amount less than the total value of the proceeds of crime, so long as the
individual fines cumulatively equal the value of the proceeds
: at paras.
90-100. In
Dieckmann
, even though the offender had originally been in
receipt of proceeds of crime in the amount of $5,143,732, the sentencing judge
imposed a fine of $1,285,930 rather than the full amount, on the basis that a
sizable portion of the funds had been shared with her 聯clearly guilty聰
co-conspirators.
[3]
[153]
The sentencing judge
exercised this same discretion and apportioned the fine of $4.6 million equally
between Kathleen and Jun-Chul:
Notwithstanding the submissions
of counsel for Jun Chul Chung and Kathleen Chung, I see no ground for fines of
zero or anything less than $4.6 million. The objective of the statutory
provisions, as reflected in
Lavigne
,
supra
, is to ensure that
crime does not pay. Also reflected in
Lavigne
, ability to pay is not a
factor.
[154]
Kathleen argues that
the discretion was exercised improperly. She argues that the sentencing judge
erred in his characterization of her argument. The basis of her argument was
not that she lacked the ability to pay a fine, which is an irrelevant
consideration per
Lavigne
, but that she never exercised any control
over the proceeds.
[155]
We do not agree that
the trial judge erred. The statement that 聯ability to pay is not a factor聰, in
context, does not suggest that the trial judge misapprehended Kathleen聮s
argument. His reasons, taken as a whole, clearly address Kathleen聮s argument
that she did not control the funds. Contrary to Kathleen聮s submissions, he
found that Kathleen did have possession and control of the funds, regardless
that she only used a relatively small proportion for herself. The fact that
Kathleen chose to turn the funds over to the control of Jun-Chul does not
negate the fact that she initially had full control, and it was her choice to
dispose of the funds in this way. The trial judge was content that she was no
mere conduit of the funds to Jun-Chul. She was a director of corporate entities
to which some of the funds were later transferred, and a beneficiary of the Hi
Ok Chung Family Trust, which received much of the funds. Investment, real estate,
and vehicle purchases 聳 and the transfer of $3 million overseas 聳 were
accomplished through these entities and directly from Kathleen聮s personal
account.
[156]
The fact that Kathleen
lived modestly and retained or received comparatively little of the funds (on
the Crown聮s evidence, some $600,000) to her direct benefit was potentially
relevant in allocating the fine in lieu as between her and Jun-Chul. If the
purpose of the fine in lieu provisions is to ensure that crime does not pay, it
makes sense that fines can be allocated between offenders on a differential
basis that follows the money.
[157]
So even though
Jun-Chul, on the trial judge聮s findings, is the more culpable of the two and
accordingly received a lengthier sentence, the fine in lieu provisions are a
matter of recovery of proceeds of crime and not culpability:
Dieckmann
,
at para. 88. A differential order could perhaps have been made on the basis
that Jun-Chul had greater control over the proceeds that are now missing. But
the trial judge chose not to exercise his discretion that way. He acted
judicially in so doing, having regard to Kathleen聮s means of control over the
funds. The trial judge had reason to follow the money, not only into Kathleen聮s
account, but from there into corporate entities and trusts over which she had
interest and some control. Regardless of whether Jun-Chul was the directing
mind, her involvement with the property did not simply end with the initial
deposit of the OLG cheque. Kathleen and Jun-Chul acted in concert and $4.6 million
in funds have not been accounted for.
(ii)聽聽聽聽 Did the trial judge err in establishing time to
pay and a six-year sentence in default of payment?
Time to pay
[158]
Kathleen and Jun-Chul
were each given seven years to pay. At the sentencing hearing, they both sought
30 years. It was undisputed that should they not be in a position to access the
funds that have not been accounted for, at Kathleen聮s current salary, she only
had the ability to pay $44,000 per year towards the satisfaction of the fine.
Kathleen argues that given that she could, at best, pay down $308,000 of a $2.3
million fine in seven years, the time given to pay is clearly unreasonable.
Jun-Chul takes the same position, as he submits he has no hope of discharging a
$2.3 million fine in seven years.
[159]
We do not agree. As
stated above, the purpose of giving offenders time to pay is not to inflict
further punishment by indenturing them to lives of servitude. It is to ensure
that crime does not pay. In some cases, giving an offender time to pay is a
means of allowing the offender to arrange his or her affairs so as to realize
on existing assets and pay the fine. This includes offenders who are able to
recall proceeds of crime they have put into the hands of third parties. In
other cases, an offender may have dissipated the proceeds and not have assets,
but it is not unreasonable to require offenders to compensate for their use of
proceeds of crime by requiring them to make payment over time from superfluous
income. In other cases, whether because the amount of the fine is so large, or
the offender聮s ability to earn income so minimal, it may not be realistic to
expect an offender will be able to use the time given to make much of a
contribution.
[160]
If things progress
such that Kathleen or Jun-Chul are concerned they will be unable to discharge
their fines within the seven years, it is open to them to apply for additional
time to pay. In any event, all the above considerations factor into the
assessment at the committal hearing of whether non-payment is the result of a
refusal to pay without reasonable excuse.
Lavigne
states that
impecuniosity is a reasonable excuse, although it may be better to say that
genuine impecuniosity does not, in itself, constitute a refusal at all. Where
an offender is presently impecunious as a result of living lavishly, a
committal judge may be appropriately sceptical. But an offender who is simply
unable to save $2.3 million in seven years 聳 without lavish living and without
sheltering significant assets 聳 should not be considered in jeopardy of
incarceration as though the fine in lieu of forfeiture provisions establish a
form of debtors聮 prison.
[161]
In conclusion, in
light of the purpose of the fine in lieu provisions, the trial judge did not
err in refusing to grant Kathleen and Jun-Chul 30 years to pay.
The six-year sentence
[162]
Kathleen and Jun-Chul
both argue the trial judge erred in imposing a six-year custodial sentence in
default of payment of the fine in lieu of forfeiture, as the six-year sentence
is harsh and excessive. Specifically, they argue the trial judge erred by
arriving at that sentence after considering only the amount of the fine. They
submit the amount of the fine in lieu was not the only relevant factor, and
there were two other relevant considerations: that the six-year sentence in
default of payment 聳 one year in addition to the mandatory minimum 聳 is
crushing, when considered in addition to the custodial sentence for the
underlying offences and that there was no evidence Kathleen or Jun-Chul would
evade payment.
[163]
We do not agree.
First, the sentence in default is not to be considered as an add-on to the
sentences for the convictions for fraud. It is the consequence for a separate
matter 聳 a refusal to pay a fine in circumstances where there is either an
ability to pay, or an inability that is culpable. The six-year default term of
imprisonment is reasonable given the control of the proceeds of crime and the
failure to explain the disposition of proceeds that remain unrecovered. Second,
Kathleen and Jun-Chul point to no authority requiring a trial judge to consider
evidence that an offender will or will not evade payment. Again, the rationale
for imprisonment in default of payment is to give serious encouragement to
those with the means to pay a fine to make payment. The trial judge determined
a six-year sentence in default of payment would properly encourage Kathleen and
Jun-Chul to may payments, should they have the means to do so. We see no reason
to interfere with that determination.
[164]
In summary, the
appeals against the dismissal of the constitutional challenges are dismissed,
as are the appeals against the quantum of the fines in lieu of forfeiture, the
time given to pay, and the sentence to be imposed on default of payment.
Jun-Chul聮s appeal against the quantum of the restitution order is dismissed,
and Kathleen聮s appeal is allowed in part and the quantum of restitution is
reduced to the forfeiture order plus $2.3 million.
Issue 2(b): The Custodial Sentence Appeals
[165]
All three appellants
seek a reduction for the custodial portion of their sentence. We will deal with
each of these in turn.
(i)
Kenneth Chung聮s custodial sentence of 10 months
[166]
Kenneth maintains that
the custodial sentence of 10 months he received for theft under $5,000 is
manifestly unfit. He argues that the sentencing judge failed to take into
consideration his background, prior good character, and future intentions, and
he submits the sentencing judge failed to address the issues of general
deterrence and rehabilitation. He further submits that the theft of the lottery
tickets was simply the theft of a chance of potentially winning a prize and is
therefore
de minimis
. Therefore, an absolute or conditional discharge
was the appropriate sentence. In oral submissions, counsel went even further,
arguing that a lottery ticket is a piece of paper that is simply reflective of
a chance to win and is therefore of no value. As a result, the wrongful taking
of lottery tickets, while morally reprehensible, does not constitute theft.
[167]
We disagree. The
sentencing judge referred to the relevant sentencing principles and noted
Kenneth聮s positive presentence report. The sentencing judge also considered the
absence of a criminal record. Furthermore, as we have noted earlier, the
wrongful taking of the lottery tickets constitutes theft. As for the limited
value of lottery tickets, the sentencing judge took the amounts involved in the
theft in fashioning the appropriate sentence, as he recognized that Kenneth was
only convicted of theft under $5,000. His weighing of those factors and his
determination of the appropriate sentence are entitled to deference, and we see
no basis to interfere.
[168]
We note, however, that
given our disposition of the Crown appeal, Kenneth will have to return to the
sentencing judge to be sentenced on the additional convictions.
(ii)
Jun-Chul Chung聮s custodial sentence of seven years
[169]
Jun-Chul seeks
reduction of his seven-year custodial sentence to one within the range of three
to five years for large-scale frauds. He argues in oral submissions that the
sentence was excessively harsh given the fact that the scheme he and Kenneth
devised and exploited was not particularly sophisticated and did not have
serious negative consequences on the OLG. He further maintains that the
sentencing judge did not consider the sentencing principle of rehabilitation.
[170]
We see no basis to
interfere. This was a significant large-scale fraud. The appellant, while owing
a duty of trust to his customers, implemented a scheme whereby lottery tickets
were regularly stolen and, when the opportunity to defraud the OLG of the $12.5
million prize presented itself, he proceeded to work in concert with Kathleen
to extract payment through lies and misrepresentations. The sentencing judge
considered all of the sentencing principles and committed no error in his
consideration of the appropriate factors in the sentence he imposed. The range
of sentences for large-scale frauds is broad, and, although the seven-year
sentence is high, it is not unfit in the circumstances.
(iii)
Kathleen Chung聮s custodial sentence of four years
[171]
Kathleen seeks a
reduction of her four-year custodial sentence. She argues that the sentencing
judge erred in his identification of the applicable range of appropriate
sentences. She explains that this case was unique among large-scale frauds
given that: the impact on OLG, a large and sophisticated corporation, was
relatively small; Kathleen, unlike Jun-Chul and Kenneth, was not in a position
of trust; and this offence was not particularly sophisticated or skilled. In
fact, the theft was more in the nature of a single instance of theft carried
out when the opportunity presented itself.
[172]
In Kathleen聮s
submissions, the appropriate range for large-scale frauds is three to five
years:
R. v. Davatgar-Jafarpour
, 2019 ONCA 353, 146 O.R. (3d) 206, at
para. 34;
R. v. Plange
, 2019 ONCA 646, 440 C.R.R. (2d) 86, at para.
40. She argues that the sentencing judge erred in accepting that the Crown聮s
proposed range of four to five years for Kathleen聮s custodial sentence was
appropriate. Given that the sentencing judge expressed the view that a sentence
聯at the low end of the range聰 was appropriate in Kathleen聮s case, the
sentencing judge聮s acceptance of the Crown聮s proposed range led him into error.
As a result, a three-year, rather than a four-year, custodial sentence is
appropriate.
[173]
Further, the
sentencing judge relied on the cases of
R. v. Dobis
(2002), 58 O.R.
(3d) 536 (C.A.), at paras. 49-51, and
R. v. Bogart
(2002), 61 O.R.
(3d) 75 (C.A.), at paras. 33, 36, for the proposition that while conditional
sentences are theoretically possible, they are not generally imposed in cases
of large-scale frauds. Having referenced these cases, however, he failed to
note that the frauds involved in
Dobis
and
Bogart
were
carried out by persons in a position of trust and involved lengthy and somewhat
sophisticated frauds. Further, in the case of the large-scale fraud in
Dobis
,
there was the additional aggravating factor that the defrauded company was
crippled by the fraud and it was unclear whether the company would in fact
survive the fraud. In addition, despite these aggravating features being
present in those cases and absent in Kathleen聮s case, both Mr. Dobis and Mr.
Bogart received lower sentences than four years.
[174]
Therefore, in
Kathleen聮s submission, the sentencing judge ought to have considered imposing a
conditional sentence. Although not typical in cases of large-scale frauds, it
would have been appropriate here given that Kathleen was not in a position of
trust and significant mitigating circumstances existed. Those mitigating
circumstances included the lengthy period Kathleen spent under restrictive bail
conditions, the positive presentence report, the absence of any previous
conviction, her youthful age, and the fact that she has three young children at
home. Alternatively, she asks that the sentence be reduced.
[175]
The Crown, for its
part, argues that the range of sentences in large-scale fraud cases is broad,
and the sentence imposed in this case falls squarely within that range. Here,
Kathleen played a central role in the fraud. Without her actions, it would not
have been possible to collect the $12.5 million from the OLG. She maintained
her lies for the better part of a year before she ultimately succeeded in
obtaining payment of the funds. The Crown acknowledges that the OLG is a large
and sophisticated Crown corporation and is in a better position than other
victims to absorb a loss of that magnitude. However, the Crown notes that the
OLG is more in the nature of a public institution and that the fraud is one
made against the public. Courts have considered such frauds to be as serious as
those committed against individuals or corporations, as frauds on the public
purse are not 聯victimless crime[s]聰:
R. v. Khatchatourov
, 2014 ONCA
464, 313 C.C.C. (3d) 94, at para. 44;
Dieckmann
, at para. 75. In cases
such as here, the principle of deterrence is paramount, and, in the Crown聮s
submission, the sentencing judge reasonably concluded that a conditional
sentence was not appropriate. Therefore, the four-year custodial sentence
should stand.
[176]
We see no error in the
sentencing judge聮s rejection of a conditional sentence. He recognized that,
while possible, conditional sentences were generally not imposed in large-scale
frauds:
Dobis
, at paras. 49-51;
Bogart
, at paras. 33, 36. In
his view, having regard to the particular circumstances of the offences and the
importance of deterrence in cases of large-scale fraud, it was mandatory that
each of the appellants serve some time in custody.
[177]
In our view, however,
the sentencing judge erred in imposing a four-year sentence on Kathleen. At the
outset, we note that it is not clear from his reasons whether the sentencing
judge correctly identified the range for large-scale frauds as being three to
five years:
Davatgar-Jafarpour
, at para. 34;
Plange
,
at para. 40. His only reference is to the 聯Crown聮s range of sentencing聰 being
appropriate, the Crown having proposed four to five years. Nowhere in his
reasons does he identify the range to be three to five years. It is of note
that in oral submissions on appeal, the Crown concedes that a three- to
five-year sentencing range is appropriate for Kathleen. However, in fairness to
the sentencing judge,
Davatgar-Jafarpour
and
Plange
, which
clearly outlined the appropriate range, were decided subsequent to the
sentencing. When the sentencing judge stated that Kathleen 聯should be sentenced
at the low end of the range, taking into account certain mitigating factors聰,
we are left to wonder whether he understood the Crown聮s proposal to be the
upper end of the range and whether, in fact, the sentencing judge would have
imposed a sentence of three years had he been informed of the normal range.
[178]
There are also
significant omissions in the sentencing judge聮s reasons. He made no mention of
the fact that Kathleen was not in a position of trust like Jun-Chul and Kenneth.
Although this court in
Khatchatourov
, at para. 39, and
Davatgar-Jafarpour
,
at para. 42, has indicated that even where there is an absence of a position of
trust, the appropriate range for large-scale and sophisticated frauds is still
applicable, the absence of a breach of trust is nonetheless a factor that ought
to have been taken into account. Further, Kathleen聮s conduct can also be
distinguished from the breach of 聯good faith聰 in
Davatgar-Jafarpour
,
at para. 43, that was determined to include 聯[t]he same aggravating conduct
that underlies and informs the aggravating nature of breaches of trust聰, or the
聯nuanced聰 breach of trust referred to in
Khatchatourov
, at para. 41.
Unlike Jun-Chul and Kenneth, Kathleen had no relationship with or good faith
obligation toward the customers of Variety Plus. Further, although Kathleen
persisted with her lies to the OLG in order to secure payment of the $12.5
million, the fraud was, as acknowledged by the Crown in oral submissions, a
one-time crime of opportunity that is not sophisticated. This fraud was not one
that was part of the ongoing fraudulent scheme perpetrated by her co-accused.
Although not strictly mitigating factors, these are nonetheless significant
points that distinguish Kathleen聮s role as compared to that of her co-accused
and other cases involving large-scale frauds.
[179]
By failing to
correctly identify and refer to the appropriate range and by failing to note
and take into account the factors we have set out above, the sentencing judge
erred. Considering the circumstances of the offences and the offender, a
three-year custodial sentence is fit for Kathleen.
Issue 3: Did the application judge
err in dismissing the s.11(b) stay application?
[180]
Jun-Chul and Kathleen
appeal the application judge聮s dismissal of their application for a stay of
proceedings pursuant to s. 24(1) of the
Charter
on the basis that
their rights to a trial within a reasonable time under s. 11(b) of the
Charter
have been violated. They argue that the application judge erred in
attributing several delay periods to defence conduct, attributing delay to the
complexity of the case, and finding the delay can be justified under the
transitional exceptional circumstance provision of
Jordan
.
[181]
We disagree with these
submissions. As we will explain, the application judge聮s attribution of delay
to defence conduct was entirely reasonable. As explained in
R. v. Cody
,
2017 SCC 31, [2017] 1 S.C.R. 659, at para. 31, such determinations are 聯highly
discretionary聰 and 聯appellate courts must show a correspondingly high level of
deference thereto.聰
[182]
As for the application
judge聮s attribution of delay to the complexity of the case, we agree with the
Crown that the application judge聮s error in deducting specific periods of delay
attributable to complexity is of no consequence, as it had no impact on the
outcome. Even after deducting those periods of delay, the application judge
recognized that the delay incurred in this case was over the 30-month
presumptive ceiling set in
Jordan
. As a result, the Crown bore the onus
of justifying the delay.
[183]
In
Jordan
, at
para. 102, the Supreme Court of Canada explained that, for cases already in the
system, the release of
Jordan
should not automatically transform what
would have, under the previous regime in
R. v. Morin
, [1992] 1 S.C.R.
771, been considered a reasonable delay into an unreasonable one. This was
clearly a case where the parties were relying on the previous
Morin
framework. The appellants do not allege that the combined institutional delay
in the Ontario Court of Justice and the Superior Court of Justice for this case
fell outside of the
Morin
guidelines. As we will explain, an analysis
of the criteria informing the decision as to whether the transitional
exceptional circumstance provision set out in
Jordan
ought to apply
weighs against the granting of a stay.
[184]
In the paragraphs that
follow, we will first briefly outline the findings of the application judge.
Second, we will address Jun-Chul and Kathleen聮s concerns with the application
judge聮s attribution of delay to defence conduct and the application judge聮s
error in deducting periods of delay attributable to complexity. Third, we will
carry out the transitional exceptional circumstance analysis as dictated in
Jordan
.
Fourth, and lastly, we will address the submissions made in Kathleen聮s oral
arguments that the delay in the Ontario Court of Justice was so extensive as to
justify a stay.
The application judge聮s findings
[185]
There was no dispute
that the total delay between the arrest of the appellants on September 28, 2010
and the anticipated end of the trial on March 27, 2017 was 2,369 days, or 77.9
months using the formula for conversion in
R. v. Shaikh
, 2019 ONCA
895, 148 O.R. (3d) 369, at para. 33. The application judge found that there had
been 144 days of implied or implicit defence waiver by both Jun-Chul and
Kathleen. This is not contested on appeal. The application judge then deducted
four periods for defence delay attributable to both Kathleen and Jun-Chul
totalling 794 days. Different portions of this deduction are contested on
appeal. Finally, the application judge deducted two periods of defence delay
totalling 79 days attributable only to Jun-Chul. These delays were the result
of accommodation for the availability of Jun-Chul聮s new counsel and this
counsel聮s subsequent failure to attend court on time on October 7, 2013. This
is not contested by Jun-Chul on appeal. The result was a net delay of 1,431
days (47 months) for Kathleen and a net delay of 1,352 days (44.5 months) for
Jun-Chul. The application judge then attributed 347 days of delay to the
complexity of the case and deducted the time from the net delay on the basis
that it constituted exceptional circumstances. This left a net delay of 1,084
days (35.6 months) for Kathleen and a net delay of 1,005 days (33 months) for
Jun-Chul.
The appropriateness of the deductions for defence conduct
July 21, 2011 to November 1, 2011
[186]
The first period of
defence conduct deductions challenged by Jun-Chul and Kathleen is the 103-day
period running from July 21, 2011 to November 1, 2011. This was the period
between the start of the judicial pre-trial on July 21, 2011 and the date set
for its continuation on November 1, 2011. The application judge attributed it
to defence delay. She found that both Jun-Chul and Kathleen had spent this
period engaging in resolution discussions without scheduling the preliminary
inquiry. Also, during this time period, Jun-Chul dismissed his counsel. Although
new counsel was retained as early as August 8, 2011, his counsel did not
respond to the Crown聮s attempts to confirm her availability on the dates set
for the continuation of the judicial pre-trial.
[187]
Kathleen argues that
there was no basis in the evidence for concluding that her conduct caused any
of this delay. Specifically, she argues that there was no evidence that an
earlier date was available for a continuing judicial pre-trial, nor that the
Crown was in a position to set preliminary inquiry dates any sooner. In fact,
she questions whether the continuing judicial pre-trial was even required in
the first place. Jun-Chul adopts the arguments advanced by Kathleen.
[188]
We see no error in the
application judge聮s attribution of this period to defence delay. She found that
during this period, both appellants were engaging in resolution discussions
instead of setting preliminary inquiry dates while those discussions were
ongoing. This finding is confirmed by the record. At the continuing judicial
pre-trial held on December 22, 2011,
Jun-Chul
聮s
counsel acknowledged that, at that time, the matter had been heading toward a
resolution. This was clearly a case where resolution discussions were somewhat
complex and would involve all three appellants. The settlement would have to
address the period of incarceration, if any, forfeiture, restitution, and
fines. The contribution of one appellant to forfeiture, restitution, and fines
would no doubt be relevant to determine the amount that the other two
appellants would be prepared to accept in a resolution. The totality of these
considerations would be important to the Crown聮s decision concerning a
resolution. It is clear that Jun-Chul聮s change of counsel during this period
delayed those discussions.
[189]
The application judge聮s
finding is reasonable and is entitled to deference. Therefore, we would not
interfere with this finding.
December 13, 2013 to October 30, 2014
[190]
The second period
challenged by the appellants is December 13, 2013 to October 30, 2014. On
December 13, 2013, Jun-Chul and Kathleen advised of their intention to bring an
application to stay the proceedings pursuant to s. 11(b) of the
Charter
as well as an application to stay the proceedings for abuse of process. The
date for hearing these applications was originally set for May 12, 2014.
Considering the nature of these applications for a stay of proceedings, no
trial dates were set pending the outcome of this hearing. The applications were
adjourned to October 27, 2014 to allow the appellants more time to review the
necessary transcripts. The matters were subsequently adjourned to October 30,
2014. Although there was some delay in the preparation of transcripts, all the
transcripts were available as of March 7, 2014. No reasonable explanation was
put forward indicating why Jun-Chul and Kathleen were not prepared to move
forward with these applications on the originally scheduled date, given that
they had over two months to review the transcripts and prepare their
submissions. Ultimately, the appellants did not file any material other than
the transcripts, and the applications adjourned to October 30, 2014 were never
brought.
[191]
In their factums,
Jun-Chul and Kathleen argue that the full 321-day period between the December
13, 2013 judicial pre-trial and the final adjourned date of October 30, 2014
for the abandoned applications ought not to have been attributed to defence
delay. Rather, Jun-Chul and Kathleen submit that only the period between the
originally scheduled date for hearing the applications, May 12, 2014, to the
adjourned date of October 27, 2014 is attributable to defence delay. This
represents a period of 167 days instead of 321 days. They also submit that they
are not responsible for the fact that the applications did not proceed on the
rescheduled date of October 27, 2014. Their failure to proceed on that date was
because Kenneth did not have a lawyer at that time. They maintain that the
adjournment of these applications was to allow Kenneth to bring a
Rowbotham
application:
R. v. Rowbotham
(1988), 41 C.C.C. (3d) 1 (Ont. C.A.).
[192]
At the oral hearing of
the appeal, Kathleen did not proceed with this ground of appeal, focussing on
the delays occurring at the Ontario Court of Justice. Jun-Chul, however, did
not explicitly concede this issue and appears to maintain his position to the
effect that part of this period was improperly attributed to defence delay.
[193]
In our view, the
application judge did not err in her attribution of this entire period of 321
days to defence delay. During this whole period, Jun-Chul and Kathleen were
expressing their desire to bring stay applications pursuant to s.聽11(b)
and for abuse of process. These applications were not diligently pursued and,
in the end, the appellants did not file any material in furtherance of these
applications, other than the transcripts. Over this period, dates for the
applications were scheduled and rescheduled. Had it not been for the pending
applications that were never brought, dates for the trial could have been set
at the December 13, 2013 judicial pre-trial instead of much later.
February 22, 2016 to February 27, 2017
[194]
The final period of
delay challenged is February 22, 2016 to February 27, 2017. It is challenged
solely by Jun-Chul. That period of 370 days was attributed to defence delay by
the application judge. Kathleen acknowledges that this delay was properly
attributable to her on account of her decision to discharge her counsel just
before the scheduled trial date of February 22, 2016. Jun-Chul argues, however,
that the application judge erred in deducting this period as defence delay
against him. The adjournment was obtained at the request of Kathleen and
Kenneth since they both dismissed their counsel on February 16, 2016. Jun-Chul
maintains that he did not waive his s. 11(b) rights during this period and the
application judge wrongly faulted him for not opposing the adjournment.
[195]
In our view, the
application judge did not err in attributing this period as defence delay
caused by both Jun-Chul and Kathleen. It was apparent that Jun-Chul and
Kathleen wished to proceed through the system as a collective. Jun-Chul never
opposed the adjournment, nor did he apply for a severance so that his trial could
proceed alone. Delays caused by scheduling challenges arising directly and
inevitably from the joint situation of the appellants are properly analysed
collectively: see
R. v. Albinowski
, 2018 ONCA 1084, 371 C.C.C. (3d)
190, at paras. 36-39. Therefore, this period of defence delay of 370 days is
attributable to both Jun-Chul and Kathleen.
The 347-day delay due to the complexity of the case
[196]
The application judge
considered the case to be particularly complex and determined that certain
periods of delay could properly be attributed to the complexity of the case.
Notably, she identified periods for voluminous disclosure, for the filing of
written submissions to the preliminary inquiry judge after completion of the
evidence on the preliminary inquiry, for the additional time required for the
preliminary inquiry, and for recognizing the delay caused by the presence of
multiple co-accused. The application judge deducted these periods on the basis
that they met the test for exceptional circumstances outlined in
Jordan
.
In total, she deducted 347 days attributable to the complexity of the case.
[197]
Jun-Chul and Kathleen
argue that the application judge erred in making this deduction. As held in
Cody
,
at para. 64, 聯Complexity cannot be used to deduct specific periods of delay.聰
The application judge was, in their view, required only to consider complexity
as a factor when deciding whether the overall delay could be justified. She was
not entitled to deduct specific periods of delay on account of complexity. By
deducting periods of delay on account of complexity, she improperly minimized
the overall delay figure.
[198]
Although we agree with
the application judge聮s finding that the case was complex, we also agree with
Jun-Chul and Kathleen that the application judge erred in deducting specific
periods of delay due to complexity. However, as noted by the Crown, when she
made her decision, the application judge did not have the benefit of
Cody
,
as that decision was released on June 16, 2017, some five months after the
application was dismissed on January 3, 2017.
[199]
While the application
judge erred in deducting specific periods of delay attributable to case
complexity, her error had no impact on the outcome. It was acknowledged by the
Crown that the delay was in excess of the 30-month presumptive ceiling in
Jordan
even after deducting the 347 days attributable to the complexity of the case.
As a result, the application judge knew that the Crown bore the onus of
justifying the delay and the Crown did so on the basis of the transitional exceptional
circumstance provision outlined in
Jordan
.
As we will explain in the next section, the transitional exceptional
circumstance provision applies even though the deduction for complexity was
erroneous.
The transitional exceptional circumstance provision of
Jordan
[200]
In
Jordan
, at
para. 102, the Supreme Court of Canada acknowledged that for cases already in
the system, the release of their decision in
Jordan
聯should not
automatically transform what would previously have been considered a reasonable
delay into an unreasonable one.聰 Therefore, the framework the court was
creating ought to be applied 聯contextually and flexibly for cases currently in
the system聰:
Jordan
, at para. 94. The transitional exceptional
circumstance was created on the basis that it would be unfair to judge the
parties against a standard of which they had no notice:
Jordan
, at
para. 94. The exception applies, therefore, if the Crown satisfies the court
that the time the case has taken to make its way through the courts is
justified based, at least in part, on the parties聮 reasonable reliance on the
law as it had previously existed:
Jordan
, at para. 96.
[201]
Generally, therefore,
if the delay was incurred prior to the release of
Jordan
and the delay
would have been reasonable under the
Morin
framework, the transitional
exception will apply to justify delays beyond the 30-month presumptive
Jordan
ceiling. This is not to say that all cases where the delay would have been
reasonable under
Morin
will qualify under the transitional exception.
For example, keeping in mind that any analysis 聯must always be contextual聰, the
transitional exception might not assist in a 聯simple case聰 where the ceiling is
聯vastly exceed[ed]聰 due to 聯repeated mistakes or missteps by the Crown聰:
Jordan
,
at para.聽 98.
[202]
The present case is
clearly not a simple case. There is no suggestion that the Crown has made
repeated missteps resulting in a substantial delay. Importantly, it is apparent
that there was reasonable reliance on the pre-
Jordan
law regarding
delay. As earlier noted, Jun-Chul and Kathleen had announced their intention to
bring an application to stay the proceedings under s. 11(b) of the
Charter
as early as December 13, 2013. However, they ultimately decided not to proceed
with this application. It was not until late 2016, a few months after the
release of
Jordan
, that the s. 11(b) application that is currently the
subject of this appeal was brought.
[203]
With this background
in mind, we now turn to consider whether the application judge was correct in
finding that the delay was justified pursuant to the transitional exceptional
circumstance provision in
Jordan
.
[204]
To determine whether a
transitional exceptional circumstance justifies a delay above the 30-month
presumptive ceiling, the court must conduct a contextual assessment of all of
the circumstances. The relevant circumstances include:
路
the complexity of the case;
路
the period of delay in excess of the
Morin
guidelines;
路
the Crown聮s response, if any, to any institutional delay;
路
the defence efforts, if any, to move the case along; and
路
prejudice to the accused.
[205]
See
R. v.
Williamson
, 2016 SCC 28, [2016] 1 S.C.R. 741, at paras. 26-30;
R. v.
Gopie
, 2017 ONCA 728, 356 C.C.C. (3d) 36, at para. 178; and
R. v.
Faulkner
, 2018 ONCA 174, 407 C.R.R. (2d) 59, at para. 175.
[206]
The seriousness of the
offences is also a factor to be taken into account, as it was a consideration
under
Morin
: see
Morin
, at p. 787;
Jordan
, at para.
96.
[207]
While we acknowledge
that the delays in bringing this case to trial were lengthy, as we will
explain, an analysis of the five criteria set out in
Williamson
and
the seriousness of the offences fully support the application judge聮s
conclusion that a stay is not appropriate in this case.
The case was complex
[208]
As explained in
Cody
,
at para. 64, complexity requires a qualitative, not a quantitative, assessment
of the case. It is noted in
Jordan
, at para. 77, that 聯[p]articularly
complex cases are cases that, because of the nature of the
evidence
or
the nature of the
issues
, require an inordinate amount of trial or preparation
time聰 (emphasis in original). Complexity is therefore to be assessed in light
of the entirety of the proceedings, taking into account factors such as the
volume of disclosure and length of the preliminary inquiry:
Cody
, at
para. 64;
R. v. Picard
, 2017 ONCA 692, 354 C.C.C. (3d) 212, at para.
62, leave to appeal refused, [2018] S.C.C.A. No. 135; and
R. v. Baron
,
2017 ONCA 772, 356 C.C.C. (3d) 212, at paras. 52, 71.
[209]
In our view, the
application judge did not err in holding that this was a complex case. It
involved voluminous disclosure, a lengthy preliminary inquiry, the evidence of
technical witnesses, the scheduling of several pre-trial applications, charges
covering a lengthy period of time, and multiple co-accused. All of these
factors support the application judge聮s finding that the case was complex.
The institutional delay did not exceed the
Morin
guidelines
[210]
In her reasons, the
application judge stated that the institutional delay was 17 to 20 months. As
the Crown explained on appeal, this was an error. These were the figures set
out in the Crown聮s factum for the application. In oral submissions, the Crown
had told the application judge that this was an error, as the Crown
substantially overstated the institutional delay. On appeal, the Crown explains
that the total institutional delay properly calculated is 12.4 months, which is
under the
Morin
guidelines of 14 to 18 months of institutional delay:
Jordan
,
at para. 52.
[211]
In oral submissions, Jun-Chul and Kathleen
take issue with two
aspects of the Crown聮s calculation. First, they consider that the time to
effect disclosure in this case was excessive. Specifically, they argue that
approximately four months of the period the Crown identifies as inherent delay
for intake and disclosure should be considered as institutional delay, since
the disclosure could not be completed because of the ongoing police
investigation. Second, Jun-Chul and Kathleen indicate that approximately one
month is attributable to institutional delay for the delay in securing a date
for the first judicial pre-trial before the Ontario Court of Justice. They
concede, however, that even if this adjustment is made, the combined
institutional and Crown delay before the Ontario Court of Justice and the
Superior Court of Justice is approximately 17 months, which still comes within
the
Morin
guidelines of 14 to 18 months. As a result, this factor
clearly weighs in favour of dismissal of the application.
The Crown聮s response to institutional delay
[212]
The application judge
found that this factor favoured dismissal of the application. She determined
that the Crown had 聯genuinely responded to the circumstances of the case
including the voluminous disclosure, multiple co-accused and an ever-changing
roster of defence counsel by seeking and creating opportunities to streamline
the issues and evidence, and adapting to the evolving circumstances as the case
progressed.聰 This factual conclusion is well supported in the record, and we
agree with the application judge that this factor also favours dismissal of the
application.
The defence efforts to move the case along
[213]
It is apparent from a
review of the record that neither
Jun-Chul
nor
Kathleen demonstrated any genuine interest in moving the case along. Jun-Chul
discharged his first counsel and there were delays caused by accommodating the
availability of his second counsel and by this counsel聮s subsequent failure to
attend court on time on October 7, 2013. Lengthy delays were caused by Jun-Chul
and Kathleen聮s scheduling and rescheduling of their proposed stay application.
They did not proceed with that application. There were also delays by the late
decision of the appellants on August 6, 2015 to re-elect to a judge-alone
trial. Prior to re-electing, they had advised of their intention to bring a
change of venue application. Because of that pending change of venue
application, a trial could not reasonably be scheduled until the venue was
confirmed. Lastly, Kathleen聮s discharge of her second lawyer occurred just
before the scheduled trial date of February 22, 2016. This led to further
delays.
[214]
In short, Jun-Chul and
Kathleen聮s actions demonstrate that they were content with the pace of
proceedings. This factor therefore supports dismissal of the application.
Prejudice to the appellants
[215]
The application judge
acknowledged that the protracted nature of the proceedings exacerbated the
anxiety, concern, and stigma of exposure to criminal proceedings that
Jun-Chul and Kathleen
felt. However, in the application
judge聮s view, Kathleen聮s decision to discharge her lawyer just before the trial
scheduled for February 22, 2016 and Jun-Chul聮s failure to oppose that
adjournment played a role in protracting the proceedings and called into
question the degree to which Kathleen and Jun-Chul were anxious, at least at
that point, to have the matter proceed expeditiously.
[216]
In terms of
restrictions on Jun-Chul and Kathleen聮s liberty, the amount of bail was
significant, but the restrictions were relatively minimal and reasonable
considering the nature of the allegations that involved moving the proceeds of
crime out of the country. In fact, these restrictions were relaxed for Jun-Chul
when he requested variations to his bail.
[217]
On appeal, Jun-Chul
and Kathleen argue that the application judge failed to infer substantial
prejudice from the length of the delay itself. Jun-Chul also argues that the
application judge failed to consider the actual prejudice to Jun-Chul, who
lived under the threat of a lengthy jail sentence for seven years while under
bail conditions prohibiting him from travelling outside Ontario or from
communicating with Kathleen, his daughter, except in the presence of counsel.
[218]
While we agree with
the appellants that prejudice is to be inferred from the length of the delay
and that this factor weighs in favour of granting the application, we do not,
as the appellants suggest, view it as constituting a substantial prejudice.
Rather, we consider it to be of limited significance in this case. The bail
terms were not particularly onerous, certainly in respect of Kathleen, and, as the
application judge found, the actions of the appellants indicate that they were
not anxious to have the matter heard expeditiously.
The seriousness of the offences
[219]
The charges in this
case were undoubtedly serious. Not only did it involve a very large fraud of
$12.5 million on the OLG, it also involved the victimization of the rightful
owner of the lottery ticket. Under the
Morin
analysis, the seriousness
of the offences would weigh against the granting of a stay, as this
consideration 聯played a decisive role in whether delay was unreasonable under
the previous framework聰:
Jordan
, at para. 96. In fact, 聯[a]s the
seriousness of the offence increases so does the societal demand that the
accused be brought to trial聰:
Morin
, at p. 787. As these serious
offences involved a large-scale fraud that victimized both a Crown corporation
and the true owner of the $12.5 million lottery ticket, they do not warrant a
stay of proceedings under the
Morin
framework.
Does the delay in the Ontario Court of Justice justify a stay?
[220]
In her oral
submissions, Kathleen focussed her arguments on the delay that occurred in the
Ontario Court of Justice. She maintained that it was excessive to the point
where a stay ought to be granted. She explained that the delay in that court
totalled almost three years. Two aspects of that delay were emphasized:
1.
the delay in completing disclosure; and
2.
the total institutional delay in that court.
[221]
We are not persuaded
by these submissions.
The delay in completing disclosure
[222]
Kathleen argues that
162 days (5.3 months) to effect disclosure in this case was excessive. She was
arrested on September 28, 2010 and received significant disclosure on October
27, 2010, but it was not until the end of January 2011 when the investigation
ended that the materials in support of the various search warrants could be
unsealed, and the contents could be disclosed to the appellants. In addition,
full disclosure, including disclosure related to the search for and
identification of the presumed true winner of the $12.5 million, was not
completed until March 3, 2011. Therefore, Kathleen argues that approximately
four months of this disclosure delay caused by the ongoing investigation should
be attributable to the Crown. She further explains that the appellants could
not reasonably prepare for a preliminary inquiry or otherwise address the
charges until this disclosure was complete.
[223]
Kathleen maintains
that this delay in completing disclosure from October 27, 2010 to March 3, 2011
was the fault of the Crown, which is attributable to the Crown聮s decision to
lay the charges and make the arrests before the investigation had been
completed.
[224]
While we acknowledge
that there were significant delays, we consider these to be reasonable in the
circumstances of this case. As explained by the Crown in oral submissions, in
order to find the true owner of the ticket, the OLG had to publicly announce
that Kathleen did not win the $12.5 million prize and ask those who may be the legitimate
owner of the ticket to come forward. If the announcement was made before the
seizure of the defrauded funds and the freezing of the assets acquired by the
appellants with the stolen funds, the appellants, knowing that they would have
to return the funds and would likely be charged, may well have dissipated or
taken the funds and assets out of reach of the authorities. Therefore, the
seizure of the funds and freezing of the assets could not reasonably be
effected until the charges were laid.
[225]
As for the unsealing
of the material in support of the search warrants, this could not occur until
after the search for the true winner had been carried out. This is because the
material would disclose key information that only the true purchaser of the
ticket would know, information such as the date and location of the purchase of
the original ticket. As indicated by the Crown during oral submissions, the
release of this search warrant information could have tainted the investigation
for the true winner.
[226]
In these exceptional
circumstances, we would not fault the Crown for delaying the disclosure of the
search warrant materials or for laying the charges, even though the
investigation, to some degree, was ongoing: see
R. v. N.N.M.
(2006),
209 C.C.C. (3d) 436 (Ont. C.A.), at para. 16;
R. v. Schertzer
, 2009
ONCA 742, 248 C.C.C. (3d) 270, at paras. 116, 128 and 131, leave to appeal
refused, [2010] S.C.C.A. No. 3.
[227]
In any event, as we
have explained in our analysis of the transitional exceptional circumstance
provision of
Jordan
, even if the inherent delay allocated for intake
and disclosure was reduced by four months and these four months were
subsequently allocated to Crown delay, the overall institutional and Crown
delay would still be within the
Morin
guidelines.
[228]
A second concern
raised by Kathleen with respect to disclosure is the delay in disclosing
documents that were in the possession of the OLG. It was only shortly before
the preliminary inquiry was scheduled to commence that the Crown was alerted
that documents in the possession of the OLG had not been provided to the Crown,
and therefore were not disclosed to the appellants. The preliminary inquiry
could not be completed until these documents were obtained by the Crown and
disclosed to the appellants.
[229]
Kathleen argues that
it was the Crown聮s responsibility to have obtained and disclosed these
documents well in advance of the scheduled preliminary inquiry. She maintains
that the delays caused by the Crown聮s failure to do so weigh in favour of
granting a stay.
[230]
In our view, the delay
by the Crown to secure the OLG documents and provide them to the appellants as
part of their disclosure obligations does not amount to a misstep by the Crown
that warrants or supports granting a stay. The documents were in the possession
of the OLG, a non-party to these proceedings. While the Crown ought to have
been aware of their existence, as there was a reference to these documents in
the Ombudsman聮s report regarding an investigation into the OLG, the appellants
also had access to this report and could have requested the production of these
documents. It was not until the preliminary inquiry was scheduled that this
issue came to light. Once it was discovered, the Crown acted quickly to obtain
the documents, and the parties cooperated to make best use of the preliminary
inquiry dates that had been set aside.
The amount of institutional delay in the Ontario Court of
Justice
[231]
Kathleen argues that
the start date of the preliminary inquiry was delayed because of a lack of
court resources. She submits that while counsel was prepared to commence the
preliminary inquiry in early fall of 2012, the court ultimately scheduled the
preliminary inquiry to commence on November 6, 2012. In addition, she maintains
that before the preliminary inquiry was completed, further delays were caused
by the disclosure issues and the court聮s unavailability. The preliminary
inquiry scheduled for November 2012 therefore continued in February and May
2013, concluding on May 29, 2013. The matter was then adjourned to September
24, 2013 for the decision on committal, since the preliminary inquiry judge had
other judgments under reserve. These institutional delays were lengthy and
contributed to the excessive time the case took to proceed through the Ontario
Court of Justice. In Kathleen聮s submission, this, in combination with the
disclosure delays, is sufficient to justify granting a stay of proceedings.
According to Kathleen, a case taking three years to work its way through the
Ontario Court of Justice is simply unacceptable.
[232]
We agree that
institutional delay in the Ontario Court of Justice is certainly a factor to be
taken into account, as is the total length of time that a case takes to work
its way through that court. Those delays, however, have been taken into account
in the
Morin
analysis we carried out earlier. Under the
Morin
framework, it is the combined institutional and Crown delay for the Ontario
Court of Justice and the Superior Court of Justice taken together that is
considered, as it is the 聯reasonableness of the overall delay聰 or the
聯reasonableness of the total period of time聰 that needs to be assessed: see
R.
v. Conway
, [1989] 1 S.C.R. 1659, at p.聽1674;
R. v. Bennett
(1991),
3 O.R. (3d) 193 (C.A.), at p. 211, aff聮d [1992] 2 S.C.R. 168; and
Schertzer
,
at para. 122. Therefore, an excessive delay in the Ontario Court of Justice
can, in effect, be remedied by a short delay in Superior Court, as long as the
total delay is reasonable. The overall delay in this case did not exceed the
Morin
guidelines.
Conclusion
[233]
There is no doubt that
the delay in this case far exceeded the 30-month presumptive ceiling of
Jordan
.
When the 347 days of delay that the application judge improperly deducted on
account of complexity are added to the 1,005 days of net delay for Jun-Chul and
the 1,084 days of net delay for Kathleen, the net delays rise to 1,352 days
(44.5 months) for Jun-Chul and 1,431 days (47 months) for Kathleen. If, as
argued by the appellants, the application judge improperly allocated some of
the delay to defence conduct, the delay numbers would rise even higher.
[234]
In our view, however,
despite the extent of the delay over the
Jordan
ceiling, we agree with
the application judge聮s conclusion that this is a case that falls squarely into
the category of cases to which the transitional exceptional circumstance
provision outlined in
Jordan
applies. Therefore, we would dismiss this
ground of appeal advanced by Jun-Chul and Kathleen, as the application judge
did not err in dismissing the s. 11(b) stay application.
Issue 4: Did the trial judge err in not granting interest to Kenneth Chung?
[235]
The Crown was in
possession of $28,874.51 from Kenneth. On February 21, 2019, it was ordered
that the funds be returned to him. The forfeiture judge declined to award
interest on the funds. Kenneth Chung appeals that order. He relies on the
Civil
Remedies Act
, 2001, S.O. 2001, c. 28,
the
Rules of Civil
Procedure
, R.R.O. 1990, Reg. 194,
and the
Courts of Justice Act
,
R.S.O. 1990, c.聽C.43,
to say that interest should have been
provided.
[236]
The provincial
statutes that Kenneth relies on relate to civil proceedings. They have no
application to the federal
Criminal Code
which makes no provision for
the payment of interest on money restrained and subsequently ordered returned. The
trial judge did not err and this portion of Kenneth聮s appeal is dismissed.
Issue 5: Did the trial judge err in acquitting Kenneth of counts 3-6?
[237]
The Crown appeals
Kenneth聮s acquittal on count 3 (the theft of the winning ticket), count 4
(possession of the winning ticket), count 5 (fraud) and count 6 (possession of
the proceeds of crime).
[238]
Relying on Exhibit 38,
the trial judge found there was a scheme by Jun-Chul and Kenneth to steal free
tickets. He found they were joint participants in an eight-month scheme under
which they stole lottery tickets from customers. He convicted them both for
theft and possession of stolen lottery tickets. However, the trial judge
refused to consider the split ticket scheme in relation to remaining counts because
the Crown did not bring a similar fact application:
As noted, no application was
brought by the Crown to have the evidence relevant to Counts 1 and 2, that I
have reviewed, rendered admissible under Count 3 or, for that matter, any of
the other Counts. Accordingly, I will not consider any of the 聯pattern聰
evidence elicited under Count 1, through Exhibit 38, on any of the other
counts, including Count 3.
[239]
The Crown submits that
the trial judge wrongly treated the theft of the winning ticket as an isolated
act and acquitted Kenneth because there was insufficient evidence under counts
3-6 to support a conviction. In response, Kenneth repeats the submissions relied
upon with respect to his appeal of the convictions on counts 1 and 2.
[240]
In each of the
remaining counts, the trial judge 聳 having ignored his finding on the split
ticket scheme 聳 found that there was a reasonable doubt because Kenneth could
have been told that Kathleen was the legitimate owner of the ticket.
[241]
We have concluded that
the trial judge erred by failing to consider Kenneth聮s participation in the
split ticket scheme on the remaining counts. This legal error had a material
bearing on the acquittals.
[242]
We have further
concluded that the trial judge聮s factual findings with respect to counts 1 and
2 establish Kenneth聮s guilt on counts 3 and 4 beyond a reasonable doubt. But for
the error, Kenneth would have been convicted. However, the trial judge did not
make factual findings sufficient to convict on counts 5 and 6. Therefore we
substitute a conviction on counts 3 and 4 and order a new trial on counts 5 and
6.
The legal error
[243]
The trial judge
concluded that Kenneth Chung was a joint participant in the split ticket
scheme. He concluded that it was 聯clear that Jun-Chul Chung stole some of the
tickets and Kenneth Chung stole some. However, more fundamentally, in my view
they are both guilty of all the thefts as parties under s. 21(1)(a) of the
Code
.聰
[244]
It was pursuant to
that scheme that the winning ticket was stolen. Thirty-one free tickets were
stolen, one won the $12.5 million. The theft of the 31
st
ticket was
not an isolated act but part of the scheme. The trial judge was required to
consider all of the evidence, and evidence of Kenneth聮s participation in the
scheme was admissible on counts 3-6. This was addressed by Doherty J. (as he
then was) in
R. v. Sahaidak
,
[1990] O.J. No 3228 (Ont. H.C.),
at para. 150:
In most cases where a multi-count
indictment is before the Court, evidence adduced on one count is not admissible
for or against an accused on the other counts. Where, however, the events
underlying the various counts are part of
an ongoing course of dealings
and where those events are
interwoven and interrelated
so that as a
matter of logic and common sense, the events underlying one count also
enlighten and assists the trier of fact in understanding and assessing the
evidence on the other counts, then the evidence directly relevant to one count
is admissible on the other counts as well. [Emphasis added.]
[245]
This reasoning was
cited with support in
R. v. Kirk
, [2004] O.J. No. 3442 (C.A.), at
para. 15.
[246]
The scheme to steal
free tickets, which produced 30 no wins or nominal wins, also produced the
winning ticket. The winning ticket was part of 聯an ongoing course of dealings聰
and was 聯interwoven and interrelated.聰 The scheme outlined in Exhibit 38 was
admissible on the remaining counts in the indictment. The legal error had a
material bearing on the acquittals.
The facts found by the trial judge
support convictions on counts 3 and 4
[247]
On an appeal from an
acquittal, this court may 聯
enter a verdict of guilty with respect
to the offence of which, in its opinion, the accused should have been found
guilty but for the error in law聰: s. 686(4)(b)(ii) of the
Criminal
Code.
The trial judge聮s conclusion that Kenneth was a joint
participant in the scheme pursuant to s. 21 of the
Criminal Code
leads inevitably to convictions on counts 3 and 4.
[248]
Section
21(1) of the
Criminal
Code provides:
Everyone is a party
to an offence who
(a)聽actually
commits it;
(b)聽does or
omits to do anything for the purpose of aiding any person to commit it; or
(c)聽abets any
person in committing it.
[249]
As
found by the trial judge, the scheme that Kenneth participated in was to steal
lottery tickets. The scheme produced the winning ticket. Kenneth is guilty of
theft and possession of the winning ticket based on the same evidence that
resulted in his convictions on counts 1 and 2.
[250]
With respect
to count 3, theft of the winning ticket, the
trial judge found as
follows:
It has not been established that
Kenneth Chung was present in the store at the time Jun-Chul Chung stole the
ticket. I am not persuaded beyond a reasonable doubt that he was involved in
the theft. He must be acquitted on Count 3.
[251]
The trial judge made
the same finding on count 4, possession of the winning ticket.
[252]
These findings by the
trial judge on counts 3 and 4 are inconsistent with Kenneth聮s involvement in
the scheme to steal tickets. The theft of the winning ticket was
indistinguishable from the other 30 tickets. As part of the scheme it was not
necessary for Kenneth to steal the specific ticket. As the trial judge held,
the scheme involved Kenneth stealing some tickets and Jun-Chul stealing some
tickets, but they are both guilty of all of the thefts. Had the trial judge
considered the scheme, Kenneth would have been found guilty of theft of the
winning ticket (count 3) and possession of the winning ticket (count 4).
The facts found by the trial judge cannot support convictions
on counts 5 and 6
[253]
Common sense would suggest that the purpose of
stealing a lottery ticket is to defraud the OLG and cash in the ticket.
However, the trial judge聮s findings with respect to counts 5 and 6 are not
sufficient to invoke s. 686.
[254]
With respect to count
5, defrauding OLG, the trial judge found that when Kenneth attended meetings at
the OLG he joined in the story that Kathleen had purchased the original ticket
that generated the winning ticket.
[255]
In acquitting Kenneth
on count 5, the trial judge relied on the fact that Kenneth could have been
told that Kathleen was the rightful owner:
The issue is whether Kenneth Chung
is also guilty on this count. Once again, not without doubt, I am not convinced
of his guilt beyond a reasonable doubt. As noted earlier, it is possible that
he was told, falsely, that Kathleen Chung was the legitimate purchaser of the
original ticket, and he believed her. Once again, this is a reasonable
possibility which is inconsistent with Kenneth Chung聮s guilt. Accordingly, he
must be acquitted on Count 5.
[256]
Although Kenneth stole
the winning ticket, there are no findings from which it can be determined that
Kenneth knew the truth when he participated in the meetings at the OLG. It is
unclear whether the trial judge聮s 聯reasonable possibility聰 that Kenneth did not
have the requisite knowledge would have remained had he considered the scheme.
[257]
With respect to count
6, possession of the $12.5 million paid, the trial judge expressed similar
concerns:
While Kenneth Chung obtained
considerable benefit from some of the proceeds of the $12.5 million, once again
I am not convinced beyond a reasonable doubt that he knew that the money and
property were obtained by fraud. As noted, it is at least a reasonable
possibility that he was told that Kathleen Chung was the legitimate owner of
the ticket, and he believed her. Thus, it is a reasonable possibility which is
inconsistent with the guilt of Kenneth Chung.
[258]
We are not satisfied that,
but for the error, Kenneth would have been convicted of counts 5 and 6.
[259]
Pursuant to s.
686(4)(b)(ii) of the
Criminal Code
a conviction is entered on counts 3
and 4 and the matter is returned to the Superior Court for sentencing. With
respect to counts 5 and 6 a new trial is ordered.
CONCLUSION
[260]
Kathleen Chung聮s
appeal is allowed in part as follows:
a.
The quantum of
restitution is reduced to the amount of the forfeiture plus $2.3 million.
b.
The custodial
sentence is reduced to three years.
[261]
The Crown appeal of
the acquittals of Kenneth Chung is allowed as follows:
a.
A conviction is
entered on counts 3 and 4 and the matter is returned to the Superior Court for
sentencing.
b.
A new trial is
ordered on counts 5 and 6.
[262]
In all other respects
the appeals are dismissed.
Released: March 31, 2021 聯P.R.聰
聯Paul
Rouleau J.A.聰
聯M.L. Benotto J.A.
聯B.W. Miller J.A.聰
[1]
Jun-Chul, Kenneth, and Kathleen were also charged with money
laundering under Count 7. The trial judge acquitted all three of the money laundering
charge, and the Crown does not appeal that acquittal.
[2]
It would be unwise to speculate as to what constitutes
a refusal to pay, and what constitutes an unreasonable refusal to pay. This is
an area of law that must be developed on a case-by-case basis. We do not
propose to decide these questions on the basis of hypotheticals that may or may
not constitute reasonable refusals. The basic principles are that the purpose
of the provision is to prevent an offender from benefitting from crime, and that
the committal can only be a consequence of unreasonable refusal, and not
genuine inability to pay. There may well be cases of self-induced poverty, by
which the property will have been consumed and the offender will thereby have
received a benefit. This type of poverty is no defence to incarceration.
[3]
Dieckmann
dealt with a
large-scale scheme that defrauded the Canada Revenue Agency of approximately
$5.7 million. There were four co-conspirators: Mr. Davis, Ms. Hartman, Ms.
Dieckmann, and Mr. Salmon. All four co-conspirators benefitted from the scheme
and were named defendants before the court, but Mr. Davis and Ms. Hartman died
before trial. Mr. Salmon and Ms. Dieckmann were both convicted, and the court
accepted Mr. Davis and Ms. Hartman were 聯clearly guilty聰 and would have been
convicted had they survived to trial. When imposing the fines in lieu of
forfeiture, the trial judge apportioned the $5.7 between all four
co-conspirators (albeit notionally, for Mr. Davis and Ms. Hartman), based on
their respective roles in and benefits derived from the scheme. Accordingly,
although Ms. Dieckmann had possession and control of the full $5.7 million at
one point or another, the trial judge only fined her
$1,285,930
. Collectively, the four fines totaled $5.7 million, being the value
of the proceeds of crime subject to forfeiture: see
R. v. Dieckmann
,
2014 ONSC 717, aff聮d
2017 ONCA 575, 355 C.C.C. (3d) 216, leave to appeal
refused, [2018] S.C.C.A. No. 304 and No. 381.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Codina, 2021 ONCA 317
DATE: 20210513
DOCKET: C69153
Hoy, Hourigan and Zarnett JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Angelina Codina
Appellant
Angelina Codina, acting in person
Vanita Goela, for the respondent
Heard: in writing
On appeal from
the judgment of Justice Suhail A.Q. Akhtar of the Superior Court of Justice,
dated February 1, 2021, with reasons reported at 2021 ONSC 765.
REASONS FOR DECISION
[1]
The appellant appeals the dismissal of her application for a writ of
habeas
corpus
, alleging that she has been unlawfully detained and should be
released.
[2]
There are two stages in determining whether a
habeas corpus
application should be granted. First, the court must determine whether
reasonable and probable grounds exist for the complaint. Second, if the court
is satisfied that the grounds exist, then the application is heard on its
merits:
R. v. Olson
, [1989] 1 S.C.R. 296, at p. 298.
[3]
In his reasons dated February 1, 2021, for dismissing her
habeas
corpus
application, the application judge concluded that the appellant did
not satisfy the first limb of the test: there are no reasonable grounds for the
complaint that the applicant is unlawfully detained.
[4]
Pursuant to the endorsement of MacPherson J.A. of March 10, 2021, this appeal
proceeded in writing. The appellant filed both a factum and a reply factum.
[5]
The appellant argues that the application judge聮s conclusion that the
first limb of the test was not satisfied is tainted by legal error. For the
following reasons, we reject that argument and dismiss this appeal.
Background
[6]
Some background is necessary to provide context for this appeal.
[7]
A jury convicted the appellant of four counts of providing advice or
representation for consideration, contrary to s. 91(1) of the
Immigration
and Refugee Protection Act
, S.C. 2001, c. 27 (聯IRPA聰), and one count of
knowingly counselling a person to make a misrepresentation in relation to
matters relevant to the administration of the IRPA, contrary to s. 126. The
trial judge imposed a total sentence of seven years, with two years聮 credit for
presentence custody, yielding a net sentence of five years. The trial judge
also ordered the appellant to pay restitution in the amount of $30,200. The
reasons for sentence are reported at
R. v. Codina
,
2018 ONSC 2180.
[8]
The appellant appealed conviction and sentence. This court heard and
dismissed her sentence appeal in December 2019:
R. v. Codina
, 2019
ONCA 986. The conviction appeal was heard on October 26, 2020. The appellant
raised 11 grounds of appeal, including that the Canadian Border Services Agency
did not have jurisdiction to arrest her. Her conviction appeal was dismissed
from the bench, for reasons which followed in
R. v. Codina
, 2020 ONCA
848 (聯the Conviction Appeal聰).
[9]
After this court dismissed the Conviction Appeal, she filed her
habeas
corpus
application with the Superior Court on December 17, 2020. On
January 7, 2021, this court received the appellant聮s notice of motion to
re-open the Conviction Appeal arguing, among other grounds, that there had been
a change in the law.
[10]
The
appellant聮s
habeas corpus
application was dismissed from the bench on
January 22, 2021, and the reasons were released on February 1, 2021:
R. v.
Codina
, 2021 ONSC 765. The application judge wrote:
Nearly all of the grounds outlined by the applicant were
determined at trial before Molloy J. and at the Court of Appeal. On both
occasions, the applicant聮s complaints were dismissed. For example, the claims
that the Canadian Border Services Agency lacked jurisdiction to arrest the
applicant was discussed and dealt with at paras. 47-50 of the Court of Appeal聮s
decision; the deficiencies in the indictment at paras. 69-73.
The applicant聮s latest claim, regarding a change in the law, is
a matter that she seeks to raise before the Court of Appeal for Ontario. If the
applicant is successful in persuading the court to re-open the appeal, it would
be open to her to apply for bail. If unsuccessful, then the question of whether
her detention is unlawful on that basis is resolved.
[11]
The
appellant brought a motion to re-open her appeal in this court in January 2021.
On February 3, 2021, this court received the appellant聮s motion for bail
pending determination of the motion to re-open her appeal.
[12]
On
February 24, 2021, this court dismissed the appellant聮s motion to re-open the Conviction
Appeal and her sentence appeal and accordingly dismissed the application for
bail as moot:
R. v. Codina
, 2021 ONCA 109. The court concluded that
all the appellant聮s points, save one, were dealt with in the court聮s
comprehensive reasons for dismissing the Conviction Appeal and there was no
basis to assert a miscarriage of justice. On the motion, the appellant argued
that a new independent federal body has been created to regulate and govern
immigration consultants, and because of the creation of this new regulatory
body, s. 91(1) of the IRPA is null and void. As to this new argument, the court
wrote, at para. 6:
The applicant also asserts that the appeals should be reopened
because a new independent federal body has been created to regulate and govern
immigration consultants. That, however, is irrelevant to the charges against
the applicant, who in any event was never an authorized immigration consultant.
[13]
The
appellant has sought leave to appeal her Conviction Appeal and sentence appeal to
the Supreme Court of Canada and bail pending that appeal. Her bail application
has been adjourned, pending the decision on her application for leave to appeal
to the Supreme Court of Canada.
Analysis
[14]
The
appellant advances what we would characterize as two main arguments. The first
is that the application judge erred in his approach by considering
determinations, or anticipated determinations, in her criminal proceedings in
determining her
habeas
application. The second
is that the application judge聮s reasons were insufficient.
(1)
Consideration of determinations in her criminal proceedings
[15]
We
understand the appellant to argue that the purpose of the criminal proceedings
against her 聳 her Conviction Appeal, her motion to re-open, and her bail
application 聳 on the one hand, and her
habeas
application, on the other, differs, so that the determinations of the trial
judge and this court聮s determinations or anticipated determinations on the Conviction
Appeal, the motion to re-open and bail application were irrelevant, and should
have had no bearing on her
habeas
application.
She argues that the application judge erred in relying on those determinations
and anticipated determinations.
[16]
By
way of example, the appellant submits that the application judge should himself
have addressed her change in law argument and not left it to this court to
determine on her motion to re-open. In brief, that argument, as now framed, 聽is
that: as a result of the enactment of the
College of Immigration and
Citizenship Consultants Act
, S.C. 2019, c. 29, s. 292, in 2019, s. 91(9)
of the IRPA is deemed to have been repealed; because she was convicted under s.
91(9), it is a change in law in her favour and, as she was still 聯in the judicial
system聰 at the time of the change, she is entitled to the benefit of that
change; and, as s. 91(9) is deemed to have been repealed, her detention as a
result of being convicted under that section is unlawful. We understand her to
argue that since the application judge erred by failing to address her change
in law argument on the
habeas
application, the court should consider
the change in law issue afresh on this appeal, and is not bound by the
determination of the court on the change of law issue on the motion to re-open.
She says that this court did not fully address her change in law arguments on
the motion to re-open.
[17]
On the
habeas
application, the appellant filed an affidavit
and a reply factum in which she briefly addresses the change of law issue. In
these materials, she frames her argument in a manner similar to on her motion
to re-open
.
[18]
The
appellant devoted approximately three paragraphs of her hand-written factum on
the motion to re-open to her change of law argument and this court addressed
the argument she made in its reasons on her motion to re-open. 聽On this appeal,
the appellant frames her change of law argument much more broadly than she did
in her affidavit and reply factum on the
habeas
application and in her factum before this court on her motion re-open.
[19]
In
our view, the application judge did not err in his approach. The appellant was
seeking to re-litigate issues that were comprehensively addressed by the trial judge
and this court or to litigate the key basis for the motion to re-open that was
pending in this court.
(2)
Sufficiency of reasons
[20]
The
appellant argues that the application judge聮s reasons were insufficient because
he did not address what she says was her argument that the trial court lacked
jurisdiction to try the offences because Public Prosecution Services Canada
(聯PPSC聰), which conducted the prosecution in this case, does not have statutory
authority to proceed by way of direct indictment. She argues only the
Department of Justice of Canada may do so and the PPSC is not part of the
Department of Justice. The application judge聮s reliance on this court聮s reasons
on the Conviction Appeal was insufficient as this court did not address this
jurisdictional argument in the portion of its reasons about the alleged
deficiencies in the indictment.
[21]
The
appellant makes this jurisdictional argument without reference to any
authorities or supporting materials.
[22]
The
application judge provided sufficient reasons. He outlined the applicable test for
a
habeas
application and explained why the
application was dismissed. Reasons need not address every argument advanced:
R. v. R.E.M.
, 2008 SCC 51, [2008] 3 S.C.R. 3, at paras.
35, 57. We are satisfied that his reasons addressed the critical issues and have
provided the appellant with the grounds for meaningful review.
Disposition
[23]
Accordingly, the appeal is dismissed.
聯Alexandra
Hoy J.A.聰
聯C.W.
Hourigan J.A.聰
聯B.
Zarnett J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Codina, 2021 ONCA 109
DATE: 20210224
DOCKET: M52099 & M52188 (C65015)
MacPherson, van Rensburg and
Jamal JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Angelina Marie Codina
Appellant/Applicant
Angelina Codina, acting in person
Vanita Goela, for the respondent
Heard: in writing
REASONS
FOR DECISION
[1]
The applicant Angelina Codina applies to re-open
her conviction and sentence appeals and seeks judicial interim release pending the
disposition of this application and any rehearing of her appeals.
[2]
The applicant was convicted by a jury of four
counts of
providing advice or representation
to
persons on immigration matters for consideration without being authorized to do
so, contrary to s. 91(1) of the
Immigration and Refugee Protection Act
,
S.C. 2001, c. 27 (聯
IRPA
聰), and one count of knowingly counselling a
person to make a misrepresentation in an immigration application, contrary to
s. 126 of the
IRPA
. She was sentenced to seven years聮 imprisonment,
less two years聮 credit for pre-sentence custody, for a net sentence of five
years, and ordered to pay restitution
in the amount
of $30,200
.
[3]
The applicant聮s conviction and sentence appeals
were bifurcated. Her sentence appeal was heard and dismissed on December 16, 2019:
R. v. Codina
, 2019 ONCA 986. Her conviction appeal was dismissed from
the bench on October 26, 2020, for reasons released on December 30, 2020:
R.
v. Codina
, 2020 ONCA 848 (聯
Codina (2020)
聰).
[4]
Rather than apply for leave to appeal to the
Supreme Court of Canada, the applicant now asks this court to re-open her
appeals based on an alleged miscarriage of justice. She asserts that s. 91 of
the
IRPA
is
ultra vires
Parliament, the Canada Border
Services Agency (聯CBSA聰) did not have the jurisdiction to arrest or charge her,
she could not be convicted because she used a corporation to provide
immigration services, and the trial judge misdirected the jury.
[5]
We see no basis to reopen the appeals. All these
points were dealt with in this court聮s comprehensive reasons dismissing the
applicant聮s appeal from conviction:
Codina (2020)
, at paras. 51-64 (s.
91 of the
IRPA
is not
ultra vires
Parliament), 47-50
(jurisdiction of CBSA to arrest and detain the appellant), 78-82 (exclusion of
evidence of the corporate organization to provide immigration services), and 83-101
(jury instructions). Nothing was overlooked. There is no basis to assert a
miscarriage of justice.
[6]
The applicant also asserts that the appeals
should be reopened because a new independent federal body has been created to regulate
and govern immigration consultants. That, however, is irrelevant to the charges
against the applicant, who in any event was never an authorized immigration
consultant.
[7]
The application to re-open the conviction and
sentence appeals is dismissed. Given this conclusion, the application for bail
is dismissed as moot.
聯J.C.
MacPherson J.A.聰
聯K.
van Rensburg J.A.聰
聯M.
Jamal J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Codina, 2021 ONCA 370
DATE: 20210602
DOCKET: M52317 (C65015)
Paciocco J.A. (Motion Judge)
BETWEEN
Her Majesty the Queen
Respondent
and
Angelina Marie Codina
Applicant
Martin Kerbel, for the applicant
Vanita Goela, for the respondent
Heard: in writing
ENDORSEMENT
OVERVIEW
[1]
Angelina Codina has applied for leave to appeal
three decisions of this court to the Supreme Court of Canada (the 聯Leave to
Appeal Application聰). In this application in writing, she seeks bail pending her
Leave to Appeal Application.
[2]
Ms. Codina has not met her burden of persuading me
that her release pending the determination of her Leave to Appeal Application is
in the public interest. The application for bail pending leave to appeal to the
Supreme Court of Canada is therefore dismissed.
BACKGROUND & MATERIAL FACTS
[3]
Ms. Codina is a trained lawyer who was disbarred
in Ontario after being convicted of defrauding the Ontario Legal Aid Plan. She
was subsequently convicted in New York State of grand larceny and a fraud
charge, where she served a 5-year sentence before being deported to Canada.
[4]
While in Canada, Ms. Codina owned and
administered 聯Codina International聰, an immigration consulting corporation. As
the result of events that occurred between late 2011 and early 2014 relating to
Codina International, Ms. Codina was charged with offences contrary to the
Immigration and Refugee
Protection Act
, S.C. 2001
,
c. 27 (聯
IRPA
聰).
[5]
On November 22, 2017, after a trial by jury, Ms.
Codina was convicted of four counts of providing advice to persons on
immigration matters without being authorized to do so, contrary to s. 91(1) of
IRPA
. She was also
convicted on one count of knowingly counselling a person to make a
misrepresentation in an immigration application, contrary to
IRPA
s. 126.
[6]
On May 29, 2018, Ms. Codina received a sentence
of seven years聮 imprisonment, which was reduced to five years because of pre-sentence
custody. She was also ordered to pay $30,200 in restitution. In sentencing Ms.
Codina, the sentencing judge concluded that she is someone who preys on
vulnerable people and who represents 聯a threat to the community because she is
ungovernable聰.
[7]
Ms. Codina appealed both her convictions and
sentence to this court. To minimize delay, the appeals were bifurcated after a
case management conference. Ms. Codina聮s sentence appeal was dismissed on
December 16, 2019. Her conviction appeal was dismissed from the bench on
October 26, 2020 for reasons to follow, which were released on December 30,
2020.
[8]
Ms. Codina did not seek leave to appeal either
decision to the Supreme Court of Canada in a timely way. Instead, she filed a
habeas
corpus
application
in the Superior Court of Justice and a motion before this court to re-open her conviction
and sentence appeals. The
habeas
corpus
application
was dismissed from the bench on January 22, 2021, with reasons released on February
1, 2021. Recently, on May 13, 2021, this court dismissed an appeal in writing from
that dismissal. By that time, Ms. Codina聮s motion to re-open her appeals, which
was also heard in writing, had already been denied on February 24, 2021.
[9]
The Leave to Appeal Application that Ms. Codina
now brings to the Supreme Court of Canada advances grounds raised in a notice
of application for leave to appeal and additional grounds identified in a supplementary
notice of application for leave to appeal. In her Leave to Appeal Application, Ms.
Codina seeks leave to appeal the decisions rendered by this court in her
conviction appeal, her sentence appeal, and her motion to re-open those appeals.
The Supreme Court of Canada has yet to decide whether to assign a file number
to the Leave to Appeal Application.
MS. CODINA聮S
POSITION
[10]
Ms. Codina now applies, in writing, for release
pending the disposition of her Leave to Appeal Application. This application
was initially set to be heard in writing on April 7, 2021 but was adjourned at
Ms. Codina聮s request so that she could retain counsel and file additional
material.
[11]
In support of this application, which is now
ready to be heard, Ms. Codina argues that the many grounds of appeal she
proposes in her Leave to Appeal Application are substantial and meritorious.
Those grounds of appeal include challenges that were rejected by this court,
most notably:
路
challenges to the constitutionality of
IRPA
,
ss. 91(1) and 126,
路
challenges to the validity of the indictment,
路
Charter
and jurisdictional challenges
related to her arrest and charging, and
路
challenges to the trial judge聮s jury charge.
[12]
Ms. Codina also argues that, during her
conviction appeal, this court misapprehended arguments she made challenging the
indictment. She further submits that, during her motion to re-open, this court
misapprehended her argument that
IRPA
s. 91(1) has been 聯arrogated or assumed聰 by s. 77(c) of the
College of Immigration and
Citizenship Consultants Act
, S.C. 2019, c. 29, s. 292 (聯
CICCA
聰), which came
into force in June 2019. She argues that
CICCA
necessarily rendered
IRPA
s. 91(1)
inoperative, and that this has made unauthorized representation a regulatory,
non-criminal matter. She argues that she should have the benefit of this change
in the law, and that this change in the law enhances her Leave to Appeal Application.
[13]
Of note, Ms. Codina also argues that the
decision to bifurcate her conviction and sentence appeals deprived this court
of information it required to adjudicate the sentence appeal. This argument is
being raised for the first time in the Leave to Appeal Application.
[14]
In further support of this application, Ms.
Codina relies on her history of surrendering for court hearings and argues
that, at 63 years of age, she is at heightened risk of COVID-19 infection while
incarcerated, increasing the public interest in her release. She relies, as
well, on proof that she would be employed while on release pending her Leave to
Appeal Application.
THE CROWN聮S POSITION
[15]
The Crown opposes Ms. Codina聮s application for
bail pending her Leave to Appeal Application. Although conceding that Ms.
Codina would likely surrender herself into custody as required, the Crown
argues that she has not met her burden of establishing on the balance of
probabilities that her detention is not necessary in the public interest. The
Crown submits that Ms. Codina聮s grounds of appeal are frivolous, that she poses
a residual risk to public safety, and that, in the circumstances, she has not
shown that the public interest in enforcement outweighs the public interest in
reviewability.
ANALYSIS
[16]
I would dismiss Ms. Codina聮s application for
bail pending her Leave to Appeal Application.
[17]
I do so even though I am not prepared to join
the Crown in characterizing Ms. Codina聮s proposed grounds of appeal as
聯frivolous.聰 As the Supreme Court of Canada recently emphasized,
the
聯not frivolous聰 standard is 聯a very low bar聰:
R. v. Oland
, 2017 SCC 17, [2017] 1 S.C.R. 250,
at para. 20.
[18]
However, in assessing the reviewability
interest, the strength of the appeal plays a central role. Although the initial
聯not frivolous聰 hurdle is met in this case, I cannot say that Ms. Codina聮s proposed
grounds of appeal 聯
clearly surpass
the minimal standard required to meet
the 聭not frivolous聮 criterion聰:
Oland
, at para. 44 (emphasis added). This
decreases the weight of the public interest in reviewability.
[19]
I also share the Crown聮s conclusion that there
is a residual public safety concern. Ms. Codina is no longer presumed to be
innocent of the offences that are the subject of her Leave to Appeal
Application. Those offences are serious and Ms. Codina was found, on impressive
evidence, to have committed those offences against highly vulnerable
individuals. There is foundation on the record for the sentencing judge聮s
conclusion that Ms. Codina preys on the vulnerable and is ungovernable. The
residual risk she poses increases the weight of the public interest in
enforcement.
[20]
Even leaving aside the residual risk to public
safety, the seriousness of the offences and the significant sentence imposed
support the public interest in enforcement.
[21]
Importantly, Ms. Codina has no further right of
appeal. She has had her appeals, as well as a
habeas
corpus
application and a motion for
reconsideration. I have already noted that the grounds of appeal she proposes
in her Leave to Appeal Application do not appear strong. I would add that the
operation of the reviewability principle in this case is contingent upon the
Supreme Court of Canada granting Ms. Codina leave to appeal, something which
that court does only sparingly. At this juncture of the proceedings, 聯the
principle that trial judgments should be enforced is very much in play聰 and
should be given 聯paramountcy聰 in this case:
R. v. Drabinsky
, 2011 ONCA 647, 276 C.C.C. (3d)
277, at paras. 11 and 13.
[22]
I have considered the risk that Ms. Codina could
contract COVID-19 while incarcerated. Ms. Codina has not established with
evidence that her risk of infection is pronounced enough to materially
influence the outcome of this application.
[23]
In the circumstances, Ms. Codina has failed to satisfy
me on the balance of probabilities that public confidence in the administration
of justice would not suffer if she were released pending her Leave to Appeal Application
instead of continuing to serve her sentence.
CONCLUSION
[24]
Ms. Codina聮s application for release pending leave
to appeal to the Supreme Court of Canada is dismissed.
聯David M. Paciocco J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v. Daponte, 2021 ONCA 14
DATE:
20210111
DOCKET:
C67109
Juriansz,
Jamal and Coroza JJ.A.
BETWEEN
Her
Majesty the Queen
Appellant
and
Floriano
Daponte and Vivian Hamilton
Respondents
Anjie Tarek-Kaminker and Brian G.
Puddington, for the appellant
Mark C. Halfyard, for the respondent
Floriano Daponte
Etai Hilzenrat, for the respondent
Vivian Hamilton
Heard: December 10, 2020 by video
conference
On appeal from the stay entered by
Justice Michael D. McArthur of the Superior Court of Justice on June 6, 2019,
with reasons reported at 2019 ONSC 3822, 156 W.C.B. (2d) 447.
Coroza J.A.:
I.
OVERVIEW
[1]
The respondents, Floriano Daponte and Vivian
Hamilton, were charged with several drug offences, possession of proceeds of
crime and possession of a prohibited weapon (a 聯flick knife聰). The trial judge
found that their right to a trial within a reasonable time under s. 11(b) of
the
Canadian Charter of
Rights and Freedoms
had been infringed and stayed
the proceedings.
[2]
The trial judge, relying on the framework set
out by the Supreme Court of Canada in
R. v. Jordan
, 2016 SCC
27, [2016] 1 S.C.R. 631, held that the net delay was 30.5 months, which
exceeded the presumptive ceiling of 30 months and was presumptively unreasonable.
He held that the Crown did not rebut the presumption that the delay was
unreasonable because it had not established the presence of exceptional
circumstances or that the case was particularly complex.
[3]
The Crown appeals on the basis that the trial
judge erred in his application of the
Jordan
framework. It
argues that the trial judge erred in finding that a
certiorari
application brought by the respondents after they were committed for trial was
not an exceptional circumstance. The delay caused by this proceeding (3 months)
should have been subtracted from the net delay, resulting in remaining delay of
27.5 months. Since the remaining delay fell below the presumptive ceiling, the
onus was on the respondents to show that the delay was unreasonable. According
to the Crown, the respondents have not established that this is one of the
clear cases where a stay should be granted.
[4]
I would allow the appeal. The trial judge erred
in finding that the respondents聮
certiorari
application was not an exceptional
circumstance. This court has previously held that when the defence brings a
certiorari
application in good faith, that proceeding is an exceptional circumstance
because the decision to bring the application would be outside the control of
the Crown, unless in opposing such an application the Crown is acting in bad
faith, taking a frivolous position, or responding in a dilatory manner.
[5]
In my view, the trial judge improperly focused
on the fact that the Crown took a frivolous position with respect to just one
aspect of the
certiorari
application in order to find that the entire application was not an
exceptional circumstance. While the respondents were partially successful on
the
certiorari
application because the prohibited weapon count was quashed, it is
apparent that the trial judge lost sight of the fact that the balance of the
certiorari
application was dismissed. The committals for trial on the drug charges and the
proceeds charge were upheld. The Crown did not act unreasonably in opposing the
application and the proceeding should have been considered an exceptional
circumstance. The time allocated for that proceeding (3 months) should have
been deducted from the net delay, leaving remaining delay of 27.5 months that
did not breach the presumptive ceiling. This case is also not one of the clear
cases where a stay should be granted notwithstanding that the delay falls below
the presumptive ceiling.
II.
history of proceedings
[6]
The respondents were arrested on December 2,
2016, following a year long police investigation. The investigation included
acting on information provided by ten confidential informants and police
surveillance of a rural property owned by one of the respondents. On the day the
respondents were arrested, the police executed a search warrant at the property
and seized drugs, cash, paraphernalia consistent with drug trafficking and a
flick knife.
(i)
The
Certiorari
Application
[7]
The case proceeded in the Ontario Court of
Justice in a straightforward manner.
[8]
After a preliminary hearing that took place over
three days, the respondents were committed on a total of nine charges on
November 17, 2017. The case was then adjourned to December 12, 2017 in the
Superior Court of Justice. In the meantime, the respondents challenged the
committals for trial by serving a
certiorari
application in relation to all
nine counts on December 1, 2017.
[9]
The application was heard on January 25, 2018.
On March 16, 2018 the application judge rendered her decision dismissing the
application except for the weapon charge which she quashed.
(ii)
The Delay Following the
Certiorari
Application
[10]
Following the release of the application judge聮s
ruling, the trial was scheduled for ten days starting on March 4, 2019 with
pre-trial motions scheduled for December 10 and 11, 2018. The pre-trial motions
filed by the respondents claimed that the police had violated their s. 8
Charter
rights
against unreasonable search and seizure.
[11]
In response to the motion, the Crown made
further disclosure to the respondents on December 3, 2018. That disclosure
consisted of unredacted portions of the search warrant that was issued in this
case. The Crown had previously withheld portions of the warrant based on
changing levels of perceived harm to informants and based on the privacy
interests of other individuals. Upon receipt of this disclosure, the
respondents filed an additional pre-trial motion alleging a breach of s. 7 of
the
Charter
and seeking the remedy of excluding this new disclosure.
Both parties agreed that the s. 7 application logically had to precede the
hearing of the s. 8 application since the relief sought by the respondents
included the exclusion of evidence required for the s. 8 application. Both
parties also agreed that four days instead of two were now required to argue
the motions.
[12]
As a result of these developments, the motions
did not proceed on December 10, 2018 as originally scheduled. The parties met
with the local administrative judge and the trial coordinator to reschedule the
motions. However, there were no available dates to hear the motions until the
originally scheduled trial date commencing March 4, 2019.
[13]
Ultimately, the original trial dates scheduled
for March were now scheduled as dates for the pre-trial motions and the trial
dates were rescheduled to start on June 4, 2019. On May 13, 2019, the
respondents filed the s. 11(b) application. The trial judge heard the
application and granted a stay of proceedings on June 6, 2019.
III.
LEGAL FRAMEWORK
(i)
The
Jordan
Framework
[14]
In assessing the s. 11(b) application, the trial
judge was required to apply the framework set out by the Supreme Court of
Canada in
Jordan
. That framework has been summarized by Gillese J.A. in
R. v. Coulter
,
2016 ONCA 704, 133 O.R. (3d) 451, at paras. 34-41, as follows:
[
34
]
Calculate the
total delay
, which is the period from the charge to the actual or anticipated end
of trial (
Jordan
, at
para. 47).
[
35
]
Subtract
defence delay
from the total delay, which results in the 聯
Net Delay
聰 (
Jordan
, at para. 66).
[
36
]
Compare the Net Delay to the presumptive ceiling (
Jordan
, at para. 66).
[
37
]
If the Net
Delay exceeds the presumptive ceiling, it is presumptively unreasonable. To
rebut the presumption, the
Crown must establish the
presence of
exceptional circumstances
(
Jordan
, para. 47).
If it cannot rebut the presumption, a stay will follow (
Jordan
, para. 47). In general, exceptional
circumstances fall under two categories:
discrete
events
and
particularly
complex cases
(
Jordan
, para. 71).
[
38
]
Subtract delay caused by discrete events from the Net Delay (leaving
the 聯
Remaining Delay
聰)
for the purpose of determining whether the presumptive ceiling has been reached
(
Jordan
, para. 75).
[
39
]
If the Remaining Delay exceeds the presumptive ceiling, the court must
consider whether the case was particularly complex such that the time the case
has taken is justified and the delay is reasonable (
Jordan
, at para. 80).
[
40
]
If the
Remaining Delay falls below the
presumptive ceiling
,
the
onus is on the defence to show that the delay is unreasonable
(
Jordan
, para. 48).
[
41
]
The new framework, including the presumptive ceiling, applies to cases
already in the system when
Jordan
was released (the 聯
Transitional Cases
聰) (
Jordan
, para.
96) [Emphasis in original.].
(ii)
Standard of Review
[15]
The trial judge聮s characterization and
allocation of various periods of delay, as well as the ultimate decision to
impose a judicial stay for unreasonable delay, involves a question of law
subject to a correctness standard of review:
R. v.
Albinowski
,
2018 ONCA 1084, 371 C.C.C. (3d) 190, at para. 27. However, the trial judge聮s
underlying findings of fact are reviewed on a standard of palpable and
overriding error:
R. v.
Schertzer
, 2009 ONCA 742, 248 C.C.C. (3d) 270, at
para.聽71, leave to appeal refused, [2010] S.C.C.A. No. 3;
R. v. N.N.M.
,
209 C.C.C. (3d) 436 (Ont. C.A.), at para. 6.
IV.
DISCUSSION
[16]
The Crown makes two submissions on the appeal.
First, the trial judge erred by not properly characterizing the time to hear
and complete the respondents聮
certiorari
application as an exceptional
circumstance to be deducted from the net delay. Second, if that time had been
deducted, the net delay would have fallen below the presumptive ceiling to 27.5
months, and the respondents would have the onus to establish that this was a
聯clear case聰 where the case should be stayed.
[17]
The respondents argue that the trial judge did
not err in applying the
Jordan
framework. According to the respondents, the trial judge found that
the Crown聮s response to the weapons count was frivolous and this court should
defer to the trial judge聮s ultimate finding that the
certiorari
application was not an exceptional circumstance that should be deducted from
the net delay.
[18]
Alternatively, the respondents contend that even
if the remaining delay in this case did not breach the presumptive ceiling, the
delay of 27.5 months was nonetheless unreasonable. The respondents rely on the trial
judge聮s findings that the defence did not cause any of the delay, the case was
not complex, there were a chronic lack of judicial resources in London, and the
Crown made untimely disclosure.
Ground #1: Did the Trial Judge Err in Finding
that the
Certiorari
Application was not an Exceptional Circumstance?
[19]
In
R. v. Tsega
, 2019 ONCA 111, 144 O.R. (3d) 561, leave to appeal refused, [2019]
S.C.C.A. No. 106, this court held that delay caused by defence applications for
extraordinary remedies, including
certiorari
, generally constitutes an
exceptional circumstance. Hourigan J.A. held, at para. 83:
With regard to defence applications, where they
are frivolous or made in bad faith, they will generally constitute defence
delay. Where they are brought in good faith, they constitute an exceptional
circumstance because they would be outside of the control of the Crown,
unless in opposing such an application or an
appeal therefrom the Crown is acting in bad faith, taking a frivolous position,
or responding in a dilatory manner
[Emphasis
added.].
[20]
The trial judge in this case distinguished
Tsega
because he found that
the outcome on the prohibited weapon count was obvious and foreseeable and
litigation on this count was avoidable and within the Crown聮s control to
address and remedy. In his view, the Crown should have conceded the weapon charge
before or at least at the
certiorari
hearing.
[21]
I do not consider it necessary to address the Crown聮s argument on
appeal that the trial judge erred in finding that the outcome of the prohibited
weapon count was obvious and foreseeable. Assuming that there was a basis to
find that litigation about the flick knife was avoidable, I do not agree that
the Crown聮s conduct in relation to that single count distinguished this case
from this court聮s holding in
Tsega
.
[22]
The respondents had been committed for trial on nine counts. The
litigation did not focus on a single count of a weapon in relation to a flick
knife that was found in the home. This case remains one involving the seizure
of drugs and proceeds of crime. There is no suggestion in this case that the
Crown acted in bad faith, took a frivolous position or responded in a dilatory
manner in relation to the drug and proceeds charges. Indeed, the
Crown had no control over the respondents聮 decision to bring a
certiorari
application on all of the charges and there is no suggestion that the
litigation was avoidable in relation to those counts.
[23]
A review of the application judge聮s reasons
fortifies my conclusion. In a decision that spanned 17 pages and 82 paragraphs,
one single paragraph is devoted to the issue of the flick knife. Respectfully,
the trial judge erred by concluding that the respondents聮 application was not
an exceptional circumstance because of the Crown聮s conduct in relation to just
one count, notwithstanding its appropriate conduct and successful defence in
relation to all the other counts.
[24]
The parties on this appeal do not dispute that
if the delay for the
certiorari
application (3 months to argue the application and receive reasons
for ruling) is subtracted from the net delay, the remaining delay would be 27.5
months, which falls below the ceiling. As set out above,
Jordan
holds
that if the remaining delay falls below the presumptive ceiling, the onus is on
the defence to show that the delay is unreasonable. I now turn to the Crown聮s
second argument.
Ground #2: Have the Respondents Demonstrated
that this a Clear Case of Unreasonable Delay?
[25]
The Crown argues that since the remaining delay
falls under the presumptive ceiling, it is the respondents聮 onus to establish
that this is one of the clear cases where, notwithstanding that the delay falls
below the ceiling, it is unreasonable.
[26]
The respondents contend that if the remaining
delay falls below the presumptive ceiling, the delay will still be unreasonable
if they can establish the following two conditions:
1)
The defence took meaningful steps that
demonstrate a sustained effort to expedite the proceedings; and
2)
The case markedly exceeded its reasonable time
requirements.
[27]
At the outset, it is important to recall that
Jordan
expected stays for delay in cases that fell below the presumptive ceiling 聯to
be rare, and limited to clear cases聰: at para. 48.
(i)
Sustained Effort to Expedite the Proceedings
[28]
I acknowledge that the trial judge found that
the respondents acted in a timely, diligent, and reasonable manner and that
they desired for the case to move forward. His findings do not disclose
palpable and overriding error and support the respondents聮 submission that they
took meaningful steps that demonstrated a sustained effort to expedite
proceedings. Accordingly, the respondents have satisfied the first condition.
(ii)
Markedly Exceeded Reasonable Time Requirements
[29]
However, as noted above, the respondents must
also meet a second pre-condition for obtaining a stay of proceedings in cases
of delay falling under the 30-month ceiling. That pre-condition requires the
respondents to show that the case markedly exceeded the reasonable time
requirements of the case, which is a question of fact:
Jordan
, at
para. 91.
[30]
As set out in
Jordan
, determining
whether a case has taken markedly longer is not a matter of precise
calculation. The reasonable time requirements to get a case to trial depend on
a variety of factors, including the complexity of the case, whether the Crown
took reasonable steps to expedite the proceedings and local conditions. I turn
to the application of those factors.
[31]
I see no basis to interfere with the trial
judge聮s finding that this was not a complex case. Although the case was set for
two weeks of trial, the trial judge noted that the Crown聮s witnesses were
police officers, the issues to be litigated at trial were relatively narrow and
the proceedings were straightforward.
[32]
I also agree with the trial judge聮s observations
that the Crown exclusively had the control, power and obligation to
periodically revisit and reassess the withholding of disclosure involving
confidential informants and to be sensitive to timeliness in relation to the
defence and their rights to full answer and defence. I agree with the trial
judge that this did not happen and that the late disclosure was as a result of
a somewhat late response to the s. 8 application.
[33]
With respect to local conditions,
Jordan
instructs trial judges to employ knowledge of their own jurisdiction, including
how long a case of that nature typically takes to get to trial in light of
relevant local considerations and systemic circumstances.
[34]
The question then becomes whether the delay of
27.5 months for a ten-day drug trial involving two accused is markedly longer
than was reasonable for London, Ontario. While the trial judge and the local
administrative judge made some comments about the shortage of judicial
resources, including judicial vacancies, nothing on this record would establish
how long a case of that nature typically takes to get to trial in light of the
relevant local and systemic circumstances:
Jordan
, at para. 89. I
also note that the trial judge specifically found that the case progressed
normally while it was in the Ontario Court of Justice; the 11 months and 15
days before that court was not impacted by the judicial vacancies in the
Superior Court of Justice.
[35]
The respondents highlight the trial judge聮s
comments that significant ongoing limited judicial resources impacted this case
and played a role in the difficulties encountered. I acknowledge that the trial
judge expressed his concern that the Superior Court in London was under-resourced
and did not have the luxury to address late-breaking unforeseeable
circumstances. However, the trial judge聮s comments do not assist in this regard
because, as noted above, he proceeded on the erroneous premise that the presumptive
ceiling had been breached. He did not turn his mind to whether this trial took
markedly longer than it should have even with the late-breaking developments of
the case.
[36]
According to the Supreme Court of Canada, in
determining whether a trial took markedly longer than it should have, it is
necessary to 聯step back from the minutiae and adopt a bird聮s eye view of the
case聰:
Jordan
, at para. 91.
[37]
According to the trial judge, the parties agreed
that up until December 7, 2018, the case was on track for the trial which was
initially scheduled to proceed on March 4, 2019 for 10 days. The trial judge
explained that it was only after this point that the 聯critical and problematic
circumstances in this case then arose聰. If the trial had proceeded as initially
scheduled, the remaining delay would have totalled approximately 24.5 months.
While the respondents had indicated availability for earlier trial dates, they
accepted the dates in March, and no complaint was made that 24.5 months meant
the case was taking markedly longer than it should have. Although the Crown聮s
late disclosure and respondents聮 s. 7
Charter
application
served on December 7, 2018 led to a further delay of 3 months, the net delay of
27.5 months remained well below the ceiling. Taking a bird聮s eye view of the
case, I have concluded that this is not one of the clear cases where a stay
should be granted for delay.
V.
DISPOSITION
[38]
For these reasons I would allow the appeal, set
aside the stay of proceedings and remit the matter to the Superior Court of Justice
for trial.
Released: 聯R.G.J.聰 January 11, 2021
聯S.
Coroza J.A.聰
聯I
agree. R.G. Juriansz J.A.聰
聯I
agree. M. Jamal J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Dare, 2021 ONCA 327
DATE: 20210517
DOCKET: C66356
Juriansz, Tulloch and Paciocco
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Temitope Dare
Appellant
Lance Beechener, for the appellant
Tracy Kozlowski, Katie Doherty and Lisa
Fineberg, for the respondent
Heard: January 12-13, 2021 by
videoconference
On appeal from
the convictions entered by Justice Laura A. Bird of the Superior Court of
Justice on February 9, 2018, sitting with a jury, and the ruling on entrapment dated
June 22, 2018.
Juriansz J.A.:
[1]
This appeal was argued together with two other
defence appeals,
R. v. Jaffer
and
R. v. Haniffa
, and a Crown
appeal,
R. v. Ramelson
. All the appeals arose out of arrests and
prosecutions pursuant to Project Raphael of the York Regional Police (聯YRP聰).
Project Raphael was an undercover YRP investigation that began in 2014 with the
objective of reducing the demand for sexual services from juveniles in the
region by targeting the 聯buyer side聰.
[2]
As part of the investigation, the police posted
fake advertisements in the 聯escorts聰 section of the online classified
advertising website Backpage. When persons responded to the ads, an undercover officer
posing as the escort would disclose in the ensuing text chat that 聯she聰 was underage.
Individuals who continued the chat and arranged sexual services and a price were
directed to a hotel room to complete the transaction and were arrested and
charged on their arrival.
[3]
The common issue in the four appeals is whether
the individuals who were arrested and prosecuted pursuant to Project Raphael
were entrapped by the police. The appellant also appeals his convictions on the
ground that the trial judge erred in her instructions to the jury.
[4]
For the reasons that follow, I would dismiss the
appeal from conviction and the appeal of the dismissal of the entrapment
application.
A.
The FACTS IN THIS CASE
[5]
In this case, the ad the police placed on the escorts
section of Backpage purported to have been placed by 聯Kathy聰. Kathy described
herself as a 聯Tight Brand New girl聰 who is 聯sexy and young聰 and has a 聯YOUNG
FRIEND聰. The ad included three photographs of a female police officer, whose
face was not shown, posing as Kathy. In one of the photographs, she was wearing
a t-shirt with the name of a local high school printed on it. The ad indicated
Kathy was 18 years old, the minimum age allowed by Backpage.
[6]
On March 25, 2016, the appellant testified he was
under the influence of alcohol after a party at his house and decided to look
for an escort on Backpage. At 3:14 a.m. he responded to the ad posted by Kathy
and began communicating with Detective Sergeant Hogan who was posing as Kathy. At
3:26 a.m. the undercover officer asked, 聯You cool with young?聰, to which the
appellant replied 聯Yes. Am also young聰. The undercover officer then wrote 聯Ok
cool. I聮m 15 but look bit older聰. Then, before the appellant replied, the
officer sent another text saying, 聯How old are you if you don聮t mind me
asking?聰 The appellant responded, 聯Ok am 22聰.
[7]
The appellant continued the text chat discussing
whether Kathy聮s friend would be included, the sexual services, the price and where
to meet. When the appellant had not arrived when he said he would, the
undercover officer texted at 5:05 a.m., 聯Thought u were playing games and
trying to take advantage of me because I聮m 15. Didn聮t mean to be rude.聰 The
appellant responded, 聯It fine no problem聰.
[8]
When the appellant arrived at the room, he was
arrested and charged with telecommunicating with a person he believed to be
under the age of 18 contrary to s. 172.1(2) (child luring under 18), telecommunicating
with a person he believed to be under the age of 16 contrary to s. 172.1(2)
(child luring under 16), and communicating to obtain for consideration the
sexual services of a person under 18 contrary to s. 286.1(2) (communicating to
obtain sexual services from a minor) of the
Criminal Code
, R.S.C., 1985,
c. C-46. While the information references s. 172.1(2) these charges relate to
the offences under ss. 172.1(1)(a) and 172.1(1)(b). Section 172.1(2) sets out
the punishment for these offences.
[9]
The appellant聮s defence at trial was that he
believed he was communicating with a person who was over the age of 18. He
testified that he did not notice the reference to Kathy being 15 in the 3:26 a.m.
text and that in his next text he was responding only to the question about his
age. He testified he was in a taxi on the way to the hotel when he received the
5:05 a.m. text and so read only the last part of it, again missing Kathy saying
she was 15.
[10]
The jury found the appellant guilty on all three
counts. The trial judge stayed the convictions under ss. 172.1(1)(b) (child
luring under 16) and 286.1(2) (communicating to obtain sexual services from a
minor) pursuant to
Kienapple v. R.
, [1975] 1 S.C.R. 729.
[11]
The appellant applied for a stay of proceedings
on the basis he had been entrapped. The trial judge dismissed the application and
sentenced the appellant to 90 days imprisonment to be served intermittently.
B.
ARGUMENTS ON
APPEAL
[12]
The appellant submits
the trial judge made two errors:
1.
by erring in
instructing the jury they could
convict the appellant if they determined he had read one of the text
messages saying 聯Kathy聰 was 15; and
2.
by concluding Project Raphael was a bona
fide inquiry and failing to find that the appellant was entrapped.
C.
ANALYSIS
(1)
Jury instruction
[13]
The appellant appeals his conviction submitting
the trial judge erred in instructing the jury they could convict if they
determined he had read one of the text messages saying Kathy was 15. He relies
on the Supreme Court聮s decision,
R. v. Morrison
, 2019 SCC 15, [2019] 2
S.C.R. 3, which was released after the appellant was convicted, to argue that the
trial judge聮s instructions were wrong in law.
[14]
In
Morrison
the Supreme Court declared s.
172.1(3) of the
Criminal Code
to be of no force or effect. Section 172.1(3)
created a presumption, absent evidence to the contrary, that an accused believed
any representation made that the person with whom they communicated was
underage. In
Morrison
, the Supreme Court ruled that presumption violated
an accused聮s right to be presumed innocent under s. 11(d) of the
Charter
of Rights and Freedoms
. Moldaver J. writing for the majority said that the
Crown could not meet its burden by proving an accused was negligent or reckless
about the person聮s age. He stated that the only pathway to conviction was to
聯prove beyond a reasonable doubt that the accused believed the other person was
underage聰: at para. 96. Later in his reasons, he did allow that 聯wilful
blindness can stand in for belief as well聰: at para. 99.
[15]
The appellant submits the trial judge erred by
linking the reasonable doubt standard to whether the appellant had read at
least one of the text messages that indicated Kathy was 15 years old. He says
this would have left the jurors with the impression that, if they found the
appellant read the text messages, the essential element of belief had been
proved. The reasoning would be legally incorrect because, as Pardu J.A. had
said in the Court of Appeal decision in
Morrison
, 2017 ONCA 582, 136
O.R. (3d) 545, at para. 60:
There is simply no
expectation that representations made during Internet conversations about
sexual matters will be accurate or that a participant will be honest about his
or her personal attributes, including age. Indeed, the expectation is quite the
opposite, as true personal identities are often concealed in the course of
online communication about sexual matters.
This passage was quoted with approval
by Moldaver J. in
Morrison
, at para. 58
.
[16]
Thus, the appellant submits, permitting the jury
to find that he simply read the texts falls short of proving he believed the
person with whom he was communicating was under the age of 16. A finding that
he simply read the text messages would establish only recklessness, which
Morrison
makes clear is insufficient to ground a conviction: at para. 83.
[17]
I would not give effect to this ground of appeal.
Upon considering the trial judge聮s instructions as a whole in the context of
the trial and the addresses of counsel I am satisfied the jury was not misled on
the essential element of belief.
[18]
In her instructions on count 1 the trial judge
correctly instructed the jury that the critical issue was whether the appellant
believed Kathy was 15 years old. Then, in her instructions on count 2, the
trial judge again told the jury that they must find that the appellant believed
the person he was communicating with was under the age of 16. However, she
added 聯this comes down to the same question of whether the Crown has proven
beyond a reasonable doubt that Mr. Dare read the two text messages that made
reference to [K]athy being 15 years old.聰 She added 聯if you have a reasonable
doubt about whether Mr. Dare believed that Detective Sergeant Hogan was under
the age of 16 years, you must find him not guilty of this offence.聰
[19]
The trial judge told the jury that the
instructions she had given earlier 聯on the issue of Mr. Dare聮s belief about the
age of the person he was communicating with聰 applied to count 3.
[20]
After the trial judge completed her jury charge,
the Crown objected that the trial judge had told the jury that the Crown had to
prove beyond a reasonable doubt 聯that he read the two text messages聰, but it
would be sufficient if he had read one or the other of them.
[21]
The trial judge called the jury back and
provided the following clarifying instruction:
There is one clarification I wish to make,
Members of the Jury. 聟 [I]t applies to all three counts of the indictment, and
it聮s in relation to the Crown being required to prove beyond a reasonable doubt
that Mr. Dare read the text messages, specifically in relation to [K]athy being
15, I had said, 聯read both of them.聰 It should have read, 聯read one or both of
them.聰
So the Crown must prove beyond a reasonable
doubt, in relation to all three counts, that Mr. Dare read one or both of the
text messages where Detective Sergeant Hogan made reference to the age of 15.
[22]
The appellant聮s defence at trial was that he had
not paid close attention to the messages in the text chat and simply had not
seen either of the two references to Kathy聮s age. In his testimony in-chief, he
was emphatic that if he had read those references he would not have continued
the chat. Under cross-examination, he steadfastly denied that he had read the
15-year-old references.
[23]
In her charge, the trial judge set out the
defence position that the appellant had missed the references to Kathy being
15, and if he had, he would have stopped texting with her because he had no
interest in having sex with a child. After summarizing the references in the
text chats and the appellant聮s specific denials of reading each, the trial
judge instructed the jury that 聯if you have a reasonable doubt about whether
Mr. Dare believed that Detective Sergeant Hogan was under the age of 18 years,
you must find him not guilty of this offence.聰
[24]
Except for the impugned passages, the trial
judge, throughout her charge, instructed the jury that they had to find the
appellant believed the person with whom he was communicating was underage. Moreover,
the Crown聮s closing address told the jurors clearly they had to be satisfied
beyond a reasonable doubt that the appellant had both read at least one of the
15-year-old references
and
believed Kathy to be 15 before the appellant
could be found guilty.
[25]
At trial the defence drew no distinction between
the appellant reading the 15-year-old references in the text chat and his
believing that Kathy was underage. The defence conducted the trial on the basis
that if the appellant had read the 15-year-old text messages he would have
known that Kathy was 15 and discontinued the text chat. For that reason, it is
understandable that defence counsel did not object to the passages that are now
criticized on appeal.
[26]
Considering the trial judge聮s instructions as a
whole, and in the context of the defence position at trial, I am satisfied the
jury understood that the critical question was whether the appellant believed
the person with whom he was texting was underage.
[27]
I would reject this ground of appeal.
(2)
Entrapment
[28]
Appellant聮s counsel
adopted the submissions made on the issue of entrapment in
Haniffa
.
Those submissions were considered in
Ramelson.
Comprehensive reasons in
Ramelson
included the analysis and rejection of the
second ground of appeal advanced in this case. For the reasons set out in
Ramelson
,
I would reject this appellant聮s argument that he was entrapped.
D.
Conclusion
[29]
For these reasons, I would dismiss the appeal.
Released: May 17, 2021 聯RGJ聰
聯R.G. Juriansz J.A.聰
聯I agree. M. Tulloch J.A.聰
聯I agree. David M. Paciocco J.A.聰
|
C
OURT
OF APPE
AL FOR ONTARIO
CITATION: R. v. Daou, 2021 ONCA 380
DATE: 20210603
DOCKET:
C
61987
Feldman, Lauwers and Trotter JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Adrian Daou
Appellant
Howard L. Krongold, for the appellant
Deborah Krick, for the respondent
Heard: February 17, 2021 by video
conference
On appeal from the conviction entered by
Justice Robert L. Maranger of the Superior Court of Justice, sitting with a
jury, on December 16, 2015.
Trotter
J.A.:
A.
Introduction
[1]
The appellant was convicted of first degree
murder for killing Jennifer Stewart. He was sentenced to life imprisonment with
no parole for 25 years.
[2]
The case against the appellant hinged on
statements he gave to the police while he was incarcerated on unrelated
charges. The appellant said he killed Ms. Stewart so he would become 聯a
billionaire rap superstar聰. He gave his confessions as a means of getting out
of custodial segregation and while apparently suffering from schizophrenia.
[3]
At trial the appellant claimed that his
confessions were false. He also professed to be not criminally responsible on
account of mental disorder (聯NCRMD聰), in the event the jury accepted he killed
Ms. Stewart.
[4]
The lead investigator in the case, Detective
John Monette, testified that he believed one of the confessions to be true, and
provided detailed reasons for reaching this conclusion. In his final
instructions to the jury, the trial judge told the jury that, before they could
find the appellant guilty, they had to be satisfied beyond a reasonable doubt
that the confession was true.
[5]
The officer聮s opinion that the confession was
true was inadmissible. It amounted to an opinion that the appellant was guilty.
The jury should have been cautioned to completely disregard this dangerous
testimony. But there was no caution. Instead, the significance of the
confession was underscored in the trial judge聮s final instructions, and the
officer聮s opinion repeated.
[6]
On appeal, the Crown acknowledges that the trial
judge erred by failing to provide a limiting instruction, but asks this court to
apply the curative proviso in s. 686(1)(b)(iii) of the
Criminal
Code
.
[7]
I would decline to apply the proviso. Without a
proper limiting instruction, the detailed opinion of this senior police officer
seriously risked dominating the jury聮s consideration of the veracity of the confession
and, ultimately, the appellant聮s guilt. It cannot be safely concluded that this
evidence, and the lack of a warning, had no impact on the verdict. Accordingly,
I would allow the appeal and order a new trial.
B.
Factual Overview
[8]
Jennifer Stewart was brutally murdered in Ottawa
between the evening of August 19, 2010, and the early morning hours of August
20, 2010. She was attacked with a weapon, possibly an axe. She was left to die,
lying face down in a parking lot behind an apartment building. Ms. Stewart
sustained five 聯chop聰 injuries to her head, three of which penetrated her
skull. She had similar injuries to her right shoulder, right shin, legs, and
perineal area. She suffered defensive wounds to both hands. Her left hand was
almost severed from her arm.
[9]
There were no eyewitnesses to the murder, nor
any forensic trace evidence that linked the appellant to the murder. There were
no obvious suspects. Det. Monette testified that, between 2008 and 2011, a
number of young women involved in the sex trade were killed in Ottawa. Ms. Stewart
was among them. As discussed below, the appellant also purported to confess to
killing another one of these women, but the police quickly dismissed this confession
as false.
[10]
The Ottawa Police Service shared some
information about their investigation through media releases. Some details were
withheld as 聯hold back information聰, being information the police do not
release to the public to help the police gauge the value of information they
receive through public tips. If the police receive a tip with information that contains
any 聯hold back information聰, the police may look at that tip with particular
interest. In this case, the hold back information included: (1) the type of
weapon used to kill Ms. Stewart; (2) the nature and location of Ms. Stewart聮s injuries;
(3) the exact location of the attack; and (4) details about Ms. Stewart聮s
clothing. The trial Crown alleged that, because the appellant disclosed some of
these details in his confessions, he was the killer.
[11]
The defence relied on inaccuracies in the
appellant聮s accounts, including his initial claim that he killed Ms. Stewart
with a knife, not an axe. The defence also pointed to a number of timely
newspaper articles that contained details about Ms. Stewart聮s murder, including:
a rough description of where it occurred (i.e., in the gravel parking lot of a
low-rise building a few houses away from where the appellant lived); that emergency
crews had turned over Ms. Stewart聮s body, which was found lying face down; and that
Ms. Stewart had stab wounds to her head (including the back of her head), legs
or thighs, and deep wounds to both wrists. As discussed below, in the year
prior to his confession, the appellant showed interest in media accounts of Ms.
Stewart聮s murder.
[12]
Over a year after the murder, in October of
2011, with no real leads, the police offered a $50,000 reward for information
leading to the arrest and conviction of Ms. Stewart聮s killer. Nobody stepped
forward to claim the reward. The investigation went stale until February 25,
2013, when the appellant confessed to the murder. The appellant mentioned the
reward in one of his police interviews and asked whether he could get someone
to 聯rat him out聰 and collect the reward money.
[13]
In addition to the evidence concerning the
circumstances of Ms. Stewart聮s death and the appellant聮s confessions, the jury
heard a great deal of psychiatric evidence relating to the NCRMD issue. Given
the focus of this appeal 聳 on whether the trial Crown proved that the appellant
killed Ms. Stewart 聳 it is not necessary to address this evidence in detail.
C.
The Appellant聮s Statements
(1)
Introduction
[14]
The cornerstone of the trial Crown聮s case was
comprised of the appellant聮s numerous statements. On February 25, 2013, the
appellant made an audio-recorded statement at the Ottawa Regional Detention
Centre (聯ORDC聰). This led to a lengthier statement at the police station the
following day, on February 26. This statement was video recorded and was the
main focus of the trial, and this appeal.
(2)
The Appellant聮s Mental Condition
[15]
At the time he spoke to the police in February
2013, the appellant was displaying symptoms of schizophrenia. He was segregated
and on suicide watch. In the weeks leading up to his statements, the appellant
saw clinical psychologist, Dr. Ian Shields, at the jail. Dr. Shields met
briefly with the appellant on February 15, 2013 because jail staff were
concerned about his mental health. The appellant exhibited inappropriate affect
and reported biting himself.
[16]
At a longer meeting on February 20, 2013, Dr.
Shields thought that the appellant might be experiencing auditory
hallucinations. The appellant made illogical and strange comments and claimed
that his finger was possessed by a demon. He suggested that cutting off his
finger might solve all of his problems. The appellant聮s strange behaviour
prompted Dr. Shields to ask whether he had ever considered eating his cellmate.
The appellant just laughed at the question in a way Dr. Shields thought was
peculiar. When he was asked if he had ever tasted human flesh, the appellant
pointed to a wound on his right arm, which looked like a bite mark. Dr. Shields
saw the appellant on February 28, 2013, after his police confessions, and he
presented in the same manner. In March, the appellant appeared to be much
聯calmer聰.
[17]
Dr. Shirley Brathwaite, a forensic psychiatrist,
met with the appellant on February 22, 2013. The appellant reported to biting
his own arm and spoke of cutting off the tip of his finger in the hope he would
be released from custody, even if only to receive medical attention. Dr.
Brathwaite thought the appellant was organized in his thoughts, but exhibited
odd behaviour, inappropriate to the situation. He seemed preoccupied with
hurting himself. Dr. Brathwaite testified that the appellant did not
acknowledge experiencing hallucinations, but many people do not admit to experiencing
hallucinations. When she met with the appellant again in March 2013, he exhibited
poor judgment and inappropriate affect.
(3)
The Jail Statement 聳 February 25, 2013
[18]
On February 25, 2013, at about 9:00 a.m., the
appellant told a correctional officer that he would like to confess to a
murder. The police were contacted. Det. Monette and his partner, Det. Kevin Wilcox,
went to the jail that same day to meet with the appellant.
[19]
The detectives met with the appellant in the
visitors聮 area of the jail and took an audio-recorded statement that lasted
roughly 30 minutes. The appellant spent the first few minutes of the interview
seeking assurance he could be let out of segregation and transferred to a
federal penitentiary that evening if he confessed. He then jumped into his
confession, saying: 聯You remember 20th on Alice Street. 聟 2010. Jennifer. 聟
Yeah, I did it. 聟 I did the crime.聰
[20]
The appellant claimed he met Ms. Stewart on
Montford Street just before midnight on the night of the murder. She was
wearing a black raincoat and pants. He knew Ms. Stewart from the neighbourhood
and had sold her drugs on occasion.
[21]
He explained that he lured Ms. Stewart to a
parking lot at Alice Street and St. Ambrose Avenue under the pretense of
selling her drugs. He said she was going to pay cash for the drugs and
confirmed there was no plan for Ms. Stewart to give the appellant any 聯sexual
favours聰.
[22]
When he and Ms. Stewart arrived at the parking
lot, he told her to wait there for him while he went to get the drugs. The
appellant was living one street over at the time. He then circled back and
snuck up on Ms. Stewart, first attacking the 聯top part聰, indicating her upper
torso, and then her head.
[1]
He estimated he hit her on the head between four to seven times. He said Ms.
Stewart fell down 聯pretty quick聰 and that she did not try to defend herself at
all. When Det. Monette asked if he hit her anywhere else 聳 聯Arms? Legs? Back?
Whatever?聰 聳 the appellant said, 聯Maybe like this part, the top part聰. He said
he left Ms. Stewart lying face down on the ground, with her head pointing
toward Alice Street.
[23]
Initially, he said he 聯cut聰 Ms. Stewart with a
military knife. When Det. Monette asked if the appellant was sure he used a
knife, the appellant responded with: 聯That聮s what the news says聰. However, the
appellant then said he used an axe he bought from Canadian Tire. The axe had a silver
metal blade and a wooden handle that was roughly two-and-a-half feet long. The
appellant said he bought the axe from the Canadian Tire on Coventry Road a
couple of weeks before he attacked Ms. Stewart, after he found out the Crown
was going to seek a six-month sentence for unrelated charges against him. After
the murder, he kept the axe in his house until October 2012, when he threw it
in the garbage.
[24]
When asked about his motivation for killing Ms.
Stewart, the appellant said: 聯I don聮t know. I was at work and I was listening
to the radio and I had those like weird ideas coming in my mind, like that day
was like really different.聰 He explained he had been thinking of killing
someone ever since he found out the Crown would be seeking the six-month
sentence. Although he knew Ms. Stewart from the neighbourhood, he had not targeted
her or anyone else. He was just 聯looking around聰 that night and Ms. Stewart was
聯the one that like came up 聟 as the best like possible choice.聰 When he saw
her, he 聯knew [she] was the one somehow.聰
[25]
After speaking with the appellant, the detectives
decided to pursue a further interview in a more appropriate setting, away from
the noise and clamour of the jail, and where it could be video recorded. They
made arrangements to transport the appellant to the police station the
following day.
(4)
The Confessions 聳 February 26, 2013
[26]
On February 26, 2013, Det. Monette conducted a
formal interview at the police station. This interview lasted roughly
four-and-a-half hours, and anytime Det. Monette would leave the room, the
appellant would rap to himself. The lyrics often centred around violent themes.
[27]
At the outset of the interview, the appellant
reiterated that he purchased the axe after he heard the Crown was seeking a
six-month sentence. But this was not the first time he turned his mind to
murder: he already had the idea that he would become a 聯really good rapper聰 if
he killed someone. The potential six-month sentence was not his sole motivator,
but merely added to his desire to kill someone to become 聯the perfect rapper.聰
[28]
In addition to the axe, the appellant purchased
the following gear from Canadian Tire: a pair of clear, plastic goggles; a pack
of masks, which he first described as 聯painter聮s聰 masks but later as 聯surgical聰
masks; and a pair of beige and green canvas gardening gloves (though he forgot
to use these on the night of the murder). The appellant was consistent that he
bought these items in cash from the Canadian Tire on Coventry Road, but was unclear
on when exactly he did so. Although he said he was sure it was sometime in
August 2010, he guessed it was 聯a few days or weeks聰 or eight to nine days before
the murder. He did not share his plan with anyone and kept the axe and gear in
his bedroom until he used them to kill Ms. Stewart.
[29]
The appellant recounted his actions and thoughts
throughout the day of the murder. He did not begin his day planning to kill
anyone. However, while he was listening to the radio at work, 聯weird ideas聰
came into his head that that was the day to kill someone and do what he had to
do to be a 聯millionaire rapper聰. The turning point came while he was on his
lunch break: he saw a McDonald聮s delivery truck go by with the phrase 聯Good
Start, Bon Repas聰 along the side of the vehicle. He took those words as a sign
and knew at that moment that was the day to kill someone.
[30]
The appellant finished work around 4:00 p.m. and
took the bus home. He arrived home at roughly 5:00 p.m. and spent the next
four-and-a-half to five hours coming and going from his house, smoking
marijuana, biking around the neighbourhood, listening to music, and writing rap
lyrics about killing and 聯street gangster stuff聰. Early in the evening, he purchased
a 26-ounce bottle of Aliz茅 Liquor, which he drank throughout the night.
He
told Det. Monette the alcohol made him more willing to commit murder, and that
he decided earlier in the day to drink beforehand, explaining: 聯I seen this big
pitcher of beer 聟 like right in the morning and they never do that. And that
just like set 聟 set off the idea to drink to accomplish it, right.聰
[31]
It was not until approximately 9:30 or 10:00 p.m. that the
appellant left his house and started to 聯really look聰 around his neighbourhood
for a victim. He was not focused on any particular person or gender.
[32]
Shortly
after 10:00 p.m., the appellant saw Ms. Stewart walking on Marier Avenue toward
Montreal Road. She stood out to him because she was alone, and he thought she
was the right match. He said she was wearing a black coat and pants that could
have been black pants or jeans. She was not carrying a purse, backpack, or any
other kind of personal bag.
[33]
The appellant approached Ms. Stewart from
behind. In contrast to his previous statement, he told
Det. Monette that
he offered Ms. Stewart drugs in exchange for oral sex, not money. Ms. Stewart
agreed to the transaction, and they headed off toward the apartment building at
120 Alice Street. They did not speak much along the way 聳 she walked a few feet
ahead of him and he was listening to the radio on an MP3 player. The appellant once
again believed the radio was giving him signs. He said to Det. Monette: 聯[E]verything
that the radio was saying was like pointing me in the direction of killing that
day. And the more I listened, the more I like 聟 I understood it was like time
to do it.聰
[34]
As the appellant and Ms. Stewart walked along St. Charles Street,
he told her he was going to bring her to 120 Alice and to wait there for him.
He left her in the parking lot and went home to grab the axe and gear. He then
returned to 120 Alice and hid behind the building to put on his gear.
When he entered the parking lot, Ms. Stewart was gone.
[35]
Fully geared and holding the axe, the appellant
stood against the wall of 120 Alice and called out to her for roughly two
minutes. When Ms. Stewart did not respond, he took off his gear, put it in his hoodie
pocket, and hid the axe against a shed behind the building. He then headed
around to the front of 120 Alice to see if she was on the front steps. She was
not. As he started back toward the shed, he saw Ms. Stewart waiting for him in
front of a nearby apartment building on St. Charles Street.
[36]
The appellant called Ms. Stewart over to him,
saying she came over without any 聯doubts or suspicions聰. He walked her back to
the parking lot at 120 Alice, and again told her to wait while he retrieved the
drugs. She was standing just around the corner from the shed.
He 聯geared
up聰 once more, grabbed the axe, and headed back into the parking lot.
[37]
The appellant described running at Ms. Stewart
from behind, surprising her as he aimed the axe at her chest and head. He hit the
top part of her body and head approximately three to four times before Ms.
Stewart fell to the ground. Once on the ground, Ms. Stewart rolled onto her
stomach so she was face down, and the appellant delivered another five to six
blows to her head. He said she kept her arms lying by her side, and never
resisted or tried to defend herself.
[38]
After his final hit, the appellant fled the
scene to return home. When he left, Ms. Stewart was lying face down with her head
pointing toward Alice Street. The appellant took off his gear, wrapped it in
his hoodie, and hopped the series of fences between 120 Alice and his house. He
arrived home just before midnight and entered through the side door. He wrapped
the axe in his father聮s old red winter coat and put the gear and his clothes in
a garbage bag. He threw out the clothing and gear the next day, but kept the
axe, still wrapped in the coat, in a suitcase in his bedroom closet. Contrary
to the appellant聮s statement the day before, he now said it was his father who threw
the axe in the garbage in October 2012, after he found it while preparing to
move out of the house.
The appellant said he heard around 7:00 a.m. the
next morning that someone found Ms. Stewart聮s body.
[39]
At the end of his statement, Det. Monette gave the appellant a
photographic printout of axe, hatchet, and bowsaw inventory at Canadian Tire.
The appellant circled the axe that matched the one he said he used to kill Ms.
Stewart.
[40]
The appellant later joined Det. Wilcox and two
other detectives on a ride-along to the scene of Ms. Stewart聮s murder. He
directed the detectives through the route he took the evening of August 19, and
pointed out the key landmarks and locations he described during the confession.
[41]
At the end of this interview, the appellant also
confessed to two other crimes, an attempted homicide and a break and enter.
[42]
First, he told Det. Monette that on May 4, 2010,
he tried to kill another sex worker, named 聯Harmony聰, by hitting her over the
head with a rock and kicking her in the head and face. The appellant and
Harmony agreed to exchange drugs for oral sex and headed to a secluded parking
lot on Boulevard Sacr茅 Coeur, in Gatineau, Quebec. As Harmony was leaving the
parking lot after the exchange, the appellant picked up a large rock and hit
Harmony on the back of the head as hard as he could, intending to kill her.
When she did not die, he pushed her to the ground and started kicking her head
and face and then walked away. Shortly after the attack, he started rapping to
see if there was any new 聯technology聰 in his head.
[43]
Second, the appellant described a break and
enter he committed in 2012. He broke into a woman聮s house on Sweetland Avenue
in Ottawa聮s Sandy Hill neighbourhood. The appellant knew the woman, who he had
previously met through a mutual friend. The appellant entered the house through
an open window and stole two laptops and a martini bottle.
[44]
The trial Crown called both women as witnesses and
both confirmed the appellant聮s confessions to these unrelated crimes.
D.
The Appellant聮s Other Statements
[45]
The trial Crown also relied on other statements
the appellant made about Ms. Stewart聮s murder.
(1)
Statements to Cristal Gordon
[46]
Cristal Gordon was the appellant聮s former
girlfriend. They started dating around November 2011. The last time she saw the
appellant was roughly a year later, just before he went into custody in early
2013. Ms. Gordon was a drug user who was on methadone at the time of the trial.
She described a number of statements the appellant made.
[47]
First, the appellant told Ms. Gordon that he
killed a man who owed him money. She did not ask any follow up questions
because she thought he was lying. Within two months of this disclosure, they
were at an internet caf茅, where the appellant was looking at an article about Ms.
Stewart聮s death. The appellant told her that this was the person he had killed,
not a man. At the time, the appellant had a smile on his face and seemed quite
interested in the article.
[48]
The issue came up again. When the two were
sitting in a room together, the appellant was looking at articles about Ms. Stewart
online. Ms. Gordon asked the appellant whether he really killed her. With a
smile on his face, the appellant answered 聯yes聰. The appellant said that he
bought gloves and a mask and that he attacked Ms. Stewart with an axe. He did
this because he wanted to be a famous rapper. The appellant said that he saw a
sign on a McDonald聮s truck that made him decide that this was the day that it
had to be done.
[49]
Ms. Gordon also said the appellant told her he
had attacked another woman by smashing her head with a rock, though she did not
know the woman聮s name.
(2)
False Confession to Killing Another Woman
[50]
When the appellant was in the ORDC on March 6,
2013, he told institutional staff that he wanted to confess to killing another
woman, Leanne Lawson. The police attended to speak to the appellant. However, during
the interview, the police concluded that it was a false confession and left. Another
person had already been charged with this offence.
(3)
Statement While Being Transported to Court
[51]
The appellant made another statement on the eve
of his trial. He was taken to court on November 4, 2015 for an administrative appearance.
The appellant was agitated about being transported with other prisoners because
he was usually transported alone. He was concerned about being beaten up that
morning. He said to the special constables who were assigned to transport him: 聯I
killed a hooker聰.
(4)
Confirmatory Evidence
[52]
Other than the appellant聮s statements, there was
little else that confirmed his police confession to killing Ms. Stewart. He
told Ms. Gordon that he used an axe and wore gloves and a mask. The appellant
told the police that he purchased these items, and a pair of goggles, at a
specific Canadian Tire store. The police investigated this store and discovered
that a transaction had taken placed on June 25, 2010 in which an unidentified
person paid cash for this group of items, roughly two months before Ms. Stewart聮s
murder.
E.
The Opinion Evidence
[53]
As already noted, Det. Monette was the lead
investigator. At great length, the jury heard about his impressive credentials.
At the time of the trial in late 2015, he had been a police officer for 29
years and had spent the last 13 months on secondment with the RCMP, acting as
an investigator in the war crimes and extraterritorial response unit. For 16 years
before that, he was with the major crime unit, save for one year he spent seconded
to the RCMP international police operations branch, working as a peacekeeper in
South Sudan. He spoke extensively about his training and experience, often
referring to other cases that he investigated.
[54]
The jury also learned that Det. Monette had
investigated over 170 homicides. In his examination-in-chief, he was prone to lengthy
responses, as well as expressing panoramic views about the investigation of
homicides. The jury would no doubt have been impressed with his views on the
matter. Other aspects may have further drawn the jury towards investing in his
opinion. He described printing 200 copies of the reward poster himself and walking
up and down all sides of Montreal Road, 聯attending each residence and business
there聰, asking if anyone had any information and if they would put a poster in
their front window. At another point, in explaining why the investigation into
Ms. Stewart聮s murder was not a 聯cold case聰, he commented: 聯[Det. Wilcox] and I
never stopped working on Jen聮s case.聰 He routinely referred to Ms. Stewart as 聯Jennifer聰
or 聯Jen聰 throughout his testimony.
[55]
I hasten to add that Det. Monette was not solely
responsible for creating the special aura that infused his testimony. The evidence
of his extensive background, as well as his opinion about the reliability of
the appellant聮s February 26 confession, was adduced through careful questioning
by the trial Crown, with no objection from trial counsel.
[56]
It is necessary to set out the relevant parts of
Det. Monette聮s evidence in some detail in order to demonstrate the prominence
of his evidence, the manner in which he expressed his opinion, and his repeated
assertions of expertise as a homicide investigator.
[57]
The problematic part of the testimony related to
the appellant聮s first statement at the police station on February 26. Det.
Monette thought that the appellant said contradictory things about the moments
just before he attacked Ms. Stewart. Det. Monette admonished the appellant,
saying, 聯[T]hink good and hard about what it is that you聮re telling me聰,
shortly followed by, 聯Okay. 聭Cause right now I聮m not convinced that you聮re
telling me the truth.聰 The following exchange then occurred between the trial Crown
and Det. Monette:
Q.聽聽聽聽聽 Can
I ask you why you said that to Mr. Daou at that point in time in the interview?
A.
I聮ve
been a police officer for 29 years. I聮ve been in homicide for roughly 18. I
speak to a lot of people in interviews and interrogations on a fairly regular
basis. I聮ve had people confess to me for things that they haven聮t done. I
wanted to ensure that Mr. Daou was responsible for 聳 I wanted to make sure that
Mr. Daou was telling me the truth in regard to what he was confessing to. I
don聮t want to in any way, shape or form put an innocent man in a situation he doesn聮t
belong to be in. Simply, I was interested in discerning that he was telling me the
truth.
Q.聽聽聽聽聽 Okay.
I聮m going to ask you some more about 聳 some follow-up about this next question,
but simply put,
was there a point in the interview with Mr. Daou, at any
point, where you were convinced he was telling the truth?
A.
Certainly not at this point.
Q.
Okay.
A.
I
had questions at this point still, but later on, yes, I did.
Q.
Okay.
A.
There
were several points that 聳 there are a couple of points that led me to the
belief that he was responsible for Ms. Stewart聮s death
. [Emphasis added.]
[58]
I pause to note that in the opening frame of
this exchange, Det. Monette took the opportunity to assert his credentials once
again, and to portray himself as a cautious investigator who desperately wanted
to avoid implicating an innocent man. This was the foundation for his ultimate
assertion that the appellant聮s confessions were true, and he was in fact the
killer.
[59]
The trial Crown returned to the issue in the
following lengthy exchange in which Det. Monette explained his opinion in some detail:
Q.聽聽聽聽聽 Okay.
One of the things that I covered off earlier with you was this 聳 the comment
that you made to Mr. Daou at page 43 of the transcript with respect to him
telling the truth?
A.聽聽聽聽聽 Yes.
Q.
And
you had indicated that at a couple of points 聳 there were a couple of points
that led you to believe that he was responsible for Jennifer Stewart聮s death
A.
That聮s right.
Q.
in
the interview. Are you able to identify those points in the interview 聳 first
of all, let me ask you, are they in this particular interview that we聮ve just
seen?
A.
Yes.
Q.聽聽聽聽聽 Can
you identify the points in the interview where you came to that conclusion?
A.聽聽聽聽聽 Do
you recall earlier we heard from Sergeant Killeen
Q.聽聽聽聽聽 Yes.
A.聽聽聽聽聽 聟with
regard to the blood found on the parging of the wall
Q.聽聽聽聽聽 Yes.
A.聽聽聽聽聽 聟close
to the south-east corner of the building at 120 Alice Street?
Q.聽聽聽聽聽 Yes.
A.
When
Mr. Daou had drawn the first diagram, that being of the back of the residence
and the location where he attacked Ms. Stewart, he drew her in a location that
I believe to be very close to where the blood was found on the parging of the
wall. That was the first instance.
Q.聽聽聽聽聽 Okay.
So you聮re 聳 just for the completeness of the record, you're holding up the
first diagram that we went through聟. Was that the first one or the second one?
I think that was the first one.
A.聽聽聽聽聽 This is the first one.
Q.聽聽聽聽聽 Right.
The first diagram that we went through indicating the building at 120 Alice,
the shed in the back, his path of movement, the axe and Ms. Stewart聮s body
while standing and while on the ground?
A.聽聽聽聽聽 That聮s correct.
Q.聽聽聽聽聽 Okay.
A.聽聽聽聽聽 While
someone walking past the crime scene and seeing Ms. Stewart on the ground might
reasonably be able to say that they could tell where she was on the ground. I
believe that the small amount of blood on the parging of the wall is
significant because it shows the location where she was attacked, and I believe
that only the person who was there at the time of that attack would reasonably
know that information.
Q.
Were
there other points in this particular interview where you came to the
conclusion that he was responsible for the death of Jennifer Stewart?
A.
I
did. Again, on the next diagram, the diagram of the, of the person that I asked
him to draw, it was clear that Ms. Stewart had suffered trauma to the torso and
the area of the shoulders. That was significant to me. And then secondly and
more importantly, with respect to the injuries inflicted to the back of her
head and also the number of injuries inflicted to the back of her head, I
believe, would be significant to only someone who would have been there at the time
and party to it
.
Q.聽聽聽聽聽 While
Mr. Daou was making these diagrams and indicating the area of the injury and
the number of blows, did you have holdback information in your mind in terms of
the number of injuries, location of injuries?
A.聽聽聽聽聽 Very
much so. I聮d attended the autopsy, I was aware of the number of blows inflicted
by Dr. Milroy聮s account, as we聮ve heard. I was aware of the type of weapon that
was described to have been used as 聯a significant edged weapon聰. I聮d attend the
crime scene, I聮d seen the blood on the parging of the wall as described by
Sergeant Killeen.
And all of those factors led me to that belief at that
point in time.
[Emphasis added.]
[60]
In cross-examination, Det. Monette was asked
about his approach to questioning the appellant. Trial counsel suggested to him
that he was on the lookout for hold back information. I reiterate that it was
the defence theory that some of the so-called hold back information was in fact
available from other, public sources. Det. Monette disagreed with the suggestion.
He said: 聯I聮m not simply looking for words, it聮s not just checking off boxes,
it聮s, it聮s more intuitive than that.聰
[61]
The trial Crown pursued this theme in
re-examination:
Q.聽聽聽聽聽 That
one point in reference to the hold back information, [trial counsel] was
suggesting to you that, you know, you聮re looking for hold back information to
come from Mr. Daou, that聮s what you聮re observing?
A.聽聽聽聽聽 Yes.
Q.聽聽聽聽聽 And
you responded by using this phrase, 聯It聮s not just ticking off boxes, it聮s more
intuitive than that.聰
A.聽聽聽聽聽 Very much so.
Q.聽聽聽聽聽 Can
you explain what you meant when you gave that answer?
A.
Certainly.
I聮m 聳 I聮m not just waiting for a person to regurgitate words that I think are 聳
are, uh, important. It聮s 聳 it聮s important that it all be explained in a context
that聮s 聳 that聮s believable and that is consistent and that is something that 聳
that will hold water. And in this case, I believe that to be the case.
[Emphasis added.]
[62]
As the above excerpts reveal, Det. Monette was
given numerous opportunities to express his opinion on the truthfulness of the
confession and how he formed that belief, which was based on his training,
experience, and intuition.
F.
The Trial Judge聮s Instructions to the Jury
[63]
The trial judge referred to the appellant聮s
February 26 confession, along with Det. Monette聮s evidence, in several parts of
his final instructions to the jury. After discussing the events leading up to
the confession, the trial judge commented: 聯You have a transcript and the DVD
of the audio/video recording of the interview in its entirety. It is a piece of
evidence that should be very carefully considered during your deliberations.聰
[64]
When explaining the elements that the trial Crown
must prove on a charge of first degree murder, the trial judge posed the first
question: 聯Did Adrian Daou cause Jennifer Stewart聮s unlawful death?聰 He
instructed the jury as follows:
The accused person provided a confession to
the Ottawa Regional Police Services whereby he claimed to be responsible for
Jennifer Stewart聮s unlawful death.
There is no direct or forensic evidence
that links the accused to Jennifer Stewart聮s death. Your focus should be on the
reliability of the accused聮s confession.
To conclude that Adrian Daou is the person
responsible for Jennifer Stewart聮s death you must be satisfied beyond a
reasonable doubt that the Crown has established that the confession is reliable
and that those parts of the confession where Adrian Daou describes his unlawful
killing of Jennifer Stewart are in fact true.
[Emphasis added.]
[65]
The trial judge provided a thorough review of
the evidence. He reminded the jury that Det. Monette was the lead investigator
on the case and that he had 29 years of experience as a police officer. In the
context of describing the investigative steps Det. Monette took, the trial
judge focused again on the February 26 confession:
The Detective was asked what convinced him
that this was a real confession.
He pointed out the
following: the diagram drawn by the accused that showed where the body was
situated in relation to a small amount of blood on the parts of the building;
the diagram showing the area of the injuries and the number of blows to the
back of the head; and the identification of an axe as the weapon.
He
believed that this was information that could only have been known by someone
who was there
. [Emphasis added.]
[66]
No objection was taken to any of these
instructions.
G.
Analysis
(1)
Admissibility
[67]
In
White Burgess
Langille Inman v. Abbott and Haliburton Co.
, 2015
SCC 23, [2015] 2 S.C.R. 182, Cromwell J. said, at para. 14: 聯To the modern
general rule that all relevant evidence is admissible there are many
qualifications. One of them relates to opinion evidence, which is the subject
of a complicated exclusionary rule.聰 That case concerned the parameters of
expert opinion evidence, whereas this case is about the non-expert opinion
evidence given by a police officer.
[68]
Det. Monette was not qualified as an expert, nor
could he have been. He had no special power, training, or ability to determine
if someone is telling the truth. Moreover, had he been offered as an expert,
his impartiality and lack of independence would surely have been fatal to being
so qualified: see
White Burgess
, at paras. 46-53. Det. Monette聮s opinion about the truthfulness of the
appellant聮s confession was inadmissible. It was for the jury to answer this
question, without undue influence from a high-profile witness who had no
business opining on the issue.
[69]
Generally speaking, only properly qualified
experts may provide opinion evidence, and only about matters of fact, not about
legal issues. In
Graat v. The Queen
, [1982] 2 S.C.R. 819, the Supreme Court
of Canada considered whether lay persons, in that case a police officer, could
provide an opinion about whether a person聮s ability to drive was impaired by
the consumption of alcohol.
[70]
In a searching analysis, Dickson J. (as he then
was) concluded that, as a general rule, lay persons cannot give opinion
evidence, but noted that the law recognized a number of exceptions, such as the
identification of handwriting, a person聮s apparent age, the emotional state of
a person, and others: at p. 835. However, he drew a bright line between opining
on matters of fact on the one hand, and legal standards on the other. Dickson
J. said, at p. 839: 聯A non-expert witness cannot, of course, give opinion
evidence on a legal issue as, for example, whether or not a person was
negligent.聰 Similarly, an opinion that an accused person is guilty would be
subject to the same prohibition.
[71]
The Supreme Court addressed this issue in
R. v. Van
, 2009 SCC 22, [2009] 1 S.C.R.
716. In that case, the victim, Jack Kong, had been stabbed and robbed. He said
his former friend Duc Van did it. At trial, Mr. Van claimed that someone else
had attacked Mr. Kong. Mr. Van was convicted at trial. On appeal, this court
set aside the convictions because one of the Crown聮s key witnesses, a police
officer, offered his opinion on Mr. Van聮s guilt, and left the suggestion that his
opinion was based partly on information that was not before the jury. He was
also permitted to give evidence that fell into the category of investigative
hearsay. Winkler C.J.O., in dissent on this point, would have dismissed the
appeal by applying the curative proviso in s. 686(1)(b)(iii) of the
Criminal Code
:
R. v. Van
, 2008 ONCA 383, 92 O.R. (3d)
462, at para. 47, rev聮d 2009 SCC 22, [2009] 1 S.C.R. 716.
[72]
By a majority of 5:4, the Supreme Court overturned
this court聮s decision. All nine judges agreed that the disputed evidence was
admissible, but only for a limited purpose. They also agreed that the jury
should have been provided with a limiting instruction about the proper use of
the investigative hearsay and police opinion evidence. The jury received no
such instruction. The majority was prepared to apply the proviso; the minority
was not.
[73]
Although the main issue before the Supreme Court
concerned the impact of the failure to provide a limiting instruction, both the
majority and minority judgments are helpful on the question of the
admissibility of the disputed evidence.
[74]
For the majority, LeBel J. held, at para. 39,
the evidence of the officer聮s 聯statement of his opinion of the respondent聮s
guilt was
unwarranted and clearly foreclosed by the jurisprudence
, due
to the danger of the jury uncritically accepting the witness聮s opinion without
drawing their own conclusions about the evidence (e.g.
R. v. D.D.
, 2000 SCC 43, [2000] 2
S.C.R. 275, at para. 49)聰 (emphasis added).
[75]
LeBel J. qualified his comments about
admissibility. He agreed with this court that investigative hearsay and police opinion
evidence were admissible as they pertained to the defence assertion of an
inadequate police investigation: at para. 33, citing
R. v. Dhillon
(2002), 166 C.C.C. (3d)
262 (Ont. C.A.);
R. v. Mallory
, 2007 ONCA 46, 220 O.A.C. 239. See also Lisa Dufraimont,
聯Annotation to
R. v. Van
聰
(2009), 65 C.R. (6th) 195.
[76]
In his reasons for the dissenting judges,
Cromwell J., at para. 82, accepted the majority聮s characterization of the
opinion about Mr. Van聮s guilt as clearly unwarranted and held that 聯[t]he
opinions of the police on the question of an accused聮s guilt have no place in
the jury聮s deliberations聰: at para. 86. At para. 81, he cited the reasons of
Major J. in
D.D.
, where
he said, at para. 49:
A basic tenet of our law is that the usual
witness may not give opinion evidence, but testify only to facts within his
knowledge, observation and experience. This is a commendable principle since it
is the task of the fact finder, whether a jury or judge alone, to decide what
secondary inferences are to be drawn from the facts proved.
[77]
Cromwell J. elaborated on the dangers of the officer聮s
opinion evidence in the following paragraph, which contains obvious parallels
to the circumstances of this case, at para. 82:
It is worth remembering that there are at
least three dangers in receiving opinion evidence of the sort the officer gave
in this case. First, it usurped the function of the jury by drawing critical
inferences 聴 a conclusion about the respondent聮s guilt 聴 from the facts known
to the witness. Second, it obscured the factual basis for the conclusions
reached. In this case, it was at best unclear and at worst a likely inference
that the officer聮s opinion was based on evidence other than that which had been
admitted before the jury.
[
[2]
]
Finally, there was a danger that, given the long experience and excellent
career history of Det. Sgt. Nealon, the jury would attach undue weight to his
opinion: see, for example,
Graat v. The Queen
, [1982] 2 S.C.R. 819, at
pp. 839-40.
[78]
All of the judges in
Van
agreed that, in the absence of an allegation of an
inadequate investigation, the Crown is not permitted to adduce police opinion
evidence (or investigative hearsay evidence). If such evidence is adduced,
there must be a cautionary instruction that this type of evidence cannot be
used to infer guilt.
[79]
The admissibility of police opinion evidence has
arisen in this court from time to time, sometimes in conjunction with demeanour
evidence. For example, in
R. v. Short
, 2018 ONCA 1, 139 O.R. (3d) 1, the
appellant was convicted of killing his wife. The defence took the position that
the police had too quickly jumped to the conclusion that the appellant was
responsible, to the exclusion of other suspects.
[80]
In
cross-examination, one of the police officers testified that, in his opinion,
the appellant did not react to being questioned about the murder in the way
that an innocent person would have reacted. Although the appeal was allowed on
other grounds, the court addressed the obligations of the trial judge in these
circumstances. Applying
Van
, Doherty J.A. held that the trial judge had
to instruct
the
jury: (1)
that the
officer聮s 聯opinion about the appellant聮s veracity was irrelevant to their
deliberations聰; and (2) his 聯opinions about the appellant聮s demeanour and the
inferences that could be drawn from that demeanour could not be used by the
jury as evidence of the appellant聮s guilt聰: at para. 58.
[81]
Similarly, in
R. v.
Borel
, 2021 ONCA 16, 153 O.R. (3d) 672, the accused
was charged with attempted murder for setting the victim on fire. He gave a
lengthy interview to the police in which he denied responsibility. At trial,
the Crown adduced the evidence of the interviewing police officer. As in this
case, the officer was very accomplished, with 27 years of experience, having
worked in major crimes and homicide. As Nordheimer J.A. observed, at para. 30:
聯He made a point of telling the jury that he had interviewed approximately 500
accused persons during his 17 years as a criminal investigator.聰 Without
objection, the officer gave evidence about the accused聮s demeanour. He offered
his opinion that his denials were 聯relatively weak聰 and that, based on his
experience and training, 聯if someone聮s in custody for an offence, a serious
offence that they 聟 did not commit, they would 聟 likely be denying it strongly
and asking why they聮re in custody聰.
[82]
Nordheimer J.A. concluded that this opinion
evidence was highly prejudicial. He relied on
R. v.
Quazi
, 2014 ONCA 94, in which a police officer was
permitted to give his opinion that the appellant聮s demeanour during his police
interview was indicative of guilt: at para. 36. In allowing the appeal in
Quazi
, this court held, at para. 7:
聯Such an opinion was irrelevant and should not have been permitted. Its
intrusion into the trial record was highly prejudicial and contributed to the
overall unfairness of the appellant聮s trial.聰
[83]
In light of this line of authority, the opinion
evidence offered by Det. Monette was inadmissible.
[84]
Before considering the absence of a limiting
instruction and the application of the curative proviso, I pause to consider an
aspect of the Crown聮s submissions. During the hearing of this appeal, Crown counsel
asserted that, pursuant to
Van
, police opinion evidence is 聯inadmissible 聳 full stop聰. However,
when dealing with the proviso, both in her factum and during the hearing, she made
submissions that suggested that Det. Monette聮s evidence had been properly
received. These submissions relate to admissibility and I address them here.
[85]
First, the Crown submits that the appellant聮s
position at trial 聳 that his confession was false 聳 was a suggestion that
someone else was responsible for the murder and an implicit attack on the adequacy
of the police investigation, bringing this case within the exception in
Dhillon
and
Mallory
. Second, the Crown submits that the impugned parts of Det. Monette聮s
evidence merely amounted to an explanation as to why the police took the
appellant聮s confessions seriously. Both submissions were said to be rooted in
LeBel J.聮s comments in
Van
, at paras. 37 and 39, that the application of the proviso must take
account of the 聯context聰 in which the evidence was adduced.
[86]
I cannot accept either of the Crown聮s
submissions, both of which are assertions of admissibility. A denial of
liability and the contention that a purported confession is not truthful cannot
be equated with an attack on the integrity of the investigation, particularly
in circumstances like this, where the appellant was responsible for instigating
the investigation into his involvement in the killing of Ms. Stewart. The
appellant聮s contention that he did not kill Ms. Stewart (and, by obvious implication,
that someone else did) was incapable of amounting to an assertion that the
police investigation must have been inadequate because it failed to focus on
the actual suspect. If a simple denial of responsibility is all that is
required, the exception in
Mallory
and
Dhillon
would be virtually limitless, providing an unreasonably broad gateway for the
introduction of police narrative and opinion evidence, with all its attendant
risks.
[87]
The prospect of an allegation of an inadequate
police investigation arose in a different context at trial. The trial Crown
sought to have Det. Monette testify about receiving a tip from a confidential
informant that linked the appellant to the murder. The trial judge disallowed
this line of questioning, which would have elicited investigative hearsay. In
the colloquy with counsel that followed, the trial judge said: 聯The defence
better not open the door that there was a shoddy investigation if nothing was
done prior to confession. They do that, then they聮re opening a door.聰 There was
no subsequent attack on the adequacy of the police investigation, in that
context or any other.
[88]
Similarly, the Crown聮s submission that Det.
Monette聮s opinion was really just an explanation of why the police took the
appellant聮s confession seriously purports to rely upon a distinction without
difference. It is clear that Det. Monette took the appellant聮s confession
seriously
because
he
believed it was true, a point that was made very clear to the jury.
[89]
Det. Monette聮s comment was clearly opinion evidence,
and in the absence of an attack on the adequacy of the investigation, it was
inadmissible 聳 full stop.
(2)
The Lack of a Proper Caution
[90]
All members of the Supreme Court in
Van
agreed that, given that the narrative hearsay and opinion evidence
was admissible to defend against a claim of an inadequate investigation, the
jury had to be instructed on the limited use of this evidence 聳 i.e., that it could
not constitute evidence of guilt. In
Van
, the trial judge failed to give that caution, leading to the
dispute about the application of the proviso.
[91]
The failure to give a
limiting instruction was far more serious in this case. T
here was no path to admissibility for Det. Monette聮s opinion. It was
improperly before the jury for any purpose. Instead of the need for an
instruction about the
limited
use of the evidence, the jury should have been told that the
officer聮s opinion was
entirely
irrelevant to their deliberations and should be completely
disregarded. The fact that this highly prejudicial evidence had no legitimate
claim to admissibility significantly adds to the burden to be borne by the
proviso.
(3)
The Curative Proviso (s. 686(1)(b)(iii))
[92]
The Crown asks this court to apply the curative
proviso in s. 686(1)(b)(iii) of the
Code
to dismiss the appeal. It submits that the error was 聯harmless 聟 in
its effect and did not prejudice the appellant or affect the verdict聰.
[93]
In applying s. 686(1)(b)(iii), the task is to
determine whether there is a reasonable possibility that the verdict would have
been different had the error not been made. If an appellate court concludes
that there is a reasonable possibility that the outcome would have been
different, the proviso cannot be applied:
R. v.
Bevan
, [1993] 2 S.C.R. 599, at p. 617;
R. v. Khan
, 2001 SCC 86, [2001] 3 S.C.R.
823, at para. 28;
R. v. Sekhon
, 2014 SCC 15, [2014] 1 S.C.R. 272, at para. 53. In
Khan
, at paras. 29-31, the Supreme Court
confirmed that there are two scenarios where the curative proviso may be
applied: (1) where the error is so harmless or trivial that it would make no
difference to the outcome; or (2) even if the error is not minor, the evidence
is so overwhelming that the trier of fact would inevitably convict.
[94]
In
Van
, at para. 48, the majority concluded that failing to provide a
cautionary instruction 聯had a sufficiently minor effect that it could not
possibly have affected the verdict聰. The minority concluded, at paras. 57-59,
that the error was neither minor nor harmless. Understandably, the appellant favours
the minority reasons in
Van
, whereas the Crown endorses the majority聮s approach. But applying
the proviso in this case is not as straightforward as simply choosing between
the two. A qualitative analysis is required.
[95]
The error in this case must be viewed in the
context of the entire trial. Only then can its seriousness and impact be
properly assessed.
[96]
I start with the general observation that the
evidence against the appellant was not overwhelming. As noted above, it took a
long time to solve the case, partly because of the lack of eyewitnesses and the
absence of any evidence linking the appellant to Ms. Stewart聮s murder.
[97]
The trial Crown聮s case was built upon the
appellant聮s statements; the centrepiece of the prosecution was his
video-recorded February 26 confession. It was common ground at trial that,
unless the confession was accepted as truthful, the trial Crown would be unable
to prove that the appellant killed Ms. Stewart. The trial judge made this clear
to the jury. He told them that their 聯focus should be on the reliability of the
[appellant聮s] confession聰 and that they must be satisfied beyond a reasonable
doubt that 聯the Crown has established that the confession is reliable and that
those parts of the confession where Adrian Daou describes his unlawful killing
of Jennifer Stewart are in fact true.聰 There were other aspects of the trial Crown聮s
case, including the appellant聮s other statements, and the evidence concerning
the Canadian Tire purchases. However, the value of all of this evidence was
tethered to the reliability of the confession. Realistically, the confession
was the case.
[98]
The errors in this case went directly to the
core of the trial Crown聮s case and the critical issue the jury needed to decide:
Was the confession true? This was far from straightforward. When the appellant
made his confession, he was exhibiting the symptoms of schizophrenia. His
motivation for confessing appeared to be a practical one 聳 when he first called
for the police, the appellant was desperate to be removed from custodial
segregation. His stated motivation for killing Ms. Stewart was less clear, if
not bizarre 聳 he said that he wanted to be a 聯billionaire rap superstar聰. He
also spoke of cashing in the reward that was offered.
[99]
The challenge of determining whether the
confession was authentic was compounded by the appellant聮s attempt to confess
to killing another woman, which was almost immediately dismissed as demonstrably
false. The dark backdrop to all of this was that a number of young women were
murdered in the Ottawa area between 2008 and 2011. For the jury, determining
the reliability of the confession would have been no easy task.
[100]
However, the jury聮s challenge may have been eased by Det. Monette聮s
opinion that the confession was truthful. His evidence may have alleviated
hesitation or a lingering doubt in the minds of some jurors, or moved jurors
who were on the fence to a finding that the confession was reliable. Recall,
the trial judge told them that they must be satisfied of this fact beyond a
reasonable doubt. The opinion could have helped some jurors cross the line between
finding that the confession was probably reliable to being satisfied to the
requisite standard.
[101]
In
Van
, the
impugned evidence, especially the opinion evidence, was limited in its scope.
It was essentially a 聯one-off聰 comment by one of the officers. By contrast, in
this case, Det. Monette聮s evidence assumed a significant role. He was
questioned carefully about how he formed his opinion that the confession was
reliable. For the most part, defence counsel stayed away from this issue,
simply asking Det. Monette about indications of supposed hold back information
in the confession. This prompted the response that 聯it聮s not just checking off
boxes, 聟 it聮s more intuitive than that聰. The trial Crown addressed this issue
in re-examination by asking Det. Monette what he meant by this comment. For
convenience, I repeat his answer to this question:
Certainly, I聮m 聳 I聮m not just waiting for a
person to regurgitate words that I think are 聳 are, uh, important. It聮s 聳 it聮s
important that it all be explained in a context that聮s 聳 that聮s believable and
that is consistent and that is something that 聳 that will hold water. And in
this case, I believe that to be the case.
[102]
Det. Monette聮s resort to intuition made matters worse by conveying
to the jury that he saw or knew things that other people could not see or know.
His opinion was based on something the jurors could never share 聳 his lived
experience as a police officer. This was something Det. Monette referenced
numerous times during his testimony, and which the trial judge mentioned in his
final instructions.
[103]
As Cromwell J. observed in
Van
, at para. 82, there is a real danger that this type of evidence
will usurp the jury聮s function by leading them to draw critical inferences. The
risk was heightened because Det. Monette聮s conclusion was based, at least in
part, on intuition, or inherent knowledge, which would have been impervious to
direct challenge by counsel, and not easy for a juror to ignore.
[104]
Moreover, Det. Monette聮s prominence and prestige in the eyes of the
jury cannot be underestimated. He frequently reminded the jury of his
qualifications and experience as a police officer. In
Graat
, although Dickson J. held that
police opinion evidence concerning intoxication is admissible, he warned that,
聯there may be a tendency for judges and juries to let the opinion of police
witnesses overwhelm the opinion evidence of other witnesses聰: at p. 840. See
also
R. v. Lewis
, 2012
ONCA 388, 284 C.C.C. (3d) 423, at para. 22.
[105]
During the course of the trial, the jury heard evidence from an
expert witness, a psychiatrist named Dr. Bradley Booth. Before being qualified
as an expert, Dr. Booth was introduced to the jury by being taken through his education,
training and experience. Even though he was not offered as an expert witness, Det.
Monette was introduced in the same way. This no doubt enhanced his standing
before the jury.
[106]
To distinguish
Van
, the Crown relies on the fact that there were two categories of problematic
evidence in that case 聳 investigative hearsay and police opinion evidence. However,
in this case, there was just one 聳 police opinion evidence. But the difference
between the cases is immaterial. 聽As noted above, I consider the nature and
impact of the evidence in this case to be far more serious, especially given
the prominence of Det. Monette聮s opinion. Not only was there no instruction to
disregard his evidence, the trial judge reiterated Det. Monette聮s qualifications
and repeated his opinion that the appellant聮s confession was reliable.
[107]
The Crown further submits that aspects of the trial judge聮s final
instructions to the jury alleviated the impact of the wrongly admitted evidence
and the lack of a specific limiting instruction. She relies on the fact that
the trial judge told the jury that it was for them to decide the facts of the
case. She also relies upon the proper instructions given on the standard and
burden of proof, reasonable doubt, the presumption of innocence, and that the
murder indictment was not evidence itself of guilt. I do not find this
submission persuasive. All of these instructions are elemental components of a
jury charge in a criminal case. The omission of any one of these would have
come with its own set of serious problems but their inclusion could not undo
the damage of the impugned evidence and the lack of a strong cautionary
instruction.
[108]
Lastly, the Crown relies on the lack of any objection to the
admission of Det. Monette聮s opinion evidence, or to the lack of any
instruction. I am troubled by the failure to object, but such a failure is not
determinative to the application of the proviso; it is simply one fact to
consider:
R. v. L.K.
,
2020 ONCA 262, at para. 15;
R. v. Cook
, 2020 ONCA 731, 153 O.R. (3d) 65, at paras. 68-71; and
Borel
, at para. 29.
[109]
The trial judge did not receive the assistance he might have
expected from trial counsel concerning the admissibility and subsequent
management of this evidence at trial. Nonetheless, I agree with the appellant聮s
counsel that the lack of objection could not have been motivated by tactical
considerations:
R. v. McFarlane
, 2020 ONCA 548, 393 C.C.C. (3d) 253, at para. 91.
There was simply nothing to be gained by
exposing the jury to the wide-ranging and damaging opinion evidence of Det. Monette.
The result was an unfair trial. It cannot be said that the result would have
been the same had these errors not been made.
H.
Conclusion
[110]
I would allow the appeal, set aside the conviction, and order a new
trial.
Released: June 3, 2021 聯KF聰
聯Gary Trotter J.A.聰
聯I agree. K. Feldman J.A.聰
聯I agree. P. Lauwers J.A.聰
[1]
The audio recording indicates the appellant said he first
hit Ms. Stewart 聯up here 聟 like the top part聰. The appellant used the words 聯up
here聰 and 聯top part聰 several times throughout his statement. When asked about
other instances of the appellant saying 聯up here聰 or 聯top part聰, Det. Monette
testified the appellant was gesturing at his upper torso, along his chest
between his two shoulders, as he said those words.
[2]
This danger that Cromwell J. identified has no application
to this appeal.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Dawkins, 2021 ONCA 113
DATE: 20210223
DOCKET: C66752
Fairburn A.C.J.O., Jamal and
Coroza JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Lincoln Lee Dawkins
Appellant
Brad Greenshields, for the appellant
Tanit Gilliam, for the respondent
Heard: October 30, 2020 by
video conference
On appeal from the convictions entered by
Justice Cynthia Petersen of the Superior Court of Justice, sitting with a jury,
on November 23, 2018.
Fairburn A.C.J.O.:
A. 聽聽 overview
[1]
On June 16, 2013, shortly after the arrival of a
flight from St. Maarten to Toronto, two bricks of cocaine were found in a men聮s
washroom located just before the primary inspection area at Toronto Pearson International
Airport. The bricks appeared to have fallen from the ceiling above one of the
washroom stalls. Another 16 bricks were found in the ceiling above that stall
the following day. The cocaine weighed 17.3432 kilograms in total.
[2]
Both the appellant and Marvis Samuel had been
passengers on the flight to Toronto from St. Maarten. Shortly after the flight arrived,
video surveillance footage showed them entering and leaving the washroom where the
cocaine was later discovered. They were moving in close succession. Four of the
appellant聮s and one of Mr. Samuel聮s fingerprints were found on the packages of
cocaine discovered in the washroom.
[3]
Both men were indicted on importing and conspiracy
to import cocaine charges. Prior to their trial, Mr. Samuel pled guilty to the
conspiracy count and was deported from Canada.
[4]
The appellant was eventually tried before a
judge and jury. He was convicted on both counts and received a nine-year and six-month
sentence on the importing count and the same concurrent sentence on the conspiracy
count.
[5]
This is an appeal from convictions only. The
appellant聮s objections rest exclusively with the jury charge. I would group his
objections into two overarching categories, both of which arise in the context
of the trial judge聮s jury instructions on the conspiracy count:
(a)
that the jury was erroneously instructed on the use they could make
of Mr. Samuel聮s guilty plea; and
(b)
that the jury was erroneously instructed on the use that could be
made of the acts and declarations of alleged co-conspirators, including Mr.
Samuel聮s acts and declarations.
[6]
As I will explain, both of these errors were
made. As I will further explain, despite these errors, this was an overwhelming
Crown case on the importing count and, therefore, I would uphold the conviction
for importing a controlled substance by applying the curative proviso under s.
686(1)(b)(iii) of the
Criminal Code
, R.S.C. 1985, c. C-46.
B.聽聽 ISSUE ONE: USING
THE SAMUEL GUILTY PLEA AS PROOF OF THE CONSPIRACY
(i)
Overview
[7]
The essence of a criminal conspiracy is an
agreement to pursue an unlawful object. It is a preliminary crime where the
Crown has to prove that there was a meeting of the minds between at least two
people 聳 the co-conspirators聮 minds 聳 to pursue an unlawful object:
United
States of America v. Dynar
,
[1997] 2 S.C.R. 462, at para. 87;
Criminal
Code
, s. 465(1). As Dickson J. (as he then was) helpfully explained over 40
years ago now in
Papalia v. R.
,
[1979] 2 S.C.R. 256, at p. 276,
the crime of conspiracy is well named, deriving as it does from the Latin words
con
and
spirare
, meaning 聯to breathe together聰.
[8]
Therefore, proof of a conspiracy involves three
essential components: (a) there was an agreement between two or more persons;
(b) the purpose of that agreement was to pursue a common unlawful object; and
(c) the accused was a member of that conspiracy, meaning that he or she had
knowledge of the unlawful nature of the agreement and made a voluntary and
intentional decision to join in the agreement to achieve the common unlawful
object.
[9]
In this case, the jury was instructed to forgo consideration
of the first two essential elements of conspiracy: whether there was an
agreement between two or more persons; and, if so, whether the agreement was to
pursue a common unlawful object. Instead, the jury was instructed that, because
Mr. Samuel had pled guilty to conspiracy, they were required to accept as a
proven fact that those two elements had been proven beyond a reasonable doubt.
[10]
The source of this instruction appears to have
been an Agreed Statement of Facts, entered as the first exhibit at trial, which,
for reasons that are not entirely clear, included reference to Mr. Samuel聮s
plea of guilt to conspiracy:
On June 8, 2015, Marvis Samuel pled guilty to
conspiracy to importing cocaine, in the amount of 17.3432 kilograms, into
Canada between June 1
st
and June 16
th
, 2013, both dates
inclusive, contrary to s. 6(1) of the
Controlled Drugs and Substances Act
and s. 465(1)(c) of the
Criminal Code of
Canada
.
[11]
The fact of Mr. Samuel聮s guilty plea resulted in
the trial judge instructing the jury that they must 聯accept as fact聰 the
following things: (a) that there was a conspiracy between two or more people;
(b) that the conspiracy was to import 17.3432 kilograms of cocaine into Canada;
(c) that the conspiracy lasted between June 1 and 16, 2013; and (d) that Mr.
Samuel was a member of that conspiracy. The impugned instruction reads as
follows:
It is an agreed fact (Exhibit 1) that Mr.
Samuel pled guilty to conspiracy to import 17.3432 kilograms of cocaine into
Canada between June 1 and June 16, 2013.
The Crown
therefore is not required to prove the first two essential elements of the
conspiracy offence. You must accept as fact that there was a conspiracy between
two or more persons to import cocaine into Canada between June 1 and June 16,
2013. You must also accept as fact that Mr. Samuel was part of the conspiracy
.
[Emphasis added.]
[12]
For the reasons that follow, I conclude this was
an erroneous instruction.
(ii)
A Guilty Plea Does Not Form Proof of the
Offence
[13]
A co-actor聮s guilty plea is proof of nothing
other than that the pleader was arraigned, pled guilty to the offence, and that
there was some evidence to support that plea:
R. v.
Caesar
, 2016
ONCA 599, 339 C.C.C. (3d) 354, at paras. 55, 59. It is an actual admission of
guilt against the pleader only. To be clear, it establishes nothing in relation
to alleged co-actors.
[14]
The crime of conspiracy is not exempt from this
rule. It is well established that the guilty plea of one alleged co-conspirator
cannot be used to establish the guilt of another. In a comment particularly
apposite to this case, Watt J.A. said in
Tsekouras
: 聯The pleas of
guilty or convictions of other alleged co-conspirators are not admissible to
prove the existence or fact of the conspiracy in the trial of another or other
alleged co-conspirators聰:
R. v. Tsekouras
, 2017 ONCA 290, 353 C.C.C.
(3d) 349, at para. 177, leave to appeal refused, [2017] S.C.C.A. No. 225. See
also
R. v. Desgroseilliers
(1986), 13 O.A.C. 225 (C.A.), at
para. 29, leave to appeal to S.C.C. refused (1986), 74 N.R. 320 (note).
[15]
While there are rare circumstances where the
guilty plea of an alleged co-actor may be admissible in the trial of another, the
fact of the guilty plea remains of limited use, admissible only to prove the
fact of the arraignment and guilty plea:
Caesar
,
at paras. 59,
62. Importantly, even in these rare circumstances, the guilty plea is not
admissible to prove the facts underlying the plea. That is precisely how Mr.
Samuel聮s guilty plea was used in this case.
(iii)
The Erroneous Instruction and the Parties聮
Positions
[16]
On appeal, the respondent fairly acknowledges that
the co-accused聮s guilty plea to conspiracy should not have determined that
there was, in fact, a conspiracy. Despite this concession, the respondent
argues that no harm was occasioned by that improper use of the plea because the
balance of the Agreed Statement of Facts supported the fact of the existence of
the conspiracy and Mr. Samuel聮s involvement in the conspiracy. I do not agree.
[17]
Aside from the reference to the guilty plea, there
is nothing in the agreed- upon facts that speak to a conspiracy. To the
contrary, the agreed-upon facts support Mr. Samuel聮s involvement in the crime
of importation, specifically acknowledging that he imported the bricks of
cocaine and stored them in the washroom ceiling.
[18]
While this issue may well beg the question as to
why the Agreed Statement of Facts referred to the guilty plea, there is no good
answer to that question. Importantly, at this stage, it does not matter. The
fact is that the actual facts that were agreed upon, and placed before the
jury, supported Mr. Samuel聮s involvement in the crime of importing cocaine into
Canada and they supported the fact that he pled guilty to a conspiracy. They
did not support a conspiracy.
[19]
The respondent also points to two passages in
the transcript that are said to demonstrate that the defence accepted as a fact
that there was a conspiracy. Leaving aside whether an acknowledgment from
counsel, contained in submissions outside of the jury聮s presence, could cure
this defect, I do not accept that the passages of transcript are as clear as
suggested on this point.
[20]
On two separate occasions, the trial judge asked
counsel for input as to whether she (the trial judge) was right about the use
to be made of Mr. Samuel聮s guilty plea. I would emphasize at this juncture that
the trial judge was right to alert counsel to this issue and request assistance
on the point. Unfortunately, she did not receive the assistance she was owed:
R.
v. Daley
, 2007 SCC 53, [2007] 3 S.C.R. 523, at para. 58.
[21]
Although it was undoubtedly a legal
misunderstanding on the part of the trial Crown, she did not alert the trial
judge to the error in the proposed instruction. Instead, she encouraged the trial
judge to stay the course and, essentially, withdraw from the trier of fact
consideration of the first two essential elements of conspiracy. As the trial
Crown put it:
Mr. Samue[l] pled guilty to a conspiracy to
import cocaine for that exact quantity on that exact time frame 聟 the exact
same 聳 so to me, there聮s no question that there was a conspiracy in play and
Mr. Samuel was a part of it, and yes, the question to be decided is [whether
the appellant was a member of that conspiracy].
[22]
Unfortunately, defence counsel did not raise an
objection. When the issue was first raised by the trial judge, defence counsel
asked for 聯an opportunity聰 to consider the matter. Later that same day, when the
trial judge raised the matter again, defence counsel noted that she had
retrieved the Agreed Statement of Facts 聯just to refresh [her] memory on the
wording.聰 There was a short exchange, ending with the trial judge聮s suggestion
that they would discuss the matter again in the morning, but unfortunately that
did not happen.
[23]
Although the respondent does not suggest
otherwise, it is also important to note that defence counsel did not
acknowledge the existence of a conspiracy or the nature of that conspiracy in her
closing submissions to the jury.
[24]
In the end, the record does not support the
respondent聮s suggestion that these matters were clearly acknowledged by the
defence at trial.
(iv)
The Effect of the General Instructions About the
Use to be Made of Guilty Pleas
[25]
The respondent contends that, even if the appellant
did not acknowledge Mr. Samuel聮s guilt in relation to the conspiracy, no
prejudice resulted because the trial judge gave two general limiting
instructions about what use could be made of guilty pleas. The respondent
points to two passages in the charge that are said to have brought home to the
jury that Mr. Samuel聮s conviction could not be used by the jury in assessing
whether the appellant was also guilty.
[26]
The first instruction resides early in the
charge, at a point when the jury was being instructed on general legal principles.
At that stage, the jury was told:
Mr. Samuel聮s guilty plea has absolutely no
bearing on whether [the appellant] is guilty. You must not think that because
Mr. Samuel pleaded guilty, [the appellant] must be guilty too.
[27]
The second instruction came in the part of the
charge where the trial judge was guiding the jury on the elements of the crime
of importation of a controlled substance. At that stage, the jury was told
that:
It is important to remember 聟 that although
[the appellant] and Mr. Samuel were both charged in respect of the bricks of
cocaine that were found in the airport washroom, each is a separate individual
who cannot be found guilty of any offence unless the evidence relating to him
proves his guilt of that offence beyond a reasonable doubt. [The appellant] is
entitled to separate consideration of the evidence that applies to him. He is
entitled to have his case decided on the basis of his own conduct and his state
of mind.
[28]
Both of these instructions were important. Both
were correct in law. The jury needed to know that just because Mr. Samuel pled
guilty, and was found guilty, it did not mean that the appellant was also
guilty; they also needed to know that Mr. Samuel and the appellant were
separate individuals and that the appellant could only be found guilty based
upon the evidence 聯relating to him聰.
[29]
The difficulty is that no sooner had these instructions
been given than they were overtaken by the instruction to the jury that,
because of Mr. Samuel聮s guilty plea, they had to accept as proven that the
first two elements of conspiracy had been made out. In other words, while the
jury knew that the fact of Mr. Samuel聮s guilty plea did not mean that the
appellant was necessarily guilty of conspiracy, the fact of Mr. Samuel聮s guilty
plea was used as evidence against the appellant in proof of that charge.
(v)
Conclusion
[30]
While the respondent is right that, in the end,
the defence did not contest the jury charge as delivered on this point, this
was a serious error. While the failure to register a complaint will often
signal the inconsequential nature of an error, particularly when viewed in the
context of the broader trial, this is not one of those cases:
Daley
,
at para. 58;
R. v. Jacquard
, [1997] 1 S.C.R. 314, at para. 38.
[31]
This is particularly true when one considers how
the conspiracy count was framed on the indictment: 聯
[the
appellant]
, unlawfully did between the 1
st
day of J
[
une
]
, 2013 and the 16
th
day of J
[
une
]
, 2013, both dates inclusive, 聟 conspire and agree together, with
Marvis Anwah Samuel 聟 to commit an indictable offence of importing a controlled
substance into Canada, to wit: [cocaine]聰. Through the jury instructions given,
every box on the conspiracy count was ticked, except for the appellant聮s actual
membership in the conspiracy. As I will now explain, respectfully, the jury was
erroneously instructed on that issue as well.
C. ISSUE TWO: THE
INSTRUCTION ON MEMBERSHIP 聳 THE
CARTER
ERROR
(i)
Overview
[32]
The appellant argues that the trial judge erred
in her instructions to the jury on how to approach their deliberative process
involving the essential element of membership.
[33]
The jury was told that 聯the conspiracy alleged
by the Crown and to which Mr. Samuel pleaded guilty was from June 1 to June 16,
2013.聰 In determining whether the appellant was a member of
that
conspiracy, the trial judge instructed the jury as
follows:
You may consider not only the things that [the
appellant] said and did
but also what other known or
probable members of the conspiracy said or did
. [Emphasis added.]
[34]
The appellant argues that this instruction was missing
a fundamental element, arising from
R. v. Carter
, [1982] 1 S.C.R. 938.
That element involves an intermediate step, requiring that the trier of fact
first satisfy him or herself, based upon the accused聮s own acts and
declarations, that the accused is probably a member of the conspiracy. In my
view, the jury charge fell short on this front.
(ii)
The
Carter
Instruction
[35]
The
Carter
instruction applies
in any case involving an offence committed in furtherance of a common design
where the Crown seeks to rely upon the acts and declarations of anyone else who
formed part of that common design:
R. v. Satkunananthan
(2001),
152 C.C.C. (3d) 321 (Ont. C.A.), at para. 98. In this case, the impugned
instruction involving the common design involves the crime of conspiracy, and
so I will use language to match that offence.
[36]
Acts and declarations are typically only
admissible against the doer and maker:
R. v. Puddicombe
,
2013
ONCA 506, 299 C.C.C. (3d) 543, at para. 85, leave to appeal refused,
[2013] S.C.C.A. No. 496
. Yet, in the context
of a conspiracy, the acts and declarations by one member of the agreement may
become admissible against other members of the same agreement, if those acts
and declarations are done or made in pursuit of the same unlawful purpose while
the conspiracy is still operative.
[37]
The
Carter
rule focusses upon
the means by which the acts and declarations of one person can become
admissible against another. This is true, whether those alleged co-conspirators
stand as co-accused at trial or not. Indeed, it is true whether the alleged
co-conspirators聮 identities are known or not. Regardless, the acts and
declarations of alleged co-conspirators are conditionally admissible at trial,
leaving it up to the trier of fact to determine whether the evidence can be marshalled
in aid of proving the accused聮s membership in the conspiracy. Where the trier
of fact is a jury, the proper approach to that determination requires precise,
careful, and admittedly complex instructions.
[38]
In enters the
Carter
instruction.
It is what Doherty J.A. referred to in
Puddicombe
,
at paras. 85-86,
as a 聯uniquely Canadian聰 approach to the rule that 聯[g]enerally, a declaration
is admissible only against its maker and an act is admissible only against the
doer of that act.聰
[39]
The
Carter
instruction involves
three cascading steps, each one of which can bring the deliberative process in
the context of a conspiracy case to an abrupt conclusion.
[40]
The first question is whether the trier of fact is
satisfied beyond a reasonable doubt that the alleged conspiracy existed. At
this stage, the trier of fact may consider all of the evidence, including what
alleged conspirators have done and said in furtherance of the common unlawful object:
R. v. Yumnu
,
2010 ONCA 637, 260 C.C.C. (3d) 421 (聯
Yumnu
(ONCA)
聰), at para. 338, aff聮d 2012 SCC 73,
[2012]
3 S.C.R. 777
.
[41]
If the answer to the first question is yes, then
the trier of fact goes on to consider, based upon all of the evidence directly
admissible against the accused, whether the accused is probably a member of that
conspiracy. This determination is made on a civil standard of a balance of
probabilities. It requires the trier of fact to consider the accused聮s own
words and conduct 聳 the evidence directly admissible against him or her 聳 as
viewed against its proper context: see
R. v. Filiault
(1981),
63 C.C.C. (2d) 321 (Ont. C.A.), at pp. 326-27, aff聮d
[1984]
1 S.C.R. 387
.
[42]
If the answer to the second question is yes,
then the trier of fact goes on to consider whether the accused聮s membership in
the conspiracy has been proven beyond a reasonable doubt. This third step
involves the conversion of probable membership into full membership or 聯actual
participation聰 in the conspiracy:
Yumnu (ONCA)
,
at para. 340. Assuming
that this stage is reached, the trier of fact will consider all of the
evidence, including the acts and declarations of other alleged co-conspirators
done and made in furtherance of the conspiracy while the conspiracy was ongoing
in nature. See
Carter
,
at pp. 946-47;
R. v. Barrow
,
[1987] 2 S.C.R. 694, at p. 740;
R. v. Mapara
,
2005 SCC 23, [2005]
1 S.C.R. 358, at para.
8;
R. v. Chang
(2003),
173 C.C.C. (3d) 397 (Ont. C.A.), at para. 53.
(iii)
The
Objection on Appeal
[43]
The appellant聮s complaint lies in the fact that
the trial judge by-passed the first two elements from
Carter
and
skipped directly to instructing the jury on the third prong. In other words,
instead of instructing the jury to first consider whether there was a
conspiracy and, if so, whether the appellant was probably a member, the trial
judge told the jury that there was, in fact, a conspiracy and that, in
determining if the appellant was a member, they could 聯consider not only the
things that [he] said and did
but also what other known or probable members of the conspiracy said or
did
.聰
[44]
I have previously explained why it was an error
to instruct the jury that they had to accept as a fact the existence of the
conspiracy (issue one in these reasons and step one of
Carter
).
Accordingly, I will now focus upon why it was an error to skip the second stage
of
Carter
.
In my view, the charge erroneously deemed the
appellant to be a probable member of Mr. Samuel聮s conspiracy and, thereby, worked
a serious unfairness to him.
(iv)
The Draft Charge was Correct on Stage Two and
then it was Changed
[45]
I start with the observation that the draft jury
charge, shared with counsel during the pre-charge stage of the trial, contained
a correct
Carter
instruction on stage two. That draft tracked
the specimen jury charge provided in David Watt,
Watt聮s Manual of Criminal
Jury Instructions
, 2nd ed. (Toronto: Carswell, 2015), at pp. 1089-95 (Final
465).
[46]
The draft correctly explained to the jury that
they were first to consider probable membership based upon 聯what [the appellant]
said and did.聰 It then went on to explain that, if 聯satisfied from [the
appellant聮s] own words and conduct that he was probably a member of the
conspiracy聰, then they could move on to 聯consider what Mr. Samuel or any other
persons who were probably members of the conspiracy said and did while the
conspiracy was ongoing and in furtherance of their agreement.聰
[47]
Unfortunately, the trial Crown convinced the
trial judge that she need not instruct the jury on probable membership (step
two of
Carter
)
.
The trial Crown said that it was unnecessary to
do so because the
Carter
instruction was only required where
the acts and declarations of other alleged conspirators were admitted for a
hearsay purpose. While the trial Crown acknowledged that there was one text
message communication that was admitted for its truth,
[1]
for the most part, the acts
and declarations of the other alleged conspirators, including Mr. Samuel, were
not being relied upon for their truth and, therefore, there was no bar to using
them to prove the appellant聮s membership in the conspiracy.
[48]
The trial judge accepted this submission and ultimately
collapsed the instruction into the third stage of
Carter
.
Accordingly,
the jury was invited,
from the outset, to consider the acts and
declarations of 聯other known or probable members of the conspiracy聰 in
determining whether the appellant was also a member of that conspiracy.
(v)
A
Carter
Instruction Does Not Only Concern Itself with Hearsay
[49]
While the
Carter
rule is often referred
to as the co-conspirator聮s exception to the hearsay rule 聳 and it is that to be
sure 聳 it serves a broader purpose than just protecting the accused against
hearsay.
[50]
As explained earlier, at its core, the crime of
conspiracy is about at least two people agreeing to pursue an unlawful object.
By virtue of their joint enterprise, the enterprise being the agreement to
pursue the unlawful object, the principle of implied agency is triggered. By reason
of their partnership in crime, co-conspirators become one another聮s agents,
vicariously owning each other聮s acts and declarations made and spoken in
pursuit of the unlawful object during the currency of the conspiracy. As noted
in
Chang
, at para. 55, the historical rationale for this rule rests in
the accepted fact that 聯each party to the conspiracy implicitly authorize[s]
the others to act and speak on his or her behalf in furtherance of the
conspiracy; acts and declarations of one party could therefore be admitted as
evidence against the others聰.
[51]
The principle of agency was explained by Martin
J.A. in
R. v. Baron and Wertman
(1976)
, 73 D.L.R. (3d) 213 (Ont. C.A.), at pp. 231-32. His
description, at p. 231, has withstood the test of time:
The governing rule of evidence is not in
doubt, although its application in a particular case often raises questions of
great difficulty. The rule is based upon a principle of agency. If A and B have
agreed to achieve a common unlawful purpose, then by their agreement each has
made the other his agent to achieve that purpose, with the result that the acts
and declarations of A in furtherance of the common design are not only A聮s acts
and declarations but, in law, are also B聮s acts and declarations. The rule of
evidence is not limited to charges of conspiracy but applies to any offence
which is the result of preconcert. [Citations omitted.]
[52]
The principle of agency is a powerful tool in
the hands of the prosecution, one that cannot be resorted to lightly. Caution
must be taken, lest an accused be convicted only on the basis of the acts and
declarations of others. This is why there must be an initial showing of proof,
based on the accused聮s own connection to the alleged conspiracy, before the
acts and declarations of alleged co-conspirators 聳 as his agents 聳 can be
applied against him. Martin J.A. put it as follows in
Baron
,
at
pp. 231-32:
It is clear that where the fact in issue to be
proved is whether a conspiracy exists between A and B, A聮s acts, or
declarations implicating B cannot be used to prove that B was a party to the
conspiracy, in the absence of some other evidence admissible against B to bring
him within the conspiracy. [Citations omitted.]
[53]
It is the
Baron
judgment that laid the
framework for the
Carter
test.
[54]
Contrary to the trial Crown聮s suggestion, which
is further advanced by the respondent on appeal, the purpose of the
Carter
test
is not simply to ward off the use of hearsay evidence until
such time as the accused聮s probable membership in the conspiracy has been
established. While it undoubtedly achieves that goal, the purpose of the
Carter
test is properly characterized as a much broader one. It is rooted in the
concept of relevance.
[55]
It bears repeating what Doherty J.A. said in
Puddicombe
,
at para. 85: 聯Generally, a declaration is admissible only against its maker
and an act is admissible only against the doer of that act.聰 Stated the other
way, the declarations and acts of others are not generally admissible against an
accused. Therefore, this is more than a hearsay rule. It is a rule that ensures
that before we allow evidence that would not otherwise be admissible against an
accused to become a tool in the prosecutor聮s case against him, there must be proof
of the accused聮s probable membership in the conspiracy, based only on evidence
that is 聯directly admissible against the accused聰:
Carter
,
at
p. 947;
R. v. Lucas
,
2014 ONCA 561, 313 C.C.C. (3d) 159, at
para. 208, leave to appeal refused,
[2014] S.C.C.A. No.
460
;
Puddicombe
,
at para. 99;
Yumnu
(ONCA)
, at para. 340. At its core, this is a rule of fairness.
(vi)
The Effect of the Erroneous Instruction
[56]
In my view, the failure to instruct the jury on
probable membership created a serious issue of fairness in this trial, one that
only served to compound the initial erroneous instruction addressed under issue
one of these reasons. The combined effect of those instructions was to leave
the jury thinking that they had to accept that Mr. Samuel was a member of a conspiracy
to import 17.3432 kilograms of cocaine into Canada and that his acts and
declarations, as well as those of other 聯probable members of the conspiracy聰,
could be used in determining whether the appellant was also a member of that
conspiracy. This was reinforced by the trial judge in the following
instruction:
It is not necessary that [the appellant] be
the person who actually did the act in furtherance of the conspiracy, or even
that he understood it or knew about it. Similarly, it is not necessary that
[the appellant] be the person who actually spoke the words in furtherance of
the conspiracy, or even that he was there when they were spoken. A conspiracy
is like a partnership in crime.
Each member is an agent
or partner of every other member and is bound by and responsible for the words
and conduct of every other member spoken or done while the conspiracy was
ongoing and to further their unlawful scheme
. [Emphasis added.]
[57]
It was a short distance between those
instructions and a finding of guilt.
[58]
The respondent takes the position that this case
consisted primarily of evidence directly implicating the appellant. That is
true. However, the real question is whether there was evidence that was not
directly admissible against the appellant or, conversely, evidence that could
only be summoned in aid of proof of membership upon the application of the
Carter
rule. There was. I will use a few examples to make this point.
[59]
First, even the trial Crown acknowledged that
there was a critical text message string, located on the appellant聮s and Mr.
Samuel聮s phones, that the trial Crown wished to rely upon for a hearsay
purpose: the truth of its contents. While the trial Crown聮s position morphed
somewhat over the course of the trial, at the end of the day, even as doing
away with the
Carter
instruction was being advocated for, the
trial Crown acknowledged that the following key text message exchange, sent and
received while the appellant would have been waiting for the plane to depart
St. Maarten, was admitted for a hearsay purpose. The appellant聮s phone sent a
message to Mr. Samuel聮s phone, reading: 聯Ok how much you have聰. The reply from Mr.
Samuel聮s phone was: 聯9聰. The trial Crown closed to the jury suggesting that
what was being discussed in that text message was that Mr. Samuel was
acknowledging he was carrying nine bricks of cocaine.
[60]
Second, the trial Crown also emphasized Mr.
Samuel聮s acts. For instance, the trial Crown pointed out the fact that Mr.
Samuel was a resident of Antigua and that he had travelled to St. Maarten the day
before the flight to Toronto. The trial Crown emphasized for the jury Mr.
Samuel聮s travel itinerary, including his Antigua to St. Maarten to Toronto to
Montreal to Antigua turnaround. The trial Crown pointed to stamps on Mr.
Samuel聮s passport to demonstrate his date of arrival in St. Maarten. The trial Crown
also pointed to the fact that one of Mr. Samuel聮s fingerprints was on a brick
of cocaine recovered from the men聮s washroom.
[61]
The trial Crown relied upon all of these pieces
of evidence and more to suggest that the appellant was a member of Mr. Samuel聮s
conspiracy. Importantly, when relating the evidence to the legal issue of
membership, the trial judge reviewed these pieces of evidence and more. This
was not evidence directly admissible against the appellant. A
Carter
instruction was required.
(vii)
Significance of the Defence Position
[62]
The respondent emphasizes that even if the trial
judge was wrong to collapse the
Carter
instruction by inviting
the jury to commence their deliberations at the final stage, the defence
acceded to that position at trial. Therefore, it does not fall to the appellant
to complain about the instruction now.
[63]
The respondent is right that the appellant did
not oppose the proposed manner of proceeding at trial. While defence counsel initially
asked for some time to consider the matter, she later announced that she did
not take issue with the jury being instructed to move directly to the final
stage of
Carter
,
聯to make it easier for the jury.聰
[64]
While the parties聮 positions at trial will often
inform the seriousness of an error located on appeal, that will not always be
the case. It is not the case here. The greater the error and the closer it
resides to a central issue, the less likely a counsel聮s position will inform
the result. In the end, I have come to the conclusion that this jury was not
properly equipped to decide the case on conspiracy:
R. v. Calnen
,
2019
SCC 6,
[2019] 1 S.C.R. 301,
at
para. 9.
[65]
Before embarking on the final section of these
reasons, I make the following brief observation, all the while acknowledging
the force of prosecutorial discretion. It is not uncommon to see prosecutions,
such as this one, where the substantive crime is charged alongside a conspiracy
count. This double-pronged approach can invite complexity and potential
confusion into jury charges, both of which serve to threaten a clear-minded
deliberative process. Complexity and confusion are impediments to achieving
just results and stand in opposition to what we should be striving for in the
criminal justice system. Where appropriate, it would behoove the prosecutorial
authorities to seriously think about what is gained and what is lost by
proceeding with a conspiracy count alongside the substantive crime: see generally
R. v. Rowe
,
2011 ONCA 753, 281 C.C.C. (3d) 42, at paras. 54-58;
R. v. Rodgerson
,
2015 SCC 38,
[2015] 2
S.C.R. 760,
at paras. 45-46.
D. ISSUE THREE: The
Application of the
Curative Proviso
[66]
The respondent argues that, if this court finds a
reversible error in the jury charge on conspiracy, the
curative proviso
should be applied.
[67]
Section 686(1)(b)(iii) of the
Criminal Code
allows an appellate court to dismiss an appeal notwithstanding a legal error if
no substantial wrong or miscarriage of justice occurred. The curative proviso
only applies where there is no 聯reasonable possibility that the verdict would
have been different had the error at issue not been made聰:
R. v.
Bevan
,
[1993] 2 S.C.R. 599, at p. 617.
[68]
There are two types of errors that can attract
the application of the curative proviso. The first involves harmless or trivial
errors, ones that could not have had an impact on the verdict:
R. v.
Van
,
2009 SCC 22, [2009] 1 S.C.R. 716, at para. 35. That is not this case. Here, the
errors were neither harmless nor trivial in nature.
[69]
The second category for applying the curative proviso
results from situations involving serious errors, ones that would typically
call out for a new trial or an acquittal, but where the case against the
accused is so overwhelming in nature 聯that any other verdict would have been
impossible to obtain聰:
Van
, at para. 34. These cases must rise to the
level where 聯the evidence is so overwhelming that a trier of fact would
inevitably convict聰:
R. v. S. (P.L.)
,
[1991] 1 S.C.R. 909, at
p. 916;
R. v.
Trochym
, 2007 SCC 6, [2007] 1 S.C.R. 239, at
para. 82;
Van
,
at para. 36;
R. v. R.V.
,
2019 SCC
41, 378 C.C.C. (3d) 193, at para. 85. It is a high standard to be sure.
[70]
The difficulty with applying the curative proviso
in situations such as these often arises from the difficulty that appellate
courts face when evaluating the strength of the Crown聮s case in a necessarily
retroactive fashion, deprived of the ability to hear the witnesses testify and
聯experienc[e] the trial as it unfolded聰:
Van
, at para. 36.
[71]
As noted in
Van
, at para. 36, any
possible doubt must inure to the benefit of the appellant. In other words, if
there is any possibility that the jury could, having regard to the entirety of
the evidence, be left with a reasonable doubt on the appellant聮s testimony, the
curative proviso cannot be mobilized to uphold a conviction:
R. v.
Bailey
,
2016 ONCA 516, 339 C.C.C. (3d) 463, at para. 57.
[72]
The appellant asks that both of his convictions
be set aside, and a new trial be ordered on both counts. I do not agree that this
is an appropriate remedy.
[73]
First, I note that the entire appeal was argued
with a singular focus on the conspiracy count. While during oral submissions in
this court there was some discussion about the potential impact of the errors
on the importing count, particularly given that it rested in an allegation
involving a joint enterprise, I see no need to resolve that issue. The fact is
that the conviction for importing should be upheld through an application of s.
686(1)(b)(iii) of the
Criminal Code
.
[74]
Second, there was a sea of evidence pointing
toward the appellant聮s guilt on the importing offence, none of which rested on
credibility findings. The appellant was caught on videotape entering the
washroom where the cocaine was found. He was in there for a sufficient amount
of time to hide the cocaine. Then, he was seen departing from the washroom.
Four of his fingerprints were discovered on the packages of cocaine found on
the floor and in the ceiling. When he was searched just a short while after the
first two packages had been located, an empty knapsack was found in his carry-on
luggage. That alone constituted what can only be described as a formidable 聳
聯overwhelming聰 聳 Crown case on the importing count.
[75]
I would uphold the conviction for importing.
[76]
As it relates to the conspiracy count, things are
more complicated. The appellant testified and explained away all of the
communications on his cell phone. It was an elaborate explanation, involving,
among other things, the work he was doing in St. Maarten, the fact that he fell
for a woman while he was there, and his need for Viagra. It also involved an
explanation as to the fact that some of the more incriminating text messages on
his phone were actually sent to a friend of his, each one having an innocent
meaning.
[77]
As for how Mr. Samuel came into possession of
the appellant聮s friend聮s phone, this was as much a mystery to the appellant as
it was to anyone else. The appellant did not know whether his friend and Mr.
Samuel were acquainted or whether the friend may have given his phone or SIM
chip card to Mr. Samuel.
[78]
However far-fetched that evidence may have been,
it was up to the trier of fact to tackle questions of credibility. In the end,
while the Crown聮s case on the conspiracy count is a powerful one, questions of
credibility and the application of the
W.(D.)
standard were squarely
in play:
R. v. W.(D.)
,
[1991] 1 S.C.R. 742
. Having regard to all of the evidence, I cannot say that a jury
would inevitably convict.
E. DISPOSITION
[79]
I would dismiss the conviction appeal on the
importing count. I would allow the conviction appeal on the conspiracy count.
Therefore, the conviction on conspiracy is set aside, and a new trial is
ordered on that count only.
Released: 聯February 23, 2021聰 聯JMJ聰
聯Fairburn
A.C.J.O.聰
聯I
agree M. Jamal J.A.聰
聯I
agree Coroza J.A.聰
[1]
Earlier in the trial, the trial Crown had acknowledged that there
were a few text messages that were being admitted for their truth.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Dawkins, 2021 ONCA 235
DATE: 20210414
DOCKET: C67433
Hourigan, Zarnett and Coroza
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Tyrone Dawkins
Appellant
Mark C. Halfyard, for the appellant
Andrew Hotke, for the respondent
Heard: In writing
On appeal from the convictions entered
on October 26, 2018, by Justice Richard E. Jennis of the Ontario Court of
Justice.
REASONS FOR DECISION
Introduction
[1]
An officer of the Hamilton Police Service
stopped the vehicle Tyrone Dawkins was driving and arrested him for driving while
his licence was suspended. A search of the vehicle produced a loaded handgun
under the driver聮s seat. Mr. Dawkins was re-arrested for possession of an
unauthorized firearm.
[2]
Defence counsel argued that the traffic stop was
unconstitutional because it breached ss. 8 and 9 of the
Canadian Charter of
Rights and Freedoms
. Two weeks before the trial, Mr. Dawkins received updated
disclosure that the stop was motivated, in part, by information from a
confidential informant. The arresting officer, P.C. Cercone, had deliberately
omitted this information from his notes, original will-say, and synopsis.
[3]
The matter proceeded as a single day
Charter
application and turned largely on the credibility of P.C. Cercone. Defence
counsel at trial (not Mr. Halfyard) initially argued that the officer聮s
deliberate omission subverted the trial process, and that the trial judge
should exercise his residual discretion to grant a stay of proceedings. However,
after the parties had filed written submissions and the trial judge requested
further oral submissions, defence counsel clarified that he was solely seeking
a stay on the basis of a s. 9
Charter
breach and not in relation to the
late disclosure or another reason related to trial fairness.
[4]
The trial judge ruled that the officer was
credible and dismissed the defence application. He dedicated only one paragraph
of his reasons to his credibility assessment of the officer. The defence
subsequently conceded the Crown's case, and Mr. Dawkins was convicted of
multiple firearms offences. The parties agreed on a joint sentencing
submission, which the trial judge accepted. Mr. Dawkins was sentenced to 7.5
years in custody, less 1.5 years pre-sentence credit.
[5]
On appeal, Mr. Dawkins argues that the trial
judge provided insufficient reasons for finding that P.C. Cercone was credible.
These reasons explain why we are not persuaded by that argument and accordingly
dismiss the appeal.
Facts
[6]
On February 25, 2018, at approximately 11:49
p.m., P.C. Cercone was conducting what he described as 聯routine patrol聰 of a
location known to police as an illegal gambling establishment in Hamilton. He
ran CPIC checks on the licence plates of some of the cars in the parking lot,
including a grey Ford Escape.
[7]
At approximately 12:30 a.m. on February 26,
2018, P.C. Cercone observed a male and a female exiting the establishment. The
officer recognized the male as the appellant, Mr. Dawkins, from a police
database photo. P.C. Cercone observed Mr. Dawkins and the woman enter the grey
Ford Escape, which turned out to be registered to a different individual.
[8]
The delayed disclosure revealed that P.C.
Cercone had information from a confidential source that Mr. Dawkins 聯may be in
possession of contraband.聰 At trial, P.C. Cercone testified that he also had
information that Mr. Dawkins was driving a 聯silver SUV.聰 P.C. Cercone ran a
CPIC check on Mr. Dawkins before pulling him over and was aware that he was a
suspended driver.
[9]
P.C. Cercone followed the vehicle after it
exited the parking lot. Two minutes later, he stopped it and radioed for
backup. P.C. Cercone told Mr. Dawkins that he stopped the vehicle because it
was swerving. The officer later acknowledged that he lied to Mr. Dawkins about
the reason for the stop to buy time for other officers to arrive at the scene.
He thought that advising Mr. Dawkins of the real reason for the stop 聳 i.e.,
that P.C. Cercone suspected that Mr. Dawkins was driving while suspended 聳
would heighten his fear level and jeopardize officer safety. P.C. Cercone
testified that he was aware that Mr. Dawkins had prior firearms-related
convictions and was subject to a weapons prohibition order.
[10]
After a second officer arrived on the scene,
P.C. Cercone arrested Mr. Dawkins for driving while his licence was suspended.
P.C. Cercone testified that he searched the vehicle, starting with the driver聮s
seat, for documents related to the suspended licence and for public safety
reasons. He noticed that the backseat was 聯messy聰 and that there was 聯loose
paperwork on the rear seat behind the driver and on the floor聰. As P.C. Cercone
searched the backseat area, he located the handgun under the driver聮s seat.
[11]
On the
Charter
application, P.C.
Cercone聮s evidence was that he engaged in a 聯dual-purpose聰 stop and search: the
first purpose was pursuant to the
Highway Traffic Act
, R.S.O. 1990, c.
H 8, for the offence of driving while suspended; and the second purpose was
based on the confidential informant聮s tip regarding potential contraband.
[12]
P.C. Cercone did not mention the confidential
informant in his notes, original will-say, or synopsis. He explained that at
the time of the arrest, he had only been a police officer for two years and had
never dealt with a confidential informant. P.C. Cercone stated that he was
concerned that any hint of involvement of a confidential informant could
jeopardize the source聮s identity.
[13]
The officer also testified that he had several
conversations about his non-disclosure with his superiors, beginning sometime in
February or March. On his superiors' advice, P.C. Cercone did not disclose
anything further and decided to wait for instructions from the Crown's office.
The Crown met with the officer in August 2018 and was advised for the first
time about the non-disclosure. P.C. Cercone subsequently amended his will-say
on or around August 10, 2018, to reference the confidential informant. The
revised will-say was disclosed to the defence on or around August 15, 2018,
approximately two weeks before trial.
[14]
The trial judge heard the evidence of P.C.
Cercone on August 29, 2018. He adjourned the matter to October 26, 2018, and
requested written submissions. Then, on October 26, 2018, the trial judge
invited further oral submissions on issues arising from the written
submissions. Defence counsel clarified in oral submissions that he was only
seeking a stay for the alleged breach of Mr. Dawkins聮 s. 9
Charter
rights and had abandoned his request for a stay based on late disclosure or any
other reason related to trial fairness.
[15]
The defence's position was that P.C. Cercone's
evidence was a fictional account of what happened and that the officer had concocted
the reasons for the late disclosure because there were not sufficient grounds
to stop Mr. Dawkins' motor vehicle and detain him. In contrast, Crown counsel
argued that the traffic stop was justified by the
Highway Traffic Act
and P.C. Cercone聮s objectively reasonable belief that Mr. Dawkins had committed
the offence of driving while suspended. The Crown noted that it was not relying
upon the confidential informant聮s tip as a justification for the stop or
arrest.
[16]
Counsel agreed about the central importance of
P.C. Cercone聮s credibility. The defence conceded that if he were found to be
credible, then its
Charter
application would fail. Similarly, the
Crown acknowledged that it could not make out its case if P.C. Cercone were
found to be prevaricating.
[17]
The trial judge dismissed Mr. Dawkins聮
Charter
application. He summarized his reasons for accepting P.C. Cercone聮s evidence in
one paragraph as follows:
Albeit unusual, it accords with common sense
and logic given his lack of experience as a police officer at the time and
especially given his lack of experience with a confidential informant, it makes
sense that given a mistake in disclosure could have grave if not fatal
consequences. His testimony was uncontradicted and was not shaken or weakened
in cross-examination. In my view, he was forthright and direct in his answers
to questions and did not attempt to embellish.
[18]
The trial judge noted that, although the delay
in disclosure was "somewhat concerning," defence counsel did not
point to any prejudice occasioned to Mr. Dawkins, and did not request an
adjournment. Moreover, the trial judge found that P.C. Cercone did not act in
bad faith; his actions were coloured by a perceived risk to his safety. As
well, the trial judge reasoned that the evidence was not exculpatory, nor could
the Crown rely upon it due to its invocation of informant privilege.
Ultimately, the trial judge found no basis for a stay of proceedings and
dismissed the application.
Analysis
[19]
Mr. Dawkins raises a single issue on appeal:
whether the trial judge聮s reasons were sufficient regarding P.C. Cercone聮s
credibility, which was the central issue on the
Charter
application and
was dispositive of the case. Mr. Dawkins submits that the trial judge should
have more thoroughly examined the officer聮s credibility with respect to his
explanations for the failure to mention the confidential informant in the
initial disclosure, for the lateness of the amended disclosure, and for the
circumstances of Mr. Dawkins聮 stop and search.
[20]
Mr. Dawkins argues that, despite the central importance
of the officer's credibility to the disposition of his
Charter
application and the case, the trial judge's reasons on the issue are limited to
a single paragraph that was largely boilerplate. He notes that beyond the trial
judge's finding that the officer was inexperienced, the trial judge simply
observed that the witness was uncontradicted, direct, and did not embellish his
testimony. Mr. Dawkins submits that the trial judge was obliged to analyze the
problems with the officer's evidence to satisfy the parties and this court that
he correctly understood the credibility concerns.
[21]
In considering these submissions, it is helpful
to have regard to several well-established principles that arise from the
jurisprudence regarding the sufficiency of a trial judge聮s reasons:
(i)
Reasons serve various functions, including
explaining to the parties, the public and the appeal court why the trial judge
decided a case in a particular way:
R. v. Victoria
, 2018 ONCA 69, 359
C.C.C. (3d) 179, at paras. 43 46.
(ii)
Appellate courts take a functional approach when
considering appeals grounded on claims of insufficient reasons. The sufficiency
of reasons must be assessed having regard to the evidence, the submissions, and
the live issues before the trial judge:
R. v. M. (A.)
, 2014 ONCA 769, 123
O.R. (3d) 536, at para. 16;
Victoria
, at para. 44.
(iii)
A ground of appeal asserting insufficient
reasons will fail unless the reasons are so deficient that they foreclose meaningful
appellate review:
Victoria
, at para. 44;
R. v. T.C.
, 2020
ONCA 469, at para. 24.
(iv)
A trial judge's credibility findings are
entitled to significant deference unless they cannot be supported on a
reasonable view of the evidence. Appellate courts must be mindful that it is
often difficult to express such findings with precision:
R. v. Dinardo
,
2008 SCC 24, [2008] 1 S.C.R. 788, at para. 26;
R. v. Radcliffe
, 2017
ONCA 176, 347 C.C.C. (3d) 3, at para. 23, leave to appeal refused, [2017]
S.C.C.A. No. 274; and
R. v. Slatter
, 2018 ONCA 962, 369 C.C.C. (3d)
112, at para. 102.
[22]
Context is essential in considering the
sufficiency of the trial judge's reasons. As a result of the defence counsel's
abandonment of the request for a stay based on the late disclosure, the only
issue before the trial judge was whether the defence established, on a balance
of probabilities, that the traffic stop was arbitrary. Given that the defence
called no evidence, the trial judge was not obliged to resolve conflicting testimony.
Instead, the trial judge聮s task was limited to an assessment of whether P.C.
Cercone聮s testimony was credible.
[23]
The trial judge articulated reasons supporting
his credibility finding, including that P.C. Cercone was not shaken on
cross-examination and did not embellish his evidence. The trial judge also
found that his explanation regarding the late disclosure was consistent with
common sense and logic. Those reasons support the credibility finding made by
the trial judge. While Mr. Dawkins argues that further elaboration was
required, trial judges are not required to articulate credibility findings with
scientific precision. This is especially true in situations, as in this case, where
a trial judge is not analyzing conflicting evidence.
[24]
The defence theory proffered an alternative
version of events that was wholly incompatible with P.C. Cercone聮s testimony.
There was no evidence adduced to support that theory. Instead, the theory was
put to P.C. Cercone through a general attack on his credibility in cross-examination,
and all insinuations about fabrication were denied by the officer. In finding P.C.
Cercone credible, the trial judge rejected the defence theory.
[25]
The Crown concedes, and we agree, that the trial
judge could have said more about why he rejected the defence theory. However,
it is also important to note that there is evidence that contradicts the
defence theory. For example, while P.C. Cercone聮s notes do not mention the
confidential informant, they did include information that he said came from the
source regarding the fact that Mr. Dawkins was driving a silver SUV. This
information's inclusion is inconsistent with the defence theory that the
confidential informant was created later to defeat the
Charter
application, which was asserted after the officer's notes were originally
disclosed. Thus, when the reasons are viewed in the context of the evidentiary
record, it becomes apparent why the trial judge rejected the defence theory.
[26]
Mr. Dawkins also offers several criticisms of
P.C. Cercone's testimony, including submissions that his evidence regarding why
he made the traffic stop and why he did not disclose the information about the
confidential informant earlier do not make sense. In our view, these alleged
problems with the officer聮s testimony, when considered in the evidentiary
record context, do not detract from the officer聮s credibility. For example, the
officer offered logical explanations regarding why he lied to Mr. Dawkins about
the reason for the traffic stop and why he did not reference the confidential
informant in his notes, original will-say, or synopsis. The trial judge then adequately
explained why he accepted those explanations.
Disposition
[27]
For the foregoing reasons, the appeal is
dismissed. We note in closing that the issues of the propriety of the initial
failure to disclose the existence of the confidential informant and the
falsification of the original disclosure were not before us on this appeal.
Nothing in these reasons should be considered an endorsement of the Hamilton
Police Service聮s conduct in that regard.
聯C.W.
Hourigan J.A.聰
聯B.
Zarnett J.A.聰
聯S. Coroza
J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Dematas, 2021 ONCA 289
DATE: 20210504
DOCKET: C68882
Hoy, Hourigan and Zarnett JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Kadah Dematas
Appellant
No one appearing for the appellant
Nicole Rivers, for the respondent
Heard: May 3, 2021 by video conference
On appeal from the conviction entered on September 20,
2019 by Justice Beth A. Allen of the Superior Court of Justice.
APPEAL BOOK ENDORSEMENT
[1]
The appeal is dismissed as abandoned.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Dindyal, 2021 ONCA 234
DATE:20210414
DOCKET: C67760
Watt, Hoy and Nordheimer JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Anand
Dindyal
Appellant
Sweta Tejpal and Hans John Kalina, for the
appellant
Eric W. Taylor, for the respondent
Heard: March 23, 2021 by videoconference
On appeal from the
conviction entered on July 19, 2019 by Justice Michael R. Gibson of the Superior
Court of Justice with reasons reported at 2019 ONSC 4364.
Nordheimer J.A.:
[1]
Anand Dindyal appeals from his convictions on a
number of counts including aggravated assault and assault with a weapon. The
appellant was originally charged with 11 counts. At the conclusion of his judge
alone trial, he was convicted of 10 of the 11 counts. He was acquitted on count
11. The appellant now appeals from his convictions on five of those counts:
count 1 聳 assault; count 3 聳 aggravated assault; count 6 聳 assault with a
weapon; count 9 聳 assault with a weapon; and count 10 聳 assault.
A.
Background
[2]
All of the counts arise out of a troubled
relationship that the appellant had with the complainant.
[1]
The two were in a
relationship for a period of time.
[3]
The appellant, aged 21, met the complainant,
aged 34, while working for a retail store in Brampton. The appellant was a
sales associate, and the complainant was his boss. They began dating on
February 14, 2015 and the appellant eventually moved in with the complainant.
[4]
The relationship was marked by numerous
arguments between the two. Drinking was also part of the troubled relationship.
A further complicating factor in the relationship was that the complainant
became pregnant and had an abortion in January 2016. The appellant said that
this was often the source of dispute between the two as the complainant blamed
him for having the abortion. They conceived again but the pregnancies ended in
miscarriages.
[5]
The appellant moved into the complainant聮s home
in June 2016 and resided with her, and her son from a previous relationship,
until September 2017. The appellant then left the home. Sometime later, the
complainant went to the police and gave a statement which led to the charges I
mentioned at the outset.
[6]
It is not necessary to review all of the
allegations underlying the 11 counts that were the subject matter of the trial.
Rather, I will simply summarize the parties聮 version of the events as they
relate to the five counts that are the subject of the appeal:
Count 1
[7]
There was an argument between the appellant and
the complainant. The complainant said that the appellant pushed her from behind
and knocked her to the ground. She called the appellant a coward. The appellant
immediately apologized.
[8]
The appellant acknowledged that he bumped into the
complainant from behind and that she fell to the ground but said that it was an
accident. The two had been drinking. He said that the complainant had taken his
laptop and his cellphone and thrown them outside, damaging the laptop. When he
went to retrieve them, he bumped into her from behind as she was standing in
front of him. She fell to the ground because of the size difference between the
two of them.
Count 3
[9]
The complainant had come home from work that day
and had a few drinks. The appellant was also drinking, and they started to argue.
The complainant said she had a massive headache. The complainant went to take
several Tylenol, maybe as many as four to five, which she intended to wash down
with alcohol. As she was washing them down, she suddenly felt one of the
appellant聮s fingers in her mouth. As she didn聮t want his finger in her mouth,
she bit down on it 聯probably significantly hard聰. Almost immediately, the
appellant elbowed her in the left side of her face with his right elbow. In the
days that followed, the complainant found out that she had suffered a fractured
orbital bone which required emergency reconstructive surgery.
[10]
The appellant agreed that they had both been
drinking and arguing. The appellant said that, without warning, the complainant
had taken a handful of Advil. He was shocked, and asked her to spit them out,
but she refused. The appellant said that he knew he had to get the Advil out of
her mouth, and to make her throw up, so he took his right index finger and put
it into her mouth. She reacted by biting it and, as he went to pull it out, his
elbow connected with the side of her face because of the height difference
between the two of them. The whole event happened within seconds, and in one
motion.
Count 6
[11]
The complainant became pregnant but a few months
before this incident she miscarried. This added tension to the relationship.
The two were supposed to visit her parents and family but, on the morning of
the visit, the appellant refused to go. An argument ensued. During the course
of the argument, the appellant threw a plate with the remains of his breakfast
and a full cup of coffee at the complainant. He missed but the plate and coffee
dented and stained the wall. The appellant then stood up, came towards the
complainant, picked her up by the throat, with her feet dangling in the air for
just a moment, and slammed her down to the ground. He then got on top of her
and started to choke her with his right hand. The complainant gasped for breath,
attempted to scream and told the appellant to stop, which he did.
[12]
The appellant denied throwing the plate and cup
of coffee. He said that the two had an argument about money and that, at one
point, he either 聯passed聰 or 聯tossed聰 his wallet at the complainant. He said
that the complainant then tried to push him. He grabbed the complainant and put
her to the ground.
Count 9
[13]
The appellant and the complainant went to a
barbeque. They were drinking. As they were leaving the barbeque, an argument
ensued. The argument continued as the two got into their car and the appellant
started the car. The complainant did not think that things would end well so
she attempted to get out of the car as the appellant began driving. The
appellant leaned over and grabbed the complainant聮s face to keep her in the car,
聯digging into聰 her face. The complainant was able to get out of the car and
run. The appellant caught up to her, tackled her, and forced her back to the car.
The front passenger side door was still open. The appellant threw the
complainant through the open door. She landed on her face on the driver聮s seat
with her legs still dangling out of the open door. The appellant聮s acts up to
this point formed the basis for his conviction on count 8, which he has conceded.
The complainant says that the appellant then slammed the car door on her legs 聯[a]t
least four or five聰 times. This was the basis of the appellant聮s conviction on
count 9.
[14]
The appellant said that they went to the
barbeque where the complainant got 聯drunk聰 and 聯passed out聰. After they left,
he had to hold her up to get her to the car. He tried to put her in the
passenger seat, but she fell into the seat because she was still drunk. He
buckled her in but didn聮t notice that one of her legs was still outside the car.
He accidentally closed the car door on it, once. The appellant got in and
started to drive but the complainant started 聯freaking out聰 and tried to get
out of the car. As he was concerned for her safety, he reached out and tried to
hold her, 聯accidentally聰 causing injuries on her face.
Count 10
[15]
The complainant聮s son was due for a haircut. He
didn聮t like haircuts and would fuss so they had decided to try and cut his hair
at home. On the specific day, the complainant聮s son was sitting on a stool and
the appellant had started to cut his hair. Her son started to fuss, and whine,
and the appellant became more and more upset. He eventually told her son not to
move or he would have to shave off all his hair. The complainant yelled at the
appellant. The appellant picked her son up off the stool by grabbing a fist
full of his hair, took the clippers, and shaved right down the middle of her
son聮s head.
[16]
The appellant agreed that the complainant聮s son
didn聮t like to get his hair cut and would fuss so that they had decided to cut
his hair at home. That day, the son kept moving as the appellant started
cutting his hair. The appellant told the son that if he kept moving, the
appellant would end up cutting all his hair. The appellant suggested to the
complainant that they should just shave off all his hair, so he didn聮t have to
get his hair cut as often. The appellant said that as he started shaving the
son聮s head, the complainant was 聯freaking out聰 but, by that point, it was too
late to avoid completing the shaving of the son聮s hair.
B.
The trial judge聮s decision
[17]
The trial judge began his decision by reviewing
the evidence. He then recited certain principles of law including the
presumption of innocence, the burden of proof, assessing the credibility of
witnesses, and the application of the test from
R. v. W. (D.)
,
[1991]
1 S.C.R. 742. The trial judge then reviewed the elements of each of the
offences charged.
[18]
Thereafter, the trial judge reviewed the
evidence of the appellant. He rejected his evidence in total. He said that he
found the appellant聮s evidence 聯a contrived and calculated performance聰. The
trial judge went on to say that the appellant聮s evidence 聯was not internally
consistent, and not externally consistent with the other evidence that [he did]
accept.聰
[19]
The trial judge proceeded to deal with the
complainant聮s evidence. He said that he found the complainant to be credible
and that 聯[s]he gave her evidence in a straightforward manner without undue
embellishment聰. The trial judge added: 聯Moreover, as submitted by the Crown,
she has no reason to lie, to fabricate or to embellish the accusations against
[the appellant].聰
[20]
The trial judge then went through each of the 11
counts. With the sole exception of counts 5 and 11, the trial judge said,
separately for each of the counts and in virtually the same language, that he
did not believe the appellant and he was not left in a reasonable doubt by his
evidence.
C.
Analysis
[21]
It is not necessary to address each of the
complaints made by the appellant with respect to the trial judge聮s reasons and
analysis. Rather, I begin with the error that infected the trial judge聮s
approach to all of the counts and that is his credibility finding with respect
to the complainant, i.e., the no motive to fabricate conclusion.
[22]
This court has explained, on a number of
occasions, the permissible and impermissible use of evidence, or the absence of
evidence, relating to motive. Most recently in
R. v. Ignacio
, 2021
ONCA 69, at paras. 37-60, leave to appeal to S.C.C. requested, 39552, Pepall
J.A. reviewed the authorities on this subject. Included in those authorities is
the central point made by Doherty J.A. in
R. v. Batte
(2000),
49 O.R. (3d) 321 (C.A.), at para. 121:
What must be avoided in instructing a jury is
any suggestion that the accused has an onus to demonstrate that a complainant
has a motive to fabricate evidence, that the absence of a demonstrated motive
to fabricate necessarily means that there was no motive
or, finally, that
the absence of a motive to fabricate conclusively establishes that a witness is
telling the truth
. The presence or absence of a motive to fabricate
evidence is only one factor to be considered in assessing credibility.
[Emphasis added].
[23]
The trial judge found that the complainant had
聯no reason to lie, to fabricate or to embellish the accusations against [the
appellant].聰 But the evidence does not support that finding. The trial judge
appears to have conflated the absence of evidence of a motive to fabricate with
a proven lack of motive, contrary to
Batte
. This is a significant
error. A proven lack of motive can be a compelling factor in a credibility
assessment. However, the mere absence of any evidence of a motive to fabricate is
only one of many factors to be considered in a credibility assessment. It alone
cannot serve as the foundation of the credibility assessment.
[24]
In my view, the trial judge impermissibly used
the absence of any evidence of a motive to fabricate as if it had been proven
that the complainant had no motive to fabricate, in coming to his credibility
conclusion regarding the complainant. Rather than consider it as a factor, the
trial judge clearly used it to conclude that the complainant must be telling
the truth, contrary to the admonition I have just set out above.
[25]
The concern that the use of the absence of
motive evidence became the driving force in the trial judge聮s conclusions is heightened
by the generally conclusory nature of his reasons. There is no independent
analysis of the evidence on each of the counts, as is required absent a count-to-count
similar act application by the Crown, of which there was none in this case. There
are also no individual credibility assessments. Rather, the trial judge made a
blanket credibility finding and then, in considering each count, simply set out
the facts for that count, and then recited the same conclusion 聳 that he does
not believe the appellant but does believe the complainant.
[26]
In addition to these problems, one of the
reasons that the trial judge relied on to reject the appellant聮s evidence, and to
say that it did not raise a reasonable doubt, was the fact that it was
internally and externally inconsistent. However, the trial judge did not, at
any point in his reasons, identify any of those stated internal or external
inconsistencies that led him to this conclusion. Among other problems that this
failure creates, is the problem that it leaves this court without any way of
reviewing the reasonableness of this conclusion.
[27]
This was a credibility case. It was incumbent on
the trial judge to carefully analyze the evidence on each count and reach
individual conclusions on them. The all or nothing approach that the trial
judge took to the credibility assessments was improper. This is especially so
because, on some of the counts, there was evidence, beyond that of the complainant
and of the appellant, including photographs and other witnesses聮 evidence, that
required consideration in making any conclusions on credibility. Unfortunately,
in many instances, the trial judge failed to reference this other evidence in
his reasons. The one notable exception is with respect to count 11, where the
trial judge did make reference to the evidence of the appellant聮s brother, which
he found raised a reasonable doubt.
[28]
In response to these concerns, the respondent
says that the curative proviso in s. 686(1)(b)(iii) of the
Criminal Code
,
R.S.C. 1985, c. C-46 could be applied. I would note that the respondent did not
argue the proviso in its factum, which tends to raise the concern expressed in
R.
v. P.G
.,
2017 ONCA 351, 138 O.R. (3d) 343, at paras. 13-16.
However, putting that aside, the proviso cannot cure the credibility problems
in this case, with the exception of count 6.
[29]
The proviso is
properly utilized to remedy errors made at a trial when those errors are of the
type set out in
R. v. Sekhon
, 2014 SCC 15, [2014] 1 S.C.R. 272, where
Moldaver J. said, at para. 53:
Flowing from this
principle, this Court affirmed in
Khan
that there are two situations
where the use of s. 686(1)(b)(iii) is appropriate: (1) where the error is
harmless or trivial; or (2) where the evidence is so overwhelming that,
notwithstanding that the error is not minor, the trier of fact would inevitably
convict.
[30]
The errors in the credibility assessments in
this case are not harmless nor are they trivial. They were central to the trial
judge聮s conclusions. They were also key to the proper resolution of the counts
charged. With the exception of count 6, given the nature of the evidence, and
the required credibility resolution, the evidence cannot be said to be so
overwhelming that convictions were inevitable. Indeed, with respect to counts
1, 3 and 9, there was a serious dispute, on the evidence, regarding the events
and how they transpired.
[31]
The one exception to this point is respecting count
6. There was still a dispute on the evidence as to what had occurred but, on
that count, there was external objective evidence to support the events as
described by the complainant, namely, photographs of the damage done by the
thrown plate and cup of coffee. While there was an argument over what the
photographs actually depicted, that was a factual matter to be resolved by the
trial judge. His conclusion on that factual issue is entitled to deference from
this court. That conclusion alleviates, to a large extent, the concerns
regarding the credibility assessment, and their impact, on that count.
[32]
On the other counts, there was conflicting
evidence, some of which, as I have said, the trial judge did not address in his
reasons. For example, on count 1, the appellant聮s brother gave evidence regarding
the damage to the appellant聮s laptop that might have been seen as corroborating
what the appellant said happened in that incident. The trial judge does not mention
the brother聮s evidence. On count 3, the trial judge found that the force
necessary to fracture the complainant聮s orbital bone 聯would far exceed the
amount of force that would be transmitted by accident聰. The trial judge did not
have any medical evidence to support that conclusion. The trial judge also
failed to address whether the contact could have been accidental, arising from
the reaction of the appellant to the fact that the complainant bit down hard on
the appellant聮s finger, as she admitted to having done. On count 9, the trial
judge failed to address whether the complainant聮s injuries (there were
photographs of a bruise on the complainant聮s shin) were consistent with her
evidence that the appellant slammed the car door on her leg 聯four or five聰
times.
[33]
I mention these issues to demonstrate that the
evidence on these three counts was not overwhelming. The proviso cannot be
relied upon to correct the trial judge聮s errors.
[34]
Finally, there is count 10, the cutting of the
son聮s hair. The respondent fairly conceded during oral argument that the trial
judge failed to set out what the assault was that founded the conviction on
this count. The appellant had the complainant聮s consent to cut her son聮s hair
and to touch him for this purpose. Further, on the evidence, it was not the
cutting of the hair that enraged the complainant but, rather, it was the hair
style that the appellant chose, i.e., shaving the child聮s head.
[35]
The trial judge聮s failure to articulate the
precise nature of the assault fundamentally undermines the conviction. Further,
the evidence led on this count, viewed from any perspective, does not allow for
any reasonable conclusion that an assault occurred. The conviction on count 10
must be set aside and, in the circumstances, an acquittal entered.
D.
Conclusion
[36]
I would allow the appeal on counts 1, 3, 9 and
10. I would order a new trial on counts 1, 3 and 9. I would enter an acquittal
on count 10. The sentences on each of those counts are set aside but the
sentences on the other counts remain.
Released: April 14, 2021 聯DW聰
聯I.V.B. Nordheimer J.A.聰
聯I agree. David Watt J.A.聰
聯I agree. Alexandra Hoy J.A.聰
[1]
The appellant聮s then girlfriend was the complainant in all
of the counts, save for count 10 which involved the girlfriend聮s young son from
a previous relationship. For convenience, the appellant聮s then girlfriend is
referred to as the complainant throughout these reasons.
|
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. 539(1), (2), (3) or (4) of the
Criminal Code
shall continue.聽
These sections of the
Criminal Code
provide:
539(1)聽聽聽聽聽聽聽聽聽 Prior to
the commencement of the taking of evidence at a preliminary inquiry, the
justice holding the inquiry
(a) may, if application
therefor is made by the prosecutor, and
(b) shall, if
application therefor is made by any of the accused, make an order directing
that the evidence taken at the inquiry shall not be published in any document
or broadcast or transmitted in any way before such time as, in respect of each
of the accused,
(c) he or she is
discharged; or
(d) if he or she is
ordered to stand trial, the trial is ended.
(2)聽聽聽聽 Where an accused
is not represented by counsel at a preliminary inquiry, the justice holding the
inquiry shall, prior to the commencement of the taking of evidence at the
inquiry, inform the accused of his right to make application under subsection
(1).
(3)聽聽聽聽 Everyone who
fails to comply with an order made pursuant to subsection (1) is guilty of an
offence punishable on summary conviction
(4)聽聽聽聽 [Repealed,
2005, c. 32, s. 18(2).]
R.S., 1985, c. C-46, s.
539; R.S., 1985, c. 27 (1st Supp.), s.97; 2005, c. 32, s. 18.
WARNING
An order restricting publication in this proceeding
was made under s. 517 of the
Criminal Code
and continues to be in
effect.聽 This section of the
Criminal Code
provides:
517(1) 聽聽聽聽聽聽聽 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)聽聽聽聽 if a preliminary
inquiry is held, the accused in respect of whom the proceedings are held is
discharged; or
(b)聽聽聽聽 if the accused
in respect of whom the proceedings are held is tried or ordered to stand trial,
the trial is ended.
(2)聽聽聽聽 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)聽聽聽聽 [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. Dubros, 2021 ONCA 85
DATE: 20210210
DOCKET: C68542
Feldman, Tulloch and Nordheimer
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Mitchell Dubros
Appellant
Paul Robson, for the appellant
Benita Wassenaar, for the respondent
Heard: February 3, 2021
On appeal from
the order of Justice Suhail A.Q. Akhtar of the Superior Court of Justice, dated
July 27, 2020, with reasons reported at 2020 ONSC 4518 dismissing an
application for certiorari to quash the order of Justice William Wolski of the
Ontario Court of Justice, dated February 5, 2020, committing the appellant for
trial.
REASONS FOR DECISION
[1]
Mitchell Dubros appeals from the order of the
application judge who dismissed his application for certiorari in which he had sought
to set aside his committal for trial on a charge of obstructing justice.
[2]
We do not see any error in the application
judge聮s decision in this case. The application judge applied the proper test
for the review of a committal for trial. A preliminary inquiry judge's
determination of the sufficiency of evidence is entitled to the greatest
deference.
[3]
In this case, the evidence clearly met the
threshold evidentiary test for committal which is whether there is 聯any
evidence聰 on which a jury, properly instructed, could return a guilty verdict:
United
States of America v. Shepard
[1977] 2 S.C.R. 1067 at p. 1080;
R. v.
Wilson
, 2016 ONCA 235, at para. 21.聽 In particular, the application judge
agreed with the preliminary inquiry judge that there was evidence that the
appellant had made threats to individuals in an effort to dissuade them from
testifying at a trial. This would constitute obstruction of justice as defined
in s. 139(3) of the
Criminal
Code
, namely, that a
person is deemed to have wilfully attempted to obstruct justice if they attempt
to dissuade a person by threats from giving evidence.
[4]
We do not accept the appellant聮s submissions
that there was no evidence respecting the required mental element of the offence.
The contents of the conversations that the appellant had with these individuals
would be sufficient to establish that the appellant聮s efforts were willfully
undertaken.
[5]
The appeal is dismissed.
聯K.
Feldman J.A.聰
聯M. Tulloch J.A.聰
聯I.V.B. Nordheimer J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Earle, 2021 ONCA 34
DATE: 20210120
DOCKET: C66898
MacPherson, Tulloch and Lauwers
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
David Earle
Appellant
Richard
Litkowski, for the appellant
Michael
Fawcett, for the respondent
Heard: December 16,
2020 by video conference
On appeal
from the conviction entered on May 24, 2017 by Justice Nola E. Garton of the
Superior Court of Justice, and from the sentence imposed on January 25, 2018.
Lauwers J.A.:
A.
Overview
[1]
The appellant was convicted of fraud
over $5,000, contrary
to s. 380(1) of the
Criminal Code
. His convic
tion
for money laundering under s. 462.31(1)(a) of the
Criminal Code
was
based on the same facts as the fraud and was stayed under the
Kienapple
principle. He was sentenced to three years in jail along with ancillary orders
that included a restitution order and a fine in lieu of forfeiture order. He
appeals his conviction and seeks leave to appeal sentence.
[2]
For the reasons that follow I would dismiss the
conviction appeal and the sentence appeal except for the victim surcharge.
B.
The Factual Context
[3]
The trial judge found that the appellant defrauded
clients of his company, Global Precious Metals (聯GPM聰), of almost one million
dollars over a period of about four years, from 2007-2011. She found that some
of the money was used to finance other business transactions including highly
speculative securities trading, the appellant聮s gambling, and payments towards
his personal credit card debts.
[4]
The appellant learned the precious metals
business as an employee of Advanced Precious Metals (聯APM聰), which sold
physical precious metals. When he established GPM, the appellant did not use
the same business model as APM, but he solicited his APM customers and used
many of his old employer聮s business documents.
[5]
The appellant led his clients to believe that
their money was being used to purchase physical precious metals. However, the
trial judge found that the clients were only purchasing a notional 聯metal
position聰 on GPM聮s books and that GPM had no actual inventory of physical
precious metals.
[6]
There were 17 victims of the appellant聮s fraud,
seven of whom testified at the trial. The appellant acknowledged in his factum
that: 聯In general, the clients testified that they understood that the money
they deposited with GPM had been used to buy physical silver.聰
[7]
Eventually, in early 2011, GPM went bankrupt,
leaving its clients with a net loss of $986,128.71, which the trial judge
attributed to the appellant聮s fraud.
[8]
The trial judge found that the appellant had
deceived GPM clients as to the true nature of his business through oral and
material representations as well as by failing to disclose material facts. In
her sentencing reasons, the trial judge summarized the ways in which she found
that the appellant had deliberately misled GPM聮s clients:
1.
The appellant led his clients, including his former
APM clients, to believe that GPM possessed an inventory of physical precious
metals when the company had no such inventory;
2.
He led his clients to believe that he was purchasing
precious metal in accordance with their purchase at the time that the orders were
made;
3.
He led clients to believe that GPM was financing
their precious metal purchases; and
4.
He failed to advise GPM聮s clients of the
differences between the APM and GPM
business
models.
C.
Issues on the Appeal
[9]
The appellant raises five issues on appeal:
1.
The trial judge erred in dismissing the appellant聮s
application under s. 11(b) of the
Canadian Charter of Rights and Freedoms
;
2.
The
trial judge erred in failing to consider the fact that the appellant sought
legal
advice
on the viability of GPM as a factor to
support his credibility and
to negate the fault element of
fraud;
3.
The appellant received ineffective assistance of counsel;
4.
The amount of restitution, and the corresponding fine in lieu of forfeiture,
should be reduced based on miscalculations of the actual investor losses and
the monies returned to them;
5.
The victim fine surcharge should be quashed under
R.
v. Boudreault
, 2018 SCC 58, [2018] 3 S.C.R. 599.
I will address each issue in turn.
(1)
The trial judge did not err in dismissing the
appellant聮s s. 11(b)
Charter
application
[10]
This case proceeded uneventfully under the
principles set out by the Supreme Court of Canada in
R. v. Morin
,
[1992]
1 S.C.R. 771
. The appellant was arrested on August 15, 2012. The
three-week trial was originally scheduled to start on October 13, 2015 and
would have been completed well before the Supreme Court issued its tectonic
decision in
R. v. Jordan
, 2016 SCC 27, [2016] 1 S.C.R.聽631 on
July 8, 2016. But the serious illness of the Crown prosecutor caused the trial
to be adjourned until September 19, 2016, about ten weeks after
Jordan
was released.
[11]
At no point before
Jordan
was released did
defence counsel suggest that a s. 11(b)
Charter
application would be
appropriate under
Morin
. However, after the release of
Jordan
,
the defence brought a motion at the outset of trial to dismiss the case under
s. 11(b) for undue delay.
[12]
I begin with a review of the governing
principles under
Jordan
, describe the trial judge聮s decision
dismissing the appellant聮s s. 11(b)
Charter
application, and then
apply the principles to the facts.
(a)
The governing principles
[13]
The Supreme Court reset the principles governing
delay applications under s. 11(b) in
Jordan
, which became the ruling
authority even for cases that were almost all the way through to trial when it
was released.
I will not rehearse the general
principles, which were recently laid out by this court in
R. v. Villanti
,
2020 ONCA 755
and in the cases it cited
. Instead I will focus on
the 聯transitional exceptional circumstance聰 applicable to
proceedings commenced before
Jordan
was released, as in this case.
[14]
In
Jordan
, the Supreme Court held that
the transitional exception is to be applied contextually 聯when the Crown
satisfies the court that the time the case has taken is justified based on the
parties聮 reasonable reliance on the law as it previously existed聰 even where,
as here, 聯the delay
exceeds
the [
Jordan
] ceiling聰 (emphasis
in original): at para. 96, referring to
Morin.
The court continued: 聯This
requires a contextual assessment, sensitive to the manner in which the previous
framework was applied, and the fact that the parties聮 behaviour cannot be
judged strictly, against a standard of which they had no notice.聰 The
concluding sentence is especially telling: 聯Of course, if the parties have had
time following the release of this decision to correct their behaviour, and the
system has had some time to adapt, the trial judge should take this into
account.聰
[15]
The changes wrought by
Jordan
were
intended to be sweeping, but not abrupt: 聯Ultimately, for most cases that are
already in the system, the release of this decision should not automatically
transform what would previously have been considered a reasonable delay into an
unreasonable one聰: at para. 102. The court added, at para. 98: 聯We rely on the
good sense of trial judges to determine the reasonableness of the delay in the
circumstances of each case.聰
[16]
The factual findings made by the trial judge in
the course of a
Jordan
analysis are entitled to deference and can only
be set aside for palpable and overriding error:
R. v. Bulhosen
, 2019
ONCA 600, 377 C.C.C. (3d) 309, leave to appeal refused, [2019] S.C.C.A. No. 423,
at para. 73;
R. v. Majeed
, 2019 ONCA 422, at para. 7; and
R. v. Jurkus
,
2018 ONCA 489, 363 C.C.C. (3d) 246, leave to appeal refused, [2018] S.C.C.A.
No. 325, at para. 25.
(b)
The trial judge聮s reasons
[17]
The trial judge heard the application from
September 19, 2016, the first day of trial, to September 22, 2016, when she
dismissed the application with reasons to follow. Her detailed and lengthy
reasons were released on November 24, 2017.
[18]
Analytically, the trial judge proceeded in two
stages. She first assessed the delay under the
Jordan
principles and
then, taking her cue from
R. v. Williamson
, 2016 SCC 28, [2016] 1
S.C.R. 741, undertook the
Morin
analysis under the rubric of the
transitional exception in
Jordan
. Her
Morin
analysis occupied
nearly 15 pages.
[19]
Under the
Jordan
analysis, the trial
judge fixed the total delay from the laying of the information to the
anticipated conclusion of the trial at 50 months, which is 20 months in excess
of
Jordan聮s
30-month presumptive ceiling. She addressed five issues
raised by the applicant: 1) the Crown聮s inaccurate time estimate relating to
the preliminary inquiry; 2) the delay in obtaining state funding for legal
counsel via the
Rowbotham
application; 3) the delay caused by the
illness of the prosecuting Crown; 4) the complexity of the case; and 5) the
transitional exceptional circumstances.
(i)
The inaccurate time estimate relating to the
preliminary inquiry
[20]
The appellant took the position that the Crown
had created additional delay by underestimating the time required for the
preliminary inquiry, which was planned for 11 days but spilled over to 15. He argued
that the need to schedule additional days and the Crown聮s unavailability meant
that the delay from August 29, 2013 to January 22, 2014 was properly Crown
delay, set at 4 months, 24 days.
[21]
The trial judge found that the time estimates
for the preliminary inquiry were done in good faith and that the delay should
be treated as a discrete exceptional circumstance to be deducted from the
overall delay in the amount of 4 months and 25 days.
(ii)
The delay in obtaining state funding for legal
counsel via the
Rowbotham
application
[22]
Following his lawyer聮s departure from private
practice, and the exhaustion of his financial resources, the appellant sought
an adjournment on February 27, 2014 in order to seek state funding for counsel.
The appellant applied to Legal Aid Ontario and brought an application under
R.
v. Rowbotham
(1988), 41 C.C.C. (3d) 1, [1988] O.J. No. 271. Legal Aid
refused funding and dismissed the appellant聮s final appeal on July 4, 2014. The
appellant and the Crown exchanged materials on the
Rowbotham
application
over the summer of 2014 before the Crown finally consented to state funding. The
Crown provided the appellant with a funding agreement on October 15, 2014 and
the parties brought the agreement before the court on October 20, 2014. The total
delay relating to the appellant聮s funding was therefore from February 27, 2014
to October 20, 2014.
[23]
The appellant argued that the
Rowbotham
application took too long to process. The law is clear from
R. v. Boateng
,
2015 ONCA聽57, 128 O.R. (3d) 372, at para. 32, that the Crown is required
to note and respond to potential delays resulting from Legal Aid delays in
processing. Adding the
Rowbotham
period as institutional delay under
the
Morin
framework would, the appellant argued, bring the total
institutional delay to 20 months, surpassing what
Morin
deemed
acceptable.
[24]
The trial judge found the delay in obtaining
state funding for legal counsel via the
Rowbotham
application to be a
discrete exceptional circumstance tied to the departure of the appellant聮s
lawyer, for which she deducted seven months and three days from the
Jordan
delay.
(iii)
The delay caused by the illness of the
prosecuting Crown
[25]
The prosecuting Crown was hospitalized for an
illness and the trial date was put off from October 8, 2015 to September 19,
2016.
[26]
The Crown argued that the entire period of 11聽months
and 12 days should be deducted but the trial judge deducted only 7 months and 9
days, recognizing that defence counsel would have been available to start the
trial earlier than the judge and the Crown.
[27]
Before turning to complexity, the trial judge
summarized her findings at para.聽71 of her delay decision:
In summary, the total amount of time to be
deducted from the 50-month delay as exceptional circumstances due to discrete
events is 19 months and 8 days, and is comprised of the following time periods:
1.
Four months and 25 days in relation to the 聯good
faith聰 underestimating of the time required to complete the preliminary
inquiry, and unforeseen events during the course of the inquiry;
2.
Seven months and 4 days in relation to Mr.
Earle聮s
Rowbotham
application; and
3.
Seven months and 9 days in relation to the
illness of Crown counsel.
This left a
Jordan
delay of
30 months and 22 days, which was 22 days above the presumptive ceiling.
(iv)
Complexity
[28]
The trial judge concluded that the complexity of
the prosecution could easily account for the remaining 22 days, bringing the
delay for
Jordan
purposes to less than 30聽months. However, the
appellant argued that this was not a complex case.
[29]
The trial judge rested her finding of complexity
on a combination of several factors: the voluminous disclosure; the very
technical nature of the case as a large scale complex fraud alleged to have
occurred over a substantial period of time; and the requirement for expert
evidence. She also noted that, in order to accommodate the complexity, the
Crown reconfigured the prosecution to bring fewer of the complainants in as
live witnesses, saving trial time.
(v)
The transitional exceptional circumstance, and
Morin
[30]
The position of the Crown was that if the
complexity of the case did not itself constitute an exceptional circumstance,
then the time above the 30-month presumptive
Jordan
ceiling was
justified as a transitional exceptional circumstance. The trial judge believed
that this argument compelled her, following
Williamson
, to conduct a
full assessment of the delay under the Morin guidelines.
[31]
After an exhaustive analysis, the trial judge
concluded, at para. 136, that 聯the total institutional delay is 12 months and 4
days, which is well below the
Morin
guidelines. The remainder of the
50-month delay is inherent or neutral.聰 She added that there was no real prejudice
to the appellant because he had been released on bail two days after his arrest
and his bail conditions were not particularly stringent. The trial judge concluded
that 聯[g]iven the length of the delay, I infer that Mr. Earle has suffered some
prejudice, and that his employment prospects were negatively affected by the
bail condition prohibiting him from trading in securities and precious metals.聰
She added, at para. 144: 聯[a]ny prejudice to Mr.聽Earle is mitigated in
part by the fact that most of the delay is attributed to the inherent time
requirements of the case.聰
[32]
The trial judge concluded, at para. 161: 聯Based
on the
Morin
framework, there has been no infringement of Mr. Earle聮s
s. 11(b) right.聰
(c)
The principles applied
[33]
This is a case to which the transitional
exceptional circumstance identified in
Jordan
plainly applies. Because
the trial started so soon after the release of
Jordan
, within 10 weeks,
this case did not require the intensive analysis under
Jordan
and then
under
Morin
undertaken by the parties and the trial judge.
[34]
In my view, before the advent of
Jordan
,
the parties reasonably relied on the law as it previously existed under
Morin
.
The trial judge was right to conclude, at para. 163 of her reasons, that the
release of
Jordan
shortly before trial meant the parties had 聯no
realistic opportunity 聟 to adapt to the new framework, for which they had no
notice.聰
[35]
The appellant made the same arguments before
this court that he made at trial. He does not challenge the trial judge聮s
general approach, only her detailed calculations. In his view, the trial judge
erred in categorizing state action during both the preliminary inquiry and the
Rowbotham
application as discrete events, although the appellant conceded that some
of the seven-month delay due to Crown illness was a discrete exceptional event
and therefore neutral. The appellant also conceded that about four months
during the
Rowbotham
application could be considered neutral delay.
But the appellant argued that this still left over 39 months聮 delay, which is
significantly above the presumptive ceiling of 30聽months.
[36]
I disagree. The release of
Jordan
did
not automatically transform what would previously have been considered a
reasonable delay into an unreasonable one. In any event, I take no issue with
the trial judge聮s determinations and calculations under
Morin
, to
which this court must defer. The appellant has not pointed to any palpable or
overriding factual errors, or any errors of law that would warrant this court聮s
interference. This ground of appeal should be dismissed.
(2)
The trial judge did not err in her assessment of
the mental element of fraud
[37]
The appellant argues that the trial judge erred in failing to
consider the fact that the appellant sought legal
advice
on GPM聮s operations as a factor to support his credibility and
to negate the mental element of fraud.
[38]
This argument must be set into its factual and
evidentiary context.
In late 2007, as GPM began to
experience financial difficulty, the appellant engaged the services of Frank
Palmay of Lang Michener to review GPM聮s documentation and business practices. Mr.
Palmay prepared a memorandum of opinion on the legal adequacy of GPM聮s
documentation and the appellant聮s way of carrying on business. For convenience
I will refer to Mr. Palmay as 聯the author.聰 The memorandum was marked as a
lettered exhibit for identification by the trial judge.
[39]
In the memorandum, the author set out what he
understood to be a 聯simplified version of the steps taken in the furtherance of
this business,聰 based on the information supplied by the appellant:
路
when a customer first approaches the company,
the customer is asked to complete a New Client Application Form which contains
Risk Factors and the Disclosure Statement both of which are signed by both the
customer and the company and the company聮s representative which also contains
the customer acknowledgement, again signed by both the customer and the
company;
路
the customer can either pay the full price plus
a 5% commission to the company for the precious metals purchased and take
delivery of them or in lieu of delivery have the company store it at a[n]
annual fee;
路
alternatively, and most if not all customers,
choose this, a customer finances the purchase by paying 25% of the value of the
metals (plus the company聮s commission) and maintains the margin based on the
current price of the metal with a daily carrying charge per ounce (based on the
metal) 聳 in this case the storage charge mentioned in the previous paragraph
does not apply;
路
included in the documentation provided to the
customer (Account Fees) is a clear stipulation that the company is acting as
principal and that the client聮s purchases are from precious metals of the
company聮s inventory;
路
with one exception, none of the documentation
that I have reviewed either states or, in my view, implies that either the
funds received or any precious metals are held in trust for the customer 聳 the
one exception is if a customer pays for the metal and in lieu of taking
delivery pays the company the annual storage fees to store it on its behalf;
but I understand that this is not a practice that customers choose
[40]
The author made several statements regarding the
business聮s struggles in late 2007 and early 2008:
The business of the company was going along
quite well until the company made a decision to trade metals on its own
account. Initially these trades resulted in a gain of about $100,000 but more
recently, as the price of silver increased unexpectedly, the losses are in the
order of $300,000 and are subject to further fluctuation up and down depending
on the price of silver
[41]
Under the heading 聯Advice Given,聰 the author
gave this opinion:
Based on the facts as I understand them and
based on my discussion with David Earle, it is my view that he sincerely and
reasonably based on his past experience thought he was acting in the best
interest of the company by embarking on the house account trades that caused
the problem.
I can detect no mens rea (intent) that would
expose him criminally
, which, of course, is one of the exclusions to the
company聮s indemnity. [Emphasis added.]
[42]
The author advised the appellant that the
corporate veil could be pierced: 聯if a shareholder, especially a sole
shareholder, treats the company as his/her alter ego. That is, the shareholder
ignores the corporate veil and deals with the company聮s assets, bank accounts,
etc., as if they were his/her own.聰 The author then stated: 聯
I understand from David Earle that this is not the case and
that the only time the company聮s funds were paid to him were as reimbursement
for expenses properly incurred by him for company purposes
聰(Emphasis
added).
[43]
The author concluded the memorandum with a
statement that there were 聯ways in which the documentation could be tightened
up.聰
(a)
The role of the memorandum at trial
[44]
The key strategic question at trial was whether
the author should be called to give evidence about the memorandum and the
information upon which it was based. Defence counsel sought to introduce the
memorandum into evidence without calling the author. His argument was that the
memo was admissible and could be relied on by the appellant to negate the mental
element of fraud. The Crown objected on the basis that the memorandum was
inadmissible hearsay without the author聮s testimony.
[45]
Defence counsel sought to thread the
admissibility needle in such a way as to make use of the memo for the limited
purpose of showing the basis for the appellant聮s subjective intent. He said: 聯[w]hat
the [memorandum] is being tendered for is only to show exactly what Mr. Earle
was told by his lawyer and it聮s only relevant to the issue of what Mr. Earle
thought about his situation in the business
after having received that letter
聰 (emphasis added). The
colloquy on admissibility lasted several days and consumed many pages of
transcript.
[46]
The trial judge was eventually persuaded to
allow the appellant聮s examination in chief and cross-examination on the memo to
proceed as a blended
voir dire
, leaving for later argument whether
admissibility had been made out. The issue left to be briefed by counsel was
whether the memo might be admitted as part of a mistake of law defence. Defence
counsel had not had the opportunity to review the Crown聮s material on that
issue and asked for more time to do so. The trial then adjourned for a month. When
it resumed, defence counsel stated that he had reviewed the case law and 聯if [the
memo]聮s not relevant to the inquiry at this point, then I聮m not going to rely
on it.聰 The trial judge did not make a ruling on the admissibility of the memo
and the trial continued, with the appellant testifying.
[47]
Before this court, the appellant acknowledged
that 聯a traditional mistake of law defence was not available聰 but argued that
the memo was relevant to the appellant聮s 聯state of mind and general credibility,聰
more particularly 聯whether or not he had subjective knowledge that his
representations were false, and to his overall credibility in denying any
fraudulent intent.聰 Accordingly, the appellant argued, the trial judge erred in
聯limiting her consideration of this evidence to a mistake of law defence.聰
[48]
I would not give effect to this ground of
appeal. The trial judge was unequivocal in her finding that the appellant
knowingly deceived his clients. The memorandum does little to change that
finding, particularly in light of the indicators that the appellant may have
deceived the author of the memorandum as well. As I will explain, the mental
element of fraud does not require the Crown to prove the appellant聮s subjective
intent to deceive his clients. To the extent the memorandum shows the appellant
had reasons to believe he acted honestly, it is not actually responsive to any
of the elements of the offence of fraud.
(b)
The mental element of fraud
[49]
The appellant argues that it was an error of law
for the trial judge to fail to consider the memo as 聯a piece of circumstantial
evidence in assessing the credibility of the appellant聮s version of events and
on the issue of the appellant聮s
mens rea
.聰 He argues that the fact
that he 聯spoke to counsel and obtained an opinion as to the structure and
operation of GPM, and
the
manner in which GPM was organized and functioned, suggests that he did not have
a
n intention to deceive the complainants.聰
[50]
This argument rests on an erroneous
understanding of the mental element for fraud under s. 380 of the
Criminal
Code
: that the Crown must prove that the appellant subjectively appreciated
the dishonesty of his acts. This understanding of the mental element is
precisely what the Supreme Court rejected in
R. v. Zlatic
, [1993] 2
S.C.R. 29, at p. 49:
As is pointed out in
Th茅roux
[
R. v. Theroux
[1993]
2 SCR 5]
, released concurrently, fraud by 聯other
fraudulent means聰
does not
require that the accused subjectively appreciate the dishonesty of his or her
acts.
The accused must knowingly, i.e.,
subjectively, undertake the conduct which constitutes the dishonest act, and
must subjectively appreciate that the consequences of such conduct could be
deprivation, in the sense of causing another to lose his or her pecuniary
interest in certain property or in placing that interest at risk. [Emphasis
added.]
This accused knew precisely what he was doing
and knew that it would have the consequence of putting his creditors聮 pecuniary
interests at risk.
[51]
The point is stated succinctly in
R. v. Eizenga
, 2011 ONCA 113, 270
C.C.C. (3d) 168, at para. 81:
[A] subjective intent to
mislead is not an essential element of the offence of fraud
.
Instead, all that is required is
subjective knowledge of the prohibited act, and that the act could have as a
consequence the deprivation of another.
[52]
This is not the case in which to tease out the
subtler nuances of the mental element of fraud because the evidence of the
appellant聮s intent to mislead his clients was overwhelming based on the trial
judge聮s findings, to which I turn in the next section. At best, the memorandum represents
a lukewarm attempt to clean up GPM聮s affairs. At worst, as the trial judge
appears to have concluded, it was an attempt to paper over the appellant聮s
conscious deceptions.
(c)
The trial judge聮s dishonesty findings
[53]
Earlier I summarized the trial judge聮s dishonesty
findings, which I derived from her sentencing reasons, in which she said:
In my reasons for judgment, I found that Mr.
Earle deliberately misled GPM聮s clients about the nature of the company聮s
business in the following ways:
1. Mr. Earle conveyed to clients, including
his former APM clients, that GPM possessed an inventory of physical precious
metals when the company had no such inventory: Reasons for Judgment, at paras.聽558-650.
2. Mr. Earle conveyed to clients that he
was purchasing physical precious metal in accordance with their [permission to
trade] PTT orders at the time that the orders were made: Reasons for Judgment,
at paras.聽651-655;
3. Mr. Earle led clients to believe that
GPM was financing their precious metal purchases: Reasons for Judgment, at
paras.聽656-675; and
4. Mr. Earle failed to distinguish between
the APM and GPM business models: Reasons for Judgment, at paras. 676-704.
[54]
In my view, the trial judge聮s findings on the
appellant聮s manifest dishonesty negate any possible mitigating effect from what
he understood his legal responsibilities to be after reading the memorandum.
The memorandum did not accurately describe his business practices, suggesting
the appellant did not provide full information to the author, in particular
information about the permission to trade script that he used to trigger
transactions.
[55]
For the trial judge, much turned on the permission
to trade or 聯PTT聰 script that the appellant read to his clients when taking an
order for precious metals. The script was taken from his previous employer, APM,
and provided:
EARLE: This is David Earle with Global
Precious Metals. Do I have your permission to tape record this call?
GPM client: Yes.
EARLE: Today's date is (insert date) at
(insert time) Toronto time. The purpose of this call is to confirm your
precious metals purchase and make certain that you have a full understanding of
the program. Please state your name for the record.
GPM Client: name
EARLE: Okay (insert client's name). Today you
are purchasing "Y" ounces of silver. The price is $X US per ounce.
The total metal value is Y x $X US dollars. There is (percentage amount) for
commission for this trade. Do you understand that you are only investing
approximately (between twenty and twenty-five percent) of the total metal
value?
GPM Client: Yes.
EARLE: If the equity in your position ever
drops to approximately fifteen percent, you'd be required to bring your equity
back up to twenty percent by making a deposit or liquidating your positions. Do
you understand that for each day that you do not take delivery of your precious
metals, you' II be charged a carrying fee of one half cent per ounce?
GPM client: Yes.
EARLE: Today you can take delivery of your
precious metals at any time by paying off the unpaid balance. You'll receive a
trade confirmation from us in the mail. If you have any questions, please feel
free to call us. Do I have your permission to place this trade?
GPM client: Yes.
[56]
The script was identical to the APM script,
except for the following addition in the GPM script: 聯Do you understand that
for each day that you do not take delivery of your precious metals, you will be
charged a carrying fee of one half cent per ounce?聰
[57]
The trial judge was unable to accept the
appellant聮s asserted belief in his own honesty. Her assessment hinged largely on
the difference between the purchase of actual precious metal and the purchase
of a 聯metal position聰 on GPM聮s books that was not backed up by an inventory of
metals.
As I noted earlier, the appellant acknowledged
in his factum that: 聯In general, the clients testified that they understood
that the money they deposited with GPM had been used to buy physical silver.聰 However,
the trial judge found:
The complainants聮 belief that they were
purchasing physical metal was reinforced by the PTT script, which described the
purpose of the call as being 聯to confirm your precious metals purchase.聰 There
was no reference in the PTT script to purchasing metal positions or
obligations. Mr. Earle聮s refusal to characterize a PTT transaction as anything
other than a sale of precious metals, and his insistence that he was selling
clients physical precious metal when he never bought any metal, was
self-serving and an attempt to justify the language that he used in the script,
in GPM聮s materials, and in speaking to clients.
[58]
In her sentencing reasons, the trial judge
observed:
It was clear from the evidence of the
complainants that Mr. Earle never explained to them that what they were
purchasing was a 聯metal position.聰 During his testimony, Mr. Earle admitted
that he never disclosed to clients that GPM did not possess any metal. He also
admitted that he never told clients that GPM did not buy any metal pursuant to
their PTT orders. These omissions, in the circumstances, constituted the
nondisclosure of important facts and were dishonest.
[59]
Could the memorandum have helped the appellant,
as he now argues? It appears not from the trial judge聮s reasons. She addressed
the memorandum and found that it could not give the appellant the plausible
deniability he sought with respect to the mental element of fraud. She
expressly addressed the impact of the memorandum:
In my view, the issue of Mr. Earle聮s reliance
on his lawyer聮s opinion would be problematic in any event because it is not
known exactly what information Mr.聽Earle provided to the lawyer. In other
words, it is not known whether the lawyer had the 聯whole picture聰 with respect
to the nature of GPM聮s business, the oral representations that Mr. Earle made
to clients in soliciting their business, and what he omitted to tell them.
For example,
it is not known whether Mr. Earle provided the lawyer with a copy of
the PTT script
. Mr. Earle testified that he gave
him all the materials that he sent to clients. However, that would not have
included the script, which states that 聯the purpose of this call is to confirm your
precious metals purchase聰, and concludes with the question, 聯Do I have
permission to place this trade?聰 The script made no reference to metal
positions or obligations. [Emphasis added.]
It is not known whether Mr. Earle told his
lawyer that despite the many references in GPM聮s materials to 聯GPM聮s own
inventory聰, he never disclosed to clients that GPM did not own any physical
metal and did not purchase any metal pursuant to their orders. It is not known
whether Mr. Earle told his lawyer that he clearly explained the carrying fee to
clients. I have found that Mr.聽Earle gave no such explanation to his
customers.
[60]
The trial judge summarized her conclusions on
the fraud charge in her reasons for conviction:
In summary, I did not find Mr. Earle to be a
credible or reliable witness. I do not believe his evidence that he did not
purposely mislead clients as to the true nature of GPM's program. Mr. Earle聮s
evidence does not leave me with a reasonable doubt. After considering all of
the evidence and the submissions of counsel,
I am
satisfied beyond a reasonable doubt that Mr. Earle deliberately misled the
complainants by implying that GPM had an inventory of physical metals and that
metal was purchased in accordance with their orders
. Mr. Earle also used
聯other fraudulent means聰 by structuring his business to hide from the
complainants the fact that metal would only be purchased if paid for in full.
[61]
As to the requirement for the Crown to prove
deprivation, the trial judge found that: 聯
There can be
no doubt that Mr. Earle knew that by not purchasing metal with his clients聮
deposits, he placed their money at a risk well beyond what they had agreed to.聰
[62]
Defence counsel attempted to resurrect the memorandum
in sentencing submissions, arguing that reliance on legal advice ought to be
considered a mitigating factor on sentence. The trial judge refused on the same
basis as in her reasons for conviction. She noted in her sentencing reasons:
The difficulty with this submission is that
it is not at all clear from the lawyer聮s
letter what exactly Mr. Earle told him about the nature of GPM聮s business
. For example, explaining the company聮s business model would entail
explaining that the client was purchasing a metal position, as opposed to
physical metal, and that there was no financing involved. However, in his
letter, the lawyer, in setting out the relevant facts as he understood them
from Mr. Earle, states 聯the company聮s business is as a dealer of precious
metals (gold, silver, platinum, and palladium)聰. The lawyer was also led to
believe that in most cases, 聯a customer finances the purchases by paying 25
percent of the value of the metals聰, and that 聯the client聮s purchases are from
precious metals of the company聮s inventory.聰 [Emphasis added.]
There is no indication in the lawyer聮s letter
that Mr. Earle discussed with him the fact that he never disclosed to clients
that GPM had no inventory of precious metals, and that he never told them that
no metal was purchased pursuant to their PTT orders 聳 omissions that I found to
be dishonest.
[63]
In my view, the trial judge聮s findings on the
appellant聮s abuse of the PTT script and the fact that he did not give a copy of
the script to the author fatally undermined the memorandum聮s cogency on the
issue of the mental element of fraud. I note as well the author聮s statement in
the memorandum:
聯I understand from David Earle that 聟 the only time the company聮s funds
were paid to him were as reimbursement for expenses properly incurred by him
for company purposes.聰 This statement does not survive the
trial judge聮s finding
that some of the
money was used to finance other business transactions including highly
speculative securities, the appellant聮s gambling, and payments towards his
personal credit card debts.
[64]
In short, the trial judge did not misapprehend
the relevance and usefulness of the memorandum in assessing whether the Crown
had proven the mental element of fraud on the appellant聮s part. The evidence of
the appellant聮s fraud was overwhelming. It is reinforced by the appellant聮s
affidavit on the ineffective assistance of counsel argument, to which I now
turn.
(3)
The assistance of trial counsel was not ineffective
[65]
The
appellant argues that he received ineffective assistance from trial counsel. I
address this argument after setting out the governing principles.
(a)
The governing principles
[66]
The
procedure for advancing a claim that trial counsel provided ineffective
assistance is well known.
The rules are set out in the
Practice Direction Concerning Criminal Appeals at the Court of
Appeal for Ontario
, dated March 2017 (formerly the
Protocol Regarding Allegations of Incompetence of
Trial Counsel in Criminal Cases
). The burden rests
on the appellant to establish: the facts on which the claim is based; the incompetence
of the representation; and that the incompetent representation resulted in a
miscarriage of justice. See
R. v. Joanisse
(1995), 102 C.C.C. (3d) 35, [1995] O.J. No. 2883,
per
Doherty J.A., at para. 69.
[67]
The appeal record on a claim for ineffective assistance of counsel
typically includes the affidavit and cross-examination of trial counsel. While
the
Practice Direction
does not specifically require it, an affidavit
is expected because it will almost certainly become the central document in any
ineffective assistance claim:
R. v. Archer
(2005), 202 C.C.C. (3d) 60,
[2005] O.J. No. 4348,
per
Doherty J.A., at para. 165.
[68]
Either the Crown or the defence might elicit
trial counsel聮s affidavit. However, as Doherty J.A. explained in
Archer
,
at para. 164, basing himself on the prior
Protocol
, this responsibility
will often fall to the Crown as a practical matter because trial counsel is not
a party to the appeal. Part of the court聮s concern is to ensure that trial
counsel whose professional conduct is being impugned has an opportunity to
explain the strategic and other decisions made during the course of the trial. Doherty
J.A. explained in
Archer
, at para 165:
The Protocol contemplates that the court will
have before it all available information relating to the allegations of
ineffective assistance of trial counsel.
Trial
counsel聮s version of the relevant events is obviously crucial
. This
court expects that trial counsel will fully address the allegations made by the
appellant.聽[Emphasis added.]
[69]
However,
the Crown is not compelled to seek out and file trial counsel聮s affidavit.
To the contrary, an appellant聮s failure to fully engage in the
process established by the
Practice Direction
permits the court to
draw an adverse inference about the true value of the evidence that the
appellant argues would have changed the course of the trial. The appellant聮s
reluctance to follow the procedure can be seen as an admission that the more
robust fact-finding process of the
Practice Direction
, including an
affidavit by trial counsel and cross-examination, might weaken rather than
strengthen the claim of ineffective assistance:
R. v. Elliott
(1975), 28 C.C.C. (2d) 546, [1975] O.J. No. 1185 (C.A.),
per
Kelly聽J.A., at para. 6.
(b)
The principles applied
[70]
The appellant has not supplied an affidavit from
trial counsel or a will-say statement from the author of the memorandum. He has
only provided his own affidavit and the author聮s memorandum. The appellant
pointed out that he was not cross-examined on his affidavit, to which the Crown
filed no responding materials, implying that his version of events must
therefore be accepted by this court.
[71]
I disagree. In his affidavit, the appellant states
that he was 聯surprised and upset聰 when defence counsel decided not to call the
author of the memorandum as a witness. He asserts that he repeatedly asked
trial counsel to reconsider and to call the author as a witness but trial
counsel refused.
[72]
Seen in context, t
he appellant聮s
affidavit is revelatory. In it, he recounts a conversation with trial counsel, in
which he says he pressed his request to have the author testify.
The reason trial counsel gave, which the appellant quotes, is
telling: 聯[Trial counsel] said that since Mr. Palmay did not know about the PTT,
there was no reason to call him.聰
[73]
The difficulty for the appellant is that, as noted earlier, the PTT
script played a critical role in the trial judge聮s reasons for conviction
because it substantiated the appellant聮s clear dishonesty to both his clients
and to the author of the memorandum. Given that he did not provide a copy of
the PTT script to the lawyer in seeking the legal opinion as to the adequacy of
his business practices, introducing the lawyer as a witness would have
highlighted the appellant聮s catastrophic omission. Put another way, I suspect
that the appellant has not provided the author聮s will-say on appeal for the
same reason that the author was not called at trial: the author would only
testify that the memorandum was based on incomplete information.
[74]
In my view, this is a case in which this court can and should draw
an adverse inference against the appellant for failing to file trial counsel聮s
affidavit and a will-say statement from the author of the memorandum. His
failure to produce materials that are routinely filed in ineffective assistance
claims leaves the strong impression that those materials would have been more
harmful than helpful to his case. I would dismiss the appellant聮s claim that he
was ineffectively assisted by trial counsel.
(4)
The Sentence Appeal
[75]
The appellant does not appeal the three-year
custodial element of the sentence but the quantum of the restitution order in
the amount of $986,128.71, a fine in lieu of forfeiture in the same amount, and
the $200 victim fine surcharge.
[76]
The appellant argues that the restitution order,
properly calculated to take account of several factors including the investors聮
ability to take advantage of capital losses on their income taxes, should be
reduced from $986,128.71 to $502,454.36, as should the amount of the fine. The
appellant offered no evidence in support of this re-calculation. There is no
factual basis on which to disturb the trial judge聮s calculation of the losses
suffered by the clients.
[77]
The Crown agrees that the victim fine surcharge
must be set aside. Accordingly, I would grant leave to appeal sentence and
would otherwise dismiss the sentence appeal except for the victim fine
surcharge.
Released: January 20, 2021 聯JCM聰
聯P. Lauwers J.A.聰
聯I agree. J.C. MacPherson J.A.聰
聯I agree. M. Tulloch J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Faudar, 2021 ONCA 226
DATE: 20210413
DOCKET: C64030
Watt,
Tulloch and Roberts JJ.A.
BETWEEN
Her
Majesty the Queen
Respondent
and
Kevin
Faudar
Appellant
R. Craig Bottomley and Andrea
Vanderheyden, for the appellant
Catherine Weiler, for the respondent
Heard: September 16, 2020 by video conference
On appeal
from the conviction entered on January 25, 2017 and the sentence imposed on June
15, 2017 by Justice Nancy L. Backhouse of the Ontario Superior Court, sitting
without a jury.
Tulloch J.A.:
A.
Introduction
[1]
On April 13, 2014, police executed a search
warrant at the appellant聮s family home. They located a large .44 Magnum Taurus handgun
with live ammunition in a small dresser in the appellant聮s bedroom.
[2]
According to the appellant, his friend, X.Y.,
placed the handgun and live ammunition in the appellant聮s music studio, unbeknownst
to him. When the appellant learned that the gun and ammunition were in his studio,
he decided to move the items into his locked bedroom for temporary safekeeping.
Unfortunately for the appellant, five days later, police searched his residence
and seized the items.
[3]
While the appellant contends that the gun and
ammunition belonged to his friend and not him, he did not turn the items into
the police nor did he insist that they be removed immediately from his
possession upon discovering them in his studio. In other words, based on the
factual narrative of this case, there was no doubt that the appellant was
knowingly in possession of the gun and ammunition, and that he had no licence
or authorization to possess such items. To compound the problem with the
possession of the firearm and ammunition, the appellant also had what appeared
to be drug trafficking paraphernalia in his possession.
[4]
The appellant was charged with various firearms
offences. Following a judge-alone trial, the appellant was found guilty of all
charges and subsequently sentenced to 2 years and 3 months聮 incarceration, less
114 days credit for time served.
[5]
The appellant now appeals his convictions on the
basis that he received ineffective assistance of counsel at trial, resulting in
a miscarriage of justice. He advances three main reasons for this position:
i.
The appellant聮s counsel previously represented his
friend, X.Y., which placed the appellant聮s counsel into a conflict of interest
that negatively affected the appellant聮s trial;
ii.
The appellant聮s counsel improperly advised the
appellant to testify at his trial and his testimony ensured his own conviction;
and
iii.
The representation by the appellant聮s counsel at
trial was ineffective.
[6]
Following the convictions, both the appellant
and his defence counsel provided affidavits and oral testimony, which form the
basis of a fresh evidence application at this appeal. Since the appellant seeks
to set aside his convictions on the basis of ineffective assistance of counsel,
it is in the interests of justice to consider the fresh evidence:
R. v. W. (W.)
(1995), 25 O.R. (3d) 161 (Ont. C.A.), at pp. 169-170.
[7]
For the reasons that follow, I would dismiss the
conviction appeal.
[8]
In his notice of appeal, the appellant asks for
leave to appeal his sentence. It appears that he has since abandoned his
sentencing appeal. Accordingly, I would also dismiss the sentencing appeal as
abandoned.
B.
Background Facts
I.
Events Leading Up to the Search Warrant and
Arrest
[9]
The appellant lived at a home with his parents,
grandparents, two younger siblings and uncle. At the back of the home, there
was a shed that he had converted into a music studio.
[10]
As indicated earlier, X.Y. was the appellant聮s
friend. On April 8, 2014, X.Y. texted the appellant to advise that he had left
something in the music studio. X.Y. asked the appellant to keep it safe for him
until he could retrieve it upon his return to Toronto; he was headed to the
United States for a short trip. The appellant found out that the 聯something聰
that X.Y. had left behind was a gun. The appellant was upset, and texted X.Y.
to ask that he retrieve the weapon as soon as he returned to the city. He also condemned
X.Y. for leaving the firearm at his residence and ended their friendship. The
appellant had an additional reason to be upset: X.Y. was aware that the
appellant was under a court order prohibiting him from possessing weapons at
the time.
[11]
The appellant moved the firearm into his bedroom
for safe keeping, as people freely filtered in and out of the music studio and
his bedroom had a locked door.
[12]
On April 13, 2014, X.Y. contacted the appellant
to advise him that he was back in town and would collect his gun. On that same
day, the Toronto Police Service executed a search warrant at the appellant聮s
home. The telewarrant had been issued pursuant to s. 11 of the
Controlled
Drugs and Substances Act,
S.C. 1996, c. 19, (聯CDSA聰) to search for drug
related items. The basis for the search was a tip from a confidential
informant. The police did not find any narcotics, but as noted above, they did
find the firearm and ammunition. Thus, as a result of the search, the appellant
was charged with a number of weapons related charges.
[13]
X.Y. gave the appellant聮s mother a phone number
for a defence lawyer. Several years prior to the matter at issue, and when X.Y.
was a youth, that same lawyer represented X.Y. at his own criminal trial. The
appellant retained this lawyer for his trial knowing that he had previously
represented X.Y.
II.
Evidence at the Preliminary Inquiry
[14]
A preliminary inquiry was held on September 8,
2015. The parties agreed to tender the evidence from the preliminary hearing at
trial, supplemented with some further evidence.
[15]
The evidence at the preliminary hearing
indicated that before executing the search warrant, the police arrested the
appellant outside his home for possession of cocaine and marijuana for the
purpose of trafficking.
[16]
Soon thereafter, the appellant聮s grandfather
identified the appellant聮s bedroom to the police officers. Inside, they found a
.44 Magnum Taurus handgun in a dresser containing male clothing, as well as
seven loose rounds of .44 calibre ammunition, a box of fifty .44 calibre
ammunition, and a number of shotgun shells. A dresser in the room contained
paperwork from the Canada Revenue Agency bearing the appellant聮s name. A safe
in the bedroom closet contained his passport, driver聮s licence and other forms
of identification. Other items found in the bedroom included: a small digital
scale, empty baggies, a collapsible baton, and a trigger lock that was found in
another safe in the bedroom. The officers did not find any drugs in the
appellant聮s room or on his person.
[17]
Defence counsel cross-examined the police
officers at the preliminary inquiry regarding the reason for the arrest, as
well as the circumstances surrounding the search, both with respect to the
purpose of the search warrant and the manner of its execution.
III.
The
Charter
Application
[18]
After the preliminary inquiry, the appellant
brought an application under s. 8 of the
Canadian Charter of Rights and
Freedoms
to exclude the evidence that the police obtained pursuant to the
search warrant.
[19]
At the hearing of the
Charter
application, the appellant聮s position was that the police used the
CDSA
search
warrant as a guise to gain entry into the residence to conduct a search for firearms,
rather than drugs. According to defence counsel, it followed that the information
to obtain the search warrant did not contain full, fair and frank disclosure of
the true purpose of the search. Further, defence counsel submitted that the
warrant lacked reasonable grounds to believe that drug dealing was occurring on
the premises and the officers improperly relied upon the telewarrant procedure.
Lastly, defence counsel argued that the warrant had been improperly executed. Specifically,
he alleged that the officers did not show the warrant to the appellant or any
of the other occupants of the residence upon request, in contravention of s.
29(2) of the
Criminal Code,
R.S.C., 1985, c. C-46
.
[20]
The appellant also sought to reveal the identity
of the confidential informant, pursuant to the innocence at stake exception to
informer privilege. Defence counsel argued that X.Y., or someone he knew, had
planted the gun and informed the police on the appellant.
[21]
On January 18, 2017, the judge dismissed the
appellant聮s application, finding that the warrant had been properly obtained
and executed. She further concluded that there was full, fair, and frank
disclosure in the information to obtain.
[22]
The application judge also found that the
appellant聮s submissions on the innocence at stake exception failed to meet the
high threshold necessary to reveal the identity of the confidential informant.
IV.
The Judicial Pretrial
[23]
After receiving the decision denying the
Charter
application, defence counsel arranged to conduct a judicial pretrial with
another judge. The judicial pretrial was held that afternoon. In the pretrial,
the Crown made an offer of a three-year sentence in exchange for a guilty plea
to a breach of s. 95(1) of the
Criminal Code
. Defence counsel rejected
the Crown聮s offer and instead elected to proceed to trial before the application
judge.
V.
The Trial
[24]
The Crown聮s case began on January 18, 2017. The
Crown called two officers who took part in the search and who had already
testified at the preliminary inquiry.
[25]
In his cross-examination of the two officers, defence
counsel essentially asked one question: did the police use sniffer dogs when
exercising the search warrant? The officers answered no.
[26]
The defence case began on January 19, 2017. Defence
counsel requested a brief adjournment so that he could locate X.Y. and serve
him with a subpoena to testify. The trial judge denied the adjournment request,
reasoning that defence counsel should have served X.Y. with the subpoena in
advance.
[27]
The appellant then testified. He explained the
circumstances under which X.Y. had left the gun at his home. The appellant
noted that he did not ask for the gun to be left there, nor did he want it left
there. He was angry with X.Y. for ever putting him or his family in this
position. The appellant moved the gun from the music studio to his bedroom
where it would be safer because fewer people would have access to it.
[28]
The appellant also testified about why he did
not bring the firearm to the police station. First, the appellant testified
that he was afraid of retribution from X.Y. if he did return the gun and he did
not want to be known as a snitch in the neighbourhood. Second, the appellant
was afraid to turn the gun in because he had witnessed police officers beat his
friend to death. He had also had other negative interactions with the police,
which led him to fear that the police would try to 聯pin it聰 on him.
[29]
The appellant also testified that the scale and
baggies found in his room were for his jewellery business and were not related
to drug trafficking. He indicated that he used the sealed baggies to contain
earrings, chains and other items that he sold at a flea market; and he used the
scale to measure the weights of different earrings. He denied ever selling
marijuana or cocaine from his house. He also denied ownership of the extendable
baton and trigger lock, both of which police found in his bedroom.
[30]
Defence counsel again requested an adjournment
of the trial to locate X.Y. on January 20, 2017. The application judge again
denied the request.
[31]
In his closing statement, defence counsel
alleged a conspiracy between the Crown and the police to frame the appellant. He
indicated that the firearm would not be in the appellant聮s residence but for the
involvement of police and the alleged confidential informant, X.Y. He also argued
that the appellant had no ill-intention with respect to the firearm and in fact
repudiated X.Y. for leaving it at his residence in the first place. Furthermore,
defence counsel argued that the appellant exercised a quasi-public function by moving
the firearm from an insecure location to his bedroom until X.Y. could pick it
up. According to defence counsel, the appellant 聯did all that he could to take
innocent possession of that firearm.聰
VI.
The Decision of the Trial Judge
[32]
The trial judge rejected the appellant聮s defence
and convicted the appellant of five firearms offences: (1) possession of a
loaded, restricted firearm, together with readily accessible ammunition,
without a licence or registration certificate (
Criminal Code,
s.
95(1)); (2) possession of a firearm knowing its possession is unauthorized (
Criminal
Code,
s. 92(1)); (3) unlawful possession of a firearm (
Criminal Code,
s.
91(1)); (4) possession of a firearm while prohibited from doing so (
Criminal
Code,
s. 117.011); and (5) careless storage of ammunition (
Criminal
Code,
s. 86.1). As noted above, he received a sentence of two years and
three months聮 imprisonment, less time served.
[33]
The trial judge found no evidence to support the
defence theory that anything was planted or that the police had orchestrated a
conspiracy or entrapment scheme against the appellant.
[34]
The trial judge further concluded that this was
not a case of innocent possession. While recognizing that the firearm and
ammunition may have fallen into the accused聮s possession without his knowledge
initially, the trial judge found that: 聯after he became aware of the items, all
of the decisions were made by him.聰 Specifically, the appellant knew that
possessing the firearm and ammunition was illegal. In fact, he was under a
firearm prohibition at the material time. Moreover, the appellant had knowledge,
personal possession and control of the firearm and ammunition over a five-day
period after he became aware that they had been left in his music studio; and
the appellant聮s intention was to hand back a deadly weapon to X.Y., not to turn
it into police or otherwise destroy it.
[35]
In coming to her decision, the trial judge noted
that there was no identification found in the bedroom for anyone other than the
accused. The bedroom also contained male adult clothing and other items,
including the baggies and scale, which the appellant admitted were his. The
trial judge found aspects of the appellant聮s evidence not credible, including
his testimony that he had no knowledge of the trigger lock and baton found in
his bedroom.
C.
ISSUES TO BE DECIDED
[36]
As noted above, the only issue in this appeal is
whether a miscarriage of justice occurred due to ineffective assistance of
counsel. The appellant raises three concerns with respect to defence counsel聮s assistance
during the trial proceedings: (1) his representation of the appellant was
negatively impacted by a conflict of interest arising from his previous
representation of X.Y.; (2) he improperly encouraged the appellant to testify,
ensuring his conviction; and (3) he represented the appellant in an ineffective
manner. I will deal with each allegation in turn.
D.
CONFLICT OF INTEREST AND X.Y.聮S EVIDENCE
I.
Position of the Appellant
[37]
The appellant argues that defence counsel was in
a conflict of interest when representing the appellant after previously
representing X.Y., particularly in light of the alleged involvement of X.Y. in
the case against the appellant. Again, the defence argued that X.Y. might have
been the confidential informant or was an agent for the police when planting
the firearm at the appellant聮s home.
[38]
The appellant submits that representing both
parties runs contrary to r. 3.4-10 of the Law Society of Ontario聮s
Rules of
Professional Conduct,
which provides that a lawyer shall not act against a
former client in the same matter, any related matter, or any other matter if
the lawyer has relevant confidential information, unless the former client
consents. In oral submissions, counsel for the appellant argued that X.Y.聮s
matter was related to the case at bar because he was alleged to be a
confidential informant against the appellant.
[39]
The appellant argues that defence counsel should
have recognized that there was a conflict; he should have explained the
conflict of interest and any related risks to the appellant; he should have
obtained a waiver from both the appellant and X.Y.; and he should have required
the appellant to obtain independent legal advice prior to retaining defence
counsel. As the appellant points out, defence counsel did none of these things.
[40]
According to the appellant, the conflict could explain
defence counsel聮s failure to call X.Y. as a witness, to subpoena him in a
timely manner, or to interview him as a witness. In light of defence counsel聮s
allegations against X.Y. in relation to this matter 聳
i.e
.
, that he was a confidential
informant or planted the firearm 聳 X.Y.聮s evidence was needed at trial. Defence
counsel failed to obtain his evidence. According to the appellant, this was
evidence of incompetent lawyering.
[41]
In making his submissions on this issue, the
appellant relies on a decision of this court:
R. v. Baharloo
, 2017
ONCA 362, 348 C.C.C. (3d) 64. In
Baharloo
, the court considered an
ineffective assistance of counsel claim where trial counsel represented the
alternate suspect giving rise to a potential conflict of interest. The
appellant relies on the following passage from that decision:
[51]聽聽聽聽At a minimum,
before accepting a retainer from Banda in August 2012 to represent her on the
possession of cocaine charge,
[trial counsel] was
required to fully disclose to both the appellant and Banda the issues and risks
associated with concurrent representation, secure their informed consent to
concurrent representation, and reasonably conclude that she would be able to
represent each client without adversely affecting the other
:
Neil
,
at para. 29. That [trial counsel] did not do.
[52]聽聽聽聽By accepting the
retainer to act for Banda on the possession of cocaine charge, [trial counsel]
put herself in an actual conflict of interest with respect to her
representation of the appellant.
Her representation of
the appellant, from that point forward at the latest, was tainted by impermissible
divided loyalties and an actual conflict of interest
.
[53]聽聽聽聽As this court
stated in
W. (W.),
at p. 178,
the real
issue on appeal in cases involving allegations of conflicts of interest arising
out of the joint defence of co-accused 聯will be whether there was an actual
conflict of interests. If that conflict is demonstrated, the conclusion that at
least one of the co-accused did not receive effective representation will
follow in most cases.聰 That applies with equal force to the present case, even
though the retainers involved different matters and the appellant and Banda
were not co-accused
.
[54]聽聽聽聽Accordingly, the
appellant has demonstrated that (i) an actual conflict of interest existed by
[trial counsel]聮s concurrent representation of Banda and him, and (ii) that
conflict impaired [trial counsel]聮s ability to represent effectively the
appellant聮s interests. It led [trial counsel] to fail to pursue a third party
suspect defence which, in the circumstances, was a realistically available
defence. The appellant has established a lack of effective assistance by trial
counsel.
[55]聽聽聽聽As a result of the
ineffective assistance [trial counsel] provided to the appellant because of her
conflict of interest, a miscarriage of justice occurred:
W. (W.),
at p. 173. The appellant聮s conviction cannot stand.聽 [Emphasis added].
[42]
The appellant argues that this court聮s reasoning
in
Baharloo
is apposite to the case at bar. Specifically, in this
case, the appellant submits that defence counsel did not recognize the conflict,
failed to ensure the appellant sought out independent legal advice, failed to
obtain waivers from both clients, failed to apprise the appellant of the risks
of the conflict, and then failed to ensure X.Y. gave evidence before putting the
appellant on the stand. The appellant suggests that these facts constitute
evidence of an actual conflict of interest that impaired trial counsel聮s
ability to represent the appellant聮s interests effectively.
[43]
The appellant further relies on the following
passage of a decision of this court in
R. v. Joanisse
, [1995] 102
C.C.C. (3d) 35 (Ont. C.A.), at p. 62, leave to appeal refused, [1996] S.C.C.A.
No. 347 (S.C.C.):
76.
The
nature of the incompetence demonstrated will, in large measure, dictate the
kind of inquiry required to determine the effect of that incompetence on the
fairness of the trial. In some cases, counsel's incompetence rests in conduct
which permeates and infects counsel's entire performance.
Where counsel's incompetence is pervasive, the focus must be on
the effect of that incompetence on the fairness of the adjudicative process.
77.
The
conflict of interests cases such as
R. v. Widdifield and Widdifield
,
supra
,
provide a second example of ineffective representation which destroys the
fairness of the adjudicative process at trial.
Where
counsel represents competing interests at trial, and as a result, counsel's
ability to represent either or both of those interests is adversely affected, a
miscarriage of justice has occurred without any inquiry into the effect of the
conflict on the reliability of the verdict. This is so because counsel's
undivided loyalty to the client is an essential component of a fair adversarial
process. Where counsel's loyalty is divided and the client suffers as a
consequence, the adversarial dynamic of the trial is lost and with it the
fairness of the trial:
R. v. Dunbar and Logan
(1982), 68
C.C.C. (2d) 13聽at 47-48 (Ont. C.A.);
U.S. v. Decoster
, supra, per
MacKinnon J. concurring at pp. 235-237. [Emphasis added].
[44]
The appellant argues that the failure to
subpoena a central witness for the defence in a timely manner was evidence of
how the conflict and incompetence undermined the fairness of the adversarial
trial process.
[45]
The appellant argues that the conflict of
interest with respect to X.Y. contributed to a miscarriage of justice. Consequently,
he contends that the convictions should be set aside, and a new trial ordered.
II.
Position of the Crown
[46]
At the outset, the Crown notes that the
appellant was aware that his lawyer had previously represented X.Y. when the
appellant retained him, and the prior representation of X.Y. happened years
before, for a completely unrelated matter.
[47]
The Crown argues that r. 3.4-10 of the
Rules
of Professional Conduct
allows a lawyer to act against a former client on
an unrelated matter where there is no risk that the confidential information obtained
during the representation of the former client would be used in the new
representation. According to the Crown, this was an unrelated matter and defence
counsel did not learn any confidential information from X.Y. during the course
of his unrelated, earlier retainer that could have been used in his
representation of the appellant. Therefore, the Crown submits that defence
counsel did not act in contravention of the
Rules of Professional Conduct.
[48]
Moreover, the Crown submits that the appellant
has not established that there was an actual conflict of interest. The Crown
argues that defence counsel acted with undivided loyalty towards the appellant:
first, he subpoenaed X.Y. to testify; and second, he vigorously argued at trial
that X.Y. was the confidential informant.
[49]
Further, the Crown asserts that the timing of X.Y.聮s
subpoena did not amount to incompetence. Defence counsel explained that he did
not seek to subpoena X.Y. until he felt it was absolutely necessary, which was
after the judge dismissed the s. 8
Charter
application on January 18,
2017. Defence counsel twice requested an adjournment so that he could serve X.Y.
with a subpoena to secure his attendance to testify. The trial judge rejected
both of these requests.
[50]
According to the Crown, X.Y. ultimately was
served with the subpoena and he appeared on January 20, 2017, but the
proceedings had already been adjourned for the day. X.Y. attended again on
January 25, 2017, when the trial judge was to issue her decision. Although she
was aware of X.Y.聮s presence, the trial judge was unwilling to revisit her
earlier ruling given the limited relevance of his evidence.
[51]
The Crown argues that X.Y.聮s evidence would have
been of limited relevance and would not have exculpated the appellant nor
eliminated the need for him to testify. The text message exchange between X.Y.
and the appellant tendered on the s. 8 application already indicated that X.Y.
left the gun at the appellant聮s home without the appellant聮s consent.
[52]
The Crown submits that even assuming X.Y.
testified consistently with the text messages, at most, X.Y.聮s evidence would
have confirmed that he left the gun in the appellant聮s music studio and
eventually told the appellant that he had done so. Given that the gun was found
in the appellant聮s bedroom, there would have been an undeniable inference that
the appellant moved the gun from the studio to his bedroom. X.Y.聮s testimony
would have confirmed both the appellant聮s personal possession in moving the
firearm and his constructive possession of it.
[53]
The Crown also points out that the trial judge
found X.Y.聮s anticipated evidence to be irrelevant to the issues in the trial
proper, short of questions suggesting that he might be the confidential
informant, which defence counsel was not permitted to ask having failed on the
innocence at stake application.
[54]
The Crown distinguishes the facts in
Baharloo
from the current matter. According to the Crown, unlike the current matter, the
appellant in
Baharloo
was unaware of the prior representation of the
potential third party suspect, and the retainers of Mr. Baharloo and the
potential third party suspect substantially overlapped and were factually
related.
III.
Analysis
[55]
A lawyer owes a duty to their client to avoid
conflicts of interest:
Baharloo,
at para. 31
.
Section 1.1-1
of the Law Society of Ontario聮s
Rules of Professional Conduct
defines
a 聯conflict of interest聰 as a substantial risk that a lawyer聮s loyalty to, or
representation of, a client would be materially and adversely affected by the
lawyer聮s duties to a former client.
[56]
The rule against conflicts guards against two
forms of prejudice: first, there is 聯prejudice as a result of the lawyer's
misuse of confidential information obtained from a client聰; and second, there
is 聯prejudice arising where the lawyer 聭soft peddles聮 his representation of a
client in order to serve his own interests, those of another client, or those
of a third person聰:
Canadian National Railway Co.聽v.聽McKercher
LLP
,聽2013 SCC 39, [2013] 2 S.C.R. 649, at para. 23.
[57]
With respect to former clients, lawyers must
refrain from misusing confidential information. Whereas, for current clients,
lawyers must not misuse confidential information, nor place themselves in a
situation that jeopardizes effective representation:
Canadian National
Railway Co.
, at para. 23.
[58]
A lawyer can render effective assistance only
when that lawyer champions the accused聮s cause with undivided loyalty:
W. (W.)
,
at p. 13. Effective representation may be threatened where a lawyer is
tempted to prefer other interests over those of their client:
Canadian
National Railway Co.
, at para. 26. As this court wrote in
R. v.
McCallen
(1999), 43 O.R. (3d) 56 (C.A.), at p. 67, cited with approval by
the Supreme Court in
R. v. Neil,
2002 SCC 70, [2002] 3 S.C.R. 631, at
para. 12: 聯There should be no room for doubt about counsel's loyalty and
dedication to the client's case.聰 A lawyer聮s duty of loyalty to their client is
foundational to the adversarial system and 聯essential to the integrity of the
administration of justice聰:
Neil
, at para. 12.
[59]
This court has identified specific criteria to
determine where a conflict of interest causes a denial of the accused聮s
constitutional right to make a full answer and defence, and results in a
miscarriage of justice. As Doherty J.A. wrote in
W.聽(W.)
,
at
pp. 15-16, the appellant must show:
i.
an actual conflict of interest between the
respective interests represented by counsel; and
ii.
as a result of that conflict, some impairment of
counsel聮s ability to represent effectively the interests of the appellant.
[60]
If both criteria are established, then the
appellant has been denied the right to make full answer and defence and a
miscarriage of justice has occurred:
W.聽(W.),
at p. 16.
[61]
It is not enough simply to have an appearance of
a conflict. The court must determine whether counsel聮s representation was, in
fact, adversely affected. The concern on appeal must be with what happened and
not what might have happened:
W. (W.)
, at pp. 17-19.
[62]
The cases provided by the parties on this issue,
namely
Baharloo
and
W.聽(W.),
consider the issue of a
potential conflict of interest with another 聯current client聰, as opposed to a
former client. However, if the trial counsel聮s representation of an accused may
be compromised by a duty to a former client, counsel should first advise the
new client and obtain their consent. If counsel believes that the duty to the
former client actually will compromise the new retainer, then the lawyer should
decline to accept the case.
[63]
The appellant聮s fresh evidence affidavit
confirms that after he was arrested in this matter, X.Y. came to his home to
provide his mother with defence counsel聮s phone number. The appellant retained defence
counsel knowing of his prior representation of X.Y. The appellant accepted the
referral from the very same person he would accuse of being a confidential
informant against him. Defence counsel did not need to advise the appellant of
the former retainer since it was common knowledge that the appellant was
already aware of it.
[64]
Defence counsel owed a duty to X.Y. as a former
client, at least with regard to not misusing information obtained as a result
of the former retainer:
Canadian National Railway Co.,
at para. 23.
Even where there is no such risk, it would be preferable not to act against a
former client. However, the concern in this appeal is not the duty to X.Y.; it
is the duty to the appellant.
[65]
On the face of it, there was a potential conflict
of interest between defence counsel聮s representation of the appellant and his
past representation of X.Y. due to the nature of the argument advanced at
trial:
i.e
.,
that X.Y.
was either a confidential informant or planted the firearm at the behest of the
police. Given the nature of the defence theory, and the potential for a
conflict, it would have been preferable for defence counsel to decline to
represent the appellant in this matter.
[66]
However, I am not persuaded that defence counsel聮s
prior representation of X.Y. manifested in an actual conflict that impaired
trial fairness. On a review of the full trial record, it does not appear that defence
counsel was torn by any feeling of divided loyalty. Defence counsel was willing
to require X.Y. to attend at trial. The appellant admitted that defence counsel
retained a private investigator to try to locate X.Y. to serve him with a
subpoena. X.Y. was subpoenaed to testify, albeit late in the process. Again,
the concern on appeal is whether a conflict of interest actually compromised
representation; the appellate court is not concerned with mere possibilities.
[67]
Even if he had testified, X.Y.聮s evidence would,
at best, corroborate the appellant聮s explanation that he was the unwilling
recipient of a gun left at his home. There was not much else to be gained from X.Y.聮s
testimony at that point in the proceedings. Again, the outcome of the
innocence-at-stake application prevented counsel from exploring the issue of
the confidential informant in the examination of X.Y.
[68]
As a result, despite any potential for conflict
of interest in this case, it did not affect the trial nor result in any
miscarriage of justice.
[69]
I would dismiss this ground of appeal.
E.
The decision to testify
I.
Position of the Appellant
[70]
In the affidavit tendered as part of the fresh
evidence application, the appellant indicated that he and defence counsel
discussed his testimony and the innocent possession defence for the first time
just before trial. Defence counsel insisted that the appellant testify. The
appellant did not want to testify.
[71]
In the appellant聮s testimony at trial, he
reiterated that: he had control over the bedroom where he stored the gun, he
consented to it being there, and he was planning to give the gun back to X.Y.
In short, the appellant contends that his testimony was a complete confession
that ensured his conviction of the offences charged. According to the
appellant, it follows that his convictions rest on the ineffective assistance
of counsel.
[72]
The appellant聮s position is that defence counsel
never should have advised him to testify since his evidence provided all that
was needed to convict him on the basis of the doctrine of constructive
possession. According to the appellant, a reasonably competent lawyer would
have advised the appellant to sit silently and let the Crown prove its case
against him, as the innocent possession defence had virtually no chance of
success on these facts.
II.
Position of the Crown
[73]
The Crown argues that the appellant made an
informed decision to testify in this case. Defence counsel聮s evidence was that
he did, in fact, inform the appellant that he did not need to testify. Additionally,
the Crown contends that the appellant would have known that he had the right
not to testify. The appellant had four prior criminal trials, with three prior
lawyers, and he did not testify at any of those trials.
[74]
Given that the s. 8 application was unsuccessful,
it is the Crown聮s position that the appellant聮s convictions were virtually
certain on the basis of constructive possession regardless of whether the
appellant testified, due to the strong circumstantial case against him. The
Crown submits that there were seven pieces of circumstantial evidence upon
which the court could draw the inference beyond a reasonable doubt that the
appellant was aware of the firearm and ammunition found in his bedroom and that
he had a measure of control over it:
1.
The firearm and a substantial amount of ammunition
were found in a bedroom identified by the appellant聮s grandfather as belonging
to the appellant.
2.
Police found CRA paperwork bearing the
appellant聮s name in the top drawer of one of the dressers in the bedroom,
indicating he stored items belonging to him in the dressers in the bedroom.
3.
The bag containing the firearm and ammunition
was immediately visible when the police officer opened a drawer in the second
dresser in the bedroom.
4.
The bedroom contained adult, male clothing. The
bag containing the firearm and ammunition was situated on top of male clothing
in the dresser drawer.
5.
In a different drawer of the same dresser that
contained the firearm, police found a second weapon 聳 an extendable baton.
6.
A safe in the closet of the bedroom contained
the appellant聮s passport, driver聮s licence, SIN card and health card. A trigger
lock for a gun was also found in a safe in the bedroom.
7.
Paraphernalia consistent with drug dealing was
found in the bedroom, including a digital scale and a quantity of small ziplock
baggies.
[75]
The Crown argues that it was extremely unlikely
for the court to find another reasonable inference other than guilt on these
facts.
[76]
The Crown submits that there was no downside to
testifying in this case. If the appellant did not testify, only the Crown聮s
evidence would be before the trial judge. If the appellant testified, he could
cast the evidence in the most favourable light. The Crown argues that testifying
gave him a long shot at an acquittal if the trial judge accepted the innocent
possession defence. At worst, testifying provided context for the gun being in
his bedroom, explained the presence of the baggies and scale, and would be
treated as mitigating factors on sentencing. The Crown states that it cannot be
a miscarriage of justice for an accused to decide to testify and tell the
truth.
[77]
The Crown points out that evidence from the
accused is necessary to support an innocent possession defence. While the
defence of innocent possession was a long shot, it could have succeeded, but
only if the appellant testified. Accordingly, the Crown submits that defence
counsel聮s advice to testify was apt: testimony that acknowledged possession but
proved innocent possession was the appellant聮s best chance of an acquittal in
this case.
[78]
The Crown argues that the mitigating impact of his
testimony was borne out on sentencing. Again, the information the appellant
supplied resulted in a sentence of two years and three months, which was less
than the three-year plea deal offered by the Crown.
III.
Analysis
[79]
I do not accept that there was any failure of
legal representation, nor any miscarriage of justice, in the appellant聮s
decision to testify at trial.
[80]
There is no dispute that it was the appellant聮s
inalienable right to sit silently at his trial and require the Crown to prove
its case against him beyond a reasonable doubt. Part of counsel聮s duty involves
advising an accused whether to testify:
R.聽v.聽K.K.M.,
2020
ONCA 736, at para. 62. A competent lawyer will offer sage advice in this
regard, but only the client can make the ultimate decision as to whether the
benefits of testifying outweigh the risks:
R. v. Stark
, 2017 ONCA 148,
347 C.C.C. (3D) 73, at para. 17.
[81]
While it may very well be true that the
appellant knew he did not need to testify due to his prior involvement with the
justice system, this fact cannot displace the responsibility of counsel to
ensure that an accused is apprised of their rights in a criminal trial. This
responsibility remains with the lawyer no matter how many times a client has
previously been committed to trial.
[82]
That being said, I am not persuaded that the
appellant聮s decision to testify was uninformed or involuntary. The appellant
was fully aware of the considerable evidence against him. Defence counsel
detailed the significant risk of a conviction on the basis of constructive
possession in a reporting letter provided to the appellant prior to trial.
[83]
Defence counsel was right: the appellant was at a
substantial risk of conviction on the basis of constructive possession if he
failed to testify.
[84]
Constructive possession applies when an accused did
not have physical custody of the object in question, but did have it 聯in the
actual possession or custody of another person聰 or 聯in any place, whether or
not that place belongs to or is occupied by him, for the use or benefit of
himself or of another person聰:
Criminal Code
, S. 4(3)(a);
R. v.
Morelli
, 2010 SCC 8, [2010] 1 S.C.R. 253, at para.聽17.
[85]
To establish constructive possession, the Crown
must prove:
路
That the accused knew the character of the
object;
路
That the accused knowingly put or kept the
object in a particular place; and
路
That the accused intended to have the object in
the particular place for his use or benefit or that of another:
Morelli
,
at para. 17
; R. v. Lights
, 2020 ONCA 128, 149 O.R. (3d) 273, at paras.
47-48.
[86]
There must be knowledge that discloses some
measure of control over the item to be possessed:
R. v. Pham
(2005),
77 O.R. (3d) 401 (Ont. C.A.), at paras.聽14-15, aff聮d 2006 SCC 26, [2006] 1
S.C.R. 940. In many cases, the evidence relied upon to prove constructive
possession is wholly or substantially circumstantial:
Lights
, at para.
48.
[87]
Occupancy of premises alone does not create a
presumption of possession, but it supports an inference of control when coupled
with evidence of knowledge:
Lights
, at para. 50
,
R. v.
Watson
, 2011 ONCA 437, at para. 13;
R. v. Lincoln
, 2012聽ONCA
542, at para. 3. The circumstantial evidence must tie the accused to the
location such that the only reasonable inference is that the accused was aware
of the contraband and had control over access to it:
Lights
, at paras.
36, 98;
Pham,
at paras. 17-18, 25-29;
R. v. Dipnarine
, 2014
ABCA 328, 316 C.C.C. (3d) 357, at paras. 17-20.
[88]
In this case, the police found the firearm and
ammunition in a bedroom that the appellant聮s grandfather identified as belonging
to the appellant. The prohibited items were stored with adult male clothing,
and the appellant聮s identification. There was no identification found in the
bedroom for anyone other than the accused. I agree with the Crown that there
was ample circumstantial evidence pointing to constructive possession, even
without the appellant聮s testimony.
[89]
After the trial judge dismissed the s. 8
application, the appellant聮s only chance of succeeding was a defence of
innocent possession.
[90]
The doctrine of innocent possession can provide
a defence to an accused who technically had either constructive or personal
possession of a prohibited item but lacked a blameworthy state of mind or
blameworthy conduct:
R. v. Chalk
, 2007 ONCA 815, 88 O.R. (3d) 448, at
para. 25. The rationale underlying this defence is that criminal liability
should not attach to brief, 聯innocent聰 possession, where the intention is
solely to divest oneself of control rather than to possess the prohibited item:
Chalk
, at para. 25.
[91]
The cases where innocent possession is a viable
defence normally involve a person who takes control of contraband out of a
sense of public duty: to prevent injury to others, to destroy the contraband,
or to permanently move it beyond their control:
Chalk
, at para 23-25.
The defence has been successful in situations that are comparable to that of the
appellant, where the accused does not opt to turn the gun into the authorities,
or destroy it:
R. v. Ali
, 2018 ONCJ 379, at paras. 55-56, 79-83;
R.
v. Adedokun,
2018 ONSC 2138, at paras. 23-24, 31-35.
[92]
The defence of innocent possession in this case had
a slim chance of success but was nonetheless arguable. Unfortunately for the
appellant, the trial judge rejected the defence. Although the trial judge
accepted that the gun fell into the appellant聮s possession through no fault of
his own, she did not accept that he acted out of a public duty in retaining the
gun to return it to X.Y. She specifically rejected the appellant聮s evidence
that he feared retaliation from X.Y. if he got rid of the firearm. She also
found that the appellant lied about not knowing about the baton and trigger
lock in his bedroom.
[93]
The appellant turned down the plea deal offered
by the Crown. He elected to take his chances at trial. He was convicted, as he
was in his four prior trials where he did not testify. In this case, he
succeeded in receiving a sentence that was lower than what the Crown had
offered on a plea deal.
[94]
His counsel did not act ineffectively in
advising the appellant to testify. It was his best chance at an acquittal once
the trial judge dismissed the s. 8 application, and it succeeded in reducing
his sentence.
[95]
I would dismiss this ground of appeal.
F.
Ineffective representation
I.
Position of the Appellant
[96]
The appellant argues that he was not properly
represented at the trial itself. According to the appellant, trial counsel聮s
incompetence rendered the result of the trial unreliable, in that, absent the
errors of counsel, the trier of fact may have come to a different conclusion.
[97]
He points to his counsel聮s lack of cross-examination
at the trial proper. Defence counsel asked only one question of each of the two
police officers who testified. The appellant submits that failing to conduct
meaningful cross-examination on the core issue of the case is the kind of
incompetence that can require a new trial if the result
may
have been
different.
[98]
The appellant also argues that defence counsel
did not understand the basic tenets of constructive possession or innocent
possession. According to the appellant, defence counsel put his client on the
stand with no appreciation of the core issue at trial. In support of this
argument, the appellant points to defence counsel聮s submission that: 聯I
challenge the absolute foundation of my friend聮s assertion that the possession
is really what聮s at issue in this case.聰 The appellant also relies upon
counsel聮s faltering response when questioned about the definitions of
constructive possession and innocent possession in his subsequent
cross-examination that formed part of the fresh evidence tendered for this
appeal.
[99]
As noted above, the appellant maintains that defence
counsel聮s failure to issue a timely subpoena and his advice to the appellant to
testify also amounted to incompetence.
II.
Position of the Crown
[100]
The Crown points out that the only two Crown witnesses at trial were
already fully cross-examined by defence counsel at the preliminary inquiry and
their evidence was entered into the trial record on consent. The Crown submits
that any further evidence at trial from these two officers would not have
yielded anything useful for the defence.
[101]
The Crown also takes issue with the appellant聮s suggestion that defence
counsel did not understand the elements of constructive possession and innocent
possession at trial. The Crown points to the fact that defence counsel
correctly referenced the leading case in his submissions, and fully informed
the appellant about the risks of conviction on the basis of constructive
possession in the reporting letter delivered prior to trial.
[102]
The Crown argues that counsel聮s performance was reasonable in this
case. It also submits that, even if it was imperfect, counsel聮s failure to meet
competence standards does not automatically lead to a reversal of a conviction.
Here, the Crown contends that the appellant has failed to show how he was
prejudiced by his counsel聮s representation, such that it occasioned a
miscarriage of justice.
III.
Analysis
[103]
The right to effective assistance of counsel is a principle of
fundamental justice:
R. v. G.D.B
., 2000 SCC 22, 143 C.C.C. (3d) 289,
at para. 24. As Doherty聽J.A. wrote in
Joanisse,
at p. 57:
Where counsel fails to provide effective representation,
the fairness of the trial, measured both by reference to the reliability of the
verdict and the adjudicative fairness of the process used to arrive at the
verdict, suffers. In some cases the result will be a miscarriage of justice.
[104]
To succeed on a ground of appeal on the basis of ineffective
assistance of counsel, an appellant must establish three elements:
i.
the facts on which the ineffectiveness claim is
based on a balance of probabilities;
ii.
that the representation provided by trial
counsel amounted to incompetence on a reasonableness standard (the performance
component of the test); and
iii.
that the incompetent representation resulted in
a miscarriage of justice (the prejudice component of the test):
Joanisse
,
at p. 59;
R. v. Archer
(2005), 202 C.C.C. (3d) 60 (Ont. C.A.), at
paras. 119-120;
G.D.B
., at paras. 24, 26;
R. v. Hartling
,
2020 ONCA 243, 150 O.R. (3d) 224, at paras. 73-74;
R.聽v.聽Cherrington
,
2018 ONCA 653, at para. 25.
[105]
This test presents a high bar that is not easily met:
Cherrington,
at para. 25. The standard is not perfection. Rather, the court must
measure counsel聮s performance or competence against a reasonableness standard,
having regard to the circumstances as they existed when the impugned acts or
omissions occurred. Different lawyers may have run the trial differently, but
that does not mean a trial counsel聮s choices are incompetent. Appellate courts
must give deference to the choices made by trial counsel and the benefit of
hindsight plays no part in this assessment:
Joanisse
, at para. 72;
Archer,
at para. 119;
G.D.B
., at para. 27;
Hartling,
at para. 74.
[106]
Once the appellant has established the facts underpinning the claim
of ineffectiveness under the first branch of the test, the analysis turns to
the third branch 聳 the prejudice component. If there was no prejudice, then it
is undesirable for the court to proceed to the second branch, or the
performance component, of the test:
G.D.B.,
at para. 29;
Hartling
,
at para. 74. In regard to the prejudice element of the test, there are two ways
to show prejudice:
1.
the appellant must establish that there is a reasonable probability
that the verdict would have been different had he received effective legal
representation; or
2.
he must show that his counsel聮s conduct deprived
him of a fair trial.
[107]
A reasonable probability is a 聯probability sufficient to undermine
confidence in the outcome聰:
Joanisse
, at paras. 74, 79-80;
Archer,
at para. 120;
R. v. Davies
, 2008 ONCA 209, 234 O.A.C. 291, at para.
37.
[108]
If prejudice is made out, the court turns to the second branch 聳 the
performance component. The analysis under the second branch proceeds upon a
strong presumption that counsel聮s conduct fell within the wide parameters of
reasonable professional assistance:
G.D.B.,
at para. 27;
Hartling
,
at para. 74.
[109]
Turning to the facts at hand, I agree with the position of the
Crown. I have not been persuaded that trial counsel聮s alleged incompetence
undermined the integrity or reliability of the verdicts, or that it rendered
the trial unfair. Stated otherwise, the appellant has failed to establish
prejudice.
[110]
The thrust of the defence at the trial proper was innocent
possession, which required evidence of the appellant聮s intention. It was
advisable in the circumstances for the appellant to testify. This
recommendation by counsel did not amount to incompetence.
[111]
Nor did counsel聮s cross-examination rise to the level of
incompetence. The police officers simply acted on a search warrant and
identified what they found. The question posed in cross-examination as to
whether they used sniffer dogs related to the allegation that the search
warrant really was not about drugs, but to find the firearm planted by X.Y.
This was consistent with the appellant聮s position that he was framed. The
cross-examination of the police officers from the preliminary inquiry was
already before the judge. The failure to cross-examine further does not mean
that the representation was incompetent, or that there was a miscarriage of
justice.
[112]
Moreover, as I noted above, I do not think that the absence of a
timely subpoena would have reasonably altered the course of the trial. While it
was certainly inadvisable to leave the subpoena to the day the witness was
supposed to testify, I am not persuaded that his testimony would have had an
impact on the verdict. Again, his best shot at an acquittal was innocent
possession, and the trial judge squarely rejected that defence based on a
sufficient evidentiary record.
[113]
Furthermore, a review of the record demonstrates that defence
counsel was competent with respect to his understanding of the legal concepts
of constructive possession and innocent possession at the time of trial. His
reporting letter and his submissions on the issue show his understanding. The
quote referenced by the appellant 聳 聯I challenge the absolute foundation of my
friend's assertion that the possession is really what's at issue in this case聰
聳 is anomalous when contextualized with the full record. I would not accede to
the appellant聮s submission on this point.
[114]
Finally, defence counsel聮s failure to issue a timely subpoena for X.Y.
did not prejudice the appellant. As explained above, there was no reasonable
probability that the verdict would have been different had X.Y. testified at
trial. That said, while it did not rise to the level of ineffective assistance
of counsel, leaving a subpoena until the last minute was certainly inadvisable.
On different facts, a failure to issue a timely subpoena of a key witness could
lead to an unfair trial.
[115]
I would dismiss this ground of appeal.
G.
Disposition
[116]
In summary, the appellant retained counsel on the recommendation of
the very person the appellant accused of being a confidential informant against
him, knowing that the recommended counsel previously represented that same
person.聽 The appellant subsequently failed in his attempt to exclude the
evidence of a gun and ammunition found in his bedroom, when the only
identification found in that bedroom belonged to the appellant. The appellant
was at substantial risk of conviction on the basis of constructive possession.
The appellant unsuccessfully advanced a defence of innocent possession but was
successful in receiving a lower sentence than was previously offered by the
Crown. The convictions were not the result of any failure of representation,
nor did they result from a miscarriage of justice.
[117]
The
appeal is dismissed.
Released: April 13, 2021 聯D.W.聰
聯M. Tulloch J.A.聰
聯I agree. David Watt
J.A.聰
聯I agree. L.B. Roberts
J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Flannigan, 2021 ONCA 174
DATE: 20210322
DOCKET: C65653
Rouleau, Pepall and Roberts
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Matthew Flannigan
Appellant
Laura Remigio, for the appellant
Frank Au, for the respondent
Heard: March 16, 2021 by video
conference
On appeal from the conviction entered on
March 23, 2017 and the sentence imposed on June 22, 2017 by Justice J.
Christopher Corkery of the Superior Court of Justice, sitting with a jury.
REASONS FOR DECISION
[1]
The appellant appeals from his convictions for
using a firearm in the commission of a robbery, using a firearm in the
commission of an aggravated assault, and possession of a firearm while
prohibited. He also seeks leave to appeal his sentence of 9 years less credit
of 54 months and 21 days for pre-sentence custody.
[2]
The appellant聮s trial arose from a home
invasion. It proceeded before a judge and jury. The key issue was identity and
defence counsel advised the jury that the sole issue at trial 聯couldn聮t be more
simple.聰 The jury reached a verdict after four hours.
[3]
After the jury had rendered its verdict, a Court
Services Officer (聯CSO聰) reported to the presiding judge on comments made by a
juror.
[4]
The trial judge conducted a post-verdict inquiry
at which that CSO and two other CSOs were questioned. Three days before the
jury deliberations started, a juror had told the CSO that she did not want to
stay overnight. She had plans for the weekend and she did not want to change
them. The CSO replied that 聯It聮s the process and it聮s just the way it is. You
come prepared to stay.聰 On Thursday, the juror came 聯prepared to stay聰,
carrying 聯an overnight bag聰 with her when she came to court. The trial judge
declined to have any of the jurors testify at the post-verdict inquiry. Hearing
from that juror would be of no assistance and the expanded inquiry ran the risk
of 聯encroaching on the protected jury secrecy.聰
[5]
The appellant submits that the trial judge erred
by failing to allow a fulsome post-verdict inquiry by declining to call the
jurors. The comments of the juror were extrinsic and not intrinsic to the jury
deliberations and gave rise to a reasonable apprehension of bias. In addition,
he submits that this court ought to have a record to determine whether there
was a reasonable possibility that the information provided by the juror had an
effect on the verdict.
[6]
We do not accept the appellant聮s submission that
any further inquiry was required. The trial judge concluded that the record was
sufficient and we see no error in this determination.
[7]
The appellant takes no issue with the conduct of
the trial or the jury instructions. The law presumes that jurors will perform
their duties impartially and according to their oath and follow the
instructions given. As instructed, the juror did come to court prepared to stay
and brought an overnight bag. The evidence disclosed no jury impropriety. The
strong presumption of juror impartiality has not been rebutted. An informed person,
viewing the matter realistically and practically and having thought the matter
through, would not think that it was more likely than not that the juror,
consciously or unconsciously, had failed to decide the case fairly. See
Committee
for Justice & Liberty v. Canada (National Energy Board) (1976)
, [1978]
1 S.C.R. 369 (S.C.C.), at p. 394 and
R. v. Dowholis
, 2016 ONCA 801 at
para. 19.
[8]
For these reasons, we dismiss the conviction
appeal.
[9]
As for the sentence appeal, the appellant
submits that the 9-year sentence was demonstrably unfit and was
disproportionate relative to the sentences of his co-accused. He requests a
sentence of 6.5 years less pre-sentence credit.
[10]
This was a serious home invasion and the
appellant shot the victim. The trial judge considered the appellant聮s age of
nearly 23 at the time of the offence, his criminal record and the gap between
his last conviction and these ones, his family support, and his prospects for
rehabilitation. He balanced the principles of sentencing, and his emphasis on
deterrence and denunciation was not misplaced given the nature of the offences
and the other factors he considered.
[11]
The distinctions in sentences with the three
other co-accused were justified given that, among other things, they all
pleaded guilty and had played a lesser role in the crime than the appellant.
Importantly, the appellant was the only one convicted of using a handgun to
commit robbery and aggravated assault. Two of the others were sentenced on the
basis that they did not know the appellant had a real firearm, and the third on
the basis that the plan did not involve firearms. We also note that the
appellant was in breach of a firearm prohibition order.
[12]
Although the trial judge initially erred in his
oral reasons by saying that the appellant had two prior robbery convictions, he
subsequently corrected this and said this fact made no difference to his
conclusion or reasons. The sentence was fit.
[13]
The appeal is dismissed. Leave to appeal
sentence is granted but the sentence appeal is dismissed.
聯Paul Rouleau
J.A.聰
聯S.E. Pepall
J.A.聰
聯L.B. Roberts
J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Foster, 2021 ONCA 304
DATE: 20210507
DOCKET: C67370
Hoy, Hourigan and Zarnett JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Courtney Foster
Appellant
Courtney Foster, acting in person
Amy Ohler, appearing as duty counsel
Philippe Cowle, for the respondent
Heard and released orally: May
5, 2021 by video conference
On appeal from the convictions entered
on November 7, 2018 and the sentence imposed on March 7, 2019 by Justice Lise
Favreau of the Superior Court of Justice.
REASONS FOR DECISION
[1]
The appellant was convicted of attempted murder.
The victim was his wife. He was prepared to plead guilty to the lesser included
offence of aggravated assault. The only issue at trial was whether the
appellant had the requisite intent for attempted murder.
[2]
The trial judge found that he did. She sentenced
him to a global term of imprisonment of 10 years for the attempted murder and a
separate assault on his wife, to which he had pled guilty, less four years聮
credit for pre-sentence custody, for a net sentence of six years.
[3]
The appellant appeals his conviction for
attempted murder and seeks leave to appeal the sentence imposed.
[4]
As to his conviction, the appellant argues that
the trial judge did not consider all his arguments and that the verdict is
unreasonable. The appellant says he went to his wife聮s workplace just to talk
to her, and not with the intent of murdering her. He says he did not say 聯I聮m
going to fucking kill you聰. He says there was no proof that he took the kitchen
knife, which he stabbed his wife with, from the kitchen that day.
[5]
The trial judge addressed the arguments made by
the appellant聮s trial counsel in her careful reasons.
[6]
The Crown聮s evidence included the testimony of the
appellant聮s wife and two eyewitnesses. The defence did not call any witnesses.
The trial judge was satisfied beyond a reasonable doubt that the appellant
intended to kill his wife. The appellant was prepared. He was waiting for his
wife at her workplace. He had at least two knives. When his wife arrived, he
resorted to violence almost immediately. He stabbed her multiple times,
ultimately going for her neck while saying 聯I聮m going to fucking kill you聰.
[7]
The trial judge聮s finding that the appellant
intended to kill his wife was amply supported by the record. The verdict is not
unreasonable.
[8]
Turning to the sentence appeal, the appellant
argues that his sentence is too harsh, given what happened. Ms. Ohler, who
assisted the appellant on his sentence appeal, argues that the trial judge did
not give the
Duncan
credit which the defence submitted was
appropriate, and which the trial judge appeared to have agreed was appropriate.
[9]
There is no basis for this court to interfere
with the sentence imposed. The trial judge made no error in principle and the
sentence imposed is not demonstrably unfit.
[10]
The trial judge noted the several aggravating
factors in this case. The victim was the appellant聮s spouse. The attack on her
was very violent and sustained. The physical, emotional and financial impact on
her has been very significant. And the appellant had previously been found
guilty of crimes involving violence.
[11]
The trial judge also considered the mitigating
factors: the appellant pled guilty to another assault, and was prepared to plead
guilty to aggravated assault, in relation to the stabbing of his wife. He
worked full-time. He faces deportation at the conclusion of his sentence. He
expressed some remorse, and he had participated in some programming in pre-trial
detention.
[12]
Finally, the record does not support Ms. Ohler聮s
submission. Trial counsel sought six months for
Duncan
credit, and that
is what the trial judge gave him.
[13]
Accordingly, the appeal against conviction is
dismissed and leave to appeal sentence is denied.
聯Alexandra Hoy J.A.聰
聯C.W. Hourigan J.A.聰
聯B. Zarnett J.A.聰
|
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.聽 These sections of
the
Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the following
offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED:
S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings in respect of
the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice
shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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.聽8(3)(b);
2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c.聽 13,
s. 18.
486.6(1)聽聽聽聽聽聽 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)聽聽聽聽 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. Freamo, 2021 ONCA 223
DATE: 20210413
DOCKET: C67000
Watt, Benotto and Nordheimer
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Clayton Freamo
Appellant
Daniel Howard, for the appellant
Natalya Odorico, for the respondent
Heard: March 23, 2021 by video
conference
On appeal from the conviction entered on
January 2, 2019 by Justice Martin S. James of the Superior Court of Justice.
REASONS FOR DECISION
[1]
The appellant聮s wife operated a daycare in their
home. The appellant was charged with seven counts of sexual offences in
relation to two complainants who attended the daycare. The events giving rise
to the charges took place between 2004 and 2010 in connection with the
complainant 聯J.R.聰 and between 2005 and 2008 for the complainant 聯S.L聰. Both
complainants attended the daycare. The trial judge convicted the appellant on
one count of sexual interference and one count of sexual assault in relation to
J.R. and entered acquittals on the other two charges in relation to J.R. and
all three in connection with S.L. The sexual assault charge was conditionally
stayed pursuant to
Kienapple v. The Queen
, [1975] 1 S.C.R. 729. The
appellant appeals his sexual interference conviction, alleging a faulty
credibility analysis by the trial judge.
[2]
In a videotaped interview, admitted at trial
under s. 715.1 of the
Criminal Code
without objection, J.R. stated
that on one occasion the appellant forced her to fellate him. He was convicted
of the incident which occurred in the 聯backroom聰 which was also a laundry room.
In total, she stated that the assaults happened anywhere from 2 to 20 times. She
said that after assaulting her he would usually sit naked on the couch and watch
television for half an hour.
[3]
The appellant denied all the allegations.
[4]
The trial judge found it 聯highly improbable聰
that the appellant would sit naked on the couch after assaulting J.R. but
believed her evidence about the backroom incident.
[5]
The appellant submits that the trial judge
incorrectly approached the credibility analysis as a contest between his
evidence and that of J.R. He points to two comments made by the trial judge:
(i) that the appellant聮s evidence was 聯stacked against聰 J.R.聮s; and (ii) that
the evidence of the appellant was 聯weighed against聰 that of J.R.
[6]
We do not agree.
[7]
First, the impugned comments should not be
extracted from the words surrounding them. The entire paragraphs are as follows.
[8]
With respect to 聯stacked against聰:
When Mr. Freamo聮s
denial is stacked against J.R.聮s evidence that there was an occasion when Mr.
Freamo put his penis in her mouth, I am satisfied that J.R.聮s evidence is
sufficient to displace the presumption of innocence, and
I am not left in a state of reasonable doubt
that Mr. Freamo committed the offence of sexual interference pursuant to s. 151
of the Criminal Code. I found J.R.聮s evidence of the other incidents to be less
certain.
For example, during the police
interview when J.R. referred to an incident when she says Mr. Freamo asked her
to touch herself, the recording is unclear. The interviewer referred to her
vagina but there was no unequivocal confirmation by J.R. [Emphasis added.]
[9]
With respect to 聯weighed against聰:
I am not prepared
to find that the rejection of this piece of evidence makes the rest of J.R.聮s
evidence unreliable or untrustworthy. J.R. was very specific in recalling an
incident that involved Mr. Freamo putting his penis in her mouth. She seems
certain that it was Mr. Freamo who did this.
I accept
this evidence.
I have weighed the evidence of J.R. against the evidence
of Mr. Freamo. I
acknowledge that Mr. Freamo聮s
defence is a general denial and it must necessarily be lacking in detail. I am
also cognizant that as I mentioned before, proof of guilt beyond a reasonable
doubt requires more than a credibility contest.
[Emphasis added.]
[10]
The trial judge聮s statements following the
impugned language demonstrates a correct understanding and application of the
burden of proof.
[11]
Second, these words must also be considered in
the context of the reasons as a whole. The trial judge repeatedly correctly
instructed himself on the proper approach to a credibility analysis. He considered
the counts individually. He explained why he had doubts on some of the counts.
For example, he explained that he had a reasonable doubt on J.R.聮s evidence
with respect to the fact that the appellant told her to touch herself, because
the recording of her police interview was ambiguous on those other counts, and
there was no follow-up by Crown counsel during J.R.聮s in-court testimony. He
further explained why his doubt on some of her statements did not undermine his
belief on the backroom incident. He acquitted on all of the counts with respect
to S.L. The trial judge applied a correct approach to the credibility analysis.
[12]
The appellant also submits that the trial
judge聮s doubt about the allegation that the appellant sat naked on the couch is
inconsistent with his belief about the backroom incident. The appellant says
that all the trial judge said was that the couch incidents were 聯highly
improbable聰 and more was required to explain the inconsistency. Again, we do
not agree. The trial judge discussed this with defence counsel during
submissions.
[13]
Defence counsel said:
[T]hat just sounds
[like] completely illogical behaviour that is so risky that it would defy
credulity that he would be sitting for long periods of his time naked on [the]
couch and when we know that his teenage son and daughter reside there, his wife
resides there 聟 that undermines the credibility and reliability of [J.R.]
[14]
The trial judge then put this to Crown counsel:
You may agree that
it is improbable that the assailant would sit naked on the couch in the living
room where the T.V. is for half an hour or so after the incident. It strikes me
as improbable.
[15]
The appellant submits that the fact that J.R.
was not believed about the sitting naked on the couch should have formed part
of his credibility analysis with respect to the backroom.
[16]
The trial judge clearly had a reasonable doubt
about the evidence with respect to sitting naked on the couch. However, he
believed the evidence regarding the backroom incident. This does not reflect an
inconsistency. On the contrary, it reflects an intention to assess the evidence
carefully. This 聳 together with the acquittals 聳 provides additional confidence
in the trial judge聮s ultimate conclusion as to guilt on the two counts.
[17]
The appeal is dismissed.
聯David
Watt J.A.聰
聯M.L.
Benotto J.A.聰
聯
I.V.B. Nordheimer J.A.
聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Gauthier, 2021 ONCA 216
DATE: 20210409
DOCKET: C67340
Lauwers, Huscroft and Harvison
Young JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Garrett Gauthier
Appellant
Megan Savard and Wesley Dutcher-Walls,
for the appellant
Molly Flanagan, for the respondent
Heard: September 22, 2020 by video conference
On appeal from the conviction entered on
April 24, 2019, by Justice Wayne G. Rabley of the Ontario Court of Justice, and
from the sentence imposed on August 28, 2019, with reasons reported at 2019
ONCJ 626.
Harvison Young J.A.:
[1]
Garrett Gauthier was charged with accessing,
possessing, making available, and making child pornography. He was convicted on
all four counts. He appeals his convictions on several grounds, including that
the trial judge misapprehended potentially exculpatory evidence related to
Skype syncing. He also seeks leave to appeal his sentence.
A.
Background
[2]
The appellant came to the attention of police
when they received a tip from the National Center for Missing & Exploited
Children (NCMEC), stating that an image of child pornography had been uploaded
to Skype from his IP address by an account called 聯dave.j.dunham聰 on January
30, 2017. The police traced the IP address to Mr. Gauthier聮s home. They
searched the home and seized Mr. Gauthier聮s phone and laptop. They found 18
images on his laptop and 121 images and 3 videos on his phone. The police also
found records of graphic Skype chats which formed the basis of the making child
pornography charge. There was no dispute that the materials, including the chat
messages, were child pornography. The issue at trial was identity: did the
Crown prove that the appellant put the material on his devices?
[3]
The case against the appellant was
circumstantial. The appellant lives with his partner, and at least one other
person had lived with them in the few years prior to the charges. Neither his
computer nor his cell phone were password protected. The evidence for the Crown
rested on a post-arrest interview with the appellant; the evidence of Det.
Sandor Illes, an internet child exploitation investigator with the Waterloo
Regional Police Service; and the evidence of Det. Allison Laing, a retired
computer forensic examiner with the Waterloo Regional Police Service. Det.
Laing was qualified as an expert, although, due to certain procedural
irregularities discussed below, the basis for her qualification and the scope
of her expertise was confused.
[4]
At trial, the Crown sought to prove that only
the appellant could have been responsible for the dave.j.dunham Skype activity
and that the appellant possessed the contraband files on his devices. The
defence attempted to raise a reasonable doubt by relying on evidence (a) that
another person using a separate device could have been responsible for the
evidence of illegal activity on the appellant's devices and (b) that the
appellant was unlikely to have engaged in the illegal activity due to his
presence in public places or proximity to other people at the time it occurred.
To highlight the absence of exclusive opportunity, counsel pointed to the
possibility of someone else's involvement but did not bring a formal
third-party suspect application.
[5]
The specific grounds of appeal raised by the
appellant are based on two underlying and related arguments. The first is that
as a case about the possession and creation of digital contraband, much of the
evidence was complex and highly technical, describing subjects like the
automatic sending and syncing of media files, the ability of a Skype user to
sync data across devices, the probative value of a router聮s MAC address,
falsifiability, and more. Some of this evidence was inadmissible to begin with
and had the effect of obscuring gaps in the Crown聮s offer of proof.
[6]
Second, the trial judge made a premature finding
that the appellant had the exclusive opportunity to commit the offences, which
drove his reasoning throughout the rest of his analysis. He was driven to this
by his error in applying the third-party suspect test, which, as both parties
agree, had not been argued. This, in the appellant聮s view, effectively reversed
the burden of proof. Having concluded at an early juncture that the appellant
had an exclusive opportunity to commit the offences, the trial judge failed to
fairly assess the appellant聮s denial. Rather, the evidence about the
appellant聮s whereabouts and the absence of exclusive opportunity should have
been part of the totality of the evidence the trial judge considered in his decision
on whether the Crown聮s offer of proof on each charge precluded any reasonable
innocent explanation:
R. v. Villaroman
, 2016 SCC 33, [2016] 1 S.C.R.
1000. Instead, he was left with no alternative but to reject or minimize
evidence that was inconsistent with the inference of guilt he had already
drawn.
[7]
The respondent submits that the trial judge
understood the Skype syncing evidence and properly rejected the argument that
the syncing could have been remotely effected. The respondent also submits
that, while the case for the Crown was circumstantial, the only real issue was
whether the appellant was the user of the Skype 聯dave.j.dunham聰 account found
on his cell phone and laptop, and the evidence supporting this was
overwhelming. This evidence included the fact that dave.j.dunham聮s chat records
included a number of biographical details that were consistent with the
appellant. In addition, 聯Dunham聰 was Mr. Gauthier聮s mother聮s maiden name. The
evidence of the expert was properly admitted and within her scope and
expertise. The trial judge did not reverse the burden of proof or misapprehend
the evidence. Even if there were errors, the circumstantial case was so
overwhelming that the convictions should stand.
[8]
For the following reasons, I would allow the
appeal and order a new trial with respect to the accessing, making available, and
making counts, and an acquittal with respect to the possession count. I will
address the grounds of appeal in turn.
B.
The decision below
[9]
After giving a brief overview of the facts, the
trial judge discussed the legal principles involved. He directed himself on the
principles set out in
R. v. W.(D.)
, [1991] 1 S.C.R. 742. In addition,
he stated that the defence had 聯submitted that an alternative suspect, a former
roommate聰 could have committed the offences. As a result, he determined that
the test for a third-party suspect in
R. v. Grandinetti
, 2005 SCC 5,
[2005] 1 S.C.R. 27, and
R. v. Grant
, 2015 SCC 9, [2015] 1 S.C.R. 475, applied.
He did not discuss the
Villaroman
case in his reasons.
[10]
The trial judge summarized the defence as
resting upon the following five 聯pillars聰:
1.
The appellant did not have exclusive opportunity
to access, possess or distribute the child pornography on the two devices;
2.
The emails that he provided as exhibits could
only have been produced at his place of employment and therefore establish that
he was at work and not at home on January 30;
3.
The cell phone records provide evidence that he
was in his office making calls and therefore not at home on January 30;
4.
He was in public settings when the majority of
the other downloads were made and therefore could not and would not have been
using his cell phone or laptop during those times; and
5.
He is a credible witness who should be believed
or at least his evidence should raise a reasonable doubt.
[11]
After rejecting each pillar of the defence, the
trial judge concluded that the Crown had proven its case beyond a reasonable
doubt:
Given the evidence
presented by the Crown and in particular the testimony of Detectives Laing and
Illes, I find that the Crown has proven beyond a reasonable doubt that Garrett
Gauthier is one and the same person as david.j.dunham. Even though this is a
circumstantial case, I cannot come to any other [rational] conclusion other
than that Mr. Gauthier committed these offences.
C.
Issues on appeal
[12]
The appellant raises four arguments on his
conviction appeal which I will consider in turn:
1.
The trial judge relied on inadmissible evidence from the Crown聮s
expert about the functioning of Skype technology, or alternatively, failed to
properly consider and limit the scope of her evidence;
2.
The trial judge applied the wrong legal test and reversed the burden
of proof;
3.
The trial judge misapprehended the evidence of identity and
opportunity; and
4.
The trial judge聮s verdict on the possession charge was unreasonable.
[13]
On his appeal of his four-year concurrent
sentences on the possessing and making available counts, the appellant submits
that the trial judge committed errors in principle and that the resulting
sentences were disproportionate, harsh, and excessive.
D.
Analysis
(1)
Inadmissible evidence on the functioning of
Skype technology
[14]
According to the appellant, the trial judge
erred in admitting Det. Laing聮s evidence as an expert witness, because she was
insufficiently independent of the investigation and because key parts of her
evidence exceeded the scope of her expertise. This second error was compounded
by a failure to define and or limit the scope of her evidence to her expertise,
which set the groundwork for further errors in the approach to and
consideration of the evidence at trial.
[15]
The respondent, on the other hand, takes the
position that Det. Laing聮s evidence was properly admitted and that the trial
judge did not err in reversing his earlier ruling that she was not sufficiently
independent of the investigation. There was no issue with the scope of Det.
Laing聮s evidence; rather it was well understood. She was permitted to give both
expert opinion evidence and technical fact evidence based on her specialized
knowledge in the area of 聯computer examination, data analysis, computer and
cell phone forensic analysis and data retrieval.聰 Moreover, the Crown submits,
her evidence was within the scope of this specialized knowledge and expertise.
To the extent she provided evidence about the operation of Skype, this evidence
was largely elicited by the defence and benefited the appellant.
[16]
The trial began with a
voir dire
on the
qualifications of the Crown聮s expert, Det. Laing. The Crown initially sought to
qualify her as an expert to 聯provide evidence
relative
to computer examination, data analysis, computer, and cell phone forensic
analysis and data retrieval
.聰 The defence challenged her qualifications on
the basis that she was not sufficiently independent. During submissions, the
Crown argued that Det. Laing聮s testimony was essential to prove the
mens
rea
of the charged offences.
[17]
On the charges before the court, that meant
that the Crown had to prove that Mr. Gauthier knowingly uploaded the files (making
available), that he knew the files were on his devices (possessing), that he knowingly
viewed or transmitted child pornography to himself (accessing), and that he
personally wrote the chat messages (making).
[18]
After hearing Det. Laing聮s testimony on the
voir
dire
and the parties聮 argument, the trial judge issued a ruling
disqualifying her because she was not sufficiently independent to testify as an
expert. However, his ruling was based on a misapprehension of the facts
surrounding her contact with Det. Illes and the investigative team. The trial
judge based his independence conclusion on the finding that Det. Laing had
discussed the investigation with Det. Illes and seen his work product and
conclusion that the appellant was dave.j.dunham in May 2017 before she
completed her initial forensic report. However, these discussions took place in
May 2018, well after she had completed her initial forensic report.
[19]
After this ruling, the Crown advanced an
alternative argument for the admissibility of her testimony: that Det. Laing
was a lay witness with specialized knowledge of forensic computer analysis.
[20]
On the third day of trial, the trial judge
reversed his ruling disqualifying Det. Laing due to his misapprehension of the
facts. After this ruling, the Crown said it sought to elicit only specialized
knowledge lay evidence, not expert opinion. The trial judge did not indicate
whether he was permitting Det. Laing to give expert opinion or lay evidence
based on special knowledge. Nor did he delineate the scope of the matters about
which she could testify. In short, the basis upon which her evidence was
admitted was never clarified.
[21]
On appeal, the appellant argues both that Det.
Laing should not have been permitted to testify at all either because she was
not sufficiently independent or because, in any event, critical parts of her
evidence (particularly in relation to Skype) were beyond the scope of her
expertise and specialized knowledge.
(i)
The principles
[22]
An expert聮s independence and impartiality goes
to both admissibility and weight:
White Burgess Langille Inman v. Abbott
and Haliburton Co.
, 2015 SCC 23, [2015] 2 S.C.R. 182, at para. 45. There
is a two-step test to determining the admissibility of expert opinion evidence:
White Burgess
, at paras. 22-24. The first step involves an inquiry
into whether the evidence meets the threshold requirements for admissibility:
White
Burgess
, at para. 23;
R. v. Abbey
, 2017 ONCA 640, 140 O.R. (3d)
40, at para. 48. The second step is a gatekeeping step, where the judge must
balance 聯the potential risks and benefits of admitting the evidence聰:
White
Burgess
, at para. 24.
[23]
An expert witness owes a duty to the court to be
fair, objective and non-partisan:
White Burgess
, at para. 46. In order
to meet the threshold requirement, the expert must be able and willing to carry
out her duty to the court. The threshold requirement is 聯not particularly
onerous and it will likely be quite rare that a proposed expert聮s evidence
would be ruled inadmissible for failing to meet it聰:
White Burgess
, at
para. 49. Concerns about an expert聮s independence and impartiality are also
relevant at the gatekeeping stage:
White Burgess
, at para. 54.
[24]
A trial judge聮s gatekeeping role, however, does
not end when the admissibility inquiry is over. It is critical for a trial
judge to be alive to the continuing gatekeeper role throughout the trial and to
be conscious of what is and is not evidence properly before the court:
R.
v. Sekhon
, 2014 SCC 15, [2014] 1 S.C.R. 722, at para. 46. As part of the
ongoing gatekeeper role, the trial judge must ensure that an expert聮s testimony
聯stays within the proper bounds of his or her expertise聰:
Sekhon
, at
para. 47.
(ii)
Application to the case
[25]
I would reject the appellant聮s argument that the
trial judge should not have permitted Det. Laing to testify because she did not
meet the independence requirement. The trial judge had made a simple error and
once the error was brought to his attention, he stated that this was
determinative of his opinion and reversed his ruling. He was entitled to do so.
That decision was justifiable on the evidence and there is no reason to
interfere with it on appeal.
[26]
A problem, however, arose from the trial judge聮s
failure to delineate and to monitor the scope of her testimony, and
particularly, her evidence on remote syncing and Skype as it emerged in the
course of her testimony.
[27]
In cross-examination, Det. Laing was asked
technical questions about the operation of Skype. When asked about specific
Skype settings on the appellant聮s computer, she admitted that she was 聯not an
expert in Skype.聰 Later in the cross-examination, she was asked about the
nature of Skype syncing:
Q.聽聽聽聽聽 The
possibility of individual A being able to engage in Skype activity on his or
her computer; individual B, who聮s also synched to that same Skype account may
not know what individual A is doing, if individual B聮s computer is not on. And
the witness had indicated that聮s possible.
[I]f my individual B
a month later, two months later logs onto the computer and goes on to Windows
and I聮m going on the basis that the box is ticked that Skype automatically
comes up, all the content of A聮s Skype communications will be picked up on B聮s
computer, won聮t it?
A.聽聽聽聽聽 So if you聮re, if
you聮re asking me whether once B then logs on to their account and it聮s
connected to the server and it syncs, then yes.
[28]
Defence counsel then asked, if individual A
uploaded a photograph to Skype that synced onto individual B聮s device, whether
the image would have appeared to have been uploaded from individual B聮s device
as well:
Q.聽聽聽聽聽 Okay.
And let me ask you this, if, if an image had been sent, let聮s stay with that
scenario, A had uploaded an image from the Skype account to another location,
would it appear that the image had been uploaded from both devices? Do we see
uploading, because they聮re both synced, would it appear that they聮ve both been
uploaded or uploaded from both devices?
A.聽聽聽聽聽 I don聮t
know.
[29]
Det. Laing then articulated an untested theory
about how the data would appear on each device:
A.聽聽聽聽聽 I聮m, I聮m having 聳
wouldn聮t have tested this, but I would think there would be a file path where you聮re
acquiring this from each device that would help identify where it聮s coming
from, but I don聮t know.
Det. Laing聮s evidence on the
possibility of remote syncing and the different file paths is discussed in more
detail on the misapprehension of evidence issue.
[30]
The Crown聮s position is that Det. Laing was
giving evidence within her expertise because she was giving evidence about the
forensic analysis and data retrieval and not about Skype聮s functioning. With
respect, given the fact that the heart of the defence was that the appellant
had not personally uploaded any contraband or operated the dave.j.dunham
account during the material times, the issue of remote uploading and syncing
across devices with the same Skype account was a live issue. As the Crown notes,
the syncing function was key to the appellant聮s defence. The very general basis
for Det. Laing聮s expertise 聳 聯computer examination, data analysis, computer and
cell phone forensic analysis and data retrieval聰 聳 says nothing about social
media platforms and, in particular, Skype. Det. Laing, by her own admission,
was not an expert in Skype.
[31]
I would allow this ground of appeal. While the
trial judge did not err in declining to exclude Det. Laing聮s evidence on the
basis that she lacked independence, he erred in failing to limit the scope of her
evidence in relation to Skype. In the circumstances of this case, I am unable
to conclude that the case against the appellant was so overwhelming that
conviction was inevitable in the absence of this evidence. Although that
disposes of the appeal, I will address the other grounds because they were
fully argued before us in the course of the appeal.
(2)
Exclusive opportunity and burden of proof
[32]
A core component of the defence at trial was
that someone else was responsible for the illegal activity. This person had
access to the appellant聮s devices, which were not password protected, at some
point in the past and logged on to the dave.j.dunham Skype account during this
time. As a result, the photos and videos were synced onto the appellant聮s
devices via
Skype. The implication of this defence is that the person
responsible for the illegal upload on January 30 would not have had to be in
the appellant聮s home and on his laptop to effect the upload.
[33]
After setting out the
W.(D.)
test early
in his reasons, the trial judge went on to say that 聯an alternative suspect聰,
Mr. Collins, who had been a roommate of Mr. Gauthier and his partner, was a
person who could have committed the offences. He stated that:
In order for a
court to consider a 聭third party suspect聮 there must be a sufficient connection
between the third party and the crime. As stated by Karakatsanis J. in R. v.
Grant, 2015 SCC 9 at para 24, 聯evidence that this third person had the motive,
the means, or the propensity to commit the crime will often establish this
sufficient connection.聰
[34]
The trial judge then stated that there must be
an 聯air of reality聰 to trigger the consideration of whether or not the offences
were committed by a third party, citing
Grandinetti
.
[35]
It is common ground that the trial judge
mistakenly referred to the
Grandinetti
test when the
Villaroman
analytical framework applies. The Crown, however, argues that this was of no
moment because the trial judge actually applied the
Villaroman
test.
[36]
The defence sought to raise a doubt by
identifying reasonable inferences inconsistent with guilt and evidence capable
of undermining the Crown聮s claim of exclusive opportunity. In making the
argument, the defence emphasized its position that there was a reasonable
possibility that Mr. Collins or others were implicated in the illegal activity.
The defence did not suggest that Mr. Collins had a motive or propensity to
commit the crime. It was understood that counsel was not advancing a
third-party suspect defence.
[37]
On appeal, the appellant argues that applying
the
Grandinetti
framework effectively reversed the burden of proof
because applying the
Grandinetti
test limited, from the outset of the
analysis, the range of potentially innocent explanations for the evidence of
illegal activity on the appellant聮s devices, while the
Villaroman
test
precludes conviction on circumstantial evidence if there is another reasonable
explanation inconsistent with guilt. This court has allowed appeals from
conviction in cases where the trial judge has misunderstood the approach to
circumstantial evidence and implicitly required the defendant to explain what
happened. This is reinforced by the trial judge聮s statement in the course of
his explanation for rejecting the appellant聮s evidence:
I appreciate that
the Defence bears no onus to prove the innocence of Mr. Gauthier and that the
onus of proof always rests with the Crown, but in my view, much of this
evidence was problematic for the reasons I have set out and I find that it did
not exonerate Mr. Gauthier as suggested by the Defence.
[38]
The respondent submits that, when the reasons
are read as a whole, the trial judge did apply the
Villaroman
framework. Deference is owed to the trial judge聮s conclusion that there is no
reasonable alternative inference to guilt. The trial judge聮s reference to the
third-party suspect test is of no moment and, if it was an error, it was a
harmless one. Although he cited the
Grandinetti
聯air of reality聰 test
at the outset, the trial judge did not mention it again in his reasons. He
considered all of the evidence, including the defence evidence, and eventually
found that the only rational conclusion was that the appellant committed the
offence. Although his use of the word 聯exonerate聰 is not perfect, when the
reasons are read as a whole, it is clear that the trial judge properly applied
the burden of proof. The trial judge concluded his analysis with the statement
that he found that 聯the Crown has established beyond a reasonable doubt that
neither Mr. Collins, Mr. Alexander nor a person unknown were operating the
account david.j.dunham Skype account. By process of elimination, that leaves
only Mr. Gauthier.聰
(i)
The principles
[39]
A trial judge聮s reasons are to be read as a
whole and should not be microscopically examined or dissected:
R. v. R.E.M.
,
2008 SCC 51, [2008] 3 S.C.R. 3, at para. 37;
R. v. C.L.Y.
, 2008 SCC 2,
[2008] 1 S.C.R. 5, at para. 11. That said, it is not enough to cite the correct
rules if they are not given substantive effect: see e.g.
R. v. Smith
,
2020 ONCA 782, at para. 16.
[40]
It is trite to say that the presumption of
innocence and the duty of the Crown to prove guilt beyond a reasonable doubt form
the golden thread of criminal law:
R. v. Oakes
, [1986] 1 S.C.R. 103,
at p. 120. One consequence of the principle of proof beyond a reasonable doubt
is that, in cases resting upon circumstantial evidence, the trier of fact
should consider other reasonable inferences inconsistent with guilt:
Villaroman
,
at para. 37. This is because of the danger that a trier of fact may fill in the
blanks or bridge gaps in the evidence 聯to support the inference that the Crown
invites it to draw聰:
Villaroman
, at para. 26.
(ii)
Application to the case
[41]
The starting point of the trial judge聮s reasons
was the
Grandinetti
air of reality test, which effectively required
the defence to show that a particular identifiable person (Mr. Collins) had a
sufficiently strong connection to the offences to meet the air of reality test
and justify serious consideration. This set the stage for the risk of an
improper shifting of the burden of proof to the accused because, once the trial
judge concluded that Mr. Collins could not have committed the offences, that
left the appellant as the remaining possible perpetrator. The defence evidence
was considered against this backdrop.
[42]
In considering Mr. Gauthier聮s defence that he
did not have an exclusive opportunity to commit the offences, the trial judge
commented that the complex criminal case could be seen very simply:
When one looks
objectively at all of the evidence, logically there can be only three people
who could possibly have accessed, possessed and distributed the child
pornography on Mr. Gauthier聮s cell phone and laptop. They are Khary Alexander,
Stephen Collins and Garrett Gauthier.
[43]
All parties agreed that Mr. Alexander, Mr.
Gauthier聮s partner, could not have committed the offences for reasons that are
not pertinent to this appeal, except to say that the trial judge properly
considered the evidence on the point and agreed. This left only Mr. Collins as
a potential 聯third party聰.
[44]
Mr. Gauthier testified that Mr. Collins had
unrestricted access to his laptop which was not password protected, and that
his roommates used his laptop.
[45]
The trial judge then turned to consider whether
the person responsible for the child pornography found on the appellant聮s
devices was Mr. Collins or Mr. Gauthier. Mr. Gauthier聮s evidence was that Mr.
Collins had been a roommate between October 2014 until December 2016. The trial
judge found that the dave.j.dunham account had been created in order to
disguise the identity of the real user. Given that Dunham was Mr. Gauthier聮s
mother聮s maiden name and few people would have known that, it was logical to conclude
that Mr. Gauthier created it.
[46]
Moreover, the account was created on May 25,
2012, over two years before Mr. Collins began living with Mr. Alexander and the
appellant. The chat records in evidence for the dave.j.dunham account dated
back to November 2, 2015. The appellant had a Skype account that was set up in
his own name in April 2010. This account had last been logged on to on November
28, 2015. There was approximately one month of overlap in the use of the two
accounts.
[47]
By January 30, 2017, Mr. Collins had moved out
and was apparently living in Newfoundland. The trial judge concluded that Mr.
Collins could not have been at the appellant聮s home at the time of the upload.
[48]
The trial judge also rejected Mr. Gauthier聮s
evidence that on a number of occasions, which coincided with times that
pictures and videos were created, downloaded, uploaded, or accessed on his devices,
he was in public places or involved in doing other things such that he could
not have engaged in these activities, observing that:
In every venue 聟 we
witness people on their phones. It is not uncommon for these individuals to be
communicating with a variety of others and 聭reaching out聮 or 聭staying connected.聮
Therefore, to suggest that Mr. Gauthier may not have been briefly engaged on
his phone because he was at a restaurant or a social get together does not
recognize the way we now live.
[49]
The trial judge found that had Mr. Collins been
the one to set up the dave.j.dunham account, he would have discovered the Skype
account that was still being used by Mr. Gauthier. Moreover, the trial judge
expressed the view that it defied common sense to believe that Mr. Gauthier, an
engineer, would not have noticed this earlier. That left Mr. Gauthier as the
sole person who could have committed the offences.
[50]
The trial judge聮s approach reflects a failure to
clearly apply
Villaroman
. His reference to the of test from
Grandinetti
risked shifting the burden of proof. At the same time, the trial judge was well
aware that the Crown had to prove its case beyond a reasonable doubt. He
correctly articulated the three steps of
W.(D.)
and applied those
steps. He rejected the appellant聮s evidence, finding it inconsistent and
self-serving. He stated, after dismissing the five 聯pillars聰 of the defence,
that the evidence as a whole did not leave him with a reasonable doubt. There
was, as the Crown argues, significant circumstantial evidence implicating the
appellant. Nevertheless, setting out the
Grandinetti
third party
suspect framework at the outset set the stage for an unfair assessment of the
Villaroman
test which appeared to place an unfair burden on the appellant. This concern
was exacerbated by the trial judge聮s comment that the evidence did not
聯exonerate聰 the appellant.
[51]
The narrow question is whether, against such a
backdrop, the failure to clearly apply
Villaroman
in these
circumstances is a fatal error that requires a new trial. The respondent submits
that given the circumstantial evidence in this case, this court should apply the
curative
proviso
. This would
not be appropriate in this case because the error was compounded by
misapprehension of the evidence, to which I now turn.
(3)
Misapprehension of the evidence
(i)
The principles
[52]
The principles governing the misapprehension of
evidence are well known and articulated in
R. v. Morrissey
(1995), 97
C.C.C. (3d) 193 (Ont. C.A.) and adopted in
R. v. Lohrer
, 2004 SCC 80,
[2004] 3 S.C.R. 732.
[53]
In
Morrissey
, at p. 221, Doherty J.A.
wrote that a misapprehension of evidence will result in a miscarriage of
justice when the misapprehension relates to the substance of material parts of
the evidence and the errors play an essential part in the reasoning process:
When will a misapprehension of the evidence
render a trial unfair and result in a miscarriage of justice? The nature and
extent of the misapprehension and its significance to the trial judge's verdict
must be considered in light of the fundamental requirement that a verdict must
be based exclusively on the evidence adduced at trial. Where a trial judge is
mistaken as to the substance of material parts of the evidence and those errors
play an essential part in the reasoning process resulting in a conviction, then,
in my view, the accused's conviction is not based exclusively on the evidence
and is not a "true" verdict. Convictions resting on a misapprehension
of the substance of the evidence adduced at trial sit on no firmer foundation
than those based on information derived from sources extraneous to the trial.
If an appellant can demonstrate that the conviction depends on a
misapprehension of the evidence then, in my view, it must follow that the
appellant has not received a fair trial, and was the victim of a miscarriage of
justice. This is so even if the evidence, as actually adduced at trial, was
capable of supporting a conviction.
[54]
In
Lohrer
, at para. 2, Binnie J.
affirmed
Morrissey
and stated that the misapprehension must go to the
substance, rather than the detail, of the evidence and that the error must play
an essential part in not just the narrative of the judgment but in the
reasoning process resulting in a conviction.
(ii)
Application to the case
[55]
The trial judge committed one central
misapprehension of the evidence before him. He assumed that the upload on
January 30 had to have happened from the appellant聮s home. Part of the basis
for rejecting Mr. Collins as the possible operator of the account was that Mr.
Collins had moved to Newfoundland, and the trial judge stated that it was
absurd to suggest that Mr. Collins was the perpetrator:
In my view, it is beyond credulity to suggest
that Mr. Collins returned from Newfoundland without telling Mr. Gauthier or Mr.
Alexander and then entered into their home when they were not there and without
their permission, to access the Skype account and download child pornography
onto the laptop. That simply defies logic.
I should make a finding that Stephen Collins was not there that day
. If he was not, he could not have been the individual who was using
the dave.j.dunham account on earlier occasions. [Emphasis added.]
[56]
Having rejected the possibility that there might
have been other persons involved, this made the appellant聮s version of events
(such as his position that he was at work or in social situations at times when
the dave.j.dunham account was chatting or when child pornography was accessed)
presumptively suspect. The trial judge rejected the appellant聮s evidence on
this issue and found that it did not raise a reasonable doubt. The trial judge
dismissed this possibility as far-fetched, noting that it was impossible to
believe that a computer-savvy engineer such as the appellant would not have
noticed that his Skype application had effectively been used by someone else
for a few years.
[57]
The appellant argues that the trial judge
misapprehended the evidence on this point. The evidence elicited by both the
Crown and the defence was that information on Skype could be synced across
devices. The trial judge聮s assumption that the January 30 upload originated
from the appellant聮s home disregarded this evidence. This caused him to
overlook a reasonable innocent explanation for the inculpatory evidence on the
appellant聮s devices.
[58]
The Crown argues that the trial judge聮s finding
that the upload happened at Mr. Gauthier聮s home was supported by the evidence. For
example, the Crown states that someone must have logged in to Skype on the
appellant聮s computer in the appellant聮s home on January 30 for the images to
have synced. In addition, the Crown argues that evidence related to IP and MAC
addresses supports the trial judge聮s finding.
[59]
However, it is not clear from Det. Laing聮s
testimony that this evidence supports the inference that the January 30 upload
happened in the appellant聮s home. First, the Skype settings do not suggest that
someone had to have been at the appellant聮s computer on January 30. As Det.
Laing testified, Skype technology syncs across devices. However, all that is
required is that Skype be open and logged in. Nothing in Det. Laing聮s testimony
on the Skype settings, including the fact that Skype was not set to start upon
start-up, suggests that someone had to open and log in to Skype on January 30.
Second, Det. Laing聮s evidence related to the IP address and MAC address
associated with the laptop only suggests that the laptop was at the appellant聮s
home and connected to the internet on January 30. This evidence does not say
anything about whether the January 30 upload originated from the appellant聮s
laptop or whether it originated from another device.
[60]
The only evidence on the record that would
support the conclusion that the upload happened from the appellant聮s home was
the NCMEC tip and Det. Laing聮s evidence that there would be different file
paths that would enable her to identify which device an upload originated from.
[61]
The NCMEC tip cannot be relied on as evidence in
this case. First, it was hearsay and there was no argument at trial that it
should be admitted on the basis of any exception to the hearsay rule or the
principled exception. Second, there was no evidence, aside from Det. Laing聮s,
about whether Skype or NCMEC would be able to differentiate between the
original upload and a remotely synced download. This is not something that
could form the basis of judicial notice, particularly during this period of
rapidly developing and highly complex computer technology.
[62]
Det. Laing聮s evidence on this point was
equivocal and confusing and given her admitted lack of expertise on Skype syncing
as discussed above, inadmissible. She began her answer with the statement that
she had not tested this theory, but that she thought that there would be
different file paths that would allow her to identify where an upload
originated. The fact that even Det. Laing was unsure about this subject
underlines the extent to which this area is 聯beyond the ken聰 of fact finders. By
disregarding (without discussing) the possibility of remote access by someone
who had access to the appellant聮s devices some time ago, it is not clear that
the trial judge understood that this could have been a technical possibility.
(iii)
Conclusion on misapprehension of evidence
[63]
The trial judge made a number of findings that
allowed him to conclude that the appellant was the operator of the dave.j.dunham
Skype account. He found that the dave.j.dunham Skype account was created on the
appellant聮s laptop, and not on some other device. He drew this inference
because the corresponding email address (dave.j.dunham@gmail.com), which was
not used for any purpose other than to create the dave.j.dunham Skype account,
was logged in on the appellant聮s computer. He found it illogical to suggest
that someone would have logged in to that email account on the appellant聮s
computer some time after the creation of the Skype account. He also found that
there was powerful circumstantial evidence that the appellant was the operator
of the dave.j.dunham Skype account, including that a number of biographical
details that dave.j.dunham had discussed in Skype chats also described the appellant.
It is possible that the sum total of this evidence would have enabled a trier
of fact to draw the inference that the appellant was the operator of the dave.j.dunham
Skype account.
[64]
However, the trial judge聮s unstated assumption
that the January 30 upload originated in the appellant聮s home was not supported
by any admissible evidence at trial and was a misapprehension of the evidence.
This assumption played an essential part in his train of reasoning. It was one
of the reasons that the trial judge concluded that Mr. Collins could not have
committed the offences. Having so concluded, the trial judge viewed the
appellant聮s potentially exculpatory evidence with a great deal of skepticism. As
a result, there was a miscarriage of justice.
(4)
Unreasonable verdict on the possession count
[65]
The appellant argues that the conviction for
possession was unreasonable on the evidence. All but two of the files
containing child pornography were located in various cache folders on the
appellant聮s laptop and cell phone. According to the appellant, presence in
cache folders is only enough to establish accessing, not possession.
[66]
The final two files were found on the
appellant聮s laptop in a folder titled 聯My Skype聮s received files聰. This folder
is not a cache folder. The appellant argues that Det. Laing聮s testimony on this
folder was confused and contradictory and that her evidence strayed outside of
her expertise.
[67]
The appellant argues that, because the trial
judge never undertook an offence-by-offence analysis, it is unclear exactly what
evidence he considered when he convicted on the possession charge. Absent
admissible evidence from Det. Laing on the location of these two files, there
is not enough evidence capable of supporting a conviction on possession.
[68]
The Crown concedes that the evidence with
regards to all but two of the files does not establish possession. However, the
conviction was supported by the evidence because Det. Laing聮s evidence was that
the two remaining images had to have been purposefully downloaded. In addition,
the Crown states that possession of the written pornography in Skype chat logs
is sufficient to ground a conviction for possession of child pornography.
[69]
A key question at trial was what, if anything,
the user of Mr. Gauthier聮s devices would have had to do for the illicit images
to end up in the 聯My Skype聮s received files聰 folder.
If
deliberate human action was required to 聯accept聰 a file transfer before it
could end up in the folder, then Det. Laing聮s evidence could support a finding
that the appellant had deliberately taken possession of those images. However,
Det. Laing聮s testimony was confused on this point.
[70]
When asked, Det. Laing first testified that a
user would have to do something to accept a download before a file would appear
in the folder:
A.聽聽聽聽聽 In
the, 聯My Skype聮s received files,聰 this is a default location that Skype has for
file transfers and download, it聮s the download location. The user can, in the
settings for Skype, change where those files would be downloaded and saved.
This is still set to the default location as, 聯My Skype received files.聰 When
the file is, file transfer is accepted by the user, this is the directory the
file is saved to by the computer.
Q.聽聽聽聽聽 All
right, so when someone is in Skype, just describe for us what聮s happening in
Skype with the user that, that results in these two particular images winding
up in that received files sub-folder.
A.聽聽聽聽聽 The user has
accepted a file transfer from another Skype user and it聮s being downloaded into
this location.
[71]
Later, in cross-examination, Det. Laing denied
that 聯accepted聰 had any meaning in relation to file transfers:
Q.聽聽聽聽聽 You
have indicated to us a number of different instances where what you can say is
an image appears to have been accessed, that聮s as opposed to being accepted.
A.聽聽聽聽聽 What聮s accepted mean in your聟.
Q.聽聽聽聽聽 Well,
accepted as in 聳 well, I don聮t know if the right term would be downloaded,
saved, manners of that sort, I think I聮d seen the term accepted with respect to
exchange of some images. I may be using the word wrong.
[Crown counsel]:聽聽 The file transfer you聮re
talking about?
Q.聽聽聽聽聽 Or
a file transfer. The term accepted, is that a term that, that has relevance in
the world of file transfers from your standpoint?
A.聽聽聽聽聽 Not, I聮m not recognizing that, no.
[72]
Although her initial testimony suggests that a
Skype user would have knowledge of the contents of the Skype received files
folder, by virtue of the fact that a received file would have to be 聯accepted聰,
her later statement that 聯accept聰 had no meaning raises questions about what
user action was required for documents to end up in the Skype folder. That, in
turn, raises questions about whether a user would have knowledge of the
contents of the folder or whether files could end up in the folder
automatically, without the knowledge of the computer user. Det. Laing聮s
evidence on the mechanics of the Skype folder is even more questionable given
that she, by her own admission, was not an expert in Skype technology.
[73]
Considered as a whole, her evidence does not clearly
establish that the appellant deliberately 聯accepted聰 the files and therefore
had the requisite knowledge to establish possession. Moreover, as I have
already outlined, her evidence as to the functioning of Skype was inadmissible
because she recognized that she did not know how it worked. Without this
evidence, there was no evidence that the appellant knew that he had physical
custody of the images. Knowledge of possession is an essential element of
possession:
R. v.
Morelli
, 2010 SCC 8, [2010] 1 S.C.R. 253, at
para. 16;
R. v. M.N.
, 2017 ONCA 434, at para. 37. There was no other
evidence on the point.
[74]
I reject the Crown聮s argument that possession of
the Skype chats would be enough to sustain the possession conviction. First, my
conclusions on the other grounds of appeal apply to the Skype chats as well.
Second, this theory of liability was not advanced at trial, nor was it
specified on the information. The information stated that the possession charge
was based on 聯digital images and videos聰, not written material. I would not
amend the information to include the written material in the possession count,
as suggested by the Crown in oral argument. I am not persuaded that doing so at
this stage would not occasion prejudice to the appellant.
(5)
The curative
proviso
[75]
The respondent argues that the evidence against
the appellant was overwhelming and that this court should apply the proviso.
[76]
I disagree. While the circumstantial evidence
may have appeared to be strong, it was not overwhelming. The heart of the defence
was the argument that the contraband on the appellant聮s devices could have been
remotely transferred. Much of the expert evidence on that subject was
inadmissible as it was beyond, on Det. Laing聮s own admission, the scope of her expertise.
Without Det. Laing聮s evidence on key aspects of the technology, including
whether the January 30 upload happened from the appellant聮s home and how the
files ended up on the devices (which was essential to the possession
conviction), it cannot be said that
the case against the
appellant was so overwhelming that conviction was inevitable
. Given the
confusion around the third-party suspect
Grandinetti
test and the
circumstantial evidence test in
Villaroman
, as well as the fact that,
as set out above, the inadmissible evidence of Det. Laing played a significant
role in the trial judge聮s decision, I am unable to reach that conclusion. That
said, it is possible that the circumstantial case could have given rise to a
conviction in the absence of these errors. For that reason, I would allow the
appeal and order a new trial with respect to the accessing, making available,
and making child pornography counts. I would order that an acquittal be entered
with respect to the possession count as there was no admissible evidence that
the appellant knew that those images were on his devices.
E.
Disposition
[77]
For these reasons, I would allow the conviction
appeal and order a new trial with respect to the accessing, making available,
and making child pornography counts. I would order that an acquittal be entered
with respect to the possession count. It is not necessary to consider the
sentence appeal.
Released: April 9, 2021
聯P.L.聰
聯A. Harvison Young J.A.聰
聯P. Lauwers J.A.聰
聯Grant Huscroft J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Glegg, 2021 ONCA 100
DATE: 20210219
DOCKET: C65555
Strathy C.J.O., Watt and Zarnett
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Robert Glegg
Applicant
(Appellant)
Leo Adler, for the appellant
Jeremy D. Tatum, for the respondent
Heard: November 12, 2020 by videoconference
On appeal from the
judgment of Justice Clayton Conlan of the Superior Court of Justice, dated June
20, 2018, with reasons reported at 2018 ONSC 3861.
Watt J.A.:
[1]
The appellant is a private informant. He laid an
information before a justice of the peace in which he alleged that his ex-wife
committed three indictable offences: abduction, perjury, and disobeying a court
order.
[2]
A pre-enquete was scheduled to determine whether
process should issue to compel the appellant聮s ex-wife to appear to answer the
charges.
[3]
The appellant prepared a detailed memorandum to
support his case for the issuance of process at the conclusion of the
pre-enquete. He retained counsel to assist him at the hearing. Both appeared at
the pre-enquete.
[4]
An agent of the Attorney General (Crown counsel)
also appeared at the pre-enquete. Before the justice of the peace heard the
allegations of the appellant or the evidence of any witnesses, Crown counsel
directed the clerk of the court to enter a stay of proceedings on the
information laid by the appellant.
[5]
The appellant filed a Notice of Application in
the Superior Court of Justice. He sought an order setting aside the stay of
proceedings entered by Crown counsel and directing the justice of the peace to
conduct the pre-enquete.
[6]
The respondent invoked Rule 34.02 of the
Criminal
Proceedings Rules
for the Superior Court of Justice (Ontario)
SI/2012-7 (聯
CPR
聰) in answer to the appellant聮s application. On the
hearing, the motion judge dismissed the appellant聮s application relying on Rule
34.02 to do so.
[7]
The appellant appeals. He asks that we set aside
the decision of the motion judge and the stay entered and direct that a
pre-enquete be held to determine whether process should issue.
[8]
These reasons explain why I would dismiss the
appeal.
The Background Facts
[9]
The issues raised on appeal do not require any
elaboration of the circumstances underlying the offences the appellant alleges
his ex-wife committed. A brief summary of the procedural history of the case
will suffice.
The Information
[10]
On March 27, 2018 the appellant laid an
information before a justice of the peace. The appellant alleged that his
ex-wife, from whom he separated in 2001, had committed three indictable
offences in the State of Florida and this province at various periods between
2014 and 2016.
Preparation for the Pre-enquete
[11]
The appellant retained counsel to assist him in
presenting his case for the issuance of process on the information. Counsel
provided the local Crown with a copy of the materials on which the appellant
relied and responded to questions asked and concerns expressed by the Crown
about the manner in which the appellant proposed to prove the abduction allegation.
The Pre-enquete
[12]
About six weeks after a justice of the peace
received the information laid by the appellant, the pre-enquete was commenced
before a designated justice of the peace.
[13]
At the outset of the pre-enquete, before the
justice of the peace heard the allegations of the appellant or the evidence of
any witnesses, Crown counsel directed the clerk of the court to enter a stay of
proceedings on the information under s. 579(1) of the
Criminal Code of
Canada
.
[14]
Crown counsel explained his reasons for
directing entry of the stay. The allegation of abduction was legally
unsustainable in view of the litigation history between the appellant and his
ex-wife. The count of disobeying a court order under s. 127 of the
Criminal
Code
could not be established because 聯other legislation expressly
provides another punishment or mode of proceeding聰 thus barring conviction
under the section. And there was no reasonable prospect of conviction on the
count alleging perjury.
[15]
In addition, Crown counsel explained that an
essential witness on all counts, the appellant and accused聮s daughter, would
likely suffer 聯significant trauma聰 if required to testify. There was a lengthy
history of parental conflict to such an extent that she obtained a court order
permitting her to withdraw from parental control.
[16]
The justice of the peace did not conduct the
pre-enquete once Crown counsel had directed entry of the stay of proceedings. No
process issued.
The Notice of Application
[17]
Assisted by counsel, the appellant applied to
the Superior Court of Justice for an order setting aside the stay of
proceedings and directing the conduct of the pre-enquete. The appellant alleged
that entry of the stay was not authorized by s. 579(1) of the
Criminal Code
, constituted a breach of his rights under s. 7 of
the
Canadian Charter of Rights and Freedoms
, and was an abuse of process. The remedial
provisions mobilized in support of the application included ss. 24(1) of the
Charter
, ss. 52(1) of the
Constitution Act,
1982
,
and the extraordinary
remedy of
mandamus
.
[18]
The Crown opposed the application and
sought its summary dismissal under Rule 34.02 of the
CPR
.
The Decision of the Motion Judge
[19]
The motion judge heard submissions on whether
the appellant聮s application should be dismissed without a hearing under Rule
34.02. After reserving his decision, he released written reasons dismissing the
appellant聮s application on the basis that it had no reasonable prospect of
success. In doing so, he invoked Rule 34.02.
[20]
The motion judge was satisfied that the standard
to be applied on the Crown聮s application under Rule 34.02 is 聯a high one聰. He
accepted that the direction that a stay be entered was part of the core
discretion of the Crown. The exercise of this discretion was reviewable only on
the ground of flagrant impropriety in its exercise. In this case, the motion
judge observed, the Crown had provided detailed reasons for directing entry of
the stay. The proposed prosecution was not in the public interest and there was
no reasonable prospect of conviction on any of the proposed counts.
[21]
In the result, the motion judge was satisfied
that there was no reasonable prospect that the appellant聮s application could
succeed. Rule 34.02 was engaged and the appellant聮s application was dismissed
without a hearing.
The Grounds of Appeal
[22]
The appellant takes issue with the decision of
the motion judge. He says that the motion judge erred:
i.
in invoking Rule 34.02 to dismiss his
application to set aside the stay and order the conduct of the pre-enquete; and
ii.
in failing to hold that the Crown had no authority to enter a stay
under s. 579(1) before hearing the allegations of the appellant and the
evidence of witnesses because there was no 聯accused聰 and proceedings had not
been 聯commenced聰 as required by s. 579(1).
Ground #1: The Applicability of Rule 34.02
[23]
The specific focus of this ground of appeal
is the applicability of Rule 34.02 of the
CPR
. However, the standard set out in that rule, 聯there
is no reasonable prospect that the application can succeed聰, requires
consideration of the merits of the substantive errors alleged in the
interpretation of s. 579(1)
of the
Criminal Code
.
The Arguments on Appeal
The Appellant聮s position
[24]
The appellant contends that the motion judge properly
stated, but erred in applying, Rule 34.02. The rule sets a rigorous standard.
Much like a motion to strike a claim in civil proceedings, Rule 34.02 is a tool
that must be used with care. If there is a reasonable prospect that an
application will succeed, the rule should not be invoked. The approach should
be generous and err on the side of permitting a novel, but arguable,
application to proceed.
[25]
In this case, the prevailing jurisprudence has
failed to correctly interpret the scope of the Crown聮s authority to direct a
stay of proceedings under s. 579(1) at the pre-enquete. A hearing on the merits
is required to resolve this issue.
[26]
The appellant submits that at the outset of a
pre-enquete, before the allegations of the informant and the evidence of
witnesses have been heard, the Crown cannot, as it did here, enter a stay of
proceedings. Until a determination to issue process has been made, there is no
聯accused聰, and proceedings have not 聯commenced聰.
[27]
In addition, the motion judge applied the wrong
test in failing to set aside the stay. The standard for a court to overturn the
Crown聮s exercise of discretion is not 聯flagrant impropriety聰, rather it is less
demanding.
The Respondent聮s position
[28]
The respondent contends that the motion judge
properly invoked Rule 34.02 to dismiss the appellant聮s application to set aside
the stay and direct that a pre-enquete be held. This result could equally have
been achieved under Rule 6.11 of the
CPR
or in the exercise of the authority discussed in
R. v.
Cody
, 2017 SCC 31, [2017] 1 S.C.R. 659
at para. 38.
[29]
The essence of the appellant聮s position is
that the Crown could not direct entry of the stay before the justice had
conducted the pre-enquete and had decided to issue process. This is because of
the wording of s. 579(1) of the
Criminal Code
and the provisions of s. 11(d) of the
Crown
Attorneys Act,
R.S.O. 1990, c. C.49. This same argument
has been repeatedly rejected by this court in
unequivocal terms that operate as binding precedent. The provisions of the
Crown
Attorneys Act
do not
mandate
otherwise.
[30]
A decision by
the Crown to direct entry of a stay of proceedings under s. 579(1), the respondent
contends, is a core element in the exercise of prosecutorial discretion. It is
equally so whether its entry is in a public or private prosecution. Entry of a
stay has to do with a decision about whether a prosecution will proceed or
continue, against whom, and on what charge. This decision occupies the core of
the sovereign authority peculiar to the office of the Attorney General.
[31]
Within this
core of prosecutorial discretion, the courts cannot interfere except in
circumstances of flagrant impropriety amounting to an abuse of process. This
requires evidence that the Crown聮s conduct is so egregious that it undermines
the integrity of the judicial process or results in trial unfairness. As for
example, where it is the product of improper motive or grounded in bad faith.
[32]
In this case,
the respondent says, the appellant has failed to provide any evidentiary
foundation to put into play an arguable case of abuse of process. That the
appellant disagrees with the decision of Crown counsel to direct entry of a stay
moves no freight. The presumption that the exercise of prosecutorial discretion
was
bona fide
, as Crown counsel explained when directing entry of
the stay, remains in place. The motion judge did not err in failing to set
aside the stay.
The Governing Principles
[33]
Several principles inform our decision on this
ground of appeal. Some have to do with the applicability of Rule 34.02 to the
decision under review. Others are concerned with the scope of s. 579(1) of the
Criminal
Code
, in particular, with the temporal limits on its exercise. The
remainder relate to the reviewability of stay decisions made by the Crown.
Rule 34.02
[34]
Rule 34, entitled,
Hearing of Pre-trial and
Other Applications
,
is
contained in Part III,
Trial Proceedings and Evidence
, of the
CPR
.
Under Rule 34.02, the presiding judge may conduct a preliminary assessment of
the merits of any pre-trial or other application. The assessment is based on
the materials filed on the application. If the judge is satisfied on the basis
of those materials that there is no reasonable prospect of success, the judge
may dismiss the application without further hearing and inquiry.
[35]
Rule 34.02, headed
Preliminary Assessment of
Application
, is in these terms:
The presiding judge may conduct a preliminary
assessment of the merits of any pre-trial or other application on the basis of
the materials filed, and, if satisfied that there is no reasonable prospect
that the application could succeed, may dismiss the application without further
hearing or inquiry.
[36]
Rule 34.02 is essential to effective and
fair litigation. It promotes two goals: efficiency and correct results.
Dismissing applications that have no reasonable prospect of success unclutters
the proceedings, weeds out the hopeless, and draws the attention of the decision-makers
where it should be 聳 ensuring that those with a reasonable prospect of success
proceed to adjudication on their merits:
R. v. Imperial Tobacco Canada Ltd
.,
2011 SCC 42, [2011] 3 S.C.R. 45, at para. 19.
[37]
The procedure
involved where
Rule 34.02 is invoked is informal,
else it become antithetical to its purpose. When summary dismissal is sought,
the affected party should put its best foot forward. The standard to be met by
the party invoking the rule is demanding. This necessarily follows from the language
聯no reasonable prospect that the application could succeed聰:
R. v.
Papasotiriou-Lanteigne
, 2017 ONSC
5337, 141 W.C.B. (2d) 157 at para. 19.
The Authority to Stay Proceedings
[38]
Section 579(1) of the
Criminal Code
authorizes the Attorney General or instructed
counsel to direct the clerk or other proper officer of the court to make an
entry on the record that the proceedings are stayed. Once the direction is
given, the proceeding must be stayed.
[39]
The authority to
enter a stay of proceedings is a core element of prosecutorial discretion. The
authority extends to both public and private prosecutions:
Krieger v. Law Society of Alberta
, 2002 SCC 65, [2002] 3 S.C.R. 372, at para. 46. The
role of the private prosecutor is parallel to, but not in substitution for, the
role of the Attorney General. In the context of a pre-enquete, s. 507.1 makes
this clear. Where the two roles come into conflict, the role of the Crown is
paramount:
Re Bradley et al and The Queen
(1975), 24 C.C.C. (2d) 482 (Ont. C.A.),
at p. 490.
Judicial Review of Stays Entered under Section 579(1)
[40]
Prosecutorial discretion is entitled to considerable
deference. But it is not immune from all judicial oversight. Within the core,
such as the discretion to direct a stay of proceedings, decisions are
reviewable only for abuse of process:
R. v. Anderson
, 2014 SCC 41,
[2014] 2 S.C.R. 167, at para. 48;
Krieger
,
at para. 32;
R. v. Nixon
, 2011 SCC 34, [2011] 2
S.C.R. 566, at para. 31.
[41]
Abuse of process refers to Crown conduct that is
egregious and seriously compromises the fairness of trial proceedings or
undermines the integrity of the justice system:
Anderson
, at paras.
49-50. The burden of proof for establishing abuse of process lies on the party
who claims it. The standard of proof required is proof on a balance of
probabilities:
Anderson
, at para. 52. See also,
R. v. O聮Connor
,
[1995] 4 S.C.R. 411, at para. 69.
The Pre-enquete
[42]
The function of the pre-enquete is to determine if
the process of the court, whether a summons or warrant, should issue to compel
the person named in the information to attend before a justice to answer to the
offences charged in the information:
R. v. McHale
, 2010 ONCA 361, 256
C.C.C. (3d) 26, at paras. 10-11, 45, leave to appeal refused, [2010] S.C.C.A.
No. 290;
R. v. Vasarhelyi
, 2011 ONCA 397, 272 C.C.C. (3d) 193, at
para. 37, leave to appeal refused, [2011] S.C.C.A. No. 470. This decision must
be based on the allegations of the private informant and any evidence adduced
at the hearing:
Vasarhelyi
, at para. 37.
[43]
Under s. 507.1(3) of the
Criminal Code
,
the Attorney General, without being deemed to intervene in the proceedings, is
entitled to:
i.
a copy of the private information in Form 2;
ii.
reasonable notice of the pre-enquete hearing;
iii.
the opportunity to attend the pre-enquete;
iv.
the opportunity to cross-examine witnesses; and
v.
the opportunity to call witnesses and present evidence at the
hearing.
See,
McHale
, at para. 47. See
also, s. 11(d) of the
Crown Attorneys Act
and
Bradley
, at p. 490.
The Authority to Direct Entry of a Stay at the Pre-enquete
[44]
Section 579(1) of the
Criminal Code
permits the Attorney General or instructed counsel to direct entry of a stay
聯at any time after
any
proceedings
in relation
to
an
accused or defendant are commenced聟聰. The term 聯proceedings聰 is not defined. Modified
by the indefinite adjective 聯any聰, it would seem to take in a vast expanse of
proceedings. Likewise, 聯in relation to an accused聰. Nor is 聯accused聰 defined.
[45]
The statutory language 聯at any time after any
proceedings in relation to an accused聟are commenced聰 has been interpreted to
mean 聯any time after an information has been laid聰:
McHale
, at paras.
85-87, 89;
Vasarhelyi
, at para. 49;
R. v. Pardo
(1990), 62
C.C.C. (3d) 371 (Que. C.A.), at pp. 373-74;
Klippenstein v. R
., 2019
MBCA 13, 152 W.C.B. (2d) 551, at para. 7, leave to appeal refused, 2019
CarswellMan 783;
R. v. Linamar Holdings Inc
., 2007 ONCA 873, 76 W.C.B.
(2d) 120, at paras. 9-10, leave to appeal refused, [2008] S.C.C.A. No. 33.
Entry of a stay need not await a determination to issue process.
The Principles Applied
[46]
I would not give effect to this ground of
appeal.
[47]
To begin, I am satisfied that what the Crown
sought in response to the appellant聮s motion to quash the stay and order the
conduct of the pre-enquete fell within the sweep of Rule 34.02.
[48]
Among the jurisdictional sources invoked
by the appellant was the authority of a judge of the superior court of criminal
jurisdiction to grant orders in lieu of the prerogative writs of
certiorari
(to quash the stay as entered without jurisdiction) and
mandamus
(to
compel the conduct of the pre-enquete). These remedies are available on
applications under Rule 43 of the
CPR
.
[49]
The Crown聮s response to the appellant聮s
application was to seek its summary dismissal under Rule 34.02. The judge who
heard the Crown聮s application was the motion judge on the appellant聮s
application, thus 聯the presiding judge聰 for the purposes of Rule 34.02.
Accordingly, the summary dismissal authority was available to the motion judge
in connection with the appellant聮s original application which was an 聯other
application聰 for the purposes of the rule. The remedy afforded by Rule 34.02 聳
summary dismissal 聳 could be granted if, but only if, the Crown met the
standard required on the basis of the materials filed on the original motion.
[50]
Although Rule 34.02 appears in Part III of the
CPR
,
Trial Procedure and Evidence
, its language signals a broader application. This is
consistent with the terms 聯other application聰 in the
Rule. The term
聯application聰 is exhaustively defined in Rule 1.03 as 聯a proceeding commenced
by notice of application in Form 1聰. It is of no moment whether the enabling
legislation or other authority describes the proceedings as an application or a
motion. The term 聯proceeding聰 includes an application or other hearing.
[51]
This construction of Rule 34.02 is also in
harmony with the general principle underlying the
CPR
expressed in Rule 1.04 and the
jurisprudence advocating use of the case or trial management power to weed out
unmeritorious claims by summary process: see,
Cody
,
at para. 38.
[52]
Satisfied that the provisions of Rule 34.02 were
available to the motion judge at the instance of the Crown, I will now explain
why I am satisfied that the motion judge did not err in dismissing the
appellant聮s application in the exercise of his authority under Rule 34.02.
[53]
The appellant聮s application, reduced to its
essentials, sought two orders. He asked that the stay directed by the Crown be
set aside. And he sought an order that a pre-enquete be held to determine
whether process should issue to compel his ex-wife to answer to the charges
contained in the information.
[54]
To set aside the stay, the appellant argued that
s. 579(1) of the
Criminal Code
does
not permit entry of a stay at the direction of the Crown before a determination
has been made at the conclusion of the pre-enquete that process should issue.
Amongst other things, this is because there is no 聯accused聰 until that time and
proceedings have not been 聯commenced聰.
[55]
Binding jurisprudence in this court and
persuasive jurisprudence from courts of equivalent jurisdiction in other
provinces hold that a stay may be entered, as here, prior to the justice
hearing the allegations of the informant and the evidence of witnesses:
McHale
,
at paras 89-90;
Vasarhelyi
, at para. 49;
Linamar
,
at para. 10;
Klippenstein
,
at para. 7;
Pardo
, at pp. 373-74.
[56]
In an information laid by a private informant
and received by a justice under s. 507.1(1), an informant swears that they have
reasonable grounds to believe that a named person committed one or more
specified offences. In plain terms, the informant
accuses
the named
person of having committed one or more crimes. In ordinary parlance, such a
person would be described as an 聯accused聰, a person accused of crime.
[57]
The pre-enquete falls within the language in s.
579(1) of 聯any proceedings in relation to an accused聰. And, self evidently,
there are proceedings that have been 聯commenced聰.
[58]
The appellant advances a second basis upon which
he says the summary dismissal of his application reflects error. This has to do
with the standard the motion judge applied in failing to set aside the entry of
the stay as a flawed exercise of the Crown聮s discretion under s. 579(1).
[59]
This claim of error also fails.
[60]
The claimant must
establish a proper evidentiary foundation before a court embarks on an inquiry
into the exercise of prosecutorial discretion. This respects the presumption
that prosecutorial discretion is exercised in good faith. It also accords with
the principle that the prosecutorial authorities are not required to provide
reasons for their decisions, absent evidence of bad faith or improper motives:
Anderson
, at para. 55.
[61]
In this case, Crown counsel provided lengthy
reasons for entry of the stay. The record is bankrupt of any evidence of bad
faith or improper motives.
[62]
For these reasons, I would reject the first
ground of appeal.
Ground #2: The Timing of Entry of the Stay
[63]
The second ground of appeal alleges that the
motion judge erred in failing to set aside the stay because it was entered
prematurely at the outset of the pre-enquete.
[64]
This claim of error was an essential component
of the first ground of appeal. It was rejected there, as it is here, on the
basis of binding authority in this province and persuasive authority from
courts of equivalent jurisdiction in other provinces. Nothing more need be
said.
Disposition
[65]
For these reasons, I would dismiss the appeal.
Released: February 19, 2021 聯GRS聰
聯David Watt J.A.聰
聯I agree. G.R. Strathy C.J.O.聰
聯I agree. B. Zarnett J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Gray, 2021 ONCA 86
DATE: 20210210
DOCKET: C67523
Pepall,
Tulloch and Harvison Young JJ.A.
BETWEEN
Her
Majesty the Queen
Respondent
and
Anthony
Gray
Appellant
Ewan Lyttle and Meaghan McMahon, for
the appellant
Jeremy Tatum, for the respondent
Heard: August 20, 2020 by video conference
On appeal
from the sentence imposed on September 20, 2019 by Justice Norman D. Boxall of
the Ontario Court of Justice.
Tulloch J.A.:
A.
INTRODUCTION
[1]
The appellant seeks leave to appeal his sentence,
and if leave is granted, appeals his sentence imposed for his convictions for armed
robbery and wearing a disguise with intent to commit an indictable offence.
[2]
The appellant pleaded guilty. He was sentenced
to six months聮 imprisonment for the robbery count, three months聮 imprisonment for
the wearing a disguise with intent count, to be served concurrently, and 12
months聮 probation.
[3]
The offences were committed when the appellant
was 21 years old. At the time of sentencing, the appellant was 24 years old and
a first-time offender without any prior criminal record. His sentence appeal is
based on two main grounds.
[4]
First, the appellant submits that the sentencing
judge failed to properly apply the principles relevant when sentencing Indigenous
offenders, set out in
R. v. Gladue
, [1999] 1 S.C.R. 688, as the judge
permitted denunciation and general deterrence to improperly overwhelm the
analysis. The appellant claims that this error led to the arbitrary conclusion
that no jail sentence less than six months was appropriate in the
circumstances.
[5]
Second, the appellant submits that there has
been a new development in the law since the appellant聮s sentencing, allowing this
court to impose a conditional sentence on the robbery count. Due to
R. v.
Sharma
, 2020 ONCA 478, 152 O.R. (3d) 209, leave to appeal granted, [2020]
S.C.C.A. No. 311, a recent decision from this court striking down s. 742.1(c)
of the
Criminal Code
, conditional sentences are now available for
offences where the maximum penalty is 14 years or life imprisonment, including
robbery. The appellant effectively argues that this development entitles him to
a conditional sentence.
[6]
For the following reasons, I would not interfere
with the sentence imposed. However, I would allow the appeal for the limited
purpose of permanently staying the execution of the appellant聮s remaining
period of incarceration.
B.
FACTS
[7]
On August 5, 2016, at approximately 11:24 a.m., the
appellant entered a branch of the Bank of Montreal in Ottawa. His face and head
were covered by a shirt. He walked over to a teller, produced an eight-inch
knife, and, while brandishing the weapon at the teller, demanded money. The
appellant made these threats in the presence of other patrons, including a
mother and her two young children. He managed to flee the scene with $5,000.
[8]
The robbery went unsolved for quite some time. On
August 11, 2016, the police distributed a media release to try to identify the
perpetrator of the robbery. However, it was not until January 2018, almost a
year and a half after the robbery, that the appellant was arrested. At that
time, the ex-girlfriend of the appellant聮s brother identified the appellant,
leading to his arrest.
[9]
In October 2018, the appellant pleaded guilty to
the offences of robbery and wearing a disguise, two weeks before his three-day
trial on November 13, 2018. A
Gladue
report and a pre-sentence report
were prepared for the sentencing hearing, which took place in August 2019. The imposition
of the sentence was adjourned to September 2019.
[10]
At the sentencing hearing, the appellant,
through his lawyer, filed various materials documenting his positive attributes
and post-plea rehabilitative steps. In addition, both the pre-sentence report
and the
Gladue
report were presented to and relied on by the
sentencing judge.
[11]
The Crown sought a global sentence of one-year
incarceration, followed by probation.
[12]
The defence requested a sentence which the
sentencing judge described as 聯nuanced聰. They sought either a non-custodial or intermittent
sentence on the robbery charge, and a conditional sentence followed by
probation for the offence of wearing a disguise.
[13]
The defence pointed to the significant progress
that the appellant had made since the offence; his work history; and the fact
that at the time of the offence, he was affected by a drug addiction that he received
treatment for by the time of sentencing. The appellant also had a close and
supportive relationship with his mother. In addition, he was remorseful, had
made full restitution, and was willing to participate in a sentencing circle, although
the victims were not interested.
[14]
The sentencing judge imposed a sentence of six
months聮 incarceration for the robbery count and three months聮 concurrent for
the wearing a disguise count, followed by 12 months聮 probation. He gave a very
thorough decision in which he fully considered the applicable principles of
sentencing. He recognized that as the appellant was an Indigenous offender, he
had to be sentenced with reference to the
Gladue
principles and s.
718.2(e) of the
Criminal Code
. The sentencing judge also observed that
a fit and appropriate sentence must be guided by the fundamental principle that
a sentence must be proportionate to the gravity of the offence and the degree
of responsibility of the offender. He then specifically addressed the
mitigating and aggravating factors and crafted a sentence which was responsive to
the circumstances of the appellant. In arriving at what the sentencing judge
deemed a fit sentence for the appellant on the robbery offence, he made the
following observations:
There is no minimum sentence for robbery, so
in - at least, in theory, I could consider a suspended sentence and a period of
probation. Although a blended sentence of probation on the robbery and a
conditional sentence on wearing disguise is theo - theoretically available, in
my view, it would be an error in law to impose a conditional sentence on a
lesser-related offence, and one cannot do this simply to avoid parliament聮s
intention. A pure suspended sentence on - on both counts is - is theoretically
available, but in my view, suspending sentence on both counts and just placing
the accused on probation
would not address the
seriousness of the offences, or the principles of sentences
; and, in
fact, defence counsel has essentially conceded this by suggesting a blended
sentence - includes a - a conditional sentence.
It聮s indicated there is no minimum sentence
for robbery. However, I find that it would be an error in law to impose a
suspended sentence and a period of probation,
given that
this was a bank robbery, and it involved a weapon. Thus, the sentence must
involve custody in - in some fashion
. Parliament has directed that it
cannot be conditional, with respect to the robbery offence.
I might add that, if a conditional sentence was available for
the robbery, I would seriously consider it;
in my view, specific
deterrence is not a factor in this case, and there are many mitigating
circumstances. And, deterrence, in some cases, can be met by a conditional sentence.
However, Parliament has directed that a conditional sentence is not available
for a robbery. [Emphasis added.]
[15]
Prior to the appeal hearing, the appellant introduced
two motions for fresh evidence, dated June 17, 2020 and August 18, 2020. These
motions seek to adduce evidence relevant to the appellant聮s post-sentence rehabilitative
efforts and steps taken to live a pro-social life. Both motions included the
consent of the respondent to the admission of this fresh evidence. As a
preliminary conclusion, I am satisfied that this evidence satisfies the
criteria for the admission of such evidence set out in
Palmer v. The Queen
,
[1980] 1 S.C.R. 759, at p. 775: see also
R. v. D.V.B.
, 2010 ONCA 291,
100 O.R. (3d) 736, at para. 97, leave to appeal refused, [2011] S.C.C.A. No.
207.
C.
ISSUES
[16]
The appellant effectively seeks leave to appeal
his sentence on two bases:
1)
Did the sentencing judge err by failing to
properly apply the
Gladue
principles and permitting denunciation and general
deterrence to improperly overwhelm the analysis, leading to the arbitrary
conclusion that no jail sentence less than six months was appropriate in the
circumstances; and
2)
Given this court聮s recent decision in
Sharma
,
is the appellant now entitled to a conditional sentence?
D.
ANALYSIS
(1)
Did the sentencing judge err by improperly permitting denunciation
and general deterrence to overwhelm the analysis?
[17]
The appellant does not argue that the sentence
was unfit. Instead, he submits that the sentencing judge erred in principle in his
application of the
Gladue
principles, by overemphasizing the
principles of denunciation and general deterrence. He argues that this error enables
this court to alter the sentence on appeal.
[18]
He contends that, had the sentencing judge
properly applied the
Gladue
principles, he would have more heavily
considered restorative justice principles and imposed a lower sentence.
[19]
I disagree. The sentencing judge correctly
weighed the relevant sentencing principles. He made proper reference to both the
circumstances of the appellant and the
Gladue
principles as codified
in s. 718.2(e) of the
Criminal Code
.
[20]
For this court to intervene in the sentence
imposed, the appellant must establish that the sentence imposed is either
demonstrably unfit, or that the judge made an error in law or principle that impacted
the sentence. The seminal case of
R. v. Lacasse
, 2015 SCC 64, [2015] 3
S.C.R. 1089, at paras. 10-11, 39-41, 44, 48-51, and 53, sets out the grounds upon
which an appellate court may intervene and vary a sentence. Trial judges are
afforded a wide discretion to impose what they deem to be an appropriate
sentence. Sentencing is a fact-specific exercise, and each case must be
considered contextually. This necessarily means that considerable deference is
afforded to the sentencing judge.
[21]
Among the underlying principles that guide any
sentencing analysis are proportionality and parity. However, when sentencing an
Indigenous accused, the analysis must be informed by s. 718.2(e) of the
Criminal
Code
. This section is a remedial provision requiring a unique method of
analysis when determining a fit sentence for an Indigenous accused, as set out
in
Gladue
.
[22]
When a judge crafts a sentence for an Indigenous
accused, s. 718.2(e) requires them to consider
all available sanctions, other than
imprisonment, that are reasonable in the circumstances and consistent with the
harm done to victims or to the community 聟 with particular attention to the
circumstances of Aboriginal offenders.
[23]
Section 718.2(e) directs sentencing judges to
聯pay particular attention to the circumstances of Aboriginal offenders in order
to endeavour to achieve a truly fit and proper sentence in any particular case聰:
R. v. Ipeelee
, 2012 SCC 13, [2012] 1 S.C.R. 433, at para. 75. A
sentencing judge must, when crafting a sentence for an Indigenous accused, consider
all of the principles mandated by ss. 718.1 and 718.2 of the
Criminal Code
,
including those codified in s. 718.2(e):
Ipeelee
, at para.聽51.
[24]
However, s. 718.2(e) and the associated
Gladue
framework do not detract from the fundamental sentencing principle of
proportionality:
R. v. Altiman
, 2019 ONCA 511, 56 C.R. (7th) 83, at
para. 78, citing
R. v. F.H.L.
, 2018 ONCA 83, 360 C.C.C. (3d) 189, at
para. 47. Similarly, the principle of parity in sentencing maintains relevance
in the
Gladue
context, although courts should ensure that a
formalistic approach to parity does not undermine the remedial purpose of s.聽718.2(e):
Ipeelee
, at para. 79.
[25]
The principle of proportionality mandates that a
sentence must be proportionate to the gravity of the offence and the degree of
responsibility of the offender, or what is also known as the moral
blameworthiness of the offender:
Ipeelee
, at para. 37. The principle
of parity underpins the integrity of the judicial sentencing process and
preserves 聯fairness by avoiding disparate sentences where similar facts
relating to the offence and the offender would suggest like sentences聰:
R.
v. Rawn
, 2012 ONCA 487, 294 O.A.C. 261, at para. 18.
[26]
When sentencing an Indigenous accused, s. 718.2(e)
and the
Gladue
principles provide 聯the necessary
context
for understanding and evaluating the
case-specific information聰 particular to the accused (emphasis in original):
Altiman
,
at para. 77, citing
F.H.L.
, at para. 39.
[27]
Section 718.2(e) requires a different method of
analysis when sentencing Indigenous offenders. However, it does not necessarily
require a different result or that a sentencing judge always prioritize principles
of restorative justice when sentencing an Indigenous offender. This court made
this clear in
F.H.L.
, at para.聽47:
Gladue
and
Ipeelee
do not detract from the 聯fundamental principle聰 that a sentence must be
proportionate to the gravity of the offence and the degree of responsibility of
the offender.
What
Gladue
and
Ipeelee
recognize is
that evaluating the degree of responsibility of an Aboriginal offender requires
a 聯different method of analysis聰. A different method of analysis does not
necessarily mandate a different result
. Crafting a just and appropriate sentence
may, in some cases, require giving greater weight to sentencing objectives such
as deterrence and denunciation. As this court recognized in [
R. v.
Kakekagamick
(2006), 81 O.R. (3d) 664 (C.A.), leave to appeal refused,
[2007] S.C.C.A. No. 34], at para. 42:
To be clear, s. 718.2(e)
does not require, nor is there a general rule, that Aboriginal offenders must
be sentenced in a way that gives the most important weight to the principle of
restorative justice
. It may be that in certain
cases the objectives of restorative justice articulated in s. 718.2(e) and
Gladue will not weigh as favourably as those of separation, denunciation and
deterrence. [Citations omitted; emphasis added.]
[28]
In my view, the sentencing judge carefully
considered the applicable principles of sentence as they pertained to the appellant聮s
individual circumstances and the offences for which he was sentenced. The
sentencing judge recognized that, while the appellant is an Indigenous first-time
offender with positive post-offence rehabilitative efforts, he still had to consider
the principles of proportionality and parity within the context of the
Gladue
analysis.
[29]
The appellant committed a violent and serious
crime. He robbed a bank during daylight hours, wearing a disguise, and while
brandishing an eight-inch knife. He threatened a bank teller in the presence of
patrons of the bank, including a mother and her two small children. He was also
able to escape with $5,000 and was not apprehended until almost a year and a half
later. This was an offence that required the sentencing judge to factor into
his analysis the principles of general deterrence and denunciation.
[30]
While the appellant聮s circumstances suggested
that specific deterrence was not a factor relevant to his sentence, the trial
judge recognized that the needs of the community at large required a sentence
that would denounce the conduct of the offence and serve to deter others who
may be inclined to commit similar offences in the future. These were relevant
and important considerations at the time of sentencing.
[31]
The sentencing judge found that, after
considering general deterrence, denunciation, and the need for a sentence
proportionate to the gravity of the offence, a period of incarceration was necessary.
This was so, notwithstanding the relevance of the
Gladue
principles
and the particular circumstances of the appellant. This was a reasonable
finding in the circumstances. The offence of robbery is one of the most serious
offences within the
Criminal Code
. This offence mandates sentences up
to a maximum of life. Any robbery offence is inherently violent, as the very
definition of robbery connotes an offence of theft coupled with an act of
violence. There are different degrees of robbery, and this one was serious.
[32]
This trial judge recognized that his task was to
carefully balance the circumstances of the appellant with the applicable sentencing
principles in order to arrive at a fit and appropriate sentence. He recognized
that one of the principles of sentencing was that he was obliged to consider
the principle of proportionality. He stated this at the outset of his reasons.
[33]
The sentencing judge directed his mind to the circumstances
of the appellant and the appellant聮s Indigenous status. Notwithstanding the
seriousness of the charge, the sentencing judge聮s task was to engage in an
individualized analysis of the offender before him and the offence for which he
was being sentenced. He recognized and accepted mitigating factors which inured
to the appellant聮s benefit. He concluded that specific deterrence was not a concern,
given that the appellant聮s post-offence and post-sentence conduct was positive
and that he was unlikely to reoffend as a result. He noted that he was not
bound by a sentencing range, and that he must consider the circumstances of the
offence, the offender, and the needs of the community where the offence
occurred.
[34]
The sentencing judge specifically considered the
appellant聮s Indigenous status. He referenced his judicial duty to give effect
to the remedial purpose of s.聽718.2(e) of the
Criminal Code
and
to respond to the over-incarceration of Indigenous offenders. It is this very
analysis which led the sentencing judge to consider a sentence in the low
reformatory range, and to impose a sentence of six months聮 incarceration. In
his reasons, he stated the following:
I聮ve concluded there
must be a custodial sentence for the robbery
. [U]nfortunately,
I cannot conclude on these facts that I can impose an intermittent sentence. As
I said, had a conditional sentence [been] available for the robbery proper, I
would certainly consider it strongly.
However, given
general deterrence and denunciation, and proportionality of the gravity of the
offence, even accepting the reduced moral responsibility of this offender; when
one takes a look at the offence involved here, which is a bank robbery with a
weapon
; in my view, a custodial period that would be required for
robbery exceeds that available under an intermittent sentence, which is
restricted to a term of 90 days.
However, I must go on to
consider what is the minimum sentence I can impose - the least restrictive
sentence I can impose, that satisfies all the sentencing principles and factors
I聮ve outlined, considering importantly, his plea of guilty, the Gladue factors,
the fact that he is a first offender, the positive pre-sentence report, the
restitution his counsel is in possession of, and undertaken to pay, and very
importantly, that there is no need for specific deterrence in this case
.
I聮ve concluded, after considerable thought, over a number of weeks not without
some difficult moments, that the appropriate sentence and the shortest sentence
that I can impose in this particular case,
in compliance
with my duty and responsibility to impose the least restrictive sentence, but
yet, makes sure the sentence does meet the principles [and] purposes of
sentence, generally, is one of six months聮 incarceration
. [Emphasis
added.]
[35]
I see no error in this analysis that would
warrant interference by this court.
(2)
Does this court聮s decision in
Sharma
entitle the appellant to a conditional sentence in this case?
[36]
The appellant also contends that in light of
this court聮s recent decision in
Sharma
, this court should impose a
conditional sentence, an option that was unavailable to the sentencing judge. He
argues that as this court held in
Sharma
that s. 742.1(c) of the
Criminal
Code
is unconstitutional, a conditional sentence is now available for the
robbery charge and should be imposed as the appropriate sentence. He proposes a
conditional sentence of one year on the robbery count, followed by one year of
probation on the wear disguise count.
[37]
As indicated above, the sentencing judge was clearly
mindful of his responsibility pursuant to s. 718.2(e). After weighing the
relevant factors of sentencing pertaining to the appellant, who he recognized
was a first-time Indigenous offender, he concluded that a non-custodial
disposition would not adequately meet the objectives of sentencing.
[38]
The sentencing judge considered a non-custodial
sentence, as this was the initial request by the defense in their sentencing
submissions. He concluded that a non-custodial sentence was not appropriate due
to the circumstances of this offence.
[39]
He also observed that a conditional sentence was
not available to the charge of robbery. He went on to opine that if a
conditional sentence was available, he would 聯seriously consider it聰. While the
sentencing judge stated that he would seriously consider a conditional sentence
if it was available, he did not say that he would have imposed a conditional
sentence if it was in fact available.
[40]
When considering the intersection of the
Gladue
principles, as codified in s.聽718.2(e), and the availability of conditional
sentences to Indigenous offenders who have committed serious offences, the case
of
R. v. Wells
, 2000 SCC 10, [2000] 1 S.C.R. 207, is instructive.
[41]
In
Wells
, the appellant was convicted
of sexual assault, and sentenced to 20 months聮 incarceration. He appealed his
sentence and sought to convert it to a conditional sentence, on the basis that
the sentencing judge did not take account of the considerations required by s.
718.2(e).
[42]
Iacobucci J. summarized the central issues
raised by this appeal at para.聽25:
Section 718.2(e) of the
Criminal Code
provides that all available sanctions other than imprisonment that are
reasonable in the circumstances should be considered, with particular attention
to the circumstances of aboriginal offenders.
As a
general matter, this appeal raises the issue of whether a non-custodial
sentence is reasonable, to use the language of s. 718.2(e), in circumstances
where the paramount sentencing objectives are denunciation and deterrence
.
More specifically, this appeal must determine whether the trial judge properly
applied s.聽718.2(e) when sentencing the appellant. [Emphasis added.]
[43]
In dismissing the appeal, the court made the
following observations, at para.聽30:
If the judge's preliminary assessment of a fit
sentence excludes both a suspended sentence and a penitentiary sentence, and
the statutory prerequisites in s. 742.1 are fulfilled, then he or she is
required to consider s. 718.2(
e
) when deciding the appropriateness of
a conditional sentence.
The judge's consideration of
s. 718.2(
e
) at this stage does not displace the need to聽take into
account聽all of the other principles and objectives set out in ss. 718 to
718.2
.聽Moreover, whenever a judge narrows the choice to a sentence
involving a sentence of incarceration,
the judge is
obliged to consider the unique systemic or background circumstances which may
have played a part in bringing the聽particular aboriginal聽offender
before the courts. As well, the judge must consider the types of practicable
procedures and sanctions which would be appropriate in the circumstances for
the offender because of his or her聽particular aboriginal聽heritage
.
As was indicated in
Gladue
,
the application
of s. 718.2(
e
)
does not mean that a sentence
will automatically be reduced
, since the determination of a fit sentence
requires a consideration of all the principles and objectives set out in Part
XXIII.聽[Emphasis added; citations omitted.]
[44]
The fact that a conditional sentence is
available does not mean that one will necessarily be imposed. The sentencing
judge is still required to conduct an individualized analysis, considering all
the relevant principles of sentencing and weighing the appropriate factors to
determine a fit sentence.
[45]
I accept that with the recent ruling in
Sharma
,
it is now open for this court to consider the appropriateness of a conditional
sentence for the appellant.
[46]
I also accept that in all cases involving the
sentencing of an Indigenous accused, judges are directed by s. 718.2(e) of the
Criminal
Code
to consider all available sanctions, other than imprisonment, that
are reasonable in the circumstances and consistent with the harm done to
victims or to the community.
[47]
In this case, the sentencing judge was of the
view that because of the nature and circumstances of this particular offence,
an actual custodial sentence was warranted, even when the Indigenous status of
the appellant was factored into the sentencing analysis.
[48]
When applying s. 718.2(e) to determine the
appropriate sentence to be imposed, the court must consider sanctions 聯that are
reasonable in the circumstances
and
consistent with the harm done
to victims or to the
community聰 (emphasis added). The available sanctions must be reasonable in the
circumstances. Not all sanctions, though available, are reasonable in the
circumstances of the offence and the offender.
[49]
The trial judge recognized that there was no
minimum sentence for the robbery, and in theory, he could consider a
non-custodial sentence such as a suspended sentence and a period of probation. However,
he concluded that because this offence was a bank robbery involving a weapon,
he was obliged to impose a custodial sentence.
[50]
In the circumstances of this case, this was a conclusion
that was open to the sentencing judge. In
Gladue
, the court recognized
that even where Indigenous offender are concerned, 聯there are some serious
offences and some offenders for which and for whom separation, denunciation,
and deterrence are fundamentally relevant聰: at para. 78. That court went on to
say that 聯[g]enerally, the more violent and serious the offence the more likely
it is as a practical reality that the terms of imprisonment for aboriginals and
non-aboriginals will be close to each other or the same, even taking into
account their different concepts of sentencing聯: at para. 79. While I
acknowledge that this latter statement was subsequently qualified in
Wells
,
at para. 50, and
Ipeelee
, at paras. 84-85, and 87, I nevertheless find
it instructive in considering the present issue.
[51]
The court in
Gladue
was also clear that
聯s. 718.2 (e) should not be taken as requiring an automatic reduction of a
sentence, or a remission of a warranted period of incarceration, simply because
the offender is aboriginal.聰 Instead, it is a 聯direction to sentencing judges
to consider certain unique circumstances pertaining to aboriginal offenders聰 in
reaching a fit sentence: at para. 88.
[52]
After considering the sentencing judge聮s
reasons, the applicable principles, the appellant聮s fresh evidence, and this
court聮s decision in
Sharma
, I conclude that the sentencing judge聮s
decision is sound. I would not alter the sentence imposed, even after
considering the newfound availability of a conditional sentence for robbery.
[53]
Accordingly, I would not give effect to this
ground of appeal.
E.
CONCLUSION
[54]
Having determined that the sentence imposed at
trial was fit, and that the sentencing judge did not commit any error in
principle or law that had an impact on the sentence, I would not interfere with
the sentence imposed.
[55]
However, I would allow the appeal for the
limited purpose of permanently staying the execution of the appellant聮s remaining
period of incarceration. Almost two years have passed since the appellant was
sentenced. He spent 27 days in custody between receiving his sentence and being
released on bail pending appeal. He was released on bail pending appeal on
October 16, 2019, and his time since his release has been without incident.
[56]
Most importantly, the fresh evidence indicates
that the appellant has since had no trouble with the law and is living a positive
and pro-social life. He has developed positive relationships with his mother,
brother, and father. He started his own catering company and cooks on a
volunteer basis for a charitable organization. The evidence indicates that the
appellant is not consuming drugs. He has also started seeing a psychiatrist to
address his underlying mental health issues and discuss how his drug addiction
impacted his behaviour.
[57]
In my view, reincarcerating the appellant at
this stage 聯would serve no genuine societal interest and is unnecessary to
achieve the objectives of denunciation and general deterrence聰:
R. v. Owen
,
2015 ONCA 462, 336 O.A.C. 95, at para. 62. Instead, those objectives can be met,
without disrupting the appellant聮s rehabilitative progress, by affirming the
sentence initially imposed. Furthermore, the sentencing judge explicitly noted
that specific deterrence was not relevant to the appellant, who in their view
was not likely to reoffend. My view on the issue of reincarceration is
strengthened when I consider the Supreme Court of Canada's guidance in
Gladue
.
聯The community is best protected if the [appellant] continues along [his]
rehabilitative path聰, and I would accordingly stay the remainder of his
custodial sentence and substitute a total period of probation of two years:
R.
v. Smickle
, 2014 ONCA 49, 317 O.A.C. 196, at paras. 18-20;
R.聽v.聽Dufour
,
2015 ONCA 426, 326 C.C.C. (3d) 52, at paras. 11, 13, 17, and 29;
Owen
,
at para. 63.
[58]
Finally, I would also impose a weapons prohibition
order under s. 109 of the
Criminal Code
, for a period of ten years.
Released: 聯S.E.P.聰 February 10, 2021
聯M.
Tulloch J.A.聰
聯I
agree. S.E. Pepall J.A.聰
聯I
agree. Harvison Young J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Griffith, 2021 ONCA 302
DATE: 20210507
DOCKET: C66830
Miller, Jamal and Coroza JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Taylor Adam Griffith
Appellant
Marianne Salih, for the appellant
Avene Derwa, for the respondent
Heard: October 28, 2020 by video conference
On appeal from the conviction entered on
October 31, 2018 and the sentence imposed on January 11, 2019, with reasons
reported at 2019 ONSC 358, by Justice Alfred J. O聮Marra of the Superior Court
of Justice.
Jamal J.A.:
A.
overview
[1]
The appellant, Taylor Griffith, was convicted of
offences related to the unlawful possession of a loaded semi-automatic handgun with
a chambered round ready to fire and possession of crack and powder cocaine
for the purpose of trafficking
. He was sentenced to 6
years in prison and various ancillary orders, less credit for pre-sentence
custody calculated at 22 months, requiring him to serve another 4 years and 2
months. He now appeals his conviction and seeks leave to appeal his sentence.
[2]
The main issue on the conviction appeal is
whether the trial judge erred in dismissing an application to exclude the evidence
of the handgun and drugs found on the appellant when he was searched incident
to arrest. The trial judge found the police had objectively reasonable grounds
to arrest the appellant in all the circumstances, including their previous observations
of hand-to-hand transactions of suspected drug trafficking. He also held 聴 and
the Crown conceded 聴 that the police breached the appellant聮s right to counsel
under s. 10(b) of the
Charter
by delaying his access to counsel for
several hours while they executed search warrants at his apartment and storage
locker.
At the same time, the
trial judge ruled
that the police had case-specific concerns for officer safety and evidence
preservation that justified delaying access to counsel until the search
warrants were executed. The trial judge declined to exclude the evidence under
s. 24(2) of the
Charter
. He also declined to reduce the appellant聮s
sentence because of the s.聽10(b) breach.
[3]
For the reasons that
follow, I would dismiss the conviction and sentence appeals. I agree
with the trial judge that the police had objectively reasonable grounds to
arrest the appellant and to search him incident to arrest. I also agree with
the trial judge that the police breached s. 10(b) by delaying access to counsel,
but as I explain below, I would find the breach to have been briefer than the
trial judge found. The police were justified in delaying access to counsel while
they executed the search warrants because of the case-specific concerns for
officer safety that the trial judge himself found. This delay in accessing
counsel therefore did not breach s. 10(b). However, the further unexplained delay
in accessing counsel, of one hour and twenty minutes after the search warrants were
executed, did breach s. 10(b). Despite this breach of s. 10(b) 聴 which appears to
have been unintentional and situation-specific rather than systemic 聴 I would
not exclude the evidence under s. 24(2) of the
Charter
. I also see no
basis to interfere with the trial judge聮s assessment that the s. 10(b) breach did
not warrant a sentence reduction.
B.
background
[4]
The police received information from a
confidential informant that the appellant was selling drugs on Eglinton Avenue
West in Toronto in an area known to have drug trafficking problems. A team of
four plain-clothes officers from the Major Crime Unit of the Toronto Police
Service 聴 Detective Constables Quinlan, Mignardi, McCartney, and Pollard 聴
placed the appellant under surveillance. The officers were trained and
experienced in drug investigations and had seen many street-level drug deals.
They followed and watched the appellant on October 10, 11, 21, and 24, 2017.
[5]
The surveillance was challenging because the appellant
jumped fences and habitually used alleyways rather than main streets. The
officers perceived the appellant to
be conscious of
surveillance.
D.C. Mignardi described his 聯head [as] always on a swivel聰.
October 10
[6]
On October 10, 2017, D.C.s Mignardi and
McCartney followed the appellant as he left a library on Eglinton Avenue West
carrying a satchel. He went down a laneway, over a fence, and used a key to
enter an apartment building. The officers were familiar with the apartment building
because they had received complaints that some tenants allowed drug users to consume
drugs in their units and they had made several drug arrests there. The landlord
had even given the police a key to the building because of concerns about drug trafficking.
D.C.s Quinlan and Mignardi testified that they had been in the building 聯a lot聰.
D.C. Quinlan said he had conducted three or four drug investigations there that
led to arrests.
October 11
[7]
The next day, D.C. Quinlan went back to the
building. He went to a third鈥慺loor apartment that the confidential informant
told the police that the appellant occupied and he saw the appellant leave the apartment.
October 21
[8]
On October 21, 2017, D.C. Mignardi monitored the
appellant as he sat on a park bench in a parkette. She was about 20 meters away
from the appellant and out of sight. The appellant was talking on his
cellphone. She saw two men approach him on bicycles and interact with him for
about 30 seconds. She recognized them both as suspected drug users and had seen
them in the area 聴 one of them daily, panhandling. She knew one of them lived
in a house full of drug users because she had been in the house twice and had
seen him inside with crack pipes and drugs scattered around. At first, the men on
bicycles had their hands in their pockets and then completed a hand-to-hand
transaction with the appellant, lasting 聯like a second聰, in which their fists were
slightly clenched, their hands met, and there was 聯sort of a 聟 swap聰. It was
not a fist-bump, but a 聯sort of handshake where the palms swiped together聰. D.C.
Mignardi saw no money or drugs and heard no conversation. The two men then rode
away in the direction they had come, and the appellant immediately got up and walked
away.
[9]
D.C. Mignardi was convinced the two men had just
bought drugs from the appellant. She had seen about 50 hand-to-hand drug
transactions in her career. She had also just completed a drug-investigation
training course the week before, including on what to look for in hand-to-hand
transactions 聴 it matched what she had just seen.
[10]
D.C. Quinlan came to assist D.C. Mignardi at the
parkette. He was about 100 metres away. He saw the two men on bicycles ride by.
He knew one of them by name as a suspected drug user because he had seized a
crack pipe from him once before and often saw him panhandling.
[11]
D.C. Mignardi testified that she believed she
now had grounds to arrest the appellant for drug possession and possession
for the purpose of trafficking
. The officers decided
not to arrest the appellant that night, however, because they wanted to
continue the investigation and planned to seek a search warrant. D.C. Mignardi
testified that the police wanted to 聯see what [the appellant] was up to聰 and to
learn 聯where he was keeping his product聰 and 聯if there was more product聰.
[12]
The police continued to follow the appellant
that evening. He went into a laundromat and came out carrying a garbage bag of
clothes. They then followed him to a storage locker, which he left empty-handed
after less than 20 minutes.
October 24
[13]
On October 24, 2017, D.C. Mignardi drafted two search
warrant applications: one for the appellant聮s apartment and one for the storage
locker. The police planned to arrest him and then to execute the search warrants
when they had him in custody.
[14]
The officers tracked down the appellant in
mid-afternoon and saw him enter a John Howard Society building. They
decided to arrest
him based on the hand-to-hand
transactions they had seen three days earlier. They tried to locate him in the
building but could not find him. They then saw him leave the building carrying
a bag and followed him into a laneway. After a brief struggle in which the
appellant tried to escape, D.C.s McCartney and Mignardi arrested the appellant
at 3:55 p.m.
[15]
During the struggle as the appellant was
arrested, D.C. Mignardi saw a handgun in the waistband of his pants and seized it
incident to arrest. It turned out to be a loaded semi-automatic handgun with a
chambered round ready to fire and 11 more rounds in the magazine.
[16]
The police also searched the appellant聮s bag
incident to arrest and found over an ounce of crack and powder cocaine, $440 in
cash, and his identification.
[17]
The officers called for a marked police cruiser
so that the appellant could be videotaped as he was read his rights. He was
placed in a marked cruiser at 4:00聽p.m. At 4:03 p.m., the appellant was advised
of his right to counsel, as recorded on the in-car camera. He was asked, 聯Do
you want to call a lawyer now?聰 He replied, 聯Yes聰, and told the officer the
name of his lawyer.
[18]
The appellant was then transported to the police
station. At 4:25 p.m., as he was being processed, an officer reminded the
appellant of his right to counsel. The appellant reiterated that he wanted to
speak to the lawyer he had named. The officer told the appellant that the
police would try to contact his lawyer.
[19]
Meanwhile, the police executed the search warrants.
They drove to the storage locker, which was about 15 minutes聮 drive away, and searched
it, beginning at 5:07 p.m. The search took just two minutes. They then took
photographs and secured the scene. Next, they drove to the appellant聮s apartment,
and searched it from 5:50 p.m. until 6:20 p.m. They found nothing of
consequence at either place. They then returned to the police station at 6:28
p.m.
[20]
At 7:40 p.m. 聴 three hours and forty-five
minutes after the appellant聮s arrest and an hour and twenty minutes after the search
warrants had been executed 聴 the appellant
was
allowed to
speak to his lawyer.
At no time
did
the police explain to the appellant the reason for the delay in accessing
counsel.
C.
The trial judge聮s reasons
[21]
At the start of trial, the trial judge dismissed
an application to exclude the evidence of the gun and drugs seized incident to
arrest:
R. v. Griffith
, 2018 ONSC 6471. The trial judge ruled: (1) the
police had objectively reasonable grounds to arrest the appellant, and thus did
not violate his right not to be detained arbitrarily under s. 9 of the
Charter
;
(2) the warrantless search of the appellant was a lawful search incident to
arrest, and thus did not breach his right against unreasonable search or
seizure under s. 8 of the
Charter
; and (3) the delay in accessing counsel
until after the search warrants were executed breached the appellant聮s right to
counsel under s. 10(b) of the
Charter
.
[22]
The trial judge held, however, that the evidence
should not be excluded under s. 24(2) of the
Charter
. He ruled: (1) the
police conduct in delaying access to counsel and failing to inform the
appellant of the reason for the delay, while not done in bad faith, was
聯serious misconduct聰 that favoured excluding the evidence; (2) the delay in
accessing counsel 聯had minimal negative impact聰 on the appellant and there was
聯no causal or indeed temporal connection between the s. 10(b) breach and the
evidence obtained聰, which mitigated the impact of the breach on his
Charter
-protected
interests; and (3) the evidence seized was reliable and crucial to the
prosecution of very serious offences. Balancing the seriousness of the breach,
the minimal negative impact on the appellant聮s
Charter
-protected
interests, and society聮s interest in the adjudication of these offences on the
merits, the trial judge ruled that the admission of this evidence would not
bring the administration of justice into disrepute.
[23]
On the admission of the evidence, the appellant
was found guilty. He was sentenced to a global sentence of six years in prison:
four years for possession of a loaded prohibited firearm; one year consecutive
for possession of crack cocaine and powder cocaine
for
the purpose of trafficking
; one year consecutive for breach of a
firearms prohibition order; six months concurrent for breach of a probation
order; and various ancillary orders. After pre-sentence custody credit calculated
at 22 months, the appellant had 50 months left to serve.
D.
discussion
[24]
I will address the following four issues:
1.
Did the police lawfully arrest the appellant and search him incident
to arrest?
2.
Were the police justified in delaying the appellant聮s
access to counsel?
3.
Should the evidence have been excluded under s.
24(2) of the
Charter
?
4.
Did the trial judge err in his sentencing
analysis?
Issue #1: Did the police lawfully arrest the appellant and search him
incident to arrest?
(a)
Overview
[25]
The appellant聮s first ground of appeal asserts
that the trial judge erred in concluding that the police had lawful grounds to
arrest him based on what D.C. Mignardi saw in the parkette. He claims that
because the police did not have lawful grounds to arrest him without a warrant
or search him incident to arrest, his arrest violated s. 9 of the
Charter
and the search and seizure violated s. 8 of the
Charter
. As I will
elaborate, I do not accept this submission.
In my
view, the
police had lawful grounds to arrest the appellant and to search
him incident to arrest.
(b)
The applicable principles
[26]
Section 495(1)(a) of the
Criminal Code
, R.S.C.
1985, c. C-46,
provides that a
peace officer may arrest without warrant a person 聯who has committed
an indictable offence or who, on reasonable grounds, he believes has committed
or is about to commit an indictable offence聰.
[27]
A lawful arrest requires the arresting police
officer to have subjective reasonable and probable grounds to believe that an
offence has been committed and those grounds must be justifiable from an
objective viewpoint. The objective assessment depends on the totality of the
circumstances relied on by the arresting officer, including the
dynamics of the situation
, as seen from the
perspective of a reasonable person with comparable experience as the arresting
officer:
R. v. Storrey
, [1990] 1 S.C.R. 241, at pp. 249-51;
R. v.
Lawes
, 2007 ONCA 10, at para.聽4; and
R. v. Anang
, 2016 ONCA
825, 367 C.R.R. (2d) 289, at para. 14.
[28]
The existence of reasonable and probable grounds
is founded on
the trial
judge聮s factual
findings. Although such factual findings attract appellate deference, whether
the facts as found by the trial judge amount to reasonable and probable grounds
is a question of law reviewable for correctness:
R. v. Shepherd
, 2009
SCC 35, [2009] 2 S.C.R. 527, at para. 20;
Anang
, at para. 13.
(c)
Application to this case
[29]
The appellant does not dispute that D.C. Mignardi
had subjective reasonable and probable grounds to believe that an offence had
been committed in the parkette. He claims, instead, that her subjective grounds
were not justifiable from an objective viewpoint. He submits that her belief
that
she saw two drug transactions in the parkette
rested on 聯unverifiable speculation聰: she saw no drugs or money exchanged and
nobody was investigated that night. He says that nothing the police had seen
during their surveillance of him was incriminating: the appellant walking
around alone his own neighbourhood and taking short cuts, sitting on a park
bench alone, or briefly interacting with two men on bikes.
[30]
I do not accept this submission. The appellant聮s
argument focuses on each factor in isolation and ignores the trial judge聮s factual
findings on the totality of the circumstances relied on by D.C. Mignardi. Such
an approach is wrong in law: see
Lawes
, at para. 4. The relevant factual
findings of the trial judge include D.C.聽Mignardi聮s training and
experience and her knowledge
of the participants
in
the transactions, which informed his conclusion
that
she
had objectively justifiable reasonable and probable grounds to believe that the
appellant had committed an indictable offence. The trial judge found:
-
D.C. Mignardi saw the three men engage in very brief hand-to-hand
transactions, lasting less than 30 seconds, which did not appear to be a
handshake or other greeting, with limited or no conversation. The trial judge
summarized D.C. Mignardi聮s evidence as being that the men extended 聯their arms with
clenched fists as if holding something and then swiping or sliding their palms
together聰, which she believed based on her training and experience to be
聯exchanging money for drugs聰. The two men on bikes immediately rode away in the
same direction as they had come. The appellant walked off in the other
direction.
-
D.C. Mignardi had been involved in several drug surveillance
investigations and had seen about 50 hand-to-hand drug transactions in her
career. She and D.C. McCartney had relevant training.
-
D.C. Mignardi
had relevant knowledge about
the three people
she saw: (1) she and her colleagues had seen the
appellant behave
in a manner suggesting to them that
he
was conscious of
police surveillance; (2) the
appellant was linked to an apartment building that the police knew had drug issues,
so much so the landlord had given the police a key to the building because of these
concerns; and (3) she knew the two men on bikes as suspected drug users, and
her colleague, D.C. Quinlan, knew one man by name as a suspected drug user.
[31]
The appellant relies on
R. v. Brown
,
2012 ONCA 225, 286 C.C.C. (3d) 481, as he did
at
trial,
to support his claim that D.C. Mignardi lacked objectively justifiable
reasonable and probable grounds to arrest him. As the trial judge noted,
however, the facts in
Brown
were 聯quite different聰 from this case. In
Brown
,
two police officers were on general patrol in a police cruiser. They
had no prior knowledge of either of the participants
in
a suspected drug transaction on a street corner. One officer 聴 but not the
other 聴 saw the suspected seller, the accused, extend his arm as if to hand
over some drugs, but the suspected buyer did not reciprocate and instead walked
away abruptly. On these facts, this court concluded that the officer聮s
observations did not 聯provide any objective basis upon which to believe that
the two persons were engaged in a drug transaction聰: at para. 15.
[32]
Here, however, the officers investigating the
appellant
had prior knowledge about him
and
the two suspected drug purchasers and they had had the appellant under surveillance
for several days. On these facts, I see no error in the trial judge聮s
conclusion that D.C. Mignardi had reasonable and probable grounds to arrest the
appellant without a warrant. A reasonable person standing in the shoes of D.C.聽Mignardi,
with the same training and experience as her in investigating drug cases and
seeing hand-to-hand transactions, and with the same knowledge of her
surveillance of the appellant and what she had seen in the parkette, could in
all the circumstances reasonably believe that drug transactions had occurred. The
arrest was therefore lawful and the police did not breach s. 9 of the
Charter
.
[33]
It follows from my conclusion that the
appellant聮s arrest was lawful that the search incident to that arrest was also lawful.
The appellant does not argue otherwise. The police could search the appellant incident
to arrest to locate and preserve evidence and to ensure the safety of the
police, the public, and the appellant 聴 particularly when D.C. Mignardi saw a
handgun in the waistband of his pants as he was arrested: see
Cloutier v.
Langlois
, [1990] 1 S.C.R. 158, at p.聽186;
R. v. Golden
, 2001
SCC 83, [2001] 3 S.C.R. 679, at paras. 74-75; and
R.聽v.聽Nolet
,
2010 SCC 24, [2010] 1 S.C.R. 851, at para. 49. The police thus did not breach
s. 8 of the
Charter
.
Issue #2: Were the police justified in delaying the appellant聮s
access to counsel?
(a)
Overview
[34]
The second issue is whether the police were
justified in delaying the appellant聮s access to counsel. As I will elaborate, both
at trial
and on appeal, the Crown conceded
that the breach of s. 10(b) of the
Charter
lasted from when the appellant
was arrested, at 3:55 p.m., to 7:40 p.m. 聴 a delay of three hours and
forty-five minutes, or one hour and twenty minutes after both search warrants had
been executed at 6:20 p.m.
At the same time,
the
Crown sought to uphold the trial judge聮s factual finding that the police had
case-specific concerns for officer safety and the preservation of evidence that
justified them delaying access to counsel until after the searches were
completed. The Crown appeared to view these case鈥憇pecific concerns as
mitigating the overall seriousness of the breach. The appellant agreed with the
Crown as to the duration of the s. 10(b) breach, but disagreed
that
there were any case-specific concerns for
officer safety or the preservation of evidence that justified the delay in accessing
counsel.
[35]
I agree with the Crown that the trial judge could
find on the evidence that the officers had case-specific concerns about officer
safety that justified delaying access to counsel until they completed the
searches. Based on that finding, however, I would hold that the initial delay until
the completion of the searches at 6:20 p.m. did not infringe s. 10(b). The
subsequent delay in implementing the right to counsel, from 6:20 p.m. until
7:40 p.m., did infringe s. 10(b).
(b)
Applicable principles
[36]
Section 10(b) of the
Charter
provides
that everyone has the right on arrest or detention 聯to retain and instruct
counsel
without delay
and to be informed of that right聰 (emphasis
added).
[37]
The jurisprudence has confirmed that s. 10(b) requires
the police to inform a detainee of the right to speak to counsel immediately (an
聯informational聰 duty), and if that right is exercised, the police must
immediately provide the detainee with a reasonable opportunity to speak to
counsel (an 聯implementational聰 duty):
R. v. Suberu
, 2009 SCC 33,
[2009] 2 S.C.R. 460, at paras. 38, 42;
R. v. Bartle
, [1994] 3 S.C.R.
173, at pp. 191-92;
R. v. Rover
, 2018 ONCA 745, 143 O.R. (3d) 135, at
para. 25; and
R. v. La
, 2018 ONCA 830, 366 C.C.C. (3d) 351, at para.
38.
[38]
Courts have recognized that specific circumstances,
including concerns for police safety, public safety, or the preservation of
evidence, may justify some delay in providing a detainee access to counsel:
Suberu
,
at para. 42;
Rover
, at para. 26; and
La
, at para. 38. Such
concerns must be case-specific rather than general concerns applicable to
virtually any case:
Rover
, at para. 27;
La
, at paras. 39-40. As
Doherty J.A. explained in
Rover
聴 decided almost a year after the
execution of the warrants in this case 聴 the police may delay access to counsel
聯only after turning their mind to the specifics of the circumstances and
concluding, on some reasonable basis, that police or public safety, or the need
to preserve evidence, justifies some delay in granting access to counsel聰:
Rover
,
at para. 27. Even if such circumstances exist, the police must take reasonable
steps to minimize the delay in granting access to counsel:
Rover
, at
para. 27;
La
, at para. 40.
(c)
Application to this case
[39]
At trial,
Crown counsel (not appellate counsel) conceded that the appellant聮s
聯section 10(b) rights had been breached by a suspension of his rights until the
execution of [the] search warrants聰. The Crown argued that the police were
justified in delaying the appellant聮s s. 10(b) rights because of case-specific concerns
for evidence preservation and police safety and submitted that the court should
consider this in assessing the seriousness of the breach under s. 24(2).
Defence counsel
at trial
(not appellate
counsel) did not suggest a different analytical approach. Before this court,
appellate Crown counsel adopted the same approach, stating in her factum that
聯the police decision to delay the appellant聮s access to counsel until the
search warrants were executed constituted a violation of s. 10(b)聰. Counsel for
the appellant agreed.
[40]
The trial judge seems to have adopted the Crown聮s
approach. He found that the police had case-specific concerns that justified
delaying the appellant聮s right to counsel 聯in consideration of police/public
safety and the preservation of evidence聰. He summarized D.C. Quinlan聮s testimony
as being
that
there were 聯heightened concerns
regarding police safety given the arrest involved an accused who possessed a
loaded firearm, and they did not know if the apartment they were to search,
where they suspected drugs to be present, was occupied by others聰. The trial
judge also found that 聯there was a concern about the possible destruction of
evidence聰. Later in his reasons, however, the trial judge ruled that the delay
in accessing counsel constituted 聯serious misconduct聰.
[41]
In my view, the trial judge and the parties proceeded
on the mistaken assumption that a justified delay in accessing counsel breaches
s. 10(b). That is not the law.
The
correct approach is reflected by this court聮s decisions in
Rover
and
R.
v. Leonard
, 2020 ONCA 802. In
Rover
, Doherty J.A. took no issue
with the analysis of the trial judge in that case that concerns for officer
safety and evidence preservation could justify delaying access to counsel: at
paras. 18, 26-27. He added, however, that the police must have case-specific
evidence that the police turned their minds to the circumstances
of the case
before delaying access to counsel: at
paras. 32-33. More recently, in
Leonard
, this court confirmed that a
reasonable delay in accessing counsel justified by case-specific concerns for
officer safety does not violate s. 10(b): at para. 15.
[42]
Because the Crown聮s concession of a breach of s.
10(b) arising from a justified delay in accessing counsel is an erroneous
concession of law, this court is not bound by the concession and must analyze
the situation according to what the law provides:
R. v. Barabash
, 2015
SCC 29, [2015] 2 S.C.R. 522, at para.
54;
R. v. Shaikh
, 2019 ONCA 895, 148 O.R. (3d) 369, at
para. 63.
[43]
Applying the correct analytical framework, I now
turn to consider whether the evidence supported the trial judge聮s conclusion that
the police had case-specific concerns for police safety and evidence
preservation that justified delaying access to counsel.
[44]
The appellant asserts
that
there was no case-specific evidence and the police merely followed a
general practice of delaying access to counsel until the search warrant had been
executed. He claims the concerns alleged by the police were of a general or
non-specific nature applicable to virtually every search and therefore cannot
justify suspending the constitutional right to counsel. He relies on D.C. Pollard聮s
evidence of the police聮s 聯general practice聰 of delaying access to counsel until
after the execution of a search warrant and D.C. Quinlan聮s characterization of that
practice as 聯just smart policing聰. D.C. Quinlan also testified that it is
聯always better聰 from an officer-safety standpoint to have the target in custody
before executing the search warrant. D.C. Mignardi similarly agreed with the
suggestion
that
there is 聯always a risk聰 that
the target could call someone to facilitate destroying evidence.
[45]
This evidence must, however, be considered in
the context of
other evidence that confirmed the
police had turned their minds to the specific circumstances
of this case
and had a reasonable basis for
concluding
that
there were concerns for
officer safety at a minimum. D.C. Mignardi testified that the police had just
arrested the appellant with a loaded gun and 聯we didn聮t want to put any of our
聳
our lives in danger by going to a house
where [the appellant is] able to phone whoever he wants when he聮s at [the
police station]聰. She also testified that the team had 聯specifically
consider[ed] safety issues when a decision was made to arrest [the appellant]
before the execution of the search warrants so that his rights would be
suspended until the search warrants [were] executed聰. She noted that searches were
to be conducted at two locations 聴 the storage locker and the apartment 聴 which
raised particular safety concerns if the appellant could telephone somebody
before both searches were completed. D.C. Quinlan similarly testified that the
officer safety concerns were 聯heightened聰 by the firearm recovered from the
appellant. He highlighted
that
this was not a
large operation and included only four officers. Cumulatively, this testimony
provided an evidentiary basis for the trial judge聮s conclusion that the police had
a reasonable basis to conclude that concerns for officer-safety justified delaying
access to counsel until the searches were completed.
[46]
Given this conclusion, I need not decide whether
the police were justified in delaying access to counsel based on case-specific evidence-preservation
concerns that rose beyond a general or non-specific nature applicable to
virtually any search. The police-safety concerns alone justified their
approach.
[47]
To sum up, I conclude that the police did not
breach s. 10(b) by delaying access to counsel until the searches were completed
at 6:20 p.m., but they did do so from 6:20 p.m. to 7:40 p.m., when the
appellant finally called his lawyer.
Issue #3: Should the evidence have been excluded under s. 24(2) of
the
Charter
?
[48]
The next issue is whether the trial judge erred
in not excluding the evidence of the gun and drugs under s. 24(2) of the
Charter
.
[49]
A trial judge聮s decision to admit or exclude
evidence under s. 24(2) of the
Charter
attracts appellate deference
absent an error in principle, a failure to consider the proper factors, a
palpable and overriding factual error, or an unreasonable determination:
R.
v. Just
, 2020 ONCA 362, 388 C.C.C. (3d) 273, at para.
21;
R. v. McGuffie
, 2016 ONCA 365, 131 O.R. (3d) 643, at
para. 64;
La
, at para.
37; and
R. v. Grant
,
2009 SCC 32, [2009] 2 S.C.R. 353, at paras. 86, 127.
[50]
Section 24(2) is triggered where evidence is
聯obtained in a manner聰 that violates an accused聮s
Charter
rights. A s.
24(2) inquiry examines the impact of admitting evidence obtained in breach of
the
Charter
on public confidence in the justice system over the long
term, based on the factors set out in the leading case of
Grant
: (i)
the seriousness of the
Charter
-infringing state conduct; (ii) the impact
of the breach on the accused聮s
Charter
-protected interests; and (iii)
society聮s interest in the adjudication
of the case
on
the merits. The court聮s task is to balance the assessments under these three
inquiries 聯to determine whether, considering all the circumstances, admission
of the evidence would bring the administration of justice into disrepute聰:
Grant
,
at para. 71;
R. v. Le
, 2019 SCC 34, 434 D.L.R. (4th) 631, at paras.
139-142.
[51]
Section 24(2) does not create an automatic
exclusionary rule when evidence is obtained
in a
manner that infringes
a
Charter
right. The accused bears the
onus of establishing that, having regard to all the circumstances, the
admission of the evidence would bring the administration of justice into disrepute:
R. v. Hobeika
, 2020 ONCA 750, 153 O.R. (3d) 350, at para. 76;
R.
v. Lenhardt
, 2019 ONCA 416, 437 C.R.R. (2d) 328, at para. 11; and
R.
v. Fearon
, 2014 SCC 77, [2014] 3 S.C.R. 621, at para. 89.
聯Obtained in a manner聰
[52]
Courts have taken a 聯very broad reading聰 and
聯generous view聰 of the phrase 聯obtained in a manner聰 under s. 24(2), the
threshold requirement of whether the admission of the evidence would bring the
administration of justice into disrepute:
Hobeika
, at para. 77;
R.
v. Pileggi
, 2021 ONCA 4, 153 O.R. (3d) 561, at para. 101. The
jurisprudence has accepted that courts should examine the 聯entire 聭chain of
events聮 between the accused and the police聰:
R. v. Pino
, 2016 ONCA
389, 130 O.R. (3d) 561, at para. 72;
Pileggi
, at para. 101. The
connection between the breach and the discovered evidence may be 聯causal,
temporal, or contextual, or any combination of these three connections聰, as
long as the connection is not 聯too tenuous or too remote聰:
Pino
, at
para. 72;
Pileggi
, at para. 101; see also
R. v.
Wittwer
,
2008 SCC 33, [2008] 2 S.C.R. 235, at para. 21; and
Rover
, at para. 35.
[53]
Here, before this court, the parties accepted that
the evidence was 聯obtained in a manner聰 that infringed the appellant聮s
Charter
rights. The Crown did not dispute this, while the appellant submitted
that
there was a contextual and temporal connection
between the s. 10(b) breach and the impugned evidence. The trial judge made no
express finding on this point. His reasons appear to have accepted
that
this criterion was satisfied and then addressed
whether the evidence should be admitted under the test in
Grant
.
[54]
I pause here to note that when addressing the
impact of the breach 聴 the second
Grant
factor 聴 the trial judge said
that 聯there is no causal or indeed
temporal connection
between the s.
10(b) breach and the evidence obtained聰 (emphasis added). Similarly, in his
sentencing reasons, the trial judge stated that 聯the firearm and drugs [were]
not
contextually
, causally or [
temporally]
connected to the
breach of delaying contact with counsel聰 (emphasis added). If these comments
are read literally, there would have been no need to apply the
Grant
test
because the threshold for applying s. 24(2) would not have been met.
[55]
The trial judge may have misspoken when he said
there was no temporal or contextual connection between the evidence and the s.
10(b) breach. If he did not misspeak, he was in error. Although the evidence was
not causally connected to the breach of s. 10(b) because it was discovered
before the breach, there was no basis to find
that
it
was not temporally or contextually connected to the breach or that the
connection was tenuous or remote. The discovery of the evidence and the s.
10(b) breach all arose from the same transaction 聴 the appellant聮s arrest: see
Pino
,
at para. 73. The connection was temporal because the discovery of the evidence
was relatively close in time to the s. 10(b) breach and part of the continuum
of events arising from the appellant聮s arrest: see
Pino
at para. 74.
The connection was also contextual because the discovery of the evidence arose out
of the same events flowing from the appellant聮s arrest that led to the s. 10(b)
breach: see
Pino
, at para. 74. Neither connection was tenuous or
remote.
[56]
I would therefore find that s. 24(2) of the
Charter
was engaged. I now turn to the three lines of inquiry under
Grant
.
(i)
The seriousness of the
Charter
-infringing state conduct
[57]
The first line of inquiry considers the
seriousness of the police conduct that infringed the
Charter
and was
connected to the discovery of the evidence. It asks whether the police engaged
in misconduct from which the court should dissociate itself, such as where the
departure from
Charter
standards was significant or where the police
knew or should have known that their conduct breached the
Charter
; or
rather whether the breach was merely
of a
technical
nature
or reflected an understandable mistake,
in which case dissociation is much less of a concern:
Grant
, at paras.
72-74;
R. v. Harrison
, 2009 SCC 34, [2009] 2 S.C.R. 494, at para.聽22;
and
R. v. McSweeney
, 2020 ONCA 2, 384 C.C.C. (3d) 265, at para. 78.
[58]
Courts should dissociate themselves from
evidence obtained through a negligent breach of the
Charter
:
Le
,
at para. 143; see also
Grant
, at para. 75. A systemic problem or
pattern of
Charter
-infringing conduct is an aggravating factor that
supports exclusion:
Grant
, at para. 75;
Harrison
, at para.
25.
[59]
Here, the trial judge found that the police
breached s. 10(b) by delaying access to counsel until after the execution of
the warrants and then for another hour and twenty-minutes. He also considered
the police conduct in failing to inform the appellant of the reason for the
delay. He distinguished
Rover
because he found the delay in accessing counsel
here was because of case-specific concerns for police safety and evidence
preservation. He concluded that although the s. 10(b) breach and the failure to
inform the appellant of the reason for the delay were 聯not done in bad faith聰,
they involved 聯serious misconduct, which in the analysis favours exclusion聰.
[60]
I agree with the trial judge聮s final assessment
that the s. 10(b) breach was serious, even though I would find the breach in
accessing counsel as having been briefer than the trial judge found. I also
agree that the police聮s failure to inform the appellant of the reason for the
delay in accessing counsel aggravated the s. 10(b) breach. This was a
significant breach of established obligations under s. 10(b).
[61]
I would add that the seriousness of the s. 10(b)
breach arising from the one hour and twenty minutes of unjustified delay in
accessing counsel must be understood in
the
particular context of
this case. The police had
already
delayed
access to counsel for two hours and twenty-five minutes to
execute the warrants. Once the searches were completed, the police should have acted
with particular urgency in providing the appellant access to counsel. Instead, they
let him wait in his cell without access to counsel for another hour and twenty
minutes.
[62]
I acknowledge that the
police took
some
steps to minimize
the delay the appellant experienced by obtaining the search warrants before he was
arrested. This factor was highlighted in
Rover
as mitigating the
seriousness of the breach by helping to minimize the delay in accessing counsel:
Rover
, at para. 39.
[63]
I also note that the delay in accessing counsel
after the searches were completed was left largely unexplained. There is no
evidence to permit a further finding 聴 there is no evidence of a pattern of
ignoring constitutional rights during detention, of a deliberate decision to do
so, or any evidence of other constitutional breaches while the appellant was
detained. This lack of evidence bears on whether the appellant has met his onus
under s. 24(2) of establishing that the admission of the evidence would bring
the administration of justice into disrepute:
Hobeika
, at para. 76;
Lenhardt
,
at para. 12.
[64]
The only evidence in the record pointing in any
direction appears to suggest that
the failure to
provide
access to counsel after execution of the search warrants was a fact-specific
oversight, albeit a serious one. D.C. Mignardi testified that after executing
the warrants she headed back to the station and 聯started working on the 聟 case聰
by inputting information, such as the record of the arrest, in the police
computer system. She explained
that
there is
pressure to 聯make sure all your notes [are] in for disclosure purposes right
away聰. She did not speak to the appellant. At some point, she learned from
another officer that the appellant wanted to contact his lawyer. At 7:40 p.m., she
helped him to do so. She then returned to inputting information in the police
computer system. She testified that the police did not set out to intentionally
delay the appellant聮s right to counsel and there was no advantage to the
investigation or prosecution in doing so. She testified that she was trying to
fulfill the appellant聮s
Charter
rights, and specifically, his right to
counsel.
[65]
In mentioning this evidence, I should not be
taken as suggesting that the police can delay access to counsel to input
information in their computer system or that an officer聮s assertion
that
they did not intend to breach constitutional
rights is itself determinative. I simply highlight that the only evidence in
the record appears to suggest that what happened here was a fact-specific
oversight and not a systemic or intentional breach of the appellant聮s s. 10(b)
rights.
[66]
Even if unintentional, what happened here reflected
an unacceptably negligent approach to safeguarding the appellant聮s s. 10(b) rights.
The police conduct violated an established constitutional obligation. As this
court has noted, 聯[t]he law around s. 10(b) is clear and long-settled. It is
not difficult for the police to understand their obligations and carry them
out聰:
R. v. Noel
, 2019 ONCA 860, at para. 34. The officers聮 collective
negligence in failing to uphold the appellant聮s s.聽10(b) rights precludes
a finding of good faith: see
Le
, at paras. 143, 147;
Pileggi
,
at para. 119; and
Hobeika
, at para. 81.
[67]
A serious breach of an established
constitutional right supports exclusion of evidence under s. 24(2), even if the
breach is not deliberate or systemic or part of a pattern of police misconduct:
Harrison
, at paras. 24-25;
R. v. Paterson
, 2017 SCC 15,
[2017] 1 S.C.R. 202, at para. 44; and
Hobeika
, at para. 82. That
principle applies here.
(ii)
Impact of the breach on the appellant聮s
Charter
-protected interests
[68]
The second line of inquiry under s. 24(2) asks
whether and to what extent the
Charter
breach 聯actually undermined the
interests protected by the right infringed聰:
Grant
, at para. 76;
Le
,
at para. 151. This involves identifying the interests protected by the
Charter
rights and evaluating how seriously the
Charter
infringements
impacted
those interests. The more serious the
impact on
Charter
-protected interests, 聯the greater the risk that
admission of the evidence may signal to the public that
Charter
rights, however high-sounding, are of little actual avail to the citizen,
breeding public cynicism and bringing the administration of justice into
disrepute聰:
Grant
, at paras. 76;
Le
, at para. 151.
[69]
The s. 10(b) right to retain and instruct
counsel without delay and to be informed of that right allows a detainee to
obtain advice about how to exercise their rights relevant to their legal
situation:
R. v. Taylor
, 2014 SCC 50, [2014] 2 S.C.R. 495, at para.
21;
R. v. Wong
, 2015 ONCA 657, 127 O.R. (3d) 321, at para. 77. This
helps ensure that a detainee聮s choice to speak to the police is free and
informed and guards against the risk of involuntary self-incrimination:
Suberu
,
at para. 40;
R. v. Sinclair
, 2010 SCC 35, [2010] 2 S.C.R. 310, at
para. 25; and
Wong
, at para.聽77. As Doherty J.A. explained in
Rover
,
the right to counsel is a 聯lifeline for detained persons聰 that provides
detainees with both legal advice and psychological benefits by conveying to
them
that
they are not at the mercy of the
police while detained: at para. 45; see also
Pileggi
, at para. 123.
[70]
Here, the trial judge found that the s. 10(b)
breach had 聯minimal negative impact聰 on the appellant聮s
Charter
-protected
interests because he found no causal or temporal connection between the s.
10(b) breach and the evidence obtained. I聽agree there was no causal
connection, but as I have explained, the trial judge either misspoke or erred
in finding no temporal connection.
[71]
In
appropriate
cases,
the lack of a causal connection can mitigate the impact of the infringement:
Grant
,
at para. 122;
Rover
, at para. 43; and
Pileggi
, at para.聽120.
I also note that the police did not
try to
elicit
information from the appellant, thus avoiding an aggravating feature found in
several other cases: see e.g.,
La
, at paras. 47-48;
McSweeney
,
at paras. 79-80;
R. v. Manninen
, [1987] 1 S.C.R. 1233, at pp. 1242-43,
1245; and
R. v. Prosper
, [1994] 3 S.C.R. 236, at pp.聽280, 284.
[72]
I also agree with the appellant that the trial
judge erred in describing the impact of the breach of s. 10(b) on the
appellant聮s
Charter
-protected interests as 聯minimal聰. The appellant was
deprived of the 聯lifeline聰 of counsel without justification for an hour and
twenty minutes, after he had
already
been
deprived of access to counsel with justification for two hours and twenty-five
minutes. He was also not told the reason for the delay.
[1]
This breach
impacted the appellant聮s
Charter
-protected
interests, even if the police did not aggravate the breach by seeking to elicit
information from him.
[73]
The impact of the s. 10(b) breach on the
appellant聮s
Charter
-protected interests was
nevertheless
less significant than
other cases in which
evidence
has been excluded under s. 24(2), such as:
-
Rover
, in which the accused was denied
access to counsel for almost six hours, with no explanation as to why the
police had refused him access to counsel and without an indication of when he
might be allowed to do so, leading to 聯significant psychological pressure聰
being brought to bear on him: at paras. 44, 46;
-
La
, in which the accused was denied access
to counsel for over eight and a half hours, during which
time
the police tried to obtain an incriminating
statement from him: at paras. 7, 47-48; and
-
Noel
, in which the police did not even
try to contact counsel on the accused聮s behalf until three hours after his
arrest and it was never confirmed that the accused actually spoke to counsel:
at paras. 29, 31.
[74]
The impact of the breach on the appellant聮s
Charter
-protected
interests was also comparable to, or less significant than, other cases in
which evidence has been admitted under s. 24(2), such as:
-
Hobeika
, in which there was an
unexplained failure to provide access to counsel for just over four hours: at
para. 79;
-
Pileggi
, in which there was a three-hour
delay in providing access to counsel, the breach was 聯unintentional and
occurred largely due to a lack of communication between police officers聰, and no
one tried to elicit information from the accused, although the police made
reasonable efforts early on to contact duty counsel and kept the accused apprised
of their attempts to contact counsel on his behalf: at paras. 114, 117-18 and
124.
[75]
Placing the impact of the s. 10(b) breach here
along the continuum of s.聽10(b) breaches in past cases, I would describe
the impact of the s. 10(b) breach on the appellant聮s
Charter
-protected
interests as moderate.
(iii)
Society聮s interest in the adjudication
of the case
on the
merits
[76]
The last line of inquiry considers factors such
as the reliability of the evidence and its importance to the Crown聮s case. It asks
whether the truth-seeking function of the criminal trial process would be
better served by the admission of the evidence or by its exclusion:
Grant
,
at para. 79;
McSweeney
, at para. 81. Reliable evidence critical to the
Crown聮s case will generally pull towards inclusion:
Harrison
, at
paras. 33-34;
McGuffie
, at para. 62; and
McSweeney
, at para.
81.
[77]
Here, the gun and drugs are reliable evidence and
essential to the Crown聮s case for what are
extremely
serious
offences. The admission of this evidence would better serve the truth-seeking
function of the criminal trial process than its exclusion. I therefore agree
with the trial judge that society聮s interest in the adjudication
of the case
on the merits favours the admission of
this evidence.
Balancing the factors
[78]
The final step in the s. 24(2) analysis involves
balancing the factors under the three lines of inquiry to assess the impact of
admission or exclusion of the evidence on the long-term repute of the
administration of justice. Such balancing involves a qualitative exercise, one
that is not capable of mathematical precision:
Harrison
, at para. 36.
As Doherty J.A. recently noted in
Hobeika
, 聯[t]he nature of the s.
24(2) inquiry means, in some cases, different judges will reasonably arrive at
different conclusions with respect to admissibility聰: at para. 89.
[79]
Here, I have concluded that the evidence was
properly admitted under s.聽24(2). I say this for several reasons. The breach
of s.聽10(b), although serious, appears to have been situation-specific and
isolated, rather than institutional or systemic. It has not been established
that the breach was deliberate or intentional. The breach only moderately
impacted
the appellant聮s
Charter
-protected
interests. The evidence, consisting of the loaded gun and drugs, was obtained
through a lawful search incident to arrest and, because it was not causally
related to the s.聽10(b) breach, was not compromised by the breach of s.聽10(b).
In these circumstances, excluding the evidence would only punish the police 聴
which is not the purpose of s. 24(2) 聴 and would damage, rather than vindicate,
the long鈥憈erm repute of the criminal justice system:
Grant
, at
para. 70;
Hobeika
, at para. 90; and
Pileggi
, at para. 127. It
would allow an apparently unintentional, situation-specific police-slip that
had only a moderate impact on
Charter
-protected interests to lead to
the acquittal of an armed and dangerous drug trafficker in a city already
plagued by gun violence.
[80]
Like the trial judge, I thus conclude that the admission
of the evidence would not bring the administration of justice into disrepute.
[81]
I would dismiss the conviction appeal.
Issue #4: Did the trial judge err in his sentencing
analysis?
[82]
Finally, the appellant submits that the trial
judge erred by declining to reduce the sentence he imposed (6 years, less
credit for pre-sentence custody calculated at 22 months) because of the s.
10(b) violations. The appellant was 22 years old when he committed the
offences.
[83]
An appellate court can interfere with a sentence in only two situations:
(1) if the sentence is demonstrably unfit; or (2) if the sentencing judge made
an error in principle that had an impact on the sentence:
R. v. Friesen
, 2020 SCC 9, 444 D.L.R. (4th) 1, at para. 26;
R. v. Lacasse
, 2015 SCC 64, [2015] 3 S.C.R. 1089, at paras.
11, 41 and 44; and
R. v. Suter
, 2018 SCC 34,
[2018] 2 S.C.R. 496, at para. 24.
[84]
The appellant does not argue that the sentence
was demonstrably unfit. Instead, he submits that the trial judge聮s refusal to reduce
the sentence because of the s. 10(b) breach was an error in principle that
justifies appellate intervention. As he did at first instance, the appellant
relies on the Supreme Court of Canada聮s decision in
R. v. Nasogaluak
,
2010 SCC 6, [2010] 1 S.C.R.
206, in support of
his
submission. That case upheld a sentence reduction for the offences of impaired
driving and flight from the police when the police used excessive force in
arresting the accused and breached his
Charter
rights during his
arrest and detention. Here, by analogy, the appellant asserts that the s. 10(b)
breach was contextually and temporally connected to his arrest and thus
warranted a sentence reduction.
[85]
I do not accept this submission.
[86]
A sentencing judge crafting a fit sentence must consider
all the circumstances of the offence and offender. This includes state
misconduct, including a
Charter
breach, if it relates to the
circumstances of the offence and the offender. When, however, the state
misconduct does not relate to the circumstances of the offence or the offender,
the accused cannot seek a remedy through the sentencing process:
Nasogaluak
,
at paras. 3-4, 46-49;
R. v. Donnelly
, 2016 ONCA 988, 135 O.R. (3d)
336, at paras. 150-54.
[87]
Here, the trial judge considered
Nasogaluak
but
determined that the circumstances of the s. 10(b) breach did not relate to the offences
or the offender
in a way that could be
considered
in sentencing. He held there was no additional harm or prejudice caused by the
s. 10(b) breach that would act as a mitigating circumstance. He referred to his
ruling on the
Charter
application that the discovery of the evidence was
not causally connected to the breach, and thus did 聯not align with the offences
or to the offender聰. In support of that conclusion, he cited
R. v. Glykis
(1995), 24 O.R. (3d) 803 (C.A.), which also involved a s. 10(b) breach arising
from a delay in accessing counsel. Dubin C.J.O. held that the s. 10(b) breach in
that case should not reduce the sentence because it did not mitigate the
seriousness of the offence or constitute a form of additional punishment or
hardship for the accused.
[88]
The trial judge聮s conclusion that the s. 10(b) breach
here did not warrant a sentence reduction attracts
deference
.
His conclusion that the s. 10(b) breach did not relate to the circumstances of
the offences or the offender to affect the appropriate sentence is reasonable.
The breach of s. 10(b) did not alter the circumstances of the offences.
Although the delay in accessing counsel no doubt had some effect on the
appellant, there was no evidence about this.
As a
result,
I聽see no error in principle warranting appellate
intervention.
[89]
I would therefore grant leave to appeal the
sentence but dismiss the sentence appeal.
E.
conclusion
[90]
I would dismiss the conviction appeal, allow
leave to appeal the sentence, and dismiss the sentence appeal.
Released: May 7, 2021 聯B.W.M.聰
聯M.
Jamal J.A.聰
聯I
agree. B.W. Miller J.A.聰
聯I
agree. Coroza J.A.聰
[1]
Recent
case law suggests that the failure of the police to inform an accused of the
reasons for the delay in providing access to counsel, where such delay is
justified, or to advise the accused when they might be allowed to speak to
counsel, may constitute an independent breach of s. 10(b) of the
Charter
: see
R.
v. Rover
, 2018 ONCA 745, 143 O.R. (3d) 135, at
paras. 45-46 (seeming to agree with the trial judge聮s finding at 2016 ONSC 4795,
at para. 70, that the police should have advised the accused that they were
suspending his s. 10(b) right);
R. v. Shang En Wu
, 2017 ONSC 1003, 35
C.R. (7th) 101, at para. 78. However, since this appeal was not argued on this
basis, I refrain from further comment.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Haniffa, 2021 ONCA 326
DATE: 20210517
DOCKET: C64988
Juriansz, Tulloch and Paciocco
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Erhard Haniffa
Appellant
Boris Bytensky, for the appellant
Tracy Kozlowski, Katie Doherty and Lisa
Fineberg, for the respondent
Heard: January 12-13, 2021 by
videoconference
On appeal from
the convictions entered by Justice Joseph F. Kenkel of the Ontario Court of
Justice on June 13, 2017, with reasons reported at 2017 ONCJ 525, and the
ruling on multiple convictions dated October 2, 2017, and the ruling on
entrapment dated November 8, 2017, with reasons reported at 2017 ONCJ 780, and the
rulings on s. 11(b) dated November 8, 2017 and September 4, 2018, with reasons
reported at 2017 ONCJ 781 and 2018 ONCJ 615, and the sentence imposed on
October 29, 2018, with reasons reported at 2018 ONCJ 960.
Juriansz J.A.:
[1]
This appeal was argued together with two other
defence appeals,
R. v. Jaffer
and
R. v. Dare
, and a Crown
appeal,
R. v. Ramelson
. All the appeals arose out of arrests and
prosecutions pursuant to Project Raphael of the York Regional Police (聯YRP聰). Project
Raphael was an undercover YRP investigation that began in 2014 with the
objective of reducing the demand for sexual services from juveniles in the
region by targeting the 聯buyer side聰.
[2]
As part of the investigation, the police posted
fake advertisements in the 聯escorts聰 section of the online classified
advertising website Backpage. When persons responded to the ads, an undercover officer
posing as the escort would disclose in the ensuing text chat that 聯she聰 was underage.
Individuals who continued the chat and arranged sexual services and a price
were directed to a hotel room to complete the transaction and were arrested and
charged on their arrival.
[3]
The common issue in the four appeals is whether
the individuals who were arrested and prosecuted pursuant to Project Raphael
were entrapped by the police. The appellant also appeals his convictions, the
dismissals of his s. 11(b) applications, the trial judge聮s refusal to stay the
third count with which he was charged on the
Kienapple
principle, and
his sentence.
[4]
For the reasons that follow, I would dismiss the
appeal of all the appellant聮s post-trial applications. I would allow the
sentence appeal.
A.
THE FACTS IN THIS CASE
[5]
In this case, the ad the police placed on the escorts
section of Backpage purported to have been placed by 聯Jamie聰. Jamie described
herself as 聯YOUNG shy FRESH and NEW聰. The ad included photographs of a female
police officer, whose face was not shown, posing as Jamie. The ad indicated
Jamie was 18 years old, the minimum age allowed by Backpage.
[6]
On March 22, 2016, the appellant texted Jamie
and asked if she was working. The undercover officer, Truong, responded and after
exchanging a number of preliminary messages, texted 聯r u okay if im not quite
18 yet?聰. The appellant asked, 聯Is this like a cop thing or something?聰 and
then asked Jamie how old she was. Truong responded, 聯I聮m 15 to be hones but i
look older hun聰. The appellant was wary and said in several texts 聯Not getting
a good feeling about this聰, 聯No r u [a cop]聰, and 聯Don聮t even know if I am
talking to the person I am seeing [in the ad]聰. Truong sent additional texts
referring to Jamie聮s age as 15. Despite his skepticism, the appellant continued
the text chat and eventually proceeded to the hotel to meet Jamie for the
sexual services negotiated in the text chat.
[7]
When the appellant arrived at the room, he was
arrested and charged with the following three counts:
Count 1: Communicating via telecommunication
with a person he believed to be under the age of 18 years for the purpose of
facilitating an offence under s. 286.1(2) (obtaining sexual services from a minor)
contrary to s. 172.1(2) (child luring under 18).
Count 2: Communicating via telecommunication
with a person he believed to be under the age of 16 years for the purpose of
facilitating an offence under s. 152 (invitation to sexual touching) contrary
to s. 172.1(2) (child luring under 16).
Count 3: Communicating for the purpose of
obtaining for consideration the sexual services of a person under the age of 18
years contrary to s. 286.1(2) (communicating to obtain sexual services from a
minor).
[8]
While the information references s. 171.1(2), counts
1 and 2 relate to the offences under ss. 172.1(1)(a) (child luring under 18)
and 172.1(1)(b) (child luring under 16). Section 172.1(2) sets out the
punishment for these offences.
[9]
The appellant聮s defence at trial was that he did
not believe the person with whom he was communicating was younger than 18. He
said he did not believe he was even speaking to a woman based on the speech
patterns used in the messages. He said he thought he was speaking either to a
police officer or a pimp trying to set him up for extortion. The appellant
testified that because of his experience as a child victim of a serious sexual
assault he would never want to have sex with a minor.
[10]
The trial judge found the appellant guilty on
all three counts.
[11]
On October 2, 2017 the judge ruled on whether
some of the convictions should be stayed according to
Kienapple v. R.
, [1975]
1 S.C.R. 729. The Crown agreed that one of the two counts under s. 172.1 should
be stayed. The appellant submitted that, in addition, count 2 (child luring
under 16) and count 3 (communicating to obtain sexual services from a minor) contained
substantially the same elements and that one of those convictions should also
be stayed. The judge entered a stay only on count 1 (child luring under 18).
[12]
The appellant also applied for a stay of
proceedings on the basis he had been entrapped. The application was denied.
[13]
The appellant also brought two applications for
a stay of proceedings claiming delay in violation of his s. 11(b) right under
the
Canadian Charter of Rights and Freedoms
to a trial within a
reasonable time. Both applications were denied.
[14]
He brought the first application submitting that
the entrapment hearing was scheduled beyond the 18-month presumptive ceiling
set in
R. v. Jordan
, 2016 SCC 27, [2016] 1 S.C.R. 631. In a decision
released on November 8, 2017, the trial judge dismissed the application on the
basis that the presumptive ceiling in
Jordan
did not apply to
proceedings after the verdict. He stated that the principles underlying
Jordan
did not support extending the framework to include post-trial applications.
[15]
The appellant brought the second application primarily
based on a delay in disclosure before sentencing and a Crown application with
respect to mandatory minimum sentences. In a decision dated September 4, 2018,
the trial judge stated that the ultimate question was whether the case had
taken markedly longer than what was reasonably required and concluded that the
matter had moved quickly at every stage. He found each of the nine post-verdict
applications were brought and heard efficiently and could not have moved along
much more quickly than they did.
B.
arguments on appeal
[16]
The appellant submits
the trial judge made five errors:
1.
by finding the appellant聮s testimony did not
raise a reasonable doubt without considering his good character evidence;
2.
by failing to apply the
Kienapple
principle to conditionally stay count 2 (child luring under 16), in addition to
count 1 (child luring under 18);
3.
by failing to find that the appellant聮s right to
be tried within a reasonable time as guaranteed by s. 11(b) of the
Charter
was violated; and
4.
by concluding Project Raphael was a bona fide
inquiry and failing to find that the investigative scheme constituted
entrapment; or
5.
in the alternative, by failing to find that the
police conduct constituted entrapment for the s. 172.1(1)(b) (child luring
under 16) offence.
The appellant
also appeals his sentence on the basis that COVID-19 has rendered his sentence
unfit.
C.
analysis
(1)
Appellant聮s good character testimony
[17]
The appellant complains that the trial judge did
not mention his testimony that he would not have committed any sexual offence
involving a minor because he had been a victim of sexual assault as a child. He
argues that the trial judge was obliged to consider this evidence and, if he
rejected it, explain why it did not leave him with a reasonable doubt.
[18]
This was a trial before a judge alone. The trial
judge stated he had considered all the evidence, he gave cogent reasons for his
determinations of credibility, and he concluded the appellant聮s evidence did
not leave him with a reasonable doubt. He described the appellant聮s evidence as
聯internally contradictory聰 and 聯illogical to the point of being nonsensical on
the central points聰. He said the appellant聮s testimony was 聯contradicted by
credible external evidence including the text messages he sent and his actions
on the day in question.聰
[19]
The trial judge聮s reasons for rejecting the
appellant聮s evidence were sufficient. The trial judge did not commit any
reversible error by failing to avert to the evidence the appellant led to
support his good character.
(2)
Kienapple
[20]
The
trial judge held, and the Crown conceded, that counts 1 and 2, the two child
luring charges, shared a sufficient factual and legal nexus such that one
should be stayed. He stayed count 1 (child luring under 18).
[21]
The trial judge noted, as the parties agreed, that there was a sufficient
factual nexus between counts 2 (child luring under 16) and 3 (communicating to
obtain sexual services from a minor) to satisfy the
Kienapple
principle.
However, relying on in
R. v. Prince
, [1986] 2 S.C.R. 480, he found a lack
of legal nexus between counts 2 and 3 because s. 172.1 and s. 286.1(2) have
different and distinguishing elements
that showed different
statutory purposes. The luring offence in count 2 was directed towards 聯the use
of telecommunication which enables adults to engage in anonymous, low
visibility contact with vulnerable children.聰 The offence in count 3 was aimed
at commercialized prostitution involving persons under 18 years of age.
Therefore, he concluded that the
Kienapple
principle did not
apply to counts 2 and 3.
[22]
The appellant submits the trial judge erred by conditionally
staying only count 1 under the
Kienapple
principle. Count 1 charged the
appellant under s.172.1 with luring a person under 18 to facilitate the
commission of the s. 286.1(2) offence.
[23]
The appellant submits count 3 (communicating to
obtain sexual services from a minor) should have been stayed as well. He points
out that, in this case, all three counts arose from one conversation by text
message, by one person, on one occasion, with one person believed to be
underage, for the purpose of engaging in one specific sexual encounter. This,
he submits, shows it is clearly the same delict.
[24]
The appellant submits that if the 聯purpose
behind the legislation聰 was sufficient reason to avoid the application of the
rule against multiple convictions, the trial judge should not have
conditionally stayed either of the luring charges because they were both
enacted for the same statutory purpose.
[25]
Finally, the appellant claims to demonstrate the
error by submitting that had the appellant been tried and convicted of the two
luring counts only, he would be able to plead
autrefois convict
if the Crown
subsequently sought to try him on the s. 286.1(2) count.
[26]
I see no error in the trial judge聮s reasoning.
The two counts do indeed have the different and distinguishing elements he
identified. I also agree that the two offences have the different statutory
purposes he stated.
[27]
The appellant聮s observation that count 1 (child
luring under 18) also has a different statutory purpose to count 3
(communicating to obtain sexual services from a minor) is not on point. The
trial judge stayed count 1 (child luring under 18) because of its factual and
legal nexus to count 2 (child luring under 16), and not count 3 (communicating
to obtain sexual services from a minor). The remaining question is related to
the relationship of count 2 and count 3.
[28]
I reproduce the two counts:
Count 2: Communicating via telecommunication
with a person who he believed to be under the age of 16 years for the purpose
of facilitating an offence under s. 152 (invitation to sexual touching)
contrary to s. 172.1(2) (child luring under 16).
Count 3: Communicating for the purpose of
obtaining the sexual services of a person under the age of 18 years contrary to
s. 286.1(2) (communicating to obtain sexual services from a minor).
[29]
Count 2 requires communication via
telecommunication and the communication in count 3 must be to obtain sexual
services for consideration. As Leibovich J., put it in
R. v. Faroughi
,
2020 ONSC 780, 聯[s]ection 286.1(2)聽seeks to protect against the evils of
child prostitution, while section 172.1 seeks to protect聟the criminal use of
the internet and other similar devices to sexually exploit children.聰
[30]
I am not persuaded there is any basis to
interfere with the trial judge聮s decision.
(3)
Section 11(b)
[31]
The trial judge dismissed both of the
appellant聮s applications for a stay pursuant to s. 11(b).
[32]
The appellant acknowledges that the
Jordan
presumptive ceilings do not typically apply to post-verdict delay. However, he
points out that trial judges can refuse to enter a conviction if they find
entrapment:
R. v. Mack
, [1988] 2 S.C.R. 903, at p. 972. This, he submits,
makes entrapment applications unlike other post-trial motions. In entrapment
applications, the question whether the accused will be convicted remains unresolved.
[33]
I do not accept that entrapment hearings are
exceptional post-trial proceedings that should be included in the
Jordan
presumptive ceilings. The Supreme Court in
R. v. K.G.K.
,
2020 SCC
7, 443 D.L.R. (4th) 361, held that the presumptive ceilings established in
Jordan
do not apply to the trial judge聮s deliberation time, and said the ceilings 聯apply
from the charge to the end of the evidence and argument, and no further聰: at
para. 33. The Supreme Court explicitly rejected the possibility that
Jordan
ceilings apply from the charge to 聯the conclusion of post-trial motions聰:
K.G.K.
,
at para. 33.
[34]
While the
Jordan
ceilings do not apply, I
must still consider whether the post-trial delay infringed the appellant聮s
rights under s. 11(b). The protections afforded by s. 11(b) encompass the time
up to and including the date when a sentence is imposed:
K.G.K.
, at
para. 3;
R. v. MacDougall
, [1998] 3 S.C.R. 45, at para. 19.
[35]
In
R. v. Charley
, 2019 ONCA 726, 147 O.R.
(3d) 497, Doherty J.A. set a presumptive five-month ceiling, subject to the
same exceptions and principles as the
Jordan
presumptive ceiling, that
applies to sentencing delay. I do not accept the appellant聮s submission that this
presumptive five-month ceiling applies to both post-trial motions and
sentencing. In
Charley
the issue was sentencing delay. The delay was due
to a Crown application to have the offender declared a dangerous offender. I am
satisfied the five-month presumptive ceiling was intended to apply to the
sentencing process alone.
[36]
The time required to deal with post-trial
motions unrelated to sentencing must be considered separately as it is not
possible to prescribe a presumptive ceiling for the completion of post-trial
motions. Obviously, the number and complexity of post-trial motions will vary
with each case. The time taken for post-trial motions should not be
unreasonable considering the number and complexity of the motions in the
specific circumstances of the particular case.
[37]
The time taken for post-trial motions in this
case was not unreasonable. The verdict was rendered on June 13, 2017 and the
final ruling on the post-trial motions was delivered on September 4, 2018,
approximately 14 months and 27 days later. From November 8, 2017 to December 6,
2017, the parties were dealing with a Crown application related to mandatory
minimum sentences, which should be included in the time taken for sentencing.
Defence counsel agreed that he was responsible for the delay from May 1, 2018
to August 28, 2018, which results in a deduction of 4 months. This leaves 9 months
and 23 days that were taken to deal with 8 post-trial motions.
[38]
The trial judge found that the post-verdict
applications were necessary and had been brought and heard in an efficient way.
He found that the overall time for the trial, including the post-verdict
applications, was reasonable in all the circumstances. I agree with his
assessment.
[39]
It remains to consider the sentencing delay
subject to the
Charley
presumptive ceiling. The sentencing process began
on November 8, 2017, when the Crown made an application related to mandatory
minimum sentences and ended on October 29, 2018, when a sentence was imposed.
The total length of this period is 11 months and 22 days.
[40]
On February 20, 2018, the appellant asked for an
adjournment because of a late disclosure made by the Crown a week prior, which
the appellant believed could impact the entrapment decision. Sentencing was
adjourned to May 1, 2018. This period of delay amounts to 2 months and 12 days.
The respondent submits that this should be counted as a discrete exceptional
circumstance that should be deducted from the sentencing delay.
[41]
Defence counsel sought a further adjournment
from May 1, 2018, to August 28, 2018 due to another trial he was involved with
and agrees this period should not be counted. This amounts to a deduction of 3
months and 28 days.
[42]
The appellant asked for another adjournment from
September 5 to 28 to get his affairs in order. These three weeks and two days should
be deducted.
[43]
Accounting for the periods that should be
deducted, there was 4 months and 20 days of sentencing delay, which falls below
the
Charley
presumptive ceiling.
[44]
In the above calculations a month was treated as
30.5 days.
[45]
I conclude there was no breach of the
appellant聮s s. 11(b) rights.
(4)
Entrapment
[46]
Counsel for the respondent in
Ramelson
adopted the submissions made by this appellant's counsel on the issue of
entrapment. The comprehensive reasons in
Ramelson
included the analysis
and rejection of the two entrapment grounds in this appeal. For the reasons set
out in
Ramelson
, I would reject this appellant聮s argument that he was entrapped.
(5)
Sentence
[47]
The trial judge imposed a sentence of 12 months
imprisonment on count 1 (child luring under 18) and a concurrent term of 6
months imprisonment on count 3 (communicating to obtain sexual services from a
minor). The problem with this is that the trial judge had stayed count 1 based
on the
Kienapple
principle. In his
Kienapple
ruling he said, 聯Count
1 is stayed.聰 The Information reflects this as it is marked 聯Ct.1 Stayed
Kienapple聰. He then failed to sentence the appellant on count 2 (child luring
under 16), a charge that had not been stayed and for which the appellant had
been found guilty.
[48]
The Crown submits not much turns on the fact the
trial judge sentenced the appellant on count 1 (child luring under 18) instead
of count 2 (child luring under 16), as the judge聮s analysis on sentencing and
the punishment he imposed would have been the same for either count 1 or count
2.
[49]
I disagree. The mistake in this case is not a
mere clerical or administrative error. The mistake is not simply referring to
the numeral 聯1聰 rather than the numeral 聯2聰. The trial judge left no doubt he
was purporting to exercise jurisdiction to sentence the appellant on count 1
instead of count 2. In his sentencing reasons he stated that the respondent was
convicted of 聯Communicating via telecommunication to facilitate a s. 286.1(2)
offence (child prostitution) 聳 s. 172.1(2)聰, but the trial judge had stayed
that charge. He then added that 聯a further count of Invitation to Sexual
Touching s. 152 was stayed pursuant to the rule in
R v Kienapple
聰, but
that is not the charge that he had stayed. When he imposed the sentence, the
trial judge referred expressly to count 1 by stating, 聯On the 172.1(2) charge
of communicating via telecommunication to facilitate a s. 286.1(2) offence, Mr.
Haniffa is sentenced to 12 months imprisonment.聰
[50]
The differences between these two offences could
well have affected the sentence imposed. Count 1 criminalizes communicating
with a person the accused believed to be under 18 years of age by
telecommunication for the purpose of facilitating the offence of obtaining
sexual services from a person under 18 of age for consideration. Count 2
criminalizes communicating with a person the accused believed to be under 16
for the purpose of facilitating an invitation to sexual touching.
[51]
The trial judge聮s imposition of 12 months
imprisonment on count 1 is without effect because further proceedings on count
1 had been stayed earlier. The question arises whether this court should impose
a sentence on count 2, the charge the appellant should have been sentenced on.
[52]
In sentencing the appellant on count 2, the
constitutionality of the mandatory one-year minimum sentence stipulated in s.
172.1(2) would necessarily arise because several Superior Court and Ontario
Court decisions have held that the mandatory minimum one-year sentence is
unconstitutional:
Faroughi
;
R. v. C.D.R.
, 2020 ONSC 645;
R. v.
Saffari
, 2019 ONCJ 861;
R. v. Alekozai
, [2020] O.J. No. 1162. Furthermore,
sentences of less than one year of imprisonment have been imposed in a number
of Project Raphael cases:
Faroughi
,
Saffari
,
Alekozai
. In
these grouped appeals Mr. Jaffer was sentenced to six months imprisonment, and
Mr. Dare was sentenced to three months imprisonment to be served
intermittently. Project Raphael cases may be distinguished from the fact
situations in
R. v. Morrison
, 2019 SCC 15, [2019] 2 S.C.R. 3, and
R.
v. Ghotra
, 2020 ONCA 373, for example, where the offender has taken the
initiative in seeking sexual relations with an underage person.
[53]
The parties did not advance argument before us
on the question of the constitutionality of the mandatory one-year minimum
sentence stipulated in s. 172.1(2). Consequently, it would be inappropriate for
the court to exercise its discretion to sentence the appellant on count 2.
[54]
I recognize the appellant was sentenced on
October 29, 2018, before the onset of the COVID-19 pandemic. I take judicial notice
that the pandemic is in its third wave, that younger healthy persons are succumbing,
and that the provincial government has taken strong measures to reduce close
human contact. That said, I am not persuaded this court should intervene in a
fit sentence without any evidence about the appellant聮s particular
circumstances and the current conditions within correctional facilities. These
are considerations that can be taken into account when this matter is remitted
to the trial judge for sentencing on count 2.
D.
Conclusion
[55]
I would dismiss the appellant聮s appeal of
conviction, the ruling on multiple convictions, the entrapment application, and
the s. 11(b) applications. I would allow his appeal of sentence, set aside the
sentence imposed on count 1, and remit his sentence on count 2 to the trial
judge.
Released: May 17, 2021 聯RGJ聰
聯R.G. Juriansz J.A.聰
聯I agree. M. Tulloch J.A.聰
聯I agree. David M. Paciocco J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Hakimzadah, 2021 ONCA 389
DATE: 20210603
DOCKET: C68524
Simmons, Gillese and Huscroft
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Mohammed Hakimzadah
Appellant
Craig Zeeh, for the appellant
Hannah Freeman, for the respondent
Heard and released orally: May
27, 2021 by video conference
On appeal from the sentence imposed on April
27, 2020 by Justice Robert聽F.聽Goldstein of the Superior Court of
Justice, sitting without a jury.
REASONS FOR DECISION
[1]
The appellant was convicted of five counts of
counselling the commission of an offence that was not committed; one count of counselling
the murder of his wife; one count of counselling the transfer of a firearm; one
count of counselling trafficking in cocaine; one count of counselling commission
of public mischief; and one count of counselling the murder of his wife聮s
family law lawyer.
[2]
The appellant was sentenced to a total of nine
years聮 imprisonment less six years聮 credit for pre-sentence custody, leaving a
remaining sentence of three years聮 imprisonment. He seeks leave to appeal
sentence.
[3]
We reject the appellant聮s submission that the
sentencing judge failed to sufficiently alert counsel of his intention to
consider imposing a longer sentence than the seven-and-a-half-year sentence proposed
by the Crown or that he failed to adequately explain his reasons for imposing a
nine-year sentence.
[4]
The sentencing judge alerted counsel that he was
considering imposing a sentence higher than that sought by the Crown. In doing
so, the sentencing judge indicated his concern that this was not simply a case of
counselling murder in a domestic context. Rather, it was a case in which the
appellant also wanted his wife聮s lawyer to be murdered on University Avenue in
front of the courthouse. In our view, that was sufficient notice that the
sentencing judge considered both the range and the specific sentence proposed
inadequate.
[5]
As for his explanation for exceeding the
sentence suggested, the sentencing judge explicitly rejected any suggestion by
counsel that the appellant had abandoned his plans to arrange that two murders
be committed.
[6]
Moreover, the sentencing judge concluded,
correctly in our view, that the range identified by counsel did not account for
the significantly aggravating feature of counselling not only the murder of his
wife but also the murder of his wife聮s counsel.
[7]
We also reject the appellant聮s submission that the
sentence imposed was demonstrably unfit, being outside a well-established three-to-eight-year
range of sentences for counselling murder in the domestic context, or that it
failed to account for the fact that the appellant was a first offender.
[8]
As we have said, these offences put multiple persons
at risk, including a justice system participant. They were egregious offences
that merited the sentence imposed.
[9]
Leave to appeal sentence is granted but the
sentence appeal dismissed.
聯Janet
Simmons J.A.聰
聯E.E.
Gillese J.A.聰
聯Grant
Huscroft J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Hayman, 2021 ONCA 242
DATE: 20210414
DOCKET: C67731
Fairburn A.C.J.O., Doherty and
Sossin JJ.A.
BETWEEN
Her
Majesty the Queen
Respondent
and
Joyce Rita Hayman
Appellant
James Lockyer, for the appellant
Elise Nakelsky, for the respondent
Heard and released orally: April 12, 2021 by
video conference
On
appeal from the conviction entered by Justice John Fraser Hamilton of the Ontario
Court of Justice (General Division) on June 5, 1998.
REASONS FOR DECISION
Overview
[1]
As set out below, the appellant has suffered an
egregious miscarriage of justice. Where the ultimate responsibility lies is not
a question before this court. Where the harm has fallen is crystal clear. The
appellant is truly the victim of a failed criminal process.
[2]
The appellant faced a four-count indictment. On
June 5, 1998, she was convicted after a judge alone trial of administering a
noxious substance to her own five-year-old child, with the intent to endanger his
life. The noxious substance was said to be cocaine. She was also found guilty
of criminal negligence, despite a finding that bodily harm was not established.
A stay of proceedings was later entered on that count. She was acquitted on the
other two counts.
[1]
[3]
On July 22, 1998, the appellant was sentenced to
the maximum reformatory term of two years less a day.
[4]
The trial judge聮s findings were rooted in
evidence relating to the now discredited work of the Motherisk Drug Testing
Laboratory (聯MDTL聰).
[5]
While the appellant originally appealed from
conviction and sentence, the conviction appeal was later abandoned. On April
22, 1999, the sentence appeal was granted on the basis of errors in principle
having been made. The sentence was reduced to one of time served, the
equivalent of about nine months, and three years of probation:
R. v. Hayman
(1999), 135 C.C.C. (3d) 338 (Ont. C.A.), at paras. 25-26.
[6]
In his reasons for reducing the sentence,
Rosenberg J.A. noted, at para. 2, that the offence was 聯difficult to comprehend聰,
in part because it appeared that the appellant 聯bore
[
no
]
ill will towards
her child聰. These were prescient words.
[7]
On November 28, 2019, this court made an order
on consent of the parties that the appellant be permitted to reopen her
conviction appeal. Almost 23 years following her conviction, this is her
conviction appeal. She asks that both the conviction and stay be set aside and
acquittals entered. The Crown joins the appellant in her request for this
relief.
[8]
These are our reasons for granting that relief.
History of this Matter
[9]
It would be a serious understatement to suggest
that the appellant has had a tragic life.
[10]
She was born into a family that could not
properly care for her. Her childhood was marked by serious emotional and
physical neglect, as well as physical violence.
[11]
By her early teen years, the appellant was
abusing drugs and alcohol. The appellant聮s mother eventually gave her over to
the Children聮s Aid Society (聯CAS聰), and while the appellant was living in a
group home, her brother died in a house fire. She started living with a man in
an abusive relationship before she even reached adulthood. This resulted in her
wardship with the CAS being terminated.
[12]
The appellant聮s addictions grew in size. By the
time she was 23 years of age, she was bringing her first child into the world,
while at the same time facing the challenges of being a heavy user of crack
cocaine.
[13]
The appellant was a single mother, grappling
with incredible addiction issues and raising a son who was presenting
significant behavioural challenges, including aggression toward his mother. To
confront those behavioural issues, the appellant started purchasing the drug
Ritalin from an acquaintance. She had learned of the benefits of this drug in
dealing with behavioural issues by watching a television program.
[14]
The situation came to the attention of the
authorities when, one weekend, the appellant聮s child was taken to the hospital
by a babysitter as a result of a suspected overdose of Ritalin. While he was
fine, this hospital interaction eventually led to the appellant and child
coming into contact with the Hospital for Sick Children (聯HSC聰). The appellant
did not hide from the medical professionals how she had obtained the Ritalin or
the amounts she had been administering to her child. While the doctor she
consulted at HSC determined that the administered amounts were too high, the
doctor thought a prescription was necessary and simply reduced the dosage. That
doctor was of the view that the appellant was 聯sincerely 聟 seeking assistance
for her son聰 and she was 聯sincerely wish
[
ing
]
to follow
through on
[
the hospital聮s
]
recommendations.聰
[15]
At the appellant and child聮s next HSC visit on
June 5, 1996, a urine sample was taken from the child. It was found to contain
cocaine metabolites. No evidence was led at trial about the nature of the urine
screening process or its reliability.
[16]
As a result of that urine test, though, the
child was apprehended by the CAS and placed into a foster home, and a police
investigation ensued. During that time, the appellant was permitted
unsupervised visits with the child once a week. According to CAS records, she
was 聯very consistent with her visits聰 and the child seemed 聯happy and content
to see his mother.聰 This is consistent with how the appellant and child聮s
relationship was described by others, including the child聮s biological father. The
biological father said that the appellant was a 聯very, very good mother聰 to the
child, and a babysitter described her as a 聯very loving and caring聰 mother.
[17]
Two samples of the child聮s hair were taken while
he was in foster care. Those samples were sent to the MDTL. At that time, Dr.
Gideon Koren was the director of the laboratory and Julia Klein was the laboratory
manager. They were qualified to testify as experts at trial. Neither explained
the methodology they used when examining the child聮s hair.
[18]
Ms. Klein was qualified as an expert in
chemistry and hair analysis. She testified that the child聮s hair contained the
presence of cocaine and its metabolites in amounts that are high enough to 聯kill
a child聰 and that are 聯
[
n
]
ormally聰 what one would see in 聯adult
chronic users of cocaine.聰 In her view, it was 聯unlikely that one single
exposure would give such a level in the hair of a child聰 and 聯it was not [from]
external deposition but [from] the consumption of cocaine.聰 She reached the
聯scientific conclusion聰 that the child had been 聯given cocaine, used cocaine.聰
[19]
As for Dr. Koren, qualified as an expert
pediatrician and toxicologist, he maintained that the level of cocaine found in
the child聮s hair made it 聯much more likely that cocaine was incorporated in the
hair through the bloodstream that nourished the hair and much less likely from
the environment.聰
[20]
The appellant testified. As she had from the
outset and to this very day, she denied administering cocaine to her child.
While she did not shy away from acknowledging her addiction issues, she
explained the significant precautions she took to ensure that her child was not
exposed to her smoking crack cocaine, including the safe storage location she
used for the drugs, the precautions she took when she would consume the drugs,
and the steps she took to ensure that her child was not exposed to the smoke
from the drugs.
[21]
The trial judge delivered brief oral reasons for
judgment. He pointed to two pieces of evidence in support of his conclusion
that the appellant had administered crack cocaine to her child: the urine
analysis; and the 聯expert evidence聰 of Dr. Koren and Ms. Klein at the MDTL.
[22]
While there was some evidence of cocaine found
in the child聮s urine, as detected at HSC, the Crown on appeal does not dispute
the lack of probity attaching to that evidence, particularly because there was
no evidence at trial as to the nature of the urine screening process or its
reliability.
[23]
This left the MDTL evidence, about which the
trial judge said this:
[T]he cocaine metabolite was found in [the
child聮s] hair. Dr. Koren and Ms. Klein, both experts in detecting cocaine from
hair, amongst other things, said that the reading 聟 was not through a one time
use but more likely obtained from sustained use over a 3 month period; that is
the cocaine that was found in the hair samples that they tested. 聟 [The reading
they testified to] indicates the use [of cocaine] is a chronic use of at least
3 times a week for a period of 3 months. This reading was not obtained from accidental
exposure. The amount found in the hair indicates numerous usages to obtain this
reading.
[24]
Ultimately, the trial judge concluded, based
upon that 聯expert evidence聰, that the appellant 聯must have administered the
drug to [her child].聰
[25]
Eventually, the child was adopted by another
family. The appellant and her child have had one contact since 1998: a
telephone call in 2018.
[26]
In 2003, about four years after she was released
from prison, the appellant gave birth to her second child. He was immediately
apprehended by the CAS at the hospital and adopted by another family. The
appellant has never had contact with her second child.
[27]
In an affidavit filed before this court, the
appellant says the following:
From my childhood on, I have not had a good
life and I am not proud of my drug addictions. If I can get rid of this unjust
conviction, I will be able to hold my head high for the first time in a long
time. I never gave cocaine to [my child] and I never left 聟 any in a place
where he could access it.
[28]
The appellant has no criminal record other than
the conviction under appeal. She has maintained her innocence from the outset.
The Fresh Evidence
[29]
The parties come to this court on a united
front. They rely upon fresh evidence that we need not explore in detail. The
fresh evidence rests most heavily on two reports: The Honourable Susan E. Lang,
Report of the Motherisk Hair Analysis Independent Review
(Toronto:
Ministry of the Attorney General, 2015); and The Honourable Judith C. Beaman,
Harmful
Impacts: The Reliance on Hair Testing in Child Protection 聳 Report of the
Motherisk Commission
(Toronto: Ministry of the Attorney General, 2018). These
are highly probative and critically important pieces of work. There is no
dispute that the conclusions reached in both reports, as they pertain to the
MDTL, are unassailable. Most importantly for this appeal, the reports reveal
that the work done at the MDTL was seriously flawed and that the testing 聯was
inadequate and unreliable for use in child protection and criminal proceedings聰:
Report of the Motherisk Hair Analysis Independent Review
, at p. 4.
[30]
Being highly cogent, admissible evidence that
was not available at the time of the trial, the two reports easily meet the
criteria for the admission of fresh evidence:
Truscott (Re)
, 2007 ONCA
575, 225 C.C.C. (3d) 321, at para. 92.
[31]
Crown counsel correctly acknowledges that the
record in this case reveals little information as to the details of the testing
completed on the child聮s hair and that there was no evidence at trial about any
confirmatory testing having been done, the absence of which 聯leads to a
reasonable basis upon which to question the validity of the conviction due to
the court聮s reliance on the
[MDTL]
evidence adduced at trial.聰 We agree.
[32]
Without the MDTL evidence, the appellant would
not have been found guilty. We admit the fresh evidence. We set aside the
conviction for administering cocaine and enter an acquittal on that count. We
set aside the stay on the criminal negligence cause bodily harm count as, on
the trial judge聮s own findings, the appellant was entitled to an acquittal on
that count at that time.
Publication
Ban
[33]
This leaves one matter left to be addressed: the
publication ban.
[34]
On November 28, 2019, when this court allowed
the appellant to reopen her conviction appeal, a publication ban was made in
relation to her name, as well as her son聮s name. She asks that the publication
ban on her name be set aside. The Crown takes no objection to this request. In
our view, it is appropriate to do so.
[35]
There was considerable publicity in and around
the time of the appellant聮s trial. The appellant was always identified by name
in the media. Indeed, it is as a result of the still existing, archived
newspaper articles that a reporter, Rachel Mendleson, brought to the attention
of counsel in 2018 this matter and expressed concern over the appellant聮s case.
Given the date of conviction, it would not have come to the attention of the
earlier inquiries.
[36]
In light of the wrongful nature of the conviction
in this case, resting on what can only be described as faulty science, the
least that can be done is to allow the appellant the dignity to have this
matter now corrected in the media should they choose to report on it.
Therefore, the publication ban on the appellant聮s name is set aside. To be
clear, the publication ban remains in respect of her son聮s name.
Conclusion
[37]
Correcting this matter has taken the effort of a
number of people, all of whom we acknowledge for their dedication to justice.
In particular, we recognize Rachel Mendleson of the Toronto Star for
identifying this case and bringing it to the attention of counsel, as well as Mr.
Lockyer and Ms. Nakelsky for their diligence in pursuing the matter.
[38]
The appellant has faced a life of challenges. At
every turn, she needed help, and at every turn she did not receive it. Despite
the fact that she was a young, single mother who struggled with a history of
mistreatment, poverty, and serious addictions, the record reveals strong
attempts on her part to deal with what she faced. This was true at the time
that she was raising her young child and it is true today. Indeed, the fresh
evidence indicates that the appellant stopped consuming crack cocaine several
years ago.
[39]
We cannot right everything for this now 53-year-old
appellant. In addition to many other life challenges, she lost her children,
she served time in prison, and she has carried the burden of a very serious
criminal conviction for almost a quarter of a century.
[40]
What we can do today is to bring a conclusion to
the criminal justice system聮s impact on her life. She deserves to, as she says,
hold her 聯head high for the first time in a long time.聰 We express our sincere
hope that today will constitute one step toward that end.
聯Fairburn
A.C.J.O.聰
聯Doherty
J.A.聰
聯L.
Sossin J.A.聰
[1]
The appellant had been charged with criminal negligence
causing bodily harm through the administration of cocaine. The trial judge
found no evidence of bodily harm. Therefore, he found the appellant not guilty
as charged, but guilty of what he described as the lesser and included offence
of criminal negligence
simpliciter
.
By the time of sentencing,
the parties agreed that this finding had been made in error because criminal
negligence
simpliciter
is not an offence known to law. While the trial
judge accepted that the erroneous finding had been made, he rejected the
defence request to find the appellant not guilty on that count, instead
choosing to stay the proceedings.
The other two counts related to allegations pertaining
to the administration of the drug Ritalin. The appellant was acquitted on these
counts.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Herdman, 2021 ONCA 294
DATE: 20210504
DOCKET: C68137
Doherty, van Rensburg and Thorburn JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Trevor Jesse Herdman
Appellant
Cara Barbisan, for the appellant
Michael Dunn, for the respondent
Heard: April 29, 2021 by video conference
On appeal from the conviction entered on June 17, 2019,
and the sentence imposed on November 29, 2019, by Justice David L. Edwards of
the Superior Court of Justice.
REASONS FOR DECISION
[1]
This appeal was dismissed with reasons to follow. These are our reasons.
[2]
The appellant appeals his conviction for three counts of the possession
of stolen property, and one count each of possession of stolen property under
$5,000, possession of cocaine for the purpose of trafficking, and failure to
comply with a recognizance. He does not appeal his convictions for certain
other offences. If successful in the appeal, he seeks to reduce the global
sentence he received and is currently serving.
[3]
There is only one ground of appeal. The appellant submits that the trial
judge erred in dismissing his challenge under s. 8 of the
Charter
, to
the validity of a telewarrant issued under the
Criminal Code
, which
led to the seizure of stolen property and drugs from his residence.
[4]
The appellant contends that, contrary to the conclusion of the trial
judge, there were no reasonable grounds to believe that the power tools listed
in the Information to Obtain (聯ITO聰) would be found at the place of the
proposed search because the ITO was based on a tip from a confidential
informant (聯CI聰) that did not meet the
Debot
criteria (
R. v. Debot
,
[1989] 2 S.C.R. 1140).
[5]
The investigation of the appellant began when a CI told the police that
the appellant had stolen an ATV. The CI provided the make and license plate
number for the ATV, as well as its location (in a parking lot behind an
apartment building on Cleveland St. in Thorold). The police searched the
license plate and contacted the registered owner of the ATV, who, after
checking his barn, told them that his ATV and a number of power tools (which he
listed) had been stolen. The police attended at the Cleveland St. address where
they saw the ATV and some of the missing power tools in the parking lot. They
also observed the appellant drive past them slowly, then speed away. CPIC
inquiries revealed that the appellant had a significant history of prior
convictions, and that he was bound by a recognizance with a condition that he
live either at the Cleveland St. address or another address, and was prohibited
from driving. The property manager at the Cleveland St. address advised that
the appellant was on the lease for apartment Unit 1 at the Cleveland St.
address.
[6]
Based on this information, the police applied for a telewarrant pursuant
to s.聽487.1 of the
Criminal Code
to search Unit 1 of the
Cleveland St. address. The ITO listed the stolen tools as the items to be
seized in the search and the suspected offences as break and enter and
possession of stolen property.
[7]
Upon execution of the warrant, the police seized 60.6 grams of cocaine,
21 oxycodone pills, and the remainder of the missing power tools from Unit 1. A
subsequent search warrant was obtained and executed to search the appellant聮s
cell phone.
[8]
The question for the trial judge, in considering the appellant聮s
Charter
application, was not whether he would have issued the telewarrant, but
whether it was open to the issuing justice to have done so. The question was
whether the ITO, in its redacted form, disclosed reasonable grounds to believe
that there was evidence respecting the commission of an offence at the location
to be searched:
R. v. Herta
, 2018 ONCA 927, 143 O.R. (3d) 721, at
para. 20. This court will not interfere with a decision made in a
Garofoli
application
absent an error in law, a misapprehension of the evidence or a failure to
consider relevant evidence:
R. v. Grant
(1999), 132 C.C.C. (3d) 531
(Ont. C.A.), at para. 18, leave to appeal refused, [1999] S.C.C.A. No. 168.
There is no such error here. Essentially, the appellant invites this court on
appeal to reweigh the
Debot
factors.
[9]
The trial judge properly found that the CI 聯rated low聰 in terms of
credibility: confidential information about the CI had been redacted from the
ITO, so that the only available information was that the CI 聯may or may not聰
have a criminal record and that, while the CI was believed to be truthful, the
police had never before acted upon information that the CI had provided. The
trial judge went on to consider whether the tip was compelling and
corroborated. He reminded himself that the totality of the circumstances must
meet the standard of reasonableness, and that strengths in one area may
compensate for weaknesses in another:
Debot
, at p.聽1168;
Herta
,
at para. 34.
[10]
Contrary
to the appellant聮s argument, there was no error in the trial judge聮s conclusion
that the information provided by the CI was 聯highly compelling聰 and
聯significantly corroborated聰.
[11]
Whether
a CI聮s tip is 聯compelling聰 depends on the quality of the information provided.
A more detailed tip will be more compelling, as will a tip that is more recent:
Herta
, at para. 42;
R. v. Rocha
, 2012 ONCA 707, 112 O.R. (3d)
761, at para. 18. In this case, as the trial judge observed, the tip was
聯specific regarding the person, item and time聰; that is, that the appellant
stole an ATV bearing a particular license plate number, and that the ATV could
be found at the rear of the Cleveland St. address.
[12]
As
for corroboration, the trial judge identified the investigative steps that were
taken by the police that confirmed the currency of the information provided by
the CI, that the specific ATV identified by the CI had in fact been stolen and
that it was located where the CI said it was, in a parking lot at the Cleveland
St. address.
[13]
In
any event, the issue was whether reasonable grounds existed for the issuance of
the search warrant. There was no question that the police had reasonable
grounds to believe that an offence had been committed as the owner of the ATV
confirmed that the ATV as well as various tools had been stolen. Whether there
were reasonable grounds to believe that evidence would be found at Unit 1 of the
Cleveland St. address depended on the entirety of the ITO, which contained not
only the compelling and corroborated information from the CI, but also the
other information provided by the police investigation: the fact that some of
the tools were located in the same parking lot as the stolen ATV, confirmation
that the appellant lived in a particular unit at that address, information
about the appellant聮s criminal record, including for possession of stolen
property, and the appellant speeding away after he was seen by the police.
Based on all the circumstances disclosed in the ITO, it was reasonable to
believe that evidence of the offence, such as the other stolen tools, would be
found in the appellant聮s unit.
[14]
The
appellant demonstrated no error in the trial judge聮s determination of his
Charter
application. For these reasons the appeal was dismissed.
聯Doherty J.A.聰
聯K. van Rensburg J.A.聰
聯J.A. Thorburn J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Howley, 2021 ONCA 386
DATE: 20210607
DOCKET: C64789
Strathy C.J.O., Rouleau and Coroza JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Todd Howley
Appellant
Delmar Doucette, Angela Ruffo and Zahra Shariff, for the
appellant
Gregory Tweney and Rebecca Schwartz, for the respondent
Heard: November 25, 2020 by video
conference
On appeal from the conviction entered
on April 9, 2016 by Justice R. Cary Boswell of the Superior Court of Justice,
sitting with a jury.
By the Court
:
OVERVIEW
[1]
The appellant appeals his conviction for first-degree murder. He
challenges the trial judge聮s admission of certain internet searches carried out
on the appellant聮s computer, as well as the appropriateness of the Crown聮s
closing submissions before the jury. He seeks to have the conviction for
first-degree murder quashed or stayed and a conviction for second-degree murder
substituted. In the alternative, he asks that a new trial be ordered. For the
reasons that follow, we dismiss the appeal.
FACTS
[2]
The appellant and Paul Maasland were business partners. By mid-June
2010, Mr. Maasland had advanced the appellant over $100,000 in business loans
relating to a commercial process for using algae to convert carbon dioxide to
clean energy. The appellant, however, had spent much of these funds on his own
personal expenses.
[3]
Two tests of the technology being developed by the appellant had produced
inconclusive results and it was agreed that a third and final test was needed.
The appellant and Mr. Maasland arranged to conduct the test at the appellant聮s
Oakville warehouse on Sunday, August 29, 2010.
[4]
According to video evidence, Mr. Maasland left his Toronto apartment for
the scheduled meeting at the appellant聮s warehouse just after 9:00 a.m. on
August 29. He was expected back by 12:30 p.m. for a prearranged lunch date with
his mother, but he never returned.
[5]
Early the next morning, Mr. Maasland聮s body was found at the end of a
boat launch in Bracebridge. He was wearing the same clothes he had been wearing
when he left for his meeting with the appellant. His head and feet were covered
in garbage bags and a white nylon rope was tied around his chest. He had
obviously been badly beaten. The post-mortem examination revealed extensive
lacerations, fractures and bruising all over his body. The pathologist
concluded his death was caused by blunt force injuries.
[6]
Just a week after the murder, police in Bracebridge received an
anonymous letter from someone claiming to have knowledge of the circumstances
leading to Mr. Maasland聮s death. The letter claimed that Mr. Maasland was
murdered in Bracebridge by two unidentified women who knew Mr. Maasland and his
spouse through their interest in Boxer dogs. The letter contained details that
only the killer could know. A subsequent forensic examination of the
appellant聮s computer revealed that this letter had been drafted on September 1,
2010, just two days after the murder.
[7]
At trial, the Crown tendered considerable circumstantial evidence
pointing to the appellant as the murderer. This evidence included an extensive
compilation of surveillance video showing the movement of people and vehicles
around the appellant聮s warehouse on the day of the murder, forensic evidence
including DNA analysis connecting the appellant to the crime scene and details
concerning the appellant聮s internet activity suggesting that the murder had
been planned.
[8]
The trial lasted six weeks. The Crown called nearly 40 witnesses,
including numerous experts, and filed 158 exhibits. The appellant called no
evidence. After a day of deliberations, the jury found the appellant guilty of
first-degree murder.
ISSUES
[9]
On appeal, the appellant concedes that the Crown led a compelling case
identifying him as the killer. He maintains, however, that the evidence of
planning and deliberation was weak. He advances two grounds of appeal as
follows:
1.
The trial judge erred in admitting the evidence about the appellant聮s
internet searches regarding 聯nail guns聰 made several weeks before the murder;
and
2.
The trial judge erred in failing to declare a mistrial after the Crown聮s
closing address, in which she referred to certain after-the-fact conduct
evidence the trial judge had ruled was irrelevant to the issue of planning and
deliberation. Alternatively, the Crown聮s submissions constituted an abuse of
process requiring a stay of proceedings.
(1)
The admissibility of the 聯nail gun聰 internet searches
[10]
An
expert on computer forensics and data recovery examined two computers seized
from the appellant聮s warehouse and residence. He discovered that the following
internet browsing activity had been conducted in the month before the murder:
路
Internet searches conducted on August 2, 2010 relating to 聯nail guns聰;
路
Internet searches conducted on August 8 and 19, 2010 relating to Mr.聽Maasland,
his spouse, London and Boxer dogs;
路
Internet searches conducted on August 26, 2010 using Google maps
to access locations in Barrie, Norland and Bracebridge;
路
Internet searches conducted on August 28, 2020 relating to
transportation in and around Bracebridge.
[11]
The
August 2 internet activity relating to nail guns consisted of the following:
路
Google query for 聯Nail Gun Massacre聰 at 12:04:19 p.m.
路
Wikipedia article titled 聯Nail Gun Massacre聰 accessed at 12:04:45
p.m.;
路
Google query for 聯nail gun safety聰 at 12:06:34 p.m.;
路
Wikipedia article for 聯nail gun聰 accessed at 12:06:45 p.m.;
路
Google query for 聯nail gun operation聰 at 12:22:48 p.m.;
路
Google query for
聯nail gun modified聰 at 12:23:11
p.m.;
路
Second page of search results for 聯nail gun modified聰 at 12:24:11
p.m.
[12]
In
a pretrial motion, the appellant challenged the admissibility of the nail gun
search evidence on the basis that its probative value was outweighed by its
prejudicial effect. He argued that the searches had no probative value absent
improper speculation because Mr. Maasland was not killed with a nail gun. In
particular, the appellant submitted that the 聯Nail Gun Massacre聰 query and
article carried a high potential for moral prejudice. The Crown took the
position that the searches provided early evidence that the appellant was
conducting research on how to kill Mr. Maasland. The trial judge rejected the
appellant聮s arguments and admitted the evidence.
[13]
On
appeal, the appellant renews his complaint about the nail gun searches but does
so on a somewhat different basis. He argues that the evidence amounted to
needless cumulative evidence and that the trial judge erred in failing to take
into account the fact that its probative value was diminished by the existence
of other extensive evidence of planning and deliberation. In the appellant聮s
submission, the prejudice remained substantial.
[14]
In
balancing the probative value of evidence against its prejudicial effect, courts
have come to recognize two well established sources of prejudice: moral
prejudice and reasoning prejudice. As the Supreme Court explained in
R. v.
Handy
, 2002 SCC 56, [2002] 2 S.C.R. 908, moral prejudice refers to the risk
associated with evidence that could paint the accused with the stigma of 聯bad
personhood聰 and cause the jury to assess the accused聮s guilt or innocence on
the basis of general propensity or disposition: at paras. 42, 100, and 139. By
contrast, reasoning prejudice refers to the risk that evidence will distract
the jury from its proper focus on the facts as charged:
Handy
, at paras.
100, 144 and 146. See also
R. v. Lo
, 2020 ONCA 622, 393 C.C.C. (3d) 543,
at paras. 111-116.
[15]
Needless
cumulative evidence carries a risk of both moral prejudice and reasoning
prejudice. As this court explained in
R. v. Candir
, 2009 ONCA 915, 250
C.C.C. (3d) 139, at para.聽60, leave to appeal refused [2012] S.C.C.A No. 8:
Th[e] forensic piling on of evidence by the acre unnecessarily
lengthens trials, diffuses their focus and diverts the attention of the trier
of fact. Cumulative evidence, whether testimony, exhibits or both, often
occupies a borderland around the periphery of the case, adding nothing to the
contested issues, preferring instead to suffocate the trier of fact with the
uncontroversial or marginal.
[16]
Beyond the concerns for trial efficiency raised in
Candir
,
a trial judge聮s discretion to exclude cumulative evidence may also serve to
prevent the prejudicial effect 聯which the sheer volume and repetition of
[certain] evidence would have on the jury聰:
R. v. Parsons
(1996)
,
146 Nfld. &
P.E.I.R 210 (Nfld C.A.), at para. 42
. Thus, for example, once a
fact has been admitted, a trial judge has discretion to exclude further evidence
that proves the same fact by more prejudicial means:
R. v. Foreman
(2002), 169 C.C.C. (3d) 489 (Ont. C.A.), at para. 29, leave to appeal refused
[2003] S.C.C.A. No. 199.
[17]
However, evidence is
not prejudicial merely because it increases the chances of conviction:
R. v.
McMorris
, 2020 ONCA 844, at para. 124. The Crown will not necessarily be
聯piling on聰 by building a strong case. In deciding whether or not to exclude
cumulative evidence, the question is not whether the accused could be convicted
with less, but rather whether the prejudicial effect of additional evidence
outweighs its probative value, keeping in mind that probative value may
diminish with repetition. As with any such balancing of probative value and
prejudicial effect,
the trial judge聮s determination is entitled
to a high degree of deference on appeal:
R. v. Araya
, 2015 SCC 11,
[2015] 1 S.C.R. 581.
[18]
In
this case, the appellant argues that the moral prejudice associated with the
internet searches flows from the fact that a search for 聯Nail Gun Massacre聰 was
highly inflammatory, evoking images of mass killing and extraordinary violence.
This would suggest that the person carrying out the search had a propensity for
violence. It would follow that the appellant was a bad person with a violent
disposition, independent of any evidence in relation to the murder. The jury
might use that evidence in improper propensity reasoning.
[19]
The
appellant also submits that there was reasoning prejudice not known to the
trial judge at the point when he made his ruling. The ruling had been made
before all of the evidence had been heard. In cross-examination at trial, the
expert conceded that he could not tell whether the queries had been typed by
the user or had been auto-populated when the user began to type a different query.
This meant that the jury would be required to speculate whether the user
intended to type in 聯Nail Gun Massacre聰 or whether, after typing in 聯nail gun聰
the search engine auto-populated 聯nail gun massacre聰 as an option to be
searched, which the user clicked on out of curiosity, leading him to the
Wikipedia article about the movie 聯Nail Gun Massacre聰.
[20]
In
the appellant聮s submission, the trial judge failed to measure the probative
value of the evidence, as attenuated by the already substantial evidence of
planning and deliberation adduced at trial, against the substantial moral and
reasoning prejudice, including the need to speculate as to how the search was
carried out. Had he done so, the probative versus prejudicial value of the
evidence considered in light of the other evidence led at trial shifted in
favour of its exclusion.
[21]
We
disagree. The trial judge properly admitted the evidence and gave thorough
reasons for his decision to do so. The trial judge rejected the defence
submission that there was significant prejudice associated with the use of the
word 聯massacre聰. The evidence was not offered to show that the appellant had a
propensity for violence, and any concerns in this regard could be addressed by
a jury instruction. The trial judge concluded that, based on the number and
content of the searches it would be open to the jury to find that the appellant
was not interested in movies but rather was interested in how a nail gun operates
and whether it could be modified for use as a weapon. The evidence therefore
had relevance to planning and deliberation.
[22]
The
internet searches were relevant because, four weeks before the killing, the
appellant was investigating nail guns and their use, not because the word
聯massacre聰 was either part of his search or was auto-populated by the search
engine as the defence suggested. Even if the jury were to conclude that the
appellant himself typed 聯Nail Gun Massacre聰, we see little likelihood of either
moral prejudice or reasoning prejudice given the purpose for which the evidence
was tendered.
[23]
The
suggestion that the evidence of planning was so strong that the admission of
the internet search evidence amounted to unfair 聯piling on聰 was not a
submission made by experienced defence counsel at trial. In our view there is
little merit in the submission.
[24]
When
the trial judge made his ruling, he had before him a detailed synopsis
outlining the anticipated evidence in this case, including the other evidence
relevant to planning and deliberation. It is apparent from his ruling that he
considered the probative value of the 聯nail gun聰 searches in the context of the
anticipated evidence as a whole. He correctly observed that planning and
deliberation was 聯a very significant issue in this case.聰
[25]
The
appellant argues that there is no temporal nexus linking the internet search on
聯nail guns聰 to the murder because the search was carried out some 27 days
before the murder. Again, this was for the trial judge to weigh in reaching his
decision. It is equally plausible to read the internet search evidence as extending
the temporal nexus to a point earlier in the genesis of the murder.
Significantly, the search was carried out some four minutes after the appellant
had agreed to conduct a third test on the project being funded in part by Mr.聽Maasland.
This third test was the reason for Mr. Maasland聮s attendance at the appellant聮s
premises on the day he was killed. In addition, it was the first in a series of
four internet searches led by the Crown that were relevant to different aspects
of the planned killing of Mr. Maasland. The nail gun searches therefore had significant
probative value as they expanded the length of the planning and deliberation
alleged by the Crown and showed a constant period of internet activity in the
period commencing with the arranged visit and ending with the murder. The mere
fact that there were additional incriminating internet searches does not constitute
a needless 聯piling on聰 of the evidence.
[26]
In
any event, the fact that the same purpose may be achieved by the introduction
of fewer pieces of evidence does not mean that a judge should exercise the
discretion to exclude relevant evidence. As explained in
Candir
, at paras.
81-85: 聯The line between enough and too much is not always easy to fathom even
with hindsight.聰 In this case, while the Crown聮s case for planning and
deliberation was strong, it was not so strong that the evidence of the nail gun
searches created redundancy or repetition. Indeed, the appellant argues
elsewhere in his factum that while the Crown had a strong case on identity, it
聯did not have such a strong case that he had committed a planned murder.聰
[27]
As
a result, we agree with the Crown聮s submission that the line in this case has not
been crossed.
(2)
The Crown聮s closing address
to the jury
[28]
The
second ground of appeal relates to the Crown聮s jury address. In the final hours
of its three-day closing jury address, the Crown referred to certain elements
of the appellant聮s after-the-fact conduct as being relevant to the question of
whether the murder was planned and deliberate. Defence counsel sought a
mistrial on the basis that the Crown聮s submission violated the trial judge聮s
ruling that only a limited portion of the appellant聮s after-the-fact conduct could
be used as evidence of planning and deliberation. In the alternative, defence
counsel urged that the judge find that the Crown聮s disobedience of the court
ruling on this issue amounted to an abuse of process and that dismissal of the
jury was the appropriate remedy.
[29]
The
trial judge rejected both requests, finding that a curative instruction was
sufficient to address concerns arising from the Crown聮s remarks. The appellant
submits that the trial judge erred in dismissing the application for a mistrial
and rejecting the abuse of process claim.
[30]
To
properly address this issue, some background is required. After the evidentiary
portion of the trial had concluded, the trial judge provided the parties with a
draft of his charge. It contained a section summarizing the appellant聮s after-the-fact
conduct and its relevance to the issue of identity. It also provided that there
was another use that some of the after-the-fact evidence could be put to. He
explained that sometimes evidence as to what a person does after a crime has
been committed can constitute circumstantial evidence of a pre-existing plan.
He gave as examples the fact that the body being dumped in Bracebridge could be
seen as having a connection with the internet searches of locations in
Bracebridge and Gravenhurst, and taxicabs servicing Bracebridge and
Gravenhurst.
[31]
The
draft charge did not contain a limiting instruction prohibiting the jury from
considering other aspects of the appellant聮s after-the-fact conduct on the
issue of whether the murder was planned and deliberate.
[32]
At
a pre-charge conference on March 29, 2016 the Crown expressed concern that the
charge should not foreclose the jury聮s consideration of additional examples of
after-the-fact conduct potentially relevant to the issue of whether the murder
was planned. The Crown invited the judge to include more examples of
after-the-fact conduct for the jury to consider as evidence that the murder was
planned and deliberate. Specifically, the Crown gave six examples as follows:
a.
The suggestion that the appellant drove to Bracebridge shortly after the
murder and while there used the victim聮s phone to place a call to the
appellant;
b.
The sand from Muskoka Falls beach deposited inside the victim聮s car;
c.
The staging of the scene where the body was dumped;
d.
The quick return to Oakville after dumping the body;
e.
The content of the anonymous letter blaming the murder on two
unidentified women connected to Mr. Maasland through Boxer dogs, and which said
his death occurred at Muskoka Falls beach; and
f.
The complete and thorough clean up of the appellant聮s warehouse.
[33]
Two
days later on March 31, 2016 the trial judge sent counsel a revised charge. In
a covering email, he indicated as follows: 聯I believe that my decisions in
terms of the issues raised during the pre-charge conference will be manifest in
the revised document.聰 He also said he intended to provide brief written
reasons for his decision with respect to three areas, one of which was a
decision he made with respect to post-offence conduct.
[34]
The
revised charge provided by the trial judge contained one additional example of
after-the-fact conduct relevant to whether the murder was planned and
deliberate. He cited the anonymous letter prepared after the murder and its
connection to the appellant聮s pre-offence internet searches of Paul Maasland, his
spouse, London and Boxer dogs. The revised charge was not revised to contain a
limiting instruction prohibiting the jury from considering any other after-the-fact
conduct when deciding whether the murder was planned and deliberate.
[35]
The
Crown聮s closing address commenced the following Monday, April 4, 2016. At the
end of the first day of the Crown closing, the judge advised counsel that his
written reasons on the issues raised at the pre-charge conference were
finished. He said he did not hand them out at the start of the day because he
did not want to distract anyone. He went on to say 聯I don聮t think anything in
them would be an advantage to one person or another 聟 It just explains why I
did what I did.聰 The judge indicated he was prepared to release the reasons at any
time but was also willing to hold on to them until after the closings were
complete. Both sides were content to leave the timing of the distribution of
the reasons up to the judge.
[36]
The
reasons were in fact distributed the next morning prior to the commencement of
the Crown聮s second day of her closing address to the jury. In his reasons, the
trial judge referred to the six additional items of after-the-fact conduct that
the Crown argued were relevant to the issue of planning and deliberation. The
judge explained that it was a close call but, in the end, he concluded that the
majority of these items of after-the-fact conduct were equally consistent with
a plan conceived before or after the killing. He would not, as a result,
instruct the jury that these additional items of post-offence conduct were capable
of supporting the assertion that the murder was planned and deliberate.
[37]
In
the final hour of the third and final day of the Crown聮s closing address, the
Crown addressed the jury on the issue of planning and deliberation. The Crown
started by noting that the judge would instruct them on the law relating to
both planning and deliberation and the use that could be made of the
appellant聮s after-the-fact conduct as it might bear on that issue. The jury was
to take their instructions from the trial judge.
[38]
After
reviewing the pre-offence conduct relevant to the issue of planning and
deliberation as well as the circumstances of the killing itself, the Crown
concluded her closing address with a review of the after-the-fact conduct which
the Crown argued was relevant to planning and deliberation. Included in this
part of the closing was a reference to each of the six items of after-the-fact
conduct the Crown had advanced during the pre-charge conference and which the
judge had since ruled were not relevant to the issue of planning and
deliberation.
[39]
As
soon as the jury was released for the day, defence counsel objected to the
Crown聮s reference to the items of after-the-fact conduct the judge had ruled
were irrelevant to planning and deliberation. The next morning defence counsel filed
a notice of application seeking a mistrial.
[40]
Both
Crown counsel apologized to the court and to the appellant for running afoul of
the court聮s ruling on the scope of after-the-fact conduct evidence relevant to
the issue of planning and deliberation. The Crown assured the court that its
conduct was not intentional but simply the result of not having read the
court聮s ruling prior to concluding its closing submissions.
[41]
After
hearing submissions on the application, the trial judge dismissed the
appellant聮s application and indicated that he would provide an immediate
curative instruction to the jury. A draft of it was provided to counsel for
their review and input. The curative instruction was delivered that same day
before defence commenced its closing. It clearly spelled out the after-the-fact
conduct the jury could consider on the issue of planning and deliberation and
that which it could not.
[42]
In
addition, the charge delivered the next day contained the same curative
instruction on after-the-fact conduct. A hard copy of the instructions was provided
to the jury for their review during deliberations.
[43]
With
that background we turn to the issue on appeal. The appellant argues that the
trial judge erred in denying the mistrial application. He argues that Crown
counsel聮s closing address showed an egregious disregard for an express ruling.
The closing on the issue of planning and deliberation was 聯passionately and
strongly made聰 on 聯a central issue in the case聰. Although the Crown had a
strong case that the appellant had committed the murder, it did not have such a
strong case that the murder had been planned.
[44]
In
the appellant聮s submission, when viewed in context, Crown counsel聮s egregious
and improper use of after-the-fact conduct could not be corrected. Through an
impermissible step by step line of argument, the Crown had improperly linked
and thus embedded in the jury聮s mind a combination of relevant after-the-fact
conduct and irrelevant conduct, some of which the Crown counsel said was so
powerful it could not be overstated.
[45]
The
appellant suggests that the jury may well have been convinced by the
painstakingly detailed and powerful climactic conclusion of the Crown聮s closing
address where it focused on the issue of planning and deliberation. Any instruction
telling them to disregard parts of the combined evidence that had convinced
them was not about to unconvince them. As trial defence counsel stated in her
application for a mistrial, it was 聯impossible to unring the bell聰.
[46]
We
disagree. Counsel acknowledged that the trial judge聮s decision to refuse a
mistrial and give a corrective instruction is a discretionary one, and that a
corrective instruction will usually be sufficient to ensure trial fairness:
R.
v. Rose
, [1998] 3 S.C.R. 262, at para. 126. The declaration of a mistrial
is a drastic remedy and only appropriate as a measure of last resort in the
clearest of cases where there is a real danger that trial fairness has been
compromised:
R. v. Khan
, 2001 SCC 86, [2001] 3 S.C.R. 823, at para. 79;
R.
v. Chiasson
, 2009 ONCA 789, at para. 14. Even in cases where the Crown聮s
improper closing is not promptly corrected, this court has held that a mistrial
is not necessarily warranted:
R. v. Mallory
, 2007 ONCA 46, 217 C.C.C.
(3d) 266, at paras. 342-343.
[47]
It
is also well established that the trial judge聮s decision not to grant a
mistrial is entitled to a high degree of deference having particular regard to
his appreciation of the context and the impact of the submissions on the jury
and the suitability of a corrective instruction to negate that impact:
Khan
,
at paras. 79-80;
R. v. Zvolensky
, 2017 ONCA 273, 352 C.C.C. (3d) 217, at
paras. 185-186, leave to appeal refused, [2017] S.C.C.A. No. 403. When the
alleged unfairness arises in the context of counsel聮s closing address to the
jury, a timely and focussed curative instruction will be a sufficient remedy in
the vast majority of cases. The central question is whether what was said
deprived the accused of a fair trial:
R. v. Romeo
, [1991] 1 S.C.R. 86,
at p. 95.
[48]
In
choosing to provide a curative instruction, the trial judge clearly understood
and was guided by the relevant principles and his reasons disclosed no error in
principle nor can they be said to be clearly wrong.
[49]
As
the Crown points out, the trial judge聮s corrective instruction was timely and
complete. It was also repeated as part of his charge. Our faith in the jury
system is grounded in the firm belief that juries will follow the instructions
they are given by trial judges:
R. v. Corbett
, [1988] 1 S.C.R. 670, at
p. 695. The judge聮s instructions here were firm and clear, and the jury could
not have misunderstood them. There is no basis on which to conclude they would
not follow them.
[50]
The
appellant further argues that the trial judge erred in failing to find that the
Crown conduct in this case constituted an abuse of process. In his submission,
what Crown counsel did, whether intentionally or through willful blindness, falls
into both categories of abuse of process recognized by the courts, as it was
both an attack on the appellant聮s right to a fair trial and an attack on the
integrity of the justice process. Consequently, the appellant submits that a
stay of proceedings is necessary and appropriate in the circumstances. We would
not give effect to this submission.
[51]
As
the Supreme Court stated in
R. v. Babos
, 2014 SCC 16, [2014] 1 S.C.R.
309, at para. 31, there are generally two categories of abuse of process: cases
in which state conduct compromises the fairness of an accused聮s trial, and
cases in which state conduct creates no threat to trial fairness but risks
undermining the integrity of the judicial process. In the most drastic cases,
an abuse of process may justify a stay of proceedings. In order to apply a
stay, the court must be satisfied: 1) that the prejudice to the accused聮s fair
trial rights will be 聯manifested, perpetuated, or aggravated through the
conduct of the trial, or by its outcome聰; 2) that there is no alternative
remedy capable of redressing the prejudice; and 3) where there is still
uncertainty over whether a stay is warranted after steps (1) and (2), the court
is required to balance the interests in favour of granting a stay, such as
denouncing misconduct and preserving the integrity of the justice system,
against 聯the interest that society has in having a final decision on the
merits聰:
Babos
, at para. 32, citing
R. v. Regan
, 2002 SCC 12,
[2002] 1 S.C.R. 297.
[52]
Applying
this framework, we do not find that the Crown聮s error in this case rises to the
level of an abuse of process, much less an abuse of process requiring a stay of
proceedings.
[53]
It
is apparent that the Crown made a mistake for which it apologized. The Crown
who delivered the closing address accepted responsibility for not reviewing the
judge聮s written reasons on the charge-related issues before concluding her
address. In the way the matter unfolded, it would not have necessarily been
apparent to Crown counsel that the judge聮s ruling required immediate attention
and would impact on what the Crown could say in its closing submissions. In
fact, the trial judge even offered to delay its release until after the closing
addresses were complete. In addition, and contrary to the appellant聮s
submission, we do not believe the changes the trial judge made to the draft
charge would have clearly alerted the Crown to the importance of reviewing the
reasons for his ruling or as signalling the trial judge聮s view that five of the
six elements of post鈥憃ffence conduct discussed at the pre-charge
conference could not be put forward as post-offence conduct relevant to the
issue of planning and deliberation.
[54]
Even
if we were to conclude that the trial judge聮s email and draft charge should
have alerted the Crown to the important changes contained in the trial judge聮s ruling,
the Crown聮s error does not provide a basis to find an abuse of process. In his
ruling on the mistrial application, the trial judge made strong findings of
fact that this was a 聯one off" mistake at the tail end of a trial in
which, 聯of the many things that could go wrong 聟 none did聰. There is no basis
to interfere with that finding.
[55]
The
fairness of the trial was not irreparably compromised by the impugned portion of
the Crown聮s closing address. As we have explained, the curative instruction
crafted in response to the mistrial application appropriately delineated which
elements of the appellant聮s after-the-fact conduct could be considered by the
jury on the issue of planning and deliberation and which could not. There is no
basis to conclude that the jury would not have followed the judge聮s
instructions. Nor was the integrity of the judicial process undermined. This
was simply one misstep in a lengthy and complex murder trial otherwise
characterized by exceptional collaboration, professionalism, advocacy and
courtesy by counsel on both sides of the case. There is no evidence that the
Crown聮s submissions were a deliberate attempt to defy the court聮s ruling or to
mislead the jury. The Crown readily accepted responsibility for its mistake.
Finally, the impugned submissions did not denigrate the appellant聮s fundamental
procedural rights, such as the presumption of innocence, the right to remain
silent or the burden of proof.
CONCLUSION
[56]
For
these reasons, we dismiss the appeal.
Released: June 7, 2021 聯G.R.S.聰
聯George R. Strathy C.J.O.聰
聯Paul Rouleau J.A.聰
聯S. Coroza J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Hudson, 2021 ONCA 76
DATE: 20210122
DOCKET: M52132 (C65962) & M52143 (C68428)
Fairburn A.C.J.O.
BETWEEN
Her Majesty the Queen
Respondent
and
Jacinda Hudson
Appellant
AND BETWEEN
Her Majesty
the Queen
Respondent
and
Justice
Okojie
Appellant
Maija Martin, Iman Amin and David Reeve,
for the appellant, Jacinda Hudson
Chris Sewrattan, Ashley Sewrattan, and
Raj Vijan, for the appellant, Justice Okojie
Sarah Shaikh, Christopher Walsh, and
Jonathan Geiger, for the respondent
Owen Goddard and Rick Frank, for the proposed
intervener, the Criminal Lawyers聮 Association of Ontario
Emily Marrocco, for the proposed
intervener, the Attorney General of Ontario
Heard: January 22, 2021 via
videoconference
REASONS FOR DECISION
[1]
The appeals in
R. v. Hudson
(C65962)
and
R. v. Okojie
(C68428) are scheduled to be heard before a five-judge
panel on February 23, 2021. The respondent聮s factum is due on February 5, 2021.
[2]
The appellants will argue that the decision in
Bell
v. The Queen
,
[1983] 2 S.C.R. 471 made clear that the crime of
importing is complete at the time that contraband enters Canada. They say that
pronouncements to the contrary have wrongly interpreted
Bell
and
expanded the reach of the importing offence beyond its intended limit.
[3]
The Attorney General for Ontario (聯Ontario聰) and
the Criminal Lawyers聮 Association of Ontario (聯CLA聰) seek leave to intervene in
the appeals.
The Attorney General for Ontario聮s Application
[4]
Ontario argues that the scope of the
actus
reus
of importing will inevitably impact upon offences under the
Criminal
Code
, those over which the provincial Crown has prosecutorial
jurisdiction. In specific, Ontario points to crimes involving the importation
of firearms and importation of child pornography: ss. 103 and 163.1 of the
Criminal
Code
. Accordingly, Ontario argues it has a clear interest in the appeals
because any determination about when the
actus reus
of importing ends
will necessarily touch on crimes prosecuted by the Province.
[5]
If granted leave to intervene, Ontario will
argue that the
actus reus
of importing should extend to domestic
distributors of firearms, failing which it will not capture those offenders at
the heart of the crime. Ontario will also argue that child pornography enters
Canada in different ways. Narrowing the
actus reus
of importing to the
immediate entry point into Canada could have the effect of excluding from
liability some modes of entry for child pornography, such as when child
pornography comes into Canada through a virtual means.
[6]
The parties consent to Ontario聮s intervention. I
see no risk of prejudice or unfairness arising from Ontario聮s intervention.
Leave to intervene will be granted on the terms set out at the end of these
reasons.
The Criminal Lawyers聮 Association聮s
Application
[7]
The CLA wishes to advance three arguments: (a)
that by looking to the plain meaning of the statute, combined with legislative
intent, it is clear that the term 聯import聰 ends when contraband enters Canada;
(b) that the extension of the
actus reus
of importing beyond the
immediate entry point into Canada results in convictions for importing in
circumstances where accused have nothing to do with the actual bringing of the
contraband into the country; and (c) affording the term 聯import聰 a definition that
is susceptible to capturing lower-level drug operators, those who may transport
or possess drugs after they are already in the country, will have a
disproportionate impact on racialized communities, specifically Black and
Indigenous communities. The CLA argues that any such approach will result in
higher sentences for racialized communities, those communities that are already
overrepresented in the custodial setting.
[8]
In support of this latter argument, the CLA
relies upon five reports and studies. Three of them can be loosely described as
prison population statistics, released in the form of annual reports from the
federal government. There are also two reports that relate to systemic racism: Ontario,
Report of the Commission on Systemic Racism in the Ontario Criminal Justice
System
, Co-Chairs: M. Gittens and D. Cole
(Queen聮s Printer for
Ontario, 1995); Ontario Human Rights Commission,
Racial Disparity in
Arrests and Charges: An analysis of arrest and charge data from the Toronto
Police Service
, S. Wortley and M. Jung (Toronto: 2020)
.
[9]
The appellants consent to the CLA intervening on
the terms set out in the CLA聮s application.
[10]
While the respondent consents to the CLA
intervening, that consent is only extended in relation to the first two issues
raised by the CLA.
[11]
As for the third issue, the respondent argues
that the CLA is inappropriately modifying the nature of the appeals. Rather
than making the appeal about the definition to be afforded to the term
聯import聰, the CLA is said to be attempting to make the appeal about the issue
of the discriminatory effect of Canada聮s drug laws. The respondent points out
that this particular argument has not formed any part of the prior cases from
which decisions have emerged on the issue that the five-judge panel will be
considering.
[12]
I am not persuaded by this argument. Whether
other cases have considered the issue or not, contrary to the respondent聮s
position, I do not take the CLA to be injecting a new issue into the appeal.
Rather, the CLA is wanting to contribute to the appeal by highlighting the
context within which drug offences are committed, investigated, prosecuted,
tried and sentenced. This is not, as the respondent suggests, an attempt to
introduce a quasi-s. 15
Charter
argument into the appeal. The
CLA聮s position is not unlike other cases where social context evidence, as advanced
by interveners, has been considered: see for example,
R. v. Golden
,
2001 SCC 83, [2001] 3 S.C.R. 679, at para. 81.
[13]
The respondent
also argues that the CLA is attempting to improperly augment the record before
the court on this appeal. The respondent points to
Canada (Citizenship and Immigration) v. Ishaq
, 2015 FCA 151, [2016] 1 F.C.R. 686,
at
para. 22, where the court addressed the inappropriate attempts by interveners
to prove matters of 聯social science聰 under the 聯guise of authorities聰. While I
accept that the line between a proper placement of materials before the court
and an inappropriate augmentation of the record is not always easy to draw, in
my view, the materials advanced by the CLA do not cross that line.
[14]
It seems to me
that the contextual position that the CLA wishes to advance is not particularly
controversial. At its core, that position is rooted in the overrepresentation of
Black and Indigenous persons in the prison system in this country, including
the overrepresentation of these individuals in relation to drug-related matters.
All of the reports and statistical materials that the CLA wishes to rely upon
are publicly available, many of which are produced by those in the employ of
the federal government. The statistics arise from federal government data, made
available on federal government websites. It is precisely the kind of data that
this court recently relied upon in
R. v. Sharma
, 2020 ONCA 478, 152 O.R. (3d) 209 at
para. 95, leave to appeal to SCC granted, 39346 (January 14, 2021) 聳
data
which was placed before the court by interveners
.
[15]
As for the
reports, at least one has been judicially cited in the past:
R. v. Hamilton
(2003),
172 C.C.C. (3d) 114 (Ont. S.C.J.), at para. 106, appeal dismissed (2004), 186
C.C.C. (3d) 129 (Ont. C.A.). The other report, commissioned by the Ontario
Human Rights Commission, is fairly recent.
[16]
While there are
circumstances where an intervener will be precluded from augmenting the record,
in my view, the materials proposed to be filed by the CLA are largely non-controversial.
In any event, in my view, it is better to leave this matter with the panel
hearing the appeal. As the CLA acknowledges, it may be that the panel will not
be persuaded by their position that the contextual backdrop against which
drug-related offences take place informs the limits that should be placed on
the
actus reus
of importing. I would leave that
determination to the panel hearing the appeal.
[17]
The respondent
maintains that if the CLA is granted intervener status, and is permitted to
advance all arguments, the respondent may have to file further materials. No
one objects to that request.
[18]
I order as
follows:
(a) The Attorney General for Ontario is
granted leave to intervene on the basis of the argument set out in the application
materials;
(b) The CLA is granted leave to intervene
on the basis of the argument set out in the application materials;
(c) The interveners will file factums no
more than 15 pages in length, to be filed no later than February 2, 2021;
(d) The interveners will be granted 15
minutes each to make oral argument at the hearing of the appeals;
(e) In response to the interveners聮
written arguments, the parties may each file a factum of no more than 10 pages
in length, to be served and filed no later than February 10, 2021.
聯Fairburn
A.C.J.O.聰
|
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.聽 These
sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the
following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽聽 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.A.D., 2021 ONCA 110
DATE: 20210222
DOCKET: C67840
Fairburn A.C.J.O., Juriansz and Huscroft
JJ.A.
BETWEEN
Her Majesty the Queen
Appellant
and
I.A.D.
Respondent
Dena Bonnet, for the appellant
Sean May, for the respondent
Heard: February 9, 2021 by
video conference
On appeal from the acquittals entered by
Justice Julie Bourgeois of the Ontario Court of Justice on December 4, 2019.
REASONS FOR DECISION
Overview
[1]
The respondent was charged with one count each of
sexual assault and sexual interference. There were two main questions at trial:
(a) did the appellant prove beyond a reasonable doubt that the complainant did
not consent to the sexual activity; and, if so, (b) did the respondent have an
honest but mistaken belief in communicated consent?
[2]
The trial judge answered the first question in
the affirmative, concluding that the complainant did not consent to the sexual
activity in question.
[3]
The trial judge then went on to consider the
second question, whether the respondent had an honest but mistaken belief in
communicated consent at the time that the sexual activity took place. On this
point, the trial judge concluded that she could not 聯reject his defence of
honest but mistaken belief in communicated consent聰 and, therefore, entered
acquittals on both counts.
[4]
The appellant appeals to this court on the basis
that the trial judge erred in her analytical approach to the defence of honest
but mistaken belief in communicated consent. Specifically, the appellant argues
that the trial judge failed to consider a statutory prerequisite to the
availability of that defence, which is the need for the respondent to have
taken 聯reasonable steps聰 in ascertaining the complainant聮s consent:
Criminal
Code
, R.S.C. 1985, c. C-46, s. 273.2(b). The absence of any reasoning on
this point is said to lead to inadequate reasons that do not give full effect
to the relevant provisions of the
Criminal Code
: see
R. v. Gagnon
,
2018 CMAC 1, 427 D.L.R. (4th) 430, at paras. 36, 44-45, aff聮d 2018 SCC 41,
[2018] 3 S.C.R. 3
. Hence, such a failure to
consider s. 273.2(b) of the
Criminal Code
is a reversible error.
We agree. Therefore, we allow the appeal, set aside the acquittals, and order a
new trial on both counts.
Brief Factual Background
[5]
The complainant was 15 and the respondent was 18
at the time of the alleged offences. They knew one another because the
complainant would sometimes buy cannabis from the respondent.
[6]
The complainant appears to have been
experiencing difficult life circumstances in and around the time of the alleged
offences. She had moved away from her parental home and was living at a
friend聮s place in the months preceding the alleged offences. One evening, she
decided to go out with the respondent and two of his friends. The police
stopped the group at around 2:47 a.m. The complainant testified that she was
asked by the respondent to take a Xanax pill so that the police would not catch
the respondent in possession of the pill. As it was dark at the time, the
complainant was unsure as to whether it was a full-sized pill. At this time, the
police arrested one of the friends for breach of probation.
[7]
Eventually, the complainant and the respondent
ended up at the home of the remaining friend. The three individuals were all in
the basement of that home together. The friend soon fell asleep in his bed.
While the complainant and respondent were initially on two separate couches, the
respondent motioned to her to come to the larger couch where he was laying down
with the only blanket in the room. She was cold and decided to accompany him on
that couch.
[8]
From here, the complainant聮s and the
respondent聮s evidence diverged at trial. The complainant acknowledged that she initially
moved close to him and rubbed against him. He was aroused. She said that the
respondent started to digitally penetrate her. He pulled her pants down. She
attempted to get off of the couch, but she tripped. The respondent pulled her
back onto the couch, held her closer to him, and then, as she put it, 聯He
started having sex with me and I said no.聰 When she realized he was not going
to stop, she said that 聯we should put a condom on and he told me that that was
childish of me, and then he continued until he was done and then he rolled over
and that was that.聰 The complainant said that the respondent withdrew his penis
just prior to ejaculation, leaving ejaculate on and around her vagina.
[9]
The respondent testified that it was the
complainant who initiated the sexual contact. According to the respondent, he
got aroused when the complainant started rubbing against him. He testified that
he asked her if she wanted to 聯fuck聰, and she said 聯yes, do you have a condom?聰
His evidence on this point was as follows:
I asked her if she wanted to fuck, and she
says yes, do you have a condom? And so I said no, those are for children. I was
trying to blow off the fact that I didn聮t really have a condom on me and we
were 聳 so just the bum grinding still keeps happening and I end up start
pulling down the right side of her leggings, and she ends up lifting the left
side of her hip to get down the left side of her pants with me to help.
[S]he had to sit up and like perk her hip up,
and then pull down the left side to help me get it down. They were leggings, so
they were quite tight. And 聳 yeah so just after that we had sex, it didn聮t last
very long[.]
[10]
When asked what his understanding was with
respect to whether the complainant was consenting to this sexual activity, the
respondent answered: 聯For the most part, I knew she said yes. However, she
never made it, she never said no, she never showed me that she didn聮t want any
sex or anything, she said yes and continued giving me signs that like there was
聳 this is okay.聰 On the issue of the condom, the respondent acknowledged the
following later in his evidence:
[S]he never told me no we聮re not having sex if
you don聮t have a condom. She said yes 聳 yes do you have a condom, I said no,
those are for children and we continued to fool around on the couch.
The Trial Judge聮s Failure to Address
Reasonable Steps
[11]
The trial judge correctly resolved the issue of
the absence of the complainant聮s consent for the purposes of the
actus reus
of the offences. Here, the trial judge adverted to the need to focus upon
the complainant聮s subjective state of mind. Ultimately, the trial judge
concluded that she was satisfied beyond a reasonable doubt that the complainant
did not consent to the sexual activity.
[12]
The trial judge then moved on to consider the only
other triable issue: 聯This leaves the final question, is there an air of
reality to the defence of honest but mistaken belief in communicated consent,
and if so, does it raise a reasonable doubt?聰 Unfortunately, the trial judge聮s
reasons are wanting in relation to this issue.
[13]
Section 273.2 of the
Criminal Code
places important limits on the defence of honest but mistaken belief in
communicated consent, including s. 273.2(b), which states 聯
[
i
]
t is not a defence聰 where 聯the accused did not take reasonable
steps, in the circumstances known to the accused at the time, to ascertain that
the complainant was consenting聰. As Moldaver J. held in
R. v. Barton
,
2019 SCC 33, 376 C.C.C. (3d) 1, at para. 104, s. 273.2(b) 聯imposes a
precondition
to the defence of honest but mistaken
belief in communicated consent 聳 no reasonable steps, no defence聰 (emphasis
added).
[14]
There are both objective and subjective
dimensions to this defence. The accused must take steps that are objectively
reasonable in the circumstances, and the reasonableness of the steps must be
considered in light of the circumstances known to the accused at the time:
Barton
,
at para. 104.
[15]
We agree with the appellant that this case required
a clear inquiry into the reasonable steps potentially taken by the respondent.
This is particularly true given both the complainant and respondent聮s clear
evidence that she asked for a condom, yet the sexual intercourse ensued without
one. Even taking the respondent聮s evidence at its highest, this is a
circumstance that was known to him at the time that the intercourse commenced,
yet he did not inquire of the complainant whether she wished to proceed without
a condom. Instead, he chose to rely upon what he perceived from the
complainant聮s actions, as described by him: the continued physical grinding by
the complainant; the movement of her hip; and her assistance with pulling down
one side of her pants.
[16]
The trial judge聮s reasons are entirely silent as
to whether the respondent took any objectively reasonable steps in light of the
circumstances known to him at the time. Instead, the trial judge reviewed the
evidence, made conclusions about what she could not reject, and then satisfied
herself that it was impossible to reject the defence of honest but mistaken
belief in communicated consent. The trial judge聮s reasoning can be summarized
as follows:
(i)聽 She could not reject the respondent聮s evidence that he asked
the complainant if she 聯wanted to fuck聰 or the complainant聮s evidence that she
asked if he had a condom.
(ii)聽 She was 聯not convinced by his evidence that [the complainant]
actually said the word 聭yes聮聰, but could not reject the respondent聮s evidence
that when he 聯tried to brush off the fact that he did not have a condom聰, the
complainant continued to rub against his penis and 聯perked her hip up and
pulled the right side of her pants.聰
[17]
On this basis, the trial judge concluded:
It is impossible to reject his evidence that
he honestly but mistakenly believed she was communicating her consent by her
actions of rubbing against his penis, and then assisting him in the removal of
her pants. I certainly accept his evidence that this only lasted a minute or
two, and that it was bad sex.
[I]n the end, given the totality of the
evidence, one cannot reject his defence of honest but mistaken belief in
communicated consent.
[18]
We cannot accept the respondent聮s position that
the reasonable steps inquiry is implicit in the trial judge聮s reasoning set out
above. To the contrary, the reasoning seems to focus exclusively upon why the
respondent could be said to have honestly but mistakenly believed the
complainant to be consenting. In our view, the trial judge聮s reasons do not
explicitly or implicitly address the prerequisite of reasonable steps.
[19]
The reasonable steps inquiry is a fact-specific
one. Clearly, those steps cannot arise from the complainant聮s silence,
passivity, or ambiguous conduct:
R. v. Ewanchuk
,
[1999] 1 S.C.R. 330,
at para. 51;
Barton
,
at para. 107. Whether the
complainant 聯perked聰 her hip or not, or helped with pulling down one side of
her pants or not, is at best ambiguous conduct, particularly ambiguous as to
what the complainant may or may not have been consenting to. This is especially
true given the trial judge聮s finding of fact that the complainant 聯asked if he
had a condom.聰 In the circumstances of this case, failing to specifically address
the prerequisite of reasonable steps, constitutes a reversible error.
The Remedy
[20]
The appellant asks us to allow the appeal and,
pursuant to s. 686(4)(b)(ii) of the
Criminal Code
, enter convictions
on both counts. While we agree that the acquittals must be set aside, we
decline to enter convictions.
[21]
Although the appellant聮s position has much
force, the trial judge聮s reasons are insufficiently clear to permit this court
to confidently enter convictions. Among other issues, the reasons for judgment
lack clarity on factual findings and are devoid of credibility assessments. For
instance, it appears that the trial judge concluded that the
actus reus
of the sexual assault was made out, not because she believed the
complainant, but because of the respondent聮s evidence, where he testified that
聯for the most part he knew she said yes聰. Indeed, nowhere in the reasons does
the trial judge articulate credibility findings with respect to either the complainant
or respondent.
[22]
The combined absence of clear credibility and
factual findings deprives this court of the type of clarity required when
determining whether the respondent is, in fact, guilty. This task is better
left to a new trial judge, who will be best positioned to make all requisite
credibility and factual findings.
Disposition
[23]
The appeal is allowed, the acquittals are set
aside, and a new trial is ordered on both counts.
聯Fairburn
A.C.J.O.聰
聯R.G.
Juriansz J.A.聰
聯Grant
Huscroft J.A.聰
|
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.聽 These
sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the
following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽 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. Ignacio, 2021 ONCA 69
DATE: 20210203
DOCKET: C67188
Pepall, van Rensburg and Brown
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Kenneth Ignacio
Appellant
Michael Dineen, for the appellant
Jeffrey Wyngaarden, for the respondent
Heard: October 20, 2020 by video conference
On appeal from the conviction entered on
March 7, 2019 by Justice P. Andras Schreck of the Superior Court of Justice,
sitting without a jury, with reasons reported at 2019 ONSC 1511.
Pepall J.A.
:
I.
Introduction
[1]
The appellant, Kenneth Ignacio, appeals from his conviction for sexual
assault. He raises one ground of appeal. He argues that the trial judge erred
in finding that the complainant had no motive to fabricate and in considering
this as a factor in assessing her credibility.
[2]
The appellant says that the trial judge found a proven absence of motive
to fabricate, even though the evidence did not support such a finding. At most,
the trial judge could have found an absence of evidence of motive to fabricate.
The trial judge then wrongly used his finding that the complainant had no
motive to fabricate to enhance her credibility.
[3]
For the reasons that follow, I would dismiss the appeal. Placed in
context, the trial judge rejected the motive to fabricate argument advanced by
the appellant. He was entitled to consider the absence of evidence of a motive
to fabricate as one of many factors in his credibility analysis.
II.聽聽聽聽聽聽 Facts
[4]
The appellant and the complainant, who are both in their early twenties,
met at a concert at the end of April 2017. Over the next few days, they
exchanged text messages. A few days later, they both attended a barbecue at the
home of the appellant聮s cousins. The complainant drove in her car and arrived
around 11 p.m. The appellant was already there. Both the appellant and the
complainant agreed that he was very intoxicated. When it was time to leave the barbeque
about an hour and a half later, the complainant offered to drive the appellant
home. She had consumed very little alcohol and was sober. The appellant
accepted the offer of a lift.
[5]
They kissed in the car as the complainant was driving the appellant
home. She testified that he insisted on giving her a kiss each time they
stopped at a red light and that she agreed to do so the third time they
stopped. The appellant testified that they kissed at each red light.
[6]
She drove onto Highway 401 and then they agreed to exit and park the
car. According to the complainant, he asked her to pull over so they could talk
and he could sober up. According to the appellant, he had jokingly mentioned
that kissing in the car might result in an accident and she then told him that
she knew of a place they could go. She pulled off the highway and parked in a
nearby parking lot.
[7]
The appellant got in the back seat and invited the complainant to join
him. The complainant testified that she agreed to do so but told him that she
would only kiss him and do nothing else and she wanted him to understand that
she would not have sex with him. He denied that she had said anything about not
having sex with him before getting into the back seat.
[8]
They began kissing in the back seat. The appellant put his hand up her
shirt and under her bra and started to unbutton her pants. According to the
complainant, she told him to stop, but he said that he would make her feel good
and then took off her pants. He said she arched her back to facilitate their
removal but she said he did so without any assistance from her.
[9]
He performed oral sex on the complainant for about three minutes,
according to the complainant. He then pulled his pants down and exposed his
penis. She testified that he said, 聯Are you really not going to聟聰, which she
took to mean he wished her to perform fellatio on him, which she did.
[10]
The
appellant told the complainant that the fellatio was 聯not working聰 for him, and
that he wanted to have sex.
[11]
The
complainant聮s and the appellant聮s accounts then diverged.
[12]
According
to the complainant, she told him that they were not going to have sex and that
things had 聯already gone too far聰, saying, 聯I am not having sex with you, not
now, not tonight, not ever.聰 She testified that the appellant nonetheless
forcefully penetrated her vagina without her consent. She told the appellant to
stop and hit him on the chest, but he grabbed her hands and pushed them down
beside her. After he had finished, the complainant moved to the front seat. She
testified that he sat next to her and said, 聯S., you didn聮t really want that. I
raped you.聰
[13]
According
to the appellant, after the complainant performed fellatio on him, he said,
聯Can we just like do it?聰 (or words to that effect), meaning he wished to have
sexual intercourse, and she responded by saying, 聯Don聮t ejaculate inside me聰, or,
聯Yes, but just don聮t ejaculate.聰 He agreed not to but unintentionally did so. He
denied that she ever said anything to indicate that she did not consent to
sexual intercourse. He said she 聯freaked out聰 and was horrified when he told
her he had ejaculated inside her.
[14]
She
searched on her phone for a pharmacy so that she could purchase a contraceptive
pill. According to the complainant, the appellant insisted on accompanying her,
whereas he said he accompanied her at her request. The complainant took the
pill and then dropped the appellant off at an intersection. He said that before
leaving the car, he gave her a hug and said that he was sorry for ejaculating
inside her.
[15]
The
complainant called a friend and told her what happened but not the details. She
asked her friend to stay on the phone until she got home. The complainant聮s
phone records show that she made a 16-minute call at 4:06 a.m. on May 1, 2017.
[16]
The
next day, the complainant went to her place of employment and then to the
hospital with a friend from work for a 聯rape kit聰 examination. She subsequently
contacted the police. Her friend from work testified that when the complainant arrived
at work, she looked disheveled, had obviously been crying, and was pale. On the
way to the hospital, she was upset, crying, and 聯shaky聰. She would calm down
from time to time only to start crying again.
[17]
At
2:43 p.m. on May 1, 2017, the appellant sent a text message to the complainant
saying, 聯Hey just woke up. How are you? I hope everything聮s fine with you聰. It
was followed by another text message saying, 聯I聮m truly sorry for last night聰. He
testified that he was apologizing for having ejaculated inside of the
complainant. The complainant did not respond to his text messages.
[18]
In
sum, at trial, the complainant testified that the sexual intercourse was not
consensual and the appellant testified that it was.
III.聽聽聽聽聽 Trial Judge聮s
Decision
[19]
The
trial judge rejected the appellant聮s evidence and held that it did not raise a
reasonable doubt. The central difficulty with the appellant聮s evidence was his
intoxication at the time of the events. His intoxication affected both his
reliability and his credibility. The appellant himself had testified that he
was binge drinking to the point of blacking out and only recalled 聯bits and
pieces聰 of the evening. This affected his reliability because intoxication
affects one聮s ability to perceive and recall events.
[20]
The
intoxication also affected the credibility of the appellant聮s evidence. The
trial judge found that the appellant聮s claim to be able to recall every detail
of his sexual interaction with the complainant was inconsistent with his high
degree of intoxication. The trial judge found that the appellant was willing to
聯fill in blanks聰 in his testimony when necessary.
[21]
The
trial judge accepted the complainant聮s evidence. He found the complainant聮s
evidence was 聯plausible and consistent聰 and she was not 聯prone to
exaggeration聰. She candidly admitted that some of the sexual activity, such as
the oral sex, was consensual. He also considered the evidence of the
complainant聮s work friend on the complainant聮s emotional state the day after
the alleged sexual assault and concluded that it supported the complainant聮s
testimony.
[22]
The
trial judge rejected the defence聮s allegation that the complainant had a motive
to fabricate. He commented on motive in two paragraphs, the first of which is
the contentious one for the purpose of this appeal and is placed under the
heading 聯[The Complainant聮s] Evidence聰:
I note as well that [the complainant] had no motive to falsely
accuse Mr. Ignacio of a serious crime. To the contrary, it is clear from the
evidence that prior to the sexual activity, she liked Mr. Ignacio and hoped to
get to know him better. In making this observation, I am mindful that the
burden of proof is on the Crown and that there is therefore no obligation on an
accused to demonstrate why a witness would testify falsely:
R. v. Krack
(1990), 56 C.C.C. (3d) 555 (Ont. C.A.), at
pp. 561-562. Nonetheless, this is a factor to consider:
R.
v. Jackson
, [1995] O.J. No. 2471 (C.A.), at para. 4;
R. v. Plews
, 2010 ONSC 5653, at para. 335. I recognize
that the defence has alleged a motive to fabricate that is related to [the
complainant聮s] fear of having become pregnant, an issue I will address later in
these reasons.
[23]
Two
paragraphs later, under the heading 聯The Alleged Motive to Fabricate聰, the
trial judge wrote the following:
It was submitted on behalf of Mr. Ignacio that [the
complainant] had a motive to fabricate a sexual assault because she was afraid
that she had become pregnant as a result of Mr. Ignacio ejaculating inside her
and needed to explain any pregnancy to her parents in such a way as to absolve
herself of having any responsibility for the situation. It was also submitted
that this fear of pregnancy explains why [the complainant] was so upset the
following day. In my view, the problem with this theory is that [the
complainant] had the wherewithal to obtain a 聯morning after聰 pill immediately
after Mr. Ignacio ejaculated inside her. She took the pill and there is no
suggestion that she had any reason to think that it would not work. She had no
real reason to believe that she was pregnant. Even if she had such a fear, it
is difficult to understand why she would subject herself to a 聯rape kit聰
examination the following day. If she was worried about being pregnant, surely
undergoing a pregnancy test would have made far more sense.
[24]
The
trial judge accepted the complainant聮s evidence and found beyond a reasonable
doubt that the appellant sexually assaulted her.
IV.聽聽聽聽 Parties聮
Positions
[25]
The
appellant submits that the trial judge erred in finding that the complainant
had no motive to fabricate. The evidence was not capable of supporting such a
conclusion and the finding could not properly be used to infer that the
complainant was telling the truth. Evidence of a prior good relationship
between the appellant and the complainant is not sufficient to justify a
positive finding that the complainant had no motive to fabricate and cannot be
used to infer that the complainant was telling the truth.
[26]
The
appellant submits that the trial judge聮s error affected the result. The
appellant聮s evidence was not inherently implausible, and the trial judge might
have had a reasonable doubt had he not relied on the supposed proven lack of
motive to fabricate in accepting the complainant聮s evidence. The appellant argues
that the structure of the trial judge聮s reasons also supports his improper
reliance on absence of motive to fabricate.
[27]
The
Crown submits that the trial judge聮s reasons should not be read as containing
an affirmative finding that there was no motive to fabricate. Read in context,
the trial judge聮s comments were responsive to the arguments surrounding motive
made by the defence. The trial judge did not reverse the onus of proof or
improperly infer that the complainant was telling the truth because there was
no apparent motive for her to lie.
[28]
Even
if the trial judge erred in conflating the absence of evidence of motive to
fabricate with a finding of no motive to fabricate, the Crown argues that the
error did not cause a miscarriage of justice and the appeal should be dismissed
based on the curative
proviso
.
V.聽聽聽聽聽 Analysis
[29]
聯The
distinction between absence of evidence of a motive to fabricate and absence of
a motive to fabricate is not easily digestible聰:
R. v.
John
, 2017 ONCA 622, 350 C.C.C. (3d) 397, at para. 97,
per
Watt J.A. As Watt J.A. explained in
John
, at
para. 93:
The former is not the equivalent of the latter, nor is the
latter the same as the former:
R. v. L. (L.)
, 2009
ONCA 413, 244 C.C.C. (3d) 149, at para. 44. Said in another way, it does not
logically follow that, because a witness has no
apparent
reason to lie, the witness must be telling
the truth:
R. v B. (R.W.)
(1993), 24 B.C.A.C.
1, at para. 28. The fact that a witness has no
apparent
motive to fabricate does not mean that the
witness has
no
motive to
fabricate:
R. v. L. (L.)
, at para. 44. [Emphasis
added.]
[30]
In
addressing this appeal, there are in essence two questions that require a
response:
(i)聽聽聽聽 Did
the trial judge find that the Crown had proven that the complainant had
no
motive to fabricate or that there was, as the Crown asserts, simply an
absence
of evidence
of any motive to fabricate?
(ii)聽聽聽聽 If
the evidence fell short of establishing that the complainant had
no
motive to fabricate and the trial judge was simply adverting to an
absence
of evidence
of any motive to fabricate, was he entitled to consider that
absence in his analysis of the complainant聮s credibility?
(a)
Proof of no motive to fabricate
[31]
The
first part of the appellant聮s argument is that the trial judge made a positive
finding that the complainant had no motive to fabricate when the evidence did
not permit him to do so. While the cases leave open the possibility that the
Crown can prove that a complainant had no motive to fabricate, they set a high
bar for proving no motive to fabricate. This is because motives can remain
hidden or there may be no motive at all:
R. v. Bartholomew
,
2019 ONCA 377, 375 C.C.C. (3d) 534, at para. 22.
[32]
If
the Crown has proven that the complainant had no motive to fabricate, the Crown
has 聯a powerful platform to assert that the complainant must be telling the
truth聰:
Bartholomew
, at para. 21. However, in
most cases, the trier of fact will be faced instead with an absence of evidence
of any motive to fabricate on the part of the complainant.
[33]
In
this case, had the trial judge found that the Crown had proven no motive to
fabricate, such a finding would have been in error. The only evidence upon
which the trial judge could make this finding was the evidence that the
complainant and the appellant had a prior good relationship. Evidence of a good
relationship between the complainant and the accused, standing alone, is
insufficient to establish that the complainant had no motive to fabricate:
Bartholomew
, at para. 25; and
L.L.
,
at para. 45.
[34]
However,
I am not persuaded that the trial judge found that the Crown had proven no
motive to fabricate. If that had been the case, as discussed, the Crown would
have had 聯a powerful platform聰 to assert that the complainant was telling the
truth. One would expect such a finding to play a much more prominent role in
the trial judge聮s analysis of credibility than it did. Instead, it simply
amounted to an 聯observation聰 and 聯a factor to consider聰, to use the trial
judge聮s words.
[35]
Moreover,
the trial judge was required to consider motive to fabricate due to the defence
allegation that the complainant had a motive to fabricate. In the context of
the defence submissions, he was entitled to look to the evidence for any
suggestion of motive and conclude that there was no such evidence. The trial
judge聮s reference to the state of the relationship between the complainant and the
appellant does not reflect a finding that the complainant had
no
motive
to fabricate. It is equally consistent with a finding that there was
no
evidence
of any motive to fabricate.
[36]
In
my view, the language the trial judge used and the context are much more reflective
of a finding that there was an absence of
evidence
of any motive to
fabricate. The trial judge did not find that the Crown had proven that the
complainant had
no
motive
to fabricate. He effectively found that there was an
absence of evidence
of any motive to fabricate, and he
treated this finding as one factor in the credibility analysis.
(b)
Absence of evidence of motive to fabricate may be considered in
credibility analysis
[37]
This
does not end the matter, however. The question then becomes: was the trial
judge entitled to treat the
absence of
evidence
of motive to fabricate as a consideration in assessing
the complainant聮s credibility?
[38]
Both
R. v. Batte
(2000), 49 O.R. (3d) 321 (C.A.)
and
L.L.
say
that the absence of evidence of motive may be considered as a factor in
assessing credibility.
[39]
In
Batte
,
the appellant was
convicted of sexual offences in relation to two complainants. Among other
things, the appellant argued that the trial judge erred in instructing the jury
that they could ask themselves why the complainants would have fabricated the
allegations and subjected themselves to the trial process. At trial, the
defence had argued that the complainants hated the appellant, and their hatred
motivated them to fabricate the allegations: at para. 119.
[40]
Doherty
J.A. confirmed that juries are entitled to consider whether there is evidence
of a motive to fabricate, and he identified problems for trial judges to avoid
in instructing on this issue, writing, at paras. 120-121:
It is
difficult to think of a factor which, as a matter of common sense and life
experience, would be more germane to a witness聮 credibility than the existence
of a motive to fabricate evidence. Similarly, the absence of any reason to make
a false allegation is a factor which juries, using their common sense, will and
should consider in assessing a witness聮 credibility
.
What must be avoided in instructing a jury is any suggestion
that the accused has an onus to demonstrate that the complainant has a motive
to fabricate evidence, that the absence of a demonstrated motive to fabricate
necessarily means that there was no motive or, finally, that the absence of a
motive to fabricate conclusively establishes that a witness is telling the
truth.
The presence or absence
of a motive to fabricate is only one factor to be considered in assessing
credibility
.
[Footnote omitted; emphasis added.]
[41]
Doherty
J.A. held that the trial judge had not erred in his instruction to the jury
because, looking at the charge as a whole, the jury would have understood that
in assessing the complainants聮 credibility, they were required to consider many
factors, and not only the issue of motive: at para. 125. It would have been
preferable, however, for the trial judge to have reminded the jury 聯that
motives sometimes remain hidden and that the absence of a motive to fabricate
evidence was not determinative of the truth of the complainant聮s evidence聰: at
para. 125.
[42]
In
L.L.
, a 2009 decision of this court, the appellant was
convicted of incest following a jury trial. The trial Crown had asked a series
of improper questions of the appellant聮s son relating to the complainant聮s
motive to fabricate, and in closing submissions, relied heavily on the theory
that the complainant had
no
motive to fabricate.
[43]
This
court allowed the appeal. The Crown聮s closing submissions suggested that the
Crown had proven a lack of motive to fabricate when the evidence was incapable
of supporting such a conclusion. The Crown also created a risk that the jury
would leap to the conclusion that the complainant must be telling the truth if
there was no demonstrated motive for her to lie.
[44]
In
outlining what the trial judge ought to have told the jury, Simmons J.A. did
not say that the trial judge should have told the jury they could not consider
the absence of any apparent motive to fabricate. On the contrary, she said that
the trial judge should have told the jury that they
could
consider
it, but only as one factor among many: at paras. 19, 53. See also,
R. v. M.B.
, 2011 ONCA 76, 267 C.C.C. (3d) 72.
[45]
The
appellant relies on
R. v. Sanchez
, 2017 ONCA
994 and
Bartholomew
in
support of his position that
absence of
evidence
of motive to fabricate is an improper consideration in a
credibility analysis. He does not suggest that
Bartholomew
and
Sanchez
have
overruled
Batte
and
L.L.
Rather, he says that these more recent
decisions have clarified the proper treatment of the
absence of evidence
of motive to fabricate, which is
that it should not be considered as anything more than a 聯neutral聰 factor.
[46]
I am
not persuaded that
Sanchez
and
Bartholomew
stand for the proposition advanced by the
appellant, which would arguably be inconsistent with
Batte
and
L.L.
[47]
In
Sanchez
,
Nordheimer
J.A. allowed the appeal of convictions for historical sexual offences and
accepted that the trial judge made multiple errors in assessing credibility,
one of which was the trial judge聮s reasoning on motive to lie. However, at
para. 30, he observed, that 聯individually none of the failings I have
identified might prove fatal to the trial judge聮s credibility findings聰. While
he did note, at para. 25, that the absence of a proven motive to fabricate is
not particularly probative of a witness聮s credibility, he did not prohibit
trial judges from considering the
absence of evidence
of motive to
fabricate. Rather, he commented that this is an unreliable factor, and it
should not be used 聯as a
foundation
to enhance the witness聮 credibility聰
(emphasis added). I understand this statement as a caution against placing an
improper emphasis on the absence of evidence of motive to fabricate. This is
consistent with what this court said in
Batte
and
L.L.
that this is only one factor among
many.
[48]
To
this I would add Nordheimer J.A.聮s most recent statement in
R. v. W.R.
, 2020 ONCA 813, at para. 18:
I begin this issue by noting that there is a difference in law
between an absence of evidence of a motive to fabricate (that is, no evidence
either way) and a proven absence of a motive to fabricate (that is evidence
that establishes that no motive existed). The former is an element that may be
considered in assessing the credibility of a witness, but it is only one
element. On the other hand, the latter may be a compelling reason to conclude
that the witness is telling the truth.
[49]
In
Bartholomew
, this court allowed the appeal because 聯the
trial judge erred in concluding that there was a proved absence of motive. This
conclusion impacted the trial judge聮s assessment of the complainant聮s
credibility, which was a central issue in the case聰: at para. 9.
[50]
Trotter
J.A. went on to explain that the evidence in
Bartholomew
was not capable of supporting the conclusion that the complainant had no motive
to fabricate: at paras. 24-26. The 聯evidence of a good relationship between the
complainant and the appellant was not capable of proving that the complainant
had no motive to fabricate; it could do no more than support the conclusion of
an absence of evidence of a proved motive聰: at para. 25. 聯This state of affairs
was not capable of enhancing the complainant聮s credibility, as the trial judge
did. At best,
it was a
neutral factor
聰 (emphasis added): at para. 25.
[51]
As I
read
Bartholomew
, Trotter J.A. did not go so
far as to say that the absence of evidence of motive to fabricate will always
be a 聯neutral factor聰 in the credibility analysis. He did not say so explicitly
in his summary of the law at paras. 20-23, although he did caution trial judges
against moving 聯from an apparent lack of motive to the conclusion that the
complainant must be telling the truth聰: at para. 22. His comment at para. 25
that the evidence of a good relationship between the complainant and appellant
was a 聯neutral factor聰 was made in the context of that particular case. The real
problem in
Bartholomew
was the trial judge聮s
finding that the complainant had no motive to fabricate, which was unsupported
by the evidence. In my view, without a more explicit statement,
Bartholomew
should not be read as having revised the
principles established in
Batte
and
L.L.
[52]
Consistent
with this interpretation, in several cases following
Bartholomew
(see, for example,
W.R.
;
R.
v. Mirzadegan
, 2019 ONCA 864; and
R. v.
MacKenzie
, 2020 ONCA 646
0F
[1]
),
this court has confirmed that the trier of fact is entitled to consider the
absence of
evidence
of motive to fabricate as one factor in assessing the
complainant聮s credibility. As in
Batte
and
L.L.
,
the cases caution against placing an improper emphasis on the absence of
evidence of motive to fabricate, finding a proven absence of motive when the
evidence does not support such a finding, and placing an onus on the accused to
prove the complainant had a motive to lie. But, assuming these errors are not
present, the trier is entitled to consider the absence of evidence of motive to
fabricate as one factor among many in assessing the complainant聮s credibility.
[53]
In
MacKenzie
, Doherty J.A., writing for himself, van
Rensburg and Trotter JJ.A., confirmed that the absence of evidence of motive to
fabricate may be left with the jury as a factor to consider in assessing the
complainant聮s credibility
.
In
MacKenzie
,
the appellant argued that Crown counsel improperly invited the jury to find
that the appellant聮s failure to prove a motive to fabricate on the part of the
complainant confirmed the complainant聮s evidence. The defence argued at trial
that the complainant was fabricating her evidence and suggested two possible
motives.
[54]
Doherty
J.A. rejected the appellant聮s argument, observing, at para. 34:
It was open to the jury to reject the motives to fabricate
offered by the defence and to conclude there was no evidence of a motive to
fabricate. If the jury took that view, the absence of any evidence of a motive
to fabricate could be used as one factor in assessing [the complainant聮s]
credibility: see
R. v. J.(H.)
, 2020 ONCA 165,
at paras. 145-46.
[55]
Doherty
J.A. held that a brief reference to motive in the Crown聮s closing address did
not place any onus on the defence to prove that the complainant had a motive to
lie, in light of the trial judge聮s 聯repeated and correct instructions on the
burden of proof, and the manner in which he dealt with the relevance of a
witness聮s potential motive聰: at para. 38.
[56]
Lastly, a case that bears some similarities to the case under
appeal is this court聮s decision in
R. v. O.M.
,
2014 ONCA 503, 313 C.C.C. (3d) 5. There
this court dismissed
an appeal where the trial judge explicitly found that the Crown had 聯proven an
absence of a motive聰 to fabricate the allegations (at para. 106), or put
differently, no motive to fabricate. Before this court, the appellant argued
that 聯the trial judge erred by finding that the Crown had established the
complainants聮 lack of a motive to fabricate聰: at para. 104. This court rejected
that argument.
[57]
Cronk J.A., writing for the court, accepted the
distinction between the absence of evidence of a demonstrated motive to
fabricate and affirmative proof of no motive to fabricate: at para. 107. She
held that there was 聯no basis to conclude that the trial judge confused the
absence of evidence of a motive to fabricate with the absence of such a
motive聰: at para. 108. The trial judge considered and rejected the defence suggestion
that each complainant had a motive to fabricate. He did not suggest that the
complainants must be telling the truth because no motive to fabricate had been
demonstrated. Instead, he considered the absence of an established motive to
fabricate as only one factor among many in assessing the complainant聮s
credibility. This was not in error, as it was consistent with
Batte
.
Cronk J.A. concluded that it was 聯open to the trial judge to find an absence of
apparent motive by the complainants to fabricate聰: at para. 109.
[58]
In other words, even though on its face, the
trial judge appeared to have made a positive finding that the Crown had proven
the absence of a motive to fabricate, this did not warrant allowing the appeal
because of how the trial judge treated this conclusion. He did not treat it as
dispositive, but only as a factor to consider.
[59]
In
this case, the trial judge聮s treatment of the motive issue was consistent with the
cases discussed. He specifically cautioned himself against placing any
obligation on the accused to demonstrate why the complainant would fabricate
her evidence. Nothing suggests that he leapt to the conclusion that the
complainant must be telling the truth. He considered the complainant聮s
credibility independent from his conclusion that there was an absence of evidence
of a motive to fabricate. As mentioned, the issue of motive to fabricate had
been raised by the defence and the trial judge felt obliged to address it. Lastly,
he did not place excessive weight on the absence of evidence of motive. Indeed,
the trial judge identified the issue as an observation and acknowledged that it
was just one factor to consider. As in
W.R.
, the
trial judge聮s comment about motive did not 聯drive the trial judge聮s credibility
findings聰, nor did he suggest that his findings on motive led him to conclude
that the complainant must be telling the truth.
[60]
Credibility
findings are the province of the trier of fact. In this case, the trial judge
clearly had no reasonable doubt that the appellant was guilty of sexual
assault. His treatment of motive to fabricate did not infect that conclusion. In
these circumstances, there is no need to rely on the curative proviso.
VI.聽聽聽聽 Disposition
[61]
For these reasons, I would dismiss the appeal.
Released: February 3, 2021 (聯S.E.P.聰)
聯S.E. Pepall
J.A.聰
聯I agree. K.
van Rensburg J.A.聰
聯I agree. David
Brown J.A.聰
[1]
Paciocco J.A.聮s comments in
R.
v. A.S.
, 2020 ONCA 229, and the court聮s comments in
R. v. S.H.
, 2020 ONCA 34, arguably could
be interpreted as being to the contrary. However, the issue of motive to
fabricate was not central to those appeals and the comments in both cases were
obiter
.
|
WARNING
An order restricting publication in
this proceeding was made under s. 517 of the
Criminal Code
and
continues to be in effect.聽 This section of the
Criminal Code
provides:
517(1) 聽聽聽聽聽聽聽 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)聽聽聽聽 if a preliminary inquiry
is held, the accused in respect of whom the proceedings are held is discharged;
or
(b)聽聽聽聽 if the accused in respect
of whom the proceedings are held is tried or ordered to stand trial, the trial
is ended.
(2)聽聽聽聽 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)聽聽聽聽 [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. J.A., 2021 ONCA 93
DATE: 20210211
DOCKET: M52166 (M51556)
Trotter,
Zarnett and Coroza JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
J.A.
Applicant
Leora Shemesh, for the applicant
David Friesen, Eric Taylor and Nicole
Rivers, for the respondent
Heard: February 5, 2021 by
videoconference
On review of the order of Justice Russell Juriansz of the Court of
Appeal for Ontario, dated November 4, 2020.
By the Court:
[1]
On October 21, 2020, a panel of this court
ordered that the applicant be detained pending his trial on two counts of first
degree murder, and one count of attempted murder, following two shootings
linked to organized crime.
[2]
The applicant has sought leave to appeal this
decision to the Supreme Court of Canada. In the meantime, he applied to this
court seeking bail pending his application for leave to appeal; alternatively, he
sought a stay of execution of the decision detaining him. Juriansz J.A., sitting
as a single judge of this court, denied both heads of relief. The applicant now
seeks to review both aspects of Juriansz J.A.聮s decision before a panel of this
court.
[3]
At the conclusion of the oral hearing, we
announced our decision to dismiss the application, with reasons to follow.
These are our reasons.
Background
(a)
History of the Bail Proceedings
[4]
This application is the latest chapter in the
applicant聮s effort to be released on bail while he awaits his trial.
[5]
On July 30, 2019, Parayeski J. denied the
applicant聮s first bail application, brought under s. 522(2) of the
Criminal
Code
, R.S.C. 1985, c. C-46:
R. v. J.A
.
,
2019 ONSC
4532. On October 21, 2019, a panel of this court dismissed a review of that
detention order under s. 680:
R. v. J.A
.
, 2019 ONCA 831.
[6]
The applicant brought another bail application
under s. 522(2), relying on asserted changed circumstances, including a revised
release plan with new sureties. This time, he was successful. Goodman J.
released him on April 16, 2020 on strict conditions, with named sureties in the
amount of $300,000, augmented by electronic monitoring:
R. v. J.A
.
,
2020 ONSC 2312.
[7]
The Crown applied under s. 680 to review Goodman
J.聮s release order. Fairburn J.A., as she then was, directed that a panel
review the decision:
R. v. J.A.
,
2020 ONCA 470. On October 21,
2020, Thorburn J.A. (Miller J.A., concurring) allowed the application and
imposed a detention order under s. 680(1)(b) of the
Criminal Code
;
Nordheimer J.A., dissenting, would have dismissed the Crown聮s application:
R.
v. J.A
.
, 2020 ONCA 660 (the 聯October 2020 Order聰).
[8]
On October 21, 2020, the applicant applied to
the Supreme Court of Canada for leave to appeal the October 2020 Order, pursuant
to s. 40 of the
Supreme Court Act
, R.S.C. 1985, c. S-26.
(b)
The Order Under Review
[9]
After filing his application for leave to
appeal, the applicant applied to a single judge of this court for the following
relief: first, purporting to rely on s. 679(1)(c) of the
Criminal Code
,
the applicant requested bail pending his application for leave to appeal; and second,
in the alternative, he relied on s. 65.1 of the
Supreme Court Act
and
requested a stay of this court聮s October 2020 Order pending his application for
leave to appeal. On November 4, 2020, Juriansz J.A. dismissed the application.
[10]
Juriansz J.A. concluded that he did not have
jurisdiction to release the applicant under s. 679(1)(c) of the
Criminal
Code
. As he explained, at para. 11:
Section 679, when read in context of the
Code
聮s
entire bail regime, is inapplicable to a person, such as the applicant, who is
awaiting trial. Section 679, when read in context and given its plain
grammatical meaning, applies to a person who has been convicted and allows this
court to release them from custody pending the determination of an appeal of
conviction and/or sentence.
Section 679(1)(c) does not provide a route to
have a single judge of this court review a decision of this court made under s.
680, albeit on an interim basis
. [Emphasis added.]
[11]
As for the applicant聮s alternative request for
relief 聳 a stay of proceedings 聳 Juriansz J.A. ruled as follows, at para. 13:
As I have
concluded I do not have jurisdiction to grant that the applicant be released
under s. 679(1)(c), he requests that I consider the merits of his application
for release and issue a stay of this court聮s October 21, 2020 order.
I
decline to do so, as doing so would circumvent the statutory scheme of judicial
release
. [Emphasis added.]
(c)
The Supreme Court of Canada
[12]
On November 17,
2020, the applicant applied to the Supreme Court of Canada for a stay of the
October 2020 Order (the 聯November 2020 Application聰). In the alternative, he
requested that his case be remitted back to this court 聯for a determination
pursuant to s. 679(1)(c)聰. On January 18, 2021, Martin J. issued the following
order:
The motion for a stay of execution is
dismissed on the basis that the parties may have recourse under s. 7(5) of the
Courts
of Justice Act
, R.S.O. 1990, c. C.43, and s. 683(3) of the
Criminal Code
,
R.S.C. 1985, C-46, that they have not exhausted at the Court of Appeal.
[13]
The applicant returns to this court, relying on
these provisions to review the order of Juriansz J.A.
Analysis
(a)
This Panel聮s Authority to Review Juriansz J.A.聮s
Decision
[14]
Section
7 of the
Courts of Justice Act
,
R.S.O. 1990, c. C.43,
determines the composition of this
court in various circumstances. Subject to some exceptions, motions before this
court are heard by a single judge: see
R. v. Scherba
(2001), 54 O.R. (3d) 555 (C.A.), at para. 12. Subsection 7(5) provides:
聯A panel of the Court of Appeal may, on motion, set aside or vary
the decision of a judge who hears and determines a motion.聰
[15]
As discussed below, an order of a single judge of this court under
s. 679(1)(c) of the
Criminal Code
is properly reviewable by a panel of
the court under s. 680 of the
Code
, which the applicant has not invoked,
rather than under the
Courts of Justice Act
. But more fundamentally, s.
679(1)(c) does not have any application in a case such as this, in which the
applicant is seeking to be released on bail while he attempts to appeal to the
Supreme Court of Canada from an order of this court that he be detained pending
trial. Accordingly, the power in s. 7(5) of the
Courts of Justice Act
is
of no assistance to the applicant to the extent he founds his request for
relief on s. 679(1)(c) of the
Criminal Code
.
[16]
While s. 7(5) of the
Courts of Justice Act
gives this panel
the power to review Juriansz J.A.聮s decision as it relates to a stay of the
October 2020 Order, in our view there is no basis to set aside or vary his
decision.
(b)
Bail Pending Application for Leave to Appeal
[17]
Martin
J.聮s order makes no reference to s. 679(1)(c). This is significant because, as
part of his November 2020 Application before that Court, the applicant
requested alternative relief 聳 that the Court remand the case to this court to
consider the applicability of s. 679(1)(c). Martin J. did not do so.
[18]
Moreover,
if the applicant were correct in his submission that Juriansz J.A. erred in
finding that s. 679(1)(c) is inapplicable, his avenue of review would not fall
under s. 7(5) of the
Courts of Justice Act
: it
would fall under s. 680 of the
Criminal Code
.
Section 680 provides that orders made under s. 679 may be reviewed by a panel 聯on
the direction of the chief justice or acting chief justice of the court of
appeal.聰 This is the case even though Juriansz J.A. found that he had no
jurisdiction to entertain the s. 679 application: see
R.
v. Stoltz
(1993), 84 C.C.C. (3d) 422 (B.C.C.A.), at p. 428. The prospect
of this taking place 聳 a panel review (under s. 680) of a single judge聮s decision
concerning bail pending leave to appeal (under s. 679(1)(c)) of a previous
panel聮s bail decision (under s. 680) 聳 demonstrates the untenability of the
applicant聮s position that s. 679(1)(c) has any application in these
circumstances.
[19]
We
agree with Juriansz J.A.聮s conclusion that s. 679(1)(c) does not apply in this
case. The section provides as follows:
679(1) A judge of the court of appeal may, in accordance with
this section, release an appellant from custody pending the determination of
his appeal if,
(a) in the case of an appeal to the court of appeal against
conviction, the appellant has given notice of appeal or, where leave is required,
notice of his application for leave to appeal pursuant to s. 678;
(b) in the case of an appeal to the court of appeal against
sentence only, the appellant has been granted leave to appeal; or
(c)
in the case of an appeal or an application for leave
to appeal to the Supreme Court of Canada, the appellant has filed and served
his notice of appeal or, where leave is required, his application for leave to
appeal
. [Emphasis added.]
[20]
Considered
without context, s. 679(1)(c) could be read as encompassing an application for
leave to appeal from a court of appeal聮s denial of bail under s. 680. But, as
Juriansz J.A. concluded, that is not what s. 679 is designed to achieve. As
with the rest of the section, and consistent with Part XXI (Appeals 聳
Indictable Offences) as a whole, s. 679(1)(c) applies to bail pending appeal
from conviction and/or sentence; not from a bail decision under s. 680.
[21]
The
applicant essentially asserts a right to bail pending a bail review (or in this
case, an application for leave to appeal from the denial of bail). This concept
is alien to all of the bail review provisions throughout the
Criminal Code
. The applicant聮s suggested application of
s. 679(1)(c) puts a single judge (and a reviewing panel) in the untenable
position of having to explicitly endorse or reject the underlying detention
order that is the subject of proceedings in the Supreme Court of Canada. It
will be for that Court, not a single judge or panel of this court, to determine
whether this court聮s order under s. 680 should stand; that is, whether the
applicant should be released on bail pending his trial.
[22]
The
applicant聮s request for a review of the decision under s. 679(1)(c) is
dismissed.
(c)
Stay of Execution on Application for Leave to
Appeal
[23]
A
more challenging question is whether this court may exercise the power in s.
65.1 of the
Supreme Court Act
to in effect grant bail in a criminal proceeding. Section 65.1 provides
that this court may order a stay of proceedings against one of its own judgments
when a party has served and filed a notice of application for leave to appeal the
judgment at issue. The stay of proceedings sought by the applicant from
Juriansz J.A. in this case was the equivalent of a release order. Indeed, the
applicant sought, and still seeks, through a stay of the October 2020 Order, to
restore Goodman J.聮s order. But as discussed below, there is a very real
practical hurdle to achieving this result.
[24]
Relying
on the order of Martin J., the applicant submits that his requested relief is
achievable through the application of s. 683(3) of the
Criminal
Code
, which provides as follows:
(3) A court of appeal may exercise, in relation to proceedings
in the court, any powers not mentioned in subsection (1) that may be exercised
by the court on appeals in civil matters, and may issue any process that is
necessary to enforce the orders or sentences of the court, but no costs shall
be allowed to the appellant or respondent on the hearing and determination of
an appeal or on any proceedings preliminary or incidental thereto.
[25]
The
applicant contends that this section equips this court with the authority to
order a stay of proceedings under s. 65.1 of the
Supreme
Court Act
. That section provides:
65.1 (1) The Court, the court appealed from or a judge of
either of those courts may, on the request of the party who has served and
filed a notice of application for leave to appeal, order that proceedings be
stayed with respect to the judgment from which leave to appeal is being sought,
on the terms deemed appropriate.
(2) The court appealed from or a judge of that court may
exercise the power conferred by subsection (1) before the serving and filing of
the notice of application for leave to appeal if satisfied that the party
seeking the stay intends to apply for leave to appeal and that delay would
result in a miscarriage of justice.
(3) The Court, the court appealed from or a judge of either of
those courts may modify, vary or vacate a stay order made under this section.
[26]
As
the applicant observes, this provision has been applied in proceedings under
the
National Defence Act
, R.S.C. 1985, c. N-5
to address the question of bail pending proceedings in the Supreme Court of
Canada. Although that Act provides for bail pending the appeal of proceedings
in the Court Martial Appeal Court of Canada (聯CMAC聰) (see ss. 248.1 to 248.4),
the CMAC 聯has no jurisdiction to order judicial interim release of a convicted
person pending his or her appeal to the Supreme Court of Canada聰: see
R. v. Stillman
, 2019 CMAC 1, at para. 3;
R. v. Royes
, 2016 CMAC 3, 338 C.C.C. (3d) 183, at paras.
16-17, leave to appeal refused, [2017] S.C.C.A. No. 324. Nonetheless, in both
of these cases, Bell C.J. applied the well-known criteria in
RJR-MacDonald Inc. v. Canada (Attorney General)
, [1994]
1 S.C.R. 311, to the stay provision under s. 65.1 of the
Supreme
Court Act
to determine whether it was appropriate
to stay the imposition of the offender聮s sentence, thereby granting a remedy
similar to judicial interim release. See also
T.(M.) v. A.(H.)
,
[1995] 1 S.C.R. 445, at paras. 4-5, in which Sopinka J. relied upon s. 65.1 of
the
Supreme Court Act
to release an applicant
in the context of civil contempt, in circumstances where s. 679 of the
Criminal Code
聯arguably聰 did not
apply.
[27]
There
is nothing in s. 65.1 that expressly excludes a detention order from the
category of judgments that may be stayed. However, we agree with the Crown,
that given the grounds that justify a detention order pending trial in s.
515(10) of the
Criminal Code
, it is not
particularly clear how the
RJR-MacDonald
criteria are to be applied, especially the factor of where
the balance of convenience may lie.
[28]
We
need not, however, explore this issue any further. The applicant聮s request to
Juriansz J.A. was to stay this court聮s October 2020 Order, enabling him to be
re-released on the terms ordered by Goodman J. However, the applicant is no
longer able to meet a critical part of this order.
[29]
Goodman
J. released the applicant after this court upheld Parayeski J.聮s detention
order. Goodman J.聮s decision was based on changed circumstances, including a
new release plan. As Goodman J. said, at para. 122:
I confess that this decision is a close call.
In adding the
COVID-19 pandemic into the proposed release plan's "mix", as expressed
in the recent jurisprudence, along with some diminution to the strength of the prosecution's
case, I am persuaded that the applicant has met his onus
. In my opinion, the
decidedly restrictive release plan proffered by the applicant will address the Crown's
primary and secondary ground concerns
. [Emphasis added.]
[30]
In
addition to naming the applicant聮s father a surety, Goodman J. also named two
further sureties 聳 ErT and EIT 聳 in the amount of $300,000:
Criminal Code
, s. 515(2.1). These sureties were
cross-examined at the bail hearing. Their sufficiency was challenged by the
Crown. Goodman J. assessed their evidence in the following way, at para. 81:
While the two principal sureties seemed sincere, I tend to agree
with the Crown that both ErT and ElT came across as somewhat na茂ve in their understanding
of the applicant's entire situation
. That being said, they testified as to their
willingness to assist with the plan, why there is a substantial monetary pledge
in support and why they did not present themselves earlier as potential sureties.
Overall, I find both ErT and ElT to be well-meaning, credible and up to the
challenge of supervising J.A.
[Emphasis added.]
[31]
We
were advised by the parties that ErT and EIT are no longer able to serve as
sureties. The applicant has proposed two new sureties in the same amount 聳
$300,000.
[32]
Counsel
for the applicant acknowledges that this turn of events is less than ideal;
however, she submits that, under s. 65.1 of the
Supreme
Court Act
, this court may impose a stay 聯on the terms deemed
appropriate.聰 We cannot accept this submission. The two named sureties were
integral to Goodman J.聮s order, as reflected in the passages quoted in paras.
29 and 30, above. Moreover, Goodman J. ordered that the applicant live with ErT
and ElT while he was out on bail. The substitution of new sureties in these
circumstances goes well beyond the imposition of 聯terms deemed appropriate聰 in
s. 65.1(1) of the
Supreme Court Act
. It would
involve a significant refashioning of Goodman J.聮s order in a decision that he
characterized as 聯a close call聰.
Conclusion
[33]
The application is dismissed.
Released: 聯GTT聰 February 11, 2021
聯Gary Trotter J.A.聰
聯B. Zarnett J.A.聰
聯S. Coroza J.A.聰
|
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.聽 These sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the following
offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s
sexual integrity and that conduct would be an offence referred to in
subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C. 2014, c.
25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings in respect of
the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice
shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽 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. JC, 2021 ONCA 131
DATE: 20210303
DOCKET: C67587
Juriansz, Tulloch and Paciocco
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
JC
Appellant
Christopher Rudnicki, for the appellant
Lisa Joyal, for the respondent
Heard: January 15, 2021 by video conference
On appeal from the conviction entered by
Justice Michael G. Quigley of the Superior Court of Justice on September 20,
2018, with reasons reported at 2018 ONSC 5547.
Paciocco J.A.:
OVERVIEW
[1]
The appellant, JC, was acquitted after a trial
by judge alone of sexual assault and voyeurism charges. Those charges arose
from a sexually explicit video recording that JC made of the complainant, HD. The
Crown theory was that at the time the video recording was made, HD was incapable
of consenting either to the video recording or the sexual activity that
occurred. The trial judge was left with a reasonable doubt about HD聮s incapacity,
and acquitted JC of both these charges.
[2]
However, the trial judge found JC guilty of
sexual assault and extortion, based on his finding that after making the video
recording, HD engaged in unwanted sex with JC on several occasions. He accepted
HD聮s testimony that JC had threatened to post the video recording on the
internet if she did not continue her sexual relationship with him. The trial
judge found HD to be credible on these allegations and did not accept JC聮s
testimony that he never made the threat that HD alleged. The extortion charge
was stayed pursuant to
Kienapple v. R
.
, [1975] 1 S.C.R. 729.
[3]
JC appeals his sexual assault conviction and the
finding that he was guilty of extortion. He submits that the trial judge made
two errors.
[4]
The first alleged error is that the trial judge
impermissibly used stereotype to reject JC聮s testimony about his practice of
expressly seeking HD聮s consent before engaging in specific sexual acts with her.
The trial judge said that JC聮s testimony about this was 聯too perfect, too
mechanical, too rehearsed, and too politically correct to be believed聰.
[5]
The second alleged error relates to the trial
judge聮s rejection of JC聮s claim that HD concocted the allegations against JC to
conceal her 聯cheating聰 with JC from her boyfriend. JC submits that the trial
judge erred in finding that, in advancing this claim, JC was relying on a stereotype,
when the inference that HD had a motive to mislead was in fact grounded in the
evidence. JC also attacks other reasoning the trial judge relied upon to reject
JC聮s suggestion that HD was motivated to make false sexual assault allegations
against him in order to preserve her relationship with her boyfriend.
[6]
The Crown does not actively resist JC聮s claim
that the first error occurred. It argues, however, that when the trial judge聮s
reasons are reviewed as a whole, any such error was not material, or was harmless
and occasioned no miscarriage of justice. The Crown denies that the second
alleged error occurred and defends the trial judge聮s reasoning.
[7]
I would allow JC聮s appeal. With respect to the
first alleged error, the trial judge聮s improper reliance on stereotype had a
material effect on his rejection of JC聮s evidence about securing HD聮s consent.
This finding, in turn, played an important role in the trial judge聮s overall evaluation
of JC聮s credibility. This error cannot be treated as harmless or as not
occasioning a miscarriage of justice in what was a pure credibility case.
[8]
I would also find that the trial judge committed
the second alleged error by incorrectly characterizing JC聮s motive theory as
based on stereotype, and by relying on stereotype and the willingness of HD to
endure a criminal trial in rejecting JC聮s motive theory.
[9]
Because of these errors, I would set aside the
convictions and order a new trial.
THE MATERIAL EVIDENCE
[10]
The appellant, JC, and the complainant, HD, met
in 2014 when he was 28 and she was 19. They became friends. They would periodically
get together at JC聮s apartment, discuss music, and smoke marijuana. Although
neither JC nor HD considered themselves to be in a boyfriend/girlfriend
relationship, it was common for them to have sex during these visits.
[11]
In the fall of 2014, HD began a relationship
with another man. The trial judge found that at this point, JC and HD ceased
having casual sex, notwithstanding that JC wanted the sexual relationship with
HD to continue. He also found that JC 聯persistently pursued her in his text
messages聰.
[12]
In late 2014, HD contacted JC. HD testified that
she did not do so for the purpose of resuming their sexual relationship, but
because she believed JC could help her to find work in the entertainment
industry.
[13]
HD, who testified that she has memory problems
which she attributes to her mental health and partially to alcohol use and her
addictions to cocaine and ketamine, was uncertain about when she reconnected
with JC. As the following summary of her evidence shows, at times her evidence altered
as it unfolded, and she often expressed uncertainty or a lack of memory.
[14]
What is known is that on January 22, 2015, HD
went to JC聮s apartment to hang out. At trial, she said this was after she had
broken up with her boyfriend, but she had told the police that she believed she
was still with him at the time. During that visit, using a 聯GoPro聰 camera, JC
video recorded HD, in what the Crown aptly referred to as 聯extreme close-ups聰, naked
from the waist down, lying in a bed. In this short, 51-second video, HD is
actively masturbating. On several occasions, JC prompts HD what to do and she
complies. At times, JC can be seen touching her intimately with his hand. The
video recording ends suddenly. JC testified that the battery in the camera died.
No sexual intercourse is depicted but JC testified that they subsequently had
vaginal intercourse.
[15]
The Crown theory was that HD was intoxicated into
incapacity when this event occurred. The sole direct evidence that HD had
consumed an intoxicant was her testimony that she had smoked marijuana,
consistent with her daily habit, in an amount that would not cause her to
become intoxicated. She may also have had alcohol but was not intoxicated by
it. At trial, HD retracted her preliminary inquiry testimony that she and JC
had been drinking at a party prior to this event, saying that she had confused
two different occasions.
[16]
HD testified that she was not feeling drunk or
impaired when she arrived at JC聮s apartment. She said that she and JC never
discussed having sex. She said that JC gave her a glass of water. She testified
that as the evening progressed, she began to feel fuzzy and nauseous. She said
that the last thing she remembered was talking to JC, she believes on the
couch, and then she blacked out. She said she remembered waking up dizzy and
disoriented, wearing only a shirt.
[17]
Later in her testimony, despite her earlier evidence
that she had blacked out after a conversation on the couch and awoke not
wearing pants, HD testified that she remembered JC holding the camera when he
began filming her. She also testified that she was aware that she was being
filmed. In cross-examination, she testified that although she had no memories
of the filmed event when she made her statement to the police or when she
testified at the preliminary inquiry, she subsequently recovered memories of
the events captured in the video. She also walked back her testimony that JC
had given her a glass of water, saying that she had no memory of him doing so
and believed, but was not sure, that she poured herself a glass of water from
the tap.
[18]
HD testified that after she woke up, JC played
her a video recording of him sexually assaulting her. She was upset and scared.
She testified that JC told her that he would put the video recording on the
internet if she did not continue to have sex with him. She was not sure whether
this conversation took place on the day that the video recording was made, or a
few days later. While she said it was possible it happened the same day, she
stated that it was 聯probably a few days later聰. She said she 聯probably聰 asked
him to delete the video recording. She said, 聯I can聮t recall exactly, but I
likely protested聰. In cross-examination, she confirmed that she only remembers one
occasion on which the video recording was discussed but said that she probably
asked for it to be deleted once or twice.
[19]
She also testified that during their
conversation about the video recording, JC told her she could not prove that
she had not consented because she had not said 聯no聰 while being video recorded.
[20]
HD testified that she ultimately made a police
complaint, in circumstances I recount in more detail below. She told the police
that the video recording depicted her and JC having intercourse, which it does
not.
[21]
HD testified that after the video recording was made,
she received calls and texts from JC. He would ask her to come over but never
mentioned the alleged sexual assaults or the video recording. She did not
produce any of these messages to the police and none were placed into evidence.
HD testified that she deleted them because she did not want the reminder.
[22]
HD testified that she agreed to go to JC聮s house
because of her fear that he would share the video recording online. She said that,
on approximately six to eight occasions, after going to his apartment, she had non-consensual
sex with JC. This included incidents after she reunited with her boyfriend in
the spring of 2015.
[23]
In her evidence-in-chief, HD testified that she
never initiated contact with JC after the video recording incident. However, in
cross-examination, she agreed that sometimes she would reach out to him for
marijuana, and that sex would then occur. She said she never wanted to have sex
with him after the video recording was made. She testified that she also went
out with him on a few occasions when sex did not occur, because she did not
feel that she could refuse.
[24]
HD testified that she did not recall whether she
had ever tried to tell JC 聯no聰 when he asked her for sex after the video recording
incident. During cross-examination, she said she believes she would have said 聯stop聰,
聯no聰, or that she did not want to have sex. When confronted with her
evidence-in-chief, in which she had said that she had no memory of ever saying 聯no聰,
she said, 聯I was speaking about the incident with the video聰. When asked again
whether she ever said 聯no聰 or 聯stop聰, she replied, 聯I didn聮t say those things
specifically, but I did protest after the creation of the video that I did not
want to have sex with him聰.
[25]
HD also said in her evidence-in-chief that on a
few separate occasions, JC arranged for her to have sex with his friends. She
could remember only one occasion on which she had sex with one of his friends, but
believed there were more such incidents. Although she did not recall what JC
said to her, her understanding was that if she declined these requests, the
video would be posted online. In cross-examination, when asked if JC told her
to have sex with his friends, she said, 聯He didn聮t use those exact words, I
don聮t believe. 聟 I don聮t think it would have been that direct.聰 When it was put
to her that JC had no idea that she was sleeping with his friends she replied,
聯I don聮t think that is true聰.
[26]
HD testified that she last saw JC in June or
July of 2015, she could not be sure. On July 30, 2015, she went to the police
station and complained. She said this was approximately three weeks after she
disclosed events with JC to her boyfriend. She explained, 聯I ended up telling
my boyfriend sort of accidentally.聰 She described the circumstances. She was
high on ketamine, she and her boyfriend were discussing issues in their
relationship, and she was upset. There was a disagreement, but she testified that
it was not a fight. She said she told him she had been assaulted. Defence
counsel suggested that this led to an argument, but HD denied that it did. She
said that it was 聯really unlikely聰 that they were arguing about this but given
that she could not remember the entirety of the discussion, she said it was
possible. During her testimony, she said her boyfriend 聯freaked out聰 and 聯was
very upset and obviously distraught because of the situation.聰 She said, 聯He
was upset with me and upset for himself, and sad聰 and 聯angry at the situation.聰
He wanted her to call the police and she did so several weeks later. She denied
defence counsel聮s suggestion, made in cross-examination, that she lied about events
because she was afraid her boyfriend would leave her if he found out she was
cheating on him.
[27]
JC, who gave evidence on his own behalf, was the
only other witness to testify. He described his friendship with HD, which he
said was an ongoing sexual, but not exclusively sexual, relationship. He said
that although he was not interested in a monogamous relationship, he had
genuine and sincere feelings for HD. He testified to his belief that he felt
much more strongly about her than she did about him. JC said that once HD
started seeing her boyfriend in October 2014, they stopped seeing each other.
He said that he reached out to her and was 聯a bit persistent聰 at first, sending
her a few messages over a couple of weeks, but then stopped until she contacted
him about employment in the end of November or early December.
[28]
Although he agreed that there were points when
聯it just stopped, when it was not happening聰, he did not think his relationship
with HD was ever at an end, 聯there was just never consistency.聰 He described
the period from October to November or December 2014 as 聯a break聰. That break
did bother him because he felt that he was entitled to closure if she was going
to end their relationship, and communication had ended abruptly. He was not
angry, but it affected him emotionally, leaving him sad.
[29]
He testified that after she contacted him and
asked about employment, HD brought a resume, and they smoked marijuana. He told
her he missed her and made an advance and 聯she reciprocated聰 and they had sex. Contrary
to HD聮s recollection that her relationship with her boyfriend had ended by this
point, he said she was still with her boyfriend at the time.
[30]
JC said he had no contact with HD for another
month after this incident, until mid-January 2015, when the video recording was
made. He believes he would have invited her to his apartment to smoke
marijuana. She agreed and arrived at the apartment sober, not showing any indicia
of impairment. He denied putting anything in HD聮s drink. JC said that after an
hour or so of chatting and smoking marijuana they began consensual sexual
activity. He was asked during his examination-in-chief if they had discussed
sex or whether it just happened. JC said:
Typically when I engage her, I聮ll kiss her,
and if she reciprocates and then, as we proceed, you know, I聮ll ask her, you
know, do you want foreplay or would you like to have sex type of thing.
[31]
During cross-examination, JC was asked about the
testimony he had given about what he 聯normally聰 does to secure consent from HD.
He was not challenged on the routine he claimed, but he was asked how he knows
what he did on this occasion. JC responded:
Because I have consensual sex with my
partners, and it聮s very similar. Normally is a bad word. I guess I shouldn聮t
have used it, but what I meant is that when I engage someone, I聮ll kiss them.
If they reciprocate, and this isn聮t someone, like I wouldn聮t kiss someone I
haven聮t been with before, you know, to engage them. The first time that I sleep
with someone, same with [HD], its something that we spoke about first.
[32]
He said that he remembered the video recording event.
After they kissed, he asked her if she wanted oral sex. She said 聯yes聰, took
her own pants off, and sat on his bed. He was performing oral sex on HD and he
thought of his new camera. He asked her if he could turn it on, and she agreed.
He said this had not been planned. He began filming with the camera, which he
held in his hand using a 聯selfie stick聰. The battery soon died. He threw the
camera on the couch, and they continued their sexual activity. She ultimately
put on her clothes and went home. He said there was no indication that she was
intoxicated or inebriated.
[33]
JC testified that he did not show her the video
recording, and that it was not discussed. He said it would not have been
possible to show her the video recording until the battery in the camera was
charged. He testified that he eventually transferred the video to a laptop that
he had use of, owned by his friend, PY. JC said he used the laptop during his
聯gigs聰 as a 聯DJ聰. He labelled the file 聯[H]聰 and when he put it on the computer
it was placed in a folder titled 聯[PY]聰.
[34]
JC said that their casual consensual sexual
relationship continued after the video recording was made. He testified that he
never played the video for HD, but 聯probably a few weeks聰 after it was taken,
he did comment that she 聯looked cute on camera聰. This prompted HD to ask JC to
delete the video, because she was in a relationship. He told her 聯[he] was
keeping it for [himself]聰 as it was 聯something essential聰 that he had 聯never
done with somebody聰. He said, 聯I didn聮t refuse to delete it. I think I just
explained why I wanted to keep it, and then it was left at that.聰 He said in
cross-examination that he kept it and watched it a few times.
[35]
JC testified that the video recording was never
mentioned again. He denied that he ever used the video recording to extort HD
into having sex with him. He agreed with the Crown聮s suggestion, in
cross-examination, that HD would have been embarrassed and ashamed if the video
recording was put on the internet. He said it was wrong for him not to have
deleted it.
[36]
He said that for a short time in late April or
early May 2015, HD was no longer with her boyfriend, and he and HD went out
together and saw each other more frequently.
[37]
When asked about their relationship, JC said that
he respected HD and had genuine romantic feelings for her. He said she had
similar feelings about him, although not at the same level. He found her
attractive. He did not encourage her to have sex with others, as he wanted more
of a commitment, although not a monogamous relationship. He said he had not
been aware of HD having sex with his friends.
[38]
In terms of the nature of their sexual relationship,
JC testified that HD was always a responsive partner and never said 聯no聰 or
聯stop聰. When asked about HD聮s willingness to engage in sex after the creation
of the video recording, he again relied on his usual practice to support his
response:
I believe it was consensual, for one, because
before we proceed I generally ask her what she wants to do, and if she says she
wants to you, have foreplay or have sex, I take that as consent. When I engage,
I initiate, it聮s never, you know, straight to it, it聮s I would kiss her, engage
in that way and if she reciprocates, you know, then we kind of start making out
and then we go from there. Right? If she didn聮t reciprocate from the very
beginning, then I wouldn聮t proceed, but there was never an instance where, you
know, I went to kiss her and she never reciprocated.
[39]
In cross-examination, JC was challenged about
HD聮s consent on the occasions that sex occurred after the video recording was
made. He said he was positive she consented 聯because she said so every time I
asked her聰.
[40]
JC testified that he subsequently learned that HD
was living with her boyfriend. In June 2015, she abruptly stopped messaging
him. He said he may have messaged her a couple of times 聳 perhaps three to five
times during the summer 聳 but did not pursue things. He suggested that he was
hurt that she had suddenly stopped communicating with him, saying that he felt
she should have given him closure.
THE TRIAL JUDGE聮S REASONS
[41]
The trial judge provided extensive written
reasons for the verdicts he rendered.
[42]
On the two charges relating to January 22, 2015
聳 the voyeurism charge and the accompanying sexual assault charge 聳 the Crown
theory was that HD had been incapable of consenting. The trial judge acquitted
JC of both offences because he was not satisfied beyond a reasonable doubt that
HD had been incapable of consenting. He also noted, on the voyeurism charge, that
the Crown had failed to prove that the video recording was made surreptitiously
or that JC intended to make the video recording surreptitiously.
[43]
With respect to the central issue of incapacity
to consent, the trial judge said that while he did not reject HD聮s evidence about
the events of January 22, 2015, or doubt her sincerity, he was 聯unable to
reconcile and accept that particular evidence as reliable in the context of the
evidence as a whole, and in particular, the appearance of active and willing
participation in the sex acts depicted on the 51 second video recording聰.
[44]
JC聮s evidence relating to the video recording incident
also left him with a reasonable doubt. He said, 聯I do not accept or believe all
of JC聮s evidence, as I will discuss later in these reasons, but I do accept
that his evidence on these counts
could
reasonably be true聰
(emphasis in the original).
[45]
The trial judge found JC guilty of the 聯extortion-related
counts聰 聳 extortion and sexual assault relating to the sexual contact that
occurred after the video recording 聳 finding that HD聮s testimony about these
counts was entirely credible and reliable.
[46]
He found that HD was 聯trying her best to be a
careful, precise and honest witness聰 and noted that she acknowledged her memory
loss. He said that although there were some inconsistencies, relating 聯mainly
to timing and dates, and what happened at what point聰, she was 聯never
inconsistent with respect to the core allegations聰, and much of what she said
was corroborated by JC. He found HD to be 聯consistent throughout her evidence
that after the relationship started with the new boyfriend in late October
2014, she always told JC that she never wanted to have sex with him聰. He said
that the inconsistencies that did occur were not surprising given the lapse of
time. He accepted her evidence about her recovered memory and said, 聯It is
unrealistic to think, given her acknowledged memory issues, that she would
remember everything in her initial statement to the police聰.
[47]
JC claimed that HD聮s allegations that their
sexual relationship was non-consensual may have been motivated by her fear that
her boyfriend might end their relationship if he learned she had been cheating
on him. The trial judge addressed this. He began:
Finally, relative to an alleged motive to
fabricate, there is absolutely no evidence to support the existence of such a
motive. The suggestion that the mere fact that HD has a boyfriend is founded on
stereotypical assumption. It is stereotypical reasoning that is often applied
to victims of sexual assaults. The argument is that since HD had a boyfriend,
therefore, she fabricated this chronology in order to 聯get out of hot water聰
with him, as the Crown put it, and continue their relationship. However, there
was no evidentiary basis to support that contention, despite HD having been
cross-examined about it extensively.
[48]
The trial judge went on to find that the fact
that HD told her boyfriend about the relationship, 聯albeit while she was under
the influence of ketamine聰, 聯adds to the veracity of her disclosure聰. He did
not believe that she would fabricate this entire complex circumstance while
impaired, leaving the motive theory, 聯completely speculative and illogical聰. He
also noted that HD had 聯denied that her boyfriend had been abusive to her or
threatened her, or that they had an argument聰. He said that when HD and her
boyfriend had broken up, she had made no attempt to hide that she was with JC. The
trial judge also said: 聯JC agreed that the boyfriend did not contact him, or
threaten him, so there is no evidence of a need to fabricate to appease the
boyfriend.聰 The trial judge then concluded his rejection of JC聮s motive theory,
saying:
It also makes no sense that HD was
sufficiently willing to fabricate that she would sit through a trial where she
was cross-examined extensively about personal issues and again required to
watch the explicit personal video, along with strangers 聳 the participants in
this trial.
[49]
In contrast, the trial judge did not believe the
evidence of JC and found that JC聮s testimony relating to the extortion-related
counts did not leave him in a reasonable doubt. In coming to this decision, he
relied on his belief in HD聮s evidence, on aspects of JC聮s own evidence that he
found supported the extortion-related allegations, and on his evaluation of JC聮s
credibility.
[50]
The trial judge聮s first observation about JC聮s
credibility related to JC聮s testimony about his practice in securing consent
from HD. The trial judge said:
I found JC聮s evidence suspect that on
each
and
every
occasion when he and HD had sexual activity, that he very carefully
put the question of consent to her, and in all instances only proceeded after
he specifically requested consent 聯
at each progressive stage of the sexual
encounters
聰. Defence counsel contended that there was no reason not to
believe that, especially in respect of the first alleged assault. However, I
did not believe JC聮s evidence on that issue, and I found that declaration to be
too perfect, too mechanical, too rehearsed, and too politically correct to be
believed. [Emphasis in the original.]
[51]
The trial judge continued:
JC wanted me to accept that at
each
and
every
stage of
each
and
every
sexual encounter, he
continuously
asked HD if
he could go further, but this simply is not in accord with common sense and
experience about how sexual encounters unfold. It seemed excessively rehearsed
and staged, as he specifically turned to give this answer directly to me. [Emphasis
in the original.]
[52]
When the trial judge returned to the evaluation
of JC聮s evidence in the context of the extortion-related charges, he said that
he found JC聮s evidence to be 聯contrived聰 and that it 聯simply does not make
sense in the context of the evidence as a whole聰. In explaining those
conclusions, the trial judge returned to JC聮s testimony about his practice in
securing consent:
It was repeatedly said that JC always engaged
in appropriate behaviour with respect to consent at all times, as a normal
practice, but I did not believe this aspect of his evidence, or his evidence
relating to the post-January 22, 2015 events. I find that his evidence about
carefully staged and sequential inquiries into consent defies actual human
behaviour, and is contrived. His evidence was challenged by the entirety of
HD聮s evidence on these matters, whether it related to post-January conduct in
the first apartment at the entertainment district, or the second apartment off
the Danforth.
[53]
After making this comment, the trial judge returned
to the evaluation of JC聮s evidence. The trial judge noted that JC聮s evidence
was not shaken in cross-examination, but said this 聯requires this analysis to
be more nuanced聰, noting:
JC did say some other things in this case
which are, perhaps, again, not major inconsistencies, because there was no
prior statement to compare it against in the way that the complainant聮s
evidence has been analyzed surgically聟.
[54]
Overall, he found JC聮s evidence to be 聯self-serving
and designed to explain what I find inexplicable, at least as it relates to the
latter two counts聰. He said there were some things that did not make sense about
his evidence. Specifically, he noted that though JC claimed to respect HD, his
conduct after January 22, 2015, 聯did demonstrate a pattern of callous disregard
for HD聮s wishes in an attempt to control her聰. He then returned to JC聮s
evidence about his practices in ensuring HD聮s consent, saying:
The notion that he asked for her consent on every
occasion and at every stage of their increasing intimacy, and ensured he had
her full-fledged consent, does not jive with the external circumstances of his
conduct.
[55]
The trial judge also identified aspects of JC聮s
own evidence that he concluded could only support the inference that JC
extorted sex from HD. Most centrally, the trial judge relied heavily on JC聮s
refusal to delete the video. He found that JC聮s continuing possession of this
compromising video of HD 聳 a person nine years his junior 聳 created a power
imbalance that enabled JC to 聯command sexual favours from her聰. He noted that
JC admitted that he was not happy that the relationship had ended and wanted to
continue a romantic relationship. The trial judge found that JC聮s persistence
in attempting to contact HD when she was not responding, and his decision to
keep the video recording for his own gratification as 聯a piece of third party
pornography聰 in spite of HD聮s wishes, showed a pattern of callous disregard for
HD聮s wishes. Simply put, the trial judge reasoned that JC聮s motive, opportunity
and mindset supported his conviction on these charges.
ISSUES
[56]
The issues in this appeal centre on the trial
judge聮s use of 聯stereotype聰 in his reasoning. JC argues that the trial judge
erred by impermissibly relying on stereotype to reject his evidence relating to
securing HD聮s consent, and also erred in finding that JC聮s theory regarding
HD聮s motive was based on stereotype. The Crown does not defend the trial
judge聮s use of stereotype in evaluating JC聮s testimony about securing HD聮s
consent, but submits that any such error is immaterial or harmless, and that no
miscarriage of justice occurred. The Crown disputes that the trial judge relied
on stereotype to reject JC聮s motive theory and defends the trial judge聮s
reasoning in rejecting the motive theory that JC advanced. The issues can be
stated, and approached conveniently, in the following order:
1.
Did the trial judge err by relying on stereotype
or in his reasoning in rejecting JC聮s theory about HD聮s motive to mislead?
2.
Did the trial judge err by relying on stereotype
to reject JC聮s testimony about the steps he took in securing HD聮s consent, and,
if so, was the error immaterial or harmless, or an error that did not occasion
a miscarriage of justice?
ANALYSIS
A.
THE LAW
[57]
There are two relevant legal rules that identify
impermissible reasoning relating to the plausibility of human behaviour. These
rules overlap in the sense that both may be breached at the same time.
(1)
The Rule Against Ungrounded Common-Sense Assumptions
[58]
The first such rule is that judges must avoid
speculative reasoning that invokes 聯common-sense聰 assumptions that are not
grounded in the evidence or appropriately supported by judicial notice:
R.
v. Roth
, 2020 BCCA 240, at para. 65;
R. v. Cepic
, 2019 ONCA 541,
376 C.C.C. (3d) 286, at paras. 19-27;
R. v. Perkins
, 2007 ONCA 585,
223 C.C.C. (3d) 289, at paras. 35-36. For clarity, I will call this 聯the rule
against ungrounded common-sense assumptions聰.
[59]
To be clear, there is no bar on relying upon common-sense
or human experience to identify inferences that arise from the evidence. Were
that the case, circumstantial evidence would not be admissible since, by
definition, the relevance of circumstantial evidence depends upon using human
experience as a bridge between the evidence and the inference drawn.
[60]
Nor is there any absolute bar on using human
experience of human behaviour to draw inferences from the evidence. If there
was, after-the-fact conduct evidence about things such as flight or the
destruction of evidence would not be allowed. Such evidence is relevant because
human experience tells us that these behaviours, flight and destroying evidence
after a criminal act, are generally undertaken to hide guilt. An absolute bar on
using human experience of human behaviour to draw inferences would also mean
that evidence that an accused drove a protesting sexual assault complainant to
a secluded location could not be used as proof of his intention or her lack of
consent. The inferences to be drawn from that evidence depend on common-sense conclusions
about what a person acting in a particular manner is likely to be thinking.
[61]
Properly understood, the rule against ungrounded
common-sense assumptions does not bar using human experience about human
behaviour to interpret evidence. It prohibits judges from using 聯common-sense聰
or human experience to introduce new considerations, not arising from evidence,
into the decision-making process, including considerations about human
behaviour.
[62]
It was therefore an error in
R. v. J.L
.
,
2018 ONCA 756, 143 O.R. (3d) 170, at paras. 46-47, for the trial judge to infer
that a complainant would not have consented to sex outside on the dirt, gravel
and wet grass where the sexual act occurred, in mid-December. This conclusion was
not a permissible logical inference drawn from the evidence. It was, instead,
an additional factor for consideration introduced impermissibly into the
deliberation process based on an untethered generalization about human
behaviour. Had there been evidence from the complainant that she was careful or
concerned about her appearance, her clothing, or her physical comfort, the
impugned inference would have been grounded in evidence and would have been
permissible.
(2)
The Rule Against Stereotypical Inferences
[63]
The second relevant, overlapping rule is that
factual findings, including determinations of credibility, cannot be based on
stereotypical inferences about human behaviour. I will call this 聯the rule
against stereotypical inferences聰. Pursuant to this rule, it is an error of law
to rely on stereotypes or erroneous common-sense assumptions about how a sexual
offence complainant is expected to act, to either bolster or compromise their
credibility:
Roth
, at para. 129;
R v. A.B.A.
, 2019 ONCA 124, 145
O.R. (3d) 634, at para.聽5;
Cepic
, at para. 14. It is equally
wrong to draw inferences from stereotypes about the way accused persons are expected
to act
: R. v. Quartey
, 2018 ABCA
12, 430 D.L.R. (4th) 381, at para. 21,
aff聮d 2018 SCC 59, [2018] 3
S.C.R. 687
; and see
Cepic
,
at para. 24.
[64]
Two points are critical in understanding this
rule and ensuring that it does not impede proper judicial reasoning.
[65]
First, like the rule against ungrounded common-sense
assumptions, the rule against stereotypical inferences does not bar all
inferences relating to behaviour that are based on human experience. It only prohibits
inferences that are based on stereotype or 聯prejudicial generalizations聰:
R.
v. A.R.D.
, 2017 ABCA 237, 422 D.L.R. (4th) 471, at paras. 6-7, aff聮d 2018
SCC 6, [2018] 1 S.C.R. 218.
[66]
For example, it is a myth or stereotype that a
complainant would avoid their assailant or change their behaviour towards their
assailant after being sexually assaulted, and it is an error to employ such
reasoning
: A.R.D.
, at paras. 57-58;
A.B.A.
, at paras. 6, 8-10;
R. v. Caesar
,
2015
NWTCA 4, 588 A.R. 392, at para. 6. Similarly, it is a stereotype that women
would not behave in a sexually aggressive manner, or that men would be
interested in sex. Reasoning that is based on such inferences is not permitted:
Cepic
, at paras. 14-16;
Quartey
, at para. 21.
[67]
By contrast, no stereotype or prejudicial
generalization is offended by inferring, where a man drives a resisting woman
to a secluded location before touching her sexually, that she did not consent
and that he intended to touch her without her consent. Hence, such inferences
are appropriate.
[68]
The second critical point in understanding the
rule against stereotypical inferences is that this rule
prohibits certain inferences
from being drawn; it does not prohibit the admission or use of certain kinds of
evidence. Professor Lisa Dufraimont makes this point admirably in 聯Myth,
Inference and Evidence in Sexual Assault Trials聰 (2019) 44:2 Queen聮s L. J. 316,
at pp. 345-46, 350; and it is reinforced
in
A.R.D.
, at paras. 6-8, 62; and
Roth
, at para. 73.
[69]
For this reason, it is not an error to admit and
rely upon evidence that could support an impermissible stereotype, if that
evidence otherwise has relevance and is not being used to invoke an
impermissible stereotype:
Roth
, at paras. 130-38. For example, in
R.
v. Kiss
, 2018 ONCA 184, at paras. 101-2, evidence that the complainant did
not scream for help was admitted, not to support the impermissible
stereotypical inference that her failure to do so undermined the credibility of
her claim that she was not consenting, but for the permissible purpose of
contradicting her testimony that she had screamed to attract attention.
[70]
By the same token, it is not an error to arrive
at a factual conclusion that may logically reflect a stereotype where that
factual conclusion is not drawn from a stereotypical inference but is, instead,
based on the evidence. For example, although it is a stereotype that men are
interested in sex, it was not an error to infer that the accused male was
interested in sex at the time of the alleged assault where that inference was
based on evidence:
Quartey
, at para. 21. Similarly, in
R. v.
F.B.P.
, 2019 ONCA 157, the trial judge was found not to have erred in
finding it implausible that the complainant would consent to spontaneous sex on
a balcony, potentially in full view of others, because that inference did not
rest in stereotypes about the sexual behaviour of women. The inference was
based on evidence about the ongoing sexual disinterest the complainant had shown
in the accused, and the ready availability of a private bedroom.
(3)
The Effect of Reasoning Errors Related to the Plausibility
of Human Behaviour
[71]
Does a reversible error occur whenever a trial
judge violates the rule against unfounded common-sense assumptions, or the rule
against stereotypical inferences? As a matter of principle, such errors are
reversible only when they 聯ground聰 the relevant inference by playing a material
or important role in the impugned conclusion. Put otherwise, it is not
per
se
a reversible legal error to draw impermissible inferences that
do not matter, but it is a reversible legal error to reach a material factual
conclusion based on such reasoning.
[72]
Some passages could be taken as limiting the
effect of these rules to cases where the impugned factual finding is based
solely
on impermissible reasoning. For example, the phrase 聯sole reason聰 was used by
the majority in
A.R.D.
,
at para. 31, and, on further appeal,
Wagner
C.J. described the trial judge as erring
by relying 聯solely聰 on impermissible stereotypical reasoning:
R. v.
A.R.J.D.
, 2018 SCC 6, [2018] 1 S.C.R. 18, at para.聽2. However, I do
not take these decisions as holding that no error will occur so long as additional,
permissible lines of reasoning are also offered. In
A.R.D.
,
the only reason provided by the trial
judge for doubting the complainant聮s testimony was the stereotype that she had
not altered her behaviour towards the accused after the alleged assault. In my
view, when these courts referred to the impermissible stereotypical reasoning
as the sole reasoning, they were not defining a precondition to error but were
referring to the particular facts of that case. It is instructive that in
A.R.D.
,
at paras. 5-6, the majority described the error as 聯
relying on
an
impermissible stereotype聰, or 聯on prejudicial generalizations聰 (emphasis added).
The majority also quoted, at para. 45, from
R. v. R.G.B.
,
2012
MBCA 5, 275 Man. R. (2d) 119, at para. 59: 聯A judge would err in law if there
is a sound basis to conclude, on appellate review, that a credibility finding was
not
based on
a proper evidentiary foundation, but rather on
inappropriate judicial stereotyping聰 (emphasis added).
[73]
As a matter of principle, an error is 聯based聰 on
a stereotype or improper inference when that stereotype or improper inference
played a material or important role in explaining the impugned conclusion.
Where it did so, even if the trial judge offered other reasons for the impugned
conclusion, it cannot safely be said that the trial judge would have reached
the same conclusion without the error. Where the erroneous reasoning does not play
a material or important role in reaching the impugned conclusion, and was only
incidental, the accused will not have been prejudiced by it and no reversible
error occurs.
[74]
One final point. In argument before us, the
Crown emphasized the importance of deferring to credibility determinations made
by trial judges. I acknowledge this important practice, but where a trial judge
contravenes the rules I have just described, resulting in a material effect on
the impugned finding, an error of law has occurred:
A.B.A.
, at paras.
4-5;
A.R.D.
, at para. 28. The error will be reversible, unless the
curative proviso in the
Criminal
Code
, R.S.C. 1985, c.
C-46, s. 686(1)(b)(iii), is successfully invoked by the Crown.
B.
THE TRIAL JUDGE聮s reJECTIoN OF jc聮S mOTIVE
tHEORY
[75]
Just as it is an error for a trial judge to rely
on a stereotypical inference in assessing credibility, it is an error for a
trial judge to exclude an inference as based on stereotype, when it is not
based on stereotype. JC claims that the trial judge committed this error in
rejecting the inference that HD may have been motivated to falsely claim that
their sexual relationship was not consensual, in order to protect her
relationship with her boyfriend. JC contends that this inference was based on
the evidence, and not on stereotype as the trial judge erroneously concluded.
JC also challenges other reasoning the trial judge relied upon to reject the
motive theory JC advanced at trial.
[76]
This is the impugned passage where the trial
judge invoked stereotype:
Finally, relative to an alleged motive to
fabricate, there is absolutely no evidence to support the existence of such a
motive. The suggestion that the mere fact that HD has a boyfriend is founded on
stereotypical assumption. It is stereotypical reasoning that is often applied
to victims of sexual assaults. The argument is that since HD had a boyfriend,
therefore, she fabricated this chronology in order to 聯get out of hot water聰
with him, as the Crown put it, and continue their relationship. However, there
was no evidentiary basis to support that contention, despite HD having been
cross-examined about it extensively.
[77]
Did the trial judge err by relying on stereotype
or in his reasoning in rejecting JC聮s theory about the complainant聮s motive to
mislead? I conclude that he did.
[78]
The trial judge was incorrect in concluding that
there was 聯absolutely no evidence to support the existence of [JC聮s] motive聰
theory. There was an evidentiary basis on which the trial judge could have inferred
that HD may have been motivated to deny that her sexual relationship with JC
was consensual, and that this motive could account for the police complaint. Specifically,
there was evidence that, at the time HD told her boyfriend about her sexual
contact with JC, HD and her boyfriend were having relationship difficulties and
were discussing those difficulties in the hope of opening up greater lines of
communication; that HD was upset during this conversation; that her boyfriend 聯freaked
out聰 and was 聯upset with聰 her and 聯angry at the situation聰 when she told him
about JC; and that, after the conversation, including when she was no longer
intoxicated by ketamine, HD聮s boyfriend encouraged her to contact the police.
[79]
During argument, defence counsel made this
submission to the trial judge:
[HD聮s boyfriend] became aware that there was
interaction between [JC] and [HD], and in my respectful submission, that聮s,
that聮s all that聮s needed to give rise to a motive to fabricate.
[80]
The Crown submits that when the trial judge characterized
JC聮s argument as founded on a stereotypical assumption, he was not dismissing
the entire submission as based on stereotype but was addressing only this
specific submission, which does invoke the general stereotype that women with
boyfriends are motivated to fabricate sexual assault allegations.
[81]
I do not agree with the Crown that the trial
judge聮s reference to stereotypical reasoning was so confined. I am satisfied
that the trial judge treated JC聮s entire motive theory as resting on stereotype.
This is evident in the way the trial judge characterized JC聮s motive argument.
He said, 聯[t]he argument is that since HD had a boyfriend, therefore, she
fabricated this chronology in order to 聭get out of hot water聮 with him, as the
Crown put it, and continue their relationship.聰 In fact, JC relied on much more
to support this motive theory than the fact that HD had a boyfriend. JC聮s
position was that the manner of HD聮s disclosure to her boyfriend and her
boyfriend聮s reaction to this disclosure support the inference that HD may have
been motivated to lie to protect her relationship with her boyfriend. JC聮s
motive theory was therefore linked to fact-specific evidence. It was an error,
in these circumstances, for the trial judge to find that the motive theory was
founded on a stereotypical assumption.
[82]
The Crown also urges that since the trial judge
addressed JC聮s motive theory more broadly on its merits, he did not ultimately rely
on stereotype in rejecting that motive theory. I do not accept this.
[83]
First, a proper finding that JC聮s motive theory
was founded on a stereotypical assumption would have been fatal to JC聮s motive submission.
Any additional reasons offered for rejecting the motive theory would have been
secondary. Simply put, the gravity of the trial judge聮s finding that JC聮s
motive theory was based on stereotype overwhelms the supplementary reasoning
the trial judge engaged in. Without question, the trial judge relied on his 聯stereotype聰
characterization in rejecting JC聮s motive submission.
[84]
Second, there are problems with some of the additional
reasons the trial judge offered in rejecting JC聮s motive theory. I will address
two such problems.
[85]
In rejecting the motive theory, the trial judge
said: 聯JC agreed that the boyfriend did not contact him, or threaten him, so
there is no evidence of a need to fabricate to appease the boyfriend.聰 This
represents a misconception of JC聮s motive theory. JC聮s theory was not that HD
may have lied to prevent her boyfriend from confronting JC. As the trial judge
appears to have recognized earlier in his reasons, JC聮s motive theory was that
HD may have lied to preserve her relationship with her boyfriend. In linking
the viability of the motive theory to evidence that the boyfriend acted
aggressively towards JC, the trial judge allowed himself to become distracted
from the real inquiry of whether HD had reason to seek to placate her boyfriend,
who had 聯freaked out聰 when HD accidentally told him she had sexual relations
with JC.
[86]
This mischaracterization by the trial judge of JC聮s
motive theory raises an additional, more serious concern. The trial judge聮s
reasoning that the motive theory was not viable without evidence that HD聮s
boyfriend confronted JC rests itself upon the stereotype of the aggressive,
jealous boyfriend.
[87]
The other problematic reason the trial judge
offered for rejecting JC聮s motive theory arose when the trial judge said:
It also makes no sense that HD was
sufficiently willing to fabricate that she would sit through a trial where she
was cross-examined extensively about personal issues and again required to
watch the explicit personal video, along with strangers 聳 the participants in
this trial.
[88]
It is dangerous for a trial judge to find
relevance in the fact that a complainant has exposed herself to the unpleasant
rigours of a criminal trial. As this court said
in
R. v. G.R.A
(1994), 35 C.R. (4th) 340 (Ont. C.A.)
, 聯the fact that a complainant
pursues a complaint cannot be a piece of evidence bolstering her credibility.
Otherwise it could have the effect of reversing the onus of proof聰. Of
interest, in
R. v. K.(V.)
(1991), 68 C.C.C. (3d) 18 (B.C.C.A.), at p. 35,
Wood J.A. disapproved of such reasoning because it would itself rest in
聯gender-related stereotypical thinking聰 that sexual offence complainants are
believable. Such reasoning would be a stereotype because it is a prejudicial
generalization that would be available in every case.
[89]
The primary concern with using a complainant聮s readiness
to advance a criminal prosecution is that doing so cannot be reconciled with
the presumption of innocence. The trial is to begin on the rebuttable premise
that the accused is not guilty, not on the basis that the mere making of a
criminal sexual assault allegation favours a finding of guilt:
R. v.
Stewart
(1994), 90 C.C.C. (3d) 242 (Ont. C.A.), at p. 252, leave to appeal
refused, [1994] S.C.C.A. No. 290;
R. v. Nyznik
, 2017 ONSC 4392, 350
C.C.C. (3d) 335, at para. 17.
[90]
Having said this, there is a passage from this
court, in
R. v. Batte
(2000), 145 C.C.C. (3d) 449 (Ont. C.A.), at
para. 123, in which it was found to have been open to the trial judge to
instruct the jury that, if they found that the complainants did not have a
motive to fabricate, they could consider why the complainants in that case
would 聯make the allegation and expose themselves to the rigors of
cross-examination on very personal matters聰. In
R. v. L.L.
, 2009 ONCA
413, 96 O.R. (3d) 412, at paras. 49-50, Simmons J.A. interpreted this comment
in
Batte
narrowly, as having been made in response to an 聯isolated聰
comment by the trial judge in a case where the overall effect of the trial
judge聮s instruction would not have led the jury astray.
[91]
I would note further that the passage in
Batte
was conditioned on the jury making an affirmative finding that the complainant
had no motive to fabricate. Here, the trial judge used the fact that the
complainant was willing to endure the trial as a reason for rejecting her
motive to fabricate. This was erroneous.
[92]
I would therefore allow this ground of appeal.
C.
THE TRIAL JUDGE聮S rEJECTION OF jc聮S coNSENT
TESTIMONY
[93]
Did the trial judge err by relying on stereotype
to reject JC聮s testimony about the steps he took in securing HD聮s consent, and,
if so, was the error immaterial or harmless, or an error that did not occasion
a miscarriage of justice? I am persuaded that the trial judge did err in
rejecting JC聮s testimony about the steps he took in securing HD聮s consent, and
that the trial judge聮s erroneous reasoning was material, not harmless. I am
also of the view that it cannot be found not to have occasioned a miscarriage
of justice. I would therefore allow this ground of appeal.
[94]
During oral argument on this ground of appeal,
JC took issue with the way the trial judge interpreted his evidence relating to
consent. The trial judge characterized JC聮s testimony as claiming that he specifically
requested consent 聯
at each progressive stage of the sexual encounters
聰
with HD, and that 聯at
each
and
every
stage of
each
and
every
sexual encounter, he
continuously
asked HD if he
could go further聰 (emphasis in the original). JC argues that this is not a fair
reflection of his testimony, which was that he begins a sexual encounter by
kissing, and if the kissing is reciprocated, he takes it from there, including
by seeking consent before engaging in oral sex or intercourse.
[95]
I need not resolve whether the trial judge
interpreted JC聮s testimony fairly. Whether he did so or not, the trial judge聮s
reasoning, in rejecting JC聮s testimony on obtaining consent, contravenes both
the rule against ungrounded common-sense assumptions, and the rule against
stereotypical inferences.
[96]
The trial judge committed the first error 聳
invoking an ungrounded common-sense assumption 聳 by concluding that JC聮s
testimony is 聯not in accord with common sense and experience about how sexual
encounters unfold.聰 This is a bald generalization about how people behave. It
is not derived from anything particular to the case, or any evidence before the
trial judge on how all sexual encounters unfold.
[97]
The trial judge committed the second error of
relying on stereotypical reasoning when he rejected JC聮s claimed conduct as 聯too
perfect, too mechanical, too rehearsed, and too politically correct.聰 The trial
judge was invoking a stereotype that people engaged in sexual activity simply
do not achieve the 聯politically correct聰 ideal of expressly discussing consent
to progressive sexual acts. This is a generalization because it purports to be
a universal truth and it is prejudicial because it presupposes that no-one
would be this careful about consent.
[98]
In fact, the behaviour the trial judge rejected as
聯too perfect聰, 聯too mechanical聰, and 聯too politically correct聰 to be believed is
encouraged by the law, and certainly prudent. The
Criminal Code
specifies, in s. 273.1(1), that consent means 聯the voluntary agreement of the
complainant to engage in the sexual activity in question聰. Consent must
therefore attach to each progressive form of sexual touching. Meanwhile, an
accused cannot legally act solely on a belief in consent; he must honestly
believe that his sexual partner has communicated consent:
R. v. Ewanchuk
,
[1999] 1 S.C.R. 330, at paras. 46-49;
R. v. Barton
, 2019 SCC 33, 435
D.L.R. (4th) 191, at para. 121. Simply put, the behaviour the trial judge
rejected as too perfect to be true is to be encouraged, not disbelieved
ab
initio
.
[99]
The Crown did not advance specific arguments
disputing these errors. Instead, the Crown contended that any error was not
material, or was harmless, and, in any event, did not occasion a miscarriage of
justice. If I understood the Crown, it used the two terms 聯material聰 or
聯harmless聰 interchangeably. Although both terms address whether impugned
reasoning mattered, these terms describe distinguishable inquiries.
[100]
As indicated, it is not
per
se
a reversible legal error for a trial judge to draw impermissible inferences
that do not matter, but it is a reversible legal error to reach a material factual
conclusion based on such reasoning. In order to demonstrate a reversible error where
a trial judge has drawn an ungrounded common-sense assumption or invoked stereotypical
inferences, the burden is therefore on the appellant to show that such
reasoning mattered in arriving at the impugned factual finding. I would reserve
the term 聯material聰 to describe this inquiry. So, in this case the question is
whether JC has shown that the trial judge聮s reliance on an ungrounded
common-sense assumption or stereotype was material to his finding that JC never
asked about HD聮s consent to progressive acts of sexual contact.
[101]
In contrast, a 聯harmless error聰 inquiry is
initiated by the Crown pursuant to the curative proviso in the
Criminal
Code
, s. 686(1)(b)(iii), after a legal error has been found. Where the
Crown invokes the proviso and argues that the error is harmless, the burden is
on the Crown to show that the error is minor or has not prejudiced the accused,
and therefore had no effect on the verdict:
R. v. Khan
, 2001 SCC 86, [2001]
3 S.C.R. 823, at paras. 29-30. Although, in substance, a 聯harmless error聰 inquiry
under the curative proviso is also about the materiality of an error, clarity
is best achieved by maintaining a distinction between the inquiries that form
part of the rules an appellant is relying upon on appeal, and the application
of the proviso at the behest of the Crown. I will use the term 聯material聰 to
describe the former, and 聯harmless error聰 to describe the latter.
[102]
I will begin with the Crown聮s claim that the impugned
reasoning by the trial judge was not material, and therefore not a reversible
error of law. I reject this submission. I am satisfied that the errors I have
identified played a material and important role in causing the trial judge to
reject JC聮s testimony relating to consent.
[103]
In arguing to the contrary, the Crown relied
heavily on the additional, non-erroneous reasons that the trial judge gave for rejecting
JC聮s testimony about consent. Specifically, the trial judge commented on JC聮s
demeanour when he was testifying about his approach to securing HD聮s consent.
The trial judge said: 聯It seemed excessively rehearsed and staged, as he
specifically turned to give this answer directly to me.聰 The trial judge also
said that JC聮s evidence on these matters was challenged on the entirety of HD聮s
evidence. And he said this evidence 聯does not jive with the external
circumstances of his conduct聰, presumably the trial judge聮s conclusion relating
to JC聮s pattern of disregarding HD聮s wishes.
[104]
I acknowledge those additional explanations for
the trial judge聮s rejection of JC聮s testimony about consent, but they do
little, in my view, to reduce the impact of the errors the trial judge made.
The impermissible reasoning played the central role in the trial judge聮s
rejection of JC聮s testimony. Four points reinforce this.
[105]
First, defence counsel challenged the trial
judge, arguing that there was no basis for rejecting JC聮s testimony. The trial
judge answered that challenge directly. The sole rejoinder he gave was that
JC聮s evidence was 聯too perfect, too mechanical, too rehearsed, and too
politically correct to be believed.聰
[106]
Second, this reasoning was also the first reason
the trial judge gave for rejecting JC聮s testimony about consent.
[107]
Third, the trial judge returned to this
reasoning repeatedly during his analysis, making the point three times in the judgment.
[108]
Fourth, this reasoning was devastating. The
trial judge relied upon it to find that JC聮s testimony about how he secured
consent was 聯contrived聰, in other words, a deliberate lie. In the
circumstances, such a finding could not have been anything other than material
or important to the ultimate rejection of JC聮s testimony about consent. This
reasoning simply overwhelms the additional considerations mentioned by the
trial judge.
[109]
Nor are the permissible factors that the trial
judge relied upon compelling enough, when taken together, to overcome the material
role that the trial judge聮s reasoning errors played in his rejection of JC聮s
testimony about consent. It can be assumed that the trial judge would have
hearkened to the admonition not to place undue weight on demeanour evidence
:
R. v. Rhayel
, 2015 ONCA 377, 324 C.C.C. (3d) 362, at para. 85. Further,
the trial judge聮s assessment of HD聮s evidence and his conclusions about JC聮s
regard for HD聮s wishes are conclusions to be made on the evidence as a whole,
including JC聮s testimony. Had the trial judge not greeted JC聮s testimony with
the distorting influence of the errors of reasoning I have identified, he may
well have come to a different conclusion.
[110]
JC has therefore satisfied me that the errors were
material or important to the trial judge in rejecting JC聮s testimony about how
he secured HD聮s consent.
[111]
To support its claim that the errors were not
material, the Crown invited us to consider the trial judge聮s reasoning as a
whole, arguing that the trial judge gave many reasons for rejecting JC聮s
testimony and for finding him guilty of the charges under appeal. In short, the
Crown argues that JC would have been convicted even if these errors had not
occurred. I would make two points in response.
[112]
First, as I have explained, the materiality of
the reasoning errors is to be judged by examining their impact on the specific
conclusion they support, not by examining the strength of the entire case. As I
have also explained, it is an error of law to make a finding that rests
materially on an ungrounded common-sense assumption or a stereotype. As
Cartwright J. said in
Colpits v. The Queen
, [1965] S.C.R. 739, at p.聽744,
聯once error in law has been found to have occurred at the trial, the onus
resting upon the Crown is to satisfy the Court that the verdict would necessarily
have been the same if such error had not occurred聰. Therefore, the Crown聮s
opportunity to rely on the whole of the case arises where the curative proviso
is invoked, and not as part of the materiality inquiry. Even then, the
examination is not of other reasons offered by the trial judge. In considering
the curative proviso in s. 686(1)(b)(iii), the question is not whether
this
trial judge would have convicted: 聯The appropriate inquiry聟 is whether there is
any possibility that
a trial judge
would have a reasonable doubt on the
admissible evidence聰:
R. v. S.(P.L.)
, [1991] 1 S.C.R. 909, at p. 919
(emphasis added).
[113]
Second, even if I was to engage in the exercise
the Crown invites, I would still find the errors to have been material. This
inquiry would necessarily invite a full examination of the reasons offered by
the trial judge, which impels me to say that some of the other reasons the
trial judge gave to support his decision, although not appealed, are problematic.
For example, in addressing HD聮s memory issues, he excused her inability to 聯remember
everything in her initial statement to the police聰 when the matter of concern
was her ability to remember what happened. He considered the disclosure that HD
made to her boyfriend as adding to the veracity of that disclosure, an
inference that was arguably a misuse of a prior consistent statement. And he
discounted the fact that JC stood up to cross-examination on the basis that,
unlike HD, there was no prior statement to compare his testimony to. It is
contrary to the right to silence to consider the absence of a prior statement
by the accused in assessing their credibility, and the trial judge聮s reasoning
presupposes unfairly that JC聮s testimony may not have stood up to
cross-examination had a prior statement been provided. I do not make these
points to express gratuitous criticism of the trial judge聮s credibility
evaluation, but to illustrate the difficulties in relying on his other reasons
as a palliative for the errors under appeal.
[114]
It must also be emphasized that the errors under
appeal relate to the trial judge聮s evaluation of JC聮s exculpatory testimony, a
source of evidence that, in law, can raise a reasonable doubt even if not
affirmatively believed. The trial judge gave few reasons for rejecting JC聮s
evidence that did not depend on his finding that JC聮s testimony about consent
was self-serving and contrived. I appreciate that he invoked
R. v. J.J.R.D.
,
215 C.C.C. (3d) 252 (Ont. C.A.), leave to appeal refused, [2007] S.C.C.A. No.
69, a case that permits, at para. 53, a trial judge to rely on the 聯considered
and reasoned acceptance聰 of Crown evidence to reject conflicting, exculpatory
evidence beyond a reasonable doubt, but the trial judge said this was only
聯partially聰 such a case.
[115]
In my view, even approaching things as the Crown
would have us do, the trial judge聮s errors in evaluating JC聮s evidence about
consent were material, even to the outcome of the case.
[116]
What then of the curative proviso? In
R. v.
R.V.
, 2019 SCC 41, 436 D.L.R. (4th) 265, at para. 85, Karakatsanis J.
summarized the long-standing principles that guide its application:
The curative proviso set out in s.
686(1)(b)(iii) may be applied where there is no 聯reasonable possibility that
the verdict would have been different had the error 聟 not been made.聰 Applying
the curative proviso is appropriate in two circumstances: (i) where the error
is harmless or trivial; or (ii) where the evidence is so overwhelming that the
trier of fact would inevitably convict. [Citations omitted.]
[117]
As the decision in
R. v. Paulos
, 2018
ABCA 433, 79 Alta. L.R. (6th) 33, at paras. 39, 47, leave to appeal refused,
[2018] S.C.C.A. No. 336, shows, it is possible for the proviso to be applied
where the trial judge has erred by relying on stereotype. But not, in my view,
in this case.
[118]
As I have described, a 聯harmless error聰 is a
minor error or an error that has not prejudiced the accused and therefore had
no effect on the verdict. For the reasons I have just provided, the errors
cannot be said to have been minor or non-prejudicial. The Crown has certainly
not shown that they had no effect on the verdict.
[119]
Even a serious error will not be reversible
where the Crown can show that 聯it is clear that the evidence pointing to the
guilt of the accused is so overwhelming that any other verdict but a conviction
would be impossible聰:
Khan
, at para. 31 (citations omitted). The Crown
cannot meet that burden. This was a credibility case in which there were material
weaknesses in the complainant聮s evidence. I will not canvass those weaknesses
again. The most important of them are identified in the summary of the material
evidence. I am far from persuaded that, on this evidence, any verdict other
than a conviction would be impossible. The curative proviso cannot be applied.
CONCLUSION
[120]
I would allow the appeal, set aside the sexual
assault conviction and the finding of guilt on the extortion charge and order a
new trial.
Released: March
3, 2021 聯R.G.J.聰
聯David M. Paciocco J.A.聰
聯I agree. R.G. Juriansz J.A.聰
聯I agree. M. Tulloch J.A.聰
|
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.聽 These sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED:
S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings in respect of the offences
referred to in paragraph (1)(a) or (b), the presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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.聽8(3)(b); 2010, c. 3, s. 5; 2012, c. 1, s. 29;
2014, c. 25, ss. 22,48; 2015, c.聽13, s. 18.
486.6(1)聽聽聽聽聽聽 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)聽聽聽聽 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.C., 2021 ONCA 181
DATE: 20210323
DOCKET: C67003
Rouleau, Pepall and Roberts JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
J.C.
Appellant
Jessica Zita, for the appellant
Samuel Greene, for the respondent
Heard and released orally: March 15, 2021 by
video conference
On appeal from the conviction entered by Justice Karey
Katzsch of the Ontario Court of Justice on February 19, 2019, and from the
sentence imposed on May 27, 2019.
REASONS FOR DECISION
[1]
The appellant appeals his convictions for sexual assault and common
assault, as well as the sentence imposed of 45 days to be served intermittently
and two years聮 probation.
[2]
The appellant submits that the trial judge did not properly assess the
credibility and the reliability of the complainant聮s evidence and applied a
different standard of scrutiny to the evidence of the defence and the Crown.
The appellant also alleges that the trial judge failed to properly apply the
third prong of
R.聽v.
W.(D.)
, [1991] 1 S.C.R. 742
by undertaking a
credibility contest, and that she rendered an inconsistent and unreasonable
verdict on the sexual assault conviction.
[3]
On the sentence appeal, the appellant submits that the trial judge
failed to apply the principle of restraint, as the appellant was a first-time
offender. The appellant also argues that the sentence should be reduced to time
served as a result of the COVID-19 pandemic.
[4]
We dismiss the appeal. Most of the appellant聮s arguments are, in effect,
requests for this court to carry out a fresh assessment of credibility and to
consider the alleged inconsistencies in the Crown聮s evidence but, contrary to
the trial judge聮s assessment, to resolve them in favour of the appellant.
[5]
In our view, there is no basis to interfere with the trial judge聮s
findings. Her reasons clearly explained why she found the complainant credible.
She acknowledged the minor inconsistencies in the complainant聮s evidence and
was not required to address all of them in her reasons. She acknowledged the alleged
inconsistencies between the complainant聮s evidence and Mr. Wilmer聮s evidence.
These were minor in nature and did not detract significantly from the Crown聮s
case.
[6]
We also disagree with the appellant聮s submission that the trial judge
misapplied the
W.(D.)
analysis. The reasons demonstrate that the trial
judge understood and properly applied the third step of
W.(D.)
and did
not treat the case as a credibility contest.
[7]
As for the appellant聮s submission that the verdict is inconsistent, we
agree with the Crown聮s argument that the conviction for assault on the second
count demonstrates that the trial judge considered the evidence as a whole to
see if she was left with a reasonable doubt. The trial judge did not have to
choose between competing versions of events, nor was she limited to accepting
both or neither of the complainant聮s versions of the incidents. It was open to her
to accept the complainant聮s version for one incident but to be left with a
reasonable doubt on the other.
[8]
We also see no basis to interfere with the sentence imposed. The trial
judge decided to impose a shorter sentence than the Crown requested, imposed an
intermittent sentence, observed that the principles of denunciation and
deterrence were necessary here and recognized the mitigating and aggravating
factors. This was a tailored sentence that is appropriate and well within the
range.
[9]
As for the COVID issue, the appellant has not sought to file fresh
evidence as to how intermittent sentences are being administered. In any event,
we see no basis to reduce the sentence.
[10]
For
these reasons, the conviction and sentence appeals are dismissed.
聯Paul Rouleau J.A.聰
聯S.E. Pepall J.A.聰
聯L.B. Roberts J.A.聰
|
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)聽聽聽聽聽聽 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)聽聽聽聽 any of the
following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽 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.J., 2021 ONCA 351
DATE: 20210526
DOCKET: C67525
Rouleau, Pepall and Roberts
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
J.J.
Appellant
Colleen McKeown, for the appellant
Katie Doherty, for the respondent
Heard: March 15, 2021 by video
conference
On appeal from the conviction entered
on April 18, 2019 by Justice Antonio Skarica of the Superior Court of Justice.
REASONS
FOR DECISION
Overview
[1]
The appellant appeals from his conviction for sexual
assault. He abandoned his appeal from sentence on December 9, 2020.
[2]
The events leading up to the incidents in issue are
not seriously in dispute. The complainant, then 15 years old, met the appellant
through the complainant聮s friend; the complainant and her female friend would
spend time with the appellant and his friends, drinking alcohol and accompanying
the appellant while he engaged in drug trafficking. In the evening of May 31
into June 1, 2017, the complainant was picked up in a taxi sent by the appellant
to his house. The appellant and the complainant then called in the taxi for the
appellant聮s friend, Jordan. Along the way in the taxi to another friend聮s house,
Jordan gave the complainant some vodka to drink and she got drunk. The
appellant said they would pick up the complainant聮s female friend but that
never happened. The appellant promised to pay for the complainant聮s cab ride
home at the end of the night. In the basement of the friend聮s house, the complainant
continued to drink alcohol straight from a bottle with the appellant and his three
male friends. Marijuana was also being consumed.
[3]
At one point, the complainant and the appellant
went alone into a side room that had no doors or privacy and that contained a
foul odour. Oral sex and sexual intercourse took place between them. The
appellant abruptly left the complainant. He did not provide her the fare for
the cab ride home. The complainant ended up spending the night in one of the friends聮
garage before returning home the next morning.
[4]
That morning, the complainant attended a previously
scheduled doctor聮s appointment and 聯blurted out聰 that she had been 聯raped聰. A
sexual assault evidence kit with a vaginal swab was completed. According to the
unchallenged expert evidence at trial, the swab captured DNA that was 110 trillion
times more likely to originate from the appellant than any other male. The
complainant testified that she felt a vaginal tear and that she thought that 聯the
nurse even said that聰; however, the medical records disclosed no such tear and
the nurse in question did not testify.
[5]
The appellant was arrested for sexual assault.
The police did not tell the appellant the victim聮s name. After his arrest and on
his way to the police station in the back of the police cruiser, the appellant angrily
burst out that 聯The bitch is angry because I wouldn聮t pay her the $30 cab fare聰,
and made disparaging remarks about the complainant聮s race and physical
appearance without naming her. When subsequently interviewed by the police
about the complainant聮s allegations, the appellant denied knowing the
complainant or anyone with her name living in the area. He also denied that the
alleged sexual activities took place. Following the disclosure of the DNA results,
the appellant admitted at trial knowing and having sexual relations with the complainant
but maintained that they were instigated by the complainant and entirely
consensual.
[6]
The accounts by the complainant and the
appellant as to how the incident unfolded are dramatically different. The complainant
testified that the appellant led her into the basement side room and forced her
to have oral sex and sexual intercourse with him against her repeated and loud protests.
The appellant testified that the complainant invited him into the side room and
initiated sexual contact, at first oral sex at his request, followed by vaginal
intercourse at her request.
[7]
The trial judge rejected the appellant聮s version
of events, stating it was replete with contradictions, lies and improbable scenarios.
He did not believe the appellant聮s evidence that he had sex with the complainant
at her request and with her consent. Moreover, he was not left with a reasonable
doubt. On the basis of the evidence that he did accept, including the core of
the complainant聮s evidence concerning the sexual assault, he found the appellant
guilty beyond a reasonable doubt.
[8]
The appellant聮s appeal centres on the trial
judge聮s treatment and analysis of the trial evidence and his credibility assessments
in the context of the requisite analysis under
R. v. W. (D.)
, [1991] 1
S.C.R. 742. He says the trial judge made several reversible errors that warrant
a new trial.
[9]
For the reasons that follow, we do not agree that
the trial judge made the alleged errors and we would dismiss the appeal. We shall
deal with each of the appellant聮s issues in turn.
Analysis
(i)
Assessment of the complainant聮s evidence
[10]
First, the appellant says the trial judge failed
to reconcile material inconsistencies and deliberate falsehoods in the complainant聮s
evidence and incorrectly discounted them because of her age. He argues that the
trial judge erred in giving the complainant the same testimonial latitude afforded
to young children when considering her credibility, and that he failed to resolve
the important credibility and reliability concerns with her evidence.
[11]
We disagree.
[12]
The trial judge was aware of and specifically addressed
the major inconsistencies and contradictions in the complainant聮s evidence. He
noted that it was an 聯unusual case where there are a number of concerns with
both the evidence of the complainant and the [appellant]聰 and rhetorically
asked himself 聯what am I to do with the inconsistencies and contradictions
regarding the testimony of the complainant, A.Y.?聰
[13]
While listing the various discrepancies, the
trial judge concentrated on the following: the complainant聮s statement that she
suffered a vaginal tear from the assault when the medical evidence revealed no
physical injuries; the complainant聮s evidence that she was screaming throughout
the assault in a house full of people but no one came to her assistance; and her
initial false denials about having oral sex with the appellant and previously
having sexual contact with a friend of the appellant. The trial judge was not
required to address every inconsistency in the complainant聮s evidence but was
entitled, as he did, to focus on the ones that he expressly noted were the most
significant. Importantly, although he observed that 聯a deliberate falsehood
would be very telling against a complainant聮s testimony聰, he explained why, in
the light of all the evidence, he accepted the complainant聮s explanations for the
identified problems with her evidence, and why those issues did not cause him
to reject her account of the sexual assault.
[14]
The trial judge noted the inconsistency in the
evidence about being injured during the sexual assault. However, by the time of
the trial, it was no longer in dispute that the appellant had had sexual
intercourse with the complainant. After the appellant聮s DNA was discovered in
the complainant聮s vagina, the appellant admitted having sexual relations with
her but maintained they were consensual. While the presence of a physical
injury might indicate a lack of consent, the absence of an injury would not
have indicated consent. Placed in context, it is not surprising that the trial
judge was not troubled by the discrepancy relating to whether the nurse had
told the complainant she had a vaginal tear.
[15]
The trial judge also expressly considered the complainant聮s
evidence that she screamed for help and no one came to her assistance. He was not
satisfied that the people present would come to her aid, and he was not
prepared to assume without evidence that others in the home would have heard
her. We would also note that one of the appellant聮s friends did come to the
room. We see no reversible error in the trial judge聮s treatment of the
inconsistencies in the complainant聮s evidence.
[16]
Moreover, in addressing the frailties in the complainant聮s
testimony, the trial judge properly took into account that the complainant was
only 15 at the time of the sexual assault and 17 when she testified at trial. He
considered the Supreme Court聮s guidance for dealing with young witnesses in
R.
v. B. (G.),
[1990] 2 S.C.R. 30,
R. v. W. (R.)
, [1992] 2 S.C.R.
122,
and
R. v. Fran莽ois
, [1994] 2 S.C.R. 827. While age played
a role in his credibility and reliability analysis, the trial judge found that
the difficulties with the complainant聮s evidence were a function of her
shyness, immaturity, lack of education, strict religious upbringing in an
unsupportive family, and feelings of embarrassment, rather than her age alone. He
concluded that these issues did not fatally undermine the complainant聮s
evidence.
[17]
We do not accept the appellant聮s arguments that the
trial judge extended too much testimonial latitude to the complainant on account
of her immaturity, and that immaturity 聯is not analogous to a child聮s inability
to remember details and communicate with specificity聰. We see no error in the
trial judge聮s approach to the complainant聮s immaturity, which focused on when and
how she revealed material information rather than how she perceived the events
in question. For instance, while the complainant initially denied having oral
sex with the appellant, the trial judge found that her later admission of oral
sex was corroborated by the forensic evidence and by the appellant聮s own testimony.
The trial judge attributed her earlier falsehood to her immaturity and embarrassment,
leaving the core of her evidence intact.
[18]
These findings were open to the trial judge to
make on the record before him and reveal no reversible error. They were part
and parcel of his overall consideration and weighing of the evidence. It is worth
repeating the proposition, also mentioned by the trial judge, that a trier of fact
may accept some, all or none of a witness聮 evidence. Here, the trial judge accepted
the core of the complainant聮s evidence about the sexual assault. We see no
basis to interfere.
(ii)
Reliance on stereotypes
[19]
The appellant argues that the trial judge incorrectly
relied on stereotypes and assumptions about young women聮s behaviour in
assessing the complainant聮s evidence.
[20]
We do not read the trial judge聮s reasons in this
way.
[21]
The trial judge聮s reasons explain why he found
that the appellant聮s version of events was implausible in the particular
context of this case. Specifically, he found that the complainant was a young,
shy, immature girl. The basement side room reeked of urine, had no door, and
was immediately adjacent to the room where the appellant聮s friends were
drinking. It was in the context of these particular circumstances and his
assessment of the evidence as a whole that the trial judge found it implausible
that the events would occur as described by the appellant.
[22]
The trial judge did not reject the appellant聮s
account based on the sexual stereotype that no woman would initiate sexual contact
in the circumstances described, but because the appellant聮s account made no
sense in the specific context of the case. Having observed the witnesses, and
the complainant in particular, it did not ring true to the trial judge that this
particular complainant would demand sex in the manner described by the
appellant. He was not relying on pre-conceived views about how sexual assault victims
would behave but on how the complainant behaved.
[23]
The trial judge was entitled to make these
findings on the record before him. We see no basis for appellate intervention.
(iii)
Treatment of the appellant聮s post offence conduct
[24]
The appellant submits that the trial judge
erroneously analyzed his post鈥憃ffence conduct through the prohibited lens
of propensity reasoning. This conduct included the post-offence text he sent to
a friend saying: 聯Fuck all. I聽ditched that black girl聰 and 聯I almost knocked
her out聰. The appellant argues that the trial judge impermissibly used his 聯callous聰
behaviour following the incident, including abruptly leaving the house, stranding
the complainant without a cell phone and a ride home, and texting friends that
he had 聯ditched聰 the complainant, as evidence that the incident was non-consensual.
[25]
Again, we do not read the trial judge聮s reasons in
this way. The trial judge was entitled to consider the appellant聮s behaviour following
the incident as part of his credibility analysis of the evidence given by the
appellant and the complainant. He did not use the appellant聮s admitted behaviour
following the incident to conclude that the appellant was more likely to have sexually
assaulted the complainant because of his callous character. Rather, the trial
judge found that the appellant聮s poor treatment of the complainant following the
incident was more consistent with the complainant聮s evidence concerning the appellant聮s
treatment of her before and during the incident, and inconsistent with the
appellant聮s version of a spontaneous sexual encounter initiated by the complainant.
[26]
We see no error in the trial judge聮s treatment of
this evidence.
Disposition
[27]
Accordingly, the appeal is dismissed.
聯Paul
Rouleau J.A.聰
聯S.E.
Pepall J.A.聰
聯L.B.
Roberts J.A.聰
|
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.聽 These
sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual
integrity and that conduct would be an offence referred to in subparagraph (i)
if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C. 2014, c. 25,
s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings in respect of the offences
referred to in paragraph (1)(a) or (b), the presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽 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., 2021 ONCA 269
DATE: 20210429
DOCKET: C66425
Watt, Hoy and Nordheimer JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
J.L.
Appellant
Jeffery Couse, for the appellant
Caitlin Sharawy, for the respondent
Heard: March 24, 2021 by video conference
On appeal from the conviction entered on July 26, 2018 by
Justice Joseph A. De Filippis of the Ontario Court of Justice, with reasons
reported at 2018 ONCJ 513.
Hoy J.A.:
[1]
The appellant was convicted of sexual assault and sexual interference
with respect to his daughter, C.L., and sentenced to 18 months聮 imprisonment,
followed by 3 years聮 probation.
[2]
The abuse occurred while C.L. visited the appellant. C.L. was four years
old when she first disclosed the abuse and six years old at the time of trial.
The trial judge admitted three out-of-court statements made by C.L.: two under
the principled exception to the hearsay rule, and one under s. 715.1 of the
Criminal
Code
, R.S.C. 1985, c. C-46.
[3]
The appellant appeals his conviction, arguing that the trial judge erred
in admitting the three statements.
[4]
For the following reasons, I would dismiss the appeal.
Background
[5]
Prior to trial, C.L. disclosed the abuse on three separate occasions.
[6]
First, on April 7, 2016, while at a neighbour聮s house, she blurted out
before her mother and the neighbour, unprompted: 聯daddy ate my patoon聰 (聯the
first statement聰). The undisputed evidence was that in referring to 聯patoon聰,
C.L. meant vagina.
[7]
After this statement, C.L. was unwilling to participate in a police
interview without her mother, and the police investigation was suspended. The
police instructed C.L.聮s mother not to discuss the allegations with C.L.
[8]
Second, on November 23, 2016, at a play therapy session, in response to
a short film entitled 聯My Body Belongs to Me聰, in which a young boy describes
being inappropriately touched by his uncle, C.L. covered her vaginal areas and
stated: 聯Yuk, my dad did that to me.聰 She then described the abuse. Using a
baby doll, she acted out three different sexual positions: (1) laying on top of
the appellant, licking his penis; (2) laying on her side while the appellant
licked her vagina; and (3) laying on her back, while the appellant opened her
legs and licked her vagina. She made licking noises during this re-enactment.
She said this occurred 聯at dad聮s house in dad聮s bed聰. C.L.聮s words and gestures
were recorded by the social worker, who testified at trial.
[9]
Following this second statement, the police re-opened their
investigation.
[10]
On
January 18, 2017, during a videotaped interview by a police officer, C.L. made
the third statement: 聯my daddy licked my private parts聰 and 聯ate it聰. She said
it happened in his bed, he used his tongue, and it felt 聯ticklish聰.
[11]
At
trial, C.L. testified by video link, from a room adjacent to the courtroom.
While she was made available for cross-examination 聴 first by video link and
then, at her request, in the courtroom 聴 C.L. did not want to answer questions
about the allegations.
The video-recorded statement
[12]
The statement
to police that was recorded on video was admitted under s. 715.1 of the
Criminal
Code
. Section 715.1 of the
Code
permits a video recording of a victim
or other witness to be admitted if the Crown establishes on a balance of
probabilities that: (1) the victim or witness was under the age of 18 at the
time of the offence; (2) the statement was made within a 聯reasonable time聰
after the alleged offence; (3) the victim or witness describes the acts
complained of in the statement; and (4) the victim 聽or witness, while
testifying, 聯adopts聰 the contents of the statement:
R. v. P.S.
, 2019 ONCA
637, at para. 12.
[13]
The
appellant argues that the trial judge erred in finding that the video recording
was made within a reasonable time after the alleged offence and that the
complainant had adopted its contents while testifying.
[14]
In
particular, the appellant argues that the nine-month delay between the first
statement and the video recording was unreasonable because: (1) the police
could have, but did not, make further efforts to obtain a statement from C.L.
after their first attempt to interview her was unsuccessful; and (2) having
regard to the evidence that C.L.聮s mother did not follow police instructions to
refrain from speaking to C.L. about the allegations, C.L. may have been
influenced by her mother prior to the video recording, tainting the accuracy of
that statement.
[15]
The
appellant also argues that C.L.聮s responses at trial about whether she recalled
giving the video-recorded statement were equivocal.
[16]
I
reject these arguments.
[17]
The
trial judge noted that in considering the requirement that the video recording have
been made within a reasonable time after the alleged offence, the court must
balance a number of factors, the most important being the reasons for the delay
and impact on the child聮s ability to accurately recall the events in issue:
R.
v. P.S.
, (2000), 144 C.C.C. (3d) 120 (Ont. C.A.), at para. 71.
[18]
Having
regard to the circumstances and C.L.聮s tender age, the trial judge was
satisfied that the statement was made within a reasonable time.
[19]
His
reasons describe a young child who was scared and uncomfortable talking about
the abuse. It took time, and therapy, for her to be able to do so. It was not
until the ninth therapy session, after watching a short movie where a young boy
talked about good and bad touches and about how he felt on a bad touch by his
uncle, that C.L. opened up and made her second statement to the social worker.
The police decision to suspend the investigation at the time they did was not
unreasonable.
[20]
In concluding
that the video recording was made within a reasonable time, the trial judge
also specifically considered, and addressed in his reasons, the appellant聮s
argument that C.L. may have been influenced by her mother. He noted that 聯It is
likely that [C.L.聮s] mother influenced her decision to speak to the police but
the video record suggests most of the words spoken are her own and that she is
able to recall events.聰 He concluded that the concern about C.L.聮s mother聮s
influence on C.L. could be addressed in determining ultimate reliability. There
is no basis to interfere with that conclusion.
[21]
Further,
the trial judge found that while C.L. was reluctant to watch the video record
or talk about the allegations, with some prodding she 聯eventually acknowledged
聯making the movie聰 and adopted it.聰 It was not a case of C.L. not recalling the
statement; 聯rather, she did not wish to be exposed to it, or discuss it.聰
[22]
The
trial judge also noted that certain statements made by C.L. in her trial
testimony supported the inference that she had listened to the video and did recall
her prior allegations. In particular, during the video-recorded interview, in
recounting that the appellant had licked and eaten her patoon, she described
the appellant as having made a circling motion with his body. At trial, when
asked if she had told the officer the truth during the interview, she agreed
and stated, 聯I couldn聮t do the really lay down circle thing that the 聳 I didn聮t
really do the circle thing right聰 and laid down on the floor.
[23]
There
is no basis to interfere with the trial judge聮s conclusion that C.L. adopted
her video-recorded statement.
The first two statements
A framework
[24]
The
first two statements were admitted under the principled exception to the
hearsay rule. Under that exception, an out of court statement may be admitted
for the truth of its contents if the party tendering it demonstrates, on a
balance of probabilities, that the statement satisfies the criteria of
聯necessity聰 and 聯threshold reliability聰:
R. v. Khelawon
, 2006 SCC 57,
[2006] 2 S.C.R. 787, at para. 47;
R. v. Bradshaw
, 2017 SCC 35, [2017]
1 S.C.R. 865, at para. 23. Even if the trial judge concludes that those
criteria are satisfied, she has the discretion to exclude it if the prejudicial
effect outweighs its probative value:
Khelawon
, at para. 49;
Bradshaw
,
at para. 24.
[25]
As
the trial judge noted, 聯threshold reliability聰 can be established either by
showing that there are adequate substitutes for the traditional safeguards for
testing the truth and accuracy of the hearsay evidence (procedural reliability)
or that there are sufficient circumstantial or evidentiary guarantees that the
statement is inherently trustworthy (substantive reliability):
Khelawon
,
at paras. 61-63;
Bradshaw
, at paras. 27-28, 30-31.
[26]
The
statement must be sufficiently reliable to overcome the dangers arising from
the difficulty in testing it:
Khelawon
, at para. 49;
Bradshaw
,
at paras. 26, 32. As
Bradshaw
explains, 聯聟[s]ubstantive reliability is
concerned with whether the circumstances and any corroborative evidence provide
a rational basis to reject alternative explanations for the statement, other
than the declarant聮s truthfulness or accuracy聰: at para. 40. Thus, the trial
judge must identify alternative, even speculative, explanations for the hearsay
statement and, based on the circumstances and evidence led on
voir dire
,
must be able to rule out any plausible explanation on a balance of
probabilities:
Bradshaw
, at paras. 48, 49. The circumstances in which
the statement was made and corroborative evidence, if any, must substantially
negate the possibility that the declarant was untruthful:
Bradshaw
,
at paras. 31, 90.
The trial judge聮s reasons
[27]
Following
the
voir dire
with respect to the admissibility of the three
statements, the trial judge ruled that they were admissible, for reasons to
follow. The trial judge provided those reasons at the beginning of his reasons
for judgment.
[28]
Citing
R. v. F. (W.J.)
(1999), 138 C.C.C. (3d) 1 (S.C.C.), the trial judge
noted that the requirement is that the evidence in question be 聯reasonably
necessary聰 to prove a fact in issue and includes situations in which the
witness is unable or unwilling to provide an accurate and frank recital of
events. The trial judge concluded that the first two statements were reasonably
necessary: 聯This is a six year old child who does not want to discuss the
things she previously said her daddy did to her.聰
[29]
The
trial judge found that procedural substitutes were not present in this case.
His finding that the first two statements satisfied the criteria of 聯threshold
reliability聰 was grounded in his conclusion that they were substantively
reliable.
[30]
The
trial judge found that the first statement was 聯short, simple, and spontaneous聰
and was heard by a neighbour, in addition to the mother. The brevity of the
statement alleviated concerns that it might have been improperly heard by the
witnesses and conveyed to the court.
[31]
In
the case of the second statement, the trial judge was satisfied as to the
truthfulness and accuracy of the social worker聮s testimony. Considering the
direction in
Bradshaw
that, in assessing substantive reliability,
trial judges consider alternative, even speculative explanations for the
hearsay statements, the trial judge addressed the appellant聮s suggestion that
others were to blame for exposing the complainant to pornography or abusing
her: 聯This speculation does not trouble me given the level of sexually explicit
details given by such a young girl in the strikingly similar play therapy
hearsay and video statement.聰
The appellant聮s submissions
[32]
The
appellant argues that neither of the first two statements satisfied the
criteria of 聯necessity聰 and 聯threshold reliability聰.
[33]
Citing
R. v. Rhayel
, 2015 ONCA 377, 324 C.C.C. (3d) 362, at para. 73, he
argues that neither of the first two statements satisfied the 聯necessity聰
criterion because they were repetitious of the video recording admitted under
s. 715.1 of the
Code
.
[34]
As
to substantive reliability, the appellant argues that in assessing the first
statement, the trial judge did not address C.L.聮s statement, made at the same
time as her first statement, that the appellant had 聯punched me in the face.聰
C.L.聮s mother had never noticed signs of C.L. having been punched in the face.
This, the appellant argues, undermined the credibility and reliability of
C.L.聮s first statement.
[35]
Nor,
he argues, did the trial judge address the alternative explanation the
appellant offered for both the first and second statements in assessing the
substantive reliability of the first statement, namely that C.L. might have
been abused or exposed to pornography by others.
[36]
Further,
as to the threshold reliability of the second statement, the appellant argues
that the trial judge failed to consider that, between the first statement and
the second statement, C.L.聮s mother had disregarded police instructions to
refrain from discussing the allegations with C.L. Citing
R. v. D.R.
,
[1996] 2 S.C.R. 291, the appellant argues that C.L.聮s statement did not satisfy
the requirement of threshold reliability because it was equally consistent with
the hypothesis that her mother had influenced her to make the allegations.
[37]
Finally,
the appellant argues that the trial judge improperly relied on the video recording
to reject an alternative explanation for, and to corroborate, the second
statement, offending the rationale of the rule that prior consistent statements
are presumptively inadmissible.
Analysis
[38]
I
reject these arguments.
(1)
The 聯necessity"
requirement
[39]
Turning
first to the appellant聮s argument that neither the first nor the second
statement satisfied the 聯necessity聰 requirement, there is no 聯bright line rule
that enjoins all cumulative hearsay聰:
R. v. Mohamad
, 2018 ONCA 966,
369 C.C.C. (3d) 211, at para. 123. Defence counsel at trial did not challenge
聯necessity聰 on the basis of cumulative hearsay, but, in any event, this case is
different from
Rhayel
.
[40]
In
Rhayel
,
the court held that the complainant聮s video-recorded statement was not admissible
under the principled exception to the hearsay rule because it was not
necessary: the evidence was already before the court through the complainant聮s
testimony at the preliminary inquiry. Epstein J.A., writing for the court,
explained that evidence which is merely repetitious of statements already
admitted may have little or no probative value, and the prejudice to the
accused resulting from its admission may be great:
Rhayel
, at para. 73.
The risk of prejudice is recognized in the rule that renders prior consistent
statements generally inadmissible. Epstein J.A. noted that, on a number of
occasions, the trial judge had commented on how very similar the accounts of
the complainant were.
[41]
In
this case, the first and second statements had probative value in and of
themselves because of the circumstances in which they were made. The
complainant聮s statements that 聯daddy ate my patoon聰 and 聯yuk, my dad did that
to me聰 and her gestures during play therapy describing the sexual acts were
spontaneous and unprompted. It is their spontaneity that gives them their
probative value. The complainant聮s testimony at the preliminary inquiry in
Rhayel
was not spontaneous.
[42]
Moreover,
there was more detail given in the statements made and gestures shown to and
recounted by the social worker than in the video recording. They were not
merely repetitious of the video recording.
(2)
Substantive
reliability
[43]
I turn next to the issues that the appellant raises with respect to the
substantive reliability of the first statement
. The appellant correctly
notes that the trial judge did not address C.L.聮s statement, made at the same
time as her first statement, that the appellant had 聯punched me in the face.聰
This is not surprising: the appellant does not dispute that defence counsel at
trial did not refer to the 聯punched me in the face聰 statement in his oral or
written submissions. Moreover, the statement of a four-year old, in the context
of a sexual encounter, that she had been 聯punched聰 in the face does not
necessarily mean she was hit with such force as to leave a visible mark.
[44]
As
to the appellant聮s alternative explanation for the first statement, in a phone
call with the complainant聮s mother (which the mother聮s friend listened to), the
appellant pointed the finger at the mother聮s father and brothers and the
babysitter. But the mother testified that: neither of her brothers had access
to C.L. outside of the mother聮s supervision; she does not have a babysitter;
and she has not seen her father in years. And C.L. never wavered on the fact
that it was 聯daddy聰 who ate her patoon.
[45]
In assessing the threshold reliability of the second statement, the
trial judge specifically considered and ruled out the appellant聮s speculative
explanation for the statement. The appellant does not challenge the Crown聮s
explanation that the appellant聮s trial counsel did not advance a similar
argument with respect to the first statement and it is therefore not surprising
that the trial judge聮s analysis focuses only on the second statement. As noted
above, the trial judge聮s reasons for admitting the three statements at issue
formed part of his judgment finding the appellant guilty of sexual assault and
sexual interference. In rejecting the appellant聮s testimony and finding that it
did not leave him with a reasonable doubt, the trial judge again addressed the
appellant聮s alternative explanation, and concluded that it was 聯nothing more
than an attempt to deflect attention from himself.聰
[46]
Reading the trial judge聮s reasons as a whole, it is clear he concluded
that the appellant聮s speculative explanation was not plausible and ruled it
out. The fact that the trial judge did not specifically address the appellant聮s
speculative explanation in the portion of his reasons addressing why the first
statement satisfied the requirement of threshold reliability is not a basis for
this court to interfere.
[47]
Turning to the second statement, the trial judge specifically considered
the risk that the mother had influenced C.L. in assessing whether the delay
before the making of the video recording was reasonable. This, the Crown
advises, is the primary context in which the appellant聮s trial counsel made
this argument and it is therefore not surprising that this is where the trial
judge addressed it. As noted above, the trial judge found that the video record
suggests most of the words spoken were C.L.聮s own and concluded that the
concern about the mother聮s influence on C.L. could be addressed in determining
ultimate reliability. It cannot be said that the trial judge failed to
聯consider聰 the risk that the mother influenced C.L. in assessing threshold
reliability.
[48]
Moreover,
in his reasons for judgment, the trial judge again specifically addressed the
possibility that the mother had influenced C.L. by questioning her about the
allegations. In his view, the circumstances in which the first two statements
were made 聯undermine[d] the assertion the complainant聮s trial testimony was
tainted by external influences.聰
[49]
Finally,
the appellant聮s argument that the trial judge improperly relied on the video recording
to reject an alternative explanation for, and to corroborate, the second
statement arises out of the passage in the trial judge聮s reasons explaining why
he rejected the appellant聮s speculative explanation for C.L.聮s second hearsay
statement: 聯This speculation does not trouble me
given
the level of sexually explicit details given by such a young girl
in the
strikingly similar play therapy hearsay and video statement聰 (emphasis added).
[50]
Contrary
to the appellant聮s argument, the trial judge did not use the fact that there
were similarities between the video recording and the second statement to
conclude that the second statement was more likely to be true. Rather, it was
the graphic detail in her accounts 聴 聯the level of sexually explicit details聰 聴
that caused him to reject the appellant聮s speculative explanation for C.L.聮s
second statement. The trial judge聮s careful analysis of why, in the
circumstances, both the first and the second statements were admissible
demonstrates that he was aware that prior consistent statements are generally
inadmissible.
Disposition
[51]
For
these reasons, I would dismiss the appeal.
Released: April 29, 2021 聯D.W.聰
聯Alexandra Hoy J.A.聰
聯I agree. David Watt J.A.聰
聯I agree. I.V.B.
Nordheimer J.A.聰
|
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.聽 These sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the following
offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings in respect of
the offences referred to in paragraph (1)(a) or (b), the presiding judge or
justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽 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., 2021 ONCA 227
DATE: 聽20210408
DOCKET: (M52320) C68627
Hoy
J.A. (Motion Judge)
BETWEEN
Her
Majesty the Queen
Respondent
(Responding
Party)
and
J. M.
Applicant
(Moving
Party)
Jessica Zita, for the applicant
Bradley Reitz, for the respondent
Heard: April 8, 2021 by video conference
ENDORSEMENT
[1]
Following a nine-day trial by jury, the applicant was convicted of
sexual assault and sentenced to 18 months聮 custody. He was a first offender and
is on bail, pending appeal.
[2]
Legal Aid Ontario refused his application for legal aid coverage for an
appeal on the basis that his appeal did not have sufficient merit to justify
giving him a legal aid certificate. Its refusal of coverage was upheld on
appeal to the Provincial Office.
[3]
The applicant now seeks an order pursuant to s. 684 of the
Criminal Code
, appointing legal counsel Jessica Zita to
assist him on his appeal. The Crown opposes.
[4]
Section 684(1) provides that a judge of this court may assign counsel to
act on behalf of an accused where, in the opinion of the judge, it appears
desirable in the interests of justice that the accused should have legal
assistance and where it appears that the accused has not sufficient means to
obtain that assistance. An order for government-funded counsel is exceptional
relief:
R. v. Staples
, 2016 ONCA 362, 352 O.A.C. 392, at para. 40,
reconsideration allowed,
R. v. Staples
, 2017 ONCA 138.
[5]
The Crown does not contest, and the applicant has satisfied me, that he
does not have sufficient means to obtain legal assistance. He has child support
obligations and has lost his minimum wage employment because of the COVID-19
pandemic.
[6]
However, I am not persuaded that it is in the interests of justice that
I order legal assistance. On the applicant聮s behalf, Ms. Zita takes issue with
several aspects of the jury charge. The Crown characterizes the applicant聮s
grounds of appeal as devoid of merit. I would not go that far. But I am of the
view that the issues on appeal are relatively straight forward and of a nature
that can be fairly and properly dealt with by this court on an inmate appeal. I
conclude this notwithstanding the applicant聮s evidence that he suffered from a
learning disability and, at age 30, still experiences challenges with reading
comprehension and communication. In the opinion letter provided to Legal Aid
Ontario and in her appeal of Legal Aid Ontario聮s refusal to issue a
certificate, Ms. Zita provides a careful roadmap of the arguments that she
would make on appeal regarding the charge to the jury.
[7]
Accordingly, this application is dismissed.
聯Alexandra
Hoy J.A.聰
|
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.聽 These sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the following
offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED:
S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings in respect of
the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice
shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽 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., 2021 ONCA 150
DATE: 20210311
DOCKET: C65287
Pepall, van Rensburg and Brown
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
J.M.
Appellant
Mark Halfyard, for the appellant
Rebecca Schwartz, for the respondent
Heard: October 22, 2020 by video conference
On appeal from the conviction entered on
January 12, 2018 by Justice David E. Harris of the Superior Court of Justice, with
reasons reported at 2018 ONSC 344.
BROWN J.A.:
I.聽聽聽聽聽聽聽 OVERVIEW
[1]
The appellant, J.M, appeals his conviction on a
single count of sexual assault, for which he received a custodial sentence of
three and a half years.
[2]
The main issue on this appeal concerns the trial
judge聮s use of judicial notice, including his personal experience as counsel,
as part of his credibility assessment of the complainant.
[3]
For the reasons set out below, I conclude that,
in making findings that were central to his assessment of the credibility of
the complainant, the trial judge erred by exceeding the bounds of judicial
notice, including the proper limits of drawing on previous personal experience
as counsel. As a consequence, his credibility findings were materially infected
by those improper considerations. Given those errors on the key issue at the
trial, I would allow the appeal, set aside the conviction, and direct a new
trial.
II.聽聽聽聽聽聽 BACKGROUND
[4]
The single count against the appellant
encompassed two separate incidents that took place in November and December
2014.
[5]
The complainant and the appellant were second
cousins. At the time of the incidents the complainant was 16 years old; the
appellant was 20 years old.
[6]
The complainant alleged that in November 2014
she went out with the appellant for bubble tea. He drove her to a parking lot
next to a small building and asked her to get into the back seat. She did so,
and he followed. According to the complainant, without warning and without
saying anything, the appellant then raped her. The complainant testified that
she resisted and screamed throughout.
[7]
The December 2014 incident took place at the
complainant聮s house. According to the complainant, the appellant came over to her
house and watched TV for a while with the complainant, her father, and some of
her siblings. The complainant and appellant left and went into another room,
where the appellant groped her. They then went upstairs to her bedroom, where
he assaulted her by trying to have sexual intercourse. He was unsuccessful. The
complainant testified that she was passive during the assault and the appellant
had put a blanket in her mouth to muffle any screams.
[8]
The appellant testified. He denied that either
incident occurred. He acknowledged that he had been sexually intimate with the
complainant on three occasions 聳 two involving oral sex and one attempted
intercourse 聳 but on each occasion the sexual activity was consensual.
[9]
Entered into evidence was the thread of a
Snapchat conversation between the appellant and complainant in April 2015,
around the time that she disclosed the incidents. It was alleged that during
the course of the exchange the appellant wrote: 聯Did you get prego?聰 The trial
judge held that statement was made by the appellant and constituted an implicit
admission of sexual intercourse with the complainant: at para. 102.
[10]
The trial judge rejected the appellant聮s denial
of the incidents, concluded that it did not raise a reasonable doubt, and
accepted the complainant聮s evidence as credible and confirmed by the Snapchat
conversation: at paras. 114-116. The trial judge found the appellant guilty on
the single count of sexual assault contrary to s. 271 of the
Criminal Code
,
R.S.C. 1985, c. C-46.
III.聽聽聽聽聽 TRIAL JUDGE聮S REASONS
[11]
Later in these reasons I will review in detail
the specific portions of the trial judge聮s reasons that relate to the
appellant聮s grounds of appeal. For the present, an overview of the reasons will
suffice.
[12]
At trial, the Crown called five witnesses: the
complainant; a friend of the complainant and one of her teachers on the issue
of the timing of the complainant聮s disclosure of the incidents; the
complainant聮s father; and a police constable who testified about chat data
extracted from the complainant聮s cellphone. The appellant testified in his
defence. No expert evidence was led by either party.
[13]
The trial judge started his reasons with some
reflections on how to apply the principle in
R. v. W. (D.)
, [1991] 1
S.C.R. 742. He then turned to the evidence, beginning his review and analysis
with the complainant聮s evidence. He regarded the trial as turning 聯principally
on credibility, not reliability聰: at para. 45.
[14]
In the course of dealing with defence arguments
regarding the credibility of the complainant聮s evidence about the December
incident in her bedroom, the trial judge examined a key submission of the
appellant. The defence argued that it was implausible the complainant would not
distance herself from her abuser after the rape in the car. The defence聮s argument
was part of a broader submission encompassing both incidents of sexual assault.
The defence contended that the complainant could have, but did not,
disassociate herself from the appellant and this weighed against her credibility:
at paras. 54-55.
[15]
The trial judge considered the defence聮s
submission but rejected it. His explanation for doing so contained several
parts.
[16]
First, he considered the judgment of the Court
of Appeal of Alberta in
R. v. A.R.D.
2017 ABCA 237, 55 Alta. L.R. (6th)
213 (聯
A.R.J.D. (AB)
聰), which was subsequently affirmed on appeal to
the Supreme Court of Canada:
R. v. A.R.J.D.
, 2018 SCC 6, [2018] 1
S.C.R. 218 (聯
A.R.J.D. (SCC)
聰). The majority of the Court of Appeal of
Alberta held that evidence of a lack of avoidant behaviour by a complainant can
tell a trier of fact nothing about a sexual assault allegation:
A.R.J.D.
(AB),
at para. 39.
[17]
The trial judge wrote that he would 聯fine tune聰
the comments of the Court of Appeal of Alberta in two respects. First, drawing
on his experience as counsel on cases before this court, he stated that
instances in which a complainant fails to distance her or himself 聯from the
abuser are not unusual聰: at para. 59.
[18]
Second, the trial judge disagreed with one
aspect of
A.R.J.D. (AB)
. To the extent that the majority of the Court
of Appeal of Alberta was proposing a 聯rigid rule of irrelevancy聰 for evidence
of after-the-event association of the complainant with the accused, he did not
think such a proposition was correct: 聯There can be no blanket rule: each case
must be looked at on its own footing聰: at para. 66. He went on to state, at
para. 68:
The important point is that the question about
association has to be asked; the judge must be alive and open to the psychology,
but there is no prescribed answer. A very careful examination of the evidence
is required.
[19]
On appeal, the Crown describes the trial judge聮s
reasoning on this point as 聯sound聰. Although open to a different
interpretation, the trial judge聮s position appears to be consistent with the
subsequent, very brief endorsement by the Supreme Court in
A.R.J.D. (SCC)
,
in which it stated, at para. 2:
We would dismiss, substantially for the
reasons of the majority of the Court of Appeal. In considering the lack of
evidence of the complainant聮s avoidance of the appellant, the trial judge
committed the very error he had earlier in his reasons instructed himself
against: he judged the complainant聮s credibility
based
solely on
the correspondence between her behaviour and the expected
behaviour of the stereotypical victim of sexual assault. This constituted an
error of law.
[1]
[Emphasis added.]
[20]
The trial judge next reviewed the complainant聮s
evidence about her association with the appellant. He prefaced his review with
his conclusion that he did not believe her continued association with the
appellant indicated that the assaults did not happen nor did it detract from
her credibility: at para. 69. He charged himself that he had 聯to look carefully
at her psychology and the situation she found herself in聰: at para. 70. While
聯much of the complainant聮s behaviour may have been irrational聰, on 聯a full
understanding, it makes perfect sense psychologically and emotionally聰: at
para. 73.
[21]
As part of his consideration of the
complainant聮s testimony regarding her helplessness and paralysis during the
December bedroom incident, the trial judge drew an analogy with the psychology
of battered woman syndrome described by the Supreme Court decision in
R. v.
Lavallee
, [1990] 1 S.C.R. 852. The trial judge found that the
complainant聮s emotional state displayed 聯more than a few parallels with the
psychology of battered wife syndrome聰: at para. 80.
[22]
After commenting on the
Lavallee
decision, the trial judge stated that the complainant聮s passivity at the time
of the attempted rape in her bedroom was also explained by social science
research described in a recent article published in the Scientific American
magazine. The parties had not placed this article before the court.
[23]
At para. 84, the trial judge expressed the
following conclusion about the evidence of the complainant聮s continued
association with the appellant:
In conclusion, the evidence of after-the-fact
association with the accused does not detract from the complainant聮s
credibility. It is true that it does not enhance her credibility either. The
evidence is neutral towards proof of guilt. However, as Crown counsel pointed
out, the complainant聮s credibility was at least to some extent reinforced by
her candor recounting her passivity during the second incident. On its face,
this passivity might appear to undercut her credibility. Giving this evidence
is some credit to the complainant聮s truthfulness.
[24]
The trial judge proceeded to consider and reject
the appellant聮s evidence that he had consensual sexual contact with the
complainant on three occasions: at paras. 86-91. He then reviewed the Snapchat
conversation between the complainant and the appellant in April 2015,
concluding that part of the exchange constituted an implicit admission by the
appellant of sexual intercourse with the complainant with penetration and
ejaculation: at paras. 102 and 106. In his view, that confirmation by implicit
admission was powerful support for the complainant聮s version of events: at
para. 109. The words of the appellant, which amounted to an admission, were of
significant weight: at para. 115.
[25]
The trial judge rejected the appellant聮s
evidence on several points, including his denial of the complainant聮s two
accusations. He concluded that the complainant聮s evidence was credible,
confirmed, and she was telling the truth with respect to the allegations: at
paras. 115-116. He was convinced of the appellant聮s guilt beyond a reasonable
doubt.
IV.聽聽聽聽 ISSUES ON APPEAL
[26]
The appellant submits that the appeal puts in
issue how far a trial judge can go in drawing on judicial notice, including his
prior experience as counsel in assessing issues in dispute. The appellant
raises three grounds of appeal:
(i)
The trial judge misapplied the decision in
A.R.J.D.
(AB)
in finding that the complainant聮s post-offence association with the appellant
did not impact her credibility by relying on his own anecdotal experience as
defence counsel;
(ii)
The trial judge erred in drawing parallels
between the complainant聮s emotional state and the psychology of battered woman syndrome
in rejecting the defence submission that she willingly engaged in one of the
sexual acts; and,
(iii)
In respect of the question posed by the
appellant during the Snapchat conversation, 聯Did you get prego?聰, the trial
judge improperly took judicial notice that a 聯pregnancy scare聰 could only arise
if the appellant had sex with the complainant and ejaculated.
[27]
In my view, the appeal can be disposed of by
considering only the first two grounds of appeal. My analysis will proceed in
the following manner. First, I will consider the general principles regarding
the use of judicial notice to prove facts, including a judge drawing on his
personal experience as counsel. Next, I will apply those principles to the use
the trial judge made of judicial notice. I conclude that the trial judge erred
in his use of judicial notice. Finally, I will consider whether that error had
any material impact on his findings regarding the complainant聮s credibility.
V.聽聽聽聽聽 GENERAL PRINCIPLES REGARDING JUDICIAL
NOTICE
[28]
Canadian law has adopted several rules
concerning the admissibility of evidence and the use of proven facts when
assessing the credibility of a complainant in a sexual assault prosecution. For
example: rules relating to evidence of recent complaint have been abrogated (
Criminal
Code
, s. 275); a complainant聮s delay in disclosure, standing alone, can
never give rise to an adverse inference against his or her credibility as there
is no inviolable rule on how those who are the victims of trauma like a sexual
assault will behave (
R. v. D. (D)
, 2000 SCC 43, [2000] 2 S.C.R. 275,
at para. 65); evidence of sexual reputation is not admissible for the purpose
of challenging or supporting the credibility of a complainant (
Criminal
Code
, s. 277); and evidence that a complainant has engaged in sexual
activity is not admissible to support an inference that, by reason of the
sexual nature of that activity, the complainant is more likely to have
consented to the sexual activity that forms the subject-matter of the charge or
is less worthy of belief (
Criminal Code
, s. 276(1)).
[29]
However, the use of judicial notice to dispense
with the proof of facts in a sexual assault prosecution is not subject to any
distinctive rules. The general principles regarding judicial notice apply.
[30]
Those principles are well settled, although
their application can prove challenging on occasion as the limits of judicial
notice are inexact: S. Casey Hill, David M. Tanovich & Louis P. Strezos,
McWilliams聮
Canadian Criminal Evidence,
5th ed. (Toronto: Thomson Reuters, 2019) (聯McWilliams聰),
at 搂26.10. The principles have both substantive and procedural dimensions.
The substantive dimension
[31]
The basic principles regarding the substantive
dimension of judicial notice can be summarized as follows:
(i)
Judicial notice is the only exception to the
general rule that cases must be decided on the evidence presented by the
parties in open court: David M. Paciocco, Palma Paciocco & Lee Stuesser,
The
Law of Evidence,
8th ed. (Toronto: Irwin Law, 2020) (聯Paciocco聰), at p. 573;
(ii)
Judicial notice involves the acceptance of a
fact or state of affairs without proof:
R. v. Williams
, [1998] 1 S.C.R.
1128, at para. 54; Sidney N. Lederman, Alan W. Bryant & Michelle K. Fuerst,
Sopinka, Lederman & Bryant
:
The Law of Evidence in Canada,
5th
ed. (Toronto: LexisNexis Canada, 2018) (聯Sopinka聰) at 搂19.16;
(iii)
Facts judicially noticed are not proved by evidence
under oath; nor are they tested by cross-examination:
R. v. Find
, 2001
SCC 32, [2001] 1 S.C.R. 863, at para. 48;
(iv)
Since judicial notice dispenses with the need
for proof of facts, the threshold for judicial notice is strict:
Find
,
at para. 48; and
(v)
Judicial notice applies to two kinds of facts: (a)
those that are so notorious or 聯accepted聰, either generally or within a
particular community, as not to be the subject of dispute among reasonable
persons (
R. v. Mabior
, 2012 SCC 47, [2012] 2 S.C.R. 584, at para. 71;
Reference
Re Alberta Statutes,
[1938] S.C.R. 100, at p. 128; Sopinka, at 搂19.18);
and (b) those that are capable of immediate and accurate demonstration by
resorting to readily accessible sources of indisputable accuracy (
Quebec (Attorney
General) v. A.
, 2013 SCC 5, [2013] 1 S.C.R. 61, at para. 238; Sopinka, at
搂19.16). The sources may include both large bodies of scientific literature and
jurisprudence:
R. v. Paszczenko
, 2010 ONCA 615, 103 O.R. (3d) 424, at
paras. 65-66.
[32]
However, as the editors of McWilliams helpfully
point out, at 搂26.10, the jurisprudence discloses that the issue is somewhat more
nuanced as the expression 聯judicial notice聰 captures several different forms of
judicial notice:
(i)
Tacit or informal judicial notice, which
involves the trier of fact drawing on common experience, common sense or common
knowledge to interpret and understand the formal evidence presented at trial;
[2]
(ii)
Express judicial notice, which concerns the
notice of specific facts of the notorious and indisputable variety; and
(iii)
Contextual judicial notice that strives, at a
generalized level, to provide context, background or a frame of reference to
assist the trier of a fact in making case-specific findings of fact: See, for
example,
Quebec (Attorney General)
, at para. 239;
R. v. Le
,
2019 SCC 34, 375 C.C.C. (3d) 431, at paras. 83-88. To this category of 聯social
framework facts聰 others would add 聯legislative facts聰, which do not so much
involve taking notice of specific facts but concern the consideration of policy
factors or facts relevant to judicial reasoning when the judge embarks upon the
path of making or changing the law: Paciocco, at pp. 574 and 578. Whatever may
be the breadth of proper judicial notice in this category, a court must refrain
from taking judicial notice of social phenomena unless they are not the subject
of reasonable dispute for the particular purpose for which they are to be used:
Quebec (Attorney General)
, at para. 239.
[33]
The current paradigm that judges must use to
determine whether they may take judicial notice locates facts along a spectrum
that runs from those that are central to or dispositive of an issue, at one
end, to those that 聯merely paint the background to a specific issue:聰
Le
,
at para. 85. The closer the facts lie to the dispositive end of the spectrum,
the more pressing it is to meet the two criteria of notoriety or immediate
demonstrability:
Le
, at para. 85;
R. v. Spence
, 2005 SCC 71,
[2005] 3 S.C.R. 458, at para. 60; Paciocco, at p. 577.
[3]
[34]
The first category of judicial notice cases 聳
those in which judges employ tacit judicial knowledge 聳 contains an internal
tension. Canadian law recognizes that judges will have been shaped by, and have
gained insight from, their different experiences and cannot be expected to
divorce themselves from these experiences on the occasion of their appointment
to the bench:
R. v. S. (R.D.)
, [1997] 3 S.C.R. 484, at para. 38.
Judges who decide factual matters necessarily are conversant 聯with a library of
facts or information acquired through experience, education, reading, etc.聰: McWilliams,
at 搂26:20.10. However, this fund of general knowledge is different from
reliance on personal knowledge in a particular case:
Sopinka, at 搂19.47;
McWilliams, at 搂26:20.10. 聽While it may prove difficult in some cases to know where
to draw the dividing line, the general view is that unless the criteria of
notoriety or immediate demonstrability are present, a judge cannot take judicial
notice of a fact within his or her personal knowledge, even if it has been
proved before the judge in a previous case:
Sopinka, at 搂19.46.
[35]
Finally, matters of which judicial notice may be
taken and those that require expert evidence are not compatible. Matters that
are the proper subject of expert evidence are, by definition, neither notorious
nor capable of immediate and accurate demonstration: McWilliams, at 搂26:10; Paciocco,
at p. 579.
The procedural dimension
[36]
The issue of judicial notice most often arises
when a party requests the trier of fact to take judicial notice of a fact.
Other parties then may support or oppose the request. The adversarial process
ensures a transparent consideration of the request.
[37]
More problematic are the occasions on which
judges take judicial notice without the benefit of submissions from the
parties. Such conduct by a judge lacks transparency, thereby risking the
perception of the fairness of the hearing. It also risks crossing the boundary
separating the notorious and readily demonstrable from the disputed and controversial,
again risking the perception of procedural fairness. As put by the authors of
Sopinka: 聯Judges should not conduct their own research and come to the
conclusion that facts are notorious, for, there is no opportunity for the
parties to respond:聰 at 搂19.61.
[38]
Where a judge, on his or her own initiative, wishes
to take judicial notice of a fact or state of affairs that bears on a key issue
in a proceeding, the adversarial process requires that the court ensure that
the parties are given an opportunity to deal with the new information by making
further submissions, oral or written, and allowing, if requested, fresh
material in response: Paciocco, at p. 582.
VI.聽聽聽聽 FIRST GROUND OF APPEAL: THE TRIAL JUDGE聮S USE
OF HIS PERSONAL EXPERIENCE AS COUNSEL
The issue stated
[39]
Crown counsel聮s closing submissions spanned two
days. At the end of the first day, Crown counsel argued that the defence
submission that the complainant聮s continued association with the appellant
after the first alleged assault weighed against her credibility was a 聯very
standard rape myth.聰 At that point, Crown counsel handed up the decision in
A.R.J.D.
(AB)
and took the trial judge through several passages.
[40]
The trial judge read the decision overnight. On
resuming the following day, he stated that the decision was 聯a fascinating
case聰 and questioned Crown counsel about it:
COURT: And I just want to throw something out
there for counsel, just out of the sense of procedural fairness. And there may
be not much you can say about it, but I聮ll just throw it out there. And there
may be not much you can say about it, but I聮ll just throw it out there.
In another life, I was a criminal lawyer and
argued law of sexual assault cases in the Court of Appeal. And in many of those
cases, they were interfamilial sort of situations, like this one is, in a way.
Maybe not as strongly as some, but it was not unusual that there would be a
feature like the one in this case, the non-avoidance
, I think, is what the Court of Appeal in Alberta called it, but
there聮s different ways to term it. And it was all quite counterintuitive, I felt,
that the alleged victim was seemingly attracted to the accused as opposed to
repelled by the accused. And that was a difficult thing for the jury to get
their head around and for me to get my head around as counsel.
Nonetheless, it was a common feature, not in
all of them, but in many of them. For example, in the
M.T
. case
, which
is in your 276 case book.
MS. HACKETT: Yes.
THE COURT:
I looked at
the factum for that one
, and that was a situation where the complainant actually
asked to go over to her uncle聮s place, her uncle being the appellant, on a
regular basis where she was abused.
MS. HACKETT: Yes.
THE COURT: So, she asked to go over there.
W.D.
itself, as well
,
page 400 of the CCC version of the judgment, Justice Cory at letter F, or it聮s Justice
Sopinka in dissent actually. He goes through the evidence. Justice Cory
doesn聮t. And, again, the complainant after being abused went back to the
accused聮s house after it was in the car that she was allegedly abused, and then
she went back to his house because she left her purse behind on two occasions.
So, those are just two examples, but many more examples from
the jurisprudence. So, the question is for you, can I rely on my experience in,
as a lawyer in this field and, or is it impermissible to do that
?
So, sort of a long-winded question, but, as I
said, more throwing it out there for any submissions on it. Can I rely on my
experience? And we聮re talking about, I think, we聮re not talking about
bolstering the complainant聮s credibility.
We聮re just
talking about understanding what might be argued and has been argued here to be
something against her credibility, that hits against her credibility. So, it聮s
neutralizing that, as opposed to enhancing her credibility.
So, that聮s
sort of what聮s on my mind here a little bit. I聮m not sure there聮s much you can
really say about it, but I have to look if I can rely on my experience in these
sorts of situations from when I was a lawyer. [Emphasis added.]
[41]
The trial judge had acted as counsel for the
appellants in both
W.(D.)
and
M.T
, 2012 ONCA 511, 289 C.C.C.
(3d) 115
.
[42]
Crown counsel advised the trial judge that she
had not done any research on the question he was posing:
[B]ut my initial response is just on a more
broad and perhaps logical one, is that every person who聮s a judge brings with
them their lifetime of experiences, and I think that聮s accepted. And I
wouldn聮t, unless there聮s a case that says otherwise, I wouldn聮t see why your
past life experience as a lawyer would generally be taken out or separated from
that.
[43]
During the balance of the trial, the trial judge
did not ask defence counsel for submissions on whether he could draw on his
experience as counsel in sexual assault cases.
[44]
As noted earlier, in his reasons the trial judge
wrote that he would 聯fine tune聰 comments made by the majority in
A.R.J.D.
(AB)
in two respects. The first he explained at para. 59:
I would go one step further than the judgment
with respect to the association evidence.
In many years of
appearing before the Ontario Court of Appeal as counsel for accused convicted
of interfamilial sexual crimes, I can say that instances in which a complainant
fails to distance her or himself from the abuser are not unusual. In fact, as a
study of the evidence in appellate cases would I am sure bear out, such cases
are commonplace
.
I
am confident that trial and appellate judges, and counsel who deal with these
cases, would agree. Despite such strong after-the-fact evidence of association,
juries have been known to convict in these circumstances. [Emphasis added.]
[45]
The trial judge believed that he could place
some reliance on his prior empirical experience because 聯[i]t is the same as a
judge relying on their judicial experience聰: at para. 61.
[4]
[46]
On appeal, the appellant submits that by drawing
on his personal experience as counsel, the trial judge used the wrong starting
point for his analysis of the complainant聮s credibility. His experience as
counsel led him to express the view that cases in which a complainant fails to
distance her or himself from the abuser are commonplace. That view moved the
needle of the burden of proof against the appellant. Using a methodology that
draws on personal pre-judicial experience to examine the evidence was dangerous
when dealing with a key issue in dispute between the parties 聳 the credibility
of the complainant 聳 because it circumvented the safeguards built into the
proper application of the principle of judicial notice, namely notoriety or
immediate demonstrability.
[47]
In response, the Crown submits that the trial
judge referenced his prior experience as counsel merely to demonstrate the
fallacy of the myths and stereotypes upon which defence counsel relied, namely
that the complainant聮s continued association with the appellant after the
assaults was inconsistent with her allegations of assault. The trial judge聮s
conclusion that instances in which a complainant fails to distance her or himself
from the abuser are commonplace was not an adjudicative fact reflecting the
trial judge聮s personal views, but a recognition of the general social context
in which sexual assault law operates. In any event, there was no prejudice to
the appellant because elsewhere in his reasons the trial judge rejected a
聯rigid rule of irrelevancy聰, explaining that 聯after the fact association with
the accused can, in some instances, weigh against the complainant聮s credibility:聰
at para. 66.
Analysis
[48]
No judge comes to the bench a
tabula rasa
.
We all bring varied experiences that, one hopes, assist us in fairly
adjudicating the variety of legal disputes presented by the parties who appear
before us. Invariably we examine, in some fashion, the legal disputes before us
through the lens of that prior general experience.
[49]
But here the appellant does not complain about
the trial judge using his general prior experience. The appellant complains
that the trial judge impermissibly drew upon his personal experience as counsel
in specific types of cases to assist him in deciding a key issue in the present
case: the credibility of the complainant.
[50]
When a judge intends to draw upon specific
experiences in his or her pre-judicial experience to determine a contested
issue in a case, procedural fairness demands both judicial restraint and
judicial transparency.
[51]
The adversarial system imposes a necessary
restraint on that which a trial judge can take into account when deciding
contested issues, including the credibility of a party. The only facts a trier
of fact may consider in making his or her decision in a case is the evidence
adduced in the courtroom. Facts that satisfy the criteria for judicial notice
are the only exception to that rule: Paciocco, at p.
573;
Justice David Watt,
Watt聮s Manual
of Criminal Evidence 2020
(Toronto: Thomson Reuters, 2020) at
搂14.01.
As this court cautioned in
R. v. Potts
(1982),
36 O.R. (2d) 195 (C.A.), at p. 204, leave to appeal refused, [1982] S.C.C.A.
No. 301, 聯a trial court is not justified in acting on its own personal knowledge
of or familiarity with a particular matter, alone and without more.聰 Accordingly,
unless the criteria of notoriety or immediate demonstrability are present, a
judge cannot judicially notice a fact within his or her personal knowledge: Sopinka,
at 搂19.46.
[52]
During the course of his exchange with Crown
counsel about the decision in
A.R.J.D. (AB)
, the trial judge mentioned
two cases in which he had been counsel that involved complainants who continued
to associate with the accused following assaults. If the trial judge had left
the matter there, the appellant would have no cause to complain. The transcript
of the hearing reveals that both authorities had been filed by counsel during
the trial and were available for counsel to make submissions on the point. Even
in cases where trial judges refer counsel to jurisprudence not placed before
them, the age of smartphones and free case searches on CanLII provide counsel
with the tools to respond quickly to such judicial reflections or musings. And
counsel can always ask for a break if they require more time to respond.
[53]
But the trial judge聮s reasons disclose that he
went much further than reflecting on two reported cases in which he had acted
as counsel. By the time of his reasons, the trial judge had drawn on his
personal experience as counsel to conclude that in cases of interfamilial
sexual crimes, instances in which a complainant fails to distance her or
himself from the abuser are not unusual but 聯commonplace,聰 a conclusion
approximating a form of generalization.
[54]
I am persuaded by the appellant聮s submission
that for the trial judge to accept, without a proper evidentiary foundation and
in reliance on his personal experience, that the complainant聮s conduct in
continuing to associate with the appellant reflected 聯commonplace聰 conduct by
complainants in sexual assault cases amounted to 聯sidestepping聰 the test for
judicial notice. Whether a witness is credible is a question of fact:
A.R.J.D.
(AB)
, at para. 28;
R. v. R.G.B.
,
2012 MBCA 5, 100 W.C.B. (2d) 630, at para. 59.
The trial
judge聮s conclusion was based on his personal experience rather than an
assessment of either criterion for taking judicial notice of facts: notoriety
or immediate demonstrability.
[55]
As well, the process that led him to that
conclusion lacked transparency. Apart from his mention of two reported cases
that had been filed with the court, the trial judge did not disclose to the
parties what other personal experience he was drawing upon to make the
generalization that he did. The parties were left in the dark about the content
and scope of the trial judge聮s personal experience that formed the basis for an
element of his assessment of the complainant聮s credibility, and they had no
opportunity to respond to the information that drove the judge聮s decision on
this point.
[56]
Moreover, although during the final submissions the
trial judge asked Crown counsel for her position on whether it was permissible
for him to rely on his experience as counsel, he did not solicit the views of
defence counsel. Fairness required that he should have. Although the Crown
submits that the trial judge聮s initial question to Crown counsel during her
closing submissions also amounted to an invitation to defence counsel to make
submissions, optimally the trial judge should have specifically invited submissions
from defence counsel. The trial judge had the opportunity to remedy that
oversight. About a month after closing submissions, counsel re-attended before
the trial judge to hear his judgment. Instead, the trial judge requested
further submissions on an issue relating to the Snapchat evidence. That would
have been an ideal opportunity for the trial judge to ask defence counsel for
her position on the permissibility of drawing on his experience as counsel.
[57]
Accordingly, I conclude that, in the
circumstances of this case, the trial judge erred in drawing on his personal
experience as counsel to conclude that in cases of interfamilial sexual crimes
instances in which a complainant fails to distance her or himself from the abuser
are not unusual but 聯commonplace.聰 He overstepped the proper boundaries of
taking judicial notice 聳 even tacit judicial notice 聳 of a fact that informed
his assessment of the credibility of the complainant.
[58]
I will assess the impact of that error after considering
the appellant聮s second ground of appeal.
VII.聽聽聽 SECOND GROUND OF APPEAL: THE TRIAL JUDGE聮S ASSESSMENT
OF THE COMPLAINANT聮S PASSIVITY
The issue stated
[59]
During his examination of the complainant聮s
evidence about her continued association with the appellant after the first
assault, the trial judge remarked on comments made by the police officer who
conducted the
Criminal Code
s. 715.1 interview of the complainant. The
trial judge observed that the officer 聯made it plain that he did not believe
her because of her admitted acquiescence and lack of resistance in the second
incident of sexual assault聰: at para. 79 The trial judge was highly critical of
the officer聮s interview of the complainant.
[60]
The trial judge then continued, at paras. 80-82:
Examining the
complainant聮s emotional state, there are more than a few parallels with the
psychology of battered wife syndrome
explained
by Justice Bertha Wilson in
R. v. Lavallee
, [1990] 1 S.C.R. 852. There
was reference there to the administration of a shock which leads to a
motivational state of 聯learned helplessness.聰
In the
interfamilial context, a phenomenon may occur known as 聯traumatic bonding聰
between a dominant person and a subjugated individual such as a child. In
Lavallee
, the process
of 聯traumatic bonding聰 as explained by expert evidence, was adopted by the
court at para. 60
:
The less powerful person in the
relationship 聴 whether battered woman, hostage, abused child, cult follower, or
prisoner 聴 becomes extremely dependent upon, and may even come to identify
with, the more powerful person. In many cases, the result of such dependency
and identification is that the less powerful, subjugated persons become 聯more
negative in their self-appraisal, more incapable of fending for themselves, and
thus more in need of the high power person.聰 As this 聯cycle of dependency and
lowered self-esteem聰 is repeated over time, the less powerful person develops a
聯strong affective bond聰 [traumatic bonding] to the more powerful person in the
abusive relationship.
It is this psychology
which helps to explain the complainant聮s quite extraordinary evidence with
respect to her helplessness and paralysis during the second sexual assault
. Her testimony that she just wanted to give the accused what he
wanted and the admission of kissing him back once, together with a several
month delay in disclosing the assault, is suggestive of a process similar to
that in
Lavallee
referred to as 聯traumatic bonding.聰
The complainant聮s
passivity at the time of the attempted rape is also explained by more recent
social science research in the area: see Francine Russo, Sexual Assault May
Trigger Involuntary Paralysis
(August 4 2017), online:
Scientific American,
<www.scientificamerican.com/article/sexual-assault-may-trigger-involuntary-paralysis>.
[Emphasis added]
[61]
The appellant submits that the trial judge erred
in drawing parallels between the complainant聮s emotional state and 聯the
psychology of battered wife syndrome聰 in rejecting the defence submission that
she willingly engaged in one of the sexual acts. The appellant argues that: at
trial no party raised the applicability of the concepts of 聯learned
helplessness聰 and 聯traumatic bonding聰 discussed in
Lavallee
; the
complainant was not a battered spouse; and no expert evidence was adduced at
trial on how the concepts would apply to the circumstances of the complainant.
The trial judge compounded those errors by relying on the Scientific American
article that neither party had put before him. According to the appellant, the
trial judge聮s extrapolation from
Lavallee
and use of the Scientific
American article violated the narrow confines of judicial notice. The trial
judge improperly used those sources to assist him in making findings of fact
regarding the complainant聮s credibility, a dispute specific to the criminal
proceeding.
[62]
The Crown responds that the trial judge聮s
comments about battered woman syndrome were directly responsive to defence
counsel聮s myth-based submission that the complainant聮s passivity during the
second sexual assault raised a reasonable doubt about lack of consent. While it
might have been preferable for the trial judge to canvass the battered woman
syndrome analogy with counsel, in the circumstances of this case, his failure
to do so did not prejudice the appellant in any way. The conclusions the trial
judge ultimately drew were legally correct: a victim聮s passive response to a
sexual assault is not inconsistent with lack of consent; and the assumption
that active resistance is the 聯normal聰 or 聯typical聰 reaction is a sexual
stereotype that has no place in our criminal justice system.
Analysis
[63]
The trial judge聮s use in his reasons of the
Lavallee
decision and the Scientific American article was marked by several errors.
(a)
The use of the
Lavallee
decision
[64]
First, no party submitted that as part of his
credibility assessment of the complainant the trial judge should draw a
parallel between the complainant聮s conduct and the battered woman syndrome
which had been the subject of expert psychiatric evidence in
Lavallee
.
It was an error for the trial judge to raise that issue without affording the
parties an opportunity to address and respond to it during the trial. The
comments made by this court in
R. v. Hamilton
(2004), 72 O.R. (3d) 1
(C.A.), at para. 69, in the context of a sentencing hearing apply with equal
force to the liability stage of a criminal trial:
Judges must be very careful before introducing
issues into the sentencing proceeding. Where an issue may or may not be germane
to the determination of the appropriate sentence, the trial judge should not
inject that issue into the proceedings without first determining from counsel
their positions as to the relevance of that issue. If counsel takes the
position that the issue is relevant, then it should be left to counsel to
produce whatever evidence or material he or she deems appropriate, although the
trial judge may certainly make counsel aware of materials known to the trial
judge which are germane to the issue. If counsel takes the position that the
issue raised by the trial judge is not relevant on sentencing, it will be a
rare case where the trial judge will pursue that issue.
[65]
The Crown submits that the trial judge聮s
comments about battered woman syndrome were directly responsive to defence
counsel聮s submission that the complainant聮s passivity during the second assault
raised a reasonable doubt about lack of consent. I would note that at trial
Crown counsel did not respond to the defence聮s closing by drawing parallels
with the syndrome. If the trial judge thought there might be a parallel, he was
obliged to raise the issue with counsel before the trial concluded and afford
counsel an opportunity to respond. His failure to do so was an error.
[66]
Second, since expert evidence is, by definition,
neither notorious nor capable of immediate and accurate demonstration, judicial
notice does not extend to an area that requires expert evidence: McWilliams, at
搂26:10. Yet, the trial judge, in effect, took judicial notice of expert
evidence adduced in the
Lavallee
case and applied it to explain the
conduct of the complainant in the present case.聽 Such use of the
Lavallee
decision constituted an improper use of judicial notice.
[67]
In
Lavallee
the accused had pleaded
self-defence to the charge that she had murdered her common law partner. The
accused adduced expert psychiatric evidence to assist the jury in understanding
two elements of her defence: her reasonable apprehension of death; and the lack
of possibility to otherwise preserve herself from death. In addressing that
second element, the psychiatrist attempted to explain why the accused had
remained with her violent partner. It was in that context that the psychiatrist
testified about the condition of 聯learned helplessness,聰 which Wilson J.,
writing for the majority, noted was related in the psychological literature to
the concept of 聯traumatic bonding聰: at p. 886.
[68]
In the present case, the trial judge drew on that
part of the
Lavallee
decision to fashion an explanation for 聯the
complainant聮s quite extraordinary evidence with respect to her helplessness and
paralysis during the second sexual assault聰: at para. 81. The trial judge did
so in the absence of any evidence from an expert who had examined the
complainant and could provide an opinion explaining the complainant聮s passivity
at times during the second assault. Nor was there any expert evidence regarding
the permissibility of using psychiatric evidence from a case about the conduct
of a battered woman to explain the conduct of a person in the complainant聮s
circumstances.
[69]
The trial judge also did not provide counsel
with any notice of his intention to use the evidence referred to in
Lavallee
in the present case. That was improper and unfair. As the Supreme Court stated in
R. v. Sappier; R. v. Gray
,
2006 SCC 54, [2006] 2 S.C.R. 686, at
para. 71
: 聯[I]t is generally wise not to incorporate evidence
submitted in other cases without disclosing it to the parties and allowing them
the possibility of challenging it or presenting contrary evidence.聰
(b)
The use of the Scientific American article
[70]
The final error was specific to the trial
judge聮s use in his reasons of an article that appeared in the August 4, 2017
edition of Scientific American. The trial judge used the information in the
article as evidence that the complainant聮s passivity at the time of the
attempted rape was explained by more recent social science research in the area.
[71]
Scientific American is a popular science
magazine available in many retail outlets and online. According to the online
reference, the article,
Sexual Assault May Trigger Involuntary Paralysis
,
was written by a journalist who specializes in psychology and behavior. The
article did not constitute original research. Instead, it summarized the
results of a 2017 Swedish study that reported a majority of female rape
survivors who had visited a Stockholm emergency clinic reported that they did
not fight back. As well, the article noted a 2005 study with similar results and
reported comments made by an Australian psychiatrist about the Swedish study.
[72]
The parties did not provide the trial judge with
the article; his inclusion of a reference to the article in his reasons was the
result of his own research. The trial judge did not invite the parties to make
submissions about the article; they first discovered that the trial judge
considered the article upon reading his reasons.
[73]
The Crown concedes that it was an error for the
trial judge to refer to the Scientific American article without canvassing
counsel. That was a proper concession for the Crown to make. In my view, the
trial judge聮s use of the article in his reasons as part of his assessment of
the complainant聮s credibility amounted to an error for two reasons.
[74]
First, its use compromised the integrity and fairness
of the trial process. By relying on a popular scientific publication that was
not put into evidence or referred to at the hearing, the trial judge breached
the rules of natural justice. He used social science information obtained after
the hearing without disclosing it to the parties and giving them an opportunity
to meet it:
Hearn v. McLeod Estate
, 2019 ONCA 682, 439 D.L.R. (4th)
217, at para. 28;
R. v. D茅saulniers
(1994), 93 C.C.C. (3d) 371 (QC CA),
at p. 377, leave to appeal refused, [1995] 1 S.C.R. vii. As was put by
Goldstein J. in
R. v. Ghaleenovee
, 2015 ONSC 1707, 19 C.R. (7th) 154, at
para. 21:
Checking indisputable facts [on the internet]
is one thing.聽 Conducting an investigation and drawing inferences 聳 especially
without giving the parties an opportunity to respond 聳 is another.
[75]
Second, it constituted an improper use of
judicial notice.
In
R. v. Hernandez-Lopez
, 2020 BCCA 12, 384
C.C.C. (3d) 119, leave to appeal to S.C.C. refused, 39090 (July 9, 2020), the British
Columbia Court of Appeal saw no error in a trial judge using the parts of an
academic article on the evidence of children that merely outlined generally
understood and common features of the evidence of children, already reflected
in judicial commentary and practice. The concepts described in the article did
not lie outside the general knowledge that judges are required to apply in
assessing the evidence of witnesses: at paras. 17-22.
[76]
The court in
Hernandez-Lopez
went on to
note that the trial judge did not rely on the article to furnish critical
evidence or as an instruction manual for assessing the evidence of children: at
paras. 14 and 21. However, that is how the trial judge in the present case used
the Scientific American article. His reasons disclose that he relied on the
article as a source of expert evidence that was not properly before the court
to assess the veracity of the complainant. It was an error for him to do so; he
exceeded the proper limits of judicial notice.
VIII.聽聽 THE IMPACT OF THE ERRORS
[77]
As his reasons disclose, the errors identified
above played an important role in the trial judge聮s assessment of the
complainant聮s credibility.
[78]
The trial judge structured his reasons to begin
with an examination of the complainant聮s evidence, commenting on her
credibility: at para. 21. In dealing with her evidence about the assault in the
bedroom, the trial judge acknowledged that the defence argument that the
complainant聮s credibility was adversely affected by her failure to disassociate
herself from the appellant 聯was part of a broader submission encompassing both
incidents of sexual assault聰: at para. 55. The trial judge treated the
defence聮s submission as a relevant one, requiring analysis. He stated, at para.
56:
It is completely understandable that the
defence would make this argument and it has more than just a superficial
attraction. However, in the circumstance of this case, I disagree that this
evidence detracts from the complainant聮s credibility.
[79]
The trial judge then referred to the decision in
A.R.J.D. (AB)
, stating that he 聯would go one step further than the
judgment with respect to the association evidence聰: at para. 59. It was at this
point that the trial judge drew upon his experience as counsel to conclude that
instances in which a complainant fails to distance herself from the abuser are
not unusual but commonplace: at para. 59. That conclusion informed, in part,
the rest of his analysis of the complainant聮s credibility.
[80]
After next reviewing some of the specifics of
the complainant聮s testimony, the trial judge examined her emotional state. It
was at this point that he drew the parallel with the battered woman syndrome
considered in the
Lavallee
decision. After quoting from
Lavallee
,
he continued, at para. 81, by stating that: 聯
It is this
psychology which helps to explain
the complainant聮s quite extraordinary
evidence with respect to her helplessness and paralysis during the second sexual
assault.聰 [Emphasis added.] The trial judge then immediately referred to the
Scientific American article, as support for his further conclusion that 聯the
complainant聮s passivity at the time of the attempted rape
is also explained by more recent social science research
in the area聰: at para. 82. [Emphasis added.] Shortly thereafter, at para. 84,
the trial judge concluded that 聯the evidence of after-the-fact association with
the accused does not detract from the complainant聮s credibility.聰
[81]
Accordingly, the trial judge聮s reasons disclose
that his errors did not relate to a peripheral issue. Instead, his erroneous
use of his previous experience as counsel, the
Lavallee
decision, and
the Scientific American article played important roles in his reasoning process
regarding the complainant聮s credibility, which was a key issue at the trial.
[82]
The Crown submits that if the trial judge erred
in taking judicial notice of matters not in evidence, no substantial wrong or
miscarriage of justice was occasioned, relying on the curative proviso in
Criminal
Code
, s. 686(1)(b)(iii). I do not accept this submission.
[83]
Arguably the trial judge聮s use of his prior
experience standing alone could attract the application of the proviso.
However, taken together with his other errors, I am unable to conclude that this
is a case where the errors were harmless and had no impact on the verdict:
R.
v. Khan
, 2001 SCC 86, [2001] 3 S.C.R. 823, at para. 26. An error in taking
judicial notice is a legal error and may be enough, on its own, to require an
appeal to be allowed: Paciocco, at p. 577. As I concluded above, the trial
judge聮s erroneous use of judicial notice played an important role in his
reasoning process regarding the complainant聮s credibility.
[84]
Nor is this a case where the evidence is so
overwhelming that no substantial wrong or miscarriage of justice occurred
despite the error:
Khan,
at para. 26. As the trial judge noted, the
trial turned principally on credibility, not reliability: at para. 45.
[85]
Finally, the trial judge聮s resort to judicial
notice without giving the appellant an opportunity to make submissions on the
issue was procedurally unfair. It violated the procedural requirements of
judicial notice. As a result, it denied the appellant a fair trial. In that
circumstance, the curative proviso does not apply:
Khan
, at para. 27.
IX. 聽聽聽 DISPOSITION
[86]
For the reasons set out above, I would allow the
appeal, set aside the appellant聮s conviction, and direct a new trial on the
single count of sexual assault.
Released: March 11, 2021 聯S.E.P.聰
聯David
Brown J.A.聰
聯I
agree. S.E. Pepall J.A.聰
聯I
agree. K. van Rensburg J.A.聰
[1]
Given the Crown聮s
position, I see no need on this appeal to offer a view on what legitimate
inferences the Supreme Court聮s brief decision in
A.R.J.D. (SCC)
permits a
trial judge to draw from the evidence, or lack of evidence, of a complainant聮s
after-the-fact conduct. In recent years, this court has grappled with the issue
in two decisions:
R. v. L.S.
, 2017 ONCA 685, 354 C.C.C. (3d) 71, at
paras. 88-89; and
R. v. Diabas
, 2020 ONCA 283, 387 C.C.C. (3d) 223, at
para. 38. See also Professor Lisa Dufraimont, in
Myth, Inference and
Evidence in Sexual Assault Trials
(2019), 44:2 Queen聮s L.J. 316.
[2]
See,
also, Sopinka, at 搂19.16: 聯[T]he tacit judicial notice that surely occurs in
every hearing is indispensable to the normal reasoning process.聰
[3]
See
also, Paciocco, at p. 581: 聯The fact that judicial notice of social context
facts tends to have less impact on the adversarial function does not mean that
the requirements of notoriety or incontrovertibility are immaterial.聰
[4]
In
support of this proposition the trial judge cited the cases of
R. v. G.
(A.V.)
, 2015 BCPC 438, [2015] B.C.J. No. 3050, at para. 41, and
R. v.
Ashley
, 2012 ONSC 1678, aff聮d 2012 ONCA 576.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Jaffer, 2021 ONCA 325
DATE: 20210517
DOCKET: C64987
Juriansz, Tulloch and Paciocco
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Muhammad Abbas Jaffer
Appellant
Breana Vandebeek, for the appellant
Tracy Kozlowski, Katie Doherty and Lisa
Fineberg, for the respondent
Heard: January 12-13, 2021 by
videoconference
On appeal from the conviction entered by
Justice Anne Mullins of the Superior Court of Justice, sitting with a jury, on October
25, 2016, and the entrapment ruling dated October 16, 2017, and the sentence
imposed on February 23, 2018.
Juriansz J.A.:
[1]
This appeal was argued together with two other
defence appeals,
R. v. Haniffa
and
R. v. Dare
, and a Crown
appeal,
R. v. Ramelson
. All of the appeals arose out of arrests and
prosecutions pursuant to Project Raphael of the York Regional Police (聯YRP聰).
Project Raphael was an undercover YRP investigation that began in 2014 with the
objective of reducing the demand for sexual services from juveniles in the
region by targeting the 聯buyer side聰.
[2]
As part of the investigation, the police posted
fake advertisements in the 聯escorts聰 section of the online classified
advertising website Backpage. When persons responded to the ads, an undercover officer
posing as the escort would disclose in the ensuing text chat that 聯she聰 was underage.
Individuals who continued the chat and arranged sexual services and a price were
directed to a hotel room to complete the transaction and were arrested and
charged on their arrival.
[3]
The common issue in the four appeals is whether
the individuals who were arrested and prosecuted pursuant to Project Raphael
were entrapped by the police. The appellant also appeals his sentence.
[4]
For the reasons that follow, I would dismiss the
appeal from the dismissal of the entrapment application. I would also dismiss
the appellant聮s appeal of his sentence.
A.
The facts in this case
[5]
In this case, the ad placed in the escort
section of Backpage purported to have been placed by 聯Kathy聰. Kathy described
herself as a 聯Tight Brand New Girl聰. The ad included photographs of a female
police officer, whose face was not shown, posing as Kathy. The ad indicated Kathy
was 18 years old, the minimum age allowed by Backpage.
[6]
On October 24, 2014, the appellant texted Kathy
and asked her rates. Truong responded and, after exchanging several preliminary
messages, texted, 聯well im not quite 18 yet r u ok with that聰. The appellant
responded, 聯Yea I聮m ok聟but how much younger are u? 17?聰 Truong responded, 聯im
turning 16 on sunday but I look 18聰. The conversation continued and the
appellant texted, 聯Ok can I ask why you聮re escorting if it聮s okay with u?
Usually people your age don聮t know about this industry聰. Truong responded
saying that Kathy聮s friend got her into it because she needed the money. The
appellant eventually proceeded to the hotel.
[7]
When the appellant arrived at the room, he was
arrested and charged with telecommunicating with a person he believed to be
under the age of 18 contrary to s. 172.1(2) (child luring under 18), and
communicating to obtain for consideration the sexual services of a person under
18 contrary to s. 212(4) (now s. 286.1(2)) (communicating to obtain sexual
services from a minor) of the
Criminal Code
, R.S.C., 1985, c. C-46. While
the information references s. 172.1(2), this count relates to the offence under
s. 172.1(1)(a). Section 172.1(2) sets out the punishment for this offence. The
appellant was also charged with two counts under s. 172.2(2) and a further
count under s. 172.1(2) but was not tried on these charges.
[8]
At trial, the appellant testified that his
initial purpose for responding to Kathy聮s ad was to engage in a sexual
relationship, but his intentions changed when he learned that Kathy was
underage. He said he thought it was strange for Kathy to reveal her age and thought
it was a cry for help 聳 the only reason that an escort would reveal they were
underage was out of fear of their pimp. As a result, he testified that he
continued the interaction intending to assist Kathy and did not intend to
engage in sex with her once he learned her age. In support of this testimony, the
appellant gave evidence that he had arranged to meet an adult escort later the
same evening and only had enough cash on his person to pay for a single escort.
[9]
When he was being arrested, the appellant told
police that he intended to contact the police to help Kathy. The appellant
claimed he had previously assisted the police in investigating the pimp of an
escort he had met on Backpage and this was corroborated by police testimony at
trial.
[10]
The jury disbelieved the appellant聮s evidence
and found him guilty of both counts. The sentencing judge stayed the conviction
on s. 212(4) (now s. 286.1(2)) (communicating to obtain sexual services from a
minor) based on
Kienapple v. R.
, [1975] 1 S.C.R. 729.
[11]
The appellant applied for a stay of proceedings
on the basis he had been entrapped. The application was denied and the
appellant was sentenced to six months incarceration, less credit for time on
house arrest, resulting in an effective sentence of four months, two weeks and
three days.
B.
arguments on appeal
[12]
The appellant submits the trial judge made three
errors:
1.
by concluding Project Raphael was a bona fide
inquiry and failing to find that he was entrapped;
2.
by failing to find the appellant had been
induced into committing the offence; and
3.
by imposing an unfit sentence by refusing to
impose a conditional sentence, failing to give sufficient reasons for the
sentence imposed, and failing to assign appropriate weight to the aggravating
and mitigating factors.
C.
Analysis
(1)
Opportunity-based entrapment
[13]
Appellant聮s
counsel adopted the submissions made in
Haniffa
on the issue of opportunity-based
entrapment adding her own emphasis and references to the record in this case. As
he had in
Haniffa
, Truong testified in this case that underage persons
advertised on Backpage do not reveal their true age in their communications
with unknown callers. He added, that if they did disclose their age, they would
do so only when they met the customer face to face and felt comfortable. He
said what 聯typically聰 happens is that the customer shows up expecting an
18-year-old and the person turns out to be a child. Only when the customer takes
the initiative to question their age, might their age come out.
[14]
Counsel submits
this testimony shows the police had no real information as to the scale of the
problem 聳 how many underage persons were being sold on Backpage and how many customers
knowingly purchased underage persons. She submits the information was so paltry
that it cannot be said the police had reasonable suspicion.
[15]
I dealt with
this argument in the comprehensive reasons of
Ramelson
. I explain that
Truong聮s testimony, based on his extensive experience, gave the trial judge an
evidentiary basis for concluding the police had reasonable suspicion persons
were going onto Backpage and engaging underage persons thus committing the s.
286.1(2)
(obtaining sexual services from a
minor)
offence. Truong gave the same testimony in
this case.
[16]
For the reasons
set out in
Ramelson
, I reject this argument.
(2)
Inducement-based entrapment
[17]
While
Ramelson
dealt comprehensively with
the arguments related to opportunity-based entrapment, Mr. Jaffer raised the
issue of inducement-based entrapment as well.
[18]
This branch of entrapment applies when the
police, even though they may have a reasonable suspicion or are acting in the
course of a bona fide inquiry, go beyond providing an opportunity and induce
the commission of an offence:
R. v. Mack
, [1988] 2 S.C.R. 903, at pp.
964-965;
R. v. Barnes
, [1991] 1 S.C.R. 449, at p. 460.
Mack
is an
example of this second branch. A police agent persisted in attempting to
persuade Mack, who had dated drug convictions, to participate in a large drug
deal despite his refusals. Mack finally participated in the drug transaction
because of the police agent聮s persistence, his use of threats, and the offer of
a large amount of money. Mack聮s conviction was upheld by the British Columbia
Court of Appeal. In allowing his appeal, the Supreme Court ruled he had been
entrapped. Though the police had reasonable suspicion that Mack was involved in
criminal conduct, they went too far in their efforts to attract him into committing
the offence.
[19]
The Supreme Court in
Mack
set out a
number of factors to consider to determine 聯whether the police have employed
means which go further than providing an opportunity聰 at p. 966:
-
the type of crime being investigated and the availability of other
techniques for the police detection of its commission;
-
whether an average person, with both strengths and weaknesses, in
the position of the accused would be induced into the commission of a crime;
-
the persistence and number of attempts made by the police before the
accused agreed to committing the offence;
-
the type of inducement used by the police including: deceit, fraud,
trickery or reward;
-
the timing of the police conduct, in particular whether the police
have instigated the offence or became involved in ongoing criminal activity;
-
whether the police conduct involves an exploitation of human
characteristics such as the emotions of compassion, sympathy and friendship;
-
whether the police appear to have exploited a particular
vulnerability of a person such as a mental handicap or a substance addiction;
-
the proportionality between the police involvement, as compared to
the accused, including an assessment of the degree of harm caused or risked by
the police, as compared to the accused, and the commission of any illegal acts
by the police themselves;
-
the existence of any threats, implied or express, made to the
accused by the police or their agents;
-
whether the police conduct is directed at undermining other
constitutional values.
[20]
Counsel argued that the appellant聮s factual
circumstances strongly suggest that he is a person who succumbed to random
virtue testing. He was 22 years old and went on Backpage seeking an 18-year-old
escort. He had maintained an A average throughout university and graduated with
a bachelor聮s degree in science. He was of prior good character, from a close
family that supported him, and active with his church. Counsel submitted his
testimony showed he was 聯an odd and strange person聰 who was lacking in social
relationships and could not form relationships with women. He testified he
began seeing prostitutes because he could not get a girlfriend. He testified
that his first encounter on Backpage, with a prostitute who was 40 years of age,
was the first time he had held hands with a woman. The expert report of a
clinical and forensic psychologist, which was subsequently obtained for
sentencing, diagnosed the appellant as falling within the autistic spectrum of
neurological disorders and with depression and anxiety. His chat history and
phone records introduced at trial showed that he was not looking for someone
underage. The day he was arrested he had talked with escorts ranging in age from
18 to 40.
[21]
Counsel submits that the purpose of the law of
entrapment is to promote society聮s respect for the administration of justice
and not to lure people like the appellant into committing offences.
[22]
The trial judge observed that drawing the line
between providing an opportunity and inducing the commission of an offence is
not always easy but rejected the argument the appellant had been induced. She
concluded that the evidence showed clearly that the appellant 聯was determined
to purchase sexual services and gave specific consideration to the information
as to the age of the purveyor before he acted on his choices.聰 The appellant聮s
messages in the text chat provided a basis for the trial judge聮s conclusion.
[23]
I would not give effect to this ground of
appeal.
(3)
The sentence appeal
[24]
The appellant was sentenced on his conviction for
the s. 172.1 offence. As mentioned, the conviction under s. 212(4) (now s. 286.1(2))
(communicating to obtain sexual services from a minor) was stayed. At the time
he committed the offence the maximum punishment for the s. 172.1 offence was imprisonment
for 10 years.
[25]
At sentencing, the appellant argued that a
conditional sentence was appropriate given his youth, pro-social lifestyle, and
personal background. He had been diagnosed as falling within the autistic
spectrum of neurological disorders and suffered from severe depression and
anxiety. The psychological testing also established that the appellant was not
a pedophile and did not have a sexual preference for minors.
[26]
The trial judge found that the evidence at trial
coincided with the assessment of the psychologist 聯that he has not had
opportunity for an appropriate, socially meaningful, expression of the sexual
desires to be expected of a young adult.聰 She found there was no evidence that
the appellant was seeking sexual services from an underage person when he
responded to the ad posted by the police, that he was unlikely to reoffend, and
that he did not require rehabilitation. She concluded a lengthy custodial
sentence would not serve the principles of sentencing, and as noted, imposed an
effective sentence of four and one-half months incarceration.
[27]
The appellant submits that the trial judge's
reasons are insufficient to explain why she refused to impose a conditional
sentence, and do not permit meaningful appellate review of that refusal. Therefore,
this court should sentence the appellant anew. In addition, the appellant
submits that the COVID-19 pandemic is a collateral consequence that impacts the
fitness of the sentence imposed. He requests that the court impose a sentence of
house arrest to address the collateral consequence of the COVID-19 pandemic.
[28]
I am not persuaded the trial judge聮s reasons are
insufficient. While she does not specifically itemize the mitigating factors that
she took into account, her detailed description of the appellant聮s
circumstances includes all those facts that the appellant submits are
mitigating. And while she did not discuss the appellant's request for a
conditional sentence, she did observe the crime was a grave one with a maximum
punishment of 10 years imprisonment and did state that any lesser sentence
would be inconsistent with the principles of denunciation and deterrence.
[29]
I would dismiss the appeal against sentence.
D.
Conclusion
[30]
For these reasons, I would dismiss both the
conviction and sentence appeal.
Released: May 17, 2021 聯RGJ聰
聯R.G. Juriansz J.A.聰
聯I agree. M. Tulloch J.A.聰
聯I agree. David M. Paciocco J.A.聰
|
COUR D聮APPEL DE L聮ONTARIO
R脡F脡RENCE: R. c. Jeanty, 2021 ONCA 395
DATE: 20210604
DOSSIER: C67595
Les juges Rouleau, Hoy et van
Rensburg
ENTRE
Sa Majest茅 la Reine
Intim茅e
et
Mont-Louis Jr. Jeanty
Appelant
David Parry, pour l聮appelant
Nicolas de Montigny, pour l聮intim茅e
Date de l聮audience聽: le 1
juin 2021 par visioconf茅rence
D茅cision rendue s茅ance tenante
En appel de la condamnation prononc茅e le
23 novembre 2018 et de la peine impos茅e le 21 janvier 2019 par la juge Diane Lahaie
de la Cour de justice de l聮Ontario.
MOTIFS DE LA COUR
[1]
L聮appelant a 茅t茅 reconnu coupable de voies de
fait, omission de se conformer, possession de biens criminellement obtenus,
m茅fait 脿 l聮茅gard d聮un bien, agression arm茅e, avantage mat茅riel provenant de la prestation
de services sexuels et prox茅n茅tisme.
[2]
Il demande l聮autorisation d聮interjeter appel contre
la peine de 55 mois impos
茅e
par
la juge. Si l聮autorisation est accord
茅
e, il interjette appel contre cette peine.
[3]
脌
notre avis, l聮autorisation
d聮interjeter appel doit 锚tre accord茅e, mais l聮appel doit
锚
tre rejet
茅
.
[4]
Le premier moyen d聮appel soulev茅
par l聮appelant
est que la juge a mal interpr茅t茅
la preuve et a err
茅
en
concluant 脿 l聮existence d聮une strat
茅
gie visant
脿
amener,
脿
persuader et
脿
inciter la plaignante
脿
retourner dans le domaine de prestation de
services sexuels. La juge a conclu que ceci constituait un facteur aggravant
pour les fins de la d
茅
termination
de la peine. Selon nous, il n聮y a pas eu erreur en l聮esp
猫
ce.
[5]
La preuve d茅montrait que la plaignante avait
cess
茅
de travailler dans le
domaine de l聮industrie du sexe et s聮茅tait battue beaucoup pour en sortir. L聮appelant
savait que la plaignante 茅tait ferm茅e 脿 l聮id茅e d聮y retourner au d茅but de leur
relation, mais qu聮elle 茅tait toutefois vuln茅rable. L聮appelant a apais茅 les
craintes de la plaignante et l聮a encourag茅e 脿 retourner 脿 l聮industrie du sexe.
La preuve appuie 茅galement la conclusion que l聮appelant exer莽ait un contr么le
continu sur elle dans le cadre de la relation. La plaignante, victime de
violence et de manipulation, 茅tait sous l聮emprise de l聮accus
茅
. La conclusion que l聮appelant a exploit茅
la vuln茅rabilit茅 de la plaignante et l聮a amen
茅
脿 rendre des services sexuels moyennant r茅tribution est bien ancr茅e
dans la preuve.
[6]
Nous rejetons aussi le deuxi猫me moyen d聮appel. 脌
notre avis, la peine n聮est pas manifestement d茅raisonnable. La juge a identifi茅
les facteurs att茅nuants applicables, dont le fait que les 茅v茅nements se sont d茅roul茅s
pendant une p茅riode tr猫s limit茅e, qu聮il ne s聮agissait pas d聮une situation
impliquant une jeune plaignante qui n聮avait jamais travaill茅 dans le domaine
auparavant et que les activit茅s sexuelles ont rapport茅 moins de 1000 $. Par
contre, elle a aussi reconnu qu聮il s聮agissait d聮une cause de violence conjugale
et que la plaignante a subie de blessures importantes. La juge s聮est bien r茅f茅r茅e
脿 la fourchette de peines pour l聮infraction de prox茅n茅tisme d茅crite dans
R.
v. Lopez
, 2018 ONSC 4749
,
tout en notant que la grande majorit茅 des facteurs aggravants discut茅s dans
Lopez
茅taient absents dans ce dossier. Elle n聮a pas confondu les facteurs pertinents lors
d聮une condamnation sous l聮article 279.01 du
Code criminel
, L.R.C.
(1985), ch. C-46, dont l聮exploitation, et les facteurs pr
茅
sents dans l聮article 286.3(1).
[7]
La d茅termination de la peine est une t
芒
che hautement individualis茅e. 脌 la lumi猫re
du lourd casier judiciaire de l聮appelant, la juge a conclu qu聮il y avait risque
de r茅cidive 茅lev茅. La juge a d茅termin茅 une peine juste et appropri茅e compte
tenu des circonstances des infractions et de l聮appelant. Il n
聮y a pas de
raison d聮intervenir en l聮esp猫ce.
[8]
La demande d聮autorisation pour interjeter appel
contre la peine est accord
茅
e,
mais l聮appel est rejet
茅
.
芦 Paul Rouleau j.c.a. 禄
芦
Alexandra Hoy j.c.a. 禄
芦 K.
van Rensburg j.c.a. 禄
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Johnson, 2021 ONCA 257
DATE: 20210427
DOCKET: C67790
Watt, Hoy and Nordheimer JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Maxwell Johnson
Appellant
Jill R. Presser and David Levy, for the
appellant
Tracy Kozlowski, for the respondent
Heard: March 25, 2021 by video
conference
On appeal from the sentence imposed on December
6, 2019 by Justice Kelly P. Byrne of the Superior Court of Justice.
Hoy J.A.:
[1]
Mr. Johnson was convicted of trafficking cocaine, possession of
marijuana for the purpose of trafficking, and possession of proceeds of crime
exceeding $5000. He was sentenced to six months聮 imprisonment on each count, to
be served concurrently, less credit for pre-trial custody, followed by one year
of probation.
[2]
He seeks leave to appeal the sentence imposed. For the reasons that
follow, I would grant leave to appeal the sentence, allow the appeal, and
substitute a six-month conditional sentence on each count, to be served
concurrently, followed by one year of probation.
Background
[3]
In January 2014, two young women ended a night of partying and using
drugs at an impromptu gathering at Mr. Johnson聮s apartment. Mr. Johnson was 27
years of age at the time. At the women聮s request, he shared a small amount of
cocaine with them. They did not pay for the cocaine.
[4]
The women slept at his apartment, as did his friends Rene Jean Moneus
and Nicolas Adeyemi. In the early hours of the morning, the women were
unconscious and non-responsive. Mr. Johnson frantically sought help and they
were rushed to the hospital. Mr. Adeyemi fled.
[5]
Tragically, one of the women died as a result of combined heroin and
ethanol toxicity. The other, whose adverse reaction was also caused by
ingesting heroin, recovered.
[6]
Mr. Johnson was panicked and scared. He did not tell the EMS responders
about any drug use and, when first questioned by police, did not mention that
the women had ingested cocaine. However, a short time later Mr. Johnson
provided a video statement to police and admitted giving the women marijuana
and a small amount of cocaine. He also told them he had marijuana at his
apartment and directed them to where they would find it. The police searched
Mr. Johnson聮s apartment. They found 800 grams of marijuana, two and one-half
grams of heroin, the remnants of a small quantity of cocaine, and $2,000 in
cash.
[7]
The police also found approximately $54,830 which Mr. Johnson had hidden
in the trunk of Mr. Moneus聮 car before giving his video statement to the police,
in the hope that the police would not find it and take it. Mr. Johnson admitted
at trial that this was money he had saved over the three years he had been
selling marijuana.
[8]
Mr. Johnson consented to the forfeiture of the $56,830 found by the
police.
[9]
Mr. Johnson was charged with several offences, including possession of
heroin for the purpose of trafficking, and manslaughter. He pled not guilty to
all counts but, at the conclusion of the Crown聮s case, he conceded that the
Crown had met its onus on the offences of trafficking cocaine, possession of
marijuana for the purpose of trafficking, and possession of proceeds. He
candidly admitted that he started selling marijuana in 2011 to supplement his
income. However, he testified that he neither dealt nor used heroin and had no
knowledge of heroin in his apartment.
[10]
The
trial judge was left in a state of reasonable doubt by Mr. Johnson聮s evidence
that he had no knowledge of the heroin in his apartment and she acquitted him
of the charge of possession of heroin for the purpose of trafficking. The trial
judge considered that, possibly, the heroin belonged to Mr. Adeyemi. She was
also left in a state of reasonable doubt on the manslaughter charge. She was
not convinced that the heroin found in Mr. Johnson聮s apartment, which was not
in a form readily consumable by snorting, had any nexus to the heroin ingested
by the two women.
Sentencing submissions
[11]
The Crown sought a global sentence of 12 months聮 imprisonment (6 months
for trafficking cocaine, plus 6 months for possession of marijuana for the
purpose of trafficking and 6 months for possession of proceeds, to be served
concurrently, but consecutive to the sentence for trafficking in cocaine),
followed by probation.
[12]
The
Crown noted that a conditional sentence was not available for trafficking in
cocaine, and, typically, a custodial sentence was imposed.
[13]
Citing
R. v. Woolcock
, [2002]
O.J. No. 4927 (C.A.), and
R. v. Butters
, 2017
ONCA 973, the Crown submitted that the range for this offence was six months to
two years, less a day, with
one-off transactions involving
small amounts of cocaine, other mitigating factors and rehabilitation prospects
at the low end, and transactions involving larger quantities of narcotics,
where the offender has a criminal record, at the higher end.
[14]
The
defence submitted that: faced with the unavailability of conditional sentences,
in 聯exceptional circumstances聰 courts had ordered non-custodial dispositions,
by way of a suspended sentence, for trafficking in cocaine; that these were
exceptional circumstances; and that Mr. Johnson should receive a 12 month
suspended sentence and one year聮s probation for the cocaine trafficking charge.
The defence further argued that the trial judge should order conditional
discharges for proceeds of crime and possession of marijuana for the purpose of
trafficking. The defence also submitted that Mr. Johnson should receive
Downes
credit for his time on bail, if sentenced to a
jail term.
[15]
No
pre-sentence report was prepared. Mr. Johnson聮s background was conveyed through
defence counsel at the sentencing hearing.
Reasons for sentence
[16]
In
her reasons for sentence, the trial judge reviewed Mr. Johnson聮s personal
circumstances.
[17]
She
noted that he was a first offender who was 27 years of age at the time of the
offences. He was born in Liberia and was an only child who was orphaned at the
age of 14 because both of his parents had been killed in the Liberian civil war.
At 16 years of age, he came to Canada as a refugee. He did well, completed high
school, and trained and worked as a welder. In 2010, he started his own
business. He started selling marijuana in 2011 to supplement his income as his
business developed. He was still selling marijuana at the time of the incident
giving rise to the charges against him but stopped doing so in 2014. By the
time of sentencing, his business had developed to the point it had over 40
contracts and employed 36 people. He provided multiple positive character
references.
[18]
The
trial judge accepted that Mr. Johnson had changed his life as result of this
tragedy. He had extracted himself from the club lifestyle and no longer sold
marijuana or engaged in the consumption of drugs. He had become involved with
his church community.
[19]
The
trial judge held that, as a first offender, Mr. Johnson was entitled to the
most lenient sentence available based on the circumstances. But those
circumstances included that he had been selling marijuana for three years prior
to the incident that brought him before the court. In addition to subsidizing
his business, he had managed to save over $50,000. She reasoned that, 聯[t]he
mitigation flowing from Mr. Johnson聮s lack of criminal record must be tempered
against this backdrop.聰
[20]
Citing
R. v. Strong
, 2019 ONCA 15, an appeal book
endorsement in a case involving 聯large scale, prolonged trafficking for profit
in marijuana聰, she held that societal and legislative changes since 2014
regarding marijuana are directed at personal use only and do not warrant a
reduction in sentence for possession for the purpose of trafficking marijuana,
which, she indicated, is still considered a serious offence.
[21]
She
noted that this was a case of social sharing of cocaine but rejected defence
counsel聮s argument that the circumstances were exceptional and warranted a
suspended sentence. His sharing of cocaine was not an anomaly in an otherwise
crime-free life. Mr. Johnson was fully immersed in the illegal selling of
marijuana. Moreover, while the quantity of cocaine involved was small, cocaine
is a highly dangerous and insidious drug.
[22]
While
Mr. Johnson had not pled guilty, he had conceded that he had committed these
crimes at the close of the Crown聮s case and this was deserving of 聯significant
mitigation聰. It was very much 聯a demonstration of his remorse and willingness
to accept responsibility for his actions.聰
[23]
She
found that Mr. Johnson聮s compliance with his strict bail conditions for four
years demonstrated his commitment to a crime-free life but that the conditions
of his bail at no point caused him undue hardship that would entitle him to a
聯Downes credit聰.
[24]
She
found the extreme hardship that Mr. Johnson had to overcome deeply compelling
and was confident that Mr. Johnson could, and would, rehabilitate himself.
However, it does not 聯override the criminal choices that Mr. Johnson made. It
is for those choices and those crimes that Mr. Johnson is being sentenced.聰
[25]
She
concluded that each of the three offences warranted a minimum of six months
incarceration. However, considering the principle of totality, Mr. Johnson聮s
personal circumstances, and his sincere and demonstrated desire to lead a
pro-social life, she was persuaded that the sentences should be served
concurrently to one another. She appreciated that the sentences would normally
be served consecutively, but this was not a typical case. Mr. Johnson persuaded
her that he was fully committed to rehabilitating himself and she had every
confidence he would succeed. As such, he was entitled to the least restrictive
sentence available.
[26]
She
gave Mr. Johnson nine days聮 credit for time served and imposed a one-year term
of probation.
The issues raised on appeal
[27]
Counsel
for Mr. Johnson argues that the trial judge erred in principle by: (1) applying
the sentencing range for street level cocaine traffickers when he had just
shared a small amount of the cocaine he had acquired for personal use with two
persons on a social occasion; (2) failing to adequately consider that he was a
relatively youthful first offender; (3) distinguishing his admissions at trial
from a guilty plea; (4) applying a range appropriate to a large-scale marijuana
organization or grow-op for the marijuana offences, resulting in a sentence
that was excessive and demonstrably unfit; and (5) declining to apply
Downes
credit for his time under restrictive bail
conditions.
Analysis
[28]
I
conclude that the sentencing judge made two errors in principle which affected
the sentence imposed.
(1)
The trial judge erred in applying the range in
Woolcock
[29]
I
agree that the trial judge erred in principle in applying the sentencing range
in
Woolcock,
urged by the Crown, to this case
of share trafficking, and that that error had an impact on the sentence
imposed.
[30]
Mr.
Woolcock was found in possession of 5.3 grams of crack cocaine. Police had
received information that Mr. Woolcock was dealing crack cocaine from a
residence and observed several instances of individuals visiting the residence
for a short time. One of the individuals observed leaving the residence was
arrested and found to be in possession of 0.5 grams of cocaine. During a search
of Mr. Woolcock聮s residence, the police found 5.3 grams of crack cocaine.
[31]
In
the context of that case - a case involving selling crack cocaine for profit at
street level - this court, at para. 15, said that:
The range for this type of offence appears to be 6 months to 2
years less a day聟However, many of the cases that fall at the higher end of this
range involved either larger quantities of narcotics or offences committed
while the accused was still on probation for a similar offence. Those
circumstances to not exist here.
[32]
This
court reduced the sentence imposed by the sentencing judge from two years less
a day to 15 months.
[33]
In
Butters
, the sentencing judge had imposed a
sentence of 12 months for a one-off transaction for a very small amount of
crack cocaine - 0.2 grams - for $20, apparently as a favour for a friend and
for no profit. This court considered that a sentence of six months, which was
at the low end of the
Woolcock
range, would
have been appropriate, but for the immigration consequences of a sentence of six
months or more. The court reduced the sentence to 160 days.
[34]
As
counsel for Mr. Johnson submits, this offence was not the type of offence at
issue in
Woolcock
where crack cocaine was sold
at street level for a profit. Or even that at issue in
Butters
,
where, although the transaction was not at a profit, the cocaine was
nonetheless sold. This was an instance of 聯share trafficking聰, where a host
shared cocaine, acquired for his personal use, with guests to his home, who
were not minors or first-time users, at their request, at no charge, and not as
part of a business transaction. While the trial judge found the women were regular
users of cocaine, she did not find they were addicts. It is less morally
blameworthy than the type of trafficking in
Woolcock
:
R. v. Lloyd
, 2016 SCC 13, [2016] 1 S.C.R. 130,
at paras. 28, 32. As this court has recently held, the absence of commercial
motive is a relevant mitigating factor in sentencing for trafficking:
R. v. Spagnola
, 2020 ONCA 638, at para. 2.
[35]
Ranges
of sentence are only guidelines, and there may well be circumstances where a sentence
for share trafficking within the range identified in
Woolcock
is appropriate. However, the trial judge did not engage in that analysis. As
this court has said, it is an error to treat guidelines as constituting a
de facto
minimum sentence:
R. v. Jacko
,
2010 ONCA 452, 101 O.R. (3d) 1, at para. 82. The trial judge聮s error in
principle was to accept the range in
Woolcock
as generally applicable to share trafficking.
(2)
The trial judge did not give proper effect to Mr. Johnson聮s status as a
first offender
[36]
I
agree with counsel for Mr. Johnson that the trial judge also erred in principle
in reducing the weight she accorded to the fact that Mr. Johnson was a
first-time offender
because
he admitted he had been trafficking in marijuana
for several years before the incident that brought him before the court. This
was the first time that Mr. Johnson had been before the court. Aside from the
charges below, Mr. Johnson had never been charged, let alone convicted, of any
offences in relation to trafficking marijuana. He was a first offender and was
entitled to be treated as such for sentencing:
R. v.
Barclay
, 2018 ONCA 114, at para. 44. Other than his admissions at
trial, there is no evidence of his involvement in the 聯drug world,聰 as the trial
judge put it.
[37]
Moreover,
the evidence before the trial judge did not suggest Mr. Johnson聮s history
selling marijuana was relevant to specific deterrence. The trial judge stated
that she was 聯confident that Mr. Johnson can and will fully rehabilitate
himself.聰 A criminal record is relevant in sentencing to the extent that it
聯rebuts good character and because of what it tells the trial judge and society
about the need for specific deterrence, the chances of successful
rehabilitation, and the likelihood of recidivism聰:
R. v.
Taylor
(2004)
,
189 O.A.C. 388 (C.A.), at para. 39.
[38]
In
my view, this error led the trial judge to give undue weight to general
deterrence and to impose a harsher sentence for all the offences than she
otherwise would have. Individual deterrence and rehabilitation are the primary
objectives in sentencing a first offender:
R. v. Priest
(1996), 30 O.R. (3d) 538 (C.A.), at p. 9.
[39]
Given
this conclusion, it is unnecessary to address Mr. Johnson聮s further arguments
that the sentences imposed for the marijuana charges were excessive and that
his admissions at trial should have been treated as a plea.
(3)
The
Downes
credit
[40]
Finally,
I see no error in the trial judge聮s conclusion that a
Downes
credit was not appropriate in the circumstances. The decision as to whether to
give
Downes
credit is a discretionary one:
R. v. Downes
(2006), 79 O.R.
(3d) 321 (C.A.), at para. 37. And, contrary to counsel for Mr. Johnson聮s
assertion, the trial judge explained her reason for declining to give credit:
the conditions of his bail at no point caused Mr. Johnson undue hardship. He
was able to continue to work while on bail and after a short period during
which a relatively strict curfew applied, his curfew was loosened to 11:00 p.m.
to 6:00 a.m. The trial judge聮s decision is entitled to deference.
(4)
A fit and appropriate sentence
[41]
In
R. v. Sharma
, 2020 ONCA 478, 152 O.R. (3d)
209, leave to appeal granted, [2020] S.C.C.A. No. 311, this court struck down
ss. 742(c) and 742(e)(ii) of the
Criminal Code
,
R.S.C. 1985, c. C-46, which eliminated the availability of conditional
sentences for drug trafficking.
[42]
In
my view, a six-month conditional sentence of imprisonment for each of the
charges, to be served in the community, concurrently, and followed by one year
of probation, is a fit sentence, having regard to all the circumstances of the
offence and the offender. Indeed, had this option been available to the trial
judge, I suspect she would have availed herself of it. This will permit Mr.
Johnson to continue the productive and pro-social life that he has built over
the last five years and best ensure the future of the employees of his business
in this time of wide-scale economic disruption caused by the COVID-19
pandemic.
Disposition
[43]
I would grant leave to appeal sentence, allow the appeal, quash Mr.
Johnson聮s sentence of six months聮 incarceration (concurrent) and impose a
six-month conditional sentence on each count, to be served concurrently, followed
by one year of probation. I would order that in addition to the conditions
which are compulsory pursuant to s. 742.3(1) of the
Criminal
Code
, during the term of his conditional sentence the conditions in
paragraphs 6, 9, 11, 12 and 13-19 of the Release Order of van Rensburg J.A.
dated March 10, 2021 shall apply and the appellant shall not change his address
without the prior approval of his supervisor.
Released: April 27, 2021 聯D.W.聰
聯Alexandra
Hoy J.A.聰
聯I
agree. David Watt J.A.聰
聯I
agree. I.V.B. Nordheimer J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Kanthasamy, 2021 ONCA 32
DATE: 20210120
DOCKET: C68293
Hoy, Lauwers and Nordheimer
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Thirumal Kanthasamy
Appellant
Frank
Addario and Wesley Dutcher-Walls, for the appellant
Holly
Loubert, for the respondent
Heard:
in writing
On appeal from the sentence imposed on September
6, 2016 by Justice Michal Fairburn of the Superior Court of Justice.
REASONS FOR DECISION
[1]
On January 17, 2020 this court released its
reasons in appeals advanced by four accused persons arising from a series of tractor
trailer thefts and robberies spanning a period of six months.
[1]
One of those accused was the
appellant, Thirumal Kanthasamy. All four accused appealed their convictions.
Three of the accused also sought leave to appeal their sentences. The appellant
did not. We dismissed the conviction appeals but granted leave to appeal the
sentences and reduced those sentences.
[2]
Subsequent to our decision, the appellant sought
leave to extend the time for leave to appeal his sentence. With the consent of
the Crown, an extension of time was granted.
[3]
The appellant seeks a reduction in his sentence
on two bases. One is that the principle of parity requires a reduction in his
sentence because this court reduced the sentences of his co-accused. The Crown agrees
that such a reduction is appropriate and consents to the appellant聮s sentence
being reduced to six and one-half years from the original sentence of eight and
one-half years.
[4]
The other basis arises from changes in the
appellant聮s personal circumstances in the nearly four years he was on bail
pending appeal, as set out in his fresh evidence application. As a result of
those changes, the appellant seeks a further reduction in his sentence to five
years, or four years after applying the pre-sentence credit of one year awarded
by the trial judge.
[5]
The Crown opposes the introduction of the fresh
evidence on the basis that, if the information had been known at the time of
the original sentencing, it would not have affected the result. In any event,
the Crown says that the fresh evidence, even if accepted, does not justify any
further reduction in the sentence imposed.
[6]
The changes in personal circumstances advanced
by the appellant fall into two categories. One relates to the appellant聮s
health. While there was evidence before the trial judge of some minor health
issues involving the appellant, the appellant now suffers from coronary artery
disease, discovered after a heart attack in 2017. The appellant says that his
time in custody not only increases the consequences of his heart condition,
through stress and alleged delayed access to medications, it also makes him
more susceptible to serious harm should he become infected with COVID-19 while
he is incarcerated.
[7]
The other category relates to the appellant聮s
family situation. The appellant has two children with his estranged wife and a
third with his current common law partner. He also acts as a father figure to
his common law partner聮s son from a previous relationship. Since he was
sentenced, the appellant聮s daughter with his estranged wife has been diagnosed
with cerebral palsy. She requires frequent therapy, which necessitates
assistance from family members and costs money. As a result of his incarceration,
the appellant聮s family is deprived of his assistance in coordinating the
therapy, and of the income he generated to defray the costs of treatment. Also,
since he was sentenced, the appellant聮s common law partner ceased working and
is on long term medical disability at 60% of her former salary. This makes the
loss of the appellant聮s income even more difficult for his common law partner
and the children they share. Further, as a result of his incarceration, the
appellant is unable to support his common law partner as she struggles with her
medical issues.
[8]
We would accept the fresh evidence. It cannot be
said with certainty that this evidence might not have affected the result if it
had been known at the time of sentencing.
[9]
That said, while collateral consequences can
properly impact the sentence imposed, the sentence that is ultimately imposed must
still be proportionate to the gravity of the offence and the degree of
responsibility of the offender:
R. v. Pham
, 2013 SCC 15, [2013] 1 S.C.R.
739, at para. 14. The three tractor trailer thefts and robberies of which the
appellant was convicted involved the use of what was either a real or imitation
firearm. In our view, a sentence of less than the six and one-half years
consented to by the Crown would not be proportionate to the gravity of the
offences and to the degree of the appellant聮s responsibility.
[10]
Accordingly, we grant leave to appeal sentence,
allow the appeal, and reduce the sentence to six and one-half years (prior to
the credit for pre-sentence custody).
[11]
Before concluding, we note that it is open to
the appellant to seek early parole from the Parole Board of Canada, which has
express statutory authority under the
Corrections and Conditional Release
Act
, S.C. 1992, c. 20, s. 121(1), to grant early parole to an inmate who
is suffering from exceptional circumstances.
聯Alexandra
Hoy J.A.聰
聯P.
Lauwers J.A.聰
聯I.V.B.
Nordheimer J.A.聰
[1]
R. v. Kanthasamy
, 2020
ONCA 25, 149 O.R. (3d) 409, reported as
R.
v. Baskaran
.
|
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.聽 These
sections of the
Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the
following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽 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. 1
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Ke, 2021 ONCA 179
DATE: 20210322
DOCKET: M52115 (C66543) & C66543
Fairburn A.C.J.O., Watt and Huscroft
JJ.A.
BETWEEN
Her Majesty the Queen
Appellant/Moving Party
and
Hongbo Ke
Respondent/Responding Party
Philippe G. Cowle, for the appellant/moving
party
No one appearing for the
respondent/responding party
Heard: January 29, 2021
by video conference
On appeal from the order staying the
proceedings by Justice Joyce L. Pelletier of the Ontario Court of Justice, dated
January 15, 2019.
Watt J.A.:
[1]
聯What聮s the remedy for a witness not attending
for their cross-examination?", the trial judge asked. Defence counsel
suggested that the charges be stayed. The Crown proposed a material witness
warrant and a brief adjournment.
[2]
聯I'm granting a stay of proceedings" the trial
judge announced. And so she did.
[3]
The Crown appeals.
[4]
These reasons explain why I would allow the
appeal, set aside the stay, and order a new trial before a different judge of
the trial court.
The Background Facts
[5]
Hongbo Ke (the respondent) was charged in an Information
with a single count of sexual assault. The Crown elected to proceed by
indictment. After an initial election of trial before a judge of the Superior
Court of Justice and a request for a preliminary inquiry, the respondent re-elected
trial before a judge of the Ontario Court of Justice.
The First Day of Trial
[6]
Trial proceedings began on August 29, 2018. The Crown
had previously filed an application for an adjournment. Three essential
witnesses were not available. The Crown explained that she proposed to adduce
the evidence of the complainant on the scheduled hearing dates. If the
adjournment were granted, the case could be completed with the evidence of the
then unavailable witnesses.
[7]
The trial judge did not rule on the Crown's application
for an adjournment. The Crown had only recently disclosed video statements of
the complainant in related investigations. Both Crown and defence counsel asked
for some time to review those statements. The trial judge acceded to the joint request.
The proceedings were adjourned to the following day.
The Second Day of Trial
[8]
On August 30, 2018, the complainant testified
with the assistance of an interpreter. Crown counsel completed her
examination-in-chief of the complainant.
[9]
Defence counsel resisted commencing his
cross-examination the following day. His cross-examination, he anticipated,
would exceed one day in length. He did not want the cross-examination
interrupted by a lengthy adjournment. The trial judge agreed.
[10]
The parties explored continuation dates. The
trial judge adjourned the proceedings to January 15-17 and February 12, 2019.
She instructed the complainant to return on January 15, 2019. The complainant
agreed to do so.
The Subpoena
[11]
About two months before the scheduled return date,
the complainant was personally served with a subpoena requiring her to return
to the trial court on January 15, 2019.
The Trial Resumes
[12]
When trial proceedings resumed on January 15,
2019, the complainant did not appear. Crown counsel explained that when staff
in the Crown Attorney聮s office spoke to the complainant late the previous day,
they learned, for the first time, that the complainant would be flying out of
Canada on January 15, 2019. She was attending China for a medical reason. She
would not be available to resume her testimony as scheduled. Staff in the Crown
Attorney's office asked the complainant to send them her travel information.
The complainant had not done so by the following morning.
[13]
The trial Crown did not learn until the return
date of January 15, 2019 that the complainant had sent an email to the Victim
Witness Assistance Program in the place of trial on November 2, 2018. In that
email, the complainant explained her travel plans on January 15, 2019 and asked
that the scheduled appearance be postponed. The email had been diverted to a
junk mail folder and was not discovered until January 15, 2019.
The Position of the Crown
[14]
The trial Crown sought a brief adjournment of
one or two weeks to permit the complainant to re-attend to complete her
evidence. On the already scheduled dates, the Crown proposed to elicit evidence
from the remaining witnesses to complete the case for the Crown, but for the
cross-examination and re-examination of the complainant.
[15]
The trial Crown pointed out that the complainant
had testified in-chief for about three hours. She had never communicated any
unwillingness to continue with her evidence or the prosecution. She had
explained well in advance of the return date her absence and the reason for it.
The complainant was a student, new to Canada, and unfamiliar with the workings
of our legal system.
The Defence Position
[16]
The trial judge asked defence counsel:
What's the remedy for a witness not attending
for their cross-examination?
[17]
Defence counsel responded with a stay of
proceedings. He sought a stay on three grounds:
i.
compromise of trial fairness;
ii.
disbelief of the complainant's explanation; and
iii.
the 聯torturous conditions" in which the
respondent had lived while the proceedings remained outstanding.
The Ruling of the Trial Judge
[18]
Neither the Crown nor the defence adduced any
evidence on any aspect of the issue. No authorities were collected. None were
proffered. The trial judge did not retire to consider what to do. She simply
announced:
I'm going to grant the stay. The proceedings
against Mr. Hongbo Ke, information 173947, because [the complainant] has not
attended for her cross-examination on a trial that was commenced August 30
th
,
2018 and in the face of a subpoena leaves the country the day before she's
scheduled to attend for trial is, is actually most prejudicial, in my view, to
her cause in terms of granting an adjournment for this trial. I just, I聮m of
the opinion that it was, she completely ignored the subpoena and left the
country to avoid attending for her cross-examination.
[19]
A short time later, the trial judge returned to
the courtroom. She added:
Sorry, in my upset and focused on the
recognizance I, I didn't endorse the information. So I'm a little, I'm going to
need some advice from counsel in terms of am I entering a not guilty finding and
a stay? It's just a stay of the proceedings.
The Appellate Proceedings
[20]
On February 11, 2019, after personally serving
the respondent, the Crown filed a notice of appeal against the trial judge's
order staying proceedings against the respondent.
[21]
Two days later, the respondent emailed the Crown.
He expressed hope that the Crown would reconsider pursuit of its appeal. The
respondent was doubtful that he would be able to retain counsel. He suggested
he would represent himself on the appeal.
[22]
About a month later, the Crown advised the
respondent of its intention to pursue the appeal whether the respondent had
counsel or represented himself. The Crown underscored the importance of the
respondent keeping the court and Crown aware of his address and contact
information.
[23]
Within days of the Crown's communication of its
intention to pursue the appeal, the respondent retained counsel.
[24]
On December 12, 2019, the Crown perfected its
appeal. The court listed the appeal for argument on May 22, 2020.
The Appeal is Relisted
[25]
When COVID-19 intervened, the court asked the
parties whether the appeal could proceed in writing. Subsequent exchanges
revealed that counsel for the respondent was having difficulty reaching his
client to obtain instructions. Despite counsel's repeated efforts through
several different channels of communication, this difficulty persisted. In late
August 2020, counsel applied to be removed from the record as solicitor of
record for the respondent. The order was granted.
[26]
The appeal was relisted for argument on January
29, 2021. Notice about the time and manner of the hearing was sent to the
respondent's most recent addresses. He was advised of the time of the remote
hearing. He was furnished with details about how he could participate in it.
The Crown received no response. The court received no response.
The Motion for Directions
[27]
As a result of the respondent's failure to
answer any requests to participate in person or by counsel to the appeal, the Crown
filed a notice of motion returnable on the date set for the hearing of the
appeal. In that motion, the Crown sought a direction under r. 19 of the
Criminal
Appeal Rules
, S.I./93-169
that
the appeal be heard in the absence of the respondent.
[28]
We heard submissions from the Crown on the
motion. After retiring briefly, we advised Crown counsel that we would grant
the motion with reasons to follow and proceed to hear the appeal on its merits.
At the conclusion of that argument, we reserved our decision on the merits of
the appeal.
[29]
In the reasons that follow, I will explain first
why I consider this an appropriate case in which to proceed in the absence of
any participation by the respondent. Then, I will turn to an assessment of the
merits of the appeal.
Disposition of the Motion
[30]
In my respectful view, the interests of justice
warrant an order that the appeal be heard in the absence of any participation
by the respondent.
[31]
The trial proceedings with which we are
concerned originate in allegations of serious sexual offences against a
vulnerable complainant. The accusations were of four separate incidents on
different days. Two of those incidents involved non-consensual unprotected
sexual intercourse. The complainant also described continued surveillance of
her daily activities by the respondent. The sexual contact had been initiated
by the respondent almost immediately after the complainant's arrival in Canada.
[32]
The order under appeal was made when the Crown
sought a brief adjournment after learning the previous day of the
unavailability of the complainant to complete her evidence. Other witnesses
were available. The Crown proposed to elicit its evidence leaving only the
remaining portion of the complainant's testimony to complete the case for the Crown.
There was no evidence before the trial judge that the complainant no longer
wished to participate in the trial process. Or that she wished to abandon her
allegations of serious sexual misconduct by the respondent.
[33]
It is well-established that entry of a stay of
proceedings is a remedy reserved for the 聯clearest of cases". It is not a
typical response to an application for a brief adjournment because a material
witness has failed to reappear four and one-half months after she first
testified. Typical or otherwise, a review of the circumstances surrounding its
entry in this case reveal that the appeal has substantial merit.
[34]
The appeal in this case was initiated within 30
days of the entry of the stay. The respondent was served personally. He
received not only the notice of appeal, but also a substantial set of materials
explaining his obligations and available options for representation as the
respondent. The Crown made it clear to the respondent from the outset that the
appeal would be pursued whether the respondent participated or declined to do
so.
[35]
At one point, the respondent suggested that he
would be self-represented. Later, he retained counsel. Despite counsel's
repeated efforts to maintain contact and obtain instructions, the respondent
did not reply. Counsel was removed from the record. Repeated communications
from the Crown about scheduling and how the respondent could participate in the
appeal, including details about the hearing, went unanswered. The respondent
has returned to China, thus is not amenable to the process of this court. The
only reasonable inference is that he no longer wishes to participate in this
appeal.
[36]
In the result, I am satisfied that this is a
case in which we should determine the merits of the appeal despite the lack of
participation by the respondent.
The Appeal
[37]
The Crown advances four grounds of appeal. None
require a canvass of the evidence adduced at trial. Brief reference to some
aspects of the proceedings that led to entry of the stay is sufficient.
The Grounds of Appeal
[38]
The Crown says that the trial judge erred:
i.
by failing to exercise her discretion judicially
in denying the Crown's request for a brief adjournment of trial proceedings;
ii.
by staying the proceedings in breach of the
rules of natural justice;
iii.
by failing to provide reasons sufficient to
permit meaningful appellate review; and
iv.
by staying the proceedings in the absence of any
evidence warranting such an order.
[39]
This appeal falls within s. 676(1)(c) of the
Criminal
Code
, R.S.C., 1985, c. C-46
.
Unlike a Crown appeal from acquittal under s. 676(1)(a) of the
Criminal
Code
, this appeal from a stay of proceedings entered by a trial court is
not limited to questions of law alone.
[40]
For discussion purposes, I will collapse the
grounds of appeal into two. The first focuses on the trial judge's decision to
refuse the adjournment application made by the Crown. The second relates to the
remedy provided for the complainant's non-attendance: a stay of proceedings.
Ground #1: Refusal of the Adjournment
[41]
When trial proceedings resumed on January 15,
2019 after an adjournment of four and one-half months, the Crown sought a brief
adjournment of one or two weeks so that she could contact the complainant and
determine her availability to complete her evidence. The Crown had only learned
that the complainant would not be present the previous day when advised of that
fact by staff in the Crown Attorney's office.
[42]
The Crown proposed to use the time set aside for
the continuation of the proceedings to complete the case for the Crown except
for the conclusion of the complainant's evidence. In fact, the complainant had
advised the Victim Witness Assistance Program two and one-half months earlier
of her scheduling conflict, but her email was diverted to a junk mail folder
and only located the morning the trial was scheduled to resume. The complainant
had been re-served with a subpoena. Nothing in the record suggested that the
complainant would not subsequently appear or that she no longer wished to
participate in trial proceedings.
[43]
The trial judge asked defence counsel about the
remedy for the failure of a witness to attend for cross-examination. Counsel proposed
a stay of proceedings. The Crown, when asked, sought a material witness warrant
and a brief adjournment of proceedings to determine the complainant's
availability after the Crown's case was otherwise completed.
[44]
The trial judge did not invite further
submissions. She did not retire to consider her decision. She refused to issue
a material witness warrant and concluded that the complainant 聯left the country
to avoid attending for her cross-examination". The trial judge also cited
the 聯very difficult, difficult circumstances" of the appellant's release
as an 聯emotionally torturous" experience. She expressed her 聯upset"
at what had happened.
[45]
The trial judge dismissed the Crown's proposed
remedies and entered a stay of proceedings.
The Arguments on Appeal
[46]
The appellant contends that the trial judge
erred in failing to grant the Crown's request for a brief adjournment when the
complainant failed to re-attend. The trial judge's decision was based on
factual findings that were devoid of any evidentiary foundation and lacked any principled
basis.
[47]
The Crown readily accepts that trial judges have
a wide discretion in determining whether to grant or refuse an adjournment
request. Likewise, their exercise of that discretion is subject to considerable
deference on appeal. But that deference, the Crown says, gives way when the
discretion is exercised unreasonably, or when its exercise is flawed by legal
error. Both occurred here.
[48]
In this case, the Crown continues, the trial
judge failed to consider, much less apply, the factors articulated by the Supreme
Court of Canada 65 years ago in
Darville v. The Queen
(1956), 116 C.C.C.
113 (S.C.C.) when an adjournment is sought because a material witness has
failed to attend. The trial judge failed to provide the trial Crown with the
opportunity to demonstrate satisfaction of the
Darville
requirements.
This failure, in both its aspects, amounted to legal error.
[49]
What is more, the appellant argues, the decision
was unreasonable.
[50]
The trial judge based her conclusion on two
findings of fact. First, she concluded that the circumstances of the
respondent's release were 聯very difficult聰. She adopted, as her own, the 聯torturous"
characterization advanced by defence counsel. Second, she found that the
complainant used her medical reason as an excuse to mask her true purpose 聴 to
avoid cross-examination.
[51]
Neither of these findings had any evidentiary
support. Beyond defence counsel's statement about the respondent聮s travails on
release, the record is bankrupt of any evidentiary support for the
characterization adopted by the trial judge. And there was not a scintilla of
evidence to support the finding that the complainant was absent because she
sought to avoid cross-examination. The complainant made no effort to avoid
re-service of the subpoena. She was unfamiliar with Canada's legal system and
had communicated her conflict over two and one-half months earlier.
The Governing Principles
[52]
Section 571 of the
Criminal Code
permits
a provincial court judge acting under Part XIX to adjourn a trial from time to
time until the trial is finally terminated. Like other adjournment provisions
in the
Criminal Code
, such as ss. 537(1)(a) and 645(2), s. 571
contains no exhaustive or illustrative list of factors the judge is required or
entitled to consider in determining whether to grant or refuse an adjournment.
[53]
In
Darville
, at p. 117, the Supreme
Court of Canada identified three factors for a court to consider in determining
whether to grant an adjournment required to procure the attendance of a
material witness:
i.
that the absent witness is a
material
witness in the case;
ii.
that the party requesting the adjournment has
not been guilty of laches or neglect in failing to endeavour to procure the
witness聮 attendance; and
iii.
that there is a reasonable expectation that the
witness' attendance can be procured at the future time to which the party
proposes the trial be adjourned.
See also
R. v. G. (J.C.)
(2004), 189 C.C.C. (3d) 1 (Que. C.A.), at para.
10, leave to appeal refused, [2004] C.S.C.R. No. 456.
[54]
To refuse an adjournment without giving the
requesting party the opportunity to demonstrate satisfaction of the relevant
criteria is an error of law:
Darville
, at p. 117;
G. (J.C.)
,
at para. 11.
The Principles Applied
[55]
I would give effect to this ground of appeal. In
my respectful view, the trial judge聮s decision to refuse the adjournment
request was at once legally flawed and patently unreasonable.
[56]
In this case, the trial judge was faced with a
request from the Crown for a brief adjournment so that the complainant could be
contacted about her availability to complete her testimony. The Crown proposed
completing her case but for the balance of the complainant's evidence in the
days that had already been set aside to conclude the trial. The proceedings had
been adjourned earlier at the request of defence counsel, who had refused to
begin his cross-examination of the complainant when she had completed her
evidence in-chief.
[57]
Decisions on applications for an adjournment
involve the exercise of judicial discretion. They require consideration of
all
the circumstances to determine what is in the best interests of the
administration of justice. The exercise of discretion must be principled. It
must be firmly grounded in the circumstances disclosed in the case at hand. The
interests of justice are a joint venture, not a sole proprietorship. They are
not for the sole use of one party to the exclusion of the other.
[58]
In this case, the Crown's request for a brief
adjournment was based on the absence of a material witness who had already
testified in-chief. The controlling principles for the exercise of that
discretion were those of
Darville
. It was an error of law for the
trial judge to dismiss the adjournment request without providing the Crown with
an opportunity to demonstrate that it had met the requirements of
Darville
.
And it was equally an error not to consider those principles.
[59]
The complainant was a material witness. She had
given evidence of a series of sexual assaults by the respondent over several
days. The allegations included two events of non-consensual unprotected sexual
intercourse. The complainant was new to Canada, unfamiliar with our legal
system, a student intending to pursue a graduate degree. She had communicated
her scheduling conflict to the Victim Witness Assistance Program two and
one-half months earlier. That her communication was directed to junk mail was
scarcely her fault.
[60]
The complainant had been advised by the trial
judge of her obligation to return when trial proceedings were scheduled to
resume four and one-half months after she had completed her examination in-chief.
She agreed. She was re-served with a subpoena two months before the scheduled
return date. The Crown contacted her the day before her scheduled re-appearance
and only learned then of her plan to leave Canada on the return date for a medical
reason. The Crown asked for a copy of her travel itinerary, but she had not
provided it by the return date. In hindsight, the Crown should have contacted
the complainant earlier about her re-attendance. But its failure to do so could
scarcely be described as laches or neglect.
[61]
The record reveals no basis for an inference
that the complainant's absence was permanent. The reason advanced for the
absence 聴 a medical reason 聴 was not suggestive of any permanence. The
complainant was new to Canada and attending graduate school at a Canadian
university. She had already given evidence over an entire day. There was no
basis to conclude that she would not re-attend to complete her testimony. At
the very least, a brief adjournment would have enabled the Crown to confirm the
complainant's position. If she made it clear that she had no intention of
reappearing, the respondent would be the beneficiary of the adjournment.
[62]
In addition to the legal errors I have just
identified, I am also satisfied that the trial judge聮s decision to refuse the Crown's
adjournment request was unreasonable.
[63]
The trial judge made two findings of fact that
were the linchpins in her decision to refuse the adjournment and enter a stay
of proceedings. She found, as defence counsel had submitted, that the
respondent had been subjected to 聯torturous" bail conditions and she
concluded that the complainant's explanation for her absence 聴 a medical reason
聴 was an excuse to mask her true reason 聴 to avoid cross-examination.
[64]
In my respectful view, neither finding is
supported on the record of the proceedings.
[65]
With respect to the first finding, the
respondent appears to have been released on his own recognizance on the day of
his arrest. The conditions in his recognizance are typical of those routinely
included in cases of this nature. The only differences appear to be in the
requirements that he deposit his passport and wear a monitoring device. The monitoring
device was ordered removed by the trial judge on August 31, 2018. The
respondent was not subject to house arrest or a curfew. Nor was he detained in
custody. Trial proceedings were timely, the four and one-half month adjournment
at his counsel's request.
[66]
The second finding 聴 that the complainant
claimed a medical reason to avoid cross-examination 聴 also finds no support in
the evidence. The complainant advised the Victim Witness Assistance Program of
her conflict two and one-half months before the return date. She accepted
service of a subpoena two weeks later. She was unfamiliar with our criminal
justice system. When contacted by the Crown the day before the return date and
her departure, there was no suggestion that she would not reappear. It would
have been preferable for her to have provided her travel itinerary, as
requested by the Crown, but her failure to do so cannot support the conclusion
drawn by the trial judge.
[67]
On this basis alone, I would set aside the stay
and order a new trial.
Ground #2: Entry of a Stay of Proceedings
[68]
The second ground of appeal alleges error in the
entry of a stay of proceedings as the remedy for the failure of the complainant
to re-attend the trial proceedings to complete her testimony.
[69]
The circumstances in which the stay was entered
have already been canvassed and need not be repeated. A brief reference to the
arguments advanced by the appellant will provide a suitable frame for the
discussion that follows.
The Arguments on Appeal
[70]
The appellant says that a stay of proceedings is
an extreme remedy, reserved for the clearest of cases. Its entry in this case
frustrated the truth-seeking process and deprived the complainant and the
public of a trial and an adjudication on the merits. It is tantamount to an
acquittal without a trial.
[71]
In this case, the appellant continues, the
proceedings that culminated in entry of the stay were procedurally unfair,
lacking in the essentials of natural justice. The Crown received no meaningful
notice of the application for a stay of proceedings and was not afforded any
meaningful opportunity to respond to the legal arguments or factual assertions
put forward in support of the application by defence counsel.
[72]
The appellant points to another aspect of
procedural fairness as lacking in these proceedings, one that, in its view,
amounts to reversible error. The trial judge failed to provide reasons
sufficient to permit meaningful appellate review of her decision to stay
proceedings. Read as a whole, in light of the circumstances before her, the
positions of the parties, and the issues in play, the reasons do not reveal
that the trial judge seized the substance of what was before her. She gave no
reasons for making adverse findings against the complainant and adopted,
without more, the emotive language of defence counsel. What was said is unrevealing
of any consideration of less drastic remedies than a stay of proceedings, or of
the basis for entry of the stay.
[73]
At all events, the appellant submits, the
circumstances of this case fall well short of what is required to warrant a
stay of proceedings. This was not the clearest of cases. There was no evidence
of any prosecutorial misconduct. The proceedings were timely. Nothing done or
omitted compromised the respondent's right to make full answer and defence. If
any prejudice resulted from the complainant's failure to re-attend on the
resumption of trial proceedings, alternative remedies were available.
Completion of the balance of the case for the Crown. A brief adjournment to
determine the complainant's availability to re-attend. And if she were
unwilling or failed to attend, striking her evidence from the case for the Crown.
A fair trial remained viable. But the trial judge failed to engage in any
balancing of the interests, as the authorities governing stays of proceedings
require.
The Governing Principles
[74]
A stay of proceedings is the most drastic remedy
a criminal court can order. This is so because it halts the prosecution of an
accused. A stay of proceedings frustrates the truth-seeking function of a
criminal trial. It deprives the public of the opportunity to see justice done
on the merits. Victims of crime are deprived of their day in court:
R. v.
Babos
, 2014 SCC 16, [2014] 1 S.C.R. 309, at para. 30, citing
R. v.
Regan
, 2002 SCC 12, [2002] 1 S.C.R. 297, at para. 53.
[75]
However, courts recognize that there are some
cases in which a stay of proceedings for an abuse of process will be warranted.
These cases are rare. It is only 聯the clearest of cases聰 when a stay of
proceedings will be warranted:
Babos
, at para. 31, citing
R. v.
O'Connor
, [1995] 4 S.C.R. 411, at para. 68. At bottom, each assertion of
an abuse of process, thus each claim for a stay of proceedings, is rooted in
state conduct.
[76]
In general, stays of proceedings for an abuse of
process will be warranted in two categories of cases:
i.
where the state conduct compromises the fairness
of an accused's trial (the main category); and
ii.
where the state conduct creates no threat to
trial fairness but risks undermining the judicial process (the residual
category).
See
Babos
, at para. 31,
citing
O'Connor
, at para. 73.
[77]
The test to determine whether a stay of
proceedings should be entered is the same for both categories. It consists of
three requirements:
i.
prejudice to an accused聮s right to a fair trial,
or the integrity of the justice system that will be manifested, perpetuated, or
aggravated through the conduct of the trial or its outcome (the
prejudice
element);
ii.
absence
of an
alternative
remedy
capable of redressing the prejudice (the
remedy
element); and
iii.
in cases of uncertainty after consideration of
elements i and ii, an assessment of the
balance
between the interests
favouring entry of a stay, such as denouncing misconduct and preserving the
integrity of the justice system, against society's interest in a final decision
on the merits (the
balancing
element).
See
Babos
, at para. 32,
citing
Regan
, at paras. 54, 57. See also
Canada (Minister of Citizenship
and Immigration) v. Tobiass
, [1997] 3 S.C.R. 391, at paras. 91-92.
[78]
For cases in the main category, the question
involved in the
prejudice
element is whether the accused's right to a
fair trial has been prejudiced by the state conduct and whether that prejudice
will be carried forward through the conduct of the trial. The focus is on
whether there is
ongoing
unfairness to the accused:
Babos
, at
para. 34.
[79]
For cases in the residual category, the
prejudice
element is concerned with whether the state conduct, usually but not always
misconduct, offends societal notions of fair play and decency and whether
proceeding with a trial in the face of that conduct would harm the integrity of
the justice system:
Babos
, at paras. 35, 37;
Tobiass
, at para.
91.
[80]
In connection with the
remedy
element,
the question is whether some remedy short of a stay is capable of redressing
the prejudice. The spectrum of available remedies depends on the nature of the
prejudice involved. Where the main category is implicated, with its concern
about trial fairness, the focus is on restitution of an accused's right to a
fair trial. For the residual category, where the claim has to do with prejudice
to the integrity of the justice system, the focus is on whether something less
than a stay will adequately dissociate the justice system from the state
conduct going forward:
Babos
, at para. 39.
[81]
The
balancing
element assumes added
importance for cases that invoke the residual category. The task of the court
is to decide which of two options better protects the integrity of the justice
system: staying the proceedings or having a trial despite the challenged
conduct. Relevant factors include but are not limited to:
i.
the seriousness of the state conduct;
ii.
the systemic or isolated nature of the conduct;
iii.
the circumstances of the accused;
iv.
the offences charged; and
v.
society聮s interest in a trial on the merits.
See
Babos
, at para. 41.
[82]
An accused who seeks a stay under the residual
category faces an onerous burden. This follows from the combined effect of the 聯clearest
of cases聰 threshold and the balancing of societal interests that must take
place in such cases. Cases warranting a stay will be 聯exceptional聰 and 聯very
rare". A stay will be entered only where the affront to fair play and decency
is disproportionate to society聮s interest in the effective prosecution of
criminal cases:
Babos
, at para. 44;
Tobiass
, at para. 91; and
R. v. Conway
, [1989] 1 S.C.R. 1659, at p. 1667.
The Principles Applied
[83]
As I will explain, I would give effect to this
ground of appeal. Simply put, neither the circumstances of the case nor the
governing legal principles support entry of a stay of proceedings as the
appropriate remedy for the complainant's failure to re-attend for the
resumption of trial proceedings.
[84]
This case does not involve any allegation of
constitutional infringement. The proceedings were timely. There was no tenable
allegation of a breach of the right to make full answer and defence. There was
no reason to conclude that the respondent would not be afforded the opportunity
to cross-examine the complainant at a later date. Recall that the
cross-examination could have been commenced on the day following the complainant's
evidence in-chief, but was delayed by four and one-half months due to the
respondent's insistence on the grounds of trial fairness. Other witnesses were
available and sufficient time allotted to complete their evidence. But for the
intransigence of defence counsel, there was no reason their evidence could not
have been adduced.
[85]
In the absence of any constitutional
infringement to ground a claim for the remedy of a stay of proceedings, I turn
to the availability of the doctrine of abuse of process as a potential source
for the remedy afforded.
[86]
At bottom, abuse of process involves state
conduct that compromises the fairness of an accused's trial or risks
undermining the integrity of the judicial process.
[87]
In this case, it is debatable whether any state
conduct is implicated.
[88]
The complainant's failure to re-attend can
scarcely be laid at the feet of the state. She was re-subpoenaed two months
before the resumption of trial proceedings. She agreed to return at the
conclusion of her evidence in-chief. There is no suggestion that the state
colluded in her absence. The trial judge's conclusion that the complainant's
failure to attend was due to her wish to avoid cross-examination is at best
tenuous, perhaps better said, speculative.
[89]
The trial judge's eager grasp of defence
counsel's characterization of the respondent's 聯torturous聰 existence under the
conditions of his release order moves no freight in the abuse of process
analysis. The terms of the release were commonplace. No house arrest. No
curfew. And the electronic monitoring term was removed by the judge herself.
[90]
This was not 聯the clearest of cases聰 as the
authorities demand for entry of a stay of proceedings. There was no state
conduct offensive to societal notions of fair play and decency. A witness did
not show up in accordance with her subpoena. For her own reasons. Sometimes,
this happens. It shouldn聮t, but it does. But it is not cause to invoke the most
drastic of remedies to halt the prosecution. That the judge was displeased 聴 in
her own words, 聯upset" 聴 affords no basis for a stay of proceedings.
[91]
Other remedies short of a stay of proceedings
were available. Use the court time to hear the balance of the case for the Crown.
Direct the Crown to determine the availability of the complainant. Depending on
the response, reschedule the proceedings. Consider any applications that may
arise out of the response. If the complainant fails to attend, consider the
remedy.
[92]
In this case, the trial judge did not apply the
test that determines whether a stay of proceedings was warranted. Her findings
of fact about the complainant's motive for failing to attend and the
respondent's 聯torturous聰 experience are at best tenuous, if not entirely
speculative. And there was no balancing of interests, as required by
Babos
,
at para. 41.
[93]
In my view, the stay of proceedings must be set
aside.
Disposition
[94]
For these reasons, I would allow the appeal, set
aside the stay of proceedings, and order a new trial to be held before a
different judge of the trial court.
Released: March 22, 2021 聯JMF聰
聯David Watt J.A.聰
聯I agree. Fairburn A.C.J.O.聰
聯I agree. Grant Huscroft J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Kennedy, 2021 ONCA 378
DATE: 20210603
DOCKET: C67363
Simmons, Gillese and Huscroft
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Bradley Kennedy
Appellant
Chris Rudnicki and Angela Chaisson, for
the appellant
Victoria Rivers, for the respondent
Heard: May 25, 2021 by video
conference
On appeal from the conviction entered on
December 6, 2018, by Justice Robert W. Rogerson of the Ontario Court of Justice.
REASONS FOR DECISION
[1]
This is an appeal against conviction for
possession of methamphetamine (聯meth聰) for the purpose of trafficking. The
appellant argues that the verdict is unreasonable, and that the trial judge
erred in admitting and relying on anecdotal evidence of the police expert that
he had never spoken with anyone who said they had picked up, for personal use,
an amount of meth in excess of 3. 5 grams (the 聯impugned testimony聰). Relying
on
R. v. Sekhon
, 2014 SCC 15, [2014] 1 S.C.R. 272, the appellant
argues that the impugned testimony was inadmissible because it was irrelevant,
unnecessary, and more prejudicial than probative.
[2]
For the reasons that follow, the appeal is
dismissed.
Background in Brief
[3]
The appellant left a drug house after purchasing
a single bag of 28 grams of meth for $800. The residence was under police
surveillance. After leaving the residence, the appellant got into a taxi. He was
arrested shortly afterwards and taken to the police station. Shortly afterwards,
the police found the bag of meth hidden between the seat cushions in the back
of the police cruiser.
[4]
The appellant admitted possession of the drugs. The
sole issue at trial was whether that possession was for the purpose of
trafficking.
[5]
After reading in agreed facts, the Crown called
a single witness 聳 a police officer who was qualified as an expert in the areas
of pricing and purchasing of crystal meth, and the consumption habits and use
of crystal meth by people in the community. Defence counsel at trial conceded
his expertise and that it met the preconditions for threshold admissibility 聳
relevance and necessity. Trial counsel did not object to any aspect of the
expert testimony.
[6]
The expert explained that meth is commonly sold
by point, which is the equivalent of a tenth of a gram. The average cost of 0.1
grams is ten to twenty dollars. The price range for 28 grams is between $800
and $1,200. He testified that it was his opinion that the 28 grams of meth the
appellant possessed was for the purpose of trafficking. When asked by the prosecutor
why he was of that opinion, the expert gave the impugned testimony. He
immediately added that there were many reasons why purchasers for personal use bought
much smaller quantities. He gave three reasons. First, the cost of the drugs in
issue in this case was around $1,000. A person struggling with addition does
not generally have that amount of disposable income readily available. Second,
buying such a quantity leaves the purchaser open to the risk of robbery and
theft from other addicts. Third, the purchaser of a quantity of this sort is at
greater risk of being caught by the police.
[7]
The appellant testified on his own behalf. He
said he was going to use all of the meth himself and not share or sell any of
it. He was 38 years old at the time and had previously been addicted to meth in
his twenties. He had been clean for 14 years but relapsed about a year prior to
his arrest. At the time of his arrest, the appellant was divorced, unemployed,
addicted to meth, and subsisting on rental payments from tenants 聳 also meth
users 聳 who shared what had been his family home. He claimed he could easily go
through a gram of meth a day and could binge for several days at a time. He
explained that although the tenants in his home were transient and rarely paid
rent on time, the day before his arrest, for the first time, the tenants had
paid the full $2,000 in rent. The appellant testified that the dealer had given
him a pipe and syringe, but these were not found on his person when he was
arrested.
[8]
The trial judge rejected the appellant聮s
testimony, finding it was 聯fluid and inconsistent at the best of times聰. He
noted discrepancies in the appellant聮s testimony about how he got the money,
where he got it from, and whether he got it in cash or partly from cheques. He
found the appellant聮s testimony to be 聯internally and externally inconsistent聰.
[9]
The trial judge concluded by stating:
聯The ounce of methamphetamine, which is an
extremely large amount, as the expert has indicated, and is certainly many
times what a normal user would buy, is indicative of possession for the
purposes聰.
Analysis
[10]
We do not accept that the police expert made a
Sekhon
error. He did not extrapolate from inadmissible anecdotes to impute guilt
on the part of the Appellant. The expert simply explained that he had never
encountered anyone who had purchased meth for personal use in quantities beyond
3.5 grams. His opinion that the appellant possessed the meth for the purpose of
trafficking was grounded in objective facts: the inherent risks a purchaser
encounters in possessing such a large quantity, including possible theft from
other addicts; the tenants in the appellant聮s home were meth addicts; the
appellant聮s precarious financial situation; and, the significant cost of one
ounce of meth in the appellant聮s financial circumstances.
[11]
In any event, the trial judge appears not to
have relied on the impugned evidence: his analysis makes no mention of it.
Rather, he relied on the reasons the expert had given for why purchasers for
personal consumption usually bought in much smaller quantities.
[12]
Nor do we accept that the verdict is
unreasonable. Having rejected the appellant聮s testimony as incredible, the
trial judge concluded that no reasonable inference other than 聯possession for
the purpose聰 was available on the evidence. On the appellant聮s own evidence, as
well as that of the expert, this was a significant quantity of meth. Although
the appellant had not been under surveillance and the circumstances of his
arrest lacked other indicia of trafficking, indicia of personal use were also
lacking. In the absence of an explanation, the trial judge was entitled to draw
an inference of guilt.
Disposition
[13]
Accordingly, the appeal is dismissed.
聯Janet Simmons J.A.聰
聯E.E. Gillese
J.A.聰
聯Grant Huscroft
J.A.聰
|
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.聽 These
sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the
following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽聽 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. Lai, 2021 ONCA 139
DATE: 20210304
DOCKET: C68031
Doherty, Watt and van Rensburg
JJ.A.
BETWEEN
Her
Majesty the Queen
Appellant
and
Shu-Seng Lai
Respondent
Alexander Alvaro, for the appellant
Matthew Gourlay, for the respondent
Heard: February 26, 2021 by video conference
On
appeal from the acquittals entered by Justice Nancy M. Mossip of the Superior
Court of Justice, dated January 15, 2020, reported at
R. v. Lai
, 2020
ONSC 0231.
REASONS FOR DECISION
[1]
The respondent, a practitioner of Traditional
Chinese Medicine (聯TCM聰), was charged with sexually assaulting three clients.
The alleged assaults occurred in the course of the respondent聮s purported
treatment of the complainants. With respect to C.B. and L.B., the defence conceded
the relevant touching occurred, but argued it was part of an appropriate TCM
treatment referred to in the evidence as 聯energy work聰. With respect to the
allegations of S.C., which the defence conceded did not involve conduct which
could be described as acceptable TCM treatment, the defence maintained the
conduct never occurred.
[2]
The appellant did not testify. An expert in TCM
did testify, describing the accepted treatments and techniques used in various TCM
treatments, including 聯energy work聰. The treatments could include touching and
massaging of a client聮s chest and touching of the pelvic area, just above the
vagina. Touching of the vagina or labia was not part of any accepted treatment.
In any event, whatever the treatment, it was essential that the practitioner
obtain the client聮s consent to any touching.
[3]
The trial judge acquitted the respondent on all
counts. In doing so, she held that the evidence of each complainant was not
admissible as similar fact evidence on the counts involving the other
complainants.
[4]
The Crown appeals.
[5]
The appeal focuses primarily on the trial
judge聮s treatment of one part of C.B.聮s evidence. C.B. testified that during a
session involving 聯energy work聰, the respondent rubbed her breasts under her
sweater and touched her labia. Shortly afterward, she spoke to the respondent
on the telephone. According to C.B., the respondent said he wanted her to come back
for another energy treatment and he intended to put his finger in her vagina.
[6]
The Crown claimed the statement made by the
respondent was evidence rebutting the defence contention that any touching
during the prior session involved appropriate treatment. The Crown also argued
the statement was a tacit admission of the prior assault and an indication of the
respondent聮s intention to repeat the assaultive conduct, if afforded the
opportunity.
[7]
The defence argued, among other things, that
C.B.聮s evidence concerning the substance of the conversation with the
respondent was unreliable and should not be accepted as an accurate account of
the conversation.
[8]
The trial judge reviewed C.B.聮s evidence at
length. With respect to her evidence about the phone call with the respondent
shortly after the alleged assault, the trial judge concluded, at para. 463:
The evidence as to the phone call and its
contents did not assist me one way or the other as to the nature of the
touching that occurred on October 9, 2012. I cannot rely on C.B.聮s testimony as
to what was said on that call and attribute a 聯guilty mind聰 to Mr. Lai as
suggested by the Crown.
[9]
The Crown submits the trial judge erred in law
by failing to properly analyze the relevance and probative value of C.B.聮s
evidence concerning the statement made to her by the respondent during the
phone call. The Crown argues the trial judge wrongly limited her consideration
of the probative value of the evidence to its potential admissibility as post-offence
conduct going to the respondent聮s state of mind.
[10]
We cannot agree with Crown counsel聮s
interpretation of the trial judge聮s reasons at para. 463. In our view, in that
passage the trial judge indicated she was not prepared to accept C.B.聮s evidence
as to the content of the conversation she had with the respondent. In short, the
trial judge could not find the respondent said what C.B. testified he had said
during the conversation. Absent a finding the statement was made, there was no
basis upon which to go on and consider the inferences that could or could not
be drawn from that statement had it been made.
[11]
The trial judge gave two reasons for finding
that C.B.聮s evidence concerning the conversation was unreliable (see paras.
461-62). Both reasons are supported in the evidence.
[12]
It was open to the trial judge to come to the
conclusion she did in respect of the reliability of C.B.聮s evidence. More
importantly, for the purposes of this appeal, her determination as to the
reliability of that part of C.B.聮s evidence did not give rise to any question
of law upon which the Crown could appeal to this court. Deciding what evidence
to accept as reliable and what evidence to reject as unreliable is an essential
first step in the fact-finding process. This evidence failed to clear that
first hurdle. The Crown cannot point to any error in law tainting the trial
judge聮s finding.
[13]
The Crown聮s second ground of appeal arises out
of the trial judge聮s similar fact ruling. The Crown candidly acknowledges this
ground cannot succeed if the first ground of appeal fails. As we have rejected
the first ground, it follows that this ground of appeal fails as well.
[14]
The appeal is dismissed.
聯Doherty
J.A.
聯David Watt J.A.聰
聯K.
van Rensburg J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Lancaster, 2021 ONCA 184
DATE: 20210323
DOCKET: C68692
Rouleau, Pepall and Roberts JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Steven Lancaster
Appellant
Tamar Bitton, for the appellant
Nicholas Hay, for the respondent
Heard and released orally: March 19, 2021 by
video conference
On appeal from the sentence imposed on July 27, 2020 by
Justice Angela L. McLeod of the Ontario Court of Justice.
REASONS FOR DECISION
[1]
The appellant seeks leave to appeal his sentence of 8 months less 106
days of credit for pre-sentence custody for his conviction for dangerous
operation, resisting arrest, breach of probation, and breach of a release
order. He also asks that the 12-month driving prohibition be struck from the
probation order imposed. Lastly, he seeks leave to admit fresh evidence.
[2]
The appellant submits, and the Crown concedes, that the sentencing judge
erred in imposing a sentence exceeding that proposed by the parties in the
absence of inviting additional submissions. Both submit that the appellant聮s
sentence should be reduced to time served.
[3]
The sentence of six months less credit for pre-sentence custody
originally proposed by the Crown was fit. However, the fresh evidence discloses
that the appellant has made significant progress towards rehabilitation.
[4]
The appellant received bail pending appeal on September 29, 2020. The
31-year-old appellant has been gainfully employed since October 2020.
Importantly, he is addressing his drug addiction through Narcotics Anonymous.
He has strong family and employer support. He is currently nine days shy of the
warrant expiry date based on a six-month sentence. It is not in the public
interest to subject the appellant to reincarceration. His sentence should be
reduced to time served.
[5]
As for the driving prohibition, the sentencing judge found his driving
to be abominable. At his sentencing hearing, the appellant sought a driving
prohibition of six months. As such, the imposition of such a condition cannot
be considered inappropriate. In our view, a 12-month driving prohibition is a
fit condition in the circumstances of the offences. We see no reason to
interfere with the conditions imposed by the sentencing judge.
[6]
The issue of the
Duncan
credit is moot given that we have
reduced the sentence to time served. We see no need to address this issue on
the record before us.
[7]
Leave to admit the fresh evidence and to appeal sentence are granted and
the sentence appeal is allowed. The appellant is sentenced to time served on
the same conditions imposed by the sentencing judge.
聯Paul Rouleau J.A.聰
聯S.E. Pepall J.A.聰
聯L.B. Roberts J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Lewis, 2021 ONCA 59
DATE: 20210201
DOCKET: C67318
Rouleau, van Rensburg and Miller
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Angella Lewis
Appellant
Angella Lewis, acting in person
Michael Dineen, appearing as duty
counsel
Sandy Thomas, for the respondent
Heard: January 12, 2021 by
video conference
On appeal from the conviction entered by
Justice Ivan S. Bloom of the Superior Court of Justice, sitting with a jury, on
February 28, 2019 and from the sentence imposed on July 31, 2019.
REASONS FOR DECISION
[1]
The appellant was convicted of importing
cocaine, contrary to s. 6(1) of the
Controlled Drugs and Substances Act
,
S.C. 1996, c. 19. Through duty counsel, she appealed on the basis that the
trial judge ought to have discharged two jurors (in addition to one juror who
was discharged) and declared a mistrial. The appellant also argued two grounds
of appeal on her own behalf: that her right to trial within a reasonable time guaranteed
by s. 11(b) of the
Charter
was infringed; and that her right to make
full answer and defence was compromised by the loss of airport surveillance
video.
[2]
For the reasons that follow, the conviction appeal
is dismissed. The sentence appeal was not argued and is dismissed as abandoned.
ANALYSIS
Application for a mistrial
[3]
In the trial judge聮s charge to the jury, he
instructed the jurors that they were to take their instruction on the law from him,
and not to consult other sources. However, it was later discovered that one of
the jurors (Juror #4) brought into the jury room two articles the juror had
found on the internet. One article addressed how to select a jury foreperson, and
the other addressed the meaning of reasonable doubt. When this was brought to
the trial judge聮s attention 聳 prior to the jury having given its verdict 聳 the
trial judge conducted an inquiry beginning with Juror #4 and questioning each
juror in turn. Juror #4 told the trial judge that he had brought the two
articles into the jury room, that each of the jurors had read the article about
foreperson selection, and that two of them had also looked at the article on
reasonable doubt. The trial judge then asked the other jurors in succession
whether they had been shown an article on reasonable doubt, whether they had looked
at any other material regarding the law or evidence in this case, and whether
they were able to follow the trial judge聮s instructions regarding the law. Most
of the jurors advised that they had not looked at any extraneous material
regarding law, which arguably conflicted with Juror #4聮s statement that all of
the jurors had read the foreperson selection article. The trial judge then
reopened the inquiry to specifically ask those jurors why they had not
mentioned the foreperson selection article. Most of the jurors advised that
they had not seen the foreperson selection article. Those who acknowledged having
read the article explained why they did not mention it in response to the trial
judge聮s question. One had forgotten having read it. Another did not consider it
to be an article regarding law.
[4]
On the application for a mistrial, the trial
judge concluded that Juror #4 had demonstrated an unwillingness to be guided by
the trial judge聮s instructions, and he therefore discharged that juror, with the
agreement of the Crown. But the trial judge did not declare a mistrial, having
been satisfied from the inquiry that the remaining jurors would faithfully
discharge their duties.
[5]
The trial judge made no error in dismissing the
application for a declaration of mistrial. The trial judge conducted an
appropriate inquiry and reached a reasonable conclusion about the fitness of
the remaining jurors and the fairness of the trial. As the trial judge noted,
the application for the declaration of mistrial was not made on the basis of
the content of the materials viewed, which did not relate to the factual issues
before the jury. The application was based on the initial non-disclosure by two
jurors that they had seen the article about foreperson selection, and whether
that non-disclosure negated the presumption that the jurors would perform their
duties and follow the instructions they had been given.
[6]
The trial judge made no error in concluding that
the presumption was not rebutted, given his satisfaction with the explanations
given by the jurors for non-disclosure. The assessment was the trial judge聮s to
make, and he made it reasonably. The trial judge made no error in concluding
that a mistrial was not necessary, and that any potential for trial unfairness
could be remedied with an appropriate direction to the jury. There was no challenge
at trial to the sufficiency of the trial judge聮s instruction in this regard
(indeed the trial judge sought and obtained input from both Crown and defence
counsel on the precise wording). We find that the instruction was sufficient
and there was no resulting trial unfairness.
Section 11(b) application
[7]
The appellant brought a s. 11(b) application pre-trial,
but she could not perfect it as she was unable to secure funding for
transcripts. She was denied legal aid for this particular disbursement, and the
trial judge was not prepared to order the preparation of transcripts in the
absence of a formal application for funding. That application was never
brought, and the s. 11(b) application relating to pre-conviction delay was
never heard.
[8]
On appeal, although the appellant seeks to renew
the s. 11(b) application in its entirety, the emphasis is now on the
post-conviction, pre-sentencing delay.
[9]
With respect to delay pre-conviction, the
argument cannot succeed. The fact remains that there is much in dispute, there
are no transcripts, and there is therefore no evidential foundation on which the
claim could be advanced. However, things stand on a different footing with
respect to the period of delay between conviction and sentencing, for which
there are sufficient transcripts and no real factual dispute about what
transpired. Conviction was entered on February 28, 2019, and reasons for
sentence were delivered on July 31, 2019. Shortly thereafter, this court
decided
R. v. Charley
, 2019 ONCA 726, 147 O.R. (3d) 497, which
established a five-month presumptive ceiling for delay between verdict and
sentencing, after which the delay is presumed to be unreasonable and must be
justified by the Crown.
[10]
It is agreed that the total delay is five months
and three days, largely the result of scheduling of the
Gardiner
hearing, which had to be adjourned due to the unavailability of witnesses. The
Gardiner
hearing was scheduled to be heard March 27-29, 2019, was adjourned to April
23-25, and the ruling was given on June 10. Sentencing submissions commenced
immediately thereafter and the sentence was imposed on July 31.
[11]
The question that arises is whether the
Gardiner
hearing constitutes an exceptional circumstance under the
Jordan
framework, such that it should be deducted from the delay. The appellant argues
that it should not, because the
Gardiner
hearing was necessitated by a
tactical decision of the Crown at trial to invite the jury to return a verdict
of guilty if it found the appellant had imported one cannister containing
cocaine. The defence pointed to evidence suggesting that cannisters carried by
another passenger had been mixed up with the appellant聮s articles. 聽At trial, the
Crown sought to ground the conviction in the importation of one particular cannister
that stood on a different evidential footing. The jury convicted the appellant,
but this necessitated a
Gardiner
hearing to determine the quantity of cocaine
imported for the purposes of crafting a fit sentence. The appellant argues that
the resulting delay should be attributed to the Crown in the
Jordan
analysis,
and not be considered an exceptional circumstance.
[12]
We do not agree. A case in which a
Gardiner
hearing becomes necessary is not the routine sentencing framework contemplated
by this court in
Charley
when the presumptive ceiling of five months
was set. Without the benefit of full argument on the issue, we do not purport
to resolve the question of whether a
Gardiner
hearing is best
characterized as a discrete event, a matter of complexity, or some other
category of exceptional circumstance. It is sufficient to note that the
Gardiner
hearing was an exceptional circumstance.
[13]
We find that the delay of five months, three
days, after the necessity of the
Gardiner
hearing is taken into
account, reduces the net delay to well under the five-month ceiling, and does
not constitute unreasonable delay. That disposes of the s. 11(b) argument.
Lost surveillance video
[14]
With respect to the lost evidence argument, the
appellant argues that she was unable to make full answer and defence because of
the absence of security video from the secondary inspection area. The appellant
argues that the video, had it been available, could have supported her argument
that the four cannisters of cocaine said to have come from her luggage actually
came from another passenger and were attributed to her through error.
[15]
Canada Border Services Agency officers testified
at trial that the area for secondary inspection was video recorded, though
neither of them had seen or requested the video from that day and did not know whether
it existed at the time of trial. An agreed statement of facts filed in evidence
at the trial attests that although the CBSA records video of passengers passing
through the Toronto Pearson Airport, no video is available for the date of the
appellant聮s passage through the airport on May 29, 2015, because 聯the video
recording system suffered a large computer system failure聰, and that the lost
video records would not have included any audio.
[16]
In the instructions to the jury, the trial judge
noted the evidence addressing the absence of the video and the defence theory
of prejudice. On the instruction given, the jury was able to understand the
defence position that the Crown had not proved the charges beyond a reasonable
doubt, given the absence of a video recording in circumstances where a video
recording is routinely made but a system wide computer system failure had
occurred, as well as the evidence relevant to that position. The impact of the
lost video on the appellant聮s right to make full answer and defence was not
argued at trial; nor was there any objection to the jury instructions on this
issue. No more was required. The jury instruction was sufficient and fair.
DISPOSITION
[17]
The appeal is dismissed.
聯Paul Rouleau J.A.聰
聯K. van Rensburg J.A.聰
聯B.W. Miller J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Lewis, 2021 ONCA 372
DATE: 20210602
DOCKET: C66220
Watt, Roberts and Zarnett JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Nigel Lewis
Appellant
Mark C. Halfyard, for the appellant
Sarah Shaikh and Erryl Taggart, for the respondent
Heard: April 19, 2021 by video conference
On appeal from the conviction entered on May 15, 2018 and
the sentence imposed on June 12, 2018 by Justice Marquis S.V. Felix of the Ontario
Court of Justice.
REASONS FOR DECISION
[1]
The appellant appeals from his convictions for importation and possession
of cocaine for the purpose of trafficking. He seeks leave to appeal his custodial
sentence of three and a half years.
Factual overview
[2]
The following evidence was not contested at trial.
[3]
Durham Regional Police carried out a controlled delivery of an
intercepted package containing 132 grams of cocaine hidden in packages of
preserved fruit sent from Trinidad and Tobago via the United Kingdom. The police
obtained a general warrant to follow the package and installed a tracking
device that would alert police when the package was opened. The sender of the
package was 聯Andy Thomas聰 and it was addressed to 聯Maxene Alexander聰 at Unit #9
on a street in Oshawa.
[4]
When an undercover police officer, disguised as a Canada Post delivery
person, arrived at the address, the appellant walked over from #10, which shared
a driveway with #9, and asked 聯Is that for Maxene?聰. The officer confirmed that
it was. The appellant indicated that 聯Maxene聰 was at work and offered to take
the package for her. The appellant told the officer that he lived at #10 and
went inside #10 to retrieve his driver聮s licence. When the officer queried why
his licence showed a different address, the appellant reiterated that he lived
at #10. The officer asked if 聯Maxene聰 was the appellant聮s girlfriend. He said
she was. The appellant then asked the officer 聯It聮s from Andrew Thomas, right?聰
and signed for the package before taking it back to #10.
[5]
Less than half an hour after the package was delivered, the tracking
device was triggered, indicating that the package had been opened. Police
immediately battered down the front door and discovered the appellant with
another male, Emryis Lewis, who is not related to the appellant, in front of
the partially opened package. The individual packets of preserved fruit
containing the cocaine had not yet been opened. Both men fled out the back door
and were arrested a short distance away.
[6]
The owner of #10, Sarah Chapman, testified at trial that she was in a
relationship with Emryis Lewis and that the appellant was a friend. She left
them in charge of her apartment while she attended to a family emergency. She
testified that the appellant did not live at #10. She provided the names of a
mother and her daughter who lived at #9, neither of whom was Maxene Alexander.
She described #9 as a party house, with people coming and going.
Judgment and sentence
[7]
The appellant聮s control of the package containing the drugs having been
conceded, the trial judge drew the inference that the appellant had specific
knowledge that there were illegal drugs in the package from the circumstances
surrounding the controlled delivery. Alternatively, he noted that he could
impute knowledge of the contents to the appellant because he was in the midst
of opening the delivered package when the police executed the search warrant.
The trial judge concluded that the appellant聮s guilt was the only reasonable
inference arising out of the Crown聮s circumstantial case.
[8]
The trial judge sentenced the appellant to three and a half years聮 imprisonment
for importing the cocaine and six months concurrent for possession of the
cocaine for the purpose of trafficking. He reduced the sentence by six months
to account for restrictive conditions during the appellant聮s 18 months on interim
judicial release.
Convictions appeal
[9]
The appellant submits that the verdicts are unreasonable because the
trial judge failed to consider other equally reasonable inferences that would
have led to an acquittal. Those inferences, according to the appellant,
included that he was in fact accepting a package on behalf of his girlfriend,
whom the Crown failed to prove did not exist, and that the appellant聮s presence
at #10 and acceptance of the package was fortuitous given the unexpected
departure of Ms. Chapman to deal with her family emergency.
[10]
We
are not persuaded by these submissions.
[11]
The
appellant takes no issue with the correctness of the legal principles that the
trial judge applied in his consideration of all the evidence. The trial judge
understood that the Crown聮s case was circumstantial and that the appellant聮s
guilt had to be the only reasonable inference available on the totality of the evidence.
He also recognized that an absence of evidence could give rise to a reasonable
doubt of the appellant聮s guilt. In our view, the trial judge聮s determination that
the appellant had knowledge, control and, as a result, possession of the drugs
was the only reasonable inference available on the evidence, and we share his
conclusion.
[12]
The
Crown聮s failure to prove that Maxene Alexander does not exist does not displace
the reasonable inference that the appellant was accepting the package on his
own behalf or jointly with Maxene Alexander, or, if on her behalf, with
knowledge of its contents. Ms. Chapman聮s evidence was that nobody by the name
of Maxene Alexander lived at #9, and she did not testify that the appellant,
her friend, was in a relationship with someone named Maxene. In any event, it
was the appellant who was waiting at the door of #10 and who immediately
approached the undercover police officer, lying twice about his residence in
order to secure possession of the package and asking questions that revealed
his knowledge of both the sender and recipient of the package without the
officer first advising him. Finally, shortly after the appellant took
possession of the package, the police surprised the appellant and Mr. Lewis in
the process of opening the package that the appellant suggests belonged to
someone else. The appellant and Mr. Lewis then fled out the back door.
[13]
It
is equally unlikely that the appellant聮s presence at #10 was fortuitous. The
appellant was friends with Ms. Chapman and her boyfriend, who was with the appellant
as he opened the package. There was evidence that the package could be tracked.
The two men had charge and control of #10 during Ms. Chapman聮s absence and, as
noted above, clearly had knowledge of when and from whom the package would
arrive. The only reasonable inference is that the appellant was present at #10
in order to receive the package, which he did.
[14]
We
see no error in the trial judge聮s analysis or conclusions.
Sentence appeal
[15]
The
appellant submits that the sentence imposed is demonstrably unfit.
Specifically, the appellant argues that the trial judge erred by imposing a
sentence well outside the range for smaller amounts of cocaine recommended by
this court in
R. v. Hamilton
(2004), 241 D.L.R. (4th) 490 (Ont. C.A.).
The appellant was convicted of importing 132 grams of cocaine. He argues,
however, that the sentence imposed was more in keeping with sentences for
importation in the kilogram range and inconsistent with sentences for smaller
amounts of cocaine. The appellant submits that he has effectively served about
eleven months and that the appropriate disposition would be time served.
[16]
We
do not accept these submissions.
[17]
First,
the three and a half-year sentence was within the range. Although this court in
Hamilton
indicated that the bottom end of the three to five-year range
articulated in
R. v. Madden
(1996), 104 C.C.C. (3d) 548 (Ont. C.A.), should
be adjusted downward when the amount of cocaine falls below one half kilogram, the
court did not establish an upper limit for smaller amounts. The cases relied
upon by the appellant to establish a lower sentencing range are distinguishable,
most notably because the sentences were imposed following guilty pleas.
Moreover, as the trial judge rightly noted, the fashioning of a fit sentence is
not a mathematical calculation, and the weight of the drugs in issue is only
one factor among many to be considered.
[18]
In
any event, it is well established that a trial judge is not bound by sentencing
ranges and is required to impose a sentence that is fit in all the
circumstances for the individual offender:
R. v. Lacasse,
2015 SCC 64,
[2015] 3 S.C.R. 1089, at paras. 51 and 60. That is what the trial judge did
here. He properly balanced the applicable mitigating and aggravating factors of
this case. He recognized that the appellant was a good person and a hard
worker, and that he enjoyed considerable support from family and friends. He
looked at the seriousness of the offences, the appellant聮s dated record for
drug trafficking, and his role at the managerial level in planning and
executing the offences to avoid detection. While the trial judge fairly
determined that the sentencing principles of denunciation and deterrence were
paramount, he also took into account the appellant聮s prospects for
rehabilitation and paid particular regard to the principles of totality and
restraint. Moreover, he granted six months聮 credit for the appellant聮s
difficult release conditions and considered the collateral consequences of the
sentence, including immigration consequences, even if these did not ultimately
affect his final determination.
[19]
While
it falls at the higher end of the range for the importation of this amount of
cocaine in similar circumstances, the sentence imposed was fit. We see no basis
to interfere with it.
Disposition
[20]
The
appeal from conviction is dismissed. While leave to appeal sentence is granted,
we dismiss the appeal.
聯David Watt J.A.聰
聯L.B.
Roberts J.A.聰
聯B. Zarnett
J.A.
聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Luangchaleun, 2021 ONCA 108
DATE: 20210218
DOCKET: M52039
MacPherson
J.A. (Motions Judge)
BETWEEN
Her
Majesty the Queen
Responding Party
and
Kevin Luangchaleun
Applicant
Kevin Luangchaleun, acting in person
Lindsay Daviau, appearing as duty
counsel
Nicole Rivers, for the responding party
Heard: February 9, 2021 by video conference
REASONS
FOR DECISION
[1]
More than 11 陆 years ago, on June 12, 2009, the
applicant Kevin Luangchaleun was found not criminally responsible (NCR) by
reason of mental disorder of assault with a weapon and criminal harassment. He
has remained under the jurisdiction of the Ontario Review Board (ORB) since
that date.
[2]
The facts that gave rise to the underlying
charges against the applicant can be briefly stated. On February 16, 2009, the
applicant, while under the influence of substances, attended a restaurant in
Newmarket and tried to locate the complainant who was an employee working
there. He had done this on several previous occasions. This time, he became
enraged and started waving a large butcher knife in the air in a threatening
manner when other employees would not let him speak to the complainant or enter
farther into the premises.
[3]
The test on an application to extend the time to
file a Notice of Appeal is 聯whether the applicant has demonstrated that justice
requires that the extension of time be granted聰:
R. v. Menear
, (2002),
162 C.C.C. (3d) 233 (Ont. C.A.), at para. 21. As the court said in
Menear
,
at para. 20:
There is no absolute rule to be applied in the
exercise of the discretion whether or not to grant an extension of time. The
court will, however, usually consider the following three factors:
(i) whether the applicant has shown a
bona
fide
intention to appeal within the appeal period;
(ii) whether the applicant has accounted for
or explained the delay; and
(iii) whether there is merit to the proposed
appeal.
[4]
On the first factor, the applicant filed a
Notice of Appeal on December 10, 2020. This is 11 陆 years after the NCR finding
and almost as long outside the appeal period.
[5]
In his affidavit, the applicant states that he
has always had an intention to appeal the NCR finding. This is a bald assertion
and says nothing about his intention to appeal within the appeal period.
[6]
On the second factor, in the Notice of Motion
one of the grounds is that the applicant 聯needed additional time to seek legal
advice for his NCR appeal聰. In his affidavit, the applicant states: 聯I have
been unsuccessfully to have numerous counsel help over the last 11 years, and
because legal aid had denied me this right to bring this appeal numerous times
before this date.聰 Although one can have sympathy for an NCR accused trying to
navigate the criminal justice appeal system, especially while continuing to be
under the jurisdiction of the ORB, the applicant聮s explanation does not justify
an 11 陆 year delay in filing a Notice of Appeal challenging the NCR finding.
[7]
On the third factor, I see no merit in the
applicant聮s proposed appeal against the NCR finding. Applications for an
extension of time to file a Notice of Appeal and applications for the
appointment of counsel pursuant to s. 684 of the
Criminal Code
overlap
in one important respect: the tests for resolving the applications both contain
as a crucial factor the merits of the appeal.
[8]
On December 23, 2020, the applicant brought an
application for the appointment of counsel to represent him on his application
for an extension of time to file a Notice of Appeal from the NCR finding in
2009. In reasons dated January 12, 2021, Coroza J.A. dismissed the application.
With respect to the merits of the proposed appeal, Coroza J.A. said, at paras.
13-16:
First, I agree with the Crown that as the
application and appeal have no merit, they will not be helped by the
appointment of counsel.
Second, the only grounds of appeal articulated
in relation to the NCR appeal are broadly worded:
a)
The court erred in fact and law;
b)
The court erred in fact and law in finding the appellant NCR;
c)
The court聮s disposition is unreasonable in the evidence;
d)
The court conducted a hearing that ignored the basic rights of
procedural fairness, which created substantial prejudice to the appellant.
Nothing in the materials before me would allow
this court to determine the merits of these proposed grounds of appeal.
This is not a close case. The application is
dismissed.
[9]
My analysis on the 聭merits of the proposed
appeal聮 issue on the motion for an extension of time to file a Notice of Appeal
is identical to that of Coroza J.A. on the s. 684 application.
[10]
For these reasons, the application for an
extension of time to file a Notice of Appeal challenging the 2009 NCR ruling is
dismissed.
聯J.C. MacPherson J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v. Luu, 2021 ONCA 311
DATE: 20210512
DOCKET:
C66161
Fairburn
A.C.J.O., Trotter and Coroza JJ.A.
BETWEEN
Her
Majesty the Queen
Respondent
and
Van
Phuc Luu
Appellant
Mindy Caterina, for the appellant
Moray Welch and Surinder Aujla, for the
respondent
Heard: October 29, 2020 by
video conference
On appeal from the conviction entered on
August 13, 2018, and the sentence imposed on October 23, 2018, by Justice
Stephen J. Hunter of the Ontario Court of Justice.
Coroza J.A.:
OVERVIEW
[1]
After a trial in the Ontario Court of Justice,
the appellant was convicted of conspiracy to traffic in a controlled substance,
trafficking in methamphetamine, and possession of the proceeds of crime
exceeding $5,000.
[2]
The appellant was one of the targets of a
lengthy Ontario Provincial Police (聯OPP聰) drug trafficking investigation. On
May 11, 2015, the OPP saw the appellant and Kristopher Jerome complete a drug
deal in a carpool lot in Port Hope, Ontario. The two men were arrested
following an exchange of bags. The police seized 523聽grams of
methamphetamine from one bag in Jerome聮s car and $12,240 from another bag in
the appellant聮s car. Two phones belonging to Jerome were also seized. These
phones were searched, and the police seized text conversations between the
appellant and Jerome suggesting that the appellant was Jerome聮s drug supplier.
Some of the conversations referenced Jerome聮s offer to sell the appellant a
firearm. Other conversations referenced a variety of drugs, including fentanyl.
[3]
The appellant brought a pre-trial application
seeking the exclusion of evidence based on alleged violations of his rights
under ss. 8, 9, and 10 of the
Canadian Charter of Rights and Freedoms
.
The trial judge dismissed the application. As a result of the trial judge聮s
ruling, the appellant conceded that he was in possession of the proceeds of
crime but argued that the Crown could not prove the conspiracy and trafficking
charges beyond a reasonable doubt.
[4]
The Crown relied on a report tendered by a
police officer who analyzed the text messages exchanged between the appellant
and Jerome. The Crown argued that the text messages revealed that the appellant
was supplying Jerome with methamphetamine so that Jerome could sell the drug in
the Napanee area.
[5]
The appellant testified that he was not a drug
dealer and that on May聽11,聽2015 he met Jerome to purchase a pistol
from him. He testified that the true owner of the car he was driving asked him
to exchange bags with Jerome. He had no knowledge of the drugs found in
Jerome聮s car. The trial judge rejected the appellant聮s evidence, stating that
it was 聯fraught with inconsistencies聰 and that it 聯bordered on fantasy聰. He
convicted the appellant of conspiracy to traffic in a controlled substance,
trafficking in methamphetamine, and possession of proceeds of crime over $5,000.
The appellant was sentenced to a global sentence of six years and six months聮
incarceration. The appellant appeals his convictions and sentence.
THE GROUNDS OF APPEAL
[6]
On the conviction appeal, the appellant argues
that the trial judge erred in dismissing his s. 10(b) claim. The appellant
submits that the police did not fulfill their duty to ensure he understood his
right to counsel. He also claims the trial judge聮s reasons for dismissing his
s. 10(b) claim were confusing and insufficient. Additionally, and for the first
time on appeal, the appellant raises an argument that the police failed to
implement his right to counsel without delay, since he did not speak to duty
counsel for more than seven hours after his arrest.
[7]
The appellant claims that if this court finds
that his s. 10(b) rights were breached, we should perform the required analysis
under s. 24(2) of the
Charter
. He argues that we should exclude the
money seized from the appellant聮s car and the observational evidence of the
officers who watched the exchange between the appellant and Jerome on May 11,
2015. He seeks an acquittal on the proceeds count and a new trial on the drug
charges.
[8]
As to sentence, the appellant contends that in
his reasons for sentence, the trial judge improperly considered factors that
were irrelevant and not aggravating. The appellant argues that the sentence
imposed should be set aside and replaced by a global sentence of four and
one-half years聮 to five years聮 incarceration. In support of that submission,
the appellant asks this court to admit and consider fresh evidence.
[9]
For the following reasons, I would dismiss the
conviction appeal. While I would grant the appellant leave to appeal sentence and
admit the fresh evidence, I would also dismiss the sentence appeal.
SUMMARY OF THE FACTS
[10]
Beginning in January of 2015, the OPP began an
investigation into Kristopher Jerome and Travis Dennis聴both known drug dealers
in the Napanee area. The investigation revealed that the appellant was
supplying Jerome drugs, and specifically methamphetamine from Toronto.
Surveillance revealed that the appellant met Jerome on February 26 and May 7,
2015. He was driving a car registered to a Randolph Lynch.
[11]
On May 11, 2015, the police saw the appellant
and Jerome meeting in a carpool lot in Port Hope, Ontario. It was raining
heavily. The police saw Jerome get out of his car and enter the appellant聮s
car. After spending some time in the appellant聮s car, Jerome returned to his
car carrying an orange bag. The police believed that a transaction was taking
place and arrested both men. The orange bag in Jerome聮s car contained
methamphetamine. A bag in the appellant聮s car contained $12,240.
[12]
During his arrest, Cst. Price of the OPP read
the appellant his rights to counsel and caution. The rights were read outside
in the heavy rain. Cst. Price initially informed the appellant that he was
under arrest for drug trafficking and asked him to spell his name. According to
Cst. Price, the appellant spelled his name out in English and provided him with
a date of birth. Cst. Price then read the appellant his right to counsel from a
card and asked him if he understood. The appellant replied 聯yes聰 in English.
When he was asked if he wanted to speak to a lawyer, the appellant replied, 聯I
don聮t know聰.
[13]
Cst. Price decided that, because of this
response and the fact that the appellant spoke with an accent, he should
explain the rights to the appellant in simple English. He explained each of the
points on the card. According to Cst.聽Price, the appellant confirmed that
he understood because he made eye contact and nodded. He also confirmed that he
understood English when he was asked by Cst. Price. According to Cst. Price,
the appellant confirmed a second time that he understood his right to counsel.
When asked a second time if he wanted to speak to a lawyer, the appellant again
replied, 聯I don聮t know聰.
[14]
After reading the appellant his rights and
caution, Cst. Price then turned him over to the Port Hope Police Service. Cst.
Price believed that he told the officers that the appellant had not specified a
lawyer that he wanted to talk to, and that they may wish to follow up with the
appellant about providing him with duty counsel or a lawyer of his choice.
[15]
The appellant testified during the
voir dire
that he believed that Cst.聽Price was speaking English, but that he could
only hear parts of what Cst. Price was saying. He testified that he nodded at
Cst. Price because it was cold, raining, and he wanted to get to a warmer place,
not because he understood what Cst.聽Price was saying. He also testified
that he spoke to duty counsel during the early morning hours without the
assistance of an interpreter and did not understand duty counsel聮s advice.
DISCUSSION
(1)
Issue 1: Did the Trial Judge Err in Dismissing
the s. 10(b) Application?
[16]
In his ruling dismissing the appellant聮s
Charter
application, the trial judge found that Cst. Price was direct and careful about
the rights that he communicated to the appellant. He noted that Cst. Price
recognized that there may have been some difficulty in communicating with the
appellant and that, as a result, the officer decided to repeat the rights to
counsel in simple language. He noted that the appellant acknowledged that his
rights had been read twice and that he told Cst.聽Price that he understood
his rights twice. The trial judge then went on to find that:
There was nothing that was articulated by Mr.
Luu to the Officer Constable Price at the time the rights to counsel and
caution and arrest were described to him that would lead Detective Constable
Price to believe that there was any difficulty in the understanding capacity of
Mr. Luu.
[17]
The trial judge concluded:
He did, of course, indicate problems with
understanding the English language but it聮s quite clear throughout that he did
not communicate that to anyone. If, in fact, the Crown went further, after he
spoke to duty counsel to suggest that it was appropriate to take a statement
from him in the absence of the interpreter I would agree with [counsel for the
appellant] that certainly that may be questionable. But they did not. They made
sure that Mr.聽Luu had communication with duty counsel and went no further
in terms of attempting to obtain, nor did they obtain, any further evidence
from him by way of statement or otherwise after the takedown itself had
occurred.
[18]
On appeal, the appellant renews his claim that
his s. 10(b) rights were infringed. First, with respect to the informational
component of s. 10(b), the appellant argues that the trial judge erred by
finding that there was 聯nothing聰 that would have led Cst. Price to believe that
the appellant had difficulty understanding English. The appellant points to Cst.
Price聮s testimony that after he finished reading the appellant his rights, he
turned him over to the Port Hope police and advised them that the appellant had
not indicated he wanted to speak to a lawyer, so they may want to follow up in
terms of providing him with access to duty counsel or a lawyer of his choice.
[19]
I see no error in the trial judge聮s analysis and
I would not give effect to this argument. In my view, the trial judge聮s
findings that Cst. Price carefully recited the appellant聮s rights to counsel,
and that the appellant understood his rights when they were read to him, are
fully supported by the evidence led on the
voir dire
. The appellant
testified on the
voir dire
and claimed he did not understand his rights.
The trial judge was entitled to reject that claim and find that the
informational component of s. 10(b) had not been infringed. On the trial
judge聮s findings, Cst.聽Price properly conveyed the required information
and the appellant understood what Cst. Price told him. Those findings were
firmly anchored in the evidence. That evidence included the following:
路
The appellant verbally confirmed he understood
English;
路
The appellant nodded and made eye contact with
Cst. Price when he was asked if he understood his rights;
路
The rights to counsel were read twice by Cst.聽Price;
路
Cst. Price聴who noticed the appellant聮s accent
and his response: 聯I don聮t know聰 to whether he wanted counsel聴decided to repeat
the rights to counsel in simple language. The appellant confirmed he
understood.
[20]
Nor am I persuaded that Cst. Price聮s comments to
the Port Hope police suggested that he had difficulty understanding the
appellant. I view Cst. Price聮s comments as a direction to the Port Hope police
that the appellant had not invoked the right to counsel.
[21]
Second, the appellant claims that the trial
judge聮s reasons were confusing and insufficient. The appellant argues that the
trial judge appears to have held that it would have been 聯questionable聰 if the
Crown argued that it was appropriate, after the appellant spoke to duty
counsel, for the police to take a statement from him in the absence of an
interpreter. The appellant states that the reasons can be interpreted to mean
that the trial judge found that the police would have infringed the appellant聮s
s. 10(b) right by taking a statement, and that such a finding necessarily means
the trial judge concluded that the appellant
did
assert his s.聽10(b)
right. The appellant points to this alleged inconsistency, among others, to
argue that the reasons give rise to conflicting theories as to why the trial
judge decided the application in the way that he did, representing an error of
law.
[22]
I do not agree with these submissions. My view
of the issue is that the trial judge was addressing a very cursory submission
on this point made by defence counsel. These comments did not factor into the
court聮s reasoning process in relation to whether s. 10(b) had been violated. On
the trial judge聮s findings, the appellant understood English and was not under
any misapprehension of what was being said to him about his rights.
[23]
Third, the appellant argues the police failed to
discharge their implementational duties under s. 10(b), because the appellant did
not receive access to duty counsel until more than seven hours after his
arrest. With respect, it is not appropriate for this court to address this
argument. It was not advanced in the court below and there is a lack of
evidence as to what occurred after the appellant was turned over to the Port
Hope police. Even if it were proper for this court to entertain this argument
for the first time on appeal, the appellant faces an uphill climb, as there is
no evidence on this record that the appellant expressed a wish to exercise his
rights to counsel that would trigger the police聮s implementational obligations:
see
R. v. Fuller
, 2012 ONCA 565, 295 O.A.C. 309, at para. 17.
[24]
In light of my conclusion that the trial judge
did not err in dismissing the s.聽10(b) application, it is not necessary to
address the appellant聮s s. 24(2) arguments. The appeal against conviction is
dismissed.
(2)
Issue 2: Did the Trial Judge Err by Considering
Irrelevant or Unproven Aggravating Factors?
[25]
On the sentence appeal, the appellant takes
issue with some of the trial judge聮s findings.
[26]
First, he contends that the trial judge erred in
finding that he had a 聯higher involvement聰 in the drug distribution hierarchy
than Jerome or Dennis. I do not accept this argument. There was overwhelming
evidence that the appellant was higher in the drug chain than Jerome and Dennis.
The appellant was responsible for transporting drugs and supplying Jerome with
drugs in the Napanee area. It stands to reason that he was one of Jerome聮s main
suppliers and, without the appellant, Jerome could not traffic drugs in
Napanee. Furthermore, the evidence indicated that Jerome and Dennis were
similarly situated in the drug distribution hierarchy. Accordingly, I see no
basis to interfere with the trial judge聮s common sense finding.
[27]
Second, the appellant argues that the trial
judge erred in his treatment of text messages between the appellant and Jerome
in which they converse about the potential transfer of fentanyl and firearms.
The trial judge held that this was an aggravating factor. The appellant submits
that this was an error because there was no evidence that the transfers ever materialized.
[28]
I recognize that the trial judge provided
cursory reasons as to why the open discussions of fentanyl and firearms were an
aggravating factor in the circumstances of this case. However, after carefully
considering the evidence that was before him, I conclude that it was open to the
trial judge to reason that these discussions were relevant as an aggravating
factor.
[29]
There was no dispute that the text messages referencing
fentanyl and firearms were admissible at trial and sentencing. Generally, the text
messages revealed that the appellant was involved in a conspiracy to traffic
different drugs, including large amounts of methamphetamine. In text messages
dated February聽7,聽2015, Jerome and the appellant discussed purchasing
fentanyl patches for $5,000 to $10,000. In text messages dated approximately
January 25-27, March 12, April 28, and April 30, 2015, Jerome and the appellant
also discussed the sale of a gun to the appellant. In these messages, the
appellant requested pictures of a firearm and the pair discussed prices between
$2,500 and $3,000. In a message dated April 30, 2015, the appellant specifically
requested a .40 calibre firearm.
[30]
I do not agree that these discussions were irrelevant
in determining a fit sentence for the appellant. Facts tending to establish the
commission of other offences of which an accused has not been charged or convicted
can be admitted to enable a court to determine a just and appropriate sentence:
s. 725(1)(c) of the
Criminal Code
, R.S.C., 1985, c. C-46;
R. v.
Angelillo
, 2006 SCC 55, [2006] 2聽S.C.R. 728, at paras. 22-27; and
R.
v. Edwards
(2001), 155 C.C.C. (3d) 473, (Ont. C.A.), at paras. 63-65. The
text messages revealed that the appellant was a drug trafficker operating at a
high level. He was also interested in purchasing a firearm from his
co-conspirator. This evidence was relevant to show the appellant聮s background
and the seriousness of the criminal conspiracy in which he entered. It is true
that the appellant was specifically charged with a conspiracy to traffic in
methamphetamine. However, I read the trial judge聮s reasons as stating that,
since the appellant was also prepared to participate in fentanyl trafficking and
to purchase a gun from his co-conspirator, this conspiracy was one that involved
serious criminality. It was open to the trial judge to find that this was an aggravating
factor.
[31]
There was no objection by defence counsel to the
admission of these text messages. Indeed, the appellant gave evidence of his
drug dealing activities and his interest in purchasing firearms when he
testified on his own behalf at trial. He sought to use this evidence in an
exculpatory way. As this court observed in
R.聽v.聽Chanmany
,
2016 ONCA 576, 338 C.C.C. (3d) 578, at para. 54, leave to appeal refused,
[2017] S.C.C.A. No. 88, 聯it ill lies in [the appellant聮s] mouth now to deny the
relevance of the evidence he himself adduced to his character for the purpose
of sentencing聰.
[32]
Nor do I accept the appellant聮s argument that, since
there was no evidence that the discussions of firearms and fentanyl ever materialized,
they should not have been considered by the trial judge. There is one simple answer
to the appellant聮s submission: the appellant and Jerome were arrested, putting
an end to their conspiracy. A review of the text messages reveals that the discussions
about fentanyl and the firearm were not just idle talk. The appellant and
Jerome contemplated the transfer of fentanyl and firearms as part of their
conspiracy. They discussed specifics, including the price of fentanyl, the price
of a firearm, obtaining a photo of a firearm, and acquiring a particular type
of firearm. The text messages do not suggest that the appellant withdrew or
abandoned his interest in fentanyl or the pursuit of the firearm prior to the
date of arrest. Accordingly, it was open to the trial judge to give weight to
the magnitude of the crime contemplated by the conspirators聮 agreement:
R.
v. Russo
et al.
(1998), 130 C.C.C. (3d) 339 (Ont. C.A.), at paras.
12-16.
[33]
Finally, the appellant seeks leave to introduce
fresh evidence, consisting of three letters from the appellant聮s family. The
documents provide this court with an update on the appellant聮s behaviour while
on bail pending appeal. The appellant has been assisting his family members
with their financial and living expenses and has clearly taken positive strides
to improve his life. The Crown does not oppose the introduction of this
evidence.
[34]
The appellant聮s rehabilitative strides are
encouraging. However, the seriousness of the appellant聮s crimes cannot be understated.
He was involved in a serious conspiracy that escalated the trafficking of
methamphetamine in the Napanee area, over a period of months. The fresh
evidence does not provide a basis for this court to interfere with the sentence,
which was fit when it was imposed.
[1]
DISPOSITION
[35]
I would dismiss the appeal from conviction. I
would also admit the fresh evidence and grant leave to appeal sentence, but would
dismiss the appeal from sentence.
Released: May 12, 2021 聯J.M.F.聰
聯S.
Coroza J.A.聰
聯I
agree. Fairburn A.C.J.O.聰
聯I
agree. Gary Trotter J.A.聰
[1]
The
sentence imposed here falls within the loose range of five to eight years聮
incarceration identified
by Durno J. in
R. v. Hien and Ly,
(10
February 2016), Brampton, 450/14 (Ont. S.C.). In
Hien and Ly
, the
offenders received custodial sentences of four and one-half years, and four
years and three months, respectively, for the offence of possessing one
kilogram of methamphetamine for the purpose of trafficking. The trial judge
relied on this decision in concluding that six and one-half years聮 imprisonment
was the appropriate sentence.
|
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.聽 These
sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the
following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽 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. Maillet, 2021 ONCA 73
DATE: 20210201
DOCKET: C67900
Fairburn A.C.J.O., Watt and
Huscroft JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Roger Joseph Maillet
Appellant
Kenneth W. Golish, for the appellant
Andrew Cappell, for the respondent
Heard: January 28, 2021 by
video conference
On appeal from the conviction entered on
June 13, 2019 by Justice Renee M. Pomerance of the Superior Court of Justice,
sitting with a jury.
REASONS FOR DECISION
[1]
The appellant appeals from his conviction for possession
of child pornography.
[2]
During the course of executing a search warrant
at the home of Michael Hardstone, the appellant聮s housemate, the police found a
laptop computer in the appellant聮s bedroom. The laptop was connected to a
monitor, and when the Windows Explorer application was opened a folder was
found containing over 3800 images of child pornography. The appellant admitted
that the images were child pornography. The only issue at trial was whether the
appellant knew the images were on the laptop.
[3]
A computer found in Hardstone聮s bedroom also
contained child pornography. Hardstone pleaded guilty to possession of child
pornography and testified for the Crown. He said that he purchased the
appellant聮s computer and gave it to him. He testified that he never used that
computer and denied downloading child pornography onto it.
[4]
The appellant argues that the jury聮s verdict was
unreasonable. He argues, in particular, that expert evidence was required in
order to establish that the appellant had knowledge of and control over the
child pornography on the computer found in his bedroom.
[5]
We disagree.
[6]
The case against the appellant was
circumstantial. The trial judge properly and repeatedly instructed the jury
that it must be satisfied that the appellant聮s guilt was the only rational
conclusion that could be drawn from the evidence in order to find the appellant
guilty.
[7]
The jury was entitled to accept Hardstone聮s
evidence that he was not responsible for the child pornography found on the
computer in the appellant聮s bedroom, despite the appellant聮s submissions that
he lacked credibility. The only other possible explanation 聳 that the images
were on the computer when Hardstone purchased it from the pawn shop and that
the appellant never learned of it 聳 was speculative. It was for the jury to
determine whether there were other rational explanations for why the appellant
may not have known that there was a huge stash of child pornography on his
computer. In light of the factual record, including the appellant聮s proven expertise
in computers, it was open for the jury to conclude that there was no other
rational conclusion to be drawn, other than that the appellant knew of the
presence of the child pornography.
[8]
Because it was open to the jury to find that the
inference that the appellant knew the child pornography was on his laptop was
the only reasonable inference available, it cannot be said that the jury聮s
verdict was unreasonable.
[9]
We note that the appellant raised additional
arguments that were not set out in his factum, including that the absence of a
directed verdict application does not inform the issue involving the
reasonableness of the verdict in this case because bringing such an application
is up to the accused, not the accused聮s lawyer. There is no merit to these
arguments.
[10]
The appeal is dismissed.
聯Fairburn A.C.J.O.聰
聯David Watt J.A.聰
聯Grant Huscroft J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Mann, 2021 ONCA 103
DATE: 20210219
DOCKET: C65574
Feldman, Tulloch and Nordheimer
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Warren Mann
Appellant
Adam N. Weisberg, for the appellant
Holly Loubert, for the respondent
Heard: February 3, 2021 by video conference
On appeal from the conviction entered by
Justice Susan E. Healey of the Superior Court of Justice, sitting with a jury, on
April 20, 2015, and from the sentence imposed on April 21, 2016, with reasons
reported at 2016 ONSC 2675.
Nordheimer J.A.:
[1]
Mr. Mann appeals from his conviction for
attempted murder.
[1]
He also seeks leave to appeal his sentence of life imprisonment. For the
reasons that follow, I would allow the conviction appeal and order a new trial.
As a consequence, I do not reach the sentence appeal.
I: Background
[2]
The appellant originally met the victim when she
was a sex worker. They met three of four times in late 2010 or early 2011, each
time for an hour of paid sex. The appellant testified that the two agreed that
the appellant should move into her apartment where she lived with her son. The
two lived together for about three to four days before the victim, who had a
history of alcohol abuse, was arrested on June 25, 2011 (for breach of
probation and assaulting a police officer) and sentenced to a period of
incarceration.
[3]
The appellant became the 聯breadwinner聰 of the
house. He took responsibility to care for the victim聮s children. During the
victim聮s incarceration, the appellant lived at the apartment with the victim聮s
son, paid the bills and gave financial assistance to both the son and the
victim聮s daughter.
[4]
The victim was released on March 28, 2012 and
entered an alcohol rehabilitation program, which was completed in early May
2012. The evidence at trial was that the program was successful. The victim first
moved into a rooming house and then, in July 2012, moved into a rental home
with her daughter and her daughter聮s boyfriend in Barrie.
[5]
The appellant discovered that the victim was
intending to move into the rental home on July 25, 2012. On that same date, the
appellant, who was a long-haul truck driver, arrived back in Toronto from a
long-distance haul and drove to Barrie. The appellant believed that he and the
victim were developing a relationship and, consequently, he was expecting to
move into the Barrie home on that day.
[6]
However, the romantic relationship that the
appellant envisioned was not progressing as he had hoped. It appears that the
victim did not share the appellant聮s plans for their relationship. On this day,
there was an exchange of text messages between the two with the appellant
asking what he meant to the victim and what type of relationship she wanted.
[7]
The appellant spent the evening with the victim
at the Barrie home. He wanted to discuss their relationship, but the victim did
not. Eventually, the appellant went out to his car and wrote on an envelope: 聯
Just want to say thanks
[the victim聮s first
name], O
nce again you got what you
wanted and to hell with me. and my feelings
聰. The appellant said that the
message was a precursor to suicidal thoughts that led him to test a knife he
had by running it across the palm of his hand. However, the knife was dull, he
abandoned the idea, and he re-entered the house.
[8]
The appellant testified that he attempted to
initiate a conversation with the victim about telling her children that he was
moving in. She rebuffed him again. He testified that, at this point, the victim
became angry and began to hit him. He recalled reaching out and grabbing her
arms to stop her from hitting him. According to the appellant聮s version of the events,
the two lost their balance and fell down together. He testified that he had no
memory of what happened next.
[9]
In fact, the appellant began choking the victim.
He repeatedly banged her head against the floor. The appellant called 911 (although
he did not remember doing so) and told the dispatcher that he would 聯like to
report a murder聰. He went on to say that he had killed his 聯so-called girlfriend"
by choking her and beating her to death with his hands. The 911 operator
continued to hear loud banging during the call, which was consistent with the
head injuries the victim suffered. When asked by the 911 operator if he was
sure that the victim was dead, the appellant said, 聯Uh pretty sure, she聮s going
to be [unintelligible] anyway.聰 The victim suffered life-threatening and
permanent injuries, including brain damage, from the attack.
[10]
The appellant maintained that he did not intend
to kill the victim. His position at trial was that the Crown had failed to
prove the specific intent to kill. Among other things, defence counsel noted
that the appellant did not make use of the knife in his vehicle nor did he make
use of a hammer that was in the bedroom, where the attack took place, to carry
out the attack.
II: Issues
[11]
The appellant raises two central issues on his
conviction appeal:
1.
The trial judge erred in her instruction
to the jury on the principle of reasonable doubt;
2.
The trial judge erred in admitting
statements that the appellant made to a police officer at the time of his
arrest.
III: Analysis
(1)
The reasonable
doubt instruction
[12]
This issue can
be dealt with in briefer form than might usually be the case because of the
somewhat unique circumstances in which it arises. Put simply, the same issue
has been addressed by this court 聳 twice.
[13]
In her charge
to the jury about reasonable doubt, the trial judge said:
A reasonable doubt
is a real doubt that logically arises from the evidence, or the lack of
evidence. It is a doubt based on reason and common sense after considering all
of the evidence as a whole. It may be a doubt created by an inference or
conclusion that you have drawn from the facts as you find them,
provided
that that inference of or conclusion is not a speculation or a guess, but a
much stronger belief arising from the proven facts, and based on the evidence
alone.
If your doubt is
about something that you have imagined or made up, or if it is a far-fetched
doubt, then it is not a reasonable doubt. If it is a doubt based on sympathy or
prejudice, then it is not a reasonable doubt.
It must be a doubt about an
essential element of the offences charged, and it must arise from the evidence.
It is not enough for
you to believe that Warren Mann is probably or likely guilty in respect of a
particular charge. Proof of probable or likely guilt is not proof of guilt
beyond a reasonable doubt. If you think that he is probably or likely guilty,
you must find him not guilty, because Crown counsel would have failed to
satisfy you of his guilt beyond a reasonable doubt.
You should also
remember, however, that it is nearly impossible to prove anything with absolute
certainty. Crown counsel is not required to do so. Absolute certainty is a
standard that is impossibly high for the Crown to prove.
If, at the end of
the case, after considering all of the evidence, you are sure that Warren Mann
committed an offence, you should find him guilty of it, since you would have
been satisfied of his guilt of that offence beyond a reasonable doubt.
If, at the end of
the case, based on all of the evidence or lack of evidence, you are not sure
that Warren Mann committed an offence, you should find him not guilty of it,
since you would not have been satisfied of his guilt beyond a reasonable doubt.
[Emphasis added.]
[14]
The problem
arises with respect to the portions of the instruction that I have underlined
above. With the exception of the substitution of the word 聯belief聰 for
聯conclusion聰 in the third sentence of the first paragraph above, the wording is
identical to instructions that this court has twice before found to be erroneous,
requiring a new trial:
R. v. Darnley
, 2020 ONCA 179, 387 C.C.C. (3d) 200, at
paras. 32-36, and
R. v. Brown
, 2018 ONCA 1064, at para. 15.
[15]
The error is
set out by Paciocco J.A. in
Darnley
at paras. 33-36, where he said:
First, a reasonable
doubt need not arise from the evidence:
R.
v. Villaroman
, 2016 SCC
33, [2016] 1 S.C.R. 1000, at para. 28. It can arise from the absence of
evidence, from what the Crown has failed to prove:
R. v. Lifchus
,
[1997] 3 S.C.R. 320, at para. 36.
Moreover, an
inference need not arise from "proven facts", which is "a
standard that is never applicable to an accused":
R. v. Robert
(2000), 143 C.C.C. (3d) 330, at para. 17 (Ont. C.A.). This is because a
reference to "proven facts" suggests an obligation to establish those
facts to a standard of proof, yet a reasonable doubt can arise from evidence
that, while not proven to be true to any standard of proof, has not been
rejected.
It is also incorrect
to link a reasonable doubt to a "conclusion" drawn from the facts. An
acquittal need not be based on a conclusion about innocence but can rest on an
inability to conclude guilt.
It is also an error
to suggest that an exculpatory inference must be "a much stronger
conclusion" than a speculation or guess. That language imports the need
for a strong inference, when an exculpatory inference relating to a required
element of the offence need merely raise a reasonable doubt:
Villaroman
,
at para. 20
[16]
As I have said,
the only difference between the instructions here, and the instructions in these
two earlier cases, is the substitution of the word 聯belief聰 in the third
sentence. That change does not cure the error identified. The effect of the
instructions is still to essentially reverse the onus. It places a burden on
the accused to prove something from which a reasonable doubt could arise 聳 a
burden that is not placed upon any accused and one that is inconsistent with
the presumption of innocence.
[17]
In response, the
respondent asserts that the problem in this instruction is alleviated when the instructions
are reviewed as a whole. The respondent adds that the problem is further
alleviated because the proper instruction on reasonable doubt was given to the
jury at the outset of the trial.
[18]
That submission
fails on two fronts. First, the same argument was expressly rejected in
Darnley
,
where Paciocco J.A. said, at para. 38:
There is no force in
the Crown's contention that these errors lose their significance when the jury
charge is read as a whole. Errors relating to the burden and standard of proof
may not be reversible "if 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 to apply" (emphasis added):
R. v. W.(D.)
,
[1991] 1 S.C.R. 742, at p. 758. This
is not a case for inferring that these errors did not confuse or mislead the
jury. [Emphasis in original.]
[19]
The other is
the fact that the final instructions were given to the jury in hard copy. Consequently,
if the jury had any reason to revisit the instruction on reasonable doubt, we
can safely assume that they would have had reference to the hard copy instructions
that they had, not their recollections from the opening of the trial some 25
days earlier.
[20]
Unfortunately, the
error in the instructions undermined both the presumption of innocence and the
burden of proof. It is a fundamental error that gives us no alternative but to
set aside the convictions and order a new trial.
(2)
The s.10(b)
issue
[21]
While the
resolution of the first issue is sufficient to dispose of the appeal, I will
address the second issue since it will likely arise at a new trial. Since the
matter has been fully argued, it does not make any sense to leave the issue
hanging without resolution. To do otherwise, does a disservice to counsel and
the trial judge at the new trial.
[22]
The appellant was arrested at the scene without
incident. The officer who arrested the appellant immediately turned him over to
two other officers. It is while the appellant was in the custody of these two
officers that he made the impugned statements.
[23]
The statements began after one of the officers
asked the appellant whether he had been stabbed. There was blood on the
appellant and, as the trial judge found, it was reasonable for the officer to
make this inquiry. After answering "no" to the question of whether he
had been stabbed, the evidence of the officer was that the appellant
spontaneously stated that he was planning to kill himself with a knife that
night, but it was too dull. He said that the knife was in the centre console of
his vehicle that was parked outside of the residence, and that there was also a
suicide note.
[24]
In contrast, the other officer said that the
appellant聮s utterances began while the officers were walking with the appellant
out of the residence and continued on their way to the police car. His evidence
was that the appellant made the following statements: "she just pissed me
off'; "I just lost it on her"; "I just snapped"; and
"I tried to commit suicide tonight with my knife but it wasn't sharp
enough. I tried it on my hands."
[25]
Upon being placed in the police cruiser, the
appellant was told by the first officer that he was under arrest for aggravated
assault and was provided with the rights to counsel and cautioned, in standard
format. The appellant indicated that he understood each of these items of information,
and responded that he had no lawyer in Barrie, but that he would speak with
duty counsel.
[26]
The trial judge found that the appellant聮s
utterances were made in violation of his s. 10(b)
Charter
rights. She
found that the appellant was not given his s. 10(b) rights at the first
opportunity. In particular, the trial judge found that the first opportunity
was not when the appellant was placed in the police cruiser, as between five to
ten minutes had elapsed between his detention and the time that the appellant
was removed from the home. No appeal is taken from that conclusion by the trial
judge.
[27]
Having found a s. 10(b) breach, the trial judge
then considered whether the evidence ought to be excluded under s. 24(2). She
concluded that it should not. The appellant says that the trial judge erred in
her s. 24(2) analysis. I agree.
[28]
The trial judge addressed the three factors from
R. v. Grant
, 2009 SCC 32, [2009] 2 S.C.R. 353. On the first factor, she
concluded that the breach was 聯not deliberate, or of such seriousness that the
court should seek to disassociate itself.聰 On the second factor, the trial
judge found that the impact on the appellant聮s rights was 聯tempered
significantly聰 because the appellant had made 聯more serious,
self-incriminating聰 remarks in the 911 call. On the third factor, the trial
judge found that, while the exclusion of the evidence 聯would not significantly
undermine the prosecution聮s case聰, the evidence was 聯highly relevant聰 to the
issue of intent and thus inclusion of the evidence was favoured.
[29]
In my view, the trial judge erred in her
analysis of all three of the
Grant
factors. First, as found by the
trial judge, the officers delayed in providing the appellant with his rights to
counsel. The fact that the officers did not do so deliberately does not lessen
the nature of the breach. It simply does not aggravate it. The officers did not
offer any explanation for the delay. The crime scene was being adequately
handled by the many other officers who were on scene (including two sergeants)
and the victim was being treated by paramedics.
[30]
The right to counsel is an extremely important
right. Persons who are detained by the police may need immediate advice and
counsel. As explained by McLachlin C.J. and Charron J. writing for the majority
in
R. v. Suberu
, 2009 SCC 33, [2009] 2 S.C.R. 460, at para 41: 聯[a]
situation of vulnerability relative to the state is created at the outset of a
detention. Thus, the concerns about self-incrimination and the interference
with liberty that s. 10(b) seeks to address are present as soon as a detention
is effected.聰 And, as Doherty J.A. observed in
R. v. Rover
, 2018 ONCA
745, 143 O.R. (3d) 135, at para. 34: 聯[t]he effective implementation of the
right to counsel guaranteed by s. 10(b) depends entirely on the police.聰
[31]
It is not up to the police to decide when they
will get around to providing rights to a person whom they have arrested. The
failure of the police to understand this basic proposition is a serious matter
and must be treated as such when it is breached.
[32]
Second, the breach of a person聮s rights, and the
extraction of utterances from that person, is not 聯tempered聰 by the fact that
the police have other evidence of a similar type, properly obtained. The fact
remains that the police have extracted potentially incriminating evidence in
violation of a guaranteed right. The maxim 聯no harm, no foul聰 has little place
in the assessment of a violation of constitutionally protected interests. I
would note that, both in the final instructions to the jury, and in the Crown聮s
closing submissions, the admitted utterances were given prominence.
[33]
Third, the trial judge聮s analysis of inclusion versus
exclusion is inconsistent with her earlier analysis of the importance of the
evidence. Having lessened the impact of the evidence obtained under the second
Grant
factor, the trial judge then reversed course in finding that the evidence was
聯highly relevant聰 under the third
Grant
factor. The fact is that the
evidence was not necessary to the prosecution聮s case and this fact argued in
favour of its exclusion.
[34]
I would set aside the trial judge聮s decision
regarding s. 24(2) and exclude the evidence from any new trial.
Conclusion
[35]
Unfortunately, both
errors that I have discussed infected the fairness of the trial. A new trial is
required. I would allow the appeal, set aside the conviction on attempted
murder and the finding of guilt on aggravated assault, and order a new trial on
both offences.
Released:
February 19, 2021 聯KF聰
聯I.V.B. Nordheimer J.A.聰
聯I agree. K. Feldman J.A.聰
聯I agree. M. Tulloch J.A.聰
[1]
There was also a finding of guilt for aggravated assault but
that finding was stayed on the principles set out in
R. v. Kienapple
,
[1975] 1 S.C.R. 729
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Marki, 2021 ONCA 83
DATE: 聽20210209
DOCKET: C67416
MacPherson, Trotter and Harvison
Young JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Benjamin Ronald Marki
Appellant
Delmar Doucette and Cara Barbisan, for
the appellant
Amy Alyea, for the respondent
Heard: January 20, 2021 by video conference
On appeal from the convictions entered
by Justice Terrence A. Platana of the Superior Court of Justice on April 20,
2018, sitting with a jury.
MacPherson J.A.:
A.
Overview
[1]
Wilfred Pott and Anne Chuchmuch were a common
law couple with whom Benjamin Marki lived for about three years. They lived
together as a family in a house in Thunder Bay.
[2]
On December 27, 2015, Pott and Chuchmuch were
stabbed to death in their home. Gasoline was spread and a fire was set in the
home. Marki was present just outside the home when the firefighters and police
arrived.
[3]
On January 15, 2016, Marki was charged with two
counts of second degree murder, one count of arson, and one count of
interfering with human remains (burning). It was agreed at trial that one
person committed all the offences and the only live issue was the identity of
that person.
[4]
On April 20, 2018, the jury found Marki guilty
on all counts. On August 29, 2018, Platana J. imposed life sentences with no
eligibility for parole for 20 years on the murder charges and concurrent 聭time
served聮 sentences on the other charges.
[5]
On September 12, 2019, the appellant filed a notice
of appeal challenging the convictions. He does not appeal the sentence (notice of
abandonment filed October 5, 2020).
B.
facts
(1)
The parties and events
[6]
In 2009-2010, Pott and Chuchmuch moved from
southern Ontario to Thunder Bay to make a fresh start. In 2012-2013, Marki
moved to Thunder Bay and resided with the couple. Pott and Chuchmuch treated
Marki as a son; Marki called them 聯dad聰 and 聯mom聰.
[7]
During the eight months prior to December 27,
2015, there were two fires at the family home. One, to which firefighters
responded, resulted in a wooden shed in the backyard being destroyed. The other
involved a boat in the driveway.
[8]
Robert Guitard lived in a home whose backyard
abutted the backyard of the home where Marki lived with Pott and Chuchmuch. On
the night of December 27, 2015, he was at home when he noticed flickering
light. When he looked out his window, he saw flames and smoke coming out the
back door of the home where Pott and Chuchmuch lived. He told his wife to call
911, which she did at 10:23 p.m. He then went outside to move his truck. When
he did so, he saw Marki frantically pounding on the back door of the burning
home, trying to open it, and calling out 聯is anybody in there聰 and 聯let me in聰.
Guitard knew that opening a door during a fire can be dangerous so he told
Marki to stop trying to enter.
[9]
When the firefighters arrived, they heard
Marki聮s voice in the backyard. When they saw that he was close to the fire,
they coaxed him to move away from the house and come to the front.
[10]
According to fireman Jim Gowenlock, Marki told
him that he lived in the house, had been out walking his two dogs, had returned
to the house to find it on fire, and that there might be people inside.
[11]
Two other firefighters entered the house through
the front door. Marki tried to enter as well. He had one foot over the
threshold before Constable Braydon Beck, the first police officer on the scene,
pulled him back out of the house. Beck took Marki to Guitard聮s garage.
[12]
When the firefighters entered the house, they
found the bodies of Pott and Chuchmuch. Chuchmuch had at least 40 stab wounds
all over her body, with 12 being categorized by a pathologist as 聯lethal or
potentially lethal聰. Pott had bruises, abrasions and stab wounds, one of which
caused his death. The pathologist determined that both victims died prior to
the fire.
[13]
The fire investigator concluded that gasoline
had intentionally been introduced and the fire deliberately set.
[14]
After the police and Marki left Guitard聮s
garage, Guitard saw two folded up knives on the floorboard of his snowmobile.
He called the police back and the police seized the knives. Forensic testing
established that there was blood on one of the knives. The blood swab provided
a mixed profile of two people, the major contributor being a profile that could
not exclude Chuchmuch and the other one being a profile that could not exclude
Pott.
[15]
Forensic testing also established that there was
gasoline and blood on Marki聮s shoes.
[16]
Constable Beck interviewed Marki in Guitard聮s
garage from 10:49 p.m. to 12:03 a.m. According to Constable Beck聮s paraphrase
notes, Marki said: he went to the local First Nations reserve and bought smokes
and then started drinking; returned home and saw that Pott and Chuchmuch were
in the kitchen making pies mid-afternoon; kept to himself in his room for most
of the afternoon; did not eat supper with the others; took the dogs for a walk;
brought the dogs back but did not go into the house; went to a bus stop that
was a two minute walk away; waited about six to eight minutes for a bus; heard
sirens and saw flashing lights; suspected from the earlier fires that the
emergency vehicles might be going to his house; ran back to the house; kicked
the front door and tried to enter the house, but was knocked back by smoke;
tried to kick the back door; was told by Guitard to get away from the door;
and, at Guitard聮s suggestion, handed one of the dogs over the fence to him.
[17]
At the end of the interview, after more than an
hour of questioning, Marki said, in what Constable Beck said was a verbatim
statement: 聯I聮m going to be arrested for this, I know it. Might as well arrest
me now. I know how this works. I聮m the most eligible to go to jail. I should
have jumped on the bus and took off.聰
(2)
The trial
[18]
The trial lasted six days. Marki did not testify
and called no evidence. The jury deliberated for 12 hours over two days. The
jury found Marki guilty on all four charges. He appeals from the convictions.
C.
issues
[19]
The appellant raises three issues on the appeal:
1.
Did the trial judge err in failing to give a
W.(D.)
instruction with respect to the statements the appellant made to a firefighter,
a police officer, and one of Pott聮s friends?
2.
Did the trial judge err in failing to give a
corrective instruction in regard to purported after-the-fact conduct?
3.
Did the trial judge improperly instruct the jury
on the defence聮s failure to call evidence?
D.
analysis
(1)
The
W.(D.)
issue
[20]
It was common ground at trial that one person
committed all the offences and that the only live issue was the identity of
that person. The appellant made three statements to firefighter Gowenlock,
Constable Beck and Pott聮s friend John Zahn. Although they were not recorded and
there were differences in detail, there was a common thread in all three
conversations 聳 the appellant stated that he had been out and when he came back
to the house it was on fire. Accordingly, the appellant made three exculpatory
statements that he was not the person who had committed the four crimes,
including arson and murder.
[21]
During the pre-charge conference, the trial
judge and counsel discussed elements of the final instructions that were
specific to the facts of the case. The trial judge then ran down the checklist
of final instructions found in
Watt聮s
Manual of Criminal Jury
Instructions
to see what other instructions might be given. One of the
potential instructions in the checklist was the
W.(D.)
instruction.
When it was discussed, the following exchange took place:
[THE CROWN]: Page 10 [of an early draft
charge], testimony of the person charged, the
W.D.
instruction.
THE COURT: Oh no, I 聳 I聮ve clearly taken that
out.
Defence counsel did not comment on
this exchange.
[22]
The appellant submits that a full and proper
W.(D.)
instruction specifically related to the appellant聮s three exculpatory statements
was required; the trial judge had a duty, regardless of the position or silence
of counsel, to give this fundamental instruction.
[23]
The
W.(D.)
instruction arose in a case
where the accused testified:
R. v. W.(D.)
, [1991] 1 S.C.R. 742. This
was manifest in the actual language of the famous tripartite formulation of the
instruction which refers explicitly to the 聯testimony of the accused聰. However,
subsequent case law has made it clear that the principles underlying
W.(D.)
are not confined merely to cases where an accused testifies and their evidence
conflicts with that of the Crown witnesses. Thus, as expressed by Blair J.A. in
R. v. B.D.
, 2011 ONCA 51, at para 114:
Where, on a vital issue,
there are credibility findings to be made
between conflicting evidence called by the defence or
arising
out of evidence favourable to the defence in the Crown's case
, the trial
judge must relate the concept of reasonable doubt to those credibility findings.
[Emphasis added.]
[24]
Although the trial judge spoke at length and
properly about the concept of reasonable doubt, the appellant submits that he
did not link it sufficiently to some of the 聯evidence favourable to the defence
in the Crown聮s case聰.
[25]
I do not accept this submission. Even though
W.(D.)
considerations may be in play in a case where the accused does not testify or
call evidence, there is no explicit formula that must be provided. Appellate
review should focus on whether the trial judge adequately explained the facts
and law to the jury on a functional level. What is required is that the jury
understand the burden and standard of proof and their application.
[26]
In my view, that happened in this case. The
trial judge聮s jury charge relating to the presumption of innocence and the 聯beyond
reasonable doubt聰 standard of proof was impeccable.
[27]
Importantly, the trial judge also gave the jury
a good roadmap for assessing the appellant聮s statements to witnesses, including
firefighter Gowenlock, Constable Beck and Mr. Zahn. As requested by defence
counsel, the jury was given the model instruction on out-of-court statements by
an accused. The trial judge instructed the jury:
Some or all of the statements may help
Benjamin Marki in his defence. You must consider those remarks that may help Benjamin
Marki along with all of the other evidence, even if you do not believe them, unless
you are satisfied that he did not make them. In other words, you must consider
all the remarks that might help Benjamin Marki even if you cannot decide
whether he said them or whether you believe them. If you decide he made a
remark that may help him in his defence or if you cannot decide whether he made
it, you will consider that statement along with the rest of the evidence in
deciding whether you have a reasonable doubt about Benjamin Marki聮s guilt.
[28]
For these reasons, I do not accept the
appellant聮s submissions on the first issue.
(2)
The after-the-fact conduct issue
[29]
A few days after the homicide, but before the
appellant was charged, he had coffee with Brian Walker, a good friend of Pott聮s.
Walker testified that within days of Marki聮s arrest on January 15, 2016, Marki
called from the district jail to ask that Walker and his wife change their
statements to the police. However, Walker聮s statement was not given to the
Crown until March 2016 and it was disclosed to the defence sometime after that.
Walker聮s wife never gave a statement.
[30]
During his closing address to the jury, Crown
counsel said:
And [Marki] knows something about what the
evidence is before he ever gets the disclosure. And so when he calls and asks
someone to change their story and says, 聯I聮ve seen your statement,聰 that聮s a
lie. It聮s Mr. Marki聮s lie. We know he didn聮t see Mr. Walker聮s statement because
he didn聮t have it yet and we know he didn聮t see Mr. Walker聮s wife聮s statement
because she didn聮t give one. But why does he call and ask them to change their
stories? Because he knows he聮s guilty and he knows and has every expectation
that they聮re going to say something that聮s going to implicate him.
[31]
Defence counsel did not object to this aspect of
the Crown closing address. Instead he succinctly, and accurately, addressed it
in his own closing address, saying the 聯situation could not have taken place聰
because the appellant could not have seen the statement. Moreover, defence
counsel did not ask the trial judge for a corrective instruction on this point.
[32]
In these circumstances, I regard this as a very
minor point and would not give effect to it as a basis for overturning the
jury聮s verdict.
(3)
The failure to call evidence issue
[33]
In his jury instructions, the trial judge told
the jury:
You did not hear any evidence offered by the
defence. I remind you again that the burden of proof is on the Crown. There is
no requirement of the accused person to call any evidence. You should not
conclude
solely
on the basis of his decision not
to call evidence or to testify himself as an acknowledgment of guilt. [Emphasis
added.]
[34]
The appellant submits that the use of the word
聭solely聮 in this instruction had the effect of telling the jury that they could
rely on the appellant聮s failure to testify or to call evidence as
a
basis, even if not the
sole
basis, in determining guilt.
[35]
I am not persuaded by this submission. In
R.
v. Araya
, 2015 SCC 11, Rothstein J. said, at para. 52:
Parsing the language in one particular
sentence to determine whether it was sufficient to warn of an impermissible
line of reasoning, without taking into consideration the greater context of the
jury instructions and the trial itself, represents the kind of dissection and
minute scrutiny this Court warned against in
Cooper
.
[36]
There was no risk, in the circumstances of this
case, that the jury would have treated the appellant聮s failure to testify as
evidence of his guilt. The jury instructions, as a whole, tied the presumption
of innocence to the burden of proof in a manner that spoke almost directly to
the irrelevance of the appellant's failure to testify. It properly conveyed that
the evidence of the Crown stood alone and must be evaluated on that basis. The
instruction did not invite the inference that the appellant chose not to
testify to hide his guilt. When read in the context of the address of counsel
and the jury charge as a whole, the jury would have understood that the Crown
could prove the appellant聮s guilt only on the evidence and that the appellant聮s
silence at trial did not constitute evidence and therefore could not be used to
infer guilt.
E.
disposition
[37]
I would dismiss the appeal.
Released: 聯JCM聰 FEB 09 2021
聯J.C.
MacPherson J.A.聰
聯I
agree. Gary Trotter J.A.聰
聯I
agree. Harvison Young J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R v. Marshall, 2021 ONCA 28
DATE: 20210118
DOCKET: C65380, C65381 & C66233
Strathy C.J.O., Gillese and Watt
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Bevon Marshall
Appellant
Jeffery Couse, for the appellant
Andrew Hotke, for the respondent
Heard: July 23, 2020 by videoconference
On appeal from the
sentences imposed on January 29, 2016, March 23, 2016 and June 29, 2018 by Justice
Brian P. O聮Marra, Justice Robert F. Goldstein and Justice Michael G. Quigley, respectively,
of the Superior Court of Justice.
Watt J.A.:
[1]
Bevon Marshall (the appellant) is in custody.
His warrant expiry date is October 28, 2033. Then, he will begin a decade-long period
of long-term supervision which will end on October 27, 2043 when the appellant is
53 years old. He will have spent more than three decades under state
supervision.
[2]
The appellant asks us to substantially reduce both
his term of imprisonment and the length of his long-term supervision order (LTSO).
[3]
The appellant聮s sentence is an amalgam of three
sentences imposed on three separate occasions by three different judges on
convictions for a variety of offences committed over a period of nearly six
years. The LTSO is part of a composite sentence levied after a finding that the
appellant is a long-term offender (LTO).
[4]
The reasons that follow explain why I would
decline the appellant聮s entreaty to intervene. I am not persuaded that the
sentences of imprisonment imposed, whether considered individually or
cumulatively, offend the principle of totality as the appellant urges. Nor am I
convinced that the length of the LTSO fails to give proper effect to its
purposes of protecting the public and rehabilitating and reintegrating the appellant
into the community.
The Standard of Review
[5]
Our mandate as a reviewing court is to consider
the fitness of the individual and cumulative sentences imposed on the
appellant. We do so mindful of the scope of our authority to intervene in the
profoundly subjective process that is sentencing those convicted of criminal
offences. In determining a fit sentence, the sentencing judge must consider a
complexity of factors including the nature of the offence and the personal
characteristics of the offender. As well, the sentencing judge must weigh the
normative principles Parliament has enshrined in the
Criminal Code
; the
sentencing objectives in s. 718, the fundamental principle of proportionality
in s. 718.1, the aggravating and mitigating factors, as well as the principles
of totality and restraint in s. 718.2:
R. v. M. (L.)
, 2008 SCC 31,
[2008] 2 S.C.R. 163, at para. 17.
[6]
Proportionality is the cardinal principle
that governs our review of the fitness of a sentence imposed on an offender. It
requires that every sentence be proportionate not only to the gravity of the
offence, but also to the degree of responsibility of the offender who committed
that offence:
Criminal Code
,
s.
718.1.
[7]
The severity of a sentence depends not only upon
the seriousness of the consequences of a crime, but also on the moral
blameworthiness of the offender. The more serious the crime and its
consequences, or the greater the offender聮s degree of responsibility for that
crime, the heavier the sentence will be:
R. v. Lacasse
, 2015 SCC 64,
[2015] 3 S.C.R. 1089, at para. 12.
[8]
Where consecutive sentences are concerned, the
fundamental principle of proportionality expresses itself through the more
particular form of the totality principle. In brief, the totality principle requires
a sentencing judge who orders an offender to serve consecutive sentences for
multiple offences to ensure that the cumulative sentence imposed does not
exceed the overall culpability of the offender:
R. v. M. (C.A.)
, [1996]
1 S.C.R. 500, at para. 42.
[9]
The principle of totality also applies where a
sentencing judge imposes a sentence on an offender who, at the time of
sentencing, is already serving a sentence for a prior conviction. In this case,
the influence of the totality principle is tempered by the continuing
criminality of the offender:
R. v. Johnson
, 2012 ONCA 339, 285 C.C.C.
(3d) at paras. 19, 21-24.
[10]
Appellate intervention in a sentence imposed at
trial is justified only where the sentencing judge has erred in principle,
failed to consider a relevant factor, or erroneously considered an aggravating
or mitigating factor and the error has had an impact on the sentence actually
imposed:
Lacasse
, at paras. 43-44.
[11]
The weight assigned to aggravating or mitigating
factors lies within the discretion of the sentencing judge. The decision to
weigh these factors in a particular way is not itself an error that permits
appellate intervention unless the weighing is unreasonable. Nor is an appellate
court entitled to intervene because a majority of its members would have
weighed those same factors differently. After all, this is what the exercise of
discretion is all about:
Lacasse
, at paras. 49-50, 78.
[12]
Similarly, a choice of a sentencing range, or of
a category within a range, also falls within the discretion of the sentencing
judge and, on its own, cannot constitute a reviewable error. It follows that an
appellate court has no authority to intervene except in those cases where the
sentence imposed is demonstrably unfit:
Lacasse
, at para. 51.
[13]
A sentence is demonstrably unfit if it
constitutes an unreasonable departure from the fundamental principle of sentencing
聳 proportionality.
The Sentences Imposed
[14]
With these principles in mind, I turn to the
sentences imposed. I begin with a sentence the fitness of which is not
challenged here, but which is nonetheless of importance to the sentences that
are under review.
The Sentence of September 1, 2015
[15]
After a trial before Code J. sitting without a
jury, the appellant was found guilty of conspiracy to commit robbery. The
offence occurred on May 8, 2013.
[16]
During an interception of the appellant聮s
private communications in May 2013 in an unrelated investigation, police
learned that the appellant and his co-accused planned to rob a man of $15,000. Telephone
calls and text messages disclosed attempts by the appellant to obtain a weapon
to help carry out the plan.
[17]
Despite the appellant聮s enthusiastic pursuit of
a firearm, his efforts came to naught. No gun. The victim vanished. And no
robbery.
[18]
The appellant was 22 years old at the time of
this offence. When sentenced on September 1, 2015, the appellant was 25. He had
a youth and adult record which included assault, robbery, failure to comply
with a probation order, two firearms offences including breach of a firearms
prohibition, and a drug offence. Despite his comparative youth, the appellant
had logged substantial time in custody, much of it prior to sentencing for his
various convictions.
[19]
The appellant had not completed high school. He
had no significant employment history and, at best, limited rehabilitative
potential.
[20]
In his reasons for sentence, Code J. considered
as aggravating the appellant聮s criminal record, his apparent enthusiasm and
excitement at the prospect of committing robbery, and a casual nonchalance,
acceptance of, and commitment to violent crime.
[21]
In mitigation, Code J. took into account the
unsophisticated nature of the offence, which he characterized as a crime of
opportunity of brief duration and ultimate failure. He also considered the appellant聮s
youth and his responsible conduct throughout the trial.
[22]
Code J. imposed a sentence of three and one-half
years on the appellant. From this sentence, he deducted 40 months as credit for
the time the appellant had been detained in pre-sentence custody. As a result,
the appellant was required to serve a further period of two months in custody.
[23]
The appellant does not challenge this sentence on
appeal.
The Sentence of January 29, 2016
[24]
On October 1, 2015, a jury found the appellant
guilty of robbery and of discharging a firearm with intent to endanger life.
The appellant was found not guilty of attempted murder.
The Circumstances of the Offence
[25]
On February 25, 2009, four people participated
in a robbery at a pawn shop. Each had a role. One drove the others to and from
the pawn shop. Another entered the shop, looked around to ensure that no
customers were there, and left to advise the remaining two. The final two entered
the pawn shop. Each was masked and armed. The appellant carried a baseball bat.
The other man carried a gun.
[26]
The store operator and an employee were alone in
the store when the robbers entered. Under threat, the robbers forced the store
occupants from one place to another. The robbers smashed display cases and
gathered up jewelry and other property. The store operator resisted and engaged
the intruders in a protracted and violent struggle. During this altercation,
the store operator kicked the gun out of the robber聮s hand. The appellant
picked up the gun and fired a shot as he continued his struggle with the store
operator. The shot did not hit anyone.
[27]
The operator managed to pull the appellant聮s
hoodie over his head. When the operator fell to the ground, the appellant
pulled the hoodie off his head and fired a second shot at the operator. The
shot struck the operator in the abdomen. The appellant and his partner fled
from the pawn shop and were driven away by their accomplice.
[28]
The pawn shop operator was seriously injured by
the gun shot. He required surgery and a lengthy period of rehabilitation. At
the sentencing hearing about seven years later, his victim impact statement recounted
in detail the physical, emotional, and financial consequences of the event.
[29]
Police did not learn of the appellant聮s
involvement in these offences until they intercepted his telephone calls and
text messages under an authorization granted in relation to another
investigation. The appellant was arrested in June 2013.
The Circumstances of the Offender
[30]
The appellant was 18 years old at the time of
the pawn shop robbery and 25 at the time he was sentenced. He grew up in a good
and supportive family home. He did not complete high school. His employment
record consisted of part-time jobs. He was involved in an intermittent
relationship with a young woman and had no dependants. During his time in pre-trial
custody, he had taken courses to upgrade his education to high school
equivalency.
[31]
At the time of sentencing, the appellant had
both a youth and adult criminal record. Included were convictions for firearm
offences and robbery. He had been placed on probation for the robbery
conviction about one month before he participated in the pawn shop robbery and
shooting. At the time of this offence, the appellant was also subject to a
weapons prohibition. He was not serving an imposed sentence when he appeared
for sentencing on the pawn shop offences.
The Sentence Imposed
[32]
The trial judge imposed a sentence of
imprisonment of 11.5 years, less 3 months for time spent in pre-sentence
custody, which the judge deducted from the sentence of 5.5 years for robbery
involving a firearm. The sentence for the discharge firearm offence was 6 years
to be served consecutively to the sentence for robbery.
The Arguments on Appeal
[33]
The appellant asks that we reduce the sentence
on the pawn shop robbery and shooting to a sentence of imprisonment of seven
and one-half years. To accomplish this, he suggests that we impose a sentence
of seven and one-half years on each count with the sentences being served
concurrently. The appellant submits that the trial judge erred in failing to
give proper effect to the principle of totality.
[34]
The appellant concedes that the sentence imposed
falls within the range appropriate for the offences of which he was convicted.
But the totality principle becomes engaged because the sentence imposed
increased the appellant聮s cumulative sentence to one of 15 years. Recall the
sentence of three and one-half years imposed by Code J. five months earlier.
[35]
Relatedly, the appellant continues, the trial
judge erred in failing to give anything beyond passing mention to the
appellant聮s prospects for rehabilitation. The appellant was barely an adult
when he committed the offence and was a youthful offender at the time of
sentencing. The sentence imposed not only failed to accord a meaningful place
to the appellant聮s rehabilitative prospects, it extinguished them.
[36]
The respondent acknowledges the applicability of
the principles of totality and proportionality and notes that the trial judge
adverted to them in three respects. First, he adverted to the totality principle
before determining the appropriate sentence. Second, he expressly considered
the sentence previously imposed by Code J. Finally, after noting that the
offences warranted consecutive sentences, he immediately stated the global
sentence, reflecting the effect of the consecutive sentences he had imposed.
[37]
The trial judge correctly determined that the
pawn shop offences warranted consecutive sentences. They were separate delicts.
The robbery had been completed before the appellant shot the victim, who
represented no danger to the robbers who were then making their escape. The
cumulative sentence was lengthy, as it should have been. It properly reflected
the governing objectives and principles of sentencing, foremost among them,
proportionality.
Discussion
[38]
I would not give effect to the appellant聮s
complaint that the sentencing judge failed to give effect to the principle of
totality.
[39]
These were very serious offences committed by a
youthful recidivist. The predominant sentencing principles which were engaged
were denunciation and deterrence. Despite the appellant聮s youth, the principle of
rehabilitation occupied a place of lesser prominence, especially in the absence
of evidentiary support for optimism.
[40]
This was a planned and deliberate robbery
involving four persons, each with a defined role. The victim was vulnerable.
The appellant was a principal who gained possession of and used a prohibited or
restricted firearm to shoot from point-blank range a victim who was, by then,
no threat to him or his fellow robber. The shooting displayed a callous
disregard for human life.
[41]
For practical purposes, the appellant聮s
confession that the sentence of 11 years, 3 months imposed by B. O聮Marra J. falls
within the applicable range of sentence for these offences leaves this aspect
of his challenge on life support. After all, the selection of a sentencing
range or of a sentence within that range is subject to substantial deference in
this court. As exemplified by the appellant聮s own acknowledgment, I cannot say
that the sentence is clearly or manifestly excessive or represents a
substantial and marked departure:
Lacasse
, at paras. 51-52. Nor does
it constitute an unreasonable departure from the principle of proportionality:
Lacasse
,
at para. 53.
[42]
Similarly, the appellant cannot invoke an error
in the application of the totality principle on the basis that this sentence,
in combination with the sentence then being served, amounted to a crushing
sentence, thus offending the principle.
[43]
The sentence with which we are concerned was not
ordered to be served consecutively with any sentence the appellant was then
serving. The reason is simple: the sentence imposed by Code J. had expired. The
appellant聮s imprisonment was due to his failure to obtain release pending
trial, not because he was serving a sentence.
The Sentence of March 23, 2016
[44]
After a trial before Goldstein J. and a jury, on
January 11, 2016, the appellant was convicted of trafficking cocaine,
possession of cocaine for the purpose of trafficking, and attempting to possess
a firearm.
The Circumstances of the Offences
[45]
While intercepting the appellant聮s private communications
in 2013, the police discovered a message where the appellant offered crack
cocaine to his collocutor.
[46]
About three weeks later, the appellant asked a
man to get him a firearm. The man explained that the supplier did not have a .38
calibre firearm but, 聯he has a nine聰. The appellant counselled the man to 聯keep
it coded聟the talk聰. The next day, police executed a search warrant at the
appellant聮s apartment where they found an amount of crack cocaine consistent
with trafficking, the appellant聮s Blackberry, and a digital scale.
The Circumstances of the Offender
[47]
The appellant was 22 when he committed these
offences and 25 when he was sentenced. He was on probation after the conspiracy
to commit robbery of which he had been convicted and sentenced by Code J.
[48]
When sentenced, the appellant was serving the
sentence of 11 years, 3 months imposed by B. O聮Marra J. about two months
earlier. On December 4, 2015, the appellant was convicted of aggravated assault
and was awaiting dangerous offender proceedings that did not conclude until 27
months later.
The Sentence Imposed
[49]
Goldstein J. imposed sentences of two years on
each of the drug counts and ordered that those sentences be served concurrently
to one another and to the sentence imposed by B. O聮Marra J. On the conviction
of attempting to possess a firearm, Goldstein J. ordered that the appellant
serve a sentence of four years consecutive to the sentence the appellant was
then serving. Thus, the appellant聮s total sentence increased to 15 years, 3
months.
The Arguments on Appeal
[50]
The appellant says that Goldstein J. made two
errors. The first has to do with the quantum of sentence he determined was
appropriate for the conviction of attempted possession of a firearm. The second
concerned the totality principle and the imposition of a consecutive sentence.
[51]
The appellant contends that, as a matter of
principle, a sentence for an inchoate offence, such as an attempt, should be
lower than a sentence for a completed offence. An attempt to possess a firearm
is less morally culpable than the completed offence of possession because the
degree of danger to the community is significantly reduced in comparison to
actual possession. Further, in this case, there was no evidence of the likelihood
that the appellant聮s attempt would result in actual possession. Yet the
sentence imposed mirrors those for actual possession.
[52]
The appellant does not argue that the sentence
for the firearm offence should not have been consecutive to the sentence he was
then serving. However, he submits that the imposition of a four year sentence
to be served consecutively offends the totality principle. He submits that a
one year consecutive sentence would better reflect the principle of totality
and not depart from the prevailing sentencing objectives of denunciation and
deterrence.
[53]
The respondent says that a review of the reasons
for sentence contradicts any suggestion that Goldstein J. did not give effect
to the totality principle.
[54]
The trial judge concluded that a proper
application of the principles of sentencing and an evaluation of the
aggravating and mitigating factors justified a total sentence of seven years.
To give effect to the principle of totality and the goal of rehabilitation,
Goldstein J. reduced the total sentence to four years. This was a proper
application of the totality principle, especially for an accused whose
rehabilitative prospects were, at best, marginal.
[55]
The respondent resists any suggestion of error
in the sentence imposed for attempted possession of a firearm. This was the appellant聮s
second conviction for this offence. His first sentence was two years, five
months. At the time, he was bound by a weapons prohibition, a probation order,
and was trafficking drugs. These are serious aggravating factors.
Discussion
[56]
I am not persuaded that the appellant聮s
arguments about the totality principle or the culpability of inchoate crimes warrant
our intervention.
[57]
I turn first to the principle of totality. As I
previously explained, it is well settled that, subject to consideration of
proportionality and totality, consecutive sentences are properly imposed for
sentences involving separate delicts, such as where they implicate different
protected interests. In my view, it was open to the sentencing judge in this
case to impose concurrent sentences on the drug counts, but order the sentence
on the firearms count to be served consecutively to those sentences:
Criminal
Code
, s. 718.3(4)(b). In a similar way, as s. 718.3(4)(a) of the
Criminal
Code
expressly permits, it was open to Goldstein J. to direct that the
term of imprisonment he was imposing be served consecutively to the sentence of
imprisonment imposed by B. O聮Marra J. to which the appellant was then subject.
[58]
To determine whether the sum of the sentences
imposed by B. O聮Marra J. and Goldstein J., is compatible with or must yield to
the totality principle, I must next consider whether the sentence imposed on
the attempt to possess a firearm accords with the governing principles.
[59]
I do not gainsay that the absence of a completed
crime is a relevant consideration in assessing the gravity of an offence, and
thus a component of the fundamental principle of proportionality. This is so
because offenders are punished for their wrongdoing in proportion to the
culpability and harmfulness of their conduct. Stated in the form of an
equation:
Culpability x Harm = Punishment
[60]
The gravity of the harm associated with an immature
attempt is arguably less than with a mature completed offence. On the other
hand, moral culpability is often measured by an actor聮s state of mind, which
does not differ, in most cases at least, between the preliminary and the
completed offence. Often, the fact that the crime is incomplete is not due to
any want of effort on the part of the accused, nor any lesser degree of responsibility.
[61]
It is reasonable to conclude that Parliament had
in mind this distinction between inchoate and completed crimes when it enacted
the punishment provisions for attempts in s. 463(b). There, it set the maximum
for attempts at 聯one-half of the longest term聰 to which a person who is guilty
of the completed offence is liable.
[62]
Since Parliament has taken into account the
inchoate nature of an attempt in the maximum punishment on conviction, our task
becomes to determine whether the sentencing judge made an error of law or an
error in principle that had an impact on the sentence he imposed or imposed a
sentence that was demonstrably unfit.
[63]
I am satisfied that the trial judge聮s decision
to impose a sentence of imprisonment of four years on the conviction for
attempted possession of a firearm does not reflect error.
[64]
This was the appellant聮s second conviction for
an offence under s. 92(1) of the
Criminal Code
. He received a sentence
of two years, five months for his first conviction. Recidivism warrants a more
substantial sentence. The appellant was also subject to a weapons prohibition
at the time of this offence. In addition, he committed this offence within a
month of his involvement in a conspiracy to rob a man of $15,000. There, as
well, he made several attempts to obtain a weapon. Finally, there was his use
of a handgun in the pawn shop robbery in which he shot and severely wounded the
shopkeeper. Four years was a fit sentence for this firearms offence, despite
its inchoate nature.
[65]
Returning to the issue of totality, the reasons
of the trial judge demonstrate his fidelity to the principle and an informed
application of it to the case at hand.
[66]
The trial judge concluded that the drug and
firearms convictions warranted a total sentence of seven years. As punishing
separate delicts, the offences warranted consecutive sentences.
[67]
The trial judge then considered whether those
sentences should be served concurrently with or consecutive to the sentence the
appellant was then serving. He decided that they should be served consecutively
to the existing sentence as s. 718.3(4)(a) of the
Criminal Code
expressly permits. He then invoked the principle of totality to reduce the
sentence he would otherwise have imposed to a sentence of four years. He also
took into account the appellant聮s rehabilitative prospects, which he accurately
characterized as minimal given his record of 聯virtually unceasing criminality
since the age of 16聰.
[68]
This ground of appeal fails.
The Sentence of June 29, 2018
[69]
On December 21, 2015, after a trial before
Quigley J. sitting without a jury, the appellant was found guilty of aggravated
assault, assault with an edged weapon, and possession of an edged weapon for a
purpose dangerous to the public peace.
[70]
The Crown took dangerous offender proceedings against
the appellant. The application failed. However, the trial judge found the
appellant to be an LTO and sentenced him to a term of imprisonment and a period
of long-term supervision.
The Circumstances of the Offence
[71]
In January 2015, the appellant was an inmate at
Toronto East Detention Centre. In accordance with institutional practice,
persons who have court appearances are moved from their usual range to a
temporary overnight holding area in advance of their scheduled court
appearance. The appellant was among a group moved on January 2, 2015.
[72]
Among the group was an inmate who was scheduled
to testify as a witness at a murder trial. The inmate asked correctional staff
not to be moved to the overnight holding area. However, giving no reason for
his request, he was transferred.
[73]
The appellant and three others entered the
victim聮s cell shortly after the doors were unlocked on the morning of January
3, 2015. The trial judge found that the appellant was one of two principals who
had attacked the victim with a sharp-edged weapon. The victim sustained
significant injuries requiring several sutures and staples to close them. The
appellant disposed of the weapon.
[74]
The victim refused to provide a statement to
police. He declined to give evidence at trial despite a judge聮s order that he
do so. The case for the Crown at the appellant聮s trial consisted of a video
produced by the surveillance system at the detention centre. A security
supervisor narrated the video and identified the participants.
The Circumstances of the Offender
[75]
When this offence occurred, the appellant was 24.
He was serving a sentence of 15 years and 3 months and awaiting the Crown聮s
application to have him declared a dangerous offender.
[76]
During the dangerous offender proceedings, two
forensic psychiatrists expressed the opinion that the appellant had an anti-social
personality disorder. From both actuarial and clinical perspectives, the
appellant presented a high risk for both general and violent recidivism.
However, both psychiatrists acknowledged that their ability to predict
behaviour and risk 15 or 20 years away was markedly diminished.
The Sentence Imposed
[77]
The trial judge was not satisfied that the Crown
had established that the appellant was a dangerous offender. However, he found that
the appellant was an LTO and sentenced him to imprisonment for a term of two
and one-half years to be served consecutively to the sentence the appellant was
then serving. The judge also ordered that, at the conclusion of his prison
sentence, the appellant be subject to an LTSO for ten years.
The Arguments on Appeal
[78]
The appellant does not contest the finding that
he is an LTO. However, he argues that the trial judge erred not only in the
length of the term of imprisonment he imposed, but also in the duration of the
LTSO.
[79]
The appellant says that a consecutive sentence
of 2.5 years results in a total sentence of 21.5 years. This is a crushing
sentence which extinguishes the appellant聮s prospects of release and
rehabilitation. It results in a sentence that is disproportionate to the
gravity of the appellant聮s offences and the degree of his responsibility for
them. The appellant proposes a sentence of two years for this offence to be
served consecutively to the existing sentences. This, together with his submissions
in connection with the other sentences, would reduce the total sentence to 14
years.
[80]
The second error alleges that the trial judge
failed to consider whether a period of less than ten years would better reflect
the objectives of the LTSO regime. Two objectives underpin the regime. The
first is protecting the public from the offender聮s risk of re-offence. The
second, and ultimate objective, is the rehabilitation of the LTO and their reintegration
into the community:
R. v. Ipeelee
, 2012 SCC 13, [2012] 1 S.C.R. 433,
at para. 48;
R. v. Bird
, 2019 SCC 7, [2019] 1 S.C.R. 409 at para. 37. These
objectives require the sentencing judge to tailor the length of the LTSO to the
objectives of the scheme.
[81]
In this case, the appellant says, the trial
judge lacked any expert evidence about the predictability of future recidivism
beyond the term of imprisonment. In the absence of this evidence, the trial
judge effectively treated the maximum term of an LTSO as a default position.
This shifted the onus to the appellant to show why the maximum length was not
justified. This evidentiary shortfall mandated an LTSO of no more than five
years.
[82]
According to the respondent, the reasons of the
trial judge demonstrate his appreciation and application of the totality principle.
The trial judge concluded that an appropriate sentence for the appellant聮s
offence was one of five years. Then, after taking into account the principles
of totality and parity (in light of the sentence imposed on the other
principal), the trial judge reduced the sentence to one of two and one-half
years.
[83]
The respondent points out that even if totality
considerations were more pressing in the appellant聮s case than in that of his
co-principal, there were important factors that warranted a higher sentence for
the appellant; different criminal histories, fewer mitigating factors, and dissimilar
rehabilitative prospects. In addition, the principle of totality has a
substantially lessened impact where an offender is serving the
remnant
of an existing sentence. Were it otherwise, an offender could be seen as
benefiting from their prior offending. Totality would submerge the other
objectives and principles that underpin the sentencing regime.
[84]
Turning to the duration of the LTSO, the
respondent contends that, when read as a whole, the trial judge聮s reasons
reasonably support the ten-year LTSO. The appellant聮s offending history shows
not only a complete lack of restraint in his behaviour and an attendant
likelihood of causing, in the future, death, injury, or severe psychological
damage to others, but also a pattern of persistent aggressive behaviour that
shows a substantial degree of indifference about the reasonably foreseeable
consequences of that behaviour.
[85]
In addition, the appellant denies responsibility
for most of his prior offences, and thus lacks the insight necessary to benefit
from future treatment. He has a robust history of failing to comply with orders
for community supervision and requires intense case management and supervision
on release into the community. Should the appellant聮s substantial risk of
re-offence be reduced at the conclusion of his term of imprisonment, he has the
right to seek a reduction in the length of the LTSO. Conversely, the
legislation does not permit the Crown to seek an increase in the period of
supervision should a reduced period prove inadequate.
Discussion
[86]
In my view, the appellant聮s arguments about the
totality principle and the length of the LTSO both fail.
[87]
A review of the sentencing judge聮s reasons
betrays the claim that the totality principle was not accorded its due in the
sentencing decision. The sentencing judge concluded that on a stand-alone
basis, a fit sentence for the appellant on his conviction of aggravated assault
was five years. I would agree with this assessment.
[88]
The aggravated assault was a pre-concerted,
armed, and cowardly attack on a fellow inmate in a remand facility. The
appellant was a principal. The victim was confined in his cell by the appellant
and three accomplices.
[89]
An additional aggravating factor was that the
victim was scheduled to testify as a witness at a murder trial. As a result, he
was a 聯justice system participant聰 within s. 2 of the
Criminal Code
.
It is a reasonable inference that the attack and the purpose of the court
appearance were not complete strangers to each other. Even in the absence of an
express provision, like s. 718.02 of the
Criminal Code
,
I would consider these circumstances as
aggravating on sentence.
[90]
Instead of sentencing the appellant to a term of
imprisonment of five years for the aggravated assault, the sentencing judge
imposed a sentence of two and one-half years which he ordered to be served
consecutively to the sentence the appellant was then serving. He invoked two
sentencing principles when he did so: totality and parity. The former, to
ensure that the cumulative sentence did not exceed the appellant聮s overall
culpability for the myriad offences of which he had been convicted. The latter,
to comport with s. 718.2(b) of the
Criminal Code
and the sentence imposed on the other
principal in the assault.
[91]
In my view, the custodial part of the sentence
imposed reflects a proper application of the principle of totality.
[92]
Turning now to the LTSO. Section 753.1(3)(b)
requires a sentencing court that has found an offender to be an LTO to order
that the offender be subject to an LTSO for a period that does not exceed ten
years. The section is silent on the factors the sentencing judge is to consider
in determining the duration of the LTSO. Although, it would seem that, as a
sentencing provision, the imposition of an LTSO should engage the sentencing
provisions of Part XXIII.
[93]
Rehabilitation is the key feature of the LTO
regime that distinguishes it from the dangerous offender regime. Thus, rehabilitation
is an appropriate sentencing objective:
Ipeelee
, at para. 50.
[94]
It is uncontroversial that in determining the
length of the term of imprisonment to be imposed on an LTO, the sentencing
judge does not take the subsequent period of long-term supervision into
account. The principal of parity would be seriously compromised were courts to
compare fixed sentences for non-LTOs with fixed sentences with LTSOs for LTOs.
The decision about an LTO is based on controlling a serious risk in the future,
not punishment for what the offender has done in the past:
R. v. M. (L.),
2008 SCC 31, [2008] 2 S.C.R. 163, at paras. 38, 41, & 50.
[95]
The period for which an LTSO is in force
should not be longer than necessary to obviate the risk of re-offence and to
protect the public:
M. (L.),
at para. 44. Any period of long-term
supervision established by the sentencing court may be reduced or terminated on
an application to the superior court of criminal jurisdiction by the offender,
a member of the Parole Board of Canada, or, with Board approval, by the
offender聮s parole supervisor. The grounds for the reduction or termination are
that the LTO no longer presents a substantial risk of re-offending and thereby
being a danger to the community. The onus is on the applicant:
Criminal
Code
, s. 753.2(3).
[96]
No provision authorizes an application to extend
the period of long-term supervision authorized by the sentencing court. The
period of long-term supervision is not a 聯sentence聰 within the inclusive
definition of that term in s. 673 of the
Criminal Code
.
[97]
In my view, the sentencing judge did not err in
fixing the period of the LTSO at ten years.
[98]
The LTSO is future-focused. But sometimes, the
best predictor of the future lies in the past. The appellant聮s substantial
offending history shows a failure to restrain his behaviour and a likelihood of
its repetition with a consequent probability of death, injury, or severe
psychological damage to others as a result. It also reveals a pattern of
persistent aggressive behaviour that shows a substantial degree of indifference
to the reasonably foreseeable consequences of that conduct.
[99]
Despite its limitations, the expert evidence,
especially when taken together with the appellant聮s offending history,
establishes a substantial risk of re-offence, and of violent re-offence. The
appellant lacks insight and denies responsibility for his proven offences. Each
is an impediment to future treatment. Thus far, the appellant has displayed an
unwavering disregard for court orders. Taken as a whole, the evidence adduced
at the hearing fully warranted the order made.
Disposition
[100]
I would grant leave to appeal sentence, but
dismiss the appeal from sentence.
Released: January
18, 2021 聯GRS聰
聯David Watt J.A.聰
聯I agree. G.R. Strathy C.J.O.聰
聯I agree.
E.E. Gillese
J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. McColman, 2021 ONCA 382
DATE: 20210604
DOCKET: C68630
Feldman, Tulloch and Hourigan
JJ.A.
BETWEEN
Her Majesty the Queen
Appellant
and
Walker McColman
Respondent
Davin M.
Garg, for the appellant
Donald R.
Orazietti, for the respondent
Heard: December 3,
2020 by video conference
On appeal from the order of Justice
Edward E. Gareau of the Superior Court of Justice, dated September 16, 2019,
with reasons reported at 2019 ONSC 5359, 381 C.C.C. (3d) 375, allowing an
appeal from the conviction entered on October聽4,聽2018, by Justice
Robert P. Villeneuve of the Ontario Court of Justice.
Tulloch J.A.:
A.
INTRODUCTION
[1]
In the early morning hours of March 26, 2016,
the police stopped the respondent, Walker McColman, for the purpose of
determining whether he was driving under the influence of drugs or alcohol. The
stop took place in a private driveway outside the respondent聮s parents聮 house.
[2]
Upon stopping the respondent, the police
observed signs of intoxication and proceeded to arrest him. The respondent was
subsequently charged with, and convicted of, impaired operation of a motor
vehicle and operating a motor vehicle while 聯over 80聰 pursuant to ss. 253(1)(a)
and 253(1)(b) (since repealed) of the
Criminal Code
, R.S.C. 1985, c.
C-46. The provincial court judge sentenced him to a 12-month driving
prohibition, imposed a $1,000 fine, and conditionally stayed the s. 253(1)(a)
conviction pursuant to
Kienapple v. R
., [1975] 1 S.C.R. 729.
[3]
On appeal, the summary conviction appeal judge
overturned the s. 253(1)(b) conviction, finding that the trial judge erred in
law by concluding that the stop was authorized under s. 48(1) of the
Highway
Traffic Act
, R.S.O. 1990, c. H.8 (聯
HTA
聰). The appeal judge found the
stop to be unlawful, breaching the respondent聮s right not to be arbitrarily
detained under s. 9 of the
Canadian Charter of Rights and Freedoms
. He
proceeded to exclude the evidence under s. 24(2) of the
Charter
and
entered an acquittal.
[1]
[4]
The Crown subsequently brought a motion for
leave to appeal the acquittal entered by the summary conviction appeal judge. The
Crown sought to raise the following question of law:
If a police officer forms the lawful intention
to stop a driver on a public street for a sobriety check, but the driver turns
on to private property before the officer can effect the stop, does the officer
maintain authority to conduct the stop?
The Crown relied on s. 48(1) of the
HTA
,
or in the alternative, the powers of the police at common law for the authority
to conduct a stop in these circumstances.
[5]
The issue on appeal equally can be framed as
follows:
Should a police officer be authorized to stop
and question a person on the person聮s own private property to determine if the
person may have been driving while impaired, when that police officer has no
reason to suspect that the person had been drinking?
[6]
A panel of this court granted leave on August
25, 2020, finding that the questions raised in this appeal are significant to
the administration of justice as they deal with the lawful scope of police
powers.
[7]
For the reasons that follow, I would dismiss the
appeal. In my view, neither the
HTA
nor the common law authorized the
police conduct in this case. The stop violated the respondent聮s s. 9
Charter
rights, and the evidence was properly excluded.
B.
FACTUAL OVERVIEW
[8]
The relevant facts of this case are important.
At the outset, I note that this is not a case where the driver was swerving on
the road. It is not a case where there was a broken taillight or any other
obvious
HTA
infractions. It is a case of a driver who drove normally
onto their own driveway and parked. With that said, this section provides a
detailed review of what happened in this case.
[9]
At approximately 12:30 a.m. on March 26, 2016,
Constable Jack Lobsinger, along with his partner, Constable Laura Hicks, were conducting
general patrol in the area of the Thessalon First Nation. The officers observed
a utility terrain vehicle (聯UTV聰) parked outside a restaurant and gas station.
As the vehicle 聯seemed like it was [going to] be leaving聰 the parking lot, the
officers decided to conduct a sobriety check of the driver.
[10]
The officers turned their car around and began
following the UTV, which had exited the parking lot and was driving eastbound down
a public road. About 200聽metres down the road, the UTV turned right and
then left onto the private driveway of the respondent聮s parents聮 house
. The driveway also provides a means of access to a
neighbouring commercial business.
The police followed the UTV into the
driveway and activated their lights to indicate to the driver that a police car
was behind him. The officers exited their vehicle to speak with the respondent,
who had walked around to the passenger side of the UTV. A second person was
sitting in the passenger seat. This sequence of events occurred over the course
of approximately one minute.
[11]
At this point, the officers did not have a
reasonable suspicion that the respondent was connected to any particular crime.
Constable Lobsinger testified that they did not see any signs of impairment
prior to stopping the respondent and agreed with the suggestion of defence
counsel that there was nothing unusual about the respondent聮s driving. Rather,
Constable Lobsinger explained that they were exercising their authority to
conduct random sobriety checks pursuant to s.聽48(1) of the
HTA
.
[12]
Immediately upon approaching the respondent, Constable
Lobsinger noted that he was impaired. Specifically, he observed the following indicia
of intoxication: the respondent was unsteady on his feet; he was hanging on to
the side of the UTV; his knees were wobbly; his eyes were red and bloodshot;
and there was a strong odour of alcohol on his breath. Constable Lobsinger
testified that, when he asked the respondent if he had consumed any alcohol, the
respondent admitted that he may have had ten beers.
[13]
The officers arrested the respondent for impaired
driving, and then transported him to a police station. At the station, the
respondent provided two breath samples with readings of 120 and 110 milligrams
of alcohol in 100 millilitres of blood, respectively. In other words, both
readings were over the legal limit of 80聽milligrams of alcohol in 100
millilitres of blood. While at the station, the respondent also vomited several
times and continued to show signs of intoxication.
C.
DECISIONS BELOW
[14]
The respondent brought a
Charter
application, alleging, among other things, that the stop was unlawful and constituted
a breach of his rights under s. 9 of the
Charter
. He argued that the
police did not have authority to conduct the stop on private property.
[15]
The trial judge dismissed the application,
finding that s. 48(1) of the
HTA
provided lawful authority for the
stop for two reasons: (1) the officers intended to stop the respondent聮s
vehicle for the purpose of checking the driver聮s sobriety; and (2) they had
formed the intention to enact the stop while the vehicle was being operated on
a public highway. The trial judge reasoned that the 聯mere fact that [Constable
Lobsinger] did not effect this stop until the [respondent] had turned into a
private driveway and was thus on private property did not eliminate or invalidate
the officer聮s authority under s. 48(1) of the
Highway Traffic Act
.聰 In
light of his conclusion on s. 48(1) of the
HTA
, the trial judge
declined to consider whether the officers had authority under the common law to
stop the respondent on his private driveway.
[16]
Because he considered the stop lawful, the trial
judge concluded that the officers did not violate the respondent聮s right under
s. 9 of the
Charter
. Therefore, any evidence obtained as a result of
the stop was admissible at trial.
[17]
Having dismissed the
Charter
application, the trial judge went on to convict the respondent of impaired
driving and operating a motor vehicle 聯over 80聰, contrary to ss. 253(1)(a) and
253(1)(b) of the
Criminal Code
. He found that, based on the various
indicators of intoxication, the respondent was 聯clearly impaired by the
consumption of alcohol.聰 Both breath samples put him over 80 milligrams of
alcohol in 100 millilitres of blood. As noted above, the s. 253(1)(a)
conviction was conditionally stayed on sentencing pursuant to the principle in
Kienapple
.
(1)
Summary Conviction Appeal Judge聮s Decision
[18]
On appeal to the Superior Court of Justice, the
respondent argued, among other things, that the trial judge had erred in
finding that a police officer could conduct a sobriety stop on private property
pursuant to s. 48(1) of the
HTA
.
[19]
The summary conviction appeal judge allowed the
appeal, finding that neither ss. 48(1) nor 216(1) of the
HTA
permit
the police to conduct a sobriety or highway safety stop on private property
absent reasonable and probable grounds. Once the respondent聮s vehicle left the
public roadway and entered the private driveway, he was no longer a 聯driver聰 within
the meaning of the
HTA
and therefore the police did not have statutory
authority to randomly detain him in order to check his sobriety. Additionally,
the appeal judge found that the stop was not authorized by the common law police
powers to protect the public, as the 聯public did not require protection from
the [respondent] once he was in his private driveway聰:
R.聽v.聽McColman,
2019 ONSC 5359, 381 C.C.C. (3d) 375, at para. 45. The stop was unlawful
and thus constituted a breach of s. 9 of the
Charter
.
[20]
In his analysis under s. 24(2) of the
Charter
,
the appeal judge found that the actions of the police were serious, as the
officers 聯pursued the appellant onto private property when they had neither the
statutory or common law authority to do so聰: at para. 49. The impact of the
breach was also significant, as the respondent had a high expectation of
privacy on his own property. While society clearly had an interest in the
adjudication of the matter on its merits, the balancing favoured exclusion.
[21]
The appeal judge thus allowed the appeal, set aside
the conviction, and entered an acquittal.
D.
ISSUES ON APPEAL
[22]
The Crown raises three grounds of appeal:
(1)
the appeal judge erred in finding that s. 48(1)
of the
HTA
did not authorize the sobriety stop;
(2)
the appeal judge erred in finding the common law
did not authorize the sobriety stop; and
(3)
if there was a
Charter
breach, the
appeal judge erred in excluding the evidence under s. 24(2) of the
Charter
.
[23]
I will address each issue in turn.
E.
ANALYSIS
(1)
Was the police stop authorized by s. 48(1) of
the
HTA
?
(a)
Legal Principles
[24]
As noted above, the Crown argues that s. 48(1)
authorized police to stop the respondent on his private driveway.
[25]
Section 48(1) of the
HTA
permits the
police to stop drivers to determine whether the driver is impaired:
A police officer, readily identifiable as
such, may require the driver of a motor vehicle to stop for the purpose of
determining whether or not there is evidence to justify making a demand under
section [320.27 or 320.28] of the
Criminal Code
.
[26]
In order for the police to invoke the statutory
power under s. 48(1), three conditions must be met: (1) the police officer must
be readily identifiable as a police officer; (2) the person being stopped must
be a 聯driver聰 for the purposes of the
HTA
; and (3) the purpose of the
stop must be to determine whether there is evidence to justify making a demand
for a sample of breath or other means of testing the driver聮s sobriety.
[27]
Under s. 1(1) of the
HTA
, a 聯driver聰 is
a 聯person who drives a vehicle on a highway.聰 Section 48(18) provides that in
the context of s. 48, a driver 聯includes a person who has care or control of a
motor vehicle.聰
[28]
The
HTA
defines a 聯highway聰 as:
a common and public highway, street, avenue,
parkway, driveway, square, place, bridge, viaduct or trestle, any part of which
is intended for or used by the general public for passage of vehicles and
includes the area between the lateral property lines thereof.
[29]
If the criteria set out above are satisfied, s.
48(1) authorizes an officer to randomly stop a vehicle absent reasonable
suspicion or reasonable and probable grounds:
R. v. Ladouceur,
[1990]
1 S.C.R. 1257;
R. v. Hufsky,
[1988] 1 S.C.R. 621.
(b)
Application to this Case
[30]
The first precondition under s. 48(1) 聳 whether
the officers were identifiable as police 聳 appears to be uncontested.
[31]
What is in dispute is whether this factual
matrix satisfies the second precondition, which requires the respondent to be a
聯driver聰 within the meaning of the
HTA
.
[32]
As noted above, under the
HTA,
a
聯driver聰 is a 聯person who drives a vehicle on a highway.聰 Section 48(18) adds
to this definition that a driver 聯includes a person who has care or control of
a motor vehicle聰. The question in this appeal is whether the respondent was
still a 聯driver聰, even though he was on a private driveway when he was stopped
by police.
[33]
First, it is well established that a private
driveway is not a highway as defined in the
HTA
. This court canvassed
the scope of the
HTA聮
s definition of 聯highway聰 in
R. v.
Hajivasilis
, 2013 ONCA 27, 114 O.R. (3d) 337. Doherty J.A. identified the
limits of the meaning of 聯highway聰 at para. 10:
The phrase 聯intended for or used by the
general public for the passage of vehicles聰 limits the meaning of 聯highway聰.
If a vehicle is being driven on property to which the general
public does not have access or if that access is for a limited purpose other
than passage (such as parking), the property will not fall within the meaning
of 聯highway聰.
Most privately owned parking lots are not 聯highways聰 as defined
in the
HTA
. It is accepted that the parking lot where the respondent
allegedly struck the parked vehicle does not fall within the meaning of
聯highway聰 in the
HTA
. [Emphasis added.]
[34]
Based on this interpretation, a private driveway
is not a 聯highway聰 as it is 聯property to which the general public does not have
access聰 and it only has 聯a limited purpose other than passage聰 (i.e., parking).
[35]
Because a private driveway is not a 聯highway聰 for
the purposes of the
HTA
, on the plain language of the
HTA
, a
person in their private driveway cannot be a 聯driver聰 as they are not a 聯person
who drives a vehicle on a
highway
聰 (emphasis
added).
[36]
The Crown does not seem to take issue with the
fact that a private driveway cannot strictly be considered a 聯highway聰 under
the
HTA
. This fact, according to the Crown, was not lost on the trial
judge. Rather, the Crown argues that the officers conducted a lawful stop
pursuant to the
HTA
because they crystallized the intention to stop
the respondent while he was still on a public roadway. Put another way, the
Crown contends that the officers intended to stop the respondent for a sobriety
check while he was still a 聯driver聰 under the
HTA,
and therefore they
were authorized to do so even though the stop occurred on private property.
This view, according to the Crown, is consistent with a purposive and remedial
interpretation of the
HTA.
The Crown relies on decisions from this and
other courts which, according to the Crown, support taking a broad
interpretation of the
HTA
.
[37]
I cannot accept this argument. The issue is
whether the police were acting pursuant to lawful authority at the moment when
they conducted the stop. That authority must be exercised within the confines
stipulated by the
HTA,
including the precondition that the person
subject to the stop is a 聯driver聰 on a 聯highway聰
.
The officers聮
intentions in the moments preceding the stop do not render an otherwise
unlawful stop lawful.
[38]
As set out above, the plain language of s. 48(1)
and the related definitions of 聯driver聰 and 聯highway聰 do not authorize random
stops off the highway.
[39]
The Crown relies on the purpose and context of
the
HTA
to argue in favour of its proposed interpretation. The Crown
points to cases from this court, including
R. v. Boughen
,
2002 CanLII 41476 (Ont. C.A.),
R. v. Clarke
, [2005] 196 C.C.C.
(3d) 426, (Ont. C.A.), leave to appeal to S.C.C. refused, 31012 (September聽29,聽2005),
and
R. v. Lotozky
[2006], 210 C.C.C. (3d) 509, (Ont. C.A.), as well as
the decision of the Court of Appeal for Saskatchewan in
R. v. Anderson
,
2014 SKCA 32, 308 C.C.C. (3d) 11, which suggests that prior approaches to the
interpretation of the
HTA
justify the expansion of the police powers
proposed in this case.
[40]
Respectfully, in my view, these cases do not
assist the Crown. The Crown argues that
Boughen
and
Clarke
support the proposition that the
HTA
can authorize a stop on private
property if the investigation commenced on the highway. These cases are
distinguishable. In
Boughen
, the police observed an
HTA
infraction and as a result, had grounds to detain the accused under the
HTA
.
In a brief endorsement, this court upheld the summary conviction appeal judge聮s
conclusion that the police were entitled to continue their
HTA
investigation onto private property. In
Clarke
, again, the police
observed an
HTA
infraction, and they initiated a stop while the
accused was still on the highway. The accused failed to stop, and only then 聳
when the police had grounds to arrest the accused for failing to stop as
required 聳 did they follow him onto private property. These cases bear no
similarity to the present case, which involved a random, groundless stop on
private property.
[41]
The Crown relies on
Lotozky
in support
of its argument that policy concerns should drive this court聮s interpretation
of s. 48(1). In that case, Rosenberg J.A. commented, at para. 37, that it 聯would
not be good policy to interpret the law as encouraging motorists to avoid the
reach of legitimate traffic investigations by heading for home and thus
encouraging a high-speed police chase.聰 He held that police officers
who
have reasonable grounds to suspect that a motorist is impaired
are
entitled to walk up a driveway to further their investigation. Again, an
important distinction is that the police on
Lotozky
had reasonable
grounds. They did not select the accused at random. Notably, Rosenberg J.A. was
interpreting the common law, and was not dealing with explicit statutory
language. The Court of Appeal for Saskatchewan聮s decision in
Anderson
,
while dealing with different statutory language, invoked similar concerns about
escaping motorists to support the conclusion that police could pursue drivers
off the highway and onto private property to conduct random stops: see para. 25.
[42]
There was no suggestion here that the respondent
was attempting to evade the police. Indeed, it was accepted that he simply
pulled into his driveway because he had reached his destination. A true case of
flight might well contribute to reasonable grounds to detain the accused,
depending on the circumstances.
[43]
While, as the Crown submits, pursuant to s.
64(1) of the
Legislation Act, 2006
, S.O. 2006, c. 21, Sched. F, the
HTA
must be interpreted 聯as being remedial and shall be given such fair, large and
liberal interpretation as best ensures the attainment of its objects,聰 this court
does not have the power to read into the
HTA
police powers the
legislature has not seen fit to provide. Looking at the broader context of the
HTA
,
the legislature used the word 聯highway聰 and drafted provisions that incorporate
that definition with care:
Hajivasilis
, at paras. 27 and 35. The
legislature chose to limit the application of some provisions of the
HTA
to the highway, while extending others off the highway:
Hajivasilis
,
at paras. 27-40. On its terms, the police power contained in s. 48(1) is
confined to highways. As this court observed in
Hajivasilis,
at para.
27: 聯[T]he interpretive exercise must strive to give some meaning to the choice
made by the legislature.聰
[44]
Accordingly, since one of the necessary
conditions for invoking the power provided by s. 48(1) cannot be met in this
case, the police did not have statutory authority to stop the respondent in a private
driveway.
(2)
Was the police stop authorized by the common
law?
(a)
Legal Principles
[45]
In carrying out their general duties as law
enforcement, police officers are only entitled to interfere with the liberty of
a citizen where such interference is authorized by law.
[46]
It is settled law that the police have a common
law power to randomly stop vehicles in the course of protecting public
roadways, absent reasonable suspicion:
Dedman v. The Queen,
[1985] 2
S.C.R. 2. As the Supreme Court of Canada held in
Hufsky
, and
Ladouceur
,
random stops for the purpose of investigating motor vehicle infringements on a
public highway are an arbitrary detention, but are justifiable pursuant to s. 1
of the
Charter.
However, this police power is not without its limits. As
Cory J. noted in
R. v. Mellentin
,
[1992] 3 S.C.R. 615, at p.
487, this power is constrained by the purpose for which it serves:
Check stop programs result in the arbitrary
detention of motorists. The programs are justified as a means aimed at reducing
the terrible toll of death and injury so often occasioned by impaired drivers
or by dangerous vehicles. The primary aim of the program is thus to check for
sobriety, licences, ownership, insurance and the mechanical fitness of cars.
The police use of check stops should not be extended beyond these
aims. Random stop programs must not be turned into a means of conducting either
an unfounded general inquisition or an unreasonable search.
[Emphasis
added.]
[47]
Similarly, in contemplation of the scope of the
common law police power recognized in
Dedman
, Doherty J.A. issued the
following words of caution in
R.聽v.聽Simpson,
[1993] 79
C.C.C. (3d) 482 (Ont. C.A.)
,
at p. 491:
In
Dedman
,
supra
, at pp.
119-22, the court held that the common law ancillary police power justified
random stops of vehicles in the course of the enforcement of laws relating to
the operation of those vehicles.
This power to stop was,
however, closely tied to the particular purpose of the stops, the dangers
presented by the activity targeted by the stops, the qualified nature of the
liberty interfered with by the stops, and the absence of other less intrusive
means of effective enforcement of the relevant laws. The authority to stop
described in
Dedman
was clearly
not a general power to stop for all police purposes, but was limited to stops
made in furtherance of the police duty to protect those who use the public
roadways from those who use those roadways in a dangerous manner.
[Emphasis added.]
[48]
The question
at issue in this appeal is whether the common law authorizes the police to
conduct a random sobriety check on a private driveway, in circumstances not
authorized by the
HTA
, where the person exited the highway after the
officer decided to conduct the stop but before the officer initiated the stop,
and there are no grounds to suspect that an offence has been or is about to be
committed.
[49]
This court has not yet weighed in on whether the
common law should recognize this police power. We must tread lightly in doing
so, as 聯[e]stablishing and restricting police powers is something that is well
within the authority of legislatures聰:
Fleming v. Ontario,
2019 SCC
45, 437 D.L.R. (4th) 220, at para. 41. As Iacobucci J. observed in
R. v.
Mann
, 2004 SCC 52, [2004] 3 S.C.R. 59, at para.聽17: 聯complex legal
developments are best left to the experience and expertise of legislators.聰 This
is particularly so when the proposed expansion in police power 聯would restrict
lawful activities of individuals聰:
Fleming,
at para. 5. It is
important to bear in mind the words of La Forest J. in
R. v. Wong,
[1990]
3 S.C.R.聽36, at p. 57, as cited in
Fleming,
at para. 4, that 聯it
does not sit well for the courts, as the protectors of our fundamental rights,
to widen the possibility of encroachments on these personal liberties.聰
[50]
That being said, the Supreme Court has been
clear that courts 聯cannot abdicate their role of incrementally adapting common
law rules where legislative gaps exist聰:
Fleming,
at para. 42. The
court must be diligent in its role as a custodian over the common law, which,
by its very nature is organic and must develop incrementally in tandem with a
changing society.
[51]
In
Fleming,
the Supreme Court recently reiterated
the test to determine whether the common law authorizes a particular police
action that interferes with individual liberty
.
Writing for the court,
C么t茅 J. noted that this question requires an application of the ancillary
powers doctrine; a framework originally set out in
R.聽v.聽Waterfield
,
[1963] 3 All E.R. 659, at pp. 660-62 and adopted by the Supreme Court in
Dedman
.
[52]
The ancillary powers doctrine holds that police
actions that interfere with individual liberty can be recognized under the
common law if they are 聯ancillary聰 to the pursuit of recognized police duties,
provided that the police action is reasonably necessary for the fulfilment of
that duty:
Fleming,
at paras. 45-47.
[53]
At the outset, the court must clearly define the
asserted police power and the liberty interests at stake:
Fleming,
at
para. 46. The ancillary powers doctrine will apply 聯where the power in issue
involves a
prima facie
interference with liberty聰:
Fleming,
at
para. 46. Once the police power and liberty interests are defined, the analysis
proceeds in two stages:
Fleming,
at para. 46.
[54]
The first stage of the inquiry under the
ancillary powers doctrine asks whether the police action at issue falls within
the general scope of a statutory or common law police duty. The second stage asks
whether the proposed expansion involves a justifiable exercise of the police
powers associated with the general police duty or duties in question. At this second
stage of analysis, the court must ask whether the police action is reasonably
necessary for the fulfillment of that duty or duties:
Fleming,
at
para. 47. As the Supreme Court put it in
Dedman
, at p. 35:
The interference with liberty must be
necessary for the carrying out of the particular police duty and it must be
reasonable, having regard to the nature of the liberty interfered with and the
importance of the public purpose served by the interference.
[55]
The concept of reasonableness requires this
court to consider whether other, less intrusive, measures are available and
valid options in the circumstances:
Fleming,
at para. 54. If the
police can fulfill their duties 聯by an action that interferes less with
liberty, the purported power is clearly not reasonably necessary聰:
Fleming
,
at para. 54. In
R. v. MacDonald
, 2014 SCC 3, [2014] 1聽S.C.R.聽37,
at para. 37
,
the Supreme Court instructed courts to weigh three
factors in this determination:
(1)
the importance of the performance of the duty to
the public good;
(2)
the necessity of the interference with
individual liberty for the performance of the duty; and
(3)
the extent of the interference with individual
liberty.
[56]
The onus remains with the state to justify the
existence of common law police powers that involve interference with liberty:
Fleming,
at para. 48.
(b)
Defining the Power and the Liberty Interests at
Issue
[57]
As noted above, at the outset, we must define
the asserted police power and the nature of the liberty interest at stake to
determine whether the power in issue involves a
prima facie
interference
with liberty. In my view, it does.
[58]
The power at issue, as defined by the Crown, is
the power to pursue a vehicle off the highway and detain the driver to conduct
a random sobriety check on a private driveway, where there are no grounds to
suspect an offence has been or is about to be committed. Here, the officer聮s
intention to stop the vehicle crystallized before the vehicle left the highway
but the officer did not initiate the stop before the vehicle left the highway.
[59]
The liberty interests engaged in this appeal include
those protected by s. 9 of the
Charter
. An individual confronted by
the police ordinarily has the option to simply walk away:
R. v. Grant
,
2009 SCC 32, [2009] 2 S.C.R. 353, at para. 21. Detention is a limit on the
broad right to liberty enjoyed both at common law and under the
Charter
:
Grant
, at para. 19. Section 9 of the
Charter
guarantees that when
the state is permitted to interfere with individual autonomy, that power 聯will
not be exercised arbitrarily聰:
Grant
, at para. 21. A police power to
detain necessarily interferes with an individual聮s liberty interest.
[60]
The context of this liberty interference is particularly
significant. It involves limiting the freedom of individuals to move about
freely on their own driveways. In this way, the liberty interests at stake differ
from cases that recognized the common law power to conduct random stops on
public roadways, such as
Dedman
and its progeny. Certainly, driving 聳
whether it is on public or private property 聳 remains a licensed activity
subject to regulation and control in the interest of safety. This qualifies the
relevant liberty interest.
[61]
However, I am satisfied that an individual has
greater liberty to do as they wish at home than they do on a public highway.
This liberty must be considered against the backdrop of one聮s reasonable
expectation of privacy on their own private property. This privacy interest has
long been considered paramount, with roots tracing back to the provenance of the
common law: see
Semayne聮s Case
(1604), 77 E.R. 194, and
R. v.
Tessling
, 2004 SCC 67, [2004] 3 S.C.R. 432, at paras. 13-16, 22.
[62]
The fact that driving is a regulated activity must
be balanced against the heightened liberty interest at one聮s own private property.
Driving on highways is a highly regulated activity,
and drivers expect that the rules of the road will be enforced. By contrast, at
home, the individual has no expectation that the police, without any suspicion
of wrongdoing or any particular safety concerns, may enter onto their driveway
and arbitrarily detain them.
[63]
I am satisfied that the asserted police power
represents a
prima facie
interference with the above-noted liberty
interest.
(c)
The Random Stop on Private Property Falls Within
the General Scope of the Duty to Prevent Crime and Protect Life and Property
[64]
In this case, the asserted police power falls
within the general scope of the duties to prevent crime and protect life and
property. Police officers have broad duties in relation to the public, as
reflected in s. 42 of Ontario聮s
Police Services Act
, R.S.O. 1990, c.
P. 15. Included within these duties, is 聯the preservation of the peace, the
prevention of crime, and the protection of life and property聰:
Dedman,
at
p. 32. The power exercised in this case can be conceptualized as an extension
of the police duties to prevent crime (impaired driving) and to protect life
and property (the harms associated with impaired driving). Pursuing drivers off
the highway onto private property to conduct random sobriety checks is related
to these duties. The carnage of impaired driving knows no bounds when it comes
to the difference between public and private property.
(d)
The Expansion of Power is Not Reasonably
Necessary
[65]
Having met the requirements of the first stage,
the inquiry now turns to the second branch of the ancillary powers doctrine.
[66]
There can be no doubt that impaired driving is a
serious problem that demands innovative strategies to deter and detect the
dangers posed to the public. It is clearly important to the public good that
the police perform their duties in this regard. But in my view, the Crown has
not met its onus of demonstrating that pursuing and detaining an individual on their
own private property without any suspicion of wrongdoing is reasonable or necessary
to pursue this objective.
[67]
There are many less intrusive,
Charter
compliant
means of enforcement at the disposal of police in combatting impaired driving.
For example, police have: (1)聽the common law power to conduct Reduced
Impaired Driving Everywhere (聯R.I.D.E.聰) programs; (2) the statutory power
under the
HTA
to stop drivers without any grounds for the purpose of
checking their sobriety, so long as the statutory preconditions are met; and
(3) the common law power to stop a driver for an investigative detention based
on reasonable suspicion.
[68]
Considered in light of the powers the police
already have at their disposal to combat impaired driving, and the greater
intrusion on liberty posed by stops on private property, I cannot conclude that
the power to conduct a groundless stop on private property is reasonably
necessary. The police have extensive powers to combat impaired driving, and it
is difficult to see the need for the courts to fill a legislative gap in this
respect. The police can conduct a random stop under s. 48(1) as soon as the
vehicle enters the highway. They also have the option to observe the driver
without detaining them, and based on those observations, develop a reasonable
suspicion that would give them a basis to detain.
[69]
I note that a key reason why random stops were
considered justified in
Dedman
,
Hufsky
, and
Ladouceur
is because of their deterrent function. In those cases, the court reasoned that
an expectation of being randomly stopped by police on highways would deter
people from driving under the influence:
Dedman
, at pp.聽35-36;
Hufsky
,
at pp. 636-637,
Ladouceur,
at p. 1284. Stated otherwise, the
arbitrary nature of the stop was justified and necessary for its deterrent
purpose. It is not clear that adding random stops on private property enhances
the deterrent function of these stops in any meaningful way.
[70]
The Crown argues, and the minority accepts, that
declining to authorize this police power will lead to an absurd consequence:
drivers will be able to flee to private property to escape the enforcement of
highway laws.
In my view, this
concern is misplaced.
This is not a case of escape:
there is no suggestion that the respondent聮s actions were an artifice designed to
evade police. In a true case of escape, the police may well have the authority
to continue pursuing that person. It is important to bear in mind that the
question is whether the police are entitled to stop someone on private property
without any cause for suspicion.
[71]
The police officers in this case did not
immediately stop the respondent after forming the intention to conduct a random
stop to determine whether or not there was evidence to justify making a demand.
They followed the respondent for about a minute as he made a turn and then
another turn into his driveway. The police lights were not activated until the
respondent was safely on his driveway.
[72]
Certainly, drivers should not be entitled to
escape onto private property to avoid culpability. However, police officers
should not be allowed to follow drivers onto private property to investigate
their driving where there are no grounds to suspect any wrongdoing.
[73]
A police officer may choose to follow a driver
along a highway to see if the manner of driving gives rise to a reasonable
suspicion that the driver is intoxicated. Alternatively, the police officer may
immediately stop the driver to see if there is evidence to support making a
demand.聽 However, where there is no indication from the manner of driving that
the driver is intoxicated, police officers should not be entitled to follow a
driver, after forming a crystallized intention to effect a stop, and wait to do
so until after the driver has entered onto private property. This would allow
the police to enter private property and detain people based on a claimed prior
intention to stop the car, formed in the absence of any actual suspicion of
impairment. The potential for abuse of such a power dictates against the
recognition of the existence of such a power.
[74]
When considering whether an expansion of a police
power is reasonably necessary, caution must be taken when it comes to low
visibility encounters with police, which may leave some marginalized
individuals at particular risk:
Grant
,
at para. 154. In its
role as an arbitrator between the state and individual liberty, the court must
remain vigilant of the unfettered expansion of police powers.
[75]
I note as well that the proposed police power
would be difficult to review. The random nature of the stops means that the
power to detain 聯would generally not result in the laying of charges, [and] the
affected individuals would often have no forum to challenge the legality聰 of
the detention:
Fleming
, at para. 84. Further, since the valid exercise
of the proposed police power depends entirely on whether, in the officer聮s own
mind, the officer intended to stop the vehicle before it pulled off the
highway, judicial oversight of this power could prove challenging.
[76]
While the liberty interests at stake are
qualified by the driving context, randomly detaining an individual on their own
driveway is a non-trivial interference with liberty. In this case, the officers
testified that the purpose of the stop was to conduct a random sobriety check.
At the time of the stop, the driver was no longer on a public highway, nor was
he even operating the motor vehicle. He had reached his destination 聳 his home.
He had parked the UTV on his private driveway, and he was standing outside the
vehicle. It is undisputed that at this point the officers had no reason to
think he was impaired, nor did they have reasonable suspicion to believe that
an offence was being, or had been, committed. Nor was there any sign of a further
driving issue.
[77]
I am satisfied that the proposed expansion of
police power is not reasonably necessary and thus fails under the second branch
of the ancillary powers doctrine.
(3)
Did the police stop breach the
Charter?
[78]
Given my conclusion that police did not have the
authority to randomly check the sobriety of the respondent on his private
property, the stop was unlawful. Therefore, the stop breached the respondent聮s
s. 9 rights. The next question is whether the evidence obtained in the course
of the
Charter
breach should be excluded under s. 24(2).
(4)
Should the evidence be excluded under s. 24(2)
of the
Charter
?
[79]
The trial judge did not find a
Charter
breach and did not conduct an analysis under s. 24(2). On appeal, the summary
conviction appeal judge found a s. 9 breach, conducted a s. 24(2) analysis, and
excluded the evidence. For the reasons that follow, I am of the view that the
summary conviction appeal judge was correct in his conclusion under s. 24(2).
The evidence was rightly excluded.
[80]
Section 24(2) of the
Charter
states
that:
Where, in proceedings under subsection (1), a
court concludes that evidence was obtained in a manner that infringed or denied
any rights or freedoms guaranteed by this
Charter
, the evidence shall
be excluded if it is established that, having regard to all the circumstances,
the admission of it in the proceedings would bring the administration of
justice into disrepute.
[81]
Here, there is no question that the evidence was
obtained in a manner that breached the respondent聮s s. 9 rights. It was only
after the police followed the respondent onto his property and effected the arbitrary
stop that they noticed indicia of impairment.
[82]
Where it is found that evidence was obtained in
a manner that infringed an individual聮s
Charter
right, the court must
determine whether the admission of the impugned evidence would bring the
administration of justice into disrepute. The test was summarized by the
Supreme Court in
Grant
, at para. 71:
A review of the authorities suggests that
whether the admission of evidence obtained in breach of the
Charter
would bring the administration of justice into disrepute engages three avenues
of inquiry, each rooted in the public interests engaged by s. 24(2), viewed in
a long-term, forward-looking and societal perspective. When faced with an
application for exclusion under s. 24(2), a court must assess and balance the
effect of admitting the evidence on society聮s confidence in the justice system
having regard to:
(1) the seriousness of the
Charter
-infringing
state conduct (admission may send the message the justice system condones
serious state misconduct),
(2) the impact of the breach on the
Charter
-protected
interests of the accused (admission may send the message that individual rights
count for little), and
(3) society聮s interest in the adjudication
of the case on its merits.
[83]
The court聮s role on a s. 24(2) application is to
balance the assessments under each of these lines of inquiry to determine
whether, considering all the circumstances, admission of the evidence would
bring the administration of justice into disrepute.
[84]
In addressing the first factor, the court must
evaluate the seriousness of the state violation, with an eye to how the conduct
bears on public confidence in the rule of law and its processes. While I am not
prepared to find that the police acted in bad faith, their conduct in this case
was brazen in the sense that they pursued the respondent onto his own private
property when they had neither the statutory nor common law authority to do so.
[85]
I reject the Crown聮s argument that the summary
conviction appeal judge failed to consider that the law on this point was
unsettled. Any lack of clarity in the law on this point does not give officers
free licence to assume that they have authority. Moreover, the law around
arbitrary detentions is well settled, and the officers ought to have been aware
that they were entering dangerous territory by effecting a random stop, off the
highway, without any suspicion of wrongdoing. I am reminded of the words of
Trotter J.A., albeit in a different context, in
R.聽v.聽Pileggi,
2021
ONCA 4, 153 O.R. (3d) 561,
at para. 72: 聯This situation called for
caution, not hubris.聰 The state violation was serious, and the court would do
well to disassociate itself from this overreach by law enforcement.
[86]
In assessing the second factor, the court must
evaluate 聯the extent to which the breach actually undermined the interests
protected by the right infringed聰:
Grant
, at para. 76. The protected
interests include liberty. I am of the view that the impact was significant, as
the police questioned the respondent and obtained evidence against him in the
course of his unlawful detention. This occurred on his private property, where
he had a reasonable expectation of privacy. I am satisfied that the breach significantly
undermined the respondent聮s protected interests. As noted in
Grant,
at
para. 77, the more serious the incursion, 聯the greater the risk that admission
of the evidence would bring the administration of justice into disrepute.聰
[87]
On the third and final factor, the court must
determine 聯whether the truth-seeking function of the criminal trial process
would be better served by admission of the evidence, or by its exclusion聰:
Grant
,
at para. 79. This means that the court must be alive both to 聯the negative
impact of admission of the evidence on the repute of the administration of
justice聰 and to 聯the impact of
failing to admit
the evidence聰:
Grant,
at para. 79 (emphasis in original).
[88]
In conducting the analysis under this factor,
the court must balance the factors in favour of admission and the factors in
favour of exclusion of the evidence.
[89]
In addressing the factors in favours of
admission of the evidence, the following facts have to be considered: (1) there
is no evidence the police officers were acting in bad faith; (2) if the stop
had occurred thirty seconds earlier, while on the highway, there would be no
issue; (3) the respondent was intoxicated and there is a public interest in combatting
drinking and driving; and (4) the evidence obtained is reliable and essential
to the Crown聮s case. These factors weigh in favour of inclusion.
[90]
The factors in favour of exclusion are as
follows: (1) the police could have stopped the respondent 30 seconds earlier,
while he was still on the highway, but they did not; (2) while the respondent
was driving on the highway, the police did not observe any indicia of
impairment to justify forming a reasonable suspicion to investigate him, nor
was there any evidence of another
HTA
infraction;
[2]
and (3)聽the intrusive
nature of a police power to arbitrarily stop and question people on their own
property, in the absence of reasonable suspicion of impairment, overrides the
public interest in the admission of evidence.
[91]
While there is no question that the exclusion of
the evidence would undermine the truth-seeking function of the trial, society has
a vital interest in having a justice system that is above reproach. As I
alluded to above, officers are not above the law, and conduct that tests the
limits of their authority should not be condoned by this court. On balance, I agree
with the summary conviction appeal judge that inclusion of the evidence would
bring the administration of justice into disrepute. I would exclude the
evidence and uphold the respondent聮s acquittal.
F.
DISPOSITION
[92]
I would dismiss the appeal.
聯M.
Tulloch J.A.聰
聯I
agree. K. Feldman J.A.聰
Hourigan J.A. (dissenting):
A.
INTRODUCTION
[93]
Impaired driving is a scourge in our society.
Despite concerted efforts for approximately the last 40 years to eradicate the
practice, drivers continue to operate motor vehicles while impaired by alcohol
or drugs. They selfishly and recklessly engage in this high-risk behaviour and
leave in their wake death, injuries and destruction. Given this pressing
societal concern, the Supreme Court has ruled that the random stopping of
vehicles on public streets by the police is constitutionally permissible
because such a minimal restriction of liberty is demonstrably justified in a
free and democratic society: see
R. v. Ladouceur
, [1990] 1 S.C.R.
1257.
[94]
The case at bar involves an egregious example of
impaired driving. When the police were able to catch up with the respondent and
ask him whether he had been drinking, according to one of the police officers
involved, he offered an honest but frightening answer, 聯I聮ve had a few beers.
Well, I might've had 10." After his arrest, but before the police were
able to test his blood-alcohol level, the respondent vomited due to his
excessive alcohol consumption. When the tests were ultimately administered,
they showed blood alcohol levels well above the legal limit.
[95]
Yet, according to the majority reasons, the
respondent is immune from investigation or prosecution because he pulled onto
the shared driveway that leads to his parents' house and a commercial
establishment (a store). In effect, by pulling over to private property, the
respondent moved into an area of legal sanctuary. The policy implications of
the majority's decision are both evident and far-reaching.
[96]
The sanctuary finding means that an impaired
driver who the police intended to stop on a public highway is free to pull onto
private property when the driver spots a police cruiser. This property need not
be a place to which they have any connection or even a legal right to visit. It
matters not that a police officer wished to conduct the random stop on a public
highway. As long as the driver gets their vehicle onto a stretch of private
property, sanctuary applies, and they are "home free." For drivers
who are in the process of being pulled over as part of a random stop, if they
can pull onto private property as the safe spot to stop their vehicle, arguably
they too will have reached sanctuary. In many cases, this sanctuary will be
fleeting, as the impaired driver will stay on the private property only for as
long as the police cruiser is in the area. Once it is out of sight, the driver
will be free to re-enter the public highway and continue to endanger public
safety.
[97]
The majority engages in a strict construction of
the powers of a police officer to undertake a random traffic stop under the
Highway
Traffic Act,
R.S.O. 1990, c.聽H.8 (聯
HTA
聰). That construction
leads to its sanctuary finding, which prevents the police from effectively
carrying out their duties. This is a statutory interpretation that is contrary
to the public safety policy imperative that animates the
HTA
.
[98]
The majority聮s approach also stands in sharp
contrast to the reasoning of the Court of Appeal for Saskatchewan and the
Ontario Superior Court in nearly identical cases: see
R. v. Anderson
,
2014 SKCA 32, 433 Sask. R. 255, affirming 2013 SKQB 219, 422 Sask. R. 130;
R.
v. Alrayyes
, 2013 ONSC 7256. Those courts took a purposive and
common-sense approach to the issue and rendered decisions that facilitated the
public safety purposes of the relevant legislation. They permitted the police
to conduct a random stop of a driver on private property in restricted
situations where the police formed an intention to make a stop while the
vehicle was on a public highway.
[99]
I also cannot accede to the majority聮s
conclusion that the police did not have the common law power to conduct a
random check. Under the ancillary powers doctrine, the common law has long been
used to fill gaps in legislation. As the Supreme Court has stated in the
context of legislation enacted to combat impaired driving, the common law
should be used to provide sufficient flexibility in an enforcement scheme to ensure
that it is effective:
R. v. Orbanski
;
R. v. Elias
, 2005 SCC
37, [2005] 2 S.C.R. 3, at para. 45.
[100]
Finally, this case is another example of the cursory application of
the test mandated by
R. v. Grant
, 2009 SCC 32, [2009] 2 S.C.R. 353, in
determining whether evidence should be excluded under s. 24(2) of the
Canadian
Charter of Rights and Freedoms
. The appeal judge's reasons on this
critical issue are one paragraph in length, and are factually and legally
flawed. As will be discussed, the focus of s. 24(2) is societal; it aims to
preserve the integrity of the justice system in a manner that is reflective of
societal values. Courts should not lose sight of the fact that the Grant test
requires careful consideration of its lines of inquiry to determine whether,
considered objectively, the overall repute of the justice system will be
adversely impacted by the admission of the impugned evidence. When courts do
not engage in a meaningful s. 24(2) analysis and automatically exclude evidence
because there has been a
Charter
breach, they fail in their duty to
protect the integrity of the justice system. In this case, on a proper
application of the
Grant
test, the evidence should not have been
excluded.
B.
FACTS
[101]
On March 25, 2016, at approximately 12:30 a.m., Constable Jeff
Lobsinger, who was on general patrol with Constable Laura Hicks, spotted an
all-terrain vehicle (聯ATV聰) parked outside a convenience store at the Thessalon
First Nation. The respondent, Walker McColman, was the driver.
[102]
As the ATV left the parking lot, Constable Lobsinger directed
Constable Hicks to U-turn the police cruiser and followed the ATV on the public
highway. The trial judge found as a fact that while the respondent was driving
on a public highway, Constable Lobsinger decided to conduct a random sobriety
stop pursuant to s. 48(1) of the
HTA
. At trial, the officer fairly
conceded that there were no signs of impaired driving that otherwise warranted
a stop.
[103]
When the officers caught up to the respondent, he had pulled off the
public highway and stopped in the middle of a driveway that served a commercial
property and the respondent聮s parents聮 home. There was no suggestion at trial
that the respondent pulled into the shared driveway to avoid the police. The
police activated the cruiser聮s roof lights and approached the respondent聮s
vehicle. From the time of spotting the vehicle to the time of the stop,
approximately one minute had elapsed.
[104]
At the stop, Constable Lobsinger spoke to the respondent and
observed obvious signs of impairment, including trouble standing despite
hanging on to the side of the vehicle, a strong odour of alcohol, bloodshot
eyes, and mumbling speech. As noted above, according to Constable Lobsinger,
the respondent told him that he had consumed excessive amounts of alcohol that
evening. Constable Lobsinger arrested the respondent for impaired driving at
12:36 a.m. A breathalyzer test was delayed at the police station because the
respondent vomited due to his alcohol consumption. Two breathalyzer tests were
eventually conducted, which recorded his blood alcohol concentration level at
120 and 110聽milligrams of alcohol in 100 millilitres of blood.
C.
PROCEEDINGS BELOW
[105]
The respondent brought an application alleging breaches of ss. 8, 9,
and 10(b) of the
Charter
. That application was dismissed by the trial
judge, who found in regard to the alleged s. 9 breach that Constable Lobsinger
formed his intention to stop the respondent on the public highway and, as a
result, the officers聮 authority under the
HTA
to stop the vehicle
continued after the respondent turned onto the shared driveway. In reaching
this conclusion, the trial judge rejected the defence theories that Constable
Lobsinger did not subjectively intend to stop the respondent on the highway for
a sobriety check and was instead motivated by animus due to an interaction with
the respondent some three years earlier. The trial judge did not consider any
common law authority to stop the vehicle.
[106]
The respondent was found guilty of both impaired driving and over 80聽operation
of a motor vehicle. The trial judge conditionally stayed the impaired driving
conviction under s. 253(1)(a) of the
Criminal Code
, R.S.C. 1985, c.
C-46, and sentenced the respondent to the mandatory minimums of a $1,000 fine
(plus a $300 victim surcharge) and a 12-month driving prohibition.
[107]
On appeal to the Summary Conviction Appeal Court, the appeal judge
held that the officer had no statutory or common law authority to stop the
respondent on the shared driveway. Consequently, he found a breach of s. 9 and
then excluded all evidence that resulted from the sobriety check under s.
24(2). After excluding the evidence, he acquitted the respondent.
D.
SUMMARY OF THE ISSUES
[108]
As I will explain, I believe that the appeal judge erred in his
statutory interpretation of the
HTA
. Specifically, he failed to take a
purposive approach to the legislation and instead interpreted it in a manner
contrary to the public safety protections that underlie the statute. I am also
of the view that the appeal judge erred in his consideration of the officers聮
common law powers, and would find that the officers had the common law power to
conduct the stop if they were not permitted to do so under the
HTA
.
Finally, the appeal judge engaged in a cursory and error-filled s. 24(2)
analysis, which this court owes no deference. On a proper
Grant
analysis, the evidence should not have been excluded. Each of these issues will
be considered in turn below.
E.
ANALYSIS
(1)
Power Under the
HTA
(a)
Section 48(1) of the
HTA
[109]
The statutory authority for random sobriety checks is found in s.
48(1) of the
HTA
, which provides:
48(1) A police officer, readily identifiable
as such, may require the driver of a motor vehicle to stop for the purpose of
determining whether or not there is evidence to justify making a demand under
section 320.27 or 320.28 of the
Criminal Code
(Canada).
[110]
The Supreme Court found that a provision in a previous iteration of
the
HTA
requiring motorists to stop when directed to do so by a police
officer was constitutionally valid under s. 1 of the
Charter
because
random sobriety checks are reasonably and demonstrably justified in a free and
democratic society. In reaching this conclusion, the court found overwhelming
evidence of the direct connection between serious accidents and driving under
the influence of alcohol or drugs:
Ladouceur
, at p. 1282. It also
found that the absence of spot checks means that 聯impaired drivers could easily
avoid the consequences of their dangerous misconduct聰:
Ladouceur
, at
p. 1285.
[111]
Instructive for present purposes are the court's comments regarding
the limited nature of the privacy intrusion occasioned by these stops. The
court noted that driving is a licensed activity, the stops are relatively
short, the driver is minimally inconvenienced, and the officer's investigation
is restricted to the purpose of the check:
Ladouceur
, at pp. 1285-87.
[112]
The Crown submits that the appeal judge erred in taking a narrow and
restrictive interpretation of the random stopping powers of the police under
the
HTA
. It argues for a police power under the
HTA
to check
sobriety on private property provided that the following elements are present:
(i) the police officer observes the driver operating on a highway; (ii) the
police officer forms the intention to stop the driver for a sobriety check
while the driver is still on the highway; and (iii) although the driver leaves
the highway and enters private property before the stop is conducted, the
events constitute one continuous investigative transaction. It is necessary to
undertake a statutory interpretation analysis of the
HTA
to consider
this submission.
(b)
Principles of Statutory Interpretation
[113]
The law regarding the correct approach to statutory interpretation
is well settled and need not be considered in detail here. As C么t茅 J. recently
stated in
1704604 Ontario Ltd. v. Pointes Protection Association
, 2020
SCC 22, 449 D.L.R. (4th) 1, at para. 6:
[6] Indeed, this Court has reiterated on
numerous occasions that the modern approach to statutory interpretation
requires that the words of a statute be read 聯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聰 (E. A. Driedger,
Construction
of Statutes
(2nd ed. 1983), at p. 87, quoted in
Rizzo & Rizzo
Shoes Ltd. (Re)
, [1998] 1 S.C.R. 27, at para. 21).
See also
Bell ExpressVu Limited
Partnership v. Rex
, 2002 SCC 42, [2002] 2 S.C.R. 559, at para. 26.
[114]
Proper statutory interpretation cannot be founded on the wording of
the legislation alone:
Rizzo & Rizzo Shoes Ltd. (Re),
[1998] 1
S.C.R. 27, at para. 21. Watt J.A. in
R. v. Stipo
, 2019 ONCA 3, 144
O.R. (3d) 145, at para. 176, described the preferred statutory interpretation
approach this way:
[176] This preferred approach recognizes the
significant role that context must play when courts construe the written words
of a statute. No statutory provision is an island in itself. Its words take their
colour from their surroundings:
Bell ExpressVu
, at para. 27. All
issues of statutory interpretation involve the fundamental question of what
Parliament intended. To discover what Parliament intended, we look at the words
of the provision, informed by its history, context and purpose:
R. v.
Mabior
, 2012 SCC 47, [2012] 2 S.C.R. 584, at para.聽20.
[115]
Thus, even where the words of the statute appear to be clear on
their face, the reviewing court must examine whether the words truly reflect
the intention of the legislature. It is well established in the jurisprudence
of this court and the Supreme Court that it is necessary to consider the entire
context before settling on what appears, at first blush, to be the plain
meaning of a legislative provision: see
Solar Power Network Inc. v.
ClearFlow Energy Finance Corp.
, 2018 ONCA 727, 426 D.L.R. (4th) 308, at
para. 75, leave to appeal refused, [2018] S.C.C.A. No.聽487. See also
Keatley
Surveying Ltd. v. Teranet Inc.
, 2019 SCC 43, 437 D.L.R. (4th) 567, at
para. 96,
per
C
么
t
茅
and Brown (dissenting);
Rooney v.
ArcelorMittal S.A.
, 2016 ONCA 630, 133 O.R. (3d) 287, at para. 13; and
Toronto
Standard Condominium Corporation No. 1908 v. Stefco Plumbing & Mechanical
Contracting Inc.
, 2014 ONCA 696, 377 D.L.R. (4th) 369, at para. 37.
[116]
To be clear, I do not take issue with the conclusion of the appeal
judge and the majority in this court that, at first blush, an operator of a
motor vehicle on private property does not meet the definition of a driver in
the
HTA
because a driver is defined as a person who drives a vehicle
on a highway, and the definition of a highway does not include private
property. The difficulty I have with their interpretation is that after
considering the plain meaning of the words used in the
HTA
, they
stopped their analysis. That is a legally unsound practice when undertaking
statutory interpretation. It divorces context and purpose from the exercise and
may lead, as in this case, to a restricted analysis that reaches a conclusion
contrary to the legislative purpose underlying the legislation.
(c)
Purpose of the
HTA
[117]
The purpose of the
HTA
has been canvassed in this court聮s
jurisprudence. Doherty J.A., writing for a five-judge panel in
R. v.
Hajivasilis
, 2013 ONCA 27, 114 O.R. (3d) 337, at paras. 50-51, described
the purpose of the
HTA
as follows:
[50] Bearing that caution in mind, the case
law does identify in broad terms the object of the
HTA
. In
R. v.
Raham
(2010), 99 O.R. (3d) 241, [2010] O.J. No. 1091, 2010 ONCA 206, at
para. 33, the court refers to the
HTA
as "public welfare
legislation designed to protect those who use the roads of the province聰.
Earlier, in
Ontario (Hydro-Electric Power Commission) v. Bruell Float
Service Ltd.
(1974), 3 O.R. (2d) 108, [1974] O.J. No. 1841 (C.A.), at p.
114 O.R., aff聮d on other grounds, [1976] 1 S.C.R. 9, [1975] S.C.J. No. 22, this
court said:
[T]he general purpose of the
Highway
Traffic Act
is the regulation of the use of the highways by persons on
foot and in vehicles; that is not to say that certain provisions of the statute
will not apply to the use of vehicles other than on a highway, but in an
over-all sense the Legislature is directing itself to the regulation of
vehicular traffic and not to commerce conducted in or by means of vehicles.
[51] In my view, regulation to protect the
public using the province's roads is not necessarily limited to roads that fall
within the meaning of "highway" in the Act. Public safety concerns
might well demand regulation in respect of traffic in large private parking
facilities even though those facilities are not used by the general public for
"the passage of vehicles". Similarly, public safety concerns might
well demand the regulation of private parking facilities as incidental to
regulations maintaining the safety of the "highway" leading into and
out of that facility.
[118]
Both the majority and the appeal judge ignore the purpose of the
HTA
.
Instead, they focus only on what they say is the plain meaning of the statute's
text. That methodology violates s. 64 of the
Legislation Act
, 2006, S.O.
2006, c. 21, Sched. F, which requires that "[a]n Act shall be interpreted
as being remedial and shall be given such fair, large and liberal
interpretation as best ensures the attainment of its objects."
(d)
R. v. Anderson
[119]
Contrast the majority聮s approach with the reasoning of the Court of
Queen聮s Bench for Saskatchewan and the Court of Appeal for Saskatchewan in
Anderson. In that case, a police officer observed no driving infractions,
mechanical issues, or any other noteworthy activity, but decided to stop a
vehicle to check the driver聮s sobriety. After the officer formulated the
intention to stop the vehicle, but before doing anything to carry out the stop,
the accused turned off the public highway and entered a private lot. The
officer followed and activated his emergency lights as he entered the private
lot.
[120]
In
Anderson
, the Saskatchewan equivalent of the
HTA
was considered, being
The Traffic Safety Act
, S.S. 2004, c. T-18.1,
which provided, in part:
209.1(1) A peace officer may require
the person in charge of or operating a motor vehicle to stop that vehicle if
the peace officer:
(a) is readily identifiable as a
peace officer; and
(b) is in the lawful execution of
his or her duties and responsibilities.
(2) A peace officer may, at any time
when a driver is stopped pursuant to subsection (1):
(a) require the driver to give
his or her name, date of birth and address;
(b) request information from the driver
about whether and to what extent the driver consumed, before or while driving,
alcohol or any drug or other substance that causes the driver to be unable to
safely operate a vehicle; and
(c) if the peace officer has reasonable
grounds to believe that the driver has consumed alcohol or a drug or another
substance that causes the driver to be unable to safely operate a vehicle,
require the driver to undergo a field sobriety test.
[121]
The trial judge found that although the investigating officer
formulated the intention to stop the accused聮s vehicle pursuant to s. 209.1
while he was operating his motor vehicle on a public highway, the stop was
arbitrary because the officer did not take steps to carry out the stop before
the accused crossed onto private property. On appeal to the Court of Queen聮s
Bench for Saskatchewan, that decision was overturned. Popescul C.J.Q.B.,
reasoned, at paras. 31-34:
[31] The defendant was on a public highway.
The investigating officer did form the intention to check the defendant for
legislatively authorized purposes prior to him turning onto a private lot. The
police must be allowed "sufficient flexibility to be effective聰.
[32] Further, entering onto the private lot to
complete the check stop was reasonably necessary having regard to the nature of
the liberty interfered with and the public purpose served. The interference was
minimal. In the event, for example, that the defendant had not been driving
after consuming alcohol, the episode would have been over.
[33] The public purpose served is significant.
Giving the police the authority to stop vehicles randomly in order to, among
other things, check for sobriety is intended to reduce the carnage on our roads
by preventing and deterring those who might be inclined to drive after drinking
too much alcohol.
[34] To restrict that police power merely
because a driver happens to have turned onto a private lot does not make sense
or advance the administration of justice. As recognized by the trial judge:
[30] ... This is not to say that a driver
becomes untouchable and immune from investigation and police inquiries by
simply breaking the plane of the goal line, so to speak, and crossing onto
private property. ... .
I agree. There is no 聯home free聰 zone in
circumstances such as this.
[122]
The Court of Appeal for Saskatchewan affirmed the decision of the
Queen聮s Bench. They did not give effect to the same argument advanced in this
case,
viz.
, that the power of the police officer to stop the vehicle
was eliminated once it entered private property. In rejecting that argument,
the court reasoned, at paras.聽24-25, as follows:
[24] It is a fact found by the trial judge
that the police officer formed the intention to stop the appellant prior to the
appellant turning onto private property. In my view, the police officer must be
allowed sufficient flexibility in carrying out his duties to complete that
lawful activity. Interference with the appellant here was minimal and the entry
onto private property, to complete the check stop, was reasonably necessary,
having regard to the nature of the liberty interfered with and the public purpose
served by the interference.
[25] To decide otherwise would encourage
drivers to seek the sanctuary of private roadways if they suspected they were
about to be stopped by police. In the circumstances of this case, where a
police officer has formed the intention to stop a driver on a public highway
pursuant to s. 209.1 of
The
Traffic Safety Act
, the police
officer is acting within the statutory authority by following the driver onto
private property in order to complete his investigation.
[123]
In my view, the Court of Appeal for Saskatchewan took the correct
approach to the issue before this court. It considered not only the words of
the legislation, but the purpose of the statute and the policy implications of
simply giving effect to what, at first blush, appears to be the plain meaning
of the text. Similarly, the
HTA
must be interpreted in a manner that is
consistent with its purpose.
(e)
R. v. Alrayyes
[124]
The decision of the Court of Queen聮s Bench for Saskatchewan in
Anderson
was followed by Justice Giselle Miller, sitting in Summary Conviction Appeal
Court, in
Alrayyes
.
[3]
This case is not mentioned in the reasons of the appeal judge or the majority,
but it has facts and issues that are very similar to the case at bar. Given
these similarities, a detailed discussion of the case is warranted.
[125]
In
Alrayyes
, a police officer observed the accused driving
a motor vehicle leaving the parking lot of a strip mall. The officer followed
the vehicle, watching as it entered the highway, drove some distance, then
exited the highway into a gas station. The trial judge found that the officer
formed the intention to stop the vehicle pursuant to s. 48 of the
HTA
before the vehicle pulled off the highway into the gas station, but delayed
signalling the vehicle to stop as he was at an intersection and did not want to
confuse other drivers. Before the officer was able to activate the lights on
his police cruiser at a safe location, the accused聮s vehicle had already turned
into the gas station. The officer carried out the random stop at the gas
station.
[126]
Thus, the circumstances are nearly identical to the situation in the
present case. The police officer formed an intention to conduct a random stop
of a driver on a public highway, and before he was able to activate his
emergency lights, the driver pulled onto private property. Miller J. then put
the issue in its proper legal context as follows:
[12] It is clear from the Supreme Court of
Canada decision in
R. v. Mansour
, [1979] S.C.J. No. 77, that a
"highway" under the
Highway Traffic Act
does not include a
parking lot.
[13] The Ontario Court of Appeal in
R. v.
Hajivasilis
, [2013] O.J. No. 253, recently considered whether all
provisions of the
Highway Traffic Act
are applicable only to
"highways." The Court concluded that each provision has to be
considered according to the way in which it is worded. Doherty, J.A. indicated
at paragraph 13 that, for example, a "driver" under s. 48 of the
Highway
Traffic Act
means "聭a person who drives a vehicle on a highway聮. A
person driving a motor vehicle on a private parking lot is at least arguably
not a driver for the purposes of the
HTA
.聰
[14] Both the Appellant and the Respondent
agree that paragraph 13 of
Hajivasilis
is obiter, and that the word
"arguably" leaves open whether a "driver" may be stopped
pursuant to s. 48 of the
Highway Traffic Act
once the driver has left
a "highway" on which he or she was previously observed to be driving,
and entered onto private property.
[21] There is no issue that if police have
reasonable grounds to believe an offence is being committed they may pursue a
vehicle, and the driver of that vehicle onto private property in order to
continue their investigation and/or to effect an arrest if in hot pursuit.
R.
v. Macooh
, [1993] 2 S.C.R. 802;
R. v. Boughen
, [2002] O.J. No.
4060 (C.A.) There is no suggestion that either situation existed here.
[22] There is no issue that reasonable grounds
to stop a vehicle, except under the authority of s. 48(1) of the
Highway
Traffic Act
, are necessary otherwise the detention resulting from the stop
would be arbitrary and therefore contrary to s. 9 of the
Charter
.
[23] There is no issue that s. 48(1) of the
Highway
Traffic Act
does not give police authority to stop a vehicle being driven
solely on private property.
R. v. Campbell
, [2009] O.J. No. 1534
(O.C.J.);
R. v. Cordeiro
, [2009] O.J. No. 4923;
R. v. Tresham
,
[1998] O.J. No. 1744 (G.D.).
[24] The question is whether s. 48(1) of the
Highway
Traffic Act
authorises police, who have observed a vehicle to be driving
on a highway, to effect a stop of that vehicle once it has entered onto private
property.
[127]
Miller J. went on to summarize the parties' positions, which are
similar to the submissions made on this appeal. The defence argued that since
Ladouceur
found that the power to randomly stop vehicles was only saved by s. 1 of the
Charter
as rationally and proportionally addressing the pressing and substantial
concern in relation to the safe operation of vehicles on our highways, once the
vehicle left the highway, that safety concern was no longer engaged.
[128]
The Crown argued that to require the police to stop a vehicle
driving on a highway only while it remains on the highway would be illogical
and contrary to the object of the
HTA
as "public welfare
legislation designed to protect those who use the roads of the province"
per para. 33 of this court聮s decision in
R. v. Raham
, 2010 ONCA 206,
99 O.R. (3d) 241.
[129]
In the end, Miller J. agreed with the approach of the Court of
Queen聮s Bench for Saskatchewan in
Anderson
, and concluded, at para.
31, as follows:
[31] [P]olice must be given reasonable
flexibility in carrying out their duties. I am satisfied that if a vehicle is
observed by police to be driving on a 聯highway聰 as defined by the
Highway
Traffic Act
, their authority to stop that vehicle pursuant to s. 48(1) of
the
Highway Traffic Act
does not come to an end simply because the
vehicle enters onto private property.
[130]
I concur with her analysis and conclude that she interpreted s.
48(1) in a manner that ensured that the police power granted therein could be
effectively used.
(f)
Purposive Interpretation
[131]
In my view, the interpretation favoured by the appeal judge and the
majority in this court is contrary to the public protection purpose of the
HTA
.
It allows motorists, like the respondent, to avoid the power of the police to
conduct random stops by pulling their vehicle onto private property. The
majority's sanctuary finding means that impaired drivers will be encouraged to
drive onto private property any time they see a police cruiser in the area,
even though a police officer formed an intention to conduct a random stop of
them on a public highway. As noted above, the impaired driver need not have any
connection to the private property, and in many cases, the sanctuary will be
short-lived.
[132]
For drivers who are in the process of being pulled over as part of a
random stop, s. 216(1) of the
HTA
requires them to pull over to a safe
place. With the majority's sanctuary ruling, impaired drivers will undoubtedly
select a spot on private property as the safe place to stop their vehicle. Once
they have done so, they too will arguably have reached sanctuary and will be
immune from investigation. Again, when the police cruiser leaves the area, they
will be free to continue to put public safety at risk.
[133]
Can it credibly be argued that these results were what the
legislature intended in enacting the
HTA
? My view is that the
sanctuary finding, which will inevitably endanger public safety, could not have
been intended by a legislature passing a statute enacted to protect public
safety. It is also essential to recognize that the Crown is not submitting that
the random stop power should be expanded to private property in all situations.
Its reasonable and sensible position is restricted to situations where the police
officer formed the intention to make the random stop on a public highway, and
the stop is carried out on private property as part of one continuous
transaction.
(g)
Summary
[134]
In summary, I agree with the Crown聮s interpretation of the
HTA
.
It makes practical sense, gives effect to the legislature's intention, and
provides sufficient flexibility for the legislation to be effective. I would
adopt the Crown聮s interpretation of the
HTA
and find that the officers
in this case had the authority to make the stop on the shared driveway.
(2)
Common Law Power
(a)
Legal Principles
[135]
The Crown submits that if the respondent聮s move to private property
extinguished the police officers聮 ability to conduct the check under the
HTA
,
then the common law should fill the gap because the police should not be
rendered powerless to make an already-intended lawful stop. There is no
question that the common law can be adapted through the ancillary powers
doctrine to fill legislative gaps:
Fleming v. Ontario
, 2019 SCC 45,
437 D.L.R. (4th) 220, at para. 42;
R.聽v.聽Kang-Brown
, 2008
SCC 18, [2008] 1 S.C.R. 456, at para. 50.
[136]
The detention in the instant case is a
prima facie
interference with liberty and will be authorized under the ancillary powers doctrine
if two requirements are met: (i) the police must have been acting within the
general scope of a statutory or common law police duty; and (ii) the conduct in
question must involve a justifiable exercise of police powers associated with
that duty:
Fleming
, at para. 46. This test, which has long been
employed in determining the validity of police action, was first articulated in
the English case,
R. v. Waterfield
, [1963] 3 All E. R. 659.
[137]
In reviewing the second requirement - that the police conduct was
justifiable - the court asks whether the police action is reasonably necessary
for the fulfilment of the duty. This involves the consideration of three
factors: (i) the importance of the performance of the duty to the public good;
(ii) the necessity of the interference with individual liberty for the
performance of the duty; and (iii) the extent of the interference with
individual liberty:
Fleming
, at para. 47;
R. v. MacDonald
,
2014 SCC 3, [2014] 1 S.C.R. 37, at para. 37.
[138]
Molloy J. in
R. v. Dillon
(2006), 141 C.R.R. (2d) 1 (Ont.
S.C.), undertook a comprehensive review of the law in this area in
circumstances where the police investigated the driver of a vehicle sitting in
the parking lot of a bar. She found that the officers had no power to investigate
the vehicle under the
HTA
. In considering their common law powers,
Molloy J. relied on the Supreme Court's decision in
Dedman v. The Queen
,
[1985] 2 S.C.R. 2, in concluding that the police had the common law power to
detain the accused for a spot check.
Dedman
, which involved a traffic
stop under the 聯Reduce Impaired Driving Everywhere聰 (聯R.I.D.E.聰) program, was
decided before the enactment of s. 48(1) of the
HTA
. Therefore, the
validity of the random check in that case was dependent on whether the police
had a common law power to stop the vehicle.
[139]
In
Dedman
, Le Dain J., writing for the court, held that
there was common law authority to randomly stop a vehicle for the purpose
contemplated by the R.I.D.E. program. His conclusion on the second branch of the
Waterfield
test, at pp. 35-36, was as follows:
Because of the seriousness of the problem of
impaired driving, there can be no doubt about the importance and necessity of a
program to improve the deterrence of it. The right to circulate on the highway
free from unreasonable interference is an important one, but it is, as I have
said, a licensed activity subject to regulation and control in the interest of
safety. The objectionable nature of a random stop is chiefly that it is made on
a purely arbitrary basis, without any grounds for suspicion or belief that the
particular driver has committed or is committing an offence. It is this aspect
of the random stop that makes it capable of producing unpleasant psychological
effects for the innocent driver. These effects, however, would tend to be
minimized by the well鈥憄ublicized nature of the program, which is a
necessary feature of its deterrent purpose. Moreover, the stop would be of
relatively short duration and of slight inconvenience. Weighing these factors,
I am of the opinion that having regard to the importance of the public purpose
served, the random stop, as a police action necessary to the carrying out of
that purpose, was not an unreasonable interference with the right to circulate
on the public highway. It was not, therefore, an unjustifiable use of a power
associated with the police duty, within the
Waterfield
test.
[140]
The decision of Molloy J. in
Dillon
was applied in
R.
v. Nield
, 2015聽ONSC聽 5730, leave to appeal refused, 2017 ONCA
722, 393 C.R.R. (2d) 314. There, the court was concerned with a situation where
a police officer observed the accused running through a parking lot at 1:22
a.m. and hopping into the driver's seat of a vehicle. The officer followed the
accused on a public highway and parked behind his vehicle when it stopped in a
hotel parking lot. On the officer聮s investigation of the accused in the parking
lot, he determined that the accused had been drinking and made a demand for a
breath sample. The accused failed the roadside test, and breathalyzer readings
over the legal limit were subsequently recorded.
[141]
The trial judge in
Nield
found that the stop was arbitrary
because the accused was no longer a driver under the
HTA
when he
parked his vehicle. The trial judge excluded the evidence and acquitted the
accused. On appeal to Fregeau聽J., sitting in the Summary Conviction Appeal
Court, the appeal judge upheld the trial judge聮s ruling regarding the
HTA
.
However, he went on to find that the police officer was acting within his
common law authority when he stopped and detained the respondent in the hotel
parking lot.
[142]
Fregeau J. observed that in order to randomly detain a motorist
without reasonable grounds for suspecting that person has committed a crime,
the police must be acting legitimately out of a concern for the protection of
the public in relation to the operation of a motor vehicle:
Nield
, at
para. 43. He accepted Molloy J.聮s conclusion that assuming the police had a
valid common law power to detain the accused for investigative purposes, there
is no principled reason to find that such power was lost because the detention
occurred in a parking lot adjacent to a roadway from which he had just left:
Nield
,
at para. 50.
(b)
Application of Legal Principles
[143]
There can be little doubt that the first requirement of the
ancillary powers doctrine has been satisfied in this case. A police officer's
general scope of duties includes preserving the peace, preventing crime, and
protecting life and property:
Fleming
, at para. 69. Where, as in the
instant case, there has been a finding of fact that the purpose of the stop was
to ensure that a driver was not impaired, the police are acting in the exercise
of a lawful duty:
Dillon
, at para. 49.
[144]
Turning to the second requirement, the effort to prevent impaired
driving is unquestionably important to the performance of the duty to the
public good. The significant role of random stops in combating impaired driving
has been accepted since
Dedman
and has been recognized in subsequent Supreme
Court jurisprudence, including in
Ladouceur
, at p. 1282, and
R. v.
Hufsky
, [1988] 1 S.C.R.聽621, at p. 636.
[145]
In undertaking his analysis on the second requirement, the appeal
judge found that public safety was no longer a relevant consideration because the
respondent had reached the driveway of his residence, and there was no evidence
that he intended to return to the highway. I agree with the Crown that this
finding is problematic for three reasons.
[146]
First,
it ignores the public benefit from the
deterrent effect of random sobriety checks. There is an overall benefit to
public safety when drivers cannot avoid random sobriety checks by simply
leaving the highway.
[147]
Second
, the appeal judge failed to properly
apply the evidence from the trial in undertaking his analysis. That evidence
did not support that the police knew that the respondent had reached his residence
at the time of the stop. On the contrary, Constable Lobsinger testified that he
believed that the respondent had entered the driveway of another convenience
store.
[148]
Third, this argument - that any public safety concern ends when a
driver reaches private property - has been rejected in the jurisprudence: see
Nield
,
at paras. 46-50. Further, as Rosenberg J.A. stated in
R. v. Lotozky
(2006), 81 O.R. (3d) 335 (C.A.), at para. 37, the police do not need to wait
and see if a driver on private property will return to the highway:
[37] [U]ntil the impaired driving complaint
was investigated there was a risk that an impaired driver would re-enter the
vehicle and drive while impaired. It is not reasonable to expect the police to
devote resources to waiting outside the motorist聮s house until he or she returns
to the street.
[149]
Regarding the necessity of the interference with individual liberty
for the performance of the duty, it is obvious that a vehicle must be stopped,
and that the officer must have some interaction with the driver for the
screening process to be effective. In this regard, the comments of Charron J.
in
Orbanski
, at para. 45, are apt:
[45] The screening of drivers necessarily
requires a certain degree of interaction between police officers and motorists
at the roadside.聟The scope of justifiable police conduct will not always be
defined by express wording found in a statute but, rather, according to the
purpose of the police power in question and by the particular circumstances in
which it is exercised. Hence, it is inevitable that common law principles will
need to be invoked to determine the scope of permissible police action under
any statute. In this context, it becomes particularly important to keep in mind
that any enforcement scheme must allow sufficient flexibility to be effective.
The police power to check for sobriety, as any other power, is not without its
limits; it is circumscribed, in the words of the majority of this Court in
Dedman
by that which is 聯necessary for the carrying out of the particular police
duty and it must be reasonable, having regard to the nature of the liberty
interfered with and the importance of the public purpose served by the
interference聰 (p. 35).
[150]
Finally, a random stop occasions minimal interference with
individual liberty. Driving is not a fundamental liberty, like the ordinary
right of movement of the individual. Rather, it is a licenced activity that is
subject to state control to protect life and property:
Dedman
, at p.
35. Further, as noted by the Supreme Court in
Ladouceur
, at pp.
1286-87, random stops are brief, minimally inconvenience the driver, and are
restricted to the purpose of the check.
[151]
In my view, if the officers did not have authority under s. 48(1) of
the
HTA
to make the stop on the shared driveway, they had the common
law authority to do so. This is an instance where any gaps in the legislative
scheme should be filled by the common law to ensure that the screening regime
is effective.
(3)
Section 24(2) of the
Charter
(a)
Appeal Judge聮s Analysis
[152]
The trial judge did not undertake a s. 24(2) analysis because he
found no
Charter
violation. The appeal judge聮s s. 24(2) analysis, in
its entirety, is as follows:
The actions of the police are serious. They pursued
the appellant onto private property when they had neither the statutory nor
common law authority to do so. The
Charter
-protected interest to be
protected is one of privacy. The expectation of privacy on one聮s own property
is a high one. As to the third test set out in
Grant
, clearly society
has an interest in having the matter adjudicated on its merits. Having said
that, when all three factors are balanced, the balance favours the exclusion of
evidence.
[153]
This cursory s. 24(2) analysis is consistent with a pattern we see
in this court where lower courts undertake a detailed review of whether there
has been a
Charter
breach and then treat the
Grant
test as a
required, but ultimately meaningless, ritual to be undertaken on the road to
the inevitable exclusion of evidence. In short, it is not sufficient to recite
the lines of inquiry from
Grant
, make some conclusory statements, and
then exclude the evidence. As I will explain, the proper application of the
Grant
lines of inquiry is as important as the analysis of whether there has been a
Charter
breach.
(b)
Purpose of s. 24(2)
[154]
It is helpful at this juncture to take a step back and consider the
purpose of s. 24(2). It was designed to ensure that the
Charter
appropriately balanced individual and societal interests when it came to the
exclusion of evidence obtained through state misconduct.
[155]
Prior to the enactment of the
Charter
, Canadian courts
rarely excluded evidence, regardless of the extent of police misconduct in
obtaining the same. As one commentator put it, 聯[t]he court聮s search for the
truth trumped any interest in procedural fairness or in protecting the rights
of an accused聰.
[4]
Consistent with this jurisprudence, an early draft of the
Charter
contained
an express provision that prohibited the exclusion of evidence on the basis
that it was obtained pursuant to a
Charter
breach. Some members of the
legal community protested this draft provision. Ultimately, a Special Joint
Committee of the House of Commons and the Senate determined that an exclusion
clause should be included in the
Charter
.
[5]
[156]
In creating an exclusion clause, the drafters of the
Charter
developed a compromise approach, which balanced individual and societal rights.
Dickson C.J. described it this way in
R. v. Simmons
, [1988] 2 S.C.R.
495, at p. 532:
The final question in this appeal is whether
the evidence should be excluded under s. 24(2) of the
Charter
. As
Lamer J. noted in
R. v. Collins
, [1987] 1 S.C.R. 265, the
Charter
enshrines a position with respect to evidence obtained in violation of
Charter
rights that falls between two extremes. Section 24(2) rejects the American rule
that automatically excludes evidence obtained in violation of the Bill of
Rights (see, for example,
Weeks v. United States
, 232 U.S. 383 (1914),
and
Mapp v. Ohio
, 367 U.S. 643 (1961)). It also shuns the position at
common law that all relevant evidence is admissible no matter how it was
obtained (see
R. v. Wray
, [1971] S.C.R. 272). Evidence may be excluded
under s. 24(2) if having regard to all the circumstances, it is established
that the admission of it would bring the administration of justice into
disrepute. The person seeking to exclude the evidence bears the burden of
persuading the Court, on a balance of probabilities, that admission of the
evidence could bring the administration of justice into disrepute in the eyes
of a reasonable person, "dispassionate and fully apprised of the
circumstances of the case" (
Collins
,
supra
, at p. 282).
[157]
Clearly, in rejecting the American approach, the drafters of the
Charter
wanted to avoid situations where serious charges were not determined on the
merits because of technical, minor, or good faith mistakes by police. Thus, when
judges undertake a s. 24(2) analysis, their role is to uphold the delicate
balance that underlies the
Charter
. They abrogate that responsibility
when they default to the American approach rejected by the drafters of the
Charter
.
Judges must not lose sight of the fact that s. 24(2) not only provides an
effective remedy for the accused, it also serves to preserve the integrity of
the justice system in a manner that is reflective of societal values.
(c)
The
Grant
Test
[158]
It is also helpful to consider what the Supreme Court was trying to
achieve in
Grant
when it formulated a new test for the exclusion of
evidence under s. 24(2). It has been twelve years since the decision was
released, and cases like the one at bar suggest that the thinking behind the
test has become obscured over time.
[159]
Prior to
Grant
, the jurisprudence under s. 24(2) had
developed rigid rules for the exclusion of certain types of evidence: see
R.
v. Collins
, [1987] 1 S.C.R. 265;
R. v. Stillman
, [1997] 1 S.C.R.
607. The court in
Grant
found that these rules were inconsistent with
s. 24(2), noting, at para. 65:
[65] It is difficult to reconcile trial
fairness as a multifaceted and contextual concept with a near-automatic
presumption that admission of a broad class of evidence will render a trial
unfair, regardless of the circumstances in which it was obtained.
[160]
A new approach was necessary to ensure that the circumstances of the
Charter
breach were fully explored and weighed in determining whether
to exclude evidence. The court stressed that s. 24(2) is aimed at protecting
the integrity of, and public confidence in, the justice system. It instructed
that a court considering s. 24(2) must look objectively at whether the overall
repute of the justice system, viewed in the long term, will be adversely
affected by the admission of the impugned evidence:
Grant
, at para.
68.
[161]
Consistent with the comments of Dickson C.J. in
Simmons
,
the court in
Grant
emphasized, at para. 70, that at its core, this
exercise is societal in its focus:
[70] Finally, s. 24(2)'s focus is societal. Section
24(2) is not aimed at punishing the police or providing compensation to the
accused, but rather at systemic concerns. The s. 24(2) focus is on the broad
impact of admission of the evidence on the long-term repute of the justice
system.
[162]
Under
Grant
, the court is mandated to consider the interest
of society in having an adjudication on the merits. This interest is balanced
against the seriousness of the
Charter
-infringing state misconduct,
and the impact of the breach on the
Charter
-protected interests of the
accused. It is not every
Charter
breach that trumps the legitimate
societal interest in seeing criminal cases determined on their merits. The
Grant
analysis is designed to determine whether a
Charter
breach is one that
is excusable in the circumstances, or one that requires the court to dissociate
itself with the state misconduct because to do otherwise would bring the
administration of justice into disrepute.
[163]
The point I am making is that
Grant
calls for a thoughtful
and nuanced balancing of factors. A judge on a s. 24(2) application is required
to carefully review the circumstances of the case and consider the relevant
lines of inquiry in undertaking the ultimate balancing exercise to determine
whether the evidence should be excluded: see
R. v. Shinkewski
, 2012
SKCA 63, 399 Sask. R. 11, at para. 38. To properly complete this exercise, the
court should engage in a methodical analysis of all of the lines of inquiry and
should not let one factor trump or overwhelm the others:
R. v. Archambault
,
2012 QCCA 20, 307 C.C.C. (3d) 151, at para. 69, leave to appeal refused, [2012]
S.C.C.A. No. 426;
R. v. Fan
, 2017 BCCA 99, 352 C.C.C. (3d) 280, at
para. 68. By that standard, the analysis undertaken by the appeal judge does
not suffice.
[164]
Normally, where a trial judge has considered the proper factors
under
Grant
and has not made any unreasonable finding, their determination
is owed considerable deference on appellate review:
R. v. C么t茅
, 2011
SCC 46, [2011] 3聽S.C.R. 215, at para. 44. However, where a trial judge commits
a legal error, makes unreasonable findings, or fails to properly engage in a
meaningful s. 24(2) analysis, on appeal, that judge's decision is not entitled
to deference, and the appeal court may conduct the s. 24(2) analysis afresh:
R.
v. Dunkley
, 2016 ONCA 597, 131 O.R. (3d) 721, at para. 54;
R. v.
MacMillan
, 2013 ONCA 109, 114 O.R. (3d) 506, at paras. 87 to 93; and
R.
v. Gonzales
, 2017 ONCA 543, 136 O.R. (3d) 225, at para. 166.
(d)
Application of the
Grant
Test
[165]
With that background in mind, I turn now to a consideration of the
three lines of inquiry mandated by
Grant
and the overall balancing
exercise to determine whether the evidence in this case should be excluded.
(i)
Seriousness of the
Charter
-infringing state misconduct
[166]
The appeal judge found that the misconduct of the officers was
serious because they did not have the statutory or common law power to make the
stop on private property. That conclusion is nothing more than a bald statement
that the respondent聮s
Charter
rights were breached. It misses the
point of the exercise entirely because it does not advance the analysis of the
seriousness of state misconduct.
[167]
It is a given that the respondent聮s rights were breached; that is
why a s. 24(2) analysis was being undertaken. As Miller J.A. stated in
R.
v. Jennings
, 2018 ONCA聽260, 45 C.R. (7th) 224, it is a legal error to
conclude that the state misconduct must be serious because there has been a
Charter
breach. Rather, as he said, at para.聽26, of that case, "there must be
some examination of the police conduct and a determination of where it fits on
a spectrum from mere technical breaches at one end to bad faith violations at
the other."
[168]
It is worth reiterating that the whole purpose of the
Grant
test is to move away from exclusions of evidence based on rigid categories and
instead to evaluate the circumstances of the case to determine whether the
admission of the evidence would bring the administration of justice into
disrepute. On this prong of the test, a judge hearing a s. 24(2) application
must carefully consider the seriousness of the state聮s misconduct in breaching
the
Charter
and place that misconduct on a spectrum from serious to
trivial. The appeal judge failed to do that.
[169]
As the Supreme Court stated in
Grant
,
Charter
-infringing
state misconduct varies in seriousness. Inadvertent or minor violations of the
Charter
will have a minimal impact on public confidence in the rule of law, whereas
evidence obtained through willful or reckless disregard of
Charter
rights poses a very serious risk of bringing the administration of justice into
disrepute. Such willful or reckless disregard sends the message that courts
"effectively condone state deviation from the rule of law":
Grant
,
at paras. 72-75.
[170]
On a proper review of the evidence in the instant case there is
nothing to suggest that the officers were not operating in good faith. In this
regard, I note that the trial judge rejected the defence argument that
Constable Lobsinger聮s actions were motivated by personal animus against the
respondent.
[171]
Another relevant factor in evaluating the seriousness of state
misconduct is uncertainty regarding the state of the law. Where a police
officer ignores established legal principles or is willfully blind to the same,
our courts will not countenance this conduct: see
Grant
at para. 75;
R.
v. Buhay
, 2003 SCC 30, [2003] 1 S.C.R. 631, at para. 59; and
R. v.
Tsekouras
, 2017 ONCA 290, 353 C.C.C. (3d) 349, at para. 109, leave to
appeal refused, [2017] S.C.C.A. No. 225.
Charter
rights are of limited
value if police officers are permitted to ignore them or remain willfully
ignorant of those rights.
[172]
Notwithstanding the foregoing, the Supreme Court has consistently
held that legal uncertainty is a factor that a court may take into account in assessing
the seriousness of a
Charter
breach resulting from police misconduct. As
Moldaver J. stated in
R. v. Paterson
, 2017 SCC 15, [2017] 1 S.C.R.
202, at para. 92:
[92] Where the law is evolving or in a state
of uncertainty, and where the police are found to have acted in good faith,
without ignorance or wilful or flagrant disregard of an accused聮s
Charter
rights, the seriousness of the breach may be attenuated: see
R. v. Cole
,
2012 SCC 53, [2012] 3 S.C.R. 34, at paras.
86-89;
R.
v. Aucoin
, 2012 SCC 66, [2012] 3 S.C.R. 408, at para. 50;
R. v. Vu
,
2013 SCC 60, [2013] 3 S.C.R. 657, at paras.
69 and 71;
R.
v. Spencer
, 2014 SCC 43, [2014] 2 S.C.R. 212, at para. 77; and
R. v. Fearon
,
2014 SCC 77, [2014] 3 S.C.R. 621, at paras. 93-95.
[173]
Contrary to the assertion made by the majority in this case, the
limits on police authority to continue the traffic stop on the shared driveway
were not well settled. However, to the extent that there was applicable
jurisprudence, such as
Anderson
and
Alrayyes
, it supported
the officer聮s authority to make the stop on the shared driveway.
[174]
In addition to those cases, in
R. v. Calder
, [2002] O.J.
No. 3021 (S.C.), aff聮d [2004] O.J. No. 451 (C.A.), the Summary Conviction
Appeal Court judge considered whether s. 48(1) of the
HTA
applied to a
parking lot behind a bank. There, the officer observed a vehicle on the road
and then approached the car in a parking lot because it was "oddly
parked." The trial judge held that the police officer had no legal
justification for approaching the appellant's vehicle absent some basis for
thinking that the appellant violated the
HTA
or some other
legislation. In allowing the Crown appeal, Killeen J. held, at para. 57:
[57] In leading cases such as
R. v.
Mansour
(1979), 47 C.C.C. (2d) 129 (S.C.C.) and
Gill et al. v. Elwood
(1970), 9 D.L.R. (3d) 681 (Ont. C.A.) it has been held that driving conduct on
a parking lot cannot give rise to an
HTA
or
Code
driving
charge, but these cases have not held that the police investigative powers set
out in s. 33(1), 48(1) and 216(1) are magically suspended or exhausted at the
curb of a public street.
[175]
Calder
was followed in
R. v. Warha
,
2015 ONCJ 214, aff聮d 2016 ONSC 93, which involved a situation where a police
officer watched a vehicle on the road, but did not observe any signs of
impairment. He followed the car to the parking lot of a plaza, walked up to the
driver, and detected alcohol on his breath. In rejecting an assertion by the
defence that this interaction violated the driver's ss. 8, 9 and 10
Charter
rights, the court found, at para. 7, that 聯[t]he law does not require him to
have observed any improper driving or be suspicious that Mr. Warha might be
impaired." The fact that the driver was on private property was found not
to restrict the authority of the officer to conduct an
HTA
investigation. That finding was upheld on appeal:
Warha
(2016)
,
at para. 3. A similar finding was made in
R. v. McGregor
, 2015 ONCJ
692, at paras. 10-14.
[176]
As noted above, in
Nield
, the court held that the
HTA
does not provide authority to undertake a sobriety check on private property.
However, as discussed, in that case, the court found that the police did have
the common law power to do so.
[177]
While police officers cannot ignore
Charter
rights or
established limitations on their authority, they are also not expected to weigh
debatable constitutional niceties in the context of a dynamic interaction with
a member of the public. In this case, if the officers could have stopped time
and inquired of a constitutional expert whether they had the authority to
continue the traffic stop, they may well have received an answer that,
according to the two cases closest to their fact situation, being
Anderson
and
Alrayyes
, they had the authority to make the stop on the shared
driveway. Given the state of the law, the officers' actions do not even rise to
the level of negligence.
[178]
In my view, the state misconduct was minor or technical in nature.
This was a dynamic situation where there was jurisprudence that supported the
officers聮 authority to make the stop on the shared driveway.
Put another way, if the police officers in this case made a mistake
about the legality of the random stop on the shared driveway, so too did the
Court of Appeal for S
askatchewan and Miller
J. of the Ontario Superior Court.
This line of inquiry,
properly considered, militates against the exclusion of the evidence.
(ii)
Impact of the breach on the Charter-protected interests of the
respondent
[179]
Turning to the impact of the breach on the
Charter
-protected
interests of the respondent, the more serious the impact on the accused聮s
protected interests, the greater the risk that admission of the evidence may
signal to the public that
Charter
rights, however high-sounding, are
of little actual avail to the citizen, thereby breeding public cynicism and
bringing the administration of justice into disrepute:
Grant
, at para.
76.
[180]
The appeal judge聮s consideration of this factor does not advance the
analysis. His statement that the
Charter
-protected interest was
privacy and that 聯[t]he expectation of privacy on one聮s own property is a high
one聰 is flawed. The stop took place on the shared driveway that leads to the
respondent's parents' home and a store. The shared driveway was not solely for
the respondent's parents聮 property. It was also a means of access to the
commercial business. In these circumstances, there was an implied licence for
members of the public, including the police, to enter the shared driveway, and
any privacy expectation held by the respondent would be minimal:
Dillon
,
at para. 40. This is hardly comparable to the police kicking down the door of a
private residence. Yet, the appeal judge聮s analysis makes no distinction
between these two disparate situations.
[181]
In addition, the investigation started on a public highway, a domain
where the respondent had a minimal privacy right. Further, as stated by the
Supreme Court in
Ladouceur
, driving is a licensed activity, random
stops are relatively short, the driver is minimally inconvenienced, and the officer's
investigation is restricted to the purpose of the check. In this case, the
traffic stop was not invasive, as the indicia of impairment was evident as the
officer approached the respondent. In my view, taking into account all of these
facts, this factor militates against the exclusion of the evidence.
(iii)
Society聮s interests in an adjudication on the
merits
[182]
The third
Grant
factor considers society聮s interests in an
adjudication on the merits. This line of inquiry 聯asks whether the
truth-seeking function of the criminal trial process would be better served by
admission of the evidence, or by its exclusion聰:
Grant
, at para. 79.
The reliability and importance of the evidence are crucial factors in this line
of inquiry:
Grant
, at paras. 81-83.
[183]
This factor favours the admission of the evidence. Society has a
legitimate interest in seeing cases of impaired driving adjudicated on the
merits. The excluded evidence, which included the respondent聮s statement about
his alcohol consumption, the officer聮s observation of his obvious signs of
impairment, and the results of the breathalyzer tests, was reliable. It was
also overwhelming proof of the respondent聮s guilt beyond a reasonable doubt on
both counts. The exclusion of this reliable evidence resulted in the acquittal
of the respondent.
(iv)
Balancing the
Grant
factors
[184]
In balancing the
Grant
factors, all three lines of inquiry
favour the admission of the evidence. Viewed objectively, any breach was done
in good faith and was minor or technical in nature, the impact on the
respondent聮s
Charter
protected rights was minimal, and the evidence
was reliable and crucial in the convictions registered by the trial judge.
[185]
With the admission of the evidence, a reasonable person, informed of
all relevant circumstances and the values underlying the
Charter
,
would not lose faith in the criminal justice system or believe that
the administration of justice had been brought into disrepute. On the contrary,
the exclusion of reliable and crucial evidence based on a restrictive and
technical view of police power would likely cause the public to lose faith and
confidence in our criminal justice system
. I would,
therefore, not exclude the evidence.
F.
Disposition
[186]
For the foregoing reasons, I would allow the appeal, set aside the
appeal judge's order, and restore the convictions and the stay entered by the
trial judge.
I would grant leave to appeal sentence,
eliminate the victim surcharge, but otherwise not interfere with the sentence
imposed.
Released: June 4, 2021 聯K.F.聰
聯C.W.
Hourigan J.A."
[1]
An acquittal was also entered for the s. 253(1)(a)
conviction that was initially conditionally stayed, though this occurred at a
separate proceeding on October 2, 2019.
[2]
While the respondent聮s blood alcohol level was above the legal
limit, it was not enough to visibly affect his driving.
[3]
At the time of the decision in
Alrayyes
, the Court of Appeal
for Saskatchewan had not yet released its decision in
Anderson
.
[4]
Patrick
McGuinty, 聯Section 24(2) of the Charter; Exploring the Role of Police Conduct
in the
Grant
Analysis聰 (2018) 41:4 Man. L.J. 273, at p. 277.
[5]
Peter Sankoff, 聯The Application of Section 24(2) of the Charter of
Rights and Freedoms in a Civil Action聰 (2004) 28 Adv. Q. 103, at p. 104.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. McCullough, 2021 ONCA 71
DATE: 20210203
DOCKET: C63642
Huscroft, Miller and Harvison
Young JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
James McCullough
Appellant
Lance Beechener, for the appellant
Elise Nakelsky, for the respondent
Heard: October 19, 2020
On appeal from the conviction entered on
April 25, 2016 by Justice Renee M. Pomerance of the Superior Court of Justice,
sitting with a jury.
Huscroft J.A.:
OVERVIEW
[1]
There is no doubt that James McCullough killed
Alexander Fraser. He admitted to stabbing him numerous times and dismembering
his body. The issues at trial were whether he intended to do so; whether he was
provoked; and whether the killing was planned and deliberate.
[2]
The appellant was convicted of first-degree
murder and committing an indignity to a human body. He appealed both the
convictions and the sentence but has abandoned the sentence appeal. He raises
two issues in relation to his convictions. First, he argues that the trial
judge erred in failing to instruct the jury concerning his post-offence
conduct. Second, he argues that the trial judge erred in admitting evidence of
his desire to commit cannibalism, evidence he says was prejudicial. The
appellant contends that, as a result of these errors, he was denied his right
to a fair trial.
[3]
In my view, the trial judge made no such errors.
I would dismiss the appeal for the reasons that follow.
BACKGROUND
[4]
The background facts are not in dispute.
[5]
On September 8, 2013, following an evening spent
drinking, the appellant and his friend Alexander Fraser decided to take a cab
from Orangeville to London and rent a hotel room. A cab was dispatched to the appellant聮s
home and the appellant informed the driver that he and Fraser were heading to
Motel 6 in London. The appellant gave the cab driver $320 cash for the trip.
Shortly after leaving for London, the appellant directed the cab driver to return
to his home and to wait for him. The appellant exited the cab and entered his
home. He returned to the cab a few minutes later carrying two bags 聳 a large
hockey bag and a smaller duffle bag. The cab then proceeded to London.
[6]
The appellant and Fraser spoke with the cab
driver throughout the trip. The appellant insisted that Fraser call him by the
pseudonym, 聯Josh Childress聰, rather than call him by name, but Fraser often referred
to the appellant as James. Fraser told the driver he was drunk and asked her to
stop the cab several times during the trip in order to allow him to urinate.
[7]
Although the appellant and Fraser were driven to
Motel 6 and entered the motel, they did not stay there. They left that motel
and headed to the nearby Ramada Inn. The appellant spoke with the clerk. Fraser
was behind him, carrying both bags. The Ramada was full so they went to the
Travelodge, where they got a room. By this point, it was around midnight. The
Travelodge clerk testified that the appellant gave the name Josh Childress, did
not provide any identification, and paid for the room in cash. The two men went
to their room, each carrying one of the bags.
[8]
Early the following morning, the appellant
registered for another night at the hotel and asked the clerk to inform
housekeeping that he did not need to have his room cleaned. That afternoon, he
sent a text message to a college friend, Lucas Verscheure, inviting him to the
hotel, asking him to bring shoes, and telling him to come alone. Verscheure
attended but brought along a mutual friend, Colby McGee. The appellant met them
at the front door of the hotel and took them to his room. Verscheure described
the appellant聮s behaviour during the visit as highly disturbed and said that
his behaviour became weirder and weirder. Verscheure did not consume alcohol or
drugs during the visit, but McGee had beer and used cocaine with the
appellant.
[9]
The appellant told the men that the two bags in
the room contained stolen documents he needed to dispose of and offered
Verscheure $600 to drive him to North Bay to dump the bags. The appellant then
informed Verscheure that there were some body parts in the bags and asked him to
help dump the bags in the Peterborough area or in London. Verscheure refused
and he and McGee left the hotel.
[10]
Later that afternoon, the appellant called his
uncle and told him that he had killed someone. His uncle described the
appellant as distraught and in tears. He was concerned that the appellant was
contemplating suicide and told him to call a lawyer and the police. The
appellant called 911 at approximately 7:56 pm and said that there was a body in
his room. He said that he had spoken with a lawyer, was unarmed, and wanted to
turn himself in. He provided no further information.
[11]
The police entered the hotel room. They found an
empty bottle of tequila and empty beer cans along with some full beer cans in
the refrigerator; cigarette butts; and empty take-out bags from Kentucky Fried
Chicken and Wendy聮s with receipts dated that day. Two bags, two backpacks, and
two belts were on the floor.
[12]
The police found Fraser聮s torso stuffed into the
large bag. His head, legs, arms, and penis were in the smaller duffle bag along
with a 20 cm knife. The knife was in a paper bag and the head and penis were in
a garbage bag. A piece of a leg bone was in a resealable Ziploc bag in one of
the two backpacks. A small arm muscle was the only part of Fraser聮s body that
was missing.
[13]
The second backpack had personal items belonging
to Fraser as well as the appellant聮s knife sharpener. No cellphones were found.
The Crown suggested that there was inculpatory evidence on the appellant聮s
cellphone and that he gave it to his mother before the police arrived but the
appellant denied this.
[14]
Police examination of the room suggested that
Fraser had lain between the two beds for a period of time and had been
dismembered in the bathtub. He had been stabbed 29 times before being
dismembered. There was no blood on the appellant聮s clothes, save for a spot of
blood on the back of his pants. There was no damage to Fraser聮s clothes,
suggesting that he had not been wearing them when he was stabbed. Fraser had
both marijuana and a substantial amount alcohol in his system, well over the
legal limit for driving.
THE EVIDENCE
Psychiatric evidence
[15]
The appellant had been seeing a psychiatrist before
the killing as part of a psychosis intervention program. A psychiatric nurse,
Brendan Carmichael, met with him on several occasions. Carmichael testified
that the appellant told him of the need to slay celebrities as a sacrifice and told
him that he had killed three cats and had been fascinated when he cut one of
them open. The appellant told him he had thought of doing this to a human and
would consider eating human flesh, expressing the view that by doing so you
could acquire a person聮s traits. However, the appellant told Carmichael that he
had no plans to do so and Carmichael thought that it was a fantasy.
[16]
Carmichael testified that the appellant told him
on another occasion prior to the killing that he had exaggerated some things in
an attempt to appear 聯badass聰. He had killed only one cat, not three, and had
only imagined killing and eating a human.
The rap lyrics
[17]
During a search of the appellant聮s home the
police found the following rap lyrics written by the appellant:
U no its me when i come thru the scene, homie
Another day another dollar
my only dream is
get [illegible]
Yall faggotz soft being rich is only dream
Only things in my dreams is your girl and
Your money, homie thinks i聮m joking but
aint a damn thang funny, Ill dig ur pockets
break your jaw and ram a knife thru
your tummy, you aint been thru half the
shit I been through, Ill go through,
Your whole crew, a routine Im
used to, chop em up mail their parts
to you, Im so fucking sick my favurite
drink is the blood of a jew, always in
the kitchen cooking but its never
stew, homie pass the pipe time for this rock
to brew
The appellant聮s testimony
[18]
The appellant admitted that he wrote the rap
lyrics over one year prior to the offence and that the lyrics referenced
聯chopping up聰 people and drinking blood. He described the lyrics as 聯death
rap聰, which was designed to be as violent as possible, but he denied that the
reference to stew was a reference to cooking body parts. He said it was a reference
to cooking cocaine into crack cocaine but added that he had never in fact
cooked crack cocaine.
[19]
The appellant said that he and Fraser planned to
commit a home invasion robbery in London and had gone there for that reason.
This explained the cab ride and hotel stay, the empty duffle bags, paying for
everything with cash, and using the alias Josh Childress. The appellant
testified that he regularly carried a knife in his backpack because he was a
drug dealer and that his backpack also included a knife sharpener along with a
bottle of tequila, cocaine, and two belts.
[20]
The appellant testified that he and Fraser
chatted, drank, and smoked after they checked into their hotel room and that he
consumed some cocaine. He took a shower about one hour later and when he went
outside the bathroom to get his towel, he saw Fraser standing there nude. According
to the appellant, Fraser informed him that he was attracted to him and wanted
to have sex. The appellant said that he 聯freaked out聰 and that he grabbed his knife
and started stabbing Fraser after Fraser attempted to grab his penis. The
appellant said he remembered stabbing him in the chest only twice before blacking
out. The appellant testified he had no memory of his actions after this. He
said that he awoke to find Fraser聮s dismembered body in the bathtub. He was
upset and his first reaction was to attempt to cover it up. He cleaned the
room, put the body parts into the two bags and Fraser聮s personal items into the
backpacks. At this point he sought the assistance of Verscheure.
[21]
The appellant gave a statement to the police,
which was not in evidence, but portions of the statement were put to him in
cross-examination. The appellant told the police that he had acted in self-defence
after Fraser brandished the knife and attempted to sexually assault him. The
appellant said: 聯He [Fraser] was like some fucking monster, rapist. I don聮t
even know how to describe. I was scared.聰 At trial, however, the appellant
testified that the narrative given to the police was untrue. He explained that
he tried to make Fraser look as terrible as possible because he was trying not
to take any responsibility. In particular, he claimed that he omitted to
mention he was naked because he didn聮t want to police to think 聯there was
anything sexual going on.聰 He said that he was lying in order to persuade the
police he had acted in self-defence and that the death was an accident.
THE ARGUMENTS AT TRIAL
The defence theory
[22]
Counsel for the appellant conceded to the charge
of manslaughter but argued that the appellant did not intend to kill or
dismember Fraser and that he did so only suddenly, in immediate reaction to an
unexpected sexual advance and sexual attack.
[23]
Counsel said that the appellant made his comments
to Nurse Carmichael in an attempt to obtain a personality disorder diagnosis,
which he wanted in order to obtain disability benefits from the Ontario
government, and that his comments did not relate to or demonstrate a plan to
kill Fraser. Nor did the rap lyrics demonstrate a plan to kill him. They were a
red herring. The appellant was a drug dealer and carried a knife and knife
sharpener because of his dangerous occupation.
[24]
The trip to London was explained by the appellant聮s
testimony that he and Fraser had gone there to party, perform a home invasion,
and to go shopping. The bags were for use in the home invasion and one bag was
also used to carry a box of beer. The intention to perform the home invasion
explained the appellant聮s use of the pseudonym Josh Childress.
[25]
The absence of cuts on Fraser聮s clothing
supported the appellant聮s testimony that he was naked when he was stabbed and
the absence of any significant blood on the appellant聮s clothing suggested that
he was also naked. Counsel argued that the appellant聮s actions in cleaning up
the scene, putting the body parts into the bags, and calling his uncle and
Verscheure demonstrated a frantic reaction rather than a prior plan.
The Crown聮s theory
[26]
The Crown argued that Nurse Carmichael聮s
evidence and the rap lyrics demonstrated that the appellant had a fantasy about
killing a person and dismembering him. The appellant had obtained a work visa
and was going to Australia shortly; he planned to kill and dismember Fraser
before he left.
[27]
The plan involved taking Fraser to London,
paying for the trip in cash, and using a pseudonym to avoid detection. The
appellant had Fraser carry the bags into the motel so that if he were caught,
he could claim that Fraser had brought them and that Fraser had intended to
kill him. The Crown argued that the appellant brought the knife and knife
sharpener for the purpose of dismembering Fraser. The belts were brought to
restrain him if necessary.
[28]
The Crown theorized that Fraser did not live long
after he arrived in the hotel room. He was stabbed while he lay between the two
beds and was then dragged to the bathtub, where he was dismembered. The Crown
argued that the appellant kept a piece of bone from Fraser聮s leg in a Ziploc
bag as a souvenir, then cleaned the hotel room to get rid of the evidence.
[29]
The Crown argued that the appellant lied to the
police and at trial and that he had never blacked out. The sexual attack was a
story he created to deny his plan to kill and dismember Fraser.
ISSUES ON APPEAL
[30]
The appellant raises two issues on appeal.
First, he argues that the trial judge erred in failing to caution the jury
about his post-offence conduct and the limited use to which it could be put. He
submits that the judge had to inform the jury that this evidence had no
probative value in relation to the appellant聮s level of culpability and should
have cautioned the jury concerning what he describes as bizarre demeanour
evidence. This argument was the focus of the appellant聮s submissions at the
hearing. Second, the appellant argues that the trial judge erred in admitting
evidence of his desire to commit cannibalism, evidence that he says was
prejudicial.
THE POST-OFFENCE CONDUCT EVIDENCE
[31]
The post-offence conduct in question includes
the following:
1)
The dismemberment of the victim;
2)
The extensive cleanup of the motel room;
3)
The attempt to dispose of the body;
4)
The appellant聮s lies to the police and his
acquaintances; and,
5)
The appellant聮s calmness and ability to make
rational decisions the day after the killing.
[32]
It also includes conduct the appellant characterizes as demonstrating
his bizarre demeanor following the offence, including:
1)
Eating two fast food meals in the motel room
with the dismembered body of the victim beside him;
2)
Laughing during the 911 call; and,
3)
Putting a piece of the victim聮s leg bone into a
resealable Ziploc bag.
The appellant聮s position
[33]
The appellant notes that the Crown referred to
the post-offence conduct evidence throughout her cross-examination of the
appellant. The Crown also referred to the appellant聮s post-offence conduct
throughout her closing address, emphasizing that the appellant ate fast-food meals
alongside the bags containing the dismembered remains of Fraser and that he
kept a piece of Fraser聮s leg bone, an action the Crown described as akin to
keeping a trophy or souvenir of having lived out his fantasy. The appellant
complains that the jury was given neither a post-offence conduct caution nor a
no-probative-value instruction in respect of this evidence. He says that in the
pre-charge conference the trial judge specifically asked the Crown, but not the
defence, if she wanted a post-offence conduct instruction.
[34]
The appellant argues that the probative value of
the post-offence conduct was equivocal at best, yet the jury would have been
tempted to focus on this evidence 聳 especially the dismemberment and the
appellant聮s ability to eat beside the dismembered body 聳 and it could have
played a powerful role in the jury聮s deliberation. The appellant submits that
an instruction to the jury cautioning them about this evidence and explaining
to them the limited uses to which it could be put was required. The lack of any
instruction on the post offence conduct is a major error that requires a new
trial.
The respondent聮s position
[35]
The Crown acknowledges the absence of a specific
instruction on post-offence conduct but says that none was necessary: the trial
judge mitigated the main reasoning risk associated with post-offence conduct by
instructing the jury to consider alternative explanations for the appellant聮s
conduct and carefully reviewing the alternative explanations provided by the
appellant. The appellant聮s conduct after killing Fraser was relevant to ascertaining
his intent and to whether the murder was planned and deliberate; a no-probative-value
instruction was not warranted. Although a caution concerning the risks of
demeanour evidence would have been ideal, the failure to give one had minimal
impact.
The principles governing review of the trial
judge聮s instructions
[36]
The general principles governing review of the
trial judge聮s instructions to the jury were recapitulated by Moldaver J. in
R.
v. Calnen
, 2019 SCC 6, [2019] S.C.R.
301,
at paras. 8-9:
An appellate court undertakes a functional
approach in reviewing a jury charge, asking whether the charge as a whole
enabled the trier of fact to decide the case according to the law and the evidence:
R.
v. Mack
, 2014 SCC 58, [2014] 3 S.C.R. 3, at para. 49;
R. v. Jaw
,
2009 SCC 42, [2009] 3 S.C.R. 26, at para. 32. As Bastarache J. wrote in
R.
v. Daley
, 2007 SCC 53, [2007] 3 S.C.R. 523, at para. 30:
The cardinal rule is that it is the general
sense which the words used must have conveyed, in all probability, to the mind
of the jury that matters, and not whether a particular formula was recited by
the judge. The particular words used, or the sequence followed, is a matter
within the discretion of the trial judge and will depend on the particular
circumstances of the case.
In short, the test is whether the jury was
properly, not perfectly, instructed:
R. v. Jacquard
, [1997] 1
S.C.R. 314, at para. 62. At the end of the day, the overriding question is
whether the jury was properly equipped to decide the case absent a limiting
instruction against general propensity reasoning.
[37]
The dangers posed by post-offence conduct
evidence are well known. The question is, did the trial judge provide the jury
with what they needed to decide the case according to the law and the evidence?
DISCUSSION
[38]
The essential premise of the appellant聮s
position 聳 that the appellant聮s post-offence conduct was not probative of his
level of culpability 聳 is, as the Crown submits, 聯simply incorrect聰. Post-offence
conduct is a form of circumstantial evidence that may be relevant to a
particular issue. In this case, regardless of the appellant聮s concession to
manslaughter, the impugned post-offence conduct was relevant to the issues of
intention and planning and deliberation, and the trial judge made no error in
instructing the jury in regard to it.
[39]
The appellant argued that he was distressed and
remorseful for having killed his friend 聳 that his post-offence behaviour was a
frantic reaction to what had suddenly happened. The Crown聮s closing can be
understood as highlighting the inconsistencies with this narrative. But more
than this, by emphasizing the appellant聮s calm and calculated actions following
the killing, the Crown suggested that the appellant was untroubled by what he
had done 聳 that, far from being a frantic reaction to what the defence
characterized as 聯an attempted sexual assault,聰 the appellant聮s post-offence
conduct logically suggested that the killing was intentional, planned and
deliberate. This suggestion was made plain by the question the Crown posed to
the jury in her address:
Use your good common sense. Does that sound
like a man who is distressed and remorseful for killing his friend? Or does it
sound like a man who cold bloodedly killed his friend for his own twisted
interest and enjoyment. And who, therefore, has no problem sitting and enjoying
a couple of meals beside his friend聮s dismembered body or has any problem with
drinking Tequila from a bottle splattered with his friend聮s blood.
[40]
The Crown fairly put this suggestion to the
appellant in cross-examination and he denied it:
Q. 聽聽聽聽 I聮m going to suggest, sir, you would
never, if you had been distraught, overwhelmed, frantic because you聮re so upset
that you killed you [sic] friend accidentally or in a drunken rage, I聮m going
to suggest you would never have been able to eat not one but two meals while
sitting in the hotel room with his dismembered remains during the course of
that day?
A. 聽聽聽聽 Well I was hungry, so.
Q. 聽聽聽聽 So you clearly weren聮t bothered enough
by [the deceased聮s] death or dismemberment to have lost your appetite?
A. 聽聽聽聽 Not everyone loses their appetite when
they聮re under stress. That only happens in some people.
Q. 聽聽聽聽 I聮m going to suggest, sir, you were
quite interested in eating and concerned about eating throughout the course of
that day because [the deceased聮s] murder didn聮t bother you at all?
A. 聽聽聽聽 No, 聭cause I didn聮t know what jail was
like. I didn聮t know when I聮d get my next meal and all that.
Q. 聽聽聽聽 I聮m going to suggest to you, sir, it
didn聮t bother you at all because you had wanted to kill him?
A. 聽聽聽聽 No.
[41]
The appellant submits that the trial judge ought
to have instructed the jury that the post-offence conduct evidence could not be
used to establish planning and deliberation; it could be used only to rebut the
appellant聮s narrative of a frantic reaction.
[42]
This submission must be rejected.
[43]
The admissibility of post-offence conduct
evidence and the formulation of limiting instructions are governed by the same
principles that govern circumstantial evidence generally:
R. v. White
,
2011 SCC 13, [2011] 1 S.C.R. 433, at para. 31,
per
Rothstein J. It is
well established that post-conduct evidence may be relevant not only to
contradict the defence narrative, but also to prove intention and planning and
deliberation: see e.g.,
R. v. S.B.1
,
2018 ONCA 807, 143 O.R. (3d) 81
;
R. v. McLellan
, 2018 ONCA
510, 362 C.C.C. (3d) 183, leave to appeal to S.C.C. refused, [2019] S.C.C.A.
No. 338;
R. v. Aravena
, 2015 ONCA 250, 333 O.A.C. 264, leave to appeal
to S.C.C. refused, [2015] S.C.C.A. No. 497 (
Aravena
), [2015] S.C.C.A.
No. 509 (
Gardiner
), [2015] S.C.C.A. No. 516 (
Mather
);
R. v.
Khan
, 2007 ONCA 779, 230 O.A.C. 174; and
R. v. MacKinnon
(1999),
132 C.C.C. (3d) 545 (Ont. C.A.).
[44]
In light of these authorities, there was nothing
improper about the Crown聮s closing argument and nothing inappropriate about the
jury being allowed to draw an inference of intention, planning and deliberation
from the substantial body of post-offence conduct evidence. The evidence
complemented the considerable body of pre-offence conduct. The post-offence
conduct evidence demonstrates that the appellant acted in a cool and
calculating manner after he killed and dismembered Fraser 聳 not franticly, as
he claimed. Not only could this evidence be used to refute the defence聮s
聯frantic reaction聰 narrative; as a matter of common sense and experience it was
also relevant to the inference of planning and deliberation. This inference
arises most clearly from the appellant聮s action in dismembering Fraser聮s body
and saving the bone fragment. Moreover, the defence relied on other aspects of
the appellant聮s post-offence conduct to suggest the
absence
of
a plan. There was no basis to limit the jury聮s consideration of this evidence
in the manner suggested by the appellant.
[45]
The appellant emphasized that, during the
pre-charge conference, the trial judge stated, and trial counsel agreed, that
many aspects of the 聯after-the-fact聰 conduct were of no probative value if the
appellant admitted to manslaughter 聳 including acts of concealment, cleaning up
the room and so on 聳 as they were equally likely to reflect cognition of
manslaughter as murder.
[46]
The trial judge聮s remarks in the pre-charge
conference reflected what appears to have been a shared understanding that
聯after-the-fact聰 conduct was referring only to the post-offence conduct that
supported an inference of consciousness of guilt. No unfairness resulted from
this shared understanding. It is clear from the discussions concerning the
post-offence conduct evidence 聳 and in particular the dismemberment and bone
fragment evidence 聳 that it was accepted that the post-offence conduct evidence
could be used to support inferences other than consciousness of guilt. The
appellant聮s actions following the killing were properly addressed by Crown
counsel in her closing and by the trial judge in her charge.
No special caution was required
[47]
The appellant focuses on three aspects of his
post-offence conduct that he characterizes as bizarre: evidence that he laughed
during the 911 call; ate two fast-food meals alongside the dismembered body of
the victim; and put a piece of the victim聮s leg bone into a resealable Ziploc
bag. He submits that the need for a caution concerning this evidence is clear
from the findings from the inquiry into the wrongful conviction of Guy Paul
Morin. Accused persons may act strangely or do stupid things following a
traumatic experience. Or their behaviour may simply appear to be different from
normal behaviour 聳 a matter that is difficult to assess in any event given
different cultural backgrounds and possible mental health issues.
[48]
In my view, it was not necessary to caution the
jury specifically concerning the 聯bizarre聰 aspects of the appellant聮s
post-offence demeanour.
[49]
The appellant聮s alleged laughter was not
significant evidence. He denied laughing and neither party referred to the
matter in their closing addresses.
[50]
As for keeping a bone fragment in a Ziploc bag,
the Crown did not rely on this simply as evidence of bizarre behaviour or as post-conduct
evidence that indicated consciousness of wrongdoing. The Crown suggested that
the appellant had kept the bone fragment as a trophy or souvenir of the killing.
The appellant denied that it was a souvenir, testifying that he put the bone
fragment in the Ziploc and into his backpack because he was trying to get rid
of evidence and 聯wasn聮t thinking straight聰. The trial judge instructed the jury
that this evidence had to be considered in determining whether the killing had
been intentional and reminded them of the alternative explanations for this
evidence. Trial counsel expressed no concerns about how this evidence was
handled, and I see no basis to impugn the trial judge聮s instructions on appeal.
[51]
The evidence that the appellant ate two meals
alongside the dismembered remains of the victim is bizarre but, again, it was
not proffered as evidence that the appellant was more likely to be guilty
simply because his actions were bizarre or abhorrent, nor was it proffered as
post-conduct evidence that indicated consciousness of wrongdoing. Instead, as
with the other evidence showing that the appellant acted calmly following the
killing and dismemberment, the evidence that the appellant ate two meals
alongside the dismembered remains of the victim countered the appellant聮s
narrative that he was distraught and overwhelmed following the killing and logically
supported the inference invited by the Crown that the killing was intentional, planned
and deliberate. It would have been wrong for the judge to have cautioned the
jury
not
to consider it regardless of whether it could be characterized
as 聯bizarre聰.
[52]
It was not disputed that the appellant killed
Fraser and dismembered his body. All that was at issue was whether the killing
was intentional and, if so, whether it was planned and deliberate. The appellant聮s
behaviour in putting the bone fragment into a Ziploc bag and eating fast-food
meals beside the dismembered remains of the victim was probative of these
issues. Although it was open to the trial judge to instruct the jury that they
should not infer guilt simply from the apparent oddity of the appellant聮s actions,
the question is not whether the charge might have been improved; the question
is whether the jury was charged properly.
[53]
I am satisfied that it was. There was no danger
that the jury might wrongly conclude that the appellant was guilty simply
because his actions following the killing and dismemberment were 聯bizarre聰.
Indeed, it is possible that an instruction as to the bizarre nature of these
particular actions may have prejudiced the appellant by highlighting them. Perhaps
that is why no such instruction was requested. In any event, the trial judge
did not give such an instruction and did not err in not doing so.
[54]
Nor did the trial judge err in not providing a
caution concerning the risks of demeanour evidence generally. The evidence of
the appellant聮s demeanour following the killing did not depend on witnesses聮
powers of observation and interpretation. The subjective interpretation risk
associated with demeanour evidence therefore did not arise. A general
instruction on demeanour evidence might have been 聯ideal聰, as the Crown
suggested, but it was not necessary. In any event, even assuming that the trial
judge erred in failing to provide such an instruction, in my view the error
would be inconsequential and the curative proviso in s. 686(1)(b)(iii) would
apply. The relevance of the appellant聮s actions following the killing to the
issues of intention and planning and deliberation was clear and
straightforward, and the jury was aware of the alternate explanations. There was
no substantial wrong or miscarriage of justice.
The trial judge properly instructed the jury
about alternative explanations
[55]
The trial judge聮s primary responsibility in
regard to the appellant聮s post-offence conduct evidence was to ensure that the
jury was aware of alternative explanations for that conduct in order to guard
against the danger that the jury might jump to an inference of guilt. It is
clear that she did so. For example, concerning the dismemberment 聳 which the
defence conceded was relevant to planning and deliberation 聳 the trial judge
instructed the jury as follows:
You may consider the act of dismemberment. Was
this part of the original plan that was carried out? Had he planned to
dismember the body after killing Mr. Fraser? If so, is this evidence that the
plan was actually implemented? Or was the dismemberment something that was not
planned. Was it a panicked reaction to the realization that he had killed his
friend and he did not wish to be discovered with the body? If the decision to dismember
the body only arose after the killing, then it was not a planned event and does
not shed light on whether the murder itself was planned and deliberate.
[56]
With respect to the appellant聮s efforts to clean
up, the trial judge instructed the jury:
The same may be said of the decision to clean
up the room and remove visible signs of blood. Was that part of an original
plan to kill Alex Fraser? Or was that an after-the-fact reaction? It is for you
to decide.
[57]
As for the appellant聮s decision to keep a bone fragment
in a Ziploc bag, the trial judge instructed the jury:
Was this a souvenir that Mr. McCullough was
keeping to remind himself of the murder? If so, does that suggest that the
killing was intentional? In answering the question, consider Mr. McCullough聮s
testimony that he kept the shard of bone as part of his effort to clean up the
scene. He clearly did clean up the scene and was sufficiently successful that
very little blood was visible to the naked eye. Is that a reasonable
explanation? That is a question for you to decide.
[58]
The trial judge was fair and balanced in her
treatment of the evidence. She ensured that the jury was aware of alternative
explanations for the conduct in question. Nothing more was required.
The trial judge聮s process
[59]
I conclude my consideration of the appellant聮s
arguments with these observations.
[60]
This is yet another case in which jury
instructions have been impugned on appeal, despite trial counsel having raised
no objection when the charge was made. As always, this court acknowledges that
responsibility lies with the trial judge to get the charge right. But in this
case not only did experienced trial counsel not object to the charge that is
now impugned; she was consulted at every step in a cooperative process employed
by the trial judge in crafting that charge.
[61]
There is no merit to the appellant聮s submission
that the trial judge treated the parties unequally by asking only the Crown
whether she wanted a post-offence conduct instruction. The trial judge sought
input from both counsel on the matter and simply raised the post-offence
conduct instruction as an example of the input she sought from both counsel.
[62]
The trial judge provided the parties with a
draft of her charge and reviewed the draft point by point, seeking and
obtaining their comments and submissions and, ultimately, their agreement.
[63]
The trial judge informed the parties that she would
instruct the jury that they must consider the evidence in an objective and
dispassionate manner, free of any emotional reaction to 聯unusual聰, 聯graphic聰
and 聯potentially disturbing聰 evidence, and that they must analyze the case
based on logic, common sense, and good judgment. Defence counsel indicated that
she was 聯very content with that聰. Finally, the trial judge asked the parties
whether they required anything further 聳 whether there were 聯any items on your
shopping lists that we haven聮t addressed or anything in particular that you
would like to request聰. Both the Crown and defence stated that they needed
nothing further.
[64]
The result was a charge that should have
satisfied both parties and surprised neither. There was no reason to object to
the charge and there is no basis to impugn the charge on appeal.
THE EVIDENCE OF CANNIBALISM
[65]
The appellant argues that the trial judge erred
in admitting evidence of his desire to commit cannibalism. It was not relevant
to motive because it would be pure speculation to find that the appellant had
committed the offence in order to eat the victim, as there was no evidence of
cannibalism having occurred. The evidence was prejudicial and should have been
edited out of the nurse聮s statement. 聽Additionally, the appellant argues, the
rap lyrics were prejudicial and should have been excluded as a whole, as there
was a very weak connection between the content of the lyrics and the offences
with which the appellant was charged.
[66]
The starting point for assessing this argument is
that this was evidence of bad character/extrinsic misconduct and as such it was
inadmissible if proffered to show only that the appellant was the sort of
person likely to have committed the offence. But bad character evidence is
admissible if it is relevant and material, is not otherwise covered by an
exclusionary rule, and its probative value outweighs its prejudicial effect:
R.
v. J.A.T.
,
2012 ONCA 177, 290
O.A.C. 130, at para. 51.
[67]
The trial judge found that the appellant聮s
statements to the nurse had significant probative value on the issues the jury
had to decide. Whether the appellant had killed three cats, as he told his
nurse initially; only one, as he said in a later interview; or in fact any cats
at all was beside the point. The probative value of the statements lay in the appellant聮s
fantasies linked to killing a cat 聳 specifically, what he fantasized about
doing to a human being 聳 and their relationship to the Crown聮s theory of
planning and deliberation. As a practical matter, it was not possible to edit
his statement about cats from his statement about what he wanted to do to a
human being. The trial judge recognized the potential for prejudice but
concluded that it was outweighed by the probative value of the evidence and
that the prejudice could be addressed with a proper limiting instruction.
[68]
As
for the rap lyrics, the trial judge acknowledged that they were open to
different interpretations and that many listen to songs with violent imagery.
Nevertheless, it was a reasonable interpretation of the appellant聮s lyrics that
they meant what they literally said. To the extent that the lyrics refer to
knifing and chopping up people, drinking blood and cooking in the kitchen, they
were probative of the central issue at trial 聳 whether the killing was
intentional, planned and deliberate. Ultimately, it was for to the jury to
determine whether the rap lyrics referred to killing, dismemberment, and
cannibalism. Again, the trial judge recognized the potential for prejudice, but
concluded that it was outweighed by the probative value of the evidence and
could be addressed by a proper limiting instruction.
[69]
Having admitted the appellant聮s statements to
the nurse and the rap lyrics on the issues of motive, intention, and planning
and deliberation, the trial judge also addressed whether the evidence was
admissible on a propensity basis 聳 that is, whether the evidence of the appellant聮s
fantasy of killing, dismembering, and cannibalizing could help establish that
he killed Fraser and dismembered the body. This was necessary because the
appellant聮s position on dismemberment was not clear at the time, and the Crown
might be put to the proof of each element of the charge, including identity. The
trial judge found that there was insufficient evidence of cannibalism to place
the allegation before the jury; there was no evidence that the appellant had
consumed the victim聮s flesh and the theory that he had done so was too
speculative. However, the trial judge also found that the evidence disclosed a
specific rather than general propensity in regard to the dismemberment and that
the appellant聮s statements to the nurse and the rap lyrics were probative both of
his intention and the voluntariness of his actions. The evidence, she found,
posited not a general tendency to violence, but a highly specific and unusual
manifestation of violence 聳 the dismemberment of a human body. The trial judge
found that the prospect of prejudice was outweighed by the probative value of
the evidence and admitted it.
[70]
The trial judge carefully weighed the probative value of the
evidence and the potential prejudice to the appellant in deciding whether or
not to admit the bad character evidence. Her decision was neither unreasonable
nor marred by legal error or a misapprehension of the evidence. It is entitled
to deference.
[71]
The appellant says that the absence of evidence
that he engaged in cannibalism after the killing and dismemberment suggests
that his interest in cannibalism formed no part of his motive to kill and
dismember the victim. But this is illogical. The absence of evidence that he
engaged in cannibalism does not preclude a finding that he had been motivated
to do so initially.
There are any number of possible explanations for
not following through on a motivation to act in a particular way, none of which
negates the existence of the initial motivation.
[72]
The trial judge聮s mid-trial and closing
instructions on the use of the evidence were impeccable. She instructed the
jury that they could not find that there was an act of cannibalism and instructed
the jury not to speculate about the missing muscle tissue. The trial judge limited
the use of the ideation and rap lyric evidence to issues of motive, intention,
planning, and deliberation, in response to the Crown聮s argument.
[73]
It goes without saying that lyrics are open to
different interpretations and that, in any event, the writers of songs are not
to be presumed to share the views they present in their songs. The trial judge instructed
the jury to consider whether the rap lyrics were a form of artistic expression
聳 specifically, whether the appellant was interested in the lyrics as a form of
art or entertainment, as he testified. If the appellant聮s interest was purely
artistic, the rap lyrics were not to be used to determine whether or not the
appellant was guilty of the offences charged. If, however, the jury determined
that his interest was more than purely artistic, they were required to consider
what the lyrics referred to 聳 cooking drugs, as the appellant testified, or
killing, dismemberment, and cannibalism.
[74]
The trial judge instructed the jury that if it
found that the lyrics referred to drugs, they were not to be used to determine
whether the appellant was guilty. Even if the jury found the lyrics referred to
killing, the evidence could be considered only as it related to the appellant聮s
motive, intention, and state of mind when he killed Fraser. The trial judge
went on to admonish the jury not to allow emotional reactions to the graphic
and morbid nature of the lyrics to affect their assessment of the evidence. She
specifically instructed the jury not to conclude that the appellant was a bad
person more likely to have committed the offences, or the kind of person likely
to have committed the crimes, and to convict on either basis. The trial judge
reiterated that meaning of the lyrics was to be assessed in an objective and
dispassionate manner. Nothing more was required.
[75]
This ground of appeal must also be rejected.
Conclusion
[76]
I would dismiss the appeal.
Released: February 3, 2021 (聯G.H.聰)
聯Grant
Huscroft J.A.聰
聯I agree.
B.W. Miller J.A.聰
聯I agree.
Harvison Young J.A.聰
|
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.聽 These
sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the
following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽聽 For greater certainty, an order
referred to in subsection (1) 聽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. Medford, 2021 ONCA 27
DATE: 20210118
DOCKET: C62998
Fairburn A.C.J.O., Watt and
Thorburn JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Andrew Medford
Appellant
Sonya Shikhman, for the appellant
Jennifer A.Y. Trehearne, for the respondent
Heard: October 14, 2020 by video conference
On appeal from the conviction entered on
April 29, 2016 by Justice Carole J. Brown of the Superior Court of Justice, with
reasons reported at 2016 ONSC 2298.
Fairburn A.C.J.O.:
A.
OVERVIEW
[1]
This is an appeal from conviction on a number of
counts, including sexual assault with a weapon and uttering a threat to cause
bodily harm.
[2]
The complainant agreed to engage in sexual acts
with a man in exchange for money. They went to a carport to fulfill that exchange.
The complainant had never been to that location before.
[3]
She placed a blue condom on the man聮s penis and
started fellating him. The complainant became frustrated when, in her view, the
man was taking too long to complete the act. She decided that she needed to leave.
The man thought otherwise. He removed the blue condom from his penis, threw it
to the carport floor, pulled out a knife and threatened the complainant as
follows: 聯if I split you from your asshole to your back, maybe the open flesh
will turn me on.聰
[4]
Although the complainant was a little 聯foggy聰
about the order of events that followed, she was clear that the same man she
had been fellating, was the man who threatened her and then penetrated her
vagina and 聯bum area聰 with his penis. He then strangled her into
unconsciousness. When the complainant regained consciousness, she realized that
she was naked and being dragged across the street by the same man. She started
to scream for help.
[5]
A good Samaritan, Mr. Messelhi, heard the
complainant聮s cries for help. At around 2:30 a.m., he saw the complainant and
assailant from his seventh-floor balcony. He yelled out to them and called for
emergency assistance. The man fled the scene just before the police arrived.
[6]
While Mr. Messelhi was being interviewed by the
police, a man by the name of Ashton Cater walked by where the complainant and
assailant had been seen. Mr. Messelhi thought that Mr. Cater looked similar to
the assailant. The police arrested Mr. Cater, but he was later excluded as a
suspect on the basis of the DNA evidence found on the blue condom located on
the floor of the carport.
[7]
It was only a few years later, after the
appellant聮s DNA was obtained in an unrelated matter, that the DNA on the blue condom
was connected to him. The condom also contained the complainant聮s DNA.
[8]
The appellant did not testify at trial, but
accepted that it was his DNA on the condom. Through closing submissions, he acknowledged
that he had engaged in a sexual act with the complainant in the carport on the
night in question. His defence was that, after that sexual act finished, he
left the complainant behind in the carport. On the appellant聮s theory, some
other man, likely Mr. Cater, must have come along after he had left the carport
and attacked the complainant.
[9]
To get around the complainant聮s evidence that
she was attacked by the same man who wore the blue condom, the appellant said
she was either confused or hallucinating as a result of the drugs and alcohol
she had consumed prior to the attack. He also suggested that the complainant
was just generally untruthful.
[10]
The trial judge rejected the defence theory as
entirely speculative. She also accepted the complainant聮s evidence as credible
and reliable, ultimately concluding that a single perpetrator committed all of the
acts, starting with the blue condom and ending with flight from the scene.
[11]
The appellant was convicted across all counts.
He appeals from conviction on the basis that the trial judge erred:
(a)
in how she dealt with identification evidence;
(b)
in how she resolved credibility issues;
(c)
in how she approached the question of motive;
and
(d)
in how she dealt with the burden of proof.
[12]
The appellant also argues that the verdict is
unreasonable and that he suffered from the ineffective assistance of counsel at
trial.
[13]
For the reasons that follow, I would dismiss the
appeal.
B.
ALLEGED ERRORS RELATING TO IDENTIFICATION
EVIDENCE
[14]
The appellant raises a number of concerns over
how the trial judge dealt with the identification evidence. I would not accept
any of these submissions. As with many of the other issues raised on appeal,
the concerns expressed largely reflect an attempt to relitigate the trial.
(i)
Mr. Messelhi聮s identification evidence
[15]
The appellant makes numerous complaints about
how the trial judge dealt with Mr. Messelhi聮s identification evidence. In
particular, he objects to the fact that what Mr. Messelhi told the police about
the assailant聮s appearance and what he testified to in court was different. He
says that the trial judge was duty bound to address and resolve each
difference.
[16]
I do not intend to address each complaint that
the appellant raises because, looked at in context, none of them can succeed.
[17]
The fact is that the trial judge accurately
reviewed Mr. Messelhi聮s evidence. She understood how it fluctuated in some ways
from what he had previously said to the police. In the end, though, she concluded
that she could not 聯place any significant weight聰 on Mr. Messelhi聮s description
of the assailant given his 聯vantage point from the seventh-floor balcony across
the street 聟 [in the] middle of the night 聟 [when] the lighting was poor.聰 It
was open to the trial judge, as the trier of fact, to reach this conclusion.
And it is one to which I would defer.
[18]
Accordingly, Mr. Messelhi聮s evidence about what
the assailant looked like was largely neutralized by the trial judge聮s
conclusion that Mr. Messelhi was not in a position to make reliable
observations. Therefore, even assuming (without suggesting) that there was some
merit to the appellant聮s submission that the trial judge failed to adequately
deal with the witness聮 alleged prior inconsistent statements, it would have had
no impact on the outcome of the case.
[19]
In any event, the most significant alleged error
made by the trial judge relates to what the appellant argues is her failure to
resolve the fact that Mr. Messelhi told the police that the assailant was a
聯black聰 male, but in court suggested that the assailant was of 聯mixed聰
heritage. The appellant argues that the failure to resolve that inconsistency undermined
the defence theory, particularly given that the appellant says Mr. Cater is
聯black聰 and that the appellant is closer to a 聯mixed聰 heritage.
[20]
This objection cannot succeed. The fact is that
Mr. Messelhi told the 9-1-1 operator that the assailant was 聯kind of black or
mixed black.聰 Therefore, there was no inconsistency between how Mr. Messelhi
first described the assailant to the 9-1-1 operator and his evidence at trial,
where he testified that there are 聯different gradients of black聰 and that when
he says 聯black聰, he includes 聯brown聰. In these circumstances, there was nothing
for the trial judge to resolve.
(ii)
Mr. Messelhi did not adopt his prior statement
[21]
The appellant also contends that the trial judge
erred by failing to appreciate that Mr. Messelhi adopted a prior statement,
where he is alleged to have told a police officer that he was 聯100 percent聰
certain that Mr. Cater was the assailant. The appellant also contends that,
even if Mr. Messelhi did not adopt his prior statement, the trial judge still
erred because she failed to turn her mind to whether he had done so. I do not
accept either of these submissions.
[22]
Mr. Messelhi testified in-chief that while he
was being interviewed by the police, he saw a man walking by the crime scene
and thought that the man looked like the assailant, but that the man also 聯looked
slightly different.聰 (That man was Mr. Cater.) During cross-examination, defence
counsel suggested to Mr. Messelhi that he had told the officer who was interviewing
him that the man walking by was 聯100 percent聰 the same man that he had seen
attacking the woman. In my view, Mr. Messelhi did not adopt that prior alleged
statement.
[23]
A witness only adopts a prior statement where
the witness agrees, based upon present memory, that the statement is true. Only
where that prior statement is adopted, does it become part of the witness聮
evidence at trial, available to the trier of fact for the truth of its
contents:
R. v.
McCarroll
, 2008 ONCA 715, 238 C.C.C. (3d) 404,
at para. 39;
R. v. Candir
, 2009 ONCA 915, 250 C.C.C. (3d) 139, at
para. 113;
R. v. Abdulle,
2020 ONCA 106, at paras. 136-38, leave to
appeal to S.C.C. refused, 39175 (August 20, 2020);
R. v. Tat
(1997)
, 117 C.C.C. (3d) 481 (Ont. C.A.),
at p. 493.
[24]
A review of Mr. Messelhi聮s cross-examination
demonstrates anything but adoption. While defence counsel repeatedly tried to
have Mr. Messelhi adopt the alleged prior statement, he failed in achieving
that goal. Here are some highlights from that exchange:
Q. 聟 at the time you were 100 percent sure
that that was the person because 聳
A. I 聳 I was not. I was 聳 again, it was
someone that walked by that had similar characteristics.
Q. Okay.
A. But again, I don聮t believe that it was 聳 I
wasn聮t 100 percent 聳
Q. So if you told the police that the guy that
they were investigating is the same guy 100 percent, that聮s obviously what you
believed at the time, right? I聮m talking about at that moment.
A. Yeah. At the time they 聳 they looked
similar.
Q. Right. The only detail you gave them was
that聮s the guy, 100 percent. That聮s what you told them, right? It聮s in the
notes.
A. I don聮t recall saying that
Q. Okay.
A. 聟 to be honest with you. I recall pointing
聳 I recall pointing down to the 聳 to the street level from my balcony. 聟 I
don聮t recall 聳 I聮ll be honest with you, I don聮t recall saying, yeah, that聮s him
100 percent.
[25]
Nothing in this exchange points toward adoption
of the prior alleged statement. Indeed, it does not even point toward
acknowledgement that the statement was made. In these circumstances, I see no
error in the trial judge聮s decision not to address the issue of adoption.
(iii)
There was no contemporaneous identification
[26]
The appellant also suggests that the trial judge
erred by accepting Mr. Messelhi聮s trial evidence regarding what he said the
assailant looked like, instead of what he had previously told the police that
the assailant looked like. He argues that a description contemporaneously made
must be accepted over a description at trial.
[27]
I see no basis in law or on the record for this
suggestion. Mr. Messelhi did not purport to identify the appellant in the
courtroom and was never asked to do so. In any event, the trial judge did not
prefer one version over the other. Indeed, as previously addressed, she
discounted Mr. Messelhi聮s identification evidence altogether because of the
distance from which he was making his observations and the lighting conditions
involved. It was open for her to come to that conclusion.
(iv)
Failure to resolve the height differential
[28]
The appellant also argues that the trial judge
erred by failing to resolve another issue: that he is only five feet, five inches
tall, which is much shorter than how Mr. Messelhi and the complainant described
the assailant. Mr. Messelhi thought the assailant聮s height was around six feet
tall and the complainant thought his height was around the same as hers, about five
feet, nine inches tall.
[29]
For the reasons already mentioned, given the
limitations on Mr. Messelhi聮s ability to make accurate observations, the trial
judge resolved that she could place little weight on how he described the
assailant. Accordingly, there was little need for the trial judge to resolve
the difference between Mr. Messelhi聮s description of the assailant聮s height and
the appellant聮s actual height.
[30]
That is equally true when it comes to the
complainant聮s evidence about her assailant聮s height, being about four inches
taller than the appellant聮s actual height. Although the trial judge did not squarely
resolve that issue in her reasons, she was clearly aware of it as she adverted
to that evidence in her reasons.
[31]
When considered against the factual backdrop of
this case, it is understandable why the trial judge did not see a pressing need
to resolve the difference. After all, it was agreed that the man in the blue
condom was in fact the appellant. As the complainant said that the man who wore
the condom was the same man who attacked her, she was describing the height of
the man who wore the condom 聳 that being the appellant.
[32]
Therefore, what was critical from an identity
perspective was not that the complainant suggested that her assailant was
around five feet, nine inches, but that she said that the man in the blue
condom was the same man who attacked her. The reasons make clear that the trial
judge accepted the complainant聮s evidence on this point. Therefore, given the
agreement that the appellant was the man in the blue condom, it can be inferred
that the trial judge was satisfied that the complainant simply misjudged the appellant聮s
height.
(v)
Did the trial judge err by failing to consider
circumstantial evidence?
[33]
The appellant points to four pieces of evidence
that are said to have been overlooked by the trial judge, but that bolstered
the identification of Mr. Cater as the assailant. I do not agree that the trial
judge was under any obligation to specifically turn her mind to these pieces of
evidence.
[34]
First, a wrapper from a box of gloves was found
on the ground not far from where the complainant was dragged. That packaging
matched packaging that was found in the bag that Mr. Cater was carrying at the
time of arrest. The appellant argues that this piece of circumstantial evidence
pointed toward Mr. Cater being the person who dragged the complainant across
the road.
[35]
There was no suggestion that the assailant wore
gloves during the attack. Nor is there any suggestion that these were rare or
unusual gloves. While the packaging appears to have matched, it does nothing
more than provide a tenuous link between Mr. Cater and the geographical area
where the complainant was ultimately found. Of course, Mr. Cater was already
associated to that area, being the area where he was arrested.
[36]
Second, the appellant points to the fact that
Mr. Messelhi testified that the assailant was wearing a do-rag. Mr. Cater聮s bag
contained a black do-rag. The appellant again argues that this pointed toward
Mr. Cater being the assailant.
[37]
The difficulty with this submission is that the
trial judge believed the complainant that she was attacked in one continuous
event, by the man who she said she had placed the blue condom on. The
complainant did not think that her assailant was wearing any type of head
covering. Her credibility was accepted by the trial judge.
[38]
Moreover, for reasons that I have already given,
the trial judge discounted the accuracy of Mr. Messelhi聮s observations as they
related to the assailant聮s appearance. It was open for her to do so. Thus, the
fact that Mr. Cater had a do-rag in his bag did not advance the defence,
particularly given that there was no evidence that he was wearing that do-rag
at the time in question or, indeed, at any point during the night of the
offence.
[39]
Third, the appellant argues that the trial judge
erred by failing to consider what happened to a bicycle that the appellant was
said to have had with him when he and the complainant went to the carport.
[40]
The complainant testified that her attacker brought
a bicycle with him to the scene of the attack, but could not recall what
happened to that bicycle. The police did not find a bicycle at the crime scene.
[41]
The appellant claims that the absence of a
bicycle at the scene supported his position, as advanced only in oral
submissions at trial, that he had left the carport on his bicycle and the
complainant was later attacked by someone else. Of course, there was no
evidence about the appellant leaving the carport after the initial sexual
encounter because, as was his right, the appellant did not testify.
[42]
Therefore, at its highest, the evidence came
from two sources: (a) the complainant who testified that her assailant had a
bicycle at some point when they first met up; and (b) that the police did not
see a bicycle around the scene of the crime. Against this factual record, the
trial judge was under no obligation to resolve anything regarding the fact that
a bicycle was not found at the crime scene.
[43]
Finally, the appellant claims that the trial
judge erred by not addressing the length of time over which the attack was said
to have taken place. The complainant said that she initially met the man around
10:00 p.m. Yet the 9-1-1 call was not received until just after 2:30 a.m.
According to the appellant, that means that the assault went on for about 4.5
hours. He says that it defies common sense that the assailant would remain with
the complainant while she was unconscious for that length of time. The failure
of the trial judge to turn her mind to this issue is said to reflect error.
[44]
This argument was not put to the trial judge in
closing submissions and therefore, it is with little surprise she did not
address it. In any event, the complainant was clear that she did not know how
long she was unconscious for. The appellant and complainant could have been
together for a long period of time or the complainant could have been wrong
about the time at which she first went to the carport. Indeed, as I will soon
address, it appears that she was wrong about the timing.
C.
CREDIBILITY ISSUES
[45]
The appellant maintains that the trial judge erred
by failing to turn her mind to details undermining the complainant聮s
credibility. In my view, the appellant is really asking this court to
substitute its own view of credibility for that of the trial judge. There is no
basis upon which to do so.
[46]
The appellant suggests that the complainant
should be disbelieved because she said that, at one point, she was being
dragged with her face on the pavement, yet she did not have facial injuries to
match that evidence. This is incorrect. An officer noted a scrape or scrapes on
her face and the nurse who saw the complainant after the incident noted a
visibly red and swollen nose.
[47]
The appellant also suggests that the trial judge
failed to address the discrepancy between the complainant and Mr. Messelhi as
to whether the assailant was wearing a do-rag. This is said to have adversely
impacted the complainant聮s credibility. Not so. For reasons already given, the
trial judge refused to place meaningful weight upon Mr. Messelhi聮s evidence about
the assailant聮s description. In these circumstances, the differences between
his evidence and hers, as to whether the assailant was wearing a do-rag, could
not have impacted the complainant聮s credibility.
[48]
The appellant also claims that the trial judge
failed to properly consider the complainant聮s level of intoxication at the time
of the events. In doing so, she is said to have failed to understand that the
complainant 聯did not unequivocally reject the possibility of hallucinations.聰 I
do not agree.
[49]
The complainant was clear about what she had
ingested prior to the events: alcohol, marihuana, and crack cocaine. She was
equally clear that she was not hallucinating during the attack. Moreover, the
trial judge was alive to the issue, specifically noting that the complainant
was 聯muddled聰 about the order of events. Even so, it was open to the trial
judge to conclude as she did, that being muddled about the order of events was
not in any way determinative of the complainant聮s credibility or reliability.
[50]
To the extent that the complainant may have had
some gaps in her memory, her evidence makes clear why that was the case. As is
clear from the transcript, the complainant was highly resistant to testifying
and being required to recount the terrifying events that occurred almost five
years before trial. In these circumstances, some gaps in memory may well be
expected.
[51]
The complaint here is nothing more than a
request to have this court reassess the complainant聮s credibility. That was the
job of the trial judge. I see no error in her approach and would defer to her
findings.
D.
MOTIVE
[52]
The appellant argues in writing only that the
trial judge erred by concluding that the complainant was credible because she
had no motive to lie. He also claims that the trial judge erred in failing to
find that the complainant did have a motive to lie, one that arose from the
fact that she needed money for her next drug 聯hit聰 and the man she was
fellating took the money back when she said she did not wish to complete that
act. I would not accept either of these submissions.
[53]
First, the trial judge held that she was
聯satisfied that [the complainant] had no exterior or ulterior motivation to lie
and was attempting throughout to be truthful.聰 I interpret the trial judge聮s
comments as doing nothing more than stating her conclusion that there was no
motive to lie and, therefore, the complainant聮s evidence could not be rendered
suspect by virtue of any such suggestion. I do not read the trial judge as
placing affirmative weight on the complainant聮s evidence because of her
conclusion that there was no motive to lie.
[54]
For the first time on appeal, the appellant says
that the complainant had a motive to lie which arose from her upset that the
man in the blue condom took his money back after she refused to complete the
fellatio. I agree with the respondent that there are numerous difficulties with
this theory, including that the alleged motive was never put to the complainant
when she was testifying. It also runs contrary to her evidence, that she
offered to give the man in the blue condom his money back 聳 not that he stole
the money back 聳 when she decided she did not wish to complete the act.
[55]
I would not accede to this ground of appeal.
E.
BURDEN OF PROOF
[56]
The appellant also suggests that the trial judge
reversed the burden of proof. In particular, he points to a passage in the
lengthy reasons for judgment, where the trial judge found that the defence
theory was speculative and unpersuasive 聯given all the evidence.聰 He seems to
suggest that this passage demonstrates that the trial judge was requiring that
there be actual evidence supporting the defence theory before it could succeed.
I do not read the passage that way.
[57]
I start by observing that the trial judge
accurately reviewed the burden of proof at the outset of her reasons. There is
no complaint about how she did so. Therefore, the appellant聮s objection is made
in circumstances where the reasons for judgment demonstrate a correct summary
of the legal principles pertaining to the burden of proof.
[58]
In my view, the impugned passage from the
reasons for judgment demonstrates nothing more than the trial judge聮s
acknowledgement that the defence theory did not raise a reasonable doubt in her
mind. She saw it as entirely speculative in nature, particularly because she
accepted the complainant聮s evidence that the same man who wore the blue condom
(the appellant), was the same man who attacked her and dragged her across the
street. There is nothing in the reasons to suggest that she applied the wrong
burden of proof.
F.
THE REASONABLENESS OF THE VERDICT
[59]
The appellant claims that the verdict is unreasonable
in these sense that a trier of fact could not have reasonably reached the
conclusion that the trial judge reached. I do not agree.
[60]
Taking into account the totality of the
evidence, the trial judge聮s conclusion is one that a properly instructed trier
of fact acting judicially could have reasonably rendered:
R. v. Mendez,
2018
ONCA 354, at para. 21. At this stage of these reasons, to unpack the
reasonableness of the verdict would risk serious repetition. Suffice to say
that it was open for the trial judge to accept the complainant聮s credibility as
to the one, continuous series of events involving the same man who wore the
condom, which man was the appellant.
G.
COMPETENCE OF COUNSEL
[61]
The appellant claims that his trial counsel was
ineffective and that this resulted in a miscarriage of justice.
[62]
During oral submissions, the appellant focussed
upon a few specific complaints involving trial counsel聮s performance. I too
will focus upon those complaints. First, though, I will address the operative
legal principles when it comes to competence of counsel claims.
[63]
The burden falls to the appellant to establish
the facts underpinning the claim of ineffectiveness. Those facts must address
both the performance and prejudice components of the test. The performance component
involves establishing how counsel聮s representation was inadequate. The
prejudice component involves establishing how those inadequacies resulted in a
miscarriage of justice:
R. v. Cherrington,
2018 ONCA 653, at paras.
25-27;
R. v. B. (G.D.)
, 2000 SCC 22, [2000] 1 S.C.R. 520, at para. 26;
R.
v. Joanisse
(1995), 102 C.C.C. (3d) 35 (Ont. C.A.) pp. 59-62, leave to
appeal refused, [1996] S.C.C.A. No. 347
.
[64]
The performance component requires the court to
consider counsel聮s conduct of the defence against a standard of reasonableness,
one that includes a presumption that counsel聮s conduct falls within a wide
degree of reasonable professional assistance. Strategic tactical decisions
should be viewed through a lens of deference, rather than a lens of hindsight.
[65]
The prejudice component is fulfilled where there
is a miscarriage of justice arising from either some form of procedural
unfairness or an unreliable result or both:
R. v. Shafia,
2016 ONCA 812,
341 C.C.C. (3d) 354, at para. 177, leave to appeal refused, [2017] S.C.C.A. No.
17.
[66]
The appellant claims that trial counsel was
incompetent by failing to put to the complainant the original description she
gave to the police of the assailant. She originally told the police that she
thought that her attacker was six feet tall. That is said to more closely match
Mr. Cater聮s height than the appellant聮s height.
[67]
On appeal, trial counsel has explained why he
chose not to focus upon the first description given by the complainant as to
her assailant聮s height. Suffice to say that it was a strategic call on his part.
I see no need to explore the underlying rationale for that decision given that,
for reasons already set out, the complainant聮s description of her assailant聮s
height did not matter to the end result in this case. This case turned on the
trial judge聮s acceptance of the complainant聮s evidence that the man who wore
the blue condom was her attacker. Accordingly, whatever height the complainant
ascribed to the man in the condom, one thing was accepted at trial: the man in
the condom was the appellant.
[68]
The appellant also points to the fact that the
complainant told the police her assailant was carrying a bag. Counsel did not
confront her with that previous statement. The failure to do so is said to
reflect incompetence because of the fact that Mr. Cater was also carrying a bag
when he was arrested.
[69]
Trial counsel acknowledges that, in hindsight,
he ought to have put the complainant聮s statement about the assailant carrying a
bag to her. While that would have been better, in my view, the failure to do so
changes nothing. The complainant did not tell the police anything about the
appearance of the bag, what it looked like, or its size. Moreover, and again,
there is no dispute that the man with the bag who the complainant met, on whom
she placed the blue condom, was the appellant. In these circumstances, the
circumstantial value of the bag is highly questionable.
[70]
The appellant also claims that his trial counsel
was incompetent by failing to put to the complainant that she had described her
attacker to the police as a 聯black聰 male. As before, that description is said
to have matched Mr. Cater better than it matched the appellant.
[71]
It is true that counsel did not put that
statement to the complainant, but the value of doing so would have been highly
questionable. This is especially true given that three days after the attack,
and a couple of years before the appellant was apprehended for this offence, in
a detailed statement, the complainant told the police that her attacker had a 聯light
complexion聰, was 聯mixed聰, 聯half and half聰 and with 聯black in him.聰 In these
circumstances, a miscarriage of justice could not have resulted from the
failure to put the earlier description to the complainant.
[72]
The appellant also suggests incompetence arising
from the fact that counsel did not put to Mr. Messelhi his prior statement to
the police, where he had told them that he was unsure about what the assailant聮s
hair looked like because he was wearing a do-rag. At trial, Mr. Messelhi
suggested that he could see braids coming out from underneath the do-rag.
[73]
Again, trial counsel agrees that it would have
been better had he put Mr. Messelhi聮s prior statement to him. Even so, nothing
turns on the failure to do so given that the trial judge discounted the value
of Mr. Messelhi聮s observations.
[74]
Finally, the appellant focusses on one alleged
failure by the trial counsel that is said to be dispositive of a miscarriage of
justice.
[75]
Trial counsel was aware from police notes that
the police had observed a security video at a gas station, close to the scene
of the crime, that showed someone who the police thought was the complainant
walking with a man holding a bicycle. The man聮s identity was not discernable on
the video. The video showed a time stamp of 1:46 a.m. (about 45 minutes before
the 9-1-1 call).
[76]
The appellant argues that the failure of trial counsel
to obtain that video and play it at trial demonstrates ineffectiveness. The
appellant contends that the video would have undermined the credibility of the
complainant who said that she met her assailant around 10:00 p.m. The video
would have shown that, in fact, she met her assailant over three hours later in
time.
[77]
Trial counsel admits on appeal that he knew of
the existence of the video, but explains that he did not request a copy of the
video out of a concern that it would undoubtedly assist the Crown聮s case. In
trial counsel聮s view, the longer the time between when the complainant and
appellant first went to the carport and when Mr. Messelhi called 9-1-1, the
greater the support for the defence theory that a second man came along and
attacked the complainant after the appellant had left the scene. The video
could undermine that theory by demonstrating very clearly that the complainant
was simply wrong about the time that she and the appellant engaged in the
sexual act in the carport. It would have taken what was, on the complainant聮s
evidence, an over 4-hour gap from beginning to end, and truncated it to about a
45-minute window.
[78]
Trial counsel聮s decision to avoid any steps that
may highlight the importance of the video to the Crown聮s case was a tactical
one and is entitled to deference.
[79]
In conclusion, while there are some aspects of
counsel聮s performance that in hindsight could have been better executed,
perfection is not the standard:
Joanisse
, at p. 61. To the extent that trial
counsel fell short in this case, it was on minor details that had no impact on
the reliability of the verdict.
CONCLUSION
[80]
I would dismiss the appeal.
Released:
聯JMF聰 聯
JAN 18 2021聰
聯Fairburn
A.C.J.O.聰
聯I
agree David Watt J.A.聰
聯I agree Thorburn J.A.聰
|
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.聽 These sections of
the Criminal
Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual
integrity and that conduct would be an offence referred to in subparagraph (i)
if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C. 2014, c. 25,
s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings in respect of the
offences referred to in paragraph (1)(a) or (b), the presiding judge or justice
shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽聽 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. Mohammed, 2021 ONCA 301
DATE: 20210506
DOCKET: C68857
Hoy, Hourigan and Zarnett JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Mohanned Muawia Khalil Mohammed
Appellant
Mohanned Muawia Khalil Mohammed, acting in
person
Nicole Rivers, for the respondent
Heard and released orally: May 3, 2021 by videoconference
On appeal from the decision of Justice B.P. O聮Marra of
the Superior Court of Justice dated June 25, 2020, dismissing an appeal from
the conviction entered on May 6, 2019, and from the sentence imposed on July 5,
2019, by Justice Ruin Shandler of the Ontario Court of Justice.
REASONS FOR DECISION
[1]
The appellant was convicted of sexual
assault and sentenced to 18 months聮 imprisonment, followed by three years聮
probation.
[2]
At trial, he testified in his defence.
The trial judge made findings of fact contrary to his evidence and explained
why the appellant聮s evidence did not leave him with a reasonable doubt. He also
held that on the evidence of the complainant, which he did accept, the appellant
was guilty beyond a reasonable doubt.
[3]
The appellant appealed to the Superior
Court of Justice, primarily alleging errors regarding the trial judge聮s
application of
R. v. W.(D.)
, [1991] 1
S.C.R. 742, and insufficient reasons. The summary appeals court judge found
that the trial judge properly applied the
W.(D.)
test. Further, he found that the trial judge聮s reasons
sufficiently articulated how credibility concerns and contradictory evidence
were resolved. Accordingly, the summary appeals court judge dismissed the
appeal.
[4]
The appellant seeks leave to appeal to
this court. He submits that (1) the summary appeals court judge erred in giving
deference to credibility and reliability findings, despite errors made by the
trial judge; and (2) the summary appeals court judge erred in concluding that
the trial judge provided sufficient reasons, despite not resolving all the live
issues in the case.
[5]
A second appeal in summary conviction
proceedings is the exception, not the rule. Leave to appeal should not be
granted merely because an issue of law alone is raised. Access to the Court of
Appeal, for a second appeal, should be limited to those cases in which the
applicant can demonstrate some exceptional circumstance justifying the further
appeal. There is no single litmus test that can identify all the cases in which
leave should be granted. There are, however, two key variables, being the
significance of the legal issues raised to the general administration of
criminal justice, and the merits of the proposed grounds of appeal:
R.
v. R.R.
, 2008 ONCA 497, 90 O.R. (3d) 641, at
paras. 37-38.
[6]
On the one hand, if the issues have
significance to the administration of justice beyond the particular case, then
leave to appeal may be granted even if the merits are not particularly strong,
although the grounds must be at least arguable. On the other hand, where the
merits of the appeal are very strong, leave to appeal may be granted even if
the issues have no general importance, especially if the convictions in issue
are serious, and the application is facing a significant deprivation of his or
her liberty: see
R.R.
, at paras.
37-38.
[7]
We are not satisfied that the appellant
has met the test for leave to appeal. The grounds of appeal are weak. The summary
appeals court judge carefully considered and rejected the same arguments that
the appellant seeks to argue before this court. We see no error in that
analysis. In addition, this case does not raise issues that impact the general
administration of criminal justice.
[8]
The application for leave to appeal is
dismissed.
聯Alexandra Hoy J.A.聰
聯C.W. Hourigan J.A.聰
聯B. Zarnett J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Mohiadin, 2021 ONCA 122
DATE: 20210226
DOCKET: C68130
MacPherson, Huscroft and Jamal
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Abdirahman Mohiadin
Appellant
Abdirahman Mohiadin, acting in person
Danielle Robitaille, appearing as duty
counsel
Hannah Freeman, for the respondent
Heard: February 8, 2021 by
video conference
On appeal from the sentence imposed on January
10, 2020 by Justice Sean F. Dunphy of the Superior Court of Justice, with
reasons reported at 2020 ONSC 47.
REASONS FOR DECISION
[1]
The appellant, Abdirahman Mohiadin, was convicted
of six counts arising from his possession of a loaded handgun in a car and sentenced
to 38 months聮 custody, less 54 days聮 credit for pre-sentence custody (36 days grossed
up at
the rate of
1.5:1). He abandoned his
conviction appeal but continues his sentence appeal.
[2]
Late on the night of October 10, 2017, the appellant,
then aged 19, was sitting in a parked car outside an apartment building in
Etobicoke. The police were at the building investigating an unrelated matter
and saw and smelled clouds of marijuana smoke coming from the open car window. Although
this was just before marijuana was legalized, they thought this was too
flagrant a violation of the law to ignore. As the police approached the car, they
saw the appellant with a thick marijuana 聯blunt聰 in his hand and a satchel
around his neck. The police saw the handle of a handgun inside the satchel.
They immediately arrested the appellant without resistance and seized the
handgun.
[3]
At trial the
appellant raised a preliminary
Charter
challenge to the
seizure of the gun, but when he lost that challenge his counsel invited the
court to make findings of guilt based on the findings made on the
Charter
challenge.
[4]
At sentencing the parties agreed on the credit
for pre-sentence custody, but disagreed on the sentence range. The sentencing
judge stated in his reasons
that
he understood
the Crown 聯sought a custodial sentence in the range of 32 to 36 months less
presentence custody聰, while the defence urged a sentence of 聯no greater than 21
months 聟 less
Downes
credit for more than two years spent under
house-arrest release conditions聰:
R. v. Mohiadin
, 2020 ONSC 47, at paras.
16-17. The sentencing judge imposed a sentence of 38 months 聴 two months above
the range he identified as having been proposed by the Crown 聴 less 54 days聮
credit for pre-sentence custody: at paras. 45-46.
[5]
On the sentence appeal, duty counsel argues that
the sentencing judge erred by (1) exceeding the Crown聮s position on sentence
without giving the appellant notice and an opportunity to make further
submissions, and (2) refusing to give the appellant any credit, under the principles
in
R. v. Downes
(2006), 79 O.R. (3d) 321 (C.A.), for over two years
spent under restrictive house arrest while on bail.
[6]
Having reviewed the transcript of the sentencing
hearing
, in our view
the sentencing judge misapprehended
the Crown聮s proposed sentence. He then erred by imposing a sentence greater
than the sentence sought by the Crown without giving notice to counsel or allowing
them to address whether such a sentence should be imposed.
[7]
The transcript of the sentencing hearing reveals
that the Crown first proposed a range of 32 to 36 months, without addressing whether
the appellant should be provided with
Downes
credit for the over two years
he spent under house arrest. In response, the defence proposed a sentence of no
more than 21 months and
Downes
credit of 8.5 months (255 days). The sentencing
judge then asked for the Crown聮s position on
Downes
credit. Crown counsel
(not appeal counsel) responded by stating that although
Downes
credit
is discretionary and not governed by a prescribed formula, the Crown suggested
5 months of credit for what it acknowledged was a restrictive house arrest. The
relevant
exchange
is
as follows
:
THE COURT: All right. So I want to hear from
you on
Downes
credit.
[CROWN COUNSEL]: Okay. So on
Downes
credit, my friend expressed it absolutely correctly. There is no ratio. It聮s a
case by case situation. There are numerous cases in which one for four is
granted. One for five; sometimes one for three, depending on the, the severity
of the circumstances.
[The appellant], yes, he was under a house arrest for
the entirety of the
time
that
he was on bail. Yes, he had some opportunity to leave with the surety,
but it was restrictive;
I聮m not going to dispute
that
.
But there is no automatic, one 聳 granting it one and a third. That聮s just not a
principle in law. And I聮m not sure
THE COURT: What credit
,
if any,
would, what credit
, if any,
would
you be suggesting?
[CROWN COUNSEL]: Well, Your Honour, I would
suggest something
in the range of
one in, one
out of five, to one, to one third. Given Mister....
THE COURT: How many months?
[CROWN COUNSEL]: Pardon me?
THE COURT:
How many months would you
suggest? Make it simple
.
[CROWN COUNSEL]:
Five months
.
THE COURT:
Okay
.
[CROWN COUNSEL]:
That聮s, that聮s my
submission
. The, the last thing, Your Honour, is I know
that
this is part of that is that if the
Downes
credit is given, and depending on
what
the
sentence is
, it
may or may
not
bring the balance of the sentence to under two years. And if that聮s
the case
, then,
the Crown would be asking for
probation. [Emphasis added.]
[8]
After the Crown suggested
Downes
credit
of five months, the Crown聮s proposed sentence was not 32 to 36 months, but 27
to 31 months. The 38-month sentence imposed thus exceeded the Crown聮s position by
7 months.
[9]
In
R. v. Blake-Samuels
, 2021 ONCA 77, at
paras. 30-33, 36-38,
per
MacPherson J.A., this court recently held
that it is an error in principle and contrary to fundamental fairness for a
sentencing judge to exceed the Crown聮s proposed sentence without giving the
parties a chance to make further submissions. MacPherson J.A. explained, at
para. 33, that 聯[i]t is not appropriate to deny procedural fairness during the
sentencing process with the expectation that any error can be cured on appeal.聰
This court intervened with the sentence in
Blake-Samuels
because it concluded
that it was 聯impossible to say that the sentence was not impacted by the
unavailability of submissions聰: at para. 36.
[10]
The same is true here. The sentencing judge did
not give the parties a chance to address a sentence seven months longer than what
the Crown proposed. It is impossible to say that the sentence was not
impacted
by the unavailability of submissions.
[11]
Because the sentencing judge made an error in
principle that
impacted
the sentence, this
court 聯must perform its own sentencing analysis to determine a fit sentence聰:
R.
v. Friesen
, 2020 SCC 9, 444 D.L.R. (4th) 1, at para. 27;
R. v. Lacasse
,
2015 SCC 64, [2015] 3 S.C.R. 1089, at paras. 43-44. The court must 聯apply the
principles of sentencing afresh to the facts, without deference to the existing
sentence, even if that sentence falls within the applicable range聰:
Friesen
,
at para. 27. In doing so, the court 聯will defer to the sentencing judge聮s
findings of fact or identification of aggravating and mitigating factors, to
the extent that they are not affected by an error in principle聰:
Friesen
,
at para. 28.
[12]
In sentencing afresh, we begin by reiterating
the observations
of Doherty J.A. in
R. v. Nur
,
2013 ONCA 677, at para. 206, aff聮d 2015 SCC 15, [2015] 1 S.C.R. 773, that 聯[i]ndividuals
who have loaded restricted or prohibited firearms
that
they have no business possessing anywhere or at any time, and who are
engaged in criminal conduct or conduct that poses a danger to others should
continue to receive exemplary sentences that will emphasize deterrence and
denunciation.聰 In
Nur
,
both this court and
the
Supreme Court of Canada declined to interfere with a 40-month sentence imposed on
a 19-year-old first-time offender who tried to flee the police, was chased, and
threw his loaded handgun under a parked car. McLachlin C.J. underscored, at
para. 120, that 聯[i]t remains appropriate for judges to continue to impose
weighty sentences聰 in appropriate circumstances.
[13]
Here, in proposing a three-year sentence before
credit for pre-trial custody and
Downes
credit, the Crown was mindful
of these and other authorities. Crown counsel fairly noted that some cases have
imposed longer sentences than this for similarly serious gun possession offences
by youthful first-time offenders, while other cases have imposed shorter
sentences. The Crown was satisfied that its proposed sentence was appropriate having
regard to
the following factors
: (1) the
appellant was a youthful first-offender; (2) while there was no evidence that
the appellant was involved in gang activity, there was also no evidence of any
direct threat to the appellant; (3) the appellant had witnessed gun violence, his
older brother had died in gun violence, and he lived in a part of Toronto where
gun violence is commonplace; (4) the appellant had prospects for rehabilitation;
and (5) although the appellant did not plead guilty, he saved several days of
court time by effectively inviting a guilty verdict after losing a preliminary
Charter
challenge.
[14]
In our view, there is no basis to depart from
the sentence that the Crown proposed at first instance, even though on appeal
the Crown urges us to uphold the sentencing judge聮s sentence despite the lack
of procedural fairness. We recognize that, in properly balancing all the
relevant
factors, some courts might impose higher sentences
while others might impose lower sentences. However, we are satisfied that the Crown聮s
original proposal properly balanced all the
relevant
factors
and is therefore fit.
[15]
Leave to appeal sentence is granted and the
sentence appeal is allowed. The sentence is reduced to the Crown聮s original proposal,
which is 36 months, less 54 days聮 credit for pre-sentence custody and 5 months or
150 days as
Downes
credit for restrictive house arrest conditions. The
ancillary orders made by the sentencing judge remain unchanged.
聯J.C.
MacPherson J.A.聰
聯Grant
Huscroft J.A.聰
聯M. Jamal
J.A.聰
|
WARNING
The President of the panel hearing this appeal directs
that the following should be attached to the file:
An order prohibiting disclosure of a witness聮 identity
has been made in this proceeding pursuant to s. 486.31 of the
Criminal Code
and shall continue. This section of the
Criminal Code
provides that:
486.31
(1) In any proceedings against an accused, the judge or justice may, on
application of the prosecutor in respect of a witness, or on application of a
witness, make an order directing that any information that could identify the
witness not be disclosed in the course of the proceedings if the judge or justice
is of the opinion that the order is in the interest of the proper
administration of justice.
(2)
The judge or justice may hold a hearing to determine whether the order should
be made, and the hearing may be in private.
(3) In determining whether to make the order, the judge or justice
shall consider
(a) the right to a fair and public hearing;
(b) the nature of the offence;
(c) whether the witness needs the order for
their security or to protect them from intimidation or retaliation;
(d) whether the order is needed to protect the
security of anyone known to the witness;
(e) whether the order is needed to protect the
identity of a peace officer who has acted, is acting or will be acting in an
undercover capacity, or of a person who has acted, is acting or will be acting
covertly under the direction of a peace officer;
(e.1) whether the order is needed to protect the
witness's identity if they have had, have or will have responsibilities
relating to national security or intelligence;
(f) society's interest in encouraging the
reporting of offences and the participation of victims and witnesses in the
criminal justice process;
(g) the importance of the witness' testimony to
the case;
(h) whether effective alternatives to the making
of the proposed order are available in the circumstances;
(i) the salutary and deleterious effects of the
proposed order; and
(j) any other factor that the judge or justice
considers relevant.
(4) No adverse inference may be drawn from
the fact that an order is, or is not, made under this section. S.C. 2015, c.
20, s. 38(3).
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v. Morin, 2021 ONCA 307
DATE: 20210511
DOCKET: C65968
Hourigan, Zarnett and Coroza
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Carson Anthony Morin
Appellant
Howard L. Krongold, for the appellant
Elise Nakelsky, for the respondent
Heard: March 29, 2021, by videoconference
On appeal from the conviction entered by
Justice Julianne A. Parfett of the Superior Court of Justice, sitting with a
jury, on May 12, 2017.
Hourigan J.A.:
A.
Introduction
[1]
In his appeal from his conviction for
first-degree murder, the appellant submits that the trial judge erred in her
jury instructions on planning and deliberation and after-the-fact conduct. The
appellant asks this court to quash his conviction for first-degree murder and
substitute a conviction for second-degree murder. Alternatively, he seeks a new
trial.
[2]
These reasons explain why I would dismiss the
appeal. In summary, a fair review of the trial judge聮s jury instructions
reveals no error. The trial judge correctly instructed the jury on both issues,
including in her answers to the jury聮s questions. The alleged error regarding
planning and deliberation is based on a theory of culpability that was never
put to the jury and is directly contrary to the position advanced by the
defence at trial. Regarding the after-the-fact conduct, the instruction was
legally sound and appropriate in the circumstances. Accordingly, I would
dismiss the appeal.
B.
Facts
[3]
The appellant met Alyson Tippins in mid-April
2013. She was a small-time drug dealer, looking for a place to live. The
appellant lived alone in a rented condominium and needed money, so he proposed
a 聯business聰 arrangement. Ms. Tippins would move in with him and work as an
exotic dancer. She testified that the appellant told her he could get her a job
at a local strip club and help her with selling marijuana. In return, after
paying her half of their shared expenses, she was to split her earnings with
him.
[4]
On or around April 30, the appellant and Ms.
Tippins had a falling out. They started to argue frequently. According to Ms.
Tippins, the appellant became rude, belligerent, and aggressive.
[5]
After a few weeks, Ms. Tippins moved in with her
friend, Michael Wassill. The appellant suggested continuing the business
arrangement on different terms. Ms. Tippins agreed. However, their relationship
deteriorated after Ms. Tippins brought up her dissatisfaction with how the
appellant took a cut of her earnings. The appellant informed Ms. Tippins that
bad things would happen to her if she did not follow his rules, which she
interpreted to mean physical harm or the loss of her job.
[6]
On May 13, 2013, Ms. Tippins texted the
appellant from work, saying that she had learned that he could not get her
fired. The appellant responded with various text messages, including, 聯This
ain't a game. U wanna go down that road. We can," and "Don't start
something you ain't prepared for." He added, 聯U don聮t even know what I聮m capable
of.聰 A few hours later, the appellant texted his friend, Vanessa Hill, to say that
Ms. Tippins was "talking mad shit about me." He said she "need
to learn the hard way. Sorry to say.聰 He told Ms. Hill of his plan to get back
at Ms. Tippins. Rather than pick her up from the strip club on time, he would
say to her that he would be late and wait until she was the last one there.
Then he would tell her, "you plan on doing this on your own dont you? So
walk home on your own聰. He concluded, 聯[b]ut then I聮ll see her movements. And
decide from there about my paper [money]. I聮m not taking the loss this time.聰
[7]
On May 14, 2013, in the early morning hours, the
appellant and Ms. Tippins had a lengthy text exchange during which she asked
him repeatedly if he was going to pick her up from the strip club. The
appellant picked Ms. Tippins up about 30 minutes later and drove her to Mr.
Wassill聮s house. Ms. Tippins said there was a lot of yelling and screaming
during the drive, as the appellant kept saying that he did not have another way
to make a living and she did not want to share her earnings with him anymore.
The appellant took some of her money and said he would be there to pick her up later
that day.
[8]
In the afternoon, Ms. Tippins texted her
friends, asking them to gather at Mr. Wassill's home to confront the appellant
when he arrived to pick her up for her shift. Meanwhile, Ms. Hill texted the
appellant, saying she was deleting all her text messages with Ms. Tippins, as
the appellant had told her to stop talking with Ms. Tippins, and to block and
"delete" her from Facebook.
[9]
That same day, just before 6:00 p.m., Ms.
Tippins texted the appellant to see if he would pick her up for work, and when
he replied that he was sending a driver, she said she would arrange a ride with
her friend, Warren Meredith, instead. The appellant got upset and texted that
he would go to collect his "paper" (money) when she finished work,
"[a]n we done." Ms. Tippins said not to pick her up, and the
appellant replied, "So u gonna run away wit my paper now? Hahahahhahaha ...
Ok. We'll see how that works out for u. >:D.聰 About two minutes later, the
appellant texted his friend, Michelle Thompson, asking for a drive later in the
night. He made clear to her that he was upset with Ms. Tippins and planned to
confront her about getting his money back. Around 6:20 p.m., Mr. Wassill phoned
the appellant. Ms. Tippins said that Mr. Wassill told the appellant to not
contact her or pick her up from work, but added that he could speak to her the
next day.
[10]
On May 15, 2013, just after midnight, Ms.
Thompson arrived at the appellant聮s condominium. The appellant was frustrated
that he could not collect his money from Ms. Tippins. He told Ms. Thompson he
wanted to stake out Mr. Wassill's home. They drove to Mr. Wassill's street and
parked a few doors down from his house. The appellant brought an X-Acto knife
with him, which Ms. Thompson said the appellant used to slash the tire of Mr.
Meredith's car parked in Mr. Wassill's driveway. When he approached the house,
the appellant observed that there were many people inside.
[11]
Later the same day, Ms. Tippins awoke around
12:15 p.m. and decided not to go to work. She invited her marijuana dealer,
Andrew Lapensee, over to Mr. Wassill聮s house. The three of them were speaking
in the foyer when she saw the appellant through the window.
[12]
The appellant testified that he arrived at Mr.
Wassill聮s home shortly after 1:00 p.m. wearing latex gloves and armed with an
X-Acto knife. He knocked on the window and tried to get Ms. Tippins to come to
the door. Mr. Wassill answered instead. The appellant asked to see Ms. Tippins
while he stood on the doorstep, but Mr. Wassill told him that she did not want
to speak with him and to leave.
[13]
The appellant and Mr. Wassill ended up
wrestling. At one point, the appellant slashed Mr. Wassill聮s throat, and then
quickly fled. Mr. Wassill suffered a penetrating incised wound to the anterior
(front) neck caused by a single continuous movement of the weapon from right to
left. He received emergency medical treatment but died from his injuries about a
week later.
[14]
The three witnesses to the attack were Ms.
Tippins, Mr. Lapensee, and the appellant. They gave differing accounts.
According to Ms. Tippins and Mr. Lapensee, the appellant put his hands on Mr.
Wassill first and, after slashing his throat, started to move further into the
house towards where Ms. Tippins was before seeing Mr. Lapensee and leaving the
scene. On the appellant's account, he had only planned to speak to Ms. Tippins,
get his money, and leave. According to the appellant, during his conversation
with Mr. Wassill, the victim lifted his right arm up quickly. The appellant testified
that he interpreted this movement as an attempt to push him and reacted
instinctively by pushing Mr. Wassill instead. He stated that the momentum
carried him into the foyer of Mr. Wassill聮s house, where the two of them
engaged in a struggle. The appellant said that at one point, Mr. Wassill
grabbed him from behind in a 聯bear hug,聰 and that he believed he was going to
be hurt, so he grabbed his knife from the pouch of the hoodie. The appellant
insisted that he wanted to show the knife to get Mr. Wassill to back off. However,
he claimed that when he twisted and swung his hand around, he ended up accidently
cutting Mr. Wassill across the throat, and that he immediately left the house
in a panic. The appellant explained that he carried the X-Acto knife for
protection and wore blue latex gloves because they gave him confidence. He also
said that he sporadically worked in construction, and that he was required to
bring his own latex gloves and X-Acto knives for tasks like laying flooring.
[15]
With respect to how long the incident took, Ms.
Tippins believed that everything happened between 20-30 seconds. Mr. Lapensee
testified that the entire incident lasted 30-45 seconds, with the appellant
being inside Mr. Wassil聮s home and grappling with him for approximately 5-15
seconds.
[16]
As the appellant drove away from Mr. Wassill's
home, he threw the knife and gloves out the window. He went to Ms. Hill's
apartment and met her in the parking lot outside her building. Ms. Hill said
the appellant seemed like a "wreck." The appellant gave Ms. Hill the
clothes he had been wearing (he had already changed into a new set of clothes).
The appellant refused to tell her what happened and then left.
[17]
A few minutes later, the appellant texted Ms.
Hill, asking if he could return as he needed to shower. The appellant also
texted, "If anyone asks I was with u since 12.聰 Ms. Hill said she could
not be involved. The appellant replied, "I was never there then lol."
He returned to Ms. Hill's apartment, and she cleaned his face with baby wipes
and checked his upper body for more blood.
[18]
The appellant testified that after he left Ms.
Hill聮s home, he learned the police were already at his condominium. The
appellant decided that he would 聯put things in motion, so [he] could turn
[himself] in.聰 He told Ms. Thompson that he would give her his car and Ms. Hill
his money. He also asked Ms. Hill to delete photos of his car on Facebook. The
appellant eventually called police and was arrested in the afternoon.
[19]
At trial, the Crown's theory was that spurned
and embarrassed by Ms. Tippins, the appellant planned and deliberated to murder
her and Mr. Wassill too, if he got in the way. The defence聮s theory was that
the appellant did not plan to kill anyone, that the attack on Mr. Wassill was
an accident, and that his erratic after-the-fact conduct showed his lack of
intent. The defence, however, admitted that the appellant was guilty of
manslaughter. During their deliberations, the jury asked several questions
about planning and deliberation before eventually finding the appellant guilty
of first-degree murder.
C.
Analysis
[20]
There are two issues on the appeal:
1.
Did the trial judge err in her response to the jury聮s questions on
planning and deliberation?
2.
Did the trial judge misdirect the jury to consider the appellant聮s after-the-fact
conduct as evidence of planning and deliberation?
[21]
As I will explain, I would answer both questions
in the negative and, on this basis, would dismiss the appeal.
(1)
Planning and Deliberation
[22]
The trial judge instructed the jury that to
prove planning and deliberation, the Crown must show beyond a reasonable doubt
that the appellant planned and thought out the killing of Ms. Tippins and/or Mr.
Wassill if he attempted to intervene. The appellant takes no issue with these
instructions, which he concedes were accurate and tracked the standard
instructions found in Watt J.A.聮s
Manual of Criminal Jury Instructions
,
2nd ed. (Toronto: Carswell, 2015).
[23]
Where the appellant objects to the trial judge聮s
instructions is her answer to a series of questions posed by the jury during
their second day of deliberation. These questions, which focused on planning
and deliberation, were as follows:
[313-315] Can a plan + implementation occur
during the event (15 to 30 seconds)
Carry out immediately > impulsive?
Does planned and deliberate have to be planned
before the event or can it be planned as the event unfolds?
313 says, 聯one person may prepare a plan and
carry it out immediately.聰 Does this mean a plan can be immediate, or must be
planned in advance?
p. 57 聳 313 needs to be clarified. Can a plan +
implementation occur immediately or is it more important that time is spent to
plan?
Could deliberate possession of a weapon rule
out that a murder was impulsive?
[24]
Before answering the questions, the trial judge
heard submissions from counsel regarding the appropriate response to be given
by the court. These submissions take on special significance on the appeal
because they reflect the understanding of defence counsel regarding the meaning
of the questions. This understanding is inconsistent with the position now
asserted by the appellant.
[25]
Immediately after the trial judge read the
questions aloud to the court, the following exchange occurred between one of
the defence counsel and the trial judge:
MR. RUSSOMANO: It strikes me, just upon
reflection, that this really is two questions. That the 聳 all of the questions,
except for the very last one deal with, can a plan and its implementation
happen at the exact same time.
THE COURT: Or very close in time.
MR. RUSSOMANO: Yes, although I think it聮s the
former rather than the latter, and I think the answer is in 314 of your charge,
that the plan has to be - it has been previously formulated or designed. Now,
it can be right before, but it can't be during. It has to be previously.
[26]
The trial judge then allowed counsel time over
the lunch break to consider their positions and make submissions. On their
return, the position of counsel for the defence did not change. He agreed with
the trial judge (1) that planning and deliberation could happen seconds before
a murder; (2) that the question referencing 15 to 30 seconds related to the
struggle between the appellant and Mr. Wassill; and (3) that the plan could not
have been developed during the struggle. In the course of these submissions,
defence counsel and the trial judge had an exchange about whether the planning
and deliberation could occur as the appellant walked up the stairs to Mr.
Wassill聮s doorstep. Defence counsel stated that this would be theoretically
possible since planning and deliberation has to occur before the murder, but pondered
whether there was enough time in such a brief interval.
[27]
Defence counsel also had an additional concern.
He believed that the jury's questions suggested that they may be conflating
planning and deliberation, and requested an instruction to clarify these as
distinct concepts.
[28]
The Crown submitted that there was no reason to
instruct the jury about the fact that planning and deliberation were separate
concepts. He reminded the trial judge that she had made this distinction clear
at seven different points in her charge. Regarding timing, the Crown took the
position that the planning and deliberation could have occurred during the
course of the verbal exchange with the victim on the doorstep. He requested an
instruction wherein this point was explicitly made.
[29]
The trial judge rejected the requested
instruction by defence counsel to clarify the distinction between planning and
deliberation. She also dismissed the Crown's suggestion that she instruct the
jury regarding the fact that the planning and deliberation could occur at any
time before the throat slash, up to and including the verbal exchange on the
doorstep, and the 聯spilling into the foyer.聰 The trial judge further made it
clear that in her answer she would use the term murder instead of the more
ambiguous term "event."
[30]
The pertinent portions of the trial judge聮s
answer provided to the jury are as follows:
You have asked the following questions:
Paragraphs 313 to 315 聳 can a plan and implementation occur during the event
(15 to 30 seconds) carry out immediately > impulsive? Does the plan 聳 does
planned and deliberate have to be planned before the event, or can it be
planned as the event unfolds?
Paragraph 313 says: "One person may
prepare a plan and carry it out immediately." Does this mean a plan can be
immediate, or must be planned in advance? Paragraph 313 needs to be clarified.
Can a plan and implementation occur immediately, or is it more important than
time is spent to plan? Could the deliberate possession of a weapon rule out
that a murder was impulsive?
In the first four questions, it appears you聮re
asking about the timing in relation to the formulation of the plan, and the
deliberation. And I refer you again, to paragraphs 311 and 聳 to 聳 311 to 316.
In addition, I add the following: The key with respect to the planning and
deliberation is that both the planning and deliberation have to be complete
before the murder occurs. Although the length of time between the completion of
the planning and deliberation, and the implementation could be very short 聳
almost immediate.
As an aspect of timing, part of the planning
and deliberation of the murder could be determined in advance, with part not
being determined until immediately before carrying out the murder, so long as
the entire plan and deliberation is complete before the murder.
The last question is: Could the deliberate
possession of a weapon rule out that a murder was impulsive? It depends. The
possession of a weapon is a piece of evidence to consider along with all the
other evidence in determining whether the murder was planned and deliberate. So
I hope that helps members of the jury. If you have further questions, don聮t
hesitate to ask.
[31]
The jury asked no further questions of the trial
judge. They convicted the appellant of first-degree murder the next day.
[32]
The appellant argues that the jury had to
conclude that the appellant planned and deliberated committing murder before he
arrived at Mr. Wassill's home to convict on first-degree murder. If the
appellant arrived without a plan to kill, counsel for the appellant submits
that there was no evidence or realistic opportunity for the attack on Mr.
Wassill to be planned and deliberate. According to the appellant, the questions
show that the jury was struggling with whether the appellant might have only
formulated a plan to kill while standing on the doorstep of Mr. Wassill's
residence, during his argument with the victim.
[33]
The appellant also submits that the jury聮s
questions demonstrate that they were struggling to understand the law of
planning and deliberation, and how to apply the law to the evidence. Paragraph
313 of the written charge said: 聯One person may prepare a plan and carry it out
immediately.聰 This was meant to capture the classic instruction emphasizing
that formulating a plan takes time, so a jury should focus on the time involved
in developing a plan, and not how long a person waits to implement it. But the
appellant says that the jury read it to mean that the appellant could
immediately prepare a plan and carry it out.
[34]
The crux of the appellant聮s argument is that the
questions show how the jury misunderstood what planning requires, and what the
relationship is between planning and deliberation. The appellant submits that
although a plan, once formulated, can be carried out immediately, a plan cannot
be formulated immediately. Similarly, deliberation cannot happen immediately.
[35]
According to the appellant, the trial judge
erred in not realizing that there was no air of reality to the theory that the
appellant planned and deliberated murdering Mr. Wassill while he was standing
on the doorstep and arguing with the victim. He submits that the jury needed to
be told there was no evidentiary basis to convict the appellant of first-degree
murder on the scenario their questions implied. The jury should also have been
told that while a plan might be carried out immediately after it is formulated,
formulating a plan takes time. Instead, the recharge focused on how quickly a
plan can be implemented, effectively endorsing the jury聮s misconceived theory
of liability. The appellant submits that the failure to correct the jury's
misapprehensions about planning and deliberation was not minor or incapable of
impacting the verdict. Instead, this failure went to the critical issue between
a finding of first- or second-degree murder.
[36]
The law regarding answers to jury questions is
well-settled and was not the subject of debate on this appeal. Jury questions
are recognized in the jurisprudence as being particularly significant because
they provide insight into the jury's problems with a case. For that reason,
jury questions require a full, careful and correct response:
R. v. W. (D.)
,
[1991] 1 S.C.R. 742, at pp. 759-760. The jury is not only entitled to a
responsive answer to its question, but the trial judge should take care not to
discourage further questions:
R. v. Layton
, 2009 SCC 36, [2009] 2
S.C.R. 540, at para. 33.
[37]
As noted by Mainella J.A. of the Court of Appeal
of Manitoba in
R. v. Willis (TAW)
, 2016 MBCA 113, 344 C.C.C. (3d) 443,
leave to appeal refused, [2017] S.C.C.A. No. 45, this seemingly simple task is
often challenging for a trial judge because there is no set of standard answers
that can be applied. Ultimately, it 聯is a judicial function that relies
entirely on the proper exercise of discretion tailored to the applicable
circumstances聰:
Willis
,
at para. 217. This court made a similar comment in
R. v. Mohamad
, 2018
ONCA 966, 369 C.C.C. (3d) 211, leave to appeal refused, [2019] S.C.C.A. No.
162, wherein Watt J.A. stated, at para. 279: 聯[H]ow the response is given is
left largely to the discretion of the presiding judge. And that discretion,
uncontaminated by errors of law or misapprehensions of fact and falling within
a range of reasonable alternatives is entitled to deference on appellate
review.聰
[38]
With these comments in mind, I consider the
adequacy of the trial judge聮s answer. There can be no doubt that the answer was
correct in law. By that I mean, that the trial judge聮s instruction that
planning and deliberation had to occur before the murder was without error. The
appellant聮s counsel is not arguing otherwise on this appeal. His point is that
the questions revealed a concern held by the jury about whether the appellant
had adequate time to plan and deliberate.
[39]
The appellant's argument on this issue is
premised on the assertion that what the jury was concerned about is whether he
could plan and deliberate murder as he stood on Mr. Wassill聮s doorstep and
argued with the victim. This doorstep theory was mooted in exchanges between
counsel and the trial judge. However, it was never put to the jury by either
party or the trial judge. Recall that the Crown requested a specific instruction
that the planning and deliberation could occur on the doorstep. The trial judge
rejected that request.
[40]
The interpretation of the questions asserted on
appeal is contrary to the position taken by defence counsel before the trial
judge. The trial judge explicitly raised with defence counsel the doorstep
theory, but counsel did not take the position that the jury questions were
aimed at that issue. His interpretation was that the jury was asking about timing,
i.e. whether the planning and deliberation, and the implementation, can happen
simultaneously.
[41]
The trial judge accepted that characterization
of the questions and tailored her answer accordingly. That interpretation was
sensible in the circumstances. Nowhere in the multiple questions was there an
explicit reference to planning and deliberation taking place on the doorstep as
the appellant argued and then struggled with Mr. Wassill.
In her
response, the trial judge was careful to refer to the "murder," and
not the "event," to emphasize that the planning and deliberation had
to happen before the murder. In doing so, she mitigated against the risk that
the jury might be asking a question premised on the doorstep theory. It was
plain from her answer that she was referring to whether the murder, and the planning
and deliberation, could occur at the same time.
[42]
The trial judge also invited the jury to ask
further questions. This is a significant factor in this case because the jury
had asked several questions and clearly was not reticent about seeking
clarification when it was struggling with an issue. I have no difficulty
concluding that if this jury meant by their questions that they needed guidance
about whether the planning and deliberation could occur on the doorstep, they
would have had no hesitation in seeking further clarification.
[43]
Ultimately this issue comes down to whether the
trial judge correctly answered the questions having regard to her discretion to
tailor the answer in the circumstances. In this case, where there was no
explicit reference to the doorstep theory in the questions, and it had not been
put to the jury, I can see no error in her response. The trial judge properly
answered the questions, tailored her answer to clarify that she was referring
to the actual murder and not what happened on the doorstep, and encouraged the
jury to come back for further guidance. Accordingly, I would not give effect to
this ground of appeal.
(2)
After-the-fact Conduct
[44]
The appellant concedes that since he asserted
the defence that he struck Mr. Wassill accidentally, his after-the-fact conduct
was admissible to rebut his defence. He also argues that the after the-fact
conduct was relevant to support his contention that he did not have murderous
intent.
[45]
The jury charge highlighted several examples of
after-the-fact conduct, including:
路
The appellant went to Ms. Hill's home after the
incident and asked for a garbage bag in which he deposited his clothing.
路
The appellant asked Ms. Hill to say he had been
with her since noon.
路
The appellant returned to Ms. Hill聮s home, and
Ms. Hill helped clean blood off the appellant聮s face.
路
The second time he went to Ms. Hill's home, the
appellant parked his car some distance away. He later arranged for Ms. Thompson
to pick the car up.
路
At the request of the appellant, Ms. Hill went
on his Facebook page and deleted all his photos with his car.
路
When the appellant went to Ms. Hill's a third
time, he gave her his keys and told her he was going away for a while, and she
could use his condominium.
路
Ms. Hill and Ms. Thompson tried to go to the
appellant聮s condominium.
路
Ms. Hill gave Ms. Thompson the bag containing
the appellant聮s clothes.
路
Ms. Thompson later disposed of the bag in a
garbage bin at a gas station some considerable distance away.
[46]
The trial judge also reviewed in the jury charge
the appellant's explanations for his conduct. For example, she reminded the
jury of the appellant聮s explanation that he threw the bloody gloves and knife
out the window because he was frightened and panicked. She told them that the
appellant testified about how he changed out of his clothes not because they
were blood-stained, but because they were sweaty and made him feel disgusting. The
trial judge reviewed with the jury the appellant聮s explanation that he hid his
car on a side street and asked Ms. Hill to remove photos of his car from
Facebook because he feared the BMW gang and wanted to avoid a criminal charge
for driving without a license. She also reminded the jury of the appellant聮s
evidence that he tried to find the Ottawa Police Service's phone number to turn
himself in.
[47]
The trial judge further cautioned the jury on
the proper uses of the evidence and asked them to consider alternative
explanations. She told the jury that to use the after-the-fact conduct to
support a finding of guilt, they must reject any other explanation for the
conduct.
[48]
In his factum, the appellant asserts the trial
judge concluded during the pre-charge conference that the after-the-fact
conduct could not be used to support the Crown聮s theory that the murder was a
result of planning and deliberation. Despite this conclusion, the jury charge
explicitly invited the jury to use the after-the-fact conduct as evidence to "assist
in determining whether there was or was not, planning and deliberation." The
appellant argues that the trial judge ought to have provided a limiting
instruction advising the jury that they could not use the after-the-fact
conduct to support an inference of planning and deliberation.
[49]
I would not give effect to this ground of
appeal. To the extent that is premised on the notion that after-the-fact
conduct cannot serve as evidence of planning and deliberation, that is an
erroneous view of the law. There is no legal impediment in using the
after-the-fact conduct to determine intent or distinguish between different
levels of culpability. As Doherty J.A. stated in
R. v. MacKinnon
(1999), 43 O.R. (3d) 378 (C.A.):
Evidence of after-the-fact conduct is a type
of circumstantial evidence. Its potential probative value will depend upon the
nature of the evidence, the issues in the case and the positions of the
parties. Often, evidence of after-the-fact conduct will be probative of the
accused's participation in the crime alleged, but will have no probative value
in determining the level of the accused's culpability. Sometimes, however, as a
matter of common sense and human experience, the evidence will be capable of
supporting an inference that an accused had a particular state of mind:
R.
v. White
, [1998] 2 S.C.R. 72 at pp. 88-92, 125 C.C.C. (3d) 385 at pp.
400-03.
The
appellants' conduct as described by Ransome, from the time they fled the club
until they disposed of evidence in the dumpster could, when viewed in its
entirety, support the inference that they had done exactly what they had
planned to do, that is, enter the club, commit a robbery and shoot Mr. Chow.
This inference would lend considerable support to the Crown's claim that the
murder was planned and deliberate. As the evidence had some probative value on
the question of whether the appellants had engaged in a planned and deliberate
murder as opposed to a robbery or some other illegal activity which had gone
awry, the trial judge could not have instructed the jury that the evidence had
no value in determining the appellants' level of culpability. The alleged
non-direction does not constitute misdirection on the evidence adduced in this
case.
See also:
R. v. Calnen
, 2019
SCC 6, [2019] 1 S.C.R. 30, at para. 119,
per
Martin J. (dissenting,
but not on this point);
R. v. Caf茅
, 2019 ONCA 775, 381 C.C.C. (3d) 98,
at paras. 55-58.
[50]
I agree with the submission of the appellant
that the after-the-fact evidence referred to by the trial judge was relevant to
the issue of his intent. It was also relevant to support one of the appellant聮s
principal arguments at trial, specifically that his after-the-fact conduct demonstrated
that the killing had not been planned. The defence relied on the fact that the
appellant did not make prior arrangements to settle his affairs before the
killing, and that his actions seemed frantic, to negate the Crown聮s submissions
on planning and deliberation.
[51]
The question on appeal is whether the
after-the-fact conduct evidence was admissible to support the Crown聮s position
that the murder was a planned and deliberate killing. It is necessary at this
point to review the argument made in the appellant聮s factum that the trial
judge agreed the jury could not use the after-the-fact conduct to support the
Crown聮s position regarding planning and deliberation, but then inexplicably
instructed them to do so. This description of what occurred during the
pre-charge conference is inaccurate.
[52]
It is true that the trial judge did state during
the beginning of her colloquy with the Crown that after-the-fact conduct could
not help the Crown prove planning and deliberation. The Crown disagreed and
made submissions on the point. He relied on the passage from
MacKinnon
excerpted above to argue that after-the-fact conduct can be relevant to the
issue of planning and deliberation.
[53]
The trial judge acceded to this argument. She
stated repeatedly that the after-the-fact conduct could be used both to prove
or disprove planning and deliberation, and advised the parties that she would
include that instruction in her charge. The trial judge observed, quite
correctly, that how the evidence could be used was a matter for the jury to
decide.
[54]
Defence counsel did not object to the proposed
instruction. During the pre-charge conference, she explicitly agreed with the
suggestion made by the trial judge that the jury could use after-the-fact
conduct to determine 聯whether there was any planning and deliberation.聰 Defence
counsel also did not object when the trial judge suggested a slightly modified
instruction at the insistence of the Crown to read 聯it may assist whether there
was or was not any planning and deliberation聰.
[55]
The Crown聮s position was that the evidence was
relevant to rebut the appellant聮s claim that he accidentally slashed Mr.
Wassill聮s throat, and to support an inference of planning and deliberation.
According to the Crown, after killing Mr. Wassill, the appellant 聯beelined聰
toward Ms. Tippins instead of hesitating (as one would expect in an accidental
killing). The Crown submits that the appellant聮s conduct after leaving the
house was consistent with the follow-through and execution of a previously
devised plan adjusted to deal with an unanticipated eyewitness.
[56]
The trial judge had a choice of permitting the
after-the-fact conduct to be used to support the Crown聮s theory regarding
planning and deliberation, or cautioning the jury that they could not use it
for that purpose. In my view, the trial judge did not err in instructing the
jury that they could rely on this evidence to support the Crown聮s theory
regarding planning and deliberation. The evidence was capable of supporting the
inference that the Crown was inviting the jury to draw.
[57]
The jury would have understood that both the
Crown and defence relied on the after-the-fact conduct to support their
respective theories of the case. Further, the jury was properly instructed on
the limited use of that conduct, including that to use it as evidence of guilt,
they had to reject any other explanation for the conduct. Therefore, I would not
give effect to this ground of appeal.
D.
Disposition
[58]
For the foregoing reasons, I would dismiss the
appeal.
Released: May 11, 2021 聯C.W.H.聰
聯C.W. Hourigan J.A.聰
聯I agree. B. Zarnett J.A.聰
聯I agree. S. Coroza J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Muddei, 2021 ONCA 200
DATE: 20210401
DOCKET: C67481, C67486, C67512 & C67848
Doherty, Zarnett and Coroza JJ.A.
DOCKET: C67481
BETWEEN
Her Majesty the Queen
Appellant
and
Said Muddei
Respondent
DOCKET: C67486
AND BETWEEN
Her Majesty the Queen
Appellant
and
Faysal Bashir
Respondent
DOCKET: C67512
AND BETWEEN
Her Majesty the Queen
Respondent
and
Mathieu Vaillant
Appellant
DOCKET: C67848
AND BETWEEN
Her Majesty the Queen
Respondent
and
Patrick Thibault
Appellant
Jeffrey Pearson and Deborah Krick, for the appellant Her
Majesty the Queen (C67481 & C67486)
Howard L. Krongold, for the appellant Mathieu Vaillant
James Foord and Brandon Crawford, for the appellant Patrick
Thibault
Diane Condo, for the respondent Said Muddei
Solomon Friedman and Fady Mansour, for the respondent
Faysal Bashir
Jeremy Streeter and Alexia Bystrzycki, for the respondent
Her Majesty the Queen (C67512 & C67848)
Heard: January 7, 2021 by video conference
On appeal from the acquittals entered by Justice Sylvia
Corthorn of the Superior Court of Justice on September 3, 2019 (C67481 &
C67486).
On appeal from the convictions entered by Justice Trevor
A. Brown of the Ontario Court of Justice on February 19, 2019 (C67512 &
C67848).
Doherty J.A.:
I
overview
[1]
These two appeals were heard together. In
R. v. Thibault and
Vaillant
, the accused appeal from their convictions on drug-related
charges.
[1]
In
R. v. Bashir and Muddei
, the provincial Crown appeals from
acquittals on charges arising out of an alleged home invasion. The two sets of
charges are unrelated.
[2]
Both prosecutions turned on the admissibility of communications
intercepted pursuant to the same authorization granted under Part VI of the
Criminal
Code
in December 2016
.
[2]
In both cases, the accused sought the exclusion of the evidence obtained under
the authority of the authorization. They maintained the authorization was
improperly granted under the relevant provisions of the
Criminal Code
,
and the interceptions of their private
communications violated their rights under s. 8 of the
Charter
. The
accused argued the evidence should be excluded under s. 24(2) of the
Charter
.
[3]
The argument failed in
R. v. Thibault and Vaillant
. The trial
judge found the authorization was properly granted, there was no s. 8 violation,
and no reason to exclude the evidence. After the trial judge ruled the interceptions
admissible, Thibault and Vaillant did not challenge the Crown聮s case. The trial
judge entered convictions. Thibault and Vaillant appeal from those convictions.
[4]
The argument succeeded in
R. v. Bashir and Muddei
.
The
trial judge found the authorization was not properly granted, rendering the interceptions
a violation of s. 8 of the
Charter
. She further held the evidence
should be excluded under s. 24(2):
R. v. Bashir and Muddei
, 2019 ONSC 4082
. Without that evidence,
the Crown had no case and acquittals were entered. The Crown appeals from those
acquittals.
[5]
I agree with counsel that both trial judges cannot be correct. While
different judges asked to grant an authorization on the same evidence might
reasonably and properly come to different conclusions as to whether to grant
the authorization, the decision of the reviewing judge as to whether the
authorization could have been granted is a question of law, which admits of
only one correct answer.
[6]
Both trial judges delivered thoughtful reasons. They agreed the
authorization was presumed valid and that, in reviewing the authorization, they
must determine, not whether they would have granted the authorization, but
rather whether the affidavit in support of the authorization provided an evidentiary
basis upon which the issuing judge could have granted the authorization. The
trial judges also agreed on the legal principles governing the interpretation
of s. 186(1) of the
Criminal Code
, the provision setting out the
criteria for granting an authorization.
[7]
Both trial judges acknowledged the 聯reasonable grounds聰 requirement
implicit in s. 186(1)(a) had to be assessed in the context of the specific
investigation. In this investigation, the police sought an authorization in
respect of a murder that had occurred 7 陆 years earlier. The investigation had
gone cold years before the police decided to seek an authorization. They
proposed to use various investigative techniques to stimulate communication by
and among the targets of the authorization, believing those communications
would provide information relevant to the murder investigation.
[8]
Brown J., the trial judge in
Thibault and Vaillant
, after a review
of the affidavit sworn in support of the authorization application, concluded,
at para. 63:
I conclude therefore that the issuing judge could reasonably
have inferred on the information before him that the investigative plan
proposed, including the use of the investigative techniques outlined, would
afford evidence of the offence.
[3]
[9]
Corthorn J., the trial judge in
Bashir and Muddei
, after a
review of the same affidavit, concluded, at paras. 65-66:
In summary, there is no discrete evidence, no basis for a
reasonable inference, nor any basis for judicial notice to be taken in support
of a conclusion that the targets would, if communicating with another,
communicate in a way that would afford evidence of the homicide.
Similarly, there is no discrete evidence, no basis for a
reasonable inference, nor any basis for judicial notice to be taken in support
of a conclusion that the targets would, in communication with other unknown
persons, communicate in a way that will afford evidence of the homicide
[10]
For the
reasons that follow, I agree with the conclusion of Corthorn J. It is certainly
possible a person implicated in a serious crime committed years earlier may, if
stimulated by police activity, communicate with others who were involved in, or
had knowledge of, that crime. However, that possibility alone cannot be enough
to warrant the granting of an authorization to intercept private communications.
Were the possibility the police could stimulate communications about the
offence enough, individuals who the police reasonably believed to have been
involved in a crime years earlier, or perhaps to have been in communication
with others involved in a crime, would remain subject to seriously intrusive state
invasions of their privacy, as long as the investigation of the crime remained
open and the police could think of something that might possibly stimulate communications
relevant to the crime.
II
the murder investigation
[11]
Mohamed
Ali was shot and killed in a busy downtown Ottawa bar on May 7, 2009. Wayne
Morgan, an employee of the bar, was shot in the arm.
[12]
The police
investigation of the murder is reviewed in detail in the affidavit sworn in
support of the authorization application. According to the affidavit, a fight broke
out in the bar between two groups of men. Apparently, one man in each group had
been involved with the same woman.聽 After a physical altercation, shots rang
out. Two guns were used, but one misfired. Mr. Ali, who was associated with one
of the two groups, may or may not have been an intended target. Mr. Morgan was
hit by a stray bullet.
[13]
Information
gathered during the investigation indicated that Adnan Fazeli, Faysal Bashir,
Rafat Mohamed, Saeed Sheikhdoon, and Christian Thibault were in the bar shortly
before the shooting. The investigation pointed to Mr. Bashir as the likely
shooter and perhaps the leader of that group. Other information suggested Rafat
Mohamed was the shooter. I will sometimes refer to these five individuals collectively
as 聯the group聰. Mr. Ali was with the other group involved in the confrontation at
the bar.
[14]
The
police interviewed and re-interviewed many witnesses, gathered forensic
evidence, and employed a variety of other investigative techniques in the weeks
and months following the murder. These techniques included an undercover
operation, which proved unsuccessful, additional interviews, surveillance,
obtaining of production orders and search warrants, inquiries of various
confidential informants, and resort to Crime Stoppers tips.
[15]
The
shooting appeared to be gang related. The investigation was hampered by the reluctance
of many individuals, including persons in the bar, to speak with the police
about the incident.
[16]
The
police interviewed Ashley Windebank in January 2010. Her boyfriend knew Mr. Bashir
and other persons in his group. Ms. Windebank told the police she did not see
the altercation in the bar but was privy to a conversation later that night involving
the group. In the conversation, Adnan Fazeli said he had been struck in the
face during the fight in the bar. He pulled his gun out, intending to shoot his
assailant, but the gun misfired. Mr. Bashir said when Fazeli聮s gun misfired, he
shot Mr. Ali. According to Mr. Bashir, Mr. Ali got what he deserved. Forensic
evidence confirmed that two guns were used in the shooting, and one had
misfired.
[17]
Ms.
Windebank told the police the gun used by Mr. Bashir belonged to her boyfriend
who was in custody. She was asked to pick up the gun at the home of Mr.
Bashir聮s mother. When Ms. Windebank saw the gun, it had blood on it so she
refused to take it. The affidavit does not indicate when Ms. Windebank was
asked to pick up the gun, or when she saw the gun.
[18]
The
police re-interviewed Ms. Windebank in May 2014. She said the conversation she
had described in her first interview took place at the apartment of Ahmed
Mahfud. Ms. Windebank also told the police the murder weapon, a 9-millimetre
handgun, had been buried in the forest near Vanier. The affidavit does not
indicate who told Ms. Windebank the gun had been buried, or when she got that
information.
[19]
The
police interviewed Hendrick Alvaro-Raul in June 2012. He told them about a
conversation he had with Rafat Mohamed in September 2011. According to Mr.
Alvaro-Raul, Mr. Mohamed told him the fight started when Mr. Fazeli and a
person from the other group were arguing about a woman. Mr. Ali attempted to
stop the fight. Mr. Bashir told Mr. Mohamed to 聯let it go聰 if the fight got out
of control. Mr. Mohamed said he then took out his gun and shot Mr. Ali. At some
unspecified time, Mr. Mohamed promised to look after Mr. Alvaro-Raul if he did
not tell anybody about Mr. Mohamed committing the murder.
[20]
Information
from confidential informants confirmed, that at the time of the murder, Fazeli,
Bashir, Rafat Mohamed and Thibault were a 聯crew聰 and regularly associated with
each other. One informant (informant #4) told the police in September 2012 that
the gun used in the murder had been buried by Rafat Mohamed. The informant did
not indicate his source of the information about the gun, or when he received
that information.
III
the authorization
[21]
By
November 2016, the investigation into the murder had been cold for years. The
police decided to reinvigorate their murder investigation by applying for an
authorization to intercept the private communications of several people. The
affidavit sworn in support of the authorization offers no specific reason for
seeking an authorization some 7 陆 years after the murder, although the affiant
indicated Mr. Bashir, who had been in jail since 2010, had been released and returned
to Ottawa some time before August 1, 2016. The named targets of the
authorization, with the exception of Mr. Sheikhdoon, lived in Ottawa.
[22]
The
application sought to intercept communications in respect of Mr. Ali聮s murder
and related ancillary crimes. It identified seven named targets. These included
the five persons who were believed to have been part of the group that included
the shooter. They were:
路
Adnan Fazeli;
路
Faysal Bashir;
路
Rafat Mohamed;
路
Saeed Sheikhdoon; and
路
Christian Thibault.
[23]
In
addition to the five persons believed to have been involved in the shooting,
the application sought to intercept the private communications of Ahmad Mahfud
and Ashley Windebank.
[4]
The group went to Mr. Mahfud聮s apartment after the shooting. Ms. Windebank was
at the apartment with the group. As outlined above (paras. 16-18), Ms. Windebank
had passed information about the murder on to the police in 2010 and in 2014.
[24]
The
application sought to intercept the verbal and non-verbal communications of the
seven targets at their residences. It contained 聯basket聰 clauses with respect
to unknown persons and other places. In addition, the application sought permission
to employ a wide variety of other investigative techniques.
[25]
The
affidavit provides a detailed account of the police investigation of the murder.
That account makes it clear the police had gathered very little information
about the homicide for many years prior to bringing the application for the
authorization. The last pertinent information appears to have come from Ms.
Windebank in June 2014. Prior to that contact, the police had not received any information
since the summer or early fall of 2012.
[5]
[26]
The
affidavit also describes the association among the seven targets at the time of
the murder and shortly thereafter. It says virtually nothing about any
association or contact among them in the several years preceding the
application for the authorization. There is nothing in the affidavit indicating
any of the targets have spoken with each other about the homicide, or for that
matter anything else, since shortly after the murder. The affidavit is also
silent about any communications by any member of the group with any person not
in the group referable to the homicide after September 2011 when Mr. Mohamed
spoke with Mr. Alvaro-Raul.
[27]
The
affiant does indicate that Mr. Fazeli, Mr. Sheikhdoon and Ms. Windebank were
arrested in September 2011-2012 as a result of a 聯guns and gangs聰 project
conducted by the Ottawa police. The affiant does not provide any particulars.
He does not say whether the three individuals were jointly charged, or whether
their charges were in any way connected to each other. Police projects can
result in multiple arrests arising out of different criminal activities.
[28]
The
affiant also asserts a belief in an ongoing connection between Ms. Windebank
and the other named targets. He writes:
I believe Windebank continues to maintain contact with this
group and would be subject to investigative prompting to gather evidence of the
homicide.
[29]
The
affiant does not provide any grounds for his belief that Ms. Windebank
continues to be in contact with any member of the group. There is no specific
assertion Ms. Windebank had any contact with the other named targets except on
the night of the shooting. Other references in the affidavit suggest Ms.
Windebank had some subsequent contact with one or more of the targets at
unspecified times. However, any contact Ms. Windebank had with the targets was
at least 2 陆 years before the application for the authorization was made.
[30]
It is
implicit in the affidavit that the affiant saw little possibility that the
targets of the proposed authorization would spontaneously begin to communicate
concerning the murder that had occurred 7 陆 years earlier. The affiant outlined
an investigative plan intended to generate communications by and among the
targets. Those communications could then be intercepted under the authority of
the proposed authorization. The affiant described, in very general terms,
different investigative techniques that might be used to stimulate
communication. He also indicated, that as the investigation progressed with the
aid of the authorization, the police might employ other techniques to stimulate
communications.
[31]
As
the proposed investigative plan is central to whether the police had reasonable
grounds to believe the interceptions would afford evidence of the homicide, I
will set out the relevant paragraphs in full:
321. Interception of private communications will be utilized at
the outset in an information-gathering manner to determine the state of mind,
activities, associates and tendencies. This will be augmented and supported by
other investigative techniques including physical surveillance.
Information Release
322. Investigators will approach some of the identified targets
of interceptions or some of their associates for the purpose of conducting
interviews in relation to this now historical homicide. Investigators will
provide some detail of the investigation and inform these individuals that the
Ottawa Police Service are now aggressively pursuing cold case homicide
investigations. At the same time, investigators may relay some details about
the investigation. This information may consist of surveillance, photographs or
police reports. It is anticipated the information relayed and the contents
discussed.
[6]
It is anticipated the discussion will revolve around what evidence is believed
police do or do not have.
Media Release
323. Although police have already appealed to the public via
the media, investigators may conduct new media release, renewing its pledge to
offer financial rewards for certain unsolved homicides, which include this
homicide. In a year where Ottawa has seen multiple gang-related homicides, a
focus may be but on this unsolved as an example of how the community has failed
to assist and refused to provide information to the police.
Interviews with Persons of Interest
324. Investigators will approach some of the subjects of this
investigation and speak to them about other unsolved homicides they have a
connection to. The purpose of this is to stimulate conversation about unsolved
homicides in Ottawa. While speaking about these other cases, investigators may
reference this investigation as an example of what happens when people do not cooperate
with the police.
Polygraph Stimulation
325. Several interviews have been completed in regards to this
investigation and investigations will continue to approach individuals who are
persons of interest connected to this investigation. Investigators will attempt
to interview these individuals and during these interviews, investigators will
challenge the truthfulness of these persons聮 statements. Investigators will
question them as to their knowledge of the murder of Mohamed Ali. The persons
of interest will be given the option of taking a polygraph test to determine
their truthfulness. Investigators have two polygraph examiners available to
them. The tests will be conducted at Ottawa Police Service facilities depending
on the availability of the persons of interests.
[32]
Stripped
to its essentials, this investigative plan contemplates:
路
speaking to named targets or associates and expressing renewed
interest in Mr. Ali聮s murder, or other unresolved murders, while at the same
time providing information in respect of Mr. Ali聮s murder, or the other
unsolved homicides (paras. 322, 324);
路
possible fresh media coverage of the homicide and other unsolved
homicides, as well as the possible renewal of a financial reward for
information in respect of the homicide (para. 323); and
路
interviews with persons of interest connected to the
investigation. During those interviews, the police may challenge the
credibility of the information that has been provided by those witnesses and
give them the option of taking a polygraph test (para. 325).
[33]
On
December 2, 2016, Kane J. granted the authorization in the terms requested in
the application. The authorization did not generate evidence sufficient to lay
any charges in respect of Mr. Ali聮s murder. It did, however, provide evidence
of the charges giving rise to these appeals.
IV
should the authorization have been granted?
[34]
Section
186(1) sets down the two prerequisites to the granting of an authorization. The
issuing judge must be satisfied:
(a) that it would be in the best interests of the
administration of justice to do so; and
(b) 聽that other investigative procedures have been tried and
have failed, other investigative procedures are unlikely to succeed, or the
urgency of the matter is such that it would be impractical to carry out the
investigation of the offence using other investigative procedures.
(i)
Section 186(1)(a): The reasonable grounds requirement
[35]
The
聯best interests of the administration of justice聰 requirement in s. 186(1)(a)
has been interpreted as imposing the constitutionally mandated 聯reasonable and
probable grounds聰 standard. The issuing judge must be satisfied the affidavit contains
reasonable and probable grounds to believe the named offence or offences are
being or have been committed and that the interceptions will afford evidence of
those offences:
R. v. Finlay and Grellette
(1985), 23 C.C.C. (3d) 48,
at 70 (Ont. C.A.);
R. v. Duarte
, [1990] 1 S.C.R. 30, at 45;
R. v.
Garofoli
, [1990] 2 S.C.R. 1421, at paras. 35-36, 69;
R. v. Beauchamp
,
2015 ONCA 260, at paras. 90-91.
[7]
[36]
All
parties to both appeals accept the affiant had reasonable grounds to believe Mr.
Ali had been murdered, and that the seven named targets were involved in, or
had information pertaining to, the homicide. They join issue on whether the
affidavit demonstrates reasonable grounds to believe interceptions of the private
communications of the targets, some 7 陆 years after the homicide, would provide
evidence in respect of that homicide. More precisely, they disagree over
whether the affidavit contained sufficient evidence that might reasonably be believed
to provide a basis upon which the issuing judge could have been satisfied the
interceptions would afford evidence of the murder:
Beauchamp
, at para.
87;
R. v. Araujo
, [2000] 2 S.C.R. 992, at pp. 1016-9.
[37]
The reasonable and probable grounds standard, also referred
to as the probable cause requirement, requires more than suspicion, but less
than proof on the balance of probabilities:
Beauchamp
, at paras. 90-92.
There must be a 聯credibly-based probability聰 the interceptions will afford
evidence of the named offences. The affidavit must be read as a whole and an issuing
judge may draw common sense inferences from the information provided. The
review of the validity of the authorization begins from the premise that the
order was properly granted:
Garofoli
, at para. 35;
R. v. Sadikov
,
2014 ONCA 72, at paras.
81-83;
R.
v. Hosie
(1996), 107 C.C.C. (3d) 385,
at 391 (Ont. C.A.);
R. v. Brown
, 2021 ONCA 119, at paras. 33-34.
[38]
An interception
聯will afford evidence聰 if
the communications to be intercepted shed light on the circumstances relating
to the alleged offence, or the involvement of the named targets in the offence.
The interceptions need not provide evidence that would be admissible at a trial:
R.W. Hubbard, Peter M. Brauti, S.K. Fenton,
Wiretapping and Other Electronic
Surveillance: Law and Procedure
, Volume 1 (Toronto Ont: 217) (Loose-leaf
at 4-2.6);
CanadianOxy Chemicals Ltd. v. Canada (Attorney General)
,
[1999] 1 S.C.R. 743, at para. 15.
[39]
The
line of reasoning said to justify the authorization rests on three
propositions. The first two were not controversial:
路
there were reasonable grounds to believe five of the named
targets (the 聯group聰) were involved in the murder;
路
there were reasonable grounds to believe all seven targets had knowledge
about the circumstances surrounding the murder and had been privy to
conversations about the murder in September 2011 or earlier; and
路
there were reasonable grounds to believe one or more of the
stated stimulation techniques would generate communications relating to the
murder, either among the targets, or by one or more of the targets, with
persons unknown.
[40]
The
probability of the stimulation techniques described by the affiant generating
communications relevant to the murder investigation requires a consideration of
the status of that investigation when the authorization was sought, the ongoing
relationships, if any, among the targets, the possibility of communications in respect
of the homicide by one of the named targets with other unknown persons, and the
specifics of the proposed stimulation plan put forward in the affidavit.
[41]
The
murder investigation had been stalled for years. The police had uncovered no
new information since May 2014 when Ms. Windebank provided information about
the location of the murder weapon. Prior to speaking with Ms. Windebank in May
2014, the police had not developed any new information since the summer of
2012. The affidavit does not refer to any significant active investigative
steps taken by the police in anticipation of applying for an authorization. The
renewed police interest in the murder investigation in the fall of 2016 had not
generated any new leads or evidence pertaining to the murder. It is fair to say
the investigative trail was about as cold as it could get when the police
decided to seek an authorization.
[42]
The
affidavit contained no direct evidence of any ongoing relationship among the
targets of the authorization. The Crown contended, however, that, on the
totality of the evidence, one could reasonably infer the association among the
targets, especially the five who made up the group, continued as of December
2016.
[43]
Brown
J. accepted the Crown聮s position, indicating, at para. 50:
Both the officer and the issuing justice were entitled to rely
on their experience and common sense in concluding that persons who commit
crimes together are likely to maintain a level of familiarity and trust with
one another that persists after the commission of those crimes.
[44]
Certainly,
on the information provided in the affidavit, the continued association among
the targets as of December 2016 was a real possibility. I cannot accept,
however, that the common sense inference described by Brown J. existed on the
facts of this case. The relevant events occurred 7 陆 years earlier. As I will
explain in more detail below, there was virtually no evidence of any contact
among the targets for many years prior to the authorization application. In
those circumstances, it does not follow from association 7 陆 years earlier that
the targets were 聯likely to maintain a level of familiarity and trust with one
another聰.
[45]
The
line between speculation and inference can sometimes be difficult to draw, as
can the line between credibly-based probability and suspicion. In my view, the
information provided by the affiant, at its highest, raised a suspicion as to
the continued relationship among the targets. On my reading of the affidavit,
the police did almost nothing to try and turn that suspicion into reasonable
belief before applying for the authorization.
[46]
Brown
J. did not rely only on what he described as the common sense inference of an
ongoing relationship. He found support for that inference in some of the
information provided by the affiant. Brown J. relied on the evidence of Bashir聮s
return to Ottawa some time before August 2016, the arrest of three of the
targets (Ms. Windebank, Mr. Sheikhdoon and Mr. Fazeli) in 2012 on drug charges,
and Ms. Windebank聮s supposed ongoing association with the group. Brown J.
described Ms. Windebank 聯as an important character in the investigation聰 (para.
62).
[47]
The
three facts identified by Brown J. do not add any weight to the inference of an
ongoing relationship among the targets. Bashir had been back in Ottawa since at
least August 2016. The affidavit provides nothing to indicate Bashir had
reconnected with any members of his old 聯crew聰 during the several months he had
been back in Ottawa. In fact, the affidavit does not suggest the police took
any investigative steps to determine whether Bashir had reconnected with any of
his old associates.
[48]
With
respect to the arrest of three of the targets in 2012 on drug charges, Brown J.
erroneously describes the three as 聯co-accused聰. The affidavit does not say
they were co-accused. Rather, it indicates the three targets were charged with
drug offences 聯in relation to聰 the same 聯guns and gangs聰 police project. The
affiant provides no details of the facts underlying the charges and does not state
the three individuals were co-accused, or even involved in the same or related
drug activity.
[49]
It
was not for the issuing judge to speculate about the relationship, if any,
among the three targets arrested in 2012. Rather, it was for the affiant to set
out the nature of that relationship, if one existed. The mere fact that three
of the targets were arrested in the course of the same police operation does
not say anything about the existence of an ongoing relationship among them. In
any event, the arrests occurred more than four years before the police applied
for the authorization.
[50]
I
also cannot accept that the affidavit provides a basis for inferring an ongoing
connection as of December 2016 between Ms. Windebank and any of the other
targets. The affiant聮s statement that Ms. Windebank 聯maintained contact聰 with
the group was unsupported by anything in the affidavit. What the affidavit does
tell the reader is that Ms. Windebank was present when the group discussed the
murder at Mr. Mahfud聮s apartment on the night of the murder. The affidavit also
indicates that Ms. Windebank had contact with one or more members of the group
after the night of the murder. The affidavit does not indicate how many contacts
were made, or when they occurred. It would appear, however, that any contact
was relatively shortly after the homicide and certainly before Ms. Windebank
spoke to the police in 2014.
[51]
The
affidavit offers no support for the suggestion that Ms. Windebank was likely to
reach out to any of the other targets if prompted by the police. Furthermore,
even if she did, there is no basis to infer any of them would have reacted or
responded.
[52]
Mr.
Streeter, Crown counsel in
Thibault and Vaillant
, offers several
arguments in support of the submission that it was reasonable to infer an
ongoing relationship among the targets of the authorization, or at least the
group who were all believed to have been involved in the homicide. Counsel submits
the evidence showing an involvement in the homicide in and of itself goes a
long way to support the inference the targets would communicate about the
homicide if prompted.
[53]
The
reasonableness of that inference depends on the circumstances. Clearly, the
inference would be reasonable if the homicide was relatively recent, or there
was other evidence that the targets continued to associate. Neither fact exists
here. To the contrary, the offence occurred long ago and there is no evidence
of any communication among the targets for several years.
[54]
Crown
counsel further submits that the affidavit shows the targets have a 聯history聰
of discussing the homicide with others. The Crown contends this 聯history聰 lends
credence to the inference that they would continue to do so after December
2016.
[55]
The
聯history聰 as revealed by the affidavit comes down to perhaps three or four conversations
with individuals who were not part of the group in the 7 陆-years since the
murder. All of those conversations occurred more than four years before the
application for the authorization. I regard this more as a 聯history聰 of
non-communication with persons outside of the group.
[56]
Crown
counsel also submits that it was open to the issuing judge to infer an
association among the targets as of December 2016 because all but one of the
targets was back in Ottawa and it would be relatively easy for them to reach
each other and reunite the 聯crew聰. While the facts relied on by the Crown give
rise to a possibility the targets may have re-established their contacts, those
facts alone do not permit an inference that a reunion had probably occurred. The
police could have taken relatively straightforward investigative steps to
confirm any existing association among the group as of the summer and fall of
2016. They chose not to do so.
[57]
Corthorn
J., in her reasons, found no reasonable basis to infer an ongoing relationship
among the targets. She said, at para. 52:
The passage of 4.5 years from the date on which there is any
evidence of communications by one of the targets about the homicide, without
any evidence of ongoing contact between the targets, renders unreasonable an
inference that the targets remained in communication with one another as of the
latter half of 2016.
[58]
I
agree with this conclusion.
[59]
In
upholding the authorization, Brown J. correctly observed the Crown was not obligated
to prove the likelihood of contact among the targets. It would have been
sufficient to show a credibly-based probability of communication by a target with
anyone else in respect of information relevant to the homicide investigation. He
said, at para. 53:
In other words, the issuing judge was required only to be
satisfied that the targets of the wiretaps, when appropriately stimulated,
would discuss the Bar 56 incident among themselves or with other people they
trusted. It would not have been unreasonable for a detached experienced
judicial officer considering the wiretaps application before him to recognize
that prompting strategies when properly employed can be highly effective means of
inducing the targets of those strategies to reach out by phone in response to
them.
[60]
No
one would quarrel with the statement that persons suspected of offences, who
are prompted by police investigative techniques, sometimes communicate with
others about those offences. Prompting can induce communications with other targets,
or unknown third parties. However, it cannot be inferred that, because
prompting sometimes works, there is a reasonable probability it will work in
any given case. The availability of that inference must depend on the
circumstances. Those circumstances include the details of the prompting plan.
[61]
Although
Brown J. would have upheld the validity of the authorization, he was critical
of the investigative plan put forward by the affiant:
I agree with the applicants that the investigative plan
outlined by Detective Benson suffers from a lack of detail which might cause one
to wonder whether it is a 聯plan聰 at all. On one view, it appears to be simply a
listing of common investigative techniques used by the police in stimulating
conversation once wires are in place. [para. 59]
[62]
Brown
J. accurately characterized the plan. It says nothing about how the generic
investigative techniques described by the affiant would be, or even could be,
applied in the specific circumstances of the investigation. There is no
concrete plan laid out. For example, the affiant does not identify how any
specific targets might be prompted through some specific investigative
technique to communicate with others in respect of the homicide. The plan, as described
in the affidavit, is essentially a plan to do something to stimulate communication
among the targets at some point in time after the authorization is in place and
the private communications of the targets are being intercepted.
[63]
In
holding that the plan, despite its deficiencies, was sufficient to uphold the
issuance of the authorization, Brown J., at paras. 60-61, relied on the
affiant聮s indication the police intended to first use the intercepted
communications to determine 聯the state of mind, activities, associates and
tendencies of the targets of the authorization聰. Armed with that information
gained through the interception of private communications, the police would
then be able to flesh out the details of their stimulation plan.
[64]
Brown
J. accurately describes the two phases of the investigative plan laid out in
the affidavit. This description demonstrates why the affidavit did not provide
a basis for granting the authorization.聽 The police wanted an authorization so
they could gather information contained in the private communications of the
targets. They would then use that information to formulate an investigative
plan tailored to the specific circumstances and likely to prompt discussions
relevant to the homicide among or involving the targets. Those prompted
discussions would then be intercepted under the authority of the authorization.
[65]
As
counsel for the accused aptly put it, the police wanted to wiretap first and use
the fruits of their wiretaps to hopefully develop an investigative plan that
would provide the necessary credibly-based probability to justify interceptions
under s. 186(1)(a). Section 186(1) does not contemplate the use of
authorizations for information gathering purposes in the absence of reasonable
grounds to believe the authorization, when issued, will afford evidence of the named
offences. It is not enough that the authorizations will afford evidence at some
point down the investigative road, after the police, using information gathered
through wiretapping, have developed an effective plan to prompt communications
among the targets.
[66]
I
would hold the affidavit did not provide a basis upon which the issuing judge
could conclude there were reasonable groups to believe the interceptions would
afford evidence of the murder. As one of the prerequisites to the granting of
an authorization under s. 186(1) did not exist, the interceptions resulted in a
breach of the s. 8 rights of the accused.
(ii)
Section 186(1)(b): The investigative necessity requirement
[67]
The
accused at both trials also argued the affidavit had failed to satisfy the
investigative necessity requirement in s. 186(1)(b). Brown J. held that
requirement was met (reasons paras. 76-87). Corthorn J. did not consider this
issue. I will address it briefly.
[68]
The
affiant asserted other investigative procedures were unlikely to succeed. However,
the affidavit itself provides no basis for that conclusion. As I have indicated,
the police conducted little, if any, investigation to attempt to update the
homicide investigation before applying for the authorization. For example, they
apparently made no effort to establish any ongoing connection among the
targets, did not recontact the four confidential informants who had provided
information earlier, and made no attempt to re-interview any potential
witnesses.
[69]
Absent
any attempts to bring the investigation up-to-date before applying for the
authorization, I fail to see how it could be said that other investigative
procedures had been tried or failed, or appeared unlikely to succeed. There is
no suggestion that urgency could justify the authorization.
[70]
The
investigative necessity requirement must speak to the status of the
investigation at the time the application is made, not years earlier. The
affidavit perhaps established investigative necessity as of the summer 2014,
but was virtually silent about other investigative possibilities as of December
2016.
[71]
The
Crown correctly submits that an authorization is not necessarily an
investigative technique of last resort. It also cannot be the investigative technique
of first resort when the police seek to breathe new life into a long dormant
investigation. I think that is what the police sought to do here. There was no
basis upon which the reviewing judge could be satisfied the issuing judge could
find the investigative necessity requirement had been met.
V
should the evidence of the intercepted
communications have been excluded under s. 24(2) of the
Charter
?
[72]
Brown
J., having concluded there was no s. 8 violation, did not address s. 24(2).
Corthorn J. would have excluded the evidence:
R. v. Bashir and Muddei
,
2009 ONSC 4937 (s. 24(2) Ruling).
[73]
No
one argues that the s. 24(2) analysis should yield different results in the two
appeals. I will first consider whether Corthorn J. erred in law in excluding the
evidence in
R. v. Bashir and Muddei
. Whatever conclusion I reach in
R.
v. Bashir and Muddei
, I will apply to
R. v. Thibault and Vaillant
.
[74]
The
decision of Corthorn J. with respect to the admissibility of the intercepted
communications is entitled to deference in this court. Absent an error in law,
a misapprehension of material evidence, a failure to consider relevant factors,
or an unreasonable finding, this court will accept a trial judge聮s decision to
admit or exclude evidence under s. 24(2):
R. v. Grant
, 2009 SCC 32, at
paras. 86, 127;
R. v. C
么
t茅
, 2011 SCC 46, at para. 44;
R.
v. Szilagyi
, 2018 ONCA 695, at para.聽 41;
R. v. Strauss
, 2017
ONCA 628, at para. 38.
[75]
The
s. 24(2) analysis requires the exclusion of the evidence if its admission
would, in all the circumstances, bring the administration of justice into
disrepute. The focus of the inquiry is on the long-term impact of the admission
of constitutionally tainted evidence on the repute of the justice system in the
broad sense. The accused carries the onus to demonstrate the evidence should be
excluded:
Grant
, at paras. 67-70.
[76]
Grant
directs that the s. 24(2) inquiry should be approached by balancing assessments
made under three lines of inquiry. They are:
路
the seriousness of the
Charter
-
infringing state conduct;
路
the impact of the breach of the
Charter
-
protected interests of the accused; and
路
society聮s interest in an adjudication on the merits:
Grant
,
at paras. 71-86.
[77]
The
first line of inquiry examines the state conduct that resulted in the
Charter
breach. That conduct will fall along a continuum of blameworthiness ranging
from a deliberate breach through various levels of negligence to a breach
committed in good faith and reasonably. The more blameworthy the conduct, the
stronger the argument for excluding the evidence:
Grant
, at paras.
72-75.
[78]
The
second inquiry examines the impact on the
Charter
-protected interest
of the accused flowing from the
Charter
breach. In this case, the
Charter
-protected
interest is the privacy rights of the accused. The second inquiry requires an
assessment of the extent to which that privacy interest was compromised by the
improper interception of private communications. The more negative the impact
on the privacy interests of the accused, the stronger the case for exclusion:
Grant
,
at paras. 76-78.
[79]
The
third inquiry is concerned with the impact of the admission or exclusion of the
evidence on the integrity of the trial process. That integrity will suffer if
reliable, cogent evidence is excluded. The routine admission of evidence gathered
by unconstitutional means will also undermine the integrity of the trial
process:
Grant
, at paras. 79-81.
[80]
In
R.
v. Le
, 2019 SCC 34, at para. 142, the majority explained the interaction
of the three inquires:
The third line of inquiry, society聮s interest in an
adjudication of the case on its merits, typically pulls in the opposite
direction 聳 that is, toward a finding that admission would not bring the administration
of justice into disrepute. While that pull is particularly strong where the
evidence is reliable and critical to the Crown聮s case [citation omitted] we
emphasize that the third line of inquiry cannot turn into a rubber stamp where
all evidence is deemed reliable and critical to the Crown聮s case at this stage.
The third line of inquiry becomes particularly important where one, but not
both, of the two inquiries pull toward the exclusion of the evidence. Where the
first and second inquiries, taken to together, make a strong case for
exclusion, the third inquiry will seldom if ever tip the balance in favour of
admissibility [citation omitted]. Conversely, if the first two inquiries
together reveal weaker support for the exclusion of the evidence, the third
inquiry will often confirm that the administration of justice would not be
brought into disrepute by admitting the evidence.
[81]
Corthorn
J. correctly identified the inquiries described in
Grant
: s. 24(2) Ruling,
at paras. 5-8. There was no doubt that the second inquiry, the impact of the
breach on the
Charter
-protected interests of the accused, strongly
favoured the exclusion of the evidence. The accused were subjected to a
prolonged and pervasive invasion of their private communications, a fundamental
component of personal privacy.
[82]
The
outcome of the s. 24(2) inquiry turns largely on the proper characterization of
the seriousness of the
Charter
-
infringing
state conduct. Corthorn J. placed the conduct at 聯the more serious end of the
spectrum聰: s. 24(2) Ruling, at para. 30. In doing so, she emphasized two
things. First, the inadequacies in the affidavit were far from minor or
technical. In her view, the affidavit failed to provide any evidence upon which
the issuing judge could reasonably draw any of the inferences necessary to
satisfy the fundamental requirement of reasonable grounds to believe the
authorization would afford evidence of the specified offences: s. 24(2) Ruling,
at paras. 17-18.
[83]
Second,
Corthorn J. was critical of the manner in which parts of the affidavit had been
drafted. In her view, the affiant, through carelessness or inadvertence, had
unintentionally misled the issuing judge in respect of a material fact, namely
any ongoing connection among the targets of the proposed authorization: s.
24(2) Ruling, paras. 26-27.
[84]
I
see no basis upon which this court can interfere with either finding. As to the
fundamental nature of the inadequacies in the affidavit, not only was there no
evidence upon which the issuing judge could have been satisfied the
interceptions would afford evidence of the murder, there was also no basis for
a finding of investigative necessity. The affidavit failed to provide a basis
for a finding of either of the two prerequisites to the issuing of an
authorization under s. 186. The inadequacies could not have been more
fundamental. Corthorn J. did not err in describing them as 聯serious and
significant聰: s. 24(2) Ruling, para. 18.
[85]
The
finding of Corthorn J., that aspects of the affidavit were unintentionally
misleading, is also supported by the terms of the affidavit. As she points out,
at para. 21, the affiant described Ms. Windebank as continuing to maintain
contact with the group. This assertion was significant to the merits of the
application, as there was virtually no evidence of any ongoing connection among
the targets. Indeed, Brown J., in his review of the affidavit, saw Ms.
Windebank as 聯an important character聰 in the police prompting strategy.
[86]
The
unsubstantiated assertion of a continued connection between Ms. Windebank and
the others caused Brown J. to misapprehend her potential importance to any
future prompting strategy. It may well have had the same effect on the issuing
judge.
[87]
In
addition to the potentially misleading description of Ms. Windebank聮s ongoing connection
with the group, I think there is a second aspect of the affidavit that is also
misleading. As set out above, the affiant describes three of the targets as
having been arrested in relation to a 聯guns and gangs聰 police operation. The
affidavit provides no details. Later, the affiant refers to Ms. Windebank as
having been 聯charged along with聰 the other two targets.
[88]
In
his reasons, Brown J. refers to the three targets as 聯co-accused聰. The affidavit
may imply the three targets were co-accused, but it does not actually say they
were charged together, or that their charges had any connection to each other. The
language used in the affidavit, and the absence of any details relating to the
subject matter of the arrests, misled Brown J. to describe the three targets as
聯co-accused聰. It may have had the same effect on the issuing judge.
[89]
The
inadequacies in the affidavit must be considered having regard to the
ex
parte
nature of the authorization for the application. The potential to
mislead by careless drafting, or ambiguous silences, is very real. It falls to
the affiant, and the Crown agent, to be especially careful to minimize the risk
that the issuing judge will be unintentionally misled by the language in the
affidavit.
[90]
In
fairness, most of the affidavit was drawn in a straightforward and accurate
manner. Corthorn J. accepted there was no intention to mislead the issuing
judge. However, the misleading aspects of the affidavit go to the existence of
any ongoing connection among the targets, a crucial component of the Crown聮s
reasonable grounds claim, and probably the weakest part of that claim. Corthorn
J.聮s finding that the affiant, through carelessness or inadvertence, misled the
issuing judge on an important component of the affidavit supported her finding
that the nature of the state misconduct should be placed toward the more serious
end of the continuum: see
R. v. Rocha
, 2012 ONCA 707, at paras. 27-37.
[91]
Counsel
for the provincial Crown made two additional arguments, which they submit were
not considered by Corthorn J. and, which if taken into account, significantly
diminish the blameworthiness of the state conduct resulting in the
s. 8
breach. They submit the police
followed the required procedure under the
Criminal Code
by seeking a
judicial authorization. In doing so, the police acted in good faith and with
the judicial approval of the issuing judge:
Rocha
, at paras. 28, 32.
[92]
The
Crown submission is a fair one, but it goes only so far in assessing the
blameworthiness of the state conduct. Even when the police follow the proper
procedures and seek a judicial authorization, serious inadequacies in the material
placed before the issuing judge can justify a finding the police acted
negligently or unreasonably, thereby exacerbating the blameworthiness of the
state conduct leading to the
Charter
breach:
Rocha
, at paras.
32-38. Corthorn J. properly used her finding that the affidavit was materially,
albeit unintentionally, misleading to place the state conduct at the more
serious end of the fault spectrum.
[93]
Crown
counsel also argue that the seriousness of the state conduct is mitigated
because the grounds set out in the affidavit, if they were inadequate, fell
just short of the grounds needed for an authorization. This was a near miss,
say Crown counsel.
[94]
Corthorn
J. did not accept this submission. Nor do I. I have difficulty with the
proposition that an affidavit that does not provide a basis upon which an
issuing judge could (not should or would) be satisfied the criteria in s.
186(1) have been met can be accurately described as a near miss. The standard
of review to be applied by the reviewing judge sets a relatively low bar. I
would think that most affidavits which cannot clear that low bar will be seriously
deficient in setting out the grounds required to justify the issuance of an
authorization.
[95]
Finally,
I cannot agree that the finding by Brown J., that the affidavit satisfied the
requirements of s. 186(1), supports the claim that if the affidavit fell short,
it barely missed the mark. With respect to Brown J., he fell into the same
error as the affiant. Both viewed the existence of grounds to obtain an
authorization in the distant past, combined with a generic potential plan to
employ prompting strategies in the future, as sufficient to provide the
requisite reasonable grounds. For the reasons set out above, that combination may
create suspicion warranting further investigation. The combination, without more,
however, does not meet the requirements of s. 186(1) of the
Criminal Code
.
[96]
On
the findings of Corthorn J., the first and second inquiries described in
Grant
strongly favoured exclusion. She properly excluded the evidence.
VI
conclusion
[97]
I
would dismiss the appeal from the acquittals in
R. v. Bashir and Muddei
.
[98]
I
would allow the appeal from the convictions in
R. v. Thibault and Vaillant
.
The evidence obtained pursuant to the
authorization should have been excluded under s. 24(2) of the
Charter
.
The Crown acknowledges that the excluded evidence was 聯essential to the Crown聮s
case聰. The convictions should be quashed and acquittals entered.
Released: 聯APRIL 1 2021聰 聯DD聰
聯Doherty J.A.聰
聯I agree B. Zarnett J.A.聰
聯I agree Coroza J.A.聰
[1]
There were two other persons charged with Thibault and
Vaillant, but they are not involved in the appeal.
[2]
The authorization was amended in December 2016 and a second
authorization
was granted in February 2017. For the purposes of the appeals, only the authorization
granted in December 2016 is relevant.
[3]
The reasons of Brown J. are not reported. They were released
on February 2, 2019 and can be found in court file number 17-RF1043.
[4]
The appellant, Vaillant, was not named in the first
authorization, but was named in the authorization granted on February 1, 2017.
The respondent, Muddei, was not named at all. Nothing in my analysis turns on
whether individuals were named or not named in the authorizations.
[5]
The affidavit does refer to information received from
confidential informant # 5 in August and September 2016. That information
provided the phone numbers of certain targets, and indicated Bashir was back in
Ottawa and involved in drug trafficking. This information did not advance the homicide
investigation.
[6]
It would appear that something is missing from this sentence.
[7]
In this case, there were redactions in the affidavit. The
Crown did not rely on any of the redacted parts of the affidavit when defending
the authorization.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Ngong, 2021 ONCA 62
DATE: 20210128
DOCKET: M52023; M52118 (C68299)
Fairburn A.C.J.O., Watt and Huscroft JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
(Applicant on M52023)
and
Simon Ngong
Appellant
(Applicant on M52118)
Deborah Krick, for the applicant on M52023
Mark Halfyard, for the applicant on M52118
Heard and released orally: January 27, 2021
REASONS FOR DECISION
[1]
On September 13, 2019 a jury found the appellant guilty of two firearms
offences. About two months later, the trial judge found the appellant guilty
and entered convictions on two counts of breach of probation and two counts of
breaching firearms prohibitions.
[2]
The trial judge imposed a global sentence of imprisonment of six and
one-half years. When the trial judge awarded the appellant credit for time
spent in pre-disposition custody, the sentence to be served was reduced to 3
years, 8 months and 25 days.
[3]
The appellant filed an inmate notice of appeal against conviction and
sentence. On April 27, 2020 a solicitor聮s notice of appeal was filed on the
appellant聮s behalf.
[4]
On May 4, 2020, a judge of this court ordered the appellant聮s release
pending the determination of his appeal. The release order required the
appellant to reside at a specific address with his surety, his father. He was
not to leave the home of his surety unless he was in the presence of his surety
or for a medical emergency.
[5]
The release order also required the appellant to surrender into custody
on the earlier of November 30, 2020, or 6:00 p.m. on the day before his appeal
was listed for hearing. The order contained the usual acknowledgment that
failure to surrender as required is deemed to constitute an abandonment of the
appeal.
[6]
Shortly before November 30, 2020 counsel for the appellant advised the
respondent that communications had broken down with the appellant. As a result,
counsel was unable to get instructions to seek an extension of the appellant聮s
release order. A bail compliance check at the residence where the appellant was
required to live with his surety revealed that both the appellant and his
surety had left one evening about three months earlier and had never returned.
[7]
The appellant did not surrender into custody on November 30, 2020, as he
was required to do by the terms of his release order. His appeal has not been
perfected. His counsel seeks and we grant an order that he (counsel) be removed
as solicitor of record.
[8]
The respondent seeks an order that the appeal be dismissed as an abandoned
appeal. The appellant has repudiated the jurisdiction of the court by
absconding. He has acknowledged in his release order that a failure to
surrender in accordance with its terms deems his appeal to be abandoned. There
are no exceptional circumstances.
[9]
Our authority to dismiss the appeal as abandoned is undoubted in these
circumstances:
R. v. Dzambas
(1973), 14 C.C.C. (2d) 364 (Ont. C.A.),
at p. 365. In our view, this is a case in which that jurisdiction should be
invoked.
[10]
The
appeal is dismissed as an abandoned appeal. A warrant for the appellant聮s
arrest and committal will issue.
聯Fairburn A.C.J.O.聰
聯David Watt J.A.聰
聯Grant Huscroft J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION:
R. v. Norman, 2021 ONCA 321
DATE: 20210514
DOCKET:
C66720
Fairburn
A.C.J.O., Jamal and Coroza JJ.A.
BETWEEN
Her
Majesty the Queen
Appellant
and
Francis
Norman
Respondent
Howard Piafsky, for the appellant
Ingrid Grant and Sara Samet, for the
respondent
Heard: October 28, 2020 by video conference
On appeal from the acquittal entered by
Justice Stuart W. Konyer of the Ontario Court of Justice on February 1, 2019,
with reasons reported at 2019 ONCJ 51.
Coroza J.A.:
A.
OVERVIEW
[1]
The respondent, Francis Norman, was tried in the
Ontario Court of Justice on three counts of trafficking and two counts of
breach of probation. At trial, he conceded that he smuggled drugs into the
Central East Correctional Centre (the 聯C.E.C.C.聰) by secreting them inside his
body. He also conceded that he was bound by the probation orders in question. However,
he claimed that he was acting under duress, due to another inmate聮s threats
made to him and his brother. The trial judge concluded that there was an air of
reality to the defence of duress and that the Crown had failed to prove beyond
a reasonable doubt that the defence did not apply. The respondent was acquitted
of all charges.
[2]
On this appeal, the appellant Crown argues that
the trial judge erred in finding that there was an air of reality to the duress
defence. The Crown asks this court to allow the appeal, set aside the acquittal,
and order a new trial. For the following reasons, I would dismiss the appeal.
B.
THE EVIDENCE
[3]
The respondent is no stranger to jails. He has a
criminal record and, by the time of trial, had been in and out of jail for the past
seven years. Between February聽22 and March 12, 2018, he was in custody at the
C.E.C.C. During this period, the respondent聮s brother was also in custody at
the C.E.C.C. This was his brother聮s first time in custody. At some point, the
respondent asked correctional officers to be placed in the same unit as his
brother. He was worried about his brother聮s inexperience, and he wanted to
protect him from other inmates.
[4]
According to the respondent, another inmate,
known to him as "Big Newf," asked him on two occasions to smuggle
drugs into the jail. The respondent initially declined, but Big Newf told him
that the respondent and his brother would be stabbed if he did not comply. The
respondent took this threat seriously, because he knew Big Newf by reputation
and believed that he was affiliated with the Hells Angels. The respondent had previously
been incarcerated in the same jail as Big Newf, and he witnessed him possessing
make-shift weapons and assaulting other individuals.
[5]
The respondent also testified to a specific
instance where Big Newf used violence to achieve his goals. At some point, Big
Newf decided that he wanted the job of unit cleaner. The evidence at trial was
that the role of cleaner was a sought-after position within the institution, as
cleaners enjoyed extra privileges like additional time outside their cells,
even during periods of lockdown. Big Newf asked the then cleaners in the
respondent聮s unit to resign, so that he and an associate could take over in
that role. When the cleaners refused to cede this role to Big Newf, he arranged
for other inmates to assault the cleaners, resulting in their removal from the
unit. The correctional staff then appointed Big Newf and his associate as the
new cleaners.
[6]
As a result of this experience, the respondent
believed that Big Newf enjoyed tremendous power and influence at the C.E.C.C. Accordingly,
after Big Newf made the threats, he feared for his and his brother聮s safety and
agreed to participate in Big Newf聮s plan.
[7]
Big Newf arranged for a surety for the
respondent to help him obtain bail. On March 12, 2018, the respondent was
released on bail under the supervision of his surety, a female associate of Big
Newf. He was taken to what he described as a 聯trap house聰 聳 a place where drugs
were stored, purchased, and consumed 聳 in Keswick, Ontario. While there, he was
watched by the female associate, as well as a separate, male associate of Big
Newf. He was asked to help grind marijuana and package drugs. At one point, the
male associate placed a gun on the table in front of the respondent while he
told the respondent what to do. The respondent testified that this made him uncomfortable.
He believed that it was an implicit threat to him, to ensure his compliance
with the plan.
[8]
The respondent stayed at this home until March
21, 2018. On that day, he was given packages of drugs to swallow or insert in
his rectum. He was then taken to Oshawa where, on the instructions of Big
Newf聮s associates, he reported himself to the police. The respondent had an outstanding
warrant and was arrested by the police.
[9]
After his arrest, he was held in custody in
Oshawa for over 24 hours. During this period, the appellant did not seek
assistance from any of the police officers with whom he came into contact. Eventually,
the respondent was taken to court for a bail hearing and, later, back to the C.E.C.C.
Again, the respondent did not alert anyone to his situation. When he returned
to the C.E.C.C., he set off an alarm during a routine body scan. Correctional
staff suspected that there were drugs hidden in the respondent聮s body and
placed him in a segregation cell to monitor him.
[10]
On March 23, 2018, correctional officers at the
C.E.C.C. observed the respondent in distress. He was screaming that he did not
want to die, burn, or blow up. He also appeared to be talking to his brother,
who was not present. He said that there were packages inside him and he thought
that one had burst. A nurse was called, who ultimately decided that the
respondent should be taken to the hospital.
[11]
Correctional officers searched the respondent聮s cell,
seizing packages of drugs found there. The respondent excreted more drug
packages while at the hospital. On his return to the C.E.C.C., he became
increasingly agitated and made statements suggesting that he was afraid for his
and his brother聮s life.
C.
THE TRIAL JUDGE聮S REASONS
[12]
At trial, the respondent conceded that he trafficked
drugs by smuggling them into the C.E.C.C. and that he was bound by the
probation orders in question. Accordingly, the sole issue was whether his
defence of duress succeeded.
[13]
After discussing the facts, the trial judge
reviewed the defence of duress as it exists under both s. 17 of the
Criminal
Code
, R.S.C., 1985, c. C-46 and the common law. He referenced the
principles established in the Supreme Court of Canada聮s two leading duress
decisions,
R. v. Ruzic
, 2001 SCC 24, [2001] 1 S.C.R. 687 and
R. v.
Ryan
, 2013 SCC 3, [2013] 1 S.C.R. 14.
[14]
The trial judge observed that duress is an
excuse 聯which operates to relieve a person of criminal liability only after he
has been found to have committed the prohibited act with the relevant
mens
rea
聰. He also noted that per
Ruzic
and
Ryan
, the
statutory defence of duress under s. 17 is supplemented by the common law
defence of duress.
[15]
The trial judge also observed that in order for a
defence to be considered by a trier of fact, they must first be satisfied that the
defence has an air of reality. This meant that 聯[t]here [was] an evidentiary
burden on the accused to lead sufficient evidence to put the defence in play by
establishing an air of reality聰. He explained that, in order 聯[t]o establish an
air of reality, there must be some evidence on each element of the defence
which, if believed by a reasonable jury, could result in an acquittal聰. The
trial judge then stated that if the accused were to meet this burden, the onus would
shift to the Crown to prove beyond a reasonable doubt that the accused did not
act under duress.
[16]
The arguments at trial focused on the narrow
question of whether there was an air of reality to the respondent聮s claim that
he had 聯no safe avenue of escape聰, one of the elements of the defence. The
trial judge recognized that the existence of a safe avenue of escape is to be
determined on an objective standard and adjusted for subjective circumstances.
Further, an accused聮s asserted belief that they lacked a reasonable alternative
is not sufficient, standing alone, to give an air of reality to the defence.
The trial judge noted that the question is whether a reasonable person, with a similar
history, personal circumstances, abilities, capacities, and human frailties as
the accused would, in the particular circumstances, reasonably believe there
was no safe avenue of escape.
[17]
At para. 31 of his reasons, the trial judge concluded
that the respondent had demonstrated that there was an air of reality to the no
safe avenue of escape element of duress, stating:
[i]n my view, [the respondent]
has tendered sufficient evidence to lend an air of reality to his claim that he
had no safe avenue of escape
. He cogently
explained why he formed this belief, in large part due to his particular
knowledge and experience within the C.E.C.C. It is beyond serious dispute that
jails are inherently violent and dangerous environments, and that stronger
inmates with networks prey on weaker inmates who lack such affiliations.
[The respondent聮s] claim that he felt there was no safe avenue
that could afford adequate protection to both him and his brother while they
remained in custody is, in my view, a reasonable one. His explanation for why
he believed that approaching correctional staff would not protect him or his
brother was sensible. Similarly, his explanations for why he failed to try and
escape or alert authorities once he himself was released from custody 聳 the
fear of repercussions to his brother 聳 was also sensible
. I find there
is an air of reality to his claim of duress in the particular circumstances of
this case. [Emphasis added.]
[18]
Accordingly, the trial judge went on to consider
whether the Crown had proven beyond a reasonable doubt that the respondent did
not act under duress. In his view, the Crown failed to do so. He concluded that,
although the respondent had alternatives available to him other than complying
with the scheme, he was left with a reasonable doubt that a realistically safe
alternative existed in the circumstances. The trial judge was of the view that
the respondent聮s conclusion 聳 that the only way to protect both himself and his
brother was to comply with Big Newf聮s demands 聳 was reasonable in the
circumstances.
D.
THE GROUND OF APPEAL
[19]
The Crown raises a single ground of appeal. The
Crown argues that the trial judge erred in concluding that there was an air of
reality to the "no safe avenue of escape" element of duress. The
Crown submits that on the respondent聮s own evidence, he had an obvious and safe
means of escape and no trier of fact could reasonably come to any other
conclusion.
[20]
The respondent contends that the appeal should
be dismissed because there was clearly an air of reality to his defence of
duress. The defence was well supported in the evidence and the trial judge did
not commit any error in deciding that he had met his burden.
E.
DISCUSSION
(1)
The Appellant聮s Argument
[21]
The Crown does not take issue with the trial
judge聮s recitation of the relevant legal principles. Nor does the Crown argue
that the trial judge failed to provide sufficient reasons. The Crown聮s argument
on appeal is a narrow one, arguing that the trial judge erred in finding that
there was an air of reality to the defence of duress. The Crown contends that the
trial judge failed to address how the respondent聮s numerous opportunities to
seek help, available over the course of a month leading up to his apprehension
for the subject offences, impacted his claim of duress. In particular, the
Crown focuses in on the last 24-hour period that the respondent was in police custody.
During that period of time, the respondent was away from the C.E.C.C., away
from Big Newf, and away from Big Newf聮s associates.
[22]
In order to place the Crown聮s submission in
context, I will first briefly review the elements of duress. Next, I will
review the air of reality inquiry and explain what is required for a defence to
be considered by a trier of fact. Finally, I will assess the Crown聮s argument on
appeal that the trial judge erred by concluding that there was an air of
reality to the duress defence.
(2)
Duress
[23]
The defence of duress is properly characterized
as an excuse, animated by the rationale of moral involuntariness:
Ryan
,
at para. 23. As the trial judge noted, it is a defence grounded in both statute
and the common law. However, the essential elements of the two duress defences
are 聯largely the same聰:
R.聽v.聽Aravena,
2015 ONCA 250, 323
C.C.C. (3d) 54, at para.聽25, leave to appeal refused, [2015] S.C.C.A. No.
497;
Ryan
, at para. 81.
[24]
The trial judge accurately summarized the elements
of the defence of duress under both statute and common law. For ease of
reference, I repeat the common elements of both forms of the defence, as discussed
in
Ryan
, at para. 81:
a.
There must be an explicit or implicit threat of
present or future death or bodily harm. The threat can be directed at the
accused or a third party.
b.
The accused must reasonably believe that the
threat will be carried out.
c.
There is no safe avenue of escape. This element
is evaluated on a modified objective standard.
d.
A close temporal connection between the threat
and the harm threatened.
e.
Proportionality between the harm threatened and
the harm inflicted by the accused. The harm caused by the accused must be equal
to or no greater than the harm threatened. This is also evaluated on a modified
objective standard.
f.
The accused is not a party to a conspiracy or
association whereby the accused is subject to compulsion and actually knew that
threats and coercion to commit an offence were a possible result of this
criminal activity, conspiracy, or association.
[25]
Finally, 聯if the defence is available in law,
and the evidence gives an air of reality to the defence, an accused is entitled
to an acquittal unless the Crown disproves one or more of the essential
elements of the defence on a reasonable doubt standard聰:
Aravena
, at
para. 27.
(3)
The Air of Reality Inquiry and Duress
[26]
When a trial judge is asked to conclude whether
a defence has an air of reality, they must determine whether there is direct evidence
upon which a properly instructed jury, acting reasonably,
could
base an acquittal if it believed the evidence to
be true:
R. v. Cinous
, 2002 SCC 29, [2002] 2 S.C.R. 3, at paras. 82-83.
Regardless of who elicited the evidence, if there is direct evidence on each
element of the defence, the defence must be left with the trier of fact:
Cinous,
at para. 88. If circumstantial evidence is relied on, the trial judge must
engage in a 聯limited weighing聰 to determine if the circumstantial evidence is
聯reasonably capable of supporting the requisite inferences聰 necessary to
support the defence: at paras. 89-90. A trial judge 聯does not draw determinate
factual inferences, but rather comes to a conclusion about the field of factual
inferences that could reasonably be drawn from the evidence聰: at para. 91.
[27]
The inquiry into whether there is an air of
reality to a defence is not intended to assess the likelihood of success for that
defence: see
R. v. Cairney
, 2013 SCC 55, [2013] 3 S.C.R. 420, at para.
21;
R. v. Suarez-Noa
, 2017 ONCA 627, 139 O.R. (3d) 508, at para. 41,
leave to appeal refused, [2018] S.C.C.A. No. 142. Instead, this inquiry
requires a determination of whether the accused can point to something in the
evidence capable of reasonably supporting the factual inferences that would at
least leave the trier of fact with a reasonable doubt about the existence of
each of the essential factual elements of the defence:
R. v. Ronald
,
2019 ONCA 971, at para. 44.
[28]
Finally, whether an air of reality exists for a
potential defence is a question of law, reviewable on a standard of
correctness:
Cinous
, at para. 55;
R. v. Tran
, 2010 SCC 58,
[2010] 3 S.C.R. 350, at para. 40.
(4)
Did the Trial Judge Err in Concluding That There
Was an Air of Reality to the Defence of Duress?
[29]
The trial judge concluded, at para. 31 of his
reasons, that the respondent had tendered evidence sufficient to lend an air of
reality to his claim that he had no safe avenue of escape. This paragraph is
reproduced earlier in my reasons. Although the trial judge聮s reasons on this
issue are brief, they must be read in light of the evidence that was before the
trial judge, the submissions of counsel, and other portions of the reasons.
[30]
At trial, both parties focused their submissions
on the 聯safe avenue of escape聰 element of duress. Therefore, the trial judge
decided to focus his analysis on this issue.
[31]
The Crown聮s primary complaint on appeal is that
the trial judge misapplied the modified objective standard of the 聯no safe
avenue of escape聰 element of duress. The Crown contends that the trial judge
rendered the objective component of this element meaningless, as he failed to
address how the numerous opportunities open to the respondent to safely extract
both himself and his brother impacted the air of reality of his claim. In my
view, a careful examination of the trial judge聮s reasons dispels this argument.
[32]
Importantly, this appeal is not about whether
this court would have reached the same conclusion as the trial judge on whether
there was an air of reality to the appellant聮s suggestion that he had no safe
avenue of escape. Rather, the question on appeal is whether the trial judge
understood the operative modified objective test to be applied when determining
whether there is an air of reality to this element of the defence of duress and
whether that test was properly applied. I see no error in how the trial judge
approached the matter.
[33]
Paragraph 29 of the trial judge聮s reasons
demonstrates that he understood the modified objective component of the element
of duress involving a safe avenue of escape. The trial judge specifically cited
to this court聮s decision in
R. v. D.B.M.
, 2016 ONCA 264, which adopted,
at para. 7, the Court of Appeal of Alberta聮s commentary on this element in
R.
v. Keller
, 1998 ABCA 357, 131 C.C.C. (3d) 59, at para. 24:
the existence of a safe avenue of escape is
to be determined on an objective standard and is adjusted for subjective
circumstances. The belief of the accused that he had no reasonable alternative
is not sufficient to give an air of reality to the defence simply because the
belief is asserted. The question is whether a reasonable person, with similar
history, personal circumstances, abilities, capacities and human frailties as
the accused, would, in the particular circumstances, reasonably believe there
was no safe avenue of escape and that he had no choice but to yield to
coercion.
[34]
The trial judge then referenced this court聮s
decision in
R. v. Li
(2002), 162 C.C.C. (3d) 360, quoting from para.
29 of that decision:
[i]n applying [the duress defence], the law
does not require an accused to seek the official protection of police in all
cases. The requirement of objectivity must take into consideration the special
circumstances in which the accused finds himself or herself as well as his or
her perception of those circumstances (
R. v. Ruzic, supra
,
at
pp. 31 and 40).
[35]
The trial judge聮s reasons reflect that he understood
that he had to focus on what a reasonable person would do, bearing in mind the
respondent聮s situation and personal characteristics:
R. v. Willis
,
2016 MBCA 113, 344 C.C.C. (3d) 443, at paras. 183-184, leave to appeal refused,
[2017] S.C.C.A. No. 45. The trial judge聮s reasons further reflect that this is
how he approached the task.
[36]
First, the trial judge found that the respondent
cogently explained why he formed the belief that he lacked a safe avenue of
escape, in large part due to the respondent聮s knowledge of both the C.E.C.C.
and Big Newf. While others may not have found the respondent聮s evidence as
compelling as the trial judge, it was open to him to conclude that there was an
air of reality to the respondent聮s claim that, for his brother聮s and his sake,
he believed that he lacked a safe avenue of escape. This is particularly true
given that the respondent explained that he had been in and out of jail for
over seven years and understood the politics of the inmate system. Both he and
his brother were on the same range as Big Newf. He had previously witnessed Big
Newf carry a homemade knife and assault other inmates. He also explained how
Big Newf had used violence to assume the role of unit cleaner 聳 a highly
sought-after position in the jail 聳 and that he was affiliated with others in
the C.E.C.C. This evidence was not challenged.
[37]
Second, the trial judge also observed that the
respondent provided a sensible explanation for his belief that approaching
correctional staff would not protect him or his brother. This finding was
supported by the evidence of Cst.聽Benson, a police officer stationed at
the C.E.C.C. Cst. Benson聮s evidence was that violence causing injury is a daily
occurrence in the C.E.C.C.; that there were gangs operating there, including
the Hells Angels; and that inmates suspected of talking to the police, or otherwise
acting as 聯rats聰, are subjected to violence.
[38]
The trial judge聮s conclusion on this point was fortified
by other evidence introduced at trial. Once the respondent was back at the C.E.C.C.,
he was intimidated by another inmate despite being in segregation. Furthermore,
although he was transferred to Quinte Detention Centre, he was the victim of a
serious assault there by other inmates who threatened him not to implicate anyone
at his upcoming judicial pretrial. Therefore, there was objective, unchallenged
evidence that placing the respondent in segregation or transferring him to
another institution would not necessarily protect him from harm.
[39]
Third, the trial judge聮s finding about why the
respondent did not attempt to escape the scheme or alert authorities once he
was released from custody was also available on the evidence. The respondent聮s
evidence was that, although it was possible to attempt an escape from the 聯trap
house聰, he was threatened by Big Newf聮s armed associate while there. The
respondent also knew that his brother continued to be on the same range as Big
Newf, and he feared the potential repercussions of non-compliance with the
scheme. It was open to the trial judge to conclude that any attempt to flee, or
to otherwise refuse to carry out the plan, would be communicated to Big Newf.
[40]
During argument, the Crown pointed to portions
of the respondent聮s cross-examination where the respondent agreed that the
police could have taken steps to protect his brother. Taken in isolation, these
portions suggest that there was no air of reality to the defence. However, I
agree with the respondent that those answers must be considered in the broader
context of his evidence, namely that he believed that he and his brother would
be harmed if he reported the scheme.
[41]
In conclusion, I do not accept that the trial
judge erred in his application of the air of reality test. I would dismiss the
appeal.
[42]
Before leaving this matter, I wish to comment
on one aspect of the Crown聮s submissions in this court on the broader concerns
engaged here, should this court dismiss the appeal. The Crown argues that the
respondent聮s story reads like a recipe for other inmates to claim that they were
coerced into similar schemes. The Crown contends that if the respondent聮s
argument succeeds, it will be due to the uncontroversial notion that jails are
inherently violent places. On the trial judge聮s analysis, therefore, there
could be no avenue safe enough for the respondent to have removed himself from
the situation, rendering the objective component of this analysis meaningless.
[43]
In the circumstances of this case, I do not
accept this argument. Nothing about this case changes the law of duress. Nor
does anything in this case change the court聮s remarks in
Ruzic
that courts
must apply strict standards for the application of the defence to prevent its
abuse: at para. 59.
[44]
This appeal is not about whether this court
would have reached the same conclusion as the trial judge. Instead, the appeal
was argued on a very narrow ground, namely, whether there was evidence before
the trial judge upon which he
could
reasonably
infer that the claim of duress succeeded. The issue was not whether this court
would have come to the same conclusion as the trial judge in this case.
[45]
This was an unusual case. The respondent聮s
brother was in custody at the same time, and on the same range, as Big Newf.
According to the respondent, his brother remained there while the respondent
was on the outside, attempting to comply with Big Newf聮s demands. The trial
judge concluded that there was an air of reality to the defence of duress in
the circumstances of this case. In my view, he did not err in reaching that
conclusion.
F.
DISPOSITION
[46]
For these reasons, I would dismiss the appeal.
Released: May 14, 2021 聯J.M.F.聰
聯S. Coroza J.A.聰
聯I agree. Fairburn A.C.J.O.聰
聯I agree. M. Jamal J.A.聰
|
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.聽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.聽 These sections of the
Criminal Code
provide:
486.5 (1)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 The judge or
justice may hold a hearing to determine whether an order should be made, and
the hearing may be in private.
(7)聽聽聽聽 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) society聮s 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)聽聽聽聽 An order may be
subject to any conditions that the judge or justice thinks fit.
(9)聽聽聽聽 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)聽 Every person
who fails to comply with an order made under subsection聽486.4(1), (2) or
(3) or 486.5(1) or (2) is guilty of an offence punishable on summary
conviction.
(2)聽聽聽聽 For greater
certainty, an order referred to in subsection聽(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. Omardeen, 2021 ONCA 166
DATE: 20210318
DOCKET: C67170
Tulloch, Huscroft and Thorburn
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Brandon Omardeen
Appellant
Brandon Omardeen, acting in
person
Michael Lacy, appearing as duty
counsel
Michael Fawcett and Gregory
Furmaniuk, for the respondent
Heard by video conference:
March 11, 2021
On appeal from the conviction entered on
March 20, 2019 and the sentence imposed on June 21, 2019 by Justice Richard
H.K. Schwarzl of the Ontario Court of Justice.
REASONS FOR DECISION
[1]
The appellant was convicted of pointing a firearm; possession of a
firearm without a license; discharging a firearm with intent to endanger;
breach of probation; breach of recognizance; and possessing a firearm knowingly
without a license. He was acquitted on a joint charge of possession of a weapon
dangerous to the public peace.
[2]
The appellant alleges numerous errors by the trial judge and contests
the trial judge聮s credibility and reliability findings. He points out that no
gunshot residue was found on him and says this means he could not have been the
shooter.
[3]
We see no merit in the appellant聮s submissions. The trial judge聮s
credibility and reliability findings are entitled to deference and there is no
basis for this court to interfere with them. As for the absence of gunshot
residue evidence, the trial judge heard expert evidence and explained why the
absence of gunshot residue did not raise a reasonable doubt.
[4]
Duty counsel makes two submissions on behalf of the appellant. First, he
submits that the trial judge聮s decision that the appellant聮s identification was
established beyond a reasonable doubt is unreasonable. Duty counsel says that
the witness Lal聮s ability to provide a detailed description of the shooter was
at odds with his inability to pick the appellant out of a photographic lineup.
The witness Lahore was not in as good a position to identify the shooter, and
his positive identification of the appellant is suspect because he was aware of
the appellant聮s name before the identification process and gave 聯somewhat
equivocal聰 answers about whether he had seen the appellant聮s photograph on the
internet prior to identifying him.
[5]
We do not accept this submission.
[6]
Lahore knew Jaggernauth, who was a nearby neighbour, but did not know
the appellant. Lal did not know either man. Both Lal and Lahore identified
Jaggernauth from a police photo lineup but only Lahore identified the
appellant. His identification of the appellant was emphatic, as he wrote: 聯Yes!
This is most certainly the individual that fired the weapon.聰 Lahore聮s
identification was enhanced by the fact that although the appellant lived at
230 Howard Crescent, neither Lahore nor Lal knew this.
[7]
The trial judge considered and rejected the evidence that Lahore聮s photo
lineup identification of the appellant was tainted because he was told the
appellant聮s name prior to the lineup and might have looked him up on the
internet. The trial judge accepted that Lahore聮s evidence was solely the
product of his accurate memory. He found that there was no collaboration,
collusion or undue influence by Lahore or Lal on each other and found their
evidence 聯compelling聰 and confirmed by the physical evidence.
[8]
The trial judge provided clear and cogent reasons for being satisfied
beyond a reasonable doubt that the person seen by Lahore and Lal was the
appellant. Although Lal did not pick the appellant out of the police lineup,
his description of the appellant was consistent with other evidence identifying
the appellant, as well as the description of the police officers and the
photograph of Omardeen that Lahore picked out of the lineup. There is no basis
for this court to interfere with the trial judge聮s findings.
[9]
Duty counsel argues, secondly, that the trial judge erred in finding
that the appellant聮s attempt to avoid being arrested demonstrated consciousness
of guilt. The appellant was unlawfully at large when the police attended 230
Howard Crescent following the shooting and he had reason to avoid arrest that
had nothing to do with the shooting.
[10]
We
disagree.
[11]
First,
we note that the appellant聮s post-offence conduct played only a minimal role in
the trial judge聮s finding of guilt. Having found the evidence of Lahore and Lal
compelling and confirmed by independent expert and physical evidence, the trial
judge went on to say that the appellant聮s post-offence conduct supported the
finding of guilt.
[12]
The
trial judge did not err concerning the post-offence conduct evidence. There is
no question that the appellant was hiding in the basement of 230 Howard
Crescent following the shooting. The trial judge considered and rejected the
argument that he was hiding to avoid arrest for being unlawfully at large. In
all of the circumstances, it was open to the trial judge to conclude that the
only plausible inference was that the appellant was attempting to evade the
police because he was the shooter. This inference was amply supported by the
circumstances surrounding the appellant聮s arrest at the scene following the
shooting 聳 several police officers, with a police dog, yelling to the appellant
to surrender 聳 all of which indicated that the matter was far more serious than
an arrest for failing to report to serve an intermittent sentence.
[13]
The
appellant received a net sentence of 61 months聮 imprisonment after receiving
credit for 34.5 months聮 time served. We see no error in principle nor is the
sentence demonstrably unfit. The list of aggravating factors was extensive and
included the appellant聮s lengthy criminal record with violent offences and
weapons crimes. The sentencing judge聮s decision as to credit for presentence
custody is entitled to deference. In summary, there is no basis for this court
to interfere with the sentence on appeal.
[14]
The appeal from conviction is dismissed. Leave to appeal sentence
is granted, but the appeal is dismissed.
聯M. Tulloch J.A.聰
聯Grant Huscroft J.A.聰
聯J.A. Thorburn J.A.聰
|
WARNING
THIS IS AN APPEAL UNDER THE
YOUTH CRIMINAL JUSTICE ACT
AND IS SUBJECT TO:
111(1)聽聽聽聽聽聽聽聽
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)聽聽聽聽聽聽聽聽
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)聽is guilty of an
offence punishable on summary conviction.
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Oppong, 2021 ONCA 352
DATE: 20210525
DOCKET: C65486 & C64579
Rouleau, van Rensburg and Miller
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Derek Oppong
Appellant
AND BETWEEN
Her Majesty the Queen
Respondent
and
Akido Thomas
Appellant
Dirk Derstine, for the appellant Derek
Oppong
Akido Thomas, appearing in person
Geoff
Haskell, for the appellant Akido Thomas, pursuant to a limited order under s. 684
of the
Criminal Code
Amy Alyea,
for the respondent
Heard: January 14,
2021 by video conference
On appeal
from the conviction entered on June 8, 2017 by Justice Robert F. Goldstein of
the Superior Court of Justice, sitting with a jury, and the sentence imposed on
November 6, 2017, with reasons reported at 2017 ONSC 6684 (C65486).
On appeal
from the conviction entered on June 8, 2017 by Justice Robert F. Goldstein of
the Superior Court of Justice, sitting with a jury (C64579).
van Rensburg J.A.:
I
OVERVIEW
[1]
The appellants and a co-accused, Raheem Thomas-Stewart,
were tried before judge and jury and convicted of having committed various kidnapping-related
offences with a firearm at the direction of or for the benefit of a criminal
organization. Mr. Oppong was acquitted of attempted murder. Mr. Oppong was
sentenced to 11 years in prison, less credit for four years聮 pre-sentence
custody. Mr. Thomas was sentenced to nine years, less credit for 52 months聮
pre-sentence custody.
[2]
Mr. Oppong appeals his conviction and seeks to
appeal his sentence. Mr.聽Thomas appeals only his conviction, having withdrawn
his sentence appeal at the hearing of the appeal. Mr. Thomas was represented by
counsel on a limited retainer under s. 684 of the
Criminal Code
, R.S.C. 1985, c. C-46
.
[3]
On their conviction appeals the appellants
assert that the trial judge erred in admitting the opinion evidence of an
expert witness relating to gang activity and discipline. They say that the
trial judge erred in admitting the expert聮s evidence, which was unnecessary and
biased, and in failing to find that its prejudicial effect outweighed its
probative value. In the alternative, they contend that the trial judge erred in
refusing to exclude the expert evidence after a material change in
circumstances: the proposed admission of certain facts that obviated the need
for the expert evidence.
[4]
In his sentence appeal, Mr. Oppong asserts that the
trial judge made a finding that was not supported by the evidence 聳 that he was
a leader of a street gang called In Da Streets (聯IDS聰). Without this finding,
he contends that he ought to have received the same sentence as Mr. Thomas.
[1]
[5]
For the reasons that follow, I would dismiss the
conviction appeals and the sentence appeal.
[6]
As I will explain, the trial judge made no
reversible error in admitting the expert evidence in this case. He addressed
the concerns raised by the defence, and exercised appropriate caution in
admitting some, but not all, of the proposed expert evidence, and in limiting
the specific items the expert was permitted to rely on when testifying, in
order to avoid prejudice to the accused. The trial judge did not err in refusing
to exclude the expert evidence on the basis of a material change in
circumstances after the appellants聮 counsel indicated that the appellants were
prepared to admit certain facts. He reasonably concluded that the facts the
appellants were prepared to admit did not alter the balance between the
prejudicial effect and probative value of the expert evidence.
[7]
As for the sentence appeal, contrary to Mr.
Oppong聮s argument, there was evidence to support the conclusion that he was a
leader of IDS, and his sentence was entirely fit.
[8]
In the reasons that follow, I will address the
issues raised in the conviction appeals and then I will turn to Mr. Oppong聮s
sentence appeal.
II
CONVICTION APPEALS
A.
THE OFFENCE
[9]
The charges arose out of an alleged incident
between the appellants, their co-accused, and Dontay Haye, while they were all members
of IDS, a street gang that operated in the Toronto neighbourhood of Jamestown.
[10]
Mr. Haye, who was 16 years old at the time,
claimed that on May 19, 2015 he was warned by friends that people were looking
for him because they believed he had stolen one of the guns belonging to the
gang. They suspected that Mr.聽Haye had taken the gun because he knew that
the gun was normally hidden in a BBQ grill near the home of Mr. Haye聮s best
friend, A.M. Mr. Haye claimed that, as he was walking through the neighbourhood,
he was approached by Mr. Thomas and Mr. Thomas-Stewart, who punched him in the
face and chest. Mr. Thomas had a handgun and threatened to shoot him. They
forced Mr. Haye to follow them to John Garland Blvd., where they met up with
Mr. Oppong and several other men who assaulted him again. Mr. Oppong kept
asking him where the gun was, and Mr.聽Haye kept saying that he did not
have it.
[11]
After the second assault, Mr. Oppong told Mr.
Haye to get into a car. He drove Mr. Haye to a housing complex where Mr. Oppong
told him that he could either bring back the gun or give him $2,500, or else he
would be 聯flipped聰 (i.e.: killed). They walked toward a field near the housing
complex where they were joined by A.M., who had a gun. Mr. Oppong told Mr. Haye
that this was his last chance. As Mr. Haye started to run away, Mr. Oppong told
A.M. to chase after and to shoot him. A.M. chased after Mr. Haye, but he did
not shoot. Mr. Haye managed to escape. He ran to a nearby townhouse unit where
he persuaded the occupant to call 911.
[12]
Mr. Haye eventually entered the witness
protection program and provided his account of the events to the police.
[13]
The movements of the parties were captured by
CCTV cameras. The defence theory at trial was that Mr. Haye fabricated the
story about having been assaulted, threatened and kidnapped. The accused did
not testify. The central issue was the credibility and reliability of Mr.
Haye聮s account.
B.
THE EXPERT EVIDENCE
The Admissibility Ruling
[14]
The Crown brought a pre-trial application
seeking to admit expert opinion evidence from Detective Aman Nasser,
[2]
a Toronto police officer with considerable experience and knowledge of street
gangs in Toronto.
[15]
The Crown proposed that Detective Nasser would
testify about the IDS gang and the general nature and activities of urban
street gangs and their characteristics as 聯criminal organizations聰 within the
definition of that term in s. 467.1(1) of the
Criminal Code.
Detective
Nasser had prepared an expert report, in which he responded to three questions:
(1) is IDS a 聯street gang聰; (2) would IDS benefit from kidnapping Mr. Haye; and
(3) are Mr. Oppong, Mr. Thomas, and Mr. Thomas-Stewart members of IDS?
[16]
The Crown argued that the expert evidence was
required to demonstrate essential elements of the criminal organization
offences: that IDS is a criminal organization and that the kidnapping and
assault of Mr. Haye would have benefited IDS. The Crown also submitted that the
evidence assisted in understanding the context or narrative of the alleged
offences.
[17]
The application was opposed by the defence on
the basis that the proposed expert evidence failed to meet the first two
Mohan
criteria of necessity and relevance:
R. v. Mohan
, [1994] 2 S.C.R.
9. They asserted that the evidence was unnecessary because Mr. Haye would be
able to provide all the evidence needed to show that IDS is a street gang, and
that the issues in the case went to credibility and were not such that the jury
required additional context. The defence also argued for the exclusion of the
evidence at the 聯gatekeeper聰 stage 聳 that the probative value of the proposed
expert evidence was outweighed by its prejudicial effect, failing the
cost-benefit analysis set out in
R. v. Abbey
, 2009 ONCA 624, 97 O.R.
(3d) 330, leave to appeal refused, [2010] S.C.C.A. No. 125.
[18]
The application to introduce expert evidence,
which included a
voir dire
in which the proposed expert testified, was
heard over the course of four days. The trial judge provided an oral ruling in
which he concluded that Detective Nasser聮s expert evidence was admissible,
although he limited the scope of such evidence. He provided a table of specific
rulings on the admissibility of certain items of evidence that the expert could
or could not refer to in his testimony.
[19]
In the trial judge聮s written reasons (reported
at 2017 ONSC 3443), he concluded that the proposed expert evidence met the four
Mohan
criteria. He noted that defence counsel had conceded that
Detective Nasser was a properly qualified expert and that there was no
exclusionary rule that applied. In addressing the two contested criteria, the
trial judge found that the proposed evidence was logically relevant and
necessary. He stated:
I find that the evidence is logically relevant
to [the] facts in issue: [
Abbey
], at para. 84. The characteristics of
street gangs and street gang ideology are relevant to understanding the context
of the alleged offences. The expert evidence is also relevant to whether the
assault and kidnapping of Mr. Haye (if his evidence is believed) was for the
benefit of a criminal organization. Without the expert evidence, the jury will
be left solely with the evidence of Dontay Haye. Dontay Haye may or may not
give evidence regarding the use of violence by gangs to enforce discipline and
communicate a message of obedience to the gang hierarchy.
Furthermore, Mr. Haye聮s evidence is problematic,
to say the least. Mr. Haye聮s credibility will undoubtedly be subject to
sustained assault in all respects. Without the context provided by the expert
evidence, the jury will be left with his version of how gangs operate. The jury
may well be left to puzzle over the purpose of an attempt to kidnap and beat
Mr. Haye without context. The expert evidence will assist in evaluating his
credibility (or lack of credibility).
[20]
The trial judge then assessed whether the
probative value of the proposed evidence outweighed its prejudicial effect. He
recognized that the 聯gatekeeper function does not involve bright lines聰 and
that 聯it requires an analysis of costs and benefits and sometimes does not
yield a straightforward 聯yes聰 or 聯no聰 answer聰 (citing
Abbey
, at para.
79 and
R. v. Sheriffe
, 2015 ONCA 880, 333 C.C.C. (3d) 330, at paras.
101-103, 108, leave to appeal refused, [2016] S.C.C.A. No. 299). The trial judge
reviewed a number of case authorities with respect to the assessment of the
costs and benefits of evidence relating to gangs:
Abbey
;
R. v.
Riley
, [2009] O.J. No. 1374 (Ont. Sup. Ct.);
R. v. Williams
, 2013
ONSC 1076. He noted that the assessment of the probative value of expert
evidence involves consideration of the significance of the particular issue, as
well as the reliability of the evidence, including the expert聮s methodology,
expertise and objectivity, while the cost of the evidence addresses the usual
risk of prejudice in expert evidence, as well as the risk of complexity and the
abdication of the jury聮s function to the expert. The trial judge observed that
proving criminal organization offences would inevitably involve bad character
evidence. As such, steps must be taken to limit the evidence to what is
relevant and necessary, and to give mid-trial and final instructions to place
the evidence in context and obviate prejudice.
[21]
In assessing the probative value of the
evidence, the trial judge addressed defence counsel聮s argument that Detective
Nasser had shown a lack of objectivity because (1) he did not wish to engage
with defence counsel on a particular issue outside the courtroom setting; and (2)
his background work into certain incidents of gang association or indicia of
gang membership involving the accused did not go far enough. The trial judge adverted
to these concerns about Detective Nasser聮s evidence and concluded that they
would go to the weight to be given to his opinion by the jury.
[22]
The trial judge limited the scope of the expert
evidence. Detective Nasser was permitted to testify about the general
characteristics of a street gang, the association of street gangs with
particular neighbourhoods, methods that gang members use to identify themselves
as members, gang ideology, and the use of violence by gangs to maintain
discipline. He was not permitted to state as a fact that any of the three
accused were members of IDS, although he was allowed to testify about
particular associations, symbols and incidents that were consistent with
membership in IDS or a street gang. Detective Nasser was not allowed to testify
that the alleged kidnapping, assault and attempted murder of Mr.聽Haye
would have benefitted IDS. The trial judge addressed the extent to which Detective
Nasser could rely on confidential informant information, and he provided specific
rulings on certain aspects of Detective Nasser聮s proposed evidence, including
the extent to which the expert was permitted to refer to various incidents involving
gang members (including the appellants) and YouTube videos.
The Application to Revisit the
Admissibility Ruling
[23]
Before the trial proper began, and upon receipt
of the trial judge聮s written reasons, Mr. Oppong聮s trial counsel raised the
possibility of making certain concessions if the Crown agreed not to call
Detective Nasser as a witness. The following day the trial judge heard a
defence application to revisit his admissibility ruling based on a material
change in circumstances, in light of the proposed admissions.
[24]
The appellants were prepared to admit that IDS
existed, that Mr. Oppong and Mr.聽Thomas were members of IDS, and that the
acts (if they took place) were committed at the behest of a criminal
organization. Mr. Thomas-Stewart was prepared to admit that IDS is a street
gang, that association with other members is a characteristic of gang
membership, and that he was in the company of certain gang members on specific
dates (not including the date of the incident).
[25]
Defence counsel argued that the proposed
admissions extended beyond the scope of Detective Nasser聮s permitted evidence and
constituted a material change in circumstances. They asserted that with these
admissions, the probative value of Detective Nasser聮s evidence would need to be
re-assessed, as it would now only serve to bolster Mr. Haye聮s credibility.
Counsel for Mr. Oppong also proposed that, if necessary, evidence on the
general characteristics and circumstances of street gangs could be provided
through an agreed statement of facts, although no agreement had been reached.
[26]
The trial judge gave a brief oral ruling dismissing
the application to revisit his ruling on the expert evidence, with written
reasons released subsequently and reported at 2020 ONSC 7844.
[27]
The trial judge concluded that there was no
basis to revisit his admissibility ruling. He stated that 聯the willingness of
the defence to make some admissions did not constitute a material change of
circumstances聰. Citing the trial decision in
R. v. Gager
, 2012 ONSC
2697 (where a trial judge had revisited a ruling with respect to what evidence
an expert on gangs could refer to in his evidence), the trial judge noted that,
in order for the change of circumstances to be material, it must 聯alter the
balance between the prejudicial effect and probative value聰 of the evidence.
[28]
The trial judge observed that there was a
significant difference between admitting facts pursuant to s. 655 of the
Criminal
Code
and 聯admitting the thrust of expert evidence that goes to assisting
the jury in understanding the context of the case聰. He noted that the factual admissions
the defence proposed to make did not assist the jury in understanding the
context of Mr. Haye聮s evidence. He concluded: 聯The key point about [Detective]
Nasser聮s evidence is that it is supposed to help the jury understand the
background. The proposed admissions do nothing to advance the jury聮s
understanding without context聰.
[29]
The trial judge rejected the submission of Mr.
Thomas聮s counsel that the expert evidence was simply an attempt at
oath-helping. He noted: 聯As I stated in my original ruling, the purpose of the
expert evidence was to allow the jury to understand his evidence given the
circumstances of a gang-related offence聰. He went on to observe that, even if
he had accepted that the proposed admissions were a material change, there
would have been great difficulties in managing the trial where one of the
accused was not prepared to make the same admissions as the other two.
[30]
As for the argument that the general
characteristics and circumstances of street gangs could be addressed through an
agreed statement of facts, the trial judge observed that there was no such agreement,
and that he had no power as a trial judge to compel a party to make a
concession it was not otherwise prepared to make.
The Expert Evidence at Trial
[31]
Detective Nasser was the Crown聮s first witness at
trial. In the course of his evidence, counsel for Mr. Oppong conceded his
client聮s membership in IDS and the Crown refrained from eliciting evidence from
Detective Nasser regarding some (but not all) incidents in which Mr. Oppong was
associating with known gang members. After Mr. Thomas聮s counsel conceded his
client聮s membership in IDS, the Crown refrained from eliciting evidence from
Detective Nasser regarding Mr.聽Thomas聮s forearm tattoo, and that it was
consistent with gang membership, as well as some (but not all) incidents in
which Mr. Thomas was observed associating with known gang members. Detective
Nasser was cross-examined, but only by counsel for the appellants聮 co-accused, Mr.
Thomas-Stewart.
[32]
The jury charge included a general instruction on
Detective Nasser聮s expert opinion evidence, including that he had been
qualified by training and experience to give an expert opinion regarding the
nature and characteristics of street gangs, and cautioning the jury against the
use of underlying information relied on by the expert, that was not in
evidence. The trial judge provided a specific instruction on evidence of
membership in a street gang that strongly warned against propensity reasoning.
The trial judge reminded the jury that they heard evidence about the nature and
characteristics of street gangs to understand the evidence in relation to
criminal organization offences and to understand how gangs work and what their
purpose is, in order to place the evidence in context. On each occasion that the
trial referred to such evidence, he reminded the jury of the importance of not
using the evidence improperly. There was no objection to these instructions.
C.
ISSUES
[33]
The appellants raise two issues on their
conviction appeals:
1.
Did the trial judge err by allowing the Crown to
tender a gang expert who was both unnecessary and biased?
2.
Did the trial judge err by admitting the gang
expert evidence after a material change in circumstances?
[34]
Deference is owed to a trial judge聮s decision on
admitting expert evidence absent an error in principle, a material apprehension
of evidence or an unreasonable conclusion:
R. v. Mills
, 2019 ONCA 940,
151 O.R. (3d) 138, at para.聽47;
R. v. McManus
, 2017 ONCA 188, 353
C.C.C. (3d) 493, at para. 68. It is only where such an error is demonstrated
that this court can interfere. In other words, the role of this court is not to
take a fresh look at the admissibility of the expert evidence, and to arrive at
its own conclusion.
[35]
The appellants acknowledge that the trial judge
identified the proper criteria and purported to apply the correct framework in
determining the admissibility and scope of Detective Nasser聮s opinion evidence
when he made his initial ruling. They argue however that he erred in the
application of the
Mohan
framework. Essentially, they contend that the
trial judge erred in concluding 聳 both at the initial stage and in weighing the
probative value against the prejudicial effect of Detective Nasser聮s evidence 聳
that the expert evidence was necessary and impartial.
[36]
The appellants also contend that the trial
judge, in refusing to reopen his ruling in the light of certain admissions they
were prepared to make, erred in principle by failing to find a material change
in circumstances. I will address these arguments in turn.
D.
DISCUSSION
(1)
The applicable framework
[37]
I begin by referring to the framework for the
determination of admissibility of expert opinion evidence, including expert
evidence about gangs. It is important to keep certain general principles in
mind.
[38]
Trial judges have the responsibility to act as
聯gatekeepers聰 in deciding whether to admit any expert evidence, in determining
its scope and in ensuring that the expert evidence remains within its proper
bounds at trial. Depending on how the trial unfolds, an admissibility ruling
may need to be revisited. In jury trials, the judge will need to provide
appropriate instructions so that the jury understands the limits on the
permitted uses of the expert evidence:
Mohan
, at p. 24.
[39]
The
Mohan
framework involves a two-step
approach to determining the admissibility of expert evidence. At the first, or
threshold, step, the court considers the four criteria of (1) whether the
expert is properly qualified; (2) whether the evidence is affected by an
exclusionary rule (other than the opinion rule itself); (3) whether the
evidence is logically relevant to issues in the proceeding; and, (4) whether
the expert evidence is necessary. The second, or 聯gatekeeper聰 stage requires
the judge to balance the potential risks and benefits of admitting the
evidence:
White Burgess Langille Inman v. Abbott and Haliburton Co.
,
2015 SCC 23, [2015] 2 S.C.R. 182, at paras. 19, 22-24;
R. v. Sekhon
,
2014 SCC 15, [2014] 1 S.C.R. 272, at paras. 43-44, 46-47;
R. v. J.(J.-L.)
,
2000 SCC 51, [2000] 2 S.C.R. 600, at para. 28.
[40]
Ontario courts are frequently called upon to
apply the
Mohan
criteria to determine the admissibility and scope of
expert evidence concerning gangs. As this court noted in
R. v. Phan
, 2020
ONCA 298, 387 C.C.C. (3d) 383, at para. 91, the case law is replete with the
admission of gang evidence for the purpose of providing context or narrative,
to establish
animus
or motive, to establish the accused聮s state of
mind or intention, or for other purposes.
[41]
At the same time, the cases recognize the risks
associated with the admission of expert evidence concerning gangs. The primary
danger arising from the admission of any opinion evidence is that the jurors聮
function as fact-finders might be usurped by that of the witness:
R. v. D.(D.)
,
2000 SCC 43, [2000] 2 S.C.R. 275, at para. 53. A particular risk of expert evidence
concerning gangs is the potential for 聯bad character聰 propensity reasoning. Bad
character evidence itself is presumptively inadmissible unless the Crown can
demonstrate that it is relevant to an issue in the case, and its probative
value outweighs its prejudicial effects. The evidence is inadmissible if it serves
only to show that an accused is the type of person likely to have committed the
offence:
R. v. B., (F.F.)
, [1993] 1 S.C.R. 697, at pp. 699, 731;
Phan
,
at paras. 90-91;
R. v. G. (S.G.)
, [1997] 2 S.C.R. 716, at para. 65.
[42]
Trial judges decide on the need for expert
evidence and weigh the probative value of the evidence against its prejudicial
effect in the context of the live issues at trial, with the advantage of hearing
the evidence in issue, observing the jury and being able to appreciate the
dynamics of the particular trial:
D.(D.)
, at paras. 12-13. Ultimately
the admissibility of any expert opinion evidence is highly case-specific:
R.
v. Gager
, 2020 ONCA 274, at para. 27, leave to appeal to S.C.C. refused, 39477
(April 22, 2021).
(2)
The initial admissibility ruling: Did the trial judge
err in admitting evidence that was unnecessary and biased?
(a)
Necessity
[43]
The appellants assert that the trial judge erred
in concluding that the
Mohan
criterion of 聯necessity聰 was met in this
case. They make two arguments. First, they say that Mr. Haye聮s narrative and the
issues in this case were not complicated or technical, such that the jury needed
expert evidence to understand the context or motive for the alleged offence. It
was obvious that the appellants and Mr. Haye were all members of a particular
gang, and there was no need for an expert to explain to a jury why a street
gang would want its gun back. Second, they argue that Detective Nasser聮s evidence
was made redundant by Mr. Haye聮s testimony. Unlike many other cases where the
victim was deceased or unavailable, and expert evidence was needed to 聯fill
gaps in the evidence聰, Mr. Haye could testify about the existence of the gang,
gang membership and culture.
[44]
The Crown contends that the trial judge did not
err in determining that the expert evidence was necessary. There were many aspects
of the evidence that fell outside the common knowledge of the jury, and outside
Mr. Haye聮s evidence. Mr. Haye聮s testimony would not address whether the alleged
acts were committed for the benefit of IDS, and whether IDS was a criminal
organization. Moreover, Detective Nasser聮s evidence provided the necessary
factual context for the jury to be able to evaluate Mr. Haye聮s narrative. The
Crown argues that the evidence was essential to the jury聮s ability to consider
Mr. Haye聮s account in the proper context and to fairly assess whether the
attack on him occurred for the benefit of a gang.
[45]
To meet the
Mohan
criterion of
necessity, the question is whether the expert will provide information which is
likely outside the ordinary experience and knowledge of the trier of fact:
D.(D.)
,
at para. 21. 聯The subject-matter of the inquiry must be such that ordinary
people are unlikely to form a correct judgment about it, if unassisted by
persons with special knowledge聰:
R. v. Johnson
, 2019 ONCA 145, 145
O.R. (3d) 453, at paras. 53, 66. Expert evidence is not necessary if triers of
fact can form their own conclusions without help because to do otherwise risks
abdicating the role of deciding the facts to the expert:
Sekhon
, at
paras. 45, 49. 聯Necessity聰 means that the evidence must be more than merely
聯helpful聰, but necessity need not be judged 聯by too strict a standard聰:
Mohan
,
at p. 23.
[46]
The trial judge adverted to these relevant
principles in his reasons for admitting and setting the parameters for the expert
evidence in this case. He concluded that the opinion evidence of Detective
Nasser was necessary in the sense the evidence spoke to matters that were
beyond the ordinary experience of the jury, and he rejected the assertion that
the Crown should have to rely on Mr.聽Haye, who was an admitted gang
member, to provide such evidence.
[47]
I see no error in the trial judge聮s conclusion
that the expert evidence of Detective Nasser, as limited in scope by his
ruling, was necessary, or in his conclusion that the fact that Mr. Haye would
be testifying did not obviate the need for the evidence.
[48]
First, I reject the contention that the matters
to which the evidence was addressed were within the ordinary scope of
understanding or experience of the jury. The offences were said to have been
for the benefit of a criminal organization. It would have been wrong for the
jury to rely on their own beliefs based on anecdotal experience and popular
media about gang ideology and membership. Detective Nasser聮s depth of knowledge
and the fact that he was qualified as an expert to provide opinion evidence
were readily acknowledged by the defence. The various matters about which he
was permitted to testify 聳 including the methods gang members used to identify
themselves as members, the characteristics consistent with gang membership such
as close associations with a known gang member, jewellery and tattoos, gang
ideology, including discipline and the use of violence 聳 were without question
聯outside the ordinary experience and knowledge of the [jury as] trier of fact聰.
The determination of what matters fall within the normal experience of jurors
falls squarely within the trial judge聮s domain:
R. v. Boswell
, 2011
ONCA 382, 277 C.C.C. (3d) 156, at para. 29.
[49]
I see no error in the trial judge聮s conclusion
that the jury needed the expert evidence as part of its assessment of whether
the offences were committed for the benefit of a criminal organization, and to
understand the context of what happened. While the necessity of expert evidence
is case-specific, in several cases trial judges have accepted that the jury
required expert evidence about aspects of gang culture that are not widely
known, in order to understand the context in which the central events took place:
see e.g.
Mills
, at para. 24;
R. v. Mohamed, Islow and Miller
,
2020 ONSC 5074, at paras. 44-51;
R. v. Gager
, 2012 ONSC 388, at paras.
160-161, aff聮d 2020 ONCA 274;
R. v. Monney
, 2017 ONSC 250, at paras.
51-52;
R. v. Sappleton
, 2010 ONSC 5704, at paras. 157-158;
R. v.
Sandham
, 2009 CanLII 59150 (Ont. Sup. Ct.), at paras. 15-17.
[50]
In its decision in
Phan
this court endorsed
the following statement of Nordheimer J., as he then was, in
R. v. Skeete
,
2012 ONSC 737, at para. 15, aff聮d 2017 ONCA 926, 357 C.C.C. (3d) 159, leave to
appeal refused, [2018] S.C.C.A. No. 508:
It remains the fact that a 聯criminal trial is,
after all, about the search for truth聰. A jury ought to be provided with
information that will allow them to put the central facts into context
including the nature of the relationships between persons connected to the
events that might not otherwise be obvious. Jurors should not be placed in a
situation where they are attempting to perform their truth seeking function in
what is effectively either a factual vacuum or an artificial one.
This statement applies to the present
case. Although the appellants are correct in saying that the core issue was
credibility 聳 whether Mr. Haye聮s evidence about what occurred would be believed
聳 the jury required information about how the gang operated, the motivations of
gang members, and their internal discipline, to put his account into context.
[51]
Second, I disagree with the contention that the
proposed expert evidence ought to have been excluded as unnecessary because Mr.
Haye, who was a member of IDS, was testifying and could provide the required
evidence. Coupled with this is the argument that the expert evidence was
unnecessary because it would serve only to unfairly bolster Mr. Haye聮s
evidence.
[52]
Given the scope and limitations of Mr. Haye聮s
evidence, the trial judge properly rejected the argument that Detective
Nasser聮s evidence was unnecessary because Mr. Haye would provide all of the
evidence needed to show that IDS was a street gang and that the accused were
members of it. Mr. Haye had provided a police statement that was admitted as
part of his evidence in chief on the Crown聮s motion, after a
voir dire
pursuant to s. 715.1 of the
Criminal Code.
He was acknowledged by
everyone at trial to be a difficult witness 聳 he was at times defiant or
unresponsive. He was a
Vetrovec
witness whose account of the events
had changed over time. The trial judge聮s conclusion that Mr. Haye聮s testimony
would not obviate the need for Detective Nasser聮s evidence was informed by his
understanding of the issues at trial, and his observations of Mr. Haye in the
police interview that was the subject of the s. 715.1 application. He concluded:
Without the expert evidence, the jury will be
left solely with the evidence of Dontay Haye. Dontay Haye may or may not give
evidence regarding the use of violence by gangs to enforce discipline and
communicate a message of obedience to the gang hierarchy.
Furthermore, Mr. Haye聮s evidence is
problematic, to say the least. Mr. Haye聮s credibility will undoubtedly be
subject to sustained assault in all respects. Without the context provided by
the expert evidence, the jury will be left with his version of how gangs
operate. The jury may well be left to puzzle over the purpose of an attempt to
kidnap and beat Mr. Haye without context. The expert evidence will assist in
evaluating his credibility (or lack of credibility).
[53]
The trial judge聮s assessment of the limits of
Mr. Haye聮s evidence was borne out at trial. Mr. Haye testified that he and the
appellants and their co-accused were gang members. But he was unwilling to
answer questions about IDS and how it operated. More importantly, his evidence
did not provide the necessary context for the evaluation of the narrative.
[54]
Contrary to the argument advanced on appeal, the
fact that Mr. Haye testified at trial did not preclude the Crown from calling
expert evidence that was otherwise admissible.
Expert evidence
respecting gangs can be relevant to understanding the context of the events and
is not admissible only in cases where the victim is deceased or no gang member
is testifying: see e.g.
Sandham
, at paras. 18-19;
Abbey
, at
para. 4.
[55]
In
Boswell
a similar
argument was made and rejected 聳 that expert
evidence about a code of silence that may have caused a community member to lie
to the police ought not to have been admitted because the same evidence was
available from the alleged victim, Sharp. This court observed that while Sharp
testified about the code and its effect on his conduct, his credibility was
very much in issue, he was vigorously attacked by the defence, and his evidence
was the subject of a strong
Vetrovec
warning. The court stated, 聯In
these circumstances it cannot be said that expert evidence regarding the
general existence of a code of silence and its nature was unnecessary because
the evidence was otherwise available through Sharp聰: at para. 31. In the
present case, the trial judge made a similar evaluation in rejecting the
argument that the evidence was unnecessary because it could have been provided
by Mr. Haye.
[56]
Nor, as I will explain, do I accept the
appellants聮 argument that because the expert evidence provided context to
understand the narrative that was provided mainly though the evidence of Mr.
Haye, the expert evidence served only to unfairly bolster Mr. Haye聮s
credibility.
[57]
The determination of a witness聮s credibility and
reliability is for the trier of fact and is not the proper subject of expert
opinion. An expert opinion cannot be introduced if the purpose is solely to
bolster a witness聮s credibility (i.e.: oath-helping). 聯Credibility is a
notoriously difficult problem, and the expert聮s opinion may be all too readily
accepted by a frustrated jury as a convenient basis upon which to resolve its
difficulties聰:
R. v. Marquard
, [1993] 4 S.C.R. 223, at p. 248.
[58]
Detective Nasser was not invited to express an
opinion about the credibility of Mr. Haye, or about the events that were said
to have occurred. And, while the credibility of Mr. Haye was assessed by the
jury in the context of the evidence as a whole, including the opinion evidence
of Detective Nasser, the purpose of Detective Nasser聮s evidence was not to convey
to the jury a belief that Mr. Haye was truthful. Rather, the purpose was to ensure
that the jury evaluated all of the evidence in its proper context, to determine
whether the alleged offences occurred, and if so, whether they were for the
benefit of a criminal organization. While that context helped the jury to evaluate
the credibility of Mr. Haye聮s account, evidence that may support the
credibility of a witness does not, by reason of that incidental effect, offend
the rule against oath-helping:
R. v. Llorenz
(2000), 145 C.C.C. (3d)
535 (Ont. C.A.), at para. 28. See also
R. v. K.A.
(1999), 45 O.R. (3d)
641 (C.A.), at p. 678 and
Sappleton
,
at para. 164.
[59]
In his final instructions, the trial judge explained
to the jury the use they could make of the expert evidence, and he cautioned
them against its misuse. He told the jury that it was necessary that they hear
this evidence 聯in relation to the offences relating to a criminal organization聰
and for 聯an understanding of how the gang works, and what its purpose was聰.
Rather than inviting the jury to rely on the evidence to bolster Mr. Haye聮s
credibility, he instructed the jury that 聯[this evidence] will help you to place
the evidence in context,
including why you must approach Dontay Haye聮s
evidence with caution
聰.
[60]
For these reasons, I would not give effect to
the appellants聮 arguments respecting the necessity of the expert evidence.
(b)
Bias and partiality
[61]
The appellants argue on appeal that the trial
judge erred in refusing to exclude Detective Nasser聮s evidence because of
serious concerns about his ability to be independent, impartial and unbiased. They
rely on two incidents that arose in the context of the
voir dire
.
First, Detective Nasser failed to disclose to the defence that he had spoken
with a gang member and overheard the conversations of several gang members who
attended court one day. This information only came out the next day when
Detective Nasser was testifying, and Crown counsel asked about the encounter. According
to the appellants, this information was significant as it would later form part
of the trial judge聮s ruling allowing Mr. Haye to testify via CCTV. Second, Detective
Nasser was unwilling to answer questions from defence counsel outside of court.
The appellants also point to Detective Nasser聮s CV, where, in listing his
experience as a gang expert, under one trial where he had been previously
qualified, he noted that both accused were convicted. This implies that Detective
Nasser was proud of the fact that there had been a conviction in a case where
he had testified for the Crown, and demonstrated that he was not impartial.
[62]
In their appeal, the appellants assert that
Detective Nasser聮s evidence did not meet the initial stage of the
Mohan
test because these incidents were inconsistent with the expert聮s duty to the
court to be an independent witness. They also argue that the expert聮s bias was
not considered by the trial judge at the cost/benefit stage of determining
admissibility.
[63]
The Crown contends that the three concerns
raised by the appellant did not undermine Detective Nasser聮s impartiality to
the point where his evidence ought to have been excluded. First, the encounter
with gang members that Detective Nasser failed to disclose to the defence had
no bearing on his report and the trial judge had determined that the appropriate
remedy would be for Detective Nasser to disclose his notes, if any, before
cross-examination by the defence. Second, Detective Nasser had explained that
his reluctance to answer a question from defence outside the court was because
of his prior experience with counsel using the opportunity to decide whether to
use the question in their cross-examination and that he felt it was most fair
to answer the question in court. The trial judge addressed this in his reasons
and concluded that the evidence was still reliable. Third, the CV entry is a
factual statement of the outcome of that trial and Detective Nasser had listed
that an accused had been acquitted in a different entry. The Crown also points
out that defence counsel聮s submissions at trial concerning bias and partiality were
quite different from those now raised on appeal.
[64]
Impartiality and lack of bias are part of the
threshold requirements for admissibility, in determining whether an expert is
properly qualified. Exclusion at the threshold stage should occur only in very
clear cases, where the proposed expert is unable or unwilling to provide the
court with fair, objective and non鈥憄artisan evidence. Alleged partiality
and bias are considered again at the gatekeeping stage in weighing probative
value (which includes relevance, necessity, reliability and absence of bias)
against the dangers associated with expert evidence. Context is important; both
the extent of the expert聮s alleged bias and the nature of the proposed evidence
are relevant:
White Burgess
, at paras.聽49, 53-54;
R. v.
Natsis
, 2018 ONCA 425, 140 O.R. (3d) 721, at para. 11;
Mills
, at
para.聽45.
[65]
While the issue of bias and partiality was raised
by defence counsel at trial, as the Crown points out, defence counsel聮s
arguments differed from what is advanced on appeal. At trial, defence counsel
did not raise concerns about Detective Nasser聮s CV, take issue with his failure
to disclose his encounter with gang members after this matter was raised and
remedied by the trial judge, nor suggest his evidence was inadmissible at the
first stage of
Mohan
on the basis that he was unwilling or unable to
meet his obligations as an impartial and unbiased expert. Rather, in making submissions
about the probative value versus prejudicial effect of the evidence, defence
counsel asserted that Detective Nasser was not a disinterested expert because (1)
he did not wish to engage with defence counsel on a particular issue outside
the courtroom setting; and (2) his background work into certain incidents of
gang association or indicia of gang membership involving the accused did not go
far enough. In addressing these arguments, the trial judge concluded:
It is true that some of [Detective] Nasser聮s background
work could have gone further. It is also true that he should have been prepared
to answer counsel聮s questions outside of court. It is usual that police
officers, and not only experts, do that. I found it troubling that he did not
do so. Nonetheless, I am satisfied that his evidence meets the test for
threshold reliability. The issues raised by counsel go to the weight to be
given to his opinion by the jury.
[66]
Leaving aside the fact that this argument was not
raised at first instance, there is no error in the trial judge聮s refusal to
exclude Detective Nasser聮s expert evidence at the threshold stage due to bias
or partiality. The concerns raised by the appellants did not demonstrate 聯a
clear unwillingness or inability聰 for Detective Nasser to meet his obligations
as an expert witness. Moreover, the appellants accepted that Detective Nasser
was a properly qualified expert.
[67]
The appellants submitted in argument on the
appeal that, contrary to what I聽have expressed above, the trial judge
considered partiality only at the first stage of
Mohan
, and not at the
second stage of weighing prejudice. They point to the statement in his reasons
that he was 聯satisfied that [the expert聮s] evidence meets the test for
threshold reliability. The issues raised by counsel go to the weight to be
given to his opinion by the jury.聰
[68]
I disagree. Although, in this passage, the trial
judge referred to threshold reliability, it is apparent from the structure of
his reasons (where this paragraph followed a discussion of the principles applicable
to the cost/benefit analysis), as well as the submissions of counsel at trial,
that he did what he was invited to do. He addressed the argument that the incidents
of alleged partiality affected the probative value of Detective Nasser聮s
evidence. He had already determined that the evidence met the threshold tests
for relevance and necessity and the two other
Mohan
criteria had been
conceded, including that Detective Nasser was a 聯qualified expert聰. The trial
judge was concerned by Detective Nasser聮s refusal to engage with defence
counsel outside the court room and the extent of his background work, but he concluded
that this did not reduce the probative value in the cost/benefit analysis such
that his evidence should be excluded. The trial judge properly observed that
the issues raised by the defence could be addressed in the expert聮s
cross-examination.
[69]
The trial judge did not err in his approach to
the appellants聮 arguments about bias and partiality. There was no realistic
concern that the expert was unable to comply with the duty to provide
independent, impartial and unbiased evidence. Nor did the trial judge err in
his assessment of these factors as part of the cost/benefit analysis. As in
Mills
,
at para. 68, the trial judge heard the expert testify in the
voir dire
,
had his report, and was therefore 聯in a good position to determine whether [the
expert] showed partiality, a lack of independence, and/or bias聰.
(3)
Did the trial judge err in his cost/benefit
assessment of the proposed expert evidence?
[70]
The appellants argue that, even if Detective
Nasser聮s evidence was necessary and reliable, the prejudicial effect of the
evidence outweighed its probative value. The probative value of the expert
evidence was low because Mr.聽Haye was available to testify and did testify
about gang-related information. The prejudicial effect, by contrast, was
significant because Detective Nasser聮s evidence was bad character evidence. The
evidence regarding gang culture portrayed a lifestyle of crime and violence,
and by implication painted the accused as 聯stereotypical thugs聰.
[71]
Similar to their argument at the initial stage
of the admissibility test, concerning necessity, the appellants contend that
the effect of introducing this evidence was simply to bolster Mr. Haye聮s
credibility 聯by giving the jury the impression that Mr. Haye was telling the
truth because [the three accused] were gang members and gang members are bad
people.聰 The appellants say that Mr.聽Haye聮s evidence was enhanced by
聯dragging the characters of the appellants through the mud聰. They say this was
particularly important with respect to the charge of attempted murder: while
the allegations as a whole were supported by video evidence, the only evidence
with respect to the attempted murder, that Mr.聽Oppong told Mr. Haye he
would kill him if he did not give up the gun, came from Mr. Haye himself. The
appellants argue that the jury undoubtedly would have been influenced by the
expert evidence in assessing the credibility of this allegation.
[72]
The Crown submits that there was no error in the
trial judge聮s conclusion that the probative value of the evidence outweighed
its prejudicial effect. Detective Nasser provided limited opinion evidence and
limited information about the appellants. The appellants admitted that they
were members of IDS. The jury was also properly instructed on the use of this
evidence.
[73]
The weighing of the costs and benefits of proposed
expert evidence is entitled to deference. Doherty J.A. in
Abbey
, noted
that the gatekeeper phase is more difficult and subtle, involves the exercise
of judicial discretion and is case鈥憇pecific. He observed, at para. 79,
that 聯[d]ifferent trial judges, properly applying the relevant principles in
the exercise of their discretion, could in some situations come to different
conclusions on admissibility聰.
[74]
There was no reversible error in the trial
judge聮s assessment of the costs and benefits of receiving the expert evidence.
[75]
First, as I already have observed, the trial
judge considered the allegations of partiality as part of his assessment of the
reliability of the evidence, in weighing its probative value against its
prejudicial effect. Reliability includes consideration of the extent to which
the expert is shown to be impartial and objective:
Abbey
, at para. 87;
Mills
, at para. 45.
[76]
Second, and as I have explained, there was significant
probative value to the expert evidence in helping the jury to understand the
context of what occurred. The central issue for the jury to determine was
whether Mr. Haye was telling the truth about what happened. He was thoroughly
cross-examined. It was brought home to the jury that it was their
responsibility, as the finders of fact, to determine Mr. Haye聮s credibility and
reliability. The role of the expert evidence was to help them to understand the
context in which Mr. Haye and the three accused were operating.
[77]
Third, and contrary to Mr. Oppong聮s submissions
on appeal, there is no indication that the jury would have improperly used the
expert evidence to reason that, as a member of a gang he was a bad person, and
that accordingly Mr. Haye must have been telling the truth. Mr. Haye himself
was an admitted gang member who sometimes carried a gun and sold drugs. The
jury was specifically cautioned, repeatedly, not to engage in propensity
reasoning. They were also cautioned about the dangers of relying on Mr. Haye聮s
evidence, and instructed that the expert evidence was to help them to place the
evidence in context, including why they must approach Mr. Haye聮s evidence with
caution. Jurors are presumed to understand and follow the instructions they are
given:
R. v. Bains
, 2015 ONCA 677, 127 O.R. (3d) 545, at paras. 61,
98, leave to appeal refused, [2015] S.C.C.A. No. 478. Finally, the jury clearly
did not accept Mr. Haye聮s evidence without reservation: they were not satisfied
that Mr. Oppong threatened to kill Mr. Haye, as they found him not guilty of
attempted murder.
[78]
For these reasons I would dismiss this ground of
appeal.
(4)
Did the trial judge err in refusing to
reconsider his ruling based on a material change in circumstances?
[79]
The appellants assert that the fact that they
were prepared to admit that IDS was a gang and that they were members of IDS
constituted a material change in circumstances. They submit that the Crown
opposed the application and refused to consent to the admission, which was an
improper attempt to keep an issue artificially alive to introduce prejudicial
evidence. Because the appellants were willing to admit 聯almost all聰 of what the
expert would testify about, the prejudicial effect of the evidence would outweigh
its probative value, which was 聯almost nil聰. They contend that the trial judge
erred in concluding that there was no material change in circumstances, and
then refusing to reconsider his ruling. The appellants also asserted in oral
argument, that the trial judge ought to have required the Crown to work with
defence counsel to come up with a set of agreed facts, and then to consider
whether the expert evidence was admissible in light of the new evidentiary
framework.
[80]
The Crown submits that there was no error in the
trial judge聮s ruling on the application to re-open the ruling. While trial
judges can revisit evidentiary rulings, the defence had the onus of
establishing a material change in circumstances. The Crown asserts that the trial
judge did not err in concluding that the appellants聮 proposed admissions did
not constitute a material change in circumstances, as those admissions would
not assist the jury in understanding the context of Mr.聽Haye聮s evidence.
Further, there would be difficulties in managing a trial where one of the
accused would not make the same admissions as the other two, and the Crown was
not willing to use an agreed statement of facts as the necessary context cannot
be provided to the jury in a list of facts.
[81]
The point of departure is that a defendant聮s
admission requires the acceptance of the Crown:
Criminal Code
,
s. 655;
Castellani v. R.
,
[1970] S.C.R. 310. That said, while a trial judge cannot require the Crown to
accept certain admissions, the Crown 聯should not be allowed to gain entry for
prejudicial evidence by refusing to accept the admissions [an accused is
prepared to make]聰:
R. v. Proctor
(1992), 69 C.C.C. (3d) 436 (Man.
C.A.).
[82]
The issue here was not whether or not the Crown
was prepared to accept the admissions the accused were willing to make, or
whether the trial judge had the ability to revisit his ruling in the light of admissions
that were
proposed
, even if not yet accepted by the Crown. Rather, the
focus was on the extent of the proposed admissions, and whether they would
affect the cost/benefit analysis in relation to the expert evidence.
[83]
The appellants were prepared to admit that IDS
existed, that they were members and that if the jury found that the acts were
committed, that it was at the behest of a criminal organization. The third
accused, Mr. Thomas-Stewart, however was only prepared to admit that IDS is a
street gang, that association with other members is one of the characteristics
of a gang member, and his associations on four separate dates (that did not include
the date of the alleged offences). He was not prepared to admit that he was a
member of IDS or that, if the allegations of his conduct were proven, it was
for the benefit of a criminal organization.
[84]
The appellants assert that the trial judge was
wrong to conclude that there was no material change in circumstances in this
case. In oral argument, the appellants also argued that the trial judge did not
even embark on an analysis of the effect of the proposed admissions because he
concluded that there was no change in circumstances.
[85]
I disagree. The trial judge accepted that there
was a change in circumstances, but he concluded that it was not
material
.
He accepted that he had the ability to revisit his ruling, and he heard
argument on the issue. The trial judge properly observed that, in order for the
change of circumstances to be material, it must 聯alter the balance between the
prejudicial effect and probative value聰 of the evidence. The defence argument
was that the proposed admissions would render the expert evidence much less
probative because they were more extensive than the expert evidence. The trial
judge properly rejected this submission. While the proposed admissions would
obviate the need for certain evidence in relation to the appellants聮 membership
in IDS, the trial judge observed that 聯[t]he key point about [Detective]
Nasser聮s evidence is that it is supposed to help the jury understand the
background. The proposed admissions do nothing to advance the jury聮s
understanding without context聰. In other words, the trial judge concluded that
the changed circumstances 聳 the proposed admissions by the accused 聳 were not
material because they did not alter the cost/benefit analysis in relation to
the expert evidence.
[86]
Mr. Thomas聮s counsel argued before the trial
judge that the Crown was attempting to keep the issue of how gangs operate
artificially alive in order to bolster Haye聮s credibility. Rejecting the submission
of Mr. Thomas聮s counsel that the expert evidence was simply an attempt at
oath-helping, the trial judge noted: 聯As I stated in my original ruling, the
purpose of the expert evidence was to allow the jury to understand his evidence
given the circumstances of a gang-related offence聰.
[87]
As I have already explained, permitting the
expert to testify in order to provide context for the assessment of the
narrative, including the account provided by Mr. Haye, was a proper purpose for
the admission of the expert evidence in this case. The trial judge had already
made this determination. The jury was not invited to use the evidence to
bolster Mr. Haye聮s credibility, nor was there a reasonable prospect that they
would misuse the evidence.
[88]
There were arguments at trial about the scope of
Detective Nasser聮s evidence in light of the proposed admissions, which were not
renewed on appeal. As I have already noted, in the course of Detective Nasser聮s
evidence, counsel for the appellants conceded their clients聮 membership in IDS
which resulted in the Crown refraining from eliciting certain evidence from
Detective Nasser regarding their associations.
[89]
Finally, on appeal the appellants contend that
the trial judge should have required the parties to attempt to agree to facts
about general characteristics of gangs, that could have been entered as an
agreed statement of facts. Counsel did not suggest how that could have been
done in this case 聳 that is, what facts could reasonably have been admitted. The
record suggests that there may have been some discussions between defence
counsel and the Crown that had not borne fruit, and that Mr. Oppong聮s counsel suggested
in the application to revisit the expert evidence ruling that this could be
done. There had already been a lengthy
voir dire
to determine the
admissibility and scope of the expert聮s evidence in this case. There is no
indication that anyone had proposed to the trial judge, in advance of his
initial ruling, that the expert evidence could or should have been introduced
through an agreed statement of facts. This submission, made late in the day by
one defence counsel, attracted the appropriate response from the trial judge.
He observed that there was no agreed statement of facts and that he had no
power to compel any party to make a concession it was not otherwise prepared to
make.
[90]
For these reasons I see no error in the trial judge聮s
refusal to exclude Detective Nasser聮s expert evidence on the defence motion to
revisit his ruling.
III
THE SENTENCE APPEAL
[91]
Mr. Oppong appeals his sentence. He says that
the trial judge erred in making a finding of fact that was unsupported by the
evidence 聳 that he was the leader of the IDS. The trial judge stated that the
most important aggravating factors for Mr. Oppong included his leadership of
IDS. Mr. Oppong submits that there was no evidence to support this conclusion,
and that this error led the trial judge to impose a longer sentence on the
appellant than on his two co-accused.
[92]
The Crown argues that the trial judge聮s
conclusion that Mr. Oppong had 聯a leadership role聰 in the gang was supported by
the evidence, and that in any event the trial judge explained why he should
receive a greater sentence than his co鈥慳ccused, and imposed a sentence that
was fit in all the circumstances.
[93]
Although I would grant leave to appeal sentence,
I would dismiss the sentence appeal.
[94]
First, there was evidence to support the trial
judge聮s reference to Mr.聽Oppong聮s 聯leadership role聰 in the gang. He was
described by Mr. Haye as 聯one of the older heads聰 of the gang. Mr. Oppong is
correct in noting that there was evidence about the leadership, including Detective
Nasser聮s list of the ten leaders (which did not include Mr. Oppong). The trial judge
did not conclude however that Mr. Oppong was 聯the leader聰 of IDS, only that he
had a 聯leadership role聰.
[95]
More importantly, however, it was open to the
trial judge to find, as he did, that Mr. Oppong took the lead role in the
kidnapping of Mr. Haye, which Mr.聽Oppong had admitted was for the benefit
of IDS. In fixing the appropriate sentences, the trial judge considered the
specific role each of the accused had played in the attack on Mr. Haye. He
concluded that Mr. Oppong had played 聯the lead role聰 in the kidnapping and was 聯enforcing
the rules of the gang聰. This was in contrast to his co-accused who had
聯secondary roles聰.
[96]
An appellate court can only interfere with a
sentence when there is a demonstrated error of law or principle that had an
impact on the sentence, or the sentence is demonstrably unfit:
R. v.
Friesen
, 2020 SCC 9, 391 C.C.C. (3d) 309, at para. 26. No error has been
demonstrated. Mr. Oppong聮s sentence was fit. There is no basis for appellate
intervention.
IV
DISPOSITION
[97]
For these reasons I would dismiss the conviction
appeals, and while I would grant leave to Mr. Oppong to appeal his sentence, I
would dismiss his sentence appeal.
Released: May
25, 2021 聯P.R.聰
聯K.
van Rensburg J.A.聰
聯I
agree. Paul Rouleau J.A.聰
聯I
agree. B.W. Miller J.A.聰
[1]
In
his factum, Mr. Oppong also challenged the order under s. 743.6(1.2) of the
Criminal Code
requiring him to serve one half of his sentence before
he is eligible to apply for parole. This issue, which is fully answered by the
Crown聮s factum, was not pursued in oral argument, and will not be addressed in
these reasons.
[2]
Detective
Nasser was referred to in the reasons below as 聯Sergeant Nasser聰, the position
he held when he prepared his expert report.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Orange, 2021 ONCA 99
DATE: 20210218
DOCKET: C65057
Fairburn A.C.J.O., Juriansz and
Paciocco JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Shawn Orange
Appellant
Keith E. Wright, for the appellant,
Gerald Brienza, for the respondent
Heard in writing
On appeal from the conviction entered by
Justice
Nancy A. Dawson
of the Ontario Court of Justice
on June 13, 2017 and the sentence imposed on December 19, 2017.
REASONS FOR DECISION
[1]
The appellant appeals his convictions of dangerous
driving causing bodily harm and failing to remain at the scene of an accident
knowing bodily harm has been caused to a person. He was acquitted of impaired
driving and criminal negligence causing bodily harm. He was sentenced to a
reformatory term of two years less a day, two years probation, and a five-year
driving prohibition.
[2]
The appellant聮s primary ground of appeal is that
the transcript of the oral reasons for judgment delivered by the trial judge was
not certified by the authorized court transcriptionist who prepared it. The
transcript had been provided to the trial judge for editing before it was
provided to the parties. The appellant suggests the transcriptionist refused to
certify the transcript because the trial judge had made substantive changes to it.
The appellant submits that since the transcript is not certified, there are no
reasons to support the appellant聮s convictions resulting in a miscarriage of
justice and requiring a new trial. The appellant recognizes the irony of his
argument as the trial judge provided detailed oral reasons. The uncertified
transcript of her reasons is 199 pages in length.
[3]
It is surprising that the transcriptionist did
not certify the transcript
. The court has compared
the transcript to the audio recording of the trial judge聮s reasons and confirmed
that the transcript is accurate. The edits the trial judge made relate solely to
matters of grammar and the correction of a few names where she had misspoken.
The edits are well within the range permitted to be made by a trial judge:
R.
v. Wang
, 2010 ONCA 435, 256 C.C.C. (3d) 225.
[4]
We reject the appellant聮s opportunistic submission
the court cannot hear the appeal without a transcript certified by the
transcriptionist. This court controls its own process. We direct that the
appeal be determined based on the uncertified, but accurate, transcript of the
trial judge聮s reasons.
[5]
In anticipation of this potential result, the
appellant advances several grounds of appeal in the alternative. These
alternative grounds amount to nothing more than an attempt to retry the case in
this court.
[6]
At trial the appellant mounted a strenuous defence
in the face of an overwhelming prosecution case. The trial judge reviewed all the
evidence called at the seven-day trial in extensive detail and analysed it with
exacting care. We reject the submissions that she engaged in speculation and that
she applied different levels of scrutiny to the evidence. Her credibility
findings were balanced. Her description of various portions of the appellant聮s
evidence as 聯disingenuous聰, 聯incredible聰 and 聯nonsense聰 were apt聴his testimony
was clearly unbelievable. She explained why she accepted the credibility and
reliability of the testimony of the persons who witnessed the accident and of
the police officers. All the factual and credibility findings the trial judge made
were amply supported by the record before her.
[7]
On those findings, the appellant had gunned the
engine of the powerful vehicle he was driving, lost control of it, drove onto
the sidewalk, swiped a hedge, scraped a car parked in a driveway, hit a hydro
guide pole and wire, hit garden posts and ended up back on the road. During his
travel on the sidewalk the appellant hit a pedestrian, who was propelled into
the windshield and then over the roof and the back of the car. The appellant
was aware that he hit a person. He stopped briefly after the accident, and
without getting out of his car, drove off. The trial judge rejected the
appellant聮s testimony that he lost control of the car after mis-shifting to a
lower gear.
[8]
The trial judge applied the correct legal
principles to the facts she found in concluding that both the
actus reus
and
mens rea
of the offences had been proved beyond a reasonable
doubt.
[9]
The appeal from convictions is dismissed.
[10]
With the Crown聮s consent, the appeal from
sentence is allowed to the extent that the time from March 14, 2018, when the
appellant received bail pending appeal, to the date this Decision is released
should be subtracted from the driving prohibition imposed by the trial judge.
The appellant abandoned the remainder of his sentence appeal.
聯Fairburn A.C.J.O.聰
聯R.G. Juriansz J.A.聰
聯David M. Paciocco J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Palmer, 2021 ONCA 348
DATE: 20210521
DOCKET: C67263
Tulloch, Miller and Paciocco JJ.A.
BETWEEN
Her Majesty the Queen
Appellant
and
Tristan Palmer
Respondent
Sean Horgan, for the appellant
Janani Shanmuganathan and Owen Goddard, for the
respondent
Heard: November 19, 2020 by video conference
On appeal from the acquittals entered on July 4, 2019 by
Justice Suhail A.Q. Akhtar of the Ontario Superior Court of Justice.
Tulloch J.A.:
A.
Overview
[1]
In the early morning hours of January 11, 2018, two groups of young men
were involved in an altercation outside a nightclub in downtown Toronto. When
the nightclub聮s security guards broke up the fight, the men moved their dispute
into a nearby underground parking lot. According to the Crown, the respondent,
Tristan Palmer, was one of the men involved in the altercation. The Crown
alleged that he shot David Abraham during the second encounter in the parking
lot before fleeing the scene.
[2]
The respondent was charged with aggravated assault and several firearms offences.
Aside from a grainy surveillance video from the parking lot that captured the
alleged incident from a distance, the Crown聮s case was entirely circumstantial.
In his testimony, Mr. Abraham denied ever being in the parking lot, let alone
being shot.
[3]
Following a three-day trial in the Superior Court of Justice, the trial
judge acquitted the respondent of all charges.
[4]
The Crown appeals the acquittals on three grounds.
[5]
First, it argues that the trial judge misapprehended two aspects of the
parking lot surveillance video:
(i) there actually was one, if not two, 聯muzzle flashes聰 coming
from the respondent聮s gun at the time of the alleged shooting, and
(ii) the sudden reactions of the alleged victim and others
immediately after the flash indicated that there had been at least one gunshot.
[6]
This misapprehension, according to the Crown, prevented a holistic
consideration of the cumulative impact of the Crown聮s case.
[7]
Second, the Crown submits that the trial judge failed to assess
individual items of evidence in the context of the case as a whole. Third, it contends
that the trial judge failed to provide reasons demonstrating that he considered
the totality of the evidence.
[8]
At the conclusion of the oral hearing, we dismissed this appeal with
reasons to follow. These are the reasons.
B.
Background
[9]
At trial, the Crown called several witnesses, including: the head of security
at the nightclub; three civilian witnesses who observed part of the events from
their apartment buildings; and Mr. Abraham, the alleged victim. The Crown also
adduced: surveillance footage; vehicle registration information for a car in
the surveillance footage; an agreed statement of fact; photographs of evidence found
in the parking lot and evidence seized from Mr. Abraham; and cell phone tower
data.
[10]
The
defence called no evidence.
[11]
In
the sections that follow, I summarize each evidentiary component, in turn.
(1)
The Testimony of the Head of Security
[12]
Barry
Donaldson, the head of security at the nightclub, testified that his security team
broke up a physical altercation between two groups of males outside the club around
2:50 a.m. on January 11, 2018. One group primarily consisted of Black males;
the other group was Caucasian.
[13]
Mr.
Donaldson testified that a Black individual threatened to 聯come back and shoot聰
him. This individual proceeded to walk across the street, and turn into a
nearby alleyway. Some of the Caucasian males followed. Within one or two minutes,
Mr. Donaldson heard gunshots come from that alleyway.
[14]
Mr.
Donaldson could not positively identify the person who threatened him. However,
he described the individual as being a darker-skinned Black male, in his late
twenties, standing at approximately 5聰10 and 180 pounds. The male had cornrows
and wore a thin, dark bomber jacket. The Crown alleged that this description was
consistent with the respondent聮s physical appearance.
[15]
Mr.
Donaldson also took a video of some of the participants in the altercation,
which the Crown tendered at trial. One individual in the video was Caucasian
and wore a hooded puffy black jacket, a white t-shirt, and distressed jeans. He
wore his hair in a bun at the back. It was undisputed by the parties that this
individual was Mr. Abraham, the alleged victim of the shooting.
(2)
The Testimony of the Civilian Witnesses
[16]
Three
civilian witnesses testified at trial. All of them lived in condos located either
adjacent to the nightclub or by the parking lot. Around 3:00 a.m. on January
11, 2018, the sounds of a commotion outside caused each of them to look down to
the streets below.
[17]
The
first civilian had a view of the parking lot from his window. He observed a
dark car exit the parking lot at around 3:00 a.m. He thought the car might be a
Dodge Charger. He did not hear any gunshots.
[18]
The
second civilian lived in a condo just to the left of the nightclub. From his
window, he saw two groups of men fighting in the street 聳 one group was Black,
and the other, Caucasian. He heard the men yell some 聯racist remarks.聰 He
filmed this altercation for about ninety seconds. The men walked into an
alleyway, where he could no longer see them. He heard about three to five
gunshots shortly after and called 911.
[19]
The
third civilian could see the parking lot entrance from his balcony. He saw two
groups of men arguing.聽 A group of Black males went into the parking lot and
the Caucasian males followed. Shortly after, he heard three gunshots that
seemed to come from the parking lot. He then saw a dark 聯Dodge Charger聰 exit
the parking lot, pick up a passenger in the alleyway, and speed off.
(3)
The Testimony of David Abraham
[20]
Mr.
Abraham, the alleged gunshot victim, testified at trial. He was the only witness
called by the Crown who was in the parking lot at the material time.
[21]
Mr.
Abraham was an uncooperative witness. He denied having any knowledge of an
altercation on the morning of January 11, 2018. He also denied ever being shot.
He claimed that he could not remember where he was that night, nor who he was
with.
[22]
The
Crown presented him with the video filmed by Mr. Donaldson, the security guard
at the night club. Mr. Abraham denied being the individual wearing the hooded
puffy jacket, white t-shirt, and distressed jeans in the video. He admitted
that he wore his hair in a bun at the back but falsely claimed the individual
in the video had a buzz cut (as noted above, it is clear that the individual in
the video wore his hair in a bun, like Mr. Abraham).
[23]
Similarly,
Mr. Abraham denied being one of the individuals captured by the surveillance
footage. His presence in the surveillance footage was undisputed by the
defence.
[24]
As
well, the Crown presented Mr. Abraham with hospital records from the night in
question, which contained his name and date of birth. The hospital record
indicated that a 聯David Abraham聰 arrived by taxi at 3:25 a.m. Notes taken at
the hospital indicated that he had suffered a minor gunshot wound and had a
scratch on his left hip, which was closed with a staple. Mr. Abraham insisted
that he could not recall attending the hospital that night.
[25]
Finally,
the Crown presented him with images of bloody clothing 聳 a hooded puffy jacket,
white t-shirt and distressed jeans 聳 which the police seized from 聯Mr. Abraham聰
at the hospital. This clothing matched the apparel worn by the individual
alleged to be Mr. Abraham in Mr. Donaldson聮s video. The t-shirt and jeans had
small holes in them, consistent with the location of Mr. Abraham聮s injury on
his left hip. Mr. Abraham testified that he did not recognize any of the
clothing.
(4)
Surveillance Footage
[26]
The
Crown tendered video surveillance evidence that P.C. Yekaterina Galamiyeva
seized from three different camera locations at the parking garage. P.C. John Antonaros
also seized surveillance footage from two locations in the alleyway where the
parking lot entrance was located. The officers testified to assist the court in
understanding the chronology of events, as depicted in the surveillance videos.
[27]
Notably,
there was an issue with the timestamps on the surveillance videos. According to
the officers, the cameras in the alleyway had accurate timestamps; whereas, all
the cameras from the parking lot were one hour behind, aside from one, which
was ten minutes behind. At trial, defence counsel argued that the
inconsistencies in the timestamps were vague and inconclusive, putting video
continuity into question. The trial judge addressed these submissions at the
hearing, noting that:
Well, who cares whether they聮re a minute or three minutes off?
I mean let聮s just assume that you know they聮re in the general vicinity. What
the Crown is saying is look all of these events are happening and it聮s similar
looking people. They聮re all going in the same direction and they聮re all coming
out from the same direction. They match with the witnesses. So, you don聮t need
to know the exact times. You just have to be certain that this is what the
incident that they聮re referring to.
[28]
I
agree with the trial judge聮s assessment of this issue, and the parties do not
seem to take issue with it on appeal. It is clear that the events depicted in
the videos correlate with the timestamps when they are adjusted by an hour or
ten minutes, depending on the camera. 聽Accordingly, I proceed on the same basis
as the trial judge.
[29]
In
these reasons, for the sake of simplicity, I have corrected the timestamps from
the parking lot surveillance footage either by ten minutes or an hour depending
on the camera, to account for the above-noted delay in the parking lot
surveillance videos. Therefore, the timestamps referred to below are
necessarily approximate. With that said, the chronology can be summarized as
follows.
[30]
At
around 2:51 a.m., footage from the parking lot shows a man entering the garage
through a stairway door. The same man ran to a black car that was parked in the
lot. Soon after, the car proceeded up the ramp and exited the parking lot. 聽The
alleyway surveillance videos show the car exiting the parking lot, before it is
parked in the alleyway at 2:52 a.m. It appears that the driver then exited the car,
left the alleyway, and turned onto the street outside the nightclub. The Crown
alleged that the man who moved the car was the respondent.
[31]
At
2:55 a.m., the alleyway surveillance videos capture the altercation as it moves
from the street into the alleyway. The Black individuals walk backwards towards
the parking lot ramp, facing the Caucasian individuals. The Black individuals
seem to gesture towards the parking lot. One of the Black individuals appears
to have his right hand in his jacket pocket. The Crown alleged that this
individual was the respondent and that he was holding a gun in his pocket.
[32]
One
of the Caucasian individuals seems to pull something from his waistband and extend
his arm towards one of the Black individuals, as he followed him into the parking
lot at a quick pace. Defence counsel at trial argued that this footage showed
Mr. Abraham brandishing a firearm at the scene. On appeal, the respondent
similarly notes that this footage provides evidence that other people in the
parking lot, aside from the alleged shooter, may have had guns with them that
night.
[33]
At
2:59 a.m., a parking lot video depicts two Black individuals engaging with four
Caucasian individuals as they walk down the ramp and enter the parking lot. A
fifth man, who was Caucasian, comes down the ramp. The men are clearly arguing
and appear to be circling each other in an aggressive manner in the parking
lot.
[34]
At
3:00 a.m., the parking lot footage shows a Black individual, alleged to be the respondent,
extending his right arm while facing in the direction of a Caucasian male,
alleged to be Mr. Abraham. There was a flash in the surveillance footage. The
man alleged to be Mr. Abraham reacts suddenly and runs in the opposite
direction; others appear to react with similar haste, though some Caucasian
individuals stay behind. This is the only footage that captures the alleged
shooting. It is very grainy and taken from a considerable distance. The Crown
alleged that the flash was a 聯muzzle flash聰; that is, a light from a
discharging firearm.
[35]
The
parking lot footage then shows the man alleged to be Mr. Abraham going up the
ramp, with an apparent limp. The alleyway videos capture him as he exits the
parking lot and walks away from the scene. The man alleged to be the respondent
leaves the parking lot through the stairway exit.
[36]
About
40 seconds after the apparent gunshot, the parking lot footage shows one of the
Caucasian individuals and a Black individual struggling with one another. It is
the same camera that captured the alleged shooting. During this struggle, there
is a second flash in the surveillance footage. As the two men come closer to
the surveillance camera, still struggling, it becomes clear that the cause of
this second flash was the glare of the Caucasian individual聮s cell phone.
[37]
Shortly
after, at 3:02 a.m., the alleyway surveillance video shows a person retrieving the
black car from the alleyway. The car then goes back down the parking lot ramp. Once
inside the parking lot, surveillance footage shows two individuals entering the
vehicle. The car then exits the parking lot. The alleyway surveillance footage
shows a third individual entering the car in the alleyway. The car then speeds
away.
(5)
The Vehicle Registration for the Dodge Challenger in the Surveillance
Footage
[38]
Police
reviewed the surveillance videos and concluded that the dark vehicle was a
Dodge Challenger.
[1]
They were able to identify the last three numbers of the licence plate. They
consulted the Ministry of Transportation, which identified eight registered
owners of black Dodge Challengers bearing consistent licence plates.
[39]
P.C.
Galamiyeva determined that one of those owners was a Black male with similar
facial features and height to the man depicted in the surveillance videos 聳 he
had a high forehead, round eyes, and stood at a height of 5聰10. That male was
the respondent.
(6)
The Agreed Statement of Fact
[40]
An Agreed Statement of Fact attested to the
following:
(i)
Toronto police first located blood, casings, and
an undischarged round in the underground parking lot at 3:18 a.m. on January
11, 2018. Police then secured the scene.
(ii)
An officer arrived at 4:50 a.m. and took photos
of bullet strike marks and potential bullet strike marks.
(iii)
The officer could not determine whether any of
the bullet strike marks/possible bullet strike marks were made by the same caliber
or same firearm.
(iv)
The bullet strike marks and possible bullet
strike marks were located in the same general area of the garage as the bullet
casings that were located.
(v)
Police could not determine the age of the bullet
strike marks or possible bullet strike marks.
(7)
Photographs of Evidence Obtained at the Scene and Evidence Seized from
Mr. Abraham at the Hospital
[41]
The Crown adduced the photographs taken at the crime scene, which
showed the following pieces of evidence: three undischarged bullet casings; an
undischarged bullet; what appeared to be two bullet strike marks; and a 聯fresh
blood聰 trail, which led up the vehicle ramp to the exit.
The
Crown did not call any forensic experts at trial to testify about these items.
[42]
The
Crown also tendered photographs of the bloody clothing police seized from Mr.
Abraham at the hospital.
(8)
Cell Phone Records
[43]
The
respondent聮s mother provided police with a phone number associated with the
respondent. On the day in question, phone records indicated that at 12:55 a.m.,
and again at 1:14 a.m., the respondent聮s phone sent signals to the cell tower
that was closest to the area of the altercation. The Crown argued that the
records placed the respondent in the vicinity of the parking lot at the
material time.
C.
Decision below
[44]
In
essence, there were two questions before the trial judge: (1) whether the respondent
was the man in the parking lot, as depicted in the surveillance videos; and (2)
if so, whether the respondent shot at Mr. Abraham.
[45]
The
trial judge answered the first question in the affirmative: the evidence, when
viewed cumulatively, demonstrated that the man in the parking lot and alleyway surveillance
videos was the respondent. In coming to that conclusion, the trial judge relied
on the mobile phone evidence, which situated the respondent in the vicinity of
the parking garage at the material time. He also concluded that the
respondent聮s vehicle was the Dodge Challenger captured in the surveillance
videos, based on the information from the Ministry of Transportation. Lastly,
he relied on the surveillance footage from the parking lot, finding that the person
who initially moved the respondent聮s car wore very similar clothing to that of
the alleged shooter. According to the trial judge, the 聯value of the evidence
is cumulative聰 and sufficiently proved that the man in the parking lot who
extended his arm in the direction of Mr. Abraham was indeed the respondent.
[46]
However,
with respect to the second question 聳 whether the respondent shot at Mr.
Abraham 聳 the trial judge harboured a reasonable doubt. He reasoned that the
respondent聮s mere presence at the scene could not suffice. The trial judge
found that Mr. Abraham was 聯without question聰 lying when he testified and
denied involvement in the events in question. In the absence of any credible
testimony from the alleged victim, the trial judge observed that the Crown was left
with the video evidence and the discovery of shell casings at the scene. In his
view, this evidence was insufficient to discharge the heavy burden necessary to
prove guilt. As he put it:
However, the act captured on the video is not as clear.
I agree that Mr. Palmer raises his arm - an action consistent
with firing a gun - but, unlike the Crown and officer Galimiyeva, I did not see
a muzzle flash when he does so.
Although I accept that casings are found
in the area in which Mr. Palmer is alleged to have fired the shots, the amount
of activity and people in the area raise concerns about whether the casings are
in their original position rather than being disturbed by the other people
present.
Whilst I might strongly suspect that Mr. Palmer may well have
fired and shot Mr. Abraham.
Mr. Abraham聮s evidence - or
his failure to testify truthfully - leaves a hole in this case which is
sufficiently large to raise a reasonable doubt.
[Emphasis added].
[47]
On
balance, although the trial judge 聯strongly suspect[ed] that Mr. Palmer may
well have fired and shot at Mr. Abraham,聰 he was unable to find that the Crown
proved its case beyond a reasonable doubt. Accordingly, he acquitted the
respondent.
D.
iSSUES
[48]
As
noted above, the appellant makes three arguments on appeal:
(i) the trial judge misapprehended the
聯muzzle flashes聰 and the reactions of the Caucasian individuals in the
surveillance video, preventing an assessment of the cumulative impact of the
Crown聮s case;
(ii) the trial judge failed to assess
individual items of evidence in the context of the case as a whole; and
(iii) the trial judge failed to provide
reasons demonstrating that he considered the totality of the evidence.
E.
pOSITIONS OF THE PARTIES
(1)
Position of the Appellant
[49]
The
appellant argues that there were three errors of law in the trial judge聮s
approach to the evidence which had a material bearing on the acquittal, and the
verdict would not necessarily have been the same had the errors not occurred.
[50]
According
to the appellant, the first error of law rested on the trial judge聮s 聯inability
to see the muzzle flashes聰 in the parking lot surveillance footage, as well as
his failure to consider the reactions of the individuals who suddenly moved
away after the alleged muzzle flash. The appellant submits that the trial judge
misapprehended the surveillance footage, which comprised a key aspect of the
evidence and therefore foreclosed a complete consideration of the Crown聮s case.
[51]
The
second error of law is alleged to compound the trial judge聮s misapprehension of
evidence: the appellant argues that the trial judge erred by failing to
contextualize several individual pieces of evidence within the broader context
of the Crown聮s case. Specifically, the appellant points to the following
evidence that was allegedly overlooked by the trial judge:
i)聽聽聽聽聽聽聽 at the time of the shooting, the respondent is
standing just left of the bullet casings;
ii)聽聽聽聽聽聽 Mr. Abraham was supposedly shot near the area where
the bullet strike marks were found;
iii)聽聽聽聽聽 the blood trail follows Mr. Abraham聮s exit out of the
parking garage; and
iv)聽聽聽聽聽 the undischarged bullet was in the path of where the
shooter ran in the aftermath of the muzzle flashes.
On this basis, the Crown submits that the trial judge聮s
assessment of these individual items in isolation, or his disregard for them
altogether, undermined the cumulative strength of the circumstantial case against
the respondent.
[52]
Lastly,
the appellant argues that the trial judge made a third legal error by providing
insufficient reasons. In particular, when assessing whether the respondent in
fact shot at Mr. Abraham, the trial judge referred only to:
(i) Mr. Abraham聮s testimony denying his involvement in any
altercation or his attendance at the hospital thereafter;
(ii) the surveillance footage; and
(iii) the discovery of shell cases at the scene.
[53]
The
appellant submits that there is no indication in the trial judge聮s reasons that
he grappled with the other inculpatory evidence (i.e., the bullet strike marks,
the blood trail, or the undischarged bullet), nor did he consider the evidence
cumulatively.
[54]
In
sum, the appellant submits that, when the persuasive power of all the evidence
is properly considered in a cumulative fashion, there is only one possible
conclusion: the respondent shot Mr. Abraham in the parking lot.
(2)
Position of the Respondent
[55]
As
I will explain, the Crown is not permitted to appeal a verdict on the basis
that it is unreasonable. The respondent submits that, in essence, the
appellant聮s arguments amount to an appeal of what the Crown believes to be an
unreasonable acquittal. He contends that the trial judge did not commit the
legal errors suggested by the appellant, foreclosing this court from
intervening with the verdict.
[56]
First,
the respondent argues that the trial judge did not misapprehend the flash.
Rather, he submits that the record demonstrates that the trial judge saw a
flash of some kind on the surveillance footage when the respondent聮s arm was
extended; the trial judge just couldn聮t conclude beyond a reasonable doubt that
the light was a 聯muzzle flash.聰 As such, the respondent contends that the trial
judge聮s interpretation of what happened in the parking lot surveillance video
amounted to a factual finding and did not disclose a legal error.
[57]
Second,
the respondent argues that the trial judge did consider the 聯cumulative power聰
of the Crown聮s circumstantial case; it just wasn聮t as strong as the appellant
contends.
[58]
Finally,
with respect to the trial judge聮s reasons, the respondent argues that the trial
judge聮s reasons were sufficient as he addressed the key pieces of
circumstantial evidence that were material to the question of who shot Mr.
Abraham.
[59]
In
closing, the respondent submits that it is clear that the trial judge applied
careful scrutiny to the totality of the evidence. The Crown simply did not meet
its burden of proof. Accordingly, he argues that there is no basis upon which
to disturb the verdict.
F.
aNALYSIS
(1)
Standard of Review
[60]
The
circumstances under which this court can intervene to overturn an acquittal are
narrow. Section 676(1)(a) of the
Criminal Code
restricts the Crown聮s
right of appeal from an acquittal of an indictable offence to 聯any ground of
appeal that involves a question of law alone.聰 So long as the trial judge took
a legally correct approach to the evidence, the Crown cannot argue that the verdict
is unreasonable:
R. v. Rudge
, 2011 ONCA 791,
108 O.R. (3d) 161
,
at para.
35
, leave
to appeal refused, [2012] S.C.C.A. No. 64;
R. v. Curry,
2014 ONCA 174,
317 O.A.C. 329, leave to appeal refused, [2014] S.C.C.A. No. 185, at para. 37. As
the Supreme Court of Canada observed in
R. v. Biniaris,
2000 SCC 15,
[2000] 1 S.C.R. 381, at para. 33: 聯[T]he concept of聽聭unreasonable
acquittal聮 is incompatible with the presumption of innocence and the burden
which rests on the prosecution to prove its case beyond a reasonable doubt.聰
[61]
The Crown resists the suggestion that it is effectively bringing
an unreasonable verdict appeal, under the guise of appealing legal errors. The
Crown contends that the trial judge did make errors of law, including by
assessing the evidence in a piecemeal fashion and not in its totality: see
R. v. J.M.H.
,
2011 SCC 45
, [2011] 3 S.C.R. 197, at para. 31;
R. v. Button,
2019
ONCA 1024, at para. 9
.
This court may set aside an
acquittal where the trial judge considered each component of the case
separately, such that 聯the persuasive effect of the totality of the evidence 聳
the strength of the Crown聮s case 聳 was taken out of play聰:
Rudge
, at
para. 66. As this court put it in
Rudge,
at para. 47:
[T]he prosecution is entitled to a legally correct approach to
the evidence that bears upon the determination of whether the onus has been met
聳 a contextual approach based on a full evidentiary footing in which the proper
standard of proof is applied.
A misapprehension of evidence may
dovetail this legal error where it prevents a trial judge from considering the
totality of the Crown聮s evidence:
Curry,
at
para. 50.
[62]
In the event that the Crown is successful in showing an error of
law, it does not necessarily follow that this court is obliged to set aside an
acquittal. The onus on the Crown is a heavy one. To overturn an acquittal, the
Crown must satisfy the court, with a reasonable degree of certainty, that the legal
error 聯might reasonably be thought, in the concrete reality of the case at
hand, to have had a material bearing on the acquittal聰:
R. v. Graveline,
2006
SCC 16, [2006] 1 S.C.R. 609, at paras. 14-16;
R. v. Goldfinch,
2019
SCC 38, 435 D.L.R. (4th) 1, at para. 135;
Button,
at para. 15.
(2)
The Trial Judge Did Not Misapprehend the Evidence
[63]
As
noted above, the Crown takes issue with the trial judge聮s finding that he did
not see a 聯muzzle flash聰 in the surveillance footage. According to the Crown,
the trial judge misapprehended the evidence by failing to recognize at least
one, if not two muzzle flashes on the surveillance footage when the respondent
extended his arm in the direction of Mr. Abraham. It follows, the Crown
submits, that this misapprehension prevented the trial judge from assessing the
totality of the case against the respondent.
[64]
I
cannot accept this submission. I am not persuaded that
the
trial judge misapprehended the flash in the surveillance footage. During the
course of the trial, the Crown took the trial judge to the footage containing
the alleged muzzle flash on seven occasions. On one of those occasions, the
trial judge instructed the Crown to pause the surveillance footage at the
precise moment of the alleged muzzle flash. She did so and took note of the timestamp.
In her closing submissions, she again returned to the moment of the flash. The
following discussion then unfolded:
THE CROWN: So, he聮s about to make a left hand turn, 180 and he
extends his hand at the right.
THE COURT: Okay.
THE CROWN: Extends his right hand. Now I - I was successful
yesterday in pausing right on the muzzle flash. We could see the yellow flash
that looks....
THE COURT: Okay. Okay, I see.
THE CROWN: A bit of lightning, but I聮ll try to do that again.
...VIDEO STARTED 10:58:00
...VIDEO STOPPED 10:58:07
THE COURT: So, it聮s obviously happened right? Now, you....
THE CROWN: So, it obviously happened
[65]
In my view, a fair reading of the trial record reveals that
the
trial judge was aware of the flash but was not convinced beyond a reasonable
doubt that it emanated from a gun.
[66]
The
defence argued the flash could have come from a phone or a reflection. In
support of this submission, defence counsel played a subsequent part of the
surveillance footage from the same camera that captured the alleged shooting.
As noted above, the video shows two men struggling, and then a flash occurs. As
the men come closer to the camera, it becomes apparent that the flash came from
the glare of a phone. Defence counsel highlighted the similarities in the flash
caused by the phone and the flash in the footage of the alleged shooting. The
following colloquy between counsel and the trial judge then ensued:
THE COURT: Well, yes, all right. Well, I - I see what you聮re
saying. I mean that聮s - so what the Crown聮s arguing is that the person holds
out the...
DEFENCE COUNSEL: Fair enough.
THE COURT: ...the - extends the arm.
DEFENCE COUNSEL: Fair enough.
THE COURT: Now, you聮re right, I mean it could be that that
person聮s pointing...
DEFENCE COUNSEL: Sure.
THE COURT: ...and holding a phone at the same time.
DEFENCE COUNSEL: Holding anything in his hand...
THE COURT: Yes.
DEFENCE COUNSEL: ...having a watch on his hand. It flashing, it
being a reflection, anything. So, the people in this clip respond as if
panicked. They back up from the flash. I pointed that out to Your Honour.
[67]
This
discussion shows that the trial judge understood the positions of both counsel
with respect to the flash. The Crown is correct that the trial judge ultimately
concluded that he did not see a muzzle
flash at the moment in
question. But this was not a misapprehension of evidence. Rather, it was a
factual finding, which the trial judge was entitled to make, and is not subject
to appeal.
[68]
It
may have been preferable for the trial judge to explicitly state that he
disagreed with the Crown聮s theory about the origin of the flash. However, the
basis of his conclusion was apparent from the record, even without being
articulated. I am satisfied that the trial judge was aware of the flash but
ultimately found the defence theory more persuasive.
[69]
Turning
to the reaction of the parties in the seconds after the gun was allegedly
discharged, I am not persuaded that the trial judge misapprehended the
surveillance video. The inference the Crown repeatedly asked the trial judge to
draw from the parties聮 reaction was patently obvious, and it was not lost on
the trial judge. He understood the submission but clearly did not agree with
the interpretation advanced by the Crown 聳 again, a finding he was entitled to
make.
[70]
Given
my conclusion that the trial judge did not misapprehend the evidence, it
follows that the trial judge聮s findings with respect to the flash did not lead
to a subsequent failure to consider the totality of the evidence before the
court.
[71]
I
would dismiss this ground of appeal.
(3)
The Trial Judge Assessed the Evidence in the Context of the Case as a
Whole
[72]
The Crown聮s next ground of appeal alleges that the trial judge
failed to
assess the individual items of evidence wholistically, which
unfairly diluted the strength of the Crown聮s case against the respondent. In
advancing this submission, the Crown contends that the trial judge failed to
give appropriate weight to the combined effect of the following pieces of
evidence: again, the supposed 聯muzzle flash聰 at the time of the alleged
shooting; the reactions of those present directly after the flash, as depicted
in the surveillance video; the bullet fragments, strike marks, and blood trail
found at the scene; the bloody clothes seized from Mr. Abraham at the hospital;
and the medical records indicating that Mr. Abraham suffered a minor gun wound
that evening.
[73]
The
Crown聮s submission on this ground seems to operate on the assumption that the evidence,
when cumulatively considered, was overwhelming. As the Crown put it: 聯When all
of the evidence is considered in its totality, the combined effect of all
the evidence compels the conclusion that the Respondent shot
Abraham
聰 (emphasis added). I do not see the evidence in this case in the
same light.
[74]
A
guilty verdict was by no means a foregone conclusion. The Crown聮s case was almost
entirely circumstantial and the evidence suffered from the following frailties:
(i) no one, including the alleged victim, identified the respondent as the
shooter; (ii) the victim denied ever being shot; (iii) the only direct evidence
that the respondent shot a gun was grainy and blurry surveillance footage; (iv)
there was at least one other reasonable explanation for the impugned flash; (v)
the Crown called no expert to testify about the forensic evidence found at the
scene, and as such, the forensic evidence could not materially assist in
identifying who discharged a gun; (vi) the 聯fresh blood聰 was not positively
identified as being Mr. Abraham聮s; (vii) the bullet strike marks could not be
dated; (viii) the firearm was never recovered, and the type of firearm that was
used was unknown; and (ix) there were multiple people moving around the parking
lot during and after the alleged shooting, potentially disturbing the crime
scene.
[75]
The
trial judge was aware of the burden on the Crown and his obligation to assess
the cumulative impact of the evidence. In fact, in finding the respondent was
in the parking lot that night, the trial judge expressly rejected defence
counsel聮s attempt to challenge the cumulative persuasive impact of the evidence
by undermining each piece in isolation. Instead, he found this approach
聯misconceived聰 and then notes that 聯the value of the evidence is cumulative.聰 I
am not persuaded that the trial judge was operating under any misconception
about his duty to assess the evidence in a cumulative fashion.
[76]
I
agree that the Crown聮s evidence is consistent with the respondent being the
shooter. But that is not the standard in a criminal trial. There were frailties
in the Crown聮s case and the trial judge was entitled to conclude that the Crown
did not discharge its onus beyond a reasonable doubt.
[77]
I
would dismiss this ground of appeal.
(4)
The Trial Judge聮s Reasons Were Sufficient
[78]
The third and final ground of appeal raised by
the appellant concerns the sufficiency of the trial judge聮s reasons. The
appellant contends that the reasons disclose no indication that the trial judge
properly considered the Crown聮s case as a whole, since he only referred to Mr.
Abraham聮s testimony, the video evidence, and the shell casings.
[79]
I
agree that the trial judge did not address several pieces of evidence adduced
at trial. However, failing to do so did not amount to an error in law.
[80]
The
issue the trial judge needed to determine was whether the respondent shot Mr.
Abraham. The presence of blood in the parking lot, in conjunction with the witnesses
hearing gunshots, the bloody clothes seized from Mr. Abraham, and the medical
evidence that Mr. Abraham had an injury, all support the conclusion that Mr.
Abraham was shot in the parking lot that night. However, as alluded to above,
absent testimony from an expert, this evidence did not assist in identifying
who
shot Mr. Abraham.
[81]
The
same can be said about the location of the bullet strike marks and bullet
fragments. The trial judge would have been engaging in speculation if he had
determined who in the parking lot may have fired the shots, and from where the
shots were fired. Those bullet strike marks also could not be dated, and it was
unknown whether they were caused by the same firearm that injured Mr. Abraham. Likewise,
the ages of the casings or the undischarged bullet were unknown.
[82]
I
am satisfied the trial judge聮s reasons responded to the case聮s live issues and
the parties聮 key arguments. Mr. Abraham聮s testimony, or lack thereof, the
surveillance footage and the shell casings were key in determining whether the
respondent was the one who
shot Mr. Abraham. The trial judge
sufficiently addressed and considered all three evidentiary components.
[83]
While
he may not have explicitly addressed every part of the Crown聮s case, the fact
that a trial judge fails to deal with each聽piece of evidence or fails to record
each piece of evidence and their assessment of it, does not amount to a legal
error:
J.M.H.,
at para. 31. An appellate court does not hold the trial
judge to some abstract standard of perfection, and in this case, the trial
judge聮s reasons were reasonably intelligible to the parties and provided the
basis for meaningful appellate review.
[84]
I
would dismiss this ground of appeal.
G.
Conclusion and disposition
[85]
Based
on the foregoing, I am not satisfied that the trial judge committed the alleged
errors of law. I would dismiss the appeal and uphold the acquittals.
Released: May 21, 2021 聯M.T.聰
聯M. Tulloch J.A.聰
聯I agree. B.W. Miller J.A.聰
聯I agree. David M. Paciocco
J.A.聰
[1]
A police officer identified the vehicle as a Dodge Challenger,
not a Dodge Charger as the civilian witnesses had indicated. The cars look
similar. The police officers testified that the two cars can be distinguished
on the basis of their shapes and the number of doors.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Pearce, 2021 ONCA 239
DATE: 20210414
DOCKET: C68988
Pardu, Brown and Paciocco JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Darren Pearce
Appellant
Darren Pearce, in-person
Margaret Bojanowska, duty counsel
Jeffrey Wyngaarden, for the respondent
Heard: April 9, 2021 by video conference
On appeal from
the sentence imposed on December 30, 2020 by Justice Richard T. Knott of the
Ontario Court of Justice.
REASONS FOR DECISION
OVERVIEW
[1]
In this inmate appeal, Darren Pearce seeks leave
to appeal the sentence he received for the offences of aggravated assault and
breach of recognizance. The sentencing judge imposed on Mr. Pearce the combined
equivalent of a global sentence of five years聮 imprisonment. Mr. Pearce had
already effectively served most of that time through pre-sentence custody and
sentence reductions identified by the sentencing judge.
[2]
At the end of the oral
hearing, with reasons to follow, we granted leave and allowed the sentence
appeal. As we explain below, the sentencing judge erred by failing to address
the principle of parity between the sentences imposed on Mr. Pearce and his
co-accused, Terrance Goodwin, when there was clear reason to do so, and by
imposing, without explanation, a sentence on Mr. Pearce that was substantially
and markedly longer than the global sentence of two and one-half years聮
imprisonment that Mr. Goodwin had received.
[3]
In our view, a global sentence of
approximately three and one-half years would have been appropriate for Mr.
Pearce. By the time of his appeal, given his pre-sentence custody, the sentence
reductions identified by the trial judge, and the 100 days Mr. Pearce served after
being sentenced and before his appeal hearing, Mr. Pearce had effectively
served a global sentence of approximately three and one-half years. We therefore
set aside Mr. Pearce聮s sentence of imprisonment and
substituted
a sentence of 聯time served聰. These are our reasons.
THE MATERIAL FACTS
[4]
On June 16, 2019, Darren Pearce and Terrance
Goodwin, both drug addicts, together stabbed Tyler Moore, a drug dealer, approximately
17 times. Mr. Pearce and Mr. Goodwin each stabbed Mr. Moore multiple times with
the same knife and took Mr. Moore聮s backpack, which contained drugs. Mr. Moore
suffered permanent injuries from the attack, including multiple stab wounds to
his torso and diminished use of his left hand, in which tendons were severed.
The drugs stolen by Mr. Pearce and Mr. Goodwin were distributed among others
connected to the pre-planned 聯drug rip-off聰.
[5]
On October 16, 2019, Mr. Goodwin pleaded guilty
to aggravated assault and breach of probation for his role in the attack. Mr.
Goodwin has an extensive criminal record, including assault convictions, and was
on probation for another aggravated assault and awaiting disposition on
separate breach and drug offences at the time of the attack on Mr. Moore. Mr.
Goodwin received a sentence equivalent to 30 months as well as three years聮
probation.
[6]
On September 21, 2020, after seven days of
trial, Mr. Pearce pleaded guilty to aggravated assault for having wounded Mr.
Moore. He also pleaded guilty to breach of recognizance; at the time of the
attack on Mr. Moore, Mr. Pearce was in violation of a bail release condition
that he live at a drug treatment facility while awaiting trial on unrelated
charges.
[7]
At Mr. Pearce聮s request, the sentencing judge
ordered a
Gladue
report to assist in sentencing Mr. Pearce. No
report was prepared because Aboriginal Legal Services could not confirm that
Mr. Pearce was an Indigenous person, and they lacked information on how such
status would have affected his life circumstances. However, the sentencing
judge was provided with an extensive affidavit in which Mr. Pearce attested to
his Indigenous status and life circumstances, including: his father聮s
imprisonment during Mr. Pearce聮s childhood; the tragic drug overdose death of
his mother when Mr. Pearce was five years of age; Mr. Pearce聮s time in foster care
and in the care of his grandparents; his own descent into addiction; and his
reconnection with his father later in life, shortly before his father聮s death.
[8]
Mr. Pearce聮s 聯significant and related record聰,
containing 58 convictions, including for assault, robbery, and weapons offences,
was also put before the sentencing judge. A few years before the incident with
Mr. Moore, Mr. Pearce received a sentence of 30 months in custody for a robbery
with a weapon.
[9]
The sentencing judge was also made aware that
Mr. Pearce had been sober for about 17 months prior to his sentencing hearing,
had participated in counseling and programs while incarcerated, and had
reconnected with his sister and was taking concrete steps to do the same with
his two sons.
[10]
The details of Mr. Goodwin聮s sentence, but not
the reasons for that sentence, were before the sentencing judge in the Agreed Statement
of Facts filed when Mr. Pearce聮s plea was entered. Although Mr. Pearce聮s defence
counsel did not raise the principle of parity between co-accused offenders during
his sentencing submissions, Crown counsel did so in her reply submissions,
noting that 聯there has to be parity to some extent between the [sentences of
the] two [Mr. Goodwin and Mr. Pearce]聰. She argued that Mr. Pearce had the
聯greater record聰 of the two and noted that Mr. Goodwin had pleaded guilty very
early in the process, unlike Mr. Pearce. Based on these differences, the Crown
urged that the sentence Mr. Pearce was seeking 聳 聯time served聰, or the
equivalent of 27 months 聳 would not achieve parity with Mr. Goodwin聮s sentence
of 30 months.
[11]
In sentencing Mr. Pearce, the sentencing judge
concluded that the wounding of Mr. Moore was among the most serious of
aggravated assaults. He also noted Mr. Pearce聮s extensive criminal record. The
sentencing judge accepted the Crown聮s submission, based on
R. v. Tourville
,
2011 ONSC 1677, [2011] O.J. No. 1245, that five years was the lowest
appropriate sentence 聯for an assault of this nature and a person with Mr.
Pearce聮s record without consideration of Mr. Pearce聮s personal and collateral
factors聰.
[12]
The sentencing judge then identified the
聯personal and collateral factors聰 that he applied to reduce Mr. Pearce聮s fit
sentence by one year, to four years聮 imprisonment.
Specifically, he
accepted that Mr. Pearce is Indigenous, and found a connection between Mr.
Pearce聮s heritage and his difficult background, holding that the
Gladue
factors 聯must be considered on sentence聰 in this case. He also accepted
that Mr. Pearce had experienced harsh conditions while in pre-sentence custody
because of the COVID-19 pandemic, lockdowns, and assaults that Mr. Pearce endured
while awaiting trial. He accepted, as well, that the COVID-19 pandemic has
reduced the sentencing tariffs.
[13]
The sentencing judge then gave Mr. Pearce the
maximum statutory credit for pre-sentence custody, the equivalent of 816 days,
and imposed a custodial sentence of 644 days, or 聯just over 21 months聰, plus
two years of probation, along with ancillary orders.
[14]
When referring in his reasons to the co-accused
Mr. Goodwin聮s role in the attack, the sentencing judge mentioned that Mr.
Goodwin had pleaded guilty 聯earlier聰, but gave no details of the sentence Mr.
Goodwin had received, nor did he make explicit mention of the principle of
parity.
ISSUES
[15]
In his inmate appeal, Mr. Pearce seeks leave to
appeal his sentence. His grounds of appeal may fairly be stated as follows:
1.
The sentencing judge misapprehended the
appropriate sentencing range; and
2.
The sentencing judge erred in failing to apply
the principle of parity in imposing a disproportionately high sentence relative
to the sentence received by Mr. Pearce聮s co-accused Mr. Goodwin.
[16]
It is not necessary to address the first ground
of appeal.
ANALYSIS
[17]
The principle
of parity is provided for in s. 718.2(b) of the
Criminal
Code
, R.S.C.
1985, c. C-46. It provides that 聯a sentence should be similar to sentences
imposed on similar offenders for similar offences committed in similar
circumstances聰. This guiding principle preserves fairness in sentencing by
promoting the equal treatment of offenders according to law. It applies as
between co-accused charged with the same crime, and between the offender and
others who have committed similar crimes, where those others are similar to the
offender in terms of degree of responsibility. Given the principle of
individual sentencing, and that comparable circumstances are not apt to be
identical, absolute parity is not required and, indeed, may not be appropriate.
However, where there is a substantial and marked disparity in sentence between similar
co-accused offenders who have committed similar crimes, an appellate court
should intervene:
R. v. Mann
, 2010 ONCA 342, 261 O.A.C. 319, at paras.
18-19.
[18]
That said, a sentencing
judge is not required to apply the principle of parity between co-accused offenders
charged with the same crime if the judge lacks the information necessary to
undertake a meaningful comparison:
R. v.
Jackson
, 2016 ONCA 497,
[2016] O.J. No. 3323, at para. 2;
R. v.
Courtney
, 2012 ONCA 478,
294 O.A.C. 346, at para. 8.
[19]
In the
circumstances of this case, the sentencing judge was alerted by the Crown to
consider the principle of parity between Mr. Pearce and Mr. Goodwin. He was
also provided with the information required to apply the principle of parity
between co-accused offenders. He should have done so.
[20]
Specifically, the
sentencing judge was informed in the Agreed Statement of Facts, filed at the
time of Mr. Pearce聮s plea, that Mr. Goodwin had received a global sentence of
30 months聮 imprisonment, which was reduced to a net sentence of 24 months
because Mr. Goodwin had served the equivalent of six months in pre-sentence
custody. The sentencing judge was also advised that the Crown was seeking a
global sentence of five years, or 60 months, against Mr. Pearce, a sentence
twice as long as that imposed on Mr. Goodwin.
[21]
The Agreed Statement
of Facts also confirmed that there was no discernible difference in the gravity
of the crimes committed by Mr. Pearce and Mr. Goodwin against Mr. Moore. Although
Mr. Pearce had committed an earlier assault against the victim, the respective roles
of Mr. Pearce and Mr. Goodwin in the attack that was the subject of their
charges were identical.
[22]
The Agreed
Statement of Facts disclosed that, like Mr. Pearce, Mr. Goodwin was an addict.
Although Mr. Goodwin聮s actual criminal record was not before the sentencing
judge, the Agreed Statement of Facts described Mr. Goodwin as having an
聯extensive criminal record with previous assault, aggravated assault, break and
enter, and drug convictions聰 and 聯52 Niche RMS occurrences on file聰. Despite
the Crown聮s submission that Mr. Pearce聮s record was 聯greater聰 than Mr.
Goodwin聮s, the evidence before the sentencing judge through the Agreed
Statement of Facts showed that, in fact, Mr. Pearce聮s record could not be a
justification for a material departure from the parity principle.
[23]
The Agreed
Statement of Facts further disclosed that, like Mr. Pearce, Mr. Goodwin had
also committed, and was being sentenced for, a breach offence that occurred at
the time of the aggravated assault. Notably, Mr. Goodwin聮s breach offence was
more serious and more apt to aggravate his global sentence than Mr. Pearce聮s
breach offence. Indeed, while Mr. Pearce was in breach of a court-ordered
residency requirement at the time of the assault, Mr. Goodwin breached a
probationary order imposed for an unrelated aggravated assault, the very same kind
of offence for which he was sentenced in the attack on Mr. Moore.
[24]
The sentencing
judge was also made aware that Mr. Goodwin had pleaded guilty on October 16,
2019, four months after the assault occurred. He of course also knew that Mr.
Pearce pleaded guilty much later, after seven days of trial had already elapsed.
[25]
Armed with this
information, the sentencing judge was obliged to consider the principle of
parity between co-accused offenders charged with the same crime. It is clear
from his reasons for sentence that he did not do so. He therefore erred by
failing to consider the principle of parity, when there was clear reason to do
so.
[26]
The Crown argues
that, nonetheless, the sentence imposed is appropriate. In able submissions
before us, appeal counsel for the Crown relied primarily on the relative timing
of the respective guilty pleas as justification for the disparity in the
sentences imposed.
[27]
We accept that
through his early guilty plea, Mr. Goodwin was entitled to mitigation both for accepting
responsibility and for entering a plea that would avoid the need for a trial.
With his later guilty plea, Mr. Pearce was entitled only to mitigation for
accepting responsibility and for shortening a trial that was already underway. However,
the timing of the plea alone does not justify giving Mr. Pearce a sentence that,
at 60 months, is twice as long as the global sentence of incarceration of 30
months imposed on Mr. Goodwin.
[28]
To be sure,
there is no settled mathematical formula for the sentence reduction that is
warranted in recognition of an early guilty plea:
R. v. Daya
,
2007 ONCA 693, 227 C.C.C. (3d) 367, at para. 15. However, analogous cases such
as
R. v. Laverdiere
, 2020 ABCA 290, [2020] A.W.L.D. 2666, highlight
the substantial and marked nature of the sentencing disparity in this case. In
Laverdiere
, the
Alberta Court of Appeal found that a sentencing judge erred by giving the
accused a seven-year sentence after trial on a brutal assault, when his
co-accused had received a four-year sentence after an early guilty plea. Here, of
course, Mr. Pearce was not convicted after trial. He pleaded guilty, albeit
during trial.
[29]
The sentencing
judge therefore erred in failing to apply the principle of parity. This error
clearly affected the sentence imposed, since the sentence of imprisonment Mr.
Pearce received is, without justification, substantially and markedly longer
than the sentence imposed on Mr. Goodwin.
[30]
Accordingly, it
falls to us to substitute a sentence. In doing so, we bear in mind that the
principle of parity between co-accused offenders cannot be relied upon to
justify imposing a sentence that is so low as to be unfit: Clayton C. Ruby,
Sentencing
,
10th ed. (Toronto: LexisNexis Canada, 2020), at
搂2.59-2.63
.
[31]
In all the
circumstances, including the extreme hardship that Mr. Pearce has experienced
while in custody, where he was seriously injured as the result of several
assaults, it is in the interests of justice to substitute a global sentence that
is equivalent to approximately three and one-half years of imprisonment. When
pre-sentence custody and sentencing credits are considered, the 100-day 聯time
served聰 prison sentence we imposed at the end of the oral hearing to achieve
this fit, global sentence is about one year longer than the global sentence
imposed on Mr. Goodwin. The differential that remains reflects Mr. Goodwin聮s
earlier guilty plea.
CONCLUSION
[32]
We grant Mr. Pearce leave to appeal his
sentence, set aside the sentence of imprisonment imposed, and substitute a
sentence of 100 days聮 imprisonment, which Mr. Pearce has already served. We
affirm the remaining components of Mr. Pearce聮s sentence.
聯G. Pardu J.A.聰
聯David Brown J.A.聰
聯David M. Paciocco J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Penzes, 2021 ONCA 7
DATE: 20210108
DOCKET: C66895
Doherty, Zarnett and Coroza
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Kevin Penzes
Appellant
Amy J. Ohler, for the appellant
Manasvin Goswami, for the respondent
Heard: January 4, 2021 by
video conference
On appeal from the sentence imposed by
Justice A. Letourneau of the Ontario Court of Justice on October 11, 2018.
REASONS FOR DECISION
[1]
The appellant pled guilty to bank robbery. The
trial judge imposed a sentence of four years, the sentence requested by the
appellant and the Crown. The appellant now appeals seeking a three-year
sentence. We dismiss the appeal.
[2]
The appellant pled guilty and was sentenced on
his first appearance only a couple of days after his arrest. Counsel for the
appellant does not challenge the guilty plea. She acknowledges the trial judge
made the appropriate inquiries and that the plea was voluntary and informed.
Counsel does, however, submit the sentencing hearing was fundamentally unfair.
She contends the trial judge should have adjourned the hearing, despite the
appellant聮s strong objection to any adjournment, and ordered a presentence report
for the purpose of receiving additional information relevant to sentencing.
[3]
We do not agree the appellant was treated
unfairly. The appellant made it clear he wanted to be sentenced immediately. He
was no stranger to the criminal justice system. The appellant also readily acknowledged
his guilt and expressed strong concerns about spending any time in the local
jail.
[4]
The appellant told the trial judge he had been
sexually assaulted several years earlier while in jail and had experienced
serious emotional and mental problems as a result. He explained to the trial
judge he had received help for those problems during his last stay in the penitentiary,
but had been released on his mandatory release date before he was prepared to function
effectively outside of the prison setting. The appellant was anxious to return
to the federal correctional system in the hope he could re-enter the programs
that had assisted him during his last incarceration.
[5]
The appellant knew the Crown was seeking a
four-year sentence. The appellant told the trial judge that, having regard to
his criminal record, which included two prior bank robberies and a five-year
penitentiary sentence on another charge, he believed the Crown聮s position was
reasonable. Indeed, the appellant thought he might get more than four years.
[6]
Duty counsel spoke with the appellant. She told
the trial judge that, while she was reluctant to support a guilty plea on a
first appearance involving the imposition of a significant penitentiary term,
she had been persuaded by the appellant that his request to be sentenced
immediately and his agreement to a four-year sentence was appropriate in the
circumstances.
[7]
The trial judge had the information necessary to
fashion an appropriate sentence. Given the appellant聮s record and the nature of
the offence which involved a threat of violence against a teller, a significant
penitentiary term was necessary. The four-year sentence suggested by the Crown,
supported by the appellant, and ultimately imposed by the trial judge, did
reflect various mitigating factors, including the appellant聮s early guilty plea
and the emotional and mental health issues the appellant had described to the
trial judge. In fact, the sentence imposed was intended to enhance the
appellant聮s rehabilitative prospects by providing for access to the treatments
and programs that had assisted the appellant on a previous occasion. At the
same time, however, the four years imposed reflected the seriousness of the
crime and the appellant聮s significant criminal record.
[8]
The trial judge made no error in concluding four
years was a fit sentence.
[9]
The court has considered the fresh evidence
offered by both the appellant and the Crown. We need not detail that evidence.
It is sufficient to say the evidence tends to confirm the appropriateness of
the four-year sentence imposed by the trial judge. The medical records show the
appellant has received the help he hoped to get in the federal correctional system.
According to the medical reports, he has shown progress and continues to show
progress. The appellant is scheduled for release in June 2021. Hopefully, his
progress will continue and when he is released this time he will be able to
effectively adapt to life outside of the penitentiary.
[10]
Leave to appeal sentence is granted, but the
appeal is dismissed.
聯Doherty
J.A.聰
聯B.
Zarnett J.A.聰
聯S.
Coroza J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v.
Peters, 2021 ONCA 121
DATE: 20210224
DOCKET: M52212
(C66399)
Doherty,
Watt and van Rensburg JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
George
Peters
Appellant
Paolo Giancaterino,
for the appellant
Samuel Greene,
for the respondent
Heard: In writing
REASONS
FOR DECISION
[1]
The
appellant is deceased. On consent, the appeal is dismissed as abated.
聯Doherty
J.A.聰
聯David
Watt J.A.聰
聯K.
van Rensburg J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: Zakhour v. Nayel, 2021 ONCA 339
DATE: 20210520
DOCKET: C68892
Juriansz, Huscroft and Jamal
JJ.A.
BETWEEN
Maya Zakhour
Applicant/Responding Party (Appellant)
and
Fady Nayel
Respondent/Moving Party (Respondent)
Maya Zakhour, acting in person
Diane Condo, for the respondent
Heard: May 10, 2021 by
videoconference
On appeal from the judgment of Justice Maria
T. Linhares de Sousa of the Superior Court of Justice dated April 2, 2019.
REASONS FOR DECISION
[1]
This is an appeal from the summary judgment
granted by the motion judge dismissing the appellant, former wife聮s, application
for spousal support, equalization of net family properties, and other relief
under the
Family Law Act
, R.S.O. 1990, c. F.3 (聯
FLA
聰).
[2]
The appellant lived in Montr
茅
al before she married the respondent,
former husband. The parties married in May 2015 in Lebanon and lived together there
until December 2015. From December 2015 to January 2016, the parties lived as
husband and wife in Ottawa. They separated in January 2016. The respondent then
returned to Lebanon, and the appellant returned to Montr
茅
al.
[3]
The respondent began marriage 聯annulment聰
proceedings in Lebanon, in which the appellant participated. In October 2016,
the appellant began an application in the Ontario Superior Court of Justice for
spousal support (including indexing), equalization of net family properties,
exclusive possession of the matrimonial home and its contents, freezing of
assets and sale of family property, and a restraining/non-harassment order, all
under the
FLA
.
[4]
In February 2018, the Maronite Unified Court of
First Instance in Lebanon granted an 聯annulment聰 of the marriage, which
was equivalent to
a divorce. The parties are
referred to in the annulment document as 聯divorced聰. The Maronite Court of
Appeal dismissed the appellant聮s appeal of the annulment along with her claim
for compensation. The annulment was registered in Lebanon in March 2019.
[5]
On the respondent聮s motion for summary judgment,
the respondent argued that the appellant was not entitled to relief because she
was not a 聯spouse聰 under the
FLA
. The motion judge found that the
marriage had been annulled in Lebanon and dismissed the application because the
court lacked jurisdiction under the
FLA.
[6]
In our view, the
motion judge erred in law in concluding that the court lacked
jurisdiction under the
FLA
.
[7]
Section 7 of the
FLA
permits a 聯former
spouse聰 to bring an application to determine their entitlement to equalization
of net family properties. During oral argument before this court, counsel for
the respondent conceded that the appellant is a 聯former spouse聰 under the
FLA
who entered
into
the marriage in good faith. It
is also settled law that a 聯former spouse聰 is not restricted to a person
divorced in Canada:
Okmyansky v. Okmyansky
(2007), 86 O.R. (3d) 587
(C.A.), at paras. 43, 52. Therefore, the appellant is a 聯former spouse聰 under
s. 7 of the
FLA
and the Ontario Superior Court of Justice has
jurisdiction to consider her equalization claim under the
FLA
.
[8]
The respondent contends that the Superior Court
of Justice nevertheless lacks jurisdiction because the proceedings in Lebanon
dealt with the appellant聮s claim for financial compensation. We disagree. That a
foreign court has addressed a former spouse聮s corollary relief claims in the
foreign divorce proceedings does not deprive the Superior Court of jurisdiction
under s. 7 of the
FLA
: see
Okmyansky
, at paras. 7-8, 43.
[9]
Finally, the appellant advised the court at the
hearing of the appeal
that
she is no longer
pursuing her claim for spousal support.
[10]
The
appeal
is allowed and the matter remitted to the Superior Court of Justice to consider
the appellant聮s equalization claim under the
FLA
. The appellant is
awarded her disbursements and filing fees for the appeal
in the amount of $1,120
, payable within 30 days.
聯R.G.
Juriansz J.A.聰
聯Grant
Huscroft J.A.聰
聯M. Jamal
J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Powell,
2021 ONCA 271
DATE: 20210429
DOCKET: C66406 &
C66665
Tulloch,
Paciocco and Harvison Young JJ.A.
DOCKET:
C66406
BETWEEN
Her Majesty the Queen
Respondent
and
Joshua
Powell
Appellant
DOCKET:
C66665
AND BETWEEN
Her
Majesty the Queen
Respondent
and
Jordan
Powell
Appellant
Jon Doody, for the appellant Joshua Powell
Fady Mansour and Vanessa Garcia, for the appellant
Jordan Powell
Tanya M. Kranjc, for the respondent
Heard: in writing
On appeal from the conviction entered on April 19, 2018
and the sentence imposed on December 20, 2018 by Justice Richard T. Knott of
the Ontario Court of Justice (C66406).
On appeal from the conviction entered on April 19, 2018
and the sentence imposed on February 20, 2019 by Justice Richard T. Knott of
the Ontario Court of Justice (C66665).
Tulloch J.A.:
A.
INTRODUCTION
[1]
The appellants are brothers. On August 12, 2016, they attended a
gathering at a friend聮s house in North Grenville, Ontario. At some point during
the night, someone knocked over a beer bottle, causing a fight to break out. In
the physical altercation that followed, the Crown alleged that four individuals
聳 Jordan and Joshua Powell (the two appellants), as well as Bradley Fumerton,
and Quincy O聮Shea 聳 collectively assaulted Quinn Millson. Quinn suffered
serious bodily harm as a result, including a skull fracture. The Crown also
alleged that Jordan and Quincy damaged Quinn聮s vehicle after the altercation.
[2]
There was no dispute that Quinn sustained severe bodily injuries from
the assault and that his vehicle was subsequently damaged. Rather, the only
issue at trial was who caused the injuries and the damage to Quinn聮s car.
[3]
The trial judge convicted Joshua, Jordan, Bradley and Quincy of assault
causing bodily harm, contrary to s. 267(b) of the
Criminal Code
,
R.S.C., 1985 c. C-46. He also found Jordan and Quincy guilty of mischief for
damaging Quinn聮s car, contrary to s. 430(4) of the
Criminal Code
.
Lastly, he convicted Joshua of failure to comply with his probation order,
contrary to s. 733.1(1) of the
Criminal Code
.
[4]
Both appellants were sentenced separately. Jordan was sentenced on
February 20, 2019 to 60 days intermittent custody followed by 3 years
probation. Joshua was sentenced on December 20, 2018 to seven months custody,
followed by three years probation. Both Jordan and Joshua initially filed
notices of appeal for both conviction and sentence. Joshua has since abandoned
his sentence appeal. Jordan, however, has not.
[5]
Joshua and Jordan appeal their convictions on five grounds. They argue:
1.
the trial judge entered unreasonable verdicts because the evidence
tendered at trial was unable to support their convictions;
2.
the trial judge misunderstood the
mens rea
for assault causing
bodily harm;
3.
the trial judge provided insufficient reasons for the assault
convictions;
4.
the trial judge erred in relying on his disbelief in the appellants聮
exculpatory statements to ground a finding of guilt; and
5.
the trial judge erred in rejecting the testimony of Zachary Powell (the
appellants聮 cousin) on the basis of bias when this was not raised by either
party.
[6]
For the following reasons, I would dismiss both conviction appeals.
B.
OVERVIEW OF THE FACTS
[7]
As noted above, the events took place at a small house party in rural
Ontario, on August 12, 2016. Five people who attended the party testified at
trial: Quinn (the victim), Kayla Boisvert, Ben Huton, Zachary Powell, and
Lindsay Fumerton. Each gave their own account of how the altercation arose and
who was involved. Accordingly, the following sections summarize the narrative
of each witness with respect to the events that unfolded.
(i)
Quinn Millson聮s Evidence
[8]
The incident started as a friendly debate with Samuel Huton over a beer
bottle that had been knocked over. Quinn was thinking about leaving the party
when this debate arose. Samuel and Quinn were still going back and forth when
Quinn approached his girlfriend, Kayla. She was standing with Vicky Holland-Dube,
Joshua聮s girlfriend. Vicky told him to stop yelling and calm down. Quinn tried
to reassure her that he was not fighting with Samuel 聳 they were having a
friendly discussion. Vicky stepped towards Quinn and told him to get out of her
face.
[9]
Bradley and Jordan stepped forward and joined the conversation, in
support of Vicky. As Quinn stepped back to leave the garage, Joshua blocked his
exit. Joshua grabbed Quinn聮s shirt and demanded that he apologize to Vicky
otherwise he would suffer 聯some sort of repercussion.聰 Bradley stepped forward
and grabbed Quinn聮s shirt as well. Quinn tried to de-escalate the situation
when Joshua punched him in the face. A second punch by Bradley soon followed.
Quinn turned around and covered his face. He was hit in the back of the head
and then pulled to the ground. Bradley and Joshua went down to the ground with
him.
[10]
Quinn
saw Jordan and Quincy come towards him and join in with the other two. By that
point, Quinn described the altercation as 聯a melee of getting punched and kicked
and stomped on.聰 When Quinn looked up, he saw the four of them 聳 Joshua,
Jordan, Bradley, and Quincy 聳 towering over him. Eventually, he managed to make
his way to his car. He went inside the vehicle and waited for his girlfriend so
that he could leave the party. As he waited, he saw Jordan and Quincy banging
on the hood of his car.
(ii)
Kayla聮s Boisvert聮s Evidence
[11]
Kayla,
Quinn聮s girlfriend, spoke to police following the incident and provided a
videotaped statement on August 21, 2016. She also testified at trial. Kayla saw
Bradley punch Quinn. She identified Jordan, Joshua, and Quincy as being on top
of Quinn, kicking and punching him. She attempted to pull the men off Quinn but
was thrown to the floor. She was eventually picked up from behind and pulled
outside the garage. Upset by what she witnessed, she went into the house and
vomited. She heard that Quinn was leaving, so she went looking for his car. She
then saw Jordan and Quincy banging on the hood of Quinn聮s car. Quinn was
sitting inside the car, waiting for her. He had a bloodied face.
(iii)
Ben Huton聮s Evidence
[12]
Ben
testified that he and his brother, Samuel, got into a discussion with Quinn
regarding a broken beer bottle. Quinn was standing closest to the broken
bottle, and Ben and Samuel told him to clean it up. Quinn expressed a desire to
leave. He went over to where Kayla and Vicky were standing. Ben then saw Joshua
engage with Quinn. When Quinn refused to apologize to Vicky, Joshua pushed
Quinn. He then saw Joshua swing at Quinn; he was uncertain whether he actually
made contact. He also thought he saw Bradley and Jordan push and swing at Quinn
a couple of times. Quinn was suddenly on the ground, and 聯there was just, kind
of, a melee of people everywhere.聰
(iv)
Zachary Powell聮s Evidence
[13]
Zachary,
the appellants聮 cousin, testified that he went outside after the fight had
started. He saw Quincy on top of Quinn and believed there were others on top of
him. He did not see Jordan nor Joshua in the pile of people. The fight was
broken up, and he saw Quinn leave to his car. He began to follow Quinn, but
Jordan intercepted him and led him inside. He observed Jordan searching for
ice; his hand was slightly swollen.
(v)
Lindsay Fumerton聮s Evidence
[14]
Lindsay,
Bradley聮s sister, testified that she heard an argument involving Bradley,
Joshua and Quinn. She later saw six or seven people in a circle, including:
Bradley, Joshua, Quinn, and possibly Jordan and Quincy. She could not say what
the people were doing. She followed Kayla inside when Kayla indicated that she
felt sick. She observed Jordan icing his hand.
(vi)
The Appellants聮 Police Statements
[15]
The
Crown also admitted the police interviews of Jordan and Joshua. In his
statement, Jordan claimed that he was not involved in the altercation. His only
role was to pull Vicky out of the commotion. He did admit that he threw one
punch after he saw someone hit his cousin, Zachary. He said he missed and hit a
van, hurting his hand. He denied damaging Quinn聮s car.
[16]
In
his statement, Joshua admitted that he got in a verbal disagreement with Quinn
after he witnessed Quinn acting aggressively towards his girlfriend, Vicky. He
said that Quinn pushed him and when Bradley got involved, he was pushed back.
He stated that he stood and watched as the fight unfolded. He pulled people off
Quinn and told him to leave.
(vii)
Defence Evidence
[17]
None
of the accused testified at trial and the defence called no evidence.
C.
DECISION BELOW
[18]
The
trial judge concluded that this could not be a consensual fight, given the
extent of the injuries. He further noted that there was no evidence of
self-defence or defence of person or property, as all the accused denied
involvement in the altercation. The trial judge convicted the appellants without
evidence that they had directly caused Quinn聮s injuries. He convicted them
based on their participation in a group assault in which Quinn suffered bodily
harm. He cited
R. v. Wood
, [1989] 51 C.C.C. (3d) 201, at p. 220, (Ont.
C.A.), for the following proposition:
Where evidence of concerted action in the commission of the
offence exists, as in the present case, then it is open to a jury to convict
all of the accused either as principals, under s. 229(a), or as aiders or
abettors, pursuant to s. 21 of the Code, even though the extent of the
individual participation in the violence is unclear.
Accordingly, the trial judge observed that 聯[i]f a
person participated in the melee, I will find them guilty of assault causing
bodily harm.聰
[19]
With
respect to the witnesses聮 testimony, the trial judge stated that Quinn聮s
evidence in chief was straightforward and clear. Quinn identified all the
co-accused as participating in the attack. However, after a 聯withering
cross-examination", Quinn聮s testimony was less clear. The trial judge made
the following observation: 聯Were [Quinn] the only witness in this matter, I am
not certain I could find a conviction on his evidence alone, due to his unreliability.
He was credible, but parts of his evidence was unreliable.聰
[20]
The
trial judge noted that Kayla was not a witness to the entire altercation, as
she left the area to vomit. However, he found her credible and reliable.
Kayla聮s testimony confirmed that all the accused were involved in the
altercation. He accepted her evidence that Bradley punched Quinn and that there
was a pile of people on Quinn, including Joshua, Jordan, Quincy, and Bradley.
He also accepted her evidence that it was Jordan and Quincy who were damaging
Quinn聮s vehicle.
[21]
The
trial judge also appeared to accept the evidence of Ben and Lindsay. Ben
confirmed that Joshua, Jordan, and Bradley were involved in a violent
altercation. Lindsay saw Bradley, Joshua, Jordan, Quincy and Quinn in a circle
around the time of the altercation.
[22]
The
trial judge rejected the evidence of Zachary because he did not view him as an
independent witness. As noted above, Zachary is the appellants聮 cousin. He is
also friends with the other accused. He had testified that he did not see his
cousins participate in the fight.
[23]
The
trial judge rejected the exculpatory statements that Jordan and Joshua made to
police.
[24]
With
respect to Joshua Powell聮s statement, the trial judge noted that his denial of
any involvement was inconsistent with the other witnesses聮 evidence. Joshua聮s
evidence provided significant detail about the argument leading up to the
altercation, yet it provided no details about the fight that supposedly
occurred right in front of him. While recognizing that an accused has the
absolute right to remain silent, the trial judge observed that 聯if you choose
to make a statement to police, then you must try to be accurate and tell the
truth to the best of your ability.聰 He noted that 聯[Joshua聮s] denial of any
involvement in the altercation is rejected and does not raise a reasonable
doubt in my mind.聰 The trial judge concluded that Joshua was 聯involved in the
melee as one of the principal actors.聰
[25]
The
trial judge also rejected the evidence of Jordan. Similar to his brother,
Jordan made a statement but provided no details as to what went on in the
fight. The trial judge rejected Jordan聮s excuse for needing ice for his hand
after the fight. As noted above, Jordan had admitted that he took a swing but
missed and hit a van. However, the trial judge noted that no one saw him punch
a van. Rather, witnesses saw him involved in the fight and then attacking
Quinn聮s car.
[26]
The
evidence against Quincy and Bradley was also clear. They had participated in
the altercation.
[27]
With
respect to the car, Quinn and Kayla聮s evidence was clear that Quincy and Jordan
were the ones who intentionally damaged it.
[28]
As
noted above, all four co-accused 聳 Joshua, Jordan, Bradley and Quincy 聳 were
convicted of assault causing bodily harm. Joshua was also convicted of a breach
of probation as a result of his assault conviction. Jordan and Quincy were
convicted of mischief.
D.
ISSUES ON APPEAL
[29]
The
appellants challenge their convictions on five grounds:
1.
the verdict was
unreasonable as there was insufficient evidence to ground convictions on the
assault count;
2.
the trial judge misunderstood the
mens rea
for assault causing
bodily harm;
3.
the trial judge聮s reasons were deficient;
4.
the trial judge erred by grounding a finding of guilt in his disbelief
of the appellants聮 exculpatory statements to the police; and
5.
the trial judge erred by rejecting Zachary Powell聮s evidence on the
basis of bias when the Crown did not impeach his credibility, contrary to the
rule in
Browne v. Dunn
, (1893), 6 R. 87 (H.L.) (Eng.).
E.
ANALYSIS
(i)
The Verdict Was Reasonable
[30]
For
an appellate court to conclude that a verdict is unreasonable, it must either:
1.
determine that
the verdict is one that a properly instructed jury or judge could not
reasonably have rendered; or
2.
determine that
the trial judge drew an inference or made a finding of fact essential to the
verdict that (a)聽is plainly contradicted by the evidence relied on by the
trial judge in support of that inference or finding; or (b) is shown to be
incompatible with evidence that has not otherwise been contradicted or rejected
by the trial judge:
R. v. Villaroman,
2016 SCC 33, [2016] 1 S.C.R.
1000, at para. 55;
R.聽v.聽R.P.,
2012 SCC 22, [2012] 1 S.C.R.
746, at para. 9.
[31]
This
standard requires an appellate court to re-examine, and to some extent,
re-weigh evidence and consider the effect of that evidence:
Villaroman,
at
para.聽55;
R. v. W.(R.),
[1992] 2 S.C.R. 122, at p. 131;
R. v.
Yebes,
[1987] 2 S.C.R. 168, at p. 186. Where the verdict is not
unreasonable, an appellate court will not interfere with a trial judge聮s
factual findings unless the trial judge has committed a palpable and overriding
error in making those findings:
R. v. Clark,
2005 SCC 2, [2005] 1
S.C.R. 6, at para. 9.
[32]
Each
of the appellants argue that the verdicts finding them guilty of assault causing
bodily harm were unreasonable. Both appellants submit that the evidence relied
upon by the trial judge could do no more than place them in the pile of people.
More was needed to ground findings of guilt on the assault counts.
[33]
For
his part, Jordan submits that no witnesses said that he punched or kicked
Quinn. Rather, according to Jordan, the evidence only placed him at the scene
of the altercation. He argues that, absent a finding of fact about the role he
played in the assault, the verdict was unreasonable.
[34]
Joshua
argues that there was insufficient evidence to support a finding that he
assaulted Quinn. Although Quinn testified that Joshua punched him, the trial
judge made the following observation qualifying the extent to which he could
rely upon Quinn聮s evidence:
Were [Quinn] the only witness in this matter, I am not certain
I could found a conviction on his evidence alone, due to his unreliability. He
was credible, but parts of his evidence was unreliable.
[35]
Joshua
also submits that the evidence of Ben, Kayla, and Lindsay do not support the
trial judge聮s findings. In particular, while Ben testified that he saw Joshua
throw a punch, he could not say with certainty that Joshua made contact.
Additionally, both Kayla and Lindsay testified that Joshua was involved in the
altercation, but neither provided any specific details about his participation.
According to Joshua, since the trial judge made no finding of fact about
whether he did in fact punch Quinn, there was insufficient evidence about his
involvement in the assault.
[36]
The
respondent submits that the verdict was reasonable and founded in the evidence.
The trial judge was entitled to make reasonable inferences on the basis of
compelling evidence about who was actively involved in the assault against
Quinn, and these inferences should be afforded deference on appeal. Moreover,
the findings of guilt were well founded on the evidence of multiple witnesses.
[37]
I
would not give any effect to this ground of appeal. As indicated, the
appellants bear a very heavy burden in seeking to displace a verdict on the
basis that it was unreasonable. The direct evidence at trial implicating both
appellants in the assault was overwhelming.
[38]
Quinn,
the victim of the assault, identified Joshua as first blocking him from exiting
the garage, then grabbing him by the shirt, and punching him in the face, after
which he fell to the ground. Quinn saw Jordan come towards him and join in on
the assault against him. Quinn described being kicked, stomped, and punched
while on the ground by all four assailants, including both appellants. He
specifically identified both appellants as being involved in the melee. Quinn
also testified that he clearly saw Jordan and Quincy banging on the hood of his
car.
[39]
The
trial judge noted that while Quinn聮s evidence was credible, portions were not
reliable. As such, the trial judge correctly looked for other corroborative
evidence to satisfy him beyond a reasonable doubt of the veracity of the
material portions of Quinn聮s evidence.
[40]
There
was an abundance of evidence at trial that substantiated Quinn聮s version of
events. In her evidence, Kayla identified both appellants as being on top of
Quinn when he was on the ground. She observed Jordan and Joshua punching and
kicking him. She also observed Jordan and Quincy banging on the hood of Quinn聮s
car. The trial judge found her evidence credible and consistent. Additionally,
Ben testified that he saw Joshua push Quinn at the start of the assault. As
well, Ben testified that he saw Joshua push and swing at Quinn. He was 聯fairly
certain聰 that Joshua hit him in the head. He also noted that, subsequently,
Jordan and Bradley swung at Quinn 聯a couple of times聰, but was unsure if they
hit him. Finally, both Zachary and Lindsay testified that they observed Jordan
icing his hand, which was slightly swollen. The trial judge was entitled to
accept some, none, or all, of each witnesses聮 evidence.
[41]
It
is clear from the trial judge聮s reasons that he considered all the evidence. In
light of the evidence and all available inferences, it was certainly open to
the trial judge to make the findings that he did, including that both
appellants were active participants in the group assault, resulting in bodily
harm to Quinn.
[42]
In
his supplementary factum, Jordan also argues that his police statement, which
contained an exculpatory version of events (namely, admitting to being part of
the altercation but only throwing a punch in defence of his cousin), was
entirely consistent with the evidence of all Crown witnesses. According to
Jordan, it follows that there remained a reasonable doubt as to his guilt.
[43]
I
do not agree. The trial judge聮s findings of fact are entitled to deference,
unless the appellant can establish that he has committed a palpable and
overriding error. I see no error in the trial judge聮s findings of fact that
warrants judicial interference. As indicated, it was open to the trial judge to
accept some, none, or all of a witnesses聮 evidence, including Jordan聮s evidence
that he injured his hand by striking a van, as opposed to injuring it when he
was striking Quinn during the assault.
[44]
I
am satisfied that the verdicts were reasonable. I would dismiss this ground of
appeal.
(ii)
Did the Trial Judge Err in His Understanding of the
Mens Rea
for Assault Causing Bodily Harm?
[45]
While
the appellants do not explicitly argue this issue as a separate ground of
appeal, they include this issue as an argument within their submissions on the
reasonableness of the verdict. The appellants argue that the trial judge erred
in his self-instruction on the
mens rea
required for assault causing
bodily harm. The appellants point to the trial judge聮s reasons, which state:
聯If a person participated in the melee [that caused the injuries to Quinn], I
will find them guilty of assault causing bodily harm.聰 The appellant says this
is an incorrect statement of the law, as the crime charged required both
participating in the melee and an intention to participate.
[46]
I
would not give effect to this ground of appeal. The trial judge聮s reasons, when
read as a whole, suggest that he understood the requisite elements of the
offence that the Crown had to prove beyond a reasonable doubt.
[47]
Technically,
the appellants are correct that mere participation in a melee in which the
complainant suffered bodily harm will not support a conviction of assault
causing bodily harm unless the accused person had the requisite
mens rea
.
The accused person聮s own act of participation must be intentional as opposed to
accidental. Moreover, before he can be held responsible for bodily harm that
may have been caused by another person involved in the group assault, it must
be found that the accused knew that the others were engaging in an assault, and
intended to assist in that assault:
R. v. Briscoe
, 2010 SCC 13, [2010]
1 S.C.R. 411, at paras. 16-17. In the specific circumstances of this case, there
was no need for the trial judge to address those
mens rea
requirements
expressly.
[48]
The
trial judge found that the appellants joined in the assault. No suggestion was
available on the evidence that this could have been accidental or unintended.
[49]
Moreover,
the trial judge understood that the appellants聮 convictions depended upon his
finding that they acted in concert with others. Acting in concert is inherently
purposeful conduct. Unless there is a live and realistic
mens rea
issue,
it is implicit in finding that an accused person actively participated in a
group assault by joining in the assault that the accused person did so
intentionally and for the purpose of assisting in that group assault. The trial
judge found that both appellants actively participated in the non-consensual
assault on Quinn in which Quinn was kicked, punched and stomped.
[50]
Although
the trial judge did not explicitly address the
mens rea
issues, in my
view, he did not err in finding that the Crown discharged its burden of proof.
[51]
Finally,
an accused who is involved in an intentional assault that results in bodily
harm cannot argue that he only intended the assault and not the bodily harm
that resulted, provided that a reasonable person, in the circumstances, would
realize that the force intentionally applied would put the victim at risk of
suffering some kind of bodily harm:
R. v. Palombi,
2007 ONCA 486, 222
C.C.C. (3d) 528, at paras.聽38-39. This principle applies equally in group
assaults. Where a reasonable person would realize that the group assault would
put the victim at risk of suffering some kind of bodily harm, an accused person
who has joined in a group assault cannot avoid responsibility by arguing that
they did not intend to cause bodily harm. Although the trial judge did not
explicitly address the objective foreseeability aspect of this offence, I am
satisfied that he was cognizant of the legal test to be applied. Indeed, it was
patently obvious from the evidence in this case that a reasonable person in the
appellants聮 shoes would realize that bodily harm could result from their
actions.
[52]
The
mens rea
requirement was therefore satisfied, and the trial judge was
correct in finding both appellants guilty of the charge. Accordingly, this
ground of appeal is also dismissed.
(iii)
The Trial Judge聮s Reasons Were Sufficient
[53]
The
appellants submit that the reasons are deficient because the trial judge did
not make sufficient findings of fact regarding party liability and the nature
of their participation in the assault. Joshua submits that although the trial
judge found him to be involved as 聯one of the principle actors,聰 the reasons do
not explain what his involvement in the altercation consisted of. Likewise,
Jordan argues that the trial judge did not make any findings of fact regarding
his role in the fight. Jordan points to the fact that he was scarcely mentioned
in this portion of the trial judge聮s reasons.
[54]
An
appeal based on insufficient reasons can only succeed if the appellants
establish that the trial judge聮s reasons are so deficient that they foreclose
meaningful appellate review:
R. v. Vlaski
, 2019 ONCA 927, at para. 9,
leave to appeal refused, [2020] S.C.C.A. No. 78;
R. v. Vuradin
2013
SCC 38, [2013] 2 S.C.R. 639, at para. 10.
[55]
Appellate
courts considering the sufficiency of reasons 聯should read them as a whole, in
the context of the evidence, the arguments and the trial, with an appreciation
of the purposes or functions for which they are delivered聰:
R.聽v.聽R.E.M.
,
2008 SCC 51, [2008] 3 S.C.R. 3, at para. 16. These purposes 聯are fulfilled if
the reasons, read in context, show why the judge decided as he or she did聰:
R.E.M.,
at para. 17.
[56]
The
key question is whether the reasons demonstrate that the trial judge seized
upon the substance of the critical issues at trial in a way that permits
meaningful appellate review:
R.E.M.
, at para. 55.
[57]
The
main issues in this case were whether the accused individuals intentionally
assaulted Quinn, and whether, as a result of the assault, Quinn sustained
bodily harm.聽 In his reasons, the trial judge carefully assessed all the
evidence, including the evidence of the two appellants, and gave very clear and
cogent reasons why he accepted and rejected the evidence that he did.
[58]
In
the reasons, it is clear that the trial judge found both appellants guilty of
the offence of assault causing bodily harm based on being parties to the
offence. In so doing, the reasons of the trial judge demonstrate that he was
satisfied beyond a reasonable doubt that both appellants were parties to
punching, stomping, and kicking Quinn on numerous occasions, and these
assaultive acts resulted in the serious injuries that Quinn sustained.
[59]
The
trial judge聮s reasons are not deficient simply because he did not identify the
precise actions of each appellant in the assault. It is clear when his decision
is read as a whole that he accepted testimony that the appellants participated
in a group assault in which everyone was punching and kicking Quinn. A trial
judge is not held to a standard of perfection:
R. v. Sheppard,
2002
SCC 26, [2002] 1 S.C.R. 869, at para. 55. The trial judge need not detail their
findings on each piece of evidence, so long as the findings linking the
evidence to the verdict can be logically discerned:
R.E.M,
at paras.
16-29 and 43.
[60]
When
the reasons are read as a whole, within the context of the evidence and the
arguments at trial, they are more than sufficient and fulfill the purpose for
which they were intended. Accordingly, I would not give effect to this ground
of appeal.
(iv)
Exculpatory Statements and the Right to Silence
[61]
The
appellants argue that the trial judge erred in the manner in which he rejected
their exculpatory police statements. Jordan argues that the rejection of his
statement appeared to stem from his decision not to provide details about the
fight and this runs counter to his constitutional right to silence. Meanwhile,
Joshua argues that the trial judge erred in using a disbelief in his
exculpatory statement to ground the conviction. He also argues that the trial
judge subtly reversed the burden of proof when he made the following comment:
聯Had Joshua Powell stated he was protecting his girlfriend from the argument
with [Quinn] and a fight between the two had ensued, it may have been
believable.聰 According to Joshua, failing to consider this alternative
explanation was an error, notwithstanding that Joshua did not raise it himself
as he did not bear the burden of proof.
[62]
I
cannot accede to these arguments. I am satisfied that the trial judge did not
err in the manner suggested by the appellants.
[63]
It
is without a doubt that an accused has a constitutional right to remain silent
during any part of a police interview. This right remains intact even if the
accused opts to speak to police about certain matters:
R. v. G.L.
,
2009 ONCA 501, 67 C.R. (6th) 278, at para. 39. As the Supreme Court explained
in
R. v. Turcotte
, 2005 SCC 50, [2005] 2 S.C.R. 519, at para. 52:
An individual can provide some, none, or all of the information
he or she has. A voluntary interaction with the police, even one initiated by
an individual, does not constitute a waiver of the right to silence. The right
to choose whether to speak is retained throughout the interaction.
[64]
The
right to silence prevents jurists from drawing adverse inferences from an
accused person聮s decision not to say more: see
Turcotte
; David
Paciocco, Palma Paciocco and Lee Stuesser,
The Law of Evidence
, 8th
ed. (Toronto: Irwin Law, 2020), at pp. 420-421. It is an error of law for a
trial judge to draw an adverse inference on an accused聮s credibility from their
silence during a police interview:
G.L.
, at paras. 38-39.
[65]
At
first glance, the trial judge聮s reasons appear to place some significance on
Joshua聮s choice not to say more in the police interview. Specifically, in
assessing Joshua聮s statement, the trial judge made the following comment:
聯There was no question a significant altercation occurred, but Joshua provided
little or no details about who was involved.聰 The trial judge returned to this
theme later in his reasons, noting that Joshua did not give 聯details about the
fight that occurred right at his feet.聰 However, he then went on to comment:
聯[w]hat evidence [Joshua] did give about the altercation was inconsistent with
the other witnesses聮 evidence.聰 The trial judge then detailed the contradictory
evidence of said witnesses, making clear that Joshua聮s statement simply did not
have the ring of truth to it. On this issue, he concluded: 聯聟Mr. Powell聮s
denial of any involvement in the altercation is rejected and does not raise a
reasonable doubt in my mind.聰
[66]
A
cursory review of the trial judge聮s assessment of Jordan聮s statement also
appears to give weight to Jordan聮s choice not to remain silent about particular
details. Specifically, the trial judge commented: 聯He chose to make a
statement, and yet provided no details as to what went on in the fight.聰
However, in the sentences that followed, the trial judge explained why Jordan聮s
statement did not raise a reasonable doubt. For example, he noted that Jordan聮s
excuse for needing ice for his hand was contradicted by the testimony of other
witnesses, which confirmed that he was involved in the fight and had attacked
Quinn聮s car.
[67]
Certainly,
the paucity of detail in the appellants聮 police statements cannot give rise to
an inference of guilt in these circumstances. But I am not convinced that the
trial judge聮s comments were significant or reflective of why the trial judge
rejected the appellants聮 exculpatory statements. In both cases, the trial judge
followed these comments by providing a detailed analysis of why the appellants聮
versions of events were blatantly contradicted by the other evidence. After
considering the totality of the evidence before him, he was entitled to
disbelieve the appellants聮 version of events and find that they did not raise a
reasonable doubt.
[68]
This,
in my view, was a proper use of both statements and in no way infringed their
Charter
right to remain silent. Essentially, all the trial judge was saying was
that the appellants chose to speak, as was their right, and in speaking, they
lied to police. That is a factor that he could and should consider in assessing
their credibility. After all, a right to silence is not a right to lie without
impunity.
[69]
Had
the trial judge drawn an inference of guilt from the fact that neither
appellant testified nor called evidence in their defence, there would have been
a breach of the appellants聮 right to silence. Likewise, a breach would have
occurred if the appellants had not provided a statement to the police and the
trial judge had drawn an inference of guilt on that basis. In both
circumstances, such comments would imply that an accused person is obliged to
speak in their own defence, thus reversing the burden of proof, which firmly
rests with the Crown.
[70]
However,
in the case before us, I am satisfied that the trial judge did not improperly
draw any adverse inferences from the appellants聮 silence in their police
interviews. Rather, the trial judge was aware of the appellants聮 rights and
instead rejected their statements due to a reasoned and considered assessment
of all of the evidence. He was entitled to determine what weight, if any, he
should afford to individual pieces of evidence, including the appellants聮
police statements.
[71]
That
being said, a trial judge must be careful not to equate disbelief of an
accused聮s version of events with guilt as that would displace the Crown聮s
burden to prove an accused聮s guilt beyond a reasonable doubt:
R. v. Coutts,
[1998] 40 O.R. (3d) 198 (Ont. C.A.),
at p. 203. I am satisfied
that this did not occur in this case. While the trial judge disbelieved the
evidence of the accused, he was mindful of the burden of proof on the Crown.
For example, in his reasons, he noted:
If I accept the statement of the accused, then I must acquit.
If the statement raises a reasonable doubt, I also must acquit. It is only if
the Crown has proven all the elements of the case beyond a reasonable doubt
that I can convict an accused.
[72]
As
noted above, Joshua also takes issue with the following statement by the trial
judge: 聯Had Joshua Powell stated he was protecting his girlfriend from the
argument with [Quinn] and a fight between the two had ensued, it may have been
believable.聰 This statement must be taken in its proper context. It is evident
that the trial judge was using this illustration to make the point that there
was no suggestion on the evidence before him that self-defence was in play. Both
Joshua and Jordan denied involvement in the altercation. There was no air of
reality to self-defence as there was no evidence upon which a reasonable jury
could acquit on that basis.
[73]
When
all is considered, I am not satisfied that the trial judge committed the legal
error alleged by the appellants. As such, I would not give effect to this
ground of appeal.
(v)
The Rejection of Zachary Powell聮s Statement
[74]
The
appellants argue that the trial judge聮s rejection of Zachary聮s evidence was
based on an unfounded inference of bias. They contend that the Crown did not
raise the issue of bias in accordance with the rule in
Browne v. Dunn,
and
it would be unfair to reject such evidence without any effort to impeach the
witness or without any factual foundation to suggest bias.
[75]
I
disagree. The appellants are essentially asking this court to interfere with
the trial judge聮s factual findings as to the credibility of Zachary. There is
no basis for this court to interfere with the trial judge聮s factual findings. A
trial judge聮s credibility findings are entitled to deference. An appeal court
may only interfere with a trial judge聮s factual findings 聳 such as a finding of
bias 聳 where the error is palpable and overriding:
Clark,
at para. 9.
I see no such error here. There was evidence before the trial judge about
Zachary聮s relationship with the appellants and one of their co-accused. The
trial judge was entitled to consider it in deciding whether to rely on
Zachary聮s evidence.
[76]
I
also do not agree that the rule in
Browne v. Dunn
was violated. The
rule in
Browne v. Dunn
is a rule of trial fairness that applies where
a cross-examiner intends to impeach a witness with contradictory evidence on a
matter of substance. It is meant to ensure that the witness is given a fair
opportunity to challenge contradictory evidence that the witness might have
been able to explain away:
R.聽v.聽Quansah
, 2015 ONCA 237, 323
C.C.C. (3d) 191, at paras. 75, 81. The relationship between Zachary and the
appellants is not contradictory evidence that challenged聽 anything Zachary
said. It was biographical information relevant to his general credibility as a
witness. Nor can there be any suggestion that the Crown conducted the
cross-examination in a way that deprived Zachary or defence counsel from addressing
this concern, had they chosen to do so. The rule in
Browne v. Dunn
was
not offended.
[77]
The
Crown is not precluded from inviting a trier of fact to be selective as to what
part or parts of any witnesses聮 evidence they should believe:
R. v. Walker,
[1994] 18 O.R. (3d) 184 (Ont. C.A.), at pp. 156-157. Similarly, as noted
above, a trier of fact or a trial judge may choose to believe some, none, or
all of a witness聮 evidence. In this case, the trial judge used Zachary聮s
evidence in the manner suggested by the Crown, and this was permissible.
[78]
In
all the circumstances, I would also dismiss this ground of appeal.
F.
DISPOSITION
[79]
Both
conviction appeals are dismissed. I would also not grant leave to appeal
Jordan聮s sentence.
Released: April 29, 2021 聯M.T.聰
聯M. Tulloch J.A.聰
聯I agree. David M. Paciocco J.A.聰
聯I agree. Harvison Young J.A.聰
|
COURT
OF APPEAL FOR ONTARIO
CITATION: R. v. Quinton, 2021 ONCA 44
DATE: 20210125
DOCKET: C65249
Tulloch, Paciocco and Harvison
Young JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Carl Quinton
Appellant
Michael Dineen and
Emily Lewsen
, for the appellant
Craig Harper, for the respondent
Heard: August 17, 2020 by video conference
On appeal from the conviction entered by
Justice Robert B. Reid of the Superior Court of Justice, sitting with a jury,
on March 8, 2017, and from the sentence imposed on June 26, 2017.
Harvison Young J.A.:
A.
Overview
[1]
The appellant appeals his conviction for the second
degree murder of Mark Gilby. Mr. Gilby was found dead in his apartment on Gale
Crescent on January 19, 2014. The appellant knew Mr. Gilby and occasionally
bought marijuana from him. He was captured on surveillance footage entering and
leaving Mr. Gilby聮s apartment building during the morning of the murder.
[2]
Central to the Crown聮s case was a confession
that the appellant made to undercover police officers more than a year after
Mr. Gilby was found dead in his apartment. The confession was the culmination
of an eight-month operation during which the Niagara Regional Police befriended
the appellant and recruited him into a fictitious criminal organization.
[3]
In the course of the confession, Mr. Quinton
divulged a number of details of the murder that, according to the Crown,
corroborated his confession.
[4]
In circumstances that I will discuss in greater
detail below, the trial judge did not hold a
voir
dire
on the issues as set out in
R. v. Hart
, 2014 SCC 52, [2014] 2
S.C.R. 544. The appellant argues that this was clearly an operation that fell
within the parameters of a 聯Mr. Big聰 operation. This rendered the confession
presumptively inadmissible and required the trial judge to conduct a
voir
dire
to determine whether it met the
Hart
test for admissibility. Moreover, he takes the position that had
the trial judge applied the
Hart
test and held a
voir dire
, there was ample basis to exclude
the confession for two reasons: first, because its probative value did not
outweigh its prejudicial effect; and second, because the circumstances leading
up to the confession as a whole constituted an abuse of process on the part of
the police, given the relationship that developed with the accused and his
particular vulnerabilities. He seeks a new trial.
[5]
The appellant also submits that even if the trial
judge did not err in admitting the confessions, he erred in failing to charge
the jury in accordance with
R. v. Mack
, 2014 SCC 58, [2014] 3 S.C.R. 3.
[6]
The respondent Crown argues that the trial judge
did not err in failing to hold a
Hart
voir dire
because the defence counsel at trial waived it
at trial. It takes the position that in any event, any concerns about the
reliability of the evidence were addressed by the corroborative evidence and also
submits that nothing in the circumstances gave rise to abuse of process
concerns. Finally, it submits that the charge to the jury met the functional
requirements of
Mack
.
[7]
For the reasons that follow, I would allow the
appeal and order a new trial. This was clearly a case to which the
Hart
considerations applied. The appellant did not waive a
voir dire
, and
even had he done so, the waiver of the
voir dire
would have been
invalid. It is not clear that the statement would have been admitted had a
voir
dire
been held. In particular, the confession raised abuse of process
concerns that needed to be canvassed in a
voir dire
.
B.
The Factual Background
(1)
The murder
[8]
Mark Gilby was discovered shortly before 5:00
p.m. in his apartment entryway surrounded by blood and without vital signs. He died
of blunt force injuries to the head, likely caused by a hammer or a hammer like
tool. His friend Diane Doucette had become increasingly alarmed when she was
unable to reach him on his phone throughout the day. She and a friend had gone
to his apartment around 4:30pm. When there was no answer to the door, which was
locked, they called 911. Paramedics found the body without vital signs.
[9]
Mr. Gilby had been given two sets of keys to his
apartment, including electronic building fobs which had distinct serial numbers.
Mr. Gilby was in frail condition and used a motorized scooter. One set of his
apartment and scooter keys could not be located in his apartment after the
murder.
(2)
The evidence against the appellant
[10]
The appellant quickly became a person of
interest in the murder after surveillance footage indicated that he had been at
the deceased聮s apartment on the day of the murder.
[11]
Surveillance footage first captured the
appellant at Mr. Gilby聮s apartment shortly before 10 a.m. on the day of the
murder. After waiting in the vestibule area, he left the building and walked
back in the direction that he came from. Afterwards, the appellant was captured
on St. Catharines Motorcycle Centre surveillance footage travelling on his
bicycle northbound on Riordan Street, just north of where it intersects with
Gale Crescent. He was wearing a dark jacket, dark pants, dark shoes, and gloves.
[12]
At 10:25 a.m., the appellant again approached the
intercom panel in the vestibule area of Mr. Gilby聮s building. After some
discussion with a resident who was leaving the building, the appellant again
left.
[13]
The appellant walked down the sidewalk before
turning around and returning to the vestibule. At 10:29 a.m., he used the
intercom to call Mr. Gilby and he was granted entry. The appellant walked
towards the elevator. He was out of view for approximately seven minutes before
he reappeared and exited the building at 10:37 a.m. When he reappeared, the
surveillance footage appeared to show some discoloration in the pocket areas of
the appellant聮s jacket, as well as something bulging and protruding from his
pockets.
[14]
The appellant conceded his identity in the
surveillance footage and the fact that he was at the apartment to see Mr.
Gilby. The appellant testified that, on his last visit that day, someone he
thought was Mr. Gilby answered his call from the intercom and buzzed him into the
building, but that when he knocked on Mr. Gilby聮s unit there was no answer, so
he left.
[15]
Approximately one-and-a-half hours after the
appellant left Mr. Gilby聮s apartment, he was captured on surveillance footage
riding his bicycle. He was wearing a different jacket and shoes. The appellant
testified that he changed his clothes because he got splashed while riding his
bicycle.
[16]
The police searched the appellant聮s apartment and
seized clothing and a pair of boots. No blood was found on the items.
[17]
The appellant testified that he had been to Mr.
Gilby聮s Gale Crescent apartment 10-15 times to purchase marijuana prior to the
date of the murder. On at least one occasion, he saw Mr. Gilby go into a
toolbox in his bedroom and return with half an ounce of marijuana. He testified
that, on January 18, 2014, the day before the murder, he attended Mr. Gilby聮s
residence and bought a gram of marijuana that Mr. Gilby had in a coat pocket in
the closet of the apartment entryway. The appellant testified that on that
date, there were no other people in the apartment that he could see. He further
testified that on the other occasions when he visited Mr. Gilby, he was
generally alone in the apartment.
[18]
The appellant聮s friend Sharon Shaw testified
that she and the appellant would meet regularly and smoke marijuana together,
which she purchased from the appellant. The appellant would purchase the
marijuana from a number of sources, including Mr. Gilby. Ms. Shaw told police
that two weeks after the murder of Mr. Gilby, the appellant gave her $170 in
cash and a half-ounce of marijuana for free. She testified that this was out of
the ordinary for the appellant. Ms. Shaw also testified that around this time,
the appellant told her that he had a female friend who helped him dispose of a
weapon.
(3)
The circumstances of the appellant
[19]
At the time of the murder, the appellant was
living on disability benefits, which usually amounted to just over $1,000 a
month. He testified that he had a trustee who handled his money, because he was
not very good with money. His trustee ensured that he had enough money for rent
and hydro.
[20]
After his expenses, he had around $500 a month
leftover, which he mostly spent on alcohol and marijuana. He would often become
intoxicated by the afternoon and would regularly drink to the point of passing
out. He frequented Start Me Up Niagara, where he could receive free meals. He
resold cigarette packs at a $5 profit on the side.
[21]
The appellant had documented anxiety and clinical
depression, for which he took medication. After the murder, the appellant
appeared to be in a bad mental state. His 58
th
birthday was coming
up, and he was depressed because he was about to outlive his father, who had
died by suicide over 20 years earlier.
[22]
In March, about two months after the murder, he
sent Ms. Shaw a note. He and Ms. Shaw had a falling out, which he discussed in
his note. He said he was depressed and heartbroken by what happened with Ms.
Shaw. He also gave her his bank card and told her to withdraw $500 and to 聯do something
useful with it.聰 She thought the note was a suicide note and went to the police
with it.
(4)
Project Gale
[23]
In the spring of 2014, the Niagara Regional
Police launched 聯Project Gale,聰 an undercover operation to investigate the
appellant for the murder of Mr. Gilby. Detective Sergeant Sean Polly acted as
the handler in charge of the operation. He testified that as a handler he did
not tell the undercover operators anything about the investigation or the
appellant.
[24]
On June 3, 2014, Ralph Hopiavuori, the principal
undercover officer, established contact with the appellant by defending him
from another undercover officer pretending to be an aggressive panhandler. Det.
Hopiavuori was not aware of the details of the homicide, simply that there was
a suspect.
[25]
Det. Hopiavuori then started attending
breakfasts at Start Me Up Niagara. One day, the appellant invited Det. Hopiavuori
to his home after they ran into each other on the street while the appellant
was inebriated, and Det. Hopiavuori was carrying a six-pack of beer. This
became a regular event. Det. Hopiavuori would attend the appellant聮s apartment
to watch movies together. Sometimes, Det. Hopiavuori would bring food or beer
with him to share with whoever was in the appellant聮s apartment. While the
appellant would smoke marijuana almost daily, Det. Hopiavuori never smoked with
him. During these encounters, the appellant would become very intoxicated,
sometimes to the point of losing control of his bowels or bladder.
[26]
In mid-July 2014, Det. Hopiavuori recruited the appellant
to Project Gale聮s fictional criminal organization that trafficked in contraband
cigarettes and stolen property from the United States and Southern Ontario and
arranged for passports to be forged to enable its members to cross the border.
The appellant went on 聯box runs聰 in which Det. Hopiavuori would drive him to
various locations and the appellant would load boxes of what he thought was
contraband with Det. Hopiavuori and other members of the organization. They
also attended simulated business meetings.
[27]
In addition to Det. Hopiavuori, there were around
a dozen other officers who pretended to work for the organization, although the
appellant was not introduced to all of them. The appellant became acquainted
with Detective Sergeant Chris Lemaich and Detective Constable Kevin Neufeld. Det.
Lemaich acted as someone with a similar role as the appellant and Det. Neufeld
acted as someone in a higher position within the organization.
[28]
Once, the appellant attended a clubhouse near
Kitchener that was apparently affiliated with the organization. According to
the appellant聮s testimony the clubhouse had pool tables, a Bentley, and was
lined with motorcycles. During this period, the appellant occasionally
travelled to hotels and casinos with Det. Hopiavuori and others. The appellant
testified that he thought that Det. Neufeld was connected to a biker gang.
[29]
In late August 2014, the appellant suffered a
stroke and was hospitalized for 16 days. Det. Hopiavuori visited the appellant in
the hospital regularly and Det. Neufeld visited once or twice. The appellant
testified that no one else had come to see him, aside from one visit from a
Start Me Up Niagara worker. Det. Hopiavuori also assisted the appellant by
checking in on his home while he was in the hospital, delivering his marijuana
and cigarettes to the hospital, and paying for a TV for his hospital room. He
also returned the appellant聮s overdue DVDs to the library and retrieved his
bank card.
[30]
When the appellant was discharged, he had a
severe leg tremor and was unable to walk or take showers unassisted. He was
initially reliant on a wheelchair but Det. Hopiavuori bought him a walker as
well as clothing, food, and a haircut. Det. Hopiavuori also drove him to
doctor聮s appointments. By his own words, the appellant was helpless after his
stroke. He went from being a mobile person to being affected by leg tremors. The
appellant continued to take part in the box runs after his stroke but in a
modified capacity. Before his stroke, he assisted with moving boxes of
contraband. After his stroke, his job was to keep watch for the police. He conducted
11 or 12 more runs, to further locations, and his compensation increased to
between $50 and $100 per run. Det. Hopiavuori continued to provide him with
food and beer.
[31]
While the appellant was in the hospital, he was
questioned by homicide detectives about Mr. Gilby聮s murder. He testified that
the police would show up at his home and he would regularly bump into them on
the street. In December, after what appeared to be months of increasing police
pressure, Operation Gale staged a scenario where the appellant and Det.
Hopiavuori were pulled over by the police. The police confiscated cigarettes
from Det. Hopiavuori聮s truck, purportedly worth thousands of dollars. When
questioned by Det. Neufeld about how this happened, Det. Hopiavuori told him
that the appellant was the suspect in a murder. Det. Neufeld assured them that
he would arrange something that would get the police to leave the appellant
alone. He came up with the following plan. The appellant would relay the
details of the murder to Det. Lemaich, who was supposedly dying of cancer. In
exchange, Det. Lemaich would receive $10,000 from Det. Neufeld, for him to give
to his family. Det. Lemaich was going to receive $5,000 up front and then
$5,000 after he confessed. It was in this context that the appellant ultimately
confessed to the murder.
[32]
The lead-up to the confession began on Monday,
February 2, 2015, when the appellant聮s Red Cross worker did not show up to help
the appellant shower. The next day, Det. Hopiavuori took him to a hotel where
he could bathe himself. On Wednesday, Det. Hopiavuori drove him home to
retrieve medication he left behind. As part of the scenario, police were
outside the appellant聮s door when they arrived. The appellant wanted to stop
and speak to them, but Det. Hopiavuori convinced him to return to the hotel. On
Thursday, Det. Hopiavuori took the appellant to the doctor to obtain a new
prescription. They planned to go to a pharmacy on Friday. At multiple points, the
appellant suggested that he call the police or that he go back to his place.
Det. Hopiavuori told the appellant that he would not take the appellant back to
his apartment.
[33]
By this point, the appellant was, in his words, a
mess. He had been without his medication for several days and was in an altered
mental state. He said that he had no idea what was happening with his head and
that he did not know where he was. The increasing pressure he felt throughout
the week from the undercover officers to confess exacerbated this. He confessed
on Thursday and Friday. He stated that he attended Mr. Gilby聮s apartment, stole
his marijuana, and attacked him with a hammer that he brought with him. On his
way out, he took Mr. Gilby聮s keys from the ignition of his scooter and locked
the door. He turned his jacket inside out, as he was covered in blood, called a
cab and returned home. He left the hammer in a park and threw the keys in a
sewer.
[34]
His confession came out in fragments. The
appellant alleges that many details were prompted by Det. Hopiavuori and other
officers. When his narrative contradicted known facts about the murder, Det. Hopiavuori
challenged him on it and worked with him to create a coherent narrative.
[35]
On Thursday, Dets. Hopiavuori and Neufeld took
the appellant to a hardware store where the appellant pointed out a hammer
similar to the one he said he used to kill Mr. Gilby. No hammer was ever found
in the park.
[36]
On Friday, the appellant said that he disposed
of the keys with the hammer or elsewhere in the park. Later that day, however,
the appellant brought Dets. Hopiavuori and Neufeld to a sewer where he said he
threw the keys. The keys were found in the sewer. The appellant was arrested
and charged shortly thereafter.
C.
The issues
[37]
There are three issues on appeal which will be
addressed in turn:
1.
Did the appellant waive the
voir dire
and, if so, was the
waiver valid?
2.
Would the confession have been admitted if a
voir dire
was
held?
3.
Was the jury charge adequate in warning the jury of the dangers
inherent in the confession?
D.
Law and Analysis
(1)
Did the appellant waive the
voir dire
requirement from
Hart
?
The Application of
Hart
[38]
The trial
Crown took the position that
Hart
did not apply because the appellant did
not make a Mr. Big confession. On appeal, the Crown did not seek to maintain this
position, arguing instead that the appellant waived the need for a
Hart voir dire
. The appeal Crown聮s concession that
Hart
applies to the
appellant聮s confession is correct. I will explain why this is so, and then
address the Crown聮s waiver argument.
[39]
Hart
dealt with the admissibility of
confessions made in the course of Mr. Big investigations. The classic Mr. Big operation
involves the luring of a suspect into a fictitious criminal organization. The
suspect is offered financial inducements and friendship. The operation
聯culminates with an interview-like meeting between the suspect and Mr. Big聰:
Hart
, at para. 2. During this interview,
Mr. Big questions the suspect about the crime and pushes the suspect for a
confession. By confessing, the suspect can gain acceptance into the fictious
criminal organization. Confessions made during a Mr. Big investigation are
presumptively inadmissible, because of the dangers posed by the investigative
technique.
[40]
In
Hart
, Moldaver
J. foresaw that police might make superficial changes to their operations to avoid
Hart
. As a result, he
defined a Mr. Big investigation broadly, at paras. 10, 85: 聯
where the state recruits an accused into a
fictitious criminal organization of its own making and seeks to elicit a
confession from him
any confession is presumptively
inadmissible聰 (emphasis added).
[41]
Accordingly, this court took an expansive view of the application of
Hart
in
R. v. Kelly
, 2017 ONCA 621, 387 C.R.R. (2d) 93, leave
to appeal dismissed, [2017] S.C.C.A. No. 474. Feldman J.A. wrote, at para. 35,
that although the undercover operation in
Kelly
did not have the 聯most
offensive tactics聰 of the traditional Mr. Big operation,
Hart
still
applied. The relevant question to determine whether
Hart
applies to an
operation is whether the operation poses the potential for the three dangers
identified in
Hart
: 聯unreliable confessions, the prejudicial effect of
the evidence of the appellant聮s participation in the scheme, and the potential
for police misconduct聰:
Kelly
, at para. 35.
[42]
The appellant聮s confession satisfies the requisite
criteria. The operation satisfies the
Hart
definition because (i) the state recruited the appellant into a
fictitious criminal organization of its own making in order to (ii) elicit a
confession:
Hart
, at
para. 10. The expanded criteria in
Kelly
are also met. As the following analysis discloses, the operation used
to secure the appellant聮s confession posed the potential of producing an
unreliable confession, generated prejudicial evidence relating to the
appellant聮s participation in the scheme, and had the potential for police
misconduct.
The confession was
presumptively inadmissible, and the requirement for a
voir dire
was
triggered, in which the Crown would have to show the confession to be
admissible.
Waiver of the
voir
dire
[43]
The admissibility of
evidence is for the trial judge to determine:
R. v. J.H.
, 2020 ONCA
165, at para. 56. The party seeking to admit presumptively inadmissible
evidence 聯must apply to the trial judge for an order permitting its reception聰:
J.H.
, at para. 57. The general practice is to invoke s. 645(5) of the
Criminal
Code
and to have the application heard before jury selection:
J.H.
,
at para. 58.
[44]
Of course, a party may generally waive the benefit
of exclusionary rules, thereby permitting presumptively inadmissible evidence
to be received. The respondent argues that this occurred here. It maintains
that through his trial counsel the appellant exercised his right to waive a
Hart voir dire
. The respondent contends
that absent an ineffective assistance of counsel argument (which the appellant
did not advance), the appellant must live with the consequences of tactical
decisions made by his counsel. Counsel is presumed to know the law. He was
aware of
Hart
and the
voir dire
procedure, as is evident by his
lengthy submissions to the trial judge on this issue. He made a tactical decision
to dispense
with the
voir dire
.
[45]
However, the law of waiver is unique as it
applies to confessions, no doubt because a confession is often decisive in
establishing guilt. A trial judge is obliged to conduct a
voir dire
into
the admissibility of a confession, even in the absence of objection, unless the
right to a
voir dire
has been expressly waived:
Park v. R.
, [1981]
2 S.C.R. 64, at p. 70. In
R. v. Sabir
, 2018 ONCA 912, 367 C.C.C. (3d)
426, at para. 24, Strathy C.J.O. described what is required:
As the Supreme
Court explained in
R.
v. Park
, [1981] 2 S.C.R. 64, at p. 73, there is
no particular wording or formula required to communicate an informed waiver.
However, the waiver must be express. "The question is: Does the accused
indeed waive the requirement of a
voir dire
and admit that
the statement is voluntary and admissible in evidence?":
R. v. Park
, at p. 74. In the context of a waiver made by defence counsel, the
court stated that the trial judge must be "satisfied that counsel understands
the matter and has made an informed decision to waive the
voir dire
": at p. 73.The onus on a trial judge with respect to
voluntariness is high, even where an accused is represented by counsel. As the
Supreme Court noted in
R. v. Hodgson
, [1998] 2
S.C.R. 449, at para. 41: "The trial judge has a duty 'to conduct the trial
judicially quite apart from lapses of counsel': see
R. v. Sweezey
(1974),
20 C.C.C. (2d) 400 (Ont. C.A.), at p. 417. This includes the duty to hold a
voir dire
whenever the prosecution seeks to adduce a statement of the accused
made to a person in authority聰.
[46]
Once a waiver has been offered the trial judge
has discretion to accept the waiver, to hold a
voir
dire
, or to make inquiries of counsel as to
factual admissions underlying the waiver:
Park
, at p. 70.
Although a trial judge is not
required to make inquiries before accepting the waiver, the trial judge must be
聯satisfied that counsel understands the matter and has made an informed
decision to waive the
voir dire
聰:
Park
, at p. 73.
[47]
In
Hodgson
, [1998] 2 S.C.R. 449, at para. 41,
Cory J. noted that 聯where the defence has not requested a
voir dire
and a statement of the
accused is admitted into evidence, the trial judge will only have committed
reversible error if clear evidence existed in the record which objectively
should have alerted him or her to the need for a
voir
dire
notwithstanding counsel聮s silence.聰 It
follows that if a statement of the accused is admitted into evidence without a
valid waiver, the trial judge will have committed a reversible error if clear
evidence existed in the record which objectively should have alerted him or her
to the need for a
voir dire
.
[48]
As I will explain, this review of the law
exposes problems in finding that the appellant waived his right to a
voir dire
. First, defence counsel did
not purport to waive the right to a required
voir
dire
. Instead, he erroneously conceded that a
voir dire
was not required because the rule
requiring a
voir dire
did
not apply. This concession was not a 聯waiver聰. Second, it is evident that
defence counsel did not understand the law that applies, and the trial judge
accepted the 聯waiver聰 without satisfying himself that counsel understood the matter
and made an informed decision. Indeed, there was clear evidence on the record
that should have alerted the trial judge to the need for a
voir dire
to determine compliance with
the rule in
Hart
,
notwithstanding defence counsel聮s mistaken concession that the rule did not
apply. Hence, even if defence counsel聮s concesssion amounts to a waiver, it was
not a valid waiver.
The circumstances of the purported waiver
[49]
In order to address the validity of the
appellant聮s purported waiver, it is necessary to consider the pre-trial and
mid-trial discussions between counsel and the trial judge.
[50]
The admissibility of the statement was not
properly canvassed at the judicial pre-trial. According to the trial Crown,
there was brief discussion about the admissibility of the confession at the
pre-trial stage. However, the appellant changed counsel after this pre-trial
discussion. When new counsel attended a continued judicial pre-trial, he was
not fully versed in the appellant聮s case. There was no discussion about a
Hart
voir dire
at that point
.
He stated that he believed that the only
live issue at the continued pre-trial was the
Charter
compliance of
the intercepts.
[51]
Defence counsel finally raised the issue a few
weeks prior to the start of the trial, advising Crown counsel that he believed
that
Hart
applied. Crown counsel disagreed and took the position that
defence counsel bore the onus of proving that the investigation was a Mr. Big
operation before the Crown was required to establish the admissibility of the
confession. It seems that the Crown took this position because, according to
him, there was no criminal hierarchy or violence.
[52]
The issue did not come up again until mid-trial.
In his cross-examination of Det. Polly, defence counsel asked questions related
to the nature of the operation and the officer聮s understanding of the
appellant聮s alcohol addiction, seemingly to establish a factual record for
admissibility. The trial judge challenged defence counsel on the relevance of
this line of questioning. The next morning, on March 1, 2017, defence counsel
made his first submissions on
Hart
:
[A]t the end of my
questioning of, of this witness, I would be arguing that
Hart
applies聟after
this witness is completed, I would be asking for you to make a finding. I would
ask that then we would
voir dire
the, the next witness. Not
necessarily about the statements themselves, just about circumstances in which
the statements were taken, the utterances were taken. And, and Your Honour
would, would make a finding that if the Crown had or had not satisfied the onus
that I believe is now a common law onus.
[53]
Upon hearing this, the trial judge was concerned
that this was not canvassed at the pre-trial stage and was specifically
concerned that the jury would be inconvenienced by the time it would take to
make a decision on this issue. The trial judge initially characterized the
question as whether or not the confession would go into evidence. At this,
defence counsel offered a 聯third course聰:
I think Your
Honour will find that
Mack
is the, is, is 聳 covers the ground here and
that you will suggest that we just hear the evidence in front of the, the jury
and then at the end Your Honour can make appropriate cautions about the, about
the evidence聟there are two 聳 three outcomes聟You could just deny the, the
application, assuming that you聮ll hear the application, you聮ll deny the
application. And I can understand how that could happen. You could grant the
application, do the
voir dire
and 聳
with the
remedies that are available or I think with an eye to the
Mack
case
which is a case, as I understand it, and please, I, I don聮t 聳
I聮m not terribly familiar with it at this juncture
. But
in, in
Mack
the trial proceeded to, to the end and the issue was the,
the judge making the appropriate cautionary remarks to the jury about what use
they can put the evidence to. [Emphasis added.]
[54]
The trial Crown stated that he would have called
its evidence in an entirely different manner had he known that this issue would
have been raised. He also stated his position that, if there was a
voir
dire
, that the Crown would have to introduce all 280 hours of recordings
and call other police witnesses.
[55]
At this point, the discussion of the
admissibility of the confession paused so that the cross-examination of Det.
Polly could be completed. The issue was again addressed after the completion of
the cross-examination. The trial judge summarized the live issues in this way:
As I see it, there
are two issues for the Court to consider at this point. The first is should
there be consideration of the confession, at this point, based on pre-trial
conference discussions. To put that another way, the whole point of pre-trial
discussions is to sort out in advance issues that are going to impact the
trial, so that once the trial begins, particularly with a jury, it can proceed
with relative efficiency, if I can call it that. The second issue for me to
consider at this point is 聳 and I聮ll put this in, in a short form, does
Hart
apply.
In other words, is there sufficient evidence
of a Mr. Big operation to trigger the presumption of inadmissibility at common
law?
[Emphasis added.]
[56]
Crucially, from this point on, it seems that the
only submissions on the substantive law related to whether or not
Hart
applied
聳 not whether the confession was ultimately admissible.
[57]
Crown counsel again insisted that if a
voir
dire
was to be held he would have to play weeks of intercepted
conversations to the Court:
I don聮t know what the procedure is for you to
consult with your colleague but no such application was brought before the
Court. The Crown would have called its evidence in an entirely different manner.
And if we are compelled to enter into a
voir dire
at this stage, I can
tell you there are 聳 in order for the Crown to make the record complete, there
are 280 hours of recorded conversations.
It聮s up to the
Crown to put all of the admissible evidence that would be relevant, in terms of
how this relationship developed, how it was fostered, the nature of it and, I
would respectfully submit that if it isn聮t being challenged on a
voir dire
,
with all those factors in mind.
[58]
Both defence counsel and trial judge pushed the Crown
on this position. Defence counsel stated that he anticipated that a
voir
dire
would take a few hours. The trial judge stated that it would not be
necessary or realistic to hear all the intercepts to determine whether there
was a Mr. Big or not. The trial judge indicated that a
voir dire
with
280 hours of recordings would lead to a mistrial. However, Crown counsel reiterated
his position that all 280 hours would have to be introduced into evidence.
[59]
On the substantive issue, Crown counsel stated
that the onus was on the appellant to establish that it was a Mr. Big operation
and that the groundwork for that argument had to have been done in a pre-trial
motion.
[60]
The trial judge again expressed concern about
the effect that a long
voir dire
would have on the jury and encouraged
counsel to come to make reasonable concessions to shorten the time required for
a
voir dire
. He also encouraged counsel to have an off-the-record
discussion.
Well, it might 聳 can I suggest that rather
than have a kind of an open, free flowing discussion on the record, you have a
discussion and then based on what you may conclude you can advise me on the
record.
If, as between
counsel, you can agree that the only other evidence, or I should say, testimony
that聮ll be called on
this threshold issue of whether a
Mr. Big operation applied
and, if so, as to the Crown聮s onus, if the
only evidence that you require is what聮s currently before the Court and the
evidence of Mr. Hopiavuori then we can proceed on that basis. [Emphasis added.]
[61]
The Court took a recess so that the Crown and
defence counsel could have an off-record discussion about how to proceed. They
returned having come to an agreement that: (i) defence would accept the Crown聮s
position that there was no Mr. Big within the meaning of
Hart
; (ii)
the issue of the reliability of the statement would be left to the jury; and
(iii) counsel would be expecting an instruction from the trial judge about the
nature of the inducements provided to the appellant. The Crown addressed the
court:
Your Honour, Mr.
Hadfield and I have had conversations and what I聮ve suggested to him is if
he concedes the Mr. Big point
, the evidence could easily
be used that we聮ve already heard to tell the jury that perhaps Mr. Quinton聮s
will was overwhelmed when he was speaking with this officer and I think that聮s,
that聮s fair play. So that聮s what we聮re aiming for. [Emphasis added.]
[62]
After the next recess, Crown counsel confirmed
that they would be proceeding without a
voir dire
and that the reliability
of the confession would be dealt with in the jury instruction. Defence counsel
made no explicit factual admissions.
[63]
The trial judge made no inquiries about the
legal basis for the conclusion that this was not a Mr. Big confession. But
during the pre-charge discussions, defence counsel made the following comment,
suggesting that in his view the criminal activity was not sufficiently serious,
and the organization was not sufficiently hierarchical to technically
constitute a Mr. Big operation:
[W]hether Your
Honour would have found this to be a Mr. Big operation or a Mr. Big style
operation except with a very small Mr. Big and a very mundane and paltry
criminal organization.
There are analogues between, in my
respectful submission, between Mr. Big style and this, this operation.
[Emphasis added.]
[64]
The trial judge appeared to agree with the
position that the crimes were not sufficiently serious for the operation to
constitute a Mr. Big operation. In pre-charge discussions, he distinguished
between Project Gale and a Mr. Big operation in the following way:
[U]nlike a Mr. Big
where they聮re looking at some serious bad crime and in effect having to prove
that you聮re capable of similar bad crime 聟 this is to me some petty crime about
moving some cigarettes around.
The purported waiver
was not a waiver
[65]
The respondent聮s submissions that the appellant
waived his right to a Mr. Big
voir dire
cannot be accepted. Appellant聮s
trial counsel did not advise the court that the appellant was waiving his right
to a
voir dire
into the admissibility of the confession. Instead, he had
agreed to accept the Crown position that Mr. Big did not apply. No waiver
occurred.
[66]
Even if defence counsel聮s mistaken concession
that
Hart
did not apply to the appellant聮s confession qualified as a
waiver, it would not have been a valid waiver. The decision made by defence
counsel was not informed and the trial judge failed to determine that it was.
[67]
First, it does not seem that defence counsel
appreciated the legal issues involved. The entirety of the on-the-record
discussion, prior to the purported waiver, related to the question of whether
Hart
applied to the confession. None of the discussion related to the
admissibility of the confession under
Hart
.
[68]
In addition, it does not appear that defence
counsel had turned his mind to the abuse of process concerns in this case.
Defence counsel聮s response to the trial judge聮s challenge to the relevance of
his questioning of Det. Polly related to the nature of the inducements provided
and how those inducements may undermine the reliability of the statement. Not
once during this exchange or during pre-charge discussions did defence counsel
highlight the abuse of process concerns.
[69]
The agreement counsel reached after their
off-the-record discussion was not an agreement that fully informed defence
counsel would have made. After the discussion, defence counsel agreed to accept
Crown counsel聮s position that
Hart
did not apply. In return, Crown
counsel agreed that a
Mack
-style jury warning on the reliability of
the confession would be given. However, the appellant would have been entitled
to a jury warning on the reliability of the confession in any event if the
evidence was admitted after a
voir dire
. A jury warning is required in
every single case involving an admissible Mr. Big confession. Defence counsel
received nothing in return for his concession. As appellant counsel described,
this agreement was more of an unconditional surrender than it was a deal.
[70]
Finally, statements made by defence counsel further
support the view that the waiver was not informed. Defence counsel was, by his
own admission, unfamiliar with the law around Mr. Big confessions. During the
pre-charge discussions, defence counsel characterized the operation as a 聯Mr.
Big style operation, except with a very small Mr. Big and a very mundane and
paltry criminal organization.聰 The only case that defence counsel relied upon
in his submissions other than
Hart
and
Mack
was
R. v. Derbyshire
,
2016 NSCA 67, 340 C.C.C. (3d) 1.
Derbyshire
did not involve a Mr. Big
investigation. Indeed, the circumstances of
Derbyshire
were far afield
from this case.
[71]
Upon review of the statements made by counsel on
the record, the nature of the agreement reached off-the-record, and the legal
issues, the only reasonable inference is that defence counsel did not
understand the legal issues and did not appreciate the implications of the
waiver of the
voir dire
. In short, the purported waiver was not
informed. Yet the trial judge failed to satisfy himself that counsel understood
the matter and had made an informed decision to waive the
voir dire.
He should have done so.
There was ample evidence on the record that should
have alerted the trial judge that
Hart
applied, entitling the appellant to a
voir
dire
. The
trial judge
erred in not holding one.
[72]
However, this is not the end of the analysis. When
there is no
voir dire
at trial, appellate courts will not intervene if
it is clear that the statement would have met the admissibility threshold if a
voir
dire
had been held:
R. v. Niemi
, 2017 ONCA 720, 355 C.C.C. (3d)
344, at paras. 3, 28;
Kelly
, at para. 78.
[73]
In
Niemi
, the confession was admitted
at trial, before the Supreme Court聮s decision in
Hart
. Paciocco J.A.
dismissed the appeal, as he found that the statements would have been admitted
under the
Hart
test. In his confession, Mr. Niemi had provided a
number of unreleased details of the murder. This bolstered the reliability of
the confession, 聯in spite of the non-coercive inducements聰 given to secure the
confession: at para. 29. The probative value of the statements was
聯impressive聰: at para. 29. In addition, there was no abuse of process; the
trial judge found that the Mr. Big operation was 聯exemplary聰 and 聯excellent
police work聰: at para. 31.
(2)
Would the confession have been admissible if a
voir dire
had been held?
[74]
The appellant argues that the record in this
case is insufficient for this Court to resolve the ultimate question of the
admissibility of the confession. However, he argues that, on the record
available, there is doubt that the confession was reliable. In addition, he
submits that it is highly arguable that the police conduct in this case would
shock the conscience of the community.
[75]
The respondent argues that the confession would
have been admitted. He argues that nothing in the circumstances of the
investigation suggests that the appellant聮s will was overborne and that his
confession was unreliable. In addition, the confession had several markers of
reliability, including that it contained precise details, including some not
publicized, and that it led to the discovery of further evidence. On the abuse
of process branch, the respondent argues that the investigation was skillful
police work. The investigation did not involve coercive behaviour that would
shock the conscience of the community.
[76]
A confession made during a Mr. Big operation is
problematic because there is a risk that the confession is unreliable and an
admitted confession is generally accompanied by bad character evidence:
Hart
,
at paras. 68-77. In addition, Mr. Big operations 聯create a risk that the police
will resort to unacceptable tactics in their pursuit of a confession聰:
Hart
,
at para. 78. Unacceptable police tactics can undermine the reliability of a
confession or be an abuse of process. In recognition of these dangers, Mr. Big
confessions are presumptively inadmissible.
[77]
In order to be admitted, the confession聮s
probative value must outweigh its prejudicial effect, and the police conduct
must not have amounted to an abuse of process. The confession聮s probative value
is tied to the reliability of the statement, while its prejudicial effect arises
primarily from the bad character evidence that must be disclosed during trial about
the subject聮s misconduct during the operation:
Hart
, at para. 85.
[78]
The abuse of process prong of the test 聯is
intended to guard against state conduct that society finds unacceptable, and
which threatens the integrity of the justice system聰:
Hart
, at para.
113. The operation 聯cannot be permitted to overcome the will of the accused and
coerce a confession聰:
Hart
, at para. 115. Importantly, Moldaver J.
stated, at para. 117, that 聯operations that prey on an accused聮s vulnerabilities
聳 like mental health problems, substance addictions, or youthfulness 聳 are also
highly problematic.
Taking advantage of these
vulnerabilities threatens trial fairness and the integrity of the justice
system
聰 (emphasis added).
[79]
In addition to mental health problems and
substance addiction, courts have explored whether the accused possessed traits
such as intelligence and 聯street smarts聰 and have also explored the degree to
which the accused was emotionally bonded to the undercover operatives, dependant
on the fictional criminal organization, socially isolated, and destitute:
Kelly
,
at paras. 38-39;
Neimi
,
at para. 29;
Yakimchuk
, 2017
ABCA 101, 352 C.C.C. (3d) 434, at para. 69.
[80]
Notably, Moldaver J. wrote that the abuse of
process in
Hart
was a 聯reinvigorated聰 analysis. He acknowledged, at
para. 114, that the abuse of process doctrine was rarely used to guard against
police misconduct in Mr. Big operations:
I acknowledge
that, thus far, the doctrine has provided little protection in the context of
Mr. Big operations. This may be due in part to this Court聮s decision in
R.
v. Fliss
, 2002 SCC 16, [2002] 1 S.C.R. 535, where Binnie J., writing for
the majority, described the Mr. Big technique as 聯skillful police work聰 (para.
21).
But the solution, in my view, is to reinvigorate the
doctrine in this context, not to search for an alternative framework to guard
against the very same problem.
The first step toward restoring the
doctrine as an effective guard against police misconduct in this context is to
remind trial judges that these operations can become abusive, and that they
must carefully scrutinize how the police conduct them. [Emphasis added.]
[81]
The Mr. Big operation in
Hart
聯preyed
upon the respondent聮s poverty and social isolation聰: at para. 148. In addition,
the police allowed Mr. Hart to drive long distances despite knowing that he had
a risk of seizure and could have had an accident while driving. Moldaver J.
commented, at para. 149, that 聯the police conduct in this case raises
significant concerns, and might well amount to an abuse of process.聰
Analysis on
admissibility
[82]
I agree with the appellant聮s submissions that
there are substantial issues related to the reliability of the confession and
the police conduct in this case that require a new trial and a
voir dire
to properly address. I cannot say that had a
voir dire
been held, the
confession would have been admitted.
[83]
It the outset, I note that the trial Crown聮s
position was that all 280 hours of intercepts would need to be introduced into
evidence on a
voir dire
. This position was unreasonable and appears to
be one of the root causes of why a
voir dire
was never held. In the
face of the trial Crown聮s submissions on this point, the trial judge stressed
that counsel should attempt to come to an agreement and make reasonable
concessions and, in the end, defence counsel conceded the Mr. Big point. The
respondent now attempts to argue on appeal that there is enough of an
evidentiary record to conclude that the appellant聮s confession would have been
admitted had a
voir dire
been held.
(i)
Probative value vs. prejudicial effect
[84]
The respondent is correct that the confession
appears to have led to the discovery of powerful inculpatory evidence: Mr.
Gilby聮s missing set of keys, which were in the storm sewer that the appellant
led police to. This is, on its face, a persuasive indicator of the reliability
of the confession. The defence position at trial was that the police officers coached
the appellant on the content of the confession and that the officers led the
appellant to the location of the keys. The appellant was simply responding to
non-verbal clues when he directed them to the correct storm sewer. The
appellant says that the recordings of the confession support the coaching
theory. He called evidence which suggested that the keys would have been
discovered much earlier, had they been deposited in the storm sewer when the
appellant said they were. Given my conclusion on the abuse of process concerns
and the fact that the record is incomplete on this issue, it is not necessary to
comment on the reliability of the appellant聮s confession, other than to say
that the evidentiary record on this point is incomplete.
(ii)
Abuse of process
[85]
The police conduct in Project Gale raised
serious concerns about abuse of process. The appellant was an alcoholic. He had
anxiety and depression that he was taking medication for, and at least one
recent instance of suicidal ideation. He eked out an existence on disability
benefits. He drank and smoked marijuana regularly and had to leave his
disability cheques with a trustee out of fear that he would not be able to
afford his living expenses due to his substance consumption.
[86]
When Det. Hopiavuori appeared as a new friend,
the appellant聮s life became easier. He suddenly had a network of people he
cared for, and who appeared to care for him. Det. Hopiavuori regularly bought
him food and alcohol. He received cash from the organization. The amounts may
not seem like a lot of money for most, but the appellant was a man scraping by
on his benefits. In eight months, he incurred $585 worth of debt and repaid
$440. Over that same period, the organization paid the appellant about $910.
During the time before the appellant聮s stroke, Det. Hopiavuori spent $260 on
alcohol for the two of them and whoever else was around. In total, he spent
over $970 on alcohol and almost $1,900 on food during the operation. He spent
around $160 on other expenses, including the walker, clothes, and a haircut for
the appellant. The fictitious organization also spent $837.88 on hotels for the
appellant. As Det. Polly acknowledged, the money was a lot for the appellant. Perhaps
most importantly, he was also made to feel useful and valued by the
organization, which began to give him tasks in this apparently criminal
enterprise.
[87]
Up until the point of the appellant聮s stroke in
August 2014, the circumstances of Operation Gale, although still concerning, may
not have been much different from many Mr. Big operations. However, from that
point on, the police conduct raised even more significant concerns. As the
appellant submits, Det. Hopiavuori took on a caregiving role in addition to a
friendship role. Det. Hopiavuori visited him in the hospital; purchased things
for him, including a walker and a TV; and picked up his medication.
[88]
This chronology reveals a significantly
increased level of dependence and vulnerability on the part of the appellant
after he suffered the stroke. While the evidence of Dets. Polly and Hopiavuori
was that they were merely looking after him so that he would be able to
continue in Operation Gale, it is clear that this also fostered a relationship
of increased dependency on the part of the appellant. The appellant was even
more vulnerable than he had been before the stroke. They accommodated his
physical constraints by limiting his role to that of lookout. He testified that
when he expressed some surprise at this, he was told that he was valued because
he was smart. They also took him to a hotel and paid so he could bathe which he
was unable to do, at least initially, at home.
[89]
It was during this period that the police
increased the pressure on him. They pulled the appellant and Det. Hopiavuori
over and seized what the police convinced the appellant were thousands of
dollars worth of cigarettes. Under this pressure, Det. Neufeld purportedly came
up with a plan that would relieve that pressure and provide the appellant聮s
friend, Det. Lemaich, with a way to support his family.
[90]
Then, in the final days before the confession, the
appellant聮s Red Cross worker did not show. The police staged an elaborate
operation, where it appeared that his apartment was swarmed by police. When Det.
Hopiavuori and the appellant saw the police cruisers, the appellant wanted to
speak to the police and clear things up. The appellant also wanted to retrieve
his medication. Det. Hopiavuori refused and convinced the appellant to leave. They
ended up back at a hotel. During the time at the hotel, Det. Hopiavuori
increasingly pressured the appellant to confess. Most concerning of all, the
appellant did not have his medication for the entire time at the hotel. By the
time he confessed, he was a mess, mentally.
[91]
In summary, the appellant was extremely
vulnerable and came to depend on Det. Hopiavuori: he had very little money and
lacked a social network; he had documented mental health issues, including
addition to alcohol; by the time of his confession, he had significant physical
health issues; and he was off his medication for three days in the lead-up to
his confession. The appellant聮s vulnerabilities were exploited, consciously or
not, by the operation: the police officers provided him with money; they made
him feel valued; they provided him food and alcohol; they were invaluable to
the appellant while he was recovering from his stroke; and they actively
prevented the appellant from obtaining medication right before the confession.
[92]
These are serious issues and it is by no means
obvious that the confession would have survived the scrutiny of a
voir dire
.
As the appellant states, it is highly arguable that the police conduct in this
case would shock the conscience of the community. I stress that these
statements were presumptively inadmissible, and the onus was on the Crown to
show otherwise.
[93]
A search of the post-
Hart
case law
indicates that very few Mr. Big confessions have been excluded because the
police conduct amounted to an abuse of process, despite Moldaver J.聮s comments
that the doctrine must be reinvigorated to guard against abusive police
conduct. It appears that the doctrine of abuse of process might still 聯be
somewhat of a paper tiger聰, especially in cases like the case at bar, where the
accused was not threatened with overt or implied violence:
Hart
, at
para. 79. This is despite Moldaver J.聮s comments, at paras. 78, 114, that
police conduct must be carefully scrutinized in light of the obvious 聯risk that
the police will go too far聰.
[94]
The promise of a 聯reinvigorated聰 abuse of
process doctrine must not be an empty one. The facts of this case demonstrate
that there is an ever-present risk that the police might go too far. It is the
court聮s role to provide for an 聯effective mechanism for monitoring the conduct
of the undercover officers who engage in these operations聰 and to 聯protect
against abusive state conduct聰:
Hart
, at paras. 79-80. That did not
happen in this case. These comments should not be taken to suggest that a
particular result must be reached in a new trial of this matter. Instead, they
are intended to signal to the courts more broadly that they must seriously
consider the applicability of the abuse of process doctrine in cases of this
nature.
(3)
The jury charge
[95]
Because of my conclusion on the admissibility of
the confession, it is not necessary to decide whether the jury charge was adequate
because a jury charge presupposes that the confession was properly admitted.
Moreover, had a
voir dire
been conducted, additional evidence may have
been admitted, thus affecting the necessary content of the charge. It may be
useful, however, to restate a few applicable principles.
[96]
First, and most importantly, even if a
confession obtained through a Mr. Big operation is determined to reach the
admissibility threshold at a proper
voir dire
and is admitted into
evidence, the issues about reliability and potential for prejudice identified
in
Hart
are not eliminated. These evidentiary issues must still be
mitigated at the jury instruction stage of the trial:
Mack
, para. 44.
[97]
The appellant argues that the jury charge fell well
short of the guidelines in
Mack
. Specifically, the jury charge did not
address specific reliability concerns associated with Mr. Big confessions and
it did not review the circumstances relevant to the confession. As a result, it
did not properly caution the jury about the reliability concerns in the
confession.
[98]
The respondent argues that the jury charge was
adequate. The charge as a whole accorded with the requirements of
Mack
.
He argues that a more detailed charge about the circumstances of the confession
would not have assisted the defence, because it would have included a list of
evidence that confirmed the reliability of the confession.
[99]
It is well established that an accused is
entitled to a properly, but not perfectly, instructed jury:
Mack
, at
para. 48. An adequate jury charge must caution the jury about the two
evidentiary concerns raised by Mr. Big confessions: the risk that the
confession may be unreliable and the fact that any confession is accompanied by
bad character evidence. These concerns do not disappear after the confession is
admitted:
Mack
, at para. 44. The details of this evidence will,
obviously, inform the specific content of the instructions to be given to the
jury.
[100]
There is no magic formula for a jury instruction in Mr. Big cases. However,
with respect to the reliability concerns, the trial judge should highlight that
the reliability of the confession is a question for the jury:
Mack
, at
para. 52. The trial judge should alert the jury to several factors relevant in
assessing the聽 reliability of the confession, including 聯the length of the
operation, the number of interactions between the police and the accused, the
nature of the relationship between the undercover officers and the accused, the
nature and extent of the inducements offered, the presence of any threats, the
conduct of the interrogation itself, and the personality of the accused聰:
Mack
,
at para. 52. The trial judge should also discuss any markers of reliability
that the confession contains.
[101]
Because there was no
voir dire
held in this case, it is not
useful to parse the trial judge聮s charge beyond setting out these general
principles. Depending on the
voir dire
, there may be more or less
evidence adduced at trial in relation to the reliability of any statements or
confession admitted.
E.
The sentence appeal
[102]
While the notice of appeal included a sentence appeal which has not
been formally abandoned, the issue was not argued before us. In any event, it
is not necessary to deal with the appeal given the conclusions I have reached
in the conviction appeal.
F.
Disposition
[103]
For these reasons I would allow the conviction
appeal and order a new trial.
Released: January 25, 2021
聯M.T.聰
聯A. Harvison Young J.A.聰
聯I agree
M. Tulloch J.A.
聰
聯I agree
David M. Paciocco J.A.
聰
|
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)聽聽聽聽聽聽 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)聽聽聽聽 any of the
following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽 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. R.A., 2021 ONCA 126
DATE: 20210301
DOCKET: C67929
Tulloch,
Harvison Young and Jamal JJ.A.
BETWEEN
Her
Majesty the Queen
Respondent
and
R.A.
Appellant
Paul
Calarco, for the appellant
Vallery
Bayly, for the respondent
Heard:
September 2, 2020 by audio and video conference
On appeal from the sentenced imposed by Justice Patrice F. Band of
the Ontario Court of Justice, dated September 30, 2019, with reasons reported
at 2019聽ONCJ聽684.
Tulloch J.A.:
A.
Introduction
[1]
This is an appeal of the sentence
imposed on September 30, 2019. The appeal relates only to the length of the
sentence, and not to any ancillary conditions imposed as part of the sentence.
[2]
The appellant pled guilty to
sexual assault, making sexually explicit material available to a child, and two
counts of child luring. He was sentenced to five and a half years of
imprisonment, reduced to five years after factoring in time served.
[3]
For reasons that follow, the
appeal is dismissed.
B.
Background Facts
(1)
M.D.
[4]
The complainant, M.D., was fifteen
years old. The appellant met M.D. online. They chatted over Facebook for a few
weeks and then met in person in January聽2016. In July 2016, the Children聮s
Aid Society (聯CAS聰) learned that M.D. was residing with the 35-year-old
appellant. While they lived together, M.D. slept in a spare bedroom. The
appellant sometimes took M.D. to movies, gave him beer and food, and gifted him
an old iPhone.
[5]
M.D.聮s biological parents were
aware of the living situation. Due to concerns about M.D.聮s relationship with
the appellant, the CAS apprehended him and placed him in foster care. M.D. was also
directed to cease all contact with the appellant.
[6]
M.D. and the appellant continued
to contact each other with inappropriate electronic messages. The CAS took
steps to prevent further communication.
[7]
By October 2016, M.D. was moved to
a group home after his foster parents reported finding child pornography on his
phone.
[8]
The police subsequently found
further online sexual communications between the appellant and M.D., which were
sent between February and April聽2016. These communications revealed that
there had been sexual contact, and that the parties had exchanged sexually
explicit material. The appellant and M.D. called each other pet names, had engaged
in oral sex, and the appellant had sent the complainant sexually explicit
images of naked males and anal penetration. A fictitious Facebook account was
used to allow the parties to maintain contact without detection.
[9]
In September 2017, the police
interviewed M.D. He indicated that: the parties had engaged in sexually
explicit chats; the appellant touched M.D.聮s penis over his clothing while he
was at the appellant聮s home; there was mutual touching of this nature; they performed
fellatio on each other; and the appellant anally penetrated M.D. on at least
two occasions. M.D. kept these incidents secret.
(2)
聯Drake聰
[10]
Between August 2016 and March
2017, an undercover police officer communicated with the appellant. The officer
claimed to be a fourteen-year-old male named 聯Drake.聰聽 When they first started
chatting, the appellant was thirty-聽five.
[11]
The appellant sought to have
sexual contact with 聯Drake.聰 He asked to have Drake聮s picture and suggested
that they go for coffee or to a movie or hotel together. He also suggested that
Drake could sleep at the appellant聮s house. The appellant asked Drake to keep
their communications secret.
C.
The Sentencing Decision
(1)
Circumstances of the Offender
[12]
After setting out the facts
surrounding the offence, summarized above, the sentencing judge turned to the
circumstances of the offender.
[13]
R.A. is now 38 years old. He had a
difficult upbringing. His parents divorced at a young age. His mother聮s new
partner was alcohol and drug dependent; he became abusive towards her. Beyond
the instability in his childhood home, R.A. was sexually abused by a peer
during high school.
[14]
Since then, the appellant has held
steady employment. He lived with his mother and her partner until 2012, when
his mother died unexpectedly. He is currently involved in a monogamous
relationship with an age-appropriate partner. His partner has expressed a
willingness to continue the relationship provided that R.A. makes changes in
his life.
(2)
Reports of Dr. Julian Gojer
[15]
The sentencing judge next
considered the reports of a psychiatrist, Dr. Julian Gojer, which were adduced
by defence counsel.
[16]
Dr. Gojer diagnosed the appellant with
homosexual hebephilia, being an attraction to pubescent males. The appellant
was also attracted to adult males. His history demonstrated no major mental
illness, substance abuse disorder or personality disorder. He took
responsibility for his offending and accepted the need for counselling.
[17]
The doctor聮s original report indicated
that the appellant was a risk to underaged males, but the risk was in the low
range and could be further lowered with treatment, which the appellant admitted
that he needed. Upon request, Dr.聽Gojer provided two further reports that clarified
and qualified this finding: he was careful to note that the appellant聮s
assessment of low risk was predicated on his participation in treatment, which
had not yet occurred.
[18]
Dr. Gojer recommended treatment
for the appellant while in custody and in the community. The indications were
that the appellant would engage in treatment. He had the capacity to benefit
from treatment, and since the appellant was also attracted to adult males, he
could re-direct his urges in a lawful way.
(3)
Mitigating and Aggravating Factors
[19]
The sentencing judge set out
several mitigating and aggravating factors.
[20]
The mitigating factors listed by
the sentencing judge included: the appellant pled guilty; he was open to
therapeutic intervention; he expressed remorse; he had no criminal record; he
had no drug or alcohol issues; he was currently in an age appropriate
relationship; and he had a strong work history with support in the community.
[21]
The sentencing judge also properly
considered the aggravating factors, which included: the young age of M.D. and
the perceived young age of the undercover officer (聯Drake聰); the twenty year
age gap between the appellant and M.D.; the 聯grooming聰 techniques employed by
the appellant; the vulnerability of M.D.; the appellant kept in contact with
M.D. knowing that they were not supposed to communicate with each other; the
use of a fictitious Facebook page to conceal their contact; the progression of
the conduct over a nine month period; and the repeated instances of fellatio
and unprotected anal penetration with M.D.
(4)
Counsel Proposals for the Sentence
and the Disposition
[22]
At the sentencing hearing, the
Crown requested a global sentence of six years聮 imprisonment. The defence
requested two years, followed by three years of probation.
[23]
The sentencing judge imposed a
global sentence of five-and-a-half years, reduced to five years after taking
into account pre-sentence custody and restrictive bail conditions.
D.
Positions of the Parties
(1)
Position of the Appellant
[24]
The appellant argues that the
sentencing judge erred by not considering the appellant聮s rehabilitative
prospects as mitigating. Specifically, it is submitted that the sentencing
judge erred by considering the fact that the appellant had not engaged in
counselling without also considering the practical availability of counselling.
The appellant had been arrested in January 2018 and was held in pre-trial
custody. There was no basis to believe he could receive counselling in
provincial pre-trial facilities. He was released on very restrictive bail conditions
in March 2018, which provided little, if any, opportunity to engage in
counselling. The appellant argues that the sentencing judge effectively held it
against him that he had not engaged in counselling, while not appreciating how
difficult it was for him to actually obtain counselling. In doing so, the
sentencing judge erred in law.
(2)
Position of the Respondent
[25]
The respondent argues that there
is no basis for appellate intervention. The appellant has not shown that the
sentencing judge committed any error of law or principle, nor that the sentence
is demonstrably unfit.
[26]
The sentencing judge did not
exercise his discretion unreasonably in weighing the relevant aggravating and
mitigating factors. The weight that the judge assigned to each individual
factor is owed deference.
[27]
The sentencing judge did not fail
to consider the appellant聮s rehabilitative prospects. When considering the
evidence before the court in its totality, it was open to the judge to conclude
that the appellant聮s risk of re-offending was not so low that it comprised a
separate mitigating factor. The judge聮s treatment of this factor as neither
mitigating nor aggravating was within his discretion and is owed deference on
appeal. Furthermore, the appellant聮s sentence is fit when measured against the
gravity of the offence and moral culpability of the offender.
[28]
Regarding Dr. Gojer聮s report, the respondent
submits that the sentencing judge did not disregard Dr. Gojer聮s expert opinion.
Rather, he acknowledged Dr.聽Gojer聮s finding that the risk of reoffending
was in the low range. The sentencing judge declined to characterize the
appellant聮s risk level as mitigating because Dr.聽Gojer was careful to
predicate his finding of low risk on the appellant聮s participation in
counselling. As of the date of the sentencing hearing, the appellant had not
engaged in counselling or treatment. The respondent submits that this was not
in error. The evidence indicated that there was some risk to re-offend, but
again the risk would be lowered if the appellant made a strong commitment to
his rehabilitation.
[29]
The respondent submits that the
sentencing judge was not required to consider the 聯practical availability聰 of
counselling under the appellant聮s bail conditions. A finding that counselling
was unavailable would have required speculation. There was no evidence about
the availability of treatment while the appellant was on bail, either before or
after the house arrest condition was considerably loosened to permit the
appellant to pursue employment opportunities. Further, the respondent points
out that defence counsel did not raise this issue in submissions at the
hearing, despite affirming that the appellant had not yet engaged in treatment.
E.
Discussion
(1)
The Standard of Review
[30]
On review, appellate courts afford
significant deference to sentencing judges in crafting a proportionate sentence.
An appellate court may intervene only if: (i)聽the sentence was
demonstrably unfit, or (ii) the sentencing judge made an error of law or error
in principle that had an impact on the sentence:
R. v. Friesen
, 2020 SCC 9, 391 C.C.C. (3d) 309, at paras. 25-26;
R. v. Lacasse
, 2015 SCC 64, [2015] 3 S.C.R. 1089, at paras. 39-41,
44, 51.
[31]
The sentencing judge聮s weighing of
relevant factors is a matter of discretion that is owed deference:
Lacasse,
at para. 49. It can constitute an error in principle 聯[o]nly
if by emphasizing one factor or by not giving enough weight to another, the
trial judge exercises his or her discretion unreasonably聰:
Friesen,
at para. 26. In other words, an appellate court cannot
intervene simply because it would have weighed the relevant factors
differently:
Lacasse,
at para. 49. Moreover, not every error in principle is
material. Again, intervention is only justified where it is apparent from the
judge聮s reasons that the error impacted the sentence:
Friesen,
at para.聽26.
[32]
On appeal, the court must show
deference to the sentencing judge聮s findings of fact and their identification
of aggravating and mitigating factors, to the extent that they are not affected
by an error in principle:
Friesen
, at paras. 26, 28.
(2)
The Sentencing Judge Did Not Err
in Law or Principle
[33]
I do not see any error of law or
principle committed by the sentencing judge. The sentencing judge properly
considered and weighed the mitigating and aggravating factors. If the appellant
receives counselling now, that will be to his credit. However, the fact that he
had not obtained counselling at the time of sentencing does not appear to have
been of any overriding importance to the sentencing judge. It was only one
consideration and related to the risk posed by the appellant. Moreover, the
sentencing judge cannot be faulted for failing to consider the unavailability
of counseling when that was neither raised nor explored in the evidence.
[34]
Contrary to the appellant聮s
submissions, the trial judge considered significant mitigating factors bearing
on the appellant聮s rehabilitative potential when reaching the decision as to
sentence: namely, his openness to therapy; his guilty plea; his expression of
remorse; his lack of a criminal record; his strong work history; and his
support in the community. In light of the absence of any error in law or
principle, the sentencing decision is entitled to deference.
(3)
The Sentence Imposed Was Not
Demonstrably Unfit
[35]
Deterrence and denunciation are of
prime importance for offences involving a sexual assault of a child: see the
Criminal Code,
R.S.C. 1985, c. C-46,
s. 718.01;
Friesen,
at paras. 101-105. Sentences for such offences should
be strict. Factors justifying longer sentences include conduct found to be
聯grooming,聰 as well as the degree of physical interference with the victim聮s
bodily integrity:
Friesen
,
at paras.聽125, 138, 153.
[36]
It must be considered that the
appellant expressed remorse, which reflects some insight into his conduct, and
also that he was willing to seek treatment.
[37]
However, the Supreme Court of
Canada recently emphasized the need to impose sentences that accurately reflect
the wrongfulness and harmfulness of sexual offences against children:
Friesen,
at para. 5. Courts must take heed of the well known
and longstanding consequences of sexual offences against children. This court
summarized some of these consequences in
R. v. D.M
.,
2012 ONCA聽520, 111 O.R. (3d) 721, at para. 38, citing this court聮s earlier
decision in
R.聽v.聽D.(D.),
[2002] 58 O.R. (3D) 788 (Ont. C.A.):
(i) children often suffer immediate physical
and psychological harm; (ii) children who have been sexually abused may never
be able, as an adult, to form a loving, caring relationship with another adult;
(iii) and children who have been sexually abused are prone to become abusers
themselves when they reach adulthood.
[38]
While the Supreme Court did not
establish a precise range, it stressed that 聯mid-single digit penitentiary
terms for sexual offences against children are normal聰:
Friesen,
at para. 114. This court has also stated that adults
who sexually abuse children 聯must face the prospect of a significant
penitentiary term聰:
R.聽v.聽Woodward
, 2011 ONCA 610, 276 C.C.C. (3d) 86, at para. 75. It
has upheld sentences between four and six-and-a-half years in similar
circumstances: see
Woodward,
at para. 75;
R. v. Saliba
, 2019 ONCA 22, at para. 28;
R. v. R.B.,
2014 ONCA 840, 327 O.A.C. 20, at paras. 7-12;
D.(D.),
at paras. 32-35, 44; and
D.M
., at paras. 36-44.
[39]
The sentence imposed on the
appellant fell within the mid-single digit range.
[40]
The appellant preyed on a
vulnerable young person for an extended period of time. He tried to prey on
another young person not knowing that he was an undercover officer. While the
appellant is remorseful, and hopefully will make efforts to obtain counseling,
it cannot be said that the sentence imposed by the sentencing judge was
demonstrably unfit.
F.
Disposition
[41]
Leave to appeal the sentence is
granted. The sentence appeal is dismissed.
Released: March 1, 2021 聯M.T.聰
聯M. Tulloch J.A.聰
聯I agree. Harvison
Young J.A.聰
聯I agree. M. Jamal
J.A.聰
|
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.聽 These sections of
the
Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the following
offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED:
S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings in respect of
the offences referred to in paragraph (1)(a) or (b), the presiding judge or
justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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.聽 8(3)(b);
2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c.聽 13,
s. 18.
486.6(1)聽聽聽聽聽聽 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)聽聽聽聽 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. R.H., 2021 ONCA 236
DATE: 20210415
DOCKET: C67927
Pardu, Brown and Paciocco JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
R.H.
Appellant
R.H., acting in person
Brian Snell, duty counsel
Philippe Cowle, for the respondent
Heard: April 9, 2021 by
videoconference
On appeal from the sentence imposed on December
17, 2019 by Justice Peter C. West of the Ontario Court of Justice, with reasons
reported at 2019 ONCJ 892.
REASONS FOR DECISION
[1]
R.H. appeals from sentences totaling six years,
imposed following his guilty pleas to sexual interference, making child
pornography and accessing child pornography. He was sentenced to prison terms
of five years, one year consecutive, and one year concurrent, respectively. The
sentencing judge also imposed a number of ancillary orders, including a
lifetime prohibition order under s. 161(1) which, among several other things,
forbids the appellant from accessing the internet except in accordance with
conditions set by the court.
[2]
The appellant submits on appeal that the
sentences were too harsh.
[3]
The appellant sexually abused C.S. for years,
beginning when C.S. was only ten years old. The appellant was 35 years senior
and there was a family connection: he was a cousin of C.S.聮s stepfather. The
appellant began by taking C.S. on short overnight trips where they would wake
up in the same bed with their hands on each other聮s intimate body parts. Oral
and anal intercourse later began. They would meet each other every 1-3 months. A
system of penalties was established. If the complainant did not communicate
with the appellant every day, he would have to atone for it by performing
sexual acts.
[4]
The appellant submits that the sentencing judge
erred
by concluding that the appellant created the penalty regime. It is of no moment
to the sentence whether the appellant created this or merely participated in
it. Other factual concerns raised by the appellant were also immaterial to the
sentence imposed, which was at the lower end of the appropriate range,
reflecting the appellant聮s guilty pleas.
[5]
The offences came to light in 2018 when C.S.聮s
girlfriend, S.L. learned of the abuse. She initially pretended to be C.S. and
would communicate with the appellant as was expected. She offered to take
C.S.聮s place and sent the appellant some unclothed pictures of her. Finally, S.L.
went to a police station to complain that the appellant was threatening her and
C.S. The police executed a search warrant at the appellant聮s apartment and
found nude pictures of both C.S. and S.L.
[6]
At the sentencing hearing, the Crown sought a nine-year
sentence. The defence suggested 3-4 years, arguing that the appropriate range
was 3-5 years, and that the lower range was fit because of the guilty pleas.
[7]
The sentencing judge was guided by
R. v. D.(D.)
(2002),
58 OR (3d) 788 (C.A.), holding
that the appropriate sentence range where the offender is in a position of
trust and sexually abuses children on a regular basis over substantial periods
of time should be mid-to-upper-single-digit penitentiary terms.
[8]
The aggravating factors included the abuse of
children under 18 years of age, abuse of a position of authority or trust in
relation to C.S., grooming C.S. starting at the age of 10, the escalation of
the nature of the sexual abuse towards C.S., the large number of incidents,
multiple victims, the severe impact on the complainants, the control exercised
over C.S., and the tendency of the appellant to blame C.S. for the sexual
contact. Both complainants inflicted self-harm as a result of the abuse. C.S.
had suicidal thoughts and on several occasions fashioned nooses in his room
with that purpose in mind. He suffered from severe depression as a result of
the abuse. Both S.L. and C.S. suffered damage to their relationships with
family and friends. The sentencing judge concluded that the sexual abuse had 聯a
significant and serious impact on their emotional well-being and development.聰
[9]
The mitigating circumstances included the
absence of any criminal record, the guilty pleas, the appellant聮s gainful
employment, and that he was the sole provider for his elderly mother. The
appellant was 53 years old at the time of sentencing.
[10]
The sentencing judge concluded that anything
less than a global six-year sentence would not properly address denunciation
and deterrence and the need to protect the wellbeing of children.
[11]
The sentencing judge聮s careful and detailed
reasons reveal no error in principle in his selection of a six-year global
sentence and the sentence imposed was fit.
[12]
As noted in
R. v. Friesen
,
2020 SCC 9, 444 D.L.R. (4th) 1, at
para. 26:
an appellate
court can only intervene to vary a sentence if (1) the sentence is demonstrably
unfit or (2) the sentencing judge made an error in principle that had an impact
on the sentence. Errors in principle include an error of law, a failure to
consider a relevant factor, or erroneous consideration of an aggravating or
mitigating factor. The weighing or balancing of factors can form an error in
principle only if by emphasizing one factor or by not giving enough weight to
another, the trial judge exercises his or her discretion unreasonably. Not
every error in principle is material: an appellate court can only intervene if
it is apparent from the trial judge聮s reasons that the error had an impact on the
sentence. If an error in principle had no impact on the sentence, that is the
end of the error in principle analysis and appellate intervention is justified
only if the sentence is demonstrably unfit. [Internal quotations and citations omitted.]
[13]
In
Friesen
, the Court held that an
appellate court was wrong to decrease the six-year sentence imposed by the
trial judge for child sexual abuse to four-and-a-half years incarceration. In
doing so, the Court emphasized that denunciation and deterrence must be prioritized
for offences of sexual offences against children, because of the serious harm
caused by these crimes and the inherent vulnerability of the victims. The
sentencing judge聮s weighing of the factors is entitled to deference.
[14]
Duty counsel, on behalf of the appellant, points
out that the prohibition order relating to internet use is too broad, having
regard to this court聮s decision in
R. v. Brar
, 2016 ONCA 724, 134 O.R.
(3d) 103. The prohibition imposed by the sentencing judge forbids the appellant
from:
using the Internet
or other digital network, unless the offender does so in accordance with the
conditions set by the court, including but not limited to: any digital medium
for the purpose of accessing, viewing, downloading, sharing, or otherwise any
material that meets the definition of pornography and/or obscenity and not to
participate in file sharing by any means.
[15]
The Crown and the appellant agree that this
language should be deleted. They submit, and we agree, that the following
lifetime prohibition should be substituted:
The Offender is
prohibited from using the internet or any similar communication service to:
1.
Access any content that violates the law;
2.
Access any social media sites, social network,
internet discussion forum or chat room, or to maintain a personal profile on
any such service;
3.
Access, view, download, or share and material
that meets the definition of pornography or obscenity.
[16]
It also appears that the appellant was not given
credit for 17 days pre-sentence custody. The sentence on the making child
pornography charge, contrary to s. 163.1(2), and the accessing child
pornography charge, contrary to s. 163.1(4.1), are reduced by 26 days, for a
net sentence of 339 days on those counts, to reflect this amount.
[17]
There is no basis for further appellate
intervention and the appeal is otherwise dismissed.
聯G.
Pardu J.A.聰
聯David
Brown J.A.聰
聯David
M. Paciocco J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Ramelson, 2021 ONCA 328
DATE: 20210517
DOCKET: C68767
Juriansz, Tulloch and Paciocco
JJ.A.
BETWEEN
Her Majesty the Queen
Appellant
and
Corey Daniel Ramelson
Respondent
Katie Doherty, Tracy Kozlowski and Lisa
Fineberg for the appellant
Richard Litkowski, for the respondent
Heard: January 12-13, 2021 by
videoconference
On appeal from the
stay imposed by Justice Chris de Sa of the Superior Court of Justice on October
8, 2020, with reasons reported at 2020 ONSC 5030.
Juriansz J.A.:
[1]
This Crown appeal was argued together with three defence
appeals:
R. v. Jaffer
,
R. v. Dare
, and
R. v. Haniffa
. All
of the appeals arose out of arrests and prosecutions pursuant to Project
Raphael of the York Regional Police (聯YRP聰). Project Raphael was an undercover
YRP investigation that began in 2014 with the objective of reducing the demand
for sexual services from juveniles in the region by targeting the 聯buyer side聰.
[2]
As part of the investigation, the police posted fake advertisements
in the 聯escorts聰 section of the online classified advertising website Backpage.
The escorts section of Backpage expressly advertised sexual services. The
police ads indicated the age of the escort was 18, the minimum age Backpage
allowed. However, the police intended to suggest a certain level of
inexperience and youth by featuring words such as 聯young聰, 聯tight聰, 聯shy聰, and 聯brand
new聰. The police included in the ads photos of female officers posing as
escorts. Individuals would respond to the ads by text message and in the
ensuing negotiation of sexual services, the police officer posing as the escort
would tell them that 聯she聰 was younger than 16. Individuals who continued the
chat and arranged sexual services and a price were directed to a hotel room to
complete the transaction and were arrested and charged on their arrival.
[3]
The common issue in the four appeals is whether the individuals were
entrapped by the police. In the three defence appeals, the appellants聮 applications
to stay the proceedings because of entrapment were dismissed and they have
appealed.
[4]
In this Crown appeal, the trial judge, in reasons released
November 28, 2019, first dismissed the respondent聮s entrapment application. The
respondent was still before the trial court in May 2020 when the Supreme Court
of Canada聮s decision in
R. v. Ahmad
, 2020 SCC 11, 445 D.L.R. (4th) 1, was
released. The trial judge invited the parties to make further entrapment
submissions about the impact of the
Ahmad
decision. In a second
decision, released October 8, 2020, the trial judge concluded the respondent
had been entrapped and stayed the proceedings.
[5]
The three defence appellants and this respondent presented a
united front on the entrapment issues. The respondent in this appeal expressly
adopted the submissions made by counsel for Haniffa. The reasons in this appeal
deal comprehensively with the united argument presented, and separate reasons in
the other appeals are released at the same time.
[6]
Project Raphael is the first of this type of investigation
carried out in Ontario. Police in British Columbia carried out a similar
investigation by posting analogous ads on Craigslist. In
R. v. Chiang,
2012 BCCA 85, 286 C.C.C. (3d) 564, the court concluded Mr. Chiang had not been
entrapped on a charge of communicating for the purpose of obtaining for
consideration the sexual services of a person under the age of 18 years,
contrary to s. 212(4) (now s. 286.1(2)) of the
Criminal Code
, R.S.C.
1985, c. C-46.
[7]
For the reasons that follow, I would allow the Crown聮s appeal in
this case, set aside the stay of proceedings, and remit the matter to the trial
judge for sentencing.
[8]
At trial the Crown sought a s. 486.4(1)(a)(i) publication ban and
the trial judge was obliged to make the order as provided by s. 486.4(2)(b). In
this court the Crown took the position the order should not be maintained as
all the witnesses who testified in the Crown聮s case were police witnesses and
there is no public interest prohibiting disclosure of their identity. This
court set aside the non-publication order, and the respondent聮s name is not
initialized in these reasons.
A.
BACKGROUND
[9]
The advertisement, in this case, was posted on Monday, March 27,
2017 in the Toronto escorts section of Backpage. It purported to have been
placed by 聯Michelle聰, whose stated age was 18. Michelle described herself as a
聯Tight Brand NEW girl聰 who is 聯sexy and YOUNG聰 and who has a 聯YOUNG FRIEND聰
(emphasis in original). The advertisement included three photographs of a female
police officer, whose face was not shown, posing as Michelle. In one of the
photographs, she was wearing a t-shirt with the name of a local high school
printed on it.
[10]
At around 4:00 p.m. on the same day, the respondent texted
Michelle and began chatting with her. About 27 minutes into the chat, just
after the respondent indicated he wanted to see both Michelle and her friend, Michelle
texted back, 聯Just so you know we under 18. Some guys freak out and I don聮t
want problems. We are small and it聮s obvious.聰 The respondent replied a minute
later, 聯I聮m cool with it. I聮ll be gentle as long as you聮re sexy and willing.聰 Two
minutes later, Michelle texted 聯We are both willing. We聮re 14 but will both be
turning 15 this year. That cool? We are buddies and very flexable??聰. The
respondent replied, 聯Should be lots of fun聰. Later in the chat, in response to
the respondent聮s text 聯Can you girls dress up for me聰, Michelle texted 聯I聮m 14
I got regular clothed and my bra and underwear.聰 The chat continued intermittently
for more than two hours and ended when the respondent arrived at the hotel and
Michelle told him to come up to her room. The entire text chat is appended to
these reasons.
[11]
On his arrival at the room, the respondent was arrested and
charged with:
1) telecommunicating with a person he believed
was under the age of 16 years for the purpose of facilitating the commission of
an offence under s. 152 (invitation to sexual touching) contrary to s. 172.1(2)
(child luring under 16);
2) communicating for the purpose of obtaining
for consideration the sexual services of a person under the age of 18 years,
contrary to s. 286.1(2) (
communicating to obtain sexual
services from a minor)
; and
3) telecommunicating to make an arrangement with
a person to commit an offence under s. 152 (invitation to sexual touching) contrary
to s. 172.2 (2) (arrangement to commit sexual offences against a person under 16).
[12]
At his trial, the respondent testified that he believed Michelle
was at least 18 and that she was engaged in role-play as somebody younger. He testified
that if he had found, on his arrival, that Michelle was actually 14 years old,
he would have been disgusted, would have complained to the front desk, and would
have even called the police.
[13]
The trial judge found the respondent guilty on all three counts. The
respondent applied for a stay of proceedings on the basis he had been
entrapped. In the decision under appeal, the trial judge applied
Ahmad
and found that the respondent had been entrapped and entered a stay of
proceedings.
[14]
Whether the trial judge interpreted and applied
Ahmad
correctly is the central issue in this appeal. In the
Jaffer
,
Haniffa
,
and
Dare
appeals, the entrapment applications were decided before
Ahmad
was released. They rely on
Ahmad
in submitting their cases were wrongly
decided. All the appeals turn on the proper understanding of the law of
entrapment and its application to the simple facts in each of these appeals.
[15]
It is apt to begin with setting out the law of entrapment as I
understand it.
B.
The Law of Entrapment
(1)
Pre-
Ahmad
articulation of the
entrapment doctrine
[16]
In deciding the respondent聮s first application, the trial judge
applied the law of entrapment as articulated in the foundational cases of
R.
v. Mack
, [1988] 2 S.C.R. 903, and
R. v. Barnes
, [1991] 1 S.C.R. 449.
[17]
Both decisions were authored by Lamer J. (Lamer C.J. when
Barnes
was written). In
Mack
, he explained that 聯the court聮s sense of justice
is offended by the spectacle of an accused聮s being convicted of an offence
which is the work of the state聰: at p. 942. In
Barnes
, at p. 459, he
stated the following rationale for the 聯defence聰 of entrapment:
The defence of entrapment is based on the
notion that limits should be imposed on the ability of the police to
participate in the commission of an offence. As a general rule, it is expected
in our society that the police will direct their attention towards uncovering
criminal activity that occurs without their involvement.
[18]
Entrapment is not a true defence, as the accused has committed
the crime and is properly found guilty. The remedy for entrapment is a stay of
proceedings. Entrapment is a type of abuse of process. As Lamer J. explained in
Mack
, at p. 942:
The court is, in effect, saying it cannot
condone or be seen to lend a stamp of approval to behaviour which transcends
what our society perceives to be acceptable on the part of the state. The stay
of the prosecution of the accused is the manifestation of the court's
disapproval of the state's conduct.
[19]
Entrapment seeks to balance two competing interests: the
individual has an interest in being left alone free from state intrusion, and
the state has an interest in protecting society from crime.
[20]
The traditional statement of the circumstances in which the
defence is available is set out in
Mack
, at pp. 964-965, and in
Barnes
,
at p. 460. The defence is available when:
a)
the authorities provide a person with an opportunity to commit an
offence without acting on a reasonable suspicion that this person is already
engaged in criminal activity or pursuant to a
bona fide
inquiry; or
b)
although having such a reasonable suspicion or acting in the course
of a
bona fide
inquiry, they go beyond providing an opportunity and
induce the commission of an offence.
[21]
There are two branches of the entrapment defence. The first,
sub-paragraph (a) above, is opportunity-based entrapment and the second,
sub-paragraph (b), is inducement-based entrapment. All four of the appeals
before us raise opportunity-based entrapment claims. As only Jaffer raises
inducement-based entrapment, I leave a discussion of inducement-based
entrapment to the reasons in his appeal.
[22]
As can be seen, opportunity-based entrapment provides two
exceptions to the general rule that police cannot offer people the opportunity
to commit a criminal offence. The first exception arises when the police have
reasonable suspicion that the suspect is already engaged in the criminal
activity before extending the offer. The Crown does not take the position the
police had reasonable suspicion that the individual in any of the four appeals
was already engaged in the criminal activity. The application of the first
exception is not an issue in the appeals.
[23]
The second exception arises when the police are acting pursuant
to a bona fide inquiry when they extend offers to people to commit an offence.
Barnes
is the archetypical example of this exception. In
Barnes
the police
offered people at the Granville Mall in Vancouver the opportunity to sell them
drugs. Lamer C.J. explained, at p. 463, that:
An exception to this rule arises when the
police undertake a
bona fide
investigation directed at an area where it
is reasonably suspected that criminal activity is occurring. When such a
location is defined with sufficient precision, the police may present
any
person associated with the area with the opportunity to commit the particular
offence. Such randomness is permissible within the scope of a bona fide
inquiry. [Emphasis in original.]
[24]
Lamer C.J. summarized, at p. 463, that:
Random virtue-testing, conversely, only arises
when a police officer presents a person with the opportunity to commit an
offence
without
a reasonable suspicion that:
(a)
the person is
already engaged in the particular criminal activity, or
(b)
the physical
location with which the person is associated is a place where the particular
criminal activity is likely occurring. [Emphasis in original.]
[25]
In
Barnes
the police had limited the investigation to a
six-block area, which the court considered reasonable in the circumstances.
There was no suggestion the police were not acting in good faith. The court
concluded the police were acting in the course of a bona fide inquiry. Therefore,
though the police did not have reasonable suspicion that Barnes, himself, was
engaged in drug trafficking, they had not engaged in random virtue testing.
(2)
The
Ahmad
decision
(i)
The facts and result of
Ahmad
[26]
Ahmad
involved two separate appeals, one from Ahmad and
another from Williams, from convictions for drug-related offences. In each
case, the police had received tips that a named person associated with a phone
number was dealing drugs. The police called each of the numbers, presented the
person who answered the call with the opportunity to sell them drugs, arranged
a meeting to buy the drugs, and arrested them when they turned up at the
meeting. After Ahmad and Williams were convicted, they both claimed the
proceedings against them should be stayed because they had been entrapped.
[27]
The Supreme Court by a majority of five-four concluded that Ahmad
had not been entrapped but that Williams had been entrapped. Because the tips
the police had acted upon were anonymous and unsubstantiated, the police did not
have reasonable suspicion that the phone numbers and named persons associated
with those numbers were trafficking in drugs. Hence, the police could not claim
they were carrying out bona fide inquiries of the phone numbers. Absent a bona
fide inquiry, the police had to have reasonable suspicion that the individuals
to whom they were speaking were involved in trafficking before they could
present them the opportunity to sell drugs.
[28]
When Ahmad answered the call from the police, he confirmed the
name provided by the unsubstantiated tip and used language particular to the
drug subculture by asking 聯What do you need?聰. His use of this drug culture
language corroborated the tip and gave the police reasonable suspicion he was
involved in the drug trade. Once they had acquired reasonable suspicion, the
police could offer him the opportunity to sell drugs. Therefore, Ahmad was not
entrapped.
[29]
Williams, however, was entrapped. Before the police offered him
the opportunity to sell drugs, Williams had said nothing in the conversation
that gave the police a reasonable suspicion the phone number was being used to
sell drugs.
(ii)
Entrapment applies in virtual spaces
[30]
The
Ahmad
decision is significant because the court
confirmed that the doctrine of entrapment applies to police investigations
carried out in virtual spaces.
Ahmad
is especially pertinent to these
appeals because Project Raphael was an investigation of a virtual space.
[31]
As
Ahmad
was the first case involving virtual spaces, the
court took full advantage of the opportunity to stress how virtual spaces
differ from physical areas and what those differences mean for courts聮
oversight of police investigations in virtual spaces.
[32]
The court begins by observing that 聯a person reasonably expects
privacy in most digital communications聰 and that 聯conversations over text
message, social media messaging, or email, are not analogous to a 聭public
post聮聰: at para. 36. The court notes the 聯increasing prominence of technology
as a means by which individuals conduct their personal lives聰 and emphasizes
that police investigations of such virtual spaces raise 聯unique concerns for
the intrusion of the state into individuals聮 private lives聰: at para. 36. The
court expresses concern that the breadth of some virtual spaces such as social
media websites enables the police, using technology, to remotely access a
potentially large number of targets with ease.
[33]
The court states 聯that state surveillance over virtual spaces is
of an entirely different qualitative order than surveillance over a public
space聰: at para. 37. The court continues on to note that technology and remote
communication significantly increase the number of people to whom the police
can provide opportunities, which heightens the risk that innocent people will
be targeted: at para. 37. Obviously contemplating sting operations such as
Project Raphael, the court observes 聯online anonymity allows police to
increasingly fabricate identities and 聭pose聮 as others to a degree that would
not be possible in a public space like the Granville Mall聰: at para. 37. Police
can pose as fabricated identities 聯anytime and anywhere, since cell phones are
a 24/7 gateway into a person聮s private life聰: at para. 37. The court cautions that
聯individuals must be able to enjoy that privacy free from state intrusion
subject only to the police meeting an objective and reviewable standard
allowing them to intrude聰: at para. 37.
[34]
In
Ahmad
the court provides guidance as to how the law of
entrapment should be applied to police investigations in virtual spaces. The
court did not, however, change the law of entrapment. The majority in
Ahmad
makes that point repeatedly. They describe the law as set out in
Mack
and
Barnes
as 聯settled doctrine聰: at para. 3. They say there is no
reason to alter the carefully calibrated balance between the need to protect
private interests and personal freedom from state overreach and the state's
legitimate interest in prosecuting crime that was struck in
Mack
and
affirmed in
Barnes
: at paras. 3, 22-23. They observe 聯the entrapment
framework has proved workable for decades in a variety of contexts聰 and 聯has
stood the test of time, furnishing a principled, stable and generally
applicable doctrine聰: at para. 23. They add that 聯[n]o principled reason
supports departing from it聰: at para. 23.
[35]
The majority specifically recites and adopts the traditional
statement of entrapment from
Mack
and
Barnes
. Those decisions, as
set out earlier in these reasons, state that the opportunity-based entrapment
defence is established when the police provide a person with an opportunity to
commit an offence without acting on a reasonable suspicion that the person is
already engaged in the criminal activity or pursuant to a bona fide inquiry. It
is not an issue in these four appeals whether the police had a reasonable
suspicion that the individuals to whom they made offers were already engaged in
the criminal activity. The Crown accepts the police did not have such reasonable
suspicion. That leaves, as the central issue in these appeals, the question of whether
the police were acting pursuant to a bona fide inquiry when they offered the
individuals the opportunity to arrange the sexual services of an underage
person.
[36]
In
Ahmad
the court elaborates on what is necessary to
constitute a bona fide police inquiry in virtual spaces. As I will show,
Ahmad
makes apparent that judicial assessment of whether a police investigation is a
bona fide inquiry is multi-faceted. A bona fide inquiry requires that the
police have the genuine purpose of investigating and repressing crime, that the
police have objectively verifiable reasonable suspicion that people are engaged
in the criminal activity within the space, that the space being investigated is
sufficiently precise and narrow, and finally, that consideration of an open-ended
list of factors enables the court to conclude that random virtue testing was
avoided.
(iii)
Reasonable suspicion
[37]
Reasonable suspicion that the criminal activity is occurring in
the space being investigated is an absolute requirement. In
Barnes
,
Lamer C.J. said at p. 463:
Random virtue-testing, conversely, only arises
when a police officer presents a person with the opportunity to commit an
offence
without
a reasonable suspicion that:
(a)
the person is
already engaged in the particular criminal activity, or
(b)
the physical
location with which the person is associated is a place where the particular
criminal activity is likely occurring. [Emphasis in original.]
[38]
In
Ahmad
, the court made this more explicit at para. 19:
聯police may present an opportunity to commit a crime only upon forming
reasonable suspicion that either: (1) a specific person is engaged in criminal
activity; or (2) people are carrying out criminal activity at a specific
location, sometimes referred to as a
bona fide
inquiry.聰
[39]
The court in
Ahmad
described at length the essential role
of reasonable suspicion in a bona fide inquiry. The court pointed out that, 聯
The reasons in
Mack
make clear that a
bona fide
inquiry into a location is premised upon and tethered to reasonable suspicion聰:
para. 20. At para. 27, the court said, 聯The opportunity-based branch of the
Mack
test therefore establishes that police cannot subject
anyone
to random
virtue testing
聴
virtuous or non-virtuous, predisposed or non-predisposed
聴
without reasonable suspicion聰
(emphasis in original).
[40]
Reasonable suspicion must be supported by objective factors:
para. 42. At para. 45, the court stated 聯[r]easonable suspicion is, by
definition, an
objective
standard that protects individuals聮 interests
and preserves the rule of law by ensuring courts can meaningfully review police
conduct聰 (emphasis in original). However, quoting
Mack
, the court added
that reasonable suspicion is not 聯unduly onerous聰: at para. 45. It is 聯a lower
standard than reasonable grounds,聰 which 聯allows police additional flexibility
in enforcing the law and preventing crime聰: at para. 45. Reasonable suspicion 聯requires
only the possibility, rather than probability, of criminal activity聰: at para.
46. But it is 聯subject to 聭rigorous,聮 聭independent聮 and 聭exacting聮 judicial
scrutiny聰 because it 聯provides police officers with justification to engage in
otherwise impermissible, intrusive conduct聰: at para. 46. Police suspicion 聯must
be focused, precise, reasonable, and based in 聭objective facts that stand up to
independent scrutiny聮聰: at para. 46. Highlighting judicial oversight over
police conduct, the court said that 聯[u]ltimately, the evidence said to satisfy
reasonable suspicion must be carefully examined聰 and 聯the facts must indicate
the possibility of
criminal
behaviour聰 (emphasis in original): at paras.
46-47.
[41]
At para. 48 of their reasons, the majority describes
reasonable suspicion as 聯individualized聰. This is the only place in the
majority聮s reasons that the word 聯individualized聰 appears. In the paragraph,
the majority is providing their answer to the concern of Moldaver J. in his
dissenting reasons. Moldaver J. expressed the view that subsequent to the
court聮s decision in
R. v. Chehil
, 2013 SCC 49, [2013] 3 S.C.R. 220, 聯reasonable
suspicion聰 had to be 聯individualized聰 and this resulted in 聯
dissonance
between the entrapment framework set out in
Mack
and
Barnes
and
the reasonable suspicion standard required by
Chehil
聰: at paras.
48 and 138. In responding to this concern, the majority said 聯reasonable
suspicion is also
individualized,
in the sense that it picks an
individual target 聳 whether a person, an intersection or a phone number 聳 out
of a group of persons or places聰 (emphasis in original): at para. 48. It is
apparent that in the majority聮s view 聯reasonable suspicion聰 can be sufficiently
聯individualized聰 when it focuses, as the court said it may in para. 20, on a
place defined with sufficient precision. To the same effect, the court said in
para. 20, 聯
An investigation is 聭
bona fide
聮 where the
police have a reasonable suspicion over a location or area, as well as a
genuine purpose of investigating and repressing crime.聰
[42]
While Moldaver J. would have revisited the court聮s decision in
Barnes
because of
Chehil聮s
requirement of individualized suspicion, the
majority affirmed the principles of
Barnes
saying, at para. 22:
This framework balances and reconciles
important public interests. The rule of law, and the need to protect privacy interests
and personal freedom from state overreach are balanced against the state聮s
legitimate interest in investigating and prosecuting crime by permitting
but
also constraining
entrapment techniques. [Emphasis in original.]
(iv)
Precisely defined virtual space and narrow scope of investigation
defined
[43]
In
Ahmad
the court could not make clearer that reasonable
suspicion cannot attach to a place unless it is 聯precisely and narrowly
defined聰. In
Barnes
, Lamer C.J. had indicated that 聯the size of the area
itself may indicate that the investigation is not
bona fide
聰: at p. 462.
Ahmad
makes this more exacting. The
court stat
ed,
聯[t]he offer of an opportunity to commit a crime must always be based upon a
reasonable suspicion of particular criminal activity, whether by a person,
in
a place defined with sufficient precision
, or a combination of both聰 (emphasis
added): at para. 19. In para. 35 the court warned that 聯some virtual spaces may
be too broad to support a sufficiently particularized reasonable suspicion.聰
The issue of breadth of the virtual space did not arise in
Ahmad
because
an individual phone number, the virtual space at issue in
Ahmad
, was
聯sufficiently precise and narrow to qualify as a place for the purposes of the
first branch of the entrapment doctrine聰: at para. 42.
[44]
The breadth of the virtual space is related to how the police
have designed their investigation. I draw this from para. 41 of
Ahmad
.
There the court said, 聯We emphasize that the virtual space in question must be
defined with sufficient precision in order to ground reasonable suspicion.
Reviewing courts must scrutinize the evidence that prompted the inquiry to
ensure the police have narrowed their scope so that the purview of their
inquiry is no broader than the evidence allows.聰
[45]
Where reasonable suspicion relates to a wide area, the courts
must consider whether the police could have focused their investigation on a
narrower area.
[46]
Where the evidence establishes the police have narrowed their
investigation as much as the evidence allows, it may be acceptable that
reasonable suspicion relates to a wider area.
(v)
The factors
[47]
In determining whether the virtual space has been defined with
sufficient precision to ground reasonable suspicion and to ensure random virtue
testing is avoided, the court in
Ahmad
, at para. 41, suggested
consideration of the following factors 聯may be helpful聰:
1)
the seriousness of the crime in question;
2)
the time of day and the number of activities and persons who might
be affected;
3)
whether racial profiling, stereotyping or reliance on
vulnerabilities played a part in the selection of the location;
4)
the level of privacy expected in the area or space;
5)
the importance of the virtual space to freedom of expression;
6)
and the availability of other, less intrusive investigative
techniques.
[48]
The court indicated that this was not a closed list and other
factors could be relevant in other cases. The court must consider all the
circumstances of a particular case 聯to ensure that random virtue testing is
avoided聰: at para. 41.
(vi)
Reasonable suspicion can be obtained in the course of the investigation
[49]
In
Ahmad
, the tips the police had received about the
dial-a-dope operations were of unknown reliability. The court had no trouble
concluding the police, at the time they placed the call to the telephone number
in the tip, did not have reasonable suspicion that the person who answered the
phone was involved in drug trafficking. Hence, without reasonable suspicion the
police could not offer the person the chance to sell them drugs. However, as
the court said, at para. 54, 聯it is also possible for the police to form
reasonable suspicion in the course of a conversation with the target, but prior
to presenting the opportunity to commit a crime.聰
[50]
This explains the different results in the two appeals before the
court in
Ahmad
. In the police conversation, Ahmad used drug culture jargon
by responding 聯what do you need?聰. This response gave rise to a reasonable
suspicion he was engaged in drug trafficking and the police could then offer to
buy drugs from him. He was not entrapped. On the other hand, Mr. Williams聮 only
responses before the police offered to buy drugs from him were 聯yeah聰, 聯who is
this?聰, and 聯Vinnie who?聰. These responses did not give rise to a reasonable
suspicion he was engaged in drug trafficking. Therefore, he was entrapped.
[51]
This, then, is the legal framework for the determination of these
appeals.
C.
decisions below
(1)
The trial judge聮s first entrapment decision
[52]
The trial judge聮s first entrapment decision is pertinent only for
the background and the facts he found that were incorporated, or presumed to be
incorporated, by his second decision.
[53]
In his first decision, the trial judge extensively reviewed the
evidence, including the background of Project Raphael, the posted
advertisement, and the text chat between Michelle and the respondent. Detective
Constable Cook, who had the text chat with the respondent under the persona of
Michelle, testified at trial and Detective Sergeant Truong (later promoted to Inspector,
herein 聯Truong聰), the architect of Project Raphael, testified at the entrapment
hearing. The materials filed at the entrapment hearing included Truong聮s
evidence at the respondent聮s preliminary inquiry, Truong聮s evidence at the
entrapment hearing in
R. v. Haniffa
, 2017 ONCJ 780, and the trial
decision in
R. v. Dare
, (June 22, 2018), Newmarket,
CR-16-
00002298 (S.C.)
.
[1]
[54]
The trial judge found that 聯Backpage was well known for underage
prostitution聰 and that it was 聯clear that individuals were actively purchasing
sex from underage females through the website.聰 He concluded that the 聯police
had a reasonable basis to believe that individuals were routinely involved in
the purchase of sexual services from juvenile prostitutes on Backpage.com聰 and
that 聯[t]hey engaged in an investigation to target this type of criminal activity.聰
He observed that the evidence tendered by the Crown 聯indicates that the demand
for juvenile prostitutes was driven not only by those who were specifically
looking for underage girls, but also by those who were open and willing to
obtain sexual services from juvenile prostitutes.聰 He stated that Project
Raphael targeted both of these groups.
[55]
The trial judge concluded Project Raphael 聯was a
bona fide
investigation, and in this context, the police were entitled to randomly offer
individuals the opportunity to commit crimes of the sort known to be occurring
on the website, Backpage.com (the opportunity to purchase sexual services from
underage girls).聰
[56]
The trial judge also rejected the respondent聮s argument that the
police had improperly induced the respondent to commit the offence.
(2)
The trial judge聮s second entrapment decision
[57]
In his second entrapment decision, the one under appeal, the
trial judge reviewed the
Ahmad
decision in detail. He observed the
Supreme Court had taken the opportunity 聯to clarify the requisite standard to
be applied in assessing a claim of entrapment under the first branch of the
doctrine (opportunity-based entrapment).聰 He quoted with emphasis, from para.
42 of
Ahmad
:
The question will always be the same:
are
there objective factors supporting a reasonable suspicion of drug trafficking
by the individual answering the cell phone when police provide the opportunity
to commit such a crime
? Those factors may relate in part to reasonable
suspicion of the individual, or of the phone number itself, or to both.
[Emphasis in original.]
[58]
The trial judge stated the principle that 聯the standard of
reasonable suspicion calls for an objective assessment of the information the
police actually had
before
offering an individual an opportunity
to commit a crime聰 (emphasis in original). Drawing on passages from the reasons
in
Ahmad
, he explained why the requirement of reasonable suspicion was
important:
Providing individuals with the opportunity to
commit offences without the foundation of a reasonable suspicion unacceptably
increases the likelihood that people will commit crimes when they otherwise
would not have. Random virtue testing unduly increases the risk that
individuals who would not otherwise commit offences will become enticed into
criminal activity.
[59]
The trial judge noted that while the Supreme Court stated virtual
locations 聯can qualify as places over which the police can have reasonable
suspicion聰 the court indicated a key requirement is that 聯the virtual space in
question must be defined with sufficient precision聰. The court said, 聯[i]t is
therefore important to carefully delineate and tightly circumscribe virtual
locations in which police can provide the opportunity to commit a crime聰: at
para. 39. The trial judge paraphrased the Supreme Court聮s explanation that, as
he put it,
[V]irtual spaces raise unique concerns for the
intrusion of the state into individuals聮 private lives, because of the breadth
of some virtual places (for example, social media websites), the ease of remote
access to a potentially
large number of targets
that technology provides
law enforcement, and the increasing prominence of technology as a means by
which individuals conduct their personal lives. [Emphasis in original.]
[60]
The trial judge reiterated the findings of his previous decision
that 聯the police had a reasonable basis to believe that individuals were
involved in the purchase of sexual services from juvenile prostitutes on Backpage.com聰,
and that 聯the police were justified in conducting an investigation into ongoing
juvenile prostitution on Backpage.com given the information available to them.聰
[61]
Next, the trial judge expressed his concern about the large
number of persons who were looking for an adult when they responded to the
police ad. He observed Backpage 聯was not a website or 聭place聮 dedicated to
underage prostitution聰. He noted that the evidence indicated that in the escorts
section of Backpage 聯the overwhelming majority of ads and traffic did not
relate to men seeking sexual services from underage girls聰. He said the evidence
was that most men did not continue the text chat once they were told Michelle
was underage.
[62]
The trial judge further observed, 聯given the breadth of the
potential pool聟the undercover officer should have done more to satisfy himself
that [the respondent] was looking for an underage girl before inviting [the
respondent] to commit the offence.聰 The trial judge observed that the
undercover officer revealed that Michelle was 14 years old some 27 minutes into
the conversation, after the respondent had already made arrangements about the
sexual services to be provided and their cost. This 聯bait and switch聰 approach,
he held, was 聯problematic and raises clear entrapment concerns聰. He suggested
the undercover officer could have disclosed Michelle聮s age at the outset of the
conversation.
[63]
The trial judge noted that the Supreme Court explained in
Ahmad
the conversation itself can be used to support a reasonable suspicion. He remarked
that the respondent said nothing in his initial text messages to indicate he
was looking for an underage girl. Then, evidently having in mind reasonable
suspicion over the individual, the trial judge concluded, 聯In the absence of
reasonable suspicion, it was improper for the police to invite [the respondent]
to commit the offence.聰
[64]
The trial judge recognized that the respondent was 聯clearly
willing to participate in the criminal activity under investigation聰 but noted that
聯the question here is not on whether the [respondent] was willing or perhaps
predisposed to commit the offence聰 as 聯the focus is on the police conduct and
the investigative approach聰.
[65]
The trial judge concluded the police had entrapped the respondent
and ordered a stay of proceedings.
D.
ISSUES ON APPEAL
(1)
The Crown聮s position
[66]
The Crown submits that the trial judge misapplied the law of
entrapment to the facts before him. The Crown says he proceeded on the
misunderstanding that
Ahmad
changed the law to require the police to
have reasonable suspicion of the individual in all cases. After finding 聯the
police had a reasonable basis to believe that individuals were involved in the
purchase of sexual services from juvenile prostitutes on Backpage.com聰 and that
聯the decision to investigate Backpage.com for individuals seeking underage
prostitutes was a legitimate police initiative聰, the trial judge erred by going
on to consider whether the police had reasonable suspicion that the respondent was
seeking an underage person before they could offer him the opportunity to
commit the crime. The Crown submits the trial judge found Project Raphael was a
bona fide police inquiry and that finding allowed the police to virtue test any
person who responded to their ads posted on the escorts section of Backpage.
(2)
The respondent聮s position
[67]
The respondent submits that the trial judge properly found that
the Supreme Court in
Ahmad
provides clarification and guidance as to how
to apply the entrapment framework to virtual spaces. He submits the trial judge
stated the law correctly and made no reversible legal error in reassessing his
reasons in light of
Ahmad
and concluding the police entrapped the respondent.
[68]
The respondent also adopts the submissions made by the appellant
Haniffa. Haniffa聮s primary argument is that the evidence was insufficient to give
the police a reasonable suspicion that persons were going onto Backpage seeking
to engage the sexual services of underage persons. In the alternative, he submits
that if the police had a reasonable suspicion, it related only to the s. 286.1(2)
offence (communicating to obtain sexual services from a minor), and so the
police conduct constituted entrapment on the s. 172.1 (child luring) offence.
Finally, he argues that the police virtue tested far too many innocent people
to meet the
Ahmad
requirement of an investigation into a precisely and
narrowly defined space.
(3)
Issues to be decided
[69]
The positions taken by the parties can be conveniently arranged
and dealt with under the following four questions:
1)
Did the police have reasonable suspicion that the criminal activity
under investigation was taking place on Backpage?
2)
Did the trial judge misapply
Ahmad
by holding that reasonable
suspicion of the individual was required under the bona fide inquiry prong of
the entrapment framework?
3)
Did the trial judge err by concluding the respondent was entrapped
because the majority of persons tested by the police declined to engage an
underage prostitute?
4)
Applying
Ahmad
, what is the proper analysis in this case to
determine whether the space in which the police virtue tested persons randomly,
was sufficiently precisely and narrowly defined to avoid a finding of
entrapment?
E.
ANALYSIS
(1)
The police had reasonable suspicion that the
criminal activity under investigation was taking place on the escort section of
Backpage
[70]
I begin with an analysis of Haniffa聮s argument, adopted by this
respondent, that the police lacked reasonable suspicion that persons were
engaged in the targeted criminal activity on Backpage.
(i)
The police had reasonable suspicion with respect to offences under s.
286.1(2) (obtaining sexual services from a minor)
[71]
Counsel accepts, as the evidence clearly established, that
juvenile persons were being advertised on Backpage and that some men were
purchasing the sexual services of juvenile persons on Backpage. In the first
entrapment decision, the trial judge found that in the York Region,
聯[v]irtually all of the online investigations involving juveniles had been
linked to Backpage.聰
[72]
While counsel accepts the evidence gave the police a reasonable
suspicion that juveniles were being sold on Backpage, he contends that it does
not logically follow that the police reasonably suspected that customers were seeking
or attempting to purchase juvenile persons on Backpage. He submits the proper
question is not whether the police had a reasonable suspicion the sexual
services of juveniles were being sold on Backpage, but whether they had a
reasonable suspicion that customers were going onto Backpage to buy sexual
services from juveniles.
[73]
I accept the premise of the argument. The reasonable suspicion of
the police had to relate to what the customers seeking sexual services had in mind.
That is because, in cases where sexual services have been obtained for
consideration, the accused聮s knowledge or belief that the person from whom they
have obtained those services is under 18 is an essential element of the offence
under s. 286.1(2) (obtaining sexual services from a minor). It would not be enough
if police had reasonable suspicion only that underage persons were being sold
on Backpage to unwitting customers. The selling of sexual services, even by
juveniles, is not a crime. In order to fall within the bona fide inquiry exception
to the opportunity-based entrapment defence the police had to have a reasonable
suspicion that s. 286.1(2) was being breached. That means the police had to
have reasonable suspicion that customers were going onto Backpage and communicating
to obtain sexual services for consideration from persons they knew or believed
to be under the age of 18.
[74]
Truong聮s testimony, counsel submits, shows it would be futile for
a customer to go onto Backpage with the intention of engaging an underage person.
That is because, as officer Truong confirmed, underage persons would never be
advertised indicating their actual ages or with their actual photographs.
Truong testified that underage persons and those who arrange their bookings
would not disclose their real age to unknown customers. Underage persons
advertised on Backpage are sometimes given or have in their possession false
identification showing an older age. Underage persons know revealing their real
age would increase the probability that the police will get involved. Truong
also agreed there was no coded language used on Backpage to signal that the person
advertised was underage because the pimps who traffic underage persons realize
the police would soon learn the codes. Customers could hope to learn the age of
an escort they have engaged only upon meeting them. Truong said even that is
unlikely, as underage persons asked for their age will typically lie and claim
to be an adult. In fact, he said in the majority of sexual interactions between
adults and a juvenile, the adults are never told the age of the juvenile.
[75]
Counsel submits that since police know all this, they could not
reasonably suspect that persons who want to have sex with underage persons
would go onto Backpage to seek them.
[76]
Counsel stresses that Truong could point to no basis, other than
his own 聯anecdotal聰 experience, that persons go on Backpage to seek the sexual
services of underage persons. He contends that in Project Raphael the police used
their reasonable suspicion that underage persons were being sold on Backpage to
randomly virtue test persons who went onto Backpage seeking to purchase the
sexual services of an adult not an underage person.
[77]
The argument fails to appreciate Truong聮s ample and extensive experience.
While Truong, in cross-examination, readily conceded he had no statistics and
data to support his testimony in-chief that persons were going onto Backpage
seeking to engage the services of underage escorts, he did not retreat from that
testimony. I disagree with counsel聮s characterization of Truong聮s testimony
based on his experience as 聯anecdotal聰. His experience forms the foundation for
a specialized knowledge on the subject. His experience included dealing with
prostitutes, pimps, and purchasers of sex on an almost daily basis for eight years.
He conservatively estimated that he had interviewed hundreds of 聯girls聰
involved in the sex trade, both juveniles and adults. Truong acquired his
knowledge not only from his dealings with juveniles but also from his dealings
with adult escorts who were recruited into the sex trade when they were
children. He testified that he had 聯interacted, communicated, interviewed girls
involved in the sex trade, juveniles and adults, in York Region, Toronto, in
the GTA, in Qu茅bec, in the United States in Las Vegas, in Miami, in Los
Angeles聰. Truong had attended conferences in the United States and Canada with
respect to juvenile prostitution at which case studies involving underage
children being advertised on Backpage were presented and he met with 聯survivor based
organizations聰.
[78]
Truong did introduce some data. In York Region in the years from
2011 to 2016 the YPR identified 427 persons working in the sex industry, of
whom 85 were underage. Where the police were able to lay charges of pimping or
human trafficking based on victim cooperation, the victim was classified as a
聯rescue聰. 49 of the 85 juveniles mentioned above were classified as 聯rescues聰 because
they, by cooperating, enabled the police to lay charges. Truong testified that
in one prior investigation aimed at identifying and rescuing underage persons,
the police made contact with 31 escorts, nine of whom were underage, and he
learned that the average age at which their sexual services were first sold was
14.8 years.
[79]
Truong testified that 聯there were men actively looking for
prostituted children on backpage and were looking to purchase children.聰 He
said this information was acquired 聯from speaking with child prostitutes,
former child prostitutes, speaking with many NGOs and organizations, victims in
court, during interviews.聰
[80]
I do not accept that Truong聮s testimony is undermined by
counsel聮s claim it would be futile for a person to go onto Backpage to engage an
underage person. An individual user may have little prospect of engaging an
underage person on Backpage upon visiting the site on a single occasion. But a determined
individual using Backpage persistently could succeed in engaging underage persons.
Truong said that customers who meet underage persons on Backpage may then engage
them directly without going through Backpage. Keeping this testimony in mind, some
Backpage users may engage persons who, even if they claimed to be 18, would be apparently
underage, except to those wilfully blind.
[81]
As Truong聮s testimony was not undermined, the trial judge was
entitled to rely on it to find as he did, on a higher standard than required, 聯that
the police had a reasonable basis to believe that individuals were involved in
the purchase of sexual services from juvenile prostitutes on Backpage.com.聰 Put
in terms of the
Criminal Code
, the police had a reasonable suspicion
that some users of Backpage were obtaining for consideration the sexual
services of persons under the age of 18 contrary to s. 286.1(2).
(ii)
The s. 172.1(1)(b) (child luring under 16) offence is rationally
connected and proportionate to the s. 286.1(2) (obtaining sexual services from
a minor) offence
[82]
Counsel advances an alternative argument. Even if the police had
a sufficient basis to provide an opportunity to commit the s. 286.1(2) offence,
the police lacked reasonable suspicion to provide a person who responded to the
ad the opportunity to commit the more serious offence of luring someone under
the age of 16 under s. 172.1(1)(b). Given that the ads stated the escort was 18
years of age, and given that underage persons on Backpage were unlikely to
reveal their true age to a customer, the police could not reasonably suspect users
of Backpage were telecommunicating to facilitate a sex crime with persons they
believed were under 16. An essential element of the s.172.1(1)(b) offence is
that the accused know or believe
at the time of the communication
that
the person with whom they are communicating is under the age of 16:
R. v.
Legare,
2009 SCC 56, [2009] 3 S.C.R. 551.
[83]
I accept the police lacked reasonable suspicion that the customers
responding to ads on Backpage were committing or intending to commit the child
luring offence under s. 172.1(1)(b).
[84]
In the next step of his argument, counsel contends the doctrine
of entrapment requires that the reasonable suspicion relate to the same
criminal conduct under investigation and the police can only present persons in
the space with the opportunity to commit that particular offence. It follows,
he submits, that since the police did not have reasonable suspicion persons
were committing the child luring offence under s. 172.1(1)(b), they could not offer
customers the opportunity to commit that offence. The police offered customers
the opportunity to commit the child luring offence by disclosing 聯she聰 was
under 16 and giving the customer the opportunity to continue the conversation.
[85]
Lamer J. in
Mack
made clear that the police can provide a
person with the opportunity to commit a different offence that is rationally
connected and proportional to the offence for which there is reasonable
suspicion. At p. 958 of
Mack
, Lamer J. explained:
Obviously, there must be some
rational connection and
proportionality
between the crime for which police have this reasonable
suspicion and the crime for which the police provide the accused with the
opportunity to commit. For example, if an individual is suspected of being
involved in the drug trade, this fact alone will not justify the police
providing the person with an opportunity to commit
a totally unrelated
offence
. In addition, the sole fact that a person is suspected of being
frequently in possession of marijuana does not alone justify the police
providing him or her with the opportunity to commit a
much more serious
offence
, such as importing narcotics, although other facts may justify
their doing so. [Emphasis added.]
[86]
In the context of Project Raphael, the child luring offence under
s. 172.1(1) is rationally connected to the investigation of the commodification
of sex offence under s. 286.1(2). In offering the opportunity to commit the s.
286.1(2) offence for which the police did have reasonable suspicion, they could
not avoid offering the opportunity to commit an offence under s. 172.1. That is
because in this investigation the offer to commit the s. 286.1(2) offence was
necessarily conveyed using telecommunication. Once the police presented the
offer to commit the s. 286.1(2) offence, the customer, by any response other
than terminating the chat, would commit an offence under s. 172.1(1).
[87]
I do not attach much significance to the fact that in each of
these cases the police disclosed the girl in question was under 16, with the
result that the customers, by continuing to negotiate to obtain sexual
services, committed the offence under s. 172.1(1(b)) (child luring under 16)
rather than s.172.1(1)(a) (child luring under 18). As noted above, the police
had an evidentiary basis to believe the average age at which underage persons
first had their sexual services sold was 14.8 years. I regard the s.
172.1(1)(b) (child luring under 16) offence to be rationally connected and not
disproportionate to the s. 286.1(2) (obtaining sexual services from a minor) offence.
[88]
Furthermore, the s. 172.1(1)(b) offence and the s. 286.1(2) offence
as charged share essential elements. As no sexual services were actually
obtained in these appeals, the offence charged under s. 286.1(2) related to
communicating for the purpose of obtaining sexual services from a person under
18. Both offences require communication for the purpose of facilitating sexual
contact with a person who is underage.
[89]
The s. 172.1(1)(b) offence is a more serious offence that is subject
to a longer period of incarceration. However, in my view, the child luring
under 16 offence is not a 聯much more serious聰 and 聯totally unrelated聰 offence
to the commodification offence.
[90]
I would not give effect to the argument that the police did not
have reasonable suspicion of the criminal conduct under investigation. The
remaining question is whether the virtual space under investigation was defined
with sufficient precision to ground the reasonable suspicion that the police
had. I consider that question later in these reasons after rejecting the
Crown聮s reading of the trial judge聮s decision and identifying the trial judge聮s
errors.
(2)
The trial judge did not hold that the police
required reasonable suspicion about the respondent even though they were acting
pursuant to a bona fide inquiry
[91]
As the Crown reads the trial judge聮s decision, the trial judge found聽the
police investigation of Backpage聽was a bona fide inquiry. Then, because he
misinterpreted
Ahmad
to require that the police have 聯individualized聰
reasonable suspicion in all cases, he found the respondent was entrapped because
the police did not have reasonable suspicion that the respondent was seeking to
engage an underage person.
[92]
I read the trial judge聮s decision differently. The trial judge did
find, on a higher standard than necessary, that 聯the police had a reasonable
basis to believe that individuals were involved in the purchase of sexual
services from juvenile prostitutes on Backpage.com.聰 He did not, however, go on
to conclude the police investigation was a bona fide inquiry. Instead, he
turned to consider the number of persons affected by the police investigation. He
found that 聯within the Escort section, the overwhelming majority of ads and
traffic did not relate to men seeking sexual services from underage girls聰 and
that 聯most males contacting the ad were looking for a female who was
not
underage聰 (emphasis in original). I understand the trial judge to have concluded
the scope of the virtual space being investigated was too broad to allow the
investigation to qualify as a bona fide inquiry. This reading of his decision
is supported by his colloquy with Crown counsel during argument.
[93]
Since he did not accept that Project Raphael was a bona fide inquiry,
the trial judge proceeded with the analysis on the basis that the police required
reasonable suspicion about the respondent before they could offer him the opportunity
to engage an underage person. That is why he turned to consider the content of
the text chat between the respondent and the undercover officer. He found that the
respondent had said nothing to suggest he was looking for an underage person before
the police had invited him to commit the offence. Consequently, he found the police
had entrapped the respondent.
(3)
The trial judge erred by unduly focusing on the
number of persons affected by the investigation and failing to consider other relevant
factors
[94]
It bears repeating that in
Ahmad
the court recognized that
聯virtual spaces raise unique concerns for the intrusion of the state into
individuals聮 private lives because of the breadth of some virtual places聰, that
聯state surveillance over virtual spaces is of an entirely different qualitative
order than surveillance over a public space聰, and that 聯online anonymity allows
police to increasingly fabricate identities and 聭pose聮 as others to a degree
that would not be possible in a public space like the Granville Mall聰: at
paras. 36-37. These risks make it 聯important to carefully delineate and tightly
circumscribe virtual locations in which police can provide the opportunity to
commit a crime聰: at para. 39.
[95]
The trial judge rightly understood that
Ahmad
requires
trial courts, in entrapment cases involving virtual spaces, to exercise
heightened vigilance in striking the balance between individuals聮 privacy in
virtual spaces secure from state intrusion and society聮s general interest in
the repression of harmful criminal activity. It was proper and necessary for the
trial judge to consider the number of innocent people in the virtual space
being investigated who would have their virtue tested by the police. In
Ahmad,
both the majority and the minority indicated the number of people potentially
affected should be expressly considered: at paras. 41 and 161.
[96]
The trial judge聮s error was in failing to consider other relevant
factors. The number of people affected is but one of the factors the court
suggests, at para. 41, would be helpful in ensuring random virtue testing is avoided.
As noted, the court indicated that list was not closed. A court must consider
all the relevant circumstances in each case.
[97]
In this case, the number and nature of activities affected, the
nature and level of the privacy interest affected, and the importance of the
virtual space to freedom of expression are important factors that the trial judge
erred by not considering.
[98]
Below I discuss all the factors of this case I consider important
in determining whether unacceptable random virtue testing was avoided. I
conclude that the respondent was not entrapped.
(4)
The proper and complete analysis leads to the conclusion
that the respondent was not entrapped
[99]
The starting point of the analysis is the trial judge聮s finding
that the police had a reasonable basis to believe that individuals were
involved in the purchase of sexual services from underage persons on Backpage
and the investigation of Backpage was a legitimate police initiative. The next
step is to consider whether the virtual space being investigated was defined
with sufficient precision to ground that reasonable suspicion and whether the
police had narrowed the scope of their investigation so that the purview of
their inquiry was no broader than the evidence allowed.
(i)
The seriousness of the target criminal activity
[100]
The police investigation, Project Raphael, was aimed at reducing
the demand for sexual services from juveniles in the York Region. The trial
judge noted that attempting to purchase sexual services from someone underage
is a serious crime. Quoting from
R. v. Mills
, 2019 SCC 22, [2019] S.C.R.
320, at para. 23, he recognized that children are especially vulnerable to
sexual crimes, that the internet allows for greater opportunities to sexually
exploit children, and that enhancing protection to children from becoming
victims of sexual offences is vital in a free and democratic society.
[101]
Truong testified that the juveniles being sold on Backpage were 聯a
very vulnerable population in the community聰. Truong stated that a lot of the
juveniles come from broken homes and are susceptible to recruitment,
manipulation, and exploitation. They were being assaulted, exploited, and
threatened, and both pimps and customers were committing crimes against them. Truong
had never come across a juvenile selling sexual services who was not being
exploited. Truong explained that the children had nowhere to go. Even the older
ones, i.e. those over the age of 16, were extremely vulnerable. Finding safe
accommodation for 聯rescued聰 juveniles over the age of 16 was made difficult because
they could not be placed with child and family services agencies.
[102]
Obtaining the sexual services of a juvenile for consideration is
an extremely grave crime. Parliament聮s view of its gravity is evident from the punishment
it has enacted: a person found guilty of an offence under s. 286.1(2) (obtaining
sexual services from a minor) is liable to imprisonment for up to 10 years.
(ii)
Child prostitution is difficult to investigate, and less intrusive
investigative techniques were not available
[103]
I am not persuaded by counsel for Haniffa that the difficulty of
investigating consensual crimes, such as the one in this case, should be
considered in assessing only inducement-based entrapment. He points out the
factor was discussed in
Mack
in the context of inducement. That is understandable
because
Mack
involved a case of inducement.
Mack
聮s description of
the factor, at p. 966 聳 聯the availability of other techniques for the police detection
of its commission聰 聳 is simply a different articulation of the factor described
in
Ahmad
, at para. 41, as 聯the availability of other, less intrusive
investigative techniques聰. The
Ahmad
factors are discussed in the
context of the first branch of entrapment. Even before
Ahmad
it was
recognized the factor is relevant to both branches of entrapment. In
Chiang
the British Columbia Court of Appeal referred to
Mack
to conclude that
ordinary methods of detection might not work when investigating consensual
crimes under the first branch: at paras. 19-20.
[104]
In his second decision, the trial judge simply stated that the
police must be given considerable latitude in investigating criminal activity,
especially where the crimes are serious and difficult to investigate. In his
first decision, he had reviewed the evidence fulsomely. He said the challenge
with investigating juveniles selling sexual services was that the activity was taking
place inside hotel rooms or other private spaces. The juveniles did not report
offences to the police, and even when identified, many underage persons did not
cooperate with the police. Truong testified that juveniles fear repercussions
if they cooperate with the police, or do not believe the police can help because
of prior bad experiences with police. Truong testified that police attempts to
rescue juveniles by focusing on the pimps was 聯not doing anything to stop the
demand for child sex聰. The police realized that to reduce the demand they 聯had
to focus on the men who were driving the industry聰. This led to the creation of
Project Raphael.
[105]
The availability of less intrusive investigative techniques than
those used in Project Raphael should be weighed heavily in the analysis.
[106]
In his testimony, Truong described an alternative technique for
dealing with juveniles being sold on Backpage. He called the technique a 聯vice
probe聰. In a vice probe the police would peruse the ads on the escorts section
of Backpage, attempt to identify those advertising underage persons, arrange to
meet with them by posing as purchasers, and then attempt to ascertain their age
upon meeting them. As recounted earlier, underage persons tended to not
cooperate with the police, but, nevertheless, the technique did enjoy some
success.
[107]
Truong included on his resume the number of underage persons involved
in prostitution the YRP identified in each year from 2011 through 2016. In
those years, a total of 85 underage persons were identified of whom 49 were
classified as 聯rescues聰. A person was classified as a 聯rescue聰 if they
cooperated with the police such that charges could be laid. Police worked with
other social agencies to find suitable safe situations for these underage
persons.
[108]
Truong testified about a specific vice probe called 聯Home for
Christmas聰 that the YRP ran in December 2013. The police reviewed hundreds of
ads on Backpage and arranged 聯to meet with 31 escorts. Of these 31, the police
were able to determine that 9 were underage.
[109]
The vice probe, unlike Project Raphael, focuses on actual young
people being sold on Backpage. Finding juveniles being sold and ensuring they
are placed in safe situations is a positive feature of the vice probe
technique. However, Truong explained that the police, in consultation with
other social agencies, concluded vice probes did nothing to reduce the demand
for sexual services from juveniles in the region. That is why Project Raphael
was created to target the 聯buyer side聰 of the activity.
[110]
Despite the advantageous aspects of the vice probe, in the
entrapment analysis the vice probe cannot be considered a less intrusive
investigative technique to Project Raphael. That is because it is concerned
with different criminal conduct. Project Raphael investigated persons who were obtaining
for consideration the sexual services of underage persons contrary to s.
286.1(2) of the
Criminal Code
. My impression is that the primary purpose
of the vice probe technique was to rescue juveniles being sold on Backpage. The
vice probe could investigate the offence of procuring an underage person to
provide sexual services contrary to s. 286.3(2) of the
Criminal Code
. To
do so successfully the vice probe would require the cooperation of the underage
persons who have been identified.
[111]
I conclude that the vice probe is not an alternative investigative
technique to Project Raphael. Rather, it is a technique that does not
investigate the same offences. It has a different purpose altogether.
[112]
The trial judge suggested several things the police might have
done differently. They all amount to the police using the text chat itself to
support obtaining reasonable suspicion the caller was seeking an underage
prostitute before extending the offer. This is understandable since the trial
judge concluded there was no bona fide inquiry. Such suggestions are not
relevant if the police are conducting a bona fide inquiry. The techniques by
which the police might be able to obtain reasonable suspicion over a specific
caller are best left to be considered, if necessary, after the determination of
whether the investigation is a bona fide one.
[113]
This factor is deserving of weight. In
Ahmad
, at para. 35,
the court observes that 聯technology aids in the commission of crime聰 and so 聯in
order to investigate and detect those crimes, police must also make use of
technology.聰 In
Mack
the Supreme Court had said that 聯the state must be
given substantial leeway聰 when investigating drug trafficking because the
traditional devices of police investigation are not effective: at p. 978. Investigating
trafficking requires the police or their agents to get involved and gain the
trust and confidence of the people trafficking or supplying the drugs:
Mack
,
at p. 978. The Supreme Court further noted that trafficking is 聯a crime of
enormous social consequence which causes a great deal of harm in society
generally聰: at p. 978.
(iii)
The definition of the virtual space and the scope of the police
investigation
[114]
I find it convenient to discuss the definition of the virtual
space and the scope of the police investigation together. Both play a role in
determining whether the reasonable suspicion is sufficiently grounded to ensure
random virtue testing is avoided.
[115]
In
Ahmad
, at para. 41, the majority stated that 聯[r]eviewing
courts must scrutinize the evidence that prompted the inquiry to ensure the
police have narrowed their scope so that the purview of their inquiry is no
broader than the evidence allows.聰 This means that though the police have
reasonable suspicion of criminal activity in an area, they must narrow the
scope of the investigation as much as the evidence allows.
[116]
Lamer C.J. scrutinized the evidence this way in
Barnes
and
considered whether the police could have restricted their investigation to a
smaller area despite their reasonable suspicion of drug trafficking at the
Granville Mall. He concluded, at p. 461, they could not do so and so the police
could extend offers to people throughout the mall:
The police department in this case focused its
investigation on an area of Vancouver, a section of Granville Street covering
approximately six city blocks, where it was reasonably suspected that
drug-related crimes were occurring. In my opinion, they would not have been
able to deal with the problem effectively had they restricted the investigation
to a smaller area. Although there were particular areas within the Granville
Mall where drug trafficking was especially serious, it is true that trafficking
occurred at locations scattered generally throughout the Mall. It is also true
that traffickers did not operate in a single place. It would be unrealistic for
the police to focus their investigation on one specific part of the Mall given
the tendency of traffickers to modify their techniques in response to police
investigations.
[117]
In this appeal, the police had reasonable suspicion persons were
going on the escort section of Backpage to seek the sexual services of underage
persons. The escort section of Backpage is the virtual space to which
reasonable suspicion attaches. The escort section of Backpage is a precisely
defined virtual space. Whether the police have acted within or outside that
virtual space can be determined easily and definitely.
[118]
The trial judge quite rightly pointed out that 聯the overwhelming
majority of ads and traffic聰 on the escort section did not relate to men
seeking sexual services from underage girls. That, however, is not the end of
the matter. The next step is to 聯scrutinize the evidence that prompted the
inquiry to ensure the police have narrowed their scope so that the purview of
their inquiry is no broader than the evidence allows聰.
[119]
The police narrowed the scope of the investigation to only the
users who responded to their ads, which offered escorts聮 sexual services in the
York Region, and which emphasized the escorts聮 youthfulness by stating their
age to be 18 and describing them in terms that the police intended 聯to hint at
the fact that the purchaser could be purchasing a young girl or child聰. The
British Columbia Court of Appeal expressed the view that such techniques
narrowed the scope of the investigation: 聯
The reach of the investigation was carefully limited through the nature
of the investigative tool employed, specifically an ad on Craigslist that spoke
of 聭young bodies聮聰:
Chiang
,
at para. 21
.
[120]
That 聯the overwhelming majority聰 of ads and traffic on the escorts
section of Backpage did not relate to the sexual services of underage persons
must be considered together with the narrowed scope of the investigation. The
police did not offer the services of underage persons to users of the escorts
section of Backpage in general. The people who clicked on the police ads to see
the ad聮s full content and then responded to the ads were the only persons who
could be offered an opportunity to engage the sexual services of someone
underage.
[121]
The trial judge did suggest, if I understand correctly, that the
police investigation should have been conducted to engage in a prolonged text
chat with a smaller pool of persons. He said, 聯
Given the
breadth of the potential pool, in my view, the undercover officer should have
done more to satisfy himself that the Applicant was looking for an underage
girl before inviting the Applicant to commit the offence.聰
He criticized the undercover officer in this case for not
revealing that Michelle was 14 years old until 27 minutes into the text chat.
He described the late disclosure as a 聯bait and switch聰 approach that was
聯problematic聰 and raised 聯clear entrapment concerns聰. He said the officer聮s
initial texts 聯encouraged or enticed聰 the respondent to commit the offence
before having any suspicion he was seeking someone underage. These comments are
surprising as, in his first decision, he unambiguously rejected the respondent聮s
claim he had been induced and did not revisit that conclusion.
[122]
The trial judge聮s finding of delayed disclosure must be put into
perspective. Truong testified that when persons responded to the ads seeking to
purchase sexual services, the undercover officer would bring up the issue of
age at the earliest possible stage of the conversation. The disclosure, in this
case, was made in the 8
th
text from the officer, the first 7 were
extremely brief.
[123]
In any event, the question the trial judge raised is whether the
scope of the investigation should have somehow been narrowed to exclude those who
were not specifically looking for sex with an underage person but who would
take up the opportunity when it was offered.
[124]
In my view, customers who are merely indifferent that the 18-year-old
they seek to engage may actually be an underage person are legitimate targets
of the police investigation. Their indifference exhibited in responding to
police offers would manifest itself equally in real life encounters. These
indifferent persons add to the social evil of child prostitution by contributing
to the market for it. I agree with the trial judge聮s finding in his first
entrapment decision that 聯the demand for juvenile prostitutes was driven not
only by those who were specifically looking for underage girls, but also by
those who were open and willing to obtain sexual services from juvenile
prostitutes.聰 Truong had testified that when designing Project Raphael persons who
would take the opportunity, though not seeking one, to engage in sex with a
minor were seen as part of the target group. In my view, defining the scope of
the investigation to include such persons was justifiable.
[125]
Counsel for Haniffa also contended the police could have narrowed
the scope of the investigation by seeking the cooperation of Backpage to allow the
police to post an ad with a lower age. I don聮t regard the suggestion as
feasible. Further, I have explained why the investigation did not have to be
narrowed in that way.
[126]
I am satisfied the police narrowed the scope of the investigation
as much as the evidence warranted.
(iv)
The activities affected by the investigation
[127]
The trial judge did not consider the activities that would be
affected by the investigation. In
Barnes
, for example, the persons
potentially solicited by the police were going about their lawful business, perhaps
on their way to work, shopping, dining out, or seeing a movie.
[128]
In this case, all the persons who possibly could be tested by the
police were persons seeking to engage prostitutes. The persons who responded to
the police ads, and other similar ads, were engaged in communicating to obtain
for consideration the sexual services of a person, which is a criminal offence
under s. 286.1. The communication to obtain sexual services for consideration
is the single activity affected by the investigation.
[129]
Society has little interest in shielding the criminal activity of
engaging a prostitute from state intrusion.
(v)
The nature and level of privacy expected in the virtual space
[130]
The nature and level of privacy expected are other relevant
factors that the trial judge did not consider.
[131]
The relevant interest, in this case, is the privacy that the customers
responding to the ad were entitled to expect during the text chat
before
the undercover officer disclosed that 聯she聰 was underage. After that disclosure,
customers who continued the chat could not reasonably expect privacy online
with juveniles they did not know:
Mills
, at para. 23.
[132]
As
Ahmad
noted, at para. 36, people reasonably expect
privacy in their text messages. I reiterate once again that the court said that
聯virtual spaces raise unique concerns for the intrusion of the state into
individuals聮 private lives聰 and that individuals should be able to enjoy their
privacy free from state intrusion, except where that intrusion is objectively
justified: at para. 36.
[133]
I expect that customers would want to keep their text messages with
a prospective sex worker confidential. In such text messages customers would
disclose their sexual predilections, the sexual activities in which they wanted
to engage, and how much they were willing to pay for them.
[134]
The customers used their phone to engage in the text chats. In
Ahmad
the court had commented, at para. 36, that:
A phone number provides access to an intensely
private virtual space. We cultivate personal, work and family relationships
through our phones; they are a portal of immediate access reserved for the
select few closest to us. We carefully guard access to that space by choosing
to whom we disclose our phone number and with whom we converse.
[135]
The police carrying out Project Raphael intruded upon an intensely
personal privacy interest.
(vi)
The importance of the virtual space to freedom of expression
[136]
The virtual space the police intruded upon was comprised of advertisements
for sexual services and text messages from would-be customers. The expression
in this space was devoted to specifying sexual services and negotiating their cost
and where they would be performed. Such expression does not fall into the
traditional categories of expression valued in a democratic state, such as
political speech, social commentary, or religious opinion.
[137]
While the customers could claim a privacy interest in their text
messages, it is relevant to this factor that the expression by the customers in
the virtual space, i.e. communicating to obtain sexual services for
consideration, would constitute a criminal offence under s. 286.1.
[138]
The escorts section of Backpage had little importance to freedom
of expression.
(vii)
Racial profiling, stereotyping or reliance on vulnerabilities
[139]
There was no latitude in Project Raphael for undercover officers
to engage in racial profiling or stereotyping, or to rely on vulnerabilities
not related to the offence.
(viii)
The number of persons affected
[140]
The number of innocent people who would be affected by a police
investigation is a significant factor in the analysis. This factor, although
important, must be considered in the context of the other factors discussed
above, which provide the necessary context for the proper assessment of its weight.
[141]
The trial judge did not make a finding quantifying the relative
number of innocent people affected. The police did not keep a record of the
number of persons who responded to the ads who discontinued the text chat upon
learning the escort was underage. Counsel for Haniffa, whose submissions the
respondent adopted, puts forward a method of arriving at an estimate of the
relative number. From material disclosed by the Crown under a production order,
he advises that during an eight-day period during which Project Raphael ran
during 2016, 50 customers were arrested. While the total number of persons who
responded to the ad was not recorded, it is known there were 17,000 lines of
text communication from all callers during that eight-day period. Counsel
estimates there were 30 to 40 lines of text per call on average. Using the
figure 40 he attributes a total of 2,000 lines of text to the 50 persons
arrested. That leaves the remaining 15,000 lines of text to be attributed to
persons who discontinued the text chats or did not show up at the hotel room.
He submits this calculation demonstrates that the great majority of customers refused
to engage a juvenile person.
[142]
I agree that these calculations corroborate the impressions offered
by the police testimony 聳 that a considerable majority of the persons who
responded to the police ads refused to engage the sexual services of a juvenile
when offered the opportunity to do so. The import of this fact must be assessed
in light of the entrapment jurisprudence.
[143]
Earlier cases addressed the number of innocent persons affected
only implicitly by circumscribing the space in which police could solicit
individuals. As noted earlier, in
Barnes
Lamer C.J. said, at p. 462, 聯in
many cases, the size of the area itself may indicate that the investigation is
not
bona fide
.聰 However, he did not expressly consider the number of
innocent persons at the Granville Mall who could have been solicited by the
police. I imagine the vast majority of persons at the Granville Mall were not
drug traffickers. Moldaver J., in his dissent in
Ahmad
, observed 聯
Barnes
enabled the police to target thousands of unknown persons and provide them with
an opportunity to traffic in drugs聰: at para. 117.
[144]
Barnes
is still good law.
[145]
That a considerable majority of men who responded to the ad
disengaged when the undercover officer disclosed 聯her聰 age is not determinative
on its own.
Ahmad
, in expressly including the number of persons affected
as a factor to be considered, did not assign it greater prominence than the
other factors listed. In fact,
Ahmad
confirmed that
Barnes
, in
which a considerable majority of persons at the Granville Mall did not traffic
in drugs, was still good law. The court must consider all the circumstances of
the case in determining whether the space within the scope of the investigation
is sufficiently precisely and narrowly defined.
F.
Conclusion
[146]
All the above considerations must be taken into account in
determining the balance between individuals聮 right to be left alone and
society聮s interest in eliminating the exploitation of juveniles.
[147]
The factors, the seriousness of the crime, and the difficulty of
investigating it, weigh heavily in favour of finding random virtue testing was
avoided. The invasion of intensely personal privacy interests and the number of
innocent persons affected support the opposite conclusion. The police investigation
intruded only on persons engaged in criminal activity and in a virtual space that
has little or no value to freedom of expression. There is no less intrusive
investigative technique available. There is no suggestion of racial profiling,
stereotyping or reliance on vulnerabilities in the design or implementation of
the investigation.
[148]
Considering the above factors, all the circumstances and the
applicable principles, I conclude that Project Raphael was a bona fide police inquiry
and that the police did not require reasonable suspicion that the person
responding to the ad was seeking someone underage before extending offers to commit
the offence of communicating to obtain for consideration the sexual services of
an underage person. In the course of the investigation the police necessarily provided
persons with the opportunity to commit the rationally connected and
proportionate offence of communicating with a person they believed to be
underage to facilitate sexual contact with them. I would conclude the respondent
was not entrapped.
[149]
I would grant the appeal and set aside the trial judge聮s order to
stay the respondent聮s convictions. I would remit the matter to the trial judge
for sentencing.
Released: May 17, 2021 聯RGJ聰
聯R.G. Juriansz J.A.聰
聯I agree. M. Tulloch J.A.聰
聯I agree. David M. Paciocco J.A.聮
[1]
Although Truong provided testimony that
called upon specialized knowledge, n
o expert evidence
voir dire
was conducted. This was not raised as an issue in this appeal, no doubt because
it was not problematic in the circumstances of this case. When the question of
Truong聮s expertise arose in
Haniffa
, defence counsel effectively waived
the need for a
voir dire
by advising the court that he had no problem
with Truong聮s evidence on the issue of entrapment, that he had been expecting
it, and did not expect Truong to have to be qualified. The respondent clearly
took the same position by agreeing to have this transcript, including this
exchange, admitted as evidence during his entrapment
voir dire
, while
raising no objection to Truong聮s qualifications during that hearing. Moreover,
Truong clearly had the specialized experience to offer the evidence he did.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Reid, 2021 ONCA 206
DATE: 聽20210331
DOCKET: C68387
Hourigan, Zarnett and Coroza JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Brian Donald Reid
Appellant
Bruce Sosa, for the appellant
Mark Luimes, for the respondent
Heard and released orally: March 30, 2021 by
video conference
On appeal from the sentence imposed on May 6, 2020 by
Justice Peter C. West of the Ontario Court of Justice.
REASONS FOR DECISION
[1]
The appellant pleaded guilty to the following counts: assault,
obstructing a peace officer, failure to appear for court, possession of
property obtained by crime under $5,000, two counts of driving while
disqualified, and dangerous driving.
[2]
At the sentencing hearing, both parties suggested a global sentence of
three years' incarceration. The only issue was credit for pre-sentence custody
of 63 days. The Crown sought a three-year term in addition to the pre-sentence
custody. The appellant's position was that the sentence should be three years
less the pre-sentence custody. The trial judge acceded to the Crown聮s position
and imposed a global three-year sentence.
[3]
The appellant seeks leave to appeal his sentence, arguing that
the sentencing judge erred in principle by not taking into account pre-sentence
custody credit.
[4]
We do not give effect to this submission. The Crown initially sought a
four-year sentence but agreed to reduce the sentence to three years. It is
evident on the record that the reduced sentence imposed took into account the
guilty plea, the impact of the COVID-19 pandemic and the pre-sentence custody.
[5]
Leave to appeal sentence is granted, but the sentence appeal is
dismissed.
聯C.W. Hourigan J.A.聰
聯B. Zarnett J.A.聰
聯S. Coroza J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Robinson, 2021 ONCA 282
DATE: 20210503
DOCKET: C67570
Huscroft, Nordheimer and Harvison
Young JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Tracy Robinson
Appellant
Stephen Proudlove, for the appellant
Natalya Odorico, for the respondent
Heard: in writing
On appeal from the convictions entered by
Justice Hugh K. O聮Connell of the Superior Court of Justice on July 19, 2019.
REASONS FOR DECISION
[1]
Mr. Robinson appeals his convictions for causing
damage by fire to property and for arson with intent to defraud, after a judge
alone trial.
[2]
The appellant was accused of setting fire to a
trailer that he owned and that was located in a trailer park. The trailer was
insured. The appellant owed the trailer park money for fees, which had been
outstanding for some time. Some days before the fire, the trailer park had
threatened to remove the trailer from the park and to send the appellant聮s
account to collection.
[3]
On the evening that the fire occurred, the
appellant had attended at the trailer park and promised the person in charge
that he would pay his outstanding account by the end of the month. The
appellant then visited his trailer, including turning on the air conditioning. A
short time after the appellant left the trailer park, smoke, and then fire, was
seen coming from the windows of the trailer. The trailer was destroyed.
[4]
As part of the investigation, the appellant gave
three statements to the police. He denied setting the fire. Two of his
statements were put into evidence as part of the prosecution聮s case. The
appellant did not give evidence at the trial.
[5]
The prosecution聮s case was entirely
circumstantial. Central to it was a report done by an investigator from the
office of the Ontario Fire Marshal (聯OFM聰). The investigator, who was accepted
as an expert, opined that the fire was deliberately set, and that it started on
the surface of the floor in the west bedroom. The defence also called an expert
who was critical of the investigation done by the OFM investigator. The defence
expert suggested that the fire might have been caused by an electrical problem
聳 a proposition that the prosecution聮s expert had expressly rejected.
[6]
The trial judge gave detailed reasons for his
conclusion that the prosecution had proven the offences beyond a reasonable
doubt. Importantly, the trial judge accepted the opinion of the OFM investigator
as to the cause of the fire and explained why he did so. The trial judge also
noted that the appellant had the opportunity, and a motive, to commit the
offences.
[7]
The appellant聮s challenges to the trial judge聮s
reasons are largely challenges to the trial judge聮s factual and credibility
findings. Absent the demonstration of a palpable and overriding error, those
findings are entitled to deference from this court
: R. v. Gagnon
, 2006
SCC 17, [2006] 1 S.C.R. 621, at para. 20. No palpable and overriding error has
been shown. The trial judge was entitled to accept the opinion of the OFM
investigator.
[8]
We also do not accept the appellant聮s argument
that the trial judge applied uneven scrutiny to the evidence, an argument, we
note, on which it is very difficult to succeed:
R. v. Radcliffe
, 2017
ONCA 176, 347 C.C.C. (3d) 3, at paras. 23-26, leave to appeal refused, [2017]
S.C.C.A. No. 274.
[9]
We do agree that the trial judge erred in his
enunciation of the test from
R. v. W.(D.)
,
[1991] 1 S.C.R. 742.
Its application is not restricted to 聯straight credibility聰 cases, as suggested
by the trial judge. However, reading his reasons as a whole, it is clear that
the trial judge applied the test properly in considering the exculpatory
evidence included in the appellant聮s statements to the police.
[10]
Finally, we do not see any merit in the argument
that the verdicts were unreasonable.
[11]
The appeal is dismissed.
聯Grant
Huscroft J.A.聰
聯I.V.B.
Nordheimer J.A.聰
聯A.
Harvison Young J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Romano, 2021 ONCA 211
DATE: 20210408
DOCKET: C65842
Strathy C.J.O., Watt and Zarnett
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Remo Romano
Appellant
Brian Greenspan and James Foy, for the
appellant, Remo Romano
Holly Loubert, for the respondent, the
Crown
Heard: November 13, 2020
On appeal from the conviction entered by
Justice Todd Ducharme of the Superior Court of Justice, sitting with a jury, on
January 24, 2018 and from the sentence imposed by Justice Brian P. O聮Marra of
the Superior Court of Justice on September 13, 2018 with reasons reported at 2018
ONSC 5172.
Zarnett J.A.:
I.
Introduction
[1]
On the evening of February 12, 2014, the appellant,
a police officer, was driving an unmarked vehicle on a Toronto street as part
of a police surveillance team. Having fallen behind the team, and in an effort
to catch up, he accelerated to about 115 kilometres per hour (聯km/h聰) in a zone
with a posted speed limit of 60 km/h. His vehicle struck and killed Ms. Carla
Abogado.
[2]
Ms. Abogado had nothing to do with the police
surveillance. At the time of the fatal collision, she had been on her way home
from work and was crossing the street (but not at an intersection)
[1]
after exiting a Toronto Transit
Authority (聯TTC聰) bus.
[3]
The appellant was charged with dangerous
operation of a motor vehicle causing death, contrary to what was then s. 249(4)
of the
Criminal
Code
of Canada
, R.S.C., 1985, c.
C-46.
[2]
He has been tried three times for this offence.
[4]
At his first trial, the jury was unable to agree
on a verdict.
[5]
At his second trial, the appellant was
acquitted, but the Crown successfully appealed to this Court. The acquittal was
set aside, and a new trial directed:
R. v. Romano,
2017 ONCA 837, 142
W.C.B. (2d) 539 (聯
Romano
2017
聰).
[6]
At his third trial, the appellant was convicted
and received a custodial sentence of eight months.
[7]
The appellant appeals both his conviction and
sentence.
[8]
The conviction appeal relates to the trial
judge聮s charge to the jury. The appellant submits that the trial judge
improperly focussed the jury on the consequences of his driving and whether the
specific accident was foreseeable and avoidable, rather than on the proper questions
聴 whether the manner of his driving was dangerous to the public and was a
marked departure from the required standard in the circumstances. The appellant
also submits that the trial judge failed to provide proper guidance to the jury
on how to determine what would constitute a 聯marked departure聰 from the
required standard.
[9]
On the sentence appeal, the appellant submits
that the circumstances did not require an eight month, or any, term of
imprisonment. He argues that this court should reduce his sentence or substitute
a conditional sentence.
[10]
For the reasons that follow, I would dismiss
both the conviction appeal and the sentence appeal.
II.
BACKGROUND
[11]
In order to put the issues to be decided into
context, I begin with an outline of the elements of the offence of dangerous
driving causing death. I then turn to a description of the circumstances of the
offence and the theories advanced at trial. Against that backdrop, I address
the grounds of appeal and why, in my view, they should be rejected.
(1)
Dangerous Operation of a Motor Vehicle Causing
Death
[12]
At the relevant time, ss. 249(1) and (4) of the
Code
provided:
249 (1) Every one commits an offence
who operates
(a) a motor vehicle in a manner that
is dangerous to the public, having regard to all the circumstances, including
the nature, condition and use of the place at which the motor vehicle is being
operated and the amount of traffic that at the time is or might reasonably be
expected to be at that place.
(4) Every one who commits an offence
under subsection (1) and thereby causes the death of any other person is guilty
of an indictable offence and liable to imprisonment for a term not exceeding
fourteen years.
[13]
It was conceded at trial that the appellant聮s
operation of the vehicle caused Ms. Abogado聮s death. The only issue was whether
the appellant聮s driving met the elements of the offence of dangerous operation
of a motor vehicle. The Supreme Court of Canada described these elements in
R.
v. Beatty
, 2008 SCC 5, [2008] 1 S.C.R. 49 and
R. v. Roy
, 2012 SCC
26, [2012] 2 S.C.R. 60.
[14]
The
actus
reus
is established
when the accused聮s conduct, viewed objectively, meets the standard in s.
249(1)(a) of the
Code
of 聯driving in a manner dangerous to the public,
having regard to all the circumstances, including the nature, condition and use
of the place at which the motor vehicle was being operated and the amount of
traffic that at the time was or might reasonably have been expected to be at
that place聰:
Beatty
, at paras. 43, 45;
Roy
at para. 28.
[15]
The offence also requires that the accused聮s
objectively dangerous driving be accompanied by the required
mens
rea
.
That will be present where the degree of care exercised by the accused was
a 聯marked departure from the standard of care that a reasonable person would
observe in the accused聮s circumstances聰:
Beatty
, at para. 43. 聯While
the distinction between a mere departure from the standard of care, which would
justify civil liability, and a
marked
departure justifying criminal
punishment is a matter of degree, the lack of care must be serious enough to
merit punishment聰:
Roy
at para. 28 (emphasis in original). The risks
created by the manner of driving, and their foreseeability, are an important
part of the analysis. 聯(T)he trier of fact must be satisfied that a reasonable
person in similar circumstances ought to have been aware of the risk and of the
danger involved in the conduct manifested by the accused聰:
Beatty
, at
para. 43.
(2)
The Circumstances of the Offence
[16]
The appellant was 46 years old at the time of
trial. He was an experienced police officer who joined the York Regional Police
in 2003. He had received surveillance training and had participated in a
significant number of surveillance operations.
[17]
On the evening of the collision, the appellant
was part of a team of officers who were engaged in undercover mobile surveillance
of a van suspected of involvement in unarmed, non-violent break-ins at several
retail outlets. The team聮s purpose was to gather information. The circumstances
were not considered urgent nor to involve risks to public or police safety. No
arrests were immediately contemplated.
[18]
During the surveillance, the appellant and one
other officer fell behind the other team members. The appellant testified that
it was important for team members to stay close as they depended on radio
contact with each other.
[19]
The appellant聮s vehicle was travelling eastbound
in the passing lane on St. Clair Avenue East, in the vicinity of Victoria Park
Avenue. St. Clair is a four-lane road with two lanes for each direction. The
evening was clear, the area moderately well lit, and the road dry with some wet
spots.
[20]
To catch up with the other team members, the
appellant decided to accelerate. He was travelling at 80 to 90 km/h when he
reached the intersection of St. Clair and Victoria Park, and then progressively
faster as he continued in an easterly direction on St. Clair, through a section
(west of Herron Avenue) that had a posted speed limit of 50 km/h and then, on a
green light, through the intersection of St. Clair and Herron to an area with a
posted speed limit of 60 km/h. The appellant was familiar with the area; he
knew it had residential houses on the south side of St. Clair and a healthcare
facility on the north side. He did not activate his emergency lights or siren,
given that he was involved in undercover surveillance.
[21]
The Crown聮s accident reconstruction expert
testified that at the time the collision occurred on St. Clair just east of the
intersection with Herron, the appellant had reached a speed of about 115 km/h
and was still accelerating.
[22]
Ms. Abogado got off a TTC bus at the bus shelter
just east of Herron on the north side of St. Clair. This was about 40 metres
from her house. She proceeded to jaywalk across St. Clair toward its south
side. She was wearing dark, non-reflective clothing.
[23]
The appellant聮s vehicle struck Ms. Abogado just
as she crossed the centre line of St. Clair into the eastbound passing lane.
Her body was thrown nearly 80 metres. She died almost instantly.
[24]
The appellant testified that as he approached
the intersection of St. Clair and Herron, he saw nothing in front of him and so
he proceeded. The appellant did not see Ms. Abogado until just before the
collision. He did not apply the brakes and only started to swerve less than one-half
second before the collision took place. He admitted that, at the speed he was
travelling, even if he had seen a pedestrian in the roadway, he could not have
done anything to avoid a collision.
[25]
The appellant agreed that it was foreseeable
that someone would be jaywalking on St. Clair that evening, as jaywalkers are generally
foreseeable. He stated that he was focussed on the 聯roadway ahead of me聰 and
did not account for hazards such as 聯pedestrians and jaywalkers聰, or traffic
pulling out or making sudden lane changes.
[26]
The Crown聮s accident reconstruction expert
testified that at the speed the appellant was driving and given when an
聯unalerted聰 driver would have seen a pedestrian in the circumstances, the
collision was unavoidable as there was insufficient distance to stop the
vehicle. He testified that the collision would have been avoidable if the
appellant had been travelling at 80 km/h or less.
(3)
The Competing Positions at Trial
[27]
The parties did not contest, at trial or in this
court, that the
Highway Traffic Act
exempts police officers from the
requirement to comply with posted speed limits in the performance of their
duties, but does not exempt them from criminal offences such as dangerous
driving; that police officers must always act reasonably and prudently; and
that police are subject to a higher standard of care when exercising their
privilege to drive faster than the speed limit.
[28]
The Crown聮s theory was that the appellant聮s
driving was objectively dangerous to the public, that the appellant should have
foreseen the risks created by his driving and taken steps to avoid them, and
that his failure to do so was a marked departure from what a reasonably prudent
police officer in his circumstances would have done. The Crown relied on the 聯common
sense reality聰 that a jaywalking pedestrian at St. Clair and Herron was foreseeable,
given that it was, to the knowledge of the appellant, a residential area with a
health centre and townhouses; that the posted speed limit which other motorists
and pedestrians would expect vehicles to be travelling at was 60 km/h (the
appellant believed it was 50 km/h); that the speed that the appellant was
travelling gave him insufficient time to do anything about a hazard in the
roadway even if observed from a distance of 85 metres; that the appellant was
involved in low risk and non-urgent surveillance; and, that there were options
available to the appellant instead of accelerating to that speed in that area
to catch up to the rest of the team.
[29]
The theory of the defence was that the
appellant聮s driving did not meet the elements of the offence. Police officers
are permitted by law to exceed the speed limit in the lawful performance of
their duties and are not required to activate emergency lights or sirens. The
appellant, who was part of an undercover police surveillance team, drove at the
speed he did without activating emergency equipment because he had fallen
behind the rest of the team, the traffic signal at St. Clair and Herron was
green, and the road appeared clear of vehicles and pedestrian traffic. The
appellant聮s position was that Ms. Abogado made a 聯fateful decision聰 to cross
the street, and her death was the direct result of this unexpected event. The
defence relied on the inability of the Crown聮s expert to answer the question:
聯What is a safe speed to avoid an unexpected event聰?
III.
THE CONVICTION APPEAL
[30]
The appellant submits that the trial judge erred
in two respects when instructing the jury.
[31]
First, he argues that the trial judge erred by
inviting the jury to consider the consequences of the appellant聮s driving 聴 whether
this particular collision was avoidable, and specifically, whether the
appellant should have foreseen Ms. Abogado and avoided her 聴 rather than addressing
whether the manner of driving was objectively dangerous to the public and a
marked departure from the standard of care.
[32]
Second, the appellant submits that the trial
judge failed to give the jury the necessary guidance on what was required to determine
whether the appellant聮s driving was a
marked
departure from the standard
of care.
(1)
Did the trial judge improperly focus the jury
on the wrong questions?
[33]
As the Supreme Court explained in
Beatty
,
the issue in a dangerous driving case is the manner of driving, not the
consequences. The consequences may elevate the offence to one covered by s.
249(4), and may otherwise be relevant to assist in assessing the risk involved.
However, 聯(t)he court must not leap to its conclusion about the manner of
driving based on the consequence聰. The consequences do 聯not answer the question
whether or not the vehicle was operated in a manner dangerous to the public聰:
Beatty
,
at para. 46; see also
R. v. Anderson
, [1990] 1 S.C.R. 265 at p. 273.
[34]
These principles were applied in this court聮s
decision in
Romano
2017
, reversing the appellant聮s acquittal at
his second trial. Paciocco J.A., writing for the court, explained that for both
the
actus
reus
and
mens
rea
of dangerous driving, the focus should be on the manner of driving, not the
consequences or the cause of those consequences: at paras. 68-69. A consequence
can verify the nature of the risks that existed but should not be used in
determining whether the manner of driving was dangerous or in marked departure
from the norm. 聯In assessing the dangerousness of the driving the relevant risk
is not the risk that the specific accident event would materialize聟what is of
interest is danger to the public generally聰: at para. 72.
[35]
The charge at the second trial failed to observe
these requirements. Although it at times referred to the general manner of
driving and the general risks created, it 聯gave undue focus to the collision,
and to questions of responsibility for the collision, when it should have
focused on [the appellant聮s] driving, and whether that driving constituted a
marked departure from the standard of care expected of a police officer in [the
appellant聮s] circumstances聰: at para. 74. The charge had 聯focused the jury on
the risk posed by Ms. Abogado聮s jaywalking, and not the general risks to the
public that may have been posed by [the appellant聮s] manner of driving聰: at
para. 76.
It put an improper focus 聯on the foreseeability and
avoidability of the collision with Ms. Abogado聰: at para. 80, and contained a 聯misdirected
and misleading focus on the consequence or collision, and on the
blameworthiness of Ms. Abogado...聰: at para. 83.
[3]
[36]
The charge at the second trial thus invited the
jury to:
evaluate the dangerousness of the driving and
the degree of departure from the norm by examining the circumstances of the
collision rather than the manner of [the appellant聮s] driving聟[giving] emphasis
to the conduct of Ms. Abogado. The issue for the jury聟was not the specific
question of whether the collision with Ms. Abogado was foreseeable and
avoidable. It was the more general question whether the manner of driving
presented foreseeable and avoidable risks to the public, including risks that
would arise if persons entered or were on the roadway: at para. 78.
[37]
The appellant argues that the charge given by
the trial judge involved a similar error to that identified by Paciocco J.A. 聴 that
it focussed the jury on whether the specific collision with Ms. Abogado was
foreseeable and avoidable, and not on the question of whether the appellant聮s
driving presented foreseeable and avoidable risks to the public, including
risks that would arise if persons entered or were on the roadway.
[38]
I would not give effect to this argument.
[39]
First, the error in the charge at the second
trial consisted of placing a focus on the circumstances of the collision with
an emphasis on the conduct and blameworthiness of Ms. Abogado. That is not the
error complained of here.
[40]
Second, the trial judge聮s proposed charge was discussed
at a pre-charge conference and specific submissions were made with a view to avoiding
the problems identified in
Romano 2017
.
Trial counsel did not
take the position that the proposed charge, as adjusted at the pre-charge
conference, would place undue emphasis on the cause of the specific collision.
Nor was the charge objected to after it was delivered.
[41]
Third, the charge, read as a whole, unlike the
charge under consideration in
Romano 2017
, did not focus the jury on
the wrong questions.
[42]
The appellant points to various parts of the
charge where the trial judge summarized and commented on the evidence of the
Crown accident reconstruction expert, and told the jury that based on that
evidence, they might conclude that the appellant would not have been able to
avoid hitting Ms. Abogado no matter how she 聯got from the curb to the spot
where she was hit聰. He also points to the fact that the trial judge invited the
jury to consider various details about the specific collision including the
fact that Ms. Abogado was jaywalking; that she was wearing dark clothing that
would have made it difficult to see her at night; the evidence of various
witnesses as to when and what they saw of the collision; and the evidence of
the Crown reconstruction expert as to whether there was enough time, at the
speed the appellant was travelling, to avoid hitting Ms. Abogado.
[43]
These passages must, however, be considered in
light of the charge in its entirety. The trial judge cautioned the jury to
focus on the appellant聮s manner of driving, and 聯not on the tragic consequences
that occurred, that is, the death of Ms. Abogado聰. He instructed them that it
would be wrong to conclude, because a death occurred, 聯that the manner of
driving must therefore have been dangerous聰. He instructed them to consider 聯all
of the risks created by the manner in which [the appellant] was driving聰, one
of which was the risk of striking a jaywalker. He told them that 聯[t]he
collision with Ms. Abogado is only one of the risks that may have been created
by [the appellant聮s] manner of driving聰, that the fact that she was jaywalking 聯is
only relevant to the foreseeability of the risk聰, and that the question that they
must ask themselves was 聯in light of all the circumstances, would a reasonable,
prudent police officer have foreseen the risks created by the manner of driving
and taken steps to avoid them?聰
[44]
Moreover, the trial judge specifically cautioned
the jury that the question was
not
whether the collision with Ms.
Abogado was foreseeable and avoidable:
Now, while I discuss the circumstances of the
collision with Ms. Abogado I do not mean to suggest that the dangerousness of
the driving is to be determined by examining the circumstances of the collision,
rather than the manner of [the appellant聮s] driving. The issue for you is not
whether the collision with Ms. Abogado was foreseeable and avoidable. Rather
the question is whether the manner of [the appellant聮s] driving presented
foreseeable and avoidable risks to the public, including risks that would arise
if a jaywalker entered or was on the roadway.
[45]
As these clear and unequivocal statements and cautions
demonstrate, the charge did not improperly focus the jury on the question 聴
聯Was the specific collision foreseeable and avoidable?聰 聴 or invite it to overemphasize
the significance of the consequences of the driving. The jury was instructed
that the consequences did not answer the question of whether the driving was
dangerous. The jury was effectively told not to 聯leap to its conclusion about
the manner of driving based on the consequence聰:
Beatty
, at para. 46.
[46]
Fourth, the law does not proscribe all reference
to the consequences of the driving in considering a dangerous driving charge. It
permits consideration of the consequences to 聯assist in assessing聰, or to 聯verify聰,
the risk involved:
Beatty
, at para. 46;
Romano
2017
,
at para. 71. It recognizes that in some circumstances, 聯the actions of the
accused and the consequences flowing from them may be so interwoven that the
consequences may be relevant in characterizing the conduct of the accused聰:
Anderson
,
at p. 273.
[47]
Both sides used the circumstances of the
collision to assist in assessing or verifying the risks. The defence position
relied on the circumstances of the collision; that the appellant was driving
safely and that Ms. Abogado聮s sudden appearance in the path of the appellant聮s
vehicle, as a result of jaywalking, was an unexpected event of her creation, rather
than something indicative of a type of risk the appellant should have foreseen
and avoided. The Crown聮s position was that the appellant聮s manner of driving
created the foreseeable risk of being unable to avoid striking a hazard on the
roadway; Ms. Abogado聮s presence on the road and the collision turned out to be
a tragic verification of this. The trial judge聮s charge, including the portions
dealing with the specific collision and the cautions about the proper questions
to consider, allowed the jury to appropriately consider those positions, without
falling into the error identified in
Romano
2017
.
[48]
The adequacy of the trial judge聮s charge is assessed
by considering whether it
left the
jury with a sufficient understanding of the facts as they related to the
relevant issues so that 聯the jurors 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聰:
Romano
2017
,
at para. 84. In my view, it did. I would therefore reject
this ground.
(2)
Did the trial judge err in his instruction about
what constitutes a marked departure from the required standard of care?
[49]
The
parties agree that
the
mens
rea
issue in this case was whether the degree of
care exercised by the appellant was a marked departure from the standard of
care that a reasonably prudent police officer would observe in the appellant聮s
circumstances:
Beatty
, at para. 43.
[50]
On that question, the trial judge instructed the
jury as follows:
And secondly, if so, was [the appellant聮s] failure
to foresee the risks and take steps to avoid them, if possible, a marked
departure from the standard of care expected of a reasonable, prudent police
officer in [the appellant聮s] circumstances?
[聟]
Now, the dangerous operation of a motor
vehicle involves more than just carelessness in [the appellant聮s] driving.
Carelessness, by itself, does not constitute dangerous driving. The offence of
dangerous driving requires a higher degree of negligence than careless driving.
Crown Counsel must satisfy you, beyond a reasonable doubt that [the
appellant聮s] manner of driving was a marked departure from what a reasonable,
prudent police officer would do in the same circumstances. Your good common
sense will tell you the difference between simple carelessness and a marked
departure.
That said, Crown counsel does not have to
prove that [the appellant] meant to cause death to, or endanger the life of,
Ms. Abogado, or anyone else who was, or who might have been, there at the time.
What you have to decide, in these circumstances, is not what [the appellant]
meant to do, but whether [the appellant] drove in a manner that was a marked
departure from the manner in which a reasonably prudent police officer would
operate in the same circumstances. It is the manner of [the appellant聮s]
driving that you must focus on.
[51]
The appellant submits that this instruction was
inadequate because it did not properly explain how high the 聯marked departure聰
standard is. The jury should have been told that the standard is beyond
negligence, beyond momentary inattention, and beyond errors of judgment.
Moreover, the trial judge should have explained the concept by relating it to
real-world examples.
[52]
The appellant further argues that the instrument
the trial judge invited the jury to use 聴 its common sense 聴 would not assist
in evaluating what a trained police officer would do in the circumstances. The suggestion
invited use of personal and idiosyncratic standards about speeding, but unlike
the public, the appellant had some latitude to speed while on surveillance. Finally,
the appellant says the jury should have been explicitly instructed to consider
how and in what way the appellant聮s driving was a marked departure from the
standard of care.
[53]
I do not accept these arguments.
[54]
In my view, the
charge appropriately equipped the jury to appreciate the central
mens
rea
issue,
namely, that the departure from the expected standard had to be beyond that
required for civil liability and 聯serious enough to merit punishment聰:
Roy
, at para.
28. The charge accomplished this, as the jury was told that the departure had
to be 聯marked聰, that more than carelessness was required, and that a higher
degree of negligence was required than for careless driving. The jury would
have thus appreciated that more than mere negligence, a momentary lapse of attention,
or understandable misjudgment was required:
R.
v. Chung
, 2019 BCCA 206,
155 W.C.B. (2d) 337 (聯
Chung (BCCA)
聰), at para. 30, aff聮d 2020 SCC 8, 386
C.C.C. (3d) 523 (聯
Chung (SCC)
聰).
[55]
It is unclear
what real-world examples would have assisted the jury to better appreciate this
standard. Nor was any further explanation about the difference between
momentary inattention and a marked departure necessary.
[56]
As the Supreme Court
held in
Chung (SCC
)
at para. 22
:
Although this Court in
Roy
and
Beatty
determined that momentary lapses in attention and judgment would usually not
raise criminal liability, this was because momentary lapses often result from
the "automatic and reflexive nature of driving" (
Beatty
, at
para. 34) or "[s]imple carelessness, to which even the most prudent
drivers may occasionally succumb" (
Roy
, at para. 37). These are
examples of conduct that, when assessed in totality against the reasonable
person standard, only represent a mere departure from the norm. Momentary
conduct is not assessed differently from other dangerous conduct. Conduct that
occurs over a brief period of time that creates foreseeable and immediate risks
of serious consequences can still be a marked departure from the norm (
Beatty
,
at para. 48). A reasonable person would have foreseen that rapidly accelerating
towards a major intersection at a high speed creates a very real risk of a
collision occurring within seconds. This is what actually occurred in Mr.
Chung's case. Risky conduct at excessive speeds foreseeably can result in
immediate consequences. Therefore, the fact that foreseeable consequences occur
within a short period of time after someone engages in highly dangerous
behaviour cannot preclude a finding of
mens
rea
for
dangerous driving.
[57]
The jury was
instructed to consider whether the appellant聮s failure to foresee the risks
arising from his manner of driving, and to take steps to avoid them, if
possible, was a marked departure from the standard of care expected of a
reasonable prudent police officer in the circumstances. The jury was told the
departure had to be more than carelessness and was thus able to consider
whether the appellant聮s 聯excessive speeding聰 established
mens
rea
because,
聯having regard to all the circumstances, it supports an inference that the
driving was the result of a marked departure from the standard of care a
reasonable person in the same circumstances would have exhibited聰:
Chung
(SCC)
, at
para. 19.
[58]
I agree with
the Crown聮s submission that this is not a case like
R. v. Stephan
,
2017 ABCA 380, 357 C.C.C. (3d) 10, rev聮d 2018 SCC 21, [2018] 1 S.C.R. 633, (dealing
with the offence of failing to provide the necessaries of life). In
Stephan
,
the charge was inadequate because it did
not tell the jury that it needed to consider whether the accused聮s conduct fell
sufficiently below the standard expected of a reasonable parent, nor did it caution
the jury that notwithstanding the significant medical evidence it had heard, the
standard was not to be equated to what a doctor would do in the circumstances: at
paras. 246-54. Unlike in
Stephan
, the jury here was equipped to understand
the standards of reasonable driving, and how far the appellant聮s conduct
departed from them.
[59]
Nor is this a
case like
R. v. Laverdure
, 2018 ONCA 614, 365 C.C.C. (3d), also
relied on by the appellant. The issue in that case was the failure of a trial
judge, in a judge alone trial, to fully analyze the evidence related to
mens
rea
. The
trial judge erred by focussing solely on the
actus reus
and concluding that
the act of dangerous driving necessarily constituted a marked departure
.
As
such, he did not identify 聯how and in what way聰 the driver went beyond mere
carelessness. In this case, the instructions to the jury clearly required them
to analyze both the
actus
reus
and the
mens
rea
elements
of the offence.
[60]
Finally,
the issue of how the jury should be charged on this topic was the
subject of dialogue at the pre-charge conference. The trial judge was asked by trial
counsel to include the sentence: 聯The offence of dangerous driving requires a
higher degree of negligence than careless driving聰. The trial judge did so. The
charge was not otherwise objected to before or after its delivery.
[61]
While the trial judge has the responsibility of
adequately charging the jury, counsel are expected to assist in fulfilling that
responsibility. Here, the trial judge accommodated trial counsel聮s suggestions
about the charge. Trial counsel did not otherwise object to it. While not
determinative, this supports the conclusion that the charge on 聯marked
departure聰 was adequate:
R. v. Mack
, 2014 SCC 58, [2014] 3 S.C.R. 3 at
para. 60.
[62]
I would therefore reject this ground of appeal.
IV.
The Sentence Appeal
[63]
The appellant asks that we set aside or shorten
the term of incarceration, or alternatively, impose a conditional sentence.
[64]
The appellant argues that the sentencing judge
erred by failing to apply the principle of restraint. Under that principle, a
sentencing judge is required to consider all sanctions apart from incarceration
and impose imprisonment only when there is no other reasonable punishment:
Code
,
s. 718.2(d) and (e). It follows that where imprisonment is required, the term
should be as short as is reasonable given the circumstances. The appellant
argues that a proper application of the restraint principle leads to no, or a
shorter, custodial term.
[65]
At the time of sentencing, a conditional
sentence 聳 a sentence of incarceration served in the community subject to
conditions 聳 was not available for the offence of dangerous driving causing
death, since the offence is punishable by a maximum term of imprisonment of 14
years:
Code
, s. 742.1(c). In
R. v. Sharma
, 2020 ONCA 478, 152
O.R. (3d) 209, leave to appeal granted, 39346 (January 14, 2021), a majority of
this court found s. 742.1(c) to be unconstitutional. The appellant alternatively
submits that this court should substitute a conditional sentence, as this was
not an egregious case of police misconduct and involved no exploitation of
power.
[66]
I would not give effect to these arguments.
[67]
In my view, the sentencing judge did not
overlook the principle of restraint. It was expressly referred to in
submissions made to him, and he stated that he had considered the principles set
out in s. 718 of the
Code
.
[68]
The sentencing judge noted the appellant聮s commendable
personal, familial, and professional history, the lack of a need for specific
deterrence, and the appellant聮s remorse for the accident. But he also found
that Ms. Abogado聮s tragic death was an important factor in determining an
appropriate sentence, and noted that it had had a devastating impact on her
family. Although he did not agree with the Crown that general deterrence should
be an 聯overriding聰 or 聯dominant聰 consideration, he did find a need, albeit
聯diminished聰, for the sentence to reflect that principle. Although the defence
request was for a non-custodial sentence, the sentencing judge found a term of
eight months incarceration to be 聯required聰. His reasons can only be taken to
mean that he found this sanction to be necessary after considering all
principles of sentencing.
[69]
Appellate variation of a sentence is only
justified if the sentence is demonstrably unfit, or if the sentencing judge
made an error of law or principle that had an impact on the sentence imposed
:
R. v. Lacasse
, 2015 SCC 64, [2015] 3 S.C.R. 1089 at paras. 40-41, 43-44.
The sentencing judge in this case considered the relevant principles and
exercised his discretion to arrive at a sentence that was not demonstrably
unfit.
[70]
In light of
Sharma
, it is open to this
court to consider the appropriateness of a conditional sentence for this
offence. However, the fact that a conditional sentence is now available does
not mean that one will necessarily be imposed:
R. v. Gray
,
2021
ONCA 86 at paras. 44-45. The issue is whether, post-
Sharma
, the sentencing
judge聮s decision remains sound, given the 聯newfound availability of a
conditional sentence聰, after considering the sentencing judge聮s reasons, the
applicable principles, and any fresh evidence
:
Gray
,
at
para. 52
.
[71]
The sentencing judge referred, in his reasons,
to the non-availability of a conditional sentence. But he did not say that he
would have imposed one if it were open to him to do so. He did not accept the
defence submission that a non-custodial sentence was appropriate. His view,
from his reasons read as a whole, was that an actual custodial sentence was 聯required聰
because of the nature and circumstances of this particular offence and the harm
done. His sentencing decision thus remains sound. His findings do not support
the view that a conditional sentence would be 聯consistent with the fundamental purpose
and principles of sentencing set out in sections 718 to 718.2聰:
Code
,
s. 742.1(a).
[72]
As I have described, the sentencing judge did
not err in failing to consider the principle of restraint. He did not impose a
sentence that was demonstrably unfit. It would not be appropriate, on the
findings that he did make and the relevant principles, to set aside or reduce
the custodial sentence, or substitute a conditional sentence.
V.
Conclusion
[73]
I would dismiss the conviction appeal. Although
I would grant leave to appeal sentence, I would also dismiss the sentence
appeal.
Released: April 8, 2021 聯G.R.S.聰
聯B.
Zarnett J.A.聰
聯I
agree. G.R. Strathy C.J.O.聰
聯I
agree. David Watt J.A.聰
[1]
She was 聯jaywalking聰.
[2]
In these reasons I refer interchangeably to dangerous operation of
a motor vehicle and dangerous driving.
[3]
For example, the judge at the second
trial told the jury:
In considering whether the driving in question was
dangerous as I have defined it, you will take into account that Ms. Abogado was
jaywalking, that is, she was crossing St. Clair Avenue East in the middle of
the road, not at an intersection or at a crosswalk. Jaywalking is an inherently
risky activity.
Pedestrians must be aware, when they jaywalk, that drivers are not
always paying attention, not always concentrating on what is going on ahead of
them. Also, Ms. Abogado was wearing generally dark clothing, meaning that she
would be more difficult for a driver to see, especially given that it was night
time and it was dark out.
|
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.聽 These
sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the
following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽 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.H., 2021 ONCA 41
DATE: 20210121
DOCKET: C64838
Juriansz, Tulloch and Paciocco
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
S.H.
Appellant
Howard Krongold, for the appellant
Michael Dunn, for the respondent
Heard: January 15, 2021 by
videoconference
On appeal from the convictions entered
by Justice W. Danial Newton of the Superior Court of Justice on July 8, 2016,
with reasons reported at 2016 ONSC 4492.
REASONS FOR DECISION
[1]
The trial judge convicted the appellant of sexual
interference, contrary to s.聽151 of the
Criminal Code
, and sexual
assault, contrary to s. 271 of the
Criminal
Code
. The
appellant was found to have committed these offences against the complainant,
his step-daughter, on an almost daily basis, over a number of years.
[2]
At the trial, the complainant testified about
the alleged sexual abuse. She also testified that after she told her mother
about the abuse, the appellant came into her room and apologized to her.
[3]
The complainant聮s mother testified that after
the complainant told her of the sexual abuse, she confronted the appellant, who
did not deny the allegations but said he could not remember, perhaps because he
had consumed drugs. She testified that she then heard the appellant apologize
to the complainant, and that the appellant left the family home the next day.
[4]
In his testimony, the appellant denied the
alleged sexual acts and denied apologizing to the complainant. He said that he
left the house because the complainant聮s mother admitted that she was having an
affair. The appellant suggested that the complainant聮s allegations were
motivated by his response to the complainant being caught shoplifting, and that
the complainant聮s prior complaints to her friends had been motivated by the negative
influence of those friends, and her desire to 聯fit in聰.
[5]
In his decision finding the appellant guilty,
the trial judge accurately set out the principles in
R. v. W.(D.)
,
[1991] 1 S.C.R. 742, for the
application of the reasonable doubt standard in credibility cases. He
identified the three stages in the
W.(D.)
analysis that are
customarily described, including by citing the formula expressed in
W.(D.)
,
at p. 758:
First, if you believe the evidence of the
accused, obviously you must acquit.
Second, if you do not believe the testimony of
the accused but you are left in reasonable doubt by it, you must acquit.
Third, even if you are not left in doubt by
the evidence of the accused, you must ask yourself whether, on the basis of the
evidence which you do accept, you are convinced beyond a reasonable doubt by
that evidence of the guilt of the accused.
[6]
In the analysis section of his reasons for
decision, the trial judge explained that he did not accept the appellant聮s
evidence, and that he was satisfied of the appellant聮s guilt beyond a
reasonable doubt based on the evidence he did accept, namely the testimony of
the complainant and her mother. These holdings address the first and third
steps in the
W.(D.)
analysis. In describing his analysis, the
trial judge did not expressly address the second stage of the
W.(D.)
analysis.
[7]
The appellant urges us to find that despite
citing the principles correctly, the trial judge misapplied the law by failing
to consider the second stage of the
W.(D.)
analysis. He
therefore asks that his convictions be set aside and that a new trial be
ordered.
[8]
Notwithstanding that the trial judge did not
advert expressly in his analysis to the second stage of
W.(D.)
, we are
not persuaded that the trial judge committed this error.
[9]
It is telling that the trial judge did not
simply reproduce the
W.(D.)
formula in his decision. He said that he was
obliged to consider each step in his reasoning, and, commendably, explained what
each of those steps entails. This included a two paragraph explanation of how
the second stage of the
W.(D.)
analysis was to be conducted, culminating
in a self-direction that even if he does not believe the accused, the trial
judge must consider the accused聮s evidence in the context of the evidence as a
whole to determine whether he may nonetheless have a reasonable doubt as to the
accused聮s guilt.
[10]
The trial judge聮s detailed examination of the
law is instructive on the ground of appeal before us. In order to accept that
the trial judge failed to apply the second stage of the
W.(D.)
analysis, we would have to infer that the trial judge somehow failed to
undertake the very analysis that he not only said he would undertake but
explained in appreciable detail. A review of the reasons for decision does not
support this conclusion. When the decision is read as a whole, it can be
inferred that the trial judge rejected the appellant聮s exculpatory testimony in
its entirety, leaving that testimony incapable of raising a reasonable doubt.
[11]
This can be seen most clearly in the trial judge聮s
treatment of the appellant聮s explanation for his abrupt departure from the
family home. Although the trial judge did not say so expressly, he clearly concluded
that this testimony was contrived. That the trial judge reached that conclusion
is apparent from the trial judge聮s explanation that this testimony so undercut
the appellant聮s credibility that his denial of the assaults could not be
accepted.
[12]
The trial judge then moved on to the appellant聮s
testimony about the influence of the complainant聮s friends on her prior
complaints, and said, 聯I
also
reject [that] assertion聰 (emphasis added).
Here, 聯also聰 is clearly a reference to the trial judge聮s finding, made
immediately prior, that he did 聯not accept聰 the appellant聮s denial that he
assaulted the complainant. It follows, from the use of 聯also聰 in reference to
the friends聮 influence, that the trial judge rejected the appellant聮s
exculpatory denial. Put otherwise, the trial judge not only found that he did
not affirmatively believe the appellant聮s denial, he rejected it in its
entirety leaving it incapable of raising a reasonable doubt.
[13]
To be sure, it would have been preferable for the
trial judge to expressly address each of the three
W.(D.)
stages in
his analysis. Had he done so, it is unlikely that the decision would have been
appealed. Had it been appealed, it would not have been necessary to provide the
close analysis just undertaken to determine whether an error occurred. Having
undertaken that exercise, however, we are not persuaded that the law was
misapplied.
[14]
The appeal is therefore dismissed.
聯R.G.
Juriansz J.A.聰
聯M.
Tulloch J.A.聰
聯David
M. Paciocco J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Sangster, 2021 ONCA 21
DATE: 20210112
DOCKET: C65913
MacPherson, Tulloch and Lauwers
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Alexander Sangster
Appellant
Erin Dann and Angela Ruffo, for the
appellant
Gerald Brienza, for the respondent
Heard: December 17, 2020 by video conference
On appeal from the convictions entered
on March 27, 2018, and the sentence imposed on April 25, 2018, by Justice Jon-Jo
Douglas of the Ontario Court of Justice.
MacPherson J.A.:
[1]
After a five-day trial before Douglas J. of the
Ontario Court of Justice in Huntsville, the appellant, Alexander Sangster, was
found guilty of possession and careless use of a firearm, pointing a firearm,
aggravated assault against his friend Courtney Carpenter, and assault causing
bodily harm against his girlfriend Samantha Lambertsen-Downing. He pleaded
guilty to fail to comply with recognizance. The appellant appeals all of the
convictions except the fail to comply with recognizance.
[2]
The trial judge imposed a global sentence of
seven years and seven months for the convictions. The appellant appeals the
sentence.
[3]
On the sentence appeal, the appellant seeks to
introduce fresh evidence about his rehabilitative progress while in custody post-sentence
(25 months) and while on bail pending appeal (7 months).
[4]
For the reasons below, I would dismiss the
conviction appeal and allow the sentence appeal on the basis of the fresh
evidence application.
The conviction appeal
[5]
The events that ground the appellant聮s
convictions, as described accurately in his factum, 聯arise out of a tumultuous
evening at the apartment building where the Appellant was living on May 29,
2017. Everyone was intoxicated and several fights took place.聰
[6]
The appellant and his girlfriend were staying
with S.S. and Ryan Davey in apartment #4 in an apartment building in
Huntsville. They had been living there, by invitation, for about three weeks.
Courtney Carpenter and Patricia Hickey lived in apartment #3.
[7]
On May 29, 2017, people in both apartments
became heavily intoxicated. The appellant and his girlfriend were involved in a
fight that spilled into the hallway outside the apartment. Carpenter and Hickey
heard the fight in the hallway, left their apartment, and intervened. The
appellant and Carpenter wrestled on the floor before separating. The appellant
was violent toward his girlfriend the rest of the evening. At one point in the
evening the appellant was walking around with a gun; he pointed it at Davey,
and then at S.S. when she stepped in front of Davey.
[8]
During his fight with the appellant, Carpenter
was stabbed in the kidney. Carpenter did not realize he had been stabbed or, in
any event, did not remember it happening. The next morning Carpenter called his
sister who rushed over to meet him at his apartment. She was pulled over by
police for speeding before she could get to him. Police learned about the
stabbing from her during the traffic stop. When police arrived at Carpenter聮s
apartment, he told them he could not remember who had stabbed him and suggested
that he may have been jumped outside the apartment building or bitten by a dog.
Later, after speaking with Hickey in hospital, he remembered the fight with the
appellant in the hallway.
[9]
While police were investigating the stabbing,
two Children聮s Aid Society workers noticed the police cars parked outside the
apartment building. They decided to visit S.S. who had missed her appointment
with CAS that morning, was pregnant and had a child in care. One of the police
officers at the scene, Constable Fleming, accompanied them to apartment #4. The
CAS workers asked if they could enter the unit. S.S. agreed. Constable Fleming entered,
but remained in the hallway. One of the CAS workers asked S.S. if she would
open the bedroom door; when S.S opened the door, the CAS worker saw the
appellant holding a gun. The CAS worker screamed something to the effect of 聯he
has a gun聰 and ran out of the bedroom. Constable Fleming went to the bedroom
where he saw the appellant hiding something under the mattress. Later, he
obtained a search warrant and seized a shotgun from under the mattress and some
shells from the vicinity.
[10]
At the start of the trial, the appellant brought
an application pursuant to ss. 8 and 24(2) of the
Canadian Charter of
Rights and Freedoms
to exclude the evidence obtained from the search of
apartment #4 by the CAS workers and the police.
[11]
The trial judge dismissed the
Charter
application.
In determining that there was no s. 8 breach, the trial judge reasoned that although
the appellant had 聯some expectation of privacy聰 as a guest, that expectation
did not reasonably extend to prevent the search to which S.S., the principal
resident of the apartment, consented, including to open the door to the
bedroom. The trial judge also addressed s. 24(2) of the
Charter
,
concluding that if there was a breach of s. 8 it was minor and the
Grant
factors favoured admission of the evidence:
R. v. Grant
, 2009
SCC 32
.
[12]
The trial judge found the appellant guilty of
wounding Carpenter by stabbing, assault causing bodily harm to Lambertson-Downing,
pointing a firearm at Davey, careless use of a firearm and possession of a
loaded prohibited weapon.
[13]
The appellant appeals his conviction on two
grounds.
[14]
First, the appellant contends that the trial
judge erred in dismissing his
Charter
application. The appellant says
that he had a reasonable expectation of privacy in his bedroom that could not
be nullified by S.S.'s consent to the search and, in any event, there was no
valid consent by S.S. to search the apartment.
[15]
With respect to the first component of this
argument, the starting point is
R. v. Reeves
, 2018 SCC 56, where
Karakatsanis J. said, at para. 12:
Section 8 of the
Charter
is only
engaged if the claimant has a reasonable expectation of privacy in the place or
item that is inspected or taken by the state (
R. v. Cole
, 2012 SCC 53,
[2012] 3 S.C.R. 34, at paras. 34 and 36). To determine whether the claimant has
a reasonable expectation of privacy, courts examine 聯the totality of the
circumstances聰 (
R. v. Edwards
, [1996] 1 S.C.R. 128, at paras. 31 and
45(5)).
[16]
In
Edwards
, Cory J. said, at para. 45:
The factors to be considered in assessing the
totality of the circumstances may include, but are not restricted to, the
following:
(i) presence at the time of the search;
(ii) possession or control of the property
or place searched;
(iii) ownership of the property or place;
(iv) historical use of the property or
item;
(v) the ability to regulate access,
including the right to admit or exclude others from the place;
(vi) the existence of a subjective
expectation of privacy; and
(vii) the objective reasonableness of the
expectation.
[17]
The appellant was present in the apartment聮s
only bedroom at the time of the search.
[18]
The appellant had no control over the premises.
He was a guest of the apartment聮s lessees.
[19]
The appellant did not own the apartment.
[20]
The appellant had no historical use of the
apartment. He had stayed there, as a guest of the lessees, about three weeks.
[21]
The appellant had no ability to regulate access
to the apartment or even to the bedroom where he and the gun were found. He
slept in the bedroom only because S.S. and Davey preferred to sleep on a
mattress on the living room floor because it was cooler there. Referring to the
bedroom, S.S. said: 聯I kept almost everything in there, my clothes, my dresser,
my crib, my baby stuff, my stroller, car seat.聰 She also kept her mattress in
the bedroom during the daytime and moved it to the living room at night.
[22]
The appellant testified in the
voir dire
on the
Charter
application and said that he had an expectation of
privacy in the bedroom. His testimony was the only evidence that he contributed
groceries or rent to the apartment. The trial judge rejected his evidence: 聯The
accused testified as to his living arrangement. Broadly speaking his evidence
is not to be considered reliable.聰
[23]
If the appellant had a subjective expectation of
privacy in the bedroom and apartment, it was not objectively reasonable. He and
his girlfriend had been there only three weeks. They were there as guests of S.S.
and Davey. And, as the trial judge observed, 聯[t]his is a very small
apartment.聰
[24]
In summary, an application of the
Edwards
factors
overwhelmingly supports the trial judge's conclusion that the appellant had
only a low expectation of privacy with respect to the bedroom and that it did
not extend to render the search of the bedroom unreasonable.
[25]
The appellant's second argument on this issue is
that in any event, contrary to the trial judge's conclusion, S.S. did not validly
consent to the entry of the CAS workers and police into either apartment #4 or
the bedroom.
[26]
I do not accept this submission. In his
judgment, the trial judge described the circumstances of the entry into the
apartment and bedroom of, first, the CAS workers and, second, Constable
Fleming:
CAS knocked on the door. [S.S.] answered. CAS
had no statutory authority to enter and search unless apprehending the child. They
thus have a well established protocol of requesting permission to enter. They
did, and [S.S.] agreed. 聟 This is a very small apartment. [S.S.] and the CAS
entered near to the kitchen area while Fleming hung back in the hall area. 聟 Again,
pursuant to protocol, CAS asked to search the cupboards, fridge et cetera. Permission
was granted. 聟 The only bedroom door was closed. [S.S.] was asked if they could
look in the room. [S.S.] said to CAS, Ms. Fraser, 聯go ahead and open the door聰.
Ms. Fraser said 聯no, you open it聰. [S.S.] did.
[27]
In my view, this chronology, with care taken
throughout to ensure that S.S. was consenting to each step in the process,
easily complies with the test for determining whether a consent is valid, set
out by this court in
R. v. Wills
(1992), 70 C.C.C (3d) 529 (Ont. C.A.),
at p. 546.
[28]
The appellant's second ground of appeal is that
the trial judge misapprehended the evidence in such a way that renders the
convictions on three counts a miscarriage of justice. The convictions that the
appellant challenges on this basis are the aggravated assault (stabbing) of
Carpenter, the assault causing bodily harm against Lambertsen-Downing, and the
possession and careless storage of a firearm.
[29]
I am not persuaded by this submission. In
R.
v. Lohrer
, 2004 SCC 80, at para. 2, Binnie J. articulated the high bar
that must be met to satisfy this ground of appeal:
Morrissey
, it
should be emphasized, describes a stringent standard. The misapprehension of
the evidence must go to the substance rather than to the detail. It must be
material rather than peripheral to the reasoning of the trial judge. Once those
hurdles are surmounted, there is the further hurdle (the test is expressed as
conjunctive rather than disjunctive) that the errors thus identified must play
an essential part not just in the narrative of the judgment but 聯in the
reasoning process resulting in a conviction聰.
[30]
In my view, the appellant cannot meet either
component of this test. The trial judge was entitled to accept Carpenter聮s
testimony, supported by his wife聮s recall, that the appellant stabbed him, and
to accept S.S.聮s testimony that she heard Hickey yell 聯he just聟stabbed him聰,
referring to the appellant. He was entitled to rely on S.S.聮s testimony about
the appellant聮s assault on Lambertsen-Downing. He was entitled to rely on S.S.聮s
testimony that the appellant pointed a gun at her and Davey.
[31]
I would dismiss the conviction appeal.
The sentence appeal
[32]
The trial judge imposed a global sentence of
seven years and seven months on the appellant. As an introduction, he stated:
The five offences can be categorized into four
parts:
1.
The stabbing of the neighbour;
2.
The assault [causing] bodily harm on the accused聮s girlfriend;
3.
The pointing of and carrying of a loaded prohibited weapon, being
the sawed-off shotgun; and
4.
The related concurrent possession of that shotgun prior to these 聟 incidents
and when ultimately arrested by the police the following morning.
[33]
The trial judge imposed the following sentences:
Count 1 聳 aggravated assault, three years and
3 months;
Count 3 聳 assault causing bodily harm, one
year consecutive;
Counts 5, 6 and 7 聳 the gun charges, three
years and three months concurrent to one another but consecutive to all other
sentences; and
Count 9 聳 the breach, one month consecutive.
[34]
At the sentence hearing, the Crown proposed a
sentencing range of six years and seven months to eight years and two months.
The defence proposed a sentence of approximately four years and seven months.
Hence the sentence imposed by the trial judge was squarely inside the Crown
position and outside the defence position.
[35]
The trial judge gave credit for pre-trial
custody on a 1.5:1 basis totalling 497 days. He concluded:
His total sentence of seven years and seven
months is a sentence of 2,768 days from which I deduct the 497 days, leaving
him 2,271 days to serve or six years and 81 days to serve.
[36]
The appellant advances two arguments on the
sentence appeal.
[37]
First, the appellant contends that the global
sentence of seven years and seven months was unfit.
[38]
I do not accept this submission. Although the
sentence was certainly at the high end of the range, it was not, in my view,
outside the range. On the night and morning in question, the appellant went on
a crime binge that injured his girlfriend, almost killed his friend and
neighbour, and could have resulted in harm to several other people.
[39]
Second, on the basis of a fresh evidence
application, the appellant seeks an order that the sentence appeal be allowed
and the sentence be reduced to one of time served.
[40]
The background to the fresh evidence application
is this chronology: the appellant was sentenced to seven years and seven months
imprisonment on April 25, 2018 at which time he began to serve his sentence; he
perfected his appeal in March 2020; he was granted bail pending appeal on May
28, 2020. Since being granted bail, a period of just over seven months, he has
been living at his mother聮s home in Huntsville. This chronology establishes
that the appellant has served about three years and five and a half months of
his sentence (one year and four and a half months in pre-trial custody and two years
and one month in post-sentence custody). The appellant聮s parole eligibility
date is May 21, 2020. His statutory release date is June 17, 2022. His warrant
expiry date is July 12, 2024.
[41]
I would allow the application to introduce fresh
evidence. The evidence meets the requirements of the test in
Palmer v. The
Queen
, [1980] 1 S.C.R. 759, at p. 775: it could not have been adduced at
trial, it is relevant, it is credible, and it could reasonably be expected to
have affected the result.
[42]
There are two categories of material that are
relevant on the fresh evidence application 聳 the evidence relating to the
appellant聮s progress during his 25 months in the Beaver Creek Institution after
the sentence was imposed, and the evidence relating to the appellant聮s progress
during his seven months on bail pending this appeal.
[43]
There is strong evidence that the appellant made
substantial progress during his 25 months in custody at the Beaver Creek
Institution. There are two comprehensive reports about the appellant聮s attitude
and behaviour while in custody that are highly complimentary about the
appellant and promising in terms of his future prospects in the community.
[44]
These two reports were before the motion judge
who heard and granted the appellant聮s bail application in May 2020. In
R.
v. Sangster
, 2020 ONCA 332, at para. 17, Jamal J.A. said this about these
reports:
Reports prepared by the Beaver Creek
Institution in September, 2019 and March, 2020 confirm the applicant has made
substantial progress in managing his addiction and his personal risk factors:
路
The September 2019 report notes 聯substantial
gains聰 in the applicant聮s ability to recognize and address problems and
confirms that 聯he has been sober for two years聰. It notes that he participated
in a methadone program, 聯communicates positively with staff聰, has improved
relations with his family as a result of his sobriety, and is 聯determined to
set boundaries with anyone who uses drugs聰, whereas previously he was 聯never
sober聰 and 聯began to become more violent and aggressive the more drugs he
used聰. The report notes that he has 聯made sobriety his number one priority聰 and
has 聯planned a continuum of care using community supports聰. His rated ability
and commitment to manage his thinking that justifies and supports the use of
violence, partner violence, and general violence has improved from 聯needs a lot
of improvement to moderate聰. The report concludes that the applicant聮s 聯current
overall ability and commitment to use the skills required to manage his various
risk factors improved and is currently rated as good聰.
路
The March 2020 report highlights continued
improvement. It confirms that the applicant 聯conducts himself respectfully with
staff聰, 聯has successfully completed his correctional programs, is enrolled in
school, and has maintained employment.聰 It notes that his risk to public safety
is 聯reduced from moderate to low聰. The report states that he has 聯demonstrated
accountability for his offences聰 and 聯[t]here are no indicators of substance
abuse during his incarceration.聰 The report also states that 聯[h]e is not
currently assessed to be a candidate for detention聰. It concludes that 聯he has
demonstrated limited negative conduct and there is no evidence of violent
behaviour or substance abuse institutionally.聰
[45]
This first category of evidence, demonstrating
the appellant聮s significant progress while at the Beaver Creek Institution,
supports a reduction in the appellant聮s sentence.
[46]
In the second category 聳 the appellant聮s
situation since he was granted bail on May 28, 2020 聳 there is also strong
evidence to support the appellant聮s actual, and likely continuing,
rehabilitation.
[47]
The appellant has been living with his mother
while on bail. In a letter filed with the court, she records:
I have had many conversations with my son
which have clearly demonstrated to me that his past behaviour, which was
greatly influenced by severe drug and alcohol abuse/addiction, is a thing of
the past. I feel that I now have back the son that I raised.
In my view Alex has taken full responsibility
for his past poor life choices, which led to the loss of his good reputation
and culminated in his criminal behaviour, for which he was found guilty.
Alex became a first time father during his
incarceration. His daughter 聟 has brought great happiness and a deep bond
between them. I believe Alex will forever fulfill his role as a father, along
with his long time mate Samantha (mother of his child). Alex and Samantha have
a loving, devoted and respectful relationship towards each other and co-parent
very well.
He has clearly benefited from the programs he
attended at Beaver Creek.
[48]
While on bail, the appellant reports that he has
been working with the Ontario Addiction Treatment Centre to connect with
resources to help him manage his addiction challenges. This is confirmed in a
letter from Dr. Michael DeRoode of the OATC in Huntsville who sees the
appellant on a weekly basis and reports excellent progress:
Since starting the program, Alex has been
focused and goal oriented. He has worked hard to make the program work for him
and has reaped the rewards. He also attends my general medical clinic where we
have worked hard at treating some of his underlying psychologic issues. He now
takes medication for these issues and they have helped his concentration and
impulsiveness. He is on stable doses of these meds. This has allowed him to
achieve a goal of gainful employment.
[49]
The last sentence of Dr. DeRoode聮s report is
confirmed by Matthew Marietta, a friend of the appellant:
I have known Alex Sangster for over 20 years,
we met while attending Huntsville High School聟. [H]e took a path that led him
to make very poor choices.
Since Alex聮s temporary release from Beaver
Creek, I have noticed a huge change in his mannerism, drive and demeanor. He
has been volunteering some hours around my home with repairs, clean up and
other household chores that I have needed assistance with. As I own a small
local business, Premier Northern Exteriors, it would be a great pleasure to
have Alex join my team after his court date.
[50]
Taking all these factors together 聳 his mother聮s
support and supervision, a very young first child born while he was
incarcerated, a revived relationship with his partner, good medical and
psychological support, and the promise of stable employment 聳 I conclude that
the second category of fresh evidence also supports a reduction in the appellant聮s
sentence.
[51]
At this juncture, and bearing in mind that the
original sentence was a stiff sentence, I see that no good purpose 聳 for the
appellant or the administration of justice 聳 would be served by reincarcerating
the appellant.
Disposition
[52]
I would dismiss the conviction appeal. I would
allow the sentence appeal on the basis of the fresh evidence application only
and substitute a sentence, at this juncture, of time served.
Released: 聯JCM聰聽 JAN 12 2021
聯J.C.
MacPherson J.A.聰
聯I
agree. M. Tulloch J.A.聰
聯I
agree. 聯P. Lauwers J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Seip, 2021 ONCA 101
DATE: 20210219
DOCKET: C67573
MacPherson, van Rensburg and
Jamal JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Marcel Seip
Appellant
Marcel Seip, acting in person
Danielle Robitaille, appearing as duty
counsel
Jeffrey Wyngaarden, for the respondent
Heard: February 9, 2021 by
video conference
On appeal from
the conviction entered on May 21, 2019 and the sentence imposed on October 9,
2019 by Justice Diane M. Lahaie of the Ontario Court of Justice.
REASONS FOR DECISION
[1]
The appellant Marcel Seip appeals his conviction
and sentence for the offences of using a restricted or prohibited firearm in a
kidnapping with intent to confine, break and enter, aggravated assault, assault,
possession of a firearm while prohibited by reason of an order under s. 109 of
the
Criminal Code
, R.S.C. 1985, c. C-46, breach of recognizance, and
two counts of uttering threats to cause death.
[2]
The trial judge made the following findings
relevant to this appeal:
路
The appellant participated in a home invasion
and kidnapping with an accomplice to collect a $300 drug debt. The appellant
was the 聯mastermind聰 and 聯principal driving force聰 of the home invasion and
kidnapping. He knew his accomplice had a gun and decided it was time to be
taken seriously regarding the money owed to him.
路
The appellant asked his girlfriend to knock on
the door of the home as a decoy. She knew nothing about the accused聮s plan in
advance.
路
The door was opened by an 18-year-old high
school student who lived at that address with his mother. The appellant and the
accomplice barged in and the accomplice shot the student in the arm. The trial
judge found that the accomplice 聯put the gun to [the student聮s] forearm and
shot him聰. The bullet travelled through his arm and into the arm of the
accomplice.
路
The appellant and the accomplice threatened to
kill or harm the five occupants if they called the police, and did so again
when they screamed with fear.
路
The appellant punched the individual who owed
the drug debt in the face. Then, the appellant and the accomplice kidnapped him
to force him to get the money to repay the debt. Eventually he escaped.
路
The trial judge found that although the
appellant and the accomplice discussed and intended to use the gun as part of
the home invasion, she was not prepared to find beyond a reasonable doubt that
the plan was to shoot the gun into the student or anyone else. The trial judge
was left in doubt by the evidence of the appellant聮s girlfriend, that the gun
聯went off聰 when the student 聯flinched聰 after opening the door, and because in
shooting the student the accomplice shot himself, which suggested the gun might
have been fired accidentally. The trial judge therefore acquitted the appellant
of discharging a firearm with intent to wound, but found him guilty of
aggravated assault.
路
The appellant was sentenced to a global sentence
of 10 years in jail, less 866 days credit for pre-sentence custody, and various
ancillary orders.
[3]
On the conviction appeal, duty counsel argues
that because the trial judge acquitted the appellant of discharging a firearm
with intent to wound, she could not convict the appellant of aggravated
assault. She asserts that the trial judge聮s conclusion that she could not find
beyond a reasonable doubt that the shooting was intentional precluded any
finding of an intentional application of force needed to convict him for
aggravated assault. Duty counsel submits that if the aggravated assault
conviction is set aside, a global sentence around 6 to 7 years would be more
appropriate. No other argument was made in relation to the sentence appeal.
[4]
We do not accept this submission. In our view,
the trial judge was entitled to find the appellant guilty of aggravated assault
in the circumstances.
[5]
Section 268(1) of the
Criminal Code
provides:
Every one commits an aggravated assault who
wounds, maims, disfigures or endangers the life of the complainant.
[6]
The essence of aggravated assault is captured by
Morris Manning and Peter Sankoff in
Manning, Mewett & Sankoff 聴
Criminal Law
, 5th ed. (Toronto: LexisNexis, 2015), at p. 998:
The most serious type of assault short of
homicide is called aggravated assault, which occurs when a person wounds,
maims, disfigures or endangers the life of another. Conduct of this sort is
punishable by imprisonment for up to 14 years. The elements of the offence are
fairly well established. In addition to proving the basic requirements for an
assault, it must also be shown that one of the prohibited consequences 聴 wounding,
maiming, disfiguring or endangering 聴 was caused by the assault.
Although it
is not necessary to prove that the accused intended those consequences in all
cases, the Crown must demonstrate that the conduct was at least objectively
likely to cause bodily harm
. [Emphasis added.] [Footnotes omitted.]
[7]
The
mens rea
for aggravated assault is
the
mens rea
for the offence of assault coupled with objective
foreseeability of harm. As Cory J. stated in
R. v. Godin
, [1994] 2
S.C.R. 484, at p. 485:
The
mens rea
required for s. 268(1)
of the
Criminal Code
, R.S.C., 1985, c. C-46, is objective foresight of
bodily harm. It is not necessary that there be an intent to wound or maim or
disfigure. The section pertains to an assault that has the consequences of
wounding, maiming or disfiguring.
[8]
Here, the trial judge found the accomplice put
the gun to the student聮s arm. This intentional act was an assault. Even if the
accomplice did not intend to shoot the student, the trial judge was entitled to
find that the resulting injury was objectively foreseeable as a result of this
assault, and was thus an aggravated assault. The trial judge was also entitled
to find that the appellant was a party to this offence. He was the mastermind
of the home invasion and knew his accomplice had a gun and intended to use it
in the crime. We therefore see no error in the following analysis and
conclusion of the trial judge:
[The appellant] was a party to the offence of
aggravated assault committed against [the student]. The
mens rea
of
this offence is objective foresight of bodily harm. The Crown need not show
that an accused alleged to be a party to the offence of aggravated assault had
any greater
mens rea
than the actual perpetrator and, in particular,
need not show an objective foresight of the specific wounds resulting from the
assault. (
R. v. Vang
(1999), 132 C.C.C. (3d) 32 (Ont. C.A.), leave to
appeal to S.C.C. refused;
R v. Cuadra
(1998), 125 C.C.C. (3d) 289
(B.C.C.A.) I am convinced beyond a reasonable doubt that all the elements of
this offence have been established.
[9]
The appellant also argues that the trial judge
erred in her credibility findings. He says that he was waiting in the car
downstairs and that he did not participate in the home invasion. The trial
judge rejected the appellant聮s evidence at trial, stating:
I reject the entirety of [the appellant聮s]
evidence because it is inconsistent and illogical. [The appellant] is not an
honest man. He has a criminal history which includes convictions for crimes of
dishonesty and breaches of court orders. That being said, it was his
inconsistent evidence and version of events which made no sense which leads to
my conclusion in regards to his evidence.
[10]
We see no error in the trial judge聮s rejection
of the appellant聮s evidence. Nor do we see any error in how the trial judge
evaluated the credibility of the other witnesses or in finding the appellant
guilty.
[11]
Because the conviction appeal is dismissed,
there is no basis for the sentence appeal. Leave to appeal the sentence is
denied.
[12]
The appeal is dismissed.
聯J.C.
MacPherson J.A.聰
聯K.
van Rensburg J.A.聰
聯M.
Jamal J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Smith, 2021 ONCA 310
DATE: 20210512
DOCKET: C67990
Hoy, Hourigan and Zarnett J.J.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Christopher Smith
Appellant
Christopher Smith, acting in person
Daniel A. Stein, acting as duty counsel
Jeffrey Wyngaarden, for the respondent
Heard: May 4, 2021 by
videoconference
On appeal from the conviction entered on
December 4, 2019 by Justice Andrew J. Goodman of the Superior Court of Justice,
sitting with a jury, and the sentence imposed on January 14, 2020.
REASONS FOR DECISION
[1]
As a result of a search by the police of a
residence on Cannon Street in Hamilton, the appellant was charged with a number
of offences: two counts of possessing, without lawful authority, identity
documents that related to another person contrary to s. 56.1(1) of the
Criminal
Code of Canada
, R.S.C., 1985, c. C-46; two counts of possessing, without
lawful authority, a counterfeit mark contrary to s. 376(2)(b) of the
Code
;
and one count of possessing cocaine contrary to s. 4(1) of the
Controlled
Drugs and Substances Act
, S.C. 1996, c. 19.
[2]
The same items formed the basis of the identity
document charges and the counterfeit mark charges 聳 a driver聮s licence and
Ontario health cards. They each bore the Ontario government trillium logo 聴 the
fact at the core of the allegation of a counterfeit mark. They each had a
photograph of the appellant, but a different name and various dates of birth 聴 the
facts at the core of the allegation that they were identity documents that
related to another person. They were each found in a box on the main floor of
the Cannon Street premises.
[3]
The cocaine 聴 approximately 4.5 grams 聴 was found
beneath clothing on the second floor of the Cannon Street premises.
[4]
The appellant was tried by a judge and jury. The
central issue at trial was whether the identity cards and cocaine were in the
possession of the appellant and whether he had knowledge of them. This issue
largely turned on the appellant聮s connections to the Cannon Street premises.
[5]
The trial judge聮s charge to the jury explained
that there were limited matters for them to consider. He instructed the jury to
find that the driver聮s licence and health cards were identity documents that
related to another person (as s. 56.1 requires), that the marks (the trillium
logo) on them were counterfeit (as s. 376(2)(b) requires), and that there was
no lawful authority for their possession (as both sections require). He also
instructed the jury that there was no issue that the drug was cocaine.
[6]
After describing the essential elements of each
count of each offence, the trial judge said:
Therefore, to help you in your analysis, the
issues in this case for all of the charges related to Mr. Smith's alleged
possession of the false identity cards in question, and/or the cocaine found in
the residence. Therefore, the only questions or essential elements for all of
the counts relates to your consideration of Mr. Smith's possession and his
knowledge over the identity cards and/or the cocaine.
[7]
The trial judge then outlined for the jury the
evidence from which an inference might or might not be drawn of possession and
knowledge, instructing them that they needed to be satisfied that the essential
elements were proven beyond a reasonable doubt for each count.
[8]
The jury convicted the appellant on all counts.
[9]
Given the conviction on the counterfeit mark
charges, the trial judge entered a conditional stay of the convictions on the
identity documents charges. He imposed a global sentence of four months
incarceration after credit for pre-trial custody, allocating four months to the
counterfeit mark charges and 90 days concurrent to the cocaine charge, to be
followed by two years probation. He also made certain ancillary orders.
[10]
Duty counsel advanced six grounds of appeal on
behalf of the appellant, which are discussed below. The other grounds in the
Notice of Appeal were not pursued.
[11]
The first four grounds raised by duty counsel
revolve around the interrelated contentions that the trial judge allowed
inadmissible evidence to be led of suspected drug dealing at the Cannon Street
premises and of the appellant聮s involvement in it, that he failed to instruct the
jury about the use of evidence across counts, and that he failed to instruct
the jury not to engage in propensity reasoning. We decline to give effect to
these arguments.
[12]
The appellant was represented by counsel at
trial. No objection was made to the evidence now characterized as inadmissible.
[13]
The trial judge did not ignore his gatekeeping
role. Rather, he exercised it in light of the theories and positions taken by
the parties. The trial judge, on his own, limited the narrative evidence of a
police officer about the suspected drug dealing that was the backdrop to the
search of the premises, noting that the validity of the warrant was not
challenged. It was also the trial judge who voiced a concern, and invited a
defence objection that he gave effect to, when an officer offered opinion
evidence about whether trafficking was taking place at the premises. Although
the appellant now argues that a caution to the jury should have been given, the
trial judge聮s intervention would have made the lack of relevance of those lines
of questioning clear to the jury. Moreover, no caution or limiting instruction
to the jury was requested during trial. The evidence about drug dealing was not
referenced in the judge聮s charge, and a limiting instruction about it would
have required a repetition of the evidence which may have been contrary to the
appellant聮s interests:
R. v. M.P.
, 2018 ONCA 608, 363 C.C.C. (3d) 61
at para. 108.
[14]
Similarly, no request for a cross-count or
propensity reasoning instruction was made, despite the evidence led by the Crown
and counsel聮s participation in a pre-charge conference. Nor was there any
objection to the jury charge after its delivery.
[15]
While a cross-count or propensity instruction would
have been appropriate, we do not view the failure to provide one in this case as
a reversible error. In
R. v. Beausoleil
, 2011 ONCA 471, 277 C.C.C.
(3d) 50, this court set out relevant considerations in determining whether such
limiting instructions are required. These include the nature of the evidence,
the issue to which the evidence is relevant, and the likelihood that an
instruction would confuse the jury or draw attention to the discreditable
conduct: at para. 20. The key question is whether the appellant was prejudiced
by the absence of the instruction.
[16]
In our view, given the way the case was framed,
the circumstances did not demand a cross-count instruction, nor was the
appellant prejudiced by the absence of one. Importantly, the central evidence
related to each count was the evidence that connected the appellant to the Cannon
Street premises. This evidence was relevant to each count and was approached as
such by both sides at trial. Although the jury was not told that guilt on one
charge did not mean guilt on any other, the jury was told it needed to be
satisfied on each count before convicting on that count.
[17]
A propensity reasoning instruction is given to
address the risk that evidence of discreditable conduct (not forming the basis
of the charge before the court) will be used by the jury to stigmatize the accused
as a person of bad character and convict him on that basis, or in a manner that
distracts them from the proper issues they are to consider. As noted, there was
evidence that police suspicion of the appellant was the reason for surveillance
of the Cannon Street premises, but that evidence was limited in scope including
by rulings of the trial judge. The bulk of the evidence of the police officers
dealt with what they observed during surveillance, what was found when the
premises were searched, and the circumstances of the appellant聮s arrest (away
from the premises). These were relevant to the issues on the charges and were
relied on by both sides. In this relatively brief trial with relatively
focussed issues, the risks of moral or reasoning prejudice were not high.
[18]
The conclusion that the absence of a cross-count
or propensity reasoning instruction did not prejudice the appellant is
reinforced by the lack of request for such instructions and the lack of an
objection to the charge at trial. Where the defence was 聽alerted to, and had a
meaningful opportunity to raise such matters, but strategically chose not to, a
complaint on appeal about missing instructions may be unavailing:
R. v.
Graham
, 2015 ONCA 113, 330 O.A.C. 394 at para. 32.
[19]
Duty counsel聮s other two grounds of appeal are
that the convictions on the counterfeit mark charges were unreasonable, as the
marks were not proven to be counterfeit, as opposed to being genuine but
appearing on otherwise false documents.
[20]
We are satisfied that this argument was
sufficiently referenced in the pre-charge conference to permit its
consideration on appeal.
[21]
Section 376(2)(b) of the
Code
provides:
Every one who, without lawful
authority,
(b) sells, or exposes for sale, or
has in his possession a counterfeit mark, is guilty of an indictable offence
and liable to imprisonment for a term not exceeding fourteen years.
[22]
The
Code
defines 聯mark聰 to include the
mark of a province of Canada. It is not disputed that the trillium logo on the
driver聮s licence and health cards fits that description. The
Code
does
not define 聯counterfeit聰.
[23]
In
R. v. Sommani
, 2007 BCCA 199, 218
C.C.C. (3d) 168, the court held that counterfeit marks are those that 聯falsely
purported to be genuine official marks聰: at para. 66. This statement was made
in the context of a case where the accused had made false ID cards and argued
(unsuccessfully) that the marks he had put on them did not look enough like the
genuine government marks to be considered counterfeit versions. In
R. v.
Ariri
, 2007 ONCJ 535, 75 W.C.B. (2d) 468, the accused possessed driver聮s
licences in other persons聮 names that had been 聯illegally altered聰. They were
genuine cards but 聯with illicit photo and information substitutions聰. It was
held that 聯once the original photo was removed and a new one with new
information substituted, the 聭mark聮 or 聭design聮 became a counterfeit聰: at paras.
14, 48.
[24]
The appellant聮s argument is that there was no
evidence in this case as to how the licence or health cards came to be issued or
appear as they did 聳 that is, with the trillium logo, the appellant聮s
photograph, but a different name and birthdate(s). There was no evidence they
were not issued by the government in that form. Put differently, there was no
evidence that the government did not issue those cards at all (as in
Sommani
),
or that they were issued by the government and then altered after issuance (as
in
Ariri
).
[25]
Trial counsel raised this concern during the pre-charge
conference. The trial judge noted that, 聯I don聮t think that聮s a necessity the
Crown has to prove, quite frankly. The document speaks for itself聟I don聮t think
you聮re going to make a lot of headway in that regard聰. Ultimately, despite the
lack of evidence, the trial judge concluded that, 聯the cards had a counterfeit
mark, I聮m going to direct on that they find that.聰 He then instructed the jury
that there was no issue that the identity cards bore a counterfeit mark.
[26]
It is unnecessary for us to decide the precise
scope of the counterfeit mark offence in s. 376(2) of the
Code
to
resolve this appeal. Even on the scope contended by the Crown before us, the
trial judge erred in giving the direction that he did. The result is that the convictions
on the counterfeit mark counts cannot stand.
[27]
The Crown concedes that for a mark on a
government issued document to be counterfeit, the document on which it appears
must at least have been altered in some way after the government issued the
document and applied the mark. While there was no direct evidence of
alteration, Crown counsel argues that the jury could compare the impugned driver聮s
licence and health cards to others legitimately issued to the appellant (which
were also in evidence), and draw the conclusion that the impugned identity
cards had been altered post-issuance.
[28]
Although there was evidence on which the jury
could have made such a comparison, the trial judge took that issue away from
the jury with his instruction to treat the marks as counterfeit.
[29]
Accordingly, the convictions on the counterfeit
mark charges must be set aside. It follows that we must also set aside the
conditional stay of the convictions on the identity documents charges. It was
not argued, nor do we see any basis, why the net global sentence would be
varied as a result of this change, other than to allocate the net term of four
months incarceration to the identity documents charges.
[30]
Accordingly, the conviction appeal is allowed to
the extent of setting aside the convictions on Counts 3 and 4 (the counterfeit
mark charges). The conditional stay of the convictions on Counts 1 and 2 (the
identity documents charges) is lifted. Leave to appeal sentence is granted, but
the sentence appeal is dismissed, other than to vary it to provide that the
sentence allocated to Counts 3 and 4 be allocated to Counts 1 and 2.
聯Alexandra Hoy J.A.聰
聯C.W. Hourigan J.A.聰
聯B. Zarnett J.A.聰
|
WARNING
An order restricting publication in
this proceeding was made under s. 517 of the
Criminal Code
and
continues to be in effect.聽 This section of the
Criminal Code
provides:
517(1) 聽聽聽聽聽聽聽 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)聽聽聽聽 if a preliminary inquiry
is held, the accused in respect of whom the proceedings are held is discharged;
or
(b)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 [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. Snache, 2021 ONCA 323
DATE: 20210513
DOCKET: M52434
Fairburn
A.C.J.O. (Motion Judge)
BETWEEN
Her
Majesty the Queen
Respondent
and
Justice Snache
Applicant
Jay Herbert, for the applicant
Amy Alyea, for the respondent
Heard: May 12, 2021
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. Snache
, 2021 ONCA 323
, contains information
covered by that order.
[3]
Accordingly, the decision will be available on
the Court of Appeal for Ontario聮s 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.
|
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.聽 These sections of
the
Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the following
offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED:
S.C. 2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings in respect of
the offences referred to in paragraph (1)(a) or (b), the presiding judge or justice
shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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.聽8(3)(b);
2010, c. 3, s. 5; 2012, c. 1, s. 29; 2014, c. 25, ss. 22,48; 2015, c.聽13,
s. 18.
486.6(1)聽聽聽聽聽聽 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)聽聽聽聽 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. Steele, 2021 ONCA 186
DATE: 20210325
DOCKET: C67111
van Rensburg, Benotto and
Thorburn JJ.A.
BETWEEN
Her Majesty the Queen
Appellant
and
Thomas Steele
Respondent
John
Patton, for the appellant
Lindsay
Board and Mark Halfyard, for the respondent
[1]
Heard: November 30,
2020 by video conference
On appeal
from the acquittals entered by Justice Edward J. Koke of the Superior Court of
Justice on May 27, 2019, with reasons reported at 2019 ONSC 3207.
Benotto J.A.:
[1]
This is a Crown appeal from acquittals.
[2]
The respondent, T.J., was charged with sexual
assault against A.V. and two counts of breaching a recognizance. T.J. was 23
years old at the time of the alleged assault and A.V. was 18. The only issue at
trial was consent. There were no witnesses to the alleged assault. Credibility
was the main issue.
[3]
The Crown submits that the trial judge erred by:
(i) excluding the complainant聮s prior consistent statement; and (ii) improperly
assessing the complainant聮s credibility by relying on stereotypes about victims
of sexual assault.
[4]
For the reasons that follow, I have
concluded that the trial judge erred in law by relying on rape myths to assess
the complainant聮s credibility. It is therefore not necessary to address the
other ground of appeal.
Background
[5]
A.V. lived in the small town of Britt, Ontario,
near Parry Sound. T.J. lived in Bracebridge, but his parents lived in Britt. In
July 2018, T.J. went to Britt and asked his mother about meeting people his age.
His mother told him about A.V. T.J. sent A.V. a friend request on Facebook,
they exchanged messages and agreed to meet when he was in Britt.
[6]
They first met at a school yard. The next day
they, together with a female friend of A.V.聮s, went swimming at the local docks.
While there, they drank alcohol. They then went to A.V.聮s home, visited with
A.V.聮s parents and consumed more alcohol. They were both noticeably intoxicated
when it was time for T.J. to go home. A.V. said she would walk him halfway.
[7]
Up until this point in the narrative the
evidence of A.V. and T.J. was consistent. It then diverged.
[8]
A.V. testified as follows. During the walk, T.J.
attempted to kiss her, but she pushed him away. Further along the walk, they
came upon an abandoned trailer. T.J. suggested they go inside. When they
entered the trailer, T.J. tried to kiss her, but she told him she just wanted
to go home. T.J. then kissed her, came up behind her, grabbed both of her
wrists and held them while pulling her shorts down. He then penetrated her
vaginally and anally while she repeatedly asked him to stop and insisted that
she wanted to go home. T.J. was bigger than she was, and she could not get away
from him. T.J. called her a 聯bitch聰, ordered her to 聯shut up聰, and told her
that he could provide for her and buy a house for her.
[9]
T.J. testified as follows. They shared a kiss on
the walk, and A.V. did not resist or push him away. A.V. suggested they go
inside the trailer. He was reluctant to go inside because it was someone else聮s
property. They kissed some more. Once inside the trailer, A.V. took off her
clothes, he did the same and they then had vaginal and anal intercourse for
about 30-40 minutes. They hugged goodbye before they separated.
[10]
A.V.聮s parents started calling her because she
was taking too long. She eventually responded and told her father that she was
near the legion and would be home soon. Her mother testified that after the
phone call it took A.V. longer to get home than it should have if she was at
the legion.
The trial judge聮s credibility assessment
[11]
The trial judge concluded that both T.J. and
A.V. were credible, but there were two areas of A.V.聮s testimony that raised
questions about her credibility:
1.
A.V. could not
provide a reason or explanation for her decision to enter the abandoned
trailer. The trial judge said she could not have been motivated by curiosity
because she had been inside the trailer previously and also noted that she did
not say she was coerced into the trailer. The trial judge found that A.V.聮s
decision to walk T.J. part-way home and enter the trailer was inconsistent with
her testimony that she did not like T.J.
2.
There was inconsistency
with respect to the phone call with A.V.聮s parents. A.V.聮s parents had been
calling her to find out where she was because it was getting dark. When A.V.
returned the call, she told her father she was close to home, by the legion.
A.V.聮s mother testified that it took quite a while for A.V. to get home even
though the legion was only a few minutes from her home. The testimony of A.V.聮s
mother was consistent with T.J.聮s testimony that A.V. talked to her father
after they had engaged in sexual activity and then walked home, which was about
a 20-minute walk. The trial judge found that this meant A.V. was not being
candid with her father. The trial judge found that this was not 聯the response
of someone who has just been sexually assaulted and has been kept in the
trailer against her wishes.聰
[12]
The trial judge relied on
R. v. W.(D.)
,
[1991] 1 S.C.R. 742, and found that while he was not prepared to believe all of
T.J.聮s evidence, he was left with a reasonable doubt. The trial judge entered
acquittals on all counts.
Position of the parties
[13]
The Crown submits that it was an error for the
trial judge to demand a reason for the complainant聮s decision to go into the
trailer. The Crown submits that A.V. did not have to advance a reason for going
into the trailer because a location does not imply consent to sexual activity.
The Crown submits that the fact that A.V. entered the trailer with T.J. is not
inconsistent with her testimony that she did not like T.J. in a sexual way. The
complainant explained her decision to walk T.J. home as being polite. The Crown
submits that the entire topic of
why
A.V. went into the trailer was
irrelevant to whether she consented to sexual contact with the respondent. As
such, the trial judge erred in drawing an inference that the complainant wanted
to have sex with T.J. based on her decision to enter the trailer. The Crown
submits that this conclusion was based on stereotypical and myth-based
reasoning.
[14]
The Crown submits that the trial judge also
erred in finding that A.V.聮s conversation with her father was not consistent
with how someone who had been sexually assaulted would act. The trial judge聮s
comments amount to a direct violation of the fundamental legal principle that
there is no inviolable way a victim of crime, in particular a victim of a
sexual crime, may react. The Crown submits that any reaction to sexual
violation, including selective or delayed disclosure, is personal and should
have no bearing on whether a complainant should be believed.
[15]
The respondent submits that the trial judge did
not demand a reason for entering the trailer. The trial judge concluded that A.V.聮s
decision to enter the trailer was inconsistent with her evidence that she did
not like the respondent. The respondent submits that this was an appropriate
and necessary line of reasoning as to credibility.
[16]
The respondent acknowledges that the trial
judge聮s language was not ideal with respect to the A.V.聮s conversation with her
father. However, the respondent submits that the trial judge聮s finding was one
that was available to him based on the larger context of the complainant聮s
evidence and considering the respondent聮s contrary evidence. The respondent
submits that the trial judge聮s challenged remarks should not be viewed in
isolation and relies on
R. v. Morissey
(1995), 97 C.C.C. (3d) 193, at p.
203, for the following: 聯[w]here a phrase in a trial judge聮s reasons is open to
two interpretations, the one which is consistent with the trial judge聮s
presumed knowledge of the applicable law must be preferred over one which
suggests an erroneous application.聰
Analysis
[17]
The Crown聮s right of appeal from acquittals is restricted to
questions of law alone: s. 676(1)(a) of the
Criminal Code
. An
assessment of the evidence on a wrong legal principle constitutes and error of
law:
R. v. J.M.H
., 2011 SCC 45, [2011] 3 S.C.R. 197, at para 29;
R.
v. Luceno
, 2015 ONCA 759, 341 O.A.C. 223, at para. 34.
Reliance upon stereotypical views about how victims of sexual assault would
behave is an error of law:
R. v. A.R.J.D.
, 2018 SCC 6, [2018] 1 S.C.R. 218, at para. 2.
[18]
R. v. Ewanchuk
, [1999] 1 S.C.R. 330,
at para. 95,
demonstrates that
the law has been seeking to eradicate
myths about the appropriate behaviour of victims of sexual assault for decades
:
Complainants should
be able to rely on a system free from myths and stereotypes, and on a judiciary
whose impartiality is not compromised by these biased assumptions.聽The
Code
was amended in 1983 and in 1992 to
eradicate reliance on those assumptions; they should not be permitted to
resurface through the stereotypes reflected in the reasons of the majority of
the Court of Appeal. It is part of the role of this Court to denounce this kind
of language, unfortunately still used today, which not only perpetuates archaic
myths and stereotypes about the nature of sexual assaults but also ignores the
law.
[19]
The use of a common-sense approach to credibility assessment is fraught
with danger for it can 聯mask reliance on stereotypical assumptions聰:
R. v. A.B.A.
,
2019 ONCA 124, 145 O.R. (3d) 364, at para. 7.
[20]
Here, the trial judge applied irrelevant stereotypical views about the
behaviour of sexual assault victims under the guise of a common-sense approach
to credibility assessment. He did this twice: first when considering A.V.聮s
evidence about why she went into the trailer; second when discussing her call with
her parents.
A.V.聮s reasons for entering the trailer:
[21]
The trial judge said this:
A.V. was unable to provide the court with a
reason or an explanation for her decision to enter the abandoned house trailer
with T.J.
She could not have been motivated by
curiosity聟she testified that she had been inside the trailer previously. Also,
she did not suggest that she was 聯talked into聰 or in any way coerced into
entering the trailer by T.J.
In my view, A.V.聮s
decision to walk T.J. partway home, for no discernable reason, followed by her
decision to enter the trailer with [him] especially at that late hour, is
inconsistent with her testimony that she did not like T.J. Her refusal or
inability to provide the court with a reason for entering the trailer with T.J.
detracts from her credibility. [Emphasis added.]
[22]
Although the trial judge refers to the
inconsistency in A.V.聮s testimony 聳 not liking T.J. but going into the trailer
with him anyway 聳 as part of his credibility assessment, inherent in the
analysis is a stereotypical assumption. The implication in the trial judge聮s
reasons is that consent can be inferred from the complainant聮s entry into the
trailer. This is wrong in law.
[23]
In the emphasized text above, the trial judge went
beyond assessing credibility and made an inference about consent because he could
not imagine another reason to enter the trailer other than to have consensual
sex. It was open to the trial judge to hold that the complainant聮s inability to
answer impacted her credibility, but he went further. In so doing, he relied on
stereotypes and assumptions 聳 that a woman would not enter a building at night
with a man unless she wanted sex 聳 to conclude that the complainant wanted to
have sex.
[24]
It may be that a person聮s reasons for entering a
premise 聳 whether a trailer or a hotel room 聳 may have relevance to a
credibility assessment. I recognize the subtlety. But stereotypical assumptions
are often couched as credibility assessments. Significantly, this was not the
trial judge聮s only use of stereotypical reasoning. His use of the evidence
concerning the phone call significantly crosses the line into impermissible
reasoning and compounds my concern about his use of the complainant聮s reasons
for entering the trailer.
A.V.聮s communication with her parents
[25]
The evidence surrounding A.V.聮s communication
with her parents was imprecise at best.
[26]
A.V. testified that she texted her father that
she would be home soon. She did not recall speaking to either parent but
testified that she did not speak to either parent when she was in the trailer.
[27]
T.J. testified that they had sex for 30-40
minutes. He said that A.V. got a call and declined it, then she got another
phone call and answered it. In chief he said, 聯I think it was her dad, and he
said where are you, and she聮s like I聮m at the Legion, I聮ll be home soon.聰 In
cross-examination he said he was not sure if it was the father or the mother.
[28]
A.V.聮s mother 聳 who was not on the call 聳
testified. The father did not. The mother said her husband was told that A.V.
was close to the Legion and would be home in a few minutes.
[29]
The trial judge said this about A.V.聮s communication
with her parents:
The second area of concern I have about A.V.聮s
testimony is in relation to her conversation with her father. A.V.聮s mother
testified that after noticing how dark it was becoming she called A.V. on her
cell phone, but did not receive an answer. She then called 10 to 15 minutes
later and again no answer. Later, her husband called A.V. and A.V. returned his
call, informing him that she was close to home, by the legion and would be home
shortly. Notwithstanding the fact that the legion was only a several minute
walk from her home, her mother testified that it was 聯quite a while聰 before
A.V. returned home.
Her mother聮s testimony with respect to the phone
call is consistent with the evidence of T.J., who testified that after they had
engaged in sexual activities for about 30-40 minutes A.V. received a call from
her father and informed him that she would be home soon. Immediately
thereafter, she put her clothes back on and started her walk home, which was
about a 20 minute walk.
If I accept her mother聮s evidence about the phone
calls, which I do, I can only come to the conclusion that A.V. was not being
candid with her father when she informed him that she was close to the legion,
only minutes away and would be home shortly. Given the time it would have taken
her to walk home from the trailer, it would appear that she was still in the
trailer when she spoke to her father, but for some reason she did not want him
to know this.
In my view, A.V.聮s
response to her
father does not
appear to be the response of someone who has just been sexually assaulted and
has been kept in the trailer against her wishes
. It
is more consistent with the response of someone who is attempting to conceal
her activities and whereabouts from her parents. [Emphasis added.]
[30]
The comments emphasized above reflect the use of an impermissible
assumption.
[31]
Relying on
R. v. Roth,
2020 BCCA 240, 66 C.R. (7th) 107, the respondent submits that a
complainant聮s conduct after an alleged assault can be considered in the context
of a particular set of facts. In
Roth,
the complainant testified that she was being assaulted by the accused
when she realized that she left her phone in a taxi. The accused allowed her to
call the taxi company and go to the door to get her phone provided that she say
nothing about the assault. She testified that she answered the door, leaving it
only partly open and remained inside fearing that the accused was nearby.
Consequently, she said nothing to the taxi driver. The taxi driver testified
that the complainant had come outside and closed the door behind her to keep
her dogs from getting out. Under these circumstances, the court said at paras.
129-30:
Let me pause here to note that the judge
correctly rejected defence counsel聮s improper suggestion, based on this
evidence, that the 聯mere fact聰 the complainant did not say something about a
sexual assault to the driver (or call the police), undermined her credibility
on the issue of consent. It is an error for a judge to ground an adverse
credibility finding in stereotypes or erroneous 聯common sense聰 assumptions
about how a sexual assault complainant is expected to act, including that they
would immediately disclose the fact of an assault or seek assistance.
However, this does
not mean that the evidence surrounding the driver聮s attendance at the home,
including the complainant聮s conduct during that interaction, was not open for
consideration in the credibility assessment and the trial judge was obliged to
steer away from it. The risk of myths and stereotypes distorting a judge聮s fact鈥慺inding
or reasoning process does not prohibit use of a complainant聮s behaviour for all
analytical purposes (assuming the evidence surrounding that behaviour is
properly before the court). Although a piece of evidence may carry the
potential for impermissible reasoning, it may also have a permissible role to
play as a circumstance to consider in assessing the evidence as a whole, in the
context of the case聮s particular 聯factual mosaic聰. In my view, what
A.R.D.
and like cases warn against is the
improper use of this type of evidence, not any use at all. [Citations omitted.]
[32]
Roth
is of no assistance here. There were
no assumptions about the reason for the complainant聮s conduct. There was no
suggestion that the complainant was acting in an unexpected way for a victim of
sexual assault. Rather, the complainant聮s evidence that she did not ask the cab
driver to call the police because she was afraid of the appellant was
inconsistent with the cab driver聮s evidence that she was outside of the house
and the door to the house was closed. The distinction is significant.
[33]
Here the trial judge specifically found that A.V.聮s
conversation with her father
聯does not appear to be the
response of someone who has just been sexually assaulted聰. This is a classic
example of an assumption made by a trial judge as to what a victim of an
assault would do.
Impact of the error
[34]
I do not agree with the respondent that regardless
of the trial judge聮s misuse of stereotypes, ultimately his
W.(D.)
analysis resolved the case. The respondent points to para. 77, where the trial
judge states:
In this case I
find that both T.J. and A.V. generally presented as credible witnesses,
notwithstanding the fact that A.V.'s evidence raised some questions and
concerns in my mind聟 In the circumstances, although I am not prepared to find
that I believe all of the evidence of T.J., his evidence does leave me with a
reasonable doubt, and in the circumstances, I must acquit him.
[35]
The trial judge聮s articulation of A.V.聮s failure
to explain her decision to enter the trailer and his description of her
communication to her father, were based on the legally impermissible assumptions
that: (i) by going into the trailer A.V. must have consented to sex; and (ii) A.V.
did not disclose to her father because she had consented. The compounding
effect of these two references defeats the respondent聮s reliance on
Morissey.
[36]
I now turn to remedy.
[37]
To overturn an acquittal, the Crown must show,
to a reasonable degree of certainty, that the verdict might have been different
had the error not been made:
V茅zeau v. The Queen
, [1977] 2 S.C.R. 277,
at p. 282;
R. v. MacKenzie
, [1993] 1 S.C.R. 212, at pp. 247-48.
[38]
As this court said in
R. v. A.B.A.
,
2019 ONCA 124, 145 O.R. (3d) 634, at para. 15:
The Crown does not have to establish that the
verdict would necessarily have been different. In
R.
v. Graveline
, 2000 SCC 16, [2006] 1 S.C.R. 609, at
para. 14, Fish J. for the majority held that the Crown must establish that the
errors 聯might reasonably be thought, in the concrete reality of the case at
hand, to have had a material bearing on the acquittal聰, and elaborated as
follows:
It has been long established, however,
that an appeal by the Attorney General cannot succeed on an abstract or purely
hypothetical possibility that the accused would have been convicted but for the
error of law. Something more must be shown. It is the duty of the Crown in
order to obtain a new trial to satisfy the appellate court that the error (or
errors) of the trial judge might reasonably be thought, in the concrete reality
of the case at hand, to have had a material bearing on the acquittal. The
Attorney General is not required, however, to persuade us that the verdict
would necessarily have been different.
[39]
The respondent submits that any alleged error is
immaterial because there was an independent pathway to acquittal 聳 the trial
judge was left in doubt by the respondent聮s evidence. Therefore, on the
W.
(D.)
analysis, T.J. would have been acquitted. I do not agree that the
issue of materiality can be so easily solved.
[40]
The only issue before the trial judge was credibility. The result
turned on his weighing the evidence of the complainant and the respondent. The
evidence of the complainant was considered in relation to the respondent and
assumptions were made as to her consent. For example:
T.J.
testified that A.V. initiated the visit to the trailer. The trial judge said
that his evidence suggests that she
intentionally
chose the privacy of the trailer to engage in sex with him
before returning home.
[41]
Had the trial judge not made the errors that he
did in assessing A.V.聮s credibility, he might have come to a different
conclusion with respect to T.J.聮s credibility and may not have been left with a
reasonable doubt as to the respondent聮s guilt.
[42]
The trial judge assessed the complainant聮s
credibility by applying stereotypical views about how victims of sexual assault
would behave. The reasonable doubt that he found in the respondent聮s evidence
was inextricably linked to his credibility assessment of A.V. This assessment
was fundamentally flawed.
[43]
I am satisfied that the errors had a
material bearing on the acquittals.
[44]
I have read my colleague's concurring reasons. I
agree with her articulation of the error of the trial judge in refusing to
admit the evidence of the complainant's call with C.D. In my view this error
exacerbates his improper use of the stereotypical reasoning I have described.
[45]
I would allow the appeal and order a new trial.
聯M.L.
Benotto J.A.聰
聯I
agree Thorburn J.A.聰
van Rensburg J.A.
(Concurring):
[46]
I have read my colleague聮s reasons for allowing
the Crown聮s appeal in this case. I agree that the appeal should be allowed, however,
I reach this result for different reasons.
[47]
The Crown raised two issues on appeal, having to
do with: (1) the trial judge聮s reliance on prohibited stereotypical reasoning
in two areas of the complainant聮s testimony; and (2) his refusal to admit
evidence of the complainant聮s prior consistent statements. Both errors are said
to have affected the trial judge聮s assessment of the complainant聮s credibility
in a fundamental way, such that the Crown would meet its heavy burden of
showing that there is a reasonable possibility that, if the errors had not been
made, the verdict would have been different.
[48]
As I will explain, I disagree with my colleague
that the trial judge relied on stereotypical assumptions about how victims of
sexual assault behave in his treatment of A.V.聮s evidence about why she entered
the trailer, where the alleged sexual assault occurred. I do however agree that
the trial judge crossed the line into impermissible stereotypical reasoning in
his treatment of A.V.聮s lie about her whereabouts in her conversation with her
father. Because in my view this error standing alone would not be sufficient to
undermine the trial judge聮s assessment of the complainant聮s credibility, I find
it necessary to also address the Crown聮s second ground of appeal: that the
trial judge erred in refusing to admit evidence of the complainant聮s call with
C.D.
[49]
In my view the trial judge erred when he
considered
only
whether A.V.聮s prior consistent
statement to C.D. was admissible to rebut an allegation of recent fabrication,
and he did not address the Crown聮s argument that the evidence of the call
should be admitted as 聯narrative as circumstantial evidence聰 to assist in the
assessment of the complainant聮s credibility. Nor did the trial judge consider
the admissibility of the evidence of A.V.聮s emotional state when she made the
call.
[50]
I am satisfied that, when these legal errors are
considered together, the Crown has met its burden to satisfy this court that
the errors 聯might reasonably be thought, in the concrete reality of the case at
hand, to have had a material bearing on the acquittal聰: see
R. v. Graveline
,
2006 SCC 16, [2006] 1 S.C.R. 609, at para.聽14.
[51]
I will begin my concurring reasons by discussing
the trial judge聮s alleged reliance on impermissible myths and stereotypes,
explaining where my views differ from those of my colleague. Then, I will
address the trial judge聮s decision not to admit the evidence of A.V.聮s
conversation with C.D. I will conclude by explaining why the errors in this
case are sufficient to warrant allowing the Crown聮s appeal, setting aside the
acquittals, and directing a new trial.
(1)
The Trial Judge聮s Alleged Reliance on
Impermissible Myths and Stereotypes
[52]
This case highlights the challenge that
appellate courts can face in distinguishing between prohibited lines of
reasoning and reasonable, context-specific inferences drawn by a trial judge in
assessing credibility in sexual assault cases. I begin with a summary of the
principles that in my view inform the consideration of this ground of appeal.
[53]
The point of departure is that evidence of the
surrounding circumstances, including the complainant聮s conduct, leading up to,
during, and after an alleged sexual assault can be relevant to the
determination of whether or not a complainant consented. Because consent, which
is part of the
actus reus
of the offence, is subjective, the court
must determine the complainant聮s state of mind at the time of the sexual
activity. Although the complainant聮s testimony is typically the only direct
evidence regarding her subjective state of mind, 聯credibility must still be
assessed by the trial judge, or jury, in light of all of the evidence聰: see
R.
v. Ewanchuk
, [1999] 1 S.C.R. 330, at para. 29. As the majority of the
Supreme Court observed, in defending a sexual assault allegation, 聯[i]t is open
to the accused to claim that the complainant聮s words and actions, before and
during the incident, raise a reasonable doubt against her assertion that she,
in her mind, did not want the sexual touching to take place聰: at para. 29. The
trial judge will consider 聯whether the totality of the complainant聮s conduct is
consistent with her claim of non-consent聰: at para. 30.
[54]
Accordingly, it is appropriate and necessary for
the trier of fact to consider the circumstances surrounding the alleged sexual
assault, which may include an analysis of the nature of the interactions
between the accused and the complainant leading up to and following the
incident. Circumstantial evidence can assist the defence in raising a
reasonable doubt on the issue of consent; it can also assist the Crown in
proving non-consent: see
Lisa Dufraimont, 聯Myth,
Inference and Evidence in Sexual Assault Trials聰 (2019) 44:2 Queen聮s L.J. 316,
at pp. 328-29
.
[55]
It is however an error for the trier of fact to
rely on erroneous myths and stereotypes about how a sexual assault complainant
is expected to act. 聯It is impermissible to assess a complainant聮s credibility
by looking at consistencies or inconsistencies grounded in a search for
聭expected聮 post-sexual assault behaviour聰:
R. v. A.R.D.
, 2017 ABCA
237, 422 D.L.R. (4th) 471, at para. 64, aff聮d 2018 SCC 6, [2018] 1 S.C.R. 218.
Triers of fact may rely on 聯reason and common sense聰, 聯life experience聰 and
聯logic聰 in making assessments of credibility; however, they fall into error if
they rely on prejudicial or stereotypical reasoning in making such assessments:
see
R. v. Delmas
,
2020 ABCA 152, 452 D.L.R. (4th) 375, at
para. 31, aff聮d 2020 SCC 39, 452 D.L.R. (4th) 371.
[56]
The concern arises when the trier of fact draws
inferences based on generalizations about human behaviour; it is in this
process that drawing a common-sense inference may mask stereotypical or
discriminatory reasoning: see
A.R.D.
, at paras. 6-7;
R. v. A.B.A.
,
2019 ONCA 124, 145 O.R. (3d) 634, at para. 7; and
R. v. Cepic
, 2019
ONCA 541, 376 C.C.C. (3d) 286, at para. 13. Stereotypical reasoning is a
substitute for reasoning that is grounded in the evidence: see
R. v. Mann
,
2020 BCCA 353, at paras. 64, 70-72. See also
R. v. Quartey
, 2018 ABCA
12, 430 D.L.R. (4th) 381, at para. 21, aff聮d 2018 SCC 59, [2018] 3 S.C.R. 687.
[57]
It is a fact-finder聮s reliance on myths and
stereotypes as part of the credibility assessment that is objectionable, and
not the consideration of evidence of the complainant聮s conduct itself. A trial
judge is entitled to draw reasonable inferences which are rooted in the
evidence to assess the complainant聮s conduct as part of the credibility
analysis. In
R. v. Roth
, 2020 BCCA 240, 66 C.R. (7th) 107, after
noting that it is an error for a judge to ground an adverse credibility finding
in stereotypes or erroneous 聯common sense聰 assumptions about how a sexual
assault complainant is expected to act, DeWitt-Van Oosten J.A. observed at
para.聽130:
The risk of myths
and stereotypes distorting a judge聮s fact-finding or reasoning process does not
prohibit use of a complainant聮s behaviour for all analytical purposes (assuming
the evidence surrounding that behaviour is properly before the court). Although
a piece of evidence may carry the potential for impermissible reasoning, it may
also have a permissible role to play as a circumstance to consider in assessing
the evidence as a whole, in the context of the case聮s particular 聯factual
mosaic聰.
In my view, what
A.R.D
. and like cases warn against is the
improper use of this type of evidence, not any use at all
. [Emphasis added;
citations omitted.]
[58]
It can be difficult on appeal to determine
whether a trial judge crossed the line from drawing legitimate inferences from
circumstantial evidence to reliance on stereotypical reasoning. See, for
example, the majority and dissenting reasons in the Alberta Court of Appeal and
the Supreme Court in
Delmas
about whether the trial judge relied on
myths and stereotypes in his assessment of the evidence of the appellant who
was convicted of sexual assault. As Pepall J.A. observed in
R.聽v.聽Lacombe
,
2019 ONCA 938, 383 C.C.C. (3d) 114, at para. 55, express identification by the
trial judge of the impugned assumptions is unnecessary; a review of the trial
judge聮s reasons may demonstrate that impermissible stereotypical sexual and
myth-based reasoning was employed in assessing a complainant聮s credibility and
reliability. Trial judges may rely on stereotypical reasoning, even where they
have instructed themselves appropriately to avoid such reasoning: see e.g.
A.B.A.
,
at para. 8. In determining the issue, the trial judge聮s reasoning must be taken
as a whole and viewed in context: see
Mann
, at para. 72.
[59]
It is helpful in conducting the analysis of
whether impermissible reasoning has occurred to specifically identify the myth
or stereotype that the trial judge is said to have relied on. A non-exhaustive
list of common myths and stereotypes about victims and perpetrators of sexual
assault is set out in
R. v. Seaboyer
;
R. v. Gayme
, [1991] 2
S.C.R. 577, at pp. 651-54. The central issue is to determine whether the trier
of fact has drawn inferences that are rooted in the particular facts of the
case and supported by the evidence or has drawn inferences based on
generalizations about human behaviour that on closer examination reveal
stereotypical reasoning.
[60]
I turn now to address the two areas where the
trial judge is alleged to have relied on impermissible myths and stereotypes in
his assessment of the complainant聮s credibility. The first has to do with the
evidence about the entry of A.V. and the respondent T.J. into the abandoned
trailer where the sexual contact took place. The second is said to arise in the
trial judge聮s treatment of the complainant聮s lie in a conversation with her
father.
(a)
A.V.聮s Reasons for Entering the Trailer
[61]
The Crown argued, and my colleague agrees, that
inherent in the trial judge聮s analysis is a stereotypical assumption that
consent could be inferred from A.V.聮s entry into the trailer, and that the
trial judge went beyond assessing credibility and drew an inference about
consent because he could not imagine that a woman would enter a building at
night with a man unless she wanted to have sex.
[62]
I disagree. In my view the trial judge聮s
treatment of the evidence about why A.V. and the respondent entered the trailer
was a proper, and in the circumstances of this case necessary, part of his
overall assessment of the evidence. The trailer was where the sexual contact
took place and the evidence of A.V. and T.J. about what happened before, during,
and after they entered the trailer was relevant to the issue of consent.
[63]
A.V. testified that she had no problem when her
mother refused her request that the respondent sleep over because she did not
want T.J. at her home in the first place, he was loud and obnoxious, she was
pretty sure he had asked her father for marijuana, and he was giving her 聯weird
vibes聰. She explained that she had offered to walk the respondent partway home
because she did not want to be rude, and that they left the house around 8:00
p.m. A.V. testified that T.J. tried to kiss her as they were walking past the
Legion (about a minute away from her house), and she had pushed him away.
[64]
A.V. testified that when they were about 20
minutes away from her house, they came upon a trailer that was about 20 feet
off the road in a field. She knew the trailer had been abandoned for years and
she had been in it before. When asked whose idea it was to go to the trailer,
A.V. responded that it was T.J.聮s idea. She added however that she 聯walked to the
trailer willingly聰 (in contrast to the police statement put to her in
cross-examination, in which she said she had been taken or brought to the
trailer). When the Crown asked why she walked to the trailer A.V. replied, 聯I
do not know 聟 We just kind of walked there聰. She was asked what her thoughts
were when T.J. asked her about the trailer before they entered it. She
responded, 聯I didn聮t think anything of it at all聰. Under cross-examination A.V.
reiterated her response about why she thought she would be entering the
trailer, 聯[n]othing, there was no thought about it聰. When asked what she was
expecting to do in the trailer, she said: 聯Nothing, we were just looking
around聰.
[65]
T.J.聮s evidence was that he and A.V. had shared
a kiss by the Legion and that it was mutual, that it was A.V. who suggested
they go inside the trailer, and that they had kissed for a while on the road in
front of the trailer before entering it.
[66]
The Crown points to para. 70 of the reasons for
judgment as revealing reliance on impermissible myths and stereotypes where the
trial judge stated:
In my view, A.V.聮s
decision to walk T.J. partway home, for no discernable reason, followed by her
decision to enter the trailer with [T.J.], especially at that late hour, is
inconsistent with her testimony that she did not like T.J.
Her refusal or
inability to provide the court with a reason for entering the trailer with T.J.
detracts from her credibility.
[Emphasis added.]
[67]
The Crown聮s first argument about this passage is
that the trial judge erred in demanding a reason from A.V. for why she entered
the trailer when no explanation was required. The Crown submits that 聯the
entire topic聰 of why A.V. entered the trailer was irrelevant. I disagree.
聯Repudiating myths and stereotypes means rejecting certain discriminatory lines
of reasoning, but it does not make whole categories of evidence irrelevant or
inadmissible聰:
Roth
, at para. 131, citing Dufraimont, at p. 353;
R.
v. Cooke
, 2020 NSCA 66, at para. 29. In the circumstances of this case
what was in A.V.聮s mind when she entered the trailer 聳 which is where the alleged
sexual assault took place 聳 was something that was appropriate for the trial
judge to consider.
[68]
The Crown also contends that the trial judge聮s
reference to A.V. not providing a reason for entering the trailer demonstrates
a reliance on the assumption or myth that a woman would not enter a building at
night with a man unless she wanted sex to then conclude that A.V. consented to
the sex.
[69]
I do not read the trial judge聮s reasons in this
way. In my view the trial judge was properly assessing A.V.聮s testimony that
she did not like T.J. and was only walking him partway home to be polite
against the fact that she had gone into the trailer with him at a late hour
聯for no reason聰 when she was expected home. In para. 69 of his reasons the
trial judge referred to A.V.聮s testimony that she had no problem with her
mother聮s refusal to permit T.J. to spend the night because she did not want him
at her home that evening in the first place, that she did not like the way he
talked to her parents, that he was loud and obnoxious, and that she was pretty
sure that he asked her dad for pot. It was in the context of his assessment of
this evidence that the trial judge stated that the complainant 聯was unable to
provide the court with a reason or an explanation for her decision to enter the
abandoned house trailer with T.J.聰 He had observed that A.V. could not have
been motivated by curiosity, as she had testified that she had been inside the
trailer previously, and that 聯she did not suggest that she was 聭talked into聮 or
in any way coerced into entering the trailer聰.
[70]
After concluding that A.V.聮s decision to walk
T.J. partway home followed by her decision to enter the trailer with him,
especially at that late hour, was 聯inconsistent with her testimony that she did
not like T.J.聰, the trial judge fairly commented that A.V.聮s 聯refusal or
inability to provide the court with a reason for entering the trailer with T.J.
detracts from her credibility.聰 This final comment about A.V.聮s credibility,
when read in context, does not imply that consent could be inferred from her
entry into the trailer. As my colleague acknowledges, 聯[i]t was open to the
trial judge to hold that the complainant聮s inability to answer impacted her
credibility.聰 The trial judge聮s statement about A.V.聮s credibility was rooted
in the evidence and did not invoke stereotypical assumptions.
[71]
I therefore disagree with my colleague聮s
conclusion that the trial judge invoked impermissible myths and stereotypes in
his analysis to infer consent from A.V.聮s entry into the trailer based on
assumptions that a woman would not enter a building at night with a man unless
she wanted sex.
(b)
A.V.聮s Communication with Her Parents
[72]
The second area of concern about A.V.聮s evidence
identified by the trial judge is in relation to her having told her father she
was at the Legion and would be home soon, when she was still in the trailer
with the respondent. In asserting that the trial judge improperly relied on
stereotypical myths, the Crown focusses on the statement in the trial judge聮s
reasons that 聯A.V.聮s response to her father does not appear to be the response
of someone who has just been sexually assaulted and has been kept in the
trailer against her wishes.聰 The Crown asserts that the trial judge improperly
compared the complainant to a 聯typical聰 sexual assault victim who would have
told her father the truth about her whereabouts.
[73]
I begin by observing that while this statement
considered in isolation may suggest that there was stereotypical reasoning
(because it compares the complainant with 聯someone who has just been sexually
assaulted聰) the statement must be considered in context to determine whether,
as the respondent submits, this was simply an unfortunate choice of words in
circumstances where the trial judge was properly considering a possible lie and
inconsistency in assessing the complainant聮s credibility.
[74]
The evidence about A.V.聮s communications with
her parents while she was in the trailer was inconsistent and somewhat
confusing.
[75]
A.V. testified that at the relevant time, in
terms of outgoing communications, she could only send messages by text on her
cell phone; and that, although she could receive calls, she could not make an
outgoing call except by using her data. In her evidence-in-chief A.V. did not
mention any text messages or calls with her parents. Under cross-examination
A.V. said that, not long after she and the respondent got to the trailer, her
parents started calling her. She testified that she thought she had responded
to the first call with a text to her father saying that she would be home soon.
She testified that her parents had called back 15 or 20 minutes later, but she
could not remember speaking to her mother before she got home that night. In
re-examination A.V. testified that her mother had called before she was assaulted,
while she was in the bedroom of the trailer, and that she had ignored the call.
She testified that she did not remember her mother calling and telling her
mother that she was near the Legion and would be home shortly, and she denied
having spoken to her parents while she was in the trailer.
[76]
A.V.聮s mother testified that, after noticing how
dark it was, she made two calls to her daughter, receiving no answer, and that
later A.V. had returned a call from her father in which she told him she was
聯close to the Legion and she'll be home in a few minutes聰. It was however 聯a
while after she聮d made the call聰 before A.V. got home.
[77]
The trial judge noted that the mother聮s
testimony with respect to the call was consistent with the respondent聮s
evidence 聳 he testified that A.V. received a call from her father while they
were in the trailer, that she had responded that she would be home soon, and
that she immediately got dressed and left the trailer.
[78]
It would have been appropriate for the trial
judge to consider the evidence about the calls in assessing A.V.聮s credibility
聳 for example, in determining whether the timing of the calls and A.V.聮s
response were consistent with her narrative of how the sexual assault had
unfolded. In assessing the evidence of the text messages and calls and its
impact on A.V.聮s credibility however the trial judge focussed only on the fact
that during a call (that A.V. did not remember), she had lied to her father.
His conclusion about how this affected the complainant聮s credibility is stated
at para. 74 of his reasons:
In my view, A.V.聮s
response to her father does not appear to be the response of someone who has
just been sexually assaulted and has been kept in the trailer against her
wishes. It is more consistent with the response of someone who is attempting to
conceal her activities and whereabouts from her parents.
[79]
The problem with the trial judge聮s reasoning is
that there was no evidentiary foundation for any inference or conclusion to be
drawn about the credibility of the complainant聮s assertion that she had been
sexually assaulted based on the lie she told her father. She was not questioned
about why she might have lied, because she did not remember the call, and she
denied having talked to her parents when she was in the trailer. The trial
judge appears to have assumed, based on a hypothetical victim of a sexual
assault who was kept in the trailer, that the complainant would have told her
father the truth if she had been sexually assaulted. He compared A.V.聮s lie
with what he would have expected a victim of sexual assault to have done.
However, there was nothing in the evidence to support the conclusion that A.V.
would have told her parents the truth about her whereabouts if she had been
sexually assaulted. Lying to her father about her whereabouts, and not telling
her parents she was at the trailer, was equally consistent with non-consensual
as consensual sex.
[80]
For these reasons, while I do not agree with my
colleague that the trial judge engaged in stereotypical reasoning in relation
to the evidence about why the complainant entered the trailer, I agree that he
engaged in such prohibited reasoning in his analysis of the evidence concerning
the complainant聮s call with her father. I turn to consider the second ground of
appeal: that the trial judge erred in excluding evidence of the complainant聮s
prior consistent statements.
(2)
The Trial Judge聮s Exclusion of A.V.聮s Prior
Consistent Statements
[81]
The Crown contends that the trial judge
misapprehended and misapplied the law in deciding that A.V.聮s prior consistent
statements were inadmissible.
[82]
A.V. testified that after leaving the trailer
she had immediately called her best friend C.D. through her data, that she told
C.D. what happened, and that C.D., who had to go to work the next day, told her
to go to the police. C.D. testified that she received a call from A.V. the
night of the alleged assault in which A.V. said that T.J. raped her. C.D.
testified that A.V. was clearly upset and crying very hard, and she had the
impression A.V. was 聯pretty intoxicated聰.
[83]
A.V. also testified that she had texted her
sister and her ex-boyfriend on the way home, that both had called her back, and
that she had told them what had taken place. She also stated that after she
returned home, she had talked to her neighbour and had told him what had
happened. There was no other evidence at trial about these calls or
conversations, and the sister, ex-boyfriend, and neighbour were not called as
witnesses at the trial.
[84]
At trial Crown counsel argued that the court
should consider the evidence of C.D., which included the fact of the telephone
call and its timing, the substance of what A.V. said, and the complainant聮s
demeanour during the call. The Crown argued that A.V.聮s statements to C.D. were
admissible to rebut an allegation of recent fabrication. The Crown also relied
on the narrative as circumstantial evidence exception recognized in
R. v.
Khan
, 2017 ONCA 114, 136 O.R. (3d) 520, leave to appeal refused, [2017]
S.C.C.A. No. 139 to argue that the trial judge could use the statement as
context and background to assist in his assessment of the complainant聮s
credibility. Finally, the Crown argued that C.D.聮s evidence about A.V.聮s
emotional state so close in time to the incident was 聯very probative聰 evidence.
[85]
On appeal Crown counsel makes two arguments.
First, he submits that the trial judge erred in failing to determine the
admissibility of
all
of the complainant聮s prior
consistent statements, which included A.V.聮s evidence that she had called her
ex-boyfriend and her sister and had told them she had been raped, and that she
had spoken with her neighbour after she got home. The trial judge addressed
only the admissibility of A.V.聮s prior consistent statement to C.D. in his reasons
for judgment, when he should have considered all of A.V.聮s prior consistent
statements which demonstrated a 聯nuanced disclosure pattern聰.
[86]
Second, Crown counsel submits that the trial
judge erred in considering the admissibility of C.D.聮s evidence only as
evidence to rebut recent fabrication, and that he failed to consider the other
viable ground argued by the Crown 聳 that the evidence should be admitted under
the 聯narrative as circumstantial evidence聰 exception. In addition, the trial
judge failed to consider the evidence that C.D. provided of the complainant聮s
emotional state during the call, which occurred just after she left the
trailer.
[87]
The respondent asserts that the trial judge
addressed and properly rejected both grounds for the admission of C.D.聮s
evidence, and that he may well have considered the post-offence demeanour
evidence that the complainant was crying and upset when she called C.D. in his
assessment of the complainant聮s credibility, giving it the weight it deserved.
[88]
I would not give effect to the Crown聮s argument
that the trial judge erred in failing to consider the admissibility of the
evidence of prior consistent statements made by A.V. to her sister, former
boyfriend, and neighbour. The trial judge did not rule on the admissibility of
this evidence because he was not invited to do so, nor did the Crown at trial
make an argument about the complainant聮s disclosure pattern. The Crown聮s
submissions at trial on prior consistent statements were all directed to the
evidence of C.D. Since the statements to the sister, former boyfriend and
neighbour were presumptively inadmissible, and the Crown did not argue for
their admissibility for any purpose 聳 whether to show a 聯nuanced disclosure
pattern聰 or at all 聳 the trial judge cannot be faulted for failing to address
the admissibility of the complainant聮s prior consistent statements other than
those made to C.D.
[89]
I do however agree with the Crown that the trial
judge erred in failing to consider the admissibility of C.D.聮s evidence about
the conversation with A.V. under the narrative as circumstantial evidence
exception and as post-event demeanour evidence. Contrary to the respondent聮s
submission, the trial judge聮s reasons cannot be read as having addressed these
bases for admission of the evidence. The trial judge referred only to the
Crown聮s submissions on rebutting an allegation of recent fabrication and his
reasons only respond to that argument.
[90]
The trial judge stated at paras. 61 and 62 of
his reasons:
The Crown submits
that the statements to C.D. should be admitted on the basis that their
admission is intended to rebut a suggestion by the defence of a recent
fabrication.
In my view, the
statements to C.D. should be excluded. A.V. testified that on the way to her
home from the trailer she spoke by telephone not only to C.D., but also to her
sister and to a former boyfriend. She confirmed that she told all of them that
she had been 聯raped聰. I find that A.V.聮s statements that she was the victim of
a sexual assault was consistent from the time of the trailer incident and
thereafter, and that there is no evidence of recent fabrication. In the
circumstances I cannot accept as evidence her statements to C.D. that she was
raped as proof of their contents. Also, I cannot accept her statements to C.D.
as evidence in support of her credibility. As was noted by the Court in
R.
v. Divitaris
(2004), 188 C.C.C. (3d) 390 (Ont. C.A.), at para. 28, 聯a
concocted statement, repeated on more than one occasion, remains concocted聰.
[91]
It is apparent from this passage that the trial
judge only considered the admissibility of the statements to C.D. as evidence
to rebut an assertion of recent fabrication. He concluded, correctly in my
view, that such use could not be made because there was no recent fabrication.
Defence counsel had suggested that the complainant聮s motives to fabricate (to
protect her reputation and in the hope of getting back together with her
ex-boyfriend) occurred immediately, and
before
she
spoke to C.D. The trial judge concluded that in the circumstances he could not
accept the complainant聮s statements for the proof of their contents (I note
that the Crown did not seek to admit the statements for their truth) or in
support of her credibility. The trial judge concluded with the quotation from
Divitaris
,
suggesting that his focus was on preventing the improper use of a prior
consistent statement 聳 as enhancing credibility by mere repetition.
[92]
The trial judge did not however refer to or
address the Crown聮s argument that C.D.聮s evidence, including the prior
consistent statements made by A.V., were admissible as circumstantial narrative
for the limited purpose of assisting with the assessment of the credibility of
the complainant.
[93]
The narrative as circumstantial evidence
exception was explained by Hourigan J.A. in
Khan
, at paras. 31-34. It
applies when there is something in the circumstances of the making of the
statement that can assist in the assessment of the credibility or reliability
of the witness聮s in-court claims: see
Khan
, at para. 31; David M.
Paciocco, 聯The Perils and Potential of Prior Consistent Statements: Let聮s Get
It Right聰 (2013) 17 Can. Crim. L. Rev. 181, at p. 199. If admitted, the
evidence can be used to assess a complainant聮s credibility, but not for the
prohibited inference that consistency enhances credibility or the incorrect
conclusion that the simple making of a prior consistent statement corroborates
in-court testimony. 聯The probative value of the statement lies in the
inferences that can be drawn from the timing and circumstances of the statement,
rather than the simple fact that the complainant has said the same thing
before聰:
R. v. M. E-H.
, 2015 BCCA 54, 319 C.C.C. (3d) 352, at para.
46. In the circumstances of this case, the trial judge ought to have considered
whether the evidence as to the timing of A.V.聮s call to C.D. and A.V.聮s
emotional state during the call were admissible under the narrative as
circumstantial evidence exception, and then, if admitted, evaluated the weight
of such evidence and its effect on his assessment of A.V.聮s credibility.
[94]
Post-event demeanour evidence of a sexual
assault complainant can serve as circumstantial evidence to corroborate the
complainant聮s testimony: see
R. v. Mugabo
, 2017 ONCA 323, 348 C.C.C.
(3d) 265, at para. 25;
Murphy v. The Queen
, [1977] 2 S.C.R. 603, at
pp. 612, 616. C.D.聮s evidence about how A.V. sounded during the call, if
accepted, may have served to corroborate the complainant聮s evidence that she
had not consented to the sexual contact in the trailer. Contrary to the
respondent聮s submissions, I see nothing in the trial judge聮s reasons to suggest
that he considered and rejected or discounted such evidence. Indeed, he
concluded at para. 77 that there was 聯an absence of available corroborating
evidence to support the testimony of either [the complainant or the
respondent]聰.
[95]
In my view, the trial judge erred when he
applied too narrow a test in determining the admissibility of C.D.聮s evidence
and A.V.聮s prior consistent statement to C.D. If he had considered the relevant
permissible uses of C.D.聮s evidence, he may have concluded that C.D.聮s evidence
was admissible, not for the truth of the contents of the prior consistent
statement made by A.V., but as relevant circumstantial evidence to assist in
his assessment of A.V.聮s credibility.
(3)
Do the Trial Judge聮s Errors Meet the Threshold
for a New Trial?
[96]
In an appeal from an acquittal, to obtain a new
trial, the Crown must demonstrate that the error might reasonably be thought to
have had a material bearing on the acquittal, or in other words, that had the
error not been made, the verdict might have been different: see
Graveline
,
at paras. 14-17;
R. v. Barton
, 2019 SCC 33, 435 D.L.R. (4th) 191, at
para. 160; and
R. v. MacKenzie
, [1993] 1 S.C.R. 212, at pp. 247-48.
[97]
The respondent argues that, even if the trial
judge made the errors alleged by the Crown, the verdict would have been the
same. According to the respondent, the errors can only be relevant to the trial
judge聮s assessment of the credibility of the complainant, however, the trial
judge stated that he found both A.V. and T.J. to be credible and that he
decided the case based on the second branch of
W.(D.)
(
R. v.
W.(D.)
, [1991] 1 S.C.R. 742).
[98]
The trial judge stated at para. 77:
In this case I
find that both T.J. and A.V. generally presented as credible witnesses,
notwithstanding the fact that A.V.聮s evidence raised some questions and
concerns in my mind. Also, there is an absence of available corroborating
evidence to support the testimony of either of them. In the circumstances,
although I am not prepared to find that I believe all of the evidence of T.J.,
his evidence does leave me with a reasonable doubt, and in the circumstances I
must acquit him.
[99]
In
A.B.A.
, this court allowed a Crown
appeal from acquittal in a sexual assault case where the trial judge had relied
on impermissible myths and stereotypes in her assessment of the complainant聮s
credibility, notwithstanding that the trial judge acquitted the respondent
based on the first prong of
W.(D.).
Pardu J.A. noted that the trial
judge 聯gave several reasons for believing [the respondent] which were
independent of her assessment of the complainant聮s testimony聰, however, she
also noted that the trial judge聮s assessment of the complainant聮s credibility
played a prominent role in her determination of whether to believe the
respondent.
[100]
Similarly, in the present case, although the trial judge acquitted
the respondent based on the second branch of
W.(D.)
, this does not
mean that his assessment of the complainant聮s credibility had no bearing on his
reasoning. To the contrary, the trial judge did not explain why the
respondent聮s evidence raised a reasonable doubt, nor had he specifically
addressed the respondent聮s credibility earlier in his reasons, apart from a
general observation that both the complainant and the respondent had given
testimony in a calm manner with few inconsistencies and that the essence of
their testimony remained unchanged despite rigorous cross-examination. He had
however discussed two areas of A.V.聮s testimony which raised questions about her
credibility. He referred to these 聯questions and concerns聰 when coming to his
conclusion on the verdict.
[101]
And, as I have already noted, the trial judge pointed to the absence
of corroborating evidence. C.D.聮s evidence, if admitted, could have been considered
as circumstantial evidence of A.V.聮s mental state after the sexual contact, and
supportive of her testimony that she had been sexually assaulted. This could
have been a factor in assessing A.V.聮s credibility, especially on the issue of
consent, that could have helped the trial judge to resolve conflicting evidence
and not be left with a reasonable doubt by the respondent聮s evidence.
(4)
Conclusion
[102]
In my view the combination of the trial judge聮s improper reliance on
myths and stereotypes in assessing the evidence of A.V.聮s conversation with her
father and his failure to consider the admissibility of the evidence of C.D. as
circumstantial narrative constituted legal error in the assessment of the
complainant聮s credibility that, 聯in the concrete reality of聰 this case, had a
material bearing on the acquittals, such that the Crown聮s appeal should be
allowed.
Released: March 25, 2021聽 聯KMvR聰
聯K.
van Rensburg J.A.聰
[1]
Mr. Halfyard was appointed by MacPherson J.A. to act as
amicus.
Prior
to the hearing, he advised the court that the appellant was content that he
represent him and did not wish to attend the appeal.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Stennett, 2021 ONCA 258
DATE: 20210426
DOCKET: C65598
Fairburn A.C.J.O., Watt and
Thorburn JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Lerrell Stennett
Appellant
Paul J.I. Alexander, for the appellant
Eric W.G. Taylor, for the respondent
Heard: October 16, 2020 by video conference
On appeal from the conviction
entered on April 19, 2018, and the sentence imposed on July 11, 2018, by
Justice Joseph F. Kenkel of the Ontario Court of Justice.
Watt J.A.:
[1]
On a wet highway, a driver lost control of his
vehicle. The vehicle began to rotate, struck a curb and left the roadway.
[2]
After the vehicle left the roadway, it sheared
off two light standards and continued on to the lot of a used car dealership.
There, it hit a parked pickup truck. The force of the collision drove the
pickup truck into another vehicle. Then another. And another. And another.
[3]
The vehicle returned to the road surface. Three
people were inside. The driver. A front seat passenger. A rear seat passenger.
The driver and front seat passenger suffered serious injuries. The front seat
passenger聮s injuries were life-threatening. Fortunately, she survived.
[4]
Lerrell Stennett (the appellant) was the driver
of the vehicle.
[5]
A judge of the Ontario Court of Justice found
the appellant guilty of counts of dangerous operation and impaired operation of
a motor vehicle causing bodily harm.
[6]
The appellant appeals his conviction and one
ancillary order included as part of his sentence.
[7]
In the reasons that follow, I explain why I
would dismiss the appeals from conviction and set aside the victim surcharge
included as part of the sentence imposed.
The Background Facts
[8]
The trial proceedings consisted of a blended
voir
dire
to determine the admissibility of an interview of the appellant by
investigating officers; an Agreed Statement of Facts (聯ASF聰), which included a
Collision Reconstruction Report and a Toxicology Letter of Opinion by qualified
experts in each field; and the
viva voce
evidence of a qualified
forensic toxicologist. The appellant did not testify or otherwise adduce
evidence.
[9]
In large measure, the circumstances underlying
the offences with which the appellant was charged are uncontroversial. Their
brief recital affords a sufficient frame for the decision that follows.
The Nightclub
[10]
On the evening before the accident, the
appellant drove to a birthday party for one of his brothers at a nightclub. He
drove there in a rear-wheel drive Jaguar owned by another of his brothers. He
had driven the car previously.
[11]
The appellant had arranged for bottle service at
the nightclub. This included a 1.5-litre bottle of vodka. The appellant did not
plan to drink at the nightclub, but rather, as he explained to police when
interviewed, he planned to get 聯lit聰 later. However, he acknowledged having had
two shots, which he considered would have resulted in an 聯alert聰 reading if
tested on an alcohol screening device.
The Departure
[12]
As the birthday celebration came to a close, the
appellant left the club with two others. One sat in the front passenger seat,
the other in the rear passenger seat. The appellant was the driver.
[13]
The group stopped at a McDonald聮s restaurant
where one of the members got some water.
The Accident Scene
[14]
The accident occurred on a straight level
stretch of Highway 7 at about four o聮clock one mid-August morning. The road
surface was paved with two lanes running in each east-west direction. There was
no median or other obstruction on the road surface. The posted speed limit was
60 km/h.
[15]
The road surface was wet at the time of the
accident.
The Accident
[16]
According to the collision reconstructionist,
the accident occurred when the appellant was driving west on Highway 7. The
Jaguar rotated clockwise with its centre mass continuing in a westerly
direction, but its front facing north. The rear tire on the passenger side
struck the curb. The vehicle left the travelled surface of the highway and
sheared off two light standards as it continued towards several vehicles parked
on a used car lot.
[17]
The driver聮s side of the appellant聮s vehicle
struck a truck parked on the used car lot on the north side of the highway. The
force of the impact pushed the pickup truck into an adjacent vehicle parked in
a line with several others. Four vehicles in this line were damaged in the
chain reaction that followed.
[18]
The Jaguar continued to rotate clockwise after
the chain reaction collisions in the used car lot. The vehicle continued south
off the shoulder of the road until it finally came to rest in the westbound
lanes of Highway 7, its original direction of travel.
The Vehicle
[19]
A post-accident examination of the Jaguar
disclosed no pre-existing defect in its operating system or fittings. There was
extensive damage to the driver聮s side of the car. The front wheel was detached
from the axle. The rear driver聮s door was no longer attached. There was a
cylindrical dent in the roof above the door. The driver聮s airbag had deployed.
Both front and side windows on the driver聮s side had shattered.
The Speed of the Vehicle
[20]
The Jaguar was not equipped with an Event Data
Recorder (聯EDR聰). As a result, there was no record of any pre-accident
information such as the speed of the vehicle before, at the time and after the
various collisions. The vehicles parked on the used car lot and struck by the
Jaguar or each other in the chain reaction that followed were not powered, thus
their EDRs did not record any events in which they were involved. The collision
reconstructionist was unable to calculate the pre-collision speed of the
Jaguar.
[21]
In his report, the collision reconstructionist
wrote that wet roads can reduce the dynamic friction between the tire on a
vehicle and the surface of the road. This can contribute to a loss of control
if a vehicle is travelling at a speed that exceeds the available friction.
Other factors that can contribute to a loss of control on wet conditions
include steering input, a curve in the road, abrupt acceleration and braking.
The reconstructionist was unable to determine which, if any, of these factors
may have caused the Jaguar to enter a rotation.
The Toxicology
[22]
The accident occurred between 4:00 and 4:09 a.m.
on August 20, 2016. Blood samples were taken from the appellant at hospital and
later analyzed by forensic toxicologists at the Centre of Forensic Sciences.
The projected blood alcohol concentration of the appellant at the time of the
collision was 66-96 milligrams of alcohol per 100 millilitres of blood.
[23]
Elizabeth Hird is a forensic toxicologist at the
Centre of Forensic Sciences. She testified that impairment of driving ability
due to alcohol consumption becomes significant at a blood alcohol concentration
of 50 milligrams of alcohol per 100 millilitres of blood and increases from
that point as blood alcohol concentration increases. Impairment refers to a decreased
ability to perform a complex task such as driving a motor vehicle. Intoxication
refers to the physiological or observable effects alcohol has on a person.
These effects may be less apparent in those with a tolerance for alcohol, but
tolerance has no effect on impairment.
[24]
Ms. Hird testified that the ability of a person
with a blood alcohol concentration in the range of 66-96 milligrams of alcohol
in 100 millilitres of blood to operate a motor vehicle would be impaired.
Driving requires the use of several faculties almost simultaneously. Divided
attention must be maintained. Judging speed and distance. Responding to unexpected
events. Taking corrective action. The witness could not say whether a person
with a blood alcohol concentration of 60 milligrams of alcohol in 100
millilitres of blood who displayed no visible signs of intoxication could
operate a vehicle safely. But she did say that the person聮s ability to operate
the vehicle would be decreased due to the complexity of the task and their
decreased ability to perform that task well.
[25]
In cross-examination, Ms. Hird acknowledged that
she could not say whether the appellant was impaired at a blood alcohol
concentration because she had never tested him. Similarly, she could not
express an opinion about where within the projected range of 66-96 milligrams
of alcohol per 100 millilitres of blood the appellant would have fallen at the
time of the collision. However, she noted that the entire range was beyond 50
milligrams of alcohol per 100 millilitres of blood at which impairment
generally becomes significant. She also testified that although she could not
rule out a blood alcohol concentration at the lower end of that range, either
generally or for the appellant in particular, she considered it more likely
that a person would be at the higher end due to the average rates of
elimination.
The Signs of Impairment
[26]
No one reported having seen any signs of
impairment of the appellant at the nightclub, the collision scene, or the
hospitals to which he was taken or transferred after the collision.
The Consequences of the Collision
[27]
Neither the appellant nor either of his
passengers could recall the circumstances of the collision. None gave evidence
at trial. The appellant and his front seat passenger were severely injured in
the collision. Each suffered internal and brain injuries.
The Grounds of Appeal against Conviction
[28]
On his appeal from conviction, the appellant
says the trial judge erred:
i.
in drawing conclusions contrary to the ASF based
on misapprehensions of or lack of support in the evidence adduced at trial;
ii.
in inferring guilt from the consequences of the
collision; and
iii.
in finding each offence proven through circular reasoning.
Ground #1: Erroneous Findings of Fact
[29]
This ground of appeal alleges that the trial
judge erred in finding that the accident was caused by grossly excessive speed.
This finding, the appellant says, is anchored in a combination of three
discrete, yet related errors that vitiate both convictions. Those errors
consist of:
i.
misapprehending the evidence;
ii.
making findings contrary to the ASF; and
iii.
making findings in the absence of any supporting evidence.
[30]
It is unnecessary to repeat what has already
been said about the circumstances of the accident as described in the ASF, the
report of the collision reconstructionist and the testimony of the forensic
toxicologist.
[31]
A brief reference to the reasons of the trial judge
will provide a suitable foundation for the discussion that follows.
The Reasons of the Trial Judge
[32]
The trial judge began his consideration of the
offences alleged in the indictment with the counts charging impaired operation.
The issue, he said, was whether the Crown had proven the alleged impairment
beyond a reasonable doubt on the basis of the evidence of the appellant聮s projected
blood alcohol concentration, the manner of driving and the expert evidence of
the forensic toxicologist. He acknowledged that there was no direct evidence of
the manner of the appellant聮s driving and that the evidence was that the
appellant had displayed no signs of physical impairment at the nightclub, at
the accident scene and at the hospital.
[33]
In examining the evidence about the speed of the
appellant聮s vehicle at the time of the accident, the trial judge affirmed the
absence of any direct evidence of the precise speed before or at any point
during the accident. However, the trial judge recognized that, like any fact in
issue, the relative speed of the vehicle could be established by circumstantial
evidence.
[34]
The cumulative effect of several items of
evidence persuaded the trial judge that when he lost control of his vehicle,
the appellant was travelling at a speed that was far beyond what was safe under
the conditions and constituted a marked departure from the standard of a
reasonably prudent driver. Among the items of evidence were these:
i.
the absence of any mechanical defect as a
contributing factor;
ii.
the straight, level, unobstructed nature of the
highway and road surface;
iii.
the posted speed limit of 60 km/h;
iv.
the absence of any difficulty for first responders and other
motorists to navigate the wet surface of the roadway safely;
v.
the absence of evidence of skid marks suggesting
the intervention of some external factor requiring evasive action;
vi.
the relationship between a speed that exceeds the available friction
between the tire and road surface and loss of control of the vehicle; and
vii.
the circumstances of the several collisions with light standards and
parked vehicles including the extent of damage caused.
[35]
In determining whether the evidence established
that the appellant聮s ability to operate a motor vehicle was impaired by his
consumption of alcohol, the trial judge reviewed the testimony of the forensic
toxicologist. He concluded that the circumstantial evidence relating to the
appellant聮s driving showed the indicia of mental impairment.
[36]
The trial judge accepted that driving was a
complex task involving divided attention, choices, reaction time, and judgment
of speed and distance. All these mental processes are impaired when a driver聮s
blood alcohol concentration is 50 milligrams of alcohol per 100 millilitres of
blood and impairment increases as the blood alcohol concentration increases.
The appellant聮s blood alcohol concentration at the time of the accident
exceeded 50 milligrams of alcohol per 100 millilitres of blood. The trial judge
recognized the possibility of an outlier at a blood alcohol concentration of 50
milligrams of alcohol per 100 millilitres of blood, but noted that this
prospect diminished as the blood alcohol concentration increased.
[37]
The absence of common indicia of physical
impairment, such as loss of balance and slurred speech, were important. What
was critical, however, was not physical impairment, but rather mental
impairment, that is to say, impairment of the ability to perform the complex
task of driving a motor vehicle. The trial judge concluded that the appellant drove
while impaired:
The circumstantial evidence as to the
accused's driving shows the indicia of mental impairment as described by the
toxicologist. Mr. Stennett was able to travel across Highway 7 to Kipling
without incident, but he failed to perceive the need to slow his speed and he
failed to react to the wet road condition. The evidence shows Mr. Stennett is
not the rare, theoretical outlier as discussed in cross-examination. On the
contrary, his driving errors show the effects of alcohol impairment on the mental
faculties necessary to drive safely that were identified by the toxicologist.
The Crown is not required to prove intoxication or marked impairment.
Considering all of the evidence and the legal test, I find the lack of physical
indicia and other circumstances do not reasonably leave a doubt. The Crown has
proved impairment by alcohol in the mental faculties necessary for safe
driving.
[38]
On the count charging dangerous operation
causing bodily harm, the trial judge expressed his conclusion in this way:
The whole of the evidence including the
circumstances of the multiple collisions shows that the accused drove far in
excess of the speed that was safe for the road conditions that evening. He was
driving while his ability to judge safe speed and react to road conditions was
impaired by alcohol consumption which is a departure from the standard of care
required for safe driving. The Crown has proved beyond a reasonable doubt that
the accused's manner of driving was dangerous to the public and a marked departure
from the standard of care a reasonable person would observe.
The Arguments on Appeal
[39]
The appellant contends that the finding of fact
upon which the convictions are grounded is that the appellant was driving at a
grossly excessive speed at the time of the accident. This finding, the
appellant says, was fatally flawed for three reasons. It was based on a
misapprehension of the evidence. It was contrary to the ASF. And it was
unsupported by the evidence adduced at trial. It follows that neither conviction
can stand.
[40]
The misapprehension of the evidence, the
appellant submits, has to do with the collision reconstructionist聮s reference
to the effect of the speed of the vehicle exceeding the available friction
between the tire and road surface on the loss of control. The report said that
if
the speed of the vehicle exceeded the available friction between the tire and
the roadway, a loss of control over the operation of the vehicle may occur. But
the collision reconstructionist did not say that a speed exceeding the
available friction was the cause of the accident as the trial judge concluded.
The expert pointed to several other factors that might cause a driver to lose
control of their vehicle and said that he could not determine which factor was
at work here.
[41]
In addition, the appellant says, the finding of
excessive speed was contrary to the ASF. There it was clear that the pre-impact
speed of the vehicle could not be determined. It was and remained an unknown.
The report of the collision reconstructionist, which was part of the ASF,
offered no reason for the loss of control of the vehicle and did not say that
excessive speed caused or contributed to the loss of control.
[42]
In the end, the appellant concludes, the
evidence adduced at trial simply cannot support the trial judge聮s conclusion
that excessive speed caused the accident. There were other explanations for the
loss of control. But the trial judge never considered them, nor their impact
upon proof of the essential elements of the offences charged. As a whole, the
evidence falls short of the standard of persuasion required. Acquittals should
be entered.
[43]
The respondent rejects any suggestion of error
in the trial judge聮s conclusion or in the analysis that underpins it.
[44]
The ASF and the language used in the report of
the collision reconstructionist were not so definitive or conclusive that they
foreclosed an examination of the evidence, the available inferences and making
findings of fact concerning the cause of the loss of control. Nothing suggested
that speed was not a factor or that the cause of the loss of control could not
be determined. The absence of direct evidence did not preclude the use of
circumstantial evidence or conclusions based on inferences from that evidence
taken as a whole.
[45]
The trial judge properly concluded that the
phrase 聯travelling at a speed that exceeds available friction聰 meant simply
driving too quickly for the road conditions, given the wetness and the
available friction, irrespective of the actual speed at which the vehicle
travelled. This conclusion was not at odds with the ASF.
[46]
At trial, the respondent continues, it was
uncontroversial that the appellant lost control of the car and that this caused
the accident. It fell to the trial judge to determine, if he could, why the
appellant lost control. The trial judge recognized that this was his task and
that he had to consider other plausible theories or reasonable possibilities.
He did so and concluded that excessive speed was the cause. He was not required
to consider speculative possibilities.
[47]
The respondent says that the trial judge聮s
finding that the appellant drove far in excess of the speed that was safe for
the road conditions was grounded in the evidence adduced at trial. Although it
was not possible to know or find a precise or exact pre-impact speed of the
vehicle, the nature of the accident itself could provide circumstantial
evidence about the speed of the vehicle relative to the road conditions at the
time of the accident. This could inform the decision on whether the appellant聮s
driving amounted to dangerous operation of a motor vehicle.
The Governing Principles
[48]
Several disparate strands of principle woven
together inform the decision on this ground of appeal.
[49]
First, misapprehension of evidence.
[50]
The phrase 聯misapprehension of evidence聰
encompasses at least three errors. The failure to consider evidence relevant to
an issue. A mistake about the substance of an item or items of evidence. And a
failure to give proper effect to evidence:
R. v. Morrissey
(1995), 97
C.C.C. (3d) 193 (Ont. C.A.), at pp. 217-18.
[51]
Where an appellant advances misapprehension
of evidence as a ground of appeal, the reviewing court considers first the
reasonableness of the verdict rendered by the trier of fact. If the verdict is
not unreasonable, then the reviewing court must decide whether the
misapprehension of evidence caused a miscarriage of justice. If the appellant
fails on this ground as well, the court must inquire whether the
misapprehension amounted to an error of law, and if so, whether that error
occasioned the appellant a substantial wrong or miscarriage of justice:
Morrissey
, at pp. 219-20.
[52]
Whether a
misapprehension of evidence renders a trial unfair and results in a miscarriage
of justice requires an examination of the nature and extent of the misapprehension
and its significance to the verdict rendered at trial. Where the mistake
relates to a material part of the evidence and the error plays an essential
part in the reasoning process leading up to the conviction, the conviction is
not grounded exclusively on the evidence and constitutes a miscarriage of
justice:
Morrissey
, at p. 221. This is a stringent standard:
R. v. Lohrer
, 2004 SCC 80, [2004] 3 S.C.R. 732, at para. 2.
[53]
Second, drawing inferences.
[54]
A trier of fact may draw inferences from the evidence
adduced at trial. However, the inferences must be ones that can reasonably and
logically be drawn from a fact or group of facts established by the evidence.
An inference which does not flow logically and reasonably from established
facts is not a permissible inference but rather impermissible conjecture and
speculation:
Morrissey
, at p. 209.
[55]
Third, admissions of fact.
[56]
In proceedings on an indictment, an accused or
their counsel may 聯admit any fact alleged against him聰 for the purpose of
dispensing with proof of that fact. This is the effect of s. 655 of the
Criminal
Code
, R.S.C. 1985, c. C-46
.
These are formal admissions. They dispense with the need to prove the fact
admitted by other evidence. They are binding on the party and may only be
withdrawn with leave of the court:
Castellani v. The Queen
, [1970]
S.C.R. 310, at p. 317;
R. v. Korski
, 2009 MBCA 37, 244 C.C.C. (3d)
452, at paras. 121-22.
[57]
Sometimes, admissions may be informal. They
are not conclusive but rather may be contradicted or explained by evidence
adduced at trial. In essence, they are items of evidence, thus subject to
qualification or rebuttal. Informal admissions may be or include statements of
what a witness could or would say if called to give evidence:
Korski
, at paras. 123-24, citing
Matheson
v. The Queen
, [1981] 2 S.C.R. 214, at
p. 217.
[58]
Informal
admissions may be labelled or designated 聯Agreed Statement of Facts聰, but that
does not make them so. Those that recite what a witness would say retain their
true character, however they may be styled. An agreement about what a witness
could say or would have said is not an agreement that what they say is true:
Korski
,
at para. 125.
[59]
Fourth,
circumstantial evidence and the burden and standard of proof.
[60]
Circumstantial
evidence is about drawing inferences and the range of reasonable inferences
that may be drawn from that evidence. In an assessment of circumstantial
evidence, a trier of fact is required to consider, or be directed to consider,
聯other plausible theories聰 and 聯other reasonable possibilities聰 inconsistent
with guilt. In its effort to establish guilt, the Crown must negate those
聯reasonable possibilities聰. However, the Crown need not negative every possible
conjecture, no matter how irrational or fanciful, which might be consistent
with the innocence of the accused. These 聯other plausible theories聰 or 聯other
reasonable possibilities聰 must be rooted in logic and experience applied to the
evidence or absence of evidence:
R. v.
Villaroman
, 2016 SCC
33, [2016] 1 S.C.R. 1000, at para. 37. See also
R. v. Bagshaw,
[1972] S.C.R. 2, at p. 8.
[61]
Circumstantial
evidence does not have to totally exclude other conceivable inferences. The
trier of fact must not act on alternative interpretations of the circumstances
that it considers unreasonable. Alternative inferences, whether arising from
the evidence or an absence of evidence, must be reasonable, not simply
possible:
Villaroman
, at para. 42. Non-culpable inferences,
based on the evidence or the absence of evidence, must be reasonable when
assessed logically and in light of human experience and common sense:
Villaroman
,
at para. 36.
[62]
The final
point concerns the analysis of a trial judge聮s reasons.
[63]
A reviewing
court must not read or analyze a trial judge聮s reasons as if they were the
final instructions to a jury. Reasons for judgment delivered after a trial
before a judicial trier of fact do not equip jurors with what is required to
reach an informed decision, a verdict in accordance with the evidence and
compliant with the applicable legal principles. Reasons for judgment explain
why the judge reached their verdict. They are not to be read as an enumeration
of the entire deliberative process:
Morrissey
, at p. 204.
The Principles Applied
[64]
As I will explain, I would not give effect to
this ground of appeal.
[65]
This ground of appeal challenges the trial
judge聮s finding that the accident was caused because of the grossly excessive
speed at which the appellant was travelling. This was a marked departure from
the standard of care of a reasonably prudent driver. This finding is said to be
fatally flawed on three grounds:
i.
it is contrary to the ASF;
ii.
it is based on misapprehensions of the evidence;
and
iii.
it is unsupported by any evidence adduced at trial.
[66]
First, the claim that the finding is contrary to
the ASF and, in particular, the report of the collision reconstructionist that
forms part of the ASF.
[67]
In my respectful view, this argument is based on
a mischaracterization of the ASF and, in particular, the Collision
Reconstruction Report.
[68]
The Collision Reconstruction Report is not a
formal admission of fact within s. 655 of the
Criminal Code
. It
follows that it is not conclusive of the facts stated but rather subject to
contradiction or qualification. It is an informal or evidentiary admission, in
essence, a 聯will say聰 or 聯can say聰 statement of what the author of the report
could or would say if called to testify about its subject-matter. It dispenses
with the swearing or affirmation of the witness and the taking of evidence by
admitting what their evidence would be if it were called. Labelling the
document that refers to the report as 聯Agreed Statement of Facts聰 does not
alter the fundamental character of the report.
[69]
As with any item of evidence received at trial,
the trial judge, as the trier of fact, could accept or reject the contents of
the report in whole or in part. He was entitled to draw reasonable inferences
from it. His conclusion that the appellant drove at a grossly excessive speed
in the circumstances was not foreclosed, as the appellant contends, by the ASF
or the contents of the Collision Reconstruction Report.
[70]
Further, to the extent that the Collision
Reconstruction Report represents the opinion of its author, it is debatable
whether it could be the subject of a formal admission under s. 655 of the
Criminal
Code
. The section only permits an accused or counsel to admit 聯any fact
alleged against him聰.
[71]
Second, misapprehension of evidence.
[72]
The appellant urges that the trial judge
misapprehended the collision reconstructionist聮s opinion in concluding that the
appellant聮s speed was so excessive that it amounted to the criminal offence of
dangerous operation. However, when read as a whole, the reasons of the trial
judge do not support the interpretation the appellant advances.
[73]
At trial, it was undisputed that the appellant
lost control of the vehicle he was driving. The trial judge recognized that he
needed to determine, if he could on the available evidence, why this loss of
control occurred. This involved consideration of various possible explanations
and whether it amounted to either offence charged. One such explanation was
that the appellant was driving too fast for the conditions of the road at the
time. The trial judge examined other possible explanations for the loss of
control, such as a curve in the road, sudden braking and a need for steering
correction, and rejected them, as he was entitled to do. Of some assistance on
the issue of degree of departure from the speed safe for the road conditions
were the circumstances of the collisions involved. The conclusion that the
manner in which the appellant was driving amounted to dangerous operation was one
reached on the basis of the evidence as a whole, not on a misapprehension of
any particular item of evidence including the opinion of the collision
reconstructionist.
[74]
Third, the innocent explanations.
[75]
In order to conclude that the only reason that
the appellant lost control of the vehicle was because of the grossly excessive
speed at which he was driving, the trial judge was required to consider whether
all other plausible theories or reasonable possibilities inconsistent with
culpability could account for the accident. These non-culpable inferences could
arise from the evidence or the absence of evidence. However, to be availing,
those inferences must be reasonable, given the evidence and the absence of
evidence, assessed logically and in light of human experience and common sense.
Circumstantial evidence does not have to exclude merely conceivable or possible
inferences, only those that are reasonable and not speculative.
[76]
It remains fundamentally for the trier of fact
to determine whether any proposed alternative way of looking at the case is
reasonable enough to raise a doubt. In other words, it is fundamentally for the
trier of fact to draw the line in each case that separates reasonable doubt
from speculation. The trier of fact聮s assessment can be set aside only where it
is unreasonable. Here, it was reasonable for the trial judge to conclude that
the evidence as a whole excluded all reasonable alternatives to guilt.
Ground #2: Inferring Guilt from Consequences of the
Accident
[77]
The second ground of appeal focuses on the
conviction of dangerous operation causing bodily harm. The complaint is that
the finding of guilt was not based as it should have been on an analysis of the
manner in which the appellant operated the motor vehicle, but rather on the consequences
of the accident.
[78]
An assessment of this alleged error does not
require any further reference to the evidence adduced at trial. A brief
reference to the arguments advanced and the reasons of the trial judge will
provide the background essential to determining the viability of this claim.
The Arguments on Appeal
[79]
The appellant submits that the
actus reus
or conduct requirement in the offence of dangerous operation of a motor vehicle
focuses on the manner in which the vehicle is operated, and the risks
associated with it. The focus is not on the consequences of the manner of
operation.
[80]
The fault element in dangerous operation, the
appellant says, required the Crown to prove that the manner of driving was a
marked departure from the standard of care of a reasonable person in equivalent
circumstances. This is a modified objective standard, more than mere
carelessness or momentary inattention. And it cannot be established by simply
drawing an inference from proof of the conduct requirement.
[81]
In this case, the appellant continues, the trial
judge conflated the consequences of the accident with the manner in which the
vehicle was operated and the extent it departed from the standard of a
reasonable person. In essence, the trial judge inferred both the conduct and
fault elements from the mere fact of the accident and its consequences.
[82]
The appellant argues that the trial judge
undertook no meaningful inquiry into either essential element of dangerous
operation. He did not examine the manner of driving but rather simply found
grossly excessive speed, a conclusion at odds with the ASF and unsupported by
the evidence. Likewise for the fault element. No meaningful inquiry. And a
conclusion of marked departure from nothing more than the consequences of the
accident.
[83]
The respondent rebuffs the appellant聮s claim
that the trial judge聮s finding of guilt of dangerous operation rested on an
impermissible inference from the consequences of the accident.
[84]
A review of the reasons for judgment betrays any
claim that the findings on the conduct and fault elements of the offence were
no more than inferences from the bodily harm caused and property damaged by the
accident. Admittedly, the reasons could have been more expansive. But his
reasons show that he was aware of the tests for both elements and why he was
satisfied that they had been met.
[85]
Read as a whole, together with the colloquies
with counsel during submissions, what emerges clearly is that the trial judge
was keenly aware of the essential elements of the offence and why the evidence
satisfied him that those elements had been established with the required degree
of certainty. The trial judge relied upon his finding of grossly excessive
speed which caused the appellant to lose control of the vehicle as the basis
for his conclusion that the conduct requirement had been met. In connection
with the fault element, the trial judge relied on his finding of impaired
ability to appreciate the risk created by driving too fast in the conditions to
conclude that this was a marked departure from the requisite standard of care.
The Governing Principles
[86]
Like the first ground of appeal, this submission
relates to the count of dangerous operation causing bodily harm, not that of
impaired operation causing bodily harm. The controlling principles are those
associated with the offence of dangerous operation
simpliciter
as
there is no issue of causation in controversy here.
[87]
As the language of the offence-creating
provision makes clear, it is the
manner
in which the motor vehicle was
operated that is at issue, not the consequences of the driving. The
consequences, such as bodily harm, may make the offence more serious. But the
consequences have no say on whether the offence of dangerous operation has been
established:
R. v. Beatty
, 2008 SCC 5, [2008] 1 S.C.R. 49, at para.
46.
[88]
The focus of the inquiry into whether an
accused聮s driving, viewed objectively, was dangerous to the public in all the
circumstances is on the risks created by the manner of the accused聮s driving,
not its consequences such as an accident which ensued from that driving.
However, the consequences of the driving may assist in assessing the risk
involved even though they do not answer the fundamental question of whether the
accused operated the vehicle in a manner which was dangerous to the public:
Beatty
, at para. 46;
R. v. Roy
, 2012 SCC 26, [2012] 2 S.C.R. 60, at paras. 34-35.
[89]
The conduct
requirement or
actus reus
of the dangerous operation offence
requires that the trier of fact be satisfied beyond a reasonable doubt that,
viewed objectively, the accused was driving in a manner that was dangerous to
the public in all the circumstances:
Beatty
, at para. 43.
[90]
The focus of the analysis on the fault
element or
mens rea
is on whether the dangerous manner of driving was
the result of a marked departure from the standard of care which a reasonable
person would have exercised in the same circumstances:
Beatty
, at para. 48;
Roy
, at para. 36.
[91]
In
considering the issue of the fault element, it is helpful to ask two questions.
The first is whether, in light of all the relevant evidence, a reasonable
person would have foreseen the risk and taken steps to avoid it if possible. If
the answer to the first question is 聯yes聰, the second question is whether the
accused聮s failure to foresee the risk and take steps to avoid it, if possible,
was a marked departure from the standard of care expected of a reasonable
person in equivalent circumstances:
Roy
, at para. 36.
[92]
As a general
rule, a trier of fact may infer the required objective fault element or
mens rea
from
the fact that an accused drove in a manner that constituted a
marked departure
from the norm. But this is an inference, not a presumption. And even
where the manner of driving is a marked departure from the norm, the trier of
fact must examine all the circumstances to decide whether it is appropriate to
draw the inference of fault from the manner of driving:
Roy
, at
para. 40.
[93]
The fault element
or
mens rea
of dangerous operation can be established by
momentary excessive speeding on its own, provided, in light of all the
circumstances, it supports an inference that the driving was the result of a
marked departure from the standard of care that a reasonable person would have
exhibited in the same circumstances:
R. v.
Chung
, 2020 SCC 8,
386 C.C.C. (3d) 523, at para. 19;
Roy
, at para. 41.
[94]
Finally, it is not permissible to infer the
marked departure simply from the fact that an accused聮s driving, viewed
objectively, was dangerous:
Roy
,
at para. 44.
The Principles Applied
[95]
In my respectful view, this ground of appeal
fails.
[96]
Like the respondent, I would characterize the
trial judge聮s reasons on the count charging dangerous operation causing bodily
harm as spare. However, the appellant does not suggest that they are
insufficient to permit meaningful appellate review. Nor am I persuaded otherwise
when they are considered as a whole, together with the evidence adduced, the
positions advanced and the exchanges between counsel and the trial judge during
final submissions.
[97]
The trial judge found the conduct element or
actus
reus
established on the basis of the persuasive force of several
circumstances. Speed that was far in excess of the speed that was safe in view
of the existing road conditions. A blood alcohol concentration consistent with
impairment of the ability to carry out the complex tasks associated with the
operation of a motor vehicle, including timely and appropriate responses to the
unpredictable. The circumstances of the accident as indicative of the relative
speed of the vehicle. The conclusion is barren of any reference to the
consequences of the accident to the appellant or his passengers. This
combination of factors and circumstances provided an adequate evidentiary
predicate to ground a finding that the conduct element or
actus reus
of the dangerous operation offence had
been proven beyond a reasonable doubt.
[98]
The trial judge concluded on 聯[t]he whole
of the evidence聰 that the fault element or
mens rea
of dangerous operation had been proven beyond a
reasonable doubt. As with the conduct element, this finding was not
contaminated by any improper consideration of the consequences of the accident
to the appellant and his passengers. As we have seen from
Chung
, excessive speed alone can establish the required
fault element where, in all the circumstances, it supports the inference that
the driving resulted from a marked departure from the standard of care that a
reasonable person would have exhibited in the same circumstances. In this case,
that inference from excessive speed and the conduct element was further
supported by evidence of impairment of the ability to operate a motor vehicle
due to consumption of alcohol.
[99]
I would not
accede to this ground of appeal.
Ground #3: Circular Reasoning
[100]
The final ground of appeal converts elements of its two predecessors
into a complaint that the convictions rested on circular reasoning. The
appellant drove dangerously because his ability to drive was impaired by
alcohol, and because he drove dangerously, his ability to operate a motor
vehicle was impaired by alcohol. In other words, dangerous operation proved
impairment and impairment, dangerous operation.
The Arguments on Appeal
[101]
The appellant says that the evidence of the forensic toxicologist
was generic, based on statistical models. She acknowledged that she could not
provide an opinion about impairment of any individual聮s ability to operate a
motor vehicle after consuming alcohol without testing that person. She did not
perform any tests on the appellant, who showed no physical signs of impairment.
Not everybody with a blood alcohol concentration of 50 milligrams of alcohol in
100 millilitres of blood will be impaired. Yet the trial judge found, based on
this generic evidence, that the appellant聮s ability to operate his motor
vehicle was impaired by his consumption of alcohol.
[102]
According to the appellant, he could not be found guilty of impaired
operation solely on the basis of his own blood alcohol concentration and the
expert聮s generic opinion about impairment at blood alcohol concentrations of 50
milligrams of alcohol in 100 millilitres of blood and beyond. Case-specific
information was required. The trial judge found the appellant guilty of
impaired operation based on his conclusion that the appellant had driven
dangerously. That he drove dangerously proved his ability to operate a motor
vehicle was impaired by alcohol. But, the appellant continues, the trial judge
also reasoned that the appellant drove dangerously because he drove while
impaired when he found as follows: 聯He was driving while his ability to judge
safe speed and react to road conditions was impaired by alcohol consumption
which is a departure from the standard of care聰. This reasoning is circular. In
the result, neither conviction can stand.
[103]
The respondent takes the position that the trial judge did not
engage in circular reasoning in reaching his conclusion that the essential
elements of each offence were proven beyond a reasonable doubt.
[104]
In the respondent聮s submission, the trial judge recognized that
impairment was not only an essential element of one offence, but also relevant
to proof of an essential element of the other. The judge was aware that there
was a conflict between the observations of those who saw the appellant before,
at the scene, and after the accident and the testimony of the forensic
toxicologist. No one saw any physical signs of impairment or intoxication. Yet
the toxicologist testified that impairment of the ability to operate a motor
vehicle begins at a blood alcohol concentration of 50 milligrams of alcohol in
100 millilitres of blood.
[105]
The respondent says that the trial judge dealt with these apparent
inconsistencies. There were differences between the physical indicia of
impairment and impairment of the mental faculties required to drive safely.
Impaired operation only requires proof of the latter. The judge also referred
to the toxicologist聮s evidence that although a person with the appellant聮s
blood alcohol concentration might be able to successfully drive between two
points on a familiar roadway without becoming involved in a collision, their
ability to operate their motor vehicle would be impaired nonetheless. This
impairment would affect their ability to recognize and respond correctly to any
unusual circumstance they encountered.
[106]
In this case, the trial judge drew reasonable inferences from the
evidence. His finding on the conduct element of the dangerous operation count
was not based on any finding of impairment, but rather on a finding that the
appellant lost control of his vehicle because he was driving at a speed well in
excess of what the circumstances permitted. The reference to the appellant聮s
impairment was only considered in relation to the fault element where it was
relevant to the question of whether the appellant聮s conduct amounted to a
marked departure from the standard of care a reasonably prudent driver would
exercise in equivalent circumstances.
The Governing Principles
[107]
The appellant recruits no specific authority to advance this ground
of appeal. Nor does the respondent in answer.
[108]
Whether the essential elements of any offence have been proven
beyond a reasonable doubt requires an assessment of all the evidence tendered
to establish them. Sometimes, an item of evidence may assist in proof of one or
more elements of an offence or of other offences. That it does so does not
involve circular reasoning.
[109]
Evidence of the impairment of a person聮s mental processes caused by
the consumption of alcohol is relevant to both the offences of dangerous
operation of a motor vehicle and of impaired operation of a motor vehicle.
[110]
Evidence of an accused聮s actual state of
mind may be relevant to determine whether the objective fault element in
dangerous operation of a motor vehicle has been proven beyond a reasonable
doubt:
Beatty
, at para. 43;
Roy
, at para. 39. It is well settled that evidence of
impairment by consumption of alcohol is relevant in determining a person聮s
state of mind.
[111]
In
prosecutions for impaired operation of a motor vehicle, the essential element
of impairment is proven if the evidence establishes any degree of impairment
ranging from slight to great:
R. v. Stellato
(1993), 78 C.C.C. (3d) 380 (Ont. C.A.),
at p. 384, aff聮d [1994] 2 S.C.R. 478.
The Principles Applied
[112]
In my respectful view, this ground of appeal cannot succeed.
[113]
The findings of guilt entered in this case
are not the product of circular reasoning. Evidence that the appellant聮s
ability to operate a
motor vehicle was
impaired by the consumption of alcohol was relevant to proving an essential
element of the impaired operation offence. That same evidence was also relevant
in proof of the objective fault element on the count of dangerous operation.
The mere fact the same evidence is relevant and admissible in proof of both
elements exemplifies multiple relevance or admissibility, not circular
reasoning.
The Sentence Appeal
[114]
The appellant submits that the victim
surcharges the trial judge imposed on the appellant were made under a regime
that the Supreme Court of Canada later held to be unconstitutional, so that the
surcharge order should be quashed. The respondent agrees that the surcharges should
be quashed.
[115]
As the victim surcharge regime has been
ruled unconstitutional, I agree that the victim surcharges should be set aside.
Disposition
[116]
For these reasons, I would dismiss the appeal from conviction. I
would grant leave to appeal sentence and allow the appeal from sentence to the
extent of setting aside the victim surcharges.
Released: 聯JMF聰 April 26, 2021
聯David Watt J.A.聰
聯I agree. Fairburn A.C.J.O.聰
聯I agree. Thorburn J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Sunda, 2021 ONCA 319
DATE: 20210512
DOCKET: C66808
Tulloch, Roberts and Trotter JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Rajin Sunda
Appellant
Harpreet Saini, for the appellant
Kelvin Ramchand, for the respondent
Heard and released orally: May
10, 2021 by video conference
On appeal from the conviction entered on
October 23, 2018 by Justice Alan D. Cooper of the Ontario Court of Justice, and
from the sentence imposed on March 14, 2019.
REASONS FOR DECISION
[1]
On April 27, 2021, the appellant abandoned his
appeal from his convictions for possession of heroin for the purpose of trafficking
and simple possession of cocaine. In the exceptional circumstances of this
case, the appellant and the respondent jointly propose that the sentence appeal
be allowed in part and that the remainder of the net twenty month sentence be
stayed, and a one-year period of probation be substituted.
[2]
The sentencing judge accepted that the appellant
was an addict-trafficker. The pre-sentence report highlighted the appellant聮s
addiction to heroin since 2016, as well as the appellant聮s very significant
progress in dealing with his addiction issues. In addition to giving credit for
pre-sentence custody, the sentencing judge noted and gave additional credit for
the 3.5 months that the appellant had spent on restrictive release conditions
without incident. The sentencing judge also ordered a probationary period of 12
months to enable the appellant to continue addiction counselling.
[3]
The appellant filed an inmate appeal on April
10, 2019. He served 6.5 months of his custodial sentence before being released
on October 1, 2019 and has since been on a house arrest interim judicial release
without incident.
[4]
Following a serious mental health episode, on
December 25, 2020, the appellant was admitted to a 60-day in-treatment program.
The appellant was diagnosed with anxiety and depression that was connected to
substance abuse issues. The appellant received a certificate of completion of
this program on February 23, 2021.
[5]
We agree that it is in the interests of justice
that the sentence appeal be allowed as proposed by the parties. While the sentence
imposed was fit, re鈥慽ncarceration of the appellant in the particular
circumstances of this case is not in the public interest and would be
deleterious to his prospects for rehabilitation. The appellant has served a meaningful
portion of his sentence and has not re鈥憃ffended or breached his bail
conditions. He has continued to undergo treatment for his addiction issues. It
is in the public interest that the appellant聮s rehabilitative progress continues
uninterrupted and that he reintegrates to society as a productive and
law-abiding individual.
Disposition
[6]
Accordingly, leave to appeal sentence is
granted, and the remaining custodial sentence is stayed. The existing probation
order is vacated, and a new probation order is to be entered for a period of 12
months, with the compulsory conditions under s. 732.1(2) of the
Criminal
Code
but no other optional conditions, except to continue drug addiction and
related counselling or programming and to provide a consent to confirm compliance
with same. All other ancillary orders as ordered by the sentencing judge remain
in place.
聯M. Tulloch
J.A.聰
聯L.B. Roberts
J.A.聰
聯Gary
Trotter J.A.
聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Tayongtong, 2021 ONCA 281
DATE: 20210503
DOCKET: C67022
Watt, Benotto and Jamal JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Nelson Tayongtong
Appellant
Delmar Doucette, Angela Ruffo and Zahra
Shariff, for the appellant
Mabel Lai, for the respondent
Heard: March 1, 2021 by videoconference
On appeal from the conviction entered on
October 18, 2017, and from the sentence imposed on October 27, 2017 by Justice Leonard
Ricchetti of the Superior Court of Justice,
sitting with a jury
.
Benotto J.A.:
[1]
Aicha Saludares was killed in her home. She had been stabbed 138 times.
Her estranged husband 聳 the appellant Nelson Tayongtong 聳 was arrested and
charged with her murder. While in a courtroom awaiting his matter to be spoken
to, the appellant shouted out that he had killed his wife. Psychiatric
assessments followed. Upon being found fit to stand trial, a jury convicted him
of second-degree murder. He appeals his conviction on the grounds that the
trial judge erred by admitting his in-court statements as evidence and by not
allowing self-defence and provocation to be left with the jury. He also appeals
the 17-year period of parole ineligibility established by the trial judge.
BACKGROUND
[2]
Aicha
Saludares emigrated from the Philippines to Canada with her
family when she was 14 years old. After graduating from high school, she began
working at the Bank of Montreal where she rose to become branch manager. In
2003, she married the appellant while on holiday in the Philippines. He
eventually joined her in Toronto. In 2010, he had a stroke and spent months in
a long-term health care facility. He no longer worked. A series of financial
setbacks occurred, and the couple had to sell the family home. Their marriage
was in difficulty and there were discussions about divorce. Aicha began a
relationship with another man.
[3]
The appellant聮s health appeared to
deteriorate, and he planned to return to the Philippines. In September 2012, he
was days away from departure. Aicha was, at that point, living with her mother
and
her mother聮s boyfriend
in
their apartment in Mississauga. They agreed that the appellant could stay with
them for a few days until he left for the Philippines.
[4]
On September 8, 2012 Aicha聮s mother and her boyfriend left around 6 a.m.
to go to work. When they left, Aicha and the appellant were alone in the
apartment. Surveillance video shows the appellant leaving the building at 7:37
a.m. At 1:30 p.m., the mother聮s boyfriend found Aicha聮s dead body lying face
down on the kitchen floor. A blue-handled knife was in her right hand. She was
left-handed. 聽No one else was in the apartment.
[5]
Aicha
suffered a total of 138 wounds, including: 17
stab wounds and 3 incised wounds to the head; 10 stab wounds and 8 incised
wounds to the neck; 20 stab wounds to the upper and middle back; 10 stab wounds
and 1 incised wound to the chest; 14 stab wounds and 8 incised wounds to the
abdomen; 10 stab wounds and 12 incised wounds to the left arm and hand; 3 stab
wounds and 12 incised wounds to the right arm and hand; and 1 stab wound to the
right leg. One of the stab wounds to the head resulted in the knife tip
breaking off and being lodged in the mandible. None of the twelve knives found
in the kitchen of the apartment, including the blue-handled knife found in Aicha
聮s non-dominant
hand, was the source of the
broken tip.
[6]
Days later, the appellant was found passed out in a
convenience store and admitted to hospital. He was arrested on September 19,
2012 and charged with murder. He has remained in custody.
[7]
On November 13, 2014, the court ordered an
assessment to determine whether he was fit to stand trial. He was assessed by
Dr. Colleton at the Centre for Addiction and Mental Health and found fit to
stand trial.
[8]
The appellant was to attend court on March 11, 2015,
for a routine 聯to be spoken to聰 appearance. His counsel said that before court,
the appellant had exhibited strange behaviour and wanted counsel fired. Later,
while in court with his counsel, and waiting for his case to be called, he
interrupted another matter as follows:
Appellant: I聮m guilty.
The Court: All right. I聮ll speak to you in a
moment, sir. Could the - is the tagalog interpreter here? All right. If you
could just indicate to this gentleman that I聮m going to deal with his...
Appellant: I聮m guilty.
The Court: 聟 case in a couple of - I聮m going to
deal with his case in a couple of minutes?
Appellant: I聮m so sorry. I want to tell the truth
that I聮m guilty, what happened between me and my wife. I love her. Because....
The Court: Okay. All right. Sir....
Appellant: I love her so so much. But she don聮t
love me anymore. She pretended everything she do to me.
The Court: Okay. Sir
Appellant: That聮s why I tell the truth.
The Court: All right. I聮m going to deal with your
case
Appellant: Tell the truth that I am the one who
killed my wife.
The Court: All right Mr. Tayongtong, I聮m going to
speak to your case in a couple of moments. I want you to sit down, please.
Minutes later a second exchange took place:
Appellant: Justice
The Court: All right. We聮ll deal with Mr.
Tayongtong if the
Appellant: I聮m guilty. That聮s the truth. Justice,
I聮m guilty.
The Court: Thank you.
Appellant: That is the truth.
The Court: Thank you. All right.
Appellant:
Justice, I聮m guilty. I tell the truth. Justice, I聮m guilty. I am so sorry for
what happened between me and my wife, what happened to us. I聮m telling the
truth. I don聮t want to lie anymore. It聮s better for me to tell the truth. It聮s
better for me to tell the truth. Justice, I聮m guilty.
The Court: Thank you.
[9]
The presiding judge immediately conducted a summary
fitness inquiry. The appellant聮s responses demonstrated an understanding of the
charges, but the judge nonetheless ordered a fitness assessment pursuant to s.聽672.1(1)(a)
of the
Criminal Code
. The
matter was adjourned to March 17 when Dr. Colleton would be available at the
courthouse to conduct the assessment.
[10]
On March 17, Dr. Colleton observed that the appellant聮s mental health
had deteriorated and that he demonstrated a 聯circular and self-contradictory
thought process聰. He concluded that the appellant may not be able to instruct
counsel and his fitness to stand trial was in question. The judge ordered a 60
day in-hospital assessment pursuant to s. 672.14(3) of the
Criminal Code
.
[11]
On May 14, 2015, Dr. Daly reported on the appellant聮s fitness. He
concluded that the appellant was likely feigning mental illness and was fit to
stand trial.
[12]
In August 2016, his fitness again became an issue and another in-hospital
assessment was conducted, following which the judge made a make-fit order as
requested by the Crown. The appellant was treated by Dr. Prakash. The appellant
was agitated, not cooperative with Dr. Prakash and refused to answer his
questions. Dr. Prakash said that good psychological testing could be done 聯once
he is calmed down, whether with oral medications or injections聰. Dr. Prakash
added that he was torn between Dr. Daly聮s view that he was malingering and
whether he had a psychotic disorder rendering him unfit. Dr. Prakash testified
that he had not been able to engage him at all.
[13]
The appellant was treated with anti-psychotic medication while subject
to a series of keep-fit orders.
[14]
The trial began before a jury on September 11, 2017.
THE RULINGS AT TRIAL
[15]
There were two rulings made by the trial judge at issue in this appeal:
the admissibility of the statements on March 11, 2015; and whether there was an
air of reality to self-defence and provocation.
The Statements of March 11
[16]
The trial judge ruled that the appellant聮s
utterances on March 11 were not protected statements.聽 They were not made to a
person in authority. They were 聯spontaneous, volunteered statements made in a
public courtroom to the presiding justice聰. Their admissibility was not impacted
simply because the Crown and the investigating officer happened to be in the
public place at the time.
[17]
The appellant聮s challenge to admissibility, based on
Charter
principles failed. The defence had
not established, on a balance of probabilities, that the appellant did not have
an operating mind on March 11, 2015. Even if the confessions rule applied, the
trial judge 聯would nevertheless have found the Crown had established beyond a
reasonable doubt that the appellant had an operating mind on March 11, 2015聰. He
relied on Dr. Daly聮s assessment. He concluded that Dr. Prakash did not assist
the appellant given the failure of the appellant to engage with him.
[18]
The March 11 statements were admitted.
[1]
Self-defence and provocation
[2]
[19]
The appellant asked the court to instruct the jury on self-defence and
provocation. He argued that an inference could be drawn that Aicha had the
knife in her hand and was threatening the appellant with it. The trial judge
ruled that there was no air of reality to support an instruction on either self-defence
or provocation. He explained:
路
Aicha must have been on the floor when she was
stabbed. This is evident from the fact that the blood spatter was almost all
below the countertops. She could not therefore have been standing with the
knife in her hand.
路
The blue-handled knife was in her non-dominant
hand. It had her blood on it. There was overwhelming evidence that it was
placed there after her death:
o
The placement of the blade was unusual in that
it is standing straight up as though to keep it on its edge.
o
There was no aspirated blood from Aicha on the
blade but there was everywhere else.
o
The blood spatter pattern was uniform even when
the knife was removed. There was no spot (or void) behind the blade with no
blood as there would have been had she been holding it before she died.
o
Aicha had blood over her entire hand. The handle
marks left on her hand were not consistent with the knife having been grabbed
by her while alive.
路
The appellant聮s blood was found in the apartment.
路
The appellant was found to have small, healed cuts
on his fingers and some healed scratches.
路
Aicha had several defensive wounds on her hands and
arms.
[20]
Following the air of reality test set out in
R. v. Cairney
, 2013 SCC 55, [2013] 3
S.C.R. 420, the trial judge considered the elements of self-defence and
provocation.
[21]
He found there was no reasonable inference available to the jury to
conclude that Aicha first attacked or threatened the appellant. In any event,
it would 聯defy all logic聰 that the appellant did not use more force than
necessary to defend himself. She suffered 138 stab wounds. Further, there was
no evidence that would meet the criteria of any of the
Criminal Code
provisions
dealing with self-defence.
[22]
With respect to provocation, he found that, without any evidence as to
what, if any, wrongful act was allegedly done by Aicha, there was no basis for
the jury to determine whether, objectively, it would cause a reasonable person
to lose control. Nor was there any evidence of the subjective element. There was
simply a vacuum that could not be filled by speculation.
ISSUES
(1)
Did the trial judge err by
admitting the March 11, 2015 utterances?
(2)
Did the trial judge err by
concluding that there was no air of reality to self-defence or provocation?
(3)
Did the trial judge err by
imposing a 17-year period of parole ineligibility?
ANALYSIS
(1)
Did the trial judge err by admitting the March 11, 2015 utterances?
[23]
The
appellant raises four reasons to support his submission that the statements
should not have been admitted.
[24]
First,
the appellant submits that the March 11 statements were protected statements
and therefore inadmissible pursuant to s. 672.21(2) of the
Criminal
Code
because they were made during the course and for the purposes of an assessment
or treatment directed by a disposition. He urges a broad and liberal
interpretation of the protection. He submits that the statements were so
closely linked to the
Taylor
test
inquiry that they are part of the assessment:
R. v. Taylor
(1992)
, 11 O.R. (3d) 323 (C.A.).
[25]
Second,
he submits that the statements were analogous to an aborted guilty plea.
Relying on
Thibodeau v. The Queen
, [1955]
S.C.R. 646, he submits that when a guilty plea is entered and then permitted to
be withdrawn, it cannot be adduced at a subsequent trial.
[26]
Third,
he submits that the statements were not the product of an operating mind and
thus it creates a great unfairness to the appellant to have the statement
admitted. Fitness, he submits, is a 聯fluid issue聰 and the fact that the
appellant was fit after March 11 does not mean he was fit on March 11. Indeed,
the judge found reasonable grounds to order a fitness assessment on that day.
[27]
Finally,
the probative value of the statement was outweighed by its prejudicial effect.
By admitting the statement into evidence, the trial judge effectively
eliminated potential defences.
[28]
I
do not agree that the statements fall within the protection of s. 672.21(1)
which provides:
672.21
(
1
) In this section,
protected statement
means a statement made by the accused during the course and for the purposes of
an assessment or treatment directed by a disposition, to the person specified
in the assessment order or the disposition, or to anyone acting under that
person's direction.
[29]
The
appellant聮s statements were made in open court, during a 聯to be spoken to聰
appearance. There was no assessment underway. They were made before an
assessment had been ordered and not during the course of or for the purposes of
an assessment or treatment. They were not made to a person specified in the
assessment.
[30]
Nor
do I accept the analogy to a withdrawn guilty plea. The appellant did not
attempt to plead guilty. He had not been arraigned. There was no plea inquiry,
no reading of the allegations and no judicial consideration of the plea. The
appellant聮s utterances were interrupting other ongoing matters.
[31]
The
trial judge concluded that the appellant had an operating mind when he made the
statements. He relied on the opinion of Dr. Daly who authored the May 14 report.
Dr. Daly said that the appellant surpassed the fitness threshold and his
purported symptoms are feigned. The trial judge was entitled to rely on this
evidence. The trial judge considered and rejected Dr. Prakash聮s conclusions
because the appellant did not engage with him.
[32]
Finally,
while the evidence did bolster the Crown聮s case, and increase the risk of
conviction, it does not follow that the probative value is outweighed by the
prejudicial effect. Evidence is prejudicial if its reception would threaten
trial fairness, or there is a real risk that the jury will misuse the evidence:
R. v. Frimpong
,
2013
ONCA 243, 106 W.C.B. (2d) 326, at para. 18. Those factors do not exist here. There
was no scope for misuse by the jury as the evidence included the entire context
of the statement. Also, at the request of the appellant聮s trial counsel, the
statement was edited to eliminate the implication of the mental health issues.
[33]
The
trial judge did not err by admitting the March 11, 2015 utterances.
(2)
Did the trial judge err by concluding that there was no air of reality
to self-defence or provocation?
[34]
The
appellant聮s theory with respect to self-defence and provocation rests with the
blue-handled knife.
[35]
There
are three aspects of the forensic evidence that the appellant says allow for
the inference that Aicha was holding the knife before she died:
(a)
The blood
stains lower than the countertops could only have resulted from stab wounds
which caused bleeding. There could have been stab wounds 聳 such as a stab to
the heart 聳 that would not have caused immediate bleeding. Aicha could have
been stabbed in the heart while standing. This would have produced no immediate
blood loss and would explain why there was no blood spatter above the
countertop height. The forensic evidence could not identify the sequence of
stab wounds. Consequently, she could have endured a fatal stab wound while
standing with a knife in her hand.
(b)
If she had
been stabbed in the heart while standing it could have resulted in her
immediate death and a cadaveric spasm causing her to grasp the knife she had
been holding.
(c)
The
void of aspirated blood behind the knife could have been the result of her movement
while on the ground. There was evidence of her hair in various places in the
kitchen indicating that her body was moving while she was being stabbed on the
ground. This could explain the lack of a void and eliminate the inference that
the knife was placed in her hand after her death.
[36]
Ultimately,
the appellant submits that, by finding that the knife was placed in Aicha聮s
hand after her death, the trial judge usurped the function of the jury. The
jury could have found that the knife was in her hand before her death and there
is thus an air of reality to self-defence and provocation.
[37]
Whether
there is an air of reality to a defence is a question of law, reviewed on a
correctness standard:
R. v. Cinous
, 2002 SCC
29, at para. 55. The air of reality test will be satisfied if there is evidence
on the record upon which a properly instructed jury acting reasonably could
acquit:
Cinous
, at para. 51.
[38]
A
properly instructed jury acting reasonably could not have acquitted on the
basis of self-defence or provocation, even when the evidence is taken at its
highest. As the trial judge concluded, the appellant聮s theories are pure speculation.
聽Even if the jury believed that Aicha had a knife and threatened the appellant
with it, there were still significant gaps in the evidence about the subjective
and objective components of the tests for self-defence and provocation.
[39]
Consider
the elements of self-defence under each section of the
Criminal
Code
:
路
Section 34: there was no evidence that Aicha had first attacked
or threatened the appellant with a knife. Further, as the trial judge said, it
was not possible to conclude that, if she did attack first, the response was no
more than necessary to defend himself. In addition, there was no evidence about
the sequence of events or about the appellant聮s state of mind.
路
Section 35: there was no evidence about the appellant聮s state of
mind, or whether he retreated as far as reasonably possible.
路
Section 37: it is impossible to conclude that the appellant used
no more force than necessary to prevent the assault.
[40]
The
jury would have had to speculate about events surrounding her death and the
appellant聮s state of mind.
[41]
Similarly,
there was no evidence with respect to the subjective and the objective analysis
required to make a determination with respect to provocation, including whether
the wrongful act was sufficient to deprive an ordinary person of self-control,
whether the appellant acted in response to the provocation, and whether the
appellant acted on the sudden before there was time for his passion to cool:
R. v. Tran
, 2010 SCC 58, at paras. 25, 36.
[42]
The
evidence does not support either defence. Aicha suffered 138 knife wounds,
contusions, abrasions and defensive wounds. The appellant had a few scratches.
The knife was in her right hand. She was left-handed. Dr. Herath, the forensic
pathologist, and Det. Hofstetter, the blood pattern analyst, testified that in
their opinion the knife was placed in her hand after her death.
[43]
The
trial judge did not err by concluding that there was no air of reality to
self-defence or provocation.
(3)
Did
the trial judge err by imposing a 17-year
period of parole ineligibility
?
[44]
The
appellant submits that the period of parole ineligibility is unfit. He says the
trial judge failed to consider that the appellant had suffered a stroke and had
no history of domestic violence.
[45]
The
trial judge did refer to an absence of prior domestic abuse. But this is not a
mitigating factor.
[46]
The
trial judge was aware of the appellant聮s stroke and concluded that little
weight should be given to this fact. His reasons explain:
The Defence points to Mr. Tayongtong聮s stroke in
2010 to submit that he is disabled. I am not persuaded this is a significant
factor. First, the evidence is that, during the few months leading up to the
murder, Mr. Tayongtong took martial arts lessons, went to the gym, walked
frequently, and was capable of giving massages. In addition, Dr. Chan聮s
evidence was that this was a mild stroke and had seen him attend numerous
medical appointments unassisted. Lastly, given the amount of strength and
effort needed to commit this murder, it belies any finding that Mr. Tayongtong
was physically disabled to the extent it impacts his sentence.
There is also evidence that Mr. Tayongtong used a
cane when necessary to persuade a doctor that he needed social assistance. But
there is also some evidence that Mr. Tayongtong had used a cane on at least
another occasion. I am not prepared to go so far as to find that the evidence shows
Mr. Tayongtong was a manipulative man when it came to his physical abilities.
[47]
An appellate court may only interfere with a sentence if there is an
error of law or principle that has an impact on the sentence or the sentence is
demonstrably unfit:
R. v. Lacasse
, 2015 SCC 64, [2015] 2 S.C.R. 1089, at para. 11. I see no error in
principle in the trial judge聮s discretionary conclusion that the parole ineligibility
period should be 17 years. The brutality of the murder of a domestic partner
and the lack of mitigating factors permit the court to impose a term of up to
17 years:
R. v. French
,
2017 ONCA 460, at para 31. There was no error in principle and the
sentence was fit.
CONCLUSION
[48]
I would dismiss the appeal as to conviction. I would grant leave to
appeal the sentence but dismiss the sentence appeal.
Released: May 3, 2021 聯DW聰
聯M.L. Benotto J.A.聰
聯I agree David Watt J.A.聰
聯I agree M. Jamal J.A.聰
[1]
There was also a March 17, 2015 statement which the trial judge
ruled admissible. The Crown did not seek to admit it at trial and it does not
form part of this appeal.
[2]
Self-defence and provocation in this case are governed by
the former provisions, not the current scheme.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Tenthorey, 2021 ONCA 324
DATE: 20210518
DOCKET: C67163
Feldman, Paciocco and Coroza
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Nathan Lowell Tenthorey
Appellant
James Lockyer and Jessica Zita, for the
appellant
Elena Middelkamp, for the respondent
Heard: March 10, 2021 by videoconference
On appeal from the conviction entered on
April 5, 2019 by Justice Kirk W. Munroe of the Superior Court of Justice,
sitting with a jury.
Paciocco J.A.:
OVERVIEW
[1]
Nathan Tenthorey was tried before a jury and
convicted of committing an aggravated assault on Robert Brochu, contrary to s.
268 of the
Criminal
Code
of
Canada
, R.S.C.
1985, c. C-46. He appeals that conviction.
[2]
Mr. Tenthorey聮s first ground of appeal is that
the trial judge erred in law by failing to instruct the jury on the included
offences of (a) simple assault, contrary to s. 266 of the
Criminal
Code
,
and (b) assault causing bodily harm, contrary to s. 267(b) of the
Criminal
Code
.
[3]
In making this argument, Mr. Tenthorey relies
upon s. 662(1) of the
Criminal
Code
, which provides
that a person charged with an offence is in jeopardy of being convicted not
only of the charged offence, but alternatively of any 聯included聰 offences. He
maintains that, in law, the offences of simple assault and assault causing
bodily harm are included offences in a non-particularized charge of aggravated
assault, the charge he faced. He submits that where (1)
legally
, an
offence qualifies as an included offence, and (2)
factually
, there is a
realistic possibility a jury could find the accused committed that included
offence but not the charged offence, a trial judge is required to instruct the
jury on the included offence. He argues that in his case both preconditions
were met, yet the trial judge failed to charge the jury on the offences of
simple assault and assault causing bodily harm. Mr. Tenthorey聮s position is
that, had the jury known he was also being tried for simple assault and assault
causing bodily harm, they may have found it more suitable to find him guilty of
one of those less serious offences, rather than aggravated assault.
[4]
Mr. Tenthorey also argues, based on the line of
authority following
R. v. Soobrian
(1994), 96 C.C.C. (3d) 208 (Ont. C.A.),
that the trial judge erred in law by failing to give a 聯
Soobrian
limiting
instruction聰 directing the jury not to draw an adverse inference against Mr.
Tenthorey based on the Crown聮s impeachment of one of its own witnesses, Jessica
Gregory.
[5]
For reasons that follow, I would allow the
appeal on the included offences ground, but not on the
Soobrian
limiting
instruction ground. I would set aside Mr. Tenthorey聮s aggravated assault conviction
and order a new trial.
MATERIAL FACTS
Events prior to the assault on Mr. Brochu
[6]
The assault on Mr. Brochu occurred at a house
party in the early morning of July 23, 2016 in Lakeshore, Ontario (formerly
known as Belle River). The events relevant to the assault began hours earlier
at a local festival. Mr. Tenthorey and Mr. Brochu were at the festival, as were
many of the party guests later present at the time of the assault. Everyone called
as a witness to the assault had been drinking that evening.
[7]
There had been tension between Mr. Tenthorey and
Mr. Brochu at the festival. Mr. Tenthorey聮s girlfriend
[1]
, Ms. Gregory, had complained
to Mr. Tenthorey that Mr. Brochu touched her inappropriately while they were
both in the festival聮s beer tent. Mr. Tenthorey confronted Mr. Brochu at the
festival, but the encounter ended peacefully.
[8]
After the festival, Mr. Tenthorey and Ms.
Gregory crossed paths with Mr. Brochu again at the house party, which was at the
home of John Markakis. At the party, an incident involving Ms. Gregory, Mr.
Brochu, and Jonathan Snider occurred in the kitchen area of the house. This
incident led to the assault on Mr. Brochu that is the subject of this appeal,
and it led to Mr. Snider being knocked to the ground.
Mr. Brochu聮s injuries
[9]
During the altercation, Mr. Brochu sustained aggravated
facial injuries. When treating Mr. Brochu, Dr. Morhaf Sadek observed 聯blunt
force injuries聰, namely, fractures to 聯four different facial bones聰. Dr. Sadek said
Mr. Brochu聮s facial injuries were caused by 聯more than one聰 instance of 聯blunt
force trauma聰. While it was impossible for Dr. Sadek to describe the exact
degree of force used, he noted that not all blunt force trauma is forceful
enough to cause bone fractures.
Evidence relating to the assault on Mr.
Brochu
[10]
Whether because of the alcohol consumption of
the witnesses, or for other reasons, it is fair to say that the Crown was
challenged in presenting a description of the entire confrontation in which Mr.
Brochu was injured. Three of the Crown witnesses, including Mr. Snider,
testified they had no memory of the events that evening due to alcohol
consumption. None of the others could provide a complete narrative of the
entire assault on Mr. Brochu.
[11]
Mr. Brochu testified that he did not see who assaulted
him. He stated that the confrontation in the kitchen began with Ms. Gregory hitting
Mr. Snider. Mr. Brochu said he was trying to intercede to separate Ms. Gregory
and Mr. Snider when a man whom Mr. Brochu could not identify began punching Mr.
Snider. Mr. Brochu said he then saw Mr. Tenthorey come over. He expected Mr.
Tenthorey to 聯pull his girlfriend off聰 of Mr. Snider. Mr. Brochu testified that
he himself was then 聯clubbed across the side of the face聰. He did not see the
blow, only a flash, but he concluded that he had been assaulted by Mr.
Tenthorey because he was struck on the left side of his face and Mr. Tenthorey had
been the only person in the room to his left side.
[12]
Mr. Brochu testified that after being struck, he
fell to the ground and someone administered numerous kicks to his face, which
he described as 聯soccer聰 style kicks. He could not look up during the attack to
see who was attacking him. He could see only shoelaces and a big sneaker. He
assumed it was Mr. Tenthorey who was kicking him.
[13]
Mr. Brochu testified that he got up when the
kicking ended and saw Mr. Tenthorey standing as though they were going to 聯square
off and have another fight.聰
[14]
During his examination-in-chief, Mr. Markakis
testified that he saw Mr. Brochu on the ground but that there were 聯two other
guys fighting beforehand聰. He identified the two men as Mr. Snider and a man
named 聯Daniel聰. He said those two were fighting in or near the bathroom, right
next to the kitchen. Mr. Markakis testified that he was trying to break up that
fight, and so was Mr. Brochu, who was behind Mr. Markakis at the time. Mr.
Markakis testified he was not present when Mr. Brochu was assaulted but that he
saw Mr. Brochu on the ground with his nose bleeding and tried to help him, but that
Mr. Brochu had refused his help.
[15]
Mr. Markakis further testified that he later saw
Mr. Brochu 聯trying to figure out who hit him聰, and that Mr. Brochu and Mr.
Tenthorey eventually went outside where Mr. Markakis observed the two men 聯trying
to fight each other聰.
[16]
While being cross-examined by Mr. Tenthorey聮s
trial lawyer (who did not argue the appeal before us), Mr. Markakis said that
when he saw Mr. Brochu on the ground, Mr. Tenthorey was 聯standing right by him聰.
Mr. Markakis agreed with the suggestion that he had no idea who injured Mr.
Brochu. He initially said he did not know whether Mr. Tenthorey had done
anything to Mr. Brochu, but then said, 聯I think I only seen [Mr. Tenthorey] 聳 I
聳 I think I only seen him 聳 sorry. I think I only seen one kick. That聮s it.聰 He
said that the kick was into Mr. Brochu聮s face, 聯like kicking 聟 a soccer ball聰.
When asked if he was sure about this, Mr. Markakis said, 聯聭[c]ause after I 聟
broke up the fight, I remember saying, 聭Why 聳 why聮d you kick him to his face聮聰.
Mr. Markakis then agreed with the suggestion that he was unsure whether he saw
Mr. Tenthorey kick Mr. Brochu because he had been drinking, the event occurred 聯four
years聰 before, and people had told him 聯a lot of stuff since then about this聰.
[17]
Ms. Gregory was also called as a witness by the
Crown. She testified that Mr. Brochu had been touching her in the kitchen and
she punched him in the chest. Mr. Tenthorey was outside on the patio at the
time. Ms. Gregory said Dylan Lafreniere and Mr. Snider began punching Mr.
Brochu. At this point, she said Mr. Tenthorey came into the kitchen and led her
away from the altercation.
[18]
Mr. Lafreniere did not testify at the trial.
[19]
As indicated, Mr. Snider testified that he could
not remember what happened.
[20]
Billie-Jo Lemire testified that Mr. Brochu and
Mr. Snider were 聯hitting聰 on her and Ms. Gregory at the party. Jesse Broadfoot,
Ms. Lemire聮s boyfriend at the time, told Mr. Brochu and Mr. Snider to stop. She
said there were two 聯loud bangs聰 and she saw Mr. Brochu and Mr. Snider on the
ground. She saw that Mr. Snider was dazed but uninjured. She then heard a third
bang coming from the kitchen and saw Mr. Brochu bleeding from the nose. She
said she did not know who hit the men.
[21]
Ms. Lemire also testified that she subsequently
saw Mr. Brochu outside, attempting to fight Mr. Tenthorey. She heard Mr.
Tenthorey trying to de-escalate the situation and apologizing to Mr. Brochu for
something.
[22]
Mr. Brochu聮s brother, Jean-Paul, who was not at
the party, testified that the morning after Mr. Brochu was assaulted he began
to make inquiries about what had happened, including in a phone call to Mr.
Markakis. Shortly after the call with Mr. Markakis, Jean-Paul received a phone
call from a man who identified himself as 聯Nate聰. Jean-Paul testified that Nate
told him that he had 聯smashed my brother聮s face in because he hit on his
girlfriend.聰
[23]
Jean-Paul further testified that during his call
with Nate a woman was shouting in the background that she was going to press
charges against Jean-Paul聮s brother for sexual assault.
[24]
Mr. Markakis confirmed that Jean-Paul had called
him to inquire about what had happened at the party and that Jean-Paul聮s phone
number was visible to him through caller ID. Mr. Markakis also said he gave Jean-Paul聮s
phone number to Mr. Tenthorey.
[25]
Ms. Gregory denied being part of any such phone
conversation.
Events relevant to a
Soobrian
limiting
instruction
[26]
During Ms. Gregory聮s testimony, the trial Crown (who
did not argue the appeal before us) was given leave pursuant to ss. 9(1) and
9(2) of the
Canada
Evidence
Act
, R.S.C. 1985,
c. C-5 to cross-examine Ms. Gregory about the prior inconsistent testimony she
had given at Mr. Tenthorey聮s bail hearing. Specifically, at trial Ms. Gregory provided
the above-described account of the assault against Mr. Brochu, yet at Mr. Tenthorey聮s
bail hearing she testified she was not present during the assault on Mr. Brochu
and therefore had not seen what happened.
[27]
When requesting leave to cross-examine Ms. Gregory
pursuant to s. 9(2) of the
Canada
Evidence
Act
,
the trial Crown made clear that he would not suggest to the jury that Ms.
Gregory was 聯colouring聰 her evidence in favour of Mr. Tenthorey such that Mr.
Tenthorey 聯is somehow in cahoots聰. He simply wanted her evidence disregarded
and expected the trial judge 聯would give a specific charge聰.
[28]
At the end of the s. 9(2)
voir
dire
,
the trial Crown requested a ruling under s. 9(1) of the
Canada
Evidence
Act
that Ms. Gregory was an adverse witness. As a result, a
voir
dire
regarding s. 9(1) followed. During the s. 9(1)
voir
dire
, the trial judge said he was 聯looking for聰 an instruction to
the effect that 聯this is not evidence of any collusion or any linking of 聟 what
[Ms. Gregory聮s] giving evidence [of] to [Mr. Tenthorey].聰
[29]
After delivering his s. 9 rulings in favour of
the Crown, the trial judge shared with counsel a draft mid-trial instruction he
had prepared and asked for their input. The draft mid-trial instruction
contained the following clause addressing the
Soobrian
concern:
This cross-examination on a previous statement
can be used on the issue of credibility of that witness, but it is not to
reflect on the accused person as indicating that they are not credible or are
guilty.
[30]
Mr. Tenthorey聮s trial counsel told the trial
judge he wanted to reserve his comments on the proposed charge until after the
Crown聮s cross-examination of Ms. Gregory was complete. During the further exchange
that followed, the trial judge decided not to include the proposed mid-trial
Soobrian
limiting instruction because he did not yet know whether Mr. Tenthorey would
testify. The trial judge provided the balance of the proposed mid-trial
direction relating to the proper use of prior inconsistent statements.
[31]
The trial Crown then confronted Ms. Gregory with
her inconsistent testimony. She attempted to explain the inconsistency by
claiming that she thought she had been called at the bail hearing to testify
only about the assault allegedly committed by Mr. Tenthorey, not about 聯the
whole night聰.
[32]
Later that afternoon, after a recess during the
testimony of another witness, the trial judge noted that he had not gotten back
to Mr. Tenthorey聮s trial counsel as to whether there should be a further
mid-trial instruction relating to Ms. Gregory聮s testimony. Mr. Tenthorey聮s trial
counsel responded: 聯Well, no. I think it聮s 聟 just as easy if you leave it to
the end because again, [Ms. Gregory聮s] evidence is fairly close to the end [of
trial] in any event.聰 No further mid-trial instruction was provided.
[33]
In his closing address, the trial Crown
submitted the following to the jury:
Ms. Gregory has no respect for the oath. She聮s
making up her evidence. She is trying to protect her fianc茅 [Mr. Tenthorey].
Her testimony as to 聳 her explanation for that testimony [at the bail hearing]
rings very hollow, and [I] say in the strongest terms 聳 but it聮s up to you 聳
that you should reject her evidence out of hand.
[34]
Nothing was said by anyone about a
Soobrian
limiting instruction during the pre-charge conference. Nor was a
Soobrian
limiting
instruction included in any of the draft charges, or in the
final charge to the jury.
The jury charge on the offences to be
considered
[35]
Section 268(1) of the
Criminal
Code
sets out four distinct ways in which an aggravated assault can be committed,
by: (1) wounding, (2) maiming, (3) disfiguring, or (4) endangering the life of
another. It does so in simple terms:
268
(1)
Everyone commits an aggravated assault who wounds, maims, disfigures or
endangers the life of the complainant.
[36]
The aggravated assault charge in the indictment
against Mr. Tenthorey did not specify the mode of committing aggravated assault
that was being alleged. It was a general, non-particularized charge. It simply
said that 聯he, on or about the 23
rd
day of July, 2016, at the town
of Lakeshore in the said Southwest Region, did commit an aggravated assault on
Robert Brochu聰, contrary to s. 268 of the
Criminal
Code
.
[37]
Initially, the trial judge anticipated charging
the jury on the included offences of simple assault, contrary to s. 266 of the
Criminal
Code
, and assault causing bodily harm, contrary to s. 267 of the
Criminal
Code
. The draft charges the trial judge prepared included
instruction on both offences, but he indicated when he shared the draft charges
with counsel that he had yet to finally decide whether to give such instructions.
[38]
In the initial pre-charge conference on April 2,
2019, Mr. Tenthorey聮s trial counsel took the position that simple assault,
contrary to s. 266 of the
Criminal
Code
, was certainly
an included offence in the aggravated assault charge Mr. Tenthorey faced. However,
he was unsure whether assault causing bodily harm, contrary to s. 267, was an
included offence as a matter of law. The trial judge decided to leave that
question 聯open聰 for further discussion in subsequent pre-charge conferences.
[39]
The next day, April 3, 2019, Mr. Tenthorey聮s trial
counsel advised the trial judge that his research had led him to conclude that,
as a matter of law, assault causing bodily harm is not an included offence in a
non-particularized charge of aggravated assault. He said this despite
acknowledging that leaving the offence of assault causing bodily harm with the
jury might benefit Mr. Tenthorey. As he wanted his client tried according to
law, Mr. Tenthorey聮s trial counsel advised that he was not seeking a charge on
assault causing bodily harm, but reiterated his request that the trial judge charge
the jury on the included offence of simple assault.
[40]
The trial Crown disagreed with Mr. Tenthorey聮s
trial counsel about whether assault causing bodily harm was an included
offence, as a matter of law. The trial Crown advised the trial judge that it
was.
[41]
However, as he had done the day before, the trial
Crown asked the trial judge not to charge the jury on either assault causing
bodily harm or simple assault. He submitted that the trial judge should give an
聯all or nothing聰 charge. It was the trial Crown聮s position that factually there
was no view of the evidence, when considered as a whole, that could cause the
jury to acquit of aggravated assault but convict of either of the two included
offences. The trial Crown submitted that the only evidence others were involved
in the assault came from Ms. Gregory and, if the jury believed or were left in
doubt about whether to accept her version of events, 聯obviously that聮s complete
exculpation聰. He submitted that, in the circumstances, it would cause 聯mischief
in the thinking of the jury聰 to instruct them on the included offences.
[42]
The trial judge urged Mr. Tenthorey聮s trial counsel
to explain what reasonable view of the evidence could lead the jury to convict
on either of the included offences. Counsel responded that the Crown had not
proved beyond a reasonable doubt that Mr. Tenthorey was the only one who had
administered blows to Mr. Brochu. Since it was open to the jury to find that
Mr. Tenthorey only punched Mr. Brochu once, or kicked him once, a simple
assault verdict was available. During the colloquy, the trial judge expressed disagreement
with this submission, commenting that 聯[t]here聮s no evidence that [Mr.
Tenthorey] was involved and then other people jumped in聰. He challenged Mr. Tenthorey聮s
theory that there may have been more than one assailant as speculative and
inconsistent with the defence position that no charge was required on joint
responsibility.
[43]
On April 4, 2019, the trial judge gave an oral
ruling, declining to charge the jury on either assault causing bodily harm or
simple assault. Specifically, he held that, as a matter of law, assault causing
bodily harm was not an included offence in this case 聯and therefore cannot be
put to the jury聰.
[44]
He then ruled that although, as a matter of law,
the offence of simple assault is included in a non-particularized aggravated
assault allegation, factually, there was no reasonable view of the evidence
that could cause a jury to acquit of aggravated assault but convict of simple
assault. The trial judge said:
The Crown does not want the assault to be
given to the jury. The defence does, arguing that the jury could find [Mr.
Tenthorey] punched [Mr. Brochu] once but others assaulted [Mr. Brochu], causing
his injuries. But this scenario is not part of the evidence.
The only evidence that anyone else struck [Mr.
Brochu] comes from [Ms. Gregory], who testified that others beat [Mr. Brochu]
and [Mr. Tenthorey] was not involved at all in the beating. Obviously if the
jury accepts this evidence or believes it raises a reasonable doubt, [Mr.
Tenthorey] will be acquitted. This is the major defence: Mr. Tenthorey did not
assault Mr. Brochu.
The evidence of [Mr. Brochu聮s] injuries as a
result of the blows received at the house that night was unchallenged
factually. Assuming the jury concludes that [Mr. Tenthorey] assaulted Mr.
Brochu, in my view there is no reasonable prospect that a jury could properly
find that those serious injuries were not caused by that assault. Accordingly,
I decline to give the jury the lesser included offence of simple assault.
[45]
The trial judge therefore directed the jury only
on the offence of aggravated assault, focusing exclusively on the three modes
of commission in s. 268 that necessarily involve assaultive behaviour:
wounding, maiming, or disfiguring.
[46]
The jury returned a verdict of guilty of
aggravated assault.
ISSUES
[47]
The two grounds of appeal raised by Mr.
Tenthorey can conveniently be stated and approached in the following order:
(1)聽聽聽聽 Whether
the trial judge erred by failing to leave the jury with the included offences
of simple assault, contrary to s. 266 of the
Criminal
Code
,
and/or assault causing bodily harm, contrary to s. 267 of the
Criminal
Code
; and
(2)聽聽聽聽 Whether
the trial judge erred by failing to provide the jury with a 聯
Soobrian
limiting instruction聰 relating to Ms. Gregory聮s testimony.
[48]
In his notice of appeal, Mr. Tenthorey also
sought leave to appeal his sentence. However, on May 26, 2020, Mr. Tenthorey
abandoned his sentence appeal.
ANALYSIS
1. 聽聽聽聽聽 The Included Offence Errors
(a)聽聽聽聽 The
Offence of Assault Causing Bodily Harm is Included in a Non-particularized Charge
of Aggravated Assault
[49]
The Crown concedes the trial judge committed a
legal error in holding that, as a matter of law, assault causing bodily harm is
not an included offence in a non-particularized charge of aggravated assault. This
concession is correct. It is well-established that, legally, assault causing
bodily harm is an included offence in a non-particularized charge of aggravated
assault:
R. v. Wong
(2006), 209 C.C.C. (3d) 520 (Ont. C.A.), at para.
11;
R. v. Lucas
(1987), 34 C.C.C. (3d) 28 (Que. C.A.), at pp. 32-33;
R.
v. Soluk
, 2001 BCCA 519, 46 C.R. (5th) 380, at para. 16.
[50]
The error committed by the trial judge, and by Mr.
Tenthorey聮s trial counsel for that matter, is understandable. Each applied a
test for identifying included offences that is adequate if there is only one
mode of committing the charged offence. However, that same test produces
inaccurate results if applied where there is more than one mode of committing
the charged offence, as in the case of a non-particularized charge of
aggravated assault.
[51]
In order to discourage similar errors in future
cases, I will explain the source of the error in more detail. I also propose the
following test, which can be used in identifying included offences, regardless
of the nature of the charged offence: an offence will be an included offence if
the essential elements of that offence would necessarily be proved if the Crown
were to successfully establish any one of the legally available avenues of
conviction for the charged offence.
[52]
To understand the source of the error in this
case, one must begin with the underlying concept of an included offence. As a
matter of fundamental justice, an accused person 聯is only called upon to meet
the charge put forward by the prosecution聰:
R. v. G.R.
, 2005 SCC 45,
[2005] 2 S.C.R. 371, at para. 2. This is because an accused person must have
聯fair notice聰 of the charges they face. As Martin J.A. instructed in
R. v.
Simpson
(No. 2)
(1981), 58 C.C.C. (2d) 122 (Ont. C.A.), at
p. 133, fair notice is an 聯operative principle governing the meaning of an
聭included offence聮聰. Martin J.A. explained that 聯the offence charged, as
described either in the enactment creating the offence or as charged in the
count, must be sufficient to inform the accused of the included offences which
he must meet聰.
[2]
An offence is therefore an 聯included offence聰 if it is part of the 聯main聰 or
charged offence, or is 聯embraced聰 by the main or charged offence:
Simpson
(No. 2)
, at p. 133;
R. v. G.R.
, at para. 25.
[53]
Where either the charge itself or the enactment
creating the offence provides only one mode of committing the charged offence, it
is possible and indeed customary to test whether an offence is embraced by the
main charge by asking whether that offence is 聯
necessarily committed
in
the commission of the principal offence as described in the enactment creating
it聰 (emphasis in original):
R. v. G.R.
, at para. 30, quoting
R. v.
Harmer and Miller
(1976), 33 C.C.C. (2d) 17 (Ont. C.A.), at p. 19. This
test works where there is only one mode of committing the charged offence
because if that one mode of commission cannot be accomplished without also
committing the included offence, the accused person will have fair notice that
the elements of the included offence are at issue. It is therefore fair or just
to convict the accused person of the included offence if the elements of the
included offence are proved but the Crown falls short of proving all the
elements of the charged offence. The offence of 聯dangerous driving causing
death聰 provides an example. As I explained in
R. v. Romano
, 2017 ONCA
837, 41 C.R. (7th) 305, at para. 12:
聯Dangerous driving聰聽is an included
offence in a charge of 聯dangerous driving causing death聰 because it is
impossible to commit the offence of dangerous driving causing death without
satisfying the legal requirements or elements of the offence of dangerous
driving. Dangerous driving causing death is an aggravated version of the
offence of dangerous driving, distinguishable only by the added legal
requirement that the dangerous driving must cause the death of another.
[54]
Things are somewhat more complicated where there
is more than one mode of committing the charged offence. Since the Crown may
succeed in proving the charged offence by establishing any one of the available
modes of committing the charged offence, an offence will be included if it is
necessarily proved by establishing any one of the different ways in which the
charged offence can be committed:
Simpson (No. 2)
, at p. 139;
Luckett
v. The Queen
, [1980] 1 S.C.R. 1140;
R. v. Benoit
, 2014 ONCA 457,
[2014] O.J. No. 2770. This is because an accused person, alerted by law that
the Crown can succeed in the prosecution by establishing any one of the modes
of commission, will have fair notice that the Crown may ultimately prove any
offence that is necessarily proved when establishing any one of those modes of
commission.
[55]
A non-particularized charge of aggravated
assault falls into this latter category. As indicated, where an aggravated
assault charge is not particularized, the Crown may succeed in establishing
aggravated assault by proving any one of the four modes of commission. Three of
those modes of commission (wounding, maiming, and disfiguring) cannot be
committed without also committing an assault causing bodily harm. An accused
person, such as Mr. Tenthorey, facing a non-particularized charge of aggravated
assault will therefore have fair notice that the elements of assault causing
bodily harm are at issue.
[56]
Yet if one set out to determine whether assault
causing bodily harm is an included offence in a non-particularized charge of
aggravated assault by applying the test used for offences that have but one
mode of commission, a different 聳 and incorrect 聳 answer would result. Since
the fourth mode of committing aggravated assault (endangering the life of
another) can be committed without also committing an assault causing bodily
harm, assault causing bodily harm is not 聯necessarily committed in the commission
of the principal [or charged] offence聰.
[57]
Both the trial judge and Mr. Tenthorey聮s trial counsel
erred in this way; by employing the test identified in
R. v. G.R.
, at
para. 30, a case involving an offence with a single mode of commission. In
fairness, their errors are understandable because, unfortunately, it is not
uncommon for judges deciding single-mode of commission cases to describe the
test articulated in
R. v. G.R.
as
the
test for identifying
included offences. Regrettably, I did so myself in
Romano
, at para. 11.
[58]
Obviously, the confusion that occurred in this
case could have been avoided if the test for included offences was described in
a way that would work for both single-mode and multiple-mode charged offences.
Hence the test I have articulated here: an offence will be an included offence
if the essential elements of that offence would necessarily be proved if the
Crown were to successfully establish any one of the legally available avenues
of conviction for the charged offence.
[59]
Applying this test, the offence of assault
causing bodily harm would necessarily be proved if the Crown were to successfully
establish any one of three legally available avenues of convicting Mr.
Tenthorey of the non-particularized offence of aggravated assault; wounding,
maiming, or disfiguring. Therefore, as a matter of law, assault causing bodily
harm is an included offence in the charge Mr. Tenthorey faced. The trial judge
erred in finding otherwise.
(b)聽聽聽聽 The
Crown聮s Harmless Error Submission
[60]
The Crown conceded before us that the trial
judge erred in holding that, legally, assault causing bodily harm is not an
included offence in a non-particularized charge of aggravated assault.
Nevertheless, the Crown submits that this error was harmless, contending the
trial judge was nonetheless correct in not instructing the jury on the included
offence of assault causing bodily harm because the factual precondition to such
instruction was not met. Specifically, the Crown argues that there is no
reasonable view of the evidence on which a jury could acquit Mr. Tenthorey of
the charged offence of aggravated assault yet convict him of the offence of
assault causing bodily harm.
[61]
This argument by the Crown mirrors the trial
judge聮s reasoning relating to the offence of simple assault, contrary to s. 266
of the
Criminal
Code
. The trial judge recognized that,
as a matter of law, simple assault is an included offence in a non-particularized
charge of aggravated assault, contrary to s. 268 of the
Criminal
Code
:
R. v. Rocchetta
, 2016 ONCA 577, 352 O.A.C. 130, at para 38. However, he
held that, factually, there was no reasonable view of the evidence on which the
jury could acquit Mr. Tenthorey of the charged offence of aggravated assault
yet convict him of the offence of simple assault. The trial judge therefore
refused to charge the jury on the offence of simple assault.
[62]
The Crown聮s harmless error argument and Mr.
Tenthorey聮s ground of appeal that the trial judge erred in failing to charge
the jury on the offence of simple assault thus turn on whether the factual
precondition to a mandatory included offence charge was met. There is overlap
in determining whether the factual precondition for each offence was met. I
will therefore address together the factual preconditions to a mandatory jury
charge on both included offences; assault causing bodily harm and simple
assault.
(c)聽聽聽聽 Factually,
the Included Offences of Assault Causing Bodily Harm and Simple Assault Were Available
on a Reasonable View of the Evidence
[63]
Even if, as a matter of law, an offence is
included in a charged offence, trial judges are not required to instruct a jury
on the law applicable to that included offence unless there is an 聯air of
reality in the evidence adduced at trial to permit a reasonable jury, properly
instructed, to conclude that the essential elements of the included offence
have been established聰:
R. v. Luciano
, 2011 ONCA 89, 267 C.C.C. (3d)
16, at para. 75;
R. v. Durant
, 2019 ONCA 74, 144 O.R. (3d) 465, at
paras. 174-75.
Realistic possibility: the factual precondition
to an included offence charge
[64]
In
R. v. Ronald
, 2019 ONCA 971, Doherty
J.A. helpfully framed this rule of law, 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.
[65]
To be clear, Doherty J.A. was not purporting to
jettison the air of reality test as the standard to be used in determining
whether a jury instruction is required relating to an included offence. He was
simply adding precision to the description of the air of reality test as it
applies to included offences. He did so in order to prevent confusion with the application
of the air of reality test when it is used to determine whether a positive
defence should be left with a jury:
Ronald
, at paras. 43-46. However,
in both contexts, the air of reality test performs the same basic function. As
Doherty J.A. explained, 聯[b]oth inquiries seek to focus the jury聮s attention on
the live issues actually raised by the evidence. By doing so, the risks of
unreasonable verdicts, juror confusion, or improper compromise by jurors, are
reduced聰:
Ronald
, at para. 43.
[66]
Whether applied in identifying included offences
or available defences, the air of reality test performs another function:
ensuring that trial judges do not encroach on the role of the trier-of-fact
when determining whether there is a live issue in a jury trial. The existing restrictions
to accomplish this can best be illustrated by examining more generally how the
law limits the operation of the threshold tests for identifying the live issues
in a case. There are two such tests: (a) the air of reality test; and (b) the
more familiar
prima
facie
case test, which is used to
determine committal at preliminary inquiries and directed verdict applications
at the close of the Crown聮s case.
[67]
In applying the
prima
facie
case test, in order to prevent a trial judge from encroaching on the role
of the trier-of-fact, a trial judge is disqualified from considering the
credibility and reliability of evidence, and from considering their own view on
whether the Crown聮s case would succeed. The sole weighing exercise permitted is
for the trial judge to determine whether the inferences required for the Crown
to prove its case beyond a reasonable doubt are, as a matter of logic, reasonably
available on the evidence:
R. v. Arcuri,
2001 SCC 54, [2001] 2 S.C.R.
828, at paras. 21-24.
[68]
The air of reality test works in much the same way
and for the same reason. The majority聮s statement in
R. v. Cinous
, 2002
SCC 29, [2002] 2 S.C.R. 3, at para. 54, referring to the air of reality test
and defences, applies
mutatis
mutandis
to the
application of the air of reality test in included offence cases:
The threshold determination by the trial judge
is not aimed at deciding the substantive merits of the defence. That question
is reserved for the jury. The trial judge does not make determinations about
the credibility of witnesses, weigh evidence, make findings of fact, or draw
determinate factual inferences. Nor is the air of reality test intended to
assess whether the defence is likely, unlikely, somewhat likely, or very likely
to succeed at the end of the day. The question for the trial judge is whether
the evidence discloses a real issue to be decided by the jury, and not how the
jury should ultimately decide the issue. [Citations omitted.]
[69]
Therefore, in determining whether it is possible
for a jury to have reasonable doubt on the charged offence but to convict on an
included offence, a trial judge should not consider how likely or unlikely the
trial judge believes that outcome to be. Nor should the trial judge pay regard
to concerns about the credibility or reliability of the evidence required to
reach that outcome. In a circumstantial evidence case, the appropriate inquiry is
into the logical reasonableness of the inferences that are available to be relied
upon to support a realistic possibility of an acquittal on the main charge and
a conviction on an included offence.
[70]
In
Ronald
, at paras. 52-56, when
determining in a circumstantial evidence case whether there was a reasonable
possibility that a jury could acquit on the main charge but convict of an
included offence, Doherty J.A. therefore looked at 聯
reasonable inferences
聰.
He no doubt used the term 聯reasonable inferences聰 in much the same way that Cromwell
J. employed that phrase in
R. v. Villaroman
, 2016 SCC 33, [2016] 1
S.C.R. 1000, at para. 36, when he held that an inference of not guilty is
available in a circumstantial evidence case only if that inference is 聯reasonable
given the evidence and the absence of evidence, assessed logically, and in
light of human experience and common sense聰.
[71]
Therefore, in applying the
Ronald
test,
if there is direct evidence that the accused has committed an included offence
but not the charged offence, or if the state of circumstantial evidence yields
logical inferences in light of human experience and common sense that the
accused has committed an included offence but not the charged offence, there will
be a 聯realistic possibility聰 of an acquittal on the main charge but a
conviction on an included offence. In that case, the included offence must be
left with the jury, regardless of how incredible or unreliable the evidence may
be, or how unlikely it is that the trier-of-fact will ultimately draw the
relevant inferences.
Case law applying the realistic possibility
standard for included offences
[72]
The cases argued before us conform to this
standard. For example, in
Wong
, the appellant, who claimed he had
acted accidentally or in self-defence, acknowledged that he had caused the
aggravated injury or wound to the victim. Since, in these circumstances, 聯[t]here
was no reasonable view of the evidence that would yield an acquittal on the
charge of aggravated assault by wounding and a conviction on the included
offence of assault causing bodily harm聰, this court concluded that the trial
judge had erred by leaving the included offence with the jury:
Wong
,
at paras. 13-15.
[73]
In
R. v. Grewal
, 2019 ONCA 630, 379
C.C.C. (3d) 201, the charged offence was kidnapping. The appellant argued that
the trial judge should have directed the jury on the included offence of
attempted kidnapping. This court disagreed. At paras. 38-45, van Rensburg J.A.
reasoned that the only available inference from the uncontested evidence was
that if the appellant did not participate in the kidnapping, he aided in the
kidnapping. Both avenues enabled a conviction on the charged offence, and
neither could support a 聯realistic possibility聰 of a conviction for attempt.
[74]
In
Romano
, the charged offence was
dangerous driving causing death. It was not contested that the vehicle driven
by the appellant struck the victim and that she died. The appellant argued that
even if his driving was dangerous, which he denied, his dangerous driving did
not cause the victim聮s death, and therefore the trial judge erred by failing to
instruct the jury on the included offence of dangerous driving. This court
disagreed. As a matter of law, if the appellant聮s driving was found to be
dangerous, he would necessarily be convicted of dangerous driving causing death
because 聯there was simply no proper basis on which the jury could find that [the
appellant聮s] driving did not meet the legal requirements of causation聰 relating
to the victim聮s death:
Romano
, at para. 25. In those circumstances, it
would have been improper for the trial judge to leave the simple charge of dangerous
driving with the jury.
[75]
None of these illustrative cases turned on
weaknesses in the credibility or reliability of the evidence, and none had to
do with the unlikelihood of an included offence inference. In each of them, there
was 聯no realistic possibility of an acquittal on the main charge and a
conviction on an included offence聰 because the respective included offences
were simply not on the table.
Mr. Tenthorey聮s submissions with respect to
included offences
[76]
Mr. Tenthorey argued at trial that there was a
realistic possibility the jury could acquit him of the charged offence of aggravated
assault but convict him of the offence of simple assault. Although not
separated as cleanly in his submissions, he presented two paths to that
realistic possibility that I will describe later in these reasons.
[77]
Mr. Tenthorey adopts this argument on appeal and
contends that those same paths also present a realistic possibility that the
jury could have acquitted him of aggravated assault but convicted him of
assault causing bodily harm.
[78]
He points out that his trial counsel did not
pursue the assault causing bodily harm option because of his mistaken belief
that, legally, assault causing bodily harm was not an included offence. Mr.
Tenthorey argues that since a trial judge is legally obliged to charge a jury
on included offences that have an air of reality, and since it is clear that his
trial counsel聮s position that no such direction was required was based on an erroneous
understanding of the law and not a tactical choice, that position is not an
impediment to relying, as a ground of appeal, on the trial judge聮s failure to charge
the jury on assault causing bodily harm.
[79]
The Crown does not argue otherwise. I will
therefore consider not only whether the trial judge erred in failing to charge
the jury on the offence of simple assault, but also whether he failed to charge
the jury on assault causing bodily harm.
The realistic possibility standard was met
for both included offences
[80]
In my view, using either of the paths I am about
to describe, there was a realistic possibility of an acquittal on the main
charge and a conviction on either the included offence of assault causing
bodily harm, or the included offence of simple assault. Both paths assume that
the jury would accept either the circumstantial evidence of Mr. Brochu that Mr.
Tenthorey punched him in the face, knocking him to the ground, and/or the
direct testimony of Mr. Markakis that Mr. Tenthorey administered one soccer
kick to Mr. Brochu聮s face.
[81]
The first path Mr. Tenthorey advances rests on
the Crown聮s failure to produce any witness who testified to seeing who
perpetrated the entire assault. Mr. Tenthorey argues that, given the absence of
such evidence, a jury could find that the Crown had failed to establish beyond
a reasonable doubt that Mr. Tenthorey acted alone in administering the blows. In
such circumstances, the jury could be unable to conclude that Mr. Tenthorey
caused the aggravated injuries required to support an aggravated assault
conviction. The jury would then be left to determine whether the blow or blows
Mr. Tenthorey administered caused Mr. Brochu bodily harm. If the jury was able
to infer from the nature of the blow or blows that they must have caused some
bodily harm not rising to the level of wounding, maiming, or disfiguring, the
appropriate verdict would be guilty of assault causing bodily harm. If the jury
was not prepared to infer that the blow or blows caused bodily harm at all, the
appropriate verdict would be guilty of simple assault.
[82]
To be clear, even on the path just described, if
a jury were persuaded that Mr. Tenthorey and any other assailants acted in
concert or 聯jointly聰 when attacking Mr. Brochu, aggravated assault would still
be the appropriate verdict. However, there was no suggestion on the evidence of
joint participation. Appropriately, this theory of party liability was not
before the jury. Therefore, in the circumstances of this case, the path I have
just described would lead to an included offence conviction and a verdict of
not guilty of aggravated assault.
[83]
The second path Mr. Tenthorey advances is
similar but relies on the affirmative evidence of Ms. Gregory that Mr. Lafreniere
and Mr. Snider punched Mr. Brochu. A jury accepting that testimony but finding
that Mr. Tenthorey also punched and/or kicked Mr. Brochu could equally be left with
a reasonable doubt about whether Mr. Tenthorey caused the aggravated injuries,
or any injury at all. This scenario, too, would lead to a verdict of guilty of
assault causing bodily harm or simple assault, but not guilty of the charged
offence of aggravated assault.
[84]
The trial judge concluded that neither of these
paths was realistically possible on the totality of the evidence. In his
included offence ruling, the trial judge held that a jury could not properly
accept the theory that Mr. Tenthorey was not the only one to assault Mr. Brochu,
stating 聯this scenario is not part of the evidence.聰 When this submission was
raised by trial counsel in oral argument, the trial judge challenged the
submission by saying:
You聮re asking them to speculate. There is no other
evidence 聳 there聮s evidence that [Mr. Tenthorey] was either involved or he
wasn聮t involved. There聮s no evidence that he was involved and then other people
jumped in. I have nothing of that.
[85]
Later, the trial judge said of the same
submission, 聯[the jury are] not to speculate on [whether] something may have
happened when they have no evidence of it.聰
[86]
With respect, the trial judge erred in
dismissing the paths I have identified to an included offence verdict on the
basis that there was 聯no evidence that [Mr. Tenthorey] was involved and then other
people jumped in聰. He also erred by finding this theory to be speculative.
[87]
Speaking of reasonable doubt in circumstantial
evidence cases in
Villaroman
, at para. 35, Cromwell J. explained why
聯inferences consistent with innocence do not have to arise from proven facts聰:
Requiring proven facts to support explanations
other than guilt wrongly puts an obligation on an accused to prove facts and is
contrary to the rule that whether there is a reasonable doubt is assessed by
considering all of the evidence.
[88]
Cromwell J. also cautioned, at para. 36, that 聯a
reasonable doubt, or theory alternative to guilt, is not rendered 聭speculative聮
by the mere fact that it arises from a lack of evidence.聰
[89]
In
Ronald
, Doherty J.A. gave several
reasons why the trial judge in that case had erred in failing to leave the
included offence of second-degree murder with the jury. One such reason was
that the jury could choose not to infer planning and deliberation from the
circumstantial evidence that the Crown had relied upon, leaving an absence of
evidence of planning and deliberation. He reinforced the point, at para. 54,
that 聯[j]uries are not obliged to draw all inferences that are reasonably
available on the evidence.聰 Earlier in the decision, at para. 47, Doherty J.A. explicitly
linked this proposition to included offences, as follows:
When the defence, or the Crown, argues that a
jury should be instructed on the possibility of a conviction on the included
offence of second degree murder, it is not essential that the party seeking the
instruction point to evidence capable of supporting inferences that are
inconsistent with planning and deliberation. Unlike positive defences, there is
no evidentiary burden on the defence, or the Crown, to put the possibility of a
conviction for the included offence 聟 聭in play聮. It is sufficient if, on the
totality of the evidence, a reasonable jury could be left unconvinced, beyond a
reasonable doubt [of the charged offence]. That potential uncertainty can
provide the basis for a proper verdict of not guilty of [the charged offence],
but guilty on the included offence聟.
[90]
Because of the gaps in the evidence, the Crown聮s
case that Mr. Tenthorey administered all the blows to Mr. Brochu was
circumstantial. Even if it is likely that the jury would draw the inference
that Mr. Tenthorey administered all the blows, the trial judge should have
proceeded on the basis that the jury might not do so.
[91]
Nor was Mr. Tenthorey under any obligation to
fill the gaps with evidence that others did administer blows. He was entitled
to rely on the absence of evidence to raise a reasonable doubt about this
possibility. Mr. Tenthorey聮s submission that a jury could have a reasonable
doubt on the charged offence of aggravated assault because of the absence of
evidence that he administered all the blows was not speculative. It arose from
the absence of evidence and required a jury charge on the included offences.
[92]
Although not essential to this outcome, it is
also worth noting that the realistic possibility the jury could be left in
doubt by the absence of evidence finds additional support in the confusing testimony
about exactly how events unfolded. Taken together, that evidence suggested
there was a melee underway, which in my view enhances the prospect that the jury
could have a reasonable doubt as to whether Mr. Tenthorey administered all the
blows to Mr. Brochu.
The jury was
entitled to accept some, none, or all of Ms. Gregory聮s evidence
[93]
The trial judge provided an additional reason
for rejecting Mr. Tenthorey聮s second suggested path to a jury finding that he committed
simple assault, but not aggravated assault. This additional reason is also
problematic. The trial judge said that Ms. Gregory provided the 聯only evidence聰
that anyone else struck Mr. Brochu and that Mr. Tenthorey was not involved in
the beating. As such, he asserted that if the jury believed Ms. Gregory, or was
left in reasonable doubt by her evidence, Mr. Tenthorey would be acquitted.
[94]
With respect, the trial judge erred by treating
Ms. Gregory聮s evidence as an all or nothing proposition. As McLachlin J. (as
she then was) affirmed in
R. v. Fran莽ois
, [1994] 2 S.C.R. 827, at p.
837, a jury 聯may accept some of the witness聮s evidence while rejecting other
parts of it聰. Ms. Gregory gave direct evidence that she saw Mr. Lafreniere and
Mr. Snider punching Mr. Brochu. The jury was entitled to accept this part of
Ms. Gregory聮s evidence but reject her testimony that Mr. Tenthorey was never
involved in the incident and never assaulted Mr. Brochu. On this basis, as
well, there is a realistic possibility that the jury could have acquitted Mr.
Tenthorey of aggravated assault but convicted him of one of the included
offences.
[95]
In her able oral argument, appeal counsel for
the Crown urged us not to accept this submission without a realistic basis on
which to conclude that a jury would have accepted the part of Ms. Gregory聮s
evidence putting the included offences on the table, while rejecting the
balance of her evidence.
[96]
I do not accept that it would be appropriate for
us to engage in this exercise. I say this even though it is obvious that Ms.
Gregory聮s evidence suffered from serious credibility problems that could cause
a jury to reject her testimony in its entirety. The Crown聮s submission that we
should confine juries to readily explicable choices about what to believe encroaches
too heavily on the province of the jury. The air of reality test does not
include consideration of the reasonableness of a jury聮s choices about what
evidence to believe. If it did, there would be no principled basis on which to refrain
from the same evaluation when determining whether the Crown has established a
prima
facie
case. Wisely, this has not been judicial practice.
[97]
Indeed, even when an appellate panel engages in
an
ex
post
facto
evaluation of the
reasonableness of a jury verdict, it is reluctant to question a jury聮s
credibility determinations:
R. v. W.H.
, 2013 SCC 22, [2013] 2 S.C.R. 180,
at para. 32. To assign judges the responsibility to pre-screen the
reasonableness of a jury聮s potential credibility determinations when applying
the air of reality test would be inconsistent with the deference accorded to
credibility determinations of juries, and incompatible with the threshold tests
that have developed to limit trials to the matters in issue.
(d)聽聽聽聽 Conclusion
on the Included Offence Errors
[98]
Accordingly, I would find that the factual
preconditions requiring the trial judge to direct the jury on the included
offences of assault causing bodily harm and simple assault were present in this
case. There was a realistic possibility that the jury, 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, could have acquitted
Mr. Tenthorey on the main charge of aggravated assault yet convicted him of assault
causing bodily harm or simple assault.
[99]
I would therefore find that the trial judge聮s
error in holding that assault causing bodily harm is not an included offence in
a non-particularized charge of aggravated assault was not harmless. He was
required to charge the jury on that included offence.
[100]
I would also find that the trial judge erred in finding the air of
reality test was not met with respect to the included offence of simple
assault. He was obliged to charge the jury on that offence as well.
2.聽聽聽聽聽聽 tHE
SooBRIAN
Limiting
iNSTRUCTION
ISSUE
[101]
Mr. Tenthorey argues that the trial judge erred in law by failing to
give a
Soobrian
limiting instruction directing the jury not to draw
an adverse inference against the defence as a result of the Crown聮s impeachment
of Ms. Gregory聮s testimony.
[102]
As I will explain, I would not give effect to this ground of appeal.
(a)聽聽聽聽 The Governing
Legal Principles
[103]
Proof that a witness lied to protect the accused cannot properly be
treated as proof that the accused encouraged or directed the witness to do so, absent
an evidentiary foundation for a finding of collusion. It is therefore improper for
the Crown to call a witness who is expected to testify favourably to the
accused and then impeach that witness in an effort to discredit the defence by inviting
an unsupported inference that the accused was complicit in the false testimony
the witness provided:
Soobrian
, at p. 216;
R. v. Figliola (No. 1)
,
2011 ONCA 457, 105 O.R. (3d) 641, at para. 45. If this is the Crown聮s purpose, the
trial judge should exercise their discretion to prohibit the impeachment from
occurring:
R. v. Figliola (No. 2)
, 2018 ONCA 578, 141 O.R. (3d) 662,
at paras. 52 and 58.
[104]
If the Crown does impeach its own witness without foundation for this
improper purpose, the trial judge must generally give a 聭
Soobrian
limiting
instruction聮 to prevent the jury from misusing the impeachment to draw an
adverse inference against the defence that the accused is also a liar, or has
acted to hide their guilt:
Soobrian
, at p. 219;
Figliola
(No.
1)
, at paras. 38 and 61-63.
[105]
Even where the Crown calls the witness for a proper purpose, if the
Crown ultimately impeaches its witness and 聯strays into impermissible
Soobrian
territory聰, a
Soobrian
limiting
instruction will
generally be required:
Figliola (No. 1)
, at paras. 61-62. This will
occur where the impeachment, whether wittingly or not, is conducted in a manner
that has created a 聯real risk that the jury would misuse their rejection of
[the witness聮s] evidence聰 to discredit the defence:
R. v. Figliola (No. 2)
,
at paras. 45-46, 52 and 58.
(b)聽聽聽聽 A
Soobrian
Limiting
Instruction Was Not Required in This Case
[106]
Mr. Tenthorey does not suggest that the trial Crown called Ms.
Gregory for an improper purpose. Nor would there have been any basis for such a
suggestion. As Doherty J.A. explained in
Figliola (No. 2)
, at para.
61:
[I]f the Crown has a good faith basis for
believing that a witness has relevant evidence to give, the Crown may call that
witness even though the Crown expects that the witness will give evidence
inconsistent with the Crown position and evidence that contradicts the witness聮
prior statements. The Crown may call that witness even though it anticipates
applying for leave to cross-examine that witness and challenging the
credibility of that witness in certain respects. [Citations omitted.]
[107]
Other witnesses had testified that Ms. Gregory was implicated in the
events leading to the assault on Mr. Brochu. This alone provided the Crown with
a good faith basis for believing that Ms. Gregory had relevant evidence to
give, notwithstanding her testimony at Mr. Tenthorey聮s bail hearing. The Crown
was clearly entitled to call her and to impeach her, if necessary, based on her
prior inconsistent testimony.
[108]
As indicated, Mr. Tenthorey聮s submission is that a
Soobrian
limiting instruction was required given the manner in which Ms. Gregory was
impeached and the use the Crown made of that impeachment in his submissions to
the jury. I do not agree. In my view, the trial Crown聮s impeachment of Ms.
Gregory and his use of that impeachment in his jury submissions did not raise the
kind of 聯real risk聰 that the jury would misuse her evidence to discredit the
defence that would have required a
Soobrian
limiting
instruction.
[109]
To the contrary, the trial Crown was aware that it would be improper
to attempt to taint Mr. Tenthorey聮s defence by impeaching Ms. Gregory. He
explicitly stated this was not his intention and invited the trial judge to
provide a
Soobrian
limiting instruction, a point to which I
will return.
[110]
More importantly, the trial Crown exercised restraint in impeaching
Ms. Gregory. He did not seek permission to cross-examine her at large, nor did
he attempt to do so. He impeached her testimony efficiently, by confronting her
with her prior inconsistent testimony from the bail hearing. That prior
inconsistent testimony did not implicate Mr. Tenthorey. It consisted simply of Ms.
Gregory聮s denial that she had any evidence to give. Therefore, this was not a
case such as
Soobrian
,
where, as described by Doherty J.A. in
Figliola
(No. 1)
, at para. 61, the effect of the Crown聮s cross-examination was to 聯shred
the credibility聰 of the witness it called and to create a 聯factual matrix聰 in
which the jury might well conclude that the witness was not only a liar, but
lying for the very purpose of covering up for the wrongful deeds of the accused
and that the accused 聯were therefore liars themselves, and guilty too聰.
[111]
Nor did the Crown present the jury with a 聯cover up聰 theory, as
occurred in
Figliola (No. 1)
, at paras. 53-55. Instead, the Crown attributed
responsibility to Ms. Gregory for the testimony she gave, with the trial Crown
in his jury address stating as follows: 聯Ms. Gregory has no respect for the
oath. She聮s making up her evidence. She is trying to protect her fianc茅聰.
[112]
Simply put, I see no 聯real risk聰 or likelihood that the jury would
blame anyone but Ms. Gregory for her testimony, given that the impeachment was
restrained and confined to suggestions that she alone was responsible for the
false evidence she gave.
[113]
In his submissions before us, Mr. Tenthorey emphasized that: (1) when
seeking to impeach Ms. Gregory, the trial Crown expressed the expectation that
a
Soobrian
limiting instruction would be given; (2) the trial
judge also suggested that he would be 聯looking for that kind of instruction聰;
and (3) when asked if there should be a mid-trial
Soobrian
limiting
instruction, Mr. Tenthorey聮s trial counsel expressed the view that such an
instruction would best be given in the final jury charge.
[114]
However, the issue before us is not whether the parties expected a
Soobrian
limiting instruction, but whether the trial judge was legally required to
give one. For the reasons I have expressed, he was not.
[115]
More importantly, circumstances had changed by the end of the trial.
It is evident from the trial judge聮s comments that his belief a
Soobrian
limiting instruction would be required was linked to his concern the jury
might improperly rely on Ms. Gregory聮s impeachment to find Mr. Tenthorey was
not a credible witness. Recall that the trial judge decided not to give that
mid-trial instruction because it was not known at that time whether Mr.
Tenthorey would testify. By the time the charge to the jury was provided, it
was clear that Mr. Tenthorey had not done so.
[116]
Defence counsel聮s position at the end of the trial is even more
telling. After opting not to request a mid-trial
Soobrian
limiting
instruction, and after reviewing draft jury charges containing no such
instruction, Mr. Tenthorey聮s trial counsel never asked for one to be included.
Nor did he object to the charge that was given. He had clearly been alive to
the availability of a
Soobrian
limiting instruction during the trial yet
still said nothing.
[117]
In these circumstances, it would not be unfair to infer that, not
unlike defence counsel in
R. v. Dayes
, 2013 ONCA 614, 117 O.R. (3d)
324, Mr. Tenthorey聮s trial counsel recognized that a
Soobrian
limiting
instruction could enhance the risk that Ms. Gregory聮s impeachment would taint
the defence by planting the seed that perhaps Mr. Tenthorey, out of
consciousness of guilt, was complicit in her 聯false聰 testimony. At the very
least, the failure by defence counsel to object reinforces my view that a
Soobrian
limiting instruction was not legally required in the circumstances of this
case.
[118]
I am persuaded that the trial judge聮s decision not to provide a
Soobrian
limiting instruction fell well within the bounds of his discretion. Accordingly,
I would dismiss this ground of appeal.
CONCLUSION
[119]
For reasons above, I conclude the trial judge erred in failing to
instruct the jury on the included offences of assault causing bodily harm and
simple assault.
[120]
I would therefore allow the appeal, set aside Mr. Tenthorey聮s
conviction for aggravated assault, and order a new trial.
Released: May 18, 2021 聯K.F.聰
聯David M. Paciocco J.A.聰
聯I agree. K. Feldman J.A.聰
聯I agree. S. Coroza J.A.聰
[1]
By
the time of trial, Mr. Tenthorey and Ms. Gregory were engaged to be married. As
such, they are respectively referred to as 聯fianc茅聰 and 聯fianc茅e聰 in parts of
the record re-produced below.
[2]
As
pointed out in
R. v. G.R
.
,
2005 SCC 45, [2005] 2 S.C.R. 371, at para. 29, statutory provisions may also
expressly create included offences.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Topol, 2021 ONCA 217
DATE: 20210407
DOCKET: C67875
Pardu, Brown and Paciocco JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Robert Topol
Appellant
Robert Topol, acting in person
Chris G. Bendick, for the respondent
Heard and released orally:
April 6, 2021 by video conference
On appeal from the decision of Justice
Nyron Dwyer of the Ontario Court of Justice, dated April 12, 2019, dismissing
the appeal from the conviction entered by Justice of the Peace Rhonda
Shousterman on August 14, 2018
REASONS FOR DECISION
[1]
The appellant was convicted of speeding by a justice
of the peace for driving at 91 km/h in a 50 km/h zone. His appeal to the
provincial offences appeal court was dismissed.
[2]
Roberts J.A. granted leave to appeal that
decision, noting 聯there is good reason to believe that the appeal judge
misapprehended the mathematical errors the moving party highlighted and erred
in mischaracterizing the discrepancies as minor.聰 Citing
R. v. Morillo
,
2018 ONCA 582, 362 C.C.C. (3d) 23, she added that the appeal 聯raises special
ground in that it concerns process issues essential to the public interest and
for the administration justice聰, namely the scrutiny of officers聮 oral
testimony in traffic offences involving self-represented accused.
[3]
The charging officer testified at trial that he
measured the time and distance travelled by the appellant, but this testimony implied
a speed widely different from that measured by the radar device. The respondent
concedes that the discrepancy between the officer聮s testimony and the radar
reading was significant and could have raised a reasonable doubt as to whether
the speed-measuring device was functioning properly. The respondent concedes
that the justice of the peace made a palpable and overriding error in failing
to consider this evidence and that a new trial is required. We agree.
[4]
The conviction is set aside, and the matter is
remitted back to the trial court for a new trial. The respondent indicates that
it will withdraw the charge as it is no longer in the public interest to
continue the prosecution.
[5]
Mr. Topol seeks costs
for his expenses, time, and trouble dealing with this proceeding. The general
rule is that no costs are awarded in a proceeding under the
Provincial
Offences Act
, R.S.O. 1990, c. P.33:
see
R. v. Felderhof
(2003), 68 O.R. (3d) 481 (Ont. C.A.), at para. 100;
R. v. Kazemi
, 2013
ONCA 585, 117 O.R. (3d) 300. These appeals resulted from an error by the trial
justice, and we see no basis to award costs.
聯G. Pardu J.A.聰
聯David
Brown J.A.聰
聯David
M. Paciocco J.A.聰
|
C
OURT
OF APPE
AL FOR ONTARIO
CITATION: R. v. Trought, 2021 ONCA 379
DATE: 20210603
DOCKET:
C
64815
Feldman, Lauwers and Trotter JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Michael Trought
Appellant
R. Craig Bottomley and Andrea
Vanderheyden, for the appellant
Lisa Csele, for the respondent
Heard: February 16, 2021 by video
conference
On appeal from the conviction entered by
Justice Robert F. Goldstein of the Superior Court of Justice on December 19,
2016.
Trotter
J.A.:
A.
Introduction
[1]
The appellant was convicted on a single count of
possession of cocaine for the purpose of trafficking, contrary to s. 5(2) of
the
Controlled Drugs and Substances Act
, S.C. 1996, c. 19. He appeals his conviction on two grounds. First,
he submits that the trial judge erred in dismissing his application under s.
11(b) of the
Canadian Charter of Rights and
Freedoms
. Second, he contends that he received ineffective
assistance from his trial counsel, particularly as it related to his decision
to testify.
[2]
The following reasons explain why I would
dismiss the appeal from the trial judge聮s s. 11(b) ruling. However, I would
allow the appeal because the appellant received ineffective legal assistance.
B.
Factual Overview
[3]
The case against the appellant was rooted in the
fruits of a search of his apartment, where the police found a large amount of
cocaine, along with assorted drug paraphernalia. The search was conducted
pursuant to a warrant that was based on information supplied by a confidential
informant. The appellant challenged the warrant under s. 8 of the
Charter
by attacking the information
said to have come from the informant.
[4]
The confidential informant referred to two
locations relevant to the narrative of events. The first is 165 Legion Road,
Unit 1225 in Toronto. The police believed Unit 1225 was being used as a stash
house for drugs and/or the proceeds of crime. Keeli Stith, a woman the
appellant was seeing at the time, lived at 165 Legion Road, in Unit 434. The
appellant went to her apartment on the evening of Sunday, July 28, 2013. An
unrelated break-in occurred in the building in the early morning hours of July
29th that resulted in considerable police presence. The police knocked on Ms. Stith聮s
door at about 2:00 a.m. The appellant and Ms. Stith told the police that they
heard a loud bang, but they were unable to provide any further information.
[5]
Shortly after the police visit, the appellant
left the building and went home. The appellant lived at 80 Harrison Gardens
Boulevard, Unit 520, which is roughly half an hour away. This is the second
location to which the confidential informant referred. Later that day, at about
4:00 p.m., the appellant returned to 165 Legion Road for a short visit with Ms.
Stith. There was still a significant police presence.
[6]
The police arrested the appellant in the Ford
Fusion on July 30, 2013. Armed with a search warrant, they searched the
appellant聮s apartment, where they found 2 陆 kilograms of powder cocaine, 7
grams of crack cocaine, $440 in cash, a money counter, packaging paraphernalia,
a debt list, as well as correspondence and identification bearing the
appellant聮s name.
[7]
The issuance of the search warrant was explained
in the trial judge聮s ruling dismissing the appellant聮s s. 8
Charter
application (see
R. v. Trought
, 2016 ONSC 7919). The
trial judge noted that the confidential informant reached out to the Toronto
police on July 30, 2013, and provided the following information:
聲
an unknown male was parked in the vicinity of 165 Legion Road;
聲
the unknown male was described as Black, athletic, and slender;
聲
the unknown male was driving a black Ford Fusion with Ontario
licence DLJX 572;
聲
the unknown male met with a white male;
聲
the white male was described as 6聮1聰, 150-160 lbs., with short brown
hair;
聲
the unknown male showed the white male a large quantity of cocaine
in kilo bricks in the trunk of the Ford Fusion;
聲
several police cruisers showed up while the unknown male was showing
the white male the cocaine bricks;
聲
the unknown male drove to the area of Harrison and Everson Drive in
Toronto, where he had his stash house; and
聲
the Ford Fusion was a rental vehicle that could not be traced back
to the unknown male.
[8]
Trial counsel initially challenged the validity
of the search warrant by alleging that the police fabricated the information
said to have come from the confidential informant. He later backed off from
that position, maintaining that, if the information did originate with the
confidential informant, the part about the appellant showing bricks of cocaine
from the trunk of the car was so ridiculous that it must be false.
[9]
The appellant testified on the
Charter voir dire
for the s. 8 challenge. In his evidence in chief, he claimed that he
did not show anyone bricks of cocaine in the trunk of his car. In
cross-examination, the appellant admitted to trafficking in cocaine. He
acknowledged that half a kilogram of the cocaine seized from his apartment
belonged to him; however, the rest belonged to a friend (who was also his
supplier). The appellant allowed his friend to leave drugs in the apartment on
the day of the seizure.
[10]
During a colloquy with the trial judge after the
appellant testified, trial counsel agreed that the trial could proceed in a
blended fashion (i.e., the appellant聮s
voir dire
evidence would be applied to the trial proper if the
Charter
application failed). It did,
and trial counsel invited the trial judge to find the appellant guilty. He did,
and then sentenced the appellant to 5 陆 years聮 imprisonment.
C.
Unreasonable Delay
[11]
The appellant submits that the trial judge erred
in failing to find that his right to be tried within a reasonable time under s.
11(b) of the
Charter
was infringed. It is not necessary to examine
all of the steps taken in the proceedings in minute detail, because the
appellant advances two focused arguments in support of this ground of appeal:
(1) the trial judge erred in relying on the transitional exceptional
circumstance; and (2) the trial judge erred in the manner in which he dealt
with the asserted prejudice.
[12]
The appellant was charged on July 30, 2013. When
he applied for a stay of proceedings under s. 11(b), his trial in the Superior
Court of Justice was expected to finish by October 29, 2016 聳 39 months from
the date the appellant was charged.
[13]
Until the later stages of the trial proceedings,
the parties were governed by the framework in
R. v.
Morin
, [1992] 1 S.C.R. 771. However, the landscape
shifted dramatically on July 8, 2016 when the Supreme Court of Canada released
its judgment in
R. v. Jordan
, 2016 SCC 27, [2016] 1 S.C.R. 631. Under the new regime, after
deducting 5 months for defence delay, the remaining 34-month delay exceeded the
applicable presumptive ceiling of 30 months.
[14]
The trial judge concluded that the transitional
exceptional circumstance applied in this case. As he said, at para. 25 of his
ruling: 聯The parties reasonably relied on the law as it existed at the time.聰
See also paras. 26-27 and the reference to
R. v.
Coulter
, 2016 ONCA 704, 133 O.R. (3d) 433, at
para. 56.
[15]
The appellant contends that the trial judge did
not explain why it was appropriate to apply the transitional exceptional
circumstance. He submits the Crown had an onus to justify the application of the
transitional exceptional circumstance, yet the trial judge聮s reasons do not
disclose how the Crown relied on the pre-
Jordan
jurisprudence. I disagree. It was
apparent from the Crown聮s trial submissions that it relied on the law as it
existed throughout most of the proceedings, until
Jordan
ushered in a new approach. In
R. v.
Powell
, 2020 ONCA 743, 153 O.R. (3d) 455, at para.
37, Nordheimer J.A. said: 聯There was no reason 聟 for the parities to believe that
they would be judged by a different standard.聰 The same conclusion may be drawn
in this case.
[16]
The manner in which the parties proceeded in the
pre-
Jordan
stages of
the proceedings reflects an adherence to the dictates of
Morin
. Regrettably, it also reflects the
impetus for change that inspired
Jordan
聳 both sides seemed content with a relaxed approach to the progress
of the case. On the one hand, the Crown took too long to disclose a redacted
version of the relatively straightforward Information to Obtain a search
warrant (聯ITO聰); however, the trial judge accounted for this lapse by
attributing three months of Crown delay. On the other hand, trial counsel
adjourned the preliminary inquiry so that he could take a vacation, resulting
in a five-month delay. Neither side distinguished itself in terms of
efficiency.
[17]
Nevertheless, the case was close to (if not
within) the
Morin
guidelines.
The trial judge found that the institutional plus Crown delay in the Ontario
Court of Justice was 11 months (set against a guideline of 8-10 months),
whereas in the Superior Court the delay was 9 months (with a guideline of 6-8
months). On appeal, the Crown submits that the trial judge made
mathematical/rounding errors such that the institutional/Crown delay was properly
17.5 months, just below the
Morin
guidelines. The appellant did not
contradict this re-calculation during the hearing.
[18]
I need not resolve this issue definitively. The
trial judge subsequently mentioned in his discussions with counsel that his s.
11(b) determination involved a 聯close call聰. I agree with his assessment.
[19]
The appellant also submits that the trial judge
erred in the manner that he addressed asserted prejudice by the appellant. In
an affidavit, the appellant claimed that, as a result of the delay in his
proceedings, he developed high blood pressure, his income-earning opportunities
decreased, and his inability to travel outside Canada resulted in him missing 聯family
functions and funerals聰. Lastly, he asserted that a long-term relationship with
a woman (not Ms. Stith) experienced 聯significant deterioration聰.
[20]
The appellant acknowledged that the Crown
consented to 聯some relatively minor variations聰 of his bail. However, missing
from the appellant聮s affidavit is any indication that he sought other bail
variations to ameliorate the hardships he sought to rely upon. He failed to
back up his medical complaints with any supporting documentation typically seen
in these circumstances. His affidavit was also light on detail, especially in
relation to the impact of his inability to travel outside Canada.
[21]
In dismissing the s. 11(b) application, the
trial judge said, at para. 40: 聯Having reviewed Mr. Trought聮s affidavit, I am
not satisfied that the prejudice he has suffered, while real, arose out of the
delay rather than the fact of the charges.聰 I agree with the appellant聮s
counsel that this aspect of the trial judge聮s reasons is cursory. However,
given the lack of initiative on the appellant聮s part to address the bail
restrictions he faced, I see no reason to disturb the trial judge聮s finding.
[22]
I would dismiss this ground of appeal.
D.
Ineffective Assistance of Counsel
(1)
Introduction
[23]
The appellant submits that he received
ineffective assistance from his trial counsel.
[1]
Although the appellant聮s application was initially quite broad when filed, his
factum and oral argument focused on the manner in which trial counsel conducted
the s. 8
Charter
application. The appellant submits that trial counsel聮s ineffectiveness is reflected
in his agreement to a blended procedure without first obtaining instructions
from the appellant.
[24]
The appellant claims that he was blindsided by
this decision. He thought that his evidence would only be used on the
voir dire
. Relatedly, because he was
unaware of the concept of constructive possession, the appellant did not
realize that his testimony about allowing his friend to keep cocaine at his
apartment was inculpatory. The appellant never intended to confess under oath
to possessing all of the cocaine seized from his apartment. Had he been
properly advised about the legal effect of his evidence, and had he known about
the use to which it would ultimately be put, he would not have testified at
all. He said that trial counsel聮s ineffectiveness deprived him of his right to
stay silent at trial, or at least the ability to make a meaningful and informed
choice on this fundamental issue.
[25]
The respondent submits that the appellant was
adequately represented. The case was always about the validity of the search
warrant: if the
Charter
application failed, guilt would
inevitably follow. The respondent points to an Agreed Statement of Facts that
was filed at trial in which the fruits of the search are acknowledged. The
appellant was involved in the preparation of this document, reflecting that he
knew all along that he would be found guilty if he was unsuccessful in
excluding the evidence. In short, the respondent submits that any missteps by trial
counsel were inconsequential.
(2)
Proceedings at Trial
[26]
A good deal of the case against the appellant
was based on preliminary inquiry transcripts that were filed on consent. In the
lead up to the
Charter voir dire
, trial counsel advised the trial judge that the appellant would
testify that he had 聯nothing to do with what the confidential informant allege[d]聰
and would give evidence 聯admitting that the apartment was his, admitting that
some of the drugs in that apartment were his.聰 Trial counsel later said that
the appellant would 聯have some comment about what of those drugs were actually
his drugs聰. The trial judge inquired: 聯And that聮s in relation to the warrant.
This is not the trial itself.聰 Trial counsel said, 聯Yes, on the application.聰
[27]
I pause here to observe that trial counsel聮s
approach to attacking the search warrant was somewhat unique. At the
preliminary inquiry, he was unsuccessful on a motion to cross-examine the affiant
of the ITO. He considered renewing the application at trial, but ultimately
decided against doing so because he received further information from the
Crown. Consequently, without challenging any police officer about the existence
of the confidential informant, or the plausibility of the information supplied
to the police, trial counsel put the appellant forward to imply that either the
informant did not exist or the information they provided to the police was
fabricated.
[28]
As noted above, Keeli Stith testified as a witness.
She lived at 165 Legion Road, Unit 434 and testified about the appellant聮s
presence in her apartment during the evening of Sunday, July 28, 2013 and the
police visit in the middle of the night in relation to the burglary in the
building. The appellant left about 30 to 45 minutes after the police visit. The
appellant returned to Ms. Stith聮s apartment around 4:00 or 5:00 p.m. that same
day, July 29, to bring her food. Ms. Stith accompanied the appellant downstairs
when he was leaving. There were many police cars parked out front. Ms. Stith
suspected that there was an undercover officer in the lobby. After the
appellant left, she returned to her apartment.
[29]
Ms. Stith knew nothing of the appellant聮s
involvement with drugs. She thought he was a stock trader.
[30]
The appellant testified that July 28, 2013 was
the first time he went to 165 Legion Road. He denied showing anyone bricks of
cocaine from the back of a car. In fact, he did not have cocaine on him when he
went there. The appellant testified that, when he left the building in the
early morning hours on July 29, there were as many as 10 police cars outside.
The appellant said that he returned to the building later that day with food
for Ms. Stith. There was still a 聯massive聰 police presence. The appellant
stayed for half an hour and then left. Ms. Stith walked him outside. He went
home. The next day, he was arrested in his vehicle on his way home from a community
barbecue.
[31]
While the appellant聮s examination-in-chief was
focused on issues related to the search warrant, the appellant was
cross-examined extensively on his activities as a drug dealer.
[32]
The appellant admitted that half a kilogram of
the cocaine found in his apartment belonged to him. He allowed his friend/supplier
to leave some cocaine in his apartment on the day that the search warrant was
executed. His friend was to retrieve his portion of the cocaine later that day.
The appellant admitted that the scales were his, as was the money counter. He
acknowledged that there was over $100,000 worth of cocaine in his apartment.
[33]
The appellant testified that he did not traffic
cocaine on a large scale. He estimated he sold drugs to four people a month. He
had never purchased cocaine at the kilogram level. In relation to a notebook
that the police said contained a drug debt list, which was found in close
proximity to a large quantity of drugs, the appellant claimed that it was used
to record gym promotions, another line of work he pursued, 聯partner draws聰, and
his stock trading information.
[34]
During their search, the police also discovered
seven grams of crack cocaine. The appellant disavowed any prior knowledge of
crack in his apartment. He surmised that his supplier gave him a 聯sample聰 of
crack cocaine.
[35]
After the appellant testified, the trial judge
addressed counsel to 聯be clear about [what was] going on [that] morning.聰 He
observed that they were in the midst of a s. 8
Charter
voir dire
, but he heard a lot of evidence that did
not relate to the preconditions to the issuance of the search warrant. The
trial judge said that he assumed it was meant to be a blended procedure. Trial
counsel responded immediately:
The reality is that this is a blended
hearing
. The reality is that all of the evidence,
including my client聮s evidence and eyewitness, although strictly I said I聮d
call him on the motion 聟 I聮m content they be heard on the trial.
My client聮s,
if you admit the evidence, would be sufficient to establish a guilt regardless
of his admission, so his evidence doesn聮t hurt him on the trial at all.
This witness doesn't hurt him on the trial at all. So all of the evidence can
apply to both the motion and the trial.
It聮s a true blended hearing.
[Emphasis added.]
[36]
There was further discussion and trial counsel agreed
with the trial judge that, if the evidence were to be admitted, the appellant聮s
evidence could be considered in mitigation or aggravation of sentence.
[37]
After another police witness gave evidence and
the parties made closing submissions, the proceedings were adjourned for
approximately six weeks. When the trial resumed, the trial judge dismissed the
Charter
application. In his written
reasons, the trial judge thoroughly rejected the appellant聮s evidence. As he
said at para. 40: 聯I simply do not accept that Mr. Trought is a credible
witness. Although a self-confessed drug dealer, he took pains to minimize his
involvement in the business.聰 He repeated his rejection of the appellant聮s
evidence at a number of junctures in his reasons
[2]
and made detailed findings in support of his conclusions.
[38]
After providing counsel with a written copy of
his ruling, the trial judge asked about 聯next steps聰. Trial counsel advised:
聯Well, there聮s no other issue in the trial Your Honour, so the next steps is
for you to make a finding of guilt. 聟 All of the evidence applies. It聮s the
only issue I was litigating.聰 The trial judge made the finding of guilt and the
case was adjourned for sentencing.
(3)
Fresh Evidence on Appeal
[39]
The appellant filed an affidavit in support of
his claim of ineffective assistance of counsel. Trial counsel filed an
affidavit in response. Both were cross-examined. The parties agreed that the
affidavits and cross-examination transcripts were properly before us for the
purpose of considering this issue: see
R. v. W.(W.)
(1995), 100 C.C.C. (3d) 225 (Ont. C.A.), at pp. 232-33;
R. v. Joanisse
(1995), 102 C.C.C. (3d)
35, at pp. 43-44; and
R. v. Chica
, 2016 ONCA 252, 348 O.A.C. 12, at para. 5.
[40]
The key issues are whether trial counsel
properly advised the appellant about the implications of acknowledging that he
allowed his friend to leave drugs in his apartment, and whether he trammeled on
the appellant聮s right to decide whether to testify without consulting him about
the blended procedure. Typical of this type of application, trial counsel and
the appellant are at odds as to what happened.
(4)
Analysis: The Appellant was Ineffectively Assisted
by Counsel
[41]
I begin with a discussion of the governing
principles and then consider the evidence.
(a)
Introduction
[42]
The framework for assessing claims of
ineffective assistance of counsel is well-established. The appellant must
establish: (1) the facts material to the claim of ineffective assistance on the
balance of probabilities; (2) that the representation provided by counsel fell
below the standard of reasonable professional assistance in the circumstances;
and (3) the ineffective representation resulted in a miscarriage of justice:
R. v. G.D.B
.
, 2000 SCC 22, [2000] 1 S.C.R. 520, at paras. 26-27;
Joanisse
, at p. 59.
[43]
Elaborating on the third criterion, miscarriages
of justice may take various forms. Some may impact on the outcome of the trial;
others may disclose unfairness in the proceedings:
R.
v. K.K.M
.
, 2020
ONCA 736, at paras. 55, 91. As Major J. said in
G.D.B
.
, at para. 28: 聯In some instances,
counsel聮s performance may have resulted in procedural unfairness. In others,
the reliability of the trial聮s result may have been compromised.聰
[44]
In
R. v. Stark
, 2017 ONCA 148, 347 C.C.C. (3d) 73, this court found that the
appellant聮s trial counsel made the election as to mode of trial without
consulting his client, resulting in a finding of ineffective assistance of
counsel. Lauwers J.A. said, at para. 20: 聯The miscarriage of justice lies in
proceeding against the accused without allowing him to make an informed
election, and the accused need not establish further prejudice. What the
accused might or might not have done had he been aware of his options is not
relevant.聰 See also
K.K.M
.
, at para. 91. This court has
recognized that public confidence in the administration of justice is just as
shaken by the appearance, as by the fact of an unfair proceeding: see, for
example,
R. v. Olusoga
,
2019 ONCA 565, 377 C.C.C. (3d) 143, at para. 13; and
R. v. McDonald
, 2018 ONCA 369, 360
C.C.C. (3d) 494, at para. 51.
[45]
The appellant acknowledged that he was aware
that, if the s. 8
Charter
application failed, the case against him was formidable, if not
worse. However, the appellant聮s claim is based on the fundamental unfairness of
being undermined by trial counsel聮s combined failure to properly advise him
about the implications of his anticipated testimony and to obtain proper
instructions on the decision to have his testimony apply at trial.
(b)
The Decision to Testify
[46]
The appellant聮s allegation of ineffective
assistance engages consideration of the respective roles of defence counsel and
the client in a criminal proceeding. Who is in charge of what? Modern criminal
practice assigns the vast majority of decisions in a criminal trial to defence
counsel. Counsel is expert in the law. They are required to assist the accused
person in navigating the criminal trial process by providing sound legal
advice. However, it is recognized that certain decisions belong to the client:
David
Layton & Hon. Michel Proulx,
Ethics and Criminal Law
,
2nd ed. (Toronto: Irwin Law, 2015), at p. 105.
[47]
In his famous article, 聯The Role and
Responsibility of the Defence Advocate聰 (1969-1970), 12:4 Crim. L.Q. 376, at
pp. 386-87, G. Arthur Martin (later, the Honourable G. Arthur Martin, of this
court) identified the following decisions that are the client聮s to make: (1)
how to plead; (2) whether to waive the right to a jury trial (where that option
is available); and (3) whether to testify.
[48]
This list has been modified over the years. For
instance, item (2) in Justice Martin聮s article now encompasses the choice
between a judge alone trial in the Ontario Court of Justice and the Superior
Court:
Stark
, at para.
18. In
R. v. Szostak
,
2012 ONCA 503, 111 O.R. (3d) 241, at paras. 77-80, this court held that it is
the client聮s decision whether to advance the defence of not criminally
responsible on account of mental disorder under s. 16 of the
Criminal Code
; counsel cannot advance
this defence without instructions.
[49]
Because the right to make these decisions
belongs to the client, counsel cannot make them alone. As Lauwers J.A. said in
Stark
, the question is whether 聯counsel
has made certain decisions that should have been made by the accused person
because they relate to the accused person聮s fundamental right to control his or
her own defence聰: at para. 16, citing
R. v. Swain
, [1991] 1 S.C.R. 933, at p. 972.
[50]
With respect to these fundamental decisions,
ones that belong to the client, all the lawyer can do is provide advice and act
on proper instructions. But that advice must be competent. As Doherty J.A. said
in
K.K.M
.
, at para. 91:
An accused is denied his right to choose
whether to testify when counsel actually makes the decision,
or when counsel
provides no advice or advice that is so wanting, as to preclude the accused
from making a meaningful decision about testifying.
In those situations,
counsel聮s ineffective representation denies the accused the right to make a
fundamentally important decision about the conduct of his defence.
That
denial goes to the appearance of the fairness of the trial, if not the actual
fairness of the trial
. Either results in a miscarriage of justice,
regardless of the impact of the ineffective representation on the reliability
of the verdict聟. [Emphasis added.]
[51]
The quality of advice on the decision to testify
was at issue in
R. v. Faudar
, 2021 ONCA 226. Faudar was charged with firearms offences that were
discovered through the execution of a search warrant. He testified that,
unbeknownst to him, his friend left a handgun and ammunition in his music
studio. Faudar moved the items to his locked bedroom, where they were
discovered days later when the police executed the search warrant. His innocent
possession defence was rejected, and he was found guilty.
[52]
On appeal, Faudar alleged that he received
ineffective assistance from his trial counsel 聳 his lawyer insisted that he
testify, even though he did not want to. As in this case, appellate counsel
submitted that trial counsel essentially set his client up for certain failure
by having him admit, under oath, the legal elements of possession. In response,
it was the Crown聮s position that Faudar chose to testify, but it had no impact
on the verdict in any event 聳 because Faudar聮s s. 8
Charter
application
was unsuccessful, the evidence that was admitted overwhelming established his
guilt.
[53]
This court dismissed the appeal. Writing for the
court, Tulloch J.A. endorsed the holdings in
Stark
and
K.K.M
.
concerning the right of the accused to
make fundamental trial choices and the lawyer聮s corresponding obligation to
聯offer sage advice in this regard聰: at para. 80. He concluded that Faudar聮s
decision to testify was informed and voluntary, at para. 82: 聯Defence counsel
detailed the significant risk of conviction on the basis of constructive
possession in a reporting letter provided to the appellant prior to trial.聰
Moreover, Tulloch J.A. observed that there was ample evidence pointing to
constructive possession, even without Faudar聮s testimony: at para. 88. Nevertheless,
he held that there was some faint hope of success in Faudar聮s innocent
possession assertion that justified the decision to elicit his evidence.
[54]
Lastly, combined with other allegations of
incompetence, Tulloch J.A. determined that, even if defence counsel had made
some missteps, Faudar failed to establish that counsel聮s performance undermined
the integrity or reliability of the verdicts, or that it rendered the trial
unfair: at para. 109.
[55]
With these principles in mind, I turn to assess
the evidence proffered by the appellant and counsel.
(c)
The Appellant聮s Affidavit and Cross-Examination
[56]
In his affidavit, the appellant acknowledged
discussing with trial counsel the possibility of testifying. As he said:
In one of our meetings, [trial counsel] and I
discussed the possibility of me testifying. My understanding was that if I were
to testify on the section 8 motion, my evidence would not be part of the
substantive trial. It was [trial counsel聮s] idea that I not testify on the
trial, only the motion. It was also [trial counsel] who told me that my
testimony on the motion could not be used at the trial.
[Trial counsel] knew that if I were to testify
under oath I would have to admit that a portion of the cocaine found by the
police belonged to me. The bulk of it belonged to a friend of mine. [Trial
counsel] did not explain the concept of constructive possession.
[57]
The appellant stated that trial counsel advised
the trial judge that the procedure would be a blended procedure after the s. 8
Charter
motion was dismissed. In fact,
this occurred after the appellant testified, but before the trial judge聮s
ruling. The important point is that the appellant swore that trial counsel did
not confer with him before agreeing to the blended procedure, saying: 聯[I]t was
in direct contradiction to how [trial counsel] had told me my evidence could be
used. Had I known that my evidence would be admissible at my trial, I would not
have testified聰.
[58]
In his cross-examination, the appellant
testified that he had never previously been arrested or charged with a criminal
offence. He said, 聯[T]his charge is the first I聮ve ever been through the
process聰. Nevertheless, he knew that if the evidence was admitted, the case
against him was 聯overwhelming聰.
[59]
The appellant testified that he was not aware of
what a 聯blended trial聰 meant. When he eventually learned that his evidence
would be used on the trial, he did not raise the issue with trial counsel. As
he said:
No, I did not raise that concern with my
counsel. And at the end of the day, what I was told, my evidence would not be
used against me. I wouldn聮t have gone up there and confessed. I -- that聮s what
I was told. It would not be used against me. He gave me multiple examples of
people going up there and saying they did this and then it cannot be used in
the trial. And I also asked him, 聯Well, if a judge hears it, how is he going to
unhear it?聰 Kind of, if you know understand what I mean. He goes, 聯Well聰 --
(d)
Trial Counsel聮s Affidavit and Cross-Examination
[60]
The essence of trial counsel聮s affidavit is that
he was in frequent communication with the appellant about the conduct of his
trial. As he said, 聯[the appellant] was fully engaged in each and every
decision both up to and including the trial.聰 He emphasized that the defence of
the case was always focused on attempting to exclude the evidence seized
pursuant to the search warrant. Trial counsel said: 聯It was all or nothing, win
or lose. If the drugs were excluded we win, if the drugs were admitted we lose.聰
[61]
Trial counsel characterized as 聯nonsense聰 the
appellant聮s assertion that he first heard about the blended procedure when it
happened. As he explained: 聯He was fully aware of my tactics and that it would
be a blended trial and that this approach was specifically designed to be
effective with the learned trial judge and maximize our chances of success. If
he had not testified the chances of success were zero.聰 However, trial counsel
could not pinpoint precisely when he advised the appellant about a blended
procedure.
[62]
I wish to comment on an unfortunate passage in trial
counsel聮s affidavit. In his introductory paragraphs, he indicated that he had
known the appellant for a couple of decades and had been introduced to 聯friends
and associates of his who were also engaged in the sale of cocaine and other
illicit drugs.聰 Trial counsel then said: 聯It has always been abundantly clear
to me that Mr. Trought was a career drug dealer although he also engaged in
other lawful employment from time to time to earn an income and pay taxes, his
primary vocation was the sale of drugs.聰
[63]
This assertion is at odds with the appellant聮s
trial evidence, and his evidence on the fresh evidence application. The
appellant does not have a criminal record; in fact, before this case, he had
never been charged with a criminal offence.
[64]
I appreciate that a claim of ineffectiveness is
unpleasant for the lawyer who is the target of such an allegation. However, such
gratuitous comments about a former client are unhelpful and unnecessary to
respond to the allegations of ineffectiveness.
[65]
The cross-examination of trial counsel revealed
shortcomings in his response to the allegations of ineffectiveness. When
questioned by the respondent, trial counsel claimed that he received
instructions on the decision to testify. Asked whether he got written
instructions, he said: 聯Absolutely not. I, perhaps, am flawed in this regard. I
do not get written instructions from my clients.聰 Trial counsel spoke of 聯rare
occasions聰 when he might get written instructions and said, 聯But I wouldn聮t say
that 10 times out of a 47-year career have I received written instructions on
an issue like that.聰
[66]
When trial counsel was asked whether he advised
the appellant about a 聯blended trial聰, he said, 聯Well, I don聮t know if I ever used
the term 聭blended trial聮 to [the appellant]. I made it clear that he would give
evidence on the
voir dire
and that I would have the -- that the -- suggest that the evidence
apply to the trial itself.聰 He was unable to specify when this discussion
occurred.
[67]
The cross-examination of trial counsel revealed confusion
as to when the decision was made to go with a blended procedure. Trial counsel acknowledged
that he did not mention it to the trial judge at the outset of the motion, or
when the appellant testified. Yet, he maintained that the appellant always knew
that his only hope of success was to exclude the evidence of the drugs,
otherwise 聯[they] were toast on the trial.聰 The appellant聮s counsel referred trial
counsel to the exchange with the trial judge referred to in para. 35 above and
suggested that this was the point in time when the decision was made. Trial
counsel gave the following answer:
That聮s the way it looks, in reading. I don聮t
have a perfect memory of what was going on in my mind.
The judge caught me
by surprise when he raised that. I thought it was a valid thing for him to
raise.
I thought it was in [the appellant聮s] interest that if we lost the
motion, that the other evidence that [the appellant] had given was beneficial
to him in things like sentence. [Emphasis added.]
(e)
Factual Findings on the Evidence of Ineffective Assistance
[68]
Comparing the competing accounts by the
appellant and trial counsel against the backdrop of the trial transcript, I am
able to reach the following conclusions:
路
the appellant and trial counsel had many
discussions over the 39 months it took to bring this case to trial, yet trial
counsel could not pinpoint when he discussed the blended procedure with the
appellant;
路
the appellant understood that if he was
unsuccessful on his s. 8
Charter
motion, he would be found guilty;
路
although an Agreed Statement of Facts was filed
at trial, the appellant聮s understanding of this document and any participation
he may have had in its production, remained a question mark. Moreover, neither
in his affidavit nor during cross-examination did trial counsel rely on the
creation of this document to justify having the appellant admit his guilt under
oath;
路
the excerpt from the trial transcript (at paras.
26 and 35, above) and trial counsel聮s cross-examination (at para. 67, above)
strongly suggest that the first time he turned his mind to the possibility of a
blended procedure was mid-trial, when the trial judge raised the issue. It is also
clear from the record that, after the trial judge raised the issue, trial
counsel did not consult with the appellant before answering the trial judge聮s
question and agreeing to a blended procedure; and
路
trial counsel did not explain, nor did the appellant
understand, the concept of constructive possession as it related to all of the
drugs found at his apartment.
(f)
Conclusions on Ineffective Assistance
[69]
I am satisfied that the appellant did not
receive proper legal advice about his right to decide whether to testify, nor
did he authorize the expanded use of his testimony. These failings resulted in
an appearance of injustice that requires appellate intervention.
[70]
To begin with, the appellant was not made aware
of the concept of constructive possession. He took to the witness stand and testified
that about a fifth of the drugs seized 聯belonged聰 to him; the rest 聯belonged聰
to his friend. The trial judge rejected this factual assertion as untrue. But
it did not matter who
owned
the drugs in these circumstances 聳 as a result of the appellant聮s
admitted control over his apartment, and his knowledge that his friend聮s drugs
were being stored there, he would have been guilty by virtue of constructive
possession: see
Criminal Code
, R.S.C. 1985, c. C-46, s. 4(3);
R. v.
Morelli
, 2010 SCC 8, [2008] 1 S.C.R. 253, at para.
17.
[71]
In light of this shortcoming in advice, the
appellant聮s decision to testify was not an informed one. To repeat the words of
Doherty J.A. in
K.K.M
.
, at para. 91: 聯An accused is denied
his right to choose whether to testify when counsel actually makes the
decision, or when counsel provides no advice or advice that is so wanting, as
to preclude the accused from making a meaningful decision about testifying.聰
[72]
This misstep was compounded by trial counsel聮s
decision to convert the proceeding into a blended procedure, whereby the
appellant聮s sweeping (and unwitting) admission of guilt lost the protective
shield of the
voir dire
. It was incumbent on trial counsel to discuss the issue with the
appellant and to obtain instructions:
G.D.B
.
, at para. 34. Through a lack of proper
professional advice, coupled with a failure to consult and obtain instructions,
the appellant chose to testify on the
voir dire
, not knowing that his evidence would become the functional
equivalent of a guilty plea, or a sworn confession, as his counsel
characterized it on appeal.
[73]
I wish to be clear that the trial judge聮s
inquiry about a blended procedure was proper and timely. The cross-examination
of the appellant had taken the
voir dire
in a different direction, having little to do with the warrant, and
mostly focused on the appellant聮s drug dealing activities. But this was
predictable. In the circumstances, trial counsel ought to have paused, both for
the purposes of consulting with the appellant, and to review the appellant聮s just-completed
testimony with him before making the critical decision to have it apply to the
trial proper. By any measure, the appellant聮s cross-examination went terribly.
This is confirmed by the trial judge聮s numerous and adverse credibility
findings (see para. 37, above).
[74]
The appellant聮s trial became unfair because he received
inadequate legal advice. I accept that the case against him was considerable.
Once the drugs were admitted, a conviction was inevitable. But the appellant
was still entitled to competent advice in negotiating the criminal trial
process. As noted above, although he is an intelligent man, this was the first
time he had been charged with an offence. He needed to understand the legal
implications of his version of events, whereby he effectively confessed to
possessing over $100,000 worth of cocaine. He did so believing that his own
evidence could not be used against him when it came time to determine his
ultimate guilt or innocence.
[75]
The case was serious and the evidence was
strong. Nevertheless, to let this result stand in light of what happened at trial
would gut the right to effective assistance at a criminal trial, which is seen
as a principle of fundamental justice: see
G.D.B
.
, at paras. 24-25;
Joanisse
, at p. 57.
[76]
In concluding this ground of appeal, I wish to
comment on trial counsel聮s failure to obtain written instructions from the
appellant about the decision to testify. In
R. v.
W.E.B
.
, 2012 ONCA
776, 366 D.L.R. (4th) 690, aff聮d 2014 SCC 2, [2014] 1 S.C.R. 34, this court
recognized that the failure to obtain written instructions is a question of
professional prudence, not incompetence, but noted that the failure to do so is
聯ill-advised and contrary to counsel聮s best interests聰: at para. 10. See also
R. v. Shofman
, 2015 ONSC 6876, 90
M.V.R. (6th) 257, at para. 48.
[77]
The lawyer who fails to obtain written
instructions risks exposure to unfounded allegations of unprofessionalism: see
Christine Mainville, 聯Professionally Serving and Managing Clients: Defence
Counsel聮s Role in the Solicitor-Client Relationship聰,
For the Defence
, 39:3 (13 February 2019),
at p. 9. And although not indicative of ineffectiveness itself, the failure to
obtain instructions may undercut trial counsel聮s attempts to defend against
claims of ineffectiveness.
[78]
The failure to obtain written instructions also
makes it more difficult for an appellate court to adjudicate claims such as the
one advanced on this appeal: see
R. v. Hamzehali
, 2017 BCCA 290, 350 C.C.C. (3d) 71, at para. 76, leave to appeal
refused, [2017] S.C.C.A. No. 380, and
R. v. Wells
(2001), 2001 CanLII 24130 (Ont. C.A.), at para. 61. Written
instructions may resolve competing claims on appeal. In
R. v. Archer
(2006), 202 C.C.C. (3d) 60
(Ont. C.A.), Doherty J.A. observed, at para. 143, 聯The largest hurdle faced by
the appellant in trying to convince the court that the decision to testify was
made by trial counsel is the direction signed by the appellant during the
trial.聰 Similarly, in
Faudar
, at para. 82, Tulloch J.A. referred to a reporting letter sent by
trial counsel about the perils of constructive possession. The same approach
would also have been helpful in this case, avoiding the necessity of dueling
affidavits and cross-examinations.
E.
Disposition
[79]
I would allow the appeal, set aside the
conviction, and order a new trial.
Released: June
3, 2021 聯KF聰
聯Gary Trotter J.A.聰
聯I agree. K. Feldman J.A.聰
聯I agree. P. Lauwers J.A.聰
[1]
Neither Mr. Bottomley nor Ms.
Vanderheyden.
[2]
For example, he said: 聯I do not accept Mr. Trought聮s
explanation聰 for renting a car through an intermediary (para. 41); 聯I do not
believe him聰 in relation to only 500 grams of cocaine belonging to him (para.
42); 聯Mr. Trought聮s innocent explanation that the notebook referred to gym
promotions is simply not worthy of belief聰 (para. 42); 聯I found [his] evidence
to be contrived聰 in relation to meeting visitors in the lobby of his building
(para. 43). He later referred to the appellant聮s evidence as a whole as being
聯highly suspect聰 (para. 55).
|
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.聽 These
sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the
following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽 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. Tyrell, 2021 ONCA 15
DATE: 20210111
DOCKET: C67939
Juriansz, Jamal and Coroza JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Levar Tyrell
Appellant
Matthew Gourlay, for the appellant
Benita Wassenaar, for the respondent
Heard: December 8, 2020 by
videoconference
On appeal from
the conviction entered by Justice David L. Corbett of the Superior Court of
Justice on March 6, 2018, and from the sentence imposed on April 25, 2018.
Juriansz J.A.:
[1]
The appellant appeals his convictions by a judge
sitting alone on charges of attempted murder and assault of a police officer
with intent to resist arrest.
For the reasons that
follow,
I would allow the appeal from both convictions. The appellant also appeals his convictions
for firearm offences arising out of the same incident as the attempted murder
charge. As I explain below, I would dismiss the appeals from those convictions.
A.
the attempted murder charge
(1)
The relevant facts
[2]
Early in the morning of May 1, 2016, the victim was
shot in the abdomen while at an after-hours club. A single bullet shattered his
pelvis as it passed through his body. He was in a coma for 16 days, underwent
several surgeries, and remained in the hospital for a month. A photo array was
presented to the victim soon after he emerged from the coma and while still
under medication. He picked the appellant聮s photo but said he was not sure. He
did not mention having seen a gun. When a second photo array was presented
some
days later the victim positively identified the
appellant, said he had not seen a gun, but added the appellant
was known to carry
a gun.
[3]
At trial the
victim testified he was at the after-hours club in the early morning
when he saw the beginnings of a physical altercation between two men. Acting as
聯a good Samaritan聰 he physically intervened by pushing one man aside. Then,
while inquiring what was going on, he was shot. He testified that after being
shot he saw the appellant holding a gun. The victim had seen the appellant a
few times before and knew him by a nickname. Nothing negative had ever passed
between them and he did not know of any reason the appellant might have to harm
him.
[4]
A few weeks after the shooting the police spotted
the appellant聮s car while he was driving and boxed it into a parking space.
When they approached his car, he tried to flee and collided with
one of the officers
. The police recovered a loaded
handgun from the car that matched the spent bullet and casing found at the club
after the shooting.
[5]
The appellant
testified
at trial
. He acknowledged being at the after-hours club at the time of
the shooting and standing in the room where the victim placed him at the time
of the shooting. However, he denied being the shooter. He claimed that about a
week after the shooting the owner of the club offered to sell him a gun at an
extremely
low price. He bought the gun intending to
sell it for a sizable profit. It never occurred to him the gun might be 聯hot聰.
[6]
The appellant testified he did not know the
victim, did not recognize him from seeing him at the club before, and had no
reason to hurt him.
(2)
The trial judge聮s reasons for finding the
appellant guilty of attempted murder
[7]
The trial judge found the appellant聮s testimony 聯utterly
unbelievable聰 and found it did not raise a reasonable doubt of his guilt.
[8]
The trial judge accepted the victim聮s testimony
at trial
identifying the appellant and placing a gun
in his hands. The trial judge said there was no reason to believe the victim
was deliberately trying to set up the appellant to take the fall for the
shooting. The victim had identified the appellant after regaining consciousness
from a coma, and it would be a remarkable coincidence
that
he just
happened to point
the finger at
the person
who was
found in possession of the
gun
that had been
used. The victim聮s testimony
and the ballistics evidence were independent of each other, and both pointed to
the appellant聮s guilt.
[9]
The trial judge found additional support in the
appellant聮s conduct after the shooting. First, he had driven a friend to her
place and then had spent the night there. The trial judge observed he had 聯no
good explanation聰 for not going home. He accepted the Crown聮s submission 聯that
he did not go home because he was afraid that police would be looking for him
and the first place they would look was his house.聰 Second, after the
appellant聮s illegally parked car had been towed away during the night, the
appellant did not retrieve his car himself but sent a friend. The trial judge did
not believe he had another family obligation and accepted the Crown theory
聯that [the appellant] knew he had hidden the gun in the car and he was afraid
that he would be arrested if he went to pick up the car himself聰.
[10]
The trial judge rejected the defence聮s argument
at trial
that the position of the victim, the
apparent trajectory of the bullet, and the position of the bullet and shell
casing after the shooting supported an inference that the shot came from a
place in the room other than from where the appellant was standing. The trial
judge found the bullet and shell casing may have been kicked as people fled the
room and the argument was not supported by expert testimony.
[11]
The trial judge said the eyewitness identification
of the shooter combined with the police locating the gun in the car trunk of
the person whom the eyewitness had identified as the perpetrator made this 聯an
overwhelming crown case聰.
[12]
The trial judge instructed himself as to the specific
intent required for attempted murder, saying:
Attempted murder is a specific intent offence.
The crown must establish beyond a reasonable doubt that [the appellant]
intended to kill [the victim]. Not just that he intended to shoot into a crowd
of people or intended to fire the shot that ultimately hit [the victim]. The crown
must establish beyond a reasonable doubt that [the appellant] had the specific
intention to kill [the victim].
[13]
Though there was no evidence of the motive for
the shooting, the trial judge observed that 聯[t]he crown need not prove motive
and intent may be inferred from the circumstances of the acts that took place.聰
The trial judge then inferred the appellant had the specific intent to kill the
victim, saying:
Here, I find [the appellant] intentionally
fired his handgun across about 20 feet of distance, about 6 metres, striking [the
victim] in the abdomen. There is no evidence of accident. There is no evidence
of mistaken identity. There is no evidence that [the appellant] was aiming for
someone else. In
all of
these circumstances I
am prepared to infer that [the appellant] intended the natural and probable
consequences of his act, given his relative proximity to [the victim] and the
absence of any evidence
that
he intended
something other than the natural consequences of shooting [the victim].
In my view, that is sufficient to make
out the
specific intent requirements for attempted murder.
(3)
The appellant聮s argument
[14]
The appellant stressed that the Crown had to
prove not only that the appellant discharged the firearm, but that he
discharged it with the specific intent to kill:
R. v. Boone
, 2019 ONCA
652, 56 C.R. (7th) 432, at para. 51;
The Queen v. Ancio
, [1984] 1
S.C.R. 225, at pp. 248-49. As the doctrine of transferred intent does not apply,
the Crown had to prove the appellant intended to kill the person he shot:
R.
v Gordon
, 2009 ONCA 170, 94 O.R. (3d) 1, at para. 69, leave to appeal
refused, [2009] S.C.C.A. No. 177. The 聯recklessness聰 arm for intent to murder
does not apply:
Ancio
, at pp. 250-51.
[15]
The appellant submits that while the trial judge
accurately stated the legal standard for the intent required, he erred in how
he applied that legal standard to the
facts of this
case
.
[16]
The appellant does not
take
issue with
the trial judge聮s finding of fact that the appellant
聯intentionally fired his handgun across about 20 feet of distance, about 6
metres, striking [the victim] in the abdomen.聰 Rather, he argues the finding of
intent was with respect to his physical act of firing the handgun, not with
respect to the consequence of striking the victim in the abdomen. The trial
judge聮s conclusion he had the specific intent to kill was an inference. The
appellant accepts that where the evidence proves beyond a reasonable doubt the
accused has committed a particular act, the common-sense inference may bridge
the inferential gap allowing the trier of fact to make a finding of specific
intent. As Cory J.A. (as he then was) observed in
R. v. Bains
,
[1985]
O.J. No. 41 (C.A.), at para. 27, leave to appeal refused, [1985] S.C.C.A. No.
158:
All firearms
are
designed to kill
. A handgun is a
particularly
insidious
and lethal weapon. It is easy to carry and conceal, yet at close range, it is
every bit as deadly as a .50 calibre machine gun.
It
follows that when
,
at close range
, a handgun is pointed at a
vital portion of the body of the victim and fired, then
in the absence of
any explanation the only rational inference
that can be drawn is that the gun was fired
with the
intention of killing
the victim. [Emphasis added]
[17]
However, the appellant argues the application
of the common-sense inference was manifestly inappropriate here. He proffers as
an example an accused who, wildly brandishing a handgun, pulls the trigger and
happens to hit
the head of a bystander 100 yards
away. While it could be said that the accused shot the victim in the head, one
could not make a common-sense inference that the accused had the specific
intent to kill the victim. The appellant submits that in the circumstances of this
case the trial judge misapplied the common-sense inference that sane and sober people
intend the natural and predictable consequences of their acts and reversed the
burden of proof.
[18]
Here, there was no hint of a motive. Both men testified
there was no animus between them. During argument the trial judge had
recognized that the gap between the proven act of shooting and proof of the
required intent was wide. He had observed 聯I don聮t have any evidence of what [the
appellant聮s] intent was other than the fact that he fired at these men.聟So, I
mean, I don聮t think that聮s enough to get me beyond a reasonable doubt that he
intended to hit [the victim].聰
[19]
The appellant submits the trial judge erred by
abandoning his initial instinct.
He resorted to
the common-sense inference and found the inference should be drawn because the
appellant
had not led any evidence of accident
or
mistake. This resulted in the reversal of the burden of proof. The appellant
submits the resort to the common-sense inference was unreasonable in
the circumstances of
this case.
(4)
The Crown聮s argument
[20]
The Crown
took the
position
that the trial judge made a factual error in stating that the
appellant fired his handgun from a distance of 20 feet. The Crown points out
that the victim had testified the appellant was 10 feet away when the victim saw
him holding the gun. No other witness had testified about the distance between the
appellant and the victim. The Crown submits the distance of 20 feet in the trial
judge聮s reasons is without evidentiary support.
[21]
Had the trial judge considered the distance from
which the appellant fired the handgun to be 10 feet from the victim, as the
victim testified, the Crown submits, the common-sense inference that the
appellant intended to kill the victim would have been very strong. The Crown
submits that the common-sense inference is still available if the distance is considered
to be
20 feet but recognizes the inference would
be less
compelling in that case
.
(5)
Discussion
[22]
I am not persuaded
that
there is no evidentiary support for the trial judge聮s finding that the
distance between the appellant and the victim was about 20 feet. The location
of the appellant and the victim at the time of the shooting were each clearly
marked on photographs in the record. The photographs
make
clear that
they were each standing in diagonally opposite corners of the
room. A police witness who had measured the room had testified it was 4.05
metres wide and 6.87 metres long, or 13 录 feet wide and 22 陆 feet long. Therefore,
the distance between the diagonally opposite corners would
necessarily
be appreciably greater than the 6.87
metres or 22 陆 feet measured length of the room.
[23]
The better view is that the trial judge did not
make a mistake but that he based his finding of the distance between the
appellant and the victim on their positions in the room and the dimensions of
the room. It is worth noting that in his reasons for sentence the trial judge said
the distance between the appellant and the victim at the time of the shooting was
six to seven metres. The trial judge聮s finding was not clearly wrong,
unsupported by the evidence, or otherwise unreasonable, and should not be interfered
with:
R. v. Clark
, 2005 SCC 2, [2005] S.C.R. 6, at para. 9.
[24]
When the distance between the shooter and the
victim is taken to be about 20 feet or six metres as found by the trial judge, I
am satisfied the circumstances cannot support the inference beyond a reasonable
doubt that the appellant had the specific intent to kill the victim.
[25]
The trial judge had accepted the evidence of the
appellant
that
he had no reason to hurt the
victim. This was corroborated by the evidence of the victim. The victim offered
an account of having intervened in an altercation between two men, neither of
whom bore any known connection to the appellant. The appellant had fired a
handgun from a distance of about 20 feet across a dimly lit, crowded room
in the direction of
the victim with the men
who were
involved in an altercation standing near
him. As the trial judge had commented during argument, there was no evidence of
what the shooter聮s intent was other than that he had fired at these men. The
trial judge noted there was no evidence of accident or mistaken identity. He
might have noted there was no evidence that the victim was the intended target.
That the shooter might have intended to shoot a different person, perhaps
one of the men
involved in the altercation, is not
an irrational or fanciful conjecture. The trial judge should have considered this
reasonable possibility:
R. v. Villaroman
,
2016 SCC 33, [2016] 1
S.C.R. 1000, at para. 37.
[26]
I would allow the appeal of the conviction for
attempted murder.
(6)
Other issues
[27]
It is unnecessary to deal with the appellant聮s
other
arguments in detail
. First, the
appellant argues that the trial judge聮s assessment of his post-incident conduct
was based on misapprehensions of the evidence and these affected his assessment
of the appellant聮s credibility. Second, the appellant argues that the trial
judge erred in summarily dismissing his application to admit video statements
from two witnesses
who were
at the club but
did not witness the shooting. The appellant submits the admission of this
evidence would have undermined the victim聮s credibility.
[28]
I am not persuaded the post-incident conduct was
of much
, if any,
importance in undermining the
appellant聮s credibility. Before referring to post-incident conduct the trial
judge had
already
found the coincidence of the
victim identifying the appellant and the appellant聮s possession of the gun was
聯way too remarkable for [him] to be able to accept [the appellant聮s] story聰. The
trial judge
made no mention of
the post-incident
conduct in describing this as an 聯overwhelming crown case聰.
As well
, the trial judge used the appellant聮s post-incident
conduct as additional evidence to support his finding that the appellant was
the shooter, a finding
that was
not attacked in
the argument on appeal.
[29]
Nor am I persuaded that the video statements,
had they been admitted, would have had any material effect on the trial judge聮s
assessment of the victim聮s credibility. That the statements should have been
admitted was pressed far more vigorously on appeal than it seems to have
been at trial
.
[30]
These two grounds of appeal,
which apply to all the appellant聮s convictions arising from the shooting
incident, fail. Neither of these grounds has any bearing on
the appellant聮s conviction for assaulting a police officer with
intent to resist lawful arrest.
B.
the Assault Police charge
(1)
The trial judge聮s reasons for finding the
appellant guilty of assaulting a police officer with intent to resist lawful
arrest
[31]
Count 11 of the indictment charged the appellant
with assaulting a police officer with intent to resist lawful arrest contrary
to s. 270(1)(b) of the
Criminal Code
.
[32]
The trial judge summarized the evidence of how
the police arrested the appellant. They spotted his car when he was driving and
boxed it into a parking space. As the police approached the car, they ordered the
appellant to stay inside the vehicle and told him there was an arrest warrant
for him. The appellant disobeyed their direction and attempted to run away,
colliding with
one of the officers
. The
appellant testified he was seeking to avoid contact with the officer as he was trying
to get away.
[33]
The trial judge accepted the appellant聮s
motivation and intention was to escape from the police and found him guilty of
assaulting police with intent to resist arrest contrary to s. 270(1)(b) of the
Criminal
Code
. Speaking of the appellant聮s collision with the officer, the trial
judge said:
This is a natural consequence of the attempt
by [the appellant] to resist arrest, this physical contact between the
two of them
, and is a natural consequence of his
intent to run headlong as fast as he could to
try to
get
around the officer.
In my view, in
those
circumstances, the physical contact that took place
was
a result of
reckless disregard as to whether there would be physical
contact between the two
of them
and his
conduct for which [the appellant] is liable under this charge to a finding of
guilt.
There was not a specific intent to assault
. There was an intent
to run headlong towards an officer whose duty and obvious intention was to stop
[the appellant]
in order
to effect a lawful
arrest. [Emphasis added.]
(2)
The appellant聮s position
[34]
The appellant submits he was found guilty of
this charge
on the basis of
recklessness. He
points out that the offence of assaulting police with intent to resist arrest in
s. 270(1)(b) of the
Criminal Code
combines the basic intent to assault
with the additional intent to resist a lawful arrest. He quoted this passage from
Morris Manning and Peter Sankoff,
Manning, Mewett & Sankoff 聳 Criminal
Law
, 5th ed. (Toronto: LexisNexis Canada, 2015), at p. 975: 聯applications
of force that are careless or negligent do not constitute assault, and the fact
that an injury resulted from the force does not alter the need for the
offender聮s intention to be proven beyond a reasonable doubt.聰
[35]
The appellant also relied on the decision
of this court
in
R. v. Palombi
, 2007 ONCA
486, 225 O.A.C. 264, at para 35, stating: 聯[t]here is, of course, also a
mens
rea
or fault element for the simple (common) assault offence. The force
must have been applied intentionally.聰
[36]
The appellant submits that while the trial
judge found
that
he intended to resist arrest,
the trial judge also
expressly
found he lacked
the specific intent to assault the officer. Given these findings, the trial
judge erred by convicting him on this charge.
(3)
The Crown聮s argument
[37]
The Crown accepted the appellant聮s exposition of
the law and reviewed the testimony of the two police
officers
in detail
. The appellant had dipped his shoulder, buckled up like a
hockey or football player, and had charged at the officer. The Crown pointed out
that the appellant, himself, had said he tried to 聯run through聰 the officer. This
evidence, the
Crown submitted
,
made clear
beyond a reasonable doubt that the
appellant had the intention to assault 聳 not just an intention to resist
arrest.
(4)
Discussion
[38]
I agree with the Crown that the testimony of the
officers and of the appellant himself could well support a finding that the
appellant intentionally collided with the officer while attempting to get away.
However, the trial judge accepted the appellant聮s testimony that he tried to
avoid contact with the officer. He convicted the appellant
on the basis of
his 聯reckless disregard聰 as to
whether he would
make contact with
the officer.
The trial judge聮s express finding that the appellant did not have the specific
intent to assault is a finding of fact. Given this finding of fact, the
conviction on this charge cannot stand and must be set aside. As the trial
judge聮s finding
is determinative of
this
charge on its merits, an acquittal must be entered.
C.
Conclusion
[39]
I would allow the appeals from conviction, and
set aside the appellant聮s convictions for attempted murder and assaulting a
police officer with intent to resist lawful arrest and enter acquittals on those
charges. I would dismiss the appeals from the other convictions appealed from.
[40]
Count 2 of the indictment charged the appellant
with committing an aggravated assault on the victim contrary to s. 268(2) of
the
Criminal Code
, R.S.C. 1985, c. C-46. At the conclusion of
sentencing, the trial judge conditionally stayed this count
pursuant to
Kienapple v. The Queen
, [1975]
1 S.C.R. 729 as the appellant was convicted of attempted murder on count 1. At
the end of oral argument, the appellant acknowledged that, if his conviction on
count 1 were to be set aside, the proper result would be a conviction for
aggravated assault. Proceeding in accordance with the Supreme Court聮s decision
in
R. v. Provo
,
[1989] 2 S.C.R. 3, at p. 22, I would remit the
matter to the trial judge to register a conviction on the aggravated assault
charge and sentence the appellant for that offence.
[41]
I would set aside the conditional stay on the
aggravated assault charge and remit the matter back to the trial judge to enter
a conviction and sentence the appellant on that charge. In light of this
disposition I would dismiss the appellant聮s request for leave to appeal the
sentence as moot.
Released: January 11, 2021 聯RGJ聰
聯R.G. Juriansz J.A.聰
聯I agree. M. Jamal J.A.聰
聯I agree. S. Coroza J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Ukwuaba, 2021 ONCA 152
DATE: 20210310
DOCKET: C65917
Feldman, Paciocco and Coroza
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Peter Ifejuna Ukwuaba
Appellant
Jessica Zita, for the appellant
Brian G. Puddington, for the respondent
Heard: March 8, 2021 by video
conference
On appeal from the convictions entered
by Justice Casey Hill of the Superior Court of Justice on May 11, 2015, with
reasons reported at 2015 ONSC 2953, [2015] O.J. No. 2349, and from the sentence
imposed on February 17, 2016, with reasons reported at 2016 ONSC 3109, [2016]
O.J. No. 2817.
REASONS FOR DECISION
OVERVIEW
[1]
The appellant, Peter Ukwuaba, was convicted
after a trial by judge alone of three offences involving approximately one kilogram
of heroin: (1) possession of heroin for the purpose of trafficking, contrary to
s. 5(2) of the
Controlled Drugs and Substances Act
, S.C. 1996, c. 19
(聯
CDSA
聰); (2) importing heroin, contrary to s. 6(1) of the
CDSA
;
and (3) conspiracy to import heroin, contrary to s. 465(1)(c) of the
Criminal
Code of Canada
, R.S.C. 1985, c. C-46. He was sentenced to 11 years聮
imprisonment, concurrent on each charge.
[2]
Mr. Ukwuaba聮s appeal counsel conceded,
appropriately, that evidence showing he possessed the heroin for the purpose of
trafficking was overwhelming. Accordingly, the conviction contrary to
CDSA
s. 5(2) is not being appealed. The appellant does, however, appeal the
remaining two convictions and he seeks leave to appeal his sentences.
[3]
We notified counsel at the end of the oral
hearing that, for reasons to follow, the conviction appeals are dismissed, but
that leave to appeal the sentences is granted and the sentence appeal is
allowed. The sentences of 11 years聮 incarceration concurrent on each conviction
are set aside, and concurrent sentences of 9 years聮 incarceration are ordered.
These are our reasons.
ANALYSIS
Appeals from conviction
[4]
Mr. Ukwuaba rested
his conviction appeals on the absence of evidence linking him to the
importation of the heroin until July 15, 2011, the day after the heroin left
India by courier secreted in a box of automobile parts. On July 15, 2011, Mr.
Ukwuaba received a text message containing the tracking number for the package and,
on July 25, 2011, he received delivery of the package. He argues that, in the
absence of any evidence of his participation in discussions leading to an agreement
to export the heroin from India, the conspiracy conviction is unreasonable. He
also submits that the fact that he took delivery of the couriered package upon
its arrival cannot support a finding beyond a reasonable doubt that he was
complicit in the importation.
[5]
We do not agree
with either submission. It is evident that a package of valuable contraband
would be sent to a trusted recipient. This couriered package of valuable
contraband was addressed to a former resident of a rooming house. There was
evidence that Mr. Ukwuaba was aware that the former resident no longer lived
there. There was also evidence that Mr. Ukwuaba had formerly lived there
himself and continued to receive mail deliveries at that residence, so he was
aware that he could easily gain entry to receive a couriered package.
[6]
It is also
evident that Mr. Ukwuaba was aware of the time when the couriered package would
be delivered. He arrived at the subject residence shortly before the delivery,
after having received a phone call from the same number used to text him the
tracking number. Upon his arrival, he was observed conducting counter-
surveillance of the residence before taking delivery of the couriered package.
He was apprehended shortly after attempting to destroy the packaging
information showing the origin of the box containing the heroin.
[7]
In these
circumstances, it was appropriate for the trial judge to infer that Mr. Ukwuaba
was the trusted recipient and that he would necessarily have agreed to perform
that role prior to the decision to send the heroin by courier to his former
residence. It was entirely reasonable, in the circumstances, for the trial
judge to infer that Mr. Ukwuaba would have provided the details required to
give effect to the importation plan before the courier shipment was arranged.
[8]
Accordingly, his
convictions of importing heroin and conspiracy to import heroin were not
unreasonable.
Appeal from
sentence
[9]
In support of
his request for leave to appeal the 11-year concurrent sentences of
imprisonment imposed on each of the three charges for which he was convicted,
Mr. Ukwuaba urges that the trial judge failed to consider the principle of
restraint or the mitigating circumstances that he was a first offender and the
principal caregiver to his autistic son.
[10]
We do not
accept this submission. The trial judge recognized in his sentencing decision
that Mr. Ukwuaba was a first offender, and he imposed a sentence that reflects
the principle of restraint. It was open to the trial judge to conclude that the
sentence he imposed was 聯necessary聰 to satisfy the operative sentencing
principles.
[11]
However, fresh
evidence introduced on appeal shows that circumstances have changed materially since
Mr. Ukwuaba was sentenced in February 2016. In May 2017, he suffered a
debilitating stroke that left him largely immobile and with serious impairment of
his ability to communicate. Given his poor health, the circumstances of Mr.
Ukwuaba聮s incarceration are no doubt harsher than anticipated at the time of
his sentencing, and the needs for specific deterrence and incapacitation have
lessened. When Mr. Ukwuaba was initially sentenced, the Crown sought a sentence
of 9 to 12 years聮 incarceration. We are persuaded by Ms. Zita, Mr. Ukwuaba聮s
appeal counsel, that it is in the interests of justice to set aside the 11-year
concurrent sentences imposed, and to substitute concurrent sentences of 9 years聮
incarceration.
DISPOSITION
[12]
The conviction
appeals are therefore dismissed. We grant leave to appeal the sentence, set
aside the sentences imposed, and substitute sentences of 9 years聮 imprisonment,
to be served concurrently on each of the three convictions. All other terms of
the sentence remain.
聯K. Feldman J.A.聰
聯David M. Paciocco J.A.聰
聯S. Coroza J.A.聰
|
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.聽 These
sections of
the Criminal Code
provide:
486.4(1)聽聽聽聽聽聽 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)聽聽聽聽 any of the
following offences;
(i)聽聽聽聽聽 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)聽聽聽聽聽 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 complainant聮s sexual integrity and that conduct would be an offence
referred to in subparagraph (i) if it occurred on or after that day; or
(iii)聽聽聽聽 REPEALED: S.C.
2014, c. 25, s. 22(2), effective December 6, 2014 (Act, s. 49).
(b)聽聽聽聽 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)聽聽聽聽 In proceedings
in respect of the offences referred to in paragraph (1)(a) or (b), the
presiding judge or justice shall
(a)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽 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)聽聽聽聽聽聽 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)聽聽聽聽聽 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. V.E., 2021 ONCA 254
DATE: 20210422
DOCKET: C67695
Fairburn A.C.J.O., Doherty and
Sossin JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
V.E.
Appellant
Cassandra Richards, for the appellant
Gregory Furmaniuk, for the respondent
Heard: April 14, 2021 by video conference
On appeal from a conviction on a charge
of sexual assault entered by Justice Marc D聮Amours of the Ontario Court of
Justice, dated April 1, 2019.
REASONS FOR DECISION
[1]
The appellant appeals his conviction on a charge of sexual assault.
[1]
At the end of counsel聮s submissions, the court dismissed the appeal with
reasons to follow. These are those reasons.
[2]
It is not necessary to go into the details of the evidence. This was
essentially a two-witness case. The complainant testified she did not consent
to sexual intercourse. The appellant testified the complainant consented and only
told him to stop after he had ejaculated. The outcome at trial turned on the
trial judge聮s assessment of the credibility of the appellant and the
complainant, and the proper application of the burden of proof to those
credibility assessments.
[3]
The trial judge聮s reasons demonstrate he appreciated the
issues, the position of the parties, the centrality of his credibility assessments,
and the importance of the burden of proof. He structured his reasons to a large
degree to track the submissions of trial counsel. He also specifically directed
himself on the three-step approach set down in
R. v. W. (D.)
, [1991] 1 S.C.R. 742.
[4]
The trial judge began
with a consideration of the appellant聮s evidence. After a thorough review of
that evidence, the trial judge said, at p. 13:
Given all these contradictions, the testimony of the defendant
cannot be believed. His testimony does not raise a reasonable doubt.
[5]
Having completed steps one and two of
R. v. W.D.
, the trial
judge moved to the third step which, on the evidence adduced in this case, turned
entirely on his assessment of the credibility of the complainant. Once again, the
trial judge thoroughly reviewed the evidence. He ultimately determined the
complainant was credible and the Crown had proved its case beyond a reasonable
doubt.
[6]
On appeal, the appellant argues the reasons are so deficient as to constitute
an error in law. In her oral submissions, counsel advanced three arguments in
support of this submission. She claims the trial judge:
路
summarized, but did not analyze the evidence and failed to make
necessary findings of fact;
路
failed to address the argument that the complainant had a motive
to fabricate her allegation; and
路
made a finding that the appellant admitted wrongdoing in a text
message when that finding could not be justified on the totality of the
relevant evidence.
[7]
As the appellant acknowledges, the trial judge did thoroughly review the
evidence. The reasons did not, however, stop there. The trial judge provided
cogent, detailed reasons for rejecting the appellant聮s evidence and concluding
it could not raise a reasonable doubt. Those reasons are supported by the
evidence.
[8]
The trial judge also explained why he accepted the complainant聮s
evidence, albeit in a somewhat less detailed manner. In the course of reviewing
the complainant聮s evidence, the trial judge referred to and explained why he
rejected various arguments that had been advanced on behalf of the appellant,
challenging the complainant聮s credibility.
[9]
In the circumstances, it was not necessary for the trial judge to make discrete
findings of fact in relation to matters other than whether the sexual conduct
was consensual. The trial judge聮s credibility findings, which are adequately
explained in his reasons, lead inevitably to a finding the complainant did not
consent to sexual intercourse. On reading these reasons, there is no doubt why
the trial judge convicted the appellant.
[10]
The
second submission arises out of the trial judge聮s failure to deal with the
defence argument that the complainant had a motive to fabricate an allegation
of sexual assault against the appellant. The trial judge did not deal with this
argument in his reasons. Given the credibility findings, however, it is
implicit that the trial judge rejected the argument that the complainant
decided to fabricate a false allegation of sexual assault to get the appellant
out of her home.
[11]
A
trial judge is not required to address each and every argument in the reasons
for judgment. On the evidence adduced in this case, the argument the
complainant fabricated the allegation of sexual assault to get the appellant
out of her home, made little sense. She testified she called the police because
she was physically afraid of the appellant and wanted him out of her home. When
she called, she made no allegation of sexual assault and, on her evidence, did
not intend to make any such allegation. The complainant first referenced the
sexual assault when questioned by the police after they had arrived. The
evidence concerning the manner in which the allegation of sexual assault was
made to the police is not consistent with the complainant having formulated a
plan to call the police and falsely accuse the appellant of sexual assault.
[12]
In
the course of her able submissions in this court, counsel suggested a variation
on the argument put forward at trial. She suggested the complainant may have
formulated the false allegation after the police arrived to buttress her
request that the police remove the appellant from the home. This suggestion was
not put to the complainant and does not appear to have been part of the defence
theory at trial. It is not surprising the trial judge did not advert to this
possibility in his reasons.
[13]
The
final point deals with the trial judge聮s treatment of a text exchange between
the appellant and the complainant, during which the appellant appears to
acknowledge prior wrongs done to the complainant. The appellant argues the
trial judge took this as an admission by the appellant in respect of the sexual
assault charge. He argues not even the complainant put that interpretation on
the appellant聮s text message.
[14]
We
do not read the trial judge聮s reasons as making a finding of an admission with
respect to the specific events giving rise to this charge. Rather, he took the
appellant聮s words as an admission of having treated the complainant in an
abusive manner. That admission was relevant both to whether the sexual
intercourse was consensual, and the appellant聮s credibility.
[15]
In summary,
the trial judge聮s reasons adequately served their intended purposes. They
explained why the trial judge reached the verdict he did, and they sufficiently
exposed the trial judge聮s reasoning to effective appellate review.
[16]
The
appeal is dismissed.
聯Fairburn A.C.J.O.聰
聯Doherty J.A.聰
聯L. Sossin J.A.聰
[1]
The appellant pleaded guilty to other charges and was
acquitted on still other charges. None of those charges are before this court.
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Van Ravenswaay, 2021 ONCA
393
DATE: 20210604
DOCKET: C66787
Tulloch, Roberts and Trotter JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Wim Van Ravenswaay
Appellant
Daniel Ciarabellini, for the appellant
Michael Malleson, for the respondent
Heard: May 14, 2021 by video
conference
On appeal from the order of Justice David
L. Edwards of the Superior Court of Justice dated September 12, 2018, with
reasons at 2018 ONSC 5348.
REASONS
FOR DECISION
[1]
The appellant appeals from the dismissal by
Edwards J. (聯the application judge聰) of the appellant聮s certiorari application
to quash the order of Colvin J. (聯the appeal judge聰).
[2]
At the conclusion of the hearing of this appeal,
we advised the parties that the appeal was dismissed with reasons to follow.
These are those reasons.
[3]
At the commencement of the appellant聮s appeal
from his April 26, 2017 conviction under s. 186(1) of the
Environmental
Protection Act
, R.S.O. 1990, c. E.19, and from his 45-day sentence imposed
by Justice of the Peace K. Boon, the appeal judge refused to allow the
appellant聮s agent, Gary McHale, to represent him, and he refused to adjourn the
appeal to allow the appellant to obtain other representation. The appeal was
not completed, and a portion of the argument was adjourned. In the interim, the
appellant applied for certiorari of the appeal judge聮s decisions disqualifying Mr.
McHale and refusing the appellant聮s adjournment request. The application judge
dismissed the appellant聮s application for certiorari but, with the respondent聮s
support, permitted the appeal to be restarted in its entirety before the appeal
judge.
[4]
The appellant submits that the application judge
erred by dismissing the certiorari application because he failed to recognize
and rectify the substantial wrongs or miscarriages of justice that the
appellant argues were occasioned by the appeal judge聮s disqualification of the
appellant聮s agent of choice and by his refusal to adjourn the appeal.
[5]
We are not persuaded by these submissions. We see
no error justifying appellate interference.
[6]
We do not accept that the application judge and
the appeal judge applied the wrong test. The application judge correctly framed
his review of the appeal judge聮s reasons for disallowing Mr. McHale to act as
the appellant聮s agent by reference to the governing principles articulated by this
court in
R. v. Romanowicz
(1999), 178 D.L.R. (4th) 466 (Ont. C.A.), as
interpreted and applied in
R. v. Allahyar
, 2017 ONCA 345, 348 C.C.C.
(3d) 206.
[7]
Romanowicz
involved the competence of unlicensed paralegals to represent accused persons in
summary conviction matters and was decided prior to the licensing of paralegals
by the Law Society of Ontario. The court reiterated an accused聮s constitutional
rights to a fair trial and to competent representation by legally trained
counsel, and recognized that accused persons have the right to choose their
mode of representation as part of their constitutional right to control their
own defence, namely, whether to be represented by a lawyer, an agent, or to
represent themselves.
[8]
However, the court did not conclude that accused
persons have a constitutional right to representation by the non-lawyer of
their choice. On the contrary, the court highlighted a court聮s authority, by
statute or pursuant to its inherent power to control its own processes, to bar
any person from appearing as an agent who is not a barrister and solicitor if
the court finds that the person is not competent to properly represent or advise
the person for whom he or she appears as agent, does not understand and comply
with the duties and responsibilities of an agent, or if competent, on whom the
court cannot rely for their 聯integrity, honesty, or forthrightness聰 or ability
聯to conduct a trial ethically and honourably聰:
Romanowicz
, at para. 74.
[9]
Indeed, the court in
Romanowicz
described
a court聮s power to deny audience to an agent 聯whose participation in proceedings
would either damage the fairness of those proceedings, impair the ability of
the tribunal to perform its function or otherwise undermine the integrity of
the process聰, as part of the court聮s obligation 聯to protect the integrity of
the proceedings, including the accused聮s right to a fair trial and the
accused聮s right, within the limits of the law, to choose a representative聰: at
paras. 61 and 64.
[10]
This court in
Allahyar
concluded, at
para. 28, that the principles articulated in
Romanowicz
聯are of
broader application聰 and apply in the context of the representation of accused
persons by unlicensed representatives in provincial offences matters. Citing
R.
v. Cunningham
, 2010 SCC 10, [2010] 1 S.C.R. 331, at paras. 18-19, the
court confirmed, at para. 11, that 聯[t]he right of a representative to appear
is subject to the court聮s authority to control its own process聰.
[11]
Also in
Allahyar
, this
court
detailed the procedure set out in
Romanowicz
to be followed when a
party attends with an unlicensed representative. This includes determining
whether the party has made an informed choice to be represented by the agent,
followed by an inquiry into the propriety of the representation. This fact-specific
inquiry involves the kinds of concerns suggested in
Romanowicz
, namely
聯questions of competence, discreditable conduct, conflict of interest and a
demonstrated intention not to be bound by the rules and procedures governing
criminal trials聰:
Allahyar
, at para. 17. The court confirmed that
disqualification of an accused聮s chosen representative is a serious matter and
is justified only where it is necessary to protect the proper administration of
justice.
[12]
Returning to the particular circumstances of
this case, the application judge noted that the appeal judge properly followed
the
Romanowicz
principles and procedure to assess the propriety of the
appellant聮s representation by Mr.聽McHale, a non-lawyer and non-paralegal. Specifically,
the application judge observed that, following a detailed discussion of these
issues with Mr.聽McHale and the respondent, the appeal judge concluded that
Mr. McHale did not understand and properly comply with the duties and
responsibilities of an agent. The application judge also agreed that Mr.
McHale聮s conduct prior to the trial 聯was not one which would lead one to
believe that either he understood or was complying with those duties and
responsibilities聰. The application judge referenced the appeal judge聮s example that
as an admitted tactic, Mr. McHale and the appellant intentionally did not
notify the court or the respondent that Mr. McHale would represent the
appellant, knowing that the respondent would object because Mr. McHale had been
disqualified from acting for the appellant in a previous, related proceeding.
[13]
Both the application and appeal judges viewed
this conscious omission, correctly in our view, as a deliberate and improper attempt
by the appellant and Mr. McHale to put the respondent at a disadvantage in a
manner inconsistent with the obligations of litigants and their representatives
to ensure the smooth operation of court proceedings so that precious court time
is not wasted. Such deceitful misconduct is contrary to the proper
administration of justice and undermines the purpose of the
Provincial
Offences Act
, which is to provide a 聯speedy, efficient and convenient
method of dealing with [the] offences聰 that it governs:
R. v. Sciascia
,
2017 SCC 57, [2017] 2 S.C.R. 539, at para. 18, citing
R. v. Jamieson
(1981), 64 C.C.C. (2d) 576 (Ont. C.A.), at pp. 551-52. Whether or not Mr.
McHale was simply following the appellant聮s instructions in concealing his
involvement, as the appellant argued he was, is a distinction without a
difference. The fact is that he was knowingly engaged in misconduct that
affected the due administration of justice. The appeal judge聮s decision disqualifying
Mr. McHale from acting for the appellant was therefore justified in these
circumstances.
[14]
Finally, we agree with the application judge聮s
determination that the appeal judge聮s refusal to grant an adjournment caused no
substantial wrong or miscarriage of justice. As the application judge observed,
it should have come as no surprise to the appellant that, having indicated on
his court filings that he would represent himself, he would be required to
proceed with the appeal if his stratagem to have Mr. McHale represent him
failed. In any event, the appeal was adjourned and, noting the respondent聮s support,
the application judge stated that the appellant, either personally or with
counsel or an agent who is not disqualified, could restart his appeal before
the appeal judge. As such, there is no prejudice to the appellant and the
adjournment issue has become moot.
[15]
Accordingly, the appeal is dismissed.
聯M. Tulloch
J.A.聰
聯L.B.
Roberts J.A.聰
聯Gary
Trotter J.A.聰
|
COURT OF APPEAL FOR ONTARIO
CITATION: R. v. Veerasingam, 2021 ONCA 350
DATE: 20210526
DOCKET: C66227
Watt, Benotto and Harvison Young
JJ.A.
BETWEEN
Her Majesty the Queen
Respondent
and
Sivanesan Veerasingam
Appellant
Richard An, for the appellant
Katie Doherty, for the respondent
Heard: May 18, 2021 by video
conference
On appeal from the conviction entered on
June 4, 2018 by Justice Christine Pirraglia of the Ontario Court of Justice.
REASONS FOR DECISION
[1]
Project Raphael is a police undercover operation
designed to address the sale of sexual services of children. The police post an
ad pretending to be a young girl in the section of a website called Backpage
which advertises sexual services of 聯escorts聰. The ad in this case included a
photograph ostensibly of the young girl but was actually a police officer. She was
scantily dressed and her face was not shown. The ad professed that the poster was
18 years old, the minimum age required by Backpage.
[2]
The appellant responded to one of the ads. A
series of text messages followed between the appellant and the officer. They
included the following three exchanges:
Officer:聽聽聽聽聽聽聽 are you OK if I聮m not 18 yet
hun? Some guys are down and some aren聮t
Appellant:聽聽聽 If you OK with
Officer:聽聽聽聽聽聽聽 Im 15 hun im okay with it if u
are
Appellant:聽聽聽 I聮m OK
Appellant:聽聽聽 Are you new in the businesses???
Officer:聽聽聽聽聽聽聽 Im
15 of course im new
[3]
The appellant was given the hotel address and
the room number. He went to the hotel and was arrested when he arrived at the
room. The appellant was charged with and convicted of luring a person under 16
by means of telecommunication (s.聽172.1(2) of the
Criminal Code
)
and procuring the sexual services of a person under 18 (s. 286.1(2)).
[4]
At trial, the appellant called no evidence and
his counsel made no submissions regarding his guilt or innocence.
The trial judge convicted the appellant.
[5]
After the conviction, the appellant applied to
stay the proceedings based on entrapment. During the entrapment hearing, he
testified that he was confused about the girl聮s age and was not convinced she
was under 18. He said he tried to call her to find out her age but could not
reach her because the ad said to communicate only by text. He said he went to
the hotel room to 聯check it out聰 and see for himself how old she was. The trial
judge dismissed the application.
[6]
The appellant appeals the convictions and the
entrapment decision.
Convictions
[7]
To support the conviction appeal, the appellant
relies on the evidence he gave at the entrapment application. He says that
pursuant to the Supreme Court聮s decision in
R. v. Morrison
, 2019 SCC
15, [2019] 2 S.C.R. 3, the Crown failed to prove beyond a reasonable doubt that
he believed the girl was under 18 or did not make reasonable efforts to verify
her age.
[8]
The appellant relies on no authority to support
the use of the entrapment application evidence on the conviction appeal.
Instead he draws an analogy to a fresh evidence application. He did not make a
fresh evidence application. Nor did he seek to comply with the requirements of
R.
v. Palmer
, [1980] 1 S.C.R. 759.
[9]
The conviction appeal is to be considered solely
on the record before the court at trial. He called no evidence and, based on
the text message exchange, there was ample evidence to support the conviction. The
trial judge did not err and there is no reason to overturn the conviction.
Entrapment
[10]
The day before this appeal was argued, this
court released four decisions in a grouped appeal dealing with Project Rafael
and entrapment.
[1]
The
court found in those cases that there had been no entrapment.
[11]
The appellant argues that the basis for
entrapment in his case is different. He submits that the police developed a
scheme that prevented him from taking reasonable steps to verify the girl聮s age.
He could not call her, and he could not meet her in person to verify that she
was over 18.
[12]
We do not accept this submission.
[13]
First, the design of the project did not deprive
him of taking reasonable steps during the communication. During the
communication, he made no inquiries about her age. He only inquired about her
willingness to engage in a specific sex act.
[14]
Second, as the application judge found, once the
communication was completed, the offence was complete. For that reason, the
appellant聮s argument that he should have been afforded the opportunity to
verify her age by visually assessing or calling her must fail. The offences in
which he was charged arise from the communications. By the time he got to the
hotel, the offence had already been committed:
R. v. Drury
, 2020 ONCA
502, at paras. 50-51.
[15]
The trial judge聮s finding that there was no
entrapment, and in particular no inducement, was consistent with the principles
on entrapment articulated in
R. v. Mack
, [1988] 2 S.C.R. 903, and
R.
v. Ahmad
, 2020 SCC 11.
[16]
The notice of appeal and factum raised the issue
of ineffective assistance of counsel. However, this court聮s protocol was not
followed, and no oral submissions were made in this regard. 聽We therefore treat
this ground as abandoned.
[17]
The appeal is dismissed.
聯David
Watt J.A.聰
聯M.L.
Benotto J.A.聰
聯A.
Harvison Young J.A.聰
[1]
R. v. Ramelson
, 2021 ONCA 328,
R. v. Jaffer
,
2021 ONCA 325, R. v
. Harrina,
2021 ONCA 326,
R. v. Dare,
2021
ONCA 327.
|