Master
Master
Master
In the interest of fairness to all the parties, and to ensure this court
has a full command of the facts which the plaintiffs seek to have put
into evidence, the Court is asked by the Respondent for the plaintiffs
to waive its rule on limiting the size of a pleading and to accept this
Factum in its entirety.
International Law State Immunity Article 4 Question Of Service
[1] Pleadings - Grounds - Strike Applicatiosn The plaintiffs sued the government of the Republic of
Bulgaria and others in two separate actions - Defendant seeks an order setting aside plaintiffs
claims arguing that it is a foreign state under the State Immunity Act, and therefore immune to the
jurisdiction of Canadian courts - However, the only defence the Defendant raised was that it was
immune by virtue of the State Immunity Act -plaintiffs , inter alia, seek to strike the applications
as disclosing no defence - and the state immunity issue to be set aside for the reasons that follow..
[2] Accordingly, the application will be dismissed. An extension of time to allow for service, in
accordance with s. 9(2) will be granted. While some argument might be made that counsel for the
Commission's appearance on the motion constituted a voluntary attornment to the jurisdiction, I
understand that appearance to be conditional only - for the purpose of arguing the state immunity
and service issues. Accordingly, I do not treat it as a voluntary attornment.
[3] Before Evans, J., in KAC (Kuwait) supra.., IAC challenged the jurisdiction of the English Court
on four grounds. (1) The service of the proceedings on IAC at its office in London was not
effective, either under Ord. 65, r. 3, or under s. 695 of the Companies Act 1985 . (2) IAC, as a
"separate entity," was entitled to immunity from suit in this country, under s. 14(2) of the State
Immunity Act 1978 , because the proceedings related to things done by it in the exercise of
sovereign authority and (contrary to the contention of KAC) IAC was not precluded from
invoking state immunity by reason of having submitted to the jurisdiction. (3) The proceedings
related to acts which were not justiciable in the English courts, on the principles stated by your
Lordships' House in Buttes Gas and Oil Co. v. Hammer (No. 3); Occidental Petroleum Corp. v.
Buttes Gas and Oil Co. (No. 2) , [1982] A.C. 888 (H.L.). (4) The Compensation Commission
established pursuant to U.N. Security Council Resolution 687 provided the only appropriate forum
for the resolution of the dispute. Evans, J., decided all these issues (except that relating to
submission to the jurisdiction) in favour of KAC. The Court of Appeal however decided that IAC
was entitled to immunity under s. 14(2) of the Act of 1978 and (in agreement with Evans, J.), that
it had not submitted to the jurisdiction, and on that basis did not find it necessary to consider the
other points upon which IAC relied. They upheld the judge's decision that the purported service of
proceedings on Iraq was ineffective. Against the decision of the Court of Appeal KAC now
appeals to your Lordships' House.
[4] [8] I shall consider the issues which have arisen for decision by your Lordships' House in the
following order:
[5] A. Whether the writ was effectively served on IAC.
[6] B. Whether the writ was effectively served on Iraq.
[7] C. Whether IAC, as a separate entity, was entitled to immunity under s. 14(2) of the State
Immunity Act 1978 .
[8] D. Whether the proceedings relate to issues which are not justiciable in the English courts.
[10] Sovereignty - Incidents of - Immunity - When determined - Germany obtained an order dismissing
an action against it based on state immunity - On appeal, the plaintiff asserted that the motions
judge erred by determining immunity on the merits - The judge should only have decided whether
it was "plain and obvious" that Germany was entitled to claim immunity - The Ontario Court of
Appeal rejected the submission - The "plain and obvious" approach could not be applied to
motions to dismiss founded on immunity - The court would not withhold its decision until the end
of trial - The State Immunity Act contemplated that immunity had to be decided before the action
proceeded - Under s. 4(2)(c), a state submitted to the jurisdiction where it took a step in the
proceedings, with the exception of claiming immunity - If the matter proceeded to trial, the foreign
state would be in the untenable position of either not participating or participating and thereby
losing its immunity - See paragraphs 14 to
International Conflict of Laws - Torts Jurisdiction - Waiver Immunity - Serice
[13] The Defendant, even though a foreign state must however be responsible to the laws of
jurisdictions in which its representatives, employees, officers, officials, agencies or
instrumentalities jointly and severally operate. A "wrong" in this jurisdiction includes a breach of
"statutory duty". There are statutory duties imposed under British Columbia statutes like the Trade
Practice Act, R.S.B.C. 1996, c.457. These can lead to foreign corporations or non-incorporated
bodies, with no presence in British Columbia, conducting their affairs in conformity with their
domestic law, being judged under Section 13.1(1)(a) of the Trade Practice Act according to
standards of conduct under British Columbia statutes for acts or omissions that occur in their own
country.
[14] The Federal, Court of appeal found in v. Panama Canal (supra.), that the argument, that service
was not proper, as correct. The court concluded that in the first place, s. 9(3)(c) must refer to the
rules of the domestic jurisdiction within which the proceeding is commenced. Any other
interpretation invites the difficulties which the defendants met in this case: not being able to
comply with the foreign rules of court because those rules are designed to govern litigation
commenced therein. Secondly, although the Commission referred to itself as "an agency in the
executive branch of the United States government", it is the definition of agency in the State
Immunity Act , R.S.C. 1985, c. S-28, that governs, not the Commission's self- description. Section
2 of that Act states:
"'agency of a foreign state' means any legal entity that is an organ of the foreign state but that is
separate from the foreign state;"
[15] Most of the jurisprudence which was cited involves attempts, prior to the enactment of the State
Immunity Act , to determine whether an entity was separate from a foreign state for the purpose of
making it answerable to suit in the particular court in question. In this context, in Ferranti-Packard
Ltd. v. Cushman Rentals Ltd. (1980), 30 O.R.(2d) 194, the Ontario High Court referred to the
reasoning of Lord Denning in Trendtex Trading Corp. v. Central Bank of Nigeria , [1977] 1 Q.B.
529, at p. 559 (C.A.):
"I confess that I can think of no satisfactory test except that of looking to the functions and control
of the organization. I do not think that it should depend on the foreign law alone. I would look to
all the evidence to see whether the organization was under government control and exercised
governmental functions."
[16] The court, then, went on to examine the constitutive legislation for the New York Thruway
Authority. It was that organization whose status was under consideration. Factors which were
assessed as relevant to the issue of separateness were: the amount of state control over the
organization; whether it could sue or be sued in its own name; whether it was a separate legal
(corporate) entity. This same approach was followed in Ogdensburg Bridge and Port Authority v.
Edwardsburg (Township) (1966), 59 D.L.R.(2d) 537 (Ont. C.A.).
[17] In the present case, the defendants rely on a number of features of the Panama Canal Treaty
Between the United States of America and the Republic of Panama, 1977 and on the Panama
Canal Act , 22 USCS § 3601 - 3872, in support of their contention that the Commission is an
organ of the foreign state "that is separate from the foreign state".
[20] The "official act" is not challanged, its is the damages resulting from the act, the personal injury
and property losses, by the "official act" for which the plaintiffs seek relief. and the exception of s.
6, and its connection to s. 5.
[22] Sovereignty - Incidents of - Immunity - Waiver - In 2000 Bulgaria signed the Hague Convention
on the Service of Extra Judicial and Judicial Documents agreement- The Plaintiffs hold that when
Bulgaria consciously observed Rule 11, Rules of the Court and subordinated the conflicting
procedures of this agreement and its national law to the Rules, Bulgaria made an explicit
submission to the jurisdiction of the Canadian courts, such as to constitute a waiver of state
immunity within the meaning of s. 4(2)(a) of the State Immunity Act .
[23] The State Immunity Act was proclaimed, and by its terms, came into force on July 15, 1982. It is
intended as the domestic implementation of international legal principles that have evolved on a
state by state basis rather than being created or codified by multilateral treaty. Generally, the effect
of sovereign immunity is that the host country recognizes the independence of every other
sovereign state and declines to exercise by means of its courts any of its territorial jurisdiction
over that sovereign or its property, which but for this doctrine, would be subject to its jurisdiction:
see Ship Parlement Belge (1880), 5 P.D. 197 (C.A.), at p. 217.
[24] Sovereign immunity at common law was not absolute, however. It was modified over time and
admitted of four exceptions. A foreigner has no immunity in respect of (1) land situate in the host
state, (2) trust funds or moneys lodged for the payment of creditors, (3) debts incurred for service
of its property in the host state and (4) commercial transactions entered into with a trader in the
host state: see Thai-Europe Tapioca Service Ltd. v. Government of Pakistan et al. , [1975] 3 All
E.R. 961 at pp. 965-966 (C.A.).
[25] However, the notion that sovereign immunity is not absolute is of recent origin. Latterly there has
been a shift to what is referred to as the "restrictive principle of sovereign immunity". A brief
review of the nature of the two approaches to sovereign immunity - restrictive and absolute - is
helpful in understanding the impact and effect of the State Immunity Act .
[26] The doctrine of absolute immunity is neatly summarized in the words of Lord Atkin in Ship
Cristina , [1938] A.C. 485 at p. 490 (H.L.), quoted by H.L. Molot and M.L. Jewett in Canadian
Yearbook of International Law (1982), p. 79:
"The first [proposition of international law engrafted into our domestic law] is that the courts of a
country will not implead a foreign sovereign, that is, they will not by their process make him
against his will a party to legal proceedings whether the proceedings involve process against his
person or seek to recover from him specific property or damages.
"The second is that they will not by their process, whether the sovereign is a party to the
proceedings or not, seize or detain property which is his or of which he is in possession or
control."
[27] In approaching questions of immunity, English common law "drew by analogy from the position
of the Crown itself - i.e., that the Crown itself is immune from suit and by analogy that foreign
sovereigns should also be": see Jewett, Integrating International Law into Canadian Domestic
Law: Sovereign Immunities (1981), 10 Canadian Council on International Law Proceedings 202.
[28] Professor Ian Brownlie writes in Principles of Public International Law (4th Ed.) (Oxford:
Clarendon Press, 1990), at pp. 322-336 that restrictive immunity emerged from doctrinal and
judicial responses to the extension of state activity into commercial enterprises and public sector
intervention in national economies. He notes at pp. 327-328 that Belgian and Italian courts
responded to these developments by crafting a distinction between
"acts of government, jure imperii , and acts of a commercial nature, jure gestionis , denying
immunity from jurisdiction in the latter case. This approach, often called the doctrine of restrictive
or relative immunity, has been adopted by the courts of at least 20 countries. Another 11 states
support the restrictive approach in principle."
[29] The State Immunity Act thus continues the fundamental extension of immunity to a foreign
sovereign at the same time as acknowledging that such immunity, in particular contexts, is to be
recognized in a restricted rather than an absolute fashion. Judicial review of the assertion of
immunity has the advantage, particularly in a commercial context, of depoliticizing the assessment
of the legal validity of the immunity claimed. Such considerations are reflected in the Act itself.
The immunity is declared in s. 3 and ss. 5, 6 and 18 set out exceptions to that immunity as they
may have application to this case. For convenience, they are provided here:
"3(1) Except as provided by this Act, a foreign state is immune from the jurisdiction of any court
in Canada.
"(2) In any proceedings before a court, the court shall give effect to the immunity conferred on a
foreign state by subs. (1) notwithstanding that the state has failed to take any step in the
proceedings.
[30] .....
[31] "5. A foreign state is not immune from the jurisdiction of a court in any proceedings that relate to
any commercial activity of the foreign state.
[32] "6. A foreign state is not immune from the jurisdiction of a court in any proceedings that relate to
[33] (a) any death or personal injury, or
[34] (b) any damage or loss of property that occurs in Canada.
[35] .....
[36] "18. This act does not apply to criminal proceedings or proceedings in the nature of criminal
proceedings."
[37] It is significant for the purposes of this proceeding, that s. 6(a) introduces death and personal
injury as an exception to statutory immunity. Such an exception was not recognized at common
law.
[38] Issue 1 Are The Respondents Entitled To Immunity?
[39] The Plaintiffs concede that the Minsitry of Finanace and Ministry of Health and their institutions
or agencies are political subdivisions of the foreign state within the meaning of s. 2(c) of the Act
and are prima facie entitled to immunity.
[40] Sutherland, J., noted that Sucharitkul, in his article Immunities of Foreign States before National
Authorities (1976), 149 Recueil des Courts, Academie de Droit International 89, Chapters 1 and 11
at p. 100, set out the principle that:
[41] "... a state acts through its organs or agencies, which normally include the persons, representatives,
subordinate organs, instrumentalities, corporations and government departments, which
constitutionally form organic parts of the machinery of the central government of a sovereign
state. Such agencies being part and parcel of the state are generally accorded the same immunity
as the state they represent."
[42] This principle was also adopted by Molot and Jewett in their analysis of the State Immunity Act in
State Immunity Act - Basic Principles (1983), 61 Canadian Bar Review 843. The authors state at
pp. 848-849:
[43] "To the extent that any such instrumentality is an integral part of the state and its machinery of
government, it may be said that the acts of the instrumentality are those of the state."
[44] To avoid having its action dismissed on the ground of state immunity, a plaintiff would have only
to sue the functionaries who performed the acts. In the event that the plaintiff recovered judgment,
the foreign state would have to respond to it by indemnifying its functionaries, thus, through this
indirect route, losing the immunity conferred on it by the Act.
[45] The Random House Dictionary (2nd Ed. 1987) defines "functionary" as "a person who functions
in a specified capacity, esp. in government service, an official, civil servants, bureaucrats and other
functionaries ".
[46] The position at common law and under the State Immunity Act is the same on this issue. Whether
the tortious acts alleged in the statement of claim, the acts that the responding parties performed
were within the scope of their duties as functionaries and they are entitled to state immunity if
immunity is available to. The fact that the Act is silent on its application to employees of the
foreign state can only mean that Parliament is content to have the determination of which
employees are entitled to immunity determined at common law. It will be a matter of fact for the
court to decide in each case whether any given person performing a particular function is a
functionary of the foreign state.
[47] Sovereignty - Incidents of - Immunity - Foreign agencies - The State Immunity Act provided that,
"except in certain circumstances, a foreign state is immune from the jurisdiction of Canadian
courts. Foreign state includes 'any government of the foreign state or of any political subdivision
of the foreign state, including any of its departments, and any agency of the foreign state'" .
[48] [39] It follows that the respondent's claim to immunity falls to be dealt with under the common
law. Accordingly the question is whether, in accordance with the law laid down in I Congreso , the
act complained of was "iure imperii" or "iure gestionis". This must be judged against the
background of the whole context in which the claim is made. The question is not an altogether
easy one, but I have come to the conclusion that the Court of Appeal were correct to designate the
act complained of as being "iure imperii".
[49] Sovereignty - Incidents of - Immunity - General - The Supreme Court of Canada discussed the
common law antecedents of the State Immunity Act (Can.) - The court also compared Canada's
codification of the common law with the statutory model in the United States -
[50] In Carrato v. United States of America (1982), 40 O.R.(2d) 459 (H.C.)., a receiver had been
appointed by the Federal Court of the United States to recover income taxes owing by the
plaintiff's husband. The court order instructed the receiver to seize the assets of the husband
whether located in the United States or elsewhere. Acting under this authority, the receiver came to
Canada and seized business assets owned jointly by the husband and wife. The plaintiff sued for
damages for unlawful trespass, entry and seizure of goods located in Canada and for other relief.
[51] A motion was brought before Steele, J., to dismiss the action on the ground that the defendant, the
United States of America, was immune from action. It was contended that the defendant was not
entitled to claim indemnity because the acts of the receiver were illegal. Steele, J., disposed of this
ground in the following passage at p. 461:
[52] "In Amanat Khan et al. v. Fredson Travel Inc. (No. 2) (1982), 36 O.R.(2d) 17; 133 D.L.R.(3d) 632,
I reviewed the law with respect to sovereign immunity. The basic principle is that such immunity
is absolute. However, in England, and to a lesser extent in Canada, some exceptions to this rule
have been recognized. None of the exceptions have related to illegal acts of a foreign state but all
relate to commercial or property matters of a private nature. Some cases have referred to a
distinction between conduct in the nature of a public or private act. No case has even indicated
that an act of a public nature is exempt from absolute privilege. It would appear from the decision
in Gouvernment de République Démocratique du Congo v. Venne , [1971] S.C.R. 997; 22
D.L.R.(3d) 669, that acts that some persons might normally consider to be commercial are not so
when they are done in the performance of a sovereign act of state."
[53] As indicated earlier, in the United States, the comparable legislation to the State Immunity Act is
the FSIA , supra. In Herbage v. Meese , 747 F.Supp. 60 (D.C.D.C. #1990), affd. without reasons
946 F.2d 1564 ( 1991), it was alleged that certain of the defendants who were functionaries of the
British Government had entered into an illegal conspiracy to extradite the plaintiff to the United
States. The defendants moved to dismiss the action as against them on the ground that they were
entitled to immunity under the FSIA . It was contended that the defendants were not entitled to
immunity because of the alleged illegalities. Green, J., dealt with this contention at p. 67:
[54] "Arguing that these defendants, acting illegally, cannot have the benefit of immunity, Herbage
contends they are subject to this court's jurisdiction. Nonetheless, these men were acting in their
official capacities as agents of the British government (both on a national and local level); those
actions cannot and do not subject them to liability in the courts of the United States. Since the
activity complained of is governmental in nature and performed by officials of that government,
this court does not have jurisdiction over a foreign sovereign. Texas Trading & Milling Corp. v.
Federal Republic of Nigeria , 647 F.2d 300, 307 (2d Cir. #1981), cert. denied, 454 U.S. 1148; 102
S. Ct. 1012; 71 L.Ed.2d 301 (1982).
[55] "The FSIA is absolute in this regard, no matter how heinous the alleged illegalities. The court has
no authority to address the legality of the defendants' actions."
[56] [33] The background to the State Immunity Act 1978 is well known. It is described at length in the
speech of Lord Wilberforce in I Congreso and I need not repeat it in any detail. Until 1975
England, almost alone of the major trading nations, continued to adhere to a pure, absolute
doctrine of state immunity. In the 1970's, mainly under the influence of Lord Denning, M.R., we
abandoned that position and adopted the so-called restrictive theory of state immunity under which
acts of a commercial nature do not attract state immunity even if done for governmental or
political reasons. This development of the common law was confirmed by your Lordships' House
in I Congreso in relation to acts committed before the passing of the Act of 1978 .
[57] [1] Lord Hope of Craighead : My Lords, this case is concerned with the immunity of a foreign
state from the jurisdiction of the English courts. The respondent is an official of the Department of
Defense of the United States of America, of which country he is also a citizen. The United States
of America has asserted immunity on his behalf in regard to proceedings which the appellant has
brought against him in this country for damages. Her claim relates to a memorandum which the
respondent wrote in his capacity as educational services officer at the United States base at
Menwith Hill R.A.F. Station in North Yorkshire. She claims that it contained untrue statements
about her and was defamatory.
[58] [2] The immunity which is accorded by English law to foreign states in civil proceedings is the
subject of two separate regimes. The first is that laid down by Part I of the State Immunity Act
1978, by which a foreign state is immune from the jurisdiction of the United Kingdom courts
unless one of a series of exceptions to immunity in ss. 2 to 11 applies. The only exception on
which the appellant seeks to rely in this case is that which is to be found in s. 3 of the Act , which
relates to commercial transactions and contracts to be performed in the United Kingdom. The
second regime is that under the common law. It applies to all cases that fall outside the scope of
Part I of the Act . It is also necessary in this case to consider s. 16(2) of the State Immunity Act
1978, as this section disapplies Part I of that Act where the proceedings relate to "anything done
by or in relation to the armed forces of a state while present in the United Kingdom".
[59] Holland (appellant) v. Lampen-Wolfe (respondent) Indexed As: Holland v. Lampen-Wolfe House
of Lords Lord Hope of Craighead, Lord Cooke of Thorndon, Lord Clyde, Lord Hobhouse of
Woodborough and Lord Millett July 20, 2000.
[69] Sovereignty - Incidents of - Immunity - Scope of - When determined - A plaintiff and his
dependent sued foreign functionaries for personal injuries arising from their tortious acts and an
ongoing conspiracy - The functionaries claimed sovereign immunity - Although common law did
not except personal injuries from state immunity, s. 6 of the federal State Immunity Act did - The
Ontario Court of Appeal refused to apply s. 6 where (1) the alleged conspiracy was entered into in
Florida to harm the plaintiff's Florida business interests; and (2) no torts were committed in
Canada after the passage of the Act - See paragraphs 49 to 54 - The court stated that "... immunity
attaches when the foreign state is permitted to exercise a presence in the host country and is
subject to whatever terms are recognized at the time of such entry " - See paragraph 49.
[70] Sovereignty - Incidents of - Immunity - Acta imperii (sovereign or public acts) - Holland, an U.S.
professor, taught U.S. military personnel and others at an U.S. base in the United Kingdom under a
commercial agreement between her university and the U.S. Government - Lampen-Wolfe, an
education services officer (civilian) of the U.S. Department of Defence, wrote a memorandum
questioning Holland's professional competence - Holland sued Lampen-Wolfe in the United
Kingdom for defamation - The House of Lords held that Lampen-Wolfe was protected by state
immunity under common law - He acted as a U.S. official in the course of the performance of its
sovereign function of maintaining its armed forces in the United Kingdom - Section 6 of the
European Convention on Human Rights and Fundamental Freedoms, which guaranteed access to
justice, did not impact on U.S. state immunity.
International Law - Topic 2202
[72] The Defendant has put forward a proposition to this Court that an international tribunal is more
likely the forma conveniens for the Plaintiffs complaints. As the Respondent has identified to this
Court and as is obvious from the Defendant's applications no such tribunal is named. However, it
can be inferred from the affidavit of Dobreva that the international tribunal in question is the
European Court and the convenient forum for the Defendant. The European Convention on
Human and Fundamental Rights the applicable international agreement. This deserves some
discussion.
[73] First Canada is not a party to this agreement and a guiding principal of the European Court as a
final court is to examine complaints only after the applicant has exhausted the national courts of
the High Contracting Party, a fortiori, citizens of Canada cannot seek judicial redress before the
European Court for wrongs affecting them outside the jurisdiction of a contracting state.
[74] A reading of Article 6 of the European Convention affords to everyone the right to a fair trial for
the determination of his civil rights and obligations. This reflects the principle of English law to
which Sir Thomas Bingham, M.R., gave utterance in a celebrated and much quoted observation
that the policy which has first claim on the loyalty of the law is that wrongs should be remedied:
see X v. Bedfordshire County Council , [1995] 2 A.C. 633, at p. 663.
[75] This may appear to be inconsistent with a doctrine of comprehensive and unqualified state
immunity in those cases where it is applicable, however there is in a practical sense no such
inconsistency. This is not because the right guaranteed by art. 6 is not absolute but subject to
limitations, nor is it because the doctrine of state immunity serves a legitimate aim. It is because
art. 6 forbids a contracting state from denying individuals the benefit of its powers of adjudication.
[76] The European Convention does not and can not however extend the scope of these powers of
adjudication beyond the national law of the contracting state, instead it requires the contracting
states to maintain fair and public judicial processes and forbids them to deny individuals access to
those processes for the determination of their civil rights. The Court may recall the
correspondence of the Defendant's Minister Dimitar Tonchev to the Plaintiff Kapoustin wherein
the Defendant Bulgaria has wrongly enforced this policy of "access" in the alternative, to deny
rather than secure a determination of civil rights [see: Affidavit Kapoustin Exhibit " " ].
[77] Returning to the inference of the Defendant to the European Court. The reasoning of the European
Convention presupposes that the contracting state in question has the powers of adjudication
necessary to resolve the issues in dispute. As the respondent has said earlier in this Factum
international law can not confer on Bulgaria as a contracting state adjudicative powers which it
simply does not possess.
[78] European Court case law overwhelming demonstrates it is not jurisdiction forma conveniens. If
this Court finds it necessary the Respondent can cited numerous cases in which the European
Court of Human Rights has examined the circumstances in which an individual has been denied
access to the courts of a contracting state and has held that the denial was not unlawful because it
pursued a legitimate aim and was proportionate. It is a reasonable inference that, if this had not
been the case, the court would have found that there was an infringement of Convention rights.
But in those cases the extent of the jurisdiction of the state party was not in question. Where it is, it
must be determined first, for if the state party has no jurisdiction to exercise, questions of
legitimate aim and proportionality do not arise. Bulgaria can not adjudicate the legitimate aims
and issues raised by the plaintiffs in either action. As can be seen from the affidavit (Amicus
Curai) of xxxxit the Bulgaria Civil Code of Procedure and Commercial Codes simply do not have
the procedural tools or substantive law necessary to fairly hear..
[79] The immunity claimed by Bulgaria in the present case goes further than required by international
law, and the exceptions of commercial activity, personal injury and loss or damage to property.
The Criminal Code of Canada, the Human Rights Act and Charter will oblige this Court to decide
the two cases before it, whether under statute or at common law, and the compatibly of the
Defendant's acts with its European Convention obligations. In the interests of justice and a fair
hearing this Court should do so unless it is prevented from doing so by primary or other legislation
which cannot be read compatibly with the European Convention, case law shoes no such
incompatibility.
Foma Conveniens
[80] Actions - General - Forum conveniens - Considerations - The Plaintiffs Michael, Tracy and
Nicholas Kapoustin sued the Minister of Finance Republic of Bulgaria in two separate actions -
One action alleged inter alia, defamation with malice, personal injury and breach of contract, and
interference with commercial activities. The other, undue influence and interference causing a
breach of contract and interference with commercial activities. Bulgaria seeks an order setting
aside plaintiffs claims - Bulgaria argued that British Columbia was not a convenient forum for the
action - Pleadings inferred that, inter alia, the nature and subject matter of the actions made an
"international tribunal" the forum conveniens. Bulgaria made no inferences or assertions as to the
location of witnesses, the location of documents, and the juridical advantage or disadvantage to
the parties should the provincial court hear the action.
[81] Actions - International Comity - State Immunity Forum Conveniens - Considerations -The
Plaintiffs Michael, Tracy and Nicholas Kapoustin sued the Minister of Finance Republic of
Bulgaria in two separate actions. One action alleged inter alia, defamation with malice, personal
injury and breach of contract and interference with commercial activities. The other, undue
influence and interference causing a breach of contract and interference with commercial
activities. The Defendant Bulgaria seeks an order setting aside the Plaintiffs claims against
Bulgaria, it inferrs that the Ministry of Finance as a government department of a foreign state
under the State Immunity Act, is immune to the jurisdiction of the British Columbia courts. [see:
Calgary Univ. v. Colorado Sch. of Mines (1995), 179 A.R. 81 (QB)]
Forma Conveniens
[82] Ex juris Defendant - Applications - Rule 13(10) of the Rules of Court - Defendant a foreign
government seeks to set aside service of endorsed Writs of Summons and Statements of Claim -
Defendant Bulgaria claims there is no connect of the plaintiffs' claims and the courts of Canada. A
provincial legislature has no power to impose its own laws on extra-territorial status, contracts,
conduct or property. Choice of law rules are part of the Provinces' common law and subject to the
same constitutional limits as are all legislative endeavours. [Hogg, op. cit. At pp.13-23]
[83] Counsel for the defendant argues that this court should decline jurisdiction on the basis of forum
conveniens , that the applicable substantive law is that of an international tribunal.
[84] On the issue of prima facie jurisdiction, the defendant maintains that the Supreme Court of British
Columbia does not have jurisdiction in these actions by virtue of the parties residing in British
Columbia, the defendant challenges the court's jurisdiction.
[85] There are four decisions in particular which were of assistance that the Respondent refers to :
[86] Stern v. Dove Audio, Inc. , [1994] B.C.J. No. 863 (B.C.S.C.);
[87] Tolofson v. Jensen; Lucas (Litigation Guardian of) v. Gagnon , [1994] 3 S.C.R. 1022, [1994] 3
S.C.J. No. 110 (S.C.C.);
[88] Hanlan v. Sernesky , [Q.L. 1998 O.J. 1236] (C.A.Ont.); (1997) 35 O.R. (3d) 603
( Ont.Crt.Gen.Div.);
[89] Amchem Products Inc. v. British Columbia (Workers' Compensation Board ) (1993), 77 B.C.L.R.
(2d) 62 (S.C.C.).
[90] Actions - Forum conveniens - Considerations - The Supreme Court of Canada stated that "in
Canada, a court may exercise jurisdiction only if it has a 'real and substantial connection' (a term
not yet fully defined) with the subject matter of the litigation; ... This test has the effect of
preventing a court from unduly entering into matters in which the jurisdiction in which it is
located has little interest. In addition, through the doctrine of forum non conveniens a court may
refuse to exercise jurisdiction where, under the rule elaborated in Amchem ... if there is a more
convenient or appropriate forum elsewhere."
[91] The Supreme Court of Canada held that the general rule was that the substantive law of the lex
loci delicti (where injury occurred) applied, subject to circumstances where a rigid application of
the rule would result in injustice (international litigation only) - The rule had the advantages of
certainty, easy application, predictability and met normal expectations - The court rejected the
approach of the courts applying their own substantive law subject to the wrong being "
unjustifiable" in the other jurisdiction - That rule violated the territoriality principle - The court
also rejected the "proper law of the tort" rule -
[92] Actions - General - Forum conveniens - Considerations - Plaintiffs refer to the test for forum
conveniens set out by, inter alio, the Alberta Court of Appeal in United Oilseed Products Ltd. v.
Royal Bank of Canada wherein Stevenson, J.A., said "1. The test to be applied in all cases where
there is an issue of determining the appropriate forum, is that of forum conveniens, the forum
which is more suitable for the ends of justice. 2. Where a forum possesses jurisdiction over a
defendant, as of right, the defendant must show that there is another available forum which is
clearly or distinctly more suitable. 3. Where the jurisdiction does not exist as of right, the same
burden rests on the party seeking to establish jurisdiction (typically service ex juris). 4. While the
overall burden is as stated, the party alleging an advantage or disadvantage must establish it" -
Bulgaria infers but does not allege any advantage or disadvantage to the parties.
13(10) and 14(6) Tort Actions - Jurisdiction - Choice of Law Rule - Perosnal Injury
[93] Jurisdiction simpliciter - Forum non Conveniens Rationale - choice of law rule - Court required to
connect the alleged wrongful conduct to the place of its occurrence. The parties will be judged
under the law governing them where they took the action in question. Plaintiffs rely on Rule
13(1)(h). Robert and Tatiana Kap by her guardian ad litem Sonja Kap Jordan, and Michael
Kapoustin allege that the mental degenerative disease developed by Tatiana at the age of 68 was
brought on or seriously aggravated by a psychosomatic phenomena induced by the emotional
distress, mental anguish and anxiety surrounding Robert and Tatiana.
13(10) 14(6) Tort Actions - Jurisdiction - Choice of Law Rule - Personal Injury
[94] Jurisdiction simpliciter - Forum non Conveniens Rationale - choice of law rule - Court required to
connect the alleged wrongful conduct to the place of its occurrence. The parties will be judged
under the law governing them where they took the action in question. Plaintiffs rely on Rule
13(1)(h). Tracy and Michael Kapoustin allege their son Nicholas developed Type II diabetes in
British Columbia at the age of 5. The onset of the disease was a psychosomatic phenomena
induced by the emotional distress, mental anguish and anxiety surrounding Nicholas and Tracy-
Personal injury - consequences to Nicholas are physically manifest in his diabetes. Plaintiffs allege
the personal injury of Nicholas was part of a conspiracy of the defendants to inflict, by slander or
liable, the personal injury and done with malice by the Defendant when effected the defamation.
[95] In recent years the courts have been called upon to review a number of the structural rules of
conflicts of laws or private international law. In Morguard Investments Ltd. et al. v. De Savoye ,
[1990] 3 S.C.R. 1077; 122 N.R. 81; [1991] 2 W.W.R. 217, and Hunt v. Lac d'Amiante du Québec
Ltée et al. , [1993] 4 S.C.R. 289; 161 N.R. 81; 37 B.C.A.C. 161; 60 W.A.C. 161, the courts had
having occasion to revisit the law governing the jurisdiction of courts to deal with multi-
jurisdictional problems and the recognition to be accorded by the courts of one jurisdiction to a
judgment made in another jurisdiction. In Amchem Products Inc. et al. v. Workers' Compensation
Board (B.C.) , [1993] 1 S.C.R. 897; 150 N.R. 321; 23 B.C.A.C. 1; 39 W.A.C. 1, the court also
examined the rules governing when a court may refuse jurisdiction on the basis of "forum non
conveniens".
[96] In the two application before the Master the Court is again called upon to reconsider the "choice of
law rule", i.e., which law should govern in cases involving the interests of more than one
jurisdiction, specifically as it concerns claims framed in tort and breaches of contract. The laws
suits allegedly involve personal injury and economic losses of residents of the province and
foreign plaintiffs connected to the province as against foreign defendants of different jurisdictions.
[97] There are as well more general arguments of convenience for allowing an exception to the "lex
loci delicti" rule. a flexible rule better meets the demands of justice, fairness and practical results
and underline what seems to be the most obvious defect of this approach -- its extreme uncertainty.
Lord Wilberforce in Chaplin v. Boys , supra, at p. 1103, after setting forth the complexities and
uncertainties of the rule thus summarized his view:
"The criticism is easy to make that, more even than the doctrine of proper law of the contract
where the search is often one of great perplexity, the task of tracing the relevant contacts, and of
weighing them, qualitatively, against each other, complicates the task of the courts and leads to
uncertainty and dissent ( see particularly the powerful dissents in Griffith's case of Bell, Ch. J., and
in Miller's case of Breitel, J.)."
"I agree with Lord Pearson too, at p. 1116, that the proposed rule "is lacking in certainty and likely
to create or prolong litigation". As illustrating the uncertainty, he referred to Dym v. Gordon
(1965), 209 N.E.2d 792, in which four members of the court held that the law of Colorado applied
while the three dissenters would have applied the law of New York. Even more difficult problems
would arise where more than two states had interests in the litigation. I therefore agree with the
views expressed by the majority in Chaplin v. Boys ."
[98] A summarized Canadian approach can be found in Professor Catherine Walsh's article "A Stranger
in the Promised Land?": (1988), 33 U.N.B.L.J. 173, at p. 182. She states:
"In this situation [where the defendant is resident in another jurisdiction whose domestic law
allows full tort recovery], it is argued, application of forum law neither prejudices the defendant
nor impinges on the interests of the jurisdiction where the accident occurred…….Indeed, from la
Régie's perspective, it is likely preferable that non-residents should settle their rights and
obligations inter se in their home courts."
[99] Walsh's article concerned the auto accident victims, however the similarities, mutatis mutandis to
the issue presently before the Bar cannot be over looked. The Kapoustin's and Kap's are injured
parties whose home jurisdiction's domestic law allows full tort recovery, the claims framed in tort
fell here and the injuries consequenced occurred here. The defendants home jurisdiction does not
allow full tort recovery and there is no "international tribunal" to which Canada is a party and
where citizens can turn for judicial relief. There is little to gain and much to lose in creating an
exception to the "lex loci delicti" in relation to domestic litigation.
[100] It is, of course, true that the action is an action for defamation, not for the negligent provision of
professional services. Littrell is clearly distinguishable on this ground. But I do not regard the
distinction as material. The respondent was responsible for supervising the provision of
educational services to members of the United States armed forces in the United Kingdom and
their families. He published the material alleged to be defamatory in the course of his duties. If the
provision of the services in question was an official or governmental act of the United States, then
so was its supervision by the respondent. I would hold that he was acting as an official of the
United States in the course of the performance of its sovereign function of maintaining its armed
forces in this country.
[101] The problem with the submissions before the Master is that the applicable law is clear. The
difficulty, if any, lies in the characterisation of the facts for the purpose of applying the law to
them. The issue may be said to be finely balanced. But that makes no difference. Either the two
proceedings presently before the Bar relate to something done by or in relation to the commercial
activities of the government of Bulgaria and the plaintiffs loss of property or they do not. Either
the personal injury, including physical harm is derived from the of writing and publication of the
slander or libel sued upon and attempts at extortion or were instead acts of Bulgaria "iure imperii"
or they were not. The plaintiffs have reached their particular conclusions and brought the two
actions because the right of access to justice which the law affords them in exceptions to the
immunity from suit which international law affords to Bulgaria. Bulgaria as a defendant has rights
too, and this Court is bound to respect them and its claims to immunity from the present suits, but
only where that immunity is available. The material evidence must prevail over any parties
pleadings and for that reason the government of the Defendant Bulgaria must submit itself to the
jurisdiction of this Court and give itself over to addressing the facts as they are before us and to
speak to the allegations against it.
[102] I turn then to consider whether there should be an exception to the " lex loci delicti" rule. As
mentioned earlier, the mere fact that another state (or province) has an interest in a wrong
committed in a foreign state (or province) is not enough to warrant its exercising jurisdiction over
that activity in the foreign state, for a wrong in one state will often have an impact in another. To
permit a court in a territorial jurisdiction to deal with a wrong committed in another jurisdiction
solely in accordance with the law of that court's jurisdiction, then some rule must be devised to
displace the "lex loci delicti", and that rule must be capable of escaping the spectre that a
multiplicity of jurisdictions may become capable of exercising jurisdiction over the same activity
in accordance with their own laws. This would not only encourage forum shopping but have the
underlying effect of inhibiting mobility.
[103] A means of achieving this has been attempted in the United States through an approach often
referred to as the proper law of the tort. This involves qualitatively weighing the relevant contacts
with the competing jurisdictions to determine which has the most significant connections with the
wrong. The approach was adopted by the majority in a strongly divided Court of Appeals of New
York in Babcock v. Jackson , supra, a case whose facts were very similar to McLean v. Pettigrew ,
supra. The plaintiff, while a gratuitous passenger in the defendant's automobile, suffered injuries
when the automobile was in an accident. Both plaintiff and defendant were residents of New York,
but the accident occurred in Ontario where a statute absolved the owner and driver from liability
for gratuitous passengers. In an action in New York, the defendant moved for dismissal on the
ground that the law of Ontario applied. A majority denied the motion to dismiss. The court stated
that while the jurisdiction where the wrongful conduct occurred will usually govern, justice,
fairness and best practical results may better be achieved in tort cases with multi-state contacts by
according controlling effect to the law of the jurisdiction which, because of its relationship and
contact with the occurrence and the parties, has the greatest concern with the issue raised in the
litigation. There has been a tendency to adopt that approach in a number of the American states,
although it would appear the vast majority still apply the law of the place of the injury; see
Richards v. United States (1962), 369 U.S. 1, at pp. 11-14.
[104] There might, be room for an exception where the parties are nationals or residents of the forum.
Objections to an absolute rule of " lex loci delicti" generally arise in such situations; see Babcock ,
supra; McLean v. Pettigrew , supra. There are several reasons why it is considered appropriate that
the home state of the parties apply its own law to them. It is perceived by some commentators to
be "within the reasonable expectations of the parties" to apply their home law to them. It is
considered to be more convenient for both litigants and judges and to accord with forum notions
of "public policy" or justice. In Neumeier v. Kuehner (1972), 286 N.E.2d 454 (N.Y.C.A.), the
underlying rationale of the " justice" theory was succinctly put by Fuld, C.J., at p. 456: "It is clear
that ... New York has a deep interest in protecting its own residents, injured in a foreign state,
against unfair or anachronistic statutes of that state." I shall consider the issue of "public policy"
first.
[105] The imputed injustice of applying the "lex loci delicti" in the seminal choice of law cases which
are referred to arose from some aspect of the law of the "locus delicti" that the court considered
contrary to the public policy of the forum, i.e., unfair. In McLean , supra, and Babcock , supra, it
was Ontario's notorious gratuitous passenger law. In Chaplin , supra, it was the unavailability of
general damages under Maltese law. In LaVan v. Danyluk (1970), 75 W.W.R.(N.S.) 500
(B.C.S.C.), it was the absence of a contributory negligence statute under Washington law. In
Tolofson , as between father and son (residents of British Columbia), it is Saskatchewan's guest
passenger law and the short limitation period for infants under Saskatchewan law.
[106] As observed in Morguard , supra., the underlying principles of private international law are order
and fairness, order comes first. Order is a precondition to justice. At all events, similar anomalies
occur if we create an exception for domiciliaries. Thus are exceptions for "lex fori" when parties
are from the forum, there are many factors, not the least of which are the involvement of the health
care system of their home province and the plaintiffs forum insurer, which are considered
justifications for allowing the plaintiffs and defendants to settle their affairs according to the "lex
fori". The Hague Convention is germane here and has to do with judicial convenience. There
appears to have been a desire that the Convention should, if possible, limit the number of
occasions when judges of the forum would have to apply foreign law; difficulties of proof, the
expense and inconvenience involved, and the possibility that the judge might misinterpret the
foreign law were all concerns, mutatis mutandis, the general rule of " lex loci delicti", in cases
involving parties from two or more jurisdictions, chances are that the lawsuit will take place in the
country in which the consequences of the tort were felt or alternatively took place. There merit to
allowing judges in this situation to apply their own law.
[107] There is also a factor, however, of significant concern here in the actions arising before this Court
on matters that in a foreign jurisdiction where the laws of our common law provinces, are very
different from the other state and that their application in the foreign state are impossible and
would give judges and lawyers significant difficulty. Lord Wilberforce in Chaplin v. Boys (at p.
1100) conceded the same on the international plane and set forth means, already referred to, of
accommodating the problems that might be posed, means that could be equally useful here.
Argumeny Lex Loci Delecti v. Lex Form Specific Issues Tolofson v. Jensen
[108] In any action involving the application of a foreign law the characterization of rules of law as
substantive or procedural is crucial for, as Cheshire and North, Cheshire and North's Private
International Law (12th Ed. 1992), at pp. 74-75, state:
"One of the eternal truths of every system of private international law is that a distinction must be
made between substance and procedure, between right and remedy. The substantive rights of the
parties to an action may be governed by a foreign law, but all matters appertaining to procedure
are governed exclusively by the law of the forum."
[109] The reason for the distinction is that the forum court cannot be expected to apply every procedural
rule of the foreign state whose law it wishes to apply. The forum's procedural rules exist for the
convenience of the court, and forum judges understand them. They aid the forum court to "
administer [its] machinery as distinguished from its product" ( Poyser v. Minors (1881), 7 Q.B.D.
329 (C.A.), at p. 333, per Lush, L.J.). Although clearcut categorization has frequently been
attempted, differentiating between what is a part of the court's machinery and what is irrevocably
linked to the product is not always easy or straightforward. The legal realist Walter Cook has
commented ( The Logical and Legal Bases of the Conflict of Laws (1942), at p. 166):
"If we admit that the 'substantive' shades off by imperceptible degrees into the 'procedural', and
that the 'line' between them does not 'exist', to be discovered merely by logic and analysis, but is
rather to be drawn so as best to carry out our purpose, we see that our problem resolves itself
substantially into this: How far can the court of the forum go in applying the rules taken from the
foreign system of law without unduly hindering or inconveniencing itself?"
[110] This pragmatic approach is illustrated by Block Brothers Realty Ltd. v. Mollard (1981), 122
D.L.R.(3d) 323 (B.C.C.A.). In that case the issue was whether the requirement of s. 37 of the Real
Estate Act , R.S.B.C. 1979, c. 356, that a real estate agent be licensed in British Columbia, should
be categorized as procedural or substantive. The parties had executed a real estate listing
agreement in Alberta for land situated in British Columbia. The plaintiff, an agent licensed in
Alberta, sold the land to Alberta residents. The defendant vendor failed or refused to pay the
commission. The plaintiff sued in British Columbia. The "lex causae" was Alberta. The defendant
pleaded that the British Columbia licensing requirement was procedural. The court, however, ruled
that it was substantive, notwithstanding that the section read: "A person shall not maintain an
action ...", language traditionally relied on for a finding that a statute is procedural because it
purported to extinguish the remedy, but not the right. The court expressly relied on policy reasons
for its decision. It stated:
[111] "If, however, the contract is governed by the law of Alberta and if the contract is valid under the
law of Alberta, the characterization of s. 37 as procedural would deprive the plaintiff of the
opportunity to enforce his legal rights in a British Columbia Court. The only purpose of s. 37 is to
enforce the licensing sections, and it should be examined in this context. I think that legislation
should be categorized as procedural only if the question is beyond any doubt. If there is any doubt,
the doubt should be resolved by holding that the legislation is substantive."
[112] [79] This approach makes sense to me. It is right to say, however, that it is significantly different
from the early common law position as it relates to statutes of limitation.
Main Goal Conflicts Rule
[113] One of the main goals of any conflicts rule is to create certainty in the law. Most matters would
have to proceed to trial on the basis that the "lex loci delicti" applied. This is not to say that an
exception to the "lex loci delicti" such as contained in the Hague Convention is indefensible on the
international plane, particularly since it is enshrined in a convention that ensures reciprocity. As I
have noted, however, a rule along the lines of the Hague Convention is not without its problems
and does not appear to afford this country most of the advantages that Europeans may gain from it.
Right to Sue
[114] In Intl. Assoc. of Science v. Hamza (1995), 162 A.R. 349 (CA); 83 W.A.C. 349, the Alberta Court
of Appeal held that the status of a party to sue is a procedural issue, thus the right of a foreign
litigant to sue is properly determined by law - That law included the rules relating to private
international law applicable to foreign litigants affirming that the pleading should not be struck at
that stage of proceedings, rather, the plaintiffs should be allowed to proceed in order to prove that
they have status - The court discussed generally the law relating to the rights of foreign entities to
sue and stated that if the court is satisfied by proof of the foreign law that its directions and
judgements are enforceable against identifiable legal persons, then a foreign entity with status to
sue in its home jurisdiction should be allowed to sue in the province - The Hague Convention as
previously cited permits enforcement of the judgements of Canadian courts by courts of the
Republic of Bulgaria - the court saying "overall the law tends to support a granting of status in
cases where the entity in question is recognised as a legal or juridical person by the laws of its
home jurisdiction, in the sense of having status to sue ... The principle of comity of nations
appears to further strengthen that position" and went on to say, inter alia, that "... in general, a
resident entity has status to sue or be sued in Alberta if it is recognised under the statutory or
common law as a natural or statutory person ...".
[115] Actions - Choice of law - Right to Sue General - a unincorporated association of investors in
Bulgaria, together with investors who are resident in the province, issued an endorsed Writ with
statement of claim against the defendants before the provincial court of British Columbia. - An
issue arises respecting the status of the Bulgaria investors to commence proceedings in Canada-
Persons who can sue and be sued - Foreign entities - law relating to the status of foreign litigants
(including individuals, corporations and unincorporated foreign entities) to sue in Canada.
[116] The aggregate action, - issues of breach of duty, causation and disease,- Plaintiff required to
adduce prima facie evidence.
[117] Legal Assistance - Criminal Matters - Information- Letters of Request, - Portions confirmed under
oath - Plaintiffs argue that the slander or libel publicly repeated and printed are so detailed as to
the R.C.M.P. information sent from the province and the Letters of Request, that it would be
difficult to accept any other alternative except for a conspiracy by the defendants to personally
injure the plaintiffs with information that was at the time only known to them and known to be
false. The information gathered in the province and the Letters of Request connecting the
commercial activities in Bulgaria with a third parties criminal activities in the province supplies
the Plaintiffs with one nexus as required by them to overcome the jurisdiction simpliciter and
forma non conveniens complaints of the Defendant Bulgaria. Further, while it has been years since
the apparent conclusion of the Canadian investigation, the last letter requesting information and
the last sworn statement of the Defendant Doornbos came in August of 1997. The Plaintiffs
learned of this nexus in April of 1999 and one cannot ignore the inherent delays involved with
dealing with bureaucracies of a Defendant reluctant to provide the plaintiffs reliable self
incriminating information and evidence. In all of the circumstances, the letters of request from
Canada, the information from the province, the property identified in the province as the subject of
the investigation. the sent data, the slander made and repeated or the libel published, had all at first
originated from the R.C.M.P. in the province. The plaintiffs are supplying this Court with a
sufficient and reliable factual basis under oath upon which creates a necessary connection of the
province to Bulgaria.
Breach of Contract
[129] Sovereignty - Incidents of - Immunity - Foreign agencies - The State Immunity Act provided that,
"except in certain circumstances, a foreign state is immune from the jurisdiction of Canadian
courts. Foreign state includes 'any government of the foreign state or of any political subdivision
of the foreign state, including any of its departments, and any agency of the foreign state'" - The
plaintiffs discusses the scope and doctrine of this Act, and in particular, whether it applied to
commercial activities or a tort or criminal act by "alter-egos" of the Defendant Bulgaria in or
connected to British Columbia.
International Law - Tort Action - Personal Injury
Immunity - Personal injury - s. 6 State Immunity Act - physical harm a consequences of - Nichols
Kapoustin manifested the injury to him when developing Diabete Type II not previously
diagnosed. Plaintiffs allege the injury of Nicholas as resuling from a conspiracy of the defendants
to inflict, by slander or liable, the personal injury and done with malice by the Defendant when
effecting the defamation.
[130] Sovereignty - Incidents of - Immunity - Exceptions - Death, personal injury, torture and hostage
taking - Canada arrested Schreiber so that he could be extradited to Germany in relation to tax
evasion and other charges - Schreiber sued Germany, claiming that he suffered personal injury,
including mental distress, denial and restriction of his liberty and damage to his reputation because
of Germany's failure to adhere to its treaty with Canada, the Extradition Act and the Charter -
Germany sought to dismiss the action, asserting state immunity - Section 6(a) of the State
Immunity Act provided that a state was not immune respecting personal injury claims - Schreiber
asserted that his claim fell within s. 6(a) - The Ontario Court of Appeal rejected the submission
and interpreted the expression "personal injury" to mean " physical" injury - See paragraphs 27 to
57.
[131]
[132] Conflict of Laws - Topic 602
[133]
[134] Jurisdiction - General principles - International jurisdiction - Pinochet was the head of state of
Chile between 1973 and 1990 - In 1998, while visiting England, Spain issued an international
warrant for his arrest alleging, inter alia, murder, conspiracy to murder, torture and conspiracy to
torture - Pinochet claimed complete immunity as head of state (immunity ratione personae) - In
requesting his extradition, Spain submitted that Pinochet, as a former head of state, was entitled to
only limited immunity (immunity ratione personae) - Furthermore, such immunity only applied to
acts of state whilst in office - The immunity did not cover torture because it was not a state
function - In 1988 both the United Kingdom and Chile had become parties to the Convention
Against Torture -The Convention took effect in the UK on December 8, 1988 - The House of
Lords ruled that Pinochet could be extradited on the charges of torture and conspiracy to torture
relating to the period after December 8, 1988 - See paragraphs 38 to 53, 190, 247, 271, 320 and
366.
[135]
[136] Conflict of Laws - Topic 602
[137]
[138] Jurisdiction - General principles - International jurisdiction - Pinochet was the former head of state
of Chile - On a visit to London, Pinochet was arrested on an international warrant issued by Spain
- Spain requested his extradition alleging, inter alia, violations of the Torture Convention of 1984 -
Pinochet submitted that while torture was contrary to international law, it was not strictly an
international crime in the highest sense - Spain submitted that the prohibition against torture was a
peremptory norm or jus cogens, i.e., a norm that enjoys a higher rank in the international hierarchy
than treaty law and customary rules - Such principles could not be derogated from by states
through international treaties or local or special customs - The House of Lords, per Lord Browne-
Wilkinson, held that "[t]he jus cogens nature of the international crime of torture justifies states in
taking universal jurisdiction over torture wherever committed. ... I have no doubt that long before
the Torture Convention of 1984 state torture was an international crime in the highest sense." - See
paragraphs 30, 31 and 305 to 309.
[139]
[140] The statutory offence consists of taking and detaining a person (the hostage), so as to compel
someone who is not the hostage to do or abstain from doing some act: s. 1. But the only conduct
relating to hostages which is charged alleges that the person detained (the so-called hostage) was
to be forced to do something by reasons of threats to injure other non-hostages which is the exact
converse of the offence. ..." - See paragraphs 25, 130 to 136.
[141]
[142] Issue 4 Did Sutherland, J., Err
[143]
[144]
[145] In Holding That S. 6 Of The
[146]
[147]
[148] State Immunity Act Had No
[149]
[150]
[151] Application To This Action?
[152]
[153]
[154] [49] Since it is conceded that personal injuries were not excepted from state immunity at common
law, the appellants must come within the State Immunity Act to succeed. Counsel for the
appellants submitted that Sutherland, J., was wrong in holding that s. 6 of the Act had no
application because the alleged kidnapping and personal injury to the appellant Jaffe took place
prior to the Act coming into force. Her first argument was that the immunity of a foreign state took
effect only when it was claimed and was subject to whatever rules that were applicable at that
time. She could provide no authority for this proposition and it flies in the face of s. 3(1) and (2) of
the Act set out above. It is clear from these subsections that a foreign state is immune from the
jurisdiction of any court in Canada and that in any proceedings the court shall give effect to this
immunity notwithstanding that the state has failed to take any step in the proceedings. The
immunity attaches when the foreign state is permitted to exercise a presence in the host country
and is subject to whatever terms are recognized at the time of such entry. The entry alleged in the
case on appeal occurred in September of 1981 when the alleged kidnapping took place in Toronto.
Accordingly, the appellants are not entitled to rely upon exceptions legislated after the date upon
which this tort is said to have occurred.
[155]
[156] [50] Counsel's second submission had more substance. She pointed out that the statement of claim
alleged an ongoing conspiracy that covered the period prior to the passage of the Act and
continuing on at least until October 11, 1983, when the appellant Jaffe was released from prison in
Florida and allowed to return to Toronto. The particular paragraphs of the statement of claim that
she relied upon are:
[157]
[158] "38. Thereafter, and in furtherance of the conspiracy, the conspirators caused and agreed with the
defendants Snow, Accredited, Kear, and Johnsen and the defendants Kear and Johnsen, with the
assistance of the defendant Norris, would attend in Toronto for the purpose of wrongfully
abducting the plaintiff Sidney Jaffe and conveying him to the State of Florida.
[159]
[160] .....
[161]
[162]
[163] "40. Upon his return from jogging, the plaintiff Sidney Jaffe was forcibly abducted, falsely
imprisoned, and conveyed to Florida by the defendants Kear and Johnsen, who struck the plaintiff
Sidney Jaffe on the head, threatened him with further physical harm, handcuffed him, and
threatened to kill members of his family in order to prevent his escaping."
[164]
[165] None of the named defendants in these paragraphs are the responding defendants.
[166]
[167] [51] Under s. 6 of the State Immunity Act , which I have set out at the beginning of these reasons,
there is no immunity with respect to claims for personal injury or damages to or loss of property.
This is a restriction on the common law right of sovereign immunity, which extended to such
claims.
[168]
[169] [52] On the basis of the allegations in the statement of claim, it could be argued that the
conspiracy was entered into in 1980 in Florida to harm the appellants, to intimidate them for the
purpose of extracting money in purported settlement of a civil suit against CSEL, a company
controlled by Sidney Jaffe, and to harm the appellants' business interest in Florida. On this theory
of the conspiracy, the subsequent tortious acts were merely overt acts in furtherance of the
conspiracy. If this is so, the State Immunity Act has no application and the respondents are entitled
to sovereign immunity under the common law.
[170]
[171] [53] If this is not the correct theory of the conspiracy and the proper one is that the statement of
claim is alleging separate tortious acts, then in order for the exception in s. 6 of the State Immunity
Act to apply, the personal injury or damage to property must occur in Canada after passage of the
Act . The malicious prosecution in July 1980, occurred in Florida; hence it would not come within
s. 6 but would be covered by the common law. The kidnapping in September 1981 occurred in
Ontario. However, this was prior to the State Immunity Act coming into force so that s. 6, as
Sutherland, J., found, would have no application. The malicious prosecution in July 1983,
occurred in Florida; consequently, it does not come within s. 6.
[172]
[173] [54] The troublesome feature of this case is the wrongful imprisonment from September 1981 to
October 1983. Assuming that the kidnapping in September 1981 was a tortious act, it could be
argued that the false imprisonment which resulted from the commission of that tort was a tort
which continued after the State Immunity Act came into force on July 15, 1983. However, I do not
believe that this accords with the facts. The kidnapping, assuming its illegality, came to an end
when Jaffe was delivered up to the Florida court by the bail bondsmen. The imprisonment in
Florida resulted from the actions of the Florida courts in holding Jaffe for trial and in subsequently
finding that he had committed a criminal offence. Since that sequence of acts occurred in Florida,
s. 6 has no application.
[174]
[175] [55] In any event, while it is trite law that on this type of application the court must accept the
allegations in the statement of claim as being true, the pleading relied upon must conform to the
rules of pleading. Here the bald assertion that there was a conspiracy relating specifically to the
alleged kidnapping without identifying the conspirators or particularizing the acts in furtherance of
the conspiracy does not amount to "a concise statement of the material facts on which the party
relies for his or her claim": see rule 25.06(1).
[176] [56] The responding defendants cannot move to strike out these offending paragraphs without
serving notice of intention to defend. This does not mean that they cannot complain about their
sufficiency on an application to claim immunity. While the court is not concerned about the
niceties of pleading on such an application, it will not assert jurisdiction over a cause of action
where there has been such a flagrant disregard of the rules of pleading as is evident here. We
cannot determine what part the responding defendants played in this conspiracy, or just what the
conspiracy is that would deprive them of immunity. The appellants have simply failed to establish
in their statement of claim that the responding defendants fall within the exceptions provided by
the common law or the State Immunity Act . In my opinion, this ground of appeal must also fail.
[177] In Schreiber supra. it was alleged that he suffered personal injury, including mental distress, denial
and restriction of his liberty, and damage to his reputation as a result of Germany's deliberate,
reckless, or negligent failure to adhere to its treaty with Canada, the Extradition Act , and the
Charter . Schreiber has not alleged that he suffered any physical injury.
[178] Counsel for Schreiber argued that the personal injury includes any interference with, or injury to,
the person and is not limited to physical injury. He relies on a passage from the judgment of this
court in Walker v. Bank of New York Inc. , supra. Counsel for the plaintiff maintained that there is
no principled basis for holding a foreign sovereign accountable in a Canadian court for tortious
conduct that causes a physical injury in Canada but not for the same tortious conduct if it causes
other forms of interference with, or harm to, the person. Counsel observes that non-physical harm
to the person may be more serious than physical harm. He urges the court to interpret s. 6(a) so as
to produce a "reasonable and just outcome".
[179] Counsel for Germany submited that this court has held that claims which do not involve physical
injury are not within the scope of the exemption to sovereign immunity created by s. 6(a). He
relies on the judgment in United States of America v. Friedland , supra. Counsel contends that
Friedland , supra, effectively explains the passage in Walker , supra, relied on by Schreiber so as to
render that reliance misplaced. Counsel for Germany also submits that s. 6(a) derogates from the
broad immunity enjoyed by foreign sovereigns at common law and should be read restrictively.
Lastly, in direct response to Schreiber's argument that he suffers an injustice if Germany's claim to
immunity succeeds, counsel submits that every recognition of sovereign immunity can be seen as
doing an injustice to an individual plaintiff in that it denies that plaintiff his or her day in court.
Counsel submits that the policies that animate the sovereign immunity doctrine look to broader
international interests at the expense of the personal interests of those who claim to be wronged by
a foreign sovereign: Reference Re Canada Labour Code and State Immunity Act (Can.) , [1992] 2
S.C.R. 50; 137 N.R. 81, per La Forest, J., at 91 [S.C.R.].
[180] The present case requires careful consideration of Schreiber supra., Walker , supra and Friedland ,
supra. and this Court to determine whether either or both of those cases decide whether the
Kapoustins' claim is one for "personal injury" within the meaning of in s. 6(a). If the issue has
been decided by the prior decisions it would seen unneccessary for the Master to depart from these
and other earlier authorities
[181] On examining Walker, and Friedland ,the Respondent observed that apart from these two decisions
and Schreiber, supra., there was precious little on the Canadian legal landscape that assists in
determining the meaning of "personal injury" in s. 6(a). Unlike the separate claim in these two law
suits where plaintiffs rely on the "commercial activity" exception to state immunity in s. 5 of the
State Immunity Act , the exception in s. 6(a) was created by the statute and has no common law
ancestry to inform the meaning of the statutory exception: Jaffe v. Miller , supra, at 756, 764-65
[O.R.]. This section seems to have attracted virtually no attention.
[182] Had the jurisprudence on s. 6(a) stopped at Walker , supra, the Plaintiffs would, for the purposes of
this proceeding, have stopped at merely the non-physical consequences of the personal injury
claims and would have been on strong ground. McKinlay, J.A., did refer in Wlaker, to "merely"
physical injury and said that personal injuries under s. 6(a) "could include" non-physical injuries.
Possibly, as has been noted by other authorities, had Walker suffered his mental distress, emotional
upset, or restriction of his liberty in Canada, the court may well have refused to give effect to the
sovereign immunity claim. The present instance brfore the Bar contains facts circumstances that
fall within the ambit of that very exception that had been absent in Walker supra., the mental
distress and emotional upset was suffered by the plaintiffs Nicholas, Tatiana, Tracy and Robert in
Canada and unlike Walker, the restriction of liberty of Kapoustin, while not occuring in Canada,
has an alleged causation and connection to be found in Canada and if not directly then at least
vicareously responsible are the alleged May, July and December 1995 slander and libel in the
Letter of Request coming out of Canada and the R.C.M.P. in British Columbia.
[183] However, the case law does not stop at Walker, supra. In Friedland , supra, the plaintiff sued the
United States claiming that torts committed by the United States had caused him injury, including
damage to his reputation, emotional upset, and personal embarrassment. The plaintiff did not
allege physical injury. The United States moved unsuccessfully to dismiss the action claiming
sovereign immunity, although later successful on appeal.
[184] In Friedland , supra, the plaintiff relied on the exception to sovereign immunity set out in s. 6(a) of
the State Immunity Act . He maintained that he had suffered "personal injury" in the form of
damage to his reputation, emotional upset, and personal embarrassment. Like the Kapoustins
Freidland's injuries had occurred in Canada and as the Kaposutins he contended that the
allegations of non-physical personal injury brought him within thee ambit of s. 6(a), Friedland
relied heavily on the observations of McKinlay, J.A., in Walker , supra. cited above. The appeal
court rejected that submission stating, at paragraph 25:
"In our view, s. 6(a) does not assist Friedland . The obiter statement of McKinlay, J.A., in Walker
at p. 510, that 'the scope of personal injury covered by s. 6 ... could include mental distress,
emotional upset and restriction of liberty' does not mean that s. 6 extends to mental distress or
emotional upset in all cases. Otherwise, a party could invoke s. 6(a) merely by claiming damages
for alleged mental distress or emotional upset, an interpretation that would expand the exception
far beyond its intended scope and render the doctrine of sovereign immunity ineffective. We agree
with counsel for the appellants [the United States] that the 'personal injury' exception refers
primarily to physical injury and that s. 6(a) extends to mental distress and emotional upset only
in so far as such harm arises from or is linked to a physical injury. This interpretation is
consistent with the generally accepted international understanding of the "personal injury"
exception to sovereign immunity." (Emphasis added)
[185] The above passage from Friedland , supra, while not conclusve is a part of the ratio. Friedland's
claim that the United States was not immune from suit on his claims for damage to his reputation,
emotional upset, and personal embarrassment failed entirely because of the court's interpretation
of s. 6(a). That interpretation was essential to the decision of the court, and that interpretation is
essential here in two ways. Is the physical impariment and disabilities of Nicholas and Tatiana
connected to the alleges causation; their mental conflict and emotional upset? Did alleged damage
to the Kapoustins' reputation injure their commercial activities and cause them damage or loss of
their property or its value?
[186] The "personal injury" exception to state immunity in the English legislation is virtually identical to
s. 6(a). The English courts have not directly addressed the meaning of the phrase " personal
injury" in their legislation, two decisions, that turned on other issues, accepted without analysis
that "personal injury" could include non-physical injury such as mental stress or depression: Al-
Adsani v. Kuwait , [1995] N.L.O.R. No. 2626, at paras. 11, 43, 44 (Q.B.), online: QL ( NLOR),
affd. (1996), 107 I.L.R. 536, at 544 (per Stuart-Smith, L.J.), 549- 50 (per Ward, L.J.) (C.A.);
Kuwait v. Fevzi , [1999] E.W.J. No. 3450 (C.A.), online: QL (EWJ) (application for leave to
appeal).
[187] The American legislation contains a "personal injury" exception to state immunity and then lists
several torts and other actions that are not subject to that exception. The American legislation has
received substantial judicial scrutiny, and at least one case has accepted that personal injuries can
include non-physical injuries: Persinger v. Islamic Republic of Iran (1984), 729 F.2d 835 (D.C.
Cir.), per Bork, J., for the majority, at 843, per Edwards, J., dissenting, at 843-44.
[188] The "personal injury" exception was considered at some length by the International Law
Commission in 1983, less than one year after the enactment of the State Immunity Act : S.
Sucharitkul, "Jurisdictional Immunities of States and their Property" in Yearbook of the
International Law Commission, 1983 , vol. II (New York: United Nations, 1985) 25, UN Doc.
A/CN.4/363. The report conceded such the exception was in its infancy on the international stage.
The reach of that exception was described, at 38:
"... This area covers the liability of a state ... to pay damages or monetary compensation in respect
of an act or omission attributable to the state, resulting in personal injury (physical damage) to a
natural person ... In common law jurisdictions such causes of action may be included under the
heading of tortious liability. For the purposes of jurisdictional immunity, they may be
characterized as a non-commercial tort. In civil law and other jurisdictions, a similar heading may
be entitled civil responsibility for physical damage to persons resulting in bodily harm, personal
injuries or death. ..."
[189] A review by the commission of various legislative treatments of the exception, including Canadian
legislation, the report continued at 44:
"... The area under consideration covers physical damage to the person which may cause death or
disability or other bodily harm. ..."
[190] In proposing a draft article that would encompass the personal injury exception to sovereign
immunity, the report stated at 45:
"... The area under review unequivocally covers 'personal injury', including loss of life or physical
injury to the person as well as 'damage to property', including loss or total destruction of tangible
property. It is clear from the type of physical damage inflicted upon the person or property that the
cause of action could arise from any activities undertaken by a foreign state ... within the state of
the forum. Damage to reputation or defamation is not personal injury in the physical sense, nor
can interference with contract rights or any rights, including economic or social rights, be viewed
as damage to tangible property."
[191] Sovereignty - Incidents of - Immunity - Waiver - The U.S. (Environmental Protection Agency)
obtained judgment in Colorado against Friedland - The U.S. then obtained an ex parte Mareva
injunction in Ontario to restrain Friedland from selling certain shares - The U.S. had undertaken to
compensate Friedland in damages for any losses suffered if the injunction was wrongfully granted
or if the U.S. did not prevail - The injunction was dissolved - Rather than seeking an inquiry on
the undertaking, Friedland filed a statement of defence and counterclaim seeking damages in tort
from the U.S. and the individual E.P.A. lawyers - The U.S. and lawyers moved to dismiss the
counterclaim on the basis of sovereign immunity - The trial judge dismissed the application on the
ground that (1) the U.S. waived immunity by submitting to the jurisdiction of the court under s.
4(2) of the State Immunity Act and (2) waived immunity by commencing the ex parte proceeding
for the injunction (s. 4(4 )) - The Ontario Court of Appeal allowed a U.S. appeal and dismissed the
counterclaim - The U.S., by the undertaking, submitted only to the court's jurisdiction to inquire
under the undertaking, not to the court's jurisdiction to entertain a tort claim by Friedland by way
of counterclaim - As for s. 4(4), the counterclaim was outside of or independent of the state's
claim, so there was no waiver of immunity under s. 4(4) - There was also no submission to
jurisdiction under s. 6(a) or (b) absent physical injury to the person or physical harm to or
destruction of property.
Personal Injury
The "personal injury" exception to sovereign immunity was considered by the International Law
Commission and contemplates physical injury. The report of the Australian Law Reform
Commission, Foreign State Immunity (Report No. 24) (Canberra: Australian Government
Publishing Service, 1984) took the same view. The Commissioners said, at 68:
"... Rather than attempt to list comprehensively all of the torts for which immunity should remain,
it seems simpler to follow the majority of overseas models and exclude recovery for other than
physical injury, and loss or damage to tangible property. ... It is necessary to proceed cautiously in
this area, a need which justifies denying recovery against foreign states under the proposed tort
provision involving solely economic loss. Where the economic loss is parasitic on physical injury,
recovery will be available on ordinary tort principles. Accordingly, it is recommended that the
proposed Australian provision on torts allow recovery only for death, personal injury or loss or
damage to tangible property." (Emphasis added)
[193] These international authorities were before the court in Friedland , supra, and influenced its
interpretation of "personal injury" in s. 6(a). The Respondent believes it is entirely appropriate to
refer to these international authorities when giving meaning to a statute like the State Immunity
Act .
[194] There is support for the interpretation of "personal injury" adopted in Friedland , supra, in the
French version of s. 6(a):
"L'État étranger ne bénéficie pas de l'immunité de juridiction dans les actions découlant:
a) des décès ou dommages corporels survenus au Canada; ..." (Emphasis added)
The French text literally provides that the foreign state enjoys no sovereign immunity in claims
related to "bodily injury": P.-A. Crépeau, ed., Private Law Dictionary and Bilingual Lexicon , 2d
Ed. (Cowansville, Qc.: Yvon Blais, 1991). The word "corporel", as applied to claims for
compensatory damages is well-known in the civil law of Quebec. The Civil Code of Quebec , S.Q.
1991, c. 64, lists three categories of compensable harm that may arise from delictual responsibility,
these being "corporel, moral ou matériel" (arts. 1457, 1607 C.C.Q.). "Corporel" has been
interpreted to mean physical injury to the body. Purely non-physical injuries are captured by the
term "moral": see Michaud v. Quebec (Attorney General) , [1998] R.R.A. 1065, at paras. 20-22
(Que. Sup. Ct.); Joncas v. Sept-Iles (Town) , [2000] J.Q. No. 5191 (Sup. Ct.).
[195] The English and French versions of a federal statute are equally authoritative: Charter , s. 18;
Manitoba Language Rights Reference , [1985] 1 S.C.R. 721; 59 N.R. 321; 35 Man.R.(2d) 83, at
774-75 [S.C.R.]. Where the meaning of the words in one version of a statute is broader than the
meaning that can be given to the words in the other version of the statute, the task is to find a
meaning that is shared by both versions: R. v. Hinchey (M.F.) and Hinchey (B.A.) , [1996] 3
S.C.R. 1128; 205 N.R. 161; 147 Nfld. & P.E.I.R. 1; 459 A.P.R. 1; 111 C.C.C.(3d) 353, at 1157-58
[S.C.R.]; P.-A. Côte, The Interpretation of Legislation in Canada , 3rd Ed. (Toronto: Carswell,
2000), at 326-28; R. Sullivan, ed., Driedger on the Construction of Statutes , 3rd Ed. (London:
Butterworths, 1994), at 221.
[196] The English "personal injury" appears to be broader and more ambiguous than the French
"dommages corporels". While "personal injury" might mean non- physical injuries, "dommages
corporels" speaks more clearly to physical injury, physical injury a shared meaning of the two
versions of the statute. There is also some support for interpreting "personal injury" as meaning
physical injury by its combination in s. 6(a) with the word "death". The two read in combination
connote physical harm to the person. In R. v. McCraw , [1991] 3 S.C.R. 72; 128 N.R. 299; 49
O.A.C. 47; 66 C.C.C.(3d) 517; 7 C.R.(4th) 314, at 523-24 (C.C.C.), the term "bodily harm" in the
phrase " death or serious bodily harm" was said to include non-physical injury. In reaching that
interpretation, however, the court placed heavy reliance on the definition of bodily harm found in a
provision in the Criminal Code . That definition clearly included non-physical harm. The plaintiffs
claims meet both requirements.
[197] The reversal of onus in respect of a causation issue is an accepted remedial procedure. As Sopinka
J. wrote in Snell v. Farrell, [1990] 2 S.C.R. 311, 72 D.L.R. (4th) 289 at 299:
"... If I were convinced that defendants who have a substantial connection to the injury were
escaping liability because plaintiffs cannot prove causation under currently applied principles, I
would not hesitate to adopt one of these alternatives. ..."
[198] Personal injury - Impairment of earning capacity - The minor plaintiff, now 8 years of age,
developed Diabetes Type II allegedly in a 1997 allegedly a psychosomatic result of the emtional
distress and metal conflect he experience - The plaintiff's parents, Michael and Tracy claim
general damages for impairment of future earning capacity - The plaintiff can never fully recover
from his injuries as a result of the alleged incidents and is therefore permeantly disabled or
imparied lessening his employability.
Torts - Choice of law - Torts affecting the person - Claims for contribution between tortfeasors -
[206] Côté, J.A., for a majority of a panel in Galand Estate v. Stewart , [1993] 4 W.W.R. 205; 135 A.R.
129; 33 W.A.C. 129 (C.A.), observed that the claim in a case like this is for the present loss of the
ability to earn , which is very real and has financial consequences. The trial judge saw the claim
there as one for a future loss, whereas the statutory requirement that the loss be "actual" would
limit claims to "what is real as opposed to what is prospective". He cited O'Shea Estate v. Litle
(1989), 93 N.S.R.(2d) 416; 243 A.P.R. 416 (C.A.) to that effect. The difficulty with that distinction
is that a loss can be very real and exist in the present even though it will not be fully realized until
some time in the future. An analogy would be a claim by an estate for loss of future rentals in
respect of rental property destroyed by a tortfeasor. The damage in that case would be very real, or
"actual" because the property is destroyed, even though the valuation of that property requires an
examination of its likely future use, as indeed does the valuation of most property.
[207] That said, one must accept that people often use the term "actual" to describe something about the
here and now, as opposed to future events. More often, however, it seems to me that they use the
term to describe something real, as opposed to something notional or fictive. Which sense should I
apply? Better, why should I adopt the narrower sense?
[208] In Margetts v. Timmer (1999), 244 A.R. 114 (CA); 209 W.A.C. 114 [\Case Law\Personal
Injury\17.htm
[209] Abuse of legal procedure - Maintenance and champerty - General - Two of several plaintiffs and
one of two defendants in actions for damages for personal injuries following an automobile
accident entered into "Mary Carter" settlement agreements -The settling defendant paid the
settling plaintiffs a definite sum - In return, the settling plaintiffs assigned to the settling defendant
their rights against the non-settling parties - The non-settling defendant argued that an assignment
of a cause of action in tort for personal injury was contrary to the laws of champerty and
maintenance and was unenforceable - The Alberta Court of Appeal affirmed a motions judge's
decision that rejected the argument - See paragraphs 21 to 32.
[210] In Counsel for the Commission argues, however, that even if the activity in which the Commission
was engaged is commercial in nature, s. 5, still, does not apply because the proceeding in this
court is a personal injury action. It is argued that s. 5 is only intended to cover commercial-type
claims (e.g. the breach of a trading agreement). I have not been persuaded by that argument. The
action, as between the defendants and the Commission, is not a personal injury claim. It is a claim
for indemnification from the Commission for any damages which the defendants might be called
upon to pay the plaintiff. The defendants allege negligence by the Commission, its servants or
agents, in the inspection of the "AMT Transporter" (now called the "Arctic Tarsuit"), prior to its
transit of the Panama Canal, and in its movement through the Canal. [see footnote 3] A third party
claim is an independent and separate claim from the main action in the context of which it is
commenced. It stands on its own. I would not characterize the defendants proposed third party
claim as a personal injury action.
[211] Even if the defendants' third party claim was characterized as a personal injury action, I still do not
think it would fall outside the purview of s. 5. Section 5 states that immunity is lost with respect to
" any proceedings that relate to any commercial activity". It does not say that the proceedings have
to be "commercial proceedings". The claim in this case, albeit arising as a result of personal
injuries sustained by a former Panama Canal pilot, is a proceeding that relates to the commercial
activity in which the Commission was engaged. That is sufficient for the purposes of s. 5.
[212] Counsel for the Commission argues, however, that even if the activity in which the Commission
was engaged is commercial in nature, s. 5, still, does not apply because the proceeding in this
court is a personal injury action. It is argued that s. 5 is only intended to cover commercial-type
claims (e.g. the breach of a trading agreement). I have not been persuaded by that argument. The
action, as between the defendants and the Commission, is not a personal injury claim. It is a claim
for indemnification from the Commission for any damages which the defendants might be called
upon to pay the plaintiff. The defendants allege negligence by the Commission, its servants or
agents, in the inspection of the "AMT Transporter" (now called the "Arctic Tarsuit"), prior to its
transit of the Panama Canal, and in its movement through the Canal. [see footnote 3] A third party
claim is an independent and separate claim from the main action in the context of which it is
commenced. It stands on its own. I would not characterize the defendants proposed third party
claim as a personal injury action.
[213] [9] Even if the defendants' third party claim was characterized as a personal injury action, I still do
not think it would fall outside the purview of s. 5. Section 5 states that immunity is lost with
respect to " any proceedings that relate to any commercial activity". It does not say that the
proceedings have to be "commercial proceedings". The claim in this case, albeit arising as a result
of personal injuries sustained by a former Panama Canal pilot, is a proceeding that relates to the
commercial activity in which the Commission was engaged. That is sufficient for the purposes of
s. 5.
[214] It was against this background that the present cases arose. The rule in McLean v. Pettigrew
strictly, holds that a British Columbia plaintiff can sue both a British Columbia defendant and a
foreign defendant in British Columbia under the laws of that jurisdiction for damages resulting
from a personal injury that occurred outside the province. The principles as enunciated in its
earlier decisions are followed by, the Ontario Court of Appeal in Gagnon (supra), under the
present circumstances before the Bar it is incumbent on this court to respond to the prayer
originally appearing in the reasons of Henry, J., in Ang v. Trach and repeatedly reiterated in
subsequent cases.
[215] The Master is dealing with legal issues having an impact in more than one legal jurisdiction, the
Master is not really engaged in interest balancing but in a structural problem. While that structural
problem arises here in a provincial setting, it is instructive to consider the matter first from an
international perspective since it is, of course, on the international level that private international
law emerged.
[216] On the international plane, there exists the relevant underlying reality of the territorial limits of
law under the international legal order. The underlying postulate of public international law is that
generally each state has jurisdiction to make and apply law within its territorial limit. Absent a
breach of some overriding norm, other states as a matter of " comity" will ordinarily respect such
actions and are hesitant to interfere with what another state chooses to do within those limits.
Moreover, to accommodate the movement of people, wealth and skills across state lines, a
byproduct of modern civilization, they will in great measure recognize the determination of legal
issues in other states. And to promote the same values, they will open their national forums for the
resolution of specific legal disputes arising in other jurisdictions consistent with the interests and
internal values of the forum state. These are the realities that must be reflected and accommodated
in private international law.
[217] However, that knife can be said to cut both ways.
[218] The earlier 19th century English cases, such as Phillips v. Eyre , were alive to the fact that these
are the realities and forces to which courts should respond in the development of principles in this
area. By the turn of the century, however, the English courts adopted a positivistic rule-oriented
approach that has since seriously inhibited the development of rational principles in this area; see
Morguard , supra, for an illustration of this in a different context. It is to the underlying reality of
the international legal order, then, that we must turn if we are to structure a rational and workable
system of private international law. Much the same approach applies within a provincial system
with the caveat that these internal rules have their own constitutional imperatives and other
structural elements.
[219] All of this is simply an application to "choice of law" of the principles enunciated in relation to
recognition and enforcement of judgments in Morguard , supra. There this court had this to say, at
p. 1095:
"The common law regarding the recognition and enforcement of foreign judgments is firmly
anchored in the principle of territoriality as interpreted and applied by the English courts in the
19th century; see Rajah v. Faridkote , supra. This principle reflects the fact, one of the basic tenets
of international law, that sovereign states have exclusive jurisdiction in their own territory. As a
concomitant to this, states are hesitant to exercise jurisdiction over matters that may take place in
the territory of other states. Jurisdiction being territorial, it follows that a state's law has no binding
effect outside its jurisdiction. "
"Modern states, however, cannot live in splendid isolation and do give effect to judgments given in
other countries in certain circumstances. ... This, it was thought, was in conformity with the
requirements of comity, the informing principle of private international law, which has been stated
to be the deference and respect due by other states to the actions of a state legitimately taken
within its territory."
[220] As Morguard and Hunt also indicate, the courts in the various states will, in certain circumstances,
exercise jurisdiction over matters that may have originated in other states. And that will be so as
well where a particular transaction may not be limited to a single jurisdiction. Consequently,
individuals need not in enforcing a legal right be tied to the courts of the jurisdiction where the
right arose, but may choose one to meet their convenience. This fosters mobility and a world
economy.
[221] To prevent overreaching, however, courts have developed rules governing and restricting the
exercise of jurisdiction over extraterritorial and transnational transactions. In Canada, a court may
exercise jurisdiction only if it has a "real and substantial connection" ( a term not yet fully defined)
with the subject matter of the litigation; see Moran v. Pyle National (Canada) Ltd. , [1975] 1
S.C.R. 393; 1 N.R. 122; Morguard , supra; and Hunt , supra. This test has the effect of preventing
a court from unduly entering into matters in which the jurisdiction in which it is located has little
interest. In addition, through the doctrine of "forum non conveniens" a court may refuse to
exercise jurisdiction where, under the rule elaborated in Amchem , supra (see esp. at pp. 921, 922,
923), there is a more convenient or appropriate forum elsewhere.
[222] The major issue that arises in the two case is this: once a court has properly taken jurisdiction,
what law should it apply? Obviously the court must follow its own rules of procedure; it could not
function otherwise; see Chaplin v. Boys , supra. What is procedural is usually clear enough though
at times this can raise difficult issues. In the present case, for example, the parties have raised a
question of appilicable proedures for service ex juris of judicial and extra judicial documents.
Whether Rule 11, Rules of the Court applies over the Defendant's own Declarations to the Hague
Convention. The Responent shall deal with that issue later.
[223] The more common issue is the "choice of law" problem, and the principal issue in these appeals,
namely, what is the substantive law that should be applied in considering the present cases?
[224] From the general principle that a state has exclusive jurisdiction within its own territories and that
other states must under principles of comity respect the exercise of its jurisdiction within its own
territory, it seems axiomatic to me that, at least as a general rule, the law to be applied in torts is
the law of the place where the activity occurred, i.e., the "lex loci delicti". As is the present
instances of these proceedings there are of course situations, notably where an act occurs in one
place but the consequences are directly felt elsewhere, when the issue of where the tort takes place
itself raises thorny issues. In such a case, it may well be that the consequences would be held to
constitute the wrong. Difficulties may also arise where the wrong directly arises out of some
transnational or interprovincial activity. There territorial considerations may become muted; they
may conflict and other considerations may play a determining role.
[225] In these proceedings, though the parties may, before and after the wrong was suffered, have
travelled from one country to another, the defining activity that constitutes the wrong had its
consequences wholly within the territorial limits of one province, British Columbia. That being so
and, barring some recognized exception, to which possibility the Respondent may turn later, that
as Willes, J., pointed out in Phillips v. Eyre , supra, at p 28, "civil liability arising out of a wrong
derives its birth from the law of the place [where it occurred], and its character is determined by
that law". In short, the wrong is governed by that law. It is in that law that we must seek its
defining character; it is that law, too, that defines its legal consequences.
[226] Thus far the Respondents arguments are framed to favouring the "lex loci delicti" in theoretical
terms. But the approach responds to a number of sound practical considerations. The rule has the
advantage of certainty, ease of application and predictability. Moreover, it would seem to meet
normal expectations. Ordinarily people expect their activities to be governed by the law of the
place where they happen to be and expect that concomitant legal benefits and responsibilities will
be defined accordingly. The government of that place is the only one with power to deal with these
activities. The same expectation is ordinarily shared by other states and by people outside the
place where an activity occurs. If other states routinely applied their laws to activities taking place
elsewhere, confusion would be the result. In our modern world of easy travel and with the
emergence of a global economic order, chaotic situations would often result if the principle of
territorial jurisdiction were not, at least generally, respected. Stability of transactions and well
grounded legal expectations must be respected. Many activities within one state necessarily have
impact in another, but a multiplicity of competing exercises of state power in respect of such
activities must be avoided.
[227] Leaving aside the British practice, which itself is giving increasing deference to the "lex loci
delicti", the practice of most states until recently favoured exclusive reference to the "lex loci".
This was the case, as well, in the United States. This is attested to in Babcock v. Jackson (1963),
12 N.Y.2d 743, where Fuld, J., stated, at p. 746: "The traditional choice of law rule, embodied in
the original Restatement of Conflict of Laws (§ 384), and until recently unquestioningly followed
in this court ... has been that the substantive rights and liabilities arising out of a tortious
occurrence are determinable by the law of the place of the tort." Similarly Australia has bypassed
British precedents by adopting the "lex loci delicti" as the rule governing the choice of law in
litigation within Australia; see Breavington v. Godleman (1988), 80 A.L.R. 362 (H.C.).
[228] There may be room for exceptions but they would need to be very carefully defined. It seems to
me self evident, for example, that State A (Bulgaria) has no business in defining the legal rights
and liabilities of citizens of State B (Canada) in respect of acts in their own country, or for that
matter the actions in State B (Canada) of citizens of State A (Bulgaria), and it would lead to unfair
and unjust results if it did. What is really debatable is whether State A, or for that matter Province
A, should be able to do so in respect of transactions in other states or provinces between its own
citizens or residents.
Forum Shopping
[229] McLean v. Pettigrew, supra., has its place and may well be applicable here in adjudicating on
wrongs committed in another country for our courts to apply our own law, subject to the wrong
being "unjustifiable" in the other country. There is some principled justification here, in this court's
defining the nature and consequences of an act done in another country. At first blush this idea
may seem to fly against the territoriality principle. However, in the instance case there mitigating
factors in favor of this approach. and the problem of proof of foreign law has now been
considerably attenuated in light of advances in transportation and communication, as Lord
Wilberforce acknowledged in Chaplin v. Boys . And as he further indicated (at p. 1100), one of the
ways in which this latter problem can be minimized in practice is by application of the rule that, in
the absence of proof of foreign law, the "lex fori" will apply. Thus the parties may either tacitly or
by agreement choose to be governed by the "lex fori" if they find it advisable to do so. McLean v.
Pettigrew , supra. Applied the law of the forum when the action complained of was not actionable
under the law of the place of the wrong.
[230] What then can be said of the double actionability rule along the lines adopted in England in
Chaplin v. Boys ? The "lex loci delicti" rule appears as the governing law. However, because a
rigid rule on the international level could give rise to injustice, as in the present circumstances, the
courts retain discretion to apply Canadian law to deal with such circumstances.
[231] When appling the "lex loci delicti" rule as the rule for defining the obligation and its
consequences, the requirement appears to be under the English rule that the wrong must also be a
tort when committed under English law seems to me to be related more to jurisdiction than choice
of law.In the case of Red Sea Insurance Co. v. Bouygues S.A. et al. , supra, the Privy Council used
the discretion to deal with a contract under the law of the place where the contract was made
rather than the law of the forum. However, given the fact that the jurisdiction of Canadian courts is
confined to matters in respect of which there is a real and substantial connection with the forum
jurisdiction, I seriously wonder whether the requirement that the wrong be actionable in that
jurisdiction is really necessary. The fact that a wrong would not be actionable within the territorial
jurisdiction of the forum if committed there might be a factor better weighed in considering the
issue of "forum non conveniens" or, on the international plane, whether entertaining the action
would violate the public policy of the forum jurisdiction. Certainly where the place of the wrong
and the forum are both in Canada, the application of the " forum non conveniens" rule should be
sufficient there is a limited role, if any, for considerations of public policy in actions that take
place wholly within Canada.
Personal injury - The Ontario Court of Appeal discussed the meaning of the expression " personal injury"
as found in s. 6(a) of the State Immunity Act - See paragraphs 27 to 57.
[232] In addition to the argument that the provinces law governs on the ground that the "lex loci delicti"
was applicable, the appellant maintained that, in any event, Quebec law was the applicable law by
virtue of Quebec's no- fault scheme. Since I have already decided that the "lex loci delicti" should
govern, it would be unnecessary to enter into a discussion of the second argument, were it not for
the fact that counsel for the respondent took a different view of the effect of Quebec law, in
particular having regard to Quebec's new Civil Code .
[233] Parties - Adding or substituting parties - Adding or substituting crown defendants - Circumstances
when allowed - The plaintiffs sued the foreign defendants for personal injury. In 1997 Robert Kap
brought a personal injury action in the Supreme Court of British Columbia against the Defendant
Bulgaria. Kap now seeks to join his law suit with that of the Plaintiffs Michael, Tracy and
Nicholas and to add Tatiana Kap.
[13] For a period of approximately one year the plaintiff was not able to obtain alternate
employment. She received employment insurance benefits until May of 1997 when she started her
own day-care.
[14] The plaintiff in her affidavit sworn September 20, 1999, says:
"This has been the most stressful three years of my life. I am working three part-time jobs and only
until recently have been making approximately $1,500 month. My credit is ruined; I cannot borrow
$500.00. I never get a regular pay cheque. When a parent owes me money for Daycare, I get to hear
all the reasons why they can't pay me this month. In the meantime, I am getting disconnection notices
from Hydro and B.C. Telephone."
Personal Injury
[234] Summary:
[235] In November 1994, the 72 year old plaintiff slipped and fell while shopping at the defendant's
mall. The plaintiff tripped over the curled portion of a carpet outside one of the mall stores. The
fall exacerbated the pain the plaintiff suffered from pre- existing health problems (previous motor
vehicle accident injuries, osteoarthritis, degenerative disc problems and permanent partial
disability from a total hip replacement over one year prior to the fall).
[236] 16 year olds - Injury and death - General damage awards - Loss of earning capacity - -His estate
claimed for loss of future earning capacity - argued that the appropriate method of assessment was
to 1) d
Torts History
[237] The genesis of the existing Canadian rule for the determination of choice of law for torts arising
outside a court's territorial jurisdiction is the seminal case of Phillips v. Eyre , supra. There the
plaintiff brought an action in England for assault and false imprisonment against the defendant
who at the time of the torts was governor of Jamaica. The acts of which the plaintiff complained
were part of a course of action taken by Jamaican authorities to suppress a rebellion. Later the
governor caused an act of indemnity to be passed absolving all persons of liability for any
unlawful act committed in putting down the rebellion. Much of the judgment given by Willes, J.,
is devoted to questions concerning whether a colony like Jamaica could constitutionally enact such
a statute; these the court answered in the affirmative. But the major import of the case relates to
the final objection of the plaintiff that, assuming the colonial statute was valid in Jamaica, it could
not have the effect of taking away a right of action in an English court. Willes, J., replied that the
objection rested on a misconception of a civil obligation and the corresponding right of action,
which later he stated is only an accessory to the obligation and subordinate to it. As in the case of
contract, the general rule was that " the civil liability arising out of a wrong derives its birth from
the law of the place, and its character is determined by that law " (emphasis added) (at p. 28). The
substantive law, he affirmed, is governed by the law of the place where the wrong has been
committed. That, of course, would be Jamaica because the torts were wholly committed there.
[238] Willes, J., then went on to say that English courts are said to be more open to admit actions
founded on foreign transactions than those of other European countries, but he added, at p. 28, that
there are restrictions (e.g., trespass to land) that exclude certain actions altogether, and "even with
respect to those not falling within that description our courts do not undertake universal
jurisdiction " (emphasis added). He then immediately continued with the following frequently
cited passage, at pp. 28-29:
"As a general rule, in order to found a suit in England for a wrong alleged to have been committed
abroad, two conditions must be fulfilled. First, the wrong must be of such a character that it would
have been actionable if committed in England... . Secondly, the act must not have been justifiable
by the law of the place where it was done." The later point requiring the trier of the issues to
ascertain the lawful or unlawful character of the act according to the laws of the foreign
juridiction.
[239] In this passage, Willes, J., appears to commingle the law dealing with what we would today call
jurisdiction and choice of law. The first rule is strictly related to jurisdiction as is evident from its
context as just related. The second rule we would normally think of as dealing with choice of law,
which it is apparent earlier remarks was the place of the wrong, the "lex loci delicti". It was not,
however, necessary for Willes, J., to engage in this type of modern analysis. All he was doing was
expressing a rule of double actionability to permit suit in England; see Chartered Mercantile Bank
of India, London and China v. Netherlands India Steam Navigation Co. (1883), 10 Q.B.D. 521
(C.A.), at pp. 536-537.
[240] The law was not to remain in this form. In Machado v. Fontes , [1897] 2 Q.B. 231 (C.A.), (an
interlocutory appeal heard in a summary way by two judges), Willes, J.'s, judgment was read in a
rather wooden manner to mean something quite different from what he, in the Respondents view ,
had intended. In that case the plaintiff brought action in England for libel alleged to have been
published in Portuguese in Brazil. Though the report leaves us to surmise, the names of the parties
would indicate that they were Brazilian and, the language being Portuguese, the libel would seem
to have taken place there. The court interpreted Willes, J.'s, language as meaning that an act
committed abroad could be brought in England in the same way as if it had taken place in
England, so long as it was not justified or excused under the law of the place where it was
committed. It was, in other words, actionable under English law even if not actionable where it
was committed if it was "unjustifiable" there, for example, if it constituted a criminal act there.
[241] The approach taken in Machado v. Fontes was subjected to considerable judicial and academic
criticism; see Professor Moffat Hancock's "Case and Comment"on McLean v. Pettigrew , supra,
(1945), 23 Can. Bar Rev. 348. In particular so far as Canadian cases are concerned, Viscount
Haldane in Canadian Pacific Railway Co. v. Parent , [1917] A.C. 195 (P.C.), at p. 205, early
expressed some reservations about it. Argument has been brought and the Respondent would for
his part, have thought the question of whether a wrong committed in Brazil by a Brazilian against
another Brazilian gave rise to an action for damages should be within the purview of Brazil, and
that its being made actionable under English law by an ex post facto decision of an English court
would constitute an intrusion in Brazilian affairs which an English court, under basic principles of
comity, should not engage in. In the alternative argument has been brought and the common law
has been, as the Respondent could understand it, the approach of Willes, J. is accepted where the
parties were in that instance, both English nationals or domiciled in England and there is some
support in English cases for that measure of intervention; see Chaplin v. Boys , [1969] 2 All E.R.
1085 (H.L.), per Lord Hodson, at p. 1094, and Lord Wilberforce, at p. 1104; see also Lord
Denning in the same case in the Court of Appeal, [1968] 1 All E.R. 283 (C.A.), at pp. 289-290.
The Respondent adds, parenthetically that it could well be argued (though the facts were not
conducive to that possibility) that, unlike a motor vehicle accident, the tort of libel should be held
to take place where its effects are felt, but the court simply assumed that the place of the tort was
Brazil.
[242] In England, Machado v. Fontes was ultimately overruled by the House of Lords in Chaplin v. Boys
, supra. There the plaintiff, a passenger on a motorcycle, was injured through the negligence of the
defendant whose car had hit the motorcycle. The plaintiff and defendant were British soldiers
stationed in Malta. In upholding the action, their Lordships adopted a test of double actionability.
Substantive British law would be applied if the conduct was actionable both in England and in the
place where the conduct occurred, with a residual discretion to depart from the rule where justice
warranted. Here the conduct was actionable both in England and in Malta, and there was no
ground for a discretion to be exercised. The majority thus determined that the rule in Phillips v.
Eyre was a double actionability test. While the ratio of the case is difficult to define with precision
(see Red Sea Insurance Co. v. Bouygues S.A. et al. (1994), 174 N.R. 241 (P.C.)), the summary of
the result set forth in the well-known text of Dicey and Morris, Dicey and Morris on the Conflict
of Laws (11th Ed. 1987), at pp. 1365-1366, has been generally accepted:
[243] "Rule 205(1) As a general rule, an act done in a foreign country is a tort and actionable as such in
England; only if it is both actionable as a tort according to English law, or in other words is an act
which, if done in England, would be a tort; and actionable according to the law of the foreign
country where it was done. "(2) But a particular issue between the parties may be governed by the
law of the country which, with respect to that issue, has the most significant relationship with the
occurrence and the parties."
[244] Nonetheless it was on the insecure foundation of Phillips v. Eyre as interpreted in Machado v.
Fontes that the existing Canadian law was erected by this court's 1945 decision in McLean v.
Pettigrew . There, a driver and his gratuitous passenger, both domiciled in Quebec, had a car
accident in Ontario, and the passenger sued the driver in Quebec. Under Ontario law, the claim
would not have been actionable. It would, however, have been actionable in Quebec had it
occurred there. Applying the prevalent English law, the court found that since the tort was
actionable in Quebec, and the driver's conduct, though not actionable in Ontario, was prohibited
under the Highway Traffic Act of that province, it was not "justifiable" in Ontario. It, therefore,
upheld the plaintiff's action under Quebec law.
[245] The law as enunciated in McLean v. Pettigrew has remained the basic rule in Canada ever since.
However, its fundamental weaknesses began to be revealed in a series of Ontario cases beginning
in the 1980s. The first requiring discussion is Going v. Reid Brothers Motor Sales Ltd. (1982), 35
O.R.(2d) 201 (H.C.). There the plaintiffs were seriously injured in a collision with the defendant's
vehicle in Quebec owing to the negligence of the defendant. All the parties resided in Ontario. In
an action in Ontario, Henry, J., held that the plaintiffs were entitled to recover damages in
accordance with Ontario law despite the fact that the no-fault scheme in Quebec, where the
accident took place, extinguished any action in respect of bodily injuries arising out of the
accident. Had there been no breach of Quebec law of any kind the action would not have been
maintainable in Ontario; see Walpole v. Canadian Northern Railway Co. , [1923] A.C. 113 (P.C.).
However, in Going , the defendant had been in breach of the Quebec Highway Traffic Code . Thus
the action was not "justifiable" in Quebec so, following the rule in McLean v. Pettigrew , the
plaintiffs could recover under Ontario law. Henry, J., noted that the effect was that the defendants,
who had no relationship with the plaintiffs apart from the accident, were deprived of the protection
of the law accorded them in Quebec where the action occurred; moreover, he added, the rule
encouraged forum shopping. Had either the British rule in Chaplin v. Boys , supra, or the
American rule (which applied the proper law of the tort), been in effect, that would not have been
the case. Respondent notes in passing that in this and the cases that followed, reference is made to
rules in other countries, but in none of these cases was the rule approached on the basis of
Canadian constitutional imperatives.
[246] In Ang v. Trach (1986), 57 O.R.(2d) 300 (H.C.), even more strongly underlines the deficiencies of
the rule in McLean v. Pettigrew . There Ontario residents who were involved in a motor vehicle
accident in Quebec with a Quebec resident were held entitled to sue the latter despite the fact that
a Quebec resident must surely expect to be governed by Quebec law in such circumstances. As
Henry, J., observed, the rule, by applying the law of the forum as to liability and assessment, in
essence constitutes an extraterritorial extension of the law of the forum. The situation in Going
was at least supportable since the parties were all Ontario residents. In Henry, J.'s, view, the law of
the place of the tort, or the proper law (i.e., the place having the most substantial connection with
the tort) a concept which has been developed in the United States, would be more appropriate.
[247] Henry, J.'s, prayer was answered by the Ontario Court of Appeal, at least to the extent to which it
could do so, in Grimes v. Cloutier , supra, and Prefontaine Estate et al. v. Frizzle; Cuddihey et al.
v. Robinson et al. (1990), 38 O.A.C. 22; 71 O.R.(2d) 385 (C.A.). In effect what the court did in the
latter two cases was to confine McLean v. Pettigrew to its particular facts. In other situations, it
held, the rule of double actionability set forth in Dicey and Morris following Chaplin v. Boys ,
supra, should be followed. Accordingly, in Grimes v. Cloutier , it dismissed the action of an
Ontario resident against a Quebec resident for personal injuries suffered in an automobile accident
in Quebec. Since under the Quebec no-fault scheme no action existed in respect of the accident, no
action could be brought in Ontario. The same rule was applied in Prefontaine Estate v. Frizzle
where a Quebec resident sued an Ontario resident in respect of an accident in Quebec.
Tort Fraud
[249] [Canlin v. Thiokol Fibres Canada Ltd. (1983), 40 O.R. (2d) 687 (C.A.) at 691].
[250] Wilkinson v. Security Nat. Ins. Co. (1999), 249 A.R. 282 (QB)
[251] Summary:
[252] Wilkinson and Mason had worked at the same company. Mason sued Wilkinson for defamation,
alleging that Wilkinson had said, inter alia, that Mason had stolen from the company and misused
company funds. Wilkinson's home insurance policy provided coverage for liability for damages
for personal injury arising out of libel or slander.
Tort Negligennce
Fulton v. Globe and Mail (1997), 207 A.R. 374 (QB)), the Alberta Court of
Queen's Bench stated that negligent research, absent publication, gave
rise to no legal consequences in that no damages could flow from
unpublished negligent research - Accordingly, negligent research without
more was not actionable - See paragraphs 18 to 23.
Torts - Conspiracy
Interference with economic relations - Conspiracy - Pleading - In their statement of claim, the
plaintiffs pleaded that the officials and commercial principals of the state defendant conspired with
the Canadian defendant to defame the plaintiffs and their companies - In 550433 Alta. v. Stealth
Alarms Systems (1998), 234 A.R. 111 (QB) the Alberta Court of Queen's Bench held that a conspiracy
claim merged with a defamation claim and did not extend the scope of litigation, as the plea of
conspiracy clearly related only to the alleged defamation - As a result, all specialized pleading rules
applicable to defamation were also applicable to conspiracy - The scope of discovery or any other
pre-trial or trial process was not extended - In some situations pleading conspiracy might extend the
scope of the litigation and temper the general rule requiring specificity in pleadings regarding
defamation .
There the plaintiff was a home security company that claimed its competitor had engaged in a
conspiracy "smear campaign" to injure its business interests by defaming the plaintiff to actual and
potential customers of the plaintiff's. There plaintiff was able to identify only some of the customers
to whom the defendant directed it's "smear campaign"; it therefore wishes to ask the defendant in
examinations for discovery about further similar instances of defamation, as the defendant has
exclusive knowledge of this. The plaintiff's statement of claim also pleads special damages relating to
loss of business earnings.
Pleadings in defamation must be specific, that the plaintiff must set out the alleged defamatory
statements, to whom they were published and where they were published. The defendant therefore
says it is entitled to the specifics of each instance of defamation, of particular sections of the
Competition Act upon which the plaintiff will rely, and of the specific damages claimed.
In cases where a plaintiff is unable to give particulars of slander because they are not within his
knowledge but are within the knowledge of the defendant, the rule relating to strict pleadings is
relaxed and the court usually will not strike out the pleading provided the plaintiff has revealed all
the particulars in its possession and has set forth a prima facie case relating to the defamation in the
pleadings.
In the instance before the Bar the Plaintiffs here have established a prima facie case by providing in
there second Notice to Admint to the defendant all the instances of defamation within its knowledge
and establishing a reasonable foundation to entitle them to later ask the defendants in discovery if
they have made similar statements to other people.
4. Plea Of Conspiracy
[14] In the proceeding before the Bar the plea of conspiracy will not, in this case, extend the scope of
the litigation as it might in some other situations conspiracy extend the scope of litigation and so
temper the general rule requiring specificity in pleadings relating to defamation. In this case,
however, the plea of conspiracy clearly relates only to the alleged defamation, the conspiracy claim
merging with the defamation claim, not extending it. This was made clear in the English Court of
Appeal's decision in Lonrho plc v. Fayed (No. 5) , [1994] 1 All E.R. 188 (C.A.), and recently adopted
by Master Funduk in Guccione supra., where Lord Dillon states at pp. 195-196:
"In my judgment, if the plaintiffs want to claim damages for injury to reputation or injury to
feelings, they must do so in an action for defamation - not in this very different form of action
[conspiracy]. Injury to reputation and to feelings is, with very limited exceptions, a field of its own
and the established principles in that field are not to be side-stepped by alleging a different cause of
action. Justification - truth - is an absolute defence to an action for defamation, and it would, in my
judgment, be lamentable if a plaintiff could recover damages against defendants who had combined
to tell the truth about the plaintiff and so had destroyed his unwarranted reputation. But that would
be the consequence if damages for injury to reputation and injury to feelings could be claimed in a
'lawful means' conspiracy action. To tell the truth would be wrongful."
[15] The Master concludes that, where the conspiracy is to injure reputation, the conspiracy claim
merges in the defamation claim:
"The principle discussed in Fulton and Lonrho plc applies regardless of which kind of conspiracy it
is……In addition, where the conspiracy to injure is by defaming the victim the conspiracy claim
merges in the defamation claim: Normart Management Ltd. v. West Hill Redevelopment Co. 4
C.P.C.(4th) 64 (Ont. Ct. of Justice - Gen. Div.); Elliott v. C.B.C. , 16 O.R.(3d) 677 (Ont. Ct. - Gen.
Div.), aff'd 125 D.L.R.(4th) 534 ( C.A.)."
[16] This form of pleading does not extend the scope of discovery or any other pretrial or trial
process: in the circumstances here the principle in Lonrho plc applies as the conspiracy is to defame
and therefore the tort of conspiracy merges with the tort of defamation. As a result, all specialized
pleading rules which apply to pleading defamation also apply to the cause of action based in
conspiracy.
Tort Defamation
Actions in tort - Libel and slander - When time beings to run -. Background -
Count I - Tax Department
[254] Mr. Kapoustin is a Vancouver businessman involved in investments in the phamaceutical amd oil
and gas industry. From 1991 to sometime until in May, 1995 Mr. Kapoustin and the Plaintiffs
British Columbia registered foreign corporation LifeChice International Inc., and its Canadian
subsidiary company of LifeChoice Pharmaceuticals Inc., and Bulgarian subsidiary company of
LifeChoice International A.D. (Inc. Bulgaria) became commercial involved with government
institutions of the Defendant Bulgaria in the defamation action. There were a number of
commercial activities related to the business of Mr. Kapoustin in British Colmbia and commercial
activities overseen by the Ministry of Health, Republic of Bulgaria and the Ministry of Finance,
Republic of Bulgaria. The Defendant and the Plaintiffs worked together on a variety of projects as
identified in the evidence of Mr. Kapoustin, Ms. Gogova and Mr. Lukanov. Some of the parties to
whom the defamatory words attributed to the Defendant Bulgaria, Ministry of Finanace are
alleged to have been addressed had a clear relationship with Kapoustin and the LifeChoice
companies in British Columbia and elsewhere, some did not. The Amended Statement of Claim of
S004040 in Count I of the defamation action now alleges as follows:
[255] HERE WE NEED TO INSERT THE CRIMINAL ALLEGATIONS OF TAX DEPT.
"1. That from on or around July, August, September or October of 1994 and May, June and July
1995 Mr. Kapoustin as managing director of the company LifeChoice International A.D. Bulgaria
had stolen 'from the company and had misused company funds'.
"2. That on or about November 11, 1994 Mr.Kaposutin made out a fradulent tax declaration, , stole
money from Tornado, misused a company credit card and caused the company to misuse certain
corporate funds.
"3. That on or about October 1, 1998 Mr. Wilkinson wrote to several shareholders of Tornado to the
effect that Mr. Mason had personally profited at the expense of the shareholders of Tornado and that
Mr. Mason 'has a bad reputation within the financial community'.
"4. That on or about November 26, 1998 Mr. Wilkinson wrote to a third party with whom Tornado
was in negotiations, words to the effect that Mr. Mason was a 'con artist' and had used corporate
funds for his own personal use.
"5. That in November or December, 1998 Mr. Wilkinson said to another party that Mr. Mason had
stolen corporate funds and had misused a corporate credit card.
"6. That on or about January 24, 1999 Mr. Wilkinson spoke to yet another person words to the effect
that Mr. Mason was a rogue."
Defamation
Defamation
In Guccione v. Bell (1998), 229 A.R. 365 (QBM) the Defendants in two
actions applied to strike out some of the pleas in the plaintiff's actions.
They argued that all the claims made against them were claims for
damages arising from an alleged loss of reputation. They argued that
claims for damage to reputation were exclusively governed by the law of
defamation and therefore the claims for conspiracy, injurious falsehood,
negligent misrepresentation, inducing breach of contract/unlawful
interference with economic interests should be struck from the pleadings.
In Sidorsky v. CFCN Com. Ltd. (1998), 216 A.R. 151 (CA); 175 W.A.C. 151,
Sidorsky owned several mobile home parks. The defendant television station broadcast reports that
Sidorsky and his companies swindled persons by misleading customers into believing they were
purchasing mobile homes when, in fact, subsequent documents they signed created only a lease with
a virtually worthless option to purchase. Sidorsky and his companies brought a defamation action for
damages against the television station and eight employees. The defendants pleaded qualified
privilege, justification and fair comment.
In Goddard v. Day (2000), 276 A.R. 358 (QB), Goddard sued Day for
defamation respecting a letter written to a newspaper.
[17] In Olsen v. St. Martin (1981), 32 A.R. 51 (Q.B. Master) Master Funduk articulated the
traditional requirement of pleading defamation as follows:
"Defamation actions are one of the few forms of action where strictness in pleading is still insisted on.
In a slander action the exact words uttered are a material fact, and accordingly, the exact words
alleged to have been uttered must be pleaded."
[18] The traditional position was informed by a concern that a vague allegation might become the
long, pointy pole of a fishing expedition. The traditional rule also attempted to ensure that the
defendant in a defamation action should be given sufficient information to allow the defendant to
assess whether it had any type of privilege defence, including the defence of qualified privilege. It
might also usefully be noted that even the traditional position, for obvious reasons, tolerated
somewhat less specificity in defamation claims based on slanderous statements than on those
grounded in libel.
[19] In this case, Master Funduk's reasons reflect a contemporary approach to the same issue.
[20] I agree with Funduk, Master's, approach in this case. I find support for his view in the comments
made by Fruman, J., as she then was, in Rosen , where she states that, provided a reasonable amount
of specificity is pleaded, the strict rule relating to pleadings should be relaxed:
"I think I would have been willing to go some way to ease (the plaintiffs') burden if there had been
something in the pleadings that indicated to me that the plaintiffs were acting in good faith, were not
on a fishing expedition and the defamatory words had actually been published. I might have been
prepared to relax the strict rules if a summary of the words had been specified with an indication of
the date or times or people by and to whom the communications were made. However, the Amended
Amended Statement of Claim provides no specific and deals only with inferences. I, therefore, allow
the motion to strike out the Statement of Claim as against the Insurance Crime Prevention Bureau."
[21] It will be recalled that in Rosen , the pleading was stated very broadly or generally:
"The second defendant has made defamatory statements to various insurers about the plaintiffs,
intending to cause and knowing that it was likely to cause insurers to breach contracts they had with
the plaintiffs, and inducing and encouraging them to do so."
"The defamatory statements are said to be words to the effect that the plaintiffs are liars, arsonists,
have committed perjury, have committed arson, have attempted to defraud, are poor risks."
( emphasis added)
[23] There is in fact specific authority supporting Fruman, J's, view that the strict rules should be
relaxed in cases where the plaintiff has set out a reasonable foundation in the pleadings to establish
that it is not on a fishing expedition. Very recently, Master Powers of the B.C. Supreme Court, stated
in Benson :
"In response, counsel for the respondent relies upon the principle that an exception to that general
rule exists where the court is satisfied that the defendant has defamed the plaintiff but the latter,
acting in good faith, is unable to particularize the exact words: Brown , supra; Bulkey , supra,
Paquette v. Cruji (1979), 26 O.R.(2d) 294 (H.C.); ...
"In Paquette , supra, at p. 296, Grange, J., reiterated the fact that allegations of defamation must be
strictly pleaded. However, he added the following caveat:
'There are, however, limitations to the strictness of pleading. Our courts have always refused to strike
out a claim where the plaintiff has revealed all the particulars in his possession and has set forth a
prima facie case in his pleading: see Winnett v. Appelbe et ux. (1894), 16 P.R. (Ont.) 57, and Lynford
v. United States Cigar Stores Ltd. (1917), 12 O.W.N. 68. In the latter case Falconbridge, C.J.K.B.,
refused to strike out a statement of claim wherein the plaintiff had been unable to set forth the exact
words in an allegedly defamatory letter which had resulted in loss of empoyment quoting with
approval [at p. 69] the words of Odgers, 5th Ed. (1912), at p. 624:
"If the plaintiff does not know the exact words uttered, and cannot obtain leave to interrogate before
statement of claim, he must draft his pleading as best he can and subsequently apply for leave to
administer interrogatories, and after obtaining answers, amend his statement of claim, if necessary."'
In this case, I conclude that the plaintiff has revealed all of the particulars in its possession and that it
has made out a prima facie case."
[24] Paquette was also approved in the Australian case of Lazarus where the court held that,
provided the plaintiff could establish a prima facie case of publication, and could verify his assertions
that he lacked knowledge of the specific names of the persons to whom the publication was alleged,
the court would not strike out his claim for want of particularity and that it would be sufficient for
the plaintiff to give the best particulars he could to identify those persons.
[25] In this case, the plaintiff has given details of the dates, and places, and speakers, and words used
to defame it. This is sufficient detail to establish that the plaintiff is not merely on a fishing
expedition. Without the March 10, 1998 letter, there may not have been sufficient detail, but that
letter must be deemed to have been incorporated in the pleadings.
[26] Moreover, the plaintiff, having established a prima facie case, i.e., the existence of the
defamatory statements made on specified dates to identified recipients by identified makers, the
plaintiff is entitled, on discovery, to ask the defendants if they have made similar statements to other
people. This would not be a fishing expedition because the plaintiff would have established
reasonable grounds - a prima facie case - for inferring that other such similar statements had in fact
been made.
[27] In addition, the defendants have been given sufficient information so that they can make a
determination about whether they have a defence of privilege.
[256] Traditional rules regarding tort based actions- aggregate cause of action- more than one defendant.
Where the traditional, individually oriented tort action does not realistically meet the need of a
large-scale loss-recovery action, where very substantial numbers of people have been exposed and
it is said to have resulted in adverse effects through non-observable means of causation, the
aggregate action is intended to provide for relief.
Statement Of Claim
The plaintiff brings brought a defamation action against the defendant respecting public statements
represenattion alleging that he falsified his income tax return and forged invoices when a director of
his company. The statement of claim also claimed negligence, alleging that the defendant's were liable
for shoddy and incomplete research. Is there concurent liability alleging negligence, and claiming
liability in defamation and tort where the claim was for loss of reputation.
[259] Definitions - Foreign state or agency of a foreign state - Plaintiffs seek to add the Ministry of
Attorney General as a party - The Plaintiff assert that it was part
In Ferguson v. Arctic Transportation Ltd. (1995), 105 F.T.R. 13 (TD) Practice
- Parties - Adding or substituting parties - Adding or substituting
defendants - Conditions precedent -
The plaintiff sued the defendant company and ship owners for damages for injuries he suffered while
on board a barge which was transiting the Panama Canal - The plaintiff was a pilot for and an
employee of the Panama Canal Commission - The Commission was in control of the defendants'
vessels while they were transiting the Canal - The corporate defendant successfully applied to add the
Commission as a third party - It then sought to add the Commission as a defendant under Federal
Court Rule 1716 - A Prothonotary of the Federal Court of Canada, Trial Division, dismissed the
motion - The Commission did not come within the ambit of rule 1716 either as an entity that ought to
be joined as a party, or as necessary to determine the issues in the plaintiff's case.
[260] Pleadings - Statement of claim - Requirement of stating basis for claim - A plaintiff and his
dependent sued foreign functionaries for personal injuries arising from a conspiracy related to a
kidnapping - The foreign functionaries claimed sovereign immunity - Although common law did
not except personal injuries from state immunity, s. 6 of the federal State Immunity Act did - The
kidnapping occurred after the Act came into force - The plaintiffs asserted that the Act applied as
the conspiracy was ongoing - The Ontario Court of Appeal refused to assert jurisdiction where
there was a flagrant disregard for Ontario Civil Procedure Rule 25.06(1) which required a concise
statement of the material facts on which the plaintiffs relied for their claim - See paragraphs 55 to
56. Practice - Topic 44.9
2. defamation;
Conspiracy
4. Starting in about October 1996, the defendants conspired together to inflict economic damage on
the plaintiff's practice and did inflict such damage by making false and defamatory statements to
clients and potential clients of the plaintiff and by initiating a false and malicious complaint against
the plaintiff to the A.V.M.A. and by communicating false information to the A.V.M.A. The defendants
continue to act in furtherance of their conspiracy and the plaintiff continues to suffer economic
damage, losing about $13,000 per month .
5. The defendants, or any one of them or any combination of them, either on their own or as parties,
falsely and maliciously or negligently spoke and made the following publications to the following
people and/or organizations: ... (particulars omitted)
6. The said words were uttered in the course of conversations about the skill, competence and ethics
of the plaintiff and, in their natural and ordinary meaning, meant and were understood to mean that
the plaintiff was incompetent, unskilled, unprofessional and dishonest in his practice.
7. The defendants have, in consequence of the above, violated the Veterinary Profession Act and the
A.V.M.A. Code of Ethics.
8. As a consequence of the above the plaintiff was and continues to be injured in his credit and
reputation in his profession and has and continues to be put to legal expenses to defend the wrongful
complaints made to the A.V.M.A. "
4. Starting in about October 1996, the defendants conspired together to inflict economic damage on
the plaintiff's practice and did inflict such damage by making false and defamatory statements to
clients and potential clients of the plaintiff and by initiating a false and malicious complaint against
the plaintiff to the A.V.M.A. and by communicating false information to the A.V.M.A. The defendants
continue to act in furtherance of their conspiracy and the plaintiff continues to suffer economic
damage, losing about $13,000 per month .
5. The defendants, or any one of them or any combination of them, either on their own or as parties,
falsely and maliciously or negligently spoke and made the following publications to the following
people and/or organizations: ... (particulars omitted)
6. The said words were uttered in the course of conversations about the skill, competence and ethics
of the plaintiff and, in their natural and ordinary meaning, meant and were understood to mean that
the plaintiff was incompetent, unskilled, unprofessional and dishonest in his practice.
7. The defendants have, in consequence of the above, violated the Veterinary Profession Act and the
A.V.M.A. Code of Ethics.
8. As a consequence of the above the plaintiff was and continues to be injured in his credit and
reputation in his profession and has and continues to be put to legal expenses to defend the wrongful
complaints made to the A.V.M.A. "
Defamatiom
The portions of the statement of claim that were struck by Master Funduk are set forth below and
underlined:
" 3. Both the plaintiff and the defendants are members of their professional governing body, the
Alberta Veterinary Medical Association ( 'A.V.M.A.') and as such, are subject to the A.V.M.A.'s rules,
bylaws and Code of Ethics. They are also subject to the Veterinary Profession Act .
Background
[4] The Respondent submits that the original facts pleaded give rise to several counts of causes of
action in defamation, malicious prosecution, abuse of process and conspiracy to cause damage by
lawful or unlawful means. The Respondent further submits that some portion of the pleadings that
are poorly articulated or difficult to understand which are in the Statements of Claim support the
claims founded in conspiracy and defamation, as well as claims for exemplary or punitive and
aggravated damages.
[5] The Respondent has now brought before the Court a Notice of Motion in this matter requested for
an order to amend a significant portion of the original pleadings and to provide him sufficient time to
bring the plaintiffs pleading within all of the enumerated points referred to in Rule 19 and to do so
relies on Rule 24, Rules of the Court for leave. This appears necessary to the Respondent since it
appears that a cause of action arising from the facts pleaded as relates to a claim for damage to
reputation, and as such is governed exclusively by the law of defamation and is justified given the
fact that although the issues were substantially the same, they are not identical and substantial time
has been taken and still needs to be expended to "track the differences".
Determination
[6] A decision of the Alberta Court of Appeal in Peterson et al. v. Highwood Distillers Ltd. et al.
(1998), 216 A.R. 83; 175 W.A.C. 83; 158 D.L.R.(4th) 569 (C.A.), affirms the principle that a court
should always be generous in assessing pleadings. This principle was also recently affirmed by the
Court of Appeal in Kvaerner Enviropower Inc. v. Tanar Industries Ltd. et al. , [1998] A.J. No. 1027;
223 A.R. 348; 183 W.A.C 348 (C.A.) and that every phrase or sentence or paragraph in a statement of
claim need not, and cannot, disclose an independent cause of action: Alexander et al. v. Pacific Trans-
Ocean Resources Ltd. et al. (1991), 120 A.R. 22; 8 W.A.C. 22 (C.A.). The court should be concerned
with matters of substance, and not of form: Operation Dismantle Inc. et al. v. Canada et al. , [1985] 1
S.C.R. 441; 59 N.R. 1; 13 C.R.R. 287; 18 D.L.R.(4th) 481; 12 Admin. L.R. 16; Colonia Life Holdings
Ltd. v. Fargreen Enterprises Ltd. (1990), 1 O.R.(3d) 703 (Gen. Div.). It may be that certain
paragraphs can only be relied on by the plaintiff for limited purposes: Morris v. Wiltshire , The
Times Feb. 15, 1994 (C.A.).
Proposed Amendments Sought
Paragraph 5
[8] In light of the appellant's written argument, the appellant has impliedly conceded to striking out
the phrase "or negligently" in paragraph 5 of the Statement of Claim in Action No. 9703-01454. The
appellant's counsel states at p. 2 of his brief that he agrees with the decision of the Master insofar as
it applied the principle that, excepting the claims for malicious prosecution, abuse of process and
conspiracy to cause damage by lawful means, all other claims made by the appellant that flow as a
result of published false statements have merged in the tort of defamation. This of course, therefore,
excludes the tort of negligence.
Paragraphs 3 And 7
[9] The appellant cites D.B. Casson, Odgers on High Court Pleading and Practice (23rd Ed.),
(London: Sweet & Maxwell: 1991), p. 143 as authority for the proposition that facts which are
matters in aggravation of damages should be pleaded. McElroy v. Cowper-Smith and Woodman ,
[1967] S.C.R. 425, is conclusive authority to the effect that not only aggravated damages, but also
punitive damages may be awarded in defamation cases where the circumstances so warrant. Even
assuming that the only cause of action arising from the facts alleged is defamation, paras. 3 and 7
may be relevant to an award of exemplary or punitive damages, as it is arguable that they relate to
the standard of morality or decent conduct to which members of the veterinary profession are to be
held. Since the substance of the pleadings is in issue here, and not the form, the location of paras. 3
and 7 does not minimize their potential relevance to the issue of damages.
Paragraph 8
[10] At p. 10 of his written submissions, counsel for the respondents, referring to the latter portion of
para. 8, writes that "to the extent that these expenses flow as a consequence of the communications
allegedly made by the defendants which found the defamation claim, the appellant is at liberty to
apply for leave to amend his damages claim as he deems fit without reference to the alleged
conspiracy". However, para. 8 of the statement of claim does not make reference to any conspiracy,
but simply refers to legal expenses incurred as a result of wrongful complaints to the A.V.M.A. Even
if the pleadings sound only in defamation, para. 8 would require no deletion or amendment, as the
defamatory statements detailed in para. 5 include communications by the defendants to the
A.V.M.A., and it is arguable that costs of the defence may be recoverable as special damages.
Paragraph 4
[11] This leaves us with para. 4. Counsel for the respondents submit that defamation is the gravamen
of the appellant's complaint, and that as a matter of law claims for damage to reputation are
governed exclusively by the law of defamation, relying on Foaminol Laboratories Ltd. v. British
Artid Plastics Ltd. , [1941] 2 All E.R. 393 (K.B.); Lonrho v. Fayed (No. 5) , [1994] 1 All E.R. 188
(C.A.) and cases cited therein, and Fulton v. Globe and Mail et al. (1996), 194 A.R. 254 (Q.B. Master);
affd. with variation (1997), 207 A.R. 374; 53 Alta. L.R.(3d) 212 (Q.B.). Foaminol , supra, dealt with
claims for loss of reputation caused by a breach of contract. The court in that case held that the loss
of reputation is a matter for which damages cannot generally be claimed except in actions for
defamation. This statement of law is much less categorical than that espoused by the respondents. It
is further tempered by the court's conclusion that the mere fact that the pecuniary loss is brought
about by the loss of reputation caused by a breach contract is not sufficient to preclude the plaintiffs
from recovering in respect of a pecuniary loss by way of a breach of contract if such pecuniary loss
can be established (at p. 400). Fulton v. Globe and Mail , supra, deals specifically with alternative
claims in defamation and negligence. The appellant has already conceded that the claim in negligence
cannot stand.
[12] Lonrho v. Fayed , supra, involves the issue of framing a claim for damages for injury to
reputation as a "lawful means" conspiracy action. At p. 195 of that decision, Dillon, L.J., states:
"Justification - truth - is an absolute defence to an action for defamation, and it would in my
judgment, be lamentable if a plaintiff could recover damages against defendants who had combined
to tell the truth about the plaintiff and so had destroyed his unwarranted reputation."
[13] The appellant argues that the pleadings support a claim in conspiracy to cause damage by lawful
means. The logic espoused by Dillon, L.J., precludes such a claim in this case. Furthermore, the
respondents submit that the facts set out in para. 4 do not support such a claim, since the means
alleged would be unlawful. Indeed, it is difficult to see how the facts in para. 4 could support the
claim of conspiracy to cause damage by lawful means as suggested by the appellant.
[14] However, the appellant goes on to argue that the fact that the respondents conspired together
would constitute severe, high-handed, wanton, callous and reprehensible behaviour which would
support exemplary or punitive and aggravated damage claims. Insofar as damages are concerned,
para. 5 contains language sufficient to allow the appellant to lead evidence on the issue of the
defendants acting in concert to effect the defamation.
[15] The remaining issue is that of malicious prosecution or abuse of process. Nelles v. Ontario et al. ,
[1989] 2 S.C.R. 170; 98 N.R. 321; 35 O.A.C. 161, sets out the requirements for the tort of malicious
prosecution. The appellant has failed to plead one of the required elements, namely, that the
proceedings in question terminated in favour of the appellant. The appellant requests leave to amend
so that if the proceedings had been terminated in favour of the plaintiff, the plaintiff would have the
opportunity to advance the claim. The respondent contends that the phrase "by initiating a false and
malicious complaint against the plaintiff to the A.V.M.A." is simply one of the alleged modes by
which the alleged conspiracy was carried out and is not a plea of an independent cause of action. The
respondents go on to argue that if malicious prosecution is alleged, then that claim is essentially for
damages, direct and consequential, arising from an alleged loss of reputation which are exclusively
governed by the law of defamation.
[16] J.G. Fleming, in The Law of Torts (9th Ed.) (Sydney: Law Book Co., 1998), discusses defamation
and malicious prosecution at p. 673:
"... [M]alicious prosecution ... bears close resemblance to defamation, both being infringements of
essentially the same complex of interests on the part of the plaintiff.
... [T]his action [malicious prosecution] was never absorbed into the law of defamation."
The respondents have not produced any authority which would negate this proposition.
[17] Therefore, although it is clear that defamation largely governs claims for loss of reputation, the
respondent's statement of the ambit of defamation goes too far.
[18] The question whether a claim of malicious prosecution would be tenable with respect to the
disciplinary proceedings in question is better left to the trial judge. Should the appellant desire leave
to amend to include the missing element, the parties are invited to make submissions as to whether
such an amendment is permissible. However, even if the appellant cannot amend the pleadings to
meet the requirements set out in Nelles , supra, the impugned phrase may support the claim in
defamation, and should not be struck.
[19] The appellant also argues that certain facts relevant to the defamation claim were struck out in
striking out para. 4 in its entirety. Those concerns are addressed below.
Conclusion
[20] The underlined portions of the statement of claim in Action No. 9703- 01454, and the identical
portions of the statement of claim in Action No. 9703-00977, are struck as follows and para. 4 is
amended as indicated by the bolded letters for grammatical reasons:
"3. Both the plaintiff and the defendants are members of their professional governing body, the
Alberta Veterinary Medical Association ('A.V.M.A.') and as such, are subject to the A.V.M.A.'s rules,
bylaws and Code of Ethics. They are also subject to the Veterinary Profession Act .
4. Starting in about October 1996, the defendants conspired together to inflict ed economic damage
on the plaintiff's practice and did inflict such damage by making false and defamatory statements to
clients and potential clients of the plaintiff and by initiating a false and malicious complaint against
the plaintiff to the A.V.M.A. and by communicating false information to the A.V.M.A. The defendants
continue to act in furtherance of their conspiracy and the plaintiff continues to suffer economic
damage, losing about $13,000 per month.
5. The defendants, or any one of them or any combination of them, either on their own or as parties,
falsely and maliciously or negligently spoke and made the following publications to the following
people and/or organizations: ... (particulars omitted)
6. The said words were uttered in the course of conversations about the skill, competence and ethics
of the plaintiff and, in their natural and ordinary meaning, meant and were understood to mean that
the plaintiff was incompetent, unskilled, unprofessional and dishonest in his practice.
7. The defendants have, in consequence of the above, violated the Veterinary Profession Act and the
A.V.M.A. Code of Ethics.
8. As a consequence of the above the plaintiff was and continues to be injured in his credit and
reputation in his profession and has and continues to be put to legal expenses to defend the wrongful
complaints made to the A.V.M.A."
[21] If the appellant desires leave to amend to include the missing element relating to malicious
prosecution, the parties are invited to make submissions as to whether such an amendment is
permissible, once the appellant has revealed the nature of the proposed amendment.
[261] In R. v. Dawson (D.) (1999), 248 A.R. 82 (QB) the RCMP obtained a search warrant under the
Mutual Assistance in Criminal Matters Act to search the plaintiffs premises. A search was
conducted and numerous records and things were seized. A notice of hearing to consider the
execution of the search warrant was served to the plaintiffs. The Crown applied for an order
sending the items seized to the United States, who had requested assistance under the Act. The
Alberta Court of Queen's Bench allowed the application.
[263] Special powers - Setting aside search warrants - Grounds - Information - Sufficiency of form and
content - Canada sent numerous letters naming the Plaintiff Kapoustin and other and requesting
assistance from the Defendant Bulgaria for an investigation in British Columbia unrelated to the
plaintiffs. The requests were not made under the Mutual Assistance in Criminal Matters Act - On
the basis of these letters, the defendant an R.C.M.P. officer, provided and made represenations he
knew to be untrue before police authorities of Bulgaria. The R.C.M.P. knew the information would
personally injure the plaintiffs and lead to Bulgaria authorities to search, seize and close the
plaintiffs offices and to seize their property in Bulgaria. The slander or libel and
misrepresentations were made by Mr. Doornbos to aid a Canadian investigation in British
Columbia. The July 7th 1995 Letter of Request was framed to Bulgaria in the context of a Warrant
from Canada to arrest and prosecute the Plaintiff Michael Kapoustin in aid of a British Columbia
police investigation into the activities of a religious organnization the "Society of Kabbalarians".
In Canada, under the Act when observed, a search and seizure order by a court was required and a
Crown application to send the information or objects seized to Bulgaria - Plaintiffs argue that
while the information appeared to be in proper form, with a careful reading, it is clearly devoid of
facts connecting Kapoustin to the investigation in British Colmubis. The Letter of Resuest
embodied the personal conclusions and beliefs of Mr. Doornbos. The Letter of Request and other
written correspondences of the R.C.M.P. constitute a libel, the personal communications of Mr.
Doorbos to Bulgaria slander the plaintiffs on numerous occassions. The expressions used and
construction of the words express a real malice of the officer towards the Plaintiffs, particularly
Kapoustin and by inference the Jewish faith. Plaintiffs are of the view that, had there been judicial
supervision over the R.C.M.P. and Mr. Doornbos and his investigation of Kapoustin , that any
judge would not have found reasonable grounds upon which he could issue a search warrant or
grant a sending order for the particular information and objects collected in the province on the
direction of Doornbos. The investigation in the Province was unrelated to the Plaintiffs, and in
naming the Plaintiffs as connected to that particular R.C.M.P. investigation the Ministry of the
Attorney General caused the plaintiffs wrongful personal injury.
[264] Special powers - Search warrants - General - plaintiffs discussed in their pleadings the purpose of
the Mutual Assistance in Criminal Matters Act -.
[265] Special powers - Power of seizure - Disclosure of things seized - Plaintiffs allege that the
defendant R.C.M.P. officer Mr. Doornbos made unlawful disclosures to the Defendant Bulgaria.
No search warrant was issued or other judicial oversight secured as required under the Charter and
Mutual Assistance in Criminal Matters Act. Plaintiffs argue that the information gained in British
Columbia without a search warrant was shared with the foreign authority prior to release by a
court of this province of the information. The data and items were obtained in British Columbia.
There is no warrant or sending order was issued by a court.-Was officer required to observe the
Canadian law? Breach of fiduciary when making unlawful disclosure that he knew would harm
the plaintiffs.
[266] Parties - Adding or substituting parties - Adding or substituting crown defendants - Circumstances
when allowed - Charter of Rights and Freedoms s. 34 -The plaintiffs sued the foreign defendants
for inter alia conspiracy - alternatively- defamation. The defendant Derek A. Doornbos is an
R.C.M.P. official who it is alleged on or about May 15th 1995 utterred a slander to the Defendant
Bulgaria that the Plaintiff Kapoustin was convicted in British Columbia on mutliple counts of
sexual assault on children. The slander was committed while Doornbos acted in his capactity as an
official of the Canadian governemnt. His remark was accepted for fact and repeated to agencies of
Bulgaria as if fact and published in numerous newpaper articles and repeated on television and
radio. Plaintiffs seek to add as defendant the Attorney General of Canada .
[267] Parties - Adding or substituting parties - Adding or substituting crown defendants - Circumstances
when allowed - Charter of Rights and Freedoms s. 34 - The plaintiffs sued the foreign defendants
for inter alia conspiracy - alternatively- defamation. The defendant Derek A. Doornbos is an
R.C.M.P. official who on or about July 7th 1995 provided Bulgaria a Letter of Request that
discuseed the Plaintiffs and their commercial activities in the province. It is alleged the Letter of
Request wrongly made conclusions of law and statements of fact that were fraudulent or at best
misleading statement made to appear as fact. The R.C.M.P. commited a libel against the plaintiffs
and their commerical activities in or connected to British Columbia and Bulgaria. The Letter of
Request advised Bulgaria that the Plaintiffs were members of a pseudo-religious Jewish sect based
in British Columbia, Canada and that the plaintiffs companies were part of an international
criminal activuty to laudry the proceeds of crime into British COlumbia. The libel was committed
while Doornbos acted in his capactity as an official of the Canadian governemnt. The Letter of
request was accepted as fact and repeated to agencies of Bulgaria as if fact and later published in
numerous newpaper articles and repeated on television and radio. Plaintiffs seek to add as
defendant the Attorney General of Canada
[268] Bowker, W.F., The Uniform Survival of Actions Act (1964), 3 Alta. L. Rev. 197, pp. 198 to 201
[para. 73].
[269] Coopers-Stephenson and Saunders, Personal Injury Damages in Canada (1981), p. 389 [para. 71].
[270] Driedger, E.A., Construction of Statutes ( 3rd Ed. 1994), p. 131 [para. 8].
[271] Englehart, K.G., Proof of Future Events: In Support of the Simple Probability Burden of Proof
(1987), 8 Advocates Quarterly 163, generally [para. 30].
[272] Klar, Tort Law, p. 10 [para. 15].
[273] Waddams, S.M., Law of Damages (2nd Ed. 1995), generally [para. 17].
[274] Fleming, "Probabilistic Causation in Tort Law" (1989), 68 Can. Bar. Rev. 661.
[275] Fleming, "Probabilistic Causation in Tort Law: A Postcript" (1991), 70 Can. Bar. Rev. 136.
[276] Fox, Hazel, State Immunity: The House of Lords' Decision in I Congreso Del Partido (1982), 98
L.Q.R. 94, generally [para. 16].
[277] Lauterpacht, The Problem of Jurisdictional Immunities of Foreign States (1951), 98 B.Y.I.L. 220,
refd to. [para. 16].
[278] The Respondent has no difficulty in holding that the present case falls to be resolved at common
law and not under the State Immunity Act 1978. It would not be unreasonable to hold that the
sending of the memorandum was done, to quote the terms of s. 16(2), "by ... the armed forces of a
state while present in the United Kingdom".
[279] [16] In relation to the common law as it has now developed the distinction has to be made between
claims arising out of acts done in the exercise of a State's sovereign authority and claims not so
arising, that is typically claims arising out of commercial transactions such as might be undertaken
by private individuals. Expressed in the traditional Latin labels, which are convenient as words of
reference but do not assist significantly in the application of the distinction, the distinction is
between matters " jure imperii" and matters "jure gestionis". The "restrictive" theory which
through the decisions in Ship Phillippine Admiral, Re , [1977] A.C. 373 (P.C.) and Playa Larga
(Cargo Owners) v. I Congreso del Partido (Owners) et al. , [1983] 1 A.C. 244, has been adopted
into the laws of the United Kingdom calls for this distinction to be made, but it is one which in
some cases may be subtle and delicate to define and has indeed been criticised as one which may
not be workable (Lady Hazel Fox, State Immunity; The House of Lords' Decision in I Congreso
Del Partido (1982), 98 L.Q.R. 94). Indeed Professor Lauterpacht ( The Problem of Jurisdictional
Immunities of Foreign States (1951), 98 B.Y.I.L. 220, 222) refers to the difficulty of defining the
distinction as the main argument in favour of an absolute immunity from jurisdiction. In the same
article Professor Lauterpacht suggests that the immunity of foreign states may have derived from
the traditional immunity of a sovereign state from suit in its own courts, a principle which has
more recently been so diminished as to question the validity of the principle which has been
derived from it. But that is not an analysis which has been taken up in the leading cases. It has
been recognised that there is an international principle that sovereign states cannot claim
jurisdiction over each other. In I Congreso Lord Wilberforce was content to find the basis for this
in the ( albeit analytical) "maxim par in parem non habet imperium". More generally, as can be
seen from the speeches in Compania Naviera Vascongada v. Cristina S.S. , [1938] A.C. 485, the
principle has been attributed not only to that maxim but to such ideas as comity or reciprocity, the
practicability of enforcement, or the respect for the dignity of other states. As matters stand I
consider that we have to proceed upon the assumption that the eventual basis for the principle is to
be found in such international considerations. But however the principle may have come about in
the international context, the recognition that in practice states may engage in activities which do
not truly rank as acts of sovereign power has encouraged exceptions to be made from an absolute
immunity for all acts. But that course has given rise to the difficulties of classification already
noticed. Transactions of a trading or commercial character may be seen as descriptive of the broad
category where the exceptions will be found, but even that will not provide a precise definition of
them. However we are not called upon in the present case to question the distinction. Indeed to
innovate upon it in the domestic context would require to be the work of Parliament, and
Parliament has already sought to formulate a distinction in the Act of 1978 . Difficult as the
distinction may be at common law, we have to do the best we can to apply it.
[280] The solution in any particular case where the question of state immunity arises at common law has
to be one of the analysis of the particular facts against the whole context in which they have
occurred. It is the nature and character of the activity on which the claim is based which has to be
studied, rather than the motive or purpose of it. The solution will turn upon an assessment of the
particular facts. The line between sovereign and non-sovereign state activities may sometimes be
clear, but in other cases may well be difficult to draw. In some cases, as was noticed in Reference
Re Canada Labour Code and State Immunity Act (Can.) , [1992] 2 S.C.R. 50; 137 N.R. 81; 94
I.L.R. 264, 283, even when the relevant activity has been identified it may have a double aspect,
being at once sovereign and commercial, so that it may then have to be determined precisely to
which aspect the proceedings in question relate.
[281] The Defendant has put stress on an international tribunal, and freedom of access to its court, in
particular inferring the European Court and the European Convention on Human Rights and
Fundamental Freedoms, the argument is certainly attractive for the Defendant. But it seems that, at
least under reference to the European Convention where the rights in question are essentially
rights open to an individual against the state, the present case is concerned with a distinct situation
where the European Court lacks any jurisdiction to provide the plaintiffs with a remedy in a matter
where the domestic courts of Canada normally have jurisdiction to provide remedy. Insofar as a
right of access in an international context by a citizen of one state to the courts of another state is
concerned, such a right would require to be measured against the demands of policy, comity and
international law. At least in the circumstances of the present case the Respondent does not
consider that the application of the established immunity would be reasonable or proportionate.
[282] Ailes, Edgar H., Limitation of Actions and the Conflict of Laws (1933), 31 Mich. L. Rev. 474, pp.
487 [para. 80]; 494 [para. 81].
[283] Cheshire and North, Private International Law ( 12th Ed. 1992), pp. 74, 75 [para. 76].
[284] Cook, Walter Wheeler, The Logical and Legal Bases of the Conflict of Laws (1942), p. 166 [para.
77].
[285] Dicey and Morris, The Conflict of Laws (11th Ed. 1987), rule 205, pp. 1365, 1366 [para. 28].
[286] Dutoit, Bernard M., Memorandum, Hague Convention on Traffic Accidents, Actes et documents
de la Onzième session, p. 20 [para. 44].
[287] Hancock, Moffat, Case and Comment on McLean v. Pettigrew (1945), 23 Can. Bar Rev. 348,
generally [para. 27].
[288] Huber, Ulrich, De conflictu legum diversarum in diversis imperiis (Essay 1686), generally [para.
80].
[289] Lorenzen, Ernest G., Selected Articles on the Conflict of Laws (1947), pp. 136, 181 [para. 80].
[290] Lorenzen, Ernest G., Huber's De Conflictu Legum ( 1919), 13 Ill. L. Rev. 375, reprinted,
Lorenzen, Ernest G., Selected Articles on the Conflict of Laws (1947), p. 136 [para. 80].
[291] Lorenzen, Ernest G., Story's Commentaries on the Conflict of Laws - One Hundred Years After
(1934), 48 Harv. L. Rev. 15, reprinted, Lorenzen, Ernest G., Selected Articles on the Conflict of
Laws ( 1947), p. 181 [para. 80].
[292] Michel, M. Jean, La Prescription Libératoire en Droit International Privé (Thesis 1911), generally
[para. 81].
[293] Swan, John, The Canadian Constitution, Federalism and the Conflict of Laws (1985), 63 Can. Bar
Rev. 271, p. 309 [para. 71].
Cases Noticed
[294] Block Brothers Realty Ltd. v. Mollard (1981), 27 B.C.L.R. 17 (C.A.), refd to. [para. 8]. Regas Ltd.
v. Plotkins, [1961] S.C.R. 566, refd to. [para. 9].
[295] Hal Commodities Cycles Management v. Kirsh ( 1993), 17 C.P.C.(3d) 320 (Ont. Gen. Div.), refd
to. [para. 10].
[296] Cummings v. Ontario Minor Hockey Association ( 1979), 26 O.R.(2d) 7 (C.A.), refd to. [para. 17].
[297] Ladies of the Sacred Heart v. Armstrong's Point Association (1961), 36 W.W.R.(N.S.) 364 (Man.
C.A.), refd to. [para. 17].
[298] Porter v. Freudenberg, [1915] 1 K.B. 857 ( C.A.), refd to. [para. 22].
[299] Williston Basin State Bank v. Shearer and Wall (1983), 53 A.R. 121; 28 Alta. L.R.(2d) 341 (Q.B.),
refd to. [para. 24].
[300] Alexander Hamilton Institutes v. Chambers, [1921] 3 W.W.R. 520 (Sask. C.A.), refd to. [para. 25].
[301] Bondholders Security Corp. v. Manville, [1933] 4 D.L.R. 699 (Sask. C.A.), refd to. [para. 26].
[302] Henriques v. Dutch West India Co. (1728), 2 Ld. Raym 1532, refd to. [para. 26].
[303] Lazard Brothers & Co. v. Midland Bank Ltd., [1933] A.C. 289 (H.L.), refd to. [para. 26].
[304] Skyline Associates v. Small et al. (1974), 50 D.L.R.(3d) 217 (B.C.S.C.), refd to. [para. 28].
[305] Von Hellfeld v. Rechnitzer (E.), [1914] 1 Ch. 748, refd to. [paras. 28, 34].
[306] Canadian Pacific Railway v. Ottawa Fire Insurance Co. (1906), 39 S.C.R. 405, refd to. [para. 29].
[307] Robinson Engineering Co. et al. v. Wasabi Resources Ltd. (1988), 93 A.R. 321; 32 C.L.R. 243
(Q.B.), refd to. [para. 30].
[308] Skyline Associates v. Small et al. (1976), 56 D.L.R.(3d) 472 (B.C.C.A.), refd to. [para. 31].
[309] United Services Funds v. Richardson Greenshields of Canada Ltd. (1987), 16 B.C.L.R.(2d) 187
(S.C.), refd to. [para. 32].
[310] Society Brand Clothes Ltd. v. Amalgamated Clothing Workers of America, [1931] S.C.R. 321,
refd to. [para. 33].
[311] Wenlock v. River Dee Co. (1883), 36 Ch. D. 675, affd. 10 App. Cas. 354 (H.L.), refd to. [para. 34].
[312] Arab Monetary Fund v. Hashim (No. 3), [1991] 2 A.C. 114 (H.L.), refd to. [para. 35].
[313] Chaff and Hay Acquisition Committee v. Hemphill (J.A.) and Sons Pty. Ltd. (1947), 74 C.L.R. 35
(Aus.), refd to. [para. 36].
[314] Hunt v. T & N plc et al., [1990] 2 S.C.R. 959; 117 N.R. 321; 4 C.C.L.T.(2d) 1; 43 C.P.C.(2d) 105;
49 B.C.L.R.(2d) 273; 74 D.L.R.(4th) 321; [1990] 6 W.W.R. 385, refd to. [para. 40].
[315] Hunt v. Carey Canada Inc. - see Hunt v. T & N plc et al.
[316] Korte et al. v. Deloitte, Haskins & Sells et al. (1993), 135 A.R. 389; 8 Alta. L.R.(3d) 337 (C.A.),
refd to. [para. 40].
[317] Tolofson v. Jensen (1994), 51 B.C.A.C. 241 (SCC); 84 W.A.C. 241
[318] Functionary - In the context of an international law case, the Ontario Court of Appeal concluded
that a "functionary" included government officials, civil servants and bureaucrats - See paragraph
32.
Find :Gill v. Gill et al. Temp. Cite: [2000] B.C.T.C. TBEd. JN.024
British Columbia Supreme Court