Tadic
Tadic
Tadic
NATIONS
PROSECUTOR
v.
DU[KO TADI]
JUDGEMENT
I. Introduction.................................................................................................................................................1
A. Procedural background..................................................................................................................1
1. The Appeals....................................................................................................................................2
(a) Notices of Appeal...................................................................................................................2
(b) Filing of Briefs..........................................................................................................................3
2. Applications for Admission of Additional Evidence under Rule 115 .....................4
3. Contempt proceedings...............................................................................................................6
B. Grounds of Appeal...........................................................................................................................7
1. The Appeal against Judgement.............................................................................................7
2. The Cross-Appeal........................................................................................................................7
3. The Appeal against Sentencing Judgement....................................................................8
C. Relief Requested..............................................................................................................................9
1. The Appeal against Judgement.............................................................................................9
2. The Cross-Appeal......................................................................................................................10
3. The Appeal against Sentencing Judgement.................................................................11
D. Sentencing Procedure.................................................................................................................11
IX. Disposition..........................................................................................................................................144
Procedural background
The Appeals Chamber of the International Tribunal for the Prosecution of Persons
Responsible for Serious Violations of International Humanitarian Law Committed in the
Territory of the Former Yugoslavia since 1991 (International Tribunal or Tribunal) is
seised of three appeals in relation to the Opinion and Judgment rendered by Trial Chamber
1
II on 7 May 1997 in the case of The Prosecutor v. Duko Tadic, Case No.: IT-94-1-T
2
(Judgement) and the subsequent Sentencing Judgment of 14 July 1997 (Sentencing
3
Judgement). With the exception of the Appeals Chambers judgement in The
4
Prosecutor v. Draen Erdemovic where the accused had entered a plea of guilty, this
is the first time that the Appeals Chamber is deciding an appeal from a final
judgement of a Trial Chamber.
The Indictment (as amended) charged the accused, Duko Tadic, with 34
counts of crimes within the jurisdiction of the International Tribunal. At his initial
appearance before the Trial Chamber on 26 April 1995, the accused pleaded not
guilty to all counts. Three of the counts were subsequently withdrawn at trial. Of the
remaining 31 counts, the Trial Chamber found the accused guilty on nine counts,
guilty in part on two counts and not guilty on twenty counts.
1
Composed of Judge Gabrielle Kirk McDonald (Presiding), Judge Ninian Stephen and Judge Lal
Chand Vohrah.
Opinion and Judgment, The Prosecutor v. Duko Tadic, Case No.: IT-94-1-T, Trial
Chamber II, 7 May 1997. (For a list of designations and abbreviations used in this Judgement, see
Annex A Glossary of Terms).
Sentencing Judgment, The Prosecutor v. Duko Tadic, Case No.: IT-94-1-T, Trial Chamber
II, 14 July 1997.
Judgement, The Prosecutor v. Draen Erdemovic, Case No.: IT-96-22-A, Appeals Chamber,
7 October 1997.
It should be observed that Du{ko Tadi} in the present proceedings is appellant and cross-respondent.
Conversely, the Prosecutor is respondent and cross-appellant. In the interest of clarity of presentation,
April 1999. On 21 April 1999, the Appeals Chamber reserved its judgement to a later date.
Having considered the written and oral submissions of the Prosecution and
the Defence, the Appeals Chamber,
The Appeals
Notices of Appeal
A notice of appeal against the Judgement was filed on behalf of Duko Tadic on
June 1997. Subsequently, on 8 January 1999, the Defence filed an amended notice
6
of appeal (Amended Notice of Appeal against Judgement). Leave to amend the notice of
appeal was granted, in part, by the Appeals Chamber in an oral order made on 25
7
January 1999.
After the notices of appeal against the Judgement were filed, proceedings continued
before the Trial Chamber in relation to sentencing, and on 14 July 1997 the Trial Chamber
delivered its Sentencing Judgement. Sentences were imposed for each of the 11 counts on
which the Appellant had been found guilty or guilty in part, to be served concurrently. On
August 1997, the Defence filed a notice of appeal against the Sentencing
Judgement. The Prosecution has not appealed against the Sentencing Judgement.
Transcript of hearing in The Prosecutor v Duko Tadic, Case No.: IT-94-1-A, 25 January 1999, p. 307 (T.
307 (25 January 1999). (All transcript page numbers referred to in the course of this Judgement are
from the unofficial, uncorrected version of the English transcript. Minor differences may therefore
exist between the pagination therein and that of the final English transcript released to the public).
As set out in further detail below, the present proceedings were significantly delayed by
repeated applications for extension of time in relation to an application for admission of
9
additional evidence first made by the Defence on 6 October 1997. In January 1998, the
Appeals Chamber suspended the timetable for filings in the Appeals until the determination
10
of the Appellants application. Following the Appeals Chambers decision of 15
11
October 1998 on the matter, the normal appeals sequence resumed. In view of
the rather complicated pattern formed by the parties briefs on the Appeals, it is
useful to refer to the written submissions filed by the parties.
The Defence filed separate briefs for the Appeal against Judgement (Appellants
Brief on Judgement) and the Appeal against Sentencing Judgement (Appellants Brief on
12
Sentencing Judgement). These briefs were filed on 12 January 1998. The Prosecution
responded to the briefs of the Appellant on 16 and 17 November 1998 (Prosecutions
Response to Appellants Brief on Judgement and Prosecutions Response to
13
Appellants Brief on Sentencing Judgement, respectively).
Alongside the filings in relation to the Appellants Appeal against Judgement and
Appeal against Sentencing Judgement, both parties filed written submissions in relation to
the Prosecutions Cross-Appeal. The Prosecutions brief in relation to the Cross-Appeal
Motion for the Extension of the Time Limit, Case No.: IT-94-1-A, 6 October 1997.
Decision on Appellants Motion for the Extension of the Time-limit and Admission of Additional
Evidence, Case No.: IT-94-1-A, 15 October 1998.
Appellants Brief on Appeal Against Opinion and Judgement of 7 May 1997, Case No.: IT-94-1-A,
January 1998, with accompanying appendices separately filed; Appellants Brief on Appeal
Against Sentencing Judgement Case No.: IT-94-1-A, 12 January 1998.
Amended Brief of Argument on behalf of the Appellant, Case No.: IT-94-1-A, 8 January 1999.
Brief of Argument of the Prosecution (Cross-Appellant), Case No.: IT-94-1-A, 12 January 1998
and accompanying Book of Authorities, Case No.: IT-94-1-A, 22 January 1998. (See also
Corrigendum to Prosecutors Brief of Argument filed on 12 January 1998 and Book of Authorities
filed on 22 January 1998 Case No.: IT-94-1-A, 9 September 1998).
The Respondents Brief of Argument on the Brief of Argument of the Prosecution (Cross-
Appellant) of January 12, 1998, Case No.: IT-94-1-A, 24 July 1998.
The Respondents Brief of Argument on the Brief of Argument of the Prosecution (Cross-
Appellant) of January 19, 1999, Case No.: IT-94-1-A, 19 January 1999.
Order Accepting Filing of Substitute Brief, Case IT-94-1-A, 4 March 1999. (See also Opposition to the
Appellants 19 January 1999 filing entitled The Respondents Brief of Argument on the Brief of Argument of the
Prosecution (Cross-Appellant) of 19 January, 1999 (sic), Case No.: IT-94-1-A, 21 January 1999;
Submission in relation to Appellants Substitute Brief filed on 19 January 1999, Case No.: IT-94-1-
A, 24 February 1999).
Skeleton Argument Appellants Appeal Against Conviction, Case No.: IT-94-1-A, 19 March 1999
(Skeleton Argument Appellants Appeal Against Conviction); Skeleton Argument Appeal Against
Sentence, Case No.: IT-94-1-A, 19 March 1999; Skeleton Argument of the Prosecution, Case No.: IT-
94-1-A, 19 March 1999 (Skeleton Argument of the Prosecution). See also Skeleton Argument
Prosecutors Cross-Appeal, Case No.: IT-94-1-A, originally filed by the Defence on 19 March 1999 and
subsequently re-filed on 20 April 1999 (Defences Skeleton Argument on the Cross-Appeal).
Motion for the Extension of the Time Limit, Case No.: IT-94-1-A, 6 October 1997.
The proceedings in relation to the motion continued for just under twelve
25
months. A substantial number of extensions of time was sought by both parties.
By decision of the Appeals Chamber on 15 October 1998 and for the reasons
stated therein, the Defence motion for the admission of additional evidence was dismissed
26
(Decision on Admissibility of Additional Evidence). Considering the motion under Rule
115 of the Rules, the Appeals Chamber expressed its view that additional evidence should
not be admitted lightly at the appellate stage. Construing the standard established by this
Rule, it was noted that additional evidence is not admissible in the absence of a reasonable
explanation as to why the evidence was not available at trial. The Appeals Chamber held
that such unavailability must not result from the lack of due diligence on the part of counsel
who undertook the defence of the accused before the Trial Chamber. Commenting further
on the second criterion of admissibility under Rule 115, it was considered that for the
purposes of the present case, the interests of justice required admission of additional
evidence only if (a) the evidence was relevant to a material issue,
Registrar not less than fifteen days before the date of the hearing. (B) The Appeals Chamber shall
authorise the presentation of such evidence if it considers that the interests of justice so require.
Cross-Appellants Response to Appellants Submissions since 9 March 1998 on the Motion for the Presentation
of Additional Evidence under Rule 115, Case No.: IT-94-1-A, 15 June 1998; Request for an Extension of Time
to File a Reply to the Appellants Motion Entitled Motion for the Extension of the Time Limit, Case No.: IT-94-
1-A, 9 October 1997; Request for a Modification of the Appeals Chamber Order of
January 1998, Case No.: IT-94-1-A, 13 February 1998; Request for a Modification of the Appeals
Chamber Order of 2 February 1998, Case No.: IT-94-1-A, 7 May 1998. The following orders were made in
relation to these applications: Scheduling Order, Case No.: IT-94-1-A, 24 November 1997; Order Granting
Request for Extension of Time, Case No.: IT-94-1-A, 23 March 1998; Order Granting Requests for Extension
of Time, Case No.: IT-94-1-A, 13 May 1998; Order Granting Extension of Time, Case No.: IT-94-1-A, 10 June
1998; Order Granting Extension of Time, Case No.: IT-94-1-A, 17 June 1998; Order Granting Request for
Extension of Time, Case No.: IT-94-1-A, 9 October 1997; Order Granting Request for Extension of Time,
Case No.: IT-94-1-A, 19 February 1998; Order Granting requests for Extension of Time, Case No.: IT-94-1-A,
13 May 1998.
Decision on Appellants Motion for the Extension of the Time-limit and Admission of Additional
Evidence, Case No.: IT-94-1-A, 15 October 1998.
Further motions for the admission of additional evidence pursuant to Rule 115 were
27
made by the Defence on 8 January and 19 April 1999. By oral orders of 25 January and
28
April 1999, the motions were rejected by the Appeals Chamber.
Contempt proceedings
In the course of the appeal process, proceedings were initiated by the Appeals
Chamber against Mr. Milan Vujin, former lead counsel for the Appellant, relating
29
to allegations of contempt of the International Tribunal. These allegations are
subject to proceedings separate from the Appeals.
27
Appellants Second Motion to Admit Additional Evidence on Appeal Pursuant to Rule 115 of the
Tribunals Rules, Case No.: IT-94-1-A, 8 January 1999; Motion (3) to Admit Additional Evidence on
Appeal Pursuant to Rule 115 of the Rules of Procedure and Evidence, Case No.: IT-94-1, 19 April 1999.
See Scheduling Order Concerning Allegations against Prior Counsel, Case No.: IT-94-1-A, 10
February 1999. At the outset of the appellate process, Mr. Milan Vujin acted as lead counsel for the
Defence, with the assistance of Mr. R. J. Livingston. By a decision of the Deputy Registrar on 19
November 1998, Mr. Milan Vujin was withdrawn as counsel for the accused and replaced by Mr. William
Clegg as lead counsel (See Decision of Deputy Registrar regarding the Assignment of Counsel and the
Withdrawal of Lead Counsel for the Accused, Case No.: IT-94-1-A, 19 November 1998).
Grounds of Appeal
Ground (1): The Appellants right to a fair trial was prejudiced as there was no
"equality of arms" between the Prosecution and the Defence due to the prevailing
30
circumstances in which the trial was conducted.
Ground (3): The Trial Chamber erred at paragraph 397 of the Judgement when it
decided that it was satisfied beyond reasonable doubt that the Appellant was guilty
31
of the murders of Osman Didovic and Edin Be{i}.
The Defence sought leave to amend its Notice of Appeal to include a further ground
of appeal (Ground 2), alleging that the Appellants right to a fair trial was gravely
32
prejudiced by the conduct of his former counsel, Mr. Milan Vujin. Leave to amend the
Notice of Appeal to include this ground was denied by the Appeals Chamber on 25 January
33
1999, thus leaving only Grounds 1 and 3 in the Appellants Appeal against Judgement.
The Cross-Appeal
The Prosecution raises the following grounds of appeal against the Judgement:
Ground (1): The majority of the Trial Chamber erred when it decided that the victims of the
acts ascribed to the accused in Section III of the Judgement did not enjoy the protection of
Appellants Amended Notice of Appeal against Judgement, paras. 1.11.4; Appellants Amended
Brief on Judgement, paras. 1.1 -1.12.
Appellants Amended Notice of Appeal against Judgement, paras. 3.13.6; Appellants Amended
Brief on Judgement, paras. 3.1 -3.11.
Ground (2): The Trial Chamber erred when it decided that it could not, on the
evidence before it, be satisfied beyond reasonable doubt that the accused had
played any part in the killing of any of the five men from the village of Jaskici, as
35
alleged in Counts 29, 30 and 31 of the Indictment.
Ground (3): The Trial Chamber erred when it held that in order to be found guilty of a
crime against humanity, the Prosecution must prove beyond reasonable doubt that the
accused not only formed the intent to commit the underlying offence but also knew of
the context of a widespread or systematic attack on the civilian population and that the
36
act was not taken for purely personal reasons unrelated to the armed conflict.
Ground (4): The Trial Chamber erred when it held that discriminatory intent is an element of
37
all crimes against humanity under Article 5 of the Statute of the International Tribunal.
Ground (5): The majority of the Trial Chamber erred in a decision of 27 November
1996 in which it denied a Prosecution motion for production of defence witness
38
statements (Witness Statements Decision).
The Defence raises the following grounds of appeal against the Sentencing
Judgement:
39
Ground (1): The total sentence of 20 years decided by the Trial Chamber is unfair.
40
(i) The sentence is unfair as it was longer than the facts of the case required or demanded.
The Trial Chamber erred by failing to take into account the general practice regarding
prison sentences in the courts of the former Yugoslavia, as required by Article 24 of the
Statute of the International Tribunal. Under this practice, a 20-year sentence is the longest
41
sentence that can be imposed, but only as an alternative to the death penalty.
Ground (2): The Trial Chamber erred by recommending that the calculation of the
minimum sentence should commence from the date of this Sentencing Judgement
43
or of the final determination of any appeal, whichever is the latter.
Ground (3): The Trial Chamber erred in not giving the Appellant credit for the time
spent in confinement in Germany before the International Tribunal requested
44
deferral in this case.
Relief Requested
45
In the Appeal against Judgement the Defence seeks the following relief:
That the decision of the Trial Chamber that the Appellant is guilty of the crimes
proved against him be set aside.
In the alternative to the relief sought under (i) and (ii) above, that the decision
of the Trial Chamber at paragraph 397 of the Judgement that the Appellant is guilty
of the murders of Osman Didovic and Edin Be{i} be reversed.
Appellants Brief on Sentencing Judgement, pp. 46; T. 304 (21 April 1999).
Appellants Brief on Sentencing Judgement, pp. 9-10; T. 305 (21 April 1999).
Sentencing Judgement, para. 76. See Appellants Brief on Sentencing Judgement, p. 10.
Ibid., p. 14.
The Cross-Appeal
That the majority decision of the Trial Chamber at page 227, paragraph 607 of
the Judgement, holding that the victims of the acts ascribed to the Appellant in
Section III of the Judgement did not enjoy the protection of the prohibitions
prescribed by the grave breaches regime applicable to civilians in the hands of a
party to an armed conflict of which they are not nationals (which falls under Article 2
46
of the Statute of the Tribunal), be reversed.
That the finding of the Trial Chamber at page 132, paragraph 373 of the Judgement,
that it could not, on the evidence before it, be satisfied beyond reasonable doubt that the
Appellant had played any part in the killing of any of the five men from the village of
47
Jaskici, be reversed.
That the decision of the Trial Chamber at pages 252-253, paragraph 656 of the
Judgement, that in order to be found guilty of a crime against humanity the Prosecution
must prove beyond reasonable doubt that the Appellant not only formed the intent to
commit the underlying offence but also knew of the context of the widespread or
systematic attack on the civilian population and that the act was not taken for purely
48
personal reasons unrelated to the armed conflict, be reversed.
That the decision of the Trial Chamber at page 250, paragraph 652 of the Judgement,
50
That the Witness Statements Decision be reviewed.
Notice of Cross-Appeal, p. 3.
Ibid., p. 4.
Ibid.
Ibid.
Case No.: -94-1-A 15 July 1999
11
The Appeal against Sentencing Judgement
That the calculation of the minimum sentence imposed by the Trial Chamber be
altered to run from the commencement of the Appellants detention.
That the Appellant be given credit for time spent in detention in Germany prior
to the request for deferral made by the International Tribunal in this case.
Sentencing Procedure
The Appeal against Sentencing Judgement was the subject of oral argument by the
parties. However, in the view of the Appeals Chamber, that appeal may be conveniently
considered in connection with the appeal by the Prosecution relating to certain counts of
the Indictment in respect of which the accused was acquitted. Both the Prosecution and the
Appellant agreed that, if the Appellant were found guilty on those counts, there should be a
separate sentencing procedure relating thereto. As will appear below, the Appellant is found
guilty on those counts, with the consequence that there will have to be a separate
sentencing procedure in relation to those counts. The Appeals Chamber considers that its
decision on the Appeal against Sentencing Judgement should correspondingly be deferred
to the stage of a separate sentencing procedure.
Ibid.
In the particular circumstances of the case, the Appeals Chamber considers that the
rights of the Appellant would be prejudiced if his appeal were to be determined
under the new Rule. The Appeals Chamber will therefore follow the previous
procedure in respect of the counts on which the Appellant was acquitted by the Trial
Chamber but on which he is now found guilty. Correspondingly, the Appeal against
Sentencing Judgement will be determined at the separate sentencing stage.
In the first ground of the Appeal against Judgement, the Defence alleges that the
Appellants right to a fair trial was prejudiced by the circumstances in which the trial was
conducted. Specifically, it alleges that the lack of cooperation and the obstruction by
certain external entities -- the Government of the Republika Srpska and the civic authorities
51
in Prijedor -- prevented it from properly presenting its case at trial. The Defence contends
that, whilst most Defence witnesses were Serbs still residing in the Republika Srpska, the
majority of the witnesses appearing for the Prosecution were Muslims residing in countries
in Western Europe and North America whose governments cooperated fully. It avers that
the lack of cooperation displayed by the authorities in the Republika Srpska had a
disproportionate impact on the Defence. It is accordingly submitted that there was no
equality of arms between the Prosecution and the Defence at trial, and that the effect of
52
this lack of cooperation was serious enough to frustrate the Appellants right to a fair trial.
The Defence therefore, requests the Appeals Chamber to set aside the Trial
53
Chambers findings of guilt and to order a re-trial.
Appellants Amended Brief on Judgement, paras. 1.1-1.3; T. pp. 35-40 (19 April 1999).
Dombo Beheer B.V. v. The Netherlands, Eur. Court H. R., judgement of 27 October 1993, Series A, no. 274;
Neumeister v. Austria, Eur. Court H. R., judgement of 27 June 1968, Series A, no. 8; Delcourt v. Belgium, Eur.
Court H. R., judgement of 17 January 1970, Series A, no. 11; Borgers v. Belgium, Eur. Court H. R., judgement
of 30 October 1991, Series A, no. 214; Albert and Le Compte v. Belgium, Eur. Court H. R., judgement of 10
February 1983, Series A, no. 58; Bendenoun v. France, Eur. Court H. R., judgement of
February 1994, Series A, no. 284; Kaufman v. Belgium, Application No. 10938/84, 50 Decisions and
Relying on the same cases decided under the ECHR, the Defence further claims that
the principle of equality of arms embraces the minimum procedural guarantee, set down in
Article 21(4)(b) of the Statute, to have adequate time and facilities for the preparation of the
defence. It contends that the uncooperative stance of the authorities in the Republika Srpska
had the effect of denying the Appellant adequate time and facilities to prepare for
trial to which he was entitled under the Statute, resulting in denial of a fair trial.
In support of its submissions, the Defence cites paragraph 530 of the Judgement to
show that the Trial Chamber was aware that both parties suffered from limited access to
evidence in the territory of the former Yugoslavia. The Defence acknowledges that the Trial
Chamber, recognising the difficulties faced by both parties in gaining access to evidence,
exercised its powers under the Statute and Rules to alleviate the difficulties through a
variety of means. However, it contends that the Trial Chamber recognised that its
assistance did not resolve these difficulties but merely alleviated them. The Defence
alleges that the inequality of arms persisted despite the assistance of the Trial Chamber
and the exercise of due diligence by trial counsel, as the latter were unable to identify and
trace relevant and material Defence witnesses, and potential witnesses that had been
identified refused to testify out of fear. It submits that the lack of fault attributable to the Trial
Chamber or the Prosecution did not serve to correct the inequality in arms, and that under
57
these circumstances, a fair trial was impossible.
Reports of the European Commission of Human Rights (DR) 98; X and Y v. Austria, Application No.
7909/74, 15 DR 160.
Appellants Amended Brief on Judgement, paras. 1.4 -1.6; T. 29-31, 40, 45-48 (19 April 1999).
Did the Defence prove on the balance of probabilities that the failure of the civic
authorities in Prijedor and the government of the Republika Srpska to cooperate
with the Tribunal led to relevant and admissible evidence not being presented by
trial counsel, despite their having acted with due diligence, because significant
witnesses did not appear at trial?
If so, was the imbalance created between the parties sufficient to frustrate the
Appellants right to a fair trial?
With respect to the first branch of this test, the Defence asserts that the Appeals
Chamber in its Decision on Admissibility of Additional Evidence recognised that certain Defence
witnesses were intimidated into not appearing before the Trial Chamber. While acknowledging
that the Appeals Chamber denied the admission of the evidence in question on the ground that
it found that trial counsel did not act with due diligence to secure attendance of those witnesses
at trial, it contends that what is important is that the Appeals Chamber accepted the allegations
of intimidation. It adds that the Appeals Chamber in this decision also accepted that there were
witnesses unknown to trial counsel during trial proceedings, despite counsel having acted with
due diligence in looking for witnesses. From this the Defence draws the conclusion that, had
there been some measure of cooperation, trial counsel could have called at least some of these
witnesses. Thus, it is argued that relevant and admissible evidence helpful to the case for the
Defence was not presented to the Trial Chamber. It is further asserted that the reason why so
many witnesses could not be found was due to lack of cooperation on the part of the authorities
in the
58
Republika Srpska.
As regards the second branch of the test, the Defence contends that this is a matter
of weight and balance. While recognising that not every inability to ensure the production of
evidence would render a trial unfair, it submits that, on the facts of the case, the volume
Finally, the Defence contends that the fact that trial counsel did not file a motion
seeking a stay of trial proceedings should not be held to prevent the Defence from raising
the matter of denial of a fair trial on appeal. In this respect, the Defence maintains that trial
counsel might have been unaware of the degree of obstruction by the Bosnian Serb
60
authorities in preventing the discovery of witnesses helpful to the Defence case. It is
further pointed out that lead trial counsel in his opening statement emphasised that the
prevailing conditions might frustrate the fairness of the trial. Defence counsel opined that
trial counsels decision not to seek an adjournment of the proceedings could be attributed
61
to the wish not to prolong the extended period of the Appellants pre-trial detention.
The Prosecution argues that equality of arms means procedural equality. According
to the Prosecution, this principle entitles both parties to equality before the courts, giving
them the same access to the powers of the court and the same right to present their cases.
However, in its view, the principle does not call for equalising the material and practical
circumstances of the two parties. Accordingly, it is contended that the claim of the Defence
that it was unable to secure the attendance of important witnesses at trial does not
demonstrate that there has been an inequality of arms, unless that inability was due to a
relevant procedural disadvantage suffered by the Defence. It is asserted that while the
obligation of the Trial Chamber is to place the parties on an equal footing as regards the
presentation of the case, that Chamber cannot be responsible for factors which are
62
beyond its capacity or competence.
The Prosecution does not deny that in certain circumstances it could amount to a
violation of fundamental fairness or manifest injustice to convict an accused who was
unable to obtain and present certain significant evidence at trial. In its view, however, this
In the view of the Prosecution, the issue raised by the present ground of appeal
is whether the degree of lack of cooperation and obstruction by the authorities in the
64
Republika Srpska was such as to deny the Appellant a fair trial. It submits that the
Defence must prove that the result of such non-cooperation was to prevent the Defence
from presenting its case at trial, and contends that the Defence has failed to meet this
burden. It maintains that the Defence had a reasonable opportunity to defend the Appellant
under the same procedural conditions and with the same procedural rights as were
accorded to the Prosecution, and that it indeed put forward a vigorous defence by
65
presenting the defences of alibi and mistaken identity. In addition, it is noted that the
Defence was helped by the broad disclosure obligation on the Prosecution under the
Rules, which extends an obligation upon the Prosecution to disclose all exculpatory
evidence of which it is aware. Furthermore, it is submitted that, whereas the Defence
received some measure of cooperation from the authorities in the Republika Srpska, the
66
Prosecution in fact received no such cooperation at all. Finally, it is alleged that the
Defence has not substantiated its claim that any lack of cooperation substantially
67
disadvantaged the Defence as compared to the Prosecution.
The Prosecution further argues that the standard which the Defence
advocates for establishing a violation of the principle of equality of arms or the right
to a fair trial is set too low. It claims that the Defence does not prove a violation of
this principle merely by showing that relevant evidence was not presented at trial. In
its view, a higher standard is called for, according to which the burden is on the
Defence to prove an abuse of discretion by the Trial Chamber. The Prosecution
maintains that the Defence has not satisfied this burden, as it has not shown that
68
the Trial Chamber acted inappropriately in proceeding with the trial.
Prosecutions Response to Appellants Brief on Judgement, paras. 3.21-3.23; T. 88-89 (20 April 1999).
In contrast to the view put forward by the Defence, the Prosecution denies that the
Decision on Admissibility of Additional Evidence supports the position that the Appellant did
not receive a fair trial. It notes that the majority of the proposed additional evidence was
found by the Appeals Chamber to have been available to the Defence at trial. Furthermore,
with respect to that portion of the proposed additional evidence which was found not to
have been available at trial, it notes that the Appeals Chamber, after careful consideration,
found that the interests of justice did not require it to be admitted on appeal. Thus, in the
Prosecutions view, rather than showing a denial of fair trial, this decision is
consistent with the view that the rights of the Appellant in this respect were not violated
69
by any lack of cooperation on the part of the authorities of the Republika Srpska.
B. Discussion
Article 20(1) of the Statute provides that the Trial Chambers shall ensure that a
trial is fair and expeditious . This provision mirrors the corresponding guarantee
provided for in international and regional human rights instruments: the International
71
Covenant on Civil and Political Rights (1966) (ICCPR), the European Convention on
Article 14(1) of the ICCPR provides in part: All persons shall be equal before the courts and
tribunals. In the determination of any criminal charge against him, or of his rights and obligations in a
suit at law, everyone shall be entitled to a fair and public hearing by a competent, independent and
impartial tribunal established by law. .
The parties do not dispute that the right to a fair trial guaranteed by the Statute
covers the principle of equality of arms. This interpretation accords with findings of the
Human Rights Committee (HRC) under the ICCPR. The HRC stated in
75
Morael v. France that a fair hearing under Article 14(1) of the ICCPR must at a minimum
76
include, inter alia, equality of arms. Similarly, in Robinson v. Jamaica and Wolf v.
77
Panama the HRC found that there was inequality of arms in violation of the right to a fair
trial under Article 14(1) of the ICCPR. Likewise, the case law under the ECHR cited by the
Defence accepts that the principle is implicit in the fundamental right of the accused to a
fair trial. The principle of equality of arms between the prosecutor and accused in a criminal
trial goes to the heart of the fair trial guarantee. The Appeals Chamber finds that there is no
reason to distinguish the notion of fair trial under Article 20(1) of the Statute from its
equivalent in the ECHR and ICCPR, as interpreted by the relevant judicial and supervisory
treaty bodies under those instruments. Consequently, the Chamber holds that the principle
of equality of arms falls within the fair trial guarantee under the Statute.
What has to be decided in the present appeal is the scope of application of the
principle. The Defence alleges that it should include not only procedural equality, but also
78
substantive equality. In its view, matters outside the control of the Trial Chamber can
prejudice equality of arms if their effect is to disadvantage one party disproportionately. The
Prosecution rejoins that equality of arms refers to the equality of the parties before the Trial
Chamber. It argues that the obligation on the Trial Chamber is to ensure that the
Article 6(1) of the ECHR provides in part: In the determination of his civil rights and obligations or of
any criminal charge against him, everyone is entitled to a fair and public hearing within a reasonable time
by an independent and impartial tribunal established by law.
Morael v. France, Communication No. 207/1986, 28 July 1989, U.N. Doc. CCPR/8/Add/1, 416.
Robinson v. Jamaica, Communication No. 223/1987, 30 March 1989, U.N. Doc. CCPR/8/Add.1, 426.
Wolf v. Panama , Communication No. 289/1988, 26 March 1992, U.N. Doc. CCPR/11/Add.1, 399.
The Defence contends that the minimum guarantee in Article 21(4)(b) of the
Statute to adequate time and facilities for the preparation of defence at trial forms
part of the principle of equality of arms, implicit in Article 20(1). It argues that, since
the authorities in the Republika Srpska failed to cooperate with the Defence, the
Appellant did not have adequate facilities for the preparation of his defence,
thereby prejudicing his enjoyment of equality of arms.
The Appeals Chamber accepts the argument of the Defence that, on this
point, the relationship between Article 20(1) and Article 21(4)(b) is of the general to
the particular. It also agrees that, as a minimum, a fair trial must entitle the accused
to adequate time and facilities for his defence.
Ibid., p. 115.
Dombo Beheer B.V. v. The Netherlands, Eur. Court H. R., judgement of 27 October 1993, Series A, no. 274.
Delcourt v. Belgium, Eur. Court H. R., judgement of 17 January 1970, Series A, no. 11.
There is nothing in the ECHR case law that suggests that the principle is
applicable to conditions, outside the control of a court, that prevented a party from
securing the attendance of certain witnesses. All the cases considered applications
85
that the judicial body had the power to grant.
The HRC has interpreted the principle as designed to provide to a party rights and
guarantees that are procedural in nature. The HRC observed in B.d.B. et al. v.
86
The Netherlands, a civil case, that Article 14 of the ICCPR guarantees procedural
equality to ensure that the conduct of judicial proceedings is fair. Where applicants were
sentenced to lengthy prison terms in judicial proceedings conducted in the absence of
procedural guarantees, the HRC has found a violation of the right to fair trial under Article
87
14(1). The communications decided under the ICCPR are silent as to whether the
principle extends to cover a partys inability to secure the attendance at trial of certain
witnesses where fault is attributable, not to the court, but to an external, independent entity.
The case law mentioned so far relates to civil or criminal proceedings before
domestic courts. These courts have the capacity, if not directly, at least through the
extensive enforcement powers of the State, to control matters that could materially affect
the fairness of a trial. It is a different matter for the International Tribunal. The dilemma
faced by this Tribunal is that, to hold trials, it must rely upon the cooperation of States
In Kaufman v. Belgium, 50 DR 98, the Eur. Commission H. R. held that equality of arms did not give the
applicant a right to lodge a counter-memorial. In Neumeister v. Austria, Eur. Court of H. R., judgement of 27
June 1968, Series A, no. 8, the Court decided that the principle did not apply to the examination of the
applicants request for provisional release, despite the prosecutor having been heard ex parte. In Bendenoun v.
France, Eur. Court H. R., judgement of 24 February 1994, Series A, no. 284, the Court ruled that an applicant
who did not receive a complete file from the tax authorities was not entitled thereto under the principle of
equality of arms because he was aware of its contents and gave no reason for the request. In Dombo Beheer
B.V. v. The Netherlands, Eur. Court H. R., judgement of 27 October 1993, Series A, no. 274, the Court held that
there was a breach of equality of arms where the single first hand witness for the applicant company was
barred from testifying whereas the defendant banks witness was heard.
B. d. B et al. v. The Netherlands, Communication No. 273/1989, 30 March 1989, U.N. Doc. A/44/40, 442.
Nqalula Mpandanjila et al. v. Zaire, Communication No 138/1983, 26 March 1986, U.N. Doc. A/41/40,
of a State and States can impede efforts made by counsel to find that evidence.
Moreover,
without a police force, indictees can only be arrested or transferred to the International
Tribunal through the cooperation of States or, pursuant to Sub-rule 59bis, through action by
the Prosecution or the appropriate international bodies. Lacking independent
means of
enforcement, the ultimate recourse available to the International Tribunal in the event of
failure by a State to cooperate, in violation of its obligations under Article 29 of the Statute,
89
is to report the non-compliance to the Security Council.
In light of the above considerations, the Appeals Chamber is of the view that under
the Statute of the International Tribunal the principle of equality of arms must be given a
more liberal interpretation than that normally upheld with regard to proceedings before
domestic courts. This principle means that the Prosecution and the Defence must be equal
before the Trial Chamber. It follows that the Chamber shall provide every practicable facility
it is capable of granting under the Rules and Statute when faced with a request by a party
for assistance in presenting its case. The Trial Chambers are mindful of the difficulties
encountered by the parties in tracing and gaining access to evidence in the territory of the
former Yugoslavia where some States have not been forthcoming in complying with their
legal obligation to cooperate with the Tribunal. Provisions under the Statute and the Rules
exist to alleviate the difficulties faced by the parties so that each side may have equal
access to witnesses. The Chambers are empowered to issue such orders, summonses,
subpoenas, warrants and transfer orders as may be necessary for the purposes of an
investigation or for the preparation or conduct of the trial. This includes the power to:
See Judgement on the Request of the Republic of Croatia for Review of the Decision of Trial Chamber
II of 18 July 1997, The Prosecutor v. Tihomir Bla{ki}, Case No.: IT-95-14-AR108bis, Appeals Chamber,
October 1997, para. 26.
for the President of the Tribunal to send, at the instance of the Trial
Chamber, a request to the State authorities in question for their assistance in
securing the attendance of a witness.
Relying on the principle of equality of arms, the Defence is submitting that the Appellant
did not receive a fair trial because relevant and admissible evidence was not presented due to
lack of cooperation of the authorities in the Republika Srpska in securing the attendance of
certain witnesses. The Defence is not complaining that the Trial Chamber was negligent in
responding to a request for assistance. The Appeals Chamber finds that the Defence has not
substantiated its claim that the Appellant was not given a reasonable opportunity to present his
case. There is no evidence to show that the Trial Chamber failed to assist him when seised of a
request to do so. Indeed, the Defence concedes that the Trial Chamber gave every assistance
it could to the Defence when asked to do so, and even allowed a substantial adjournment at the
close of the Prosecutions case to help Defence
90
efforts in tracing witnesses. Further, the Appellant acknowledges that the Trial Chamber
did not deny the Defence attendance of any witness but, on the contrary, took virtually all
steps requested and necessary within its authority to assist the Appellant in presenting
witness testimony. Numerous instances of the granting of such motions and orders by the
Trial Chamber, on matters such as protective measures for witnesses, approving the giving
90
T. 47 (19 April 1999); Judgement, para. 32 (Following a recess of three weeks after the close of
the Prosecution case to permit the Defence to make its final preparations, the Defence case opened
on 10 September 1996 .).
A further example of a measure of the Trial Chamber which was designed to assist in
the preparation and presentation of the Defence case is that the Trial Chambers Presiding
Judge brought to the attention of the President of the International Tribunal certain difficulties
concerning the possible attendance of three witnesses who had been summoned
92
by the Defence. She requested the President of the International Tribunal to send a letter
to the Acting President of the Republika Srpska, Mrs. B. Plavsic, to urge her to assist the
Defence in securing the presence and cooperation of these Defence witnesses.
Consequently, on 19 September 1996, the President of the Tribunal sent a letter to Mrs.
Plavsic. In this letter, he made reference to obstacles encountered by the Defence in
securing the cooperation of these witnesses. In view, inter alia, of the accuseds right to a
fair trial, Mrs. Plavsic was therefore enjoined to take whatever action is necessary
93
immediately to resolve this matter so that the Defence may go forward with its case.
The Appeals Chamber can conceive of situations where a fair trial is not possible
because witnesses central to the defence case do not appear due to the obstructionist efforts of
a State. In such circumstances, the defence, after exhausting all the other measures mentioned
above, has the option of submitting a motion for a stay of proceedings. The Defence opined
during the oral hearing that the reason why such action was not taken in the present case may
have been due to trial counsels concern regarding the long period of detention on remand. The
Appeals Chamber notes that the Rules envision some relief in such a situation, in the form of
provisional release, which, pursuant to Sub-rule 65(B), may be granted in exceptional
circumstances. It is not hard to imagine that a stay of proceedings occasioned by the
frustration of a fair trial under prevailing trial conditions
Letter from President Cassese to Mrs. B. Plavsic of 19 September 1996, referred to by Judge
Shahabuddeen during the hearing on 20 April 1999 (ibid.).
Conclusion
The Appeals Chamber finds that the Appellant has failed to show that the
protection offered by the principle of equality of arms was not extended to him by
the Trial Chamber. This ground of Appeal, accordingly, fails.
The Defence
The Trial Chamber made the factual finding that the Appellant was guilty of the
murder of two Muslim policemen, Edin Besi} and a man identified at trial by the name of
Osman, based on the testimony of only one witness, Nihad Seferovi}. The Defence
contends that the Trial Chamber erred in deciding that it was satisfied beyond reasonable
doubt that he was guilty of the two murders because the Chamber relied on the
uncorroborated evidence of Mr. Seferovi}. The Defence maintains that Mr. Seferovi} is an
unreliable witness because he was introduced to the Prosecution by the government of
Bosnia and Herzegovina, a source which the Defence alleges the Trial Chamber found to
be tainted for having planted another Prosecution witness, Dragan Opaci}. The latter was
found to be untruthful at trial and, consequently, withdrawn by the Prosecution.
The Defence argues that the Trial Chamber erred in relying on the evidence of
Mr. Seferovi} because it is implausible. Mr. Seferovi}, a Muslim who lived in an area
under bombardment by Serbian paramilitary forces, fled to the mountains for safety. He
testified at trial that he was so concerned about the welfare of his pet pigeons that he
returned to town to feed them while the Serbian paramilitaries were still there. On his
return to town, he saw Mr. Tadi} kill two policemen. Defence counsel contended at trial
that the witness was never in town at the time of the killings.
The Defence maintains that the Appeals Chamber, in reviewing the factual finding
of the Trial Chamber, is entitled to consider all relevant evidence and can reverse the
Chambers finding if it is satisfied that no reasonable person could conclude that the
evidence of Mr. Seferovi} proved that the Appellant was responsible for the killings.
The Defence asks the Appeals Chamber to reverse the Trial Chambers
finding that the Appellant is guilty of the murders of Edic Besi} and the man
94
identified by the name of Osman.
The Prosecution
The Prosecution argues that the Appeals Chamber, being an appellate body,
cannot reverse the Trial Chambers findings of fact unless it were to conclude that
the Defence has proved that no reasonable person could have come to the
95
conclusion reached by the Trial Chamber based on the evidence cited by it.
The Prosecution claims that the Defence misrepresented the Trial Chambers findings
with respect to Dragan Opaci} in order to taint Mr. Seferovi} by association as an unreliable
witness. Having lied about his family situation, Mr. Opaci} had clearly aroused the Prosecutions
fears about his credibility. Consequently, he was withdrawn as a witness as a precautionary
measure. The Trial Chamber asked the Prosecution to investigate this matter and, having
examined the situation, the Prosecution found that the investigation did not support the
Defence allegation that Mr. Opaci} was planted by the Bosnian government.
The Prosecution submits that the attempt to taint Mr. Seferovi}s credibility by
assimilating his position to that of Mr. Opaci} fails because the Trial Chamber
concluded that the circumstances surrounding the testimony of the latter were
unique to him. The situation of Mr. Seferovi} was not similar to that of Mr. Opaci}.
There was no need to require corroboration of his testimony because the Trial
Chamber concluded that he was a reliable witness.
B. Discussion
The two parties agree that the standard to be used when determining whether the
In its submissions, the Defence refers to the victim identified by the Trial Chamber only as one
Osman, by the name Osman Didovic. The Appeals Chamber is not here called upon to determine
whether the name thus given by the Defence is accurate.
Case No.: -94-1-A 15 July 1999
28
conclusion which no reasonable person could have reached. The task of hearing,
assessing
and weighing the evidence presented at trial is left to the Judges sitting in a Trial Chamber.
Therefore, the Appeals Chamber must give a margin of deference to a finding of fact
reached by a Trial Chamber. It is only where the evidence relied on by the Trial
Chamber
could not reasonably have been accepted by any reasonable person that the Appeals
Chamber can substitute its own finding for that of the Trial Chamber. It is important to note
that two judges, both acting reasonably, can come to different conclusions on the basis of
the same evidence.
The Appeals Chamber notes that it has been the practice of this Tribunal and of the
96
International Criminal Tribunal for Rwanda (ICTR) to accept as evidence the testimony
of a single witness on a material fact without need for corroboration. The Defence does not
dispute that corroboration is not required by law. As noted above, it submitted that, as a
matter of fact, the evidence of Mr. Seferovi} cannot be relied on in the absence of
corroboration because he was introduced to the Prosecution by the same source, the
government of Bosnia and Herzegovina, which introduced another witness, Mr. Opaci},
who was subsequently withdrawn as a witness by the Prosecution for being untruthful. The
Appeals Chamber finds that Mr. Seferovi}s association with the Bosnian government does
not taint him. The circumstances of Mr. Seferovi} and Mr. Opaci} are different. Mr. Opaci}
was made known to the Prosecution while he was still in the custody of the Bosnian
authorities, whereas Mr. Seferovi}s introduction was made through the Bosnian embassy
in Brussels. Mr. Seferovi} was subjected to strenuous cross-examination by Defence
counsel at trial. Defence counsel at trial did not recall him after learning of the withdrawal of
Mr. Opaci} as a witness. Furthermore, Defence counsel at trial never asked that Mr.
Seferovi}s testimony be disregarded on the ground that he, like Mr. Opaci}, was also a
tainted witness. Therefore, the Appeals Chamber finds that the Trial Chamber did not err in
relying on the uncorroborated testimony of Mr. Seferovi}.
The Defence alleges that the Trial Chamber erred in relying on the evidence of Mr.
Seferovi} because it was implausible. Here, it is claimed that the Trial Chamber did not
More fully, the International Criminal Tribunal for the Prosecution of Persons Responsible for
Genocide and Other Serious Violations of International Humanitarian Law Committed in the Territory
of Rwanda and Rwandan Citizens responsible for genocide and other such violations committed in
the territory of neighbouring States, between 1 January 1994 and 31 December 1994.
feed his pet pigeons. It is conceivable that a person may do such a thing, even
though one
might think such action to be an irrational risk. The Trial Chamber, after seeing the witness,
hearing his testimony, and observing him under cross-examination, chose to accept his
testimony as reliable evidence. There is no basis for the Appeals Chamber to consider that
the Trial Chamber acted unreasonably in relying on that evidence for its finding that the
Appellant killed the two men.
Conclusion
In the first ground of the Cross-Appeal, the Prosecution challenges the Appellants
acquittal on Counts 8, 9, 12, 15, 21 and 32 of the Indictment which charged the Appellant
with grave breaches under Article 2 of the Statute. The Appellant was acquitted on these
counts on the ground that the victims referred to in those counts had not been proved to be
97
protected persons under the applicable provisions of the Fourth Geneva Convention.
The Prosecution maintains that all relevant criteria under Article 2 of the Statute
were met. Consequently, the Trial Chamber erred by relying exclusively upon the
effective control test derived from the Case concerning Military and Paramilitary
98
Activities in and against Nicaragua (Nicaragua v. United States) in order to determine
the applicability of the grave breach provisions of the relevant Geneva Convention. The
Prosecution submits that the Chamber should have instead applied the provisions of
the Geneva Conventions and the relevant principles and authorities of international
humanitarian law which, in its view, apply a demonstrable link test.
In distinguishing the present situation from the facts in Nicaragua, the Prosecution
notes that Nicaragua was concerned with State responsibility rather than individual criminal
responsibility. Further, the Prosecution asserts that the International Court of Justice in
Nicaragua deliberately avoided dealing with the question of which body of treaty rules was
applicable. Instead the Court focused on the minimum yardstick of rules contained in
97
Geneva Convention Relative to the Protection of Civilian Persons in Time of War of August 12,
1949 (Geneva Convention IV or Fourth Geneva Convention).
The Prosecution submits that the Trial Chamber erred by not applying the
provisions of the Geneva Conventions and general principles of international
humanitarian law to determine individual criminal responsibility for grave breaches
of the Geneva Conventions. In the Prosecutions submission, these sources require
that there be a demonstrable link between the perpetrator and a Party to an
international armed conflict of which the victim is not a national.
The Prosecution submits that the demonstrable link test is satisfied on the
facts of the case at hand. In its view, the Army of the Serbian Republic of Bosnia and
Herzegovina/Republika Srpska (VRS) had a demonstrable link with the Federal
Republic of Yugoslavia (Serbia and Montenegro) (FRY) and the Army of the FRY
(VJ); it was not a situation of mere logistical support by the FRY to the VRS.
In addition, the Prosecution submits that the Trial Chamber erred in finding that the
only test relied upon in Nicaragua was the effective control test. The Court in Nicaragua
also applied an agency test which, the Prosecution submits, is a more appropriate
standard for determining the applicability of the grave breach provisions.
Were either the effective control test or the agency test to be adopted by the
Appeals Chamber, the Prosecution submits that in any event both tests would be satisfied
on the facts of this case. To support this contention, the Prosecution looks to the fact, inter
alia, that after 19 May 1992, when the Yugoslav Peoples Army (JNA) formally withdrew
from Bosnia and Herzegovina, VRS soldiers continued to receive their salaries from the
government of the FRY which also funded the pensions of retired VJ soldiers who had
been serving with the VRS. The Prosecution looks to a number of additional factors in
support of its contention that there was more than mere logistical support by the FRY after
May 1992. These factors include the structures and ranks of the VRS and VJ being
identical, as well as the supervision of the VRS by the FRY after that date. From those
Military and Paramilitary Activities in and Against Nicaragua (Nicaragua v. United States of
America) (Merits), Judgment, ICJ Reports (1986), p. 14 ( Nicaragua).
The Defence asserts that the Trial Chamber was correct in applying the
effective control test derived from Nicaragua and submits that the demonstrable
link test is incorrect. The Defence formulates the test which the Appeals Chamber
99
should apply as were the Bosnian Serbs acting as organs of another State?
On the facts of the present case there is no evidential basis for concluding that after
May 1992, the VRS was either effectively controlled by or could be regarded as an
agent of the FRY government. The Defences submission is that the FRY and the
Republika Srpska coordinated with each other, solely as allies. For this reason, the
VRS was not an organ of the FRY.
The Defence submits that the demonstrable link test is not the correct test to
be applied under Article 2 of the Statute. The Defence argues that the test has no
authority in international law and submits that it should also be rejected for policy
reasons. If the Appeals Chamber were to accept the demonstrable link test, this could
result in the undesirable outcome of a State being held responsible for the actions of
another State or entity over which the State did not have any effective control. Further,
the Defence submits that the test at issue introduces uncertainty into international law
as it is unclear what degree of link is necessary in order to satisfy the test.
The Defence concedes that if the correct test were the demonstrable link
100
test, on the facts of this case the test would be satisfied.
Discussion
The nature of the conflict. According to the interpretation given by the Appeals Chamber
in its decision on a Defence motion for interlocutory appeal on jurisdiction in the
101
present case, the international nature of the conflict is a prerequisite for the
applicability of Article 2.
The status of the victim. Grave breaches must be perpetrated against persons
or property defined as protected by any of the four Geneva Conventions of 1949.
To establish whether a person is protected, reference must clearly be made to the
relevant provisions of those Conventions.
In the instant case it therefore falls to the Appeals Chamber to establish first of all (i)
on what legal conditions armed forces fighting in a prima facie internal armed conflict may
be regarded as acting on behalf of a foreign Power and (ii) whether in the instant case the
factual conditions which are required by law were satisfied.
Only if the Appeals Chamber finds that the conflict was international at all
relevant times will it turn to the second question of whether the victims were to be
regarded as protected persons.
See Defences Substituted Response to Cross-Appellants Brief, paras. 2.1 2.18; T. 219-220 (21 April 1999).
101 See Decision on the Defence Motion for Interlocutory Appeal on Jurisdiction,
The Prosecutor v. Du{ko Tadi}, Case No.: IT-94-1-AR72, Appeals Chamber, 2 October 1995 (Tadi}
Decision on Jurisdiction), paras. 79-84 (Tadi} (1995) I ICTY JR 353).
The requirement that the conflict be international for the grave breaches regime
to operate pursuant to Article 2 of the Statute has not been contested by the parties.
In the instant case, the Prosecution claims that at all relevant times, the conflict was
an international armed conflict between two States, namely Bosnia and Herzegovina
102
(BH) on the one hand, and the FRY on the other. Judge McDonald, in her dissent,
103
also found the conflict to be international at all relevant times.
The Trial Chamber found the conflict to be an international armed conflict between
BH and FRY until 19 May 1992, when the JNA formally withdrew from Bosnia and
104
Herzegovina. However, the Trial Chamber did not explicitly state what the nature of the
conflict was after 19 May 1992. As the Prosecution points out, the Trial Chamber made
no express finding on the classification of the armed conflict between the Bosnian Serb
See para. 1 of Separate and Dissenting Opinion of Judge McDonald Regarding the Applicability of Article
of the Statute, The Prosecutor v. Du{ko Tadi}, Case No.: IT-94-1-T, Trial Chamber II, 7 May 1997 (Separate
and Dissenting Opinion of Judge McDonald) where she held: I find that at all times relevant to
the Indictment, the armed conflict in optina Prijedor was international in character .
In the instant case, there is sufficient evidence to justify the Trial Chambers finding
107
of fact that the conflict prior to 19 May 1992 was international in character. The
question whether after 19 May 1992 it continued to be international or became
instead exclusively internal turns on the issue of whether Bosnian Serb forces in
whose hands the Bosnian victims in this case found themselves could be
considered as de iure or de facto organs of a foreign Power, namely the FRY.
The Legal Criteria for Establishing When, in an Armed Conflict Which is Prima Facie
Internal, Armed Forces May Be Regarded as Acting On Behalf of a Foreign Power,
Thereby Rendering the Conflict International
Drina River and their invasion of south-eastern Herzegovina from Serbia and Montenegro
. (emphasis added).
In addition to the evidence referred to in para. 570 of the Judgement, reference may also be made to the
facts cited by Judge Li in his Separate Opinion to the Tadi} Decision on Jurisdiction (paras. 17-19), for example
BHs Declaration that it was at war with the FRY and the reports of various expert bodies suggesting that the
conflict was international. Moreover, in three Rule 61 Decisions involving the conflict between the Serbs and the
BH Government (Nikolic, Vukovar Hospital, and Karad`ic and Mladic), Trial Chambers have found the conflict to
have been an international armed conflict. (See Review of Indictment Pursuant to Rule
of the Rules of Procedure and Evidence, The Prosecutor v. Dragan Nikoli}, Case No.: IT-94-2-
R61, Trial Chamber I, 20 October 1995, para 30 (Nikoli} (1995) II ICTY JR 738); Review of
Indictment Pursuant to Rule 61, The Prosecutor v. Mile Mrksi} et al., Case No.: IT-95-13-R61, Trial
Chamber I, 3 April 1996, para. 25; Review of the Indictments Pursuant to Rule 61 of the Rules
Procedure and Evidence, The Prosecutor v. Radovan Karad`i} and Ratko Mladi}, Case No.: IT-95-
18-R61, Trial Chamber I, 11 July 1996, para. 88)).
The Prosecution also contends that the determination of the conditions for
considering whether Article 2 of the Statute is applicable must be made in accordance with
the provisions of the Geneva Conventions and the relevant principles of international
humanitarian law. By contrast, in its opinion the international law of State responsibility has
no bearing on the requirements on grave breaches laid down in the relevant Geneva
provisions. According to the Prosecution ?igt would lead to absurd results to apply the
rules relating to State responsibility to assist in determining such a question (i.e. whether
111
certain armed forces are sufficiently related to a High Contracting Party).
Admittedly, the legal solution to the question under discussion might be found in the
body of law that is more directly relevant to the question, namely, international humanitarian
law. This corpus of rules and principles may indeed contain legal criteria for determining when
armed forces fighting in an armed conflict which is prima facie internal may be regarded as
acting on behalf of a foreign Power even if they do not formally possess the status of its organs.
These criteria may differ from the standards laid down in general international law, that is in the
law of State responsibility, for evaluating acts of individuals not having the status of State
officials, but which are performed on behalf of a certain State.
The Appeals Chamber will therefore discuss the question at issue first from the
viewpoint of international humanitarian law. In particular, the Appeals Chamber will
consider the conditions under which armed forces fighting against the central authorities
of the same State in which they live and operate may be deemed to act on behalf of
another State. In other words, the Appeals Chamber will identify the conditions
under which those forces may be assimilated to organs of a State other than that
on whose territory they live and operate.
Ibid.
The content of the requirement of belonging to a Party to the conflict is far from
clear or precise. The authoritative ICRC Commentary does not shed much light on the
114
matter, for it too is rather vague. The rationale behind Article 4 was that, in the wake
of World War II, it was universally agreed that States should be legally responsible for
the conduct of irregular forces they sponsor. As the Israeli military court sitting in
Ramallah rightly stated in a decision of 13 April 1969 in Kassem et al.:
In view, however, of the experience of two World Wars, the nations of the world found it
necessary to add the fundamental requirement of the total responsibility of Governments
112
Geneva Convention Relative to the Treatment of Prisoners of War of August 12, 1949 (Geneva
Convention III or Third Geneva Convention).
In other words, States have in practice accepted that belligerents may use
paramilitary units and other irregulars in the conduct of hostilities only on the condition that
those belligerents are prepared to take responsibility for any infringements committed by
such forces. In order for irregulars to qualify as lawful combatants, it appears that
international rules and State practice therefore require control over them by a Party to an
international armed conflict and, by the same token, a relationship of dependence and
allegiance of these irregulars vis--vis that Party to the conflict. These then may be
regarded as the ingredients of the term belonging to a Party to the conflict.
The Appeals Chamber thus considers that the Third Geneva Convention, by
providing in Article 4 the requirement of belonging to a Party to the conflict,
implicitly refers to a test of control.
This conclusion, based on the letter and the spirit of the Geneva Conventions, is borne
out by the entire logic of international humanitarian law. This body of law is not grounded on
formalistic postulates. It is not based on the notion that only those who have the formal status of
State organs, i.e., are members of the armed forces of a State, are duty bound both to refrain
from engaging in violations of humanitarian law as well as - if they are in a position of authority -
to prevent or punish the commission of such crimes. Rather, it is a realistic body of law,
grounded on the notion of effectiveness and inspired by the aim of deterring deviation from its
standards to the maximum extent possible. It follows, amongst other things, that humanitarian
law holds accountable not only those having formal positions of authority but also those who
wield de facto power as well as those who exercise control over perpetrators of serious
violations of international humanitarian law. Hence, in
Military Prosecutor v. Omar Mahmud Kassem et al., 42 International Law Reports 1971, p. 470, at p. 477. The
court consequently held that the accused, members of the PLO captured by Israeli forces in the territories occupied by
Israel, did not belong to any Party to the conflict. As the court put it (ibid., pp. 477-478):
In the present case ... no Government with which we are in a state of war accepts responsibility for the
acts of the Popular Front for the Liberation of Palestine. The Organisation itself, so far as we know,
is not prepared to take orders from the Jordanian Government, witnessed by the fact that the
Organization is illegal in Jordan and has been repeatedly harassed by the Jordanian authorities.
International humanitarian law does not contain any criteria unique to this body of law
for establishing when a group of individuals may be regarded as being under the control of a
117
State, that is, as acting as de facto State officials. Consequently, it is necessary to
116
See also the ICRC Commentary to Article 29 of the Fourth Geneva Convention (Jean Pictet
(ed.), Commentary: IV Geneva Convention Relative to the Protection of Civilian Persons in Time of
War, International Committee of the Red Cross, Geneva, 1958, First Reprint, 1994, p. 212):
It does not matter whether the person guilty of treatment contrary to the Convention is an agent of the
Occupying Power or in the service of the occupied State; what is important is to know where the
decision leading to the unlawful act was made, where the intention was formed and the order given. If
the unlawful act was committed at the instigation of the Occupying Power, then the Occupying Power is
responsible; if, on the other hand, it was the result of a truly independent decision on the part of the local
authorities, the Occupying Power cannot be held responsible.
The Appeals Chamber is aware of another approach taken to the question of imputability in the area of
international humanitarian law. The Appeals Chamber is referring to the view whereby by virtue of Article 3 of
the IVth Hague Convention of 1907 and Article 91 of Additional Protocol I, international humanitarian law
establishes a special regime of State responsibility; under this lex specialis States are responsible for all acts
committed by their armed forces regardless of whether such forces acted as State officials or private persons.
In other words, whether or not in an armed conflict individuals act in a private capacity, their acts are attributed
to a State if such individuals are part of the armed forces of that State. This opinion was authoritatively set
forth by some members of the International Law Commission (ILC) (Professor Reuter
observed that it was now a principle of codified international law that States were responsible for all acts of
their armed forces (Yearbook of the International Law Commission, 1975, vol. I, p. 7, para. 5). Professor Ago
stated that the IVth Hague Convention of 1907 made provision for a veritable guarantee covering all damage
that might be caused by armed forces, whether they had acted as organs or as private persons (ibid., p. 16,
para. 4)). This view also has been forcefully advocated in the legal literature.
As is clear from the reasoning the Appeals Chamber sets out further on in the text of this Judgement, even if
this approach is adopted, the test of control as delineated by this Chamber remains indispensable for
The Notion of Control Set Out By the International Court of Justice in Nicaragua
In dealing with the question of the legal conditions required for individuals to be
considered as acting on behalf of a State, i.e., as de facto State officials, a high degree
of control has been authoritatively suggested by the International Court of Justice in
Nicaragua.
The issue brought before the International Court of Justice was whether a foreign
State, the United States, because of its financing, organising, training, equipping and
planning of the operations of organised military and paramilitary groups of Nicaraguan
rebels (the so-called contras) in Nicaragua, was responsible for violations of international
humanitarian law committed by those rebels. The Court held that a high degree of control
was necessary for this to be the case. It required that (i) a Party not only be in effective
control of a military or paramilitary group, but that (ii) the control be exercised with respect
118
to the specific operation in the course of which breaches may have been committed.
The Court went so far as to state that in order to establish that the United States was
responsible for acts contrary to human rights and humanitarian law allegedly
perpetrated by the Nicaraguan contras, it was necessary to prove that the United
119
States had specifically directed or enforced the perpetration of those acts.
determining when individuals who, formally speaking, are not military officials of a State may
nevertheless be regarded as forming part of the armed forces of such a State.
Nicaragua, para. 115. As the Court put it, there must be effective control of the military or paramilitary operations in
the course of which the alleged violations ?of international human rights and humanitarian lawg were committed.
First, with a view to limiting the scope of the test at issue, the Prosecution has
contended that the criterion for ascertaining State responsibility is different from that
necessary for establishing individual criminal responsibility. In the former case one would
have to decide whether serious violations of international humanitarian law by private
individuals may be attributed to a State because those individuals acted as de facto State
officials. In the latter case, one would have instead to establish whether a private individual
may be held criminally responsible for serious violations of international humanitarian law
122
amounting to grave breaches. Consequently, it has been asserted, the
Nicaragua test, while valid within the context of State responsibility, is immaterial to
the issue of individual criminal responsibility for grave breaches. The Appeals
Chamber, with respect, does not share this view.
What is at issue is not the distinction between the two classes of responsibility. What is
at issue is a preliminary question: that of the conditions on which under international law an
individual may be held to act as a de facto organ of a State. Logically these conditions must be
the same both in the case: (i) where the courts task is to ascertain whether an act performed
by an individual may be attributed to a State, thereby generating
120
See Review of the Indictment Pursuant to Rule 61 of the Rules of Procedure and Evidence, The
Prosecutor v. Ivica Raji}, Case No.: IT-95-12-R61, Trial Chamber II, 13 September 1996, para. 25.
The second preliminary issue relates to the interpretation of the judgement delivered
by the International Court of Justice in Nicaragua. According to the Prosecution, in that
123
case the Court applied both an agency test and an effective control test. In the
opinion of the Prosecution, the Court first applied the agency test when considering
whether the contras could be equated with United States officials for legal purposes, in
order to determine whether the United States could incur responsibility in general for the
acts of the contras. According to the Prosecution this test was one of dependency, on the
124
one side, and control, on the other. In the opinion of the Prosecution, the Court then
applied the effective control test to determine whether the United States could be held
responsible for particular acts committed by the contras in violation of international
humanitarian law. This test hinged on the issuance of specific directives or instructions
125
concerning the breaches allegedly committed by the contras.
According to the Prosecution (Cross-Appellants Brief, para. 2.58), the Court applied the agency test
when considering whether the contras engaged the responsibility of the United States. The Prosecution
has pointed out that in this regard the Court did not refer to the need for effective control, but rather to
quote the words of the Court cited by the Prosecution whether or not the relationship ?g was so
much one of dependency on the one side and control on the other that it would be right to equate the
contras, for legal purposes, with an organ of the United States Government, or as acting on behalf of that
Government (Nicaragua, para. 109).
Clearly, the Court did use two tests, but in any case its tests were conceived in a
manner different from what is contended by the Prosecution, and in addition they were to a
large extent set out along the lines dictated by customary international law. Admittedly, in its
judgement, the Court did not always follow a straight line of reasoning (whereas it would
seem that a jurisprudential approach more consonant with customary international law was
126
taken by Judge Ago in his Separate Opinion). In substance, however, the Court first
evaluated those acts which, in the submission of Nicaragua, involved the responsibility of
127
the United States in a more direct manner. To this end it discussed two categories
of individuals and their relative acts or transactions. First, the Court established
whether the individuals concerned were officials of the United States, in which case
their acts were indisputedly imputable to the State. Almost in the same breath the Court
then discussed the different question of whether individuals not having the status of
United States officials but allegedly paid by and acting under the instructions of United
States organs, could legally involve the responsibility of that State. These individuals
were Latin American operatives, the so-called UCLAs (Unilaterally Controlled Latino
Assets). The Court then moved to ascertain whether the responsibility of the United
States could arise in a less direct manner (to borrow from the phraseology used by
the Court). It therefore set out to determine whether other individuals, the so-called
contras, although not formally officials of the United States, acted in such a way and
were so closely linked to that State that their acts could be legally attributed to it.
It would therefore seem that in Nicaragua the Court distinguished between three
categories of individuals. The first comprised those who did have the status of officials: the
members of the Government administration or armed forces of the United States. With
regard to these individuals, the Court clearly started from a basic assumption, which the
128
same Court recently defined as a well-established rule of international law, that a State
incurs responsibility for acts in breach of international obligations committed by individuals
See the Advisory Opinion delivered by the ICJ on 29 April 1999 in Difference Relating to the Immunity
from Legal Process of a Special Rapporteur of the Commission on Human Rights, para. 62.
Customary international law on the matter is correctly restated in Article 5 of the Draft Articles on State
Responsibility adopted in its first reading by the United Nations International Law Commission: For the
purposes of the present articles ?of Chapter II: The Act of the State under International Lawg, conduct of any
State organ having that status under the internal law of that State shall be considered as an act of the State
concerned under international law, provided that organ was acting in that capacity in the case in
question (Report of the International Law Commission on the work of its Forty-Eighth Session (6
May-26 July 1996), U.N. Doc. A/51/10, p. 126).
Article 5, as provisionally adopted by the ILC Drafting Committee in 1998, is even clearer. It provides
(International Law Commission, Fiftieth Session, 1998, U.N. Doc. A/CN.4/L.569, p. 2):
1. For the purposes of the present articles, the conduct of any State organ acting in that capacity shall
be considered an act of that State under international law, whether the organ exercises legislative,
executive, judicial or any other functions, whatever position it holds in the organization of the State, and
whatever its character as an organ of the central government or of a territorial unit of the State.
For the purposes of paragraph 1, an organ includes any person or body which has that
status in accordance with the internal law of the State. (emphasis added).
See Article 7 of the ILC Draft Articles on State Responsibility adopted by the International Law
Commission on first reading. It provides:
1. The conduct of an organ of a territorial governmental entity within a State shall also be considered as
an act of that State under international law, provided that organ was acting in that capacity in the
case in question.
The conduct of an organ of an entity which is not part of the formal structure of the State or of a
territorial governmental entity, but which is empowered by the internal law of that State to exercise
elements of the governmental authority, shall also be considered as an act of the State under
international law, provided that organ was acting in that capacity in the case in question.
See the First Report on State Responsibility by the Special Rapporteur J. Crawford (22 July 1998),
U.N. Doc. A/CN.4/490/ Add.5, pp. 12-16. See also the text of the same provision as provisionally
adopted by the ILC Drafting Committee in 1998 (U.N. Doc. A/CN.4/L.569, p. 2). The text of Article 7,
as provisionally adopted by the ILC Drafting Committee in 1998, provides:
The conduct of an entity which is not an organ of the State under article 5 but which is
empowered by the law of that State to exercise elements of the governmental authority shall
be considered an act of the State under international law, provided the entity was acting in
that capacity in the case in question. (ibid.)
At one stage in the judgement, when dealing with the contras, the Court
appeared to lay down a dependence and control test:
What the Court has to determine at this point is whether or not the relationship of
the contras to the United States government was so much one of dependence
on the one side and control on the other that it would be right to equate the
contras, for legal purposes, with an organ of the United States government, or as
133
acting on behalf of that Government.
The Prosecution, and Judge McDonald in her dissent, argue that by these words the
Court set out an agency test. According to them, the Court only resorted to the effective
control standard once it had found no agency relationship between the contras and the United
States to exist, so that the contras could not be considered organs of the United States. The
Court, according to this argument, then considered whether specific operations
of the contras could be attributed to the United States, and the standard it adopted
for this attribution was the effective control standard.
On close scrutiny, and although the distinctions made by the Court might at first sight
seem somewhat unclear, the contention is warranted that in the event, the Court essentially set
out two tests of State responsibility: (i) responsibility arising out of unlawful acts of State
officials; and (ii) responsibility generated by acts performed by private individuals acting as de
facto State organs. For State responsibility to arise under (ii), the Court required that private
individuals not only be paid or financed by a State, and their action be coordinated or
supervised by this State, but also that the State should issue specific instructions concerning
the commission of the unlawful acts in question. Applying this test, the Court concluded that in
the circumstances of the case it was met as far as the UCLAs were concerned (who were paid
and supervised by the United States and in addition acted under their specific instructions). By
contrast, the test was not met as far as the
contras were concerned: in their case no specific instructions had been issued by
the United States concerning the violations of international humanitarian law which
they had allegedly perpetrated.
See the Separate Opinion of Judge Ago in Nicaragua, paras. 14-17. Judge Ago correctly stated that it fell to the
Court first to establish whether the individuals at issue had the status of national officials or officials of national public
entities and then, where necessary, to consider whether, lacking this status, they acted instead as de facto State
officials, thereby engaging the responsibility of the State. For the purpose of establishing the international
responsibility of a State, he therefore identified two broad classes of individuals: those having the status of officials of
the State or of its autonomous bodies, and those lacking such a status. Clearly, for Judge Ago the issue of deciding
whether an individual had acted as a de facto State organ arose only with respect to the latter category. Furthermore,
Judge Ago characterised the CIA and the so-called UCLAs in a manner different from the Court (see para. 15).
The Grounds On Which the Nicaragua Test Does Not Seem To Be Persuasive
The effective control test enunciated by the International Court of Justice was
137
regarded as correct and upheld by Trial Chamber II in the Judgement. The
Appeals Chamber, with respect, does not hold the Nicaragua test to be persuasive.
There are two grounds supporting this conclusion.
A first ground on which the Nicaragua test as such may be held to be unconvincing
is based on the very logic of the entire system of international law on State responsibility.
themselves from such conduct when these individuals breach international law. The
requirement of international law for the attribution to States of acts performed by private
individuals is that the State exercises control over the individuals. The degree of
control
may, however, vary according to the factual circumstances of each case. The
Appeals
Chamber fails to see why in each and every circumstance international law should require a
high threshold for the test of control. Rather, various situations may be distinguished.
One situation is the case of a private individual who is engaged by a State to perform
some specific illegal acts in the territory of another State (for instance, kidnapping a State
official, murdering a dignitary or a high-ranking State official, blowing up a power station or,
especially in times of war, carrying out acts of sabotage). In such a case, it would be necessary
to show that the State issued specific instructions concerning the commission of the breach in
order to prove if only by necessary implication that the individual acted as a de facto State
agent. Alternatively it would be necessary to show that the State has publicly given retroactive
approval to the action of that individual. A generic authority over the individual would not be
sufficient to engage the international responsibility of the State. A similar situation may come
about when an unorganised group of individuals commits acts contrary to international law. For
these acts to be attributed to the State it would seem necessary to prove not only that the State
exercised some measure of authority over those individuals but also that it issued specific
instructions to them concerning the performance of the acts at issue, or that it ex post facto
publicly endorsed those acts.
To these situations another one may be added, which arises when a State entrusts
a private individual (or group of individuals) with the specific task of performing lawful
actions on its behalf, but then the individuals, in discharging that task, breach an
international obligation of the State (for instance, a private detective is requested by
State authorities to protect a senior foreign diplomat but he instead seriously
mistreats him while performing that task). In this case, by analogy with the rules
concerning State responsibility for acts of State officials acting ultra vires, it can be
held that the State incurs responsibility on account of its specific request to the
private individual or individuals to discharge a task on its behalf.
Case No.: -94-1-A 15 July 1999
49
One should distinguish the situation of individuals acting on behalf of a State
without specific instructions, from that of individuals making up an organised and
hierarchically structured group, such as a military unit or, in case of war or civil strife, armed
bands of irregulars or rebels. Plainly, an organised group differs from an individual in that
the former normally has a structure, a chain of command and a set of rules as well as the
outward symbols of authority. Normally a member of the group does not act on his own but
conforms to the standards prevailing in the group and is subject to the authority of the head
of the group. Consequently, for the attribution to a State of acts of these groups it is
sufficient to require that the group as a whole be under the overall control of the State.
This kind of State control over a military group and the fact that the State is held
responsible for acts performed by a group independently of any State instructions, or even
contrary to instructions, to some extent equates the group with State organs proper. Under
the rules of State responsibility, as restated in Article 10 of the Draft on State Responsibility
139
as provisionally adopted by the International Law Commission, a State is internationally
accountable for ultra vires acts or transactions of its organs. In other words it incurs
responsibility even for acts committed by its officials outside their remit or contrary to its
behest. The rationale behind this provision is that a State must be held accountable for acts
of its organs whether or not these organs complied with instructions, if any, from the higher
authorities. Generally speaking, it can be maintained that the whole body of international
law on State responsibility is based on a realistic concept of accountability, which
disregards legal formalities and aims at ensuring that States entrusting some functions to
Article 10, as adopted on first reading by the International Law Commission, provides:
The conduct of an organ of a State, of a territorial governmental entity or of an entity
empowered to exercise elements of the governmental authority, such organ having acted in
that capacity, shall be considered as an act of the State under international law even if, in the
particular case, the organ exceeded its competence according to internal law or contravened
instructions concerning its activity. (Report of the International Law Commission on the work
of its thirty-second session (5 May25 July 1980), U.N. Doc. A/35/10, p.31).
See also the First Report on State Responsibility by the Special Rapporteur J. Crawford , U.N. Doc.
A/CN./490/Add.5, pp. 29-31. The text of article 10, as provisionally adopted in 1998 by the ILC
Drafting Committee, provides:
The conduct of an organ of a State or of an entity empowered to exercise elements of the governmental
authority, such organ or entity having acted in that capacity, shall be considered an act of the State
under international law even if, in the particular case, the organ or entity exceeded its authority or
contravened instructions concerning its exercise (U.N. Doc. A/CN.4/ L.569, p. 3).
The same logic should apply to the situation under discussion. As noted above, the
situation of an organised group is different from that of a single private individual performing
a specific act on behalf of a State. In the case of an organised group, the group normally
engages in a series of activities. If it is under the overall control of a State, it must perforce
engage the responsibility of that State for its activities, whether or not each of them was
specifically imposed, requested or directed by the State. To a large extent the wise words
used by the United States-Mexico General Claims Commission in the Youmans case with
regard to State responsibility for acts of State military officials should hold true for acts of
141
organised groups over which a State exercises overall control.
What has just been said should not, of course, blur the necessary distinction
between the various legal situations described. In the case envisaged by Article 10 of the
Draft on State Responsibility (as well as in the situation envisaged in Article 7 of the same
Draft), State responsibility objectively follows from the fact that the individuals who engage
in certain internationally wrongful acts possess, under the relevant legislation, the status of
State officials or of officials of a States public entity. In the case under discussion here, that
of organised groups, State responsibility is instead the objective corollary of the overall
control exercised by the State over the group. Despite these legal differences, the fact
This sort of objective State responsibility also arises in a different case. Under the relevant rules on State
responsibility as laid down in Article 7 of the International Law Commission Draft, a State incurs responsibility for acts
of organs of its territorial governmental entities (regions, Lnder, provinces, member States of Federal States, etc.)
even if under the national Constitution these organs enjoy broad independence or complete autonomy. ( See footnote
130 above).
The United States claimed that Mexico was responsible for the killing of United States nationals at the
hands of a mob with the participation of Mexican soldiers. Mexico objected that, even if it were assumed
that the soldiers were guilty of such participation, Mexico should not be held responsible for the wrongful
acts of the soldiers, on the grounds that they had been ordered by the highest official in the locality to
protect American citizens. Instead of carrying out these orders, however, they had acted in violation of
them, in consequence of which the Americans had been killed. The Mexico/United States General Claims
Commission dismissed the Mexican objection and held Mexico responsible. It stated that if international
law were not to impute to a State wrongful acts committed by its officials outside their competence or
contrary to instructions, it would follow that no wrongful acts committed by an official could be considered
as acts for which his Government could be held liable. It then added that:
[s]oldiers inflicting personal injuries or committing wanton destruction or looting always act in
disobedience of some rules laid down by superior authority. There could be no [international State]
liability whatever for such misdeeds if the view were taken that any acts committed by soldiers in
contravention of instructions must always be considered as personal acts (Thomas H. Youmans
(U.S.A.) v. United Mexican States, Decision of 23 November 1926, Reports of International Arbitral
Awards, vol. IV, p. 116).
There is a second ground of a similarly general nature as the one just expounded
- on which the Nicaragua test as such may be held to be unpersuasive. This ground is
determinative of the issue. The effective control test propounded by the International
Court of Justice as an exclusive and all-embracing test is at variance with international
judicial and State practice: such practice has envisaged State responsibility in
circumstances where a lower degree of control than that demanded by the Nicaragua test
was exercised. In short, as shall be seen, this practice has upheld the Nicaragua test with
regard to individuals or unorganised groups of individuals acting on behalf of States. By
contrast, it has applied a different test with regard to military or paramilitary groups.
In cases dealing with members of military or paramilitary groups, courts have clearly
departed from the notion of effective control set out by the International Court of Justice
(i.e., control that extends to the issuance of specific instructions concerning the various
activities of the individuals in question). Thus, for instance, in the Stephens case, the
Mexico-United States General Claims Commission attributed to Mexico acts committed
during a civil war by a member of the Mexican irregular auxiliary of the army, which
142
among other things lacked both uniforms and insignia. In this case the
Commission did not enquire as to whether or not specific instructions had been
issued concerning the killing of the United States national by that guard.
See United States v. Mexico (Stephens Case), Reports of International Arbitral Awards, vol. IV, pp. 266-
Under international law Iran cannot, on the one hand, tolerate the exercise of
governmental authority by revolutionary Komitehs or Guards and at the same
146
time deny responsibility for wrongful acts committed by them
With specific reference to the action of the Guards in the case at issue, the Claims
Tribunal emphasised that the two guards who had forced the Americans to leave their house
See Kenneth P. Yeager v. Islamic Republic of Iran, 17 Iran-U.S. Claims Tribunal Reports, 1987, vol. IV, p. 92).
Ibid., paras 39, 45. The Claims Tribunal went on to note that:
while there were complaints about a lack of discipline among the numerous Komitehs,
Ayatollah Khomeini stood behind them, and the Komitehs, in general, were loyal to him and
the clergy. Soon after the victory of the Revolution, the Komitehs, contrary to other groups,
obtained a firm position within the State structure and were eventually conferred a permanent
place in the State budget (ibid., para. 39; emphasis added).
United States Diplomatic and Consular Staff in Tehran, Judgment, ICJ Reports (1980), p. 13, para. 17.
See William L. Pereira Associates, Iran v. Islamic Republic of Iran, Award No. 116-1-3, 5 Iran-U.S. Claims
Tribunal 1984, p. 198 at p. 226. See also Arthur Young and Company v. Islamic Republic of Iran,
Telecommunications Company of Iran, Social Security Organization of Iran, Award No. 338-484-1 , 17 Iran-U.S.
Claims Tribunal Reports, 1987, p. 245). Here the Claims Tribunal found that in the circumstances of the case
Iran was not responsible because there was no causal link between the action of the revolutionary guards and
the alleged breach of international law. However, the Claims Tribunal held that otherwise Iran might have
incurred international responsibility for acts of armed men wearing patches on their pockets identifying them as
members of the revolutionary guards (para. 53). A similar stand was taken in Schott v. Islamic Republic of Iran,
Award No. 474-268-1 , 24 Iran-U.S. Claims Tribunal Reports, 1990, p. 203 at para. 59.
Case No.: -94-1-A 15 July 1999
54
A similar approach was adopted by the European Court of Human Rights in
152
Loizidou v. Turkey (although in this case the question revolved around the possible
control of a sovereign State over a State entity, rather than control by a State over armed
forces operating in the territory of another State). The Court had to determine whether
Turkey was responsible for the continuous denial to the applicant of access to her property
in northern Cyprus and the ensuing loss of control over the property. The respondent State,
Turkey, denied that the Court had jurisdiction, on the grounds that the act complained of
was not committed by one of its authorities but, rather, was attributable to the authorities of
the Turkish Republic of Northern Cyprus (TRNC). The Court dismissed these arguments
and found that Turkey was responsible. In reaching the conclusion that the restrictions on
the right to property complained of by the applicant were attributable to Turkey, the Court
did not find it necessary to ascertain whether the Turkish authorities had exercised
detailed control over the specific policies and actions of the authorities of the TRNC.
The Court was satisfied by the showing that the local authorities were under the effective
153
overall control of Turkey.
A substantially similar stand was recently taken in the Jorgic case by the
154
Oberlandesgericht of Dsseldorf in a decision of 26 September 1997. With regard to crimes
committed in Bosnia and Herzegovina by Bosnian Serbs, the Court held that the Bosnian Serbs
fighting against the central authorities of Sarajevo had acted on behalf of the FRY. To support
this finding, the court emphasised that Belgrade financed, organised and equipped the Bosnian
Serb army and paramilitary units and that there existed between the JNA and the Bosnian
Serbs a close personal, organisational and logistical interconnection ?Verflechtungg, which
was considered to be a sufficient basis for regarding the conflict as
In Daley, on the other hand, the Claims Tribunal held Iran responsible for the expropriation of a car, for the five
Iranian Revolutionary Guards who had taken the car were in army-type uniforms at the entrance of a hotel
which had come under the control of Revolutionary Guards a few days before. (Daley v. Islamic Republic of
Iran, Award No. 360-1-514-1, 18 Iran-U.S Claims Tribunal Reports, 1988, 232 at paras. 19-20).
Loizidou v. Turkey (Merits), Eur. Court of H. R., Judgement of 18 December 1996 (40/1993/435/514).
In its judgement, the Court stated the following on the point at issue here:
It is not necessary to determine whether, as the applicant and the Government of Cyprus have
suggested, Turkey actually exercises detailed control over the policies and actions of the authorities of
the TRNC. It is obvious from the large number of troops engaged in active duties in northern Cyprus
... that her army exercises effective overall control over that part of the island. Such control,
according to the relevant test and in the circumstances of the case, entails her responsibility
for the policies and actions of the TRNC ... (ibid., para. 56).
2 StE 8/96 (unpublished typescript; kindly provided by the German Embassy to the Netherlands and on file with
the International Tribunals Library).
Precisely what measure of State control does international law require for organised
military groups? Judging from international case law and State practice, it would seem that
for such control to come about, it is not sufficient for the group to be financially or even
militarily assisted by a State. This proposition is confirmed by the international practice
concerning national liberation movements. Although some States provided movements
such as the PLO, SWAPO or the ANC with a territorial base or with economic and military
assistance (short of sending their own troops to aid them), other States, including those
against which these movements were fighting, did not attribute international responsibility
157
for the acts of the movements to the assisting States. Nicaragua also supports this
The Judgement of the Dsseldorf Court of Appeal was upheld on appeal by the Federal Court of
Justice (Bundesgerichtshof) by a judgement of 30 April 1999 (unpublished). The appeal was based, inter
alia, on a misapplication of substantive law. This ground also included the question of whether the conflict
was international in character. The Bundesgerichtshof did not address the matter specifically, thus
implicitly upholding the judgement of the Dsseldorf Court. (See, in particular, pp. 19-20 and 23 of the
German typescript (3 StR 215/98), on file with the International Tribunal library).
See e.g., the debates in the U.N. Security Council in 1976, on the raids of South Africa into Zambia to
destroy bases of the SWAPO (see in particular the statements of Zambia (SCOR, 1944th Meeting of 27 July
1976, paras. 10-45) and South Africa (ibid., paras. 47-69); see also SC resolution no. 393 (1976) of 30 July
1976)); see also the debates on the Israeli raids in Lebanon in June 1982 (in particular the statements of
was not held responsible for their acts (whereas on account of this financial and other
assistance to the contras, the United States was held by the Court to be responsible for
breaching the principle of non-intervention as well as its obligation ?g not to use force
158
against another State. This was clearly a case of responsibility for the acts of its own
organs).
It should be added that courts have taken a different approach with regard to
individuals or groups not organised into military structures. With regard to such
individuals or groups, courts have not considered an overall or general level of
control to be sufficient, but have instead insisted upon specific instructions or
directives aimed at the commission of specific acts, or have required public
approval of those acts following their commission.
The Appeals Chamber will mention, first of all, the United States Diplomatic and
159
Consular Staff in Tehran case. There, the International Court of Justice rightly found that the
Iranian students (who did not comprise an organised armed group) who had stormed the
United States embassy and taken hostage 52 United States nationals, had not initially acted
Ireland (SCOR, 2374th Meeting of 5 June 1982, paras. 35-36) and of Israel (ibid., paras. 74-78 and SCOR,
2375th Meeting of 6 June 1982, paras. 22-67) and in July-August 1982 (see the statement of Israel, SCOR,
2385th Meeting of 29 July 1982, paras. 144-169)); see also the debates on the South African raid in Lesotho in
December 1982 (see in particular the statements of France (SCOR, 2407th Meeting of 15 December 1982,
paras. 69-80), of Japan (ibid., paras. 98-107), of South Africa (SCOR, 2409th Meeting of 16 December 1982,
paras. 126-160) and of Lesotho (ibid., paras. 219-227)).
Although there does not seem to exist any international practice in this area, it may happen that a State simply
providing economic and military assistance to a military group (hence not necessarily exercising effective
control over the group) directs a member of the group or the whole group to perform a specific internationally
wrongful act, e.g. an international crime such as genocide. In this case one would face a situation similar to that
described above, in the text, of a State issuing specific instructions to an individual.
The same approach was adopted in 1986 by the International Court itself in
Nicaragua with regard to the UCLAs (which the Court defined as persons of the
163
nationality of unidentified Latin American countries). For specific internationally
wrongful acts of these persons to be imputable to the United States, it was
deemed necessary by the Court that these persons not only be paid by United
States organs but also act on the instructions of those organs (in addition to their
164
being supervised and receiving logistical support from them).
United States Diplomatic and Consular Staff in Tehran, Judgment, ICJ Reports (1980), pp. 3 ff.
Similar views were propounded in 1987 by the Iran-United States Claims Tribunal
165
in Short. Iran was not held internationally responsible for the allegedly wrongful
expulsion of the claimant. The Claims Tribunal found that the Iranian revolutionaries
(armed but not comprising an organised group) who ordered the claimants departure from
Iran were not State organs, nor did Ayatollah Khomeinis declarations amount to
166
specific incitement to the revolutionaries to expel foreigners.
It should be added that State practice also seems to clearly support the
167
approach under discussion.
In sum, the Appeals Chamber holds the view that international rules do not always
require the same degree of control over armed groups or private individuals for the purpose
of determining whether an individual not having the status of a State official under internal
legislation can be regarded as a de facto organ of the State. The extent of the requisite
State control varies. Where the question at issue is whether a single private individual or a
group that is not militarily organised has acted as a de facto State organ when performing a
Alfred W. Short v. Islamic Republic of Iran, Award No. 312-11135-3, 16 Iran-U.S. Claims Tribunal
Reports 1987, p. 76).
After finding that the acts of the revolutionaries could not be attributed to Iran, the Claims Tribunal noted the
following:
The Claimants reliance on the declarations made by the leader of the Revolution, Ayatollah
Khomeini, and other spokesmen of the revolutionary movement, also lack the essential
ingredient as being the cause for the Claimants departure in circumstances amounting to an
expulsion. While these statements are of anti-foreign and in particular anti-American
sentiment, the Tribunal notes that these pronouncements were of a general nature and did
not specify that Americans should be expelled en masse. (ibid., para. 35).
For examples of State practice apparently adopting this approach to the question of attribution, see for
instance the relevant documents in the Cesare Rossi case (an Italian antifascist staying in Switzerland
who was lured by two other Italians acting on behalf of the Italian authorities into crossing the border with
Italy, where he was arrested: see 1 Zeitschrift fr auslndisches ffentliches Recht und Vlkerrecht, 1929,
pp. 280-294); the Jacob Salomon case (a German national was kidnapped by another German national in
Switzerland and taken to Germany: see the relevant documents mentioned in 29 American Journal of
International Law 1935, pp. 502-507, 36 American Journal of International Law 1936, pp.123-124). See
further the Sabotage cases decided by the United States-Germany Mixed Claims Commission (Lehigh
Valley Railroad Co., Agency of Canadian Can and Foundry Co., Ltd., and various underwriters (United
States) v. Germany, Reports of International Arbitral Awards, vol. VIII, pp. 84 ff. (especially pp. 84-87) and
pp. 225 ff. (especially 457-460). In these cases, in July 1916 some individuals, at the request of the
German authorities intent on bringing about sabotage in the United States, had set fire to a terminal in
New York harbour and to a plant of a company in New Jersey.
Mention can also be made of the Eichmann case (Attorney-General of the Government of Israel v. Adolf
Eichmann, 36 International Law Reports 1968, pp. 277-344): see for instance Security Council resolution 4349
of 23 June 1960 and the debates in the Security Council; see in particular the statements of Argentina (SCOR,
865th Meeting of 22 June 1960, paras. 25-27), of Israel (SCOR of the 866th Meeting on 22 June 1960, para.
41), of Italy (SCOR of the 867th Meeting of 23 June 1960, paras. 32-34), of Ecuador (ibid., paras. 47-49), of
Tunisia (ibid., para. 73) and of Ceylon (SCOR of the 868th Meeting of 23 June 1960, paras. 12-13).
Of course, if, as in Nicaragua, the controlling State is not the territorial State
where the armed clashes occur or where at any rate the armed units perform their
acts, more extensive and compelling evidence is required to show that the State is
genuinely in control of the units or groups not merely by financing and equipping
them, but also by generally directing or helping plan their actions.
Where the controlling State in question is an adjacent State with territorial ambitions
on the State where the conflict is taking place, and the controlling State is attempting to
In many of these cases, the need for specific instructions by the State concerning the commission of
the specific act with which the individual had been charged, or the ex post facto public endorsement
of that act, can be inferred from the facts of the case.
It should be added that international law does not provide only for a test of overall
control applying to armed groups and that of specific instructions (or subsequent public
approval), applying to single individuals or militarily unorganised groups. The Appeals Chamber
holds the view that international law also embraces a third test. This test is the assimilation of
individuals to State organs on account of their actual behaviour within the structure of a State
(and regardless of any possible requirement of State instructions). Such
The first case is Joseph Kramer et al. (also called the Belsen case), brought before a
169
British military court sitting at Luneburg (Germany). The Defendants comprised
not only some German staff members of the Belsen and Auschwitz concentration
camps but also a number of camp inmates of Polish nationality and an Austrian Jew
elevated by the camp administrators to positions of authority over the other
internees. They were inter alia accused of murder and other offences against the
camp inmates. According to the official report on this case:
In meeting the argument that no war crime could be committed by Poles against other
Allied nationals, the Prosecutor said that by identifying themselves with the authorities the
Polish accused had made themselves as much responsible as the S.S. themselves.
Perhaps it could be claimed that by the same process they could be regarded as having
170
approximated to membership of the armed forces of Germany.
Another case is more recent. This is the judgement handed down by the Dutch
171
Court of Cassation on 29 May 1978 in the Menten case. Menten, a Dutch national who
was not formally a member of the German forces, had been accused of war crimes and
crimes against humanity for having killed a number of civilians, mostly Jews, in Poland, on
168
These cases, although they concern war crimes (the notion of grave breaches had not yet
come into existence at the time), are nevertheless relevant to our discussion. Indeed, they provide
useful indications concerning the conditions on which civilians may be assimilated to State officials.
th th
Trial of Joseph Kramer and 44 Others, British Military Court, Luneberg, 17 September-17 November,
1945, Law Reports of Trials of War Criminals, Selected and Prepared by the United Nations War Crimes
Commission, Published for the United Nations War Crimes Commission by His Majestys Stationary Office,
London 1947 (UNWCC), vol. II, p. 1.
Ibid., p. 152 (emphasis added) (the Austrian civilian, Schlomowicz, was not found guilty). See also ibid., p. 109.
Most of the accused civilians were found guilty and sentenced to imprisonment. It is clear from this case that
according to the court, by acting as de facto members of the German apparatus running the Belsen concentration
camp, the Polish civilians could be assimilated to German State officials.
Other cases also prove that private individuals acting within the framework of, or in
connection with, armed forces, or in collusion with State authorities may be regarded as de
174
facto State organs. In these cases it follows that the acts of such individuals are
attributed to the State, as far as State responsibility is concerned, and may also
175
generate individual criminal responsibility.
Public Prosecutor v. Menten, 75 International Law Reports 1987, pp. 331 ff.
Menten was sentenced to ten years imprisonment by the District Court of Rotterdam (Judgement of 9 July 1980,
ibid., p. 361). It should be pointed out that the Dutch Court of Cassation had been obliged to investigate whether
Menten was "in military, state or public service of or with the enemy" as this was an ingredient of the relevant Dutch
law (ibid., p. 346). The Appeals Chamber holds, however, that the Menten case is in line with the rules of general
international law concerning the assimilation of private individuals to State officials.
See, e.g., the Daley case, where the Iran U.S. Claims Tribunal attributed international responsibility to Iran for acts
of five Iranian Revolutionary Guards in army type uniforms (18 Iran-U.S. Claims Tribunal Reports, 1988, p. 238, at
para. 19).
In this connection mention can be made of the Stock case brought before the European Commission of
Human Rights. A German national fled from Germany to Switzerland and then to France to avoid arrest in
Germany for alleged tax offences. He was then tricked into re-entering Germany by a police informant and was
arrested. He then claimed before the European Commission of Human Rights that he had been arrested in
violation of Article 5(1) of the ECHR. The Commission held that:
in the case of collusion between State authorities, i.e. any State official irrespective of his
hierarchical position, and a private individual for the purpose of returning against his will a
person living abroad, without consent of his State of residence, to the territory where he is
prosecuted, the High Contracting Party concerned incurs responsibility for the acts of the
private individual who de facto acts on its behalf. The Commission considers that such
circumstances may render this persons arrest and detention unlawful within the meaning of
article 5(1) of the Convention (Stock v. Federal Republic of Germany, Eur. Court H. R.,
judgement of 19 March 1991, Series A, no 199, para. 168 (Opinion of the Commission).
The Factual Relationship Between the Bosnian Serb Army and the Army of the FRY
The Appeals Chamber has concluded that in general international law, three tests
may be applied for determining whether an individual is acting as a de facto State organ. In
the case of individuals forming part of armed forces or military units, as in the case of any
other hierarchically organised group, the test is that of overall control by the State.
The Appeals Chamber does not see any ground for overturning the factual findings
made in this case by the Trial Chamber and relies on the facts as stated in the Judgement.
The majority and Judge McDonald do not appear to disagree on the facts, which Judge
176
McDonald also takes as stated in the Judgement, but only on the legal
interpretation to be given to those facts.
Since, however, the Appeals Chamber considers that the Trial Chamber applied an
incorrect standard in evaluating the legal consequences of the relationship between the FRY
Although these cases concerned State responsibility, they may be relevant to the question of the criminal
responsibility of individuals perpetrating grave breaches of the Geneva Conventions, inasmuch as they set out
the conditions necessary for individuals to be considered as de facto State organs.
See Separate and Dissenting Opinion of Judge McDonald, para. 1: I completely agree with and share in the
Opinion and Judgment with the exception of the determination that Article 2 of the Statute is inapplicable to the
charges against the accused.
The Trial Chamber clearly found that even after 19 May 1992, the command
structure of the JNA did not change after it was renamed and redesignated as the VJ.
Furthermore, and more importantly, it is apparent from the decision of the Trial Chamber
and more particularly from the evidence as evaluated by Judge McDonald in her Separate
and Dissenting Opinion, that even after that date the VJ continued to control the Bosnian
Serb Army in Bosnia and Herzegovina, that is the VRS. The VJ controlled the political and
military objectives, as well as the military operations, of the VRS. Two factors emphasised
in the Judgement need to be recalled: first, the transfer to the 1st Krajina Corps, as with
other units of the VRS, of former JNA Officers who were not of Bosnian Serb extraction
from their equivalent postings in the relevant VRS units JNA
177
predecessor and second, with respect to the VRS, the continuing payment of salaries,
to Bosnian Serb and non-Bosnian Serb officers alike, by the Government of the Federal
178
Republic of Yugoslavia (Serbia and Montenegro). According to the Trial Chamber,
these two factors did not amount to, or were not indicative of, effective control by Belgrade
179
over the Bosnian Serb forces. The Appeals Chamber shares instead the views
set out by Judge McDonald in her Separate and Dissenting Opinion, whereby these
180
two factors, in addition to others shown by the Prosecution, did indicate control.
What emerges from the facts which are both uncontested by the Trial Chamber and
mentioned by Judge McDonald (concerning the command and control structure that
Ibid.
The re-organization of the JNA and the change of name did not point to an
alteration of military objectives and strategies. The command structure of the JNA
and the re-designation of a part of the JNA as the VRS, while undertaken to create
the appearance of compliance with international demands, was in fact designed to
ensure that a large number of ethnic Serb armed forces were retained in
181
Bosnia and Herzegovina.
Over and above the extensive financial, logistical and other assistance and
support which were acknowledged to have been provided by the VJ to the VRS, it
was also uncontested by the Trial Chamber that as a creation of the FRY/VJ, the
structures and ranks of the VJ and VRS were identical, and also that the FRY/VJ
182
directed and supervised the activities and operations of the VRS. As a result,
the VRS reflected the strategies and tactics devised by the FRY/JNA/VJ.
In the light of the demand of the Security Council on 15 May 1992 that all interference from outside Bosnia and
Herzegovina by units of the JNA cease immediately, the Trial Chamber characterised the dilemma posed for the JNA
by increasing international scrutiny from 1991 onwards in terms of the way in which the JNA could:
be converted into an army of what remained of Yugoslavia, namely Serbia and Montenegro, yet
continue to retain in Serb hands control of substantial portions of Bosnia and Herzegovina while
appearing to comply with international demands that the JNA quit Bosnia and Herzegovina. The
solution as far as Serbia was concerned was found by transferring to Bosnia and Herzegovina all
Bosnian Serb soldiers serving in JNA units elsewhere while sending all non-Bosnian soldiers out of
Bosnia and Herzegovina. This ensured seeming compliance with international demands while effectively
retaining large ethnic Serb armed forces in Bosnia and Herzegovina (Judgement, paras.
113-114).
Additionally, the U.N. Secretary-General, in commenting on its purported withdrawal from Bosnia and
Herzegovina, concluded in his report of 3 December 1992 that though JNA has withdrawn completely from
Bosnia and Herzegovina, former members of Bosnian Serb origin have been left behind with their equipment
and constitute the Army of the Serb Republic (Report of the Secretary-General concerning the
situation in Bosnia and Herzegovina, U.N. Doc. A/47/747, para. 10).
JNA military operations under the command of Belgrade that had already
commenced by 19 May 1992 did not cease immediately and, from a purely practical
point of view, it is highly unlikely that they would have been able to cease
186
overnight in any event.
Ibid., para. 118 (Despite the announced JNA withdrawal from Bosnia and Herzegovina in May 1992,
active elements of what had been the JNA, now rechristened as the VJ remained in Bosnia and
Herzegovina after the May withdrawal and worked with the VRS throughout 1992 and 1993) and para. 569
( the forces of the VJ continued to be involved in the armed conflict after that date).
Moreover, it is interesting to observe that while concluding that by 19 May 1992 effective control over the
VRS had been lost by the JNA/VJ, the Trial Chamber simultaneously observed that such control nevertheless
did not appear to have been regained by the Bosnian authorities. In particular, the Trial Chamber found that
the Government of the Republic of Bosnia and Herzegovina faced major problems of
defence, involving control over the mobilization and operations of the armed forces (Judgement,
para. 124, emphasis added).
In and of itself, the logistical difficulties of disengaging from the conflict and withdrawing such a large force
would have been considerable. With regard to the extent and depth of the involvement of the large number of
JNA forces engaged in Bosnia and Herzegovina and the ongoing nature of their activities beyond
May 1992, see ibid., paras. 124-125: By early 1992 there were some 100,000 JNA troops in Bosnia and
Herzegovina with over 700 tanks, 1,000 armoured personnel carriers, much heavy weaponry, 100 planes and
500 helicopters, all under the command of the General Staff of the JNA in Belgrade. On 19 May
1992 the withdrawal of JNA forces from Bosnia and Herzegovina was announced but the attacks
were continued by the VRS.
FRYs own political and military objectives, and the evidence demonstrates that these
objectives were implemented by military and political operations that were controlled by
Belgrade and the JNA/VJ. There is no evidence to suggest that these objectives changed on
187
19 May 1992.
Taken together, these factors suggest that the relationship between the VJ and VRS
cannot be characterised as one of merely coordinating political and military activities. Even if
less explicit forms of command over military operations were practised and adopted in response
to increased international scrutiny, the link between the VJ and VRS clearly went far beyond
mere coordination or cooperation between allies and in effect, the renamed Bosnian Serb army
still comprised one army under the command of the General Staff of the
188
VJ in Belgrade. It was apparent that even after 19 May 1992 the Bosnian Serb army
continued to act in pursuance of the military goals formulated in Belgrade. In this regard, clear
evidence of a chain of military command between Belgrade and Pale was presented to the Trial
Chamber and the Trial Chamber accepted that the VRS Main Staff had links and
189
regular communications with Belgrade. In spite of this, and although the Trial Chamber
acknowledged the possibility that certain members of the VRS may have been specifically
See in particular ibid., para. 116 (citing the 1993 publication of the former Yugoslav Federal Secretary
for Defence, General Veljko Kadijevi}, entitled My view of the Break-up: an Army without a State
(Prosecution Exhibit 30)):
?Tghe units and headquarters of the JNA formed the backbone of the army of the Serb Republic
(Republic of Srpska) complete with weaponry and equipment ?Fgirst the JNA and later
the army of the Republic of Srpska, which the JNA put on its feet, helped to liberate Serb
territory, protect the Serb nation and create the favourable military preconditions for achieving
the interests and rights of the Serb nation in Bosnia and Herzegovina.
See also para. 590:
The occupation of Kozarac and of the surrounding villages was part of a military and political
operation, begun before 19 May 1992 with the take-over of the town of Prijedor of 29 April
1992, aimed at establishing control over the optina which formed part of the land corridor of
Bosnian territory linking the Federal Republic of Yugoslavia (Serbia and Montenegro) with the
so-called Republic of Serbian Krajina in Croatia.
188
While the relationship between the JNA and VRS may have included coordination and
cooperation, it cannot be seen as limited to this. As the Trial Chamber itself noted: In 1991 and on
into 1992 the Bosnian Serb and Croatian Serb paramilitary forces cooperated with and acted under
the command and within the framework of the JNA.(ibid., para. 593; emphasis added).
The Appeals Chamber holds that to have required proof of specific orders
circumventing or overriding superior orders not only applies the wrong test but is also
questionable in this context. A distinguishing feature of the VJ and the VRS was that
they possessed shared military objectives. As a result, it is inherently unlikely that
orders from Belgrade circumventing or overriding the authority of local Corps
commanders would have ever been necessary as these forces were of the same mind;
191
a point that appears to have been virtually conceded by the Trial Chamber.
st
Furthermore, the Trial Chamber, noting that the pay of all 1 Krajina Corps officers
and presumably of all senior VRS Commanders as former JNA officers continued to be
received from Belgrade after 19 May 1992, acknowledged that a possible conclusion with
192
regard to individuals, is that payment could well be equated with control. The Trial
Chamber nevertheless dismissed such continuity of command structures, logistical
organization, strategy and tactics as being as much matters of convenience as military
communications link for everyday use was established and maintained between VRS Main
Staff Headquarters and the VJ Main Staff in Belgrade .
Ibid., para. 602. On this point, the Trial Chamber noted, further, that:
given that the Federal Republic of Yugoslavia (Serbia and Montenegro) had taken responsibility for the
financing of the VRS, most of which consisted of former JNA soldiers and officers, it is a fact not to be
wondered at that such financing would not only include payments to soldiers and officers but that
FRY/VJ and VRS amounted to cooperation and coordination rather than overall control
suffered from having taken largely at face value those features which had been put in place
intentionally by Belgrade to make it seem as if their links with Pale were as partners acting
only in cooperation with each other. Such an approach is not only flawed in the
specific
circumstances of this case, but also potentially harmful in the generality of cases.
Undue
emphasis upon the ostensible structures and overt declarations of the belligerents, as
opposed to a nuanced analysis of the reality of their relationship, may tacitly suggest to
groups who are in de facto control of military forces that responsibility for the acts of such
forces can be evaded merely by resort to a superficial restructuring of such forces or by a
facile declaration that the reconstituted forces are henceforth independent of their erstwhile
sponsors.
Finally, it must be noted that the Trial Chamber found the various forms of assistance
provided to the armed forces of the Republika Srpska by the Government of the FRY to have
been crucial to the pursuit of their activities and that those forces were almost completely
195
dependent on the supplies of the VJ to carry out offensive operations.
Despite this finding, the Trial Chamber declined to make a finding of overall control. Much
was made of the lack of concrete evidence of specific instructions. Proof of effective
196
control was also held to be insufficient, on the grounds, once again, that the Trial
Chamber lacked explicit evidence of direct instructions having been issued from
existing administrative mechanisms for financing those soldiers and their operations would be
relied on after 19 May 1992. (ibid.).
Ibid.
See in this regard the testimony of the expert witness Dr. James Gow, transcript of hearing in The
Prosecutor v. Du{ko Tadi}, Case No.: IT-94-1-T, 10 May 1996, pp. 308-309; ibid., 13 May 1996, pp. 330-338.
It was deemed insufficient by the Trial Chamber that the VJ made use of the potential for control
inherent in that dependence, or was otherwise given effective control over those forces (ibid.;
emphasis added).
Case No.: -94-1-A 15 July 1999
69
197
Belgrade. However, this finding was based upon the Trial Chamber having applied the
wrong test.
As the Appeals Chamber has already pointed out, international law does not require
that the particular acts in question should be the subject of specific instructions or directives
by a foreign State to certain armed forces in order for these armed forces to be held to be
acting as de facto organs of that State. It follows that in the circumstances of the case it
was not necessary to show that those specific operations carried out by the Bosnian Serb
forces which were the object of the trial (the attacks on Kozarac and more generally within
optina Prijedor) had been specifically ordered or planned by the Yugoslav Army. It is
sufficient to show that this Army exercised overall control over the Bosnian Serb Forces.
This showing has been made by the Prosecution before the Trial Chamber. Such control
manifested itself not only in financial, logistical and other assistance and support, but also,
and more importantly, in terms of participation in the general direction, coordination and
supervision of the activities and operations of the VRS. This sort of control is sufficient for
the purposes of the legal criteria required by international law.
An ex post facto confirmation of the fact that over the years (and in any event
between 1992 and 1995) the FRY wielded general control over the Republika Srpska in the
political and military spheres can be found in the process of negotiation and conclusion of
the Dayton-Paris Accord of 1995. Of course, the conclusion of the Dayton-Paris Accord in
1995 cannot constitute direct proof of the nature of the link that existed between the
Bosnian Serb and FRY armies after May 1992 and hence it is by no means decisive as to
the issue of control in this period. Nevertheless, the Dayton-Paris Accord may be seen as
the culmination of a long process. This process necessitated a dialogue with all political and
military forces wielding actual power on the ground (whether de facto or de iure) and a
continuous response to the shifting military and political fortunes of these forces. The
political process leading up to Dayton commenced soon after the outbreak of hostilities and
was ongoing during the key period under examination. To the extent that its contours were
shaped by, and thus reflect, the actual power structures which persisted in Bosnia and
The Appeals Chamber will now turn to examine the specific features of the
Dayton Accord that are of relevance to this inquiry.
By an agreement concluded on 29 August 1995 between the FRY and the Republika
Srpska and referred to in the preamble of the Dayton-Paris Accord, it was provided that a
unified delegation would negotiate at Dayton. This delegation would consist of six persons,
three from the FRY and three from the Republika Srpska. The Delegation was to be chaired
See Report of the Co-Chairmen of the Steering Committee of the International Conference on the Former
Yugoslavia on the establishment and commencement of operations of an International Conference on the Former
Yugoslavia Mission to the Federal Republic of Yugoslavia (Serbia and Montenegro), S/1994/1074,
September 1996, p. 3, where it is noted that as of 4 August 1994, the Government of the Federal Republic
of Yugoslavia (Serbia and Montenegro) ordered, inter alia, the breaking off of political and economic relations
with the Republika Srpska and the closure of the border between the Republika Srpska and the FRY to all
transport towards the Republika Srpska, except food, clothing and medicine. International observers were
deployed to monitor compliance with these measures, and it was reported by the Co-Chairmen that the
Government of the FRY appeared to be meeting its commitment to close the border between the Federal
Republic of Yugoslavia (Serbia and Montenegro) and the areas of the Republic of Bosnia and Herzegovina
under the control of the Bosnian Serb forces. (Report of the Co-Chairmen of the Steering Committee of the
International Conference on the Former Yugoslavia on the state of implementation of the border closure
measures taken by the authorities of the Federal Republic of Yugoslavia (Serbia and Montenegro),
S/1994/1124, 3 October 1994, pp. 2-3).
As outlined below, this process culminated in the agreement of the Republika Srpska to be represented at
the Dayton conference by the FRY (below, at paragraph 159). This appears to have been in spite of intense
opposition, within the Republika Srpska, to the peace settlements proposed by the international community, as
is evidenced by the overwhelming rejection by the Bosnian Serbs of the international communitys
peace plan for Bosnia and Herzegovina in a referendum which took place in Bosnian Serb-held
territory on 27 28 August 1994 (See Report of the Secretary-General on the Work of the
th
Organization, UNGAOR, 49 sess., supp. no. 1 (A/49/1), 2 September 1994, p. 95).
and Herzegovina, Croatia and the FRY endorsed the various annexed Agreements and
undertook to respect and promote the fulfilment of their provisions, was signed by President
Milo{evi}. This signature had the effect of guaranteeing respect for these commitments by
the Republika Srpska. Furthermore, by a letter of 21 November 1995 addressed to
various
States (the United States, Russia, Germany, France and the United Kingdom), the FRY
pledged to take all necessary steps, consistent with the sovereignty, territorial integrity and
political independence of Bosnia and Herzegovina, to ensure that the Republika Srpska fully
respects and complies with the provisions of the Agreement on Military Aspects of the
201
Peace Settlement (Annex 1A to the Dayton-Paris Accord). In addition, the letter by
which the Republika Srpska undertook to comply with the aforementioned Agreement was
signed on 21 November 1995 by the Foreign Minister of the FRY, Mr. Milutinovi}, for the
202
Republika Srpska.
All this would seem to bear out the proposition that in actual fact, at least between
1992 and 1995, overall political and military authority over the Republika Srpska was held
by the FRY (control in this context included participation in the planning and supervision of
ongoing military operations). Indeed, the fact that it was the FRY that had the final say
regarding the undertaking of international commitments by the Republika Srpska, and in
addition pledged, at the end of the conflict, to ensure respect for those international
commitments by the Republika Srpska, confirms that (i) during the armed conflict the FRY
exercised control over that entity, and (ii) such control persisted until the end of the conflict.
This agreement stipulated that the delegation of the Republika Srpska was to be headed by the President
of the Republic of Serbia Mr. Slobodan Miloevic (Article 2). Pursuant to this agreement, the leadership of the
Republika Srpska agreed to adopt the binding decisions of the delegation, regarding the Peace Plan, in
plenary sessions, by simple majority. In the case of divided votes, the vote of the President, Mr.
Slobodan Miloevic, shall be decisive (Article 3). That Mr. Miloevic was head of the joint delegation
was confirmed by Mr. Miloevic himself in his letter of 21 November 1995 to President Izetbegovi}
concerning Annex 9 to the Dayton-Paris Accord. (Agreement on file with the International Tribunals
Library).
This letter had been signed by Mr. Milutinovic, Foreign Minister of the FRY, following a request of 20
November 1995 of the three members of the Delegation of Republika Srpska to Mr. Miloevic.
See the texts of the Dayton-Paris Accord (General Framework Agreement for Peace in Bosnia
and Herzegovina, initialled by the parties on 21 November 1995, U.N. Doc. A/50/790, S/1995/999,
30 November 1995).
This would therefore constitute yet another (albeit indirect) indication of the
subordinate role played vis--vis the FRY by the Republika Srpska and its officials
in the aforementioned period, including 1992.
The Appeals Chamber therefore concludes that, for the period material to this case
(1992), the armed forces of the Republika Srpska were to be regarded as acting under the
overall control of and on behalf of the FRY. Hence, even after 19 May 1992 the armed
conflict in Bosnia and Herzegovina between the Bosnian Serbs and the central authorities
of Bosnia and Herzegovina must be classified as an international armed conflict.
Having established that in the circumstances of the case the first of the two
requirements set out in Article 2 of the Statute for the grave breaches provisions to
be applicable, namely, that the armed conflict be international, was fulfilled, the
Appeals Chamber now turns to the second requirement, that is, whether the victims
of the alleged offences were protected persons.
The preparatory works of the Convention suggests an intent on the part of the drafters to extend its
application, inter alia , to persons having the nationality of a Party to the conflict who have been expelled by
that Party or who have fled abroad, acquiring the status of refugees. If these persons subsequently happen to
Thus already in 1949 the legal bond of nationality was not regarded as crucial and
allowance was made for special cases. In the aforementioned case of refugees, the lack of
both allegiance to a State and diplomatic protection by this State was regarded as more
205
important than the formal link of nationality. In the cases provided for in Article 4(2), in
addition to nationality, account was taken of the existence or non-existence of diplomatic
protection: nationals of a neutral State or a co-belligerent State are not treated as
protected persons unless they are deprived of or do not enjoy diplomatic protection. In
other words, those nationals are not protected persons as long as they benefit from the
normal diplomatic protection of their State; when they lose it or in any event do not enjoy it,
the Convention automatically grants them the status of protected persons.
This legal approach, hinging on substantial relations more than on formal bonds,
becomes all the more important in present-day international armed conflicts. While
previously wars were primarily between well-established States, in modern inter-ethnic
armed conflicts such as that in the former Yugoslavia, new States are often created during
the conflict and ethnicity rather than nationality may become the grounds for allegiance. Or,
put another way, ethnicity may become determinative of national allegiance. Under these
conditions, the requirement of nationality is even less adequate to define protected
find themselves on the territory of the other Party to the conflict occupied by their national State,
they nevertheless do not lose the status of protected persons (see Final Record of the Diplomatic
Conference of Geneva of 1949 , vol. II, pp. 561-562, 793-796, 813-814).
Party to the conflict and, correspondingly, control by this Party over persons in a given
territory, may be regarded as the crucial test.
Factual Findings
In the instant case the Bosnian Serbs, including the Appellant, arguably had the
same nationality as the victims, that is, they were nationals of Bosnia and Herzegovina.
However, it has been shown above that the Bosnian Serb forces acted as de facto
organs of another State, namely, the FRY. Thus the requirements set out in Article 4 of
Geneva Convention IV are met: the victims were protected persons as they found
themselves in the hands of armed forces of a State of which they were not nationals.
It might be argued that before 6 October 1992, when a Citizenship Act was passed
in Bosnia and Herzegovina, the nationals of the FRY had the same nationality as the
citizens of Bosnia and Herzegovina, namely the nationality of the Socialist Federal
Republic of Yugoslavia. Even assuming that this proposition is correct, the position would
not alter from a legal point of view. As the Appeals Chamber has stated above, Article 4 of
Geneva Convention IV, if interpreted in the light of its object and purpose, is directed to the
protection of civilians to the maximum extent possible. It therefore does not make its
applicability dependent on formal bonds and purely legal relations. Its primary purpose is to
ensure the safeguards afforded by the Convention to those civilians who do not enjoy the
diplomatic protection, and correlatively are not subject to the allegiance and control, of the
State in whose hands they may find themselves. In granting its protection, Article 4 intends
to look to the substance of relations, not to their legal characterisation as such.
Hence, even if in the circumstances of the case the perpetrators and the victims
were to be regarded as possessing the same nationality, Article 4 would still be applicable.
Indeed, the victims did not owe allegiance to (and did not receive the diplomatic protection
of) the State (the FRY) on whose behalf the Bosnian Serb armed forces had been fighting.
Conclusion
It follows from the above that the Trial Chamber erred in so far as it acquitted the
Appellant on the sole ground that the grave breaches regime of the Geneva
Conventions of 1949 did not apply.
The Appeals Chamber accordingly finds that the Appellant was guilty of grave
breaches of the Geneva Conventions on Counts 8, 9, 12, 15, 21 and 32.
The Trial Chamber, at page 132 para 373 [of the Judgement], erred when it decided that
it could not, on the evidence before it, be satisfied beyond reasonable doubt that the
accused had any part of the killing of the five men or any of them, from the village of
206
Jaski}i.
207
The Prosecution fully accepts the findings of fact of the Trial Chamber, but makes two
submissions. First, it submits that, on the basis of the said facts, the Trial Chamber has
misdirected itself on the application of the law on the standard of proof beyond reasonable
doubt. Secondly, it contends that in determining that the Prosecution did not meet the
burden of proof, the Trial Chamber misdirected itself on the application of the common
208
purpose doctrine.
In relation to the first error, the Prosecution submits that the only reasonable
209
conclusion to be drawn from the facts found by the Trial Chamber is that of guilt. The
test for proof beyond reasonable doubt is that the proof must be such as to exclude not
every hypothesis or possibility of innocence, but every fair or rational hypothesis which
210
may be derived from the evidence, except that of guilt. According to the Prosecution,
the Trial Chambers hypothesis that it was a distinct possibility that the killing of the five
211
victims may have been the act of a quite distinct group of armed men is not fair or
As to the second error, the Prosecution submits that the gist of the common purpose doctrine
is that if a person knowingly participates in a criminal activity with others, he or
she will be liable for all illegal acts that are natural and probable consequences of that
216
common purpose. The Trial Chamber found that the Appellants participation in the
attack on Sivci and Jaski}i was part of the armed conflict in the territory of Prijedor
municipality between May and December 1992. A central aspect of the attack was a policy
to rid the region of the non-Serb population by committing inhumane and violent acts
against them in order to achieve the creation of a Greater Serbia. According to the
Prosecution, the only conclusion reasonably open from all the evidence is that the killing of
the five victims was entirely predictable as part of the natural and probable consequences of
217
the attack on the villages of Sivci and Jaski}i on 14 June 1992. It is the Prosecutions
submission that this policy of ethnic cleansing was carried out throughout optina Prijedor
218
against non-Serbs by various illegal means, including killings. In this regard, the
Appellants actions and presence did directly and substantially assist that policy. It follows
that, regardless of which member or members of the Serb forces actually killed the five
219
victims, the Appellant should have been found guilty under Article 7(1) of the Statute.
The Defence submits that, in light of its finding that nobody was killed in Sivci on
June 1992, the Trial Chamber correctly found that it was a possibility that the five victims in
Jaski}i were killed by another, distinct group of armed men, especially as nothing
In relation to the Prosecutions common purpose submission, the Defence contends that it
would have to be shown that the common purpose in which the Appellant allegedly
222
took part included killing as opposed to ethnic cleansing by other means. On the basis of
the distinction between the operation in Jaski}i and the operation in Sivci where nobody was
killed, the Trial Chamber was correct in concluding that it was not possible to find beyond
reasonable doubt that the Appellant was involved in a criminal enterprise with the design of
223
killing.
Discussion
The Armed Group to Which the Appellant Belonged Committed the Killings
The Trial Chamber found, amongst other facts, that on 14 June 1992, the Appellant, with
other armed men, participated in the removal of men, who had been separated from women
and children, from the village of Sivci to the Keraterm camp, and also participated in the
calling-out of residents, the separation of men from women and children, and the
224
beating and taking away of men in the village of Jaski}i. It also found that five men were
225
killed in the latter village.
In support of its finding that there was no proof beyond reasonable doubt that the Appellant
had any part in the killing of the five men, the Trial Chamber stated:
The fact that there was no killing at Sivci could suggest that the killing of villagers was
not a planned part of this particular episode of ethnic cleansing of the two villages, in
In relation to the possibility that the killings may have been carried out by another armed
group, the Trial Chamber found the following. An armed group of men, including the
Appellant, entered Jaski}i. The group separated most of the men from the rest of the
villagers, beat and then forcibly removed the men to an unknown location. The Appellant
played an active role in the activities of this violent group. The group fired shots as they
approached and left the village.
It has already been pointed out that the Trial Chamber also found that five men were found
killed in Jaski}i after the armed group had left; four of them were shot in the head. Nothing
else as to who might have killed them or in what circumstances was known. The Trial
Chamber referred, however, to the large force of Serb soldiers, of which the Appellant was a
member, that invaded the nearby village of Sivci on the same day, without any villager there
being killed. It then stated that the:
bare possibility that the deaths of the Jaski}i villagers were the result of encountering a
part of that large force of Serb soldiers that invaded Sivci would be enough, in the state
of the evidence, or rather, the lack of it, relating to their deaths, to prevent satisfaction
227
beyond reasonable doubt that the accused was involved in those deaths.
The Trial Chamber did not allude to any witness suggesting that another group of armed
men might have been responsible for the killing of the five men. In fact, none of the
witnesses suggested anything to that effect.
In the light of the facts found by the Trial Chamber, the Appeals Chamber holds that, in
relation to the possibility that another armed group killed the five men, the Trial Chamber
misapplied the test of proof beyond reasonable doubt. On the facts found, the only
reasonable conclusion the Trial Chamber could have drawn is that the armed group to which
the Appellant belonged killed the five men in Jaski}i.
In the light of the above finding, the Appeals Chamber need not consider the second
possibility advanced by the Trial Chamber, namely, that the killing of the five men in
The question therefore arises whether under international criminal law the Appellant can be
held criminally responsible for the killing of the five men from Jaski}i even though there is
no evidence that he personally killed any of them. The two central issues are:
whether the acts of one person can give rise to the criminal culpability of another where
both participate in the execution of a common criminal plan; and
The basic assumption must be that in international law as much as in national systems, the
foundation of criminal responsibility is the principle of personal culpability: nobody may be
held criminally responsible for acts or transactions in which he has not
personally engaged or in some other way participated (nulla poena sine culpa). In national
228 229
legal systems this principle is laid down in Constitutions, in laws, or in judicial
230
decisions. In international criminal law the principle is laid down, inter alia, in Article
7(1) of the Statute of the International Tribunal which states that:
A person who planned, instigated, ordered, committed or otherwise aided and abetted in
the planning, preparation or execution of a crime referred to in Articles 2 to 5 of the
present Statute, shall be individually responsible for the crime. (emphasis added)
228
An example is provided by Article 27 para. 1 of the Italian Constitution ( La responsibilit penale
personale. (Criminal responsibility is personal.) (unofficial translation)).
See for instance Article 121-1 of the French Code pnal (Nul nest responsable pnalement que de son
propre fait ), para. 4 of the Austrian Strafgesetzbuch (Strafbar ist nur, wer schuldhaft handelt (Only he
who is culpable may be punished) (unofficial translation)).
This rather basic proposition is usually tacitly assumed rather than explicitly acknowledged. For an example of
where it was expressly stated, however, see, for Great Britain, R. v. Dalloway (1847) 3 Cox CC
See also the various decisions of the German Constitutional Court, e.g., BverfGE 6, 389 (439) and 50,
(133), as well as decisions of the German Federal Court of Justice (e.g., BGHSt 2, 194 (200)).
Article 7(1) also sets out the parameters of personal criminal responsibility under the
Statute. Any act falling under one of the five categories contained in the provision may
entail the criminal responsibility of the perpetrator or whoever has participated in the crime
in one of the ways specified in the same provision of the Statute.
Bearing in mind the preceding general propositions, it must be ascertained whether criminal
responsibility for participating in a common criminal purpose falls within the ambit of
Article 7(1) of the Statute.
This provision covers first and foremost the physical perpetration of a crime by the offender
himself, or the culpable omission of an act that was mandated by a rule of criminal law.
However, the commission of one of the crimes envisaged in Articles 2, 3, 4 or 5 of the
Statute might also occur through participation in the realisation of a common design or
purpose.
An interpretation of the Statute based on its object and purpose leads to the conclusion that
the Statute intends to extend the jurisdiction of the International Tribunal to
all those responsible for serious violations of international humanitarian law committed in
the former Yugoslavia (Article 1). As is apparent from the wording of both Article 7(1) and
the provisions setting forth the crimes over which the International Tribunal has jurisdiction
(Articles 2 to 5), such responsibility for serious violations of international humanitarian law
is not limited merely to those who actually carry out the actus reus of the enumerated crimes
but appears to extend also to other offenders (see in particular Article 2, which refers to
committing or ordering to be committed grave breaches of the Geneva Conventions and
Article 4 which sets forth various types of offences in relation to genocide, including
conspiracy, incitement, attempt and complicity).
Report of the Secretary-General Pursuant to Paragraph 2 of Security Council Resolution 808 (1993), U.N. Doc.
S/25704, 3 May 1993 (Report of the Secretary-General), para. 53 (emphasis added).
The Secretary-General believes that all persons who participate in the planning,
preparation or execution of serious violations of international humanitarian law in the
232
former Yugoslavia are individually responsible for such violations.
Thus, all those who have engaged in serious violations of international humanitarian law,
whatever the manner in which they may have perpetrated, or participated in the perpetration
of those violations, must be brought to justice. If this is so, it is fair to conclude that the
Statute does not confine itself to providing for jurisdiction over those persons who plan,
instigate, order, physically perpetrate a crime or otherwise aid and abet in its planning,
preparation or execution. The Statute does not stop there. It does not exclude those modes of
participating in the commission of crimes which occur where several persons having a
common purpose embark on criminal activity that is then carried out either jointly or by
some members of this plurality of persons. Whoever contributes to the commission of
crimes by the group of persons or some members of the group, in execution of a common
criminal purpose, may be held to be criminally liable, subject to certain conditions, which
are specified below.
The above interpretation is not only dictated by the object and purpose of the Statute but is
also warranted by the very nature of many international crimes which are committed most
commonly in wartime situations. Most of the time these crimes do not result from the
criminal propensity of single individuals but constitute manifestations of collective
criminality: the crimes are often carried out by groups of individuals acting in pursuance of
a common criminal design. Although only some members of the group may physically
perpetrate the criminal act (murder, extermination, wanton destruction of cities, towns or
villages, etc.), the participation and contribution of the other members of the group is often
vital in facilitating the commission of the offence in question. It follows that the moral
gravity of such participation is often no less or indeed no different from that of those
actually carrying out the acts in question.
Under these circumstances, to hold criminally liable as a perpetrator only the person who
materially performs the criminal act would disregard the role as co-perpetrators of all
This interpretation, based on the Statute and the inherent characteristics of many crimes
perpetrated in wartime, warrants the conclusion that international criminal responsibility
embraces actions perpetrated by a collectivity of persons in furtherance of a common
criminal design. It may also be noted that as will be mentioned below international
criminal rules on common purpose are substantially rooted in, and to a large extent reflect,
the position taken by many States of the world in their national legal systems.
However, the Tribunals Statute does not specify (either expressly or by implication) the
objective and subjective elements (actus reus and mens rea) of this category of collective
criminality. To identify these elements one must turn to customary international law.
Customary rules on this matter are discernible on the basis of various elements: chiefly case
law and a few instances of international legislation.
Many post-World War II cases concerning war crimes proceed upon the principle that when
two or more persons act together to further a common criminal purpose, offences
perpetrated by any of them may entail the criminal liability of all the members of the group.
Close scrutiny of the relevant case law shows that broadly speaking, the notion of common
purpose encompasses three distinct categories of collective criminality.
The first such category is represented by cases where all co-defendants, acting pursuant to a
common design, possess the same criminal intention; for instance, the formulation of a plan
among the co-perpetrators to kill, where, in effecting this common design (and even if each
co-perpetrator carries out a different role within it), they nevertheless all possess the intent
to kill. The objective and subjective prerequisites for imputing criminal responsibility to a
participant who did not, or cannot be proven to have, effected the killing are as follows: (i)
the accused must voluntarily participate in one aspect of the common design (for instance,
by inflicting non-fatal violence upon the victim, or by providing material assistance to or
facilitating the activities of his co-perpetrators); and (ii) the accused, even if not personally
effecting the killing, must nevertheless intend this result.
If Jepsen was joining in this voluntary slaughter of eighty or so people, helping the
others by doing his share of killing, the whole eighty odd deaths can be laid at his door
237
and at the door of any single man who was in any way assisting in that act.
Trial of Otto Sandrock and three others, British Military Court for the Trial of War Criminals, held at the Court
th th
House, Almelo, Holland, on 24 -26 November, 1945, UNWCC, vol. I, p. 35).
The accused were German non-commissioned officers who had executed a British prisoner of war and a Dutch
civilian in the house of whom the British airman was hiding. On the occasion of each execution one of the
Germans had fired the lethal shot, another had given the order and a third had remained by the car used to go
to a wood on the outskirts of the Dutch town of Almelo, to prevent people from coming near while the shooting
took place. The Prosecutor stated that the analogy which seemed to him most fitting in this case was that of a
gangster crime, every member of the gang being equally responsible with the man who fired the actual shot
(ibid., p. 37). In his summing up the Judge Advocate pointed out that:
There is no dispute, as I understand it, that all three Germans knew what they were doing and had
gone there for the very purpose of having this officer killed; and, as you know, if people are all present
together at the same time taking part in a common enterprise which is unlawful, each one in their (sic)
own way assisting the common purpose of all, they are all equally guilty in point of law (see official
transcript, Public Record Office, London, WO 235/8, p. 70; copy on file with the International Tribunals
Library; the report in the UNWCC, vol. I, p. 40 is slightly different).
All the accused were found guilty, but those who had ordered the shooting or carried out the shooting were
sentenced to death, whereas the others were sentenced to fifteen years imprisonment (ibid., p. 41).
Hoelzer et al., Canadian Military Court, Aurich, Germany, Record of Proceedings 25 March-6 April 1946, vol. I, pp.
341, 347, 349 (RCAF Binder 181.009 (D2474); copy on file with the International Tribunals Library).
Trial of Gustav Alfred Jepsen and others, Proceedings of a War Crimes Trial held at Luneberg, Germany
(13-23 August, 1946), judgement of 24 August 1946 (original transcripts in Public Record Office,
Kew, Richmond; on file with the International Tribunals Library).
Ibid., p. 241.
if several persons combine for an unlawful purpose or for a lawful purpose to be effected
by unlawful means, and one of them in carrying out that purpose, kills a man, it is murder
in all who are present [] provided that the death was caused by a member of the party
238
in the course of his endeavours to effect the common object of the assembly.
It can be noted that some cases appear broadly to link the notion of common purpose to that
239
of causation. In this regard, the Ponzano case, which concerned the killing of four British
prisoners of war in violation of the rules of warfare, can be mentioned. Here, the Judge
240
Advocate adopted the approach suggested by the Prosecutor, and stressed:
... the requirement that an accused, before he can be found guilty, must have been
concerned in the offence. To be concerned in the commission of a criminal offence
does not only mean that you are the person who in fact inflicted the fatal injury and
directly caused death, be it by shooting or by any other violent means; it also means an
indirect degree of participation . In other words, he must be the cog in the wheel of
events leading up to the result which in fact occurred. He can further that object not only
by giving orders for a criminal offence to be committed, but he can further that object by
241
a variety of other means .
Further on, the Judge Advocate submitted that while the defendants involvement in the
criminal acts must form a link in the chain of causation, it was not necessary that his
participation be a sine qua non, or that the offence would not have occurred but for his
242
participation. Consonant with the twin requirements of criminal responsibility under this
category, however, the Judge Advocate stressed the necessity of knowledge on the part of
243
the accused as to the intended purpose of the criminal enterprise.
th th
Trial of Franz Schonfeld and others, British Military Court, Essen, June 11 -26 , 1946, UNWCC, vol. XI, p. 68
(summing up of the Judge Advocate).
Trial of Feurstein and others, Proceedings of a War Crimes Trial held at Hamburg, Germany (4-24 August, 1948),
judgement of 24 August 1948 (original transcripts in Public Record Office, Kew, Richmond; on file with the
International Tribunals Library).
The Prosecutor had stated the following:
It is an opening principle of English law, and indeed of all law, that a man is responsible for his acts
and is taken to intend the natural and normal consequences of his acts and if these men set the
machinery in motion by which the four men were shot, then they are guilty of the crime of killing these
men. It does not it never has been essential for any one of these men to have taken those soldiers out
themselves and to have personally executed them or personally dispatched them. That is not at all
necessary; all that is necessary to make them responsible is that they set the machinery in motion which
ended in the volleys that killed the four men we are concerned with (ibid., p. 4).
Ibid., summing up of the Judge Advocate, p. 7.
In this regard, the Judge Advocate noted that: of course, it is quite possible that it the criminal offence might have
taken place in the absence of all these accused here, but that does not mean the same thing as
saying that the accused could not be a chain in the link of causation (ibid., pp. 7-8).
In particular, it was held that in order to be concerned in the commission of a criminal offence, it was
necessary to prove:
the elementary principle must be borne in mind that neither under Control Council Law
No. 10 nor under any known system of criminal law is guilt for murder confined to the
man who pulls the trigger or buries the corpse. In line with recognized principles
common to all civilized legal systems, paragraph 2 of Article II of Control Council Law
No. 10 specifies a number of types of connection with crime which are sufficient to
establish guilt. Thus, not only are principals guilty but also accessories, those who take a
consenting part in the commission of crime or are connected with plans or enterprises
involved in its commission, those who order or abet crime, and those who belong to an
organization or group engaged in the commission of crime. These provisions embody no
245
harsh or novel principles of criminal responsibility .
that when he did take part in it he knew the intended purpose of it. If any accused were to have given
an order for this execution, believing that it was a perfectly legal execution, that these four soldiers had
been sentenced to death by a properly constituted court and that therefore an order for the execution
was no more than an order to carry out the decision of the court, then that accused would not be guilty
because he would not have any guilty knowledge. But where a person was in fact concerned, and
he knew the intended purpose of these acts, then that accused is guilty of the offence in
the charge (ibid., p. 8).
The requisite knowledge of each participant, even if deducible only by implication, was also stressed in the
Stalag Luft III case, Trial of Max Ernst Friedrich Gustav Wielen and Others, Proceedings of the Military Court at
Hamburg, (1-3 July 1947) (original transcripts in Public Record Office, Kew, Richmond; on file with the
International Tribunals Library), which concerned the killing of fifty officers of the allied air force who had
escaped from the Stalag Luft III camp in Silesia. The Prosecutor in his opening remarks stressed that:
everybody, particularly every policeman of whatever sort it may be, knew quite well that there had
th
been a mass escape of prisoners of war on the 25 March 1944 such that every policeman knew
that prisoners of war were at large. I think that is important to remember, and particularly with regard to
some of the minor members of the Gestapo who are charged before you that is important to remember
because they may say they did not know who these people were. They may say they did not
know they were escaped prisoners of war but in fact they all knew (ibid., p. 276).
Furthermore, in two cases concerning an accuseds participation in the Kristallnacht riots, the Supreme Court
for the British zone stressed that it was not required that the accused knew about the rioting in the entire Reich.
It was sufficient that he was aware of the local action, that he approved it, and that he wanted it as his own
(unofficial translation). The fact that the accused participated consciously in the arbitrary measures directed
against the Jews was sufficient to hold him responsible for a crime against humanity (Case no. 66, Strafsenat.
Urteil vom 8 Februar 1949 gegen S. StS 120/48, p. 284-290, 286, vol. II). See also Case no. 17, vol. I, 94-98,
96, where the Supreme Court held that it was irrelevant that the scale of ill-treatment, deportation and
destruction that happened in other parts of the country on that night were not undertaken in this village. It
sufficed that the accused participated intentionally in the action and that he was not unaware of the fact that
the local action was a measure designed to instil terror which formed a part of the nation-wide persecution of
the Jews (unofficial translation).
244
The United States of America v. Otto Ohlenforf et al., Trials of War Criminals before the
Nuremberg Military Tribunals under Control Council Law No. 10, United States Government Printing
Office, Washington, 1951, vol. IV, p. 3.
The tribunal went on to say:
Even though these men Radetsky, Ruehl, Schubert and Graf were not in command, they cannot
escape the fact that they were members of Einsatz units whose express mission, well known to all the
members, was to carry out a large scale program of murder. Any member who assisted in enabling
these units to function, knowing what was afoot, is guilty of the crimes committed by the unit. The cook
in the galley of a pirate ship does not escape the yardarm merely because he himself does not
The second distinct category of cases is in many respects similar to that set forth above, and
embraces the so-called concentration camp cases. The notion of common purpose was
applied to instances where the offences charged were alleged to have been committed by
members of military or administrative units such as those running
concentration camps; i.e., by groups of persons acting pursuant to a concerted plan. Cases
248
illustrative of this category are Dachau Concentration Camp, decided by a United States
249
court sitting in Germany and Belsen, decided by a British military court sitting in
Germany. In these cases the accused held some position of authority within the hierarchy of
brandish a cutlass. The man who stands at the door of a bank and scans the environs may
appear to be the most peaceable of citizens, but if his purpose is to warn his robber
confederates inside the bank of the approach of the police, his guilt is clear enough. And if we
assume, for the purposes of argument, that the defendants such as Schubert and Graf have
succeeded in establishing that their role was an auxiliary one, they are still in no better
position than the cook or the robbers watchman (ibid., p. 373; emphasis added).
In this connection, the tribunal also addressed the contention that certain of the commanders did not
participate directly in the crimes committed, noting that:
with respect to the defendants such as Jost and Naumann, it is highly probable that these
defendants did not, at least very often, participate personally in executions. And it would indeed be
strange had they ?who were persons in authorityg done so. Far from being a defense or even a
circumstance in mitigation, the fact that ?these defendantsg did not personally shoot a great many
people, but rather devoted themselves to directing the over-all operations of the Einsatzgruppen, only
serves to establish their deeper responsibility for the crimes of the men under their command (ibid.).
See for instance the following decisions of the Italian Court of Cassation relating to crimes committed by militias or
forces of the Repubblica Sociale Italiana against Italian partisans or armed forces: Annalberti et al., 18 June 1949, in
Giustizia penale 1949, Part II, col. 732, no. 440; Rigardo et al. case, 6 July 1949, ibid., cols. 733 and 735, no. 443;
P.M. v. Castoldi, 11 July 1949, ibid., no. 444; Imolesi et al., 5 May 1949, ibid., col. 734, no. 445. See also Ballestra, 6
July 1949, ibid., cols. 732-733, no. 442.
See for instance the decision of 10 August 1948 of the German Supreme Court for the British Zone in K. and A., in
Entscheidungen des Obersten Gerichtshofes fr die Britische Zone in Strafsachen , vol. I, pp. 53-56; the decision of
22 February 1949 in J. and A., ibid., pp. 310-315; the decision of the District Court (Landgericht) of Cologne of 22 and
23 January 1946 in Hessmer et al., in Justiz und NS-Verbrechen, vol. I, pp. 13-23, at pp. 13, 20; the decision of 21
December 1946 of the District Court (Landgericht) of Frankfurt am Main in M. et al. (ibid., pp. 135-165, 154) and the
judgement of the Court of Appeal (Oberlandesgericht ) of 12 August 1947 in the same case (ibid., pp. 166-186, 180);
as well as the decision of the District Court of Braunschweig of 7 May 1947 in Affeldt, ibid., p. 383-391, 389.
Trial of Martin Gottfried Weiss and thirty-nine others, General Military Government Court of the United States
th th
Zone, Dachau, Germany, 15 November-13 December, 1945, UNWCC, vol. XI, p. 5.
th th
Trial of Josef Kramer and 44 others, British Military Court, Luneberg, 17 September-17 November,
1945, UNWCC, vol. II, p. 1.
This category of cases (which obviously is not applicable to the facts of the present case) is
really a variant of the first category, considered above. The accused, when they were found
guilty, were regarded as co-perpetrators of the crimes of ill-treatment, because of their
objective position of authority within the concentration camp system and because
253
they had the power to look after the inmates and make their life satisfactory but failed
254
to do so. It would seem that in these cases the required actus reus was the active
The third category concerns cases involving a common design to pursue one course of
conduct where one of the perpetrators commits an act which, while outside the common
design, was nevertheless a natural and foreseeable consequence of the effecting of that
common purpose. An example of this would be a common, shared intention on the part of a
group to forcibly remove members of one ethnicity from their town, village or region (to
effect ethnic cleansing) with the consequence that, in the course of doing so, one or more
of the victims is shot and killed. While murder may not have been explicitly acknowledged
to be part of the common design, it was nevertheless foreseeable that the forcible removal of
civilians at gunpoint might well result in the deaths of one or more of those civilians.
Criminal responsibility may be imputed to all participants within the common enterprise
where the risk of death occurring was both a predictable consequence of the execution of the
common design and the accused was either reckless or indifferent to that risk. Another
example is that of a common plan to forcibly evict civilians belonging to a particular ethnic
group by burning their houses; if some of the participants in the plan, in carrying out this
regime, then the court would treat him as an aider and abettor because he lacked the specific intent
to want the offence as his own (see in particular the Bundesgerichtshof in Justiz und NS-
Verbrechen, vol. XXI, pp. 838 ff., and especially pp. 881 ff). The BGH stated, p. 882:
The view that everybody who had been involved in the destruction program of the KZ Auschwitz and
acted in any manner whatsoever in connection with this program participated in the murders and is
responsible for all that happened is not correct. It would mean that even acts which did not further the
main offence in any concrete manner would be punishable. In consequence even the physician who was
in charge of taking care of the guard personnel and who restricted himself to doing only that, would be
guilty of aiding and abetting murder. The same would even apply to the doctor who treated prisoners in
the camp and saved their lives. Not even those who in their place put little obstacles in the
The case-law in this category has concerned first of all cases of mob violence, that is,
situations of disorder where multiple offenders act out a common purpose, where each of
them commit offences against the victim, but where it is unknown or impossible to ascertain
exactly which acts were carried out by which perpetrator, or when the causal link between
each act and the eventual harm caused to the victims is similarly indeterminate. Cases
illustrative of this category are Essen Lynching and Borkum Island.
As is set forth in more detail below, the requirements which are established by these
authorities are two-fold: that of a criminal intention to participate in a common criminal
design and the foreseeability that criminal acts other than those envisaged in the common
criminal design are likely to be committed by other participants in the common design.
The Essen Lynching (also called Essen West) case was brought before a British military court,
255
although, as was stated by the court, it was not a trial under English law.
Given the importance of this case, it is worth reviewing it at some length. Three British
prisoners of war had been lynched by a mob of Germans in the town of Essen-West on 13
December 1944. Seven persons (two servicemen and five civilians) were charged with
committing a war crime in that they were concerned in the killing of the three prisoners of
war. They included a German captain, Heyer, who had placed the three British airmen under
the escort of a German soldier who was to take the prisoners to a Luftwaffe unit for
interrogation. While the escort with the prisoners was leaving, the captain had ordered that
the escort should not interfere if German civilians should molest the prisoners, adding that
they ought to be shot, or would be shot. This order had been given to the escort from the
steps of the barracks in a loud voice so that the crowd, which had gathered, could hear and
would know exactly what was going to take place. According to the summary given by the
United Nations War Crimes Commission:
way of this program of murder, albeit in a subordinate position and without success, would
escape punishment. That cannot be right. (unofficial translation).
th th
Trial of Erich Heyer and six others, British Military Court for the Trial of War Criminals, Essen, 18 -19 and
st nd
21 -22 December, 1945, UNWCC, vol. I, p. 88, at p. 91.
The Defence laid stress on the need to prove that each of the accused had the intent to kill.
The Prosecution took a contrary view. Major Tayleur, the Prosecutor, stated the following:
My friend the Defence Counsel has spoken to you about the intent which is necessary
and he says that no evidence of intent to kill has been brought before you. In my
submission there has been considerable evidence of intent to kill; but even if there were
not, in my submission to prove this charge you do not have to prove an intent to kill . If
you prove an intent to kill you would prove murder; but you can have an unlawful
killing, which would be manslaughter, where there is not an intent to kill but merely the
doing of an unlawful act of violence. A person might slap anothers face with no intent to
kill at all but if through some misfortune, for example that person having a weak skull,
that person died, in my submission the person striking the blow would be guilty of
manslaughter and that would be such killing as would come within the words of this
charge. In my submission therefore what you have to be satisfied of and the onus of
proof is of course on the prosecution is that each and everyone of the accused, before
you can convict him, was concerned in the killing of these three unidentified airmen in
circumstances which the British law would have amounted to either murder or
257
manslaughter.
the allegation of the prosecution is that every person who, following the incitement to the
crowd to murder these men, voluntarily took aggressive action against any one of these
three airmen is guilty in that he is concerned in the killing. It is impossible to separate
any one of these from another; they all make up what is known as lynching. In my
submission from the moment they left those barracks those men were doomed and the
crowd knew they were doomed and every person in that crowd who struck a blow is both
258
morally and criminally responsible for the deaths of those three men.
Since Heyer was convicted, it may be assumed that the court accepted the Prosecution
arguments as to the criminal liability of Heyer (no Judge Advocate had been appointed in
this case). As for the soldier escorting the airmen, he had a duty not only to prevent the
prisoners from escaping but also of seeing that they were not molested; he was sentenced to
imprisonment for five years (even though the Prosecutor had suggested that he was not
criminally liable). According to the Report of the United Nations War Crimes Commission,
Ibid., p. 89.
See transcript in Public Record Office, London, WO 235/58, p. 65 (emphasis added; copy on file with the International
Tribunals Library).
Ibid., p. 66 (emphasis added).
It would seem warranted to infer from the arguments of the parties and the verdict that the
court upheld the notion that all the accused who were found guilty took part, in various
degrees, in the killing; not all of them intended to kill but all intended to participate in the
unlawful ill-treatment of the prisoners of war. Nevertheless they were all found guilty of
murder, because they were all concerned in the killing. The inference seems therefore
justified that the court assumed that the convicted persons who simply struck a blow or
implicitly incited the murder could have foreseen that others would kill the prisoners; hence
260
they too were found guilty of murder.
A similar position was taken by a United States military court in Kurt Goebell et al.
(also called the Borkum Island case). On 4 August 1944, a United States Flying Fortress was
forced down on the German island of Borkum. Its seven crew members were taken prisoner
and then forced to march, under military guard, through the streets of Borkum. They were
first made to pass between members of the Reichs Labour Corps, who beat them with
shovels, upon the order of a German officer of the Reichsarbeitsdienst. They were then
struck by civilians on the street. Later on, while passing through another street, the mayor of
Borkum shouted at them inciting the mob to kill them like dogs. They were
UNWCC, vol. 1, p. 91. In addition to Heyer and the escort (Koenen), three civilians were also convicted. The first of
the accused civilians, Boddenberg, admitted to have struck one of the airmen on the bridge, after one of them had
already been thrown over the bridge, knowing that the motives of the crowd against them
the airmen were deadly, and yet he joined in (Transcript in Public Record Office, London, WO 235/58, p. 67;
copy on file with International Tribunals Library); the second, Kaufer, was found to have beaten the airmen
and taken an active part in the mob violence against them. Additionally, it was alleged that he tried to pull the
rifle away from a subordinate officer to shoot the airmen below the bridge and that he called out words to the
effect that the airmen deserved to be shot (ibid., pp. 67-68). The third, Braschoss, was seen hitting one of the
airmen on the bridge, descending beneath the bridge to throw the airman, who was still alive, into the stream.
He and an accomplice were further alleged to have thrown another of the airmen from the bridge (ibid., p. 68).
Two of the accused civilians, Sambol and Hartung, were acquitted; the former because the blows he was
alleged to have inflicted were neither particularly severe nor proximate to the airmens death (comprising one of
the earliest to be inflicted) and the latter because it was not proved beyond reasonable doubt that he actually
took part in the affray (ibid., pp. 66-67, UNWCC, vol. I, p. 91).
260
The charge, in a strict legal sense, was the commission of a war crime in violation of the laws and usages of war
for being concerned in the killing of the airmen rather than murder as this was not a trial under English law (ibid., at
p. 91). For all intents and purposes, however, the charge appeared to be treated as a murder charge, as it appeared to
have been accepted in the course of the proceedings that as long as everyone realised
It is important, as I see it, to determine the guilt of each of these accused in the light of
the particular role that each one played. They did not all participate in exactly the same
manner. Members of mobs seldom do. One will undertake one special or particular
action and another will perform another particular action. It is the composite of the
actions of all that results in the commission of the crime. Now, all legal authorities agree
that where a common design of a mob exists and the mob has carried out its purpose,
then no distinction can be drawn between the finger man and the trigger man (sic). No
distinction is drawn between the one who, by his acts, caused the victims to be subjected
to the pleasure of the mob or the one who incited the mob, or the ones who dealt the fatal
blows. This rule of law and common sense must, of necessity, be so. Otherwise, many of
the true instigators of crime would never be punished.
Who can tell which particular act was the most responsible for the final shooting of these
flyers? Can it not be truly said that any one of the acts of any one of these accused may
have been the very act that produced the ultimate result? Although the ultimate act might
have been something in which the former actor did not directly participate , every time
a member of a mob takes any action that is inclined to encourage, that is inclined to give
heart to someone else who is present, to participate, then that person has lent his aid to
262
the accomplishment of the final result.
In short, noted the Prosecutor, the accused were cogs in the wheel of common design, all
equally important, each cog doing the part assigned to it. And the wheel of wholesale
263
murder could not turn without all the cogs. As a consequence, according to the
Prosecutor, if it were proved beyond a reasonable doubt that each one of these accused
what was meant by the word 'murder for the purposes of this trial, there was ?nog difficulty
(ibid., pp. 91-92).
261
See Charge Sheet, in U.S. National Archives Microfilm Publications, I (on file with the
International Tribunals Library).
Ibid., p. 1186 (emphasis added). See also p. 1187.
Ibid., p. 1188. See, further note 240 and accompanying text, with regard to the comments made regarding causation
in the Ponzano case.
It bears emphasising that by taking the approach just summarised, the Prosecutor
substantially propounded a doctrine of common purpose which presupposes that all the
participants in the common purpose shared the same criminal intent, namely, to commit
murder. In other words, the Prosecutor adhered to the doctrine of common purpose
mentioned above with regard to the first category of cases. It is interesting to note that the
various defence counsel denied the applicability of this common design doctrine, not,
however, on principle, but merely on the facts of the case. For instance, some denied the
existence of a criminal intent to participate in the common design, claiming that mere
265
presence was not sufficient for the determination of the intent to take part in the killings.
Other defence counsel claimed that there was no evidence that there was a conspiracy
266
among the German officers, or they argued that, if there had been such a plot, it did not
267
involve the killing of the airmen.
In this case too, no Judge Advocate stated the law. However, it may be fairly assumed that in
the event, the court upheld the common design doctrine, but in a different
268
form, for it found some defendants guilty of both the killing and assault charges while
269
others were only found guilty of assault.
It may be inferred from this case that all the accused found guilty were held responsible for
pursuing a criminal common design, the intent being to assault the prisoners of war.
However, some of them were also found guilty of murder, even where there was no
evidence that they had actually killed the prisoners. Presumably, this was on the basis that
the accused, whether by virtue of their status, role or conduct, were in a position to have
predicted that the assault would lead to the killing of the victims by some of those
participating in the assault.
In DOttavio et al., on appeal from the Assize Court of Teramo, the Court of Cassation on 12
March 1947 pronounced upon one of these cases. Some armed civilians had given unlawful
pursuit to two prisoners of war who had escaped from a concentration camp, in order to
capture them. One member of the group had shot at the prisoners without intending to kill
them, but one had been wounded and had subsequently died as a result. The trial court held
that all the other members of the group were accountable not only for illegal restraint
(sequestro di persona) but also for manslaughter (omicidio preterintenzionale). The Court of
Cassation upheld this finding. It held that for this type of criminal liability to arise, it was
necessary that there exist not only a material but also a psychological causal nexus
between the result all the members of the group intended to bring about and the different
actions carried out by an individual member of that group. The court went on to point out
that:
See handwritten text of the (unpublished) judgement, p. 6 (unofficial translation; kindly provided by the
Italian Public Record Office, Rome; on file with the International Tribunals Library). See also Giustizia
penale, 1948, Part II, col. 66, no. 71 (containing a headnote on the judgement).
[t]here existed a nexus of material causality, as all the participants had directly cooperated
in the crime of attempted illegal restraint [] by surrounding and pursuing two prisoners
of war on the run, armed with a gun and a rifle, with a view to illegally capturing them.
This crime was the indirect cause of a subsequent and different event, namely the shooting
(by dOttavio alone) at one of the fugitives, resulting in wounding followed by death.
Furthermore, there existed psychological causality, as all the participants had the intent to
perpetrate and knowledge of the actual perpetration of an attempted illegal restraint, and
foresaw the possible commission of a different crime . This foresight (previsione)
necessarily followed from the use of weapons: it being predictable (dovendo prevedersi)
that one of the participants might shoot at the fugitives to attain the common purpose (lo
271
scopo comune) of capturing them.
In another case (Aratano et al.) the Court of Cassation dealt with the following
circumstances: a group of RSI militiamen had planned to arrest some partisans, without
intending to kill them; however, to frighten the partisans, one of the militiamen fired a few
shots into the air. As a result the partisans shot back; a shoot-out ensued and in the event one
of the partisans was killed by a member of the RSI militia. The court held that the trial court
had erred in convicting all members of the militia of murder. In its view, as the trial court
had found that the militiamen had not intended to kill the partisans:
[I]t was clear that [the murder of one of the partisans] was an unintended event ( evento non voluto )
and consequently could not be attributed to all the participants: the crime committed was more
serious than that intended and it proves necessary to resort to categories other than that of voluntary
homicide. This Supreme Court has already had the opportunity to state the same principle, where it
noted that in order to find a person responsible for a homicide perpetrated in the course of a mopping-
up operation carried out by many persons, it was necessary to establish that, in participating in this
operation, a voluntary activity also concerning homicide had been brought into being (fosse
stata spiegata unattivit volontaria in relazione anche allomicidio) (judgement of 27 August 1947
272
in re: Beraschi).
Other cases relate to the applicability of the amnesty law passed by the Presidential Decree
of 22 June 1946 no. 4. The amnesty applied among other things to crimes of collaboration
with the occupying Germans but excluded offences involving murder. In
Tossani the question was whether the law on amnesty covered a person who had taken part
in a mopping-up operation against civilians in the course of which a German soldier had
killed a partisan. The Court of Cassation found that the amnesty should apply. It emphasised
that the appellant participating in the operation had not taken any active part in it and did not
carry weapons; in addition, the killing was found to have been an exceptional and
See handwritten text of the (unpublished) judgement, pp. 6-7 (unofficial translation; emphasis added).
See handwritten text of the (unpublished) judgement, pp. 13-14 (kindly provided by the Italian Public
Record Office, Rome; on file with the International Tribunals Library). For a headnote on this case
see Archivio penale, 1949, p. 472.
In these cases courts indisputably applied the notion that a person may be held criminally
responsible for a crime committed by another member of a group and not envisaged in the
criminal plan. Admittedly, in some of the cases the mens rea required for a member of the
group to be held responsible for such an action was not clearly spelled out. However, in
light of other judgements handed down in the same period on the same matter, although not
relating to war crimes, it may nevertheless be assumed that courts required that the event
must have been predictable. In this connection it suffices to mention the judgement of the
Court of Cassation of 20 July 1949 in Mannelli, where the court explained the required
causal nexus as follows:
The relationship of material causality by virtue of which the law makes some of the
participants liable for the crime other than that envisaged, must be correctly understood from
the viewpoint of logic and law and be strictly differentiated from an incidental relationship
(rapporto di occasionalita). Indeed, the cause, whether immediate or mediate, direct or
indirect, simultaneous or successive, can never be confused with mere coincidence. For there
to be a relationship of material causality between the crime willed by one of the participants
and the different crime committed by another, it is necessary that the latter crime should
constitute the logical and predictable development of the former (il logico e prevedibile
sviluppo del primo ). Instead, where there exists full independence between the two crimes,
one may find, depending upon the specific circumstances, a merely incidental relationship (un
rapporto di mera occasionalita), but not a causal relationship. In the light of these criteria, he
who requests somebody else to wound or kill cannot answer for a robbery perpetrated by the
other person, for this crime does not constitute the logical development of
Judgement of 12 September 1946, in Archivio penale, 1947, Part II, pp. 88-89.
Judgement of 25 July 1946, in Archivio penale, 1947, Part II, p. 88.
See handwritten text of the (unpublished) judgement of 5 July 1946, p. 19 (kindly provided by the Italian Public Record
Office, Rome; on file with the International Tribunals Library). See also Giustizia penale, 1945-46, Part II, cols. 530-
532.
For cases where the Court of Cassation concluded that the participant was guilty of the more
serious crime not envisaged in the common criminal design, see Torrazzini, judgement of 18 August
1946, in Archivio penale 1947, Part II, p. 89; Palmia, judgement of 20 September 1946, ibid.
The same notion was enunciated by the same Court of Cassation in many other
277
cases. That this was the basic notion upheld by the court seems to be borne out by the
fact that the one instance where the same court adopted a different approach is somewhat
278
conspicuous. Accordingly, it would seem that, with regard to the mens rea element
required for the criminal responsibility of a person for acts committed within a common
purpose but not envisaged in the criminal design, that court either applied the notion of an
attenuated form of intent (dolus eventualis) or required a high degree of carelessness
(culpa).
In sum, the Appeals Chamber holds the view that the notion of common design as a form of
accomplice liability is firmly established in customary international law and in addition is
upheld, albeit implicitly, in the Statute of the International Tribunal. As for the objective and
subjective elements of the crime, the case law shows that the notion has been applied to
three distinct categories of cases. First, in cases of co-perpetration, where all participants in
the common design possess the same criminal intent to commit a crime (and one or more of
them actually perpetrate the crime, with intent). Secondly, in the so-called concentration
camp cases, where the requisite mens rea comprises knowledge of the nature of the system
of ill-treatment and intent to further the common design of ill-treatment. Such intent may be
proved either directly or as a matter of inference from the nature of the accuseds authority
within the camp or organisational hierarchy. With regard to the third category of cases, it is
appropriate to apply the notion of common purpose only where the following
requirements concerning mens rea are fulfilled: (i) the intention to
See Giustizia penale, 1950, Part II, cols. 696-697 (emphasis added).
See e.g. Court of Cassation, 15 March 1948, Peveri case, in Archivio penale, 1948, pp. 431-432; Court of Cassation,
20 July 1949, Mannelli case, in Giustizia penale, 1949, Part II, col. 906, no.599; Court of Cassation, 27 October 1949,
P.M. v. Minaf, in Giustizia penale, 1950, Part II, col. 252, no. 202; 24 February 1950, Montagnino, ibid., col.821; 19
April 1950, Solesio et al., ibid., col. 822. By contrast, in a judgement of
October 1946 the same Court of Cassation, in Minap et al., held that it was immaterial that the
participant in a crime had or had not foreseen the criminal conduct carried out by another member of
the criminal group (Giustizia penale, 1947, Part II, col. 483, no. 382).
In the Antonini case (judgement of the Court of Cassation of 29 March 1949), the trial court had found the accused
guilty not only of illegally arresting some civilians but also of their subsequent shooting by the Germans, as a reprisal
for an attack on German troops in Via Rasella, in Rome. According to the trial court the accused, in arresting the
civilians, had not intended to bring about their killing, but knew that he thus brought into being a situation likely to lead
to their killing. The Court of Cassation reversed this finding,
In addition to the aforementioned case law, the notion of common plan has been upheld in at
least two international treaties. The first of these is the International Convention for the
Suppression of Terrorist Bombing, adopted by consensus by the United Nations General
Assembly through resolution 52/164 of 15 December 1997 and opened for signature on 9
January 1998. Pursuant to Article 2(3)(c) of the Convention, offences envisaged in the
Convention may be committed by any person who:
[i]n any other way other than participating as an accomplice, or organising or directing
others to commit an offence contributes to the commission of one or more offences as
set forth in paragraphs 1 or 2 of the present article by a group of persons acting with a
common purpose; such contribution shall be intentional and either be made with the aim
of furthering the general criminal activity or purpose of the group or be made in the
knowledge of the intention of the group to commit the offence or offences concerned.
The negotiating process does not shed any light on the reasons behind the adoption of this
279
text. This Convention would seem to be significant because it upholds the notion of a
holding that for the accused to be found guilty, it was necessary that he had not only foreseen but
also willed the killing (see text of the judgement in Giustizia penale, 1949, Part II, cols. 740-742).
The Report of the Sixth Committee (25 November 1997, A/52/653) and the Official Records of the General Assembly
session in which this Convention was adopted made scant reference to Article 2 and did not
nd nd
elaborate upon the doctrine of common purpose (see UNGAOR, 72 plenary meeting, 52 sess., Mon.
rd
15 December 1997, U.N. Doc. A/52/PV.72). The Japanese delegate during the 33 meeting of the Sixth
Committee nevertheless noted that some terms used ?in the Conventiong such as such contribution
rd
(Article 2, para. 3(c)) were ambiguous (33 Meeting of the Sixth Committee, 2 December 1997, UNGAOR
A/C.6/52/SR.33, p. 8, para. 77). He concluded that his Government would therefore interpret 'such
contribution to mean abetment, assistance or other similar acts as defined by Japanese legislation (ibid).
In accordance with this Statute, a person shall be criminally responsible and liable for
punishment for a crime within the jurisdiction of the Court if that person
(d) In any other way other than aiding and abetting or otherwise assisting in the
commission or attempted commission of a crime contributes to the commission or
attempted commission of such a crime by a group of persons acting with a common
purpose. Such contribution shall be intentional and shall either:
Be made with the aim of furthering the criminal activity or criminal purpose of
the group, where such activity or purpose involves the commission of a crime within the
jurisdiction of the Court; or
Be made in the knowledge of the intention of the group to commit the crime.
The legal weight to be currently attributed to the provisions of the Rome Statute has been
281
correctly set out by Trial Chamber II in Furund`ija. There the Trial Chamber pointed out
that the Statute is still a non-binding international treaty, for it has not yet entered into force.
Nevertheless, it already possesses significant legal value. The Statute was adopted by an
overwhelming majority of the States attending the Rome Diplomatic Conference and was
substantially endorsed by the Sixth Committee of the United Nations General Assembly.
This shows that that text is supported by a great number of States and may be taken to
express the legal position i.e. opinio iuris of those States. This is consistent
See also Report of the Ad Hoc Committee established by General Assembly resolution 51/210 of 17
nd th
December 1996, UNGAOR, 52 sess., 37 supp., A/52/37.
Rome Statute of the International Criminal Court, U.N. Doc. A/CONF.183/9, 17 July 1998.
Judgement, Prosecutor v. Anto Furundija, Case No.: IT-95-17/1-T, Trial Chamber II, 10 December
1998, para. 227.
As pointed out above, the doctrine of acting in pursuance of a common purpose is rooted in
the national law of many States. Some countries act upon the principle that where multiple
persons participate in a common purpose or common design, all are responsible for the
ensuing criminal conduct, whatever their degree or form of participation, provided all had
the intent to perpetrate the crime envisaged in the common purpose. If one of the
participants commits a crime not envisaged in the common purpose or common
design, he alone will incur criminal responsibility for such a crime. These countries
283 284
include Germany and the Netherlands. Other countries also uphold the principle
whereby if persons take part in a common plan or common design to commit a crime, all of
them are criminally responsible for the crime, whatever the role played by each of them.
However, in these countries, if one of the persons taking part in a common criminal plan or
enterprise perpetrates another offence that was outside the common plan but nevertheless
foreseeable, those persons are all fully liable for that offence. These countries include civil
285 286
law systems, such as that of France and Italy.
Even should it be argued that the objective and subjective elements of the crime, laid down in Article 25 (3) of the Rome Statute
differ to some extent from those required by the case law cited above, the consequences of this departure may only be appreciable
in the long run, once the Court is established. This is due to the inapplicability to Article 25(3) of Article 10 of the Statute, which
provides that ?ngothing in this Part shall be interpreted as limiting or prejudicing in any way existing or developing
rules of international law for purposes other than this Statute. This provision does not embrace Article 25, as this
Article appears in Part 2 of the Statute, whereas Article 25 is included in Part 3.
See Para. 25(2) of the Strafgesetzbuch: Begehen mehrere die Straftat gemeinschaftlich, so wird jeder als Tter
bestraft (Mittter). (If several persons commit a crime as co-perpetrators, each is liable to punishment as a principal
perpetrator. (unofficial translation)). The German case law has clearly established the principle whereby if an offence
is perpetrated that had not been envisaged in the common criminal plan, only the author of this offence is criminally
responsible for it. See BGH GA 85, 270. According to the German Federal Court (in BGH GA 85, 270):
Mittterschaft ist anzunehmen, wenn und soweit das Zusammenwirken der mehreren Beteiligten auf
gegenseitigem Einverstndnis beruht, whrend jede rechtsverletzende Handlung eines Mittters, die
ber dieses Einverstndnis hinausgeht, nur diesem allein zuzurechnen ist. (There is co-perpetration
(Mittterschaft) when and to the extent that the joint action of the several participants is founded on a
reciprocal agreement (Einverstndnis), whereas any criminal action of a participant (Mittter) going
beyond this agreement can only be attributed to that participant. (unofficial translation)).
In the Netherlands, the term designated for this form of criminal liability is medeplegen. (See HR 6
December 1943, NJ 1944, 245; HR 17 May 1943, NJ 1943, 576; and HR 6 April 1925, NJ 1925 , 723, W
11393).
See Article 121-7 of the Code pnal, which reads:
Est complice dun crime ou dun dlit la personne qui sciemment, par aide ou assistance, en a facilit la
prparation ou la consommation. Est galement complice la personne qui par don, promesse, menace,
ordre, abus dautorit ou de pouvoir aura provoqu une infraction ou donn des instructions pour la
commettre. (Any person who knowingly has assisted in planning or committing a crime or
offence, whether by aiding or abetting, is party to it. Furthermore, any person who offers gifts, makes
promises, gives orders or abuses his position of authority or power to instigate a criminal act or gives
instructions for its commission is equally party to it. (unofficial translation)).
In addition to responsibility for crimes committed by more persons, the Court of Cassation has envisaged
criminal responsibility for acts committed by an accomplice going beyond the criminal plan. In this connection
the Court has distinguished between crimes bearing no relationship to the crime envisaged (e.g. a person
hands a gun to an accomplice in the context of a hold-up, but the accomplice uses the gun to kill one of his
relatives), and crimes where the conduct bears some relationship to the planned crime (e.g. theft is carried out
in the form of robbery). In the former category of cases French case law does not hold the person concerned
responsible, while in the latter it does, under certain conditions (as held in a judgement of 31 December 1947,
Bulletin des arrts criminels de la Cour de Cassation 1947, no. 270, the accomplice devait prvoir toutes les
qualifications dont le fait tait susceptible, toutes les circonstances dont il pouvait tre accompagn (should
expect to be charged on all counts that the law allows for and all consequences that might result from the
crime (unofficial translation)). See also the decision of 19 June 1984, Bulletin, ibid., 1984, no. 231.
The principles of common purpose are delineated, in substance, in the following provisions of the Codice
Penale:
Article 110: Pena per coloro che concorrono nel reato.- Quando pi persone concorrono nel medesimo
reato, ciascuna di esse soggiace alla pena per questo stabilit, salve le disposizioni degli articoli
seguenti. (Penalties for those who take part in a crime.- Where multiple persons participate in the
same crime, each of them is liable to the penalty established for that crime, subject to the provisions of
the following Articles. (unofficial translation)); and
Article 116: Reato diverso da quello voluto da taluno dei concorrenti.- Qualora il reato commesso sia
diverso da quello voluto da taluno dei concorrenti, anche questi ne risponde, se levento e conseguenza
della sua azione od omissione. (Crimes other than that intended by some of the participants.- Where
the crime committed is different from that intended by one of the participants, he too shall answer for
that crime if the event is a consequence of his act or omission. (unofficial translation)).
It should be noted that Italian courts have increasingly interpreted Article 116 as providing for criminal
responsibility in cases of foreseeability. See in particular the judgement of the Constitutional Court of 13 May
1965, no. 42, Archivio Penale 1965, part II, pp. 430 ff. In some cases courts require so-called abstract
foreseeability (prevedibilit astratta ) (see e.g., instance, Court of Cassation, 3 March 1978, Cassazione
penale, 1980, pp. 45 ff; Court of Cassation, 4 March 1988, Cassazione penale, 1990, pp. 35 ff); others require
concrete (or specific) foreseeability (prevedibilit concreta ) (see e.g., Court of Cassation, 11 October 1985,
Rivista penale, 1986, p. 421; and Court of Cassation, 18 February 1998, Rivista penale, 1988, p. 1200).
See R. v. Hyde ?1991g 1 QB 134; R. v. Anderson; R. v. Morris 1966 2 QB 110, in which Lord Parker CJ held that
where two persons embark on a joint enterprise, each is liable for the acts done in pursuance of that joint enterprise,
than that includes liability for unusual consequences if they arise from the execution of the agreed joint enterprise.
However, liability for such unusual consequences is limited to those offences that the accused foresaw that the
principal might commit as a possible incident of the common unlawful enterprise, and further, the accused, with such
foresight, must have continued to participate in the enterprise (see Hui Chi-
Ming v. R. 1992 3 All ER 897 at 910-911).
Criminal Code, Section 21(2) reads that where:
two or more persons form an intention to carry out an unlawful purpose and to assist each other
therein and any one of them, in carrying out the common purpose, commits an offence, each
one of them who knew or ought to have known that the commission of the offence would be a
probable consequence of carrying out the common purpose is a party to that offence.
It should be noted that despite the fact that the section refers to an objective foreseeability requirement, this
has been modified by the Supreme Court of Canada which held that: in those instances where the principal is
held to a mens rea standard of subjective foresight, the party cannot constitutionally be convicted for the
same crime on the basis of an objective foreseeability standard (R. v. Logan 1990 2 SCR 731 at 735).
Hence, a subjective standard is applied in the case of offences such as murder. See also R. v.
Rodney 1990 2 SCR 687.
The Appeals Chamber considers that the consistency and cogency of the case law and the
treaties referred to above, as well as their consonance with the general principles on criminal
responsibility laid down both in the Statute and general international criminal law
E.g., in Maine (17 Maine Criminal Code 57 (1997), Minnesota (Minnesota Statutes 609.05 (1998)),
Iowa (Iowa Code 703.2 (1997)), Kansas (Kansas Statutes 21-3205 (19997)), Wisconsin (Wisconsin
Statutes 939.05 (West 1995)). Although there is no clearly defined doctrine of common purpose under
the United States Federal common law, similar principles are promulgated by the Pinkerton doctrine. This
doctrine imposes criminal liability for acts committed in furtherance of a common criminal purpose,
whether the acts are explicitly planned or not, provided that such acts might have been reasonably
contemplated as a probable consequence or likely result of the common criminal purpose (see Pinkerton
v. United States, 328 U.S. 640, 66 S. Ct. 1180, 90 L. Ed. 1489 (1946); State v. Walton, 227 Conn. 32; 630
A.2d 990 (1993); State of Connecticut v. Diaz, 237 Conn. 518, 679 A. 2d 902 (1996)).
Under Australian law, when two parties embark on a joint criminal enterprise, a party will be liable for an act which he
contemplates may be carried out by the other party in the course of the enterprise, even if he has not explicitly or
tacitly agreed to the commission of that act (McAuliffe v. R. (1995) 183 CLR 108 at 114). The test for determining
whether a crime falls within the scope of the relevant joint enterprise is the subjective test of contemplation: in
accordance with the emphasis which the law now places upon the actual state of mind of an accused person, the test
has become a subjective one, and the scope of the common purpose is to be determined by what was contemplated
by the parties sharing that purpose (ibid.).
Article 22 of the Penal Code states:
When two or more persons form a common intention to prosecute an unlawful purpose in
conjunction with one another, and in the prosecution of such purpose an offence is committed
of such a nature that its commission was a probable consequence of the prosecution of such
purpose, each of them is deemed to have committed the offence.
See Report of the Secretary-General, para. 36 (emphasis added).
In sum, the objective elements (actus reus) of this mode of participation in one of the crimes
provided for in the Statute (with regard to each of the three categories of cases) are as
follows:
The existence of a common plan, design or purpose which amounts to or involves the
commission of a crime provided for in the Statute. There is no necessity for this plan, design
or purpose to have been previously arranged or formulated. The common plan or purpose
may materialise extemporaneously and be inferred from the fact that a plurality of persons
acts in unison to put into effect a joint criminal enterprise.
Participation of the accused in the common design involving the perpetration of one of the
crimes provided for in the Statute. This participation need not involve commission of a
specific crime under one of those provisions (for example, murder, extermination, torture,
rape, etc.), but may take the form of assistance in, or contribution to, the execution of the
common plan or purpose.
By contrast, the mens rea element differs according to the category of common design under
consideration. With regard to the first category, what is required is the intent to perpetrate a
certain crime (this being the shared intent on the part of all co-perpetrators). With regard to
the second category (which, as noted above, is really a variant of the first), personal
knowledge of the system of ill-treatment is required (whether proved by express testimony
or a matter of reasonable inference from the accuseds position of authority), as well as the
intent to further this common concerted system of ill-treatment. With regard to the third
category, what is required is the intention to participate in and further the criminal activity
or the criminal purpose of a group and to contribute to the joint criminal enterprise or in any
event to the commission of a crime by the group. In addition, responsibility for a crime
other than the one agreed upon in the common plan arises only if, under the
The aider and abettor is always an accessory to a crime perpetrated by another person, the
principal.
In the case of aiding and abetting no proof is required of the existence of a common
concerted plan, let alone of the pre-existence of such a plan. No plan or agreement is
required: indeed, the principal may not even know about the accomplices contribution.
The aider and abettor carries out acts specifically directed to assist, encourage or lend moral
support to the perpetration of a certain specific crime (murder, extermination, rape, torture,
wanton destruction of civilian property, etc.), and this support has a substantial effect upon
the perpetration of the crime. By contrast, in the case of acting in pursuance of a common
purpose or design, it is sufficient for the participant to perform acts that in some way are
directed to the furthering of the common plan or purpose.
In the case of aiding and abetting, the requisite mental element is knowledge that the acts
performed by the aider and abettor assist the commission of a specific crime by the
principal. By contrast, in the case of common purpose or design more is required (i.e., either
intent to perpetrate the crime or intent to pursue the common criminal design plus foresight
that those crimes outside the criminal common purpose were likely to be committed), as
stated above.
In the present case, the Trial Chamber found that the Appellant participated in the armed
conflict taking place between May and December 1992 in the Prijedor region. An
aspect of this conflict was a policy to commit inhumane acts against the non-Serb civilian
293
population of the territory in the attempt to achieve the creation of a Greater Serbia. It
was also found that, in furtherance of this policy, inhumane acts were committed against
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numerous victims and pursuant to a recognisable plan. The attacks on Sivci and Jaski}i
on 14 June 1992 formed part of this armed conflict raging in the Prijedor region.
The Appellant actively took part in the common criminal purpose to rid the Prijedor region
of the non-Serb population, by committing inhumane acts. The common criminal purpose
was not to kill all non-Serb men; from the evidence adduced and accepted, it is clear that
killings frequently occurred in the effort to rid the Prijedor region of the non-Serb
population. That the Appellant had been aware of the killings accompanying the
commission of inhumane acts against the non-Serb population is beyond doubt. That is the
context in which the attack on Jaski}i and his participation therein, as found by the Trial
Chamber as well as the Appeals Chamber above, should be seen. That nobody was killed in
the attack on Sivci on the same day does not represent a change of the common criminal
purpose.
The Appellant was an armed member of an armed group that, in the context of the conflict
in the Prijedor region, attacked Jaski}i on 14 June 1992. The Trial Chamber found the
following:
Of the killing of the five men in Jaski}i, the witnesses Draguna Jaski}, Zemka
[ahbaz and Senija Elkasovi} saw their five dead bodies lying in the village when
the women were able to leave their houses after the armed men had gone;
Senija Elkasovi} saw that four of them had been shot in the head. She had heard
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shooting after the men from her house were taken away.
The Appellant actively took part in this attack, rounding up and severely beating some of the
men from Jaski}i. As the Trial Chamber further noted:
See Judgement, paras. 127-179, which outlines the background to the conflict in the op{tina Prijedor.
Accordingly, the only possible inference to be drawn is that the Appellant had the intention
to further the criminal purpose to rid the Prijedor region of the non-Serb population, by
committing inhumane acts against them. That non-Serbs might be killed in the effecting of
this common aim was, in the circumstances of the present case, foreseeable. The Appellant
was aware that the actions of the group of which he was a member were likely to lead to
such killings, but he nevertheless willingly took that risk.
The Trial Chamber erred in holding that it could not, on the evidence before it, be satisfied
beyond reasonable doubt that the Appellant had any part in the killing of the five men from
the village of Jaski}i. The Appeals Chamber finds that the Appellant participated in the
killings of the five men in Jaski}i, which were committed during an armed conflict as part of
a widespread or systematic attack on a civilian population. The Appeals Chamber therefore
holds that under the provisions of Article 7(1) of the Statute, the Trial Chamber should have
found the Appellant guilty.
The Appeals Chamber finds that this ground of the Prosecutions Cross-Appeal succeeds.
Conclusion
In light of the Appeals Chambers finding that Article 2 of the Statute is applicable, the
Appellant is found guilty on Count 29 (grave breach in terms of Article 2(a) (wilful killing)
of the Statute) and Article 7(1) of the Statute.
The Trial Chambers finding on Count 30 is set aside. The Appellant is found guilty on
Count 30 (violation of the laws or customs of war in terms of Article 3(1)(a) (murder) of the
Statute) and Article 7(1) of the Statute.
The Trial Chambers finding on Count 31 is set aside. The Appellant is found guilty on
Count 31 (crime against humanity in terms of Article 5(a) (murder) of the Statute) and
Article 7(1) of the Statute.
In the Judgement, the Trial Chamber identified, from among the elements which
had to be satisfied before a conviction for crimes against humanity could be
recorded, the need to prove the existence of an armed conflict and a nexus
between the acts in question and the armed conflict.
As to the nature of the nexus required, the Trial Chamber found that, subject to two
caveats, it is sufficient for the purposes of crimes against humanity that the act occurred in
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the course or duration of an armed conflict. The first caveat was that the act be linked
298
geographically as well as temporally with the armed conflict. The second caveat was that
the act and the conflict must be related or, at least, that the act must not be unrelated to
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the armed conflict. The Trial Chamber further held that the requirement that the act
must not be unrelated to the armed conflict involved two aspects. First, the perpetrator
300
must know of the broader context in which the act occurs. Secondly, the act must
301
not have been carried out for the purely personal motives of the perpetrator.
The Prosecution submits that there is nothing in Article 5 of the Statute which suggests that
it contains a requirement that crimes against humanity cannot be committed for purely
personal motives. In the submission of the Prosecution, no such requirement can be
inferred from the requirement that the crime must have a nexus to the armed conflict. In
The Prosecution concedes that this finding did not affect the verdict against the
Appellant. However, it submits that the finding involves a significant question of law
that is of general importance to the Tribunals jurisprudence and should therefore be
303
corrected on appeal.
The Prosecution argues that the weight of authority supports the proposition that crimes against
humanity can be committed for purely personal reasons and that the sole authority relied on by
the Trial Chamber in support of its finding in fact suggests that, even where perpetrators may
have been personally motivated to commit the acts in question, their
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conduct can still be characterised as a crime against humanity. Subsequent decisions of the
United States military tribunals under Control Council Law No.10 and of national courts
are also consistent with the view that a perpetrator of crimes against humanity may
305
act out of purely personal motives.
Finally, the Prosecution contends that the object and purpose of the Tribunals
Statute support the interpretation that crimes against humanity may be committed
for purely personal reasons, arguing that the objective of the Statute in providing a
broad scope for humanitarian law would be defeated by a narrow interpretation of
the category of offences falling within the ambit of Article 5. Furthermore, if proof of
a non-personal motive was required, many perpetrators of crimes against humanity
could evade conviction by the International Tribunal simply by invoking purely
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personal motives in defence of their conduct.
In contrast to the Prosecutions Cross-Appeal, the Defence argues that the Trial
Chambers ruling that a crime against humanity cannot be committed for purely
personal reasons is correct. Although it concedes that Article 5 of the Statute does
not expressly stipulate that crimes against humanity cannot be committed for purely
personal reasons, in its submission, the Trial Chamber nevertheless interpreted
Article 5 correctly when it found that crimes against humanity cannot be committed
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for purely personal motives.
The Defence contests the interpretation given to the applicable case law by the
Prosecution, arguing that in all the cases cited, the defendants were linked to the system of
extermination which formed the underlying predicate of crimes against humanity, and
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therefore did not commit their crimes for purely personal motives. In other words,
the activities of the defendants were linked to the general activities comprising the
pogroms against the Jews and thus the Defence submits that the acts of the
defendants were not acts committed for purely personal reasons.
The Defence also contests the Prosecutions submissions regarding the object and
purpose of the Statute of the International Tribunal, arguing, to the contrary, that policy
suggests that it would be unjust if a perpetrator of a criminal act guided solely by
309
personal motives was instead to be prosecuted for a crime against humanity.
Discussion
Neither Party asserts that the Trial Chambers finding that crimes against humanity
cannot be committed for purely personal motives had a bearing on the verdict in terms of
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Article 25(1) of the Tribunal Statute. Nevertheless this is a matter of general
significance for the Tribunals jurisprudence. It is therefore appropriate for the
Appeals Chamber to set forth its views on this matter.
Appellants Amended Brief on Judgement, para. 4.9; T. 227 (20 April 1999).
Appellants Amended Brief on Judgement, para. 4.12; T. 229 (20 April 1999).
Appellants Amended Brief on Judgement, paras. 4.17 4.18.
The Appeals Chamber agrees with the Prosecution that there is nothing in Article 5 to
suggest that it contains a requirement that crimes against humanity cannot be committed
for purely personal motives. The Appeals Chamber agrees that it may be inferred from the
words directed against any civilian population in Article 5 of the Statute that the acts of the
accused must comprise part of a pattern of widespread or systematic crimes directed
311
against a civilian population and that the accused must have known that his acts fit into such
a pattern. There is nothing in the Statute, however, which mandates the imposition of a
further condition that the acts in question must not be committed for purely personal
reasons, except to the extent that this condition is a consequence or a re-statement
of the other two conditions mentioned.
The Appeals Chamber would also agree with the Prosecution that the words
committed in armed conflict in Article 5 of the Statute require nothing more than the
existence of an armed conflict at the relevant time and place. The Prosecution is,
moreover, correct in asserting that the armed conflict requirement is a jurisdictional
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element, not a substantive element of the mens rea of crimes against humanity
(i.e., not a legal ingredient of the subjective element of the crime).
This distinction is important because, as stated above, if the exclusion of purely personal
behaviour is understood simply as a re-statement of the two-fold requirement that the acts of
the accused form part of a context of mass crimes and that the accused be aware of this fact,
then there is nothing objectionable about it; indeed it is a correct statement of the law. It is only
if this phrase is understood as requiring that the motives of the accused (personal reasons, in
the terminology of the Trial Chamber) not be unrelated to the armed
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Article 25(1) of the Statute reads as follows: The Appeals Chamber shall hear appeals from persons
convicted by the Trial Chambers or from the Prosecutor on the following grounds: (a) an error on a question of
law invalidating the decision; or (b) an error of fact which has occasioned a miscarriage of justice.
This requirement had already been recognised by this Tribunal in the Vukovar Hospital Rule 61 Decision:
Crimes against humanity are to be distinguished from war crimes against individuals. In particular, they
must be widespread or demonstrate a systematic character. However, as long as there is a link with the
widespread or systematic attack against a civilian population, a single act could qualify as a crime against
humanity. As such, an individual committing a crime against a single victim or a limited number of victims
might be recognised as guilty of a crime against humanity if his acts were part of the specific context
identified above.(Review of Indictment Pursuant to Rule 61 of the Rules of Procedure and Evidence,
The Prosecutor v. Mile Mrksi} et al., Case No.: IT-95-13-R61, Trial Chamber I, 3 April 1996, para. 30).
As to what the Trial Chamber understood by the phrase purely personal motives, it is
clear that it conflated two interpretations of the phrase: first, that the act is unrelated to
the armed conflict, and, secondly, that the act is unrelated to the attack on the civilian
population. In this regard, paragraph 659 of the Judgement held:
Thus if the perpetrator has knowledge, either actual or constructive, that these acts were
occurring on a widespread or systematic basis and does not commit his act for purely
personal motives completely unrelated to the attack on the civilian population , that is
sufficient to hold him liable for crimes against humanity. Therefore the perpetrator must
know that there is an attack on the civilian population, know that his act fits in with the
attack and the act must not be taken for purely personal reasons unrelated to the armed
conflict. (emphasis added)
Thus the attack on the civilian population is here equated to the armed conflict. The two
concepts cannot, however, be identical because then crimes against humanity would, by
definition, always take place in armed conflict, whereas under customary international law
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these crimes may also be committed in times of peace. So the two the attack on the
civilian population and the armed conflict must be separate notions, although of course
under Article 5 of the Statute the attack on any civilian population may be part of an
armed conflict. A nexus with the accuseds acts is required, however, only for the attack
on any civilian population. A nexus between the accuseds acts and the armed conflict is
not required, as is instead suggested by the Judgement. The armed conflict requirement is
satisfied by proof that there was an armed conflict; that is all that the Statute requires, and
in so doing, it requires more than does customary international law.
The Trial Chamber seems additionally to have conflated the notion of committing an act for
purely personal motives and the notion that the act must not be unrelated to the armed conflict.
The Trial Chamber appears to have viewed the proposition that the act must not be unrelated
314
to the armed conflict as being synonymous with the statement that
The Prosecution has submitted that the object and purpose of the Statute support the
interpretation that crimes against humanity can be committed for purely personal reasons.
The Prosecution cites the Tadi} Decision on Jurisdiction, to the effect that the
primary purpose of the establishment of the International Tribunal is not to leave
unpunished any person guilty of a serious violation of international humanitarian
316
law, whatever the context within which it may have been committed. This begs
the question, however, whether a crime committed for purely personal reasons is a
crime against humanity, and therefore a serious violation of international
humanitarian law under Article 5 of the Statute.
The Appeals Chamber would also reject the Prosecutions submission concerning the
onerous evidentiary burden which would be imposed on it in having to prove that the
317
accused did not act from personal motives, as equally question-begging and inapposite.
It is question-begging because if, arguendo, under international criminal law, the fact that
Ibid.
Cross-Appellants Brief, para. 4.20.
Ibid., para. 4.23.
Case No.: -94-1-A 15 July 1999
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the accused did not act from purely personal motives was a requirement of crimes against
humanity, then the Prosecution would have to prove that element, whether it was onerous
for it to do so or not. The question is simply whether or not there is such a requirement
under international criminal law.
Turning to the further submission of the Prosecution, the Appeals Chamber agrees
that the weight of authority supports the proposition that crimes against humanity
can be committed for purely personal reasons, provided it is understood that the two
aforementioned conditions that the crimes must be committed in the context of
widespread or systematic crimes directed against a civilian population and that the
accused must have known that his acts, in the words of the Trial Chamber, fitted
into such a pattern are met.
In this regard, it is necessary to review the case-law cited by the Trial Chamber and the
Prosecution, as well as other relevant case law, to establish whether this case-law is
indicative of the emergence of a norm of customary international law on this matter.
318
The Prosecution is correct in stating that the 1948 case cited by the Trial Chamber
supports rather than negates the proposition that crimes against humanity may be committed
for purely personal motives, provided that the acts in question were knowingly committed as
part and parcel of all the mass crimes committed during the persecution of the Jews. As the
Supreme Court for the British Zone stated, in cases of crimes against humanity taking the form
of political denunciations, only the perpetrators consciousness and intent to
Decision of the Supreme Court for the British Zone (Criminal Chamber) (9 November 1948), S. StS 78/48, in
Justiz und NS-Verbrechen vol. II, pp. 498-499. The Accused, Mrs. K. and P., had denounced Ps Jewish wife to
the Gestapo for her anti-Nazi remarks. The defendants sole purpose was to rid themselves of Mrs . P., who
would not agree to a divorce, and the Accused saw no other means of so doing than by delivering Mrs. P. to the
Gestapo. Upon her denunciation, Mrs. P. was arrested and brought to Auschwitz concentration camp where
she died after a few months due to malnutrition. The Court of First Instance convicted K. and P. of crimes
against humanity. (See Decision of Schwurgericht Hamburg from 11 May 1948, (50). 17/48, in Justiz und NS-
Verbrechen, vol. II, pp. 491-497). The Accused appealed to the Supreme Court of the British Zone which
dismissed their appeal and confirmed their convictions, stating that both the physical and the mental elements
of a crime against humanity were met. (See Decision of the Supreme Court for the British Zone from 9
November 1948, S. StS 78/48, in Justiz und NS-Verbrechen , vol. II, pp. 498-499 at p. 499). According to the
Supreme Court, the findings of the Court of First Instance had sufficiently proved that the accused fulfilled this
mental requirement.
The case involving the killing of mentally disturbed patients, decided by the same court and
cited by the Prosecution, is also a persuasive authority concerning the irrelevance of personal
320
motives with regard to the constituent elements of crimes against humanity.
The Prosecutions submission finds further support in other so-called denunciation cases
rendered after the Second World War by the Supreme Court for the British Zone and by
German national courts, in which private individuals who denounced others, albeit for
personal reasons, were nevertheless convicted of crimes against humanity.
In Sch., the accused had denounced her landlord solely out of revenge and for the
purpose of rendering him harmless after tensions in their tenancy had arisen. The
denunciation led to investigation proceedings by the Gestapo which ended with the
landlords conviction and execution. The Court of First Instance convicted Sch. and
321
sentenced her to three years imprisonment for crimes against humanity. The accused
appealed against the decision, arguing that crimes against humanity were limited to
participation in mass crimes and did not include all those cases in which someone took
action against a single person for personal reasons. The Supreme Court dismissed the appeal,
holding that neither the Nuremberg Judgement nor the statements of the Prosecutor
Ibid., p. 499.
OGHBZ, Supreme Court for the British Zone (Criminal Chamber) (5 March 1949), S. StS 19/49, in
Entscheidungen des Obersten Gerichtshofes fr die Britische Zone I, 1949, pp. 321-343. The Accused, Dr. P
and others, were medical doctors and a jurist working in a hospital for mentally disturbed patients. Pursuant to
Hitlers directive which ordered the transferral of mentally ill persons to other institutions (where the patients
were secretly killed in gas chambers), the Defendants in a few cases participated in the transfer of patients. In
most cases, however, they objected to these instructions and tried to save their patients lives by releasing
them from hospital or by classifying them in categories which were not subject to Hitlers directive. The
Defendants, charged with aiding and abetting murder, were acquitted by the Court of First Instance because it
could not be proven that they had acted with the requisite mens rea with regard to participation in the killing of
the patients. The Court of First Instance did not take into consideration whether the Defendants behaviour
could constitute a crime against humanity. This was criticised by the Supreme Court for the British Zone, which
ordered the re-opening of the trial before the Court of First Instance to ascertain whether the Accused
could be found guilty of a crime against humanity. The Supreme Court stated that a perpetrator of a crime
against humanity is indeed also anyone who contributes to the realisation of the elements of the offence,
without at the same time wishing to promote National Socialist rule, but who acts perhaps out of fear,
indifference, hatred for the victim or to receive some gain. This is because even when one acts
from these motives ( Beweggrnde), the action remains linked to this violent and oppressive
system (Gewaltherrschaft) (ibid., p. 341). The Defendants, ultimately, were not convicted of crimes
against humanity for procedural reasons unrelated to the definition of the offence.
Decision of Flensburg District Court dated 30 March 1948 in Justiz und NS-Verbrechen , vol. II, pp. 397-
See this decision for the findings of the District Court to the effect that the denunciation was made
for personal reasons.
The International Military Tribunal and the Supreme Court considered that a crime
against humanity as defined in CCL 10 Article II 1 (c) is committed whenever the victim
suffers prejudice as a result of the National Socialist rule of violence and tyranny
(Gewalt- oder Willkrherrschaft ) to such an extent that mankind itself was affected
thereby. Such prejudice can also arise from an attack committed against an individual
victim for personal reasons. However, this is only the case if the victim was not only
harmed by the perpetrator this would not be a matter which concerned mankind as such
but if the character, duration or extent of the prejudice were determined by the National
Socialist rule of violence and tyranny or if a link between them existed. If the victim was
harmed in his or her human dignity, the incident was no longer an event that did not
concern mankind as such. If an individuals attack against an individual victim for personal
reasons is connected to the National Socialist rule of violence and tyranny and if the
attack harms the victim in the aforementioned way, it, too, becomes one link in the chain
of the measures which under the National Socialist rule were intended to persecute large
groups among the population. There is no apparent reason to exonerate the accused only
322
because he acted against an individual victim for personal reasons.
This view was upheld in a later decision of the Supreme Court in the case of H. H.
denounced his father-in-law, V.F., for listening to a foreign broadcasting station, allegedly
because V.F., who was of aristocratic origin, incessantly mocked H. for his low birth and
tyrannised the family with his relentlessly scornful behaviour. The family members
supposedly considered a denunciation to be the only solution to their family problems.
Upon the denunciation, V.F. was sentenced by the Nazi authorities to three years in prison.
V.F., who suffered from an intestinal illness, died in prison. Despite the fact that H.s
denunciation was motivated by personal reasons, the Court of First Instance sentenced H.
for a crime against humanity, stating that it can be left open as to whether H. was
motivated by political, personal or other reasons. Referring to the established jurisprudence of
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the Supreme Court for the British Zone, the Court of First Instance held that the
Decision of the Supreme Court of the British Zone dated 26 October 1948, S. StS 57/48, in Entscheidungen des
Obersten Gerichtshofes fr die Britische Zone, Entscheidungen in Strafsachen, vol. I., pp. 122-126 at p. 124 (unofficial
translation). The essence of this statement was reiterated in the Decision of the Supreme Court dated 8 January 1949
against G. (S. StS 109/48, ibid., pp. 246-249). G., a member of the SA (Stormtroopers), had participated in the
mistreatment of a political opponent for apparently purely personal motives, namely personal rancour between his
family and the family of the victim. Nevertheless, G. was found guilty of a crime against humanity. The Supreme Court
dismissed G.s appeal against his conviction, stating that the motive for an attack was immaterial and that an attack
against a single victim for personal reasons can be considered a crime against humanity if there is a nexus between
the attack and the National Socialist rule of violence and tyranny (ibid., p. 247).
The Court of First Instance referred to the Decision of the Supreme Court of the British Zone dated 17
August 1948, S. StS 43/48, ibid., pp. 60-62 and Decision dated 13 November 1948, S. StS 68/48, ibid.,
pp. 186-190. See also Decision of the Supreme Court of the British Zone dated 20 April 1949, S. StS
120/49, ibid., pp. 385391, at p. 388.
A further example is the V. case. In 1943, Nu. denounced Ste. for her repeated
utterances against Hitler, the national-socialist system and the SS, made in Nu.s house
in 1942. Ste. was the natural mother of Nu.s adoptive son. In fact, Nu. had denounced
Ste. in the hope of regaining her son who had become increasingly estranged from his
adoptive parents and had developed a closer relationship with his natural mother. Upon
the denunciation, a special court sentenced Ste. to two years in prison. This court had
envisaged her eventual transfer to a concentration camp, but she was released by the
allied occupation forces before the transfer took place. In prison, Ste. suffered serious
bodily harm and lost sight in one eye. After the war, a District Court sentenced Nu. to six
months imprisonment for her denunciation of Ste.. Although Nu.s act of denunciation
was motivated by personal reasons, the court considered that her denunciation
325
constituted a crime against humanity.
Turning to the decisions of the United States military tribunals under Control
326
Council Law No. 10 cited by the Prosecution, it must be noted that they appear to be less
pertinent. These cases involve Nazi officials of various ranks whose acts were, therefore, by
that token, already readily identifiable with the Nazi regime of terror. The question whether they
acted for personal reasons would, therefore, not arise in a direct manner, since their acts were
carried out in an official capacity, negating any possible personal
Decision of the Braunschweig District Court dated 22 June 1950, in Justiz und NS-Verbrechen, vol. VI, pp. 631-
644, at p. 639. Note, in particular, the findings of the District Court to the effect that the denunciation was
motivated by personal concerns. Mention can also be made of the Decision of Schwurgericht Hannover, dated
30 November 1948, in the B. case, S. StS 68/48 (in Entscheidungen des Obersten Gerichtshofes fr die
Britische Zone, Entscheidungen in Strafsachen, vol. I, pp. 186-190). B., an inspector of state church offices,
informed his superior that one of his colleagues, P., had repeatedly expressed his doubts about the political
situation in Germany and voiced his disapproval of the persecution of the Jews, the official propaganda, cultural
policy and anti-clerical attitude of National Socialism. This information reached the Gestapo, who arrested P. A
special court sentenced P. to one year and three months in prison. B., charged with crimes against humanity,
was acquitted at first instance because the verdict of the Court of First Instance (Schwurgericht Hannover),
having extensively examined the accuseds motives ( Beweggrnde), could not determine whether the
denunciation had been motivated by politics or religion. The Supreme Court for the British Zone dismissed the
judgement of the District Court, stating that it was erroneous and in contradiction
to the consistent jurisprudence of the Supreme Court to consider the motives of the accused as important.
(ibid., p. 189).
Decision of the Supreme Court for the British Zone dated 22 June 1948, S. StS 5/48, in Entscheidungen des
Obersten Gerichtshofes fr die Britische Zone, Entscheidungen in Strafsachen, vol. I, pp. 19-25. The decision of the
Supreme Court did not directly concern the accused Nu., but a co-accused of hers. Nu. had been sentenced by the
District Court of Hamburg for committing a crime against humanity.
See Cross-Appellants Brief, paras. 4.15, 4.16.
as a private individual in a private or non-official capacity. This is why the issue arises
mainly in denunciation cases, where one neighbour or relative denounces another.
This
paradigm is, however, inapplicable to trials of Nazi ministers, judges or other officials of
the State, particularly where they have not raised such a defence by admitting the acts in
question whilst claiming that they acted for personal reasons. Any plea that an act was done
for purely personal motives and that it therefore cannot constitute a crime against
humanity is pre-eminently for the defence to raise and one would not expect the court to
rule on the issue proprio motu and as obiter dictum.
327
The two sections of the Ministries case, referred to by the Prosecution, are also not
strictly relevant, as those sections re-state the law of complicity he who participates
or plays a consenting part therein is guilty of a crime against humanity rather than
dealing with the importance or otherwise of whether the accused acted from personal
328
motives. Equally, in the Justice case, the defendants do not appear to have
raised the defence that they acted for personal motives.
The Prosecution also refers to the Eichmann and Finta cases. The Eichmann case is
inappropriate as the defendant in that case specifically denied that he ever acted from a
personal motive, claiming that he did what he did not of his own volition but as one of
329
numerous links in the chain of command. Moreover the court found Eichmann, who was the
Head of the Jewish Affairs and Evacuation Department and one of the persons who attended
the infamous Wannsee Conference, to be no mere cog, small or large, in a machine
330
propelled by others; he was, himself, one of those who propelled the machine.
Such a senior official would not be one to whom the purely personal reasons
consideration could conceivably apply.
U.S. v. Ernst von Weizsaecker et al., Trials of War Criminals before the Nuremberg Military Tribunals
under Control Council Law No. 10, United States Government Printing Office, Washington, 1951, vol XIV,
pp. 611, 470-471, cited in Cross-Appellants Brief, para. 4.15.
U.S. v. Altstoetter et al., Trials of War Criminals before the Nuremberg Military Tribunals under Control Council Law
No. 10, United States Government Printing Office, Washington, 1951, vol. III.
Attorney-General of the Government of Israel v. Adolf Eichmann , 36 International Law Reports 1968,
p. 323.
Ibid., p. 331.
there must be an element of subjective knowledge on the part of the accused of the
factual conditions which render the actions a crime against humanity. ?Tghe
mental element of a crime against humanity must involve an awareness of the
facts or circumstances which would bring the acts within the definition of a crime
332
against humanity.
According to Finta, nothing more seems to be required beyond this and there is no
mention of the relevance or otherwise of the accuseds personal motives.
One reason why the above cases do not refer to motives may be, as the Defence
333
has suggested, that the issue in these cases was not whether the Defendants
committed the acts for purely personal motives. The Appeals Chamber believes, however,
that a further reason why this was not in issue is precisely because motive is generally
irrelevant in criminal law, as the Prosecution pointed out in the hearing of 20 April 1999:
For example, it doesnt matter whether or not an accused steals money in order to buy
Christmas presents for his poor children or to support a heroin habit. All were concerned
with is that he stole and he intended to steal, and what were concerned with here is
the same sort of thing. Theres no requirement for non-personal motive beyond
knowledge of the context of a widespread or systematic act into which an accuseds act
fits. The Prosecutor is submitting that, as a general proposition and one which is
334
applicable here, motives are simply irrelevant in criminal law.
The Appeals Chamber approves this submission, subject to the caveat that motive
becomes relevant at the sentencing stage in mitigation or aggravation of the sentence (for
example, the above mentioned thief might be dealt with more leniently if he stole to give
presents to his children than if he were stealing to support a heroin habit). Indeed the
inscrutability of motives in criminal law is revealed by the following reductio ad absurdum.
Imagine a high-ranking SS official who claims that he participated in the genocide of the
Jews and Gypsies for the purely personal reason that he had a deep-seated hatred of
Jews and Gypsies and wished to exterminate them, and for no other reason. Despite this
link with an armed conflict, and thereby seemed to have unjustifiably and inadvertently
added a new requirement.
The conclusion is therefore warranted that the relevant case-law and the spirit of
international rules concerning crimes against humanity make it clear that under
customary law, purely personal motives do not acquire any relevance for
establishing whether or not a crime against humanity has been perpetrated.
Conclusion
The Trial Chamber correctly recognised that crimes which are unrelated to widespread or
systematic attacks on a civilian population should not be prosecuted as crimes against
humanity. Crimes against humanity are crimes of a special nature to which a greater
degree of moral turpitude attaches than to an ordinary crime. Thus to convict an accused of
crimes against humanity, it must be proved that the crimes were related to the attack on a
civilian population (occurring during an armed conflict) and that the accused
knew that his crimes were so related.
For the above reasons, however, the Appeals Chamber does not consider it necessary to
further require, as a substantive element of mens rea, a nexus between the specific acts
allegedly committed by the accused and the armed conflict, or to require proof
Case No.: -94-1-A 15 July 1999
122
of the accuseds motives. Consequently, in the opinion of the Appeals Chamber, the
requirement that an act must not have been carried out for the purely personal motives of
the perpetrator does not form part of the prerequisites necessary for conduct to fall within
the definition of a crime against humanity under Article 5 of the Tribunals Statute.
The Prosecution submits that the Trial Chamber erred in finding that all crimes against
humanity must be committed with a discriminatory intent. It is the submission of the
Prosecution that the requirement of a discriminatory intent applies only to persecution
335
type crimes and not to all crimes against humanity.
The Prosecution notes that Article 5 of the Statute contains no express requirement of a
discriminatory intent for all crimes against humanity. The requirement for such an intent is
present in Article 3 of the Statute of the ICTR. The absence of a similar provision in Article 5
of this Tribunals Statute implies a contrario that at the time of drafting the Statute of this
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Tribunal, there was no intention to include a similar requirement.
A requirement of discriminatory intent for all crimes against humanity is also absent from
customary international law. The Prosecution notes that the Nuremberg Charter and
Control Council Law No. 10, upon which Article 5 is based, distinguish between murder
type crimes such as murder, extermination, enslavement, etc., and persecution type
crimes committed on political, racial, or religious grounds. Discriminatory intent need only
be shown in relation to persecution crimes. The Prosecution submits that the Trial
Chamber erred in relying upon a statement in paragraph
The Prosecution submits that the rules of statutory interpretation also militate against requiring
a discriminatory intent for all crimes against humanity. If discriminatory intent were required for
all crimes against humanity, the Prosecution submits that this would relegate the crime of
persecutions under Article 5(h) to a residual provision and make
other inhumane acts in Article 5(i) redundant. The Prosecution submits that the
340
Statute should be interpreted in order to give proper effect to all of its provisions.
Finally, the Prosecution submits that the requirement of discriminatory intent for all crimes
against humanity is inconsistent with the humanitarian object and purpose of the Statute
and international humanitarian law. The Prosecution argues that requiring a discriminatory
intent for all crimes against humanity would create a significant normative
lacuna by failing to protect civilian populations not encompassed by the listed
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grounds of discrimination.
The Defence submits that the Trial Chambers decision that all crimes against
humanity require a discriminatory intent should be upheld.
The statement reads as follows: Crimes against humanity refer to inhumane acts of a very serious nature
committed as part of a widespread or systematic attack against any civilian population on
national, ethnic, racial or religious grounds.
Cross-Appellants Brief, paras. 5.7, 5.8; T. 162, 163 (20 April 1999).
Cross-Appellants Brief, paras. 5.20, 5.22.
Cross-Appellants Brief, para. 5.24; T. 165 (20 April 1999).
Cross-Appellants Brief, para. 5.26; T. 165 (20 April 1999).
The Defence submits that the silence in Article 5 as to whether discriminatory intent is
required for crimes against humanity creates an uncertainty. To resolve this uncertainty,
the Appeals Chamber should look to sources such as the preparatory work of the
Statute as it interprets Article 5 of the Statute. Thus, the Defence submits that the Trial
Chamber was correct in looking to the Report of the Secretary-General and to
statements of members of the Security Council in determining that discriminatory intent
343
must be shown in respect of all crimes under Article 5 of the Statute.
Discussion
The Prosecution submits that the Trial Chamber erred in finding that all crimes against
humanity enumerated under Article 5 require a discriminatory intent. It alleges, further, that
because of this finding, the Trial Chamber restricted the scope of persecutions under
subparagraph (h) only to those acts not charged elsewhere in the Indictment rather than
imposing additional liability for all acts committed on discriminatory grounds. In doing so, it
would appear that the sentence against the accused was significantly
344
reduced. However, the Prosecution does not appeal the sentence imposed by the Trial
Chamber in respect of the crimes against humanity counts, or seek to overturn the Trial
Chambers verdict or findings of fact in this regard. Thus, this ground of appeal does not,
345
prima facie, appear to fall within the scope of Article 25(1). Nevertheless, and as
with the previous ground of appeal, the Appeals Chamber finds that this issue is a
matter of general significance for the Tribunals jurisprudence. It is therefore
appropriate for the Apppeals Chamber to set forth its views on this matter.
Notwithstanding the fact that the ICTY Statute is legally a very different instrument from an
international treaty, in the interpretation of the Statute it is nonetheless permissible to be
guided by the principle applied by the International Court of Justice with regard to treaty
interpretation in its Advisory Opinion on Competence of the General Assembly for the
Admission of a State to the United Nations: The first duty of a tribunal which is called upon
to interpret and apply the provisions of a treaty is to endeavour to give effect to them in
346
their natural and ordinary meaning in the context in which they occur.
The ordinary meaning of Article 5 makes it clear that this provision does not require
all crimes against humanity to have been perpetrated with a discriminatory intent.
Such intent is only made necessary for one sub-category of those crimes, namely
persecutions provided for in Article 5 (h).
As rightly submitted by the Prosecution, the interpretation of Article 5 in the light of its object
and purpose bears out the above propositions. The aim of those drafting the Statute was to
make all crimes against humanity punishable, including those which, while fulfilling all the
conditions required by the notion of such crimes, may not have been perpetrated on
political, racial or religious grounds as specified in paragraph (h) of Article 5. In light of the
humanitarian goals of the framers of the Statute, one fails to see why they should have
seriously restricted the class of offences coming within the purview of crimes against
humanity, thus leaving outside this class all the possible instances of serious and
widespread or systematic crimes against civilians on account only of their
It would be pointless to object that in any case those instances would fall under the
category of war crimes or serious violations of the laws or customs of war provided for in
Article 3 of the Statute. This would fail to explain why the framers of the Statute provided
not only for war crimes but also for crimes against humanity. Indeed, those who drafted the
Statute deliberately included both classes of crimes, thereby illustrating their intention that
those war crimes which, in addition to targeting civilians as victims, present special features
such as the fact of being part of a widespread or systematic practice, must be classified as
crimes against humanity and deserve to be punished accordingly.
The same conclusion is reached if Article 5 is construed in light of the principle whereby,
in case of doubt and whenever the contrary is not apparent from the text of a statutory
or treaty provision, such a provision must be interpreted in light of, and in conformity
with, customary international law. In the case of the Statute, it must be presumed that
the Security Council, where it did not explicitly or implicitly depart from general rules of
international law, intended to remain within the confines of such rules.
A careful perusal of the relevant practice shows that a discriminatory intent is not
required by customary international law for all crimes against humanity.
First of all, the basic international instrument on the matter, namely, the London Agreement
of 8 August 1945, clearly allows for crimes against humanity which may be unaccompanied
by such intent. Article 6 (c) of that Agreement envisages two categories of crimes. One of
them is that of murder, extermination, enslavement, deportation, and other inhumane acts
committed against any civilian population, hence a category for which no discriminatory
intent is required, while the other category (persecutions on political, racial, or religious
grounds) is patently based on a discriminatory intent. An identical provision
348
can be found in the Statute of the Tokyo International Tribunal (Article 5 (c)). Similar
349
language can also be found in Control Council Law No. 10 (Article II (1) (c)).
The letter of these provisions is clear and indisputable. Consequently, had customary
international law developed to restrict the scope of those treaty provisions which are at the
very origin of the customary process, uncontroverted evidence would be needed. In other
words, both judicial practice and possibly evidence of consistent State practice, including
national legislation, would be necessary to show that customary law has deviated from
treaty law by adopting a narrower notion of crimes against humanity. Such judicial and
other practice is lacking. Indeed, the relevant case-law points in the contrary direction.
Article 5 (c) of the Statute of the International Military Tribunal for the Far East provides:
Crimes against Humanity: Namely, murder, extermination, enslavement, deportation, and
other inhumane acts committed before or during the war, or persecutions on political or racial
grounds in execution of or in connection with any crime within the jurisdiction of the Tribunal,
whether or not in violation of the domestic law of the country where perpetrated.
Article II (1) (c ) of Control Council Law No. 10 provides:
Crimes against Humanity: Atrocities and offences, including but not limited to murder, extermination,
enslavement, deportation, imprisonment, torture, rape, or other inhumane acts committed against any
crimes against humanity laid down in the London Agreement. With specific
reference to
the question at issue, it should be noted that, except for a very few isolated cases such as
350 351
Finta, national jurisprudence includes many cases where courts found that in the
As to crimes against humanity, we have no hesitation in rejecting the argument of the Defence that any
of the acts detailed in the definition of crime against humanity have to be performed with an intention to
persecute the victim on national, religious or political grounds. It is clear that this condition only applies
when the constituent element of the crime is persecution itself. The legislator found it necessary to
separate persecution from the other types of action by a semi-colon and to precede
the word persecution with the words and also , thus clearly establishing that persecution stands by
itself, and that it alone is subject to that condition. (18 International Law Reports 1951, p. 541).
It should be noted, however, that the Court was clearly wrong as far as the question of the famous
semi-colon was concerned; it is well known that in actual fact the Protocol of 6 October 1945
replaced the semi-colon with a colon. (For the text of the Protocol see Trials of War Criminals Before
the Nuernberg Military Tribunals under Control Council Law No. 10, vol. I, pp. XVI-XIX).
Reference can also be made to some cases decided by the German Supreme Court for the British
Zone. The Appeals Chamber will briefly mention three of them: R., P. et al. and H.
In a Decision of 27 July 1948 (S. StS 19/48), the court pronounced on the case of R. In 1944, a member of the
NSDAP (the German National Socialist Workers Party) and the NSKK (National Socialist Motor Vehicle Corps)
had denounced another member of the NSDAP and of the SA (Stormtroopers) for insulting the leadership of
NSDAP; as a result of this denunciation the victim had been brought to trial three times and eventually
sentenced to death. (The sentence had not been carried out because the Russians had occupied Germany in
the interim). The Court held that the denunciation could constitute a crime against humanity if it could be proved
that the agent had intended to hand over the victim to the uncontrollable power structure of
the Nazi party and State, knowing that as a consequence of his denunciation the victim was likely
to be caught in an arbitrary and violent system (Entscheidungen des Obersten Gerichtshofes fr die
Britische Zone, vol. I, pp. 45-49 at p. 47).
In a Decision of 7 December 1948 (S. StS 111/48), in the P. et al. case, the same court gave a very liberal
interpretation to the notion of crimes against humanity as laid down in Control Council Law No. 10, extending it
among other things to inhumane acts committed against members of the military. During the night after
Germanys partial capitulation (5 May 1945) four German marines had tried to escape from Denmark back to
Germany. The next day they were caught by Danes and delivered to German troops, who court-martialled and
sentenced three of them to death for desertion; on the very day of the general capitulation of Germany, i.e. 10
May 1945, the three were executed. The German Supreme Court found that the five members of the court-
martial were guilty of complicity in a crime against humanity. According to the Supreme Court, the glaring
discrepancy between the offence and the punishment constituted a clear manifestation of the Nazis brutal and
intimidatory system of justice, which denied the very essence of humanity in blind reference to the allegedly
superior exigencies of the Nazi State; there was an intolerable degradation of the victims to mere means for
the pursuit of a goal, hence the depersonalisation and reification of human beings. (Entscheidungen des
Obersten Gerichtshofes fr die Britische Zone, ibid., vol. I, pp. 217-229 at p. 220). Consequently, by
or discriminatory actions.
It is interesting to note that the necessity for discriminatory intent was considered but
eventually rejected by the International Law Commission in its Draft Code of Offences
352
Against the Peace and Security of Mankind. Similarly, while the inclusion of a
discriminatory intent was mooted in the Preparatory Committee on the Establishment of an
353
International Criminal Court (PrepCom), Article 7 of the Rome Statute embodied
354
the drafters rejection of discriminatory intent.
This warrants the conclusion that customary international law, as it results from the gradual
development of international instruments and national case-law into general rules, does not
presuppose a discriminatory or persecutory intent for all crimes against humanity.
sentencing the marines to death the members of the court-martial had inflicted an injury upon
humanity as a whole.
The same broad interpretation of Control Council Law No. 10 may be found, finally, in a Decision of 18 October
1949 (S. StS 309/49) in the H. case (Entscheidungen des Obersten Gerichtshofes fr die Britische Zone, vol. II,
pp. 231-246). There, the court dealt with a case where a German judge had presided over two trials by a naval
court-martial (Bordkriegsgericht) against two officers of the German Navy, a submarine commander, charged in
1944 with criticising Hitler, and the other a lieutenant-commander of the German naval forces, charged in 1944
with procuring two foreign identity cards for himself and his wife. The Judge had voted for sentencing both
officers to death (the first had been executed, while the sentence against the second had been commuted by
Hitler to 10 years imprisonment). The Supreme Court held that the Judge could be found guilty of crimes
against humanity even if he had not acted for political reasons, to the extent that his action was deliberately
taken in connection with the Nazi system of violence and terror (Entscheidungen des Obersten Gerichtshofes
fr die Britische Zone, ibid., vol. II, pp. 233, 238).
See for instance ILC 1996 Draft Code of Offences Against the Peace and Security of Mankind, Report of the
th st
International Law Commission on the work of its 48 session May 6-July 26, 1996, UNGAOR 51 sess., supp.
no. 10 (A/51/10), pp. 93-94.
While some delegates argued that a conviction for crimes against humanity required proof that the
defendant was motivated by a discriminatory animus, others argued that the inclusion of such a criterion
would complicate the task of the Prosecution by significantly increasing its burden of proof in requiring
evidence of this subjective element. These delegates further argued that crimes against humanity could
be committed against other groups, including intellectuals, social, cultural or political groups, and that
such an element was not required under customary international law as evidenced by the Yugoslav
Tribunals Statute. (See Summary of the Proceedings of the Preparatory Committee During the Period
March 25-April 12, 1996, U.N. Doc. A/AC.249/1 (May 7, 1996), pp. 16-17).
Article 7(1) of the Rome Statute provides: For the purposes of this Statute, crime against humanity means
any of the following acts when committed as part of a widespread or systematic attack directed against
any civilian population, with knowledge of the attack: (a) murder . Article 7(1) of the Statute of
the International Criminal Court thus articulates a definition of crimes against humanity based solely
upon the interplay between the mens rea of the defendant and the existence of a widespread or
systematic attack directed against a civilian population.
The interpretation suggested so far is not in keeping with the Report of the Secretary-
General and the statements made by three members of the Security Council before the
Tribunals Statute was adopted by the Council. The Appeals Chamber is nevertheless of
the view that these two interpretative sources do not suffice to establish that all crimes
against humanity need be committed with a discriminatory intent.
We shall consider first the Report of the Secretary-General, which stated that the crimes
under discussion are those committed as part of a widespread or systematic attack
355
against any civilian population on national, political, ethnic, racial or religious grounds.
It should be noted that the Secretary-Generals Report has not the same legal standing as
the Statute. In particular, it does not have the same binding authority. The Report as a
whole was "approved" by the Security Council (see the first operative paragraph of Security
Council resolution 827(1993)), while the Statute was "adopt?edg" (see operative paragraph
2). By "approving" the Report, the Security Council clearly intended to endorse its purpose
as an explanatory document to the proposed Statute. Of course, if there appears to be a
manifest contradiction between the Statute and the Report, it is beyond doubt that the
Statute must prevail. In other cases, the Secretary-Generals Report ought to be taken to
provide an authoritative interpretation of the Statute.
Moreover, the Report of the Secretary-General does not purport to be a statement as to the
position under customary international law. As stated above, it is open to the Security Council -
subject to respect for peremptory norms of international law (jus cogens) - to adopt definitions
356
of crimes in the Statute which deviate from customary international law.
Nevertheless, as a general principle, provisions of the Statute defining the crimes within the
jurisdiction of the Tribunal should always be interpreted as reflecting customary
international law, unless an intention to depart from customary international law is
expressed in the terms of the Statute, or from other authoritative sources. The Report of
the Secretary-General does not provide sufficient indication that the Security Council did so
intend Article 5 to deviate from customary international law by requiring a discriminatory
intent for all crimes against humanity. Indeed, in the case under consideration it would
Furthermore, it may be argued that, in his Report, the Secretary-General was merely
describing the notion of crimes against humanity in a general way, as opposed to
stipulating a technical, legal definition intended to be binding on the Tribunal. In other
words, the statement that crimes against humanity are crimes committed as part of a
widespread or systematic attack against any civilian population on national, political,
ethnic, racial or religious grounds amounts to the observation that crimes against
humanity as a matter of fact usually are committed on such discriminatory grounds. It is
not, however, a legal requirement that such discriminatory grounds be present. That is,
at least, another possible interpretation. It is true that in most cases, crimes against
humanity are waged against civilian populations which have been specifically targeted
for national, political, ethnic, racial or religious reasons.
Let us now turn to the statements made in the Security Council, after the adoption of the
Statute, by three States, namely, France, the United States and the Russian Federation.
Before considering what the legal meaning of these statements may be, one important
point may first be emphasised. Although they were all directed at importing, as it were, into
Article 5 the qualification concerning discriminatory intent set out in paragraph 48 of the
Secretary-Generals Report, these statements varied as to their purport. The statement by
the French representative was intended to be part of a few brief comments on the
357
Statute. By contrast, the remarks of the United States representative
For instance, the express requirement in Article 5 of a nexus with an armed conflict creates a narrower sphere
of operation than that provided for crimes against humanity under customary international law.
He stated the following: With regard to Article 5, that Article applied to all the acts set out therein when committed in
violation of the law during a period of armed conflict on the territory of the former Yugoslavia, within the context of a
widespread or systematic attack against a civilian population for national, political, ethnic, racial or religious reasons
(U.N. Doc. S/PV. 3217, p.11).
added a significant comment: We understand that other members of the Council share
358
our view regarding the following clarifications related to the Statute including the
359
clarification concerning Article 5. With regard to the representative of the Russian
Federation,his statement concerning Article 5 was expressly conceived of as an
360
interpretative declaration. Nevertheless, this declaration was made in such terms
as to
justify the proposition that for the Russian Federation, Article 5 encompasses crimes
committed with a discriminatory intent without, however, being limited to these acts
alone.
The Appeals Chamber, first of all, rejects the notion that these three statements - at least as
regards the issue of discriminatory intent - may be considered as part of the context of the
Statute, to be taken into account for the purpose of interpretation of the Statute pursuant to
the general rule of construction laid down in Article 31 of the Vienna
361
Convention on the Law of the Treaties. In particular, those statements cannot be regarded as
an agreement relating to the Statute, made between all the parties in connection with the
adoption of the Statute. True, the United States representative pointed out that it was her
understanding that the other members of the Security Council shared her views regarding the
clarifications she put forward. However, in light of the wording of the other two statements on
the specific point at issue, and taking into account the lack of any comment by the other twelve
members of the Security Council, it would seem difficult to conclude that there emerged an
agreement in the Security Council designed to qualify the
Arguably, in fact, the main purpose of those statements was to stress that it is the
existence of a widespread or systematic practice which constitutes an indispensable
ingredient of crimes against humanity. This ingredient, absent in Article 5, had already
362
been mentioned in paragraph 48 of the Secretary-Generals Report. In spelling out
that this ingredient was indispensable, the States in question took up the relevant
passage of the Secretary-Generals Report and in the same breath also mentioned the
discriminatory intent which may, in practice, frequently accompany such crimes.
The contention may also be warranted that the intent of the three States which made
these declarations was to stress that in the former Yugoslavia most atrocities had been
motivated by ethnic, racial, political or religious hatred. Those States therefore intended
to draw the attention of the future Tribunal to the need to take this significant factor into
account. One should not, however, confuse what happens most of the time (quod
plerumque accidit) with the strict requirements of law.
Be that as it may, since at least with regard to the issue of discriminatory intent those
statements may not be taken to be part of the context of the Statute, it may be argued that
they comprise a part of the travaux prparatoires. Even if this were so, these statements would
not be indispensable aids to interpretation, at least insofar as they relate to the particular issue
of discriminatory intent under Article 5. Under customary international law, as codified in Article
32 of the Vienna Convention referred to above, the travaux constitute
any instrument which was made by one or more parties in connection with the conclusion
of the treaty and accepted by the other parties as an instrument related to the treaty.
362
The Trial Chamber in its Judgement of 7 May 1997 has also correctly emphasised that the
phrases widespread and systematic are disjunctive as opposed to cumulative requirements (see
Judgement, paras. 645-648). See also the Nikolic Rule 61 Decision, (Review of the Indictment
Pursuant to Rule 61 of the Rules of Procedure and Evidence, The Prosecutor v. Dragan Nikoli},
Case No.: IT-94-2-R61, Trial Chamber I, 20 October 1995) (Nikoli} (1995) II ICTY JR 739).
The above propositions do not imply that the statements made in the Security Council by
the three aforementioned States, or by other States, should not be given interpretative
weight. They may shed light on the meaning of a provision that is ambiguous, or which
lends itself to differing interpretations. Indeed, in its Tadi} Decision on Jurisdiction the
Appeals Chamber repeatedly made reference to those statements as well as to statements
made by other States. It did so, for instance, when interpreting Article 3 of
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the Statute and when pronouncing on the question whether the International Tribunal
364
could apply international agreements binding upon the parties to the conflict.
Conclusion
The Prosecution was correct in submitting that the Trial Chamber erred in finding that all
crimes against humanity require a discriminatory intent. Such an intent is an indispensable
legal ingredient of the offence only with regard to those crimes for which this is expressly
required, that is, for Article 5 (h), concerning various types of persecution.
See Tadi} Decision on Jurisdiction, paras 75, 88 (where reference was also made to the statements of the
representatives of the United Kingdom and Hungary).
See ibid., para 143 (where reference was made to the statements of the representatives of the United States, the
United Kingdom and France).
The majority of the Trial Chamber, composed of Judge Ninian Stephen and
Judge Lal Chand Vohrah, erred when it denied the Prosecution motion for
365
production of witness statements.
This ground of appeal arose out of the Decision on Prosecution Motion for Production
of Defence Witness Statements of the Trial Chamber delivered on 27 November 1996.
By a majority (Judge McDonald dissenting), the Trial Chamber rejected the
Prosecutions motion for disclosure of a prior statement of a Defence witness after he
had testified. This decision was reached on the basis that such statements are subject
to a legal professional privilege, which protects the Defence from any obligation to
disclose them. The Prosecution submits that the Trial Chamber erred in the application
366
of the substantive law in the Witness Statements Decision.
The Prosecution submits that a Trial Chamber has the power to order the production of prior
statements of Defence witnesses pursuant to Rule 54, unless they are protected by
367
some express or implied privilege in the Statute or Rules. This power ensures that a Trial
Chamber, entrusted with the duty of making factual findings on the evidence adduced, is
368
presented with evidence which has been fully tested. It is submitted that a Trial
Chamber should have the benefit of weighing any inconsistencies between
369
statements made by witnesses in arriving at its determinations.
According to the Prosecution, if regard is had to Article 21(4)(g) of the Statute and to Sub-
rules 70(A), 90(F) and 97 of the Rules, no express privilege exempts Defence
The Prosecution also submits that no implied privilege exempting Defence witness
statements from disclosure can be inferred from the Rules (as Judge Stephen found, with
Judge Vohrah concurring). In its view, there is no ambiguity in the Rules in this regard, and
Judge Stephens reference to the legal professional privilege found in national jurisdictions
373
is incorrect. The Prosecution submits that, even if an ambiguity exists, it is incorrect to
resolve it by referring to the most common practice in adversarial jurisdictions, despite the
374
obvious influence of adversarial systems on the Rules. Sub-rule 89(B) of the Rules
expressly requires the application of rules of evidence which will best favour a fair
determination of the matter before it and are consonant with the spirit of the Statute and
the general principles of law. In line with this provision, the Trial Chamber should have
favoured an interpretation allowing it to order disclosure of Defence witness statements
where it considers that this would enable it to reach a verdict based on all pertinent
375
evidence. The Prosecution relies in particular upon the restrictions set out by
376
the U.S. Supreme Court in United States v. Nobles.
The Prosecution also submits that the disclosure of prior statements of Defence
377
witnesses is not otherwise inconsistent with the principles of a fair trial. In particular, the
principle of equality of arms does not require that the Defence be allowed to call witnesses
378
under conditions more favourable than those afforded to the Prosecution. If the Defence
The Defence submits that the Trial Chambers Witness Statements Decision was
correctly decided.
The Trial Chamber was correct in holding that the Statute and Rules do not
380
specifically deal with the problem at issue. The Defence also submits that, in
light of the essentially adversarial system under which the Tribunal operates, the
term the general principles of law in Sub-rule 89(B) should be interpreted as
381
meaning the general principles of law emerging from adversarial systems.
The Defence submits that the general principles referred to may be summarised as
follows. To begin with, the burden of proving the allegation is on the Prosecution. The
Prosecution must inform the accused of the charges and the evidence against him. The
accused has the right to remain silent and to require the Prosecution to prove its case.
There is no duty similar to that imposed on the Prosecution for the Defence to disclose
its evidence, and the privilege attaching to Defence witness statements is not waived
382
when the witness in question gives evidence.
It is also submitted that to allow such disclosure would increase the inequality of
383
arms between the parties. Furthermore, the Defence emphasises that because privilege can
be claimed for communications between the client and third parties when litigation is
384
ongoing in most adversarial jurisdictions, such disclosure would be incorrect. The
Defence also submits that such a disclosure requirement might deter witnesses from
Ibid.
Defences Substituted Response to Cross-Appellants Brief, para. 6.3; Skeleton Argument of the
Prosecution, para. 5(b).
Defences Substituted Response to Cross-Appellants Brief, para. 6.13; Skeleton Argument of the
Prosecution, para. 5(d).
Skeleton Argument of the Prosecution, paras. 5(f) -(g).
T. 275 (21 April 1999).
T. 275, 278 (21 April 1999).
Discussion
While neither party asserts that the Witness Statements Decision had a bearing on
386
the verdicts on any of the counts or that an appeal lies under Article 25(1), they both agree
that this is a matter of general importance which affects the conduct of trials before the Tribunal
and therefore deserves the attention of the Appeals Chamber. The Prosecution further submits
that the Witness Statements Decision, as it stands, remains persuasive authority that the
387
Defence cannot be ordered to disclose prior witness statements.
The Appeals Chamber has no power under Article 25 of the Statute to pass, one way or
another, on the decision of the Trial Chamber as if the decision was itself under appeal.
But the point of law which is involved is one of importance and worthy of an expression
of opinion by the Appeals Chamber. The question posed as to whether or not a Trial
Chamber has the power to order the disclosure of prior Defence witness statements
after the witness has testified, must be placed in its proper context. Further, it is the
view of the Appeals Chamber that this question impinges upon the ability of a Trial
Chamber to meet its obligations in searching for the truth in all proceedings under the
jurisdiction of the International Tribunal, with due regard to fairness. The judicial
mandate of the International Tribunal is carried out by the Chambers, in this case a
Trial Chamber, as this is a matter that arose during the trial process.
It is therefore necessary that the Appeals Chamber clarify the context in which the question
posed is discussed. This is a matter that touches upon the duty of a Trial Chamber to ascertain
facts, deal with credibility of witnesses and determine the innocence or guilt of
The Appeals Chamber is of the view that the Defence witness statement referred to
would be a recorded description of events touching upon the indictment, made and,
normally, signed by a person with a view to the preparation of the Defence case.
There is no blanket right for the Prosecution to see the witness statement of a
Defence witness. The Prosecution has the power only to apply for disclosure of a
statement after the witness has testified, with the Chamber retaining the discretion
to make a decision based on the particular circumstances in the case at hand.
The power of a Trial Chamber to order the disclosure of a prior Defence witness statement
relates to an evidentiary question. Strictly speaking, the principle of equality of arms is not
relevant to the problem. Also, since the Statute and the Rules do not expressly cover the
problem at hand, the broad powers conferred by Sub-rule 89(B) may come into
388
play. The question to be addressed is whether those powers include the power
of a Trial Chamber to order the disclosure of a prior Defence witness statement.
The mandate of the International Tribunal, as set out in Article 1 of the Statute, is to
prosecute persons responsible for serious violations of international humanitarian law
committed in the former Yugoslavia. To fulfil its mandate, a Trial Chamber has to ascertain
the credibility of all the evidence brought before it. A Trial Chamber must also take account
of the following provisions of the Statute: Article 20(1), concerning the need to ensure a fair
and expeditious trial, Article 21 dealing with the rights of the accused, and Article 22,
dealing with the protection of victims and witnesses. Further guidance may be taken from
389
Article 14 of the International Covenant on Civil and Political Rights and
With regard to the present case, once a Defence witness has testified, it is for a Trial
Chamber to ascertain the credibility of his or her testimony. If he or she has made a
prior statement, a Trial Chamber must be able to evaluate the testimony in the light of
this statement, in its quest for the truth and for the purpose of ensuring a fair trial.
Rather than deriving from the sweeping provisions of Sub-rule 89(B), this power is
inherent in the jurisdiction of the International Tribunal, as it is within the jurisdiction of
any criminal court, national or international. In other words, this is one of those powers
mentioned by the Appeals Chamber in the Bla{kic (Subpoena) decision which accrue to
a judicial body even if not explicitly or implicitly provided for in the statute or rules of
procedure of such a body, because they are essential for the carrying out of judicial
391
functions and ensuring the fair administration of justice.
It would be erroneous to consider that such disclosure amounts to having the Defence
assist the Prosecution in trying the accused. Nor does such disclosure undermine the
essentially adversarial nature of the proceedings before the International Tribunal,
(1) All persons shall be equal before the courts and tribunals. In the determination of any criminal
charge against him, or of his rights and obligations in a suit at law, everyone shall be entitled to a fair
and public hearing by a competent, independent and impartial tribunal established by law. .
Everyone charged with a criminal offence shall have the right to be presumed innocent until
proved guilty according to law.
In the determination of any criminal charge against him, everyone shall be entitled to the following
minimum guarantees, in full equality: (a) to be informed promptly and in detail in a language which he
understands of the nature and cause of the charge against him; ; (c) to be tried without undue
delay; (d) to be tried in his presence, and to defend himself in person or through legal assistance ;
to examine, or have examined, the witnesses against him and to obtain the attendance and examination
of witnesses on his behalf under the same conditions as witnesses against him; ;
not to be compelled to testify against himself or to confess guilt. .
390
Article 6 provides in part:
(1) In the determination of his civil rights and obligations or of any criminal charge against him,
everyone is entitled to a fair and public hearing within a reasonable time by an independent and
impartial tribunal established by law. .
Everyone charged with a criminal offence shall be presumed innocent until proved guilty
according to law.
Everyone charged with a criminal offence has the following minimum rights: (a) to be informed promptly,
in a language which he understands and in detail, of the nature and cause of the accusation against
him; ; (d) to examine or have examined witnesses against him and to obtain the attendance
and examination of witnesses on his behalf under the same conditions as witnesses against him; .
See Judgement on the Request of the Republic of Croatia for Review of the Decision of Trial Chamber II
of 18 July 1997, The Prosecutor v. Tihomir Bla{ki}, Case No.: IT-95-14-AR108bis, Appeals
Chamber, 29 October 1997, para. 25.
the Trial Chamber may order that the defence, before the commencement of
its case but after the close of the case for the prosecution, file the following:
;
a list of witnesses the defence intends to call with:
the name or pseudonym of each witness;
a summary of the facts on which each witness will testify;
This Sub-rule does not require that the Defence file its witness statements. But the
substance is not far removed: the provision has been designed to assist a Trial
Chamber in preparing for hearing the Defence case, and the Prosecution in
preparing for cross-examination of the witnesses.
As stated above, once the Defence has called a witness to testify, it is for a Trial
Chamber to ascertain his or her credibility. If there is a witness statement, in the sense
referred to above, it would be subject to disclosure only if so requested by the Prosecution
and if the Trial Chamber considers it right in the circumstances to order disclosure. The
provisions of Rule 68 are limited to the Prosecution and do not extend to the Defence.
Disclosure would follow only once the Prosecutions case has been closed. Even then,
392 393 394
Sub-rules 89(C), (D) and (E) would still apply to such a disclosed witness
statement, with the consequence that a Trial Chamber might still exclude it. Furthermore,
the provisions of Sub-rule 90(F) relating to self-incrimination would of course apply.
The Appeals Chamber is also of opinion that no reliance can be placed on a claim to
395
privilege. Rule 97 relates to lawyer-client privilege; it does not cover prior
Defence witness statements.
Sub-rule 89(C) provides: A Chamber may admit any relevant evidence which it deems to have probative
value.
Sub-rule 89(D) provides: A Chamber may exclude evidence if its probative value is substantially
outweighed by the need to ensure a fair trial.
Sub-rule 89(E) provides: A Chamber may request verification of the authenticity of evidence obtained out of court.
Rule 97 provides in part: All communications between lawyer and client shall be regarded as privileged, and
consequently not subject to disclosure at trial .
Conclusion
For the reasons set out above, it is the opinion of the Appeals Chamber that a Trial
Chamber may order, depending on the circumstances of the case at hand, the
disclosure of Defence witness statements after examination-in-chief of the witness.
IX. DISPOSITION
ALLOWS the first ground of the Prosecutions Cross-Appeal, REVERSES the Trial
Chambers verdict in this part, AND FINDS the Appellant guilty on Counts 8, 9, 12,
15, 21 and 32 of the Indictment;
DEFERS sentencing on the Counts mentioned in sub-paragraphs (4) and (5) above
to a further stage of sentencing proceedings;
HOLDS that an act carried out for the purely personal motives of the perpetrator can
constitute a crime against humanity within the meaning of Article 5 of the Tribunals
Statute relating to such crimes;
FINDS that the Trial Chamber erred in finding that all crimes against humanity require
discriminatory intent and HOLDS that such intent is an indispensable legal ingredient of the
offence only with regard to those crimes for which it is expressly required, that is, for the
types of persecution crimes mentioned in Article 5(h) of the Tribunals Statute;
HOLDS that a Trial Chamber may order, depending on the circumstances of the
case at hand, the disclosure of Defence witness statements after examination-in-
chief of the witness.
Done in both English and French, the English text being authoritative.
______________________ ________________________________
Rafael Nieto-Navia Florence Ndepele Mwachande Mumba
It is notable that the International Tribunals own Statute recognises the maxim of non
bis in idem. Article 10 protects a person tried by the Tribunal from subsequent
prosecution by a national court. The corollary is also true: a person tried by a national
court may not be tried subsequently by the International Tribunal unless the original
charge was classified as a common crime, or the national court proceedings did not
conform to the fundamental principles of criminal law (that is, the court proceedings
were not independent and impartial, or were conducted to shield the accused from
international criminal responsibility, or the charge was not prosecuted diligently).
Can a general principle of law be discerned from the practice of domestic courts? In the
United States, the Supreme Court has interpreted the double jeopardy clause of
1
the Fifth Amendment to mean that the Prosecution cannot appeal against a verdict,
2
whether on an error on a question of law or fact. This finality accorded to criminal
judgements is intended to protect the acquitted or convicted person against
prosecution oppression. Double jeopardy does not bar the convicted person from
appealing because he/she chooses to put himself/herself at risk once more.
The Fifth Amendment of the U.S. Constitution reads: nor shall any person be subject for the
same offence to be twice put in jeopardy of life or limb.
See United States v. DiFrancesco, 449 U.S. 117 (1980); Kepner v. United States, 195 U.S. 100
(1904); Sanabria v. United States, 437 U.S. 54 (1978); Green v. United States, 355 U.S. 184 (1957).
147
Similarly, in the United Kingdom, the application of the double jeopardy principle
precludes the Prosecution from appealing against acquittals, except where the appeal
challenges an acquittal tainted by bribery, threats or other interference with a
3
witness or juror, or where the appeal is from acquittal in the magistratescourt
by case stated to the Divisional Court of the Queens Bench Division on the
ground that it was rendered in error of law or in excess of jurisdiction.
Thus, it seems that the common law gives special weight to acquittals. In the
United Kingdom, the Prosecution does not have the right to appeal although
appeals are allowed in certain clearly circumscribed instances. In the United
4
States, there is a complete bar on appeals against acquittals.
I turn now to examine the position adopted by countries in the civil law tradition.
Civil law generally allows appeals against decisions at first instance. However,
decisions rendered by the second-tier courts can be appealed by way of
cassation only on errors of law. In France, the Prosecution may lodge a pourvoi
en cassation to challenge procedural irregularities, which inter alia, include an
5
error in law made by the lower court.
non bis in idem because the judgement at trial is not seen to constitute the end
6
of the criminal proceeding. It seems that, in the German legal system, jeopardy
attaches with the criminal charge and continues through all proceedings that
7
arise from the original charge. Hence, a Prosecution appeal from acquittal is
seen as another step in the criminal proceedings.
This brief survey of domestic practice, though far from comprehensive, reveals that no
general principle of law can be drawn from domestic practice. Unlike the Anglo-
American common law system, the civil law system does not construe Prosecution
appeals against acquittals to compromise the principle of non bis in idem.
It seems to me that this conclusion is buttressed by the fact that the rationale which
underpins the common laws vigorous approach is absent in the context of prosecutions
before the International Tribunal. The impetus for the special weight given to acquittals
is the desire to prevent the government, with its vast superior resources, from abusing
its power to prosecute accused persons by re-prosecuting them until it
8
manages to obtain convictions. In the International Tribunal, while the
Prosecution prosecutes on behalf of the international community, it is not
supported by a governmental apparatus with abundant resources. Like the
Defence, it too must rely on the co-operation of external entities. Moreover,
Articles 20(1) and 21(4) guarantee to each party equality of arms.
With respect to the fourth ground of cross-appeal, on the question of whether there
exists a crime against humanity where the accused acted out of purely personal
motives, I join in the reasoning and conclusion offered by my learned colleague,
Judge Shahabuddeen, in his separate opinion. I would add only the following to
elaborate my own position. The reason that a crime against humanity under Article
5 cannot be committed for purely personal motives completely unrelated to the
attack on a civilian population is that, being a crime under international law, there
must be a proximate connection between the underlying act(s) and the surrounding
armed conflict. An unlawful act perpetrated in the context of an armed conflict, but
unrelated to the hostilities, is a common crime under national law. The fact that such
a crime was committed in the context of an armed conflict does not render it subject
to international humanitarian law.
On the question of whether the Prosecution has a right to the production of Defence
the decision of the Appeals Chamber for the reasons set out in Judge Shahabuddeens
separate opinion.
Done in both English and French, the English text being authoritative.
______________________
Rafael Nieto-Navia
Some time ago, yet not far from where the events in this case happened, a
"breakdown of law and order" occurred. There "were savage and pitiless actions
into which men were carried not so much for the sake of gain as because they were
swept away into an internecine struggle by their ungovernable passions". The
turmoil saw "the ordinary conventions of civilised life thrown into confusion". Sadly, it
seems, people took "it upon themselves to begin the process of repealing those
general laws of humanity which are there to give a hope of salvation to all who are
in distress, instead of leaving those laws in existence, remembering that there may
1
come a time when they, too, will be in danger and will need their protection.
That last reflection of a great thinker of antiquity was later expressed in the saying by
Westlake "that the mitigation of war must depend on the parties to it feeling that they
belong to a larger whole than their respective tribes or states, a whole in which the
enemy too is comprised, so that the duties arising out of that larger citizenship are
owed even to him".2 The development of a sense of that "larger citizenship" has been
disappointingly slow. Since the ancient chronicler spoke of the "general laws of
humanity", then lacking legal force but still recognisable, it has taken over two thousand
years for those "laws" to assume the shape of binding norms applying world-wide. To
what extent did they govern in this case? And, with what consequences?
I agree with the conclusions reached by the Appeals Chamber, and very largely
with its arguments, subject to reservations on some aspects (including the
relationship between the Rome Statute and the development of customary
international law). I propose to explain my position on some of the points on
which my reasoning may not be the same.
"requirement that the conflict be international for the grave breaches regime to operate
Thucydides, The Peloponnesian War, tr. Rex Warner (Middlesex, 1961), p. 211, speaking of the island of
Corcyra.
The Collected Papers of John Westlake on Public International Law, ed. L. Oppenheim (Cambridge, 1914),
p. 274.
151
pursuant to Article 2 of the Statute has not been contested by the parties". That point is
not being considered.
As to the points which are being considered, I agree with the Appeals Chamber, and
with Judge McDonald, that there was an international armed conflict in this case. I also
appreciate the general direction taken by the judgement of the Appeals Chamber, but,
so far as this case is concerned, I am unclear about the necessity to challenge
Nicaragua (I.C.J Reports 1986, p. 14). I am not certain whether it is being said that that
much debated case does not show that there was an international armed conflict in this
case. I think it does, and that on this point it was both right and adequate.
The Issue
The issue in this branch of the case is whether, after 19 May 1992, there was an
"armed conflict" between the Federal Republic of Yugoslavia (Serbia and Montenegro)
(FRY) and Bosnia and Herzegovina (BH) within the meaning of Article 2, first
paragraph, of the Geneva Convention relative to the Protection of Civilian Persons in
Time of War ("Fourth Geneva Convention"). The provision states that "... the present
Convention shall apply to all cases of declared war or of any other armed conflict which
may arise between two or more of the High Contracting Parties ...". There was no state
of declared war. If also there was no "armed conflict" as between the FRY and BH (as
the majority of the Trial Chamber seemingly thought), the Fourth Geneva Convention
did not apply, and the question whether victims were protected persons within the
meaning of Article 4, first paragraph, of the Convention did not arise, a question which
the majority nevertheless answered. Persons could only be protected by the
Convention if the Convention in the first instance applied to the armed conflict by which
they were affected.
Nicaragua Shows That There Was an Armed Conflict Between the FRY,
Acting Through the VRS, and BH
By contrast, the Court considered that, as distinguished from the mere supplying
of funds, the United States had committed other acts in relation to the contras
which amounted to a threat or use of force against Nicaragua. In paragraph 228
of its judgement, the Court put it this way:
As to the claim that United States activities in relation to the contras constitute a
breach of the customary international law principle of the non-use of force, the Court
finds that, subject to the question whether the action of the United States might be
justified as an exercise of the right of self-defence, the United States has committed a
prima facie violation of that principle by its assistance to the contras in Nicaragua, by
'organizing or encouraging the organization of irregular forces or armed bands ...
for incursion into the territory of another State', and 'participating in acts of
civil strife ... in another State', in terms of General Assembly resolution
2625(XXV). According to that resolution, participation of this kind is contrary
to the principle of the prohibition of the use of force when the acts of civil
strife referred to 'involve a threat or use of force'. In the view of the Court,
while the arming and training of the contras can certainly be said to involve
the threat or use of force against Nicaragua, this is not necessarily so in
respect of all the assistance given by the United States Government.
The Court then mentioned "the mere supply of funds to the contras" as a form of
assistance which did not amount to a use of force, although it amounted to intervention.
Subject to that kind of exception, the Court considered that the arming and training of
the contras in the circumstances of the case amounted to a use of force.
The Court adhered to this view in its formal disposition of the case. In paragraph 292(3)
of its holding, it decided that the United States, by "training, arming, equipping,
financing, and supplying the contra forces or otherwise encouraging, supporting and
aiding military and paramilitary activities in and against Nicaragua" intervened in the
153
affairs of Nicaragua. Then, in paragraph 292(4), it held that the United States, "by those
acts of intervention referred to in subparagraph (3) hereof which involve the use of
force, has acted, against the Republic of Nicaragua, in breach of its obligation under
customary international law not to use force against another State". The acts of
intervention which involved a use of force included the arming and training of the
contras, the Court having explicitly held that "the arming and training of the contras can
certainly be said to involve the threat or use of force against Nicaragua".
This is consistent with the Court's statement, in paragraph 238 of its judgement,
that the United States, having no legal right to use force in the circumstances of
the case, "has violated the principle prohibiting recourse to the threat or use of
force ... by its assistance to the contras to the extent that this assistance
'involves a threat or use of force' (paragraph 228 above)". Paragraph 228, to
which the Court referred, is set out in relevant part above.
The contras were not using force exclusively on behalf of the United States; the
case makes it clear that they were also using force on their own behalf against
the Government of Nicaragua. This must be borne in mind in considering the
following statement of the Court:
I do not think anything in this passage is opposed to the conclusion that the United
States was using force through the contras against the Government of Nicaragua, a
finding which the Court in fact made as, I think, the Appeals Chamber in this case
recognises (see para. 130 of the judgement). To judge whether that finding is
applicable here, it is necessary to consider the facts of this case.
The Trial Chamber accepted that, having been itself in direct armed conflict with BH
through the Yugoslav People's Army ("JNA"), the FRY established the VRS, trained it,
equipped it, supplied it and maintained it. The establishment was done by the FRY, on
19 May 1992, by leaving in BH part of the JNA to function as the VRS, and doing that
just days after the Security Council had called on the FRY to withdraw from BH. Senior
military officers from the FRY were members of the staff of the VRS. The FRY paid the
salaries (and pensions after retirement) of officers of the VRS who came over
154
Yugoslav Army, or VJ, as the Yugoslav portion of the old JNA was now known. The
VRS was engaged in carrying out the FRY's plan of ethnic cleansing and of carving out
territory of BH to be ultimately added to that of the FRY so as to realise the FRY's
ambition to create a "Greater Serbia".
Thus, the FRY did more than provide general funds to the VR S. On the basis of
Nicaragua, I have no difficulty in concluding that the findings of the Trial Chamber
suffice to show that the FRY was using force through the VRS against BH, even if it is
supposed that the facts were not sufficient to fix the FRY with responsibility for any
delictual acts committed by the VRS. The FRY and BH were therefore in armed conflict
within the meaning of Article 2, first paragraph, of the Fourth Geneva Convention, with
the consequence that the Convention applied to that armed conflict.
Citing Nicaragua, the majority of the Trial Chamber (Judge Stephen and Judge
Vohrah) held that the test as to whether there was an international armed conflict
was whether the FRY had effective control over the VRS, which it considered meant
command and control. (Judgement of the Trial Chamber, paras. 598 and 600). It
found that the FRY did not have command and control over the VRS and so did not
have effective control over the VRS; in its opinion, the relationship between them
was one of coordination and cooperation as between allies (as to the legal
implications of which I reserve my opinion). Consequently, in the view of the
majority, the FRY was not a party to the armed conflict in BH after 19 May 1992. In
effect, after that date, that conflict was not international.
With respect, it is too high a threshold to insist on proof of command and control for
the purpose of determining whether a state was using force through a foreign
military entity, as distinguished from whether the state was committing breaches of
international humanitarian law through that entity. In Nicaragua, the Court held that
the United States was using force through the contras by reason of the fact that, in
the circumstances of that case, it was arming and training the contras. The Court
did not say that these facts amounted to command and control; if they did, they
should have given rise to state responsibility for breaches by the contras of
international humanitarian law, which the Court said was not the case.
155
The General Question of State Responsibility for the Delictual Acts of Another
On the question whether the United States was responsible for the delictual acts of
the contras, the Appeals Chamber considered that Nicaragua was not correct and
reviewed the general question of the responsibility of a state for the delictual acts of
another. It appears to me, however, that that question does not arise in this case.
The question, a distinguishable one, is whether the FRY was using force through
the VRS against BH, not whether the FRY was responsible for any breaches of
international humanitarian law committed by the VRS.
For these reasons, although I appreciate the general tendency of the judgement
of the Appeals Chamber, I would respectfully reserve my position on the new
test proposed.
The prosecution argues that Nicaragua is not relevant. It makes two points. First,
it says that Nicaragua was concerned with the responsibility of a state for delictual acts
of third parties, and not with the criminal responsibility of the individual. I am of the view,
however, that, whatever the context, what constitutes a use of force (a necessary
element of an armed conflict) is so fundamental as to require constancy of principle.
The distinction between the responsibility of a state and the criminal responsibility of the
individual is interesting; but it is not of assistance on the question what constitutes a
use of force. That is a concept of common currency in international law.
Second, the prosecution submits that Nicaragua did not enquire into whether the conflict
was internal or international for the purposes of the Geneva Conventions of 1949. In its
view, the Court found it unnecessary to do so, considering that, by virtue of common article
3 of the Geneva Conventions, the issues were determinable by reference to customary
international law relating to the applicability of minimum humanitarian principles to the use
of force, whether in the course of an international armed conflict or in the course of an
internal one. That was so, with the consequence that it was not necessary for the Court to
determine whether the Geneva Conventions, as such, were
157
inapplicable by reason of a United States exclusion of multilateral conventions as set out
in its acceptance of the compulsory jurisdiction clause of the Statute of the Court. (I.C.J.
Reports 1986, paras. 217-220 and 255; and see I.C.J. Reports 1984, p. 421, para. 67).
But this does not mean that the Court did not have to consider whether there was a use
of force, for, altogether apart from the question whether there was a breach of the
Geneva Conventions, Nicaragua, as has been seen, had claimed that "the United
States, in breach of its obligation under general and customary international law, has
used and is using force and the threat of force against Nicaragua..." ( I.C.J. Reports
1986, p. 19, para. 15(c)). That is the point involved here. In Nicaragua, the Court did not
have to determine whether the conflict was internal or international; but it did have to
determine whether the United States was using force against Nicaragua through the
contras, and, on my interpretation, it did decide that there was such a use of force. If
there was such a use of force by one state against another, ex definitione the conflict
was international, whether or not it was necessary for the Court to decide that it was.
That is true. However, there is a difference between saying that the question whether there
is an armed conflict between states is a factual one and saying that, for that reason, it is not
necessary to determine whether there is an armed conflict between
158
states. Factual as the criterion may be, it remains necessary to determine whether there is an
armed conflict between states. This question is not a generalised one as to whether an
armed conflict has become "internationalised" in any broad sense of the term;nor is it to be
determined by reference to criteria of unmanageable plasticity. The question is a
precise one as to whether there is an "armed conflict ... between two or more of the High
Contracting Parties ..." to the Fourth Geneva Convention. Barring a "declared war"
between them, it is only if there is such a conflict that the Convention applies.But whether
or not there is such a conflict turns,ex hypothesi, on whether one state is using force
against the other. A demonstrable link test has to result in showing whether or not
force was being used by a state. If the test premises that it is not necessary to
prove that a state was using force, it is not persuasive.
More pertinently, if the proposed test is meant to show whether or not force was
being used by a state through a foreign army, it has to have the effect of
connecting the state with the use of force by the foreign army; and I do not see
how it can do this unless it has a degree of specificity commensurate with the
gravity of a finding that one state was using force against another and with the serious
implications of such a finding for individual criminal responsibility, for, if the Convention
applies, the individual becomes liable to conviction for certain serious crimes to which he
would not otherwise be exposed. If the test has the requisite degree of specificity,I do not
see the advantage which it possesses over the other tests concerned. Whatever
may be said about the latter, they appear to have that quality. Thus, the proposed
test is either unnecessary or inadequate.
The Appeals Chamber is intervening in this part of the case because it holds that the Trial
Chamber applied the wrong legal criterion. In another part of the case (and, in a sense, in
this part also), the question of evaluation of facts is concerned. It may be convenient to say
a word on the basis on which, I believe, the Appeals Chamber acts.
Assessment of facts is primarily a matter for the Trial Chamber. But appeals to the
Appeals Chamber are by way of rehearing, though not involving a hearing de novo
3
J.S.Pictet, Humanitarian Law and the Protection of War Victims (Leyden, 1975), p. 50.
159
in the Appeals Chamber. Thus, the Appeals Chamber is also a judge of fact, although it
must take account of its disadvantage in that, unlike the Trial Chamber, it cannot assess
the witnesses first hand. Further, the Appeals Chamber is in as good a position as the
Trial Chamber to decide on the proper inferences to be drawn from undisputed facts, or
from facts which, being disputed, are established by the findings of the Trial Chamber.
Consequently, the Appeals Chamber will intervene where it can see that no
reasonable person would have taken the view taken by the Trial Chamber. But, of
course, the Appeals Chamber can also intervene if the Trial Chamber did not take
into account relevant facts, or if it took account of irrelevant ones, or if it applied the
wrong legal criterion to the determination of the legal significance of the facts.
With respect, I think that, as regards another part of this case (concerning Jaski}i), the
decision of the Trial Chamber is not sustained by the criterion of reasonableness. More
particularly, however, I consider that, as regards the question whether there was an
international armed conflict, the wrong legal criterion was used.
4
Sir Hersch Lauterpacht and C.H.M.Waldock (eds.), The Basis of Obligation in International Law and
Other Papers by the Late James Leslie Brierly, 1958, p. 98.
In re W. (An Infant), [1971] AC 682, HL, p. 700, per Lord Hailsham.
160
Therefore, if the Trial Chamber meant that the existence of personal motives excluded the
possibility of a crime against humanity being committed if the elements of the crime were
proven, I should have difficulty insupporting that. But I respectfully agree with the
Appeals Chamber that the Trial Chamber did not mean to sayso. What the Trial Chamber
said, in paragraph 659 of its judgement, was this:
Thus if the perpetrator has knowledge, either actual or constructive, that these
acts were occurring on a widespread or systematic basis and does not commit
his act for purely personal motives completely unrelated to the attack on the
civilian population, that is sufficient to hold him liable for crimes against humanity.
Therefore the perpetrator must know that there is an attack on the civilian
population, know that his act fits in with the attack and the act must not be taken
for purely personal reasons unrelated to the armed conflict.
There are difficulties in the passage, but, read as a whole and in the context in which it
occurred, I do not think it meant that, if the accused "knows that his act fits in with the
attack", that attack being one "on the civilian population", the mere circumstance that he
acted out of personal motives sufficed to exclude the commission of the crime.
"Denunciation" type cases, in which the accused sought to avail himself of the
arrangements relating to the attack on the civilian population in order to advance his
personal motives, are crimes against humanity. And rightly so, for those are cases in
which, however personal were the motives, the act fitted in with the attack on the
civilian population, within the contemplation of the phrase used by the Trial Chamber.
What, I apprehend, the Trial Chamber had in mind was a distinguishable situation in
which, although the accusedknew of the attack on the civilian population, he
did not in fact intend to link his act to the attack but acted "forpurely
6
personal motives
an
completely unrelated to the attack on the civilian population". Thus, in the period of
attack on a certain civilian population, a jealous husband, being a member of the
aggressor group, might kill his wife, being a member of the attacked civilian population,
for exactly the same reasons, and no other, for which he would have killed her had she been a
member of his own group. It does not appear to me that the mere fact that he knew of the
attack on the civilian population could serve to classify his act as a crime against humanity
in the absence of proof that he intended that his act should fit in with the arrangements for
theattack. That proof is apparent in "denunciation" type cases.I t is absent in the example
suggested; the arrangements relating to the attack on the civilian population played no
part in the commission of the act. Were the law as submitted by
(Emphasis added). The intent (or motive) of the perpetrator in murder must be linked to carrying out
the state action or policy. See Cherif Bassiouni, Crimes against Humanity in International Criminal Law
(Dordrecht, 1992), p.292.
161
the prosecution, whereas the killing of the wife, who was a member of the aggressor
group, would always be simple murder, that of the wife, who was a member of the
attacked civilian population, would always be a crime against humanity.
The hypothesis of the murder of the wife, who was a member of the attacked civilian
population, is accommodated by the necessity for the prosecution to prove, as an element
of a crime against humanity, that the murder was "directed against any civilian population"
as is required by the chapeau of Article 5 of the Statute. Such a murder would not have
been directed against the civilian population. Where the evidence is of that kind, the
prosecution has failed to prove that element of a crime against humanity.
The Trial Chamber seems to have regarded the non-existence of personal reasons as being
itself an element of the crime to be proved by the prosecution. With respect, that was a
mistake. The prosecution does not have to prove negatively that there were no personal
reasons; it has to prove affirmatively that the crime was directed against the civilian
population. However, the evidence may show that the act was not directed against the
civilian population for any of several reasons, and one of these may be that it was done for
purely personal reasonscompletely unrelated to the attack on the civilian population,
as discussed above. That possibility may be disclosed either by the evidence for the
prosecution or by that for the defence. If that is the evidence, failure by the prosecution to
overcome it means that the prosecution has failed to prove a required element of a crime
against humanity, namely, that the act was directed against the civilian population.
That is a far cry from suggesting, as the Trial Chamber seems to have done, that
it is an element of the crime, having to be proved by the prosecution, that the act
of the accused was not dictated by purely personal motives. But I do not think
that the Trial Chamber was wrong in taking the position that, where the act was
dictated by purely personal motives which were completely unrelated to the
attack on the civilian population, no crime against humanity was committed,
even if the accused was aware of that attack.
162
Whether the Prosecution has a Right to Disclosure of Defence
Witness Statements
I respectfully agree with the decision of the Appeals Chamber on this point but would
add something on the reasoning out of the matter and the scope of the result.
The provisions of theStatute of the Tribunal relating to evidence are sparse. That
suggests that there is room forfashioning the rest of the needed system under Article 15 of
the Statute and Rules 54 and 89(B) of the Rules of Procedure and Evidence. Barring
amendment of the Rules, how far can the Chambers now go?
41. Rule 90(E) provides for a privilege against self-incrimination, and Rule 97
7
provides for a lawyer-client privilege. It may be argued that, by implication, these express
provisions exclude what is called a litigation privilege, which would have the effect of
denying to the prosecution a right of access to defence witness statements. The exclusion of
that privilege would leave a Chamber free to order disclosure of such statements in pursuit
of its search for truth. But the sparsity of the provisions relating to evidence counsels
caution in adopting that approach.
I do not think that protection from disclosure is provided by Rule 70(A), which
states:
It could be argued that the last phrase contemplated the pre-trial stage only; but I think that
a better view is that the provision (as set out in the scheme of the Tribunals Rules) was
seeking, in part, to cancel out the effect of previous provisions which themselves assumed
that, to the extent that such previous provisions did not control, reports, memoranda or
other internal documents would not be subject to disclosure at any stage of the case. It
would be odd if the protection afforded by Rule 70(A) was confined to the pre-trial stage,
with the material being open to disclosure at any stage thereafter. No doubt, a similar
provision is differently understood elsewhere. But it is good to recall that the transposition
of a municipal text to the international plane does not necessarily take with it the technical
environment in which the original text had its life. Otherwise,
cannot adapt itself as easily as it did to its proper setting". On balance, I agree with the
prosecution that the protection referred to by Rule 70(A), as this provision occurs within
the framework of the Tribunals Rules, is to be regarded as extending throughout the case.
The question remains, however, as to what are the categories of material to which the
protection provided by Rule 70(A) attaches. The opening words of the provision are not
"Save as excepted in the provisions of Rules 66 and67 ...". The "notwithstanding" formula
used means that, "notwithstanding"the provisions of Rules
and 67, "reports, memoranda or other internal documents ... are not subject to
disclosure ...". If those categories include witness statements,and thus deny the defence
access to prosecution witness statements, a conflict exists with Rule 66(A)(ii), under
which copies of prosecution witness statements must be made available to the defence.
The particularity of Rule 66(A)(ii) suggests that witness statements are not included in
the general reference to "reports, memoranda or other internal documents" in Rule 70(A).
In the result, defence witness statements are not protected against disclosure by virtue of
Rule 70(A).
But what of the arrangements for reciprocal inspection of materials? Under Rule
66(B), at the request of the defence, the Prosecutor is required to
permit the defence to inspect any books, documents, photographs and tangible objects
in his custody or control, which are material to the preparation of the defence, or are
intended for use by the Prosecutor as evidence at trial or were obtained from or
belonged to the accused.
If the defence avails itself of this right, the Prosecutor has a reciprocal right under Rule
67(C), reading:
If the defence makes a request pursuant to Sub-rule 66(B), the Prosecutor shall be
entitled to inspect any books, documents, photographs and tangible objects, which are
within the custody or control of the defence and which it intends to use as evidence at
the trial.
These provisions refer to real evidence, not to proofs of testimonial evidence which is
expected to be given by a witness. A larger meaning may be suggested by the words
"which are material to the preparation of the defence", but those words occur in
Reparation Case, I.C.J. Reports 1949, p. 215, dissenting opinion of Judge Badawi Pasha.
164
Rule 66(B) and do not recur in Rule 67(C). Accordingly, even if they bear that larger
meaning, those words do not operate to entitle the prosecution to inspect defence witness
statements.
The prosecution is obliged to furnish the defence with copies of prosecution witness
statements and with any exculpatory evidence. Thus, so far as this kind of material is
concerned, the defence does not need to invoke reciprocity to gain access to the material.
It may seem odd and unbalanced that the defence has a unilateral right to receive
copies of prosecution witness statements under Rule 66(A)(ii). But that, I think, is the
transmuted equivalent of the right of an accused person, under many legal systems, to be
apprised beforehand, in one way or another, of the evidence for the prosecution. Also, it has
to be remembered that, altogether apart from the question whether he is guilty or not
9
Fairness requires this
In my opinion, the reciprocity provisions of Rule 67(C), read with Rule 66(B), do not
enable the prosecution to have access to defence witness statementsMore.
importantly, it appears to me that, a contrario, those provisions imply that the
prosecution stands excluded from such access:materials to which the prosecution may
have access, and then only on a reciprocal basis, are specified, and they do not
include defence witness statements.
A new Rule 73ter(B), not in force at the relevant time, empowers a Trial Chamber to order
the defence to file, between the close of the case for the prosecution and the opening of the
case for the defence, "a summary of the facts on which each (defence) witness will
testify".10 That goes some way in the direction of the submissions of the prosecution in this
case, but not all the way: it implies that the prosecution has no right of access to defence
witness statements.
See the reference by Lord Parker CJ to the impermissibility of "an accusation of crime without cause" in R. v.
Martin [1961] 2 All ER 747.
See Richard May and Marieke Wierda, "Trends in International Criminal Evidence: Nuremberg, Tokyo, The
Hague and Arusha" Col. J. of Trans. L, Vol. 37, 1999, No. 3, p. 761.
165
That is in keeping with the litigation privilege or the work product doctrine. The right is
lost only where it is waived by the defence. It is waived where the defence itself puts a
defence witness statement in issue by relying on it for one purpose or another. Such was the
case of Nobles, 422 U.S. 244. There, defence counsel, in cross-examining two prosecution
witnesses, sought to impeach their credit by reference to oral statements which they had
allegedly made to a defence investigator as preserved in the latter's "report" to defence
counsel - something in the nature of a witness statement. In the view of the United States
Supreme Court, the trial judge had power, in those circumstances, to order the defence to
make the "report" available to the prosecution after examination-in-chief of the investigator
by the defence. That, with respect, was right; for the "report", having been relied on by the
defence in cross-examining the two prosecution witnesses, was a factor which would
obviously enter into the assessment of the truth.The report was thus put in issue by the
defence itself.
On a similarly limited basis, a Trial Chamber has power to order the defence to make a
defence witness statement available to the prosecution. I speak of a "limited basis" because
I do not support the view that the prosecution has an unlimited right to see a defence
witness statement after the witness has testified. The "cards on the table" approach
favoured in some thinking on the subject has not reached that point under the Rules of
Procedure and Evidence of the Tribunal. Nor, generally speaking, has that point been
reached in the global common law system or in the global civil law system as they relate to
criminal procedure. The right to protection is not spent at the point at which the witness has
testified in chief.
I respectfully agree with the Appeals Chamber that a Chamber may order disclosure of a
defence witness statement only where it is satisfied that in the particular circumstances
disclosure would assist it in determining the truth. Disclosure by way of a fishing
expedition is not correct. It is difficult to see how a defence witness statement is to be used
by the prosecution otherwise than as a fishing expedition if it were the law that the
prosecution has an automatic right to disclosure on completion of the examination-in-chief
of each defence witness. At the point of disclosure, the prosecution will have no basis for
suspecting that there is any variance between oral testimony and written statement; it will
be only "fishing" for a variance.
However, it is not clear that this limited and conditional right of access to a defence witness
statement is inconsistent with the position taken by the majority of the
166
Trial Chamber in the relevant Decision of 27 November 1996. In the first paragraph of
the separate opinion which he appended to that Decision, Judge Vohrah said, "I fully
agree with the views expressed by my brother Judge Stephen, for the reasons he has
given". In the second paragraph of hisown separate opinion, Judge Stephen said:
The witness statement had not been in any way referred to in the witness' evidencein
chief nor had anything emerged in cross-examination regarding it other than that, in
answer to a question about what the witness had said when he made that statement,
which was objected to by Defence counsel but was allowed, the witness said that he had
talked about, how can I put it, the truth and only the truth, how long I have known
Du{ko Tadi}.
Clearly, the defence had not sought in any way to place reliance on the particular defence
witness statement. Thus,the conclusion reached by the majority that defence witness
statements were not accessible to the prosecution was not intended to apply where a
defence witness statement had been in some way referred to in the evidence-in-chief of the
witnessor otherwise relied upon by the defence. The situation with which the majority was
dealing was one in which what was being asserted by the prosecution was an unqualified
right to see a defence witness statement provided only that the witness had given evidence-
in-chief even if the statement was not referred to in that evidence. It is not so clear to me
that the majority intended to deny that special circumstances could warrant disclosure.
There is one other matter. The parties were agreed that nothing in the reliefs prayed for by
either side turned on a determination of the above-mentioned point. They were nevertheless
also agreed that the importance of the point justified a pronouncement by the Appeals
Chamber. The position was similar in respect of the issue whether discriminatory intent has
to be proved in respect of all crimes against humanity under Article 5 of the Statute.
Were the parties right in the position which they took? I think they were. The principle is
conveniently stated thus:
Appellate courts determine only matters actually before them on appeal, and no others,
and will not give opinions on controversies or declare principles of law which cannot
have any practical effect in settling the rights of the litigants. They consider only those
questions that are necessary for the decision of the case and do not attempt further 'to
lay down "a rule of guidance or precedent to the bench and bar of the state"'. Questions
not directly involved in an appeal, or not necessary or relevant to, or material in, the
final determination of the cause, will not be considered or decided by an appellate
court, unless, it has been held, they are affected with a public interest
167
or are of moment to the profession, or unless some useful result will follow decision. 11
That approach is consistent with the Tadi} Decision on Jurisdiction, at paragraph 139.
There, the defence had raised an argument before the Trial Chamber concerning an element
of a crime against humanity under Article 5 of the Statute of the Tribunal. The defence did
not pursue the argument on appeal. Nevertheless, the Appeals Chamber observed,
"Although before the Appeals Chamber the Appellant has forgone the argument ...., in view
of the importance of the matter this Chamber deems it fitting to comment briefly on the
scope of Article 5".
In my view, when the importance of the point in question isregarded, the parties were
correct in agreeing that the Appeals Chamber could competently pass onit.
D. Conclusion
These remarks concern some elements of the reasoning of the Appeals Chamber.
On certain points of law, I hold different views, which I desire to preserve. But I agree
with the disposition of the caseas set out in todays judgement .
Done in both English and French, the English text being authoritative.
______________________
Mohamed Shahabuddeen
Amended Notice of
Appeal against Judgement Amended Notice of Appeal, Case No.: IT-94-1-A,
8 January 1999.
Decision on Admissibility
of Additional Evidence Decision on Appellants Motion for the Extension
of the Time-limit and Admission of Additional
Evidence, The Prosecutor v. Duko Tadic , Case
No.: IT-94-1-A, Appeals Chamber, 15 October
1998.
170
Geneva Convention IV
(Fourth Geneva Convention) Geneva Convention Relative to the Protection of
Civilian Persons in Time of War of August 12, 1949.
ICRC Commentary on
Additional Protocols Yves Sandoz et al. (eds.), Commentary on the
Additional Protocols of 8 June 1977 to the Geneva
Conventions of 12 August 1949, International
Committee of the Red Cross, Geneva, 1987.
ICRC Commentary on
Geneva Convention III Jean Pictet (ed.), Commentary: III Geneva
Convention Relative to Treatment of Prisoners of
War, International Committee of the Red Cross,
Geneva, 1960, First Reprint, 1994.
171
ICRC Commentary on
Geneva Convention IV Jean Pictet (ed.), Commentary: IV Geneva
Convention Relative to the Protection of Civilian
Persons in Time of War, International Committee
of the Red Cross, Geneva, 1958, First Reprint,
1994.
Prosecutions Response to
Appellants Brief on Judgement Cross-Appellants Response to Appellants Brief
on Appeal Against Opinion and Judgement of May
7, 1997 Filed on 12 January 1998, Case No.: IT-
94-1-A, 17 November 1998.
Prosecution Response to
Appellants Brief on Sentencing
Judgement Response to Appellants Brief on Appeal Against
Sentencing Judgement filed on 12 January 1998,
Case No.: IT-94-1-A, 16 November 1998.
172
Skeleton Argument
Appellants Appeal Against
Conviction Skeleton Argument Appellants Appeal against
Conviction, Case No.: IT-94-1-A, 19 March 1999.
Skeleton Argument
of the Prosecution Skeleton Argument of the Prosecution, Case No.:
IT-94-1-A, 19 March 1999.