NCA Foundations of Law 2019 Outline
NCA Foundations of Law 2019 Outline
NCA Foundations of Law 2019 Outline
Facts:The Worker’s Education Association (WEA) had purchased a lot with intentions of
building a house on it and then raffle it off for fund-raising. The land was restricted by a
covenant pronouncing that it was “not to be sold to Jews or persons of objectionable nationality.”
The WEA applied to have the covenant declared invalid because the covenant was void as
against policy, it contravened the provisions of the Racial Discrimination Act 1944, and the
contemporary version of s.13 of Ontario Human Rights Code which prohibits the publication or
display of representations indicating intent to discriminate on the basis of race or creed.
Held: the covenant is void because it is offensive to the public policy of this jurisdiction.
“I do not deem it necessary for the purpose of this case to deal with this argument, except to say
that it appears to me to have considerable merit. My opinion as to the public policy applicable to
this case in no way depends on the terms of The Racial Discrimination Act, save to the extent
that such Act constitutes a legislative recognition of the policy which I have applied...“An order
will therefore go declaring that the restrictive covenant attacked by the applicant is void
and of no effect.”-The argument of the applicant is that the impugned covenant is void because it
is injurious to the public good
- If the sale of one piece of land can be so prohibited, the sale of other pieces of land can likewise
be prohibited. In my opinion, nothing could be more calculated to create or deepen divisions
between existing religious and ethnic groups in this province, or in this country, than the sanction
of a method of land transfer which would permit the segregation and confinement of particular
groups to particular business or residential areas, or, conversely, would exclude particular groups
from particular business or residential areas
Re Noble and Wolf: Legal Positivism: Facts: Individual cottages similar Res Cov re coloured
and Jews, tried to rely on Drummond Wren to invalidate. Held: Disagrees with Drummond, leave
public policy for politicians. Drummond based on shelter, this creation purposes (distinguished).
Judge said would stick to laws, written statutes, unwritten or common law decisions, or text .. not
speculations as to what is best. To expound and interpret the law, not to create law based on
individual belief or opinion of what law ought to be. Appeal to certainty of positivism.
(i) Early formalist feminism – the “Persons” case
Early feminism – concerned with seeking women’s formal equality to men.
Prior to 1916, laws related to elections did not allow women to vote.
In 1918, Parliament passed the Women’s Suffrage Act, SC 1918, c. 20, which gave every
female British subject over age 21 the right to vote, as long as she possessed the same
qualifications required for men.
Despite these political advancements, women remained barred from holding a Senate
seat.
All relied on s. 24 of the British North America Act of 1867 which stated that only
“qualified Persons” were eligible to be appointed to the Senate. Governments argued not
have been considered to be “qualified persons” in 1867 Act passing
The approach the Privy Council took to interpreting the Canadian Constitution, which
understood constitutions as evolving documents that could respond to changes in society
over time, remains an important guide to constitutional interpretation today.
Wilson went on to agree with the other judges that section 251 (prohibiting the performance of
an abortion except under certain circumstances) is procedurally unfair, adding that the violation
of section 7 also has the effect of violating section 2(a) of the Charter (freedom of conscience) in
that the requirements for a woman to be permitted to obtain an abortion legally (or for a doctor to
legally perform one) were in many cases so onerous or effectively impossible that they were
"resulting in a failure to comply with the principles of fundamental justice". The decision to
abort is primarily a moral one, she noted, and therefore by preventing her from doing so, the
decision violates a woman's right to conscientiously-held beliefs. With the abortion law, the
government was supporting one conscientiously-held belief at the expense of another, and in
effect, was treating women as a means to an end and depriving them of their "essential
humanity”
In her analysis of section 1, Wilson noted the value placed on the fetus is proportional to its stage
of gestation and the legislation must take that into account. However, here, the law cannot be
justified because it takes the decision-making power away from the woman absolutely and
therefore cannot pass the proportionality test.
Critical Legal Studies: Reject any kind of “natural legal order” discoverable by objective
means, from Legal Realism, attacking 2 axioms of formalist understanding of common law:
1) common law legal rules were neutral and objective; 2) rules could be determined with
sufficient certainty. Realists – all rules were indeterminate, subject to multiple
interpretations, results reflect unstated public policy preferences of judges.
o Judging with CLS: A Case Study: R. v S (RD). Trial Judge Sparks (black)
remarked that police officers had been known to mislead courts in the past and
overreact particularly with non-white groups, but not tied to particular policeman. 15
yr old (black) alleged interference with arrest of another youth. Only police and
accused witnesses. Q of reasonable apprehension of bias, use of social context in
assessing credibility; presumption of judicial integrity; “as a member of the
community it was open to her to take into account the well-known presence of racism
in that community and to evaluate the evidence as to what occurred against that
background. “she was alive to well known racial dynamics that may exist in
interactions btwn police and visible minorities”.
Law & Economics: Efficiencies of outcome. Economic theory of regulation or “public choice
theory” applies basic economic theory to try and understand public policy, tries to explain
governmental intervention as a corrective to market failure. Policy makers act in order to
maximize political support, not necessarily attempting to maximize social welfare and are
motivated by self-interest.
Public Law and Economics Theory. Ex: Bank of America Canada v Mutual Trust Co. 2002:
SCt upheld trial judge’s award of compound interest ($5 difference from simple interest), with
Time Value of Money argument. 3 factors account for depreciation of money: 1) opportunity cost;
2) risk; 3) inflation. Compound interest compensates lender for decrease in value of money,
because unpaid interest is treated as unpaid principal, and Comp. Interest treats a dollar as a
dollar, more precise, and is norm in banking/financial systems in Canada & Western world.
Contract Damages: Expectation damages focus on value Plaintiff would have received had the k
been performed. Restitution Damages (infrequently employed) focus on advantage gained by
Def as a result of breach of k.
Facts
The appellant, Bank of America, advanced money to a developer, and the respondent,
Mutual Trust, had undertaken to advance money to the purchaser of houses
(device called TOC).
The developer assigned its rights against Mutual Trust to Bank of America
Canada. The funds advanced by Mutual Trust under the TOC would have
discharged the loan made by Bank of America Canada to the developer.
MT backed out of deal after real estate market collapsed. BOA lost 10 million as a result.
Trial judged awarded interest on this amount at a different rate (compounding vs simple
interest rate).
The difference between the two amounts was in the order of $5 million. Bank of
America Canada appealed.
HELD: The appeal should be allowed and the trial judgment restored.
The judgment of the Court was delivered by MAJOR J
(1) The TimeValue of Money
Three factors account for the depreciation of the value of money:
(i) opportunity cost (ii) risk, and (iii) inflation.
(2) Contract Damages
Expectation damages, the usual measure of contract damages, focus on the value which
the plaintiff would have received if the contract had been performed.
Restitution damages, which are infrequently employed, focus on the advantage gained by
the defendant as a result of his or her breach of contract.
(a) Expectation Damages
Generally, courts employ expectation damages where, if breach is proved, the plaintiff
will be entitled to the value of the promised
(b) Restitution Damages
The other side of the coin is to examine the effect of the breach on the defendant.
In contract, restitution damages can be invoked when a defendant has, as a result of his or
her own breach, profited in excess of his or her expected profit had the contract been
performed but the plaintiff’s loss is less than the defendant’s gain.
To prevent defendants from exploiting the timevalue of money to their advantage, by delaying
payment of damages so as to capitalize on the timevalue of money in the interim, courts must be
able to award damages which include an interest component that returns the value acquired by a
defendant between breach and payment to the plaintiff.
An award of compound interest will prevent the respondent from profiting by its breach at the
expense of the appellant.
The award of the trial judge yields a satisfactory result with respect to both expectation damages
and restitution damages.
[e] Similarities / Differences in Theories:
- Both positivism and natural law are concerned with concepts of law and justice, even if they
diverge as to how the two relate to one another.
- Both as also based largely on Western, Liberal ideas about law and society.
- In contrast, feminism and critical studies take issue with the liberal basis od law and its
relationship to justice; both attempt to establish alternative versions of what justice might be.
- Law and economics theories look at law from a less of a moral theory, and more in ideas
about efficiency.
- Public choice critique in law and economic theory echoes the complaints voiced by the CLS
and feminist scholars.
First, the person invoking the section 35 right must show that (1) it holds an “existing” Aboriginal or
treaty right that was not extinguished in 1982, and (2) there has been a prima facie infringement of
that right in the sense of an unreasonable limitation, an undue hardship or a denial of the preferred
means of exercising the Aboriginal or treaty right. Then, the burden is on the Crown to justify the
interference based on a valid legislative objective, and to show that the interference is consistent with
the honour of the Crown and its fiduciary duty to Aboriginal peoples. At the justification stage
regarding the honour of the Crown, consultation with Aboriginal peoples was recognized (along with
the issue of minimization of the infringement and fair compensation) as a factor that might justify an
infringement of an Aboriginal fishing right caused by fishing regulations.
The first part of the test asks “Has a right been infringed on?”
Answer: A government activity threatens to infringe on an Indigenous right if:
it imposes an “undue hardship” on First Nations
it is considered “unreasonable” by the court
it denies the right holders “their preferred means of exercising that right”
The second part of the test asks “What might justify an infringement on an Indigenous right?”
Answer: An infringement might be justified if:
1. Courts must take into account the perspective of Aboriginal peoples themselves;
2. Courts must identify precisely the nature of the claim being made in determining whether
an Aboriginal claimant has demonstrated the existence of an Aboriginal right;
3. In order to be integral a practice, custom or tradition must be of central significance to the
Aboriginal society in question;
4. The practices, customs and traditions which constitute Aboriginal rights are those which
have continuity with the practices, customs and traditions that existed prior to contact;
5. Courts must approach the rules of evidence in light of the evidentiary difficulties inherent
in adjudicating Aboriginal claims;
6. Claims to Aboriginal rights must be adjudicated on a specific rather than general basis;
7. For a practice, custom or tradition to constitute an Aboriginal right it must be of
independent significance to the Aboriginal culture in which it exists;
8. The integral to a distinctive culture test requires that a practice, custom or tradition be
distinctive; it does not require that that practice, custom or tradition be distinct;
9. The influence of European culture will only be relevant to the inquiry if it is
demonstrated that the practice, custom or tradition is only integral because of that influence;
10. Courts must take into account both the relationship of Aboriginal peoples to the land and
the distinctive societies and cultures of Aboriginal peoples.1
11. The Supreme Court’s ruling and the subsequent adoption of the Van der Peet test are
regarded as problematic by critics who point out that, by further defining Aboriginal rights,
the test circumscribes the scope of Aboriginal rights as set out by the previous test outlined
in R. v. Sparrow. Some critics view this as enabling the Crown to extinguish rights at the
point of definition
D. R. v Sappier R v Gray
R. v Sappier/R v Gray: The Sappier decision1 is the first Supreme Court of Canada
decision to recognize an aboriginal right to harvest forest resources for personal, non-
commercial use. The decision involved three status Indians, two Maliseet Indians (Mr. Sappier
and Mr. Polchies) who are members of the Woodstock First Nation in New Brunswick and one
Mi’kmaq (Mr. Gray) who is a member of the Pabineau First Nation in New Brunswick. All three
had cut trees on Crown lands without authorizations from the Government of New Brunswick,
and were charged with unauthorized possession of timber taken from Crown lands. In their
defence, they asserted a treaty right and an aboriginal right to harvest timber for personal use
under s. 35(1) of the Constitution Act, 1982.
The Supreme Court took pains in characterizing the nature of the right claimed, stating that the
characterization of the right to harvest wood must be directly associated with the particular way
of life of the aboriginal community. The Court found the “right to harvest timber for personal
uses”2 to be too general. Instead, the right was characterized as a right to harvest wood for
domestic uses as a member of the aboriginal community. The Maliseet and Mi’kmaq were
“migratory people who lived from fishing and hunting and who used the rivers and lakes of
Eastern Canada for transportation.” Thus, the right to harvest wood was tied to meeting the
communities’ traditional needs for such things as shelter, tools and fuel.
The Court emphasized that the right to harvest timber for domestic uses could have no
commercial dimension. No timber could be sold, traded or bartered to produce assets or raise
money even if money so generated were used to build or purchase shelter. 3 While the aboriginal
right to harvest timber was therefore recognized, the Supreme Court — no doubt recalling the
violent reaction that followed the release of the Marshall decision — carefully circumscribed the
scope of the right. RIGHT TIED TO SPECIFIC SITES
In Sappier, the Supreme Court applied the “site-specific” requirement on hunting and fishing
rights of aboriginal communities from previous case law to the present case of harvesting timber.
The Supreme Court placed a geographic limitation on the aboriginal right, stating that it was
limited to domestic uses on Crown lands traditionally used for this purpose by members of the
Pabineau First Nation. Another important issue for the Supreme Court was to decide whether
harvesting timber was central enough to the First Nations’ culture to warrant constitutional
protection as an aboriginal right. In previous cases, the Supreme Court had set a high standard
for this test, holding that an activity had to be integral to the distinctive culture of the aboriginal
group in question. In its decision in Mitchell4, the Supreme Court had said that an aboriginal
activity must be part of the core identity of an aboriginal community in order to constitute an
aboriginal right.
This is an important limitation. It means that, in each case where an aboriginal right to harvest
forest resources is asserted, the existence of the right must be decided based upon evidence of
supporting the existence of the asserted right in a specific location. The fact that the Supreme
Court has recognized a right of members of two First Nations to harvest trees in two locations in
New Brunswick does not mean that those First Nation members have a right to harvest trees
elsewhere; nor does it mean that other aboriginal peoples in other parts of Canada necessarily
have similar rights.
However, timber harvesting for home construction was an activity shared by aboriginal and non-
aboriginals alike. A test requiring that the activity be part of the core identity of the aboriginal
community could make it impossible for an aboriginal community to establish an aboriginal right
tied to activities like harvesting trees for shelter. To address this potential problem, the Supreme
Court effectively lowered the standard for determining cultural importance of an activity, by
holding that that the pre-contact practice upon which the aboriginal right is based need not go to
the core of the society’s identity, i.e. it need not be its single most important defining character. 5
The Supreme Court stated that, in establishing an aboriginal right, a court must seek to
understand how the particular pre-contact practice relied upon relates to the aboriginal
community’s current way of life. However, the practice does not have to go so far as to be the
“core of a people’s culture”. In addition, the Court clarified what is meant by “culture” in the
analysis. It held that the inquiry is into the pre-contact way of life of a particular aboriginal
community, including the community’s “means of survival, their socialization methods, their
legal systems, and potentially, their trading habits”.6 The Court indicated that “flexibility” is
important when assessing whether a traditional practice constitutes an aboriginal right, because
the object is to “provide cultural security and continuity for the particular aboriginal society.” 7 In
the absence of direct evidence, judges are to draw necessary inferences about the existence and
integral nature of the practice.
In this case, the aboriginal defendants had argued that their timber harvesting was part of a
broader aboriginal right to sustenance. This was rejected by the Supreme Court. The Court
distinguished the right to sustenance from the right to the means of obtaining sustenance. It held
“that the traditional means of sustenance, meaning the pre-contract practices relied upon for
survival, can in some cases be considered integral to the distinctive culture of the particular
aboriginal people”. However, the Court firmly stated that “there is no such thing as an aboriginal
right to sustenance”.8 Consistent with earlier decisions allowing the exercise of aboriginal rights
in a modern manner, the Supreme Court held that the nature of the aboriginal right to harvest
timber must be considered in light of present day circumstances. On that basis, the Supreme
Court rejected the Crown’s submission that the respondents should not have a right to harvest
wood to build large permanent dwellings, obtained by modern methods of forest extraction. The
Supreme Court stated that ancestral practices that are the foundation for aboriginal rights may be
expressed in modern form. The Supreme Court cautioned that limiting the rights of aboriginal
communities to building wigwams would truly limit the doctrine of aboriginal rights “to a
narrow subset of ‘anthropological curiosities’ and our notion of aboriginality would be reduced
to a small number of outdated stereotypes. EXTINGUISHMENT
A final consideration was the impact of the Government of New Brunswick’s forest regulatory
regime on the aboriginal right to harvest forest resources. Where timber harvesting is extensively
regulated by provincial laws, the question arises whether that regulatory regime has effectively
extinguished any inconsistent aboriginal right. In this case, the Crown argued that any aboriginal
right to timber had been extinguished by provincial legislation and regulation of timber
harvesting. As in the Sparrow case, 10 this argument was rejected. The Supreme Court
reconfirmed that it is the Crown who bears the burden of proving extinguishment, and that the
intention must be clear and plain.11 The Court held that the regulation of Crown timber through a
licensing scheme does not meet the high standard of demonstrating a clear intent to extinguish
the aboriginal right to harvest wood for domestic uses. Therefore, the aboriginal right to harvest
wood continued to exist despite the extensive regulatory regime governing timber harvesting on
Crown land in New Brunswick
As the first Supreme Court decision to recognize an aboriginal right to timber, the decision will
have important practical implications. Governments will have to review forest tenures and
regulatory regimes to consider whether changes are required to accommodate any site-specific
rights that may be established in the future. While the decision clearly rules out any commercial
component to the right, existing commercial timber licensees may still be affected if
governments are required to give priority to aboriginal timber harvesting rights over commercial
rights. In this sense, the Sappier decision could have the same impact on the forest industry as
the Supreme Court’s Sparrow and Marshall12 decisions had on the commercial fishing industry.
The Sappier decision also provides guidance on the nature of aboriginal rights and the
requirements for establishing their existence:
► the right to sustenance is not an aboriginal right, although the means to obtaining the
sustenance may be a right;
► the threshold for finding an aboriginal right should not be unnecessarily heightened by
words such as “core identity” from previous case law;
► courts should consider how particular pre-contact practice that is relied upon relates to the
current way of life of the aboriginal community, including modern forms of the practice; and
Facts: BC issued a license to harvest trees in Appellant’s territory. The Appellant objected which
led to negotiations with BC. Negotiations came to an impasse. The Appellant sued BC and
claimed for Aboriginal Title (AT). Trial Judge found Appellants were entitled to declaration of
AT, but for procedural reasons the TJ refused to make the declaration. BC appealed. BCCA held
AT had not been established, but that it might exist to specific sites. Appellants appealed to SCC.
Issues: Is AT established? What rights does AT confer? Did BC breach its Duty to Consult?
Holding: Appeal allowed. Declaration of AT granted. BC breached its duty to consult.
RULE: TEST for AT: (i) Sufficiency: Sufficiency lied at the heart of this appeal. What
constituted sufficient occupation to ground title? This issue arose because the Appellant’s were
semi-nomadic. The question for all parts of the AT test must be approached from both the “CL
perspective” (which imports the idea of possession and control of the lands) and “Aboriginal
perspective” (which focuses on laws, practices, customs and traditions of the group). The inquiry
is context-specific. The claimant group must show it historically acted in a way that would
communicate to third parties that it held the land for its own purposes. The kinds of acts showing
sufficient occupation are dependent on the manner of life of the people and the nature of the
land. Sufficiency is similar to an intention to occupy or hold land, however what a court
considers “occupation” must give equal weight to the perspective of the claimant group which,
depending on its size and manner of living, might conceive of possession of land differently.
Sufficiency is a question of fact depending on all the circumstances, in particular the nature of
the land and the manner in which it is commonly used.
(ii) Continuity: Continuity between present and pre-sovereignty occupation must be established,
however the claimant group need not produce an unbroken chain of occupation, rather the
evidence of present occupation must be rooted in pre-sovereignty times to establish the
inference.
(iii) Exclusivity: Exclusive occupation at the time of sovereignty requires showing an intention
and capacity to retain exclusive control over the land. It depends on various factors such as the
context, the characteristics of the claimant group, the nature of other groups in the area, and the
characteristics of the land in question. Other peoples being on the same land at the same time
does not negate exclusivity. If others were excluded from the land, or if others were on the land
by permission, exclusivity can still be established.
What rights does AT confer?: AT confers ownership rights similar to those with fee simple,
however it comes with an important restriction: it is collective title held not only for the present
generation but for all succeeding generations. The right to control the land means that govts and
others seeking to use the land must obtain the consent of the AT holders. If the AT holders do not
consent to the use, the govt’s only recourse is to establish the proposed incursion on the land is
justified under s. 35. To show the proposed incursion is justified under s. 35, the govt must show:
(1) that it discharged its procedural duty to consult and accommodate; (2) that its actions were
backed by a compelling and substantial objective; and (3) that the govt action is consistent with
the Crown’s fiduciary obligation to the group.
Provincial laws of General Application: Provincial laws are subject to the s. 35 infringement and
justification framework (“Section 35-Sparrow Approach”). In assessing the constitutionality of
an impugned provincial law, the Section 35-Sparrow Approach must be used, which is a
carefully calibrated test that reconciles provincial laws with ARs per s. 35. This approach is also
a fairer and more practical assessment from a policy perspective in comparison to the Doctrine of
Interjurisdictional Immunity, which has no further role to play regarding ARs. It no longer
matters whether ARs, which includes AT, fall within the jurisdiction of s. 91(24) because ARs are
a limit on both federal and provincial jurisdiction. Neither the provinces nor the federal govt are
permitted to legislate in a way that results in a meaningful diminution of ARs, unless such an
infringement is justified and is consistent with the Crown’s fiduciary duty owed to the Aboriginal
group
IMPORTANT:
First, as part of its return to principles set out in the Court’s 1997 decision in Delgamuukw v
British Columbia, [1997] 3 SCR 1010, (TERRITORIAL), Tsilhqot’in Nation includes a return
to an equal role for Aboriginal perspectives that includes Aboriginal laws, instead of the
exclusive focus on Aboriginal practices (SITE SPECIFIC) that was a feature of R v Marshall; R
v Bernard, 2005 SCC 43, [2005] 2 SCR 220, the Court’s second post-1982 decision on
Aboriginal title. Second, Tsilhqot’in Nation clarifies an understanding of occupation that
accords with a territorial approach to Aboriginal title, one that does not require and piece
together intensive use of well-defined tracts of land. In doing so, the Court turned its back on the
approach it took in Marshall/Bernard, an approach that was the source of the arguments made by
the governments of Canada and British Columbia in Tsilhqot’in Nation and the basis of the
British Columbia Court of Appeal decision in this case (William v British Columbia, 2012 BCCA
285). The June 26 decision therefore brings increased certainty to the law of Aboriginal title by
clarifying the type of occupation that will ground Aboriginal title. It also increases the likelihood
of more successful Aboriginal title claims and, hopefully, more intensive and good faith
negotiations in modern land claims and treaty processes.
The Chief Justice begins the discussion of the test for Aboriginal title by emphasising
occupation. Initially, the test is put in the context of what she calls “a semi-nomadic indigenous
group”, a characterization of the six bands making up the Tsilhqot’in Nation (para 24, 29), but
the test does apply to claims for Aboriginal title by all Aboriginal groups. The test is a highly
contextual one (para 37). Intensity and frequency of use is to vary with the characteristics of the
Aboriginal group and the nature of the land (para 37). The characteristics of the Aboriginal group
include “its laws, practices, size, [and] technological ability
The court held that Aboriginal title constitutes a beneficial interest in the land, the underlying
control of which is retained by the Crown.[4] Rights conferred by Aboriginal title include the right
to decide how the land will be used; to enjoy, occupy and possess the land; and to proactively use
and manage the land, including its natural resources.[5] But, the court set out a Sparrow-style
mechanism by which the Crown can override Aboriginal title in the public interest:
We call upon the corporate sector in Canada to adopt the United Nations Declaration on the
Rights of Indigenous Peoples as a reconciliation framework and to apply its principles,
norms, and standards to corporate policy and core operational activities involving
Indigenous peoples and their lands and resources. This would include, but not be limited to,
the following:
i. Commit to meaningful consultation, building respectful relationships, and obtaining the free,
prior, and informed consent of Indigenous peoples before proceeding with economic
development projects.
ii. Ensure that Aboriginal peoples have equitable access to jobs, training, and education
opportunities in the corporate sector, and that Aboriginal communities gain long-term sustainable
benefits from economic development projects.
iii. Provide education for management and staff on the history of Aboriginal peoples, including
the history and legacy of residential schools, the United Nations Declaration on the Rights of
Indigenous Peoples, Treaties and Aboriginal rights, Indigenous law, and Aboriginal–Crown
relations. This will require skills-based training in intercultural competency, conflict resolution,
human rights, and anti-racism.
Seven Gifts
UNDRIP: Intro (Fitzgerald and Schwartz): Recapt of UNDRIP, and how Canadian Govt can
start to implement UNDRIP. FPIC (Free Prior and Informed Consent) is a basis of UNDRIP. Do
away with Van der Peet “central and integral to the distinctive culture” approach, and find a
better way to articulate the scope of section 35(1) of the Constitution Act 1982. Remove Doctrine
of Discovery from Canadian Law. Q Right to Self-Determination, right to lands and resources.
Worry that common law from 35(1) will maintain status quo. Morales: FPIC, and why duty to
consult and accommodate has been unable to achieve reconciliation. Indigenous legal traditions?
“ Indigenous Languages Act?
CURRENT STATUS OF BILL C262 – Working on Second Reading in the Senate 238..10/23,
254..11/29 2018. Conservatives voting against (House of Commons), everyone else for.
IMPLEMENTING UNDRIP IN CANADA: CHALLENGES WITH BILL 262 (Issac and Hoekstra).
POV for extractive industries. Speaks of UNDRIP as vague, repeatedly asserts that somehow it
will negatively affect the Canadian system that supposedly restrains state action (it doesn’t).
Speaks of “necessary and unavoidable infringement” of IN interests where such conflict with
“broader, substantial social interests”. Repeats s. 35 as if it somehow acknowledges and
reconciles “Sovereignty of the Crown” with IN societies and practices. Admits that SCC used
reconciliation as a vehicle for recognizing that at times broader public interests will justify
incursions on IN rights. FPIC “inconsistent” with “highly tuned concept of reconciliation”. FPIC
“appears unworkable”. Larger projects like pipelines “may be unworkable” :. Makes Canadian
democratic process unworkable, and inconsistent with Canadian Federalism. “Allowing IP to
veto laws and projects regulated by either the Fed or Prov govts creates and overlap of authority
unintended and incompatible with principles of federalism (150 yrs of). One exception: military
activities. UNDRIP IN rights are human rights may be derogated *Oakes test s1* “enshrined in
our in our Parliamentary system. HERE, authors fail to “get” that human rights re ID rights are
not included in Charter, but have special significance. Afraid that instead of focusing veto on
“actual harm” and rather on benefits received by non-IN persons, this might (ha ha) undermine
reconciliation by creating long-term conflict between the interests of IN and non-IN ppls. Speaks
of “reality of Crown Sovereignty”. Substantial uncertainty (i.e., increased risk of extraction
costs) in pursuit of “opaque objectives”. Predictability for non-IN people. Reconciliation .. to
move forward In and non IN “in confidence and with certainty together towards a sustainable
future”.
Bill C-262 will provide momentum and a plan for implementing the UN declaration in
Canada, working with first nations in an orderly and timely way. This is something that
Canada has repeatedly committed itself to do under several UN resolutions, including
the declaration itself.
Passing this bill will advance Canada, as well as first nations peoples, in many ways.
It will implement key aspects of the TRC calls to action. It will see Canada move
forward on existing international commitments regarding human rights. It will provide a
framework for the federal government to work in partnership with first nations to
ensure that Canada's laws, policies, and practices are revised to realize rights,
recognize rights, and implement and enforce rights, rather than deny rights. Also, it will
provide transparency and accountability for everyone by requiring an annual reporting
to Parliament.
I want to spend a few minutes now to talk with you about free, prior, and informed
consent. That seems to be a focus of concern, so I want to be very clear on that. I
know that it's talked about federally and provincially and by industry, so I want to focus
on that right up front.
FPIC—free, prior, and informed consent—was not created in the UN declaration. It
was not created in this bill. It already exists in international law. It is an essential
element of the right of all peoples, including indigenous peoples, to self-determination,
which Canada has recognized for decades.
After the first nations child welfare issue went back to the Canadian Human Rights
Tribunal, many of the parties to that case, including the Canadian Human Rights
Commission and Amnesty International, made arguments based on the interpretation of
the declaration. In its final ruling, the Human Rights Tribunal did in fact make
significant use of the declaration. In its discussion of the declaration, the tribunal also
made this statement, which I think is particularly relevant to today's discussion. The
tribunal said, “Canada’s statements and commitments, whether expressed on the
international scene or at the national level, should not be allowed to remain empty
rhetoric.”
- ABORIGINAL RIGHTS
Rio Tinto Alcan v Carrier Sekani Tribal Council 2010
the duty to consult attaches not only to decisions that directly result in adverse impacts on
resources, but also to “strategic, higher level decisions” (at para. 44). This has generally involved
decisions relating to the management of a specific resource on the First Nations’ traditional
territory. The Court also confirmed that government action triggering the duty to consult is not
limited to the exercise of statutory powers and extends to "strategic, higher level decisions" that
may have an impact on aboriginal claims and rights, including the transfer of tree farm licenses,
the approval of a multi-year forest management plan over a large geographic area, the
establishment of a review process for a major gas pipeline, and a comprehensive inquiry to
determine a province’s infrastructure and capacity needs for electricity transmission. McLachlin
C.J. stated that the Court would leave the issue of whether "government conduct" for the
purposes of consultation also applies to legislative action for another day.
Examples of such strategic planning decisions that have given rise to a duty to consult include the
following:
The approval of a forest stewardship plan: Kwakiutl First Nation v. North Island Central Coast
Forest District, 2015 BCCA 345;
A municipal land use plan: Squamish Nation v. British Columbia (Community, Sport and Cultural
Development), 2014 BCSC 991, [2014] 8 W.W.R. 742;
An order-in-council enacting a regional water management plan: Tsuu T’ina Nation;
A decision to designate a project as subject to environmental assessment: Fort Nelson First Nation
v. British Columbia (Environmental Assessment Office), 2015 BCSC 1180;
The design of the process for the environmental assessment of a gas pipeline: Dene Tha’ First
Nation v. Canada (Minister of Environment), 2006 FC 1354, [2006] F.C.J. No. 1677;
A non-binding agreement-in-principle between the Crown and another First Nation with
overlapping land claims: Sambaa K’e Dene Band v. Duncan, 2012
On the issue of what constitutes an "adverse effect" for the purpose of triggering the duty to
consult, the Court stated that the claimant:
must show a causal relationship between the proposed government conduct or decision and a
potential for adverse impacts on pending claims or rights. Past wrongs, including breaches of the
duty to consult, do not suffice.
The Court went on to say that speculative impacts and impacts on future negotiating positions
will not trigger the duty. A past or continuing breach of a claim or right, including prior failures
to consult, will only trigger a duty to consult if the present decision at issue causes a new adverse
effect. Equally important is the Court’s rejection of consultation being appropriate for past events
or decisions that may adversely affect aboriginal interests, including the lack of past consultation.
The Court confirmed that consultation must be focused on the action or decision at hand and not
focused on past events. The Court stated that ‘other remedies’ are available to aboriginal peoples
for such past events, although the Court did not expressly provide guidance on the nature of the
specific cause of action that would be required to remedy such past wrongs.
The Court made several references to compensation and damages being an appropriate remedy in
cases where the Crown did not consult. While the Court cites Haida as authority for this
proposition, nowhere in Haida did the Court discuss damages or compensation as an appropriate
remedy for breach of the duty to consult regarding unproven or asserted rights. Up until Rio
Tinto, the issue of compensation for breaches of section 35 generally has been focused around
infringements of established aboriginal or treaty rights. It remains unclear whether the Court
intended to apply compensation to consultation regarding unproven rights and, if so, would such
compensation be related to the infringement of an unproven right or would it be limited to the
fact that consultation had not occurred? In either case, this raises the question of how damages to
unproven rights would be established and why an aboriginal group would ever need to establish
an aboriginal right in the first place if compensation is payable simply upon not be consulted.
Finally, the Court did not set out the nature of the cause of action to pursue the compensation
remedy.
The Duty to Consult. Following a number of its earlier decisions, the Court decided that an
independent regulatory body with the statutorily delegated executive responsibility to make final
decisions on project applications (and specifically, the NEB) is acting on the Crown’s behalf.
NEB decisions therefore amount to Crown action that can trigger the Crown’s constitutional duty
to consult. The Crown can, in some circumstances, also rely on a regulatory body (or its process)
to partly or completely fulfill its duty to consult - but only if:
Power. That body has the statutory power in its enabling legislation necessary to do what
the duty to consult requires in the particular circumstances.
“Notice”. The Crown makes clear to affected Indigenous groups, in a timely fashion, that
it will be relying on the regulatory body’s process to fulfill its duty to consult affected
Indigenous groups.
The Supreme Court decided the NEB does have the procedural powers necessary to engage
in consultation and the remedial powers to, where necessary, accommodate affected
Aboriginal and treaty rights. Consequently the Crown could rely on it to fulfill its duty to
consult. But the Court reached different conclusions about whether the NEB met that duty in
each case: in Chippewas of the Thames, the Court decided the NEB’s consultation was
“manifestly adequate” in the circumstances and upheld the NEB’s approval; in Clyde River,
the Supreme Court quashed the NEB’s approval because of its “significantly flawed” process
in the circumstances. The key differences between the cases: the scope of the projects, the
nature of the rights involved and the process the NEB undertook.
The Consultation Process. Whether a particular regulatory process is adequate to fulfill the
Crown’s duty to consult depends on the level of consultation the circumstances require. Of
particular importance are the strength of the claim for Aboriginal rights and the seriousness of
the project’s potential impact on the asserted right. The Supreme Court confirmed that the duty to
consult does not give Indigenous groups a ‘veto’ over final Crown decisions. Consequently at the
accommodation stage, the regulatory body must balance Aboriginal and treaty rights with
competing social, economic and public interest considerations.
Canada v Mikisew Cree First Nation 2016 FCA. Sct rejects duty to consult when Govt
makes new legislation. 4 opinions: 1)Law making does not constitute Crown conduct; 2)
Abella would only allow challenges after legislation made. Federal Courts Act 1971 gave
right to review to Fed Ct & FCt appeals review of Federal decision makers. Judicial
Review on legality, reasonableness and fairness of procedures used and actions taken”
(Govt action, not legislation). 18.1 “fed board, commission or other tribunal”. 2(2)
specifically excludes Senate, HoC…BUT separation of powers (legislative branch before
enactment of law unreviewable) precludes Judicial Review of the Legislative Process.
Ministers acting as Legislature here. Parliamentary Privilege.
The duty to consult is of course a duty to consult collectively; there is no duty to consult with
any individual. There can however be no duty to consult prior to the passage of legislation,
even where aboriginal rights will be affected: Authorson v. Canada (Attorney General),
[2003| 2 S.C.R. 40. It cannot be suggested there are any limits on Parliament’s right to amend
the Indian Act. It would be an unwarranted interference with the proper functioning of the
House of Commons and the Provincial Legislatures to require that they engage in any
particular processes prior to the passage of legislation. The same is true of the passage of
regulations and Orders in Council by the appropriate Executive Council. Enactments must
stand or fall based on their compliance with the constitution, not based on the processes used
to enact them. Once enactments are in place, consultation only becomes an issue if a prima
facie breach of an aboriginal right is sought to be justified: Mikisew Cree at para. 59.
-ABORIGINAL TITLE
Tsilhqot'in Nation v British Columbia 2014. ARG: possession of pre-existing and
continuing rights in land, called AB title. Clarified test for proving AB title, rights w/title, and
how Fed and Prov law applied in situations of proven and claimed AB title. Under s. 35, a
right will be infringed by legislation if the limitation is unreasonable, imposes undue
hardship, or denies the holders of the right their preferred means of exercising the right.
Where Aboriginal title has been established, the Crown must not only comply with its procedural
duties, but must also justify any incursions on Aboriginal title lands by ensuring that the
proposed government action is substantively consistent with the requirements of s. 35 of
the Constitution Act, 1982 . This requires demonstrating both a compelling and substantial
governmental objective and that the government action is consistent with the fiduciary duty
owed by the Crown to the Aboriginal group. This means the government must act in a way that
respects the fact that Aboriginal title is a group interest that inheres in present and future
generations, and the duty infuses an obligation of proportionality into the justification process:
the incursion must be necessary to achieve the government’s goal (rational connection); the
government must go no further than necessary to achieve it (minimal impairment); and the
benefits that may be expected to flow from that goal must not be outweighed by adverse effects
on the Aboriginal interest (proportionality of impact). Allegations of infringement or failure to
adequately consult can be avoided by obtaining the consent of the interested Aboriginal group.
This s. 35 framework permits a principled reconciliation of Aboriginal rights with the interests
of all Canadians.
Daniels v Canada 2016. Metis: Court said that the term “Métis” in s. 35 refers to distinctive
Métis collectives who, in addition to their mixed ancestry, developed their own customs, way of
life, and group identity–separate from their Indian, Inuit or European forebears. Court only set
out three broad factors (self-identification, ancestral connection and community acceptance) to
be used in identifying who can exercise a Métis community’s s. 35 right to hunt. SITE
SPECIFIC.
The Court held that provincial laws pertaining to Métis and non-status Indians are not inherently
beyond the scope of provincial legislatures (para. 51). Provinces can pass laws in relation to
provincial areas of jurisdiction, which affect or specifically deal with Métis or non-status Indians,
as long as those laws do not impair the core of s. 91(24). The Métis Settlements Act (Alberta),
The Métis Act (Saskatchewan) or Métis Nation of Ontario Secretariat Act (Ontario) are all
examples of this type of permissible provincial law, wherein provinces have acted in their
respective jurisdictional spheres.
The Court reaffirmed based on Delgamuukw v. BC and Manitoba Metis Federation Inc. v.
Canada that the Crown is in a fiduciary relationship with all Aboriginal peoples, including Métis
and non-status Indians.
The Court reaffirmed based on Haida Nation v. BC, Tsilhqot’in Nation v. BC and Powley that “a
context-specific duty to negotiate” exists “when Aboriginal rights are engaged.” This duty is not
triggered by mere inclusion in s. 91(24), however; it applies where Métis or non-status Indian
communities have credible or established s. 35 rights or claims.
ESTABLISHING A MÉTIS RIGHT - THE POWLEY TEST
The Supreme Court said that the appropriate way to define Métis rights in s. 35 is to modify the
test used to define the Aboriginal rights of Indians (the Van der Peet test).This modified Métis
test came to be known as the Powley test. The test is set out in ten parts:
1. Characterization of the right - For a harvesting right, the term “characterization” refers
to the ultimate use of the harvest. Is it for food, exchange or commercial purposes? The
Court said that the Métis right to hunt is not limited to moose just because that is what the
Powleys were hunting. Métis do not have to separately prove a right to hunt every species of
wildlife or fish they depend on. The right to hunt is not species-specific. The Métis right to
hunt is a general right to hunt for food in the traditional hunting grounds of the Métis
community.
6. Was the practice integral to the claimant’s distinctive culture – The Court asks
whether the practice - subsistence hunting - is an important aspect of Métis life and a
defining feature of their special relationship to the land. The Court specifically noted that the
availability of a particular species over time is not relevant. So even though the case may be
about moose hunting, as it was with the Powleys, the issue is really about the right to hunt
generally. The Court found that, for the historic Sault Ste. Marie Métis community, hunting
for food was an important and defining feature of their special relationship with the land.
7. Continuity between the historic practice and the contemporary right - There must be
some evidence to support the claim that the contemporary practice is in continuity with the
historic practice. Aboriginal practices can evolve and develop over time. The Court found
that the Sault Ste. Marie Métis community had shown sufficient evidence to prove that
hunting for food continues to be an integral practice.
9. Infringement - No rights are absolute and this is as true for Métis rights as for any other
rights. This means that Métis rights can be limited (infringed) for various reasons. If the
infringement is found to have happened, then the government may be able to justify (excuse)
its action. The Court said here that the total failure to recognize any Métis right to hunt for
food or any special access rights to natural resources was an infringement of the Métis right
to hunt.
10. Justification - Conservation, health and safety are all reasons that government can use to
justify infringing an Aboriginal right, but they have to prove that there is a real threat. In the
Powley case, there was no evidence that the moose population was under threat. Even if it
was, the Court said that the Métis would still be entitled to a priority allocation to satisfy
their subsistence needs in accordance with the criteria set out by the Supreme Court in R. v.
Sparrow. The Court said Ontario’s blanket denial of any Métis right to hunt for food could
not be justified.
- ABORIGINAL TREATIES
o Modern Treaties and Land Claims Agreements
o Modern Treaties as a “Third Order of Government”: Campbell et al v AG BC/AG
Cda & Nisga’a Nation et al. “The doctrine of Aboriginal rights exists… because of
one simple fact: when Europeans arrived in North America, Aboriginal peoples were
already here, living in communities on the land, and participating in distinctive
cultures, as they had done for centuries. It is this fact, and this fact above all others,
which separates Aboriginal peoples from all other minority groups in Canadian
society and which mandates their special legal status.” –R. v. Van der Peet, para 30.
The Court found that the Crown, to justify an infringement, would have to show that the procedural
duty to consult had been complied with, that there was a compelling and substantial objective for
the infringement, and that the benefit to the public was proportionate to the adverse effect on
Aboriginal interest. As such, the duty to consult evolved from a factor to be considered, amongst
others, in the justification stage of the infringement analysis, to a necessary condition of a
finding of justification of infringement.
The duty to consult was also applied outside of the justification context in Mikisew Cree First Nation
v. Canada (Minister of Canadian Heritage), 2005 SCC 69, [2005] 3 S.C.R. 388, a decision which
involved the interpretation of the “taking up” clause in Treaty No. 8. Mikisew Cree objected to
Canada’s decision to take up land alongside its reserve to run a winter road, which incidentally cut
through a number of its band members’ family traplines. The Supreme Court found that when
contemplating a proposed taking up of lands under Treaty No. 8, the honour of the Crown imposes a
distinct, procedural right to consultation. In other words, the Crown could not invoke the Sparrow
test to show that regardless of consultation, the infringement of the Mikisew Cree’s treaty rights was
justifiable. The Crown had to first meet its duty to consult, and absent adequate consultation, the
infringement was unjustifiable regardless of the substantive reasons that might justify running a road
by the reserve. The same obligations attach to taking up lands under Treaty No. 3 (see generally
Grassy Narrows).
CALDER v AG of BC1973] SCR 13, Ct first recognized existence of Aboriginal Title. Calder
v. Attorney-General of British Columbia [1973]
In 1967, Frank Calder and other Nisga’a elders sued the provincial government of British
Columbia, declaring that Nisga’a title to their lands had never been lawfully extinguished
through treaty or by any other means. While both the BC Supreme Court and the Court of Appeal
rejected the claim, the Nisga’a appealed to the Supreme Court of Canada for recognition of their
Aboriginal title to their traditional, ancestral and unceded lands. Their appeal was a landmark
move that posed considerable risk not only to the Nisga’a, but to all Aboriginal peoples hoping to
have their rights and title affirmed and recognized.
What the Supreme Court concluded was groundbreaking. While the lower levels of court had
denied the existence of Aboriginal title, the Supreme Court ruled in 1973 that Aboriginal title had
indeed existed at the time of the Royal Proclamation of 1763. The Supreme Court’s 1973
decision was the first time that the Canadian legal system acknowledged the existence of
Aboriginal title to land and that such title existed outside of, and was not simply derived from,
colonial law.
However, the Court was split on whether the Nisga’a’s claim to their lands was valid. Three
judges ruled that while Aboriginal title may have existed at one point, it had since been
extinguished by virtue of Confederation and colonial control over the land. Three other judges
affirmed the Nisga’a’s Aboriginal title, arguing that it had never been extinguished through treaty
or statute. The seventh judge dismissed the case on a technicality.
While the Nisga’a did not win their case and the ruling did not settle their land question, it did
pave the way for the federal government’s Comprehensive land claims process, which sets up a
process for Aboriginal groups to claim title to their territory. The province of British Columbia,
however, refused to acknowledge Aboriginal title until 1990, when the British Columbia Claims
Task Force was established. This would then lead to the B.C. Treaty Process and the settling of
the first modern land claim in British Columbian history, the Nisga’a Final Agreement in 1998.
The Supreme Court’s acknowledgement of the existence of Aboriginal title also opened the door
for other Aboriginal rights cases, most notably Delgamuukw v. British Columbia (1997), which
further defined Aboriginal title. As a landmark case, the Calder decision continues to be cited in
modern Aboriginal land claims across Canada, as well as internationally in Australia and New
Zealand.
Delgamuukw v British Columbia [1997] has to date been the most comprehensive decision
about Aboriginal title. Delgamuukw set out how the courts will deal with Aboriginal title, by
setting a test to determine if Aboriginal title still existed and, if so, how the Crown might
justifiably infringe upon it. The Court further ruled that Aboriginal title is different from merely
land use and occupation, as it had previously been defined, but also incorporates Aboriginal
jurisdictional authority over howthe land is used. Delgamuukw also acknowledged Aboriginal
collective ownership of the land that includes a cultural relationship to the land.
Supreme Court elaborated on the justification test for an infringement of Aboriginal title. Noting that
Aboriginal title entailed the right to choose how the land would be used, the Court found that there
was a duty of consultation, particularly when enacting hunting and fishing regulations relating to
Aboriginal lands.
R. v. Guerin [1984] fiduciary duty of Crown to AB. – used EQUITY Ratio: When a native
band surrenders land to the Crown, a fiduciary relationship is created and the
Crown has a duty to represent the best interests of the Band in its dealings with
respect to the land.
R. v. Guerin is a landmark Supreme Court of Canada decision that established the Canadian
government’s fiduciary duty to First Nations, a trust-like relationship stemming from the sui
generis right of Aboriginal title.
In 1956, Musqueam held just over 400 acres of reserve land overlooking the Fraser River in
Vancouver’s prestigious Southlands neighbourhood. At that time, the Shaughnessy Golf and
Country Club was looking for land for its golf course. The Club approached the Department of
Indian Affairs (DIA) in the hopes of leasing 162 prime acres of the Musqueam reserve. The DIA
obtained Musqueam’s consent by assuring them that the band would receive revenue from the
lease. According to Musqueam, the band was denied legal representation.1 They consented to the
deal regardless. After the DIA obtained their consent, DIA representatives re-negotiated the deal
with the Club and leased the land on substantially different terms than what Musqueam had
agreed to.
Musqueam had been told that they would profit off of the 75-year lease, with rents being
adjusted to fair market rates every decade. Unbeknownst to the band, however, the deal was re-
negotiated to allow the Club to only pay what amounted to 10% of the fair market rent for the
land.2
These changes to the lease were kept secret from the Musqueam for 12 years, until an employee
at the DIA revealed them to then-chief Delbert Guerin. It took five years before Musqueam was
able to find a lawyer who would take on the case, as there was little to no legal or governmental
acknowledgement of Aboriginal rights and title at that time.3 The case was filed in 1975 and
went through three levels of court before the federal court ruled in Musqueam’s favour and
awarded $10 million in compensation to the band. The government, however, appealed this
ruling and the compensation was repealed. Musqueam in turn appealed to the Supreme Court of
Canada. In 1984, the Supreme Court ruled in Musqueam’s favour and re-instated the award. The
Court ruled that the Crown had neglected its fiduciary duty to the Musqueam in its handling of
the deal with the Shaughnessy Golf and Country Club. This ruling not only affirmed
Musqueam’s rights, but also set a precedent in the recognition of Aboriginal rights in Canada.
R. v. Guerin acknowledged that Canada (the federal government) has a trust-like relationship, or
“fiduciary duty” towards First Nations, specifically in regards to reserve lands. In other words,
the federal government has the obligation to act in their best interest. Chief Justices Wilson and
Dickson interpreted this fiduciary duty as stemming from an Aboriginal interest and title to the
land, and the Crown’s relationship to Aboriginal peoples. Wilson understood this relationship to
be characterized by Section 18 of the Indian Act, which specifies that reserves are held by the
Crown “for the use and benefit of the respective bands for which they are set apart,” and that
“the Governor in Council may determine whether any purpose for which lands in a reserve are
used or are to be used is for the use and benefit of the band“4 (emphasis added). The government
demonstrated it did not act in Musqueam’s best interest by not consulting them about the revised
terms of the lease.
The concept of “fiduciary duty” has gone on to inform other Aboriginal rights cases as well as
the protection of Aboriginal rights under Section 35 of the Canadian Constitution.
o Modern Treaties and Indigenous Law
o Modern Treaties and the Constitutional Relationship
R. v Marshall; R. v. Bernard 2005. Delgamuukw requires that in analyzing a claim for
aboriginal title, both aboriginal and European common law perspectives must be considered.
Court must examine the nature and extent of pre-sovereignty aboriginal practice and translate
that practice into a modern common law right. Aboriginal title to land is established by
aboriginal practices that indicated possession similar to that associated with title at common law.
Evidence must prove “exclusive” pre-sovereign “occupation” of the land by their forebears.
“occupation” means physical occupation and “exclusive occupation” means an intention and
capacity to retain exclusive control of the land. However, evidence of acts of exclusion is not
required, just demonstration of effective control of the land by the group, from which a
reasonable inference can be drawn that the group could have excluded others had it chosen to do
so. Continuity is required, showing group’s descent from pre-sovereignty group whose practices
are relied on for the right. Oral history is admissible (that meets standard of usefulness and
reasonable reliability) (R. v Marshall). Trial Judges applied proper test requiring proof of
sufficiently regular and exclusive use of cutting sites by Mi’kmaq. Protected Treaty right
includes not only a right to trade by a corresponding right to access to resources for the purpose
of engaging in trading activities. In order to be protected, must be modern equivalent or a logical
evolution of the use of forest products at the time Treaties were signed. Patters and nature of Ab
occupation should inform the standard. “physical occupation proof of possession” remains but
not governing criterion. Proof of Ab title relates to the manner in which the group used and
occupied the land prior to Crown Sov., mere fact that group traveled within its territory and did
not cultivate land doesn’t take away from title claim. Semi/nomadic. Premised on notion that
specific land was of central significance to the group’s culture. Occupation proved by tradition
and culture that connects group with land. This case, two Mi’kmaq – logging not logical
evolution of activities traditionally engaged in by them.
DUTY TO CONSULT:
Haida Nation v. British Columbia (Minister of Forests), 2004 SCC 73, [2004] 3 SCR 511The
two-part test for determining whether a duty to consult has been triggered was set out in Haida
Nation v British Columbia.
The Supreme Court of Canada found in Haida Nation that it was inconsistent with the honour of the
Crown for the province to allow continued logging over territories in a manner that might leave the
Haida Nation with meaningless rights over lands of cultural significance once they managed to
prove them in court. The Court found that when the Crown contemplates conduct that may
adversely affect an asserted Aboriginal or treaty right, a duty to consult arises.
The Crown must (1) have real or constructive knowledge of the potential existence of Aboriginal
rights or title, and (2) contemplate conduct that might adversely affect it. The duty to consult
is grounded in the honour of the Crown, which exists separate of any treaty obligations.
Although only assertion, rather than proof, of existence of Aboriginal title is required to
necessitate a duty to consult on the part of the Crown, the extent of the duty will vary according
to the strength of the prima facie claim. Strong proof of Aboriginal rights or title that have the
potential to be seriously impacted require a corresponding duty of deep consultation and possibly
accommodation, while weaker claims may only require a mere duty of notice. Consultation must
occur early on to ensure that Aboriginal concerns are addressed, and if appropriate,
accommodated. While there is no duty to agree, the honour of the Crown requires that it act in
good faith at all times and have a genuine intention to address Aboriginal concerns. Aboriginal
parties must also act in good faith and may not take unreasonable positions to sabotage the
Crown’s attempts to come to a mutual understanding.
If the duty to consult is not met Aboriginal parties can pursue a variety of remedies, including
interlocutory injunctions, damages, or an order complete consultation before proceeding with the
proposed government conduct. Although injunctions can be pursued absent of any the duty to
consult, they were identified by the Supreme Court in Haida as often contrary to the
constitutional goal of reconciling Crown-Aboriginal interests
3. SOURCES OF CANADIAN LAW
The Common Law and Civil Law Traditions
Reception of European Law: Cooper v Stuart (1889) Australia. [Rule of Reception]. 1. Common
law implemented in settled colony- Their lordships held that as soon as colonial land became the
subject of settlement and commerce, all transactions in relation to it were governed by English
(common) law. Colony consisted of territory practically unoccupied, w/o settlers or settled law –
was annexed to British dominions. Rule of Conquest was applied to central Canada, and rule of
Settlement to everywhere else. Rule of Reception dictated that entire body of English law,
statutory and common, was imported into the settled colony. Local exceptions and variations
allowed where received laws unsuitable to circumstances of colony. In N. America, problem of
determining which of Rules of Reception would apply was compounded by two facts: 1)
aboriginal people were already present, so true “settlement” in Blackstone’s definition could not
apply; 2) France also had an interest in much of British North America, and claimed much of its
territory.
BIJURALISM
1. Nature of Common and Civil Law: Com.Law: 2 ideas: 1) judges do not make the law, only
declare it; 2) all relevant past decisions are considered as evidence of the law, and judges
infer from these precedents what is the true law in a given instance. ComLaw constructed out
of series of cases. Judge made law:: CivLaw- based on established laws, normally written as
broad legal principles. Legislation = primary source of law. Jmts rely on provisions of codes
and statutes. J reasoning based on general principles of rule or code, whereas ComLaw, even
where statutory sources are present, employs analogical reasoning from statutory provisions
to fill in gaps. Quebec inherited Civil Law, codified in 1866. At Confederation, Civil Code of
Lower Canada replaced most of the laws inherited from the Custom of Paris, but
incorporated elements of English law as it had been applied in Lower Canada, such as Eng.
Law of trusts.
2. Operation of Common Law and Precedent. Stare Decisis:
Canada Trust Co v Ontario Human Rights Commission(1990): Scholarship trust est
1923 Q contrary to public policy, restricted to white Christians of Brit nationality or
parentage. Trustee came to Ct to seek advice and direction. Administration of trusts in
Superior Ct jxn, esp charitable or public trusts. HRC first mandate = effect settlement
but Trustee not allowed to enter into settlement contrary to terms of Trust. HRC can’t
grant adequate remedy (only court invoked cy-pres (near to) doctrine to bring trust
into accord with public policy by removing offensive restrictions, hence permitting it
to remain a scholarship.
Grimard v Canada (2009) FCA47. In support of his conclusions, the Judge referred to an
article he wrote while serving as a judge. It is perilous for a judge to publish his or her opinion
on an issue on which he or she may eventually be called upon to rule, since this may give rise to
a perception of bias especially on the part of a self-represented citizen. In this case, however, a
person who is informed as to the facts and the circumstances, viewing the matter realistically and
practically and having thought the matter through, could not reach this conclusion, the Judge
referring to his article merely to reproduce the opinion of the Minister of Justice of Quebec and
the state of the case law which he correctly applied to the facts of this case.
Direction and control over the work are a determinative factor in a contract of employment, but
the other criteria established by the common law are also relevant because they provide indicia
of subordination or supervision. (Quebec, Q whether IC or employee) REASONING:
1425 CCQ: Common intention of the parties shall be sought in interpreting a contract.
2085 CCQ: K of employment – under the direction or control of another person.
2098 CCQ: K of enterprise – undertakes to carry out physical or intellectual work for another
person, the client or to provide a service, for a price which the client binds himself to pay.
2099 CCQ: Contractor is free to choose the means of performing the contract and no relationship
of subordination exists between the contractor and the client.
S. 8.1 of the Interpretation Act allows for the CVL to be referred to. But the CVL and the CML
are not antonymous in any event.
The CVL lists the required elements for a contract of employment or enterprise, whereas the
CML lists relevant factors. 2085 requires direction or control for a K of employment. 2099
requires an absence of subordination for a K of enterprise. 2099 requires an absence of control
and the free choice of the contractor as to the means for completing the work. 1425 says that
Courts should refer to the intention of the parties.
CML factors are not useless in determination of a contract in Quebec. The notion of control is
essential in the CVL, it is important also in the CML. The idea of profit/loss is similar in both
systems. Ownership of tools can also be useful. In both systems, no one factor is determinative.
In determining whether subordination exists, there is nothing wrong with Quebec courts referring
to the CML factors.
Here, the contract was silent as to the intention of the parties. Different clauses have different
connotations. Nevertheless, the nomenclature of the contract is not determinative in any way.
What is important is genuine nature of the contract.
The tribunal had a right of control over the taxpayer. There was a link of subordination. All the
necessary tools were furnished by the tribunal. There were no risks of loss for the taxpayer.
HOLDING: Taxpayer was an employee.
The new labour trilogy: United Food and Commercial Workers, Local 503 v Wal-Mart (2014),
Mounted Police Association of Canada v Canada (AG) (2015), and Saskatchewan Federation of
Labour v Saskatchewan (2015) . More explicit emphasis on correctness than certainty. Rate of social
change is increasing. Access to justice. “policy of husbanding scarce resources for true matters of dispute
may have to give way to in some cases to the importance of providing access to justice to enable
advocacy of change in and refinement of the law” (Andrews v Canada 2014). “a litigant may have a
‘reasonable chance of success’ within the (Bedford) test if based on a reasonable argument there is a
reasonable possibility that the law might change”. (not striking out at pleading stage like others).
Fear that Garden of uprooted annuals (replacing the Edwards Living Tree) were unfounded. Bedford
threshold high.
“STARE DECISIS AND THE RULE OF LAW- A LAYERED APPROACH” (Waldron) principle of
constancy, principle of generality, principle of institutional responsibility, and principle of
fidelity to law. 1) Rule of law generates a distinctive perspective on Stare Decisis; 2) Best to
understand impact of rule of law on Stare Decisis in layers. One principle, the principle of
constancy, counsels against lightly overturning such precedents as we have. Another principle,
the principle of generality, requires all judges to base their decisions on general norms and not
just leave them as freestanding particulars. Another principle, the principle of institutional
responsibility, requires subsequent judges not to give the lie to the use by precedent judges of
certain general norms to make their decisions. And, finally, a fundamental principle of fidelity to
law requires the precedent judge to approach her decision as far as she can by trying to figure out
the implicit bearing of such existing law as there is on the case in front of her. She figures out the
bearing of the law, she formulates it into a general norm, a subsequent judge takes note of the
general norm that she has used, he plays his part in establishing the norm as something whose
generality is more than merely notional, and judges try to maintain the constancy and stability of
the body of law that emerges from all this by not overturning precedents lightly or too often.
“THE ROLE OF DOMESTIC COURTS IN TREATY ENFORCEMENT: A COMPARATIVE STUDY” (van Ert)
Executive Act.
Treaties lack direct effect w/I implementation legislation. Indirect effect of treaties (taking
judicial notice of state’s treaty obligations). Harmonizing by use of interpretative presumption of
conformity. HERE no legitimate expectation of specific procedural rights (Baker v Canada).
Vienna Convention of the Law of Treaties (VCLT) 1969. Canada party to VCLT.1980. First
define purpose of Convention / Treaty as a whole, then the purpose and place of the impugned
section/article within the scheme. Background (human right character) (Pushpanthan). Centrality
of VCLT to interpretation of Treaties by Canada. 2. Crown Forest v Canada 1995. (TAX) “a
literal or legalistic interpretation must be avoided when the basic object of the treaty might be
defeated or frustrated” (JD Gladden Estate v The Queen).. Start with Treaty’s express terms,
viewed in their context and light of treaty’s object and purpose, then resorting to supplementary
means of interpretation to confirm the textual meaning or to resolve ambiguity. Mugesera 2005
(customary international law).
“In the face of certain unspeakable tragedies, the community of nations must provide a
unified response. Crimes against humanity fall within this category. The interpretation
and application of Canadian provisions regarding crimes against humanity must therefore
accord with international law. Our nation‘s deeply held commitment to individual human
dignity, freedom and fundamental rights requires nothing less.”
Presumption of conformity: 1) judicial policy; 2) values and principles of international law (incl
treaties) are said to form part of context in which statutes are enacted; 3) rebuttable.
Presumption of conformity applies to interpretation of powers granted by statute to
ADMINISTRATIVE decision-makers (R. v Hape). Unclear whether it applies to Charter issues
HAPE: “Wherever possible, [this court] has sought to ensure consistency between its
interpretation of the Charter, on the one hand, and Canada‘s international obligations and the
relevant principles of international law, on the other….
In interpreting the scope of application of the Charter, the courts should seek to ensure
compliance with Canada‘s binding obligations under international law where the express words
are capable of supporting such a construction.”
AND Health Services and Support-Facilities Subsector Bargaining Association v BC 2007.p.39
in article.
The reference asks the Court to determine what the proper interpretation of ss. 5, and 6 of the
Supreme Court Act (“SCA”) are. Specifically, whether s. 6 of the SCA contains a temporal
requirement that persons “from the advocates” of the province must be current members of the
Quebec bar. The Court is also asked to consider whether Parliament can legislate an
interpretation of s. 6 of the SCA that would allow former members of the Quebec bar, with a
minimum of 10 years standing, to be eligible under s. 6 of the SCA.
The Majority of the Court concludes that to meet the definition of “from the advocates” a judge
must be selected from among the current members of the Quebec bar. Parliament cannot
unilaterally amend the SCA.
Interpretation of ss. 5, 6
Both a textual and purposive interpretation of the provision lead the Majority to conclude that
former advocates are excluded from appointment to the Supreme Court as being “from among
the advocates” under s. 6. Section 6 contains a temporal requirement. The language of s. 6 is
more restrictive than the language of s. 5 of the SCA. Section 5 speaks to both current and
former members of at least ten years standing with the bar. In contrast, s. 6 does not speak to, and
by extension encompass, former members of the bar.
Section 6 is an important provision in protecting the central bargain made by Quebec in
negotiations leading up to Confederation. As was agreed to, s. 6 ensures that judges on the
Supreme Court have civil law training and represent the legal and social traditions of Quebec
society. Quebec’s confidence in the Court depended on representation of the province.
Amending Formula
Unanimous approval of the provinces would be required make constitutional the proposed
amendment to the SCA. The SCC is a constitutionally essential court that engages both federal
and provincial interests. The unanimity formula is reserved for topics that engage the interests of
all provinces; the formula effectively creates veto power in each individual province and
territory.
The SCC has constitutional protection. Its status as a constitutionally protected Court is
supported by the developmental history of the Court, which the Majority goes into some detail
on. In 1949, for example, when the right of appeal to the Judicial Committee of the Privy
Council was abolished the SCC became the Court of last resort; an integral part of the
constitutional architecture. “it became the final arbiter of division of powers disputes, and
became the final words on matters of public law and provincial civil law.” Later, the Court
abolished appeals as of right in Civil matters, giving the Supreme Court wider discretion over the
cases it hears.
For the majority composition means more than 9 judges, 3 from Quebec. Composition entails
that the members of the bench meet eligibility requirements. It means who is eligible to be one of
the three judges from Quebec. Incidentally, the SCC suggests that composition entails continued
existence of the Court.
Dissent Moldaver J. authored a strong dissent. To have had standing at the Quebec bar for over
10 years, while not a current member, is sufficient to meet the eligibility requirements under s. 6
of the SCA.
It would be an odd result if re-joining the Quebec bar for one day could change a judge’s
eligibility.
The textual links between ss. 5, and 6 restrict the Court from interpreting s. 6 as including a
temporal element. Reading ss. 5, and 6 of the SCA together it cannot be said that Quebec
appointees are under more stringent eligibility requirements than their common law counterparts.
Section 5 uses the language “Any person may be appointed a judge who is or has been” a judge
of a superior court of a province or a barrister or advocate of at least ten years standing at the bar
of a province”. The words any person suggest that the “eligibility requirements set out in that
section apply to all appointees.” “The judges” referred to in s. 6, must be the ascertained judges
that are eligible under s. 5.
Constitutional Supremacy: CON = supreme law of society & any law inconsistent w.CON –no
force and effect.
1. Hierarchy in Law
2. The Need for Constitutional Adjudication
3. A Counter-Majoritarian Purpose.
4. Constitutional Amendment Requires a Super Majority
a. Parliamentary Supremacy
i. Babcock v Canada (AG)
Parliamentary sovereignty and the separation of powers doctrine are well-established pillars of
our Constitution and have been recognized by the Supreme Court on numerous occasions, most
recently in Criminal Lawyers’ Association.
If there is one principle that is beyond any doubt, it is that courts will not supervise the legislative
process and will provide no relief until a bill has been enacted
Singh v Canada (AG) 2000 pp 13-44. Parliamentary Sovereignty. Rule of Law. Independence
of Judiciary. Canada Evidence Act s.39, Clerk of Privy Council certificate --- immunity from
judicial review. Cabinet Secrecy. Here certificate puts Cabinet documents beyond judicial review
(absolute). Babcock v BC (AG) – if there has been disclosure, 39 does not apply to already
disclosed info/docs. Thus, ministers undertake by oath as Privy Councillors to maintain the
secrecy of Cabinet deliberations and the House of Commons and the courts respect the
confidentiality of Cabinet decision-making. In England, judge may view documents to certify
need for confidentiality, and there is a 20 year limit. Here, absolute!
The Chairman held that this included whether the Prime Minister or members of his Office or of
the Privy Council Office or of the Government of Canada gave improper orders or directions to
any RCMP members respecting security at the APEC Conference, and that the Commission
could make findings and recommendations to this effect. A defence of superior orders was not
raised. It was not disputed that there had been discussions between officials of the Prime
Minister's Office and the RCMP concerning security arrangements. The Commission requested
that the Government of Canada disclose all government records relevant to the hearing. Two
successive Clerks of the Privy Council filed certificates under Canada Evidence Act, subsection
39(1) certifying that information contained in certain documents constituted confidences of the
Queen's Privy Council for Canada. Section 39 provides that such documents shall not be
disclosed and the Court is unable to examine them to determine whether the Clerk's
determination is correct or if the public interest warrants a refusal to disclose.
(ii) when one or more things of a class are expressly mentioned, others of the same
class are excluded (expressio unius est exclusio alterius);
(iv) the provisions of a general statute must yield to those of a special one
(generalia specialibus non derogant); and
REASONABLNESS
a. Questions of fact, discretion and policy as well as questions where the legal
issues cannot be easily separated from the factual issues generally attract a
standard of reasonableness
b. Reasonableness is concerned mostly with the existence of justification
transparency and intelligibility within the decision-making process. But it is
also concerned with whether the decision falls within a range of possible,
acceptable outcomes which are defensible in respect of the facts and law
CORRECTNESS:
c. Constitutional questions regarding the division of powers between Parliament
and the provinces
d. determinations of true questions of jurisdiction or vires
e. the question at issue is one of general law "that is both of central importance
to the legal system as a whole and outside the adjudicator’s specialized area of
expertise"
f. questions regarding the jurisdictional lines between two or more competing
specialized tribunals
g. Beyond those categories, context would determine when correctness would be
applied, and expertise would play a key role in those determinations.
PRESUMPTION OF REASONABLENESS now in effect! In addition, the ruling has effectively
ensured that most forms of public employment are best viewed through the lens of private
employment law principles, irrespective of whether the affected person may be categorized as a
public office holder. Therefore, appeals on grounds of procedural fairness will be available only
to a few categories of public employment, and reinstatement procedures will occur even less
frequently.
PRESUMPTION OF DEFERENCE (Alberta Teachers)
Canada (AG) v Bri-Chem Supply Ltd 2016. Administrators HAVE to follow prior Tribunal
decision (Frito-lay) and NOT relitigate same question. Abuse of process to not follow prior
Tribunal result.
With respect to tribunals, although later panels are not bound by the decisions of earlier panels,
later panels should not depart from the decisions of earlier panels unless there is good reason –
particularly where certainty, predictability and finality matter (such as in the context of
commercial importation and international trade).
Subject to at least two exceptions.
First, if an administrator is acting bona fide and in accordance with its legislative mandate, it can
assert that an earlier tribunal decision does not apply in a matter that has different facts.
The second and more controversial exception applies where an earlier decision cannot be
distinguished. The Court held that this should only happen where an administrator can identify
and articulate with good reasons one or more specific elements in the tribunal’s earlier decision
that, in the administrator’s bona fide and informed view, is likely wrong. The flaw must have
significance based on all of the circumstances, including its probable impact on future cases and
the prejudice that will be caused to the administrator’s mandate, the parties it regulates, or both.
In trying to persuade a tribunal that its earlier decision should not be followed, an administrator
must address these issues – and not simply offer a rerun of earlier submissions.
THE CANADIAN LAW OF JUDICIAL REVIEW: A PLEA FOR DOCTRINAL COHERENCE AND
CONSISTENCY - STRATAS
“margins of appreciation”/”intensity of review” to be afforded Admin decision-makers. Law of
Judicial Review animated by tension between legislative supremacy and the rule of law. McLean
says there may be many possible/acceptable outcomes, or a few or just one (in/correct). Doesn’t
like Dore (where Ct allowed to “supplement” reasons to uphold an outcome of an Admin DM)
Newfoundland nurses told lower cts to restrain themselves in finding additional reasons. “Badges
of unreasonablenss” – indicators something wrong w/dec.
DUNSMUIR – PLUS CA CHANGE REDUX. (Sossin)
DEFERENCE AND LEGAL FRAMEWORKS NOT DESIGNED BY, FOR OR WITH US (2018) Naiomi
Metallic.