Aimed at promoting the study of technical aspects of criminal law and procedure, this site considers selected cases from the top appeal courts of Australia, Canada, the UK, the USA, the European Court of Human Rights and New Zealand. From August 2004 there have been approximately 800 entries, including book reviews.
Friday, March 28, 2014
They say we can't, but we say we can! Fairness trumps logic in the Privy Council.
Saturday, March 22, 2014
Can technology make extradition for trial unnecessary?
There is a point on which one might have reservations about the reasoning at [161] of the joint judgment (and concurred by William Young J at [228]). Disclosure, the judges seem to be saying, is not required when the defendant has independent knowledge of the facts. But the difficulty with this is that disclosure enables the defendant to know how the prosecutor intends to prove the facts needed to establish a prima facie case. It doesn't matter what the defendant knows, it's what the prosecutor knows, and how that knowledge was obtained, and whether it is admissible as evidence, that the defendant needs disclosure of, to challenge the assertion that there is a prima facie case.
It seems obvious that the statutory scheme for extradition where the record of case procedure is used does not meet the requirements of a fair hearing, because of constraints on disclosure of the prosecutor's case and the requirement that courts accept - although on a supposedly "rebuttable" basis - the candour of the prosecutor. You could hardly get a clearer example of the legislature requiring the court to take a biased stance. Yet the majority judges don't accept this. In considering whether the scheme complies with the requirements of natural justice [193], [229], [239] they - in effect - explain why it doesn't then they say that it does.
If there are questions about the power of the legislature to require courts of justice to act unjustly, resort will be had to the inherent powers of the court to act in the interests of justice. Elias CJ and Glazebrook J seek to advance this principle. The majority refer [181] to the court's ability to refuse extradition after a "meaningful judicial assessment of whether the evidence is sufficient to meet the threshold of a prima facie case", and the word "meaningful" may, one may speculate, encompass cases where there is a judicial sense that unacceptable unfairness has occurred.
Lord Devlin said something sensible in Connelly v DPP [1964] AC 1254, 1354, which I quoted in an article that, for reasons that now nearly escape me, I called "Criminal Equity" [2000] New Zealand Law Journal 427, a copy of which is available here.
Saturday, March 15, 2014
Have you tried marine biology?
Sunday, March 09, 2014
My goodness! Is that a gun?
It is the point over which the dissent occurred that is of interest to you and me.
The relevant offence was double-barrelled: committing a drug dealing offence, while in possession of a firearm. Does the secondary party, who assists or encourages the offence, have to help with both the dealing and the firearm possession? No disagreement here: it is only necessary that the defendant provides assistance or encouragement with some part of the offence. Does the secondary party have to know of all the circumstances – both the dealing and the firearm? Again, no disagreement: the defendant must know of all the circumstances of the offending.
But what if the defendant, present during the commission of the drug dealing, only becomes aware of the firearm after it is too late to withdraw from participation? The defendant may not be able realistically to say, “Everyone stop! No guns!” because that might risk the safety of other people or even of the defendant himself.
Here the dissenters say this is like the affirmative defences of duress or necessity: the defendant is saying he can’t withdraw because of forces beyond his control. He should, according to the relevant law (not universally applicable), have to prove those defences. They do not negate an element of the offence.
The majority disagreed with that (slip op, p 10 footnote 10). The question is one of fact: what did the defendant intend to assist or encourage? Evidence that he only learn’t of the firearm after the drug deal had commenced would be relevant to whether he intended to assist or encourage the firearm possession. His continuation with his participation could be consistent with him encouraging the gun element, or not: that is a matter the fact-finder would have to determine (see slip op, p 13, footnote 9). The prosecutor must, when such issues are raised, prove the necessary intent without a burden of proof passing to the defendant.
Defences like duress or necessity could, on relevant facts and subject to local law, be available, and again, subject to local law, may only require the defendant to raise them as live issues by pointing to some supporting evidence.
Normally, aside from in offences that include a proscribed purpose, the law does not concern itself with the motive behind an intention; Robin Hood was a thief. Where an intention existed because the defendant faced circumstances that it would be beyond normal human fortitude to endure, a defence of necessity might be available. But not necessarily. This is where policy limits on justifications and excuses operate. In Rosemond the Supreme Court majority lowered the moral hurdle for defendants by allowing a motive for an intention to limit responsibility even though the stricter requirements of an affirmative defence would not be satisfied.
I doubt that this would be a universally acceptable recognition of human frailty.
Thursday, March 06, 2014
Hidden defences and concealed charges
Friday, February 28, 2014
The power to consent to search: a question of law or of fact?
By what can only be a happy coincidence, the requirement for "authority" in s 94(c) resonates with a remark by Roberts CJ in Georgia v Randolph, 547 US 103 (2006) (dissenting, joined by Scalia J): "A warrantless search is reasonable if police obtain the voluntary consent of a person authorized to give it." But the court's jurisprudence illustrates how this simple idea has been clogged with legal rules. For example Chief Justice Roberts, in the passage immediately preceding the sentence just quoted, summarised the precedents as including the proposition of law that " ... someone who shares a place with another cannot interpose an objection when that person decides to grant access to the police ...". I would argue that this should not be a proposition of law, but rather it should be a question of fact in each case whether a relevant occupier (the defendant) has given authority to another occupier to give consent to the search that actually occurred.
In Fernandez there was no such consent and the absence of the defendant, who was in police custody, did not result in him constructively giving his authority to consent to the co-tenant, and obviously, as there was then no urgency, the police should have obtained a warrant; the search was illegal and the admissibility of the seized evidence should be determined taking that illegality into account.
Tuesday, February 25, 2014
Evaluating opinions
The other interesting aspect of Sekhon is the split in the Supreme Court over whether this was a case in which the conviction could be upheld by application of the proviso. This sort of split arises from different evaluations of the strength of the prosecution case as it would have been if the inadmissible evidence hadn’t been given. Here the trial judge gave a reasoned decision, so it should have been relatively easy to evaluate the strength of the case without the impugned evidence. Jury trial convictions are, broadly speaking, more easily overturned when inadmissible evidence was led at trial, because the appellate court cannot examine the reasoning of the jury and there are more live possibilities for how the reasoning may have proceeded in the absence of the error. Differences in appellate perceptions of the significance of such errors at trial point to a weakness in the criteria for deciding conviction appeals.
Monday, February 24, 2014
The Canadian slant on trial fairness and the stay of proceedings
Sunday, February 23, 2014
Two occasions for caution: dock identification, and witnesses who may have an improper motive
Saturday, February 22, 2014
Provocation and law
Friday, February 21, 2014
And what are our fees from crime?
Friday, February 14, 2014
The view from above
Thursday, February 13, 2014
One angry juror
And here is a tutorial question: if a majority verdict could have been returned in this case, would it matter that the one dissenting juror may have been unlawfully threatened but still had refused to join the majority? And alternatively, if a majority verdict could have been returned, would it matter that the threatened juror had joined in the verdict which ultimately was unanimous?
Wednesday, February 12, 2014
Stop the tendering for sentence!
Friday, February 07, 2014
Using hypotheticals
Friday, January 31, 2014
Erroneous concessions
Monday, January 20, 2014
Stop the discussion!
The dissent in R v MacDonald, 2014 SCC 3 (17 January 2014) is so cogently reasoned that one wonders why the majority didn’t refer to it or try to rebut it.
Although I call the judgment of Rothstein, Moldaver and Wagner JJ a dissent, it is really a concurrence in the result and a dissent on an important point of law.
This is one of the annoying things that sometimes crop up in multi-judgment cases: they can look half-baked, as if someone said, “Time’s up, stop writing!” before the majority judges had a chance to say why they disagreed with the minority.
I have always thought that R v Mann, 2004 SCC 52, [2004] 3 SCR 59 required reasonable grounds to suspect the existence of facts that made necessary an unwarranted search of a person who had not been arrested. See the heading to my comment on that case on 26 August 2004.
The minority in MacDonald thought that too, as had other Canadian courts in decisions mentioned in their judgment.
Importantly, the minority focus [68]-[69] on the phrase in Mann “...reasonable grounds to believe that his or her safety or that of others is at risk ...” and at [70] conclude:
“The language of Mann thus appears to stack a probability on top of a possibility — a chance upon a chance. In other words, Mann says a safety search is justified if it is probable that something might happen, not that it is probable that something will happen. As this Court only recently explained, the former is the language of “reasonable suspicion” (R. v. MacKenzie, 2013 SCC 50 (CanLII), 2013 SCC 50, at para. 74). The latter is the language of “reasonable and probable grounds”.”
I mentioned MacKenzie here on 3 October 2013.
Further, the facts of MacDonald plainly show that the officer here did entertain a suspicion, not a belief [85], and that this was objectively a reasonable suspicion but it would not have amounted to a reasonable belief [83].
Judicial decisions are not always the best way to develop the law, as the minority note [90]:
“In the end, this case illustrates the danger of leaving police powers to be developed in a piecemeal fashion by the courts. Today, our colleagues impose a standard requiring that an officer have reasonable grounds to believe an individual is armed and dangerous before a “safety search” is authorized, effectively overturning the search power recognized in Mann and a decade of subsequent jurisprudence in the process.”
When I noted Mann, nearly 10 years ago, our legislation required reasonable grounds to believe in the context of a warrantless search for an offensive weapon, but now this has changed to reasonable grounds to suspect: s 27 Search and Surveillance Act 2012. The Act, although in some respects controversial, is at least rational.
Monday, December 23, 2013
When your thought becomes my experience
Another aspect of B(SC12/2013) v R [2013] NZSC 151 (19 December 2013) is its varieties of judicial interpretation of ss 40(3)(b) and 44 of the Evidence Act 2006. Of interest to us is the extent to which this aspect of the case is authority for anything.
Here the challenged evidence (held to be inadmissible) would have been that the complainant on an earlier occasion had invited a man to her house during the day to deal with a dead mouse, and when he was there she was wearing a nightie and a dressing gown. The man dealt with the mouse and left, but he felt that the complainant had been presenting an opportunity for a sexual encounter although she had done nothing overt in that regard.
What was this evidence intended to prove? If it just proved that the complainant invited people to her house to deal with mice, in this case it was hardly relevant because that was not a fact in issue: it was inadmissible, or at least not a miscarriage of justice for it to have been ruled inadmissible. William Young J favoured this approach to the issue of admissibility.
If the evidence was sought to be adduced to prove that the complainant had engineered a situation to have a sexual encounter with the defendant just like she had before in relation to the proposed witness, it would be evidence of her sexual experience with a person other than the defendant, so its admissibility would be governed by s 44(1) and (3). This was the approach favoured in the joint judgment of McGrath, Glazebrook and Arnold JJ.
William Young J didn't like that interpretation of the evidence or s 44 because the witness would not be testifying to an actual sexual experience, only to his impression of the complainant's motive for his visit. William Young J would not "read up" the word "experience" in s 44(1) to include things that didn't happen. It would have been different if the complainant had overtly suggested sexual activity on that occasion, but merely being dressed in a nightie and dressing gown wasn't enough.
Another interpretation of the evidence is that taken by the Chief Justice: the evidence was that the complainant had a propensity to create opportunities for sexual encounters at her home, which amounted to saying she had a reputation for doing that. This evidence of reputation had to be excluded because of s 44(2). It must be said that this is the least convincing interpretation of the proposed evidence.
At [117] William Young J cogently criticises Elias CJ's approach.
There was some obiter discussion of whether evidence of diary entries describing the complainant's sexual fantasies would be admissible. There was no such evidence in this case. The joint judgment would put this sort of evidence into the category of "experience" within the meaning of that term in s 44(1). William Young J would not, refusing to read up "experience" to include fantasies, and refusing to include, within the expression "with any person other than the defendant", the complainant herself.
When judges disagree over what are merely obiter dicta, what binds lower courts? When a case that directly raises the issue has to be decided, subsequent judicial reflection may favour the approach taken here by William Young J. But in the meantime greater weight should be given to the obiter dicta of the joint judgment here, simply because it is a majority opinion.
So, what is the ratio decidendi of the admissibility aspect of this case? All judges agreed that there was no miscarriage of justice arising from the evidence having been ruled inadmissible. Either it was irrelevant, or it was not of sufficient relevance to overcome the heightened relevance requirement of s 44(3), or it was inadmissible because it was reputation evidence. The majority applied the heightened relevance requirement, so the case is, from that perspective, a simple illustration of the application of s 44(1) and (3).
Legal propositions distilled from obiter dicta are not ratio decidendi, and neither are legal propositions not agreed to by a majority. There is therefore no wide ratio in this case, and it is only narrow authority on the admissibility of evidence of the same kind as that sought to be adduced here.
Perhaps you share my suspicion that the whole issue was argued under the wrong sections. The intended evidence was about the witness's opinion of what the complainant was thinking. The governing provision is s 24:
Here there was nothing that the witness "saw, heard, or otherwise perceived" other than the way the complainant was dressed. Her clothing did not require an explanation in the absence of any other overt conduct. There was no other conduct that the witness could point to that could require an explanation. Therefore the proposed opinion evidence was inadmissible.