Friday, October 13, 2023

Expert opinion evidence - applying specialised knowledge: Lang v The Queen [2023] HCA 29

We all know how irritating philosophers can be. What would they make of this: “Expert evidence need not be opinion evidence”?


Most statements about the world outside our own bodies are opinions. We can only opine about the reality that casts the shadows on the wall of Plato’s cave. But law is not philosophy.


The sentence quoted above is from Lang v The Queen [2023] HCA 29, per Kiefel CJ and Gageler J at [5]. The case is partly about the sufficiency of proof of guilt, and partly about the admissibility of expert opinion evidence. It is on the latter point that Kiefel CJ and Gageler J wrote, “to elaborate on the common law principles” [4]. Perhaps these judges read the judgments of their colleagues (Gordon and Edelman JJ, who jointly dissented on the application of the law to the evidence in this case, and Jagot J who wrote separately agreeing with the conclusion of Kiefel CJ and Gageler J that the challenged evidence here was admissible) and decided that a bit more was needed.


Principles developed under Australia’s uniform evidence legislation apply also where the law on the admissibility of expert opinion evidence is common law [11]-13]: [1]


“Those principles require that, in order to satisfy the condition of admissibility that the opinion of an expert be demonstrated to be based on specialised knowledge or experience, the inference drawn by the expert which constitutes the opinion be supported by reasoning on the part of the expert sufficient to demonstrate that the opinion is the product of the application of the specialised knowledge of the expert to facts which the expert has observed or assumed. … it is enough that the opinion be demonstrated to be based substantially on that specialised knowledge … Reasoning sufficient to demonstrate that the opinion formed by an expert is the product of the application of his or her specialised knowledge need not be limited to formal induction or deduction. Speculation, however, is not reasoning … Nor is intuition. [The expert’s judgement] requires the justification of reasoned explanation when its conclusions are controverted.” 



The utility or value of an opinion can be addressed in two separate ways, reflecting respectively admissibility and weight: the sufficiency of the demonstration that the opinion is the product of the application of specialised knowledge, and the extent to which the expert’s reasoning is clear and convincing. [15] On the admissibility question, lack of cogency (persuasiveness) is beside the point, [16] or at least it is unless a separate challenge to admissibility is made on the grounds that the probative value of the evidence is exceded by its illegitimately prejudicial effect [17]. Such a separate challenge was not made in this case [18], [25].


Here, the issue was whether the expert had drawn substantially on his specialised knowledge in engaging in the process of reasoning that led to the formation of his opinion.


The majority held that he had. His evidence was a process of inferential reasoning, throughout which he had compared what he had seen - a single stab wound with indicia of multiple thrusts and a turning of the blade in the wound - with what he had previously seen and read of the features of relevant but not identical cases involving suicide and assault [24], [469]. 


In dissent, Gordon and Edelman JJ held that the expert had not shown how his expertise provided a substantial basis for any connection between the facts and the opinion that he expressed [242]. Instead, the asserted connection was speculative [239].


A key difference in the interpretation of the expert’s evidence here is that while the dissenters attached significance to the witness’s description of the wound as “odd”, indicating that the witness was therefore forced to speculate, the majority understood the witness to have used the word “odd” in the sense of not fitting a standard pattern, and the witness was properly applying what he had previously seen and read about to what he observed [23].


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[1] We can expect the reverse to apply in New Zealand: principles developed at common law will inform the case law under the Evidence Act 2006, s 25.

Monday, September 11, 2023

When due process fails - the importance of legal representation: Watson v R (Bahamas) [2023] UKPC 32

A cluster of embarrassing errors in the Court of Appeal of the Commonwealth of The Bahamas led to a successful appeal by the offender in Watson v R (Bahamas) [2023] UKPC 32. I say “embarrassing” because the errors were so fundamental. But, strange to say, oversights of this nature can easily occur.


The appeal Court had quashed a conviction for murder, substituted manslaughter, and in place of the original sentence of death imposed 50 years’ imprisonment. This sentence was imposed without hearing submissions on what the appropriate sentence should be.


There was, therefore, a breach of natural justice amounting to a serious breach of procedural fairness [19]. This was compounded by the Court’s failure to give reasons for the 50-year sentence  [39]. The Court had not accounted for the difference in the law of The Bahamas between murder (for which recklessness as to death is not sufficient for liability) and manslaughter [30]-[31], [35]. Additionaly, the Court had failed to give the offender credit for time spent in custody [44]. Essentially, the Court had acted on too little information.


But confidence in the Court of Appeal’s integrity is reflected by the Privy Council referring back to the Court of Appeal the sentencing determination. In a sense this allows the Court of Appeal to assess the effects of its own error.


The ease with which a court can slip into fundamental error is also illustrated by an appeal (now of historical interest) from New Zealand: Taito v R (New Zealand) [2002] UKPC 15 . Essentially, the Court of Appeal had been over-burdened with administrative tasks, and these seem to have got in the way of the Court’s perception of justice. Legislation - since repealed and replaced [1] - had required the appeal court, through its Registrar, to determine the legal aid applications of prospective appellants in criminal cases. This requirement was accommodated by the practice of the Registrar referring the issue to three judges of the Court who would assess the merits of a proposed appeal and, if no arguable ground upon which the appeal might succeed could be discerned, the Registrar would be directed to refuse legal aid and the appeal would be dismissed without a hearing. This was felt to be most unsatisfactory by many judges, and the complex policy considerations that had come into play in the environment of fiscal constraint were mentioned by Sir Ivor Richardson in “The Courts and Access to Justice” (2000) 31 Victoria University of Wellington Law Review 163. [2] The practice that had been adopted is described in Taito. Although pragmatic, the adopted procedure did not comply with statutory requirements for the hearing of appeals. In none of the 12 consolidated appeals in Taito had the Court heard argument, the appellants were not present or represented, and the judge delivering the determination either had no knowledge of the available information or had previously concluded that legal aid should not be granted as there was no arguable case. There was no exercise of judicial judgement in the disposal of the appeals. Where applicants for legal aid had sought review of their refusal, review was refused without reasons and without requests to be present being met.


The procedure that had been used by the Court of Appeal in Taito was a well-intentioned attempt to find a practical way of dealing with unmeritorious appeals, but as the Board observed, decisions as to merit could only be made after observance of procedural due process. Further, failure to supply some of the appellants with copies of the documents considered by the Court was also a source of discrimination because such an error could not have occurred had the appellants been represented by counsel. This, said the Board, was “contrary to fundamental conceptions of fairness and justice.”


Unrepresented litigants take up a disproportionate amount of the courts’ time, a point noted by Sir Ivor in his article published in 2000 and referred to above, and he added that refusal of legal aid can be a false economy. Representation by counsel is a way of promoting procedural fairness, and absence of representation can result in rights being rendered meaningless. It is easy enough for courts to make fundamental errors, as is illustrated by Watson, above, and representation by counsel cannot be regarded as an indulgence: it is a protection, although not a guarantee of compliance with due process.


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[1] See the Legal Services Act 2011.


[2] Preliminary screening of cases where an appellant sought legal aid by a panel of three judges of the Court of Appeal was a long standing practice, referred to in an earlier article by Sir Ivor: “The Role of an Appellate Judge” (1981) 5 Otago Law Review 1 at 5: “Coming next to criminal cases, because there are so few that involve only matters of law, leave to appeal is ordinarily required. In most cases, too, legal aid is sought and there is a preliminary screening by three of the judges to determine that. If any of the three has any reservations about any of the matters raised, for example, as to the directions given in the summing up, or as to the admission or rejection of evidence, or as to the sentence, then legal aid is granted and the appeal is set down for hearing. If not, legal aid is refused and the application for leave to appeal is called and dismissed without a hearing, unless in the meantime, for example, because of matters raised in further written submissions, the Court decides to hear full argument.” Plainly, unrepresented defendants were expected to know a lot of law.


Friday, September 01, 2023

Interpreting legislation, judges as not-machines, and what should we learn? Hemert v R [2023] NZSC 116

Recently, in Hemert v R [2023] NZSC 116, we were given an illustration of statutory interpretation aided by reference to extraneous material. [1] At [57] the majority (with Williams J agreeing at [111]) refer to a report from the Law Commission which mentions how the relevant section should be interpreted, and to the absence of any contrary indication in the debates that Parliament had in the course of passing the legislation. Accordingly, the natural meaning of the enactment applied, and the Court held at [63] that this had been misconstrued by the Court of Appeal.


That’s all very well, and there is of course much more of interest in this case. But what I have summarised does raise the question, what would the approach be if proper judicial assessment of the natural meaning of legislation was in conflict with what other bodies - such as the Law Commission and Parliament (or more accurately, politicians in the course of debates in Parliament) - had indicated?


The Legislation Act 2019 does not explicitly endorse reference to such extraneous materials. Whether s 10, the relevant section here, does implicitly allow that in the search for the “purpose” of the legislation, and to any relevant material for “context”, is a matter upon which screeds may be written. Generally, enactments are taken to preserve as much of the existing law as is possible (or, as is sensible, given that they are usually intended to change something). Reference to extraneous materials was a common practice before the Legislation Act came into force, replacing earlier legislation on the interpretation of legislation.


Constitutionally speaking, the courts interpret and apply legislation. Independence of the judiciary implies that individual people, whether unelected officials who work on drafting legislation, elected members of Parliament, or legal experts who do not represent any party to litigation and who are not called upon to assist the court with submissions, do not tell the courts what enacted law means. It is for the legislature to make the meaning of its enactments intrinsically clear.


Still, opinions may differ over those matters. When judges find support for their own take on what is a natural meaning of legislation in the work of extraneous bodies, they may be inclined to cite that work in support. No harm is done by that, and it may provide further clarity.


Of course, as Williams J is careful to point out at [112]-[113], application of a prescribed phrase to particular circumstances can be difficult, and its meaning may not be static where “contemporary community attitudes and values” must be taken into account, so that it may need to be developed incrementally but only as necessary. This is, we may observe, the process whereby the law shifts to meet the needs of the community as judicial experience and judgement is brought to bear in individual cases.


In some ways this approach to interpreting legislation is like the development of the common law. Who can really forget what Julius Stone said [2] (I paraphrase in order to remove some of the diction which now appears rebarbative):


“… changes in legal precepts by reference to contemporary social facts and ideals … [are brought about by] the person in the appellate judgement seat, imbued by a life-span with some of the temper, perplexities, insights, preferences and values of their generation. When we ask how [this change in precepts is to occur], the answer is certainly not in the giving of judgements which conform to predictions based on past performances. It is rather in deciding what is now just [as the judge sees it].”


Stone was writing in 1966 about how machines cannot adequately replace human beings in the judicial role. “[Judges], in doing justice, seem always to be transcending the drive, methods, and limits of mere intellect.”


And from Stone it is worth turning our attention to a lecture delivered by the Chief Justice of New Zealand on 13 July 2023, marking the occasion of the 150th anniversary of the Law School at the University of Canterbury, Christchurch, New Zealand. This asks, if I may put it generally, what topics should be included in a law degree, aside from the core subjects? This may leave one wondering if there is any room for more than there now is, or whether some subjects could be dropped. The central concern seems to be putting the law in the context of the community and its institutions (its “systems”). Getting students acquainted with how things are done, and with what should be done, has its place in the law degree.


This is not to ignore the reality that most law graduates will learn in practice more of what they need to know than they could ever be taught at law school.[3]  In the environment of office, courtroom or other workplace, an awful lot of education goes on. So, what are the surviving effects of a law degree? The mind trained to analyse and reason in the legal way, to locate relevant law both legislation and case law, and to work towards a goal desired by the client. A mind that could not be imitated by a machine.


In going to work in criminal law, most graduates have left their formal study of the subject several years in the past. There are plenty of training opportunities provided by the profession [4] to get such graduates back up to speed, and there will be colleagues who are ready with advice and assistance. Refresher seminars in the law of evidence and procedure will also be available, as will opportunities about contextual matters such as client relations, cultural contributions to legal process, and working with state agencies.


The Chief Justice’s points are, of course, well made, but it seems to me that there are plenty of ways of accommodating them outside of formal university education. University study at the undergratuate level should be devoted to getting an understanding of the intellectually demanding aspects of legal education: the substance of the subjects, their interrelationships, and the qualities that make them “law”. [5] And skills in utilising the advantages and avoiding the dangers of AI generated text will have to become second nature for students, with emphasis on accessing official versions of judicial decisions and legislation, and genuine copies of secondary materials.


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[1] The issue was interpretation of the phrase “the evidence of the offence and the circumstances of the offender” in relation to whether a life sentence for murder would be manifestly unjust. The Supreme Court held that these two elements - the evidence and the circumstances - were to be considered in the round, so that although the evidence of the offence might of itself not make a life sentence manifestly unjust, when considered with the circumstances of the offender the life sentence could be manifestly unjust, although not in this case.


[2] Julius Stone, Social Dimensions of Law and Justice, Stevens and Sons, 1966.


[3] I left my formal undergraduate law studies not knowing what bail is, but after a morning in the Magistrates' Court (observing, in preparation for becoming a duty lawyer) I certainly did know. No one was disadvantaged by my ignorance. In due course I did find a use for the considerable amount of law that I did know. Many people were advantaged by that. As Adam Gopnik observes in The Real Work - On the Mystery of Mastery (2023), "The real work is what we do for other people."


[4] What could be more wonderful than “continuing legal education”- a now institutionalised requirement. Just saying it makes us feel better.


[5] And (don’t let me go on about this), some law schools appear to gain status by heaping an awful lot of work on students, to the disadvantage of the slow, thoughtful readers.

Friday, August 25, 2023

Applications for leave to appeal before trial: W (CA624/2022) v R [2023] NZCA 397

Today is the nineteenth anniversary of the start of this site. Celebrations have been restrained and dignified, although I do seem to have to correct a lot of typing mistakes just now.


My fear that the day would pass without producing an excuse for me to mention that significant occasion has been allayed by the Court’s publication of its reasons in W (CA624/2022) v R [2023] NZCA 397.


This case deals with the criteria for deciding to grant leave for a pre-trial appeal. Occasions for such appeals are listed in the Criminal Procedure Act 2011, ss 215, 217, 218, which are reproduced at [5], [6], and (for s 218) summarised at [7]. The Court considers the policy matters that the legislation addresses at [16]-[21], and notes the relevant law in comparable jurisdictions at [23]-[24].


New Zealand ’s leading case law is in the Leonard and the Hohipa decisions, considered at [25]-[30] for Leonard, listing the decision criteria at [28]-[29]. Hohipa is referred to at [31]-[33]. The present case (W) does not overrule those criteria, but adds to them in the light of experience. Recent experience and issues arising from it are described at [34]-[41]. The two questions raised by this experience are stated at [41].


The Court does not attempt to answer the first question which is why are so many applications for leave to appeal before trial made? My own guess is that (apart from the misleading heading to s 215, and similarly to 217 and 218 which suggests that there is a “right” to appeal before trial, when there is only a right to seek leave to appeal in the relevant occasions) counsel do not wish to be criticised at a later stage of the proceedings for not having sought leave pre-trial, and do not want any inference adverse against their client to be drawn from the absence of any pre-trial application for leave.


But the other point raised in [41] is more important: the need for counsel to assist in the determination of an application for leave by particularising the issues (see [53]-[55]).


The leave criteria are restated at [52], with the interests of justice being the overall consideration. There are 13 criteria in the list, labeled (a) to (m). In Leonard the Court had identified 5 criteria favouring leave being granted (repeated here at [5]), and 5 against (see [6]). So, what are the 3 that are added in the present case? The criteria in W at [52(a)-(c)] are not in the Leonard list but they do appear in other case law.


My impression is that all the criteria, those in Leonard and those in the present case, are relevant. There is no express departure from the Leonard criteria, but the overlap of particular criteria (for example, Leonard (a) in favour of granting leave and W (d), (e), and (f); Leonard (b) and W (i) and (m)) suggests that they should all be read together. The emphasis in W is on the avoidance of unnecessary delay in the completion of the criminal proceedings [55].


And, as I said in Jeremy Finn and Don Mathias, Criminal Procedure in New Zealand (3rd ed, 2019, Thomson Reuters NZ Ltd, Wellington) at [14.6], it is important to advance at the earliest opportunity strong grounds in an application for leave to appeal, as there is no appeal against a refusal of leave.


Of particular interest to law reformers is the reference at [23] to the law in comparable jurisdictions: Canada, New South Wales, South Australia, Victoria, and England and Wales.

Friday, August 11, 2023

The plea of previous conviction: Mitchell v Police [2023] NZSC 104

Protection against double jeopardy can be given by statute and by common law. Statutory protection can exist in the form of provisions for pleas of previous conviction or previous acquittal, and by a right not to be tried or punished for an offence for which a final conviction or acquittal has been entered. Common law protection can take the form of a stay of proceedings to prevent abuse of process, or in the sentencing process by the avoidance of double punishment, or in the plea of autrefois convict to the extent that it has not been replaced by legislation.


Statutory rules concerning the plea of previous conviction can be difficult to interpret and apply. Such difficulties in New Zealand law are surveyed in Mitchell v Police [2023] NZSC 104 (11 August 2023). The relevant provision here is s 46(1)(b) of the Criminal Procedure Act 2011.


The issue is quite simple, as is the Court’s application of its interpretation of the legislation: [2], [68]-[69]. Arriving at the correct interpretation of the legislation was not entirely straightforward, and the Court noted at [63] that there is “some opacity” in the drafting of s 46(1). The phrase “arising from the same facts” marks a change from the previous legislative focus on the elements of the charges, in favour of placing the facts as central to the inquiry. And here, it is “substantial” similarity that is required: in s 46(1)(b), “those facts” means substantially those facts, and what is required is substantial similarity in the acts that make the charges punishable.


So, Mr Mitchell’s charges referred to common acts (driving, with some alcohol in his breath: [67]) and to facts that made each charge punishable (having a breath alcohol level in excess of the legal limit, and having any alcohol in his system in breach of his zero alcohol licence). Those punishable facts were different for each charge, and there was nothing unlawful in his being convicted on each [69].


Substantial sameness does not include single acts that have several victims ([64] and footnote 90). But it probably includes facts which are accompanied by different mental elements ([64] footnote 89, but Ellen France J had some reservations about this [78]).


Section 46(1) has changed the law by reforming the very narrow approach to the availability of the plea of previous conviction that some authorities had applied: [62], [46]. This means that, for example, the following charges (in Hickson, referred to at [46]) would now be held to arise from substantially the same facts: (a) selling liquor in licensed premises when such premises were directed to be closed; (b) exposing liquor for sale in such premises during such a period; and (c) opening such premises for the sale of liquor during such a period.


The Court in Mitchell uses that example to illustrate the former law’s rejection of the plea of previous conviction where a “subtle difference” between the elements of the offences could be discerned [45]. Again, referring at [47] to Brightwell, the offences of presenting a firearm without lawful and sufficient purpose, and by (substantially) the same act threatening to do grievous bodily harm, were a further illustration of the subtle difference that would no longer be recognised. Pursuant to Mitchell, the approach would now be to ask whether the punishable act for each offence is substantially the same, the answer for Hickson and Brightwell being yes it was in those cases.


Ellen France J, concurring but for slightly different reasons, thought it is questionable whether s 46 places a controlling role upon the facts [76]. The point here is that the elements of the offences will “in most cases” (see footnote [94]) assist in defining the necessary facts for the purposes of s 46. She also had reservations about the use of the concept of common punishable act [77].


And, I add for law students to consider: When are the punishable acts “substantially” the same for each offence? If the difference between exposing liquor for sale and selling that liquor is too subtle to exclude the plea of previous conviction (Hickson as reviewed in Mitchell), why isn't the difference between having alcohol in the breath when driving and having excess alcohol in the breath on that occasion too subtle to exclude the plea? Will the rejection of the search for subtle differences in the elements of the offences lead to a search for subtle differences in the punishable acts for each, as grounds for rejecting the plea of previous conviction? And would that be objectionable? Has the precedent value of future cases on this topic been reduced by the mandated emphasis on facts, and, if so, is that consistent with the rule of law?

Friday, August 04, 2023

Fair trials for unrepresented defendants - the use of amici curiae in Canada

In Canada, an amicus curiae may perform a variety of functions, limited by the role of an amicus as a “friend of the court”: R v Kahsai, 2023 SCC 20 (28 July 2023) at [40]. The duty of loyalty to the court must always be upheld, whatever the functions that the judge gives an amicus in an individual case. Therefore, the amicus has no duty of loyalty to a defendant, and is not in a solicitor-client relationship with a defendant. The amicus cannot be dismissed by the defendant. When required to advocate for the defendant, the amicus still does not represent the defendant. The amicus cannot be given functions that undermine the judge’s impartiality, for example by making strategic decisions to assist the defendant ([41]-[42]).


The right of a defendant to self-represent is important, and this may restrict what an amicus can do. Decisions on plea, mode of trial, whether to give or call evidence, and what defence to rely on are decisions that must be left to the defendant. But those decisions must be informed and reality-based, and made within the confines of the law. So, evidence can only be given in accordance with the law of evidence, and only defences that are lawfully available can be advanced by the defendant. Nor can the defendant require an amicus to act unethically. The defendant’s decisions on the conduct of the defence must be respected even though an amicus may have made different decisions. But the judge may require the assistance of the amicus in testing the evidence of prosecution witnesses, although this may require a fine balancing against the defendant’s right to control the defence. Within the limits of the strategic choices made by the defendant, the amicus should always be entitled to test the strength of the prosecution case ([43]-[46], [49]).


Avoiding imbalance in the adversarial process when a defendant is unrepresented by counsel puts a trial judge under a duty to ensure the proceedings respect the defendant’s fundamental rights. However, judicial help must not have the appearance of undermining impartiality [54]. The prosecutor also has duties of ensuring the fairness of trials [55], particularly in relation to ensuring that unrepresented defendants know about their rights to obtain disclosure [56]. The appointing of an amicus may be necessary where the duties of judge and prosecutor in relation to unrepresented defendants cannot go far enough to achieve trial fairness or the appearance of fairness. For example, where a defendant, although fit to stand trial, displays symptoms of mental health challenges, or simply refuses to participate in the trial ([57]-[58]).


Appointments of amici are reserved for exceptional circumstances and are not routine. Relevant considerations will be the nature and complexity of the charges, the mode of trial (judge alone or jury), the attributes of the defendant, the need for assistance in advancing the defence case or in testing the prosecution evidence, and the extent to which the judge and the prosecutor can provide assistance ([60]-[61], [64]-[66]).


In New Zealand we address the ways in which assistance may be given by counsel appointed by the court by categorising such counsel as special advocates, independent counsel, amici curiae, and standby counsel. Read more about this in Jeremy Finn and Don Mathias, Criminal Procedure in New Zealand (3rd ed, 2019, Thomson Reuters Ltd, Wellington) at [11.5]. Go on, you know you want to.

Monday, July 31, 2023

Stage fright in the CCRC?

In a 2021 review of the operation of the Criminal Cases Review Commission (the Commission) for England, Wales and Northern Ireland, the Westminster Commission on Miscarriages of Justice had a significant concern that the Commission is at risk of being too deferential to the appeal court. Or, as I would say, stage fright might cause it to miss its cue.


A recommendation was made for change to the criterion for referral of cases to the appeal court.


Other concerns raised in that review included that the Commission was under-funded and over-worked.


Glancing at the online statistics published by the New Zealand Criminal Cases Review Commission (CCRC), in the light of the referral criterion set out in s 17 of the Act, there are currently 136 completed cases, including 1 referral to the court. While there is only one statutory ground for referral (the interests of justice), the published grounds for not referring a case are more informative insofar as they separate out some specific reasons in 70 cases, leaving 65 described as “Not in the interests of justice”. On this approach, the interests of justice are separate from the specific reasons (active appeal on same grounds, appeals process available, applicant deceased, application withdrawn, incomplete application and no criminal conviction). Presumably, then, the interest of justice here means the prospects of the court allowing the appeal (s 17(2)(c)).


So, in 65 out of 135 (48 per cent) of applications that do not progress to the court, the CCRC has concluded that the prospects of the court allowing the appeal are insufficient to justify a referral. When combined with the other reasons for refusing to refer a case, the CCRC has referred 1 in 136 (0.74 per cent) of cases it has completed. But, separating out those cases where there are specific statutory reasons for refusal to refer an application, the 65 occasions where the prospects of an appeal being allowed are the criterion have included one referral, so that is approximately 2 per cent of these “prospects” cases.


Plainly, the prospects of the court allowing the appeal is a very significant consideration when assessing the interests of justice. That is quite sensible, but one can ask whether the CCRC may be being too conservative in making that assessment. Another thought would be that appellate courts set reasonable doubt at too high a standard.


Returning to the experience in England, Wales and Northern Ireland (where the rate of referral to the appeal court is about 3 per cent) and remembering the horrific miscarriages of justice recognised in the Post Office appeal cases, in which inappropriate reliance was placed on a computer accounting system, and more recently in the successful appeal in the Malkinson case (see the article in The Guardian on 27 July 2023) in which the Commission had twice refused to make a referral, not having carried out the necessary investigatory work, we can wonder whether the criterion for referral could be improved. The Westminster inquiry recommended (at p 37) that their criterion could be redrafted:


“the 'real possibility' test should be redrafted to expressly enable the CCRC to refer a case where it determines that the conviction may be unsafe, the sentence may be manifestly excessive or wrong in law or where it concludes that it is in the interests of justice to make a referral. By definition this would include all cases where it finds that a miscarriage of justice may have occurred including 'lurking doubt' cases.”


As funding will inevitably become inadequate, and resources inappropriately limited, the only protection that applicants will have against the CCRC’s wrongful refusal to refer cases will be a referral criterion that avoids the danger of what I have here called stage fright.


The New Zealand CCRC was established on 1 July 2020, so it may be too soon for an accurate calculation of the rate of referrals to be made. It is most unlikely that the New Zealand justice system is about four times more accurate at convicting people than are the courts in England and Wales (needing to refer only 0.74 per cent of applications, compared to 3 per cent for England and Wales). It would be more informative to compare the “prospects” statistics, if one could dig them out of the 2021 review for Engalnd and Wales. In any event, the CCRC should accept an error rate - that is, a rate of referrals which do not result in a successful appeal - as something similar to the rate of unsuccessful appeals that occurs in legal practice, which seems to be about 66 per cent. In a sense the CCRC is acting like counsel for the appellant where fresh evidence has been obtained to challenge a conviction, or where new considerations have been unearthed to call into question the appropriateness of a sentence. Counsel will pursue an appeal in those circumstances, being aware of the likelihood of failure from the point of view of statistics, and the CCRC should too.


In England and Wales the rate of successful referrals has been about 70 per cent (see p 35 of the review) and this has been criticised as indicating that more cases should be referred. One might say that it is the courts' error rate, not the CCRC's, that matters. Judicial blindness to the risk of error was a strong motivator for the establishment of the CCRC.