Avsnitt

  • (PUBLICATION BAN IN CASE)

    The respondent, T.J.F., was charged with human trafficking and obtaining a financial or material benefit from human trafficking during a period from 2006 through 2011. The trial judge accepted that the respondent had engaged in threats, intimidation and injury towards the complainant; he characterized this as “past discreditable conduct” but not part of the actus reus of the offences alleged. The complainant testimony included evidence of exploitation and attempted exploitation, but the trial judge did not accept the complainant’s evidence due to issues with her credibility. The respondent was acquitted. On appeal by the Crown, a majority of the Nova Scotia Court of Appeal agreed that the trial judge erred in treating the respondent’s violent conduct as “past discreditable conduct,” but it held that the error had no impact on the acquittal because exploitation and attempted exploitation depended upon the complainant’s testimony which the judge did not accept. The appeal was therefore dismissed.

    The dissenting judge would have held that the trial judge erred in law by misapprehending critical evidence and also concluded that the Crown would have been able to rely on the evidentiary presumption in s. 279.01(3), which was enacted in 2019. The dissenting judge concluded that there is a reasonable degree of certainty the verdict would not have been the same but for the judge’s error. She would have allowed the appeal, set aside the acquittals and ordered a new trial.

    Argued Date

    2024-03-27

    Keywords

    Criminal Law — Offences — Evidence — Trafficking and obtaining financial or material benefit from trafficking — Credibility — Evidentiary presumption — Temporal application — Whether the trial judge’s erroneous characterization of the respondent’s violent conduct as “past discreditable conduct” rather than part of the actus reus raised a reasonable certainty that the verdict would not have been the same but for the error — Whether the evidentiary presumption in section 279.01(3) of the Criminal Code would be triggered in this case — Whether the evidentiary presumption in section 279.01(3) of the Criminal Code would apply retrospectively — Criminal Code, R.S.C. 1985, c. C-46, ss. 279.01, 279.02, 279.04.

    Notes

    (Nova Scotia) (Criminal) (As of Right) (Publication ban in case)

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    English Audio

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • After consuming alcohol, Mr. Wolfe drove his vehicle on the wrong side of a divided highway for a considerable distance at night. He caused a head-on collision that seriously injured Mrs. Niazi and killed her husband and daughter. Mr. Wolfe was convicted on two counts of criminally negligent operation of a motor vehicle causing death under s. 220(b) of the Criminal Code, R.S.C. 1985, c. C-46, and on one count of criminally negligent operation of a motor vehicle causing bodily harm under s. 221 of the Criminal Code. He was sentenced to three concurrent terms of incarceration with a global term of six years. The sentencing judge additionally ordered a driving prohibition for 10 years for each count of criminal negligence causing death and a driving prohibition for 7 years for the count of criminal negligence causing bodily harm. The Court of Appeal dismissed an appeal from the sentence.

    Argued Date

    2024-03-26

    Keywords

    Criminal law — Sentencing — Driving prohibition — Can a driving prohibition be imposed following conviction for criminal negligence causing death through the operation of a conveyance or criminal negligence causing bodily harm through the operation of a conveyance?

    Notes

    (Saskatchewan) (Criminal) (By Leave)

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

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  • This case involves a challenge to the validity of regulations adopted by the Agency to compensate air passengers for various delays, losses and inconveniences experienced in the course of international air travel.

    Parliament adopted the Transportation Modernization Act, S.C. 2018, c. 10 (“TMA”), which amended the CTA by creating the new s. 86.11. This new provision requires the Agency, after consulting with the Minister of Transport, to make regulations imposing certain obligations on air carriers, notably in relation to flight delays, flight cancellations, denial of boarding, and loss of or damage to baggage.

    Pursuant to s. 86.11(2) of the CTA, the Minister issued the Direction Respecting Tarmac Delays of Three Hours or Less, S.O.R./2019-110 (the Direction) requiring the Agency to adopt regulations imposing obligations on air carriers to provide timely information and assistance to passengers in cases of tarmac delays of three hours or less.

    Around the same time, the Agency adopted the Regulations, imposing obligations, including liability, on air carriers with respect to tarmac delays, flight cancellations, flight delays, denial of boarding and damage or loss of baggage in the context of domestic and international air travel.

    The appellant airlines challenged numerous provisions of the new Regulations on the basis that they exceed the Agency’s authority under the CTA. They claim that the Regulations contravene Canada’s international obligations, in particular the Montreal Convention and many of the Regulations’ provisions are ultra vires because they have impermissible extraterritorial effects, which violate fundamental notions of international law.

    These matters went directly to the Federal Court of Appeal. It dismissed the appeal, except with respect to s. 23(2) of the Regulations which it found ultra vires of the CTA (this section deals with liability for temporary loss of baggage).

    Argued Date

    2024-03-25

    Keywords

    Transportation law — Air transport — Validity of Air Passenger Protection Regulations, SOR/2019-150 (“Regulations”) adopted by Canadian Transportation Agency (“Agency”) to compensate air passengers for various delays, losses and inconveniences experienced in course of international air travel — Whether liability provisions of Regulations, when applied to international carriage by air, are inconsistent with Canada’s obligations under Convention for the Unification of Certain Rules for International Carriage by Air (“Montreal Convention”), and ultra vires Agency’s regulation-making power under s. 86.11 of Canada Transportation Act, S.C. 1996, c. 10 (“CTA”), and therefore invalid — Whether Federal Court of Appeal erred by deciding that expert evidence on issues of international law is inadmissible as a matter of law, and by striking those parts of appellants’ expert evidence addressing whether “state practice” relied upon by Attorney General of Canada (“AGC”) is “in the application of”, and consistent with Montreal Convention?

    Notes

    (Federal) (Civil) (By Leave)

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    English Audio

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • Police seized a cellphone during a search incident to the arrest of a known drug dealer. The phone was displaying incoming text messages on its screen. The police believed the messages revealed a transaction for heroin, which would likely be laced with fentanyl, was in progress.

    The police impersonated the drug dealer by responding to the text messages, and arranged to have the drugs delivered to the dealer’s residence. Applicant Dwayne Alexander Campbell arrived at the residence and was arrested. Mr. Campbell was charged under the Controlled Drugs and Substances Act (CDSA). At trial, Mr. Campbell brought a motion to exclude evidence, claiming that his rights under s. 8 of the Charter had been infringed by the police action in using the dealer’s phone to communicate with him. The trial judge rejected Mr. Campbell’s claim that he had a reasonable expectation of privacy in the text messages, and concluded that the likelihood that the drugs were laced with fentanyl created exigent circumstances that justified the warrantless use of the drug dealer’s cellphone. Mr. Campbell was convicted and sentenced.

    The Court of Appeal held that Mr. Campbell did have a reasonable expectation of privacy in his electronic communications, but that the police action was justified by the exigent circumstances doctrine. Consequently, there was no breach of Mr. Campbell’s s. 8 rights. The Court of Appeal dismissed Mr. Campbell’s appeal.

    Argued Date

    2024-03-21

    Keywords

    Charter of Rights — Search and seizure (s. 8) — Enforcement (s. 24) — Exigent circumstances — Police seizing cellphone in search incident to the arrest of a known drug dealer — Incoming text messages from appellant visible on its screen — Police believing messages concerned impending drug deal involving fentanyl — Police impersonating drug dealer, facilitating drug transaction with the appellant via text message — Whether police breached appellant’s s. 8 rights by warrantless use of drug dealer’s cellphone to impersonate drug dealer and engage in electronic conversation with accused — Whether police action justified by exigent circumstances because the police reasonably believed the drug transaction may have involved fentanyl — Whether police breached the appellant’s s. 8 rights by intercepting private communications without authorization — Whether evidence obtained by s. 8 breaches should have been excluded — Controlled Drugs and Substances Act, S.C. 1996, c. 19, s. 11; Criminal Code, R.S.C. 1985, c. C-46, Part VI

    Notes

    (Ontario) (Criminal) (By Leave)

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • Following a trial in the Court of Québec, the appellant, Gabriel Boudreau, was convicted of dangerous driving causing bodily harm as a result of a collision between him and the complainant. On appeal, the appellant argued that the trial judge had erred by finding that he had taken part in a race with another driver, by improperly assessing the complainant’s testimony and by failing to consider some of the evidence. The majority of the Court of Appeal dismissed the appeal, as it was of the view that the verdict was not unreasonable, illogical or irrational. The trial judge, who had direct evidence on some aspects and circumstantial evidence on others, could convict the appellant of the offence based on that evidence.

    The dissenting judge would have allowed the appeal, set aside the conviction and ordered a new trial. In her view, the trial judge had made two errors that undermined the reasonableness of the verdict. She had rejected the testimony on the basis of an illogical inference even though the appellant’s version was consistent with the site of the damage and was confirmed by the complainant’s testimony. In addition, the judge’s finding that the complainant had been driving in the left lane well before the impact was contradicted by the complainant’s testimony.

    Argued Date

    2024-03-20

    Keywords

    Criminal law — Appeals — Unreasonable verdict — Evidence — Whether trial judge arrived at unreasonable verdict by drawing illogical inferences and by drawing inferences that were clearly contradicted by evidence.

    Notes

    (Quebec) (Criminal) (As of Right)

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • The appellant, Trevor Ian James Lindsay, is a constable with the Calgary Police Service. While processing an arrestee, an altercation occurred between the appellant and the arrestee that left the latter with serious injuries. The appellant was charged with aggravated assault under s. 268 of the Criminal Code. At trial, the appellant’s defence included s. 25 of the Criminal Code, which protects peace officers from liability related to their lawful use of force. The trial judge concluded that s. 25 did not protect the appellant from criminal liability for his actions. A majority of the Court of Appeal agreed. However, Wakeling J.A., in dissent, would have held that the trial judge erred in concluding that the prosecution had proven beyond a reasonable doubt that the appellant’s actions constituted an assault, and also that the trial judge erred in concluding that s. 25 did not apply. Wakeling J.A. would have allowed the appeal and ordered a new trial.

    Argued Date

    2023-12-14

    Keywords

    Criminal Law — Defences — Use of force by peace officer — Protection of peace officers — Whether the majority of the Court of Appeal of Alberta erred in upholding the trial judge’s decision that s. 25 of the Criminal Code did not protect the appellant from criminal liability — Whether the majority of the Court of the Appeal erred in upholding the trial judge’s decision that the prosecution had proven the elements of aggravated assault beyond a reasonable doubt — Criminal Code, s. 25.

    Notes

    (Alberta) (Criminal) (As of Right)

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • The appellant engaged in a sexual encounter with two other men in a park. A number of hours later, the body of one of those men was found in the park; he had died due to external neck compression. The appellant had mental health difficulties and had consumed both psychiatric medication and alcohol around the time he was in the park with the victim and the third man. The appellant had made several statements both before and after the victim’s death that he wanted to harm and kill gay men, and that he had at times carried a rope and a knife to do so. In the days following the killing, the appellant searched the internet for news with respect to the discovery of a body in the park.

    A jury found the appellant guilty of first-degree murder. A majority of the Court of Appeal dismissed his appeal and held that the trial judge’s instructions to the jury had been appropriate. In dissent, Nordheimer J.A. would have allowed the appeal on two grounds: (1) that the trial judge failed to instruct the jury on the appellant’s mental health as it relates to the intent required for murder and (2) that the trial judge failed to provide a limiting instruction on the use of after-the-fact conduct evidence. Nordheimer J.A. would have ordered a new trial.

    Argued Date

    2023-12-15

    Keywords

    Criminal law — Charge to jury — Non-direction amounting to misdirection — Need to review mental health evidence with jury — Need to include limiting instruction for after-the-fact conduct evidence — Whether Court of Appeal erred by holding that trial judge did not err in not relating mental health evidence to intent required for murder — Whether the Court of Appeal erred by holding that the trial judge did not err in not providing a limiting instruction for after-the-fact conduct evidence

    Notes

    (Ontario) (Criminal) (As of Right)

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    English Audio

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • (PUBLICATION BAN IN CASE)

    The appellant, a police officer, was temporarily off work because of medical problems. During a meeting with a physician-arbitrator who was to determine whether his disability was permanent, the appellant misrepresented his work activities with his former spouse’s travel agencies. The physician-arbitrator found that his disability was permanent, and the appellant was therefore entitled to permanent disability benefits from his employer. The employer knew of some of the appellant’s work activities but did not tell the physician-arbitrator about them.

    The trial judge found that all the elements of the offence of fraud over $5,000 had been established. The appellant was convicted of one count of fraud. The majority of the Court of Appeal upheld the trial judge’s decision, while the minority would have substituted a verdict of attempted fraud.

    Argued Date

    2024-01-17

    Keywords

    Criminal law — Offences — Elements of offence — Fraud — Deprivation — Concurrence between actus reus and mens rea — Proof of causation — Whether Court has jurisdiction to hear appeal as of right under s. 691(1)(a) of Criminal Code — Whether majority of Court of Appeal interpreted essential element of deprivation too broadly — Whether victim’s prior knowledge of scheme prevents deprivation from being shown — Criminal Code, R.S.C. 1985, c. C-46, s. 380(1).

    Notes

    (Quebec) (Criminal) (As of Right) (Publication ban in case)

    Language

    English Audio

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • Appellant Daniel Hodgson was charged with second-degree murder following a death at a house party. The victim, a large man, had become aggressive towards the house owner and refused to leave. Mr. Hodgson, who had been sleeping in a nearby bedroom, was asked by a guest to help remove the victim from the house. The victim died after Mr. Hodgson applied a one-arm choke hold on him.

    Mr. Hodgson was acquitted at trial. The trial judge had a reasonable doubt as to whether Mr. Hodgson had the requisite intent for murder. On the lesser included offence of manslaughter, the trial judge concluded that the Crown had not proven beyond a reasonable doubt that Mr. Hodgson did not act in self-defence pursuant to s. 34 of the Criminal Code, R.S.C. 1985, c. C-46. The Court of Appeal set aside the acquittal and ordered a new trial.

    Argued Date

    2024-02-15

    Keywords

    Criminal Law — Defences — Self-Defence — Appellant charged with second-degree murder following an altercation at party — Trial judge finding no intent to murder, and Crown failing to disprove self-defence on the lesser included offence of manslaughter — Appellant acquitted — Court of Appeal setting aside acquittal and ordering new trial — Whether Court of Appeal exceeded its jurisdiction in concluding that the trial judge’s failure to infer intent for murder was a reviewable legal error — Whether the Court of Appeal erred in concluding that the trial judge was required to infer the intent for murder — Whether the Court of Appeal erred in concluding that the trial judge erroneously approached the issue of the reasonableness of the Appellant’s response from a purely subjective perspective — Criminal Code, R.S.C. 1985, c. C-46, s. 34.

    Notes

    (Nunavut) (Criminal) (By Leave)

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • (Publication ban in case)

    In the Court Martial, a military judge acquitted the respondent, Private D.T. Vu, of sexual assault under s. 130 of the National Defence Act, R.S.C. 1985, c. N-5 (“NDA”), that is to say, s. 271 of the Criminal Code, R.S.C. 1985, c. C-46. It is alleged that the respondent performed a sex act on the complainant who was incapable of consenting to the act by reason of advanced intoxication. The judge concluded that the Crown did not prove part of the actus reus (being a lack of subjective consent) beyond a reasonable doubt.

    The appellant Crown appealed to the Court Martial Appeal Court. It submitted that the military judge erred in finding that the prosecution failed to prove a lack of consent or capacity to consent. Its submission rested on the proposition recognized in R. v. J.M.H., 2011 SCC 45, [2011] 3 S.C.R. 197, that the judge committed a legal error by failing to consider the entirety and cumulative effect of the evidence in reaching his conclusion on the issue. A majority of the appeal court (per Bell C.J. and Trotter J.A.) dismissed the appeal. It held the military judge did not err in law in his analysis leading to the respondent’s acquittal. Any findings the military judge made that the majority took issue with were held to have no bearing on the verdict reached. The majority further held that in the event it was incorrect on this point, it would rely upon s. 241 of the NDA, which states that “[n]otwithstanding anything in this Division, the Court Martial Appeal Court may disallow an appeal if, in the opinion of the Court, to be expressed in writing, there has been no substantial miscarriage of justice”. In dissent, McVeigh J.A. would have allowed the appeal and ordered a new trial. In her view, the military judge erred in law by failing to consider all of the evidence cumulatively, which led him to speculate improperly about alternative theories. These errors might have reasonably had a material bearing on the verdict. Further, the military judge erred by relying on improper inferences which, in effect, amounted to an insistence that the complainant’s intoxication had to be corroborated beyond the available evidence in this case.

    Argued Date

    2024-01-16

    Keywords

    Criminal law — Armed forces — Military Offences —Sexual Assault — Evidence — Whether the military judge failed to consider all of the evidence cumulatively — Whether the military judge assessed the evidence based on the wrong legal principles.

    Notes

    (Federal) (Criminal) (As of Right) (Publication ban in case)

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • After a trial in the Court of Québec, the appellant, Yves Caleb Jr. Charles, was convicted of assault with a weapon, using an imitation firearm in the commission of assault, and uttering threats. During the trial, a prosecution witness refused to cooperate, and the trial judge allowed the prosecution to introduce an out of court statement made by the witness into evidence as hearsay. In the judge’s view, the statement had features of substantive reliability in light of the corroborative evidence and the circumstances in which the statement had been made. The Court of Appeal, for the reasons of Doyon and Cournoyer JJ.A., dismissed the accused’s appeal. Bachand J.A., dissenting, would have allowed the appeal and ordered a new trial, as he was of the view that the out of court statement in issue did not satisfy the threshold reliability requirement for being admitted into evidence. He found that the corroborative evidence was not relevant in analyzing the threshold reliability of the assertion made by the witness concerning the appellant’s conduct and words, and that the circumstances in which the statement had been made did not provide sufficient guarantees of substantive reliability.

    Argued Date

    2024-01-18

    Keywords

    Criminal law — Evidence — Admissibility — Hearsay — Out-of-court statement — Corroborative evidence — Circumstances in which statement made — Whether results of search were considered as corroborative evidence, in accordance with principles enunciated in R. v. Bradshaw, 2017 SCC 35, for purpose of admitting K.A.’s statement into evidence — Whether circumstances of K.A.’s statement provided sufficient guarantees of substantive reliability.

    Notes

    (Quebec) (Criminal) (As of Right)

    Language

    English Audio

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • (PUBLICATION BAN IN CASE) (SEALING ORDER) (CERTAIN INFORMATION NOT AVAILABLE TO THE PUBLIC)

    On March 23, 2022, the Quebec Court of Appeal issued a redacted version of its reasons, which it had originally delivered on February 28, 2022, allowing the respondent Named Person’s conviction appeal and staying the criminal proceedings brought against Named Person, a police informer. The trial judgment under appeal had not been made public, and all the details of the proceedings, which were held in camera, were unknown to the public. The Court of Appeal ordered that the original version of its judgment and all information in its record be sealed.

    After the Court of Appeal issued the redacted judgment, the media appellants filed a motion to have the confidentiality orders concerning the appeal record and the trial record lifted in whole or in part. The appellant the Attorney General of Quebec filed a motion to vary the sealing order applicable to the appeal record. The Court of Appeal dismissed the motions.

    Argued Date

    2023-12-12

    Keywords

    Criminal law - Canadian charter (Criminal), Procedure - Criminal law — Charter of Rights — Procedure — Informer privilege — Order that proceedings be held in camera and sealing order — Whether trial judge can proceed outside justice system, completely and totally in camera, without putting together record or revealing very existence of court proceedings, contrary to open court principle protected by s. 2(b) of Canadian Charter of Rights and Freedoms — Whether, even though police informer privilege is absolute, its unrestrained interpretation may displace constitutional principle of open court proceedings, as Court of Appeal suggested — In addition to identity and list of information that would automatically identify informer, for which there is absolute protection, what test and framework should apply to permit adversarial proceeding in order to decide what other information might identify police informer — When determining facts that may be published while still protecting police informer’s identity, whether judge who hears application should order that interested third parties be notified and have opportunity to be heard on these matters — Whether Court of Appeal erred in refusing to partially unseal its record on ground that this exercise seemed unworkable.

    Notes

    (Quebec) (Criminal) (By Leave) (Publication ban in case) (Sealing order) (Certain information not available to the public)

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • Respondent Joseph Power was convicted of two criminal offences in the 1990s. He served a term of imprisonment.

    In 2010 Mr. Power made inquiries about the process to obtain a pardon, but did not apply for one.

    In 2011, Mr. Power’s employer learned of his criminal record. He was suspended from work.

    Mr. Power applied for a pardon — now called a record suspension — in 2013 in order to continue working in his chosen field. However, two enactments since 2010 — the Limiting Pardons for Serious Crimes Act and the Safe Streets and Communities Act — had amended the Criminal Records Act. Transitional provisions in both of the amending acts gave them retrospective application to offences that had occurred before their coming into force. The combined effect of these enactments and their transitional provisions was to render Mr. Power permanently ineligible for a record suspension.

    Mr. Power lost his job and became ineligible for membership with provincial bodies governing his field of employment.

    The transitional provisions of both the Limiting Pardons for Serious Crimes Act and the Safe Streets and Communities Act, which gave them retrospective application to offences committed prior to their enactment, were later declared unconstitutional.

    Mr. Power brought an action against the Crown, alleging that the adoption and application of the transitional provisions constituted conduct that was clearly wrong, undertaken in bad faith, and abusive of government power. He sought damages pursuant to s. 24(1) of the Canadian Charter of Rights and Freedoms.

    Prior to trial, the appellant Attorney General of Canada sought a determination of questions of law, concerning whether the Crown could ever be held liable in damages in respect of the enactment of legislation that is later declared unconstitutional.

    The Court of Appeal of New Brunswick upheld the application judge’s determination of those questions, and dismissed the Attorney General’s appeal.

    Argued Date

    2023-12-07

    Keywords

    Constitutional law - Charter of Rights, Remedy (s. 24), Damages - Constitutional law — Charter of Rights — Remedy (s. 24) — Damages — Respondent convicted of criminal offences prior to certain amendments to regime for obtaining pardons, but transitional provisions applied the amendments retrospectively — Respondent seeking pardon after employer learned of criminal record, but amendments rendered respondent permanently ineligible for a pardon — Respondent losing his employment — Respondent seeking damages after transitional provisions declared unconstitutional — Whether the Crown may be held liable in damages for government officials and Ministers preparing and drafting legislation that is later declared unconstitutional — Whether the Crown may be held liable in damages for Parliament enacting legislation that is later declared unconstitutional — Limiting Pardons for Serious Crimes Act, S.C. 2010, c. 5 — Safe Streets and Communities Act, S.C. 2012, c. 1 — Criminal Records Act, R.S.C. 1985, c. C-47.

    Notes

    (New Brunswick) (Civil) (By Leave)

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • The respondent, British Columbia Securities Commission found that the appellants, Thalbinder Singh Poonian and Shailu Poonian, breached the Securities Act, R.S.B.C. 1996, c. 418, by engaging in conduct that resulted in the misleading appearance of trading activity in, or an artificial price for, a corporation’s shares. It then imposed both a disgorgement order and an administrative penalty against the Poonians.

    The Commission applied to the BCSC for an order declaring that the amounts owed to it by the Poonians were debts that would not be released by an order of discharge under the Bankruptcy and Insolvency Act. The BCSC granted the Commission’s application. It concluded that the debts fell within two exemptions to the discharge of debts outlined at s. 178(1) of the BIA: the debts were fines, penalties or restitution orders imposed by a court (s. 178(1)(a)) and they resulted from obtaining property or services by false pretences or fraudulent misrepresentation (s. 178(1)(e)). The Court of Appeal for British Columbia dismissed the appeal. While it disagreed that the sanctions had been imposed by a court, it concluded that the BCSC had not erred in finding that the sanctions in this case fell within the exemption defined in s. 178(1)(e) of the BIA. The fact that the misrepresentation was not made to the creditor, in this case, the Commission, did not preclude the Commission from relying on the exemption.

    Argued Date

    2023-12-06

    Keywords

    Bankruptcy and insolvency - Securities - Bankruptcy and Insolvency — Debts not released by discharge — Securities Commission finding appellants breached Securities Act, R.S.B.C. 1996, c. 418, and imposing disgorgement order and administrative penalties — Courts below granting declaration that amounts appellants owe Securities Commission are not to be released by any order or discharge granted under the Bankruptcy and Insolvency Act — Whether Court of Appeal erred in finding Commission’s administrative monetary penalties and disgorgement orders survived Poonian’s discharge from bankruptcy — If so, whether Court of Appeal erred in finding creditors seeking to avail themselves of s. 178(1)(e) of the Bankruptcy and Insolvency Act did not have to prove they were same party debtor made direct representations to by fraud or fraudulent pretense — Bankruptcy and Insolvency Act, R.S.C. 1985, c. B-3, s. 178(1).

    Notes

    (British Columbia) (Civil) (By Leave)

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    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • The appellant, John Aquino, was the directing mind of Bondfield Construction Company Limited (“BCCL”) and its affiliate, 1033803 Ontario Inc., commonly known as Forma-Con (“debtor companies”). He and the other appellants carried out a false invoicing scheme over a number of years by which they siphoned off tens of millions of dollars from both debtor companies. The respondents challenged the false invoicing scheme and sought to recover some of the money under s. 96 of the Bankruptcy and Insolvency Act and s. 36.1 of the Companies’ Creditors Arrangement Act, R.S.C. 1985, c. C-36. They asserted that the false invoicing scheme was implemented by means of transfers at undervalue by which Mr. Aquino and the debtor companies intended to defraud, defeat or delay a creditor. The appellants asserted that the principles of the common law doctrine of corporate attribution set out in Canadian Dredge & Dock Co. v. The Queen, [1985] 1 S.C.R. 662, did not permit the imputation of Mr. Aquino’s intention to either debtor company. The application judge imputed the fraudulent intention of Mr. Aquino to the corporate debtors. The Court of Appeal dismissed the appellants’ appeals.

    Argued Date

    2023-12-05

    Keywords

    Bankruptcy and insolvency - Bankruptcy and Insolvency — Doctrine of corporate attribution — Interpretation of requirement that debtor have intent to defraud, defeat or delay creditor, set out in provision of Bankruptcy and Insolvency Act that permits courts to declare transfers at undervalue void — Courts below holding intent requirement met by attributing intent of companies’ directing mind to the corporate debtors — Whether the Court of Appeal was entitled to reframe the common law corporate attribution doctrine, as formulated in Canadian Dredge & Dock Co. v. The Queen, [1985] 1 S.C.R. 662, and its progeny, within the bankruptcy context — Whether the Court of Appeal made an extricable error in law when it upheld the applications judge’s ruling to the effect that the true financial condition of the corporate debtors, at the time of the impugned transactions, was not “determinative” of whether its directing mind, as a matter of fact, had the requisite intent to defraud, defeat or delay the third-party creditors — Bankruptcy and Insolvency Act, R.S.C. 1985, c. B-3, s. 96.

    Notes

    (Ontario) (Civil) (By Leave)

    Language

    English Audio

    Disclaimers

    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • (PUBLICATION BAN IN CASE)

    Mr. Tayo Tompouba was charged with sexual assault. On his first appearance, he was not advised of his right to apply for a trial in French, despite the court’s obligation to inform him of that right under s. 530(3) of the Criminal Code. He was convicted following a trial in English. The Court of Appeal acknowledged that not advising Mr. Tayo Tompouba of his right was an error, but it applied the curative proviso to dismiss his appeal. It held that the right provided for in s. 530(3) is a procedural right, not a substantive right.

    Argued Date

    2023-10-11

    Keywords

    Criminal law - Trial - Criminal law — Trial — Language of accused — French-speaking accused not advised of his right to be tried in official language of his choice — Whether curative proviso in s. 686 of Criminal Code can apply to violation of s. 530(3) of Criminal Code — Whether new trial must be ordered — Criminal Code, R.S.C. 1985, c. C-46, ss. 530(3), 686(1)(b).

    Notes

    (British Columbia) (Criminal) (By Leave) (Publication ban in case)

    Language

    English Audio

    Disclaimers

    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • (PUBLICATION BAN IN CASE)

    The appellants are members of the Canadian Armed Forces who had various charges laid against them. They each filed a preliminary application in the Court Martial seeking a stay of proceedings because of an alleged infringement of their constitutional right to be tried by an independent and impartial tribunal guaranteed by s. 11(d) of the Canadian Charter of Rights and Freedoms. They argued that their right was infringed by an order by the Chief of Defence Staff dated October 2, 2019 regarding the designation of a commanding officer for purposes of considering disciplinary matters for military judges (“impugned order”). Captain Crépeau, in her application, also asked the tribunal to declare ss. 12, 18 and 60 of the National Defence Act to be of no force or effect, alleging that their combined effect was to allow the Chief of Defence Staff to issue an order, like the impugned order, relating directly to discipline for military judges and thus to permit the military hierarchy to exert pressure on a military judge presiding at a court martial. In a series of decisions, military judges concluded that there was an infringement of the accused’s right guaranteed by s. 11(d) of the Charter. In each of the proceedings, they made a similar declaration to the effect that the impugned order was an infringement of the right set out in s. 11(d) of the Charter. They also stayed the proceedings under s. 24(1) of the Charter. The Court Martial Appeal Court of Canada allowed the Crown’s appeals, ruling that no informed person would conclude that there was an apprehension of bias or that the independence of courts martial was compromised. It dismissed Captain Crépeau’s cross-appeal.

    This appeal will be heard jointly with the appeals in files 39822, 40046, 40065 and 40103.

    Argued Date

    2023-10-16

    Keywords

    Canadian charter (Criminal) - Constitutional law, Judicial independence, Armed Forces, Military offences - Charter of Rights — Right to be tried by independent and impartial tribunal — Constitutional law — Judicial independence — Courts martial — Armed forces — Military offences — Since R. v. Généreux, [1992] 1 S.C.R. 259, does the military status of military judges still raise a reasonable apprehension of bias? — Since Généreux, has there been significant societal change which dissipates this Court’s concern that the military status of military judges is a matter of practical necessity? — If so, does the military status of military judges, prescribed under the National Defence Act’s legislative scheme, lead an informed person, viewing the matter realistically and practically, to conclude that there is an apprehension of bias contrary to s. 11(d) of the Charter? — If so, is this violation justified under s. 1 of the Charter? — If not, what is the appropriate constitutional remedy under s. 52 of the Constitution Act, 1982? — Canadian Charter of Rights and Freedoms, s. 11(d) — National Defence Act, R.S.C., 1985, c. N-5, s. 165.21(1) .

    Notes

    (Federal) (Criminal) (By Leave)

    Disclaimers

    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • In 1991, Newfoundland and Labrador reorganized its northeast Avalon municipalities, expanding St. John’s boundaries and triggering a new planning process for St. John’s. The Lynch property and others were zoned as “watershed” because they fall within the Broad Cove River Watershed, which feeds St. John’s municipal water supply. In 2011, the Lynches asked the City what sort of residential, agricultural, forestry or public utility uses the property could be put to. They were informed verbally that no development would be permitted. They then applied to develop a ten-lot residential subdivision. In a letter dated February 1, 2013, the City Manager rejected their application as being contrary to ss. 104 and 106 of the City of St. John’s Act and the development regulations which established the watershed zoning.

    The municipal water supply had been subject to statutory protection through limits on development since before the Crown Grant in 1917. In 1959, the City of St. John’s Act was amended to add the Broad Cove Watershed to the area within St. John’s control, even though it was not within the city itself. As a result, the Lynch property was subject to St. John’s pollution control and its powers of expropriation, and its use and development were restricted. Residential building was not expressly prohibited until 1964, when St. John’s amended the City of St. John’s Act to prohibit the erection of most buildings in the controlled area unless they were associated with existing private family dwellings. In 1978, these restrictions were softened to allow the City Manager to grant permission to build on the land. In 1992, St. John’s boundaries were expanded to include the Lynch property, so St. John’s general land use zoning applied to the property. The watershed zoning came into effect in 1994, and the resulting management plan, which included keeping St. John’s watersheds “as pristine as possible”, was adopted in 1996.

    The Newfoundland and Labrador Court of Appeal held that the City Manager’s decision to prevent any development in any manner, set out in the February 1, 2013, letter, constituted constructive expropriation: Lynch v. St. John’s (City), 2016 NLCA 35, at paras. 66-67 (“Expropriation Decision”). The Court of Appeal remitted the issue of compensation to the Board of Commissioners of Public Utilities. In the course of determining compensation, the Board referred the following question to the Supreme Court of Newfoundland and Labrador under the Expropriation Act, R.S.N.L. 1990, c. E-19, s. 26(3), by special case:

    Whether the Lynches’ compensation should be assessed based on the uses permitted by the existing zoning, which are agriculture, forestry and public utility uses, or whether the existing zoning should be ignored and the value determined as if residential development were permissible.

    The applications judge granted compensation for constructive expropriation of property based on existing watershed zoning. The Court of Appeal allowed the appeal in part, ordering that compensation be determined without reference to watershed zoning.

    Argued Date

    2023-11-16

    Keywords

    Expropriation - Expropriation — Constructive expropriation — Compensation — Causation — How compensation for constructive expropriation should be assessed — Proper causation analysis for determining loss to landowner — Pointe Gourde principle — Whether regulations sufficiently linked to expropriation of property to justify application of Pointe Gourde principle.

    Notes

    (Newfoundland & Labrador) (Civil) (By Leave)

    Disclaimers

    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • Appellant Ummugulsum Yatar was injured in a motor vehicle accident. Ms. Yatar applied to her insurer, TD Insurance Meloche Monnex (hereafter, “TD”) for housekeeping and home maintenance benefits, as well as income replacement benefits (IRB). TD initially paid those benefits.

    About a year later, following insurance medical examinations, TD denied Ms. Yatar’s claim for housekeeping and home maintenance benefits. Several months after that, TD denied her IRB claim. Ms. Yatar brought an application before the Licence Appeal Tribunal (LAT) to challenge the denial of her insurance benefits claim. The application was dismissed. She requested a reconsideration of the LAT decision, which was also dismissed.

    Ms. Yatar then brought an appeal on questions of law and an application for judicial review of the LAT reconsideration decision before the Divisional Court. The court dismissed both the appeal and the application. The Court of Appeal dismissed Ms. Yatar’s appeal from the Divisional Court’s decision.

    Argued Date

    2023-11-15

    Keywords

    Administrative law - Boards and tribunals, Appeals, Judicial review - Administrative law — Boards and tribunals — Licence Appeal Tribunal (LAT) — Appeals — Judicial review — Appellant injured in motor vehicle accident, insurer denying claim for benefits — LAT dismissing appellant’s benefits claim — Appellant simultaneously appealing on questions of law and seeking judicial review on questions of fact and mixed fact and law — Whether the Court of Appeal erred in concluding that the legislature’s decision to limit the right of appeal to pure questions of law restricted the availability of judicial review concerning other questions to rare or unusual cases — Whether the Court of Appeal erred in concluding the adjudicator’s decision was reasonable — Licence Appeal Tribunal Act, 1999, S.O. 1999, c. 12, Sch. G — Insurance Act, R.S.O. 1990, c. I.8 — Judicial Review Procedure Act, R.S.O. 1990, c. J.1.

    Notes

    (Ontario) (Civil) (By Leave)

    Disclaimers

    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).

  • Bombardier inc. entered into a procurement contract with the respondent branch of the Greek government (HMOD) for ten firefighting amphibious aircraft. There was also an Offsets contract by which Bombardier committed to offset programs inviting Greek suppliers as subcontractors for the work, for a total credited value of 110% of the main contract. Bombardier was to pay up to 10% of this amount as liquidated damages if the Offsets contract was not fulfilled, which was secured by a letter of guarantee with the appellant. Bombardier arranged a corresponding letter of counter-guarantee issued by National Bank of Canada in favour of the appellant.

    A dispute arose under the Offsets contract. Bombardier filed a request for arbitration under the rules of the International Chamber of Commerce (ICC) in Paris. It later amended its request to include the issue of whether the Offsets contract was null and void for violating the principle of the free movement of goods under the laws of the European Union. Although at one point HMOD made an undertaking not to seek payment under the letter of guarantee while arbitration was pending, it later demanded payment of the US $13,868,354 from the appellant under the letter of guarantee. Bombardier sought and received interim injunctions against payment from Quebec courts and through an Interim Order of the ICC Arbitral Tribunal, and the appellant obtained an interim injunction from a Greek court. When a further injunction was denied by a Greek court, and with the imminent release of the ICC Arbitral Tribunal Award, HMOD served the appellant with an Extrajudicial Invitation Protest, ordering it, under penalty of law, to make payment under the letter of guarantee. Shortly after the appellant paid HMOD, the Final Award of the ICC Arbitral Tribunal was released, ruling that the Offsets Contract, including its terms pertaining to the liquidated damages and to a letter of guarantee, violated EU law and was null and void ab initio. When National Bank refused payment to the appellant under the letter of counter-guarantee, the appellant sought recovery through the courts of Quebec.

    The Superior Court of Quebec confirmed its jurisdiction and rejected the appellant’s demand for payment under the letter of counter-guarantee on the basis of the fraud exception. It held that the letter of counter-guarantee was unenforceable and enjoined National Bank from paying pursuant to it. The court homologated the ICC Arbitral Tribunal Final Award and ordered the HMOD to comply with it. The Quebec Court of Appeal confirmed the trial court decision, except to strike out that part of the trial judgment ordering HMOD to comply with the Final Arbitral Award.

    Argued Date

    2023-11-14

    Keywords

    Commercial law - Commercial law — Banks and banking operations — Letters of credit — Bank’s obligation to pay on presentation of letter of guarantee and counter-guarantee — Fraud exception — Scope and availability of exception — Jurisdiction of Quebec courts — What are the proper limits to the fraud exception to the autonomous nature of letters of credit — Could the Quebec courts rule that the appellant’s conduct amounted to bad faith when it abided by the judgments rendered by the court of competent jurisdiction — How is risk to be apportioned between the parties to a complex commercial transaction scheme utilizing letters of credit — Bank of Nova Scotia v. Angelica-Whitewear Ltd., [1987] 1 S.C.R 59.

    Notes

    (Quebec) (Civil) (By Leave)

    Disclaimers

    This podcast is created as a public service to promote public access and awareness of the workings of Canada's highest court. It is not affiliated with or endorsed by the Court. The original version of this hearing may be found on the Supreme Court of Canada's website. The above case summary was prepared by the Office of the Registrar of the Supreme Court of Canada (Law Branch).